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Principal Financial Group inc  (PFG)
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Principal Financial Group Inc 's Suppliers Data

(in $ except Marketcap in Millions of $)



COMPANY NAME TICKER MARKET CAP REV./EMPLOYEE INC./EMPLOYEE
Principal Financial Group inc PFG 22,732 1,060,960 307,006
Blackrock Inc BLK 107,964 1,127,034 325,321
Eli Lilly And Company LLY 336,186 869,576 179,426
Adobe Inc. ADBE 153,213 763,502 213,759
Biogen Inc BIIB 42,303 1,138,813 262,802
Moody s Corporation MCO 53,456 507,772 138,112
Accenture Plc ACN 184,091 120,655 13,486
Amgen Inc AMGN 153,739 1,330,905 281,276
Marketaxess Holdings Inc MKTX 10,708 2,068,637 711,061
Hubspot Inc HUBS 12,991 783,576 -
Morningstar inc MORN 10,039 465,573 32,214
National Western Life Group Inc NWLI 781 2,108,084 492,529
Microstrategy Incorporated MSTR 2,211 226,185 -
Allergan plc AGN 64,063 1,532,971 -
American National Group Inc ANAT 5,109 907,793 135,112
Virtus Investment Partners Inc VRTS 1,416 2,181,155 335,225
Alexion Pharmaceuticals Inc ALXN 40,625 1,631,900 139,432
Diamond Hill Investment Group Inc DHIL 548 1,085,443 307,046
Johnson and Johnson JNJ 471,503 720,461 144,773
Cme Group Inc CME 63,235 1,137,362 1,383,624
Tableau Software Inc DATA 14,700 352,944 -
Abbvie Inc ABBV 293,750 1,501,792 348,519
Spdr Gold Trust GLD 61,188 - 1,145,942,000
International Business Machines Corporation IBM 133,147 158,853 3,311
Reinsurance Group Of America Incorporated RGA 9,900 7,379,373 262,154
Salesforce Inc CRM 130,480 511,306 59,306
Cboe Global Markets inc CBOE 13,661 6,773,404 427,660
Invesco Currencyshares British Pound sterling Trus FXB 113 488,728 -
Zscaler Inc. ZS 16,340 346,003 -
Merck and Co Inc MRK 279,353 810,155 215,127
Celgene Corp CELG 78,961 2,824,684 305,057
Evercore Inc EVR 4,361 2,188,207 520,425
Abbott Laboratories ABT 184,848 420,841 73,729
Intercontinental Exchange Inc ICE 57,977 1,281,949 344,382
Fiserv Inc FISV 64,816 394,614 48,614
Ellie Mae Inc ELLI 3,524 298,616 27,888
Stonex Group Inc. SNEX 1,974 - -
Invesco Currencyshares Euro Trust FXE 343 - -
Invesco Currencyshares Swiss Franc Trust FXF 236 - -
Invesco Currencyshares Swedish Krona Trust FXS 14 - -
Gilead Sciences Inc GILD 110,703 2,299,661 280,424
Splunk Inc SPLK 13,794 893,576 -
Bristol myers Squibb Company BMY 171,157 1,545,058 221,223
Oracle Corporation ORCL 216,409 626,141 43,022
Blackstone Inc BX 58,457 6,104,986 2,517,445
Davita Inc DVA 6,979 173,686 13,499
Eaton Vance Corp EV 9,130 1,174,722 90,519
Ares Management Corporation ARES 12,689 4,524,521 473,205
Invesco Currencyshares Canadian Dollar Trust FXC 99 1,354,301 -
Invesco Currencyshares Singapore Dollar Trust FXSG 4 39,936 25,541
Invesco Currencyshares Chinese Renminbi Trust FXCH 3 4,350 -
Fidelity National Information Services Inc FIS 42,023 263,400 17,200
Datadog Inc DDOG 21,671 701,098 -
Invesco Currencyshares Japanese Yen Trust FXY 173 - -
Invesco Currencyshares Australian Dollar Trust FXA 90 609,257 -
United States Oil Fund Lp USO 2,533 1,312,462,882 1,293,229,185
Nasdaq Inc NDAQ 32,310 1,239,434 249,237
Commvault Systems Inc CVLT 2,945 279,806 9,167
Voya Financial Inc VOYA 6,718 - -
Netapp Inc NTAP 13,856 606,389 136,574
Stifel Financial Corp SF 7,166 657,454 105,201
Fbl Financial Group Inc FFG 1,494 481,630 62,855
Cognizant Technology Solutions Corporation CTSH 30,710 68,176 8,737
