PRINCIPAL LIFE INSURANCE CO

data from 31/03/2001

Capitalization

$ 20.609 B 87 241.09 %

Average holding period

1 ans

Performance

$ 4.548 B 33 579.08 %

Capitalization

Portfolio size

Portfolio performance

Portfolio performance %

Performance compared to S&P 500 (%)

Stock in PRINCIPAL LIFE INSURANCE CO

Date Ticket Name Weight Capitalization Share number First added Performance ($) Performance (%)
2001/03/31 GE GENERAL ELECTRIC CO. 2.54% 522.577 M $ 12483929 2000/12/31 -44.868 M $ -7 888.82 %
2001/03/31 PFE PFIZER, INC. 2.40% 494.430 M $ 12073990 2000/12/31 -56.691 M $ -10 975.34 %
2001/03/31 CITIGROUP, INC. 2.13% 438.251 M $ 9743244 2000/12/31 492.942 M $ 92 429.86 %
2001/03/31 XOM EXXON MOBIL CORP. 2.01% 414.846 M $ 5121565 2000/12/31 -34.455 M $ -7 168.00 %
2001/03/31 AIG AMERICAN INTERNATIONAL GROUP, 1.40% 289.484 M $ 3596075 2000/12/31 -1.810 B $ -374 444.10 %
2001/03/31 SBC SBC COMMUNICATIONS, INC. 1.33% 273.320 M $ 6124120 2000/12/31 0.000 $ 0.00 %
2001/03/31 WMT WAL-MART STORES, INC. 1.26% 259.506 M $ 5138748 2000/12/31 -16.749 M $ -4 969.42 %
2001/03/31 AOL TIME WARNER 1.14% 235.547 M $ 5866667 2001/03/31 0.000 $ 0.00 %
2001/03/31 MSFT MICROSOFT CORP. 1.07% 219.523 M $ 4014136 2000/12/31 51.849 M $ 25 976.98 %
2001/03/31 MRK MERCK & CO., INC. 1.01% 208.386 M $ 2745540 2000/12/31 -49.695 M $ -18 908.18 %
2001/03/31 BMY BRISTOL MYERS SQUIBB CO. 0.99% 203.931 M $ 3433175 2000/12/31 -52.387 M $ -20 306.70 %
2001/03/31 JNJ JOHNSON & JOHNSON 0.99% 203.416 M $ 2325551 2000/12/31 -35.282 M $ -16 732.92 %
2001/03/31 CSCO CISCO SYSTEMS, INC. 0.94% 193.539 M $ 12239631 2000/12/31 -299.731 M $ -58 666.74 %
2001/03/31 VZ VERIZON COMMUNICATIONS. 0.90% 184.564 M $ 3743709 2000/12/31 -4.256 M $ -1 768.14 %
2001/03/31 SYY SYSCO CORP. 0.88% 181.564 M $ 6848892 2000/12/31 -23.595 M $ -12 383.21 %
2001/03/31 EMC EMC CORP. 0.79% 162.671 M $ 5533020 2000/12/31 0.000 $ 0.00 %
2001/03/31 DUKE ENERGY CORP. 0.79% 162.555 M $ 3803339 2000/12/31 66.423 M $ 56 866.25 %
2001/03/31 EMR EMERSON ELECTRIC CO. 0.78% 161.258 M $ 2601025 2000/12/31 -44.088 M $ -21 662.51 %
2001/03/31 WFC WELLS FARGO CO. 0.76% 157.280 M $ 3179304 2000/12/31 -25.558 M $ -11 133.56 %
2001/03/31 WASHINGTON MUTUAL, INC. 0.69% 141.760 M $ 2589228 2000/12/31 156.006 M $ 110 154.81 %
2001/03/31 COMCAST CORP. 0.68% 139.628 M $ 3329421 2000/12/31 108.990 M $ 100 355.50 %
