PPUSX Holdings — LargeCap Growth Fund I

All 220 reported holdings of LargeCap Growth Fund I (PPUSX) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
NVIDIA Corp12.82%$730.88M
Alphabet Inc - A Shares7.25%$413.48M
Apple Inc7.09%$404.40M
Microsoft Corp6.13%$349.77M
Broadcom Inc4.82%$274.76M
Alphabet Inc - C Shares3.16%$180.34M
Meta Platforms Inc3.10%$177.06M
Eli Lilly & Co2.61%$148.62M
Principal Funds, Inc - Government Money Market Fund - Class R-62.53%$144.00M
Howmet Aerospace Inc2.07%$117.99M
Micron Technology Inc1.83%$104.23M
Amazon.com Inc1.71%$97.76M
Advanced Micro Devices Inc1.62%$92.17M
Visa Inc1.44%$82.01M
GE Vernova Inc1.40%$79.62M
Tesla Inc1.38%$78.50M
Taiwan Semiconductor Manufacturing Co Ltd1.36%$77.83M
Ascendis Pharma A/S1.33%$75.70M
Axon Enterprise Inc1.24%$70.56M
Snowflake Inc - Class A1.23%$70.24M
Western Digital Corp1.14%$65.16M
Comfort Systems USA Inc1.07%$61.13M
Arista Networks Inc0.99%$56.40M
Halozyme Therapeutics Inc0.64%$36.56M
Applied Materials Inc0.64%$36.27M
Quanta Services Inc0.64%$36.22M
ServiceNow Inc0.63%$35.74M
Sandisk Corp0.58%$33.28M
Citigroup Inc0.58%$33.28M
Lam Research Corp0.57%$32.61M
Garmin Ltd0.57%$32.39M
Morgan Stanley0.55%$31.25M
Gilead Sciences Inc0.54%$30.72M
Nebius Group NV0.52%$29.78M
CSX Corp0.52%$29.75M
Jabil Inc0.52%$29.50M
API Group Corp0.51%$29.23M
Cloudflare Inc0.51%$28.85M
Palantir Technologies Inc0.49%$27.76M
Phillips 660.48%$27.43M
FTAI Aviation Ltd0.48%$27.09M
Marriott International Inc/MD0.46%$26.51M
ITT Inc0.42%$23.77M
Amphenol Corp0.40%$22.62M
Ross Stores Inc0.39%$22.07M
Cardinal Health Inc0.38%$21.63M
ASML Holding NV - NY Reg Shares0.38%$21.54M
EMCOR Group Inc0.37%$21.08M
AppLovin Corp0.37%$20.84M
NetApp Inc0.36%$20.61M
MSCI Inc0.35%$19.98M
Advanced Energy Industries Inc0.35%$19.68M
Talen Energy Corp0.34%$19.22M
Rubrik Inc0.33%$18.56M
Caterpillar Inc0.32%$18.43M
Ciena Corp0.32%$18.31M
iShares Russell Top 200 Growth ETF0.31%$17.74M
Space Exploration Technologies Corp0.27%$15.64M
Landstar System Inc0.27%$15.56M
QXO Inc0.27%$15.15M
MongoDB Inc0.27%$15.15M
Murphy USA Inc0.27%$15.15M
Powell Industries Inc0.26%$14.76M
Oracle Corp0.26%$14.58M
Fabrinet0.25%$14.10M
Bank of America Corp0.24%$13.41M
Sea Ltd0.23%$13.26M
CH Robinson Worldwide Inc0.23%$13.23M
Mastercard Inc0.23%$13.01M
Lumentum Holdings Inc0.23%$12.90M
Elastic NV0.23%$12.84M
Everus Construction Group Inc0.22%$12.82M
General Electric Co0.22%$12.60M
Expedia Group Inc0.21%$12.21M
Vertiv Holdings Co0.21%$12.18M
Twilio Inc0.21%$11.97M
H&R Block Inc0.20%$11.48M
HEICO Corp - Class A0.20%$11.19M
Natera Inc0.19%$11.05M
HF Sinclair Corp0.19%$10.86M
Crowdstrike Holdings Inc0.18%$10.44M
Novo Nordisk A/S0.18%$10.29M
Keysight Technologies Inc0.18%$10.25M
Alnylam Pharmaceuticals Inc0.18%$10.03M
Travel + Leisure Co0.18%$10.00M
Gen Digital Inc0.17%$9.86M
Palo Alto Networks Inc0.17%$9.66M
Ally Financial Inc0.17%$9.62M
Waymo LLC Series A-20.17%$9.56M
Johnson & Johnson0.17%$9.47M
Astera Labs Inc0.17%$9.44M
Seagate Technology Holdings PLC0.16%$9.39M
Cummins Inc0.16%$9.31M
GFL Environmental Inc0.16%$9.03M
Uber Technologies Inc0.16%$9.00M
KLA Corp0.15%$8.63M
Netflix Inc0.15%$8.45M
Forgent Power Solutions Inc0.15%$8.34M
Roku Inc0.15%$8.33M
IREN Ltd0.15%$8.29M
Robinhood Markets Inc0.14%$8.18M
Royal Caribbean Cruises Ltd0.14%$8.05M
Abivax SA0.14%$7.98M
Sterling Infrastructure Inc0.14%$7.97M
Performance Food Group Co0.14%$7.76M
Corning Inc0.14%$7.73M
Caris Life Sciences Inc0.14%$7.71M
Stripe Inc - Class B0.13%$7.19M
