PRINCIPAL FINANCIAL GROUP INC Q1 2022 Filing

Filed May 9, 2022

Portfolio Value

$158.6B

Holdings

2,539

Report Date

Q1 2022

Filing Type

13F-HR

All Holdings (2,539 positions)

#StockSharesValue% PortfolioType
601
YORWYORK WTR CO
11,216$504.0M0.32%
602
S9QSPIRIT AEROSYSTEMS HLDGS INC
10,315$504.0M0.32%
603
ONTOONTO INNOVATION INC
356,155$503.5M0.32%
604
EXPEAGLE MATLS INC
137,081$503.1M0.32%
605
CMCSACOMCAST CORP NEW
10,745,332$503.1M0.32%
606
DEDEERE & CO
1,210,905$503.1M0.32%
607
VMIVALMONT INDS INC
72,142$501.7M0.32%
608
MTZMASTEC INC
199,965$500.9M0.32%
609
CHGGCHEGG INC
13,773$500.0M0.32%
610
HXLHEXCEL CORP NEW
285,266$499.5M0.31%
611
7SUSUMMIT MATLS INC
6,577,408$498.0M0.31%
612
AXTAAXALTA COATING SYS LTD
20,279$498.0M0.31%
613
UPWKUPWORK INC
21,427$498.0M0.31%
614
SSBUSDSOUTHSTATE CORPORATION
6,108$498.0M0.31%
615
CPECALLON PETE CO DEL
396,809$498.0M0.31%
616
WDFCWD 40 CO
233,210$497.3M0.31%
617
EQREQUITY RESIDENTIAL
431,131$496.3M0.31%
618
GKOSGLAUKOS CORP
322,993$496.2M0.31%
619
FWRDUSDFORWARD AIR CORP
201,006$495.2M0.31%
620
TCN1EURTRICON RESIDENTIAL INC
31,100$495.0M0.31%
621
AJRDEURAEROJET ROCKETDYNE HLDGS INC
506,127$494.4M0.31%
622
PGPROCTER AND GAMBLE CO
3,220,154$492.0M0.31%
623
VBVANGUARD INDEX FDS
2,312$491.0M0.31%
624
BWXTBWX TECHNOLOGIES INC
9,118$491.0M0.31%
625
FRCBFIRST REP BK SAN FRANCISCO C
3,020,900$489.7M0.31%
626
MURMURPHY OIL CORP
491,273$489.4M0.31%
627
CRUSCIRRUS LOGIC INC
194,807$489.0M0.31%
628
GIB/ACGI INC
6,138$489.0M0.31%
629
MZTILANCASTER COLONY CORP
68,704$488.8M0.31%
630
FUODOLBY LABORATORIES INC
6,237$488.0M0.31%
631
CHRDOASIS PETROLEUM INC
26,174$487.3M0.31%
632
HAEHAEMONETICS CORP MASS
182,315$487.1M0.31%
633
NMRKNEWMARK GROUP INC
96,232$487.0M0.31%
634
IDTIDT CORP
14,280$487.0M0.31%
635
FLOFLOWERS FOODS INC
674,655$485.9M0.31%
636
NVROEURNEVRO CORP
443,076$485.6M0.31%
637
NYCBEURNEW YORK CMNTY BANCORP INC
1,579,916$485.5M0.31%
638
SSFSENSIENT TECHNOLOGIES CORP
176,186$485.3M0.31%
639
HRUSDHEALTHCARE RLTY TR
5,906,938$485.0M0.31%
640
PINSPINTEREST INC
75,412$484.4M0.31%
641
RIVNRIVIAN AUTOMOTIVE INC
9,633$484.0M0.31%
642
SWXSOUTHWEST GAS HLDGS INC
887,589$480.1M0.30%
643
QSQUANTUMSCAPE CORP
24,032$480.0M0.30%
644
SHAKSHAKE SHACK INC
264,980$479.5M0.30%
645
DHILDIAMOND HILL INVT GROUP INC
2,560$479.0M0.30%
646
HIWHIGHWOODS PPTYS INC
461,563$478.7M0.30%
647
HIHILLENBRAND INC
899,914$477.3M0.30%
648
JBLUJETBLUE AWYS CORP
1,081,199$473.7M0.30%
649
RRRRED ROCK RESORTS INC
