0001752724-23-111100.txt : 20230523 0001752724-23-111100.hdr.sgml : 20230523 20230523104614 ACCESSION NUMBER: 0001752724-23-111100 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20230331 FILED AS OF DATE: 20230523 DATE AS OF CHANGE: 20230523 PERIOD START: 20230630 FILER: COMPANY DATA: COMPANY CONFORMED NAME: Principal Exchange-Traded Funds CENTRAL INDEX KEY: 0001572661 IRS NUMBER: 000000000 STATE OF INCORPORATION: DE FISCAL YEAR END: 0630 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-23029 FILM NUMBER: 23946984 BUSINESS ADDRESS: STREET 1: 711 HIGH STREET CITY: DES MOINES STATE: IA ZIP: 50392 BUSINESS PHONE: 515-235-9328 MAIL ADDRESS: STREET 1: 711 HIGH STREET CITY: DES MOINES STATE: IA ZIP: 50392 0001572661 S000054611 Principal Healthcare Innovators ETF C000171494 Principal Healthcare Innovators ETF BTEC NPORT-P 1 primary_doc.xml NPORT-P false 0001572661 XXXXXXXX S000054611 C000171494 Principal Exchange-Traded Funds 811-23029 0001572661 549300AG76V5U32HWF10 801 Grand Avenue DES MOINES 50309 515-235-1719 Principal Healthcare Innovators ETF S000054611 549300HI5VZD2P4JPY17 2023-06-30 2023-03-31 N 52232898.60 686473.11 51546425.49 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.07000000 N Ionis Pharmaceuticals Inc 549300SI4ZGLG0BLUZ92 Ionis Pharmaceuticals, Inc. 462222100 19665.00000000 NS USD 702827.10000000 1.363483681591 Long EC CORP US N 1 N N N MiMedx Group Inc N/A MiMedx Group, Inc. 602496101 20029.00000000 NS USD 68298.89000000 0.132499759878 Long EC CORP US N 1 N N N Ligand Pharmaceuticals Inc 5493008K7TB0IKP37H79 Ligand Pharmaceuticals, Inc. 53220K504 2421.00000000 NS USD 178088.76000000 0.345491968273 Long EC CORP US N 1 N N N 10X Genomics Inc 5493003Z6741WNLG7H43 10X Genomics, Inc. 88025U109 13582.00000000 NS USD 757739.78000000 1.470014211066 Long EC CORP US N 1 N N N Absci Corp N/A Absci Corp. 00091E109 17523.00000000 NS USD 30665.25000000 0.059490546063 Long EC CORP US N 1 N N N 2seventy bio Inc N/A 2seventy bio, Inc. 901384107 5988.00000000 NS USD 61077.60000000 0.118490466447 Long EC CORP US N 1 N N N Arrowhead Pharmaceuticals Inc 549300O3CSB8T7OZ3D66 Arrowhead Pharmaceuticals, Inc. 04280A100 14831.00000000 NS USD 376707.40000000 0.730811877679 Long EC CORP US N 1 N N N KalVista Pharmaceuticals Inc 529900Q7IDA3WUGRZA51 KalVista Pharmaceuticals, Inc. 483497103 6367.00000000 NS USD 50044.62000000 0.097086499256 Long EC CORP US N 1 N N N Protagonist Therapeutics Inc N/A Protagonist Therapeutics, Inc. 74366E102 8216.00000000 NS USD 188968.00000000 0.366597680059 Long EC CORP US N 1 N N N Revance Therapeutics Inc 549300N33TFDZHS81H11 Revance Therapeutics, Inc. 761330109 10663.00000000 NS USD 343455.23000000 0.666302710100 Long EC CORP US N 1 N N N Alnylam Pharmaceuticals Inc 529900S3ZI14OWRJII50 Alnylam Pharmaceuticals, Inc. 02043Q107 7878.00000000 NS USD 1578120.96000000 3.061552658595 Long EC CORP US N 1 N N N Tactile Systems Technology Inc 54930069VDTITHOTKJ98 Tactile Systems Technology, Inc. 87357P100 4578.00000000 NS USD 75170.76000000 0.145831178952 Long EC CORP US N 1 N N N Kezar Life Sciences Inc 549300EV1V8GXBV18004 Kezar Life Sciences, Inc. 49372L100 11020.00000000 NS USD 34492.60000000 0.066915600203 Long EC CORP US N 1 N N N Anavex Life Sciences Corp 549300K1I5L8COCQ8W36 Anavex Life Sciences Corp. 032797300 11586.00000000 NS USD 99292.02000000 0.192626392724 Long EC CORP US N 1 N N Vera Therapeutics Inc N/A Vera Therapeutics, Inc. 92337R101 4568.00000000 NS USD 35447.68000000 0.068768454190 Long EC CORP US N 1 N N N Lexicon Pharmaceuticals Inc N/A Lexicon Pharmaceuticals, Inc. 528872302 31571.00000000 NS USD 76717.53000000 0.148831910788 Long EC CORP US N 1 N N N Relay Therapeutics Inc N/A Relay Therapeutics, Inc. 75943R102 17091.00000000 NS USD 281488.77000000 0.546087856382 Long EC CORP US N 1 N N N Sight Sciences Inc N/A Sight Sciences, Inc. 82657M105 8241.00000000 NS USD 72026.34000000 0.139731008145 Long EC CORP US N 1 N N N Kura Oncology Inc 5493005QORQTZCZYOP39 Kura Oncology, Inc. 50127T109 9775.00000000 NS USD 119548.25000000 0.231923453204 Long EC CORP US N 1 N N N Treace Medical Concepts Inc N/A Treace Medical Concepts, Inc. 89455T109 8008.00000000 NS USD 201721.52000000 0.391339492665 Long EC CORP US N 1 N N N SI-BONE Inc 549300J8JGYVJJHV9C31 SI-BONE, Inc. 825704109 5363.00000000 NS USD 105490.21000000 0.204650873454 Long EC CORP US N 1 N N N BioCryst Pharmaceuticals Inc 549300Z0INP1Z5NP6J59 BioCryst Pharmaceuticals, Inc. 09058V103 26615.00000000 NS USD 221969.10000000 0.430619772156 Long EC CORP US N 1 N N N Inogen Inc 549300J8WJIVTOJ8IH97 Inogen, Inc. 45780L104 3738.00000000 NS USD 46650.24000000 0.090501406366 Long EC CORP US N 1 N N N Exact Sciences Corp 549300VM3X1FYD4N9Z14 Exact Sciences Corp. 30063P105 24596.00000000 NS USD 1667854.76000000 3.235636116656 Long EC CORP US N 1 N N N Intercept Pharmaceuticals Inc 254900JMB8TX5P688V24 Intercept Pharmaceuticals, Inc. 45845P108 6512.00000000 NS USD 87456.16000000 0.169664839353 Long EC CORP US N 1 N N N Caribou Biosciences Inc N/A Caribou Biosciences, Inc. 142038108 9560.00000000 NS USD 50763.60000000 0.098481319543 Long EC CORP US N 1 N N N Verve Therapeutics Inc N/A Verve Therapeutics, Inc. 92539P101 8466.00000000 NS USD 122079.72000000 0.236834501790 Long EC CORP US N 1 N N N Keros Therapeutics Inc N/A Keros Therapeutics, Inc. 492327101 3757.00000000 NS USD 160423.90000000 0.311222162303 Long EC CORP US N 1 N N N BioLife Solutions Inc 549300G2IVCMC2TJDW72 BioLife Solutions, Inc. 09062W204 6428.00000000 NS USD 139809.00000000 0.271229282478 Long EC CORP US N 1 N N N Anika Therapeutics Inc 529900R9LS3Z0O6QH455 Anika Therapeutics, Inc. 035255108 2477.00000000 NS USD 71139.44000000 0.138010423271 Long EC CORP US N 1 N N N Adicet Bio Inc 549300VRD2QO80WBOP18 Adicet Bio, Inc. 007002108 6149.00000000 NS USD 35418.24000000 0.068711340628 Long EC CORP US N 1 N N N Cutera Inc 529900NPKPEWJWR21Z42 Cutera, Inc. 232109108 2933.00000000 NS USD 69277.46000000 0.134398184435 Long EC CORP US N 1 N N N Ocugen Inc 549300JVNUI9CXWJLR09 Ocugen, Inc. 67577C105 36876.00000000 NS USD 31458.92000000 0.061030264855 Long EC CORP US N 1 N N N Prometheus Biosciences Inc N/A Prometheus Biosciences, Inc. 74349U108 5842.00000000 NS USD 626963.44000000 1.216308277518 Long EC CORP US N 1 N N N AtriCure Inc N/A AtriCure, Inc. 04963C209 6749.00000000 NS USD 279746.05000000 0.542706981795 Long EC CORP US N 1 N N N Myriad Genetics Inc 52990044IHUOUMETT163 Myriad Genetics, Inc. 62855J104 11846.00000000 NS USD 275182.58000000 0.533853855789 Long EC CORP US N 1 N N N Instil Bio Inc N/A Instil Bio, Inc. 45783C101 20401.00000000 NS USD 13480.98000000 0.026153084082 Long EC CORP US N 1 N N N Aclaris Therapeutics Inc 5493000B2LQ9QTW1DF52 Aclaris Therapeutics, Inc. 00461U105 9759.00000000 NS USD 78950.31000000 0.153163501153 Long EC CORP US N 1 N N N Nektar Therapeutics 5299005I24806IOIYE03 Nektar Therapeutics 640268108 29005.00000000 NS USD 20387.61000000 0.039551937513 Long EC CORP US N 1 N N N Lyell Immunopharma Inc N/A Lyell Immunopharma, Inc. 55083R104 35322.00000000 NS USD 83359.92000000 0.161718138954 Long EC CORP US N 1 N N PMV Pharmaceuticals Inc N/A PMV Pharmaceuticals, Inc. 69353Y103 7214.00000000 NS USD 34410.78000000 0.066756869507 Long EC CORP US N 1 N N N Dyne Therapeutics Inc N/A Dyne Therapeutics, Inc. 26818M108 8089.00000000 NS USD 93185.28000000 0.180779324878 Long EC CORP US N 1 N N N Axogen Inc N/A Axogen, Inc. 05463X106 6843.00000000 NS USD 64666.35000000 0.125452636890 Long EC CORP US N 1 N N N Mesa Laboratories Inc 549300ZCG738WLX8ZW79 Mesa Laboratories, Inc. 