v3.26.1
Condensed Consolidated Statements of Financial Position - USD ($)
$ in Millions
Jun. 30, 2026
Dec. 31, 2025
Assets    
Fixed maturities, available-for-sale [1] $ 73,986.3 $ 73,360.7
Fixed maturities, trading (2026 and 2025 include $150.6 million and $185.0 million related to consolidated variable interest entities) 1,087.7 1,243.8
Equity securities (2026 and 2025 include $432.8 million and $428.6 million related to consolidated variable interest entities) 2,603.4 2,237.3
Mortgage loans (2026 and 2025 include $680.5 million and $726.5 million related to consolidated variable interest entities) 21,092.7 21,008.3
Real estate (2026 and 2025 include $854.0 million and $819.4 million related to consolidated variable interest entities) 2,447.8 2,409.7
Policy loans 875.5 866.7
Other investments (2026 and 2025 include $981.1 million and $838.4 million related to consolidated variable interest entities and $88.2 million and $167.1 million measured at fair value under the fair value option) 10,908.2 9,775.0
Total investments 113,001.6 110,901.5
Cash and cash equivalents (2026 and 2025 include $103.2 million and $89.1 million related to consolidated variable interest entities) 5,259.5 4,431.0
Accrued investment income (2026 and 2025 include $48.9 million and $43.8 million related to consolidated variable interest entities) 917.3 870.9
Reinsurance recoverable and deposit receivable 18,589.1 19,000.1
Premiums due and other receivables 3,796.5 3,894.5
Deferred acquisition costs 4,102.1 4,071.6
Market risk benefit asset 202.8 197.1
Property and equipment 778.7 701.4
Goodwill 1,595.4 1,600.5
Other intangibles 1,263.1 1,267.0
Separate account assets (2026 and 2025 include $43,323.8 million and $41,450.5 million related to consolidated variable interest entities) 202,396.0 193,622.6
Other assets 850.2 818.3
Total assets 352,752.3 341,376.5
Liabilities    
Contractholder funds 47,068.4 45,380.3
Future policy benefits and claims 51,248.1 51,749.7
Market risk benefit liability 65.9 66.9
Other policyholder funds 944.0 940.8
Short-term debt 16.2 27.7
Long-term debt 4,324.4 3,926.3
Income taxes currently payable 16.8 29.5
Deferred income taxes 1,932.1 1,856.4
Separate account liabilities (2026 and 2025 include $43,323.8 million and $41,450.5 million related to consolidated variable interest entities) 202,396.0 193,622.6
Funds withheld payable 17,370.2 17,783.4
Other liabilities (2026 and 2025 include $71.2 million and $69.4 million related to consolidated variable interest entities) 14,480.7 13,601.6
Total liabilities 339,862.8 328,985.2
Redeemable noncontrolling interest (2026 and 2025 include $672.1 million and $440.9 million related to consolidated variable interest entities) 711.7 474.3
Stockholders' equity    
Common stock, par value $0.01 per share; 2,500,000,000 shares authorized; 499,185,352 and 496,884,232 shares issued as of 2026 and 2025; 214,635,434 and 217,380,912 shares outstanding as of 2026 and 2025 5.0 5.0
Additional paid-in capital 11,429.0 11,275.4
Retained earnings (accumulated losses) 18,542.2 18,071.3
Accumulated other comprehensive loss (4,065.8) (4,188.4)
Treasury stock, at cost; 284,549,918 and 279,503,320 shares as of 2026 and 2025 (13,767.6) (13,279.4)
Total stockholders' equity attributable to Principal Financial Group, Inc. 12,142.8 11,883.9
Noncontrolling interest 35.0 33.1
Total stockholders' equity 12,177.8 11,917.0
Total liabilities and stockholders' equity $ 352,752.3 $ 341,376.5
[1] See Note 3, Investments, for further details relating to the amortized cost of fixed maturities, available-for-sale.