Principal Financial Group Reports $752.7 Billion in Assets Under Management
Principal Financial Group announces $752.7B in assets under management, reflecting strong growth and market position. #PrincipalFinancial #AssetManagement

Executive Summary
Principal Financial Group, a global financial investment management leader, recently reported assets under management (AUM) totaling $752.7 billion as of mid-2025. This milestone underscores the company’s robust growth trajectory and its expanding footprint in retirement, insurance, and asset management services.
Company Overview
Principal Financial Group is a publicly traded company (NASDAQ: PFG) headquartered in Des Moines, Iowa. It offers a broad range of financial products and services including retirement solutions, insurance, and asset management to individual and institutional clients worldwide.
Assets Under Management Growth
The reported $752.7 billion in AUM represents a significant increase compared to previous years, driven by strong net inflows, market appreciation, and strategic acquisitions. The company’s diversified portfolio and focus on innovation have contributed to sustained client trust and capital growth.
Recent Financial Data (2021-2024)
Year | Assets Under Management (USD Billions) | Revenue (USD Billions) | Net Income (USD Billions) |
---|---|---|---|
2021 | 620.3 | 14.2 | 1.5 |
2022 | 680.1 | 15.0 | 1.6 |
2023 | 710.4 | 15.8 | 1.7 |
2024 (Projected) | 752.7 | 16.5 | 1.8 |
Strategic Implications
The growth in AUM positions Principal Financial Group as a formidable player in the global asset management industry. The company’s emphasis on technology-driven solutions and client-centric services supports its competitive advantage and long-term sustainability.
Risks and Considerations
- Market volatility impacting asset valuations.
- Regulatory changes affecting financial services operations.
- Competition from global and regional asset managers.
Conclusion
Principal Financial Group’s reported $752.7 billion in assets under management highlights its strong market position and growth potential. Investors and stakeholders should continue to monitor the company’s strategic initiatives and market conditions.