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Principal Financial Group Inc (PFG)

Principal Financial Group Inc (PFG)
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[[ session ]] by (Cboe BZX)
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Balance Sheet for [[ item.sessionDateDisplayLong ]]

Fiscal Year End Date: 12/31

(Values in U.S. thousands)
  12-2025 12-2024 12-2023 12-2022 12-2021
Assets
Total Investments 110,901,500 103,375,800 98,320,400 95,135,410 108,905,900
Cash & Cash Equivalents 4,431,000 4,211,900 4,707,700 4,848,000 2,332,000
Accrued Investment Income 870,900 828,600 786,200 742,100 695,800
Premiums Receivable 22,894,600 23,261,600 24,610,500 25,376,000 1,842,400
Deferred Policy Acquisition Costs 4,071,600 4,006,900 3,950,500 3,948,000 3,757,500
PPE Net 701,400 769,400 938,400 996,100 1,038,000
Intangibles 2,867,500 2,939,600 3,078,300 3,131,500 3,228,200
Separate Account Assets 193,622,600 173,327,100 167,605,600 155,375,100 182,345,400
Other assets 333,376,600 305,742,700 296,322,300 281,891,400 298,059,000
Total Assets $341,376,500 $313,663,600 $305,046,700 $290,867,000 $304,657,200
Liabilities
Future Policy Benefits 51,749,700 48,179,400 46,826,500 43,314,000 43,948,100
Policyholder Funds 46,321,100 44,066,000 42,417,900 43,736,800 44,669,000
Long Term Debt 3,926,300 3,955,300 3,930,900 3,997,000 4,280,200
Separate Account Liabilities 193,622,600 173,327,100 167,605,600 155,375,100 182,345,400
Other liabilities 325,533,200 298,577,000 290,154,100 276,852,200 284,251,200
Total Liabilities $329,459,500 $302,532,300 $294,085,000 $280,849,200 $288,531,400
Shareholders' Equity
Shares Outstanding, K 216,835 225,571 235,869 243,104 261,228
Common Shares 5,000 4,900 4,900 4,900 4,800
Additional Paid Capital 11,275,400 11,100,900 10,908,600 10,740,400 10,495,000
Retained earnings 18,071,300 17,583,500 16,683,500 16,697,300 12,884,500
Treasury Shares 13,279,000 12,378,000 11,336,000 10,587,000 8,926,000
Other shareholders' equity -4,155,700 -5,180,000 -5,299,300 -6,837,800 1,667,500
TOTAL $11,917,000 $11,131,300 $10,961,700 $10,017,800 $16,125,800
Total Liabilities And Equity $341,376,500 $313,663,600 $305,046,700 $290,867,000 $304,657,200
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