59064R109 833.00000000 NS USD 145550.09000000 0.282366989789 Long EC CORP US N 1 N N N Pacific Biosciences of California Inc 529900F1BWRE1M0KZN89 Pacific Biosciences of California, Inc. 69404D108 32476.00000000 NS USD 376072.08000000 0.729579357685 Long EC CORP US N 1 N N N Theravance Biopharma Inc 5493007VTSXP4Z6MIW52 Theravance Biopharma, Inc. 000000000 10406.00000000 NS USD 112905.10000000 0.219035750639 Long EC CORP KY N 1 N N N OraSure Technologies Inc 529900GNNJPNM4XHXQ77 OraSure Technologies, Inc. 68554V108 13207.00000000 NS USD 79902.35000000 0.155010457544 Long EC CORP US N 1 N N N Phathom Pharmaceuticals Inc N/A Phathom Pharmaceuticals, Inc. 71722W107 6603.00000000 NS USD 47145.42000000 0.091462054937 Long EC CORP US N 1 N N Allovir Inc N/A Allovir, Inc. 019818103 14188.00000000 NS USD 55900.72000000 0.108447325820 Long EC CORP US N 1 N N N Chinook Therapeutics Inc 549300X0O3003W5QYQ48 Chinook Therapeutics, Inc. 16961L106 9098.00000000 NS USD 210618.70000000 0.408600010568 Long EC CORP US N 1 N N N PhenomeX Inc 549300LTLRE4N65CD358 PhenomeX, Inc. 084310101 16211.00000000 NS USD 18804.76000000 0.036481210522 Long EC CORP US N 1 N N N Geron Corp 549300T282D7Z2YESL90 Geron Corp. 374163103 56509.00000000 NS USD 122624.53000000 0.237891432498 Long EC CORP US N 1 N N N Eagle Pharmaceuticals Inc/DE 549300TN20OLYTJVP152 Eagle Pharmaceuticals, Inc. 269796108 2221.00000000 NS USD 63009.77000000 0.122238873793 Long EC CORP US N 1 N N N Viridian Therapeutics Inc 549300C775BNYF550E70 Viridian Therapeutics, Inc. 92790C104 5794.00000000 NS USD 147399.36000000 0.285954571241 Long EC CORP US N 1 N N N Axonics Inc 549300LJY4X7N57VJL05 Axonics, Inc. 05465P101 6860.00000000 NS USD 374281.60000000 0.726105828759 Long EC CORP US N 1 N N N Sage Therapeutics Inc 5493000JX4BJS9W6CN35 Sage Therapeutics, Inc. 78667J108 8490.00000000 NS USD 356240.40000000 0.691105923667 Long EC CORP US N 1 N N N iRhythm Technologies Inc 549300FJI72RJGDQS384 iRhythm Technologies, Inc. 450056106 4216.00000000 NS USD 522910.48000000 1.014445667239 Long EC CORP US N 1 N N N OMNIAB INC N/A OmniAb, Inc. 68218J301 977.22000000 NS USD 0.00000000 0.000000 Long EC CORP US N 2 N N N Beam Therapeutics Inc N/A Beam Therapeutics, Inc. 07373V105 9902.00000000 NS USD 303199.24000000 0.588206140615 Long EC CORP US N 1 N N Seres Therapeutics Inc 549300GMXBE5NUWISF13 Seres Therapeutics, Inc. 81750R102 18712.00000000 NS USD 106097.04000000 0.205828122884 Long EC CORP US N 1 N N N Adaptive Biotechnologies Corp 549300ZTF7OT1FW66Q96 Adaptive Biotechnologies Corp. 00650F109 21254.00000000 NS USD 187672.82000000 0.364085032504 Long EC CORP US N 1 N N N Travere Therapeutics Inc N/A Travere Therapeutics, Inc. 89422G107 9183.00000000 NS USD 206525.67000000 0.400659537565 Long EC CORP US N 1 N N N Cardiovascular Systems Inc 549300NUBWKJMNMQ3287 Cardiovascular Systems, Inc. 141619106 6463.00000000 NS USD 128355.18000000 0.249008886222 Long EC CORP US N 1 N N N Senseonics Holdings Inc 549300RCH6Z07TBHJ258 Senseonics Holdings, Inc. 81727U105 73765.00000000 NS USD 52373.15000000 0.101603844499 Long EC CORP US N 1 N N Erasca Inc N/A Erasca, Inc. 29479A108 18190.00000000 NS USD 54751.90000000 0.106218616479 Long EC CORP US N 1 N N N Collegium Pharmaceutical Inc 54930049FXZMTLW8D496 Collegium Pharmaceutical, Inc. 19459J104 5348.00000000 NS USD 128298.52000000 0.248898965894 Long EC CORP US N 1 N N N Y-mAbs Therapeutics Inc N/A Y-mAbs Therapeutics, Inc. 984241109 6781.00000000 NS USD 33972.81000000 0.065907208263 Long EC CORP US N 1 N N N Praxis Precision Medicines Inc N/A Praxis Precision Medicines, Inc. 74006W108 14772.00000000 NS USD 11950.55000000 0.023184051825 Long EC CORP US N 1 N N AnaptysBio Inc 529900HH4WQT03IG1A12 AnaptysBio, Inc. 032724106 4277.00000000 NS USD 93067.52000000 0.180550870628 Long EC CORP US N 1 N N N Seagen Inc N/A Seagen, Inc. 81181C104 12157.00000000 NS USD 2461427.79000000 4.775166787224 Long EC CORP US N 1 N N N Novocure Ltd 213800YPP55UMHWA4826 Novocure Ltd. 000000000 14456.00000000 NS USD 869383.84000000 1.686603545707 Long EC CORP JE N 1 N N N Alector Inc 549300Z8RQOIY1JMHC25 Alector, Inc. 014442107 12596.00000000 NS USD 77969.24000000 0.151260226599 Long EC CORP US N 1 N N N Agios Pharmaceuticals Inc 529900ONJHY8EOGYT555 Agios Pharmaceuticals, Inc. 00847X104 8088.00000000 NS USD 185781.36000000 0.360415602505 Long EC CORP US N 1 N N N Inari Medical Inc N/A Inari Medical, Inc. 45332Y109 7424.00000000 NS USD 458357.76000000 0.889213472404 Long EC CORP US N 1 N N N Esperion Therapeutics Inc 549300OFU56UKEWVUS92 Esperion Therapeutics, Inc. 29664W105 11181.00000000 NS USD 17777.79000000 0.034488890026 Long EC CORP US N 1 N N N Monte Rosa Therapeutics Inc N/A Monte Rosa Therapeutics, Inc. 61225M102 7996.00000000 NS USD 62288.84000000 0.120840270509 Long EC CORP US N 1 N N N Precigen Inc 549300XCWNQU35K64G19 Precigen, Inc. 74017N105 35748.00000000 NS USD 37892.88000000 0.073512139085 Long EC CORP US N 1 N N Relmada Therapeutics Inc 549300217EASRZ9JSF81 Relmada Therapeutics, Inc. 75955J402 6336.00000000 NS USD 14319.36000000 0.027779540218 Long EC CORP US N 1 N N N NuVasive Inc 549300C5ZB4NZ6TWM881 NuVasive, Inc. 670704105 7465.00000000 NS USD 308379.15000000 0.598255159438 Long EC CORP US N 1 N N N Arcturus Therapeutics Holdings Inc N/A Arcturus Therapeutics Holdings, Inc. 03969T109 4480.00000000 NS USD 107385.60000000 0.208327927648 Long EC CORP US N 1 N N N Intellia Therapeutics Inc 5493002T5BCPE5DZC723 Intellia Therapeutics, Inc. 45826J105 10580.00000000 NS USD 394316.60000000 0.764973703320 Long EC CORP US N 1 N N N Point Biopharma Global Inc N/A Point Biopharma Global, Inc. 730541109 15649.00000000 NS USD 113768.23000000 0.220710221743 Long EC CORP US N 1 N N N Paragon 28 Inc 254900GM24PT1FMTRP66 Paragon 28, Inc. 69913P105 11036.00000000 NS USD 188384.52000000 0.365465729600 Long EC CORP US N 1 N N N NGM Biopharmaceuticals Inc 5493008V5DSDZIGQOP17 NGM Biopharmaceuticals, Inc. 62921N105 13718.00000000 NS USD 55969.44000000 0.108580642533 Long EC CORP US N 1 N N N Bluebird Bio Inc N/A Bluebird Bio, Inc. 09609G100 12598.00000000 NS USD 40061.64000000 0.077719530732 Long EC CORP US N 1 N N N Apellis Pharmaceuticals Inc 254900HS0ZFRXXSB9D42 Apellis Pharmaceuticals, Inc. 03753U106 15203.00000000 NS USD 1002789.88000000 1.945411093916 Long EC CORP US N 1 N N N Madrigal Pharmaceuticals Inc 549300CHIMT2EUSNJB60 Madrigal Pharmaceuticals, Inc. 558868105 2528.00000000 NS USD 612433.28000000 1.188119785568 Long EC CORP US N 1 N N N Inspire Medical Systems Inc 549300XQQCQ7HCJKTW25 Inspire Medical Systems, Inc. 457730109 3980.00000000 NS USD 931598.60000000 1.807300101111 Long EC CORP US N 1 N N N Arbutus Biopharma Corp 25490064CESONAUIAS23 Arbutus Biopharma Corp. 03879J100 26491.00000000 NS USD 80267.73000000 0.155719294280 Long EC CORP CA N 1 N N N ACADIA Pharmaceuticals Inc 529900O3044NO0PEA039 ACADIA Pharmaceuticals, Inc. 004225108 22943.00000000 NS USD 431787.26000000 0.837666736142 Long EC CORP US N 1 N N N Cullinan Oncology Inc N/A Cullinan Oncology, Inc. 230031106 7216.00000000 NS USD 73819.68000000 0.143210085468 Long EC CORP US N 1 N N N CTI BioPharma Corp N/A CTI BioPharma Corp. 12648L601 19062.00000000 NS USD 80060.40000000 0.155317074344 Long EC CORP US N 1 N N N ANI Pharmaceuticals Inc 5493000T6CXTND40YH31 ANI Pharmaceuticals, Inc. 00182C103 2712.00000000 NS USD 107720.64000000 0.208977904822 Long EC CORP US N 1 N N N REVOLUTION Medicines Inc 549300JU3X0LBCQ65892 REVOLUTION Medicines, Inc. 76155X100 12709.00000000 NS USD 275276.94000000 0.534036914069 Long EC CORP US N 1 N N N Celularity