StockScan > Holders > Principal Financial Group

Principal Financial Group's Portfolio and 13F Filing

Value: $142.88B
CIK: 0001126328
Phone: 515-248-2153
Address: 711 High Street, Des Moines, IA (50392)
Latest 13F Filing:
Principal Financial Group's Stock Holdings & 13F Form
# Stock Name Symbol Current Price

Previous Holdings

(# Shares)

Current Holdings

(# Shares)

Current Value Percent
81 Pepsico, Inc. PEP $175.15 2,522,398

2,522,398

up arrow 0

$441,798,010 0.31%
82 Verizon Communications Inc. VZ $39.20 11,241,877

11,241,877

up arrow 0

$440,681,578 0.31%
83 Liberty Media Corporation - Ser FWONK $70.33 5,877,593

5,877,593

up arrow 0

$413,371,116 0.29%
84 EOG Resources, Inc. EOG $129.95 3,157,496

3,157,496

up arrow 0

$410,316,605 0.29%
85 Discover Financial Services DFS $123.58 3,286,042

3,286,042

up arrow 0

$406,089,070 0.28%
86 Thermo Fisher Scientific Inc TMO $574.99 706,074

706,074

up arrow 0

$405,985,489 0.28%
87 Guidewire Software, Inc. GWRE $110.80 3,654,019

3,654,019

up arrow 0

$404,865,305 0.28%
88 Sun Communities, Inc. SUI $112.78 3,582,420

3,582,420

up arrow 0

$404,025,328 0.28%
89 Charles Schwab Corporation (The SCHW $74.57 5,405,091

5,405,091

up arrow 0

$403,057,636 0.28%
90 Hyatt Hotels Corporation Class H $149.01 2,704,254

2,704,254

up arrow 0

$402,960,889 0.28%
91 Copart, Inc. CPRT $54.44 7,239,476

7,239,476

up arrow 0

$394,117,073 0.28%
92 PACCAR Inc. PCAR $106.34 3,672,543

3,672,543

up arrow 0

$390,538,223 0.27%
93 Morgan Stanley MS $91.54 4,117,183

4,117,183

up arrow 0

$376,886,932 0.26%
94 Oracle Corporation ORCL $114.63 3,234,603

3,234,603

up arrow 0

$370,782,542 0.26%
95 Taiwan Semiconductor Manufactur TSM $134.94 2,738,396

2,738,396

up arrow 0

$369,519,156 0.26%
96 CoreSite Realty Corporation COR $229.20 1,583,459

1,583,459

up arrow 0

$362,928,803 0.25%
97 iShares Core S&P 500 ETF IVV $502.86 710,959

710,959

up arrow 0

$357,512,843 0.25%
98 Air Products and Chemicals, Inc APD $237.49 1,489,053

1,489,053

up arrow 0

$353,635,197 0.25%
99 Comcast Corporation CMCSA $38.20 9,241,837

9,241,837

up arrow 0

$353,038,173 0.25%
100 Vail Resorts, Inc. MTN $191.17 1,844,076

1,844,076

up arrow 0

$352,532,009 0.25%