SAIPX
SAM Conservative Balanced Portfolio
Principal Funds, Inc
Fund of funds

Portfolio concentration

As of January 31, 2026 · N-PORT
Holdings
28
Top-10 weight
69.54%
Effective holdings ?
12
Crowding ?
24.4

Holdings

As of January 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 Core Fixed Income Fund PICNX 47,716,344 $416.56M 22.13%
2 Principal U.S. Mega-Cap ETF 2,128,648 $144.17M 7.66%
3 Bond Market Index Fund PNIIX 13,622,235 $116.47M 6.19%
4 Finisterre Emerging Markets Total Return Bond Fund PFUMX 11,598,110 $114.13M 6.06%
5 Equity Income Fund PEIIX 2,369,474 $100.42M 5.33%
6 High Yield Fund PHYFX 13,406,620 $89.96M 4.78%
7 Principal Capital Appreciation Fund PWCIX 1,023,934 $89.36M 4.75%
8 Principal Government Money Market Fund - Class R-6 88,128,258 $88.13M 4.68%
9 Global Emerging Markets Fund PIIMX 2,049,616 $76.20M 4.05%
10 International Equity Index Fund PFIEX 4,913,338 $71.88M 3.82%
11 Principal International Equity ETF 2,065,178 $71.35M 3.79%
12 Inflation Protection Fund PIPIX 9,216,560 $71.06M 3.77%
13 Short-Term Income Fund PSHIX 5,380,244 $65.48M 3.48%
14 Overseas Fund PINZX 5,210,284 $64.40M 3.42%
15 Spectrum Preferred and Capital Securities Income Fund PPREX 4,937,136 $46.31M 2.46%
16 Principal U.S. Small-Cap ETF 666,700 $40.04M 2.13%
17 Government & High Quality Bond Fund PMRIX 4,304,438 $39.56M 2.10%
18 LargeCap S&P 500 Index Fund PLFIX 811,961 $26.66M 1.42%
19 Blue Chip Fund PGBHX 587,536 $24.24M 1.29%
20 Diversified Real Asset Fund PDARX 1,728,832 $22.39M 1.19%
21 Small-MidCap Dividend Income Fund PMDHX 1,018,502 $21.71M 1.15%
22 Global Macro Fund PAFIX 1,881,678 $19.38M 1.03%
23 LargeCap Value Fund III PLVIX 1,081,635 $19.22M 1.02%
24 LargeCap Growth Fund I PLCGX 845,007 $13.20M 0.70%
25 Real Estate Securities Fund PFRSX 361,323 $10.23M 0.54%
26 Global Listed Infrastructure Fund PGSLX 756,829 $9.24M 0.49%
27 MidCap Fund PMAQX 185,345 $7.90M 0.42%
28 US ULTRA BOND CBT Sep25 106 $78.62K 0.00%
29 US ULTRA BOND CBT Sep25 79 $70.21K 0.00%
30 US ULTRA BOND CBT Sep25 75 $62.69K 0.00%
31 US ULTRA BOND CBT Sep25 31 -$4.68K -0.00%
32 US ULTRA BOND CBT Sep25 50 -$24.15K -0.00%
33 US ULTRA BOND CBT Sep25 34 -$28.21K -0.00%
34 US ULTRA BOND CBT Sep25 31 -$347.42K -0.02%

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