Inc N/A Celularity, Inc. 151190105 25241.00000000 NS USD 15641.85000000 0.030345169138 Long EC CORP US N 1 N N N OrthoPediatrics Corp 5493000KUTPFGOPAT717 OrthoPediatrics Corp. 68752L100 3023.00000000 NS USD 133888.67000000 0.259743849796 Long EC CORP US N 1 N N N Biohaven Ltd N/A Biohaven Ltd. 000000000 6240.00000000 NS USD 85238.40000000 0.165362387769 Long EC CORP VG N 1 N N N Iovance Biotherapeutics Inc 549300220Z2GHH33XL82 Iovance Biotherapeutics, Inc. 462260100 22639.00000000 NS USD 138324.29000000 0.268348946964 Long EC CORP US N 1 N N N Nevro Corp 254900SH91I4BOYKUE38 Nevro Corp. 64157F103 5084.00000000 NS USD 183786.60000000 0.356545770638 Long EC CORP US N 1 N N N Alphatec Holdings Inc 549300EZE8CQ8K65FS24 Alphatec Holdings, Inc. 02081G201 15802.00000000 NS USD 246511.20000000 0.478231414994 Long EC CORP US N 1 N N N Mersana Therapeutics Inc 529900VWD5VDZ7PVOS22 Mersana Therapeutics, Inc. 59045L106 14911.00000000 NS USD 61284.21000000 0.118891289584 Long EC CORP US N 1 N N N Recursion Pharmaceuticals Inc N/A Recursion Pharmaceuticals, Inc. 75629V104 23378.00000000 NS USD 155931.26000000 0.302506446407 Long EC CORP US N 1 N N N Celldex Therapeutics Inc 529900F018DMYWH38923 Celldex Therapeutics, Inc. 15117B202 6849.00000000 NS USD 246427.02000000 0.478068105901 Long EC CORP US N 1 N N N Cassava Sciences Inc 529900XA0UG5JXABYF08 Cassava Sciences, Inc. 14817C107 5766.00000000 NS USD 139075.92000000 0.269807108209 Long EC CORP US N 1 N N Amneal Pharmaceuticals Inc 549300VV176ZO5WQHZ61 Amneal Pharmaceuticals, Inc. 03168L105 27041.00000000 NS USD 37586.99000000 0.072918712874 Long EC CORP US N 1 N N N ImmunoGen Inc 54930084U0R1OP766Y02 ImmunoGen, Inc. 45253H101 31819.00000000 NS USD 122184.96000000 0.237038667256 Long EC CORP US N 1 N N N Provention Bio Inc 5493003LM26XAVJKLD34 Provention Bio, Inc. 74374N102 13173.00000000 NS USD 317469.30000000 0.615890038896 Long EC CORP US N 1 N N N AngioDynamics Inc 549300W3VKC5ZKMO8C28 AngioDynamics, Inc. 03475V101 6361.00000000 NS USD 65772.74000000 0.127599032085 Long EC CORP US N 1 N N N Twist Bioscience Corp 549300T23BL59LCOH584 Twist Bioscience Corp. 90184D100 8023.00000000 NS USD 120986.84000000 0.234714315978 Long EC CORP US N 1 N N N Enanta Pharmaceuticals Inc 529900SSN4DODDQSN594 Enanta Pharmaceuticals, Inc. 29251M106 3071.00000000 NS USD 124191.24000000 0.240930847909 Long EC CORP US N 1 N N N Bioxcel Therapeutics Inc 549300Y25FYZ0E8LW260 Bioxcel Therapeutics, Inc. 09075P105 5034.00000000 NS USD 93934.44000000 0.182232694327 Long EC CORP US N 1 N N N Denali Therapeutics Inc 549300ZTQ2HO18L3Q830 Denali Therapeutics, Inc. 24823R105 18671.00000000 NS USD 430179.84000000 0.834548343383 Long EC CORP US N 1 N N N Sutro Biopharma Inc 5493005U6P15VD25P851 Sutro Biopharma, Inc. 869367102 9381.00000000 NS USD 43340.22000000 0.084079971769 Long EC CORP US N 1 N N N Kiniksa Pharmaceuticals Ltd N/A Kiniksa Pharmaceuticals Ltd. 000000000 5699.00000000 NS USD 61321.24000000 0.118963127737 Long EC CORP BM N 1 N N N Cytek Biosciences Inc 549300K2J28BOC6FBO89 Cytek Biosciences, Inc. 23285D109 19515.00000000 NS USD 179342.85000000 0.347924901281 Long EC CORP US N 1 N N N Mirati Therapeutics Inc 529900GYRW59IDQV6N54 Mirati Therapeutics, Inc. 60468T105 7752.00000000 NS USD 288219.36000000 0.559145192436 Long EC CORP US N 1 N N N Nkarta Inc N/A Nkarta, Inc. 65487U108 7582.00000000 NS USD 26916.10000000 0.052217199823 Long EC CORP US N 1 N N N Sana Biotechnology Inc N/A Sana Biotechnology, Inc. 799566104 27948.00000000 NS USD 91389.96000000 0.177296406358 Long EC CORP US N 1 N N SomaLogic Inc 549300D3W3Q8CN30YO25 SomaLogic, Inc. 83444K105 29388.00000000 NS USD 74939.40000000 0.145382340846 Long EC CORP US N 1 N N N Cara Therapeutics Inc 549300COVOY41P0GZ881 Cara Therapeutics, Inc. 140755109 8595.00000000 NS USD 42201.45000000 0.081870759415 Long EC CORP US N 1 N N N Akero Therapeutics Inc 549300SI3KG74LBE2955 Akero Therapeutics, Inc. 00973Y108 6690.00000000 NS USD 255959.40000000 0.496560910997 Long EC CORP US N 1 N N N Cerevel Therapeutics Holdings Inc 254900RJNIRS9COSQR41 Cerevel Therapeutics Holdings, Inc. 15678U128 21870.00000000 NS USD 533409.30000000 1.034813364708 Long EC CORP US N 1 N N N TransMedics Group Inc 549300060GVOSMWARH50 TransMedics Group, Inc. 89377M109 4594.00000000 NS USD 347903.62000000 0.674932581052 Long EC CORP US N 1 N N N Inovio Pharmaceuticals Inc 529900B9W875XDZXTM97 Inovio Pharmaceuticals, Inc. 45773H201 41065.00000000 NS USD 33673.30000000 0.065326159243 Long EC CORP US N 1 N N N Tarsus Pharmaceuticals Inc N/A Tarsus Pharmaceuticals, Inc. 87650L103 4417.00000000 NS USD 55521.69000000 0.107712008101 Long EC CORP US N 1 N N N Axsome Therapeutics Inc 549300EXGR0XLRJEIB95 Axsome Therapeutics, Inc. 05464T104 6192.00000000 NS USD 381922.56000000 0.740929281457 Long EC CORP US N 1 N N N Akoya Biosciences Inc N/A Akoya Biosciences, Inc. 00974H104 6122.00000000 NS USD 50077.96000000 0.097151178813 Long EC CORP US N 1 N N N ImmunityBio Inc 529900J9XLBR4HFL4B83 ImmunityBio, Inc. 45256X103 56271.00000000 NS USD 102413.22000000 0.198681516761 Long EC CORP US N 1 N N N Vaxart Inc N/A Vaxart, Inc. 92243A200 25020.00000000 NS USD 18932.63000000 0.036729278160 Long EC CORP US N 1 N N N Intra-Cellular Therapies Inc 5299002U2KGF193IJA20 Intra-Cellular Therapies, Inc. 46116X101 13226.00000000 NS USD 716187.90000000 1.389403616626 Long EC CORP US N 1 N N N Quantum-Si Inc N/A Quantum-Si, Inc. 74765K105 21097.00000000 NS USD 37130.72000000 0.072033549653 Long EC CORP US N 1 N N N Pulmonx Corp 549300WZMFR0ZK7RJY40 Pulmonx Corp. 745848101 5929.00000000 NS USD 66286.22000000 0.128595182633 Long EC CORP US N 1 N N N Perrigo Co PLC 549300IFOQS6R1QLY196 Perrigo Co. PLC 000000000 18774.00000000 NS USD 673423.38000000 1.306440502126 Long EC CORP IE N 1 N N N Nuvation Bio Inc N/A Nuvation Bio, Inc. 67080N101 35408.00000000 NS USD 58777.28000000 0.114027848568 Long EC CORP US N 1 N N N Krystal Biotech Inc 549300YONUY68210OE41 Krystal Biotech, Inc. 501147102 3718.00000000 NS USD 297663.08000000 0.577465997245 Long EC CORP US N 1 N N N Reata Pharmaceuticals Inc 5299005F094GH9QDDD80 Reata Pharmaceuticals, Inc. 75615P103 4937.00000000 NS USD 448872.04000000 0.870811187648 Long EC CORP US N 1 N N N Amylyx Pharmaceuticals Inc N/A Amylyx Pharmaceuticals, Inc. 03237H101 9290.00000000 NS USD 272568.60000000 0.528782737908 Long EC CORP US N 1 N N N ADMA Biologics Inc N/A ADMA Biologics, Inc. 000899104 31369.00000000 NS USD 103831.39000000 0.201432764761 Long EC CORP US N 1 N N N Fate Therapeutics Inc 549300L14Q4UHOODLA90 Fate Therapeutics, Inc. 31189P102 13718.00000000 NS USD 78192.60000000 0.151693544715 Long EC CORP US N 1 N N N Ideaya Biosciences Inc 549300ULW08F62IJML11 Ideaya Biosciences, Inc. 45166A102 7115.00000000 NS USD 97688.95000000 0.189516438960 Long EC CORP US N 1 N N N Butterfly Network Inc N/A Butterfly Network, Inc. 124155102 26272.00000000 NS USD 49391.36000000 0.095819175685 Long EC CORP US N 1 N N Karuna Therapeutics Inc N/A Karuna Therapeutics, Inc. 48576A100 4625.00000000 NS USD 840085.00000000 1.629763833309 Long EC CORP US N 1 N N N Avidity Biosciences Inc N/A Avidity Biosciences, Inc. 05370A108 8048.00000000 NS USD 123536.80000000 0.239661235140 Long EC CORP US N 1 N N N Replimune Group Inc 549300AY704NEIRC4K64 Replimune Group, Inc. 76029N106 7320.00000000 NS USD 129271.20000000 0.250785963859 Long EC CORP US N 1 N N N NanoString Technologies Inc 549300G4CK0Y3WRDMY89 NanoString Technologies, Inc. 63009R109 7684.00000000 NS USD 76071.60000000 0.147578807408 Long EC CORP US N 1 N N N Liquidia Corp N/A