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Principal Mid Cap B - Top 30

25.1%
3.7%
0.6%

By using the Markowitz Portfolio Selection Theory (Risk Return Analysis), the top 30 holdings of the Principal Mid Cap B Mutual Fund have been weighted accordingly with intensions of maximizing the investor's return to risk ratio. Portfolio is re-weighted quarterly on the first day of the cyclical quarter. See more
25.1%
3.7%
0.6%
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Motif Index 1 YR Return
Principal Mid Cap B - Top 30 Benchmark
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Weight Segment & Stocks Symbol 1 MO / 1 YR Return
63.8% Services 37.4%
34.2% AutoZone Inc. AZO 22.6%
24.1% The TJX Companies Inc. TJX 52.8%
5.5% 8xxxxxxx 8xxxxxxxxx 8xxx 8xxx 88.8%
23.5% Technology 14.2%
17.9% SBA Communications Corporation SBAC 4.3%
5.5% 8xxxxx 8xxx 8xxx 88.8%
11.2% Other 7.4%
11.2% 8xxxx 8xxxxx 8xxxxxxxxxxxx 8xxxx 8xxxxx 8xx 88.8%
1.5% Healthcare --
1.5% 8xxxxx 8xxxxx 8xxxxxxxx 8xxx 8xx --

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