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Principal Funds, Inc.

ACTIVE

LEI: 549300HZGBXSW6DSXF23

ISSUED
United States of America, Baltimore, 7 St. Paul Street, Suite 820, 21202
Offizieller Name
Principal Funds, Inc.
Registriert bei
Business Services (Maryland Department of Assessments and Taxation)
United States of America, Maryland
RA000614
Rechtsträger-ID der Registrierungsstelle
D03589652
Gerichtsstand
US-MD
Art des Rechtsträgers
FUND
Code der Rechtsform des Rechtsträgers
Stock Corporation (en)
HLR4
Status des Rechtsträgers
ACTIVE
Erstellungsdatum
1993-01-28

Adressen

Eingetragene Geschäftsanschrift
7 St. Paul Street
Suite 820
21202
Baltimore
US-MD
US | United States of America
Anschrift der Hauptniederlassung
C/O Principal Global Investors, LLC
251 Little Falls Drive
19808
Wilmington
US-DE
US | United States of America

Angaben zur Registrierung

LEI-Erstregistrierungsdatum
2017-12-22
Datum der letzten LEI-Erneuerung
2024-05-22
LEI-Registrierungsstatus
ISSUED
Datum der nächsten LEI-Erneuerung
2024-11-21
Verwaltung LOU
Bloomberg Finance L.P. (Bloomberg Finance L.P.)
Validierungsquellen
FULLY_CORROBORATED
Validiert im
EDGAR (Securities and Exchange Commission)
Guam, Guam
RA000665
Validiert als
0000898745

Beziehungen

Teilfonds
Core Fixed Income FundHigh Yield FundSmall-MidCap Dividend Income FundPrincipal LifeTime Hybrid Income FundPrincipal LifeTime Hybrid 2045 FundPrincipal LifeTime Strategic Income FundOpportunistic Municipal FundPrincipal Capital Appreciation FundMoney Market FundSmallCap Growth Fund IHigh Income FundInternational Small Company FundGlobal Emerging Markets FundLargeCap Growth Fund IPrincipal LifeTime 2025 FundMidCap Growth FundStrategic Asset Management Conservative Balanced PortfolioInflation Protection FundInternational Equity Index FundPrincipal LifeTime Hybrid 2065Real Estate Securities FundPrincipal LifeTime Hybrid 2015 FundSmallCap FundPrincipal LifeTime Hybrid 2030 FundSmallCap S&P 600 Index FundMidCap S&P 400 Index FundSpectrum Preferred and Capital Securities Income FundStrategic Asset Management Strategic Growth PortfolioPrincipal LifeTime 2040 FundMidCap FundBlue Chip FundPrincipal LifeTime Hybrid 2020 FundDiversified Real Asset FundMidCap Growth Fund IIIPrincipal LifeTime 2060 FundLargeCap S&P 500 Index FundPrincipal LifeTime Hybrid 2035 FundPrincipal Lifetime Hybrid 2040 FundStrategic Asset Management Flexible Income PortfolioGlobal Real Estate Securities FundPrincipal Lifetime 2070 FundCapital Securities FundEquity Income FundPrincipal LifeTime 2065Finisterre Emerging Markets Total Return Bond FundPrincipal LifeTime 2045 FundPrincipal LifeTime 2020 FundInternational Equity FundMidCap Value Fund IPrincipal LifeTime Hybrid 2025 FundPrincipal LifeTime 2035 FundLargecap Value Fund IIIPrincipal LifeTime 2030 FundPrincipal LifeTime 2055 FundOrigin Emerging Markets FundSmall-MidCap Growth FundPrincipal Lifetime Hybrid 2070 FundGlobal Real Estate Securities FundStrategic Asset Management Balanced PortfolioCalifornia Municipal FundPrincipal LifeTime 2010 FundPrincipal LifeTime 2050 FundEDGE MidCap FundGlobal Sustainable Listed Infrastructure FundSmallCap Value Fund IIPrincipal LifeTime Hybrid 2050 FundStrategic Asset Management Conservative Growth PortfolioDiversified International FundPrincipal LifeTime Hybrid 2060 FundGovernment Money Market FundPrincipal LifeTime 2015 FundLargeCap Value FundPrincipal LifeTime Hybrid 2055 FundTax-Exempt Bond FundGlobal Multi-Strategy FundShort-Term Income FundCore Plus Bond FundOverseas FundBond Market Index FundGovernment & High Quality Bond FundDiversified Income Fund
Muttergesellschaften
NON_CONSOLIDATING (Vorbehalt bezüglich direkte Muttergesellschaft gemeldet)
NON_CONSOLIDATING (Vorbehalt bezüglich ultimative Muttergesellschaft gemeldet)
Direkte Tochtergesellschaften
Keine Angaben zu direkten Tochtergesellschaften verfügbar
Ultimative Tochtergesellschaften
Keine Angaben zu ultimativer Tochtergesellschaft verfügbar