Black Knight inc BKI 9,214 242,906 76,297
Luxoft Holding, Inc LXFT 2,020 70,841 4,454
Blackbaud Inc BLKB 2,982 324,085 -
Bottomline Technologies Inc EPAY 2,438 316,473 -
Value Line Inc VALU 524 222,860 125,747
Iron Mountain Inc IRM 15,924 199,364 19,918
United States Commodity Index Funds Trust USCI 315 58,866,382 107,333,338
New Relic Inc NEWR 3,614 664,107 -
United States Gasoline Fund Lp UGA 93 23,659,048 22,667,152
Ss and c Technologies Holdings Inc SSNC 13,228 632,183 83,577
Encore Capital Group Inc ECPG 1,306 227,113 51,308
Pfizer Inc PFE 287,272 1,011,823 291,755
Invesco Db Gold Fund DGL 0 - -
Kkr and co. inc. KKR 33,391 8,253,385 2,688,236
Cisco Systems Inc CSCO 198,309 674,697 148,413
Invesco Db Precious Metals Fund DBP 0 - -
United States Short Oil Fund, Lp DNO 9 - -
Ca, Inc. CA 17,509 365,086 41,034
Tenet Healthcare Corp THC 4,858 176,296 10,611
Cloudflare Inc NET 14,239 366,450 -
Associated Capital Group Inc AC 939 - -
Dell Technologies Inc DELL 31,122 - -
Oppenheimer Holdings Inc. OPY 493 359,790 28,634
American Equity Investment Life Holding Co AEL 3,598 3,816,955 2,719,463
Alliancebernstein L p AB 10,806 1,739,378 361,349
Cowen Inc COWN 1,248 2,095,290 138,642
Glaxosmithkline Plc GSK 192,008 - -
Horace Mann Educators Corporation HMN 1,561 1,003,630 87,407
Appian Corporation APPN 2,645 634,316 -
Ishares Commodity Optimized Trust CMDT 13 173,997 253,241
Synchrony Financial SYF 16,307 795,818 194,545
Artisan Partners Asset Management Inc APAM 2,140 2,925,227 783,105
Lazard Ltd LAZ 3,366 1,201,561 209,467
Ishares Gold Trust IAU 28,270 537,318,623 -
United States 12 month Oil Fund Lp USL 103 35,178,251 33,954,756
Fidelity & Guaranty Life FGL 1,532 7,204,545 1,104,545
Benefytt Technologies Inc BFYT 383 - -
Nutanix Inc. NTNX 6,704 561,961 -
Investment Technology Group, Inc. ITG 1,028 476,705 -
Invesco Db Silver Fund DBS 0 - -
Carlyle Group Inc CG 11,059 3,363,765 1,050,882
Kansas City Life Insurance Co KCLI 320 1,109,158 67,814
United Fire Group Inc UFCS 731 920,174 49,807
Utg Inc UTGN 92 1,191,853 459,256
Invesco Db Us Dollar Index Bullish fund UUP 0 204,581,533 237,376,656
Hp Inc HPQ 29,226 1,188,358 60,434
United States Brent Oil Fund Lp BNO 189 95,178 7,279,260
Cpi Card Group Inc PMTS 309 388,735 17,847
Invesco Db G10 Currency Harvest fund DBV 0 1,804,831 1,001,570
Waddell and Reed Financial Inc WDR 1,561 639,335 31,818
Blucora Inc BCOR 1,164 1,877,747 86,002
Invesco Db Commodity Index Tracking Fund DBC 0 1,095,175,326 492,386,056
Fortress Investment Group Llc FIG 12,111 432,562 191,980
Enact Holdings Inc ACT 3,897 - -
Attunity Ltd ATTU 517 336,910 23,270
Virtu Financial inc VIRT 2,283 17,382,757 4,153,054
Invesco Db Energy Fund DBE 0 79,390,357 36,987,637
Jfrog Ltd FROG 2,171 262,730 -
Aci Worldwide Inc ACIW 2,360 361,127 40,568
United States Diesel-heating Oil Fund, Lp UHN 7 1,357,558 1,317,015
Ishares Silver Trust SLV 10,811 - -
Invesco Db Base Metals Fund DBB 0 48,367,626 -
Ishares S and p Gsci Commodity indexed Trust GSG 1,524 10,583,100 367,195,180
Kcg Holdings, Inc. KCG 1,353 1,356,224 220,421
Invesco Db Agriculture Fund DBA 0 66,607,105 -
United States 12 month Natural Gas Fund Lp UNL 37 7,650,143 7,368,550
News Corporation NWSA 10,560 440,894 23,787
Silvercrest Asset Management Group Inc SAMG 182 1,193,367 331,266
Invesco Db Us Dollar Index Bearish Fund UDN 0 - -
Clearwater Analytics Holdings Inc CWAN 4,277 211,845 -
