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N-2 - $ / shares
Feb. 07, 2025
Jan. 31, 2025
Cover [Abstract]    
Entity Central Index Key 0001554625  
Amendment Flag false  
Document Type 424B3  
Entity Registrant Name Priority Income Fund, Inc.  
General Description of Registrant [Abstract]    
Share Price [Table Text Block]
Net Asset Value
In connection with our monthly net asset value determination process, as provided in our valuation policies and procedures, we are announcing that the net asset value as of January 31, 2025 is $9.60 per share of our common stock.

Change in Public Offering Price
In connection with our updated net asset value, we are announcing a change in the public offering prices of our common stock as follows: $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” from $10.21 per share designated as “Class R,” $9.59 per share designated as “Class RIA,” and $9.52 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 is effective as of our February 3, 2025 monthly closing and applies to subscriptions received from December 27, 2024 through January 28, 2025.
 
NAV Per Share   $ 9.6