PGBHX
Blue Chip Fund
Principal Funds, Inc

Portfolio moves

Net position changes between two of this fund's N-PORT snapshots. These are differences between point-in-time reports — not a trade log — and share counts can be affected by splits and other corporate actions.

Nov 30, 2025 → Feb 28, 2026

Expand a category to see the positions behind it, ranked by weight.

Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
GENERAL ELECTRIC CO 0 279,755 279,755 1.12% $95.75M
S&P GLOBAL INC 0 91,895 91,895 0.48% $40.61M
Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
ROPER TECHNOLOGIES INC 395,844 0 -395,844 0.00% -$176.63M
SHERWIN WILLIAMS CO 111,891 0 -111,891 0.00% -$38.46M
Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
META PLATFORMS INC CL A 454,127 592,512 138,385 4.51% $89.80M
ALPHABET INC CL C 629,123 1,066,420 437,297 3.90% $130.72M
MOODYS CORP 100,421 192,198 91,777 1.08% $42.51M
CONSTELLATION SOFTWARE INC 23,761 35,979 12,218 0.79% $9.01M
INTUITIVE SURGICAL INC 74,476 104,302 29,826 0.62% $9.81M
BlackRock Liquidity FedFund - Institutional Class 24,556 1,401,586 1,377,030 0.02% $1.38M
Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
MICROSOFT CORP 3,182,219 3,159,166 -23,053 14.56% -$324.95M
AMAZON.COM INC 5,260,416 4,840,226 -420,190 11.93% -$210.39M
NVIDIA CORP 4,304,179 4,242,671 -61,508 8.82% -$10.08M
BROOKFIELD CORP CL A 15,282,559 14,331,868 -950,691 7.37% -$89.97M
TRANSDIGM GROUP INC 417,156 324,791 -92,365 4.97% -$144.27M
MASTERCARD INC CL A 846,602 809,981 -36,621 4.92% -$47.15M
VISA INC-CLASS A 1,265,176 1,219,528 -45,648 4.58% -$32.71M
BROADCOM INC 1,212,030 1,136,159 -75,871 4.26% -$125.34M
CADENCE DESIGN SYSTEMS INC 1,374,505 1,098,520 -275,985 3.89% -$97.53M
DANAHER CORP 1,625,530 1,486,759 -138,771 3.68% -$55.47M
NETFLIX INC 3,051,819 2,901,589 -150,230 3.28% -$49.07M
ALPHABET INC CL A 724,437 678,587 -45,850 2.48% -$20.39M
KKR & CO INC 1,824,413 1,762,980 -61,433 1.81% -$68.57M
AMPHENOL CORPORATION CL A 833,711 764,497 -69,214 1.31% -$5.81M
COSTAR GROUP INC 2,298,513 2,107,352 -191,161 1.10% -$64.09M
HEICO CORP CL A 679,499 332,389 -347,110 0.94% -$88.01M
HILTON WORLDWIDE HOLDINGS INC 640,850 242,049 -398,801 0.89% -$107.20M
COSTCO WHOLESALE CORP 91,880 73,376 -18,504 0.87% -$9.77M
SCHWAB CHARLES CORP 977,728 757,573 -220,155 0.85% -$18.54M
O'REILLY AUTOMOTIVE INC 1,223,516 689,045 -534,471 0.76% -$59.74M
ARTHUR J GALLAGHAR AND CO 289,660 270,484 -19,176 0.72% -$10.00M
LINDE PLC 232,112 112,902 -119,210 0.67% -$37.88M
VEEVA SYSTEMS-A 308,591 307,622 -969 0.66% -$18.16M
AIRBNB INC CLASS A 790,126 412,701 -377,425 0.65% -$36.68M
IDEXX LABS INC 96,782 59,468 -37,314 0.46% -$33.81M
VULCAN MATERIALS CO 362,720 114,237 -248,483 0.42% -$72.40M
BROOKFIELD ASSET MANAGEMENT LTD A 604,742 545,063 -59,679 0.30% -$6.41M
COPART INC 3,465,416 417,655 -3,047,761 0.19% -$119.17M
MSCI INC 116,801 17,873 -98,928 0.12% -$55.62M
Brookfield Wealth Solutions Ltd 85,339 79,935 -5,404 0.04% -$457.61K
ZOETIS INC CL A 1,124,622 401 -1,124,221 0.00% -$144.10M
Principal Government Money Market Fund - Class R-6 9,124,507 4,355 -9,120,152 0.00% -$9.12M

No positions in this category.

Machine-readable: JSON · Markdown. Programmatic access via the agent surface.