2001/03/31 TYCO INTERNATIONAL, LTD. 0.67% 137.998 M $ 3192178 2000/12/31 158.834 M $ 83 615.71 %
2001/03/31 INTC INTEL CORP. 0.66% 135.093 M $ 5134182 2000/12/31 -27.169 M $ -12 396.70 %
2001/03/31 PEP PEPSICO, INC. 0.65% 133.466 M $ 3036769 2000/12/31 -17.541 M $ -12 295.82 %
2001/03/31 FNMA FANNIE MAE 0.63% 130.017 M $ 1633379 2000/12/31 -14.421 M $ -8 242.07 %
2001/03/31 PHILIP MORRIS COS., INC. 0.62% 127.378 M $ 2684475 2000/12/31 106.266 M $ 130 693.56 %
2001/03/31 EL PASO CORP. 0.58% 119.858 M $ 1835493 2001/03/31 0.000 $ 0.00 %
2001/03/31 HD HOME DEPOT, INC. 0.55% 114.068 M $ 2646588 2000/12/31 -4.637 M $ -5 668.94 %
2001/03/31 JPM JP MORGAN CHASE & CO. 0.55% 112.977 M $ 2516193 2001/03/31 0.000 $ 0.00 %
2001/03/31 MICROSOFT CORP 0.54% 111.720 M $ 2042877 2000/12/31 123.552 M $ 125 986.08 %
2001/03/31 JAVA SUN MICROSYSTEMS, INC. 0.54% 111.146 M $ 7231357 2000/12/31 0.000 $ 0.00 %
2001/03/31 COMVERSE TECHNOLOGY, INC. 0.54% 110.767 M $ 1880915 2000/12/31 115.523 M $ 54 114.17 %
2001/03/31 ROYAL DUTCH PETROLEUM CO. ADR 0.54% 110.457 M $ 1992365 2000/12/31 64.634 M $ 91 441.34 %
2001/03/31 AMERICAN HOME PRODUCTS CORP. 0.53% 109.273 M $ 1859958 2000/12/31 113.973 M $ 92 346.70 %
2001/03/31 CAH CARDINAL HEALTH, INC. 0.51% 105.099 M $ 1086292 2000/12/31 -384.401 K $ -2 077.84 %
2001/03/31 KSS KOHL'S CORP. 0.51% 104.506 M $ 1694058 2000/12/31 830.038 K $ 1 131.15 %
2001/03/31 FIRST UNION CORP. 0.50% 103.345 M $ 3131656 2000/12/31 55.132 M $ 118 550.49 %
2001/03/31 FLEET BOSTON FINANCIAL CORP. 0.50% 103.317 M $ 2736872 2000/12/31 115.093 M $ 107 059.59 %
2001/03/31 BELLSOUTH CORP. 0.49% 100.562 M $ 2457538 2000/12/31 83.117 M $ 99 857.36 %
2001/03/31 EXC EXELON CORP. 0.48% 99.800 M $ 1521331 2000/12/31 -3.926 M $ -6 540.41 %
2001/03/31 ADP AUTOMATIC DATA PROCESSING, INC 0.48% 99.220 M $ 1824564 2000/12/31 -12.033 M $ -14 020.80 %
2001/03/31 AT&T CORP. 0.48% 98.957 M $ 4645888 2000/12/31 103.869 M $ 130 749.50 %
2001/03/31 BBBY BED BATH & BEYOND, INC. 0.47% 97.870 M $ 3984512 2000/12/31 8.455 M $ 9 756.39 %
2001/03/31 LNC LINCOLN NATIONAL CORP. 0.47% 96.317 M $ 2267876 2000/12/31 -10.887 M $ -11 208.53 %
2001/03/31 AMERICAN GENERAL CORP. 0.46% 95.776 M $ 2503957 2000/12/31 20.588 M $ 64 544.27 %
2001/03/31 FITB FIFTH THIRD BANCORP 0.45% 93.743 M $ 1754254 2000/12/31 -8.524 M $ -10 560.64 %
2001/03/31 WMB WILLIAMS COS., INC. 0.44% 91.166 M $ 2127563 2000/12/31 12.318 M $ 7 294.04 %
