Company: PRIF-PJ
Filing Date: 2025-03-26
Form Type: N-2
Source: 0001554625-25-000027
Chunk: 33

Company: Priority Income Fund, Inc.
Filing Date: 2025-03-26
Form: N-2
Chunk 33
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5, reflected in the following table. Common stockholders of record as of the close of business on each respective record date will be entitled to receive the distributions.

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| Record Date                                                                                      |     | Payment Date   |     | Total Amount per Share(a)(b) |         |
|:-------------------------------------------------------------------------------------------------|:----|:---------------|:----|:-----------------------------|--------:|
| March 13, 2025                                                                                   |     | March 31, 2025 |     | $                            | 0.10473 |
| April 3, 2025                                                                                    |     | April 28, 2025 |     | $                            | 0.10473 |
| May 5, 2025                                                                                      |     | May 30, 2025   |     | $                            | 0.12487 |
| (a)Total amount per share represents the total distribution rate for the record dates indicated. |     |                |     |                              |         |
| (b)Includes bonus distributions.                                                                 |     |                |     |                              |         |

On March 17, 2025, in connection with our monthly net asset value determination process, we announced that the net asset value as of February 28, 2025 is $9.54 per share of our common stock. In connection with our updated net asset value, we also announced a change in the public offering prices of our common stock as follows: $10.23 per share designated as “Class R,” $9.62 per share designated as “Class RIA,” and $9.54 per share designated as “Class I” from $10.29 per share designated as “Class R,” $9.67 per share designated as “Class RIA,” and $9.60 per share designated as “Class I.” Although we use “Class” designations to indicate our differing sales load structures, the Company does not operate as a multi-class fund. The change in the public offering price was effective as of our March 3, 2025 monthly closing and applied to subscriptions received from January 29, 2025 through February 25, 2025. On March 21, 2025, we made an offer to purchase up to $14,466,256 in aggregate amount of our issued and outstanding shares of common stock. The offer began on March 28, 2025 and expires at 4:00 p.m., Eastern