N-2
N-2 | Oct. 02, 2023 |
Cover [Abstract] | |
Entity Central Index Key | 0001554625 |
Amendment Flag | false |
Document Type | 424B3 |
Entity Registrant Name | Priority Income Fund, Inc. |
Investors will not know the purchase price per share [Member] | |
General Description of Registrant [Abstract] | |
Risk [Text Block] | Investors will not know the purchase price per share at the time they submit their subscription agreements and could receive fewer shares than anticipated. We expect to report our NAV per share as of the last calendar day of the applicable month on our website generally within 15 business days of the last calendar day of the applicable month. Because subscriptions must be submitted at least four business days prior to the first day of the applicable month, you will not know the NAV per share at which you will be |