PINIX
International Equity Fund
Principal Funds, Inc

Portfolio concentration

As of January 31, 2026 · N-PORT
Holdings
49
Top-10 weight
37.16%
Effective holdings ?
37
Crowding ?
449.6

Holdings

As of January 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 SAMSUNG ELECTRONICS CO LTD 3,178,493 $351.14M 4.98%
2 ASML Holding NV 216,395 $310.29M 4.40%
3 DEUTSCHE TELEKOM 7,720,102 $259.07M 3.67%
4 AIA Group Ltd 21,850,000 $252.09M 3.57%
5 Teck Resources Ltd 4,667,706 $250.52M 3.55%
6 AIB GROUP PLC 22,210,263 $248.27M 3.52%
7 TENCENT HOLDINGS LTD 3,120,700 $239.86M 3.40%
8 Suncor Energy Inc 4,528,816 $239.37M 3.39%
9 Yum China Holdings Inc 4,791,780 $238.26M 3.38%
10 ERSTE GROUP BANK 1,819,690 $236.58M 3.35%
11 SOMPO HOLDINGS I 6,712,300 $231.47M 3.28%
12 TAIWAN SEMIC MFG CO LTD SP ADR 695,500 $229.90M 3.26%
13 ASTRAZENECA PLC 1,127,762 $210.12M 2.98%
14 BRITISH AMERICAN TOBACCO PLC 3,331,083 $201.24M 2.85%
15 HALEON PLC 37,778,883 $197.58M 2.80%
16 BAE SYSTEMS PLC 6,863,523 $186.32M 2.64%
17 FUJITSU LTD 6,431,400 $178.70M 2.53%
18 ICON PLC 971,391 $175.09M 2.48%
19 Airbus SE 757,244 $173.37M 2.46%
20 NATL BANK GREECE 9,621,778 $169.87M 2.41%
21 HANNOVER RUECK S 549,578 $155.39M 2.20%
22 UNICREDIT SPA 1,687,127 $147.03M 2.08%
23 TRIP.COM GROUP L 2,165,150 $132.89M 1.88%
24 NATWEST GROUP PLC 14,357,228 $130.86M 1.85%
25 CRH PLC 1,017,847 $124.23M 1.76%
26 Sanofi SA 1,282,445 $120.97M 1.71%
27 NINTENDO CO LTD 1,927,800 $119.38M 1.69%
28 Smith & Nephew PLC 6,834,150 $116.48M 1.65%
29 HOYA CORP 683,700 $114.69M 1.63%
30 REXEL SA 2,655,544 $111.28M 1.58%
31 Principal Government Money Market Fund - Class R-6 110,217,138 $110.22M 1.56%
32 OBAYASHI CORP 4,051,700 $91.46M 1.30%
33 ARGENX SE 106,523 $89.58M 1.27%
34 ENTAIN PLC 10,457,470 $86.76M 1.23%
35 LIBERTY MEDIA CORP LIBERTY FORMULA ONE CL C 890,939 $77.53M 1.10%
36 HDFC BANK LTD SPON ADR 2,224,370 $72.03M 1.02%
37 ARC Resources Ltd 3,823,400 $70.96M 1.01%
38 Spotify Technology SA 140,515 $70.31M 1.00%
39 Dollarama Inc 516,724 $69.64M 0.99%
40 GALAXY ENTERTAIN 13,667,000 $69.44M 0.98%
41 PRADA SPA 13,212,100 $67.55M 0.96%
42 NICE SYSTEM LTD SPONSORED ADR NICE 607,218 $64.61M 0.92%
43 GAZTRANSPORT 298,888 $64.40M 0.91%
44 CRH PLC 457,824 $56.04M 0.79%
45 SAMSONITE INTL 21,715,800 $55.17M 0.78%
46 Ascendis Pharma A/S 193,635 $43.78M 0.62%
47 TSMC 744,000 $41.14M 0.58%
48 CSG NV 280,089 $10.14M 0.14%
49 BlackRock Liquidity FedFund - Institutional Class TFDXX 1,408,781 $1.41M 0.02%
50 EVRAZ 204,000 $0 0.00%
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