Liquidia Corp. 53635D202 11713.00000000 NS USD 80936.83000000 0.157017347431 Long EC CORP US N 1 N N IGM Biosciences Inc 5493008XCQES2N0VY969 IGM Biosciences, Inc. 449585108 4580.00000000 NS USD 62929.20000000 0.122082568096 Long EC CORP US N 1 N N DICE Therapeutics Inc N/A DICE Therapeutics, Inc. 23345J104 6608.00000000 NS USD 189319.20000000 0.367279007613 Long EC CORP US N 1 N N N Veracyte Inc 529900ESWZRHXOW27Z37 Veracyte, Inc. 92337F107 10742.00000000 NS USD 239546.60000000 0.464720099837 Long EC CORP US N 1 N N N Atea Pharmaceuticals Inc N/A Atea Pharmaceuticals, Inc. 04683R106 13700.00000000 NS USD 45895.00000000 0.089036241725 Long EC CORP US N 1 N N N Vaxcyte Inc 254900M7NMHTGASX8D95 Vaxcyte, Inc. 92243G108 9406.00000000 NS USD 352536.88000000 0.683921099569 Long EC CORP US N 1 N N N ViewRay Inc 5493006XTUBSKFU3W106 ViewRay, Inc. 92672L107 27716.00000000 NS USD 95897.36000000 0.186040756635 Long EC CORP US N 1 N N N Quanterix Corp N/A Quanterix Corp. 74766Q101 6421.00000000 NS USD 72364.67000000 0.140387367915 Long EC CORP US N 1 N N N Aadi Bioscience Inc 549300G3U7TKW1M58L09 Aadi Bioscience, Inc. 00032Q104 3869.00000000 NS USD 28011.56000000 0.054342390832 Long EC CORP US N 1 N N N Blueprint Medicines Corp 5299004CC60O9T5HVM83 Blueprint Medicines Corp. 09627Y109 8424.00000000 NS USD 378995.76000000 0.735251293173 Long EC CORP US N 1 N N N Invivyd Inc N/A Invivyd, Inc. 00534A102 18404.00000000 NS USD 22084.80000000 0.042844483958 Long EC CORP US N 1 N N N Morphic Holding Inc 549300RWWOUFLHTY1224 Morphic Holding, Inc. 61775R105 5861.00000000 NS USD 220608.04000000 0.427979317484 Long EC CORP US N 1 N N N Rigel Pharmaceuticals Inc 529900KPTNUS5J8K9K66 Rigel Pharmaceuticals, Inc. 766559603 39926.00000000 NS USD 52702.32000000 0.102242433881 Long EC CORP US N 1 N N N CareDx Inc 549300NQOFKL9NON0U06 CareDx, Inc. 14167L103 7970.00000000 NS USD 72845.80000000 0.141320759504 Long EC CORP US N 1 N N N Bridgebio Pharma Inc 54930028YG89VTY2J114 Bridgebio Pharma, Inc. 10806X102 21678.00000000 NS USD 359421.24000000 0.697276749228 Long EC CORP US N 1 N N N Prothena Corp PLC 5299009ZXQ8NIIJ8OL30 Prothena Corp. PLC 000000000 6642.00000000 NS USD 321937.74000000 0.624558806822 Long EC CORP IE N 1 N N N Heska Corp 529900O1OR2EB7L0HY27 Heska Corp. 42805E306 1641.00000000 NS USD 160194.42000000 0.310776971394 Long EC CORP US N 1 N N N Kodiak Sciences Inc 254900IXI5NI8C9OQE24 Kodiak Sciences, Inc. 50015M109 8934.00000000 NS USD 55390.80000000 0.107458081668 Long EC CORP US N 1 N N N Nuvalent Inc N/A Nuvalent, Inc. 670703107 6633.00000000 NS USD 173054.97000000 0.335726422065 Long EC CORP US N 1 N N N Kinnate Biopharma Inc 549300YVIWV7HJ5WHI66 Kinnate Biopharma, Inc. 49705R105 7715.00000000 NS USD 48218.75000000 0.093544313774 Long EC CORP US N 1 N N N MacroGenics Inc 5493001KJQUA83L8MH79 MacroGenics, Inc. 556099109 11047.00000000 NS USD 79206.99000000 0.153661460027 Long EC CORP US N 1 N N N Kymera Therapeutics Inc N/A Kymera Therapeutics, Inc. 501575104 8064.00000000 NS USD 238936.32000000 0.463536157412 Long EC CORP US N 1 N N N Stoke Therapeutics Inc 549300RD25SS2DIJHJ67 Stoke Therapeutics, Inc. 86150R107 6276.00000000 NS USD 52279.08000000 0.101421348819 Long EC CORP US N 1 N N N Zimvie Inc 549300GFKURT1J6XR665 Zimvie, Inc. 98888T107 5399.00000000 NS USD 39034.77000000 0.075727404235 Long EC CORP US N 1 N N N Seer Inc N/A Seer, Inc. 81578P106 9872.00000000 NS USD 38105.92000000 0.073925436415 Long EC CORP US N 1 N N N Deciphera Pharmaceuticals Inc 529900QR4WAPYY0CBF25 Deciphera Pharmaceuticals, Inc. 24344T101 9766.00000000 NS USD 150884.70000000 0.292716126415 Long EC CORP US N 1 N N N Arcellx Inc N/A Arcellx, Inc. 03940C100 6557.00000000 NS USD 202021.17000000 0.391920813285 Long EC CORP US N 1 N N N IVERIC bio Inc 549300GZXI59U71XPM70 IVERIC bio, Inc. 46583P102 16822.00000000 NS USD 409279.26000000 0.794001244721 Long EC CORP US N 1 N N N Scilex Holding Co N/A Scilex Holding Co. 80880W106 10078.00000000 NS USD 82639.60000000 0.160320719069 Long EC CORP US N 1 N N N TG Therapeutics Inc 529900X21UKABN9NJ529 TG Therapeutics, Inc. 88322Q108 22515.00000000 NS USD 338625.60000000 0.656933234033 Long EC CORP US N 1 N N N Edgewise Therapeutics Inc N/A Edgewise Therapeutics, Inc. 28036F105 7984.00000000 NS USD 53253.28000000 0.103311295582 Long EC CORP US N 1 N N N Sarepta Therapeutics Inc 549300IKDPIED8J8IG21 Sarepta Therapeutics, Inc. 803607100 12087.00000000 NS USD 1665951.21000000 3.231943232073 Long EC CORP US N 1 N N N FibroGen Inc 549300Q914ULWWY95822 FibroGen, Inc. 31572Q808 13687.00000000 NS USD 255399.42000000 0.495474550508 Long EC CORP US N 1 N N N Gossamer Bio Inc 549300ZOC0N2W6PSFR58 Gossamer Bio, Inc. 38341P102 13994.00000000 NS USD 17632.44000000 0.034206911211 Long EC CORP US N 1 N N N Sangamo Therapeutics Inc 2549006WMRKRC4G32Z67 Sangamo Therapeutics, Inc. 800677106 24125.00000000 NS USD 42460.00000000 0.082372346086 Long EC CORP US N 1 N N N Heron Therapeutics Inc 549300DR2I1DOPD2IX53 Heron Therapeutics, Inc. 427746102 19387.00000000 NS USD 29274.37000000 0.056792240629 Long EC CORP US N 1 N N N NeoGenomics Inc N/A NeoGenomics, Inc. 64049M209 19545.00000000 NS USD 340278.45000000 0.660139760934 Long EC CORP US N 1 N N N OMNIAB INC N/A OmniAb, Inc. 68218J202 977.22000000 NS USD 0.00000000 0.000000 Long EC CORP US N 2 N N N Ultragenyx Pharmaceutical Inc 529900EV44GVDN1DCX77 Ultragenyx Pharmaceutical, Inc. 90400D108 9910.00000000 NS USD 397391.00000000 0.770938035416 Long EC CORP US N 1 N N N Ventyx Biosciences Inc N/A Ventyx Biosciences, Inc. 92332V107 8236.00000000 NS USD 275906.00000000 0.535257289670 Long EC CORP US N 1 N N N Insmed Inc 529900Q55QAG41CCAC11 Insmed, Inc. 457669307 19378.00000000 NS USD 330394.90000000 0.640965686484 Long EC CORP US N 1 N N N Nano-X Imaging Ltd N/A Nano-X Imaging Ltd. 000000000 8149.00000000 NS USD 47019.73000000 0.091218216497 Long EC CORP IL N 1 N N RAPT Therapeutics Inc 549300MB473BIU78ES48 RAPT Therapeutics, Inc. 75382E109 4610.00000000 NS USD 84593.50000000 0.164111282588 Long EC CORP US N 1 N N N Arcus Biosciences Inc N/A Arcus Biosciences, Inc. 03969F109 10156.00000000 NS USD 185245.44000000 0.359375918386 Long EC CORP US N 1 N N N Arcutis Biotherapeutics Inc N/A Arcutis Biotherapeutics, Inc. 03969K108 8848.00000000 NS USD 97328.00000000 0.188816196418 Long EC CORP US N 1 N N N Orthofix Medical Inc N/A Orthofix Medical, Inc. 68752M108 3614.00000000 NS USD 60534.50000000 0.117436853136 Long EC CORP US N 1 N N N Design Therapeutics Inc N/A Design Therapeutics, Inc. 25056L103 8351.00000000 NS USD 48185.27000000 0.093479362617 Long EC CORP US N 1 N N N Vericel Corp 54930076YM3PLTDR4B91 Vericel Corp. 92346J108 7073.00000000 NS USD 207380.36000000 0.402317635080 Long EC CORP US N 1 N N N Silk Road Medical Inc 549300VL8KC0ZPDQHE14 Silk Road Medical, Inc. 82710M100 5477.00000000 NS USD 214315.01000000 0.415770847275 Long EC CORP US N 1 N N N Principal Government Money Market Fund 549300WWK3YB7DNN4U34 Principal Government Money Market Fund 000000000 667298.25000000 NS USD 667298.25000000 1.294557757704 Long STIV RF US N 1 N N Arvinas Inc N/A Arvinas, Inc. 04335A105 7621.00000000 NS USD 208205.72000000 0.403918832432 Long EC CORP US N 1 N N N Cogent Biosciences Inc N/A Cogent Biosciences, Inc. 19240Q201 9785.00000000 NS USD 105580.15000000 0.204825356940 Long EC CORP US N 1 N N N ALX Oncology Holdings Inc N/A ALX Oncology Holdings, Inc. 00166B105 6617.00000000 NS USD 29908.84000000 0.058023111623 Long EC CORP US N 1 N N N Emergent BioSolutions Inc 549300YW6TUOX8BE5103 Emergent BioSolutions, Inc. 29089Q105 