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Principal Financial Group Cash Flow Statement

Operating, investing, and financing cash movements

Principal Financial Group generated $3.7B in operating cash flow over the trailing twelve months. Based on the Q1 2026 filing.

Latest FilingQ1 2026
Report Date2026-04-29
Market Cap$22.1B
P/E Ratio14.16
ROE13.56%

Investing

MetricQ4 '24Q1 '25Q2 '25Q3 '25Q4 '25Q1 '26
Acquisitions, net of cash acquired$6.8M$16.9M
Payments to acquire interest in subsidiaries and affiliates$6.8M$16.9M
Net Payments for Businesses and Affiliates$1.4M$1.4M$1.4M$1.4M
Proceeds from (Payments for) Equity Method Investments$1.4M$1.4M$1.4M$1.4M
Payment for (Proceeds from) Other Investing Activity$179.9M$197.9M$131.9M$247.8M$94.4M$102.9M
Payments to Acquire Mortgage Notes Receivable$952.7M$566.9M$1.1B$966.9M$1.2B$738.9M
Payments To Acquire Property Plant And Equipment Net$16.9M$16.4M$23.2M$24.0M$34.4M$33.8M
Payment for Acquisition, Real Estate, Held-for-Investment$56.6M$32.8M$31.9M$23.6M$47.2M$17.5M
Proceeds From Divestiture Of Businesses And Interests In Affiliates$2.5M
Proceeds From Maturities Repayments And Calls Of Debt Securities Available For Sale And Equity Securities Fv Ni$2.4B$1.7B$1.9B$2.2B$2.4B$2.4B
Proceeds from Sale and Collection of Mortgage Notes Receivable$391.1M$712.8M$757.4M$914.4M$900.2M$604.3M
Proceeds From Sale Of Debt Securities Available For Sale And Equity Securities Fv Ni$716.9M$1.5B$1.8B$834.5M$499.3M$940.5M
Proceeds From Sale Of Real Estate Heldforinvestment$8.5M$9.5M$0.0$142.9M$48.6M$10.5M
Net cash from investing activities-$3.8B-$952.7M-$249.7M$0.0-$3.1B-$959.8M
Other investing activities$179.9M$197.9M$131.9M$247.8M$94.4M$102.9M
Proceeds from sale of businesses$2.5M
Net Payments for (Proceeds from) Businesses and Affiliates$1.4M$1.4M$1.4M$1.4M

Financing

MetricQ4 '24Q1 '25Q2 '25Q3 '25Q4 '25Q1 '26
Payments for derivative instruments, financing$10.9M$10.7M$10.7M$10.1M$10.4M$10.9M
Distributions to noncontrolling interests$225.0K$1.6M$0.0$2.9M$3.3M$300.0K
Dividends paid$165.7M$169.0M$169.7M$172.9M$172.4M$173.5M
Policyholder contract deposits$3.1B$3.2B$2.5B$3.1B$3.2B$3.2B
Increase (Decrease) in Deposits$161.2M-$134.4M$166.7M$87.7M$322.8M$260.1M
Payments to Noncontrolling Interests$225.0K$1.6M$0.0$2.9M$3.3M$300.0K
Other, net$200.0K-$1.5M-$200.0K-$100.0K
Proceeds from (Repayments of) Short-Term Debt$119.2M-$6.3M-$5.3M-$10.5M-$9.0M
Withdrawal from Contract Holders Funds$2.6B$3.0B$2.7B$2.5B$2.4B$2.6B
Payment of Deferred Purchase Consideration$200.0K-$1.5M-$200.0K-$100.0K
Noncontrolling interest transactions and other$200.0K-$1.5M-$200.0K-$100.0K
Payments for Derivative Financing Activities$10.9M$10.7M$10.7M$10.1M$10.4M$10.9M
Net cash from financing activities$348.8M-$360.8M-$778.9M$395.7M
Net change in deposits$161.2M-$134.4M$166.7M$87.7M$322.8M$260.1M
Other financing activities$200.0K-$1.5M-$200.0K-$100.0K
Noncontrolling Interests Activity and Other$200.0K-$1.5M-$200.0K-$100.0K
Proceeds from issuance of common stock$24.6M$14.0M$13.3M$6.3M$10.1M$28.2M
Repurchases of common stock$306.1M$240.3M$159.3M$227.7M$275.4M$235.0M
Net change in short-term borrowings$119.2M-$6.3M-$5.3M-$10.5M-$9.0M
Payments for Derivative Instrument Financing Activities$10.9M$10.7M$10.7M$10.1M$10.4M$10.9M
Net Change in Short-term Borrowings and Indebtedness to Subsidiaries$119.2M-$6.3M-$5.3M-$10.5M-$9.0M