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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)
  03-2018 12-2017 09-2017 06-2017 03-2017
Assets
Total Investments 81,952,800 82,102,700 81,203,400 79,050,500 77,812,000
Cash & Cash Equivalents 2,335,700 2,470,800 2,795,000 2,006,400 1,534,700
Equity Investments N/A N/A 118,300 103,700 114,000
Accrued Investment Income 636,000 610,600 634,600 605,400 625,200
Premiums Receivable 1,638,400 1,469,800 1,516,600 1,381,400 1,447,000
Deferred Policy Acquisition Costs 3,467,900 3,540,700 3,481,400 3,452,200 3,430,800
PPE Net 775,200 759,500 754,600 750,300 718,800
Intangibles 2,489,100 2,383,500 2,369,900 2,344,600 2,355,500
Separate Account Assets 158,819,200 159,272,700 154,085,900 149,347,900 146,374,700
Other assets 248,036,500 248,327,400 242,014,100 235,052,600 230,887,000
Total Assets $253,636,500 $253,941,200 $247,933,600 $240,153,900 $235,496,000
Liabilities
Future Policy Benefits 33,266,500 33,019,300 32,129,100 30,500,400 29,690,500
Policyholder Funds 39,175,100 39,004,800 39,134,800 39,144,500 38,996,800
Long Term Debt 3,196,600 3,178,400 3,175,400 3,126,800 3,126,200
Separate Account Liabilities 158,819,200 159,272,700 154,085,900 149,347,900 146,374,700
Other liabilities 238,184,100 237,840,900 232,690,900 225,789,100 221,684,900
Total Liabilities $241,380,700 $241,019,300 $235,866,300 $228,915,900 $224,811,100
Shareholders' Equity
Shares Outstanding, K 286,386 289,657 288,755 288,961 288,218
Common Shares 4,700 4,700 4,700 4,700 4,700
Additional Paid Capital 9,981,800 9,925,200 9,886,800 9,845,100 9,780,500
Retained earnings 9,598,300 9,482,900 8,784,600 8,112,200 7,937,400
Treasury Shares 6,929,000 6,729,000 6,727,000 6,678,000 6,651,000
Other shareholders' equity -400,000 238,100 118,200 -46,000 -386,700
TOTAL $12,255,800 $12,921,900 $12,067,300 $11,238,000 $10,684,900
Total Liabilities And Equity $253,636,500 $253,941,200 $247,933,600 $240,153,900 $235,496,000
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