7424.00000000 NS USD 76912.64000000 0.149210423940 Long EC CORP US N 1 N N N Natera Inc N/A Natera, Inc. 632307104 13596.00000000 NS USD 754849.92000000 1.464407886336 Long EC CORP US N 1 N N N Affimed NV 5493004V4FSXT1D04610 Affimed NV 000000000 27677.00000000 NS USD 20635.97000000 0.040033755597 Long EC CORP NL N 1 N N N Editas Medicine Inc 5299000AON4Q9NT2JE42 Editas Medicine, Inc. 28106W103 10370.00000000 NS USD 75182.50000000 0.145853954537 Long EC CORP US N 1 N N N Crinetics Pharmaceuticals Inc 549300Q1CNFXK5P31D28 Crinetics Pharmaceuticals, Inc. 22663K107 7989.00000000 NS USD 128303.34000000 0.248908316688 Long EC CORP US N 1 N N N Bionano Genomics Inc 54930086AP7ROH0VJ631 Bionano Genomics, Inc. 09075F107 45224.00000000 NS USD 50198.64000000 0.097385297860 Long EC CORP US N 1 N N VistaGen Therapeutics Inc N/A VistaGen Therapeutics, Inc. 92840H202 155904.00000000 NS USD 19441.23000000 0.037715961514 Long EC CORP US N 1 N N N Bio-Rad Laboratories Inc 549300ZC1GPV35XYDK53 Bio-Rad Laboratories, Inc. 090572207 4074.00000000 NS USD 1951527.48000000 3.785960833265 Long EC CORP US N 1 N N N Outset Medical Inc N/A Outset Medical, Inc. 690145107 7363.00000000 NS USD 135479.20000000 0.262829475976 Long EC CORP US N 1 N N N Cytokinetics Inc 549300BE5DY1HW7IHA64 Cytokinetics, Inc. 23282W605 13456.00000000 NS USD 473516.64000000 0.918621680356 Long EC CORP US N 1 N N N Chimerix Inc 5299002IR2GXUBEPKS66 Chimerix, Inc. 16934W106 19566.00000000 NS USD 24653.16000000 0.047827099096 Long EC CORP US N 1 N N N Inhibrx Inc 549300VBKG2LTV1TLY22 Inhibrx, Inc. 45720L107 5676.00000000 NS USD 107106.12000000 0.207785736802 Long EC CORP US N 1 N N N Ocular Therapeutix Inc 529900ABAWFXOHSIHG03 Ocular Therapeutix, Inc. 67576A100 14316.00000000 NS USD 75445.32000000 0.146363825003 Long EC CORP US N 1 N N N Inotiv Inc 549300FH5Z13X0Q5SK81 Inotiv, Inc. 45783Q100 4131.00000000 NS USD 17887.23000000 0.034701203487 Long EC CORP US N 1 N N Nurix Therapeutics Inc N/A Nurix Therapeutics, Inc. 67080M103 7510.00000000 NS USD 66688.80000000 0.129376187322 Long EC CORP US N 1 N N N Syndax Pharmaceuticals Inc 529900OF94TRHKZVBS87 Syndax Pharmaceuticals, Inc. 87164F105 8402.00000000 NS USD 177450.24000000 0.344253240284 Long EC CORP US N 1 N N N REGENXBIO Inc 549300EOES47LATSET33 REGENXBIO, Inc. 75901B107 6380.00000000 NS USD 120645.80000000 0.234052698811 Long EC CORP US N 1 N N N Immunovant Inc N/A Immunovant, Inc. 45258J102 18981.00000000 NS USD 294395.31000000 0.571126527594 Long EC CORP US N 1 N N N Glaukos Corp 5299004JA1LHE21M6T14 Glaukos Corp. 377322102 6771.00000000 NS USD 339227.10000000 0.658100143269 Long EC CORP US N 1 N N N Day One Biopharmaceuticals Inc N/A Day One Biopharmaceuticals, Inc. 23954D109 10550.00000000 NS USD 141053.50000000 0.273643610898 Long EC CORP US N 1 N N N Cerus Corp 254900BIEY9XIDA04Q21 Cerus Corp. 157085101 27576.00000000 NS USD 81900.72000000 0.158887292807 Long EC CORP US N 1 N N N Rocket Pharmaceuticals Inc 549300R7VV82YUIN4Y93 Rocket Pharmaceuticals, Inc. 77313F106 9630.00000000 NS USD 164961.90000000 0.320025876541 Long EC CORP US N 1 N N N Atara Biotherapeutics Inc 549300WBXUXZRE03MS38 Atara Biotherapeutics, Inc. 046513107 15841.00000000 NS USD 45938.90000000 0.089121407669 Long EC CORP US N 1 N N N EQRx Inc N/A EQRx, Inc. 26886C107 62956.00000000 NS USD 122134.64000000 0.236941046520 Long EC CORP US N 1 N N N Artivion Inc 549300YTKV8DMSMG6K81 Artivion, Inc. 228903100 6909.00000000 NS USD 90507.90000000 0.175585211078 Long EC CORP US N 1 N N N Coherus Biosciences Inc 5493007IL8W5MV932D26 Coherus Biosciences, Inc. 19249H103 12019.00000000 NS USD 82209.96000000 0.159487218014 Long EC CORP US N 1 N N N Aurinia Pharmaceuticals Inc 5299008YP2BW4570ML28 Aurinia Pharmaceuticals, Inc. 05156V102 23731.00000000 NS USD 260091.76000000 0.504577684150 Long EC CORP CA N 1 N N N Alkermes PLC N/A Alkermes PLC 000000000 23115.00000000 NS USD 651611.85000000 1.264126161621 Long EC CORP IE N 1 N N N Elanco Animal Health Inc 549300SHPNDCE059M934 Elanco Animal Health, Inc. 28414H103 66017.00000000 NS USD 620559.80000000 1.203885224049 Long EC CORP US N 1 N N N Amicus Therapeutics Inc 549300MRD1SMUTNBPQ53 Amicus Therapeutics, Inc. 03152W109 39458.00000000 NS USD 437589.22000000 0.848922531175 Long EC CORP US N 1 N N N Codexis Inc N/A Codexis, Inc. 192005106 11414.00000000 NS USD 47253.96000000 0.091672622399 Long EC CORP US N 1 N N N PROCEPT BioRobotics Corp N/A PROCEPT BioRobotics Corp. 74276L105 6478.00000000 NS USD 183975.20000000 0.356911654399 Long EC CORP US N 1 N N N SIGA Technologies Inc N/A SIGA Technologies, Inc. 826917106 11303.00000000 NS USD 64992.25000000 0.126084882476 Long EC CORP US N 1 N N N C4 Therapeutics Inc N/A C4 Therapeutics, Inc. 12529R107 8107.00000000 NS USD 25455.98000000 0.049384568877 Long EC CORP US N 1 N N N PTC Therapeutics Inc 549300UJLWOIWFDGB318 PTC Therapeutics, Inc. 69366J200 10046.00000000 NS USD 486628.24000000 0.944058167708 Long EC CORP US N 1 N N N CryoPort Inc 9845004D8538BT8JF626 CryoPort, Inc. 229050307 7057.00000000 NS USD 169368.00000000 0.328573704946 Long EC CORP US N 1 N N N Novavax Inc 529900J4GJHPEPQ23205 Novavax, Inc. 670002401 11195.00000000 NS USD 77581.35000000 0.150507720491 Long EC CORP US N 1 N N Evolus Inc 549300VYQRYBQOT8V419 Evolus, Inc. 30052C107 9090.00000000 NS USD 76901.40000000 0.149188618355 Long EC CORP US N 1 N N N Eiger BioPharmaceuticals Inc 549300GO4VMIHDKJNU46 Eiger BioPharmaceuticals, Inc. 28249U105 8579.00000000 NS USD 7694.51000000 0.014927339629 Long EC CORP US N 1 N N N Karyopharm Therapeutics Inc 549300J1VANRCNTYST87 Karyopharm Therapeutics, Inc. 48576U106 13663.00000000 NS USD 53149.07000000 0.103109128314 Long EC CORP US N 1 N N N SpringWorks Therapeutics Inc N/A SpringWorks Therapeutics, Inc. 85205L107 9131.00000000 NS USD 235031.94000000 0.455961665170 Long EC CORP US N 1 N N N 4D Molecular Therapeutics Inc N/A 4D Molecular Therapeutics, Inc. 35104E100 6533.00000000 NS USD 112302.27000000 0.217866261205 Long EC CORP US N 1 N N N MaxCyte Inc 54930053YHXULRFCU991 MaxCyte, Inc. 57777K106 15897.00000000 NS USD 78690.15000000 0.152658791083 Long EC CORP US N 1 N N N Mirum Pharmaceuticals Inc 254900YZKR40F7F27K81 Mirum Pharmaceuticals, Inc. 604749101 5632.00000000 NS USD 135280.64000000 0.262444269828 Long EC CORP US N 1 N N N State Street Global Advisors 549300BZ5TGIFZUZDZ37 State Street Institutional U.S. Government Money Market Fund 857492706 88040.19000000 NS USD 88040.19000000 0.170797856811 Long STIV RF US N 1 N N N Fulcrum Therapeutics Inc N/A Fulcrum Therapeutics, Inc. 359616109 9402.00000000 NS USD 26795.70000000 0.051983623976 Long EC CORP US N 1 N N N Xencor Inc 549300V5IF65437JKG30 Xencor, Inc. 98401F105 8677.00000000 NS USD 242001.53000000 0.469482660920 Long EC CORP US N 1 N N N Allogene Therapeutics Inc N/A Allogene Therapeutics, Inc. 019770106 20640.00000000 NS USD 101961.60000000 0.197805374535 Long EC CORP US N 1 N N N Agenus Inc 529900NDQQGU5H4UJK81 Agenus, Inc. 00847G705 43100.00000000 NS USD 65512.00000000 0.127093196816 Long EC CORP US N 1 N N N MannKind Corp 213800GFBCNY1ZFST722 MannKind Corp. 56400P706 38580.00000000 NS USD 158178.00000000 0.306865119154 Long EC CORP US N 1 N N N Zentalis Pharmaceuticals Inc N/A Zentalis Pharmaceuticals, Inc. 98943L107 8250.00000000 NS USD 141900.00000000 0.275285819823 Long EC CORP US N 1 N N N 2023-04-27 Principal Exchange-Traded Funds Megan Hoffmann Megan Hoffmann Vice President and Controller XXXX NPORT-EX 2 NPORT_PR1D_53623585_0323.htm Submission Proof - C:\Users\m158328\AppData\Local\Temp\SECPub.temp\Publish\etfnq1q_N-Q.xml

