Basic Stats
Portfolio Value $ 26,922,738
Current Positions 42
Latest Holdings, Performance, AUM (from 13F, 13D)

PRINCIPAL VARIABLE CONTRACTS FUNDS INC - Blue Chip Account Class 3 has disclosed 42 total holdings in their latest SEC filings. Most recent portfolio value is calculated to be $ 26,922,738 USD. Actual Assets Under Management (AUM) is this value plus cash (which is not disclosed). PRINCIPAL VARIABLE CONTRACTS FUNDS INC - Blue Chip Account Class 3’s top holdings are Microsoft Corporation (US:MSFT) , Amazon.com, Inc. (US:AMZN) , Brookfield Corporation (US:BN) , TransDigm Group Incorporated (US:TDG) , and Mastercard Incorporated (US:MA) . PRINCIPAL VARIABLE CONTRACTS FUNDS INC - Blue Chip Account Class 3’s new positions include Workday, Inc. (US:WDAY) , .

Top Increases This Quarter

We use the change in the portfolio allocation because this is the most meaningful metric. Changes can be due to trades or changes in share prices.

Security Shares
(MM)
Value
(MM$)
Portfolio % ΔPortfolio %
0.01 3.77 14.0291 3.2920
0.01 2.98 11.0838 2.7607
0.00 0.63 2.3594 1.5139
0.00 0.82 3.0399 0.9881
0.00 0.19 0.7244 0.7244
0.00 0.54 2.0254 0.5101
0.18 0.18 0.6730 0.2439
0.02 1.37 5.0859 0.2402
0.00 0.21 0.7679 0.2150
0.00 0.63 2.3309 0.2100
Top Decreases This Quarter

We use the change in the portfolio allocation because this is the most meaningful metric. Changes can be due to trades or changes in share prices.

Security Shares
(MM)
Value
(MM$)
Portfolio % ΔPortfolio %
0.00 0.28 1.0563 -2.2075
0.00 0.77 2.8666 -1.6436
0.00 0.57 2.1322 -1.1214
0.00 0.30 1.0972 -0.9481
0.00 1.07 3.9919 -0.7706
0.00 0.87 3.2460 -0.7111
0.00 1.16 4.3260 -0.6139
0.01 0.62 2.2901 -0.5902
0.01 0.46 1.7075 -0.5834
0.00 0.41 1.5297 -0.4966
13F and Fund Filings

This form was filed on 2025-08-25 for the reporting period 2025-06-30. Click the link icon to see the full transaction history.

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2022-07-28: Important Note - We have changed the treatment of the Δ Portfolio % column in this table. Previously, we were reporting it as the percent change in the portfolio allocation. We are now reporting it as the raw change in the portfolio allocation (still reported as a percent). In formula terms, we were previously reporting it as 100 * (current allocation - prior allocation ) / prior allocation. We are now reporting it as (current allocation - prior allocation).
Security Type Avg Share Price Shares
(MM)
ΔShares
(%)
ΔShares
(%)
Value
($MM)
Portfolio
(%)
ΔPortfolio
(%)
MSFT / Microsoft Corporation 0.01 12.53 3.77 49.11 14.0291 3.2920
AMZN / Amazon.com, Inc. 0.01 31.79 2.98 51.94 11.0838 2.7607
BN / Brookfield Corporation 0.02 1.50 1.37 19.79 5.0859 0.2402
TDG / TransDigm Group Incorporated 0.00 0.34 1.33 10.38 4.9400 -0.1707
MA / Mastercard Incorporated 0.00 0.14 1.18 2.69 4.3988 -0.4907
V / Visa Inc. 0.00 -1.35 1.16 -0.09 4.3260 -0.6139
NFLX / Netflix, Inc. 0.00 -33.39 1.07 -4.37 3.9919 -0.7706
CDNS / Cadence Design Systems, Inc. 0.00 -22.74 0.87 -6.33 3.2460 -0.7111
AVGO / Broadcom Inc. 0.00 2.70 0.82 69.15 3.0399 0.9881
HLT / Hilton Worldwide Holdings Inc. 0.00 1.32 0.82 18.58 3.0382 0.1146
PGR / The Progressive Corporation 0.00 -23.08 0.77 -27.47 2.8666 -1.6436
DHR / Danaher Corporation 0.00 3.55 0.70 -0.14 2.5919 -0.3725
META / Meta Platforms, Inc. 0.00 84.15 0.63 906.35 2.3594 1.5139
SCHW / The Charles Schwab Corporation 0.01 0.00 0.63 16.76 2.3567 0.0492
KKR / KKR & Co. Inc. 0.00 8.99 0.63 25.40 2.3309 0.2100
ORLY / O'Reilly Automotive, Inc. 0.01 1,342.19 0.62 -9.28 2.2901 -0.5902
ROP / Roper Technologies, Inc. 0.00 -22.21 0.57 -25.29 2.1322 -1.1214
ABNB / Airbnb, Inc. 0.00 4.23 0.56 15.57 2.0980 0.0244
NVDA / NVIDIA Corporation 0.00 4.64 0.54 52.38 2.0254 0.5101
HEIA / Heico Corp. - Class A 0.00 -1.20 0.53 21.36 1.9860 0.1157
CSGP / CoStar Group, Inc. 0.01 -0.25 0.49 1.03 1.8212 -0.2319
CPRT / Copart, Inc. 0.01 -1.91 0.46 -15.00 1.7075 -0.5834
ZTS / Zoetis Inc. 0.00 3.27 0.45 -2.19 1.6648 -0.2775
TMO / Thermo Fisher Scientific Inc. 0.00 5.73 0.41 -13.84 1.5297 -0.4966
LIN / Linde plc 0.00 1.49 0.38 2.40 1.4283 -0.1657
GOOGL / Alphabet Inc. 0.00 -46.28 0.30 -38.80 1.0972 -0.9481
VMC / Vulcan Materials Company 0.00 5.75 0.29 18.11 1.0703 0.0371
GOOG / Alphabet Inc. 0.00 -67.47 0.28 -63.07 1.0563 -2.2075
COST / Costco Wholesale Corporation 0.00 -0.72 0.27 4.21 1.0119 -0.0994
IDXX / IDEXX Laboratories, Inc. 0.00 2.49 0.22 30.95 0.8213 0.1052
APH / Amphenol Corporation 0.00 5.28 0.21 58.46 0.7679 0.2150
WDAY / Workday, Inc. 0.00 0.19 0.7244 0.7244
US74257B6395 / Principal Government Money Market Fund - Class R-6 0.18 78.99 0.18 79.21 0.6730 0.2439
CNSWF / Constellation Software Inc. 0.00 0.00 0.17 16.22 0.6411 0.0099
MSCI / MSCI Inc. 0.00 2.79 0.17 4.94 0.6324 -0.0560
SHW / The Sherwin-Williams Company 0.00 0.62 0.17 -1.19 0.6190 -0.0950
VEEV / Veeva Systems Inc. 0.00 47.70 0.15 85.00 0.5502 0.2083
AJG / Arthur J. Gallagher & Co. 0.00 5.54 0.15 -2.01 0.5438 -0.0903
MCO / Moody's Corporation 0.00 0.79 0.13 8.47 0.4773 -0.0245
ISRG / Intuitive Surgical, Inc. 0.00 0.00 0.10 9.78 0.3757 -0.0151
BAM / Brookfield Asset Management Ltd. 0.00 4.47 0.09 19.18 0.3263 0.0139
APD / Air Products and Chemicals, Inc. 0.00 127.27 0.08 121.05 0.3145 0.1494