Principal Financial Group Inc (PFG)

Industry Asset Management

This stock can be held in an Investment ISA and an Investment Account
Sell

$71.16

Buy

$78.00

arrow-up$2.76 (+3.73%)

Principal Financial Group Inc is an investment management company. It offers a range of financial products and services, including retirement, asset management and insurance. The company receives maximum revenue in the form of premiums.
Prices updated at 03 May 2025, 00:55 EDT
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Prices in USD

Income statement

20172018201920202021202220232024
14,093m14,237m16,222m14,742m14,428m17,536m13,666m16,128m
--------
--------
--------
2,310m1,547m1,394m1,396m1,580m4,757m623m1,571m
--------
Sales, General and administrative--------
Interest expenses--------
Provision for income taxes-72m231m249m265m284m1,190m69m292m
Operating expenses--------
Income before taxes2,252m1,784m1,693m1,694m1,911m5,987m739m1,890m
Net income available to common shareholders2,310m1,547m1,394m1,396m1,580m4,757m623m1,571m
85.4155.086.3619.162.586.77
Net interest income--------
Advertising and promotion--------
Net investment income, net3,378m3,601m1,152m1,238m1,559m5,605m391m2,105m
Realised capital gains (losses), net--------
Total benefits, claims and expenses--------
Earnings per share (diluted)7.885.364.965.056.2718.852.556.68
Free cash flow per share14.968314.320420.513314.50149.452611.589715.845516.8567
Book value/share41.5141.863353.522157.266461.408938.793445.134849.6735
Debt equity ratio0.247360.2861810.2554450.2584230.2663570.3705730.3601040.35677

Balance sheet

20172018201920202021202220232024
Current assets--------
Current liabilities--------
Total capital16,028m14,650m18,352m20,838m20,350m13,999m14,847m15,042m
Total debt3,218m3,303m3,828m4,364m4,360m4,078m3,992m4,108m
Total equity12,849m11,390m14,618m16,559m16,069m10,002m10,916m11,086m
Total non current liabilities--------
Loans3,178m3,260m3,734m4,279m4,280m3,997m3,931m3,955m
Total assets253,941m243,036m276,088m296,628m304,657m292,240m305,047m313,664m
Total liabilities--------
Cash and cash equivalents2,471m2,978m2,516m2,850m2,332m4,848m4,708m4,212m
Common stock289m280m277m273m262m244m236m226m

Cash flow

20172018201920202021202220232024
Cash at beginning of period2,720m2,471m2,978m2,516m2,850m2,332m4,848m4,708m
Cash dividends paid-540m-599m-606m-614m-654m-642m-625m-658m
4,023m5,064m5,361m3,630m3,089m3,057m3,690m4,534m
Investments (gains) losses-4,053m-5,702m-7,688m-5,026m-5,658m1,059m-1,347m-5,399m
2,471m2,978m2,516m2,850m2,332m4,848m4,708m4,212m
Net income--------
4,188m5,157m5,493m3,739m3,219m3,173m3,792m4,603m
-165m-92m-132m-109m-130m-116m-102m-69m
The figures shown in the tables are quoted in the currency of the stock selected.
Please note that past performance is not a reliable indicator of future returns. Please use the interactive graph for benchmark comparison.


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