Schedule of Investments        
Principal Active High Yield ETF      
March 31, 2023 (unaudited)      
 
    Principal    
BONDS — 87.01%   Amount   Value
 
Aerospace & Defense — 1.47%        
Bombardier, Inc.        
7.50%, 02/01/2029 (a) $ 465,000 $ 475,025
Triumph Group, Inc.        
7.75%, 08/15/2025 (b)   802,000   735,996
      $ 1,211,021
 
Airlines — 0.08%        
United Airlines 2016-1 Class B Pass Through Trust        
3.65%, 07/07/2027   68,612   63,970
 
Auto Manufacturers — 1.82%        
Ford Motor Co.        
3.25%, 02/12/2032   712,000   559,601
Ford Motor Credit Co. LLC        
3.38%, 11/13/2025   771,000   722,651
4.54%, 08/01/2026   221,000   209,508
      $ 1,491,760
 
Banks — 1.46%        
JPMorgan Chase & Co.        
(3-month Term Secured Overnight Financing Rate + 3.13%),        
4.60%, 02/01/2025 (c),(d)   1,293,000   1,202,490
 
Chemicals — 3.27%        
Consolidated Energy Finance SA        
5.63%, 10/15/2028 (a)   932,000   801,706
Kobe U.S. Midco 2, Inc.        
9.25%, PIK 10.00%; 11/01/2026 (a),(e)   220,000   158,400
Olympus Water U.S. Holding Corp.        
6.25%, 10/01/2029 (a)   1,574,000   1,165,085
Tronox, Inc.        
4.63%, 03/15/2029 (a)   669,000   560,221
      $ 2,685,412
 
Commercial Services — 4.02%        
Albion Financing 1 SARL/Aggreko Holdings, Inc.        
6.13%, 10/15/2026 (a)   801,000   712,924
Garda World Security Corp.        
6.00%, 06/01/2029 (a)   146,000   116,070
9.50%, 11/01/2027 (a)   827,000   784,612
WASH Multifamily Acquisition, Inc.        
5.75%, 04/15/2026 (a)   1,021,000   966,121
ZipRecruiter, Inc.        
5.00%, 01/15/2030 (a)   844,000   721,620
      $ 3,301,347
 
Computers — 1.01%        
Seagate HDD Cayman        
9.63%, 12/01/2032 (a)   737,310   826,279
 
Construction Materials — 1.48%        
Smyrna Ready Mix Concrete LLC        
6.00%, 11/01/2028 (a)   1,294,000   1,214,743
 
Diversified Financial Services — 5.62%        
AerCap Holdings NV        
(5-year Treasury Constant Maturity Rate + 4.54%),        
5.88%, 10/10/2079 (c)   1,391,000   1,266,770

 

See accompanying notes.

1


 

Schedule of Investments        
Principal Active High Yield ETF      
March 31, 2023 (unaudited)      
 
    Principal    
BONDS (continued)   Amount   Value
 
Diversified Financial Services (continued)        
Credit Acceptance Corp.        
6.63%, 03/15/2026 (b) $ 1,210,000 $ 1,128,768
Global Aircraft Leasing Co. Ltd.        
6.50%, PIK 7.25%; 09/15/2024 (a),(e)   1,238,394   1,117,452
OneMain Finance Corp.        
3.50%, 01/15/2027   109,000   91,479
4.00%, 09/15/2030   1,105,000   828,750
6.63%, 01/15/2028   202,000   185,196
      $ 4,618,415
 
Electric — 4.35%        
Clearway Energy Operating LLC        
3.75%, 02/15/2031 (a)   1,281,000   1,104,862
GenOn Energy, Inc.        
0.00%, 10/15/2020 (f),(g),(h)   3,100,000  
NRG Energy, Inc.        
3.88%, 02/15/2032 (a)   1,187,000   949,600
(5-year Treasury Constant Maturity Rate + 5.92%),        
10.25%, 03/15/2028 (a),(c),(d)   185,000   176,788
Vistra Corp.        
(5-year Treasury Constant Maturity Rate + 5.74%),        
7.00%, 12/15/2026 (a),(c),(d)   571,000   502,480
Vistra Operations Co. LLC        
4.38%, 05/01/2029 (a)   944,000   835,832
      $ 3,569,562
 
Electronics — 1.37%        
Sensata Technologies BV        
4.00%, 04/15/2029 (a)   132,000   119,259
Sensata Technologies, Inc.        
3.75%, 02/15/2031 (a)   1,145,000   1,001,875
      $ 1,121,134
 
Entertainment — 7.39%        
Boyne USA, Inc.        
4.75%, 05/15/2029 (a)   1,475,000   1,316,842
CCM Merger, Inc.        
6.38%, 05/01/2026 (a)   1,208,000   1,179,443
CDI Escrow Issuer, Inc.        
5.75%, 04/01/2030 (a)   1,098,000   1,060,492
Cinemark USA, Inc.        
5.25%, 07/15/2028 (a),(b)   1,118,000   967,070
International Game Technology PLC        
5.25%, 01/15/2029 (a)   843,000   807,173
Lions Gate Capital Holdings LLC        
5.50%, 04/15/2029 (a)   1,124,000   739,030
      $ 6,070,050
 
Food — 3.28%        
Albertsons Cos., Inc./Safeway, Inc./New Albertsons LP/Albertsons LLC        
3.50%, 03/15/2029 (a)   811,000   705,646
Chobani LLC/Chobani Finance Corp., Inc.        
7.50%, 04/15/2025 (a)   920,000   897,020

 

See accompanying notes.