2001/03/31 MXIM MAXIM INTEGRATED PRODUCTS 0.44% 89.999 M $ 2163950 2000/12/31 0.000 $ 0.00 %
2001/03/31 CONOCO INC CL B 0.44% 89.924 M $ 3183148 2000/12/31 78.599 M $ 97 523.86 %
2001/03/31 FMCC FREDDIE MAC 0.43% 89.549 M $ 1381291 2000/12/31 -4.640 M $ -5 880.19 %
2001/03/31 ANHEUSER-BUSCH COS., INC. 0.43% 88.778 M $ 1932906 2000/12/31 89.360 M $ 100 845.60 %
2001/03/31 DIS WALT DISNEY CO. 0.43% 88.498 M $ 3094326 2000/12/31 -1.067 M $ -1 400.96 %
2001/03/31 BRISTOL MYERS SQUIBB CO 0.42% 86.223 M $ 1451569 2000/12/31 85.712 M $ 80 238.08 %
2001/03/31 IBM INTERNATIONAL BUSINESS MACHINE 0.42% 85.722 M $ 891266 2000/12/31 17.667 M $ 13 142.67 %
2001/03/31 PG PROCTER & GAMBLE CO. 0.41% 84.713 M $ 1353249 2000/12/31 -21.003 M $ -20 853.05 %
2001/03/31 SCHERING-PLOUGH CORP. 0.41% 84.157 M $ 2303790 2000/12/31 90.079 M $ 64 270.41 %
2001/03/31 BA BOEING CO. 0.40% 83.097 M $ 1491596 2000/12/31 -9.211 M $ -19 017.51 %
2001/03/31 USA NETWORKS, INC. 0.40% 82.302 M $ 3438190 2000/12/31 86.941 M $ 123 064.59 %
2001/03/31 GUIDANT CORP. 0.39% 80.938 M $ 1799030 2000/12/31 200.712 M $ 84 852.00 %
2001/03/31 PAYX PAYCHEX, INC. 0.39% 80.840 M $ 2181178 2000/12/31 -29.331 M $ -23 794.34 %
2001/03/31 AMAT APPLIED MATERIALS, INC. 0.38% 78.428 M $ 1802943 2000/12/31 13.795 M $ 13 931.33 %
2001/03/31 PHARMACIA CORPORATION 0.38% 78.119 M $ 1550903 2000/12/31 83.744 M $ 82 473.56 %
2001/03/31 SLB SCHLUMBERGER, LTD. 0.38% 78.018 M $ 1354251 2000/12/31 -23.111 M $ -27 921.67 %
2001/03/31 RELIANT ENERGY, INC. 0.37% 77.210 M $ 1706307 2000/12/31 44.344 M $ 134 800.74 %
2001/03/31 STT STATE STREET CORP. 0.37% 77.174 M $ 826273 2000/12/31 -29.551 M $ -24 812.85 %
2001/03/31 GILLETTE CO., THE 0.37% 76.174 M $ 2443834 2000/12/31 87.753 M $ 86 184.02 %
2001/03/31 LLTC LINEAR TECHNOLOGIES CORP. 0.37% 76.163 M $ 1854803 2000/12/31 0.000 $ 0.00 %
2001/03/31 LEHMAN BROTHERS HOLDINGS, INC. 0.36% 73.924 M $ 1179019 2000/12/31 20.000 M $ 92 616.16 %
2001/03/31 HPQ HEWLETT-PACKARD CO. 0.36% 73.731 M $ 2357890 2000/12/31 -1.005 M $ -948.17 %
2001/03/31 LILLY (ELI) AND CO 0.36% 73.222 M $ 955159 2000/12/31 73.743 M $ 82 274.50 %
2001/03/31 ALL ALLSTATE CORP. 0.35% 72.293 M $ 1723717 2000/12/31 -1.329 M $ -4 643.61 %
2001/03/31 TELLABS, INC. 0.35% 71.581 M $ 1759287 2000/12/31 83.256 M $ 71 917.57 %
2001/03/31 MDT MEDTRONIC, INC. 0.34% 70.672 M $ 1545073 2000/12/31 -8.994 M $ -24 248.13 %
2001/03/31 MS MORGAN STANLEY DEAN WITTER & C 0.34% 69.728 M $ 1303336 2000/12/31 -28.475 M $ -29 770.43 %
