PRINCIPAL FINANCIAL GROUP INC Q1 2016 Filing

Filed May 10, 2016

Portfolio Value

$68.9B

Holdings

2,170

Report Date

Q1 2016

Filing Type

13F-HR

All Holdings (2,170 positions)

#StockSharesValue% PortfolioType
601
ENSENERSYS
468,780$371.8M0.54%
602
KMXCARMAX INC
7,268,006$371.4M0.54%
603
MORNMORNINGSTAR INC
4,201$371.0M0.54%
604
ARGO GROUP INTL HLDGS LTD
193,500$370.7M0.54%
605
UNFIUNITED NAT FOODS INC
167,943$370.4M0.54%
606
HCSGHEALTHCARE SVCS GRP INC
504,219$370.2M0.54%
607
ARANTERO RES CORP
14,895$370.0M0.54%
608
POLYONE CORP
284,191$369.2M0.54%
609
CALATLANTIC GROUP INC
252,071$368.1M0.53%
610
CRAY INC
287,124$365.7M0.53%
611
DOCUSDPHYSICIANS RLTY TR
4,253,019$364.7M0.53%
612
MTGMGIC INVT CORP WIS
47,166$362.0M0.53%
613
CALMCAL MAINE FOODS INC
507,075$362.0M0.53%
614
PDCEUSDPDC ENERGY INC
422,057$361.8M0.53%
615
HAEHAEMONETICS CORP
358,559$361.2M0.52%
616
MDPUSDMEREDITH CORP
127,570$360.7M0.52%
617
8CWCROWN CASTLE INTL CORP NEW
4,166,625$360.4M0.52%
618
AMEDAMEDISYS INC
201,802$360.4M0.52%
619
MB FINANCIAL INC NEW
481,681$360.3M0.52%
620
SNYDERS-LANCE INC
260,833$359.9M0.52%
621
BDNBRANDYWINE RLTY TR
223,568$359.8M0.52%
622
KMTKENNAMETAL INC
267,329$359.7M0.52%
623
HCQAMN HEALTHCARE SERVICES INC
338,812$359.0M0.52%
624
PLXSPLEXUS CORP
237,426$359.0M0.52%
625
MONOGRAM RESIDENTIAL TR INC
36,381$359.0M0.52%
626
SYNTEL INC
7,190$359.0M0.52%
627
CHEMTURA CORP
13,617$359.0M0.52%
628
BDCBELDEN INC
138,297$358.1M0.52%
629
GENERAL GROWTH PPTYS INC NEW
12,037,464$357.9M0.52%
630
LZBLA Z BOY INC
355,798$357.2M0.52%
631
CSGSCSG SYS INTL INC
232,354$357.1M0.52%
632
NEUSTAR INC
184,846$356.2M0.52%
633
GCI1EURGANNETT CO INC
819,417$356.1M0.52%
634
DLTRDOLLAR TREE INC
4,312,111$355.6M0.52%
635
MAGELLAN HEALTH INC
174,754$355.5M0.52%
636
UNFUNIFIRST CORP MASS
108,045$354.4M0.51%
637
ZBRAZEBRA TECHNOLOGIES CORP
169,646$354.4M0.51%
638
DREW INDS INC
172,874$353.8M0.51%
639
MPWRMONOLITHIC PWR SYS INC
258,666$353.1M0.51%
640
CALCALERES INC
1,142,195$353.0M0.51%
641
QLIK TECHNOLOGIES INC
12,184$352.0M0.51%
642
FCNFTI CONSULTING INC
139,980$351.6M0.51%
643
MARKET VECTORS ETF TR
14,000$351.0M0.51%
644
AKORN INC
267,578$350.0M0.51%
645
TRMKTRUSTMARK CORP
228,484$349.9M0.51%
646
WAGEWORKS INC
252,855$349.5M0.51%
647
VSHVISHAY INTERTECHNOLOGY INC
456,447$348.2M0.51%
648
TMUST MOBILE US INC
9,057$347.0M0.50%
649
GMEDGLOBUS MED INC
14,539$345.0M0.50%
650
STAMPS COM INC
