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PGZ

Principal Real Estate Income Fund
$10.25 -0.12 (-1.16%) At close · Jul 8
Market Cap
$68.58M
Shares
6,694,109

Options Calculator

Theoretical estimate

Estimate what a long-dated option on PGZ could return if you hold it and the stock reaches a target price. Premiums are theoretical Black-Scholes-Merton values — tune the inputs to match your broker, then compare each strike's return against simply holding the shares.

Holding period

2.00 years

Implied volatility (%)

1-year realized volatility. Implied vol usually differs — adjust to your broker's number.Market-wide VIX 16.9.

Risk-free rate (%)

Latest SOFR (2026-07-07) — an overnight rate, a rough proxy over years.

Dividend per share

Annualizes to a 12.29% yield. Most recent $0.11 ex-date 2026-06-15; frequency detected — adjust if it's wrong.

Recent payouts
  • 2026-06-15 $0.11
  • 2026-05-14 $0.11
  • 2026-04-16 $0.11
  • 2026-03-17 $0.11
  • 2026-02-12 $0.11
  • 2026-01-15 $0.11
  • 2025-12-16 $0.11
  • 2025-11-07 $0.11
  • 2025-10-17 $0.11
  • 2025-09-16 $0.11
  • 2025-08-15 $0.11
  • 2025-07-17 $0.11
Target price at horizon

Spot $10.25 on 2026-07-08.

Best strike
Highest estimated return
Return at target
annualized
Breakeven
Stock price to break even
Hold the stock
annualized, with dividends

Return by strike at your target price

Strike ladder

Strike Moneyness Premium Breakeven Value at target Return Annualized Max loss

Per share; one contract = 100 shares. Premiums are theoretical Black-Scholes-Merton estimates — real options are American-style and priced off an implied-volatility smile, so use your broker's quote for the actual premium. Not investment advice.

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Key facts CIK 1557523 CUSIP 74255X104 13F (30d) 4 filings 2 filers Visit website