2


 

  Schedule of Investments      
  Principal Active High Yield ETF      
  March 31, 2023 (unaudited)      
 
    Principal    
BONDS (continued)   Amount   Value
 
Food (continued)        
Pilgrim's Pride Corp.        
3.50%, 03/01/2032 $ 1,196,000 $ 973,305
4.25%, 04/15/2031   135,000   119,074
      $ 2,695,045
 
Forest Products & Paper — 0.58%        
Mercer International, Inc.        
5.13%, 02/01/2029   557,000   476,998
 
Healthcare — Services — 5.22%        
Acadia Healthcare Co., Inc.        
5.00%, 04/15/2029 (a)   1,280,000   1,203,200
Centene Corp.        
2.50%, 03/01/2031   576,000   466,445
3.38%, 02/15/2030   755,000   658,695
CHS/Community Health Systems, Inc.        
6.00%, 01/15/2029 (a)   1,116,000   944,002
Tenet Healthcare Corp.        
6.13%, 10/01/2028   444,000   425,538
6.13%, 06/15/2030 (a)   595,000   586,968
      $ 4,284,848
 
Home Builders — 1.27%        
Forestar Group, Inc.        
3.85%, 05/15/2026 (a)   220,000   197,924
5.00%, 03/01/2028 (a)   945,000   845,775
      $ 1,043,699
 
Insurance — 1.73%        
Acrisure LLC/Acrisure Finance, Inc.        
4.25%, 02/15/2029 (a)   139,000   118,497
7.00%, 11/15/2025 (a)   549,000   514,534
Voya Financial, Inc.        
(3-month USD LIBOR + 3.58%),        
5.65%, 05/15/2053 (c)   820,000   791,300
      $ 1,424,331
 
Investment Companies — 0.88%        
Compass Group Diversified Holdings LLC        
5.25%, 04/15/2029 (a)   821,000   722,821
 
Iron & Steel — 0.59%        
TMS International Corp.        
6.25%, 04/15/2029 (a)   628,000   484,123
 
Leisure Time — 1.42%        
Life Time, Inc.        
5.75%, 01/15/2026 (a)   1,200,000   1,165,710
 
Lodging — 0.80%        
Wynn Las Vegas LLC/Wynn Las Vegas Capital Corp.      
5.25%, 05/15/2027 (a)   271,000   256,095
Wynn Macau Ltd.        
5.63%, 08/26/2028 (a)   470,000   399,744
      $ 655,839

 

See accompanying notes.

3


 

Schedule of Investments        
Principal Active High Yield ETF      
March 31, 2023 (unaudited)      
 
    Principal    
BONDS (continued)   Amount   Value
 
Media — 6.87%        
CCO Holdings LLC/CCO Holdings Capital Corp.        
4.25%, 02/01/2031 (a) $ 1,302,000 $ 1,064,593
4.75%, 02/01/2032 (a)   411,000   345,179
Directv Financing LLC/Directv Financing Co.-Obligor, Inc.        
5.88%, 08/15/2027 (a)   1,282,000   1,161,107
DISH DBS Corp.        
5.13%, 06/01/2029   136,000   72,420
5.25%, 12/01/2026 (a)   13,284   10,599
5.88%, 11/15/2024   397,000   353,989
7.38%, 07/01/2028   669,000   381,772
DISH Network Corp.        
11.75%, 11/15/2027 (a)   546,000   529,620
Scripps Escrow II, Inc.        
5.38%, 01/15/2031 (a)   407,000   279,813
Sirius XM Radio, Inc.        
3.13%, 09/01/2026 (a)   1,110,000   1,001,220
UPC Holding BV        
5.50%, 01/15/2028 (a)   494,000   442,422
      $ 5,642,734
 
Mining — 3.27%        
Copper Mountain Mining Corp.        
8.00%, 04/09/2026 (a)   1,164,060   1,105,857
First Quantum Minerals Ltd.        
6.88%, 10/15/2027 (a)   315,000   303,670
Novelis Corp.        
3.88%, 08/15/2031 (a)   754,000   635,049
Taseko Mines Ltd.        
7.00%, 02/15/2026 (a)   707,000   641,425
      $ 2,686,001
 
Oil & Gas — 5.97%        
Aethon United BR LP/Aethon United Finance Corp.        
8.25%, 02/15/2026 (a)   1,098,000   1,077,380
Antero Resources Corp.        
7.63%, 02/01/2029 (a),(b)   850,000   869,125
Apache Corp.        
4.75%, 04/15/2043   59,000   44,289
5.10%, 09/01/2040   753,000   638,167
5.25%, 02/01/2042   42,000   35,268
Ascent Resources Utica Holdings LLC/ARU Finance Corp.        
7.00%, 11/01/2026 (a)   402,000   388,573
Comstock Resources, Inc.        
5.88%, 01/15/2030 (a)   494,000   424,419
MEG Energy Corp.        
7.13%, 02/01/2027 (a)   767,000   782,412
Occidental Petroleum Corp.        
6.13%, 01/01/2031   138,000   143,175
6.63%, 09/01/2030   478,000   503,415
      $ 4,906,223
 
Oil & Gas Services — 0.98%        
Archrock Partners LP/Archrock Partners Finance Corp.        
6.25%, 04/01/2028 (a)   834,000   800,640

 

See accompanying notes.

4


 

Schedule of Investments        
Principal Active High Yield ETF      
March 31, 2023 (unaudited)      
 
    Principal    
BONDS (continued)   Amount   Value
 
Packaging & Containers — 1.56%        
Clydesdale Acquisition Holdings, Inc.        
6.63%, 04/15/2029 (a) $ 132,000 $ 127,050
8.75%, 04/15/2030 (a)   473,000   429,834
LABL, Inc.        
5.88%, 11/01/2028 (a)   100,000   88,856
8.25%, 11/01/2029 (a)   389,000   331,710
9.50%, 11/01/2028   305,000   307,669
      $ 1,285,119
 
Pharmaceuticals — 2.35%        
BellRing Brands, Inc.        
7.00%, 03/15/2030 (a)   724,000   733,390
Jazz Securities DAC        
4.38%, 01/15/2029 (a)   1,305,000   1,200,600
      $ 1,933,990
 
Pipelines — 7.91%        
Antero Midstream Partners LP/Antero Midstream Finance Corp.        
5.38%, 06/15/2029 (a)   748,000   703,973
5.75%, 03/01/2027 (a)   491,000   479,717
CNX Midstream Partners LP        
4.75%, 04/15/2030 (a)   1,102,000   947,720
Crestwood Midstream Partners LP/Crestwood Midstream Finance Corp.        
5.63%, 05/01/2027 (a)   1,198,000   1,154,165
EnLink Midstream LLC        
6.50%, 09/01/2030 (a)   771,000   779,643
Hess Midstream Operations LP        
4.25%, 02/15/2030 (a)   907,000   810,042
Kinetik Holdings LP        
5.88%, 06/15/2030 (a)   1,215,000   1,169,438
Targa Resources Partners LP/Targa Resources Partners Finance Corp.        
4.88%, 02/01/2031   487,000   455,678
      $ 6,500,376
 
REITs — 2.19%        
CBL & Associates LP        
0.00%, 12/15/2026 (f),(g),(h)   6,000,000  
HAT Holdings I LLC/HAT Holdings II LLC        
3.38%, 06/15/2026 (a)   851,000   738,243
Ladder Capital Finance Holdings LLLP/Ladder Capital Finance Corp.        
4.75%, 06/15/2029 (a)   1,462,000   1,056,777
      $ 1,795,020
 
Retail — 4.55%        
Bath & Body Works, Inc.        
5.25%, 02/01/2028   248,000   236,840
6.63%, 10/01/2030 (a)   415,000   404,575
9.38%, 07/01/2025 (a),(b)   143,000   152,776
Dave & Buster's, Inc.        
7.63%, 11/01/2025 (a)   764,000   778,573
Fertitta Entertainment LLC/Fertitta Entertainment Finance Co., Inc.        
4.63%, 01/15/2029 (a)   569,000   499,411
6.75%, 01/15/2030 (a)   392,000   322,510
LSF9 Atlantis Holdings LLC/Victra Finance Corp.        
7.75%, 02/15/2026 (a)   824,000   748,465

 

See accompanying notes.