Delta Air Lines Inc0.13%$7.17M
Booking Holdings Inc0.12%$7.09M
Thermo Fisher Scientific Inc0.12%$7.04M
Morningstar Inc0.12%$7.04M
MercadoLibre Inc0.12%$6.99M
Home Depot Inc/The0.12%$6.89M
3M Co0.12%$6.62M
Sanmina Corp0.12%$6.59M
Arrowhead Pharmaceuticals Inc0.11%$6.55M
Vicor Corp0.11%$6.38M
XPO Inc0.11%$6.23M
Biogen Inc0.11%$6.21M
Estee Lauder Cos Inc/The0.10%$5.90M
Wyndham Hotels & Resorts Inc0.10%$5.84M
Figure Technology Solutions Inc0.10%$5.70M
Rocket Lab Corp0.10%$5.55M
Reddit Inc0.10%$5.55M
Texas Instruments Inc0.09%$5.37M
Nuro - Series C0.09%$5.33M
Costco Wholesale Corp0.09%$5.19M
Dianthus Therapeutics Inc0.09%$5.11M
Datadog Inc0.09%$5.08M
Amgen Inc0.07%$4.13M
Welltower Inc0.07%$4.11M
Marathon Petroleum Corp0.07%$4.02M
Lyft Inc0.07%$3.87M
Bloom Energy Corp0.06%$3.68M
SharkNinja Inc0.06%$3.60M
TechnipFMC PLC0.06%$3.59M
Fortinet Inc0.06%$3.54M
Marvell Technology Inc0.06%$3.51M
Intuitive Surgical Inc0.06%$3.50M
NRG Energy Inc0.06%$3.45M
Valero Energy Corp0.06%$3.41M
Cadence Design Systems Inc0.06%$3.38M
Lockheed Martin Corp0.06%$3.33M
Rocket Cos Inc0.06%$3.26M
Ralph Lauren Corp0.06%$3.23M
Boeing Co/The0.05%$2.99M
Nexstar Media Group Inc0.05%$2.93M
Dycom Industries Inc0.05%$2.85M
Trane Technologies PLC0.05%$2.82M
McKesson Corp0.05%$2.77M
United Rentals Inc0.05%$2.71M
Okta Inc0.05%$2.59M
DuPont de Nemours Inc0.04%$2.57M
Adobe Inc0.04%$2.54M
Southern Copper Corp0.04%$2.52M
TTM Technologies Inc0.04%$2.32M
AstraZeneca PLC0.04%$2.25M
NIQ Global Intelligence Plc0.04%$2.24M
TJX Cos Inc/The0.04%$2.23M
Spotify Technology SA0.04%$2.22M
Blackstone Inc0.04%$2.11M
DoorDash Inc - Class A0.04%$2.07M
Teradata Corp0.04%$2.05M
Hilton Worldwide Holdings Inc0.04%$2.01M
Cintas Corp0.03%$1.96M
Sila Nano Series F0.03%$1.95M
Dell Technologies Inc0.03%$1.93M
ExlService Holdings Inc0.03%$1.90M
Semtech Corp0.03%$1.89M
Dynatrace Inc0.03%$1.86M
Starbucks Corp0.03%$1.85M
Airbnb Inc0.03%$1.76M
Exelixis Inc0.03%$1.57M
BlackRock Liquidity FedFund - Institutional Class0.03%$1.52M
Rappi Inc - Series E0.03%$1.51M
UL Solutions Inc0.03%$1.48M
American Tower Corp0.03%$1.47M
American Express Co0.03%$1.46M
Monolithic Power Systems Inc0.03%$1.45M
Viking Holdings Ltd0.02%$1.40M
NU Holdings Ltd/Cayman Islands0.02%$1.40M
Popular Inc0.02%$1.27M
Union Pacific Corp0.02%$1.25M
Carvana Co0.02%$1.21M
Block Inc0.02%$1.21M
Walmart Inc0.02%$1.18M
Bank of New York Mellon Corp/The0.02%$1.15M
Cogent Biosciences Inc0.02%$1.13M
Automatic Data Processing Inc0.02%$1.10M
Coca-Cola Co/The0.02%$1.10M
nCino Inc0.02%$1.08M
Tapestry Inc0.02%$1.03M
AbbVie Inc0.02%$995.98K
Motorola Solutions Inc0.02%$989.59K
TransDigm Group Inc0.02%$994.72K
Intuit Inc0.02%$972.23K
SK hynix Inc0.02%$954.65K
Moody's Corp0.02%$933.32K
Ubiquiti Inc0.02%$918.81K
Karman Holdings Inc0.02%$905.46K
Colgate-Palmolive Co0.02%$883.24K
Monster Beverage Corp0.02%$866.46K
Eaton Corp PLC0.01%$700.03K
Illinois Tool Works Inc0.01%$674.05K
Waste Management Inc0.01%$637.74K
PepsiCo Inc0.01%$632.63K
Sherwin-Williams Co/The0.01%$584.56K
Brookfield Asset Management Ltd0.01%$480.90K
Interactive Brokers Group Inc - A Shares0.01%$428.51K
KKR & Co Inc0.01%$425.90K
Charles Schwab Corp/The0.01%$362.34K
FormFactor Inc0.01%$358.21K
Analog Devices Inc0.00%$271.88K
AutoZone Inc0.00%$190.02K
Public Storage0.00%$172.13K
Johnson Controls International plc0.00%$165.73K
Constellation Energy Corp0.00%$165.01K
Magic Leap Inc0.00%$0

PPUSX overview: performance, fees, allocation and SEC filings