9,747$473.0M0.30%
650
DORMDORMAN PRODS INC
192,740$472.9M0.30%
651
AEOAMERICAN EAGLE OUTFITTERS IN
534,537$472.5M0.30%
652
NGVTINGEVITY CORP
161,819$471.9M0.30%
653
FLSFLOWSERVE CORP
443,001$470.4M0.30%
654
PYPLPAYPAL HLDGS INC
4,061,499$469.7M0.30%
655
1939900DBROOKFIELD INFRASTRUCTURE CO
1,179,061$469.6M0.30%
656
ALGTALLEGIANT TRAVEL CO
103,010$469.3M0.30%
657
HOUGHTON MIFFLIN HARCOURT CO
22,338$469.0M0.30%
658
ACLSAXCELIS TECHNOLOGIES INC
225,836$468.6M0.30%
659
EVTCEVERTEC INC
452,470$468.1M0.30%
660
SFMSPROUTS FMRS MKT INC
540,395$467.8M0.30%
661
IARTINTEGRA LIFESCIENCES HLDGS C
247,638$466.5M0.29%
662
SUXTD SYNNEX CORPORATION
466,110$465.7M0.29%
663
LEGLEGGETT & PLATT INC
454,117$465.4M0.29%
664
NEENEXTERA ENERGY INC
5,492,409$465.3M0.29%
665
ALAIR LEASE CORP
10,413$465.0M0.29%
666
IDXXIDEXX LABS INC
848,997$464.5M0.29%
667
MTNVAIL RESORTS INC
1,780,720$463.5M0.29%
668
RITMNEW RESIDENTIAL INVT CORP
149,588$463.2M0.29%
669
AWRAMER STATES WTR CO
304,017$462.6M0.29%
670
TMDXTRANSMEDICS GROUP INC
17,150$462.0M0.29%
671
WTTRSELECT ENERGY SVCS INC
53,895$462.0M0.29%
672
1LIFE HEALTHCARE INC
41,532$461.0M0.29%
673
VRAYQVIEWRAY INC
117,587$461.0M0.29%
674
PORPORTLAND GEN ELEC CO
1,203,999$460.0M0.29%
675
CMCCOMMERCIAL METALS CO
1,509,265$459.4M0.29%
676
QA4AGENTHERM INC
234,900$457.7M0.29%
677
IGTINTERNATIONAL GAME TECHNOLOG
407,389$457.6M0.29%
678
IEIINSIGHT ENTERPRISES INC
275,136$455.1M0.29%
679
AXSAXIS CAP HLDGS LTD
7,519$455.0M0.29%
680
MSBIMIDLAND STS BANCORP INC ILL
15,731$454.0M0.29%
681
TEXTEREX CORP NEW
306,763$453.5M0.29%
682
AGGISHARES TR
34,823$453.3M0.29%
683
HEHAWAIIAN ELEC INDUSTRIES
371,408$451.3M0.28%
684
HRBBLOCK H & R INC
748,959$450.1M0.28%
685
VRRMVERRA MOBILITY CORP
27,637$450.0M0.28%
686
AVGOBROADCOM INC
714,025$449.6M0.28%
687
MPTMEDICAL PPTYS TRUST INC
21,232,075$448.8M0.28%
688
ICUIICU MED INC
77,725$447.9M0.28%
689
AMRCAMERESCO INC
5,612$446.0M0.28%
690
VRTVERTIV HOLDINGS CO
31,769$445.0M0.28%
691
ERIEERIE INDTY CO
2,520$444.0M0.28%
692
NIKOLA CORP
41,491$444.0M0.28%
693
MDTMEDTRONIC PLC
4,001,148$443.9M0.28%
694
HDHOME DEPOT INC
1,478,714$442.6M0.28%
695
VNTVONTIER CORPORATION
575,349$442.2M0.28%
696
SIGISELECTIVE INS GROUP INC
216,383$440.9M0.28%
697
REGREGENCY CTRS CORP
6,174,663$440.5M0.28%
698
COKECOCA COLA CONS INC
33,285$440.1M0.28%
699
XOMEXXON MOBIL CORP
5,325,504$439.8M0.28%
700
AAONAAON INC
281,144$439.2M0.28%
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