Company: PDSRX
Filing Date: 2025-06-13
Form Type: N-CEN
Source: 0001752724-25-137757
Chunk: 5

Company: Principal Real Asset Fund
Filing Date: 2025-06-13
Form: N-CEN
Chunk 5
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 as an 
 attachment any other information required to be included as an      
 attachment pursuant to Commission rules and regulations.            |

| Instructions.                                                       
 7. Item G.1.b.i. Material amendments to organizational documents.   
 Provide copies of all material amendments to the Registrant's       
 charters, by-laws, or other similar organizational documents that   
 occurred during the reporting period.                               
 8. Item G.1.b.ii. Instruments defining the rights of the holders of 
 any new or amended class of securities. Provide copies of all       
 constituent instruments defining the rights of the holders of any   
 new or amended class of securities for the current reporting        
 period. If the Registrant has issued a new class of securities      
 other than short-term paper, furnish a description of the class     
 called for by the applicable item of Form N-2. If the constituent   
 instruments defining the rights of the holders of any class of the  
 Registrant's securities have been materially modified during the    
 reporting period, give the title of the class involved and state    
 briefly the general effect of the modification upon the rights of   
 the holders of such securities.                                     
 9. Item G.1.b.iii. New or amended investment advisory contracts.    
 Provide copies of any new or amended investment advisory contracts  
 that became effective during the reporting period.                  
 10. Item G.1.b.iv. Information called for by Item 405 of Regulation 
 S-K. Provide the information called for by Item 405 of Regulation   
 S-K concerning failure of certain closed-end management investment  
 company and small business investment company shareholders to file  
 certain ownership reports.                                          
 11. Item G.1.b.v. Code of ethics (small business investment         
 companies only).                                                    
 (a) (1) Disclose whether, as of the end of the period covered by    
 the report, the Registrant has adopted a code of ethics that        
 applies to the Registrant's principal executive officer, principal  
 financial officer, principal accounting officer or controller, or   
 persons performing similar functions, regardless of whether these   
 individuals are employed by the Registrant or a third party. If the 
 Registrant has not adopted such a code of ethics, explain why it    
 has not done so.                                                    
 (2) For purposes of this instruction, the term "code of ethics"     
 means written standards that are reasonably designed to deter       
 wrongdoing and to promote: (i) honest and ethical conduct,          
 including the ethical handling of actual or apparent conflicts