5


 

  Schedule of Investments        
  Principal Active High Yield ETF        
  March 31, 2023 (unaudited)        
 
      Principal      
BONDS (continued)   Amount   Value  
 
Retail (continued)          
Park River Holdings, Inc.          
  5.63%, 02/01/2029 (a) $ 485,000 $ 330,554  
Patrick Industries, Inc.          
  4.75%, 05/01/2029 (a)   302,000   262,036  
        $ 3,735,740  
 
Telecommunications — 1.15%          
Maxar Technologies, Inc.          
  7.75%, 06/15/2027 (a)   903,000   943,579  
Transportation — 1.10%          
Watco Cos. LLC/Watco Finance Corp.          
  6.50%, 06/15/2027 (a)   963,000   902,641  
TOTAL BONDS     $ 71,461,660  
      Principal      
SENIOR FLOATING RATE INTERESTS — 7.39%   Amount   Value  
 
Airlines — 5.79%          
AAdvantage Loyalty IP Ltd., 2021 Term Loan B          
  (3-month USD LIBOR + 4.75%),          
  9.56%, 04/20/2028 $ 1,355,000 $ 1,374,011  
Mileage Plus Holdings LLC, 2020 Term Loan B          
  (3-month USD LIBOR + 5.25%),          
  10.21%, 06/21/2027   1,109,474   1,149,836  
United Airlines, Inc., 2021 Term Loan B          
  (3-month USD LIBOR + 3.75%),          
  8.57%, 04/21/2028   2,249,825   2,230,139  
        $ 4,753,986  
 
Forest Products & Paper — 1.60%          
Spectrum Group Buyer, Inc., 2022 Term Loan B          
  (3-month Term Secured Overnight Financing Rate + 6.50%),          
  11.32%, 05/19/2028   1,394,766   1,318,054  
TOTAL SENIOR FLOATING RATE INTERESTS     $ 6,072,040  
INVESTMENT COMPANIES — 5.75%   Shares Held   Value  
 
Money Market Funds — 5.75%          
Principal Government Money Market Fund — Class R-6 4.72% (i),(j),(k) 1,870,490 $ 1,870,490  
State Street Institutional U.S. Government Money Market Fund — Institutional        
Class 1.49% (k)   2,855,842   2,855,842  
TOTAL INVESTMENT COMPANIES     $ 4,726,332  
Total Investments     $ 82,260,032  
Other Assets and Liabilities — (0.15)%       (127,177 )
Total Net Assets — 100.00%     $ 82,132,855  
 
(a) Security exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in  
  transactions exempt from registration, normally to qualified institutional buyers. At the end of the period, the value of these  
  securities totaled $57,382,444 or 69.87% of net assets.          
(b) Security or a portion of the security was on loan. At the end of the period, the value of these securities totaled $1,843,348 or  
  2.24% of net assets.          
(c) Rate shown is as of period end. The rate may be a variable or floating rate or a fixed rate which may convert to a variable or  
  floating rate in the future.          
(d) Perpetual security. Perpetual securities pay an indefinite stream of interest, but they may be called by the issuer at an earlier  
  date. Date shown, if any, reflects the next call date or final legal maturity date. Rate shown is as of period end.    
(e) Payment in kind; the issuer has the option of paying additional securities in lieu of cash.      
 
 
 
 
See accompanying notes. 6        

 


 

Schedule of Investments
Principal Active High Yield ETF
March 31, 2023 (unaudited)

(f) Non-income producing security.

(g) The value of these investments was determined using significant unobservable inputs, in good faith by the Advisor, under procedures established and periodically reviewed by the Board of Trustees.

(h) Security is defaulted.

(i) Affiliated Security. Security is either an affiliate (and registered under the Investment Company Act of 1940) or an affiliate as defined by the Investment Company Act of 1940 (controls 5.00% or more of the outstanding voting shares of the security).

Please see Affiliated Securities sub-schedule for transactional information.

(j) Security or a portion of the security was received as collateral for securities lending. At the end of the period, the value of these securities totaled $1,870,490 or 2.28% of net assets.

(k) Current yield shown is as of period end.

Portfolio Summary              
Sector         Percent          
Consumer, Cyclical         23.11 %        
Consumer, Non-cyclical         14.87 %        
Energy         14.86 %        
Financial         11.89 %        
Basic Materials         9.31 %        
Communications         8.02 %        
Industrial         6.98 %        
Money Market Funds         5.75 %        
Utilities         4.35 %        
Technology         1.01 %        
Other Assets and Liabilities         (0.15 )%        
TOTAL NET ASSETS         100.00 %        
 
      June 30, 2022   Purchases     Sales   March 31, 2023
Affiliated Securities     Value   Cost     Proceeds   Value
Principal Government Money                    
Market Fund — Class R-6 4.72%   $ $ 13,766,637   $ 11,896,147 $ 1,870,490
Principal Government Money                    
Market Fund — Institutional Class                    
4.67 %   5,781,485   33,322,007     39,103,492  
    $ 5,781,485 $ 47,088,644   $ 50,999,639 $ 1,870,490
 
                Realized Gain    
          Realized     from   Change in
          Gain/(Loss) on     Capital Gain   Unrealized
      Income (a)   Investments     Distributions   Gain/(Loss)
Principal Government Money                    
Market Fund — Class R-6 4.72%   $ $   $ $
Principal Government Money                    
Market Fund — Institutional Class                    
4.67 %          
    $ $   $ $
 
(a) Amount excludes earnings from securities lending collateral.              

 

See accompanying notes.

7


 

  Schedule of Investments      
  Principal Healthcare Innovators ETF      
  March 31, 2023 (unaudited)      
 
COMMON STOCKS — 99.86%   Shares Held   Value
 
Biotechnology — 62.97%        
2seventy bio, Inc. (a)   5,988 $ 61,078
4D Molecular Therapeutics, Inc. (a)   6,533   112,302
Aadi Bioscience, Inc. (a)   3,869   28,012
Absci Corp. (a)   17,523   30,665
ACADIA Pharmaceuticals, Inc. (a)   22,943   431,787
Adicet Bio, Inc. (a)   6,149   35,418
ADMA Biologics, Inc. (a)   31,369   103,831
Affimed NV (a)   27,677   20,636
Agenus, Inc. (a)   43,100   65,512
Akero Therapeutics, Inc. (a)   6,690   255,959
Allogene Therapeutics, Inc. (a)   20,640   101,962
Allovir, Inc. (a)   14,188   55,901
Alnylam Pharmaceuticals, Inc. (a)   7,878   1,578,121
ALX Oncology Holdings, Inc. (a)   6,617   29,909
Amicus Therapeutics, Inc. (a)   39,458   437,589
AnaptysBio, Inc. (a)   4,277   93,068
Anavex Life Sciences Corp. (a),(b)   11,586   99,292
ANI Pharmaceuticals, Inc. (a)   2,712   107,721
Apellis Pharmaceuticals, Inc. (a)   15,203   1,002,790
Arbutus Biopharma Corp. (a)   26,491   80,268
Arcellx, Inc. (a)   6,557   202,021
Arcturus Therapeutics Holdings, Inc. (a)   4,480   107,386
Arcus Biosciences, Inc. (a)   10,156   185,245
Arcutis Biotherapeutics, Inc. (a)   8,848   97,328
Arrowhead Pharmaceuticals, Inc. (a)   14,831   376,707
Atara Biotherapeutics, Inc. (a)   15,841   45,939
Atea Pharmaceuticals, Inc. (a)   13,700   45,895
Aurinia Pharmaceuticals, Inc. (a)   23,731   260,092
Avidity Biosciences, Inc. (a)   8,048   123,537
Axsome Therapeutics, Inc. (a)   6,192   381,923
Beam Therapeutics, Inc. (a),(b)   9,902   303,199
Bio-Rad Laboratories, Inc., Class A (a)   4,074   1,951,527
BioCryst Pharmaceuticals, Inc. (a)   26,615   221,969
Biohaven Ltd. (a)   6,240   85,238
Bluebird Bio, Inc. (a)   12,598   40,062
Blueprint Medicines Corp. (a)   8,424   378,996
Bridgebio Pharma, Inc. (a)   21,678   359,421
C4 Therapeutics, Inc. (a)   8,107   25,456
Cara Therapeutics, Inc. (a)   8,595   42,201
Caribou Biosciences, Inc. (a)   9,560   50,764
Cassava Sciences, Inc. (a),(b)   5,766   139,076
Celldex Therapeutics, Inc. (a)   6,849   246,427
Celularity, Inc. (a)   25,241   15,642
Cerevel Therapeutics Holdings, Inc. (a)   21,870   533,409
Chinook Therapeutics, Inc. (a)   9,098   210,619
Cogent Biosciences, Inc. (a)   9,785   105,580
Crinetics Pharmaceuticals, Inc. (a)   7,989   128,303
CTI BioPharma Corp. (a)   19,062   80,060
Cullinan Oncology, Inc. (a)   7,216   73,820
Cytek Biosciences, Inc. (a)   19,515   179,343
Cytokinetics, Inc. (a)   13,456   473,517
Day One Biopharmaceuticals, Inc. (a)   10,550   141,053
Deciphera Pharmaceuticals, Inc. (a)   9,766   150,885
Denali Therapeutics, Inc. (a)   18,671   430,180
Design Therapeutics, Inc. (a)   8,351   48,185
DICE Therapeutics, Inc. (a)   6,608   189,319
Dyne Therapeutics, Inc. (a)   8,089   93,185
Edgewise Therapeutics, Inc. (a)   7,984   53,253

 

See accompanying notes.

8


 

  Schedule of Investments      
  Principal Healthcare Innovators ETF      
  March 31, 2023 (unaudited)      
 
COMMON STOCKS (continued)   Shares Held   Value
 
Biotechnology (continued)        
Editas Medicine, Inc. (a)   10,370 $ 75,182
Eiger BioPharmaceuticals, Inc. (a)   8,579   7,695
Emergent BioSolutions, Inc. (a)   7,424   76,913
EQRx, Inc. (a)   62,956   122,135
Erasca, Inc. (a)   18,190   54,752
Esperion Therapeutics, Inc. (a)   11,181   17,778
Evolus, Inc. (a)   9,090   76,901
Fate Therapeutics, Inc. (a)   13,718   78,193
FibroGen, Inc. (a)   13,687   255,399
Geron Corp. (a)   56,509   122,625
Gossamer Bio, Inc. (a)   13,994   17,632
Ideaya Biosciences, Inc. (a)   7,115   97,689
IGM Biosciences, Inc. (a),(b)   4,580   62,929
ImmunityBio, Inc. (a)   56,271   102,413
ImmunoGen, Inc. (a)   31,819   122,185
Immunovant, Inc. (a)   18