Wisdomtree Continuous Commodity Index Master Fund GCC 0 - -
Deluxe Corporation DLX 770 421,280 11,328
Sharpspring Inc SHSP 220 - -
Futures Portfolio Fund L p FPF 1 48,425,355 31,408,170
National Security Group Inc. NSEC 41 66,131,000 823,000
Mylan N v MYL 8,208 674,452 10,656
Fresenius Medical Care Ag and Co Kgaa FMS 4,564 - -
Brightsphere Investment Group Plc OMAM 1,501 761,565 117,455
Midwest Holding Inc MDWT 57 - -
Domo Inc. DOMO 506 258,766 -
Noah Holdings Ltd NOAH 502 520,835 76,247
Gamco Investors Inc. Et Al GBL 389 1,685,149 445,762
Invesco Db Oil Fund DBO 0 161,751,064 65,716,011
Meridianlink inc. MLNK 1,152 163,701 4,701
Asta Funding Inc ASFI 88 120,154 -
Manning and Napier Inc. MN 281 299,093 38,040
Uipath Inc PATH 6,844 259,090 -
Amplitude Inc AMPL 1,377 362,433 -
Grid Dynamics Holdings Inc GDYN 806 90,545 -
Westwood Holdings Group Inc WHG 86 393,363 2,238
Benefitfocus Inc BNFT 356 171,797 -
Heartland Media Acquisition Corp HMA 195 - -
Pzena Investment Management Inc PZN 835 2,166,409 845,193
Enfusion inc ENFN 1,228 90,568 -
Walkme Ltd WKME 0 - -
Solarwinds Corp SWI 1,340 - -
Sprinklr Inc CXM 2,147 215,564 -
Zeta Global Holdings Corp ZETA 1,139 135,141 -
Sumo Logic Inc SUMO 961 265,988 -
Upland Software Inc UPLD 205 837,925 -
Gain Capital Holdings Inc GCAP 227 496,620 58,209
Medley Management Inc MDLY 37 415,650 -
Up Fintech Holding Limited TIGR 12,566 233,235 12,955
Wisdomtree Investments Inc WETF 847 1,598,814 543,859
Planet Labs Pbc PL 1,395 - -
Bgc Partners Inc BGCP 1,663 232,161 17,948
Cellebrite Di Ltd CLBT 703 246,246 70,433
Ehealth Inc EHTH 113 520,770 -
Unisys Corp UIS 277 84,578 -
Pitney Bowes Inc PBI 691 340,855 3,010
China United Insurance Service Inc CUII 106 44,600 7,576
Ladenburg Thalmann Financial Services Inc LTS 501 1,124,179 17,387
U S Global Investors Inc GROW 43 422,275 80,675
Citizens Inc CIA 146 379,335 45,363
Cognyte Software Ltd CGNT 182 225,734 -
Atlantic American Corp AAME 52 1,308,517 21,388
Skillsoft Corp SKIL 194 63,762 -
Tuya Inc TUYA 748 87,054 -
Bridgeline Digital Inc. BLIN 14 249,448 -
Alpine 4 Holdings Inc. ALPP 115 - -
Connecture Inc CNXR 8 239,831 -
Hi crush Inc HCR 16 - -
Wright Investors Service Holdings Inc IWSH 2 - -
Prime Global Capital Group Inc PGCG 34 149,787 -
Mcx Technologies Corporation MCCX 1 75,950 -
Cleartronic Inc CLRI 16 229,631 52,557
Inspro Technologies Corp ITCC 1 240,197 -
Indo Global Exchange s Pte Ltd IGEX 4 10,455 -
Amerinst Insurance Group Ltd AIGT 0 113,372 -
Bf Garden Tax Credit Fund Iv l p BCTC4 0 214,670 5,028,351
J.g. Wentworth Co JGW 0 934,864 -
Bf Garden Tax Credit Fund V L.p. BCTC5 0 138,908 7,837,256
Boston Capital Tax Credit Fund Ltd Partnership BCTCI 0 - -
Boston Capital Tax Credit Fund Iii L P BCTCIII 0 43,295 -
Resource America, Inc. REXI 0 - -
Nuveen Diversified Commodity Fund CFD 0 - -
Seneca Global Fund, L.p. SENE 0 - -
Currencyshares South African Rand Trust FXSA 0 - -
Lexmark International Inc LXK 0 - -
Apollo Asset Management Inc. AAMPRA 0 - -
First Trinity Financial Corp FTFC 0 7,086,699 604,512
Wisdomtree Coal Fund TONS 0 - -
Nuveen Long CTF 0 - -
Fbr & Co. FBRC 0 436,053 -
Phoenix Companies Inc PNX 0 - -
Symetra Financial Corporation SYA 0 1,508,143 149,929
Wyeth WYE 0 - -
Calamos Asset Management, Inc. CLMS 0 - -
AVERAGE SUBTOTAL 4,889,735 523,736 73,630




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