106,476$345.0M0.50%
651
SMTCSEMTECH CORP
459,725$344.8M0.50%
652
LGNDLIGAND PHARMACEUTICALS INC
127,403$344.3M0.50%
653
NATIONAL PENN BANCSHARES INC
995,643$344.3M0.50%
654
BGCPEURBGC PARTNERS INC
1,164,426$344.2M0.50%
655
FLEETMATICS GROUP PLC
8,448$344.0M0.50%
656
GNRCGENERAC HLDGS INC
9,248$344.0M0.50%
657
JJSFJ & J SNACK FOODS CORP
104,177$342.9M0.50%
658
OISOIL STS INTL INC
174,615$342.2M0.50%
659
CHESAPEAKE LODGING TR
464,085$341.9M0.50%
660
SWIFT TRANSN CO
18,241$340.0M0.49%
661
WDFCWD-40 CO
94,761$339.9M0.49%
662
ROPROPER TECHNOLOGIES INC
1,859,185$339.8M0.49%
663
PGPROCTER & GAMBLE CO
4,125,002$339.5M0.49%
664
BLDTOPBUILD CORP
270,317$338.7M0.49%
665
FAIRCHILD SEMICONDUCTOR INTL
375,207$338.2M0.49%
666
VACMARRIOTT VACATIONS WRLDWDE C
471,166$337.5M0.49%
667
ALERE INC
6,650$337.0M0.49%
668
RDNRADIAN GROUP INC
27,198$337.0M0.49%
669
SBCSABRA HEALTH CARE REIT INC
1,100,886$336.8M0.49%
670
MLIMUELLER INDS INC
403,643$336.6M0.49%
671
DECKDECKERS OUTDOOR CORP
107,895$335.1M0.49%
672
CACCCREDIT ACCEP CORP MICH
1,845$335.0M0.49%
673
LPXLOUISIANA PAC CORP
471,205$334.7M0.49%
674
DORMDORMAN PRODUCTS INC
213,646$334.3M0.49%
675
OGM1COGENT COMMUNICATIONS HLDGS
290,032$334.0M0.48%
676
GCOGENESCO INC
155,785$333.9M0.48%
677
UVVUNIVERSAL CORP VA
161,971$333.9M0.48%
678
LIVNLIVANOVA PLC
141,326$333.3M0.48%
679
JBTJOHN BEAN TECHNOLOGIES CORP
205,925$333.3M0.48%
680
B7SBROOKDALE SR LIVING INC
20,945$333.0M0.48%
681
TSAACI WORLDWIDE INC
393,181$332.9M0.48%
682
COUSINS PPTYS INC
1,409,080$332.3M0.48%
683
ACHCACADIA HEALTHCARE COMPANY IN
6,022$332.0M0.48%
684
NUVAGBPNUVASIVE INC
347,420$331.6M0.48%
685
HNMORMAT TECHNOLOGIES INC
8,019$331.0M0.48%
686
CAMBREX CORP
390,290$328.9M0.48%
687
PLANTRONICS INC NEW
534,454$327.6M0.48%
688
GCP APPLIED TECHNOLOGIES INC
16,382$327.0M0.47%
689
TRITHOMSON REUTERS CORP
8,063$326.0M0.47%
690
PQ3PROVIDENT FINL SVCS INC
1,082,516$325.6M0.47%
691
MHMCGRAW HILL FINL INC
3,284,055$325.1M0.47%
692
SELECT INCOME REIT
14,100$325.0M0.47%
693
WF2WINTRUST FINL CORP
608,542$324.7M0.47%
694
KATE SPADE & CO
428,451$324.6M0.47%
695
BACVERIZON COMMUNICATIONS INC
5,994,813$324.2M0.47%
696
PINCPREMIER INC
9,717$324.0M0.47%
697
AGREURAVANGRID INC
8,080$324.0M0.47%
698
GILDGILEAD SCIENCES INC
3,521,954$323.5M0.47%
699
KNIGHT TRANSN INC
431,767$322.0M0.47%
700
IMPAX LABORATORIES INC
477,246$322.0M0.47%
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