2001/03/31 CL COLGATE-PALMOLIVE CO. 0.34% 69.467 M $ 1257097 2000/12/31 -9.538 M $ -14 407.50 %
2001/03/31 BAC BANK OF AMERICA CORP. 0.34% 69.088 M $ 1261883 2000/12/31 11.587 M $ 22 305.15 %
2001/03/31 MERRILL LYNCH & CO., INC. 0.32% 66.852 M $ 1206718 2000/12/31 64.895 M $ 93 347.50 %
2001/03/31 TXN TEXAS INSTRUMENTS, INC. 0.32% 66.430 M $ 2144279 2000/12/31 -34.455 M $ -34 617.31 %
2001/03/31 ABT ABBOTT LABORATORIES 0.32% 65.033 M $ 1378112 2000/12/31 -3.429 M $ -2 641.18 %
2001/03/31 ENRON CORP. 0.31% 63.699 M $ 1096368 2000/12/31 64.000 M $ 74 186.02 %
2001/03/31 ALCAN INC. 0.30% 62.745 M $ 1742914 2000/12/31 52.053 M $ 105 201.76 %
2001/03/31 AMERADA HESS CORP. 0.30% 61.681 M $ 789565 2000/12/31 59.479 M $ 141 256.07 %
2001/03/31 DD E.I. DUPONT CO. 0.30% 61.313 M $ 1506460 2000/12/31 -9.957 M $ -11 111.72 %
2001/03/31 ORCL ORACLE CORP. 0.29% 59.404 M $ 3965584 2000/12/31 -66.673 M $ -48 447.39 %
2001/03/31 WATSON PHARMACEUTICALS 0.29% 59.240 M $ 1126231 2000/12/31 17.736 M $ 102 662.12 %
2001/03/31 VERITAS SOFTWARE CORP. 0.28% 56.755 M $ 1227406 2000/12/31 51.213 M $ 52 745.87 %
2001/03/31 INTERNATIONAL BUSINESS MACHINE 0.27% 56.226 M $ 584596 2000/12/31 26.002 M $ 113 055.25 %
2001/03/31 LUV SOUTHWEST AIRLINES CO. 0.27% 55.855 M $ 3146786 2000/12/31 -12.798 M $ -22 348.65 %
2001/03/31 TELEPHONE & DATA SYSYEMS, INC. 0.27% 55.763 M $ 596396 2000/12/31 56.605 M $ 103 788.74 %
2001/03/31 KO COCA-COLA CO. 0.27% 55.608 M $ 1231348 2000/12/31 -31.560 M $ -25 895.40 %
2001/03/31 SLE SARA LEE CORP. 0.26% 54.202 M $ 2511682 2000/12/31 0.000 $ 0.00 %
2001/03/31 S & P MID-CAP DEPOSITARY RECEI 0.26% 53.415 M $ 632880 2000/12/31 47.839 M $ 89 330.62 %
2001/03/31 BANK OF NEW YORK CO INC 0.26% 52.733 M $ 1070933 2001/03/31 0.000 $ 0.00 %
2001/03/31 TCF TCF FINANCIAL CORP. 0.25% 51.524 M $ 1363439 2000/12/31 0.000 $ 0.00 %
2001/03/31 NORTEL NETWORKS CORP NEW 0.25% 51.421 M $ 3659845 2000/12/31 56.828 M $ 43 720.57 %
2001/03/31 CVS CVS CORP. 0.25% 50.977 M $ 871557 2000/12/31 -1.588 M $ -2 402.51 %
2001/03/31 IMS HEALTH, INC. 0.25% 50.863 M $ 2042708 2000/12/31 49.345 M $ 92 122.18 %
2001/03/31 WORLDCOM, INC. 0.23% 48.070 M $ 2572295 2000/12/31 47.606 M $ 133 399.35 %
2001/03/31 DHR DANAHER CORP. 0.23% 47.768 M $ 875509 2000/12/31 -10.174 M $ -23 578.20 %
2001/03/31 RADIOSHACK CORP 0.23% 46.889 M $ 1277986 2000/12/31 33.805 M $ 85 599.37 %