PEIIX
Equity Income Fund
Principal Funds, Inc

Portfolio concentration

As of January 31, 2026 · N-PORT
Holdings
64
Top-10 weight
28.45%
Effective holdings ?
49
Crowding ?
1234.2

Holdings

As of January 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 ALPHABET INC CL A 974,198 $329.28M 4.08%
2 JPMORGAN CHASE and CO 890,255 $272.32M 3.37%
3 COSTCO WHOLESALE CORP 249,621 $234.71M 2.91%
4 MORGAN STANLEY 1,204,993 $220.27M 2.73%
5 DR HORTON INC 1,440,181 $214.36M 2.65%
6 PNC FINANCIAL SERVICES GRP INC 945,960 $211.23M 2.62%
7 TAIWAN SEMIC MFG CO LTD SP ADR 632,916 $209.22M 2.59%
8 CUMMINS INC 358,105 $207.28M 2.57%
9 HILTON WORLDWIDE HOLDINGS INC 691,622 $206.46M 2.56%
10 KKR & CO INC 1,759,419 $201.03M 2.49%
11 PACCAR INC 1,589,707 $195.39M 2.42%
12 CHUBB LTD 628,440 $194.54M 2.41%
13 COCA-COLA CO/THE 2,594,012 $194.06M 2.40%
14 PARKER HANNIFIN CORP 206,550 $193.30M 2.39%
15 TRANE TECHNOLOGI 439,242 $184.74M 2.29%
16 APPLE INC 703,899 $182.65M 2.26%
17 BANK OF AMERICA CORPORATION 3,423,458 $182.13M 2.26%
18 BLACKROCK INC 162,186 $181.48M 2.25%
19 T-MOBILE US INC 915,517 $180.55M 2.24%
20 MERCK & CO 1,583,862 $174.65M 2.16%
21 DEERE & CO 309,311 $163.32M 2.02%
22 CORTEVA INC 2,209,572 $160.86M 1.99%
23 Novartis AG 1,040,157 $154.65M 1.92%
24 BROADCOM INC 449,854 $149.04M 1.85%
25 NEXTERA ENERGY INC 1,635,439 $143.76M 1.78%
26 PROCTER & GAMBLE 922,737 $140.04M 1.73%
27 HCA HEALTHCARE INC 281,474 $137.44M 1.70%
28 EOG RESOURCES INC 1,222,319 $137.06M 1.70%
29 Enterprise Products Partners LP 4,124,686 $136.90M 1.70%
30 MICROSOFT CORP 311,817 $134.17M 1.66%
31 RELIANCE STEEL and ALUMINUM CO 397,101 $130.84M 1.62%
32 MARATHON PETROLEUM CORP 738,382 $130.10M 1.61%
33 Principal Government Money Market Fund - Class R-6 124,471,480 $124.47M 1.54%
34 ABBOTT LABS 1,094,462 $119.62M 1.48%
35 MONOLITHIC POWER SYS INC 97,697 $109.83M 1.36%
36 EXPEDITORS INTL OF WASH INC 680,696 $109.28M 1.35%
37 PROLOGIS INC REIT 818,606 $106.88M 1.32%
38 STERIS PLC 386,852 $101.59M 1.26%
39 SAP SE 490,054 $98.52M 1.22%
40 FIDELITY NATIONAL FINL INC 1,810,803 $98.49M 1.22%
41 EQUITY LIFESTYLE PPTYS INC 1,540,077 $97.29M 1.20%
42 CHEVRON CORP 525,912 $93.03M 1.15%
43 STARBUCKS CORP 1,007,905 $92.68M 1.15%
44 WILLIAMS-SONOMA INC 427,494 $87.49M 1.08%
45 XCEL ENERGY INC 1,099,231 $83.61M 1.04%
46 Publicis Groupe SA 3,219,267 $80.77M 1.00%
47 WEC ENERGY GROUP INC 724,255 $80.15M 0.99%
48 ASTRAZENECA PLC SPONS ADR 863,048 $80.06M 0.99%
49 NASDAQ INC 816,469 $79.11M 0.98%
50 LILLY ELI and CO 76,260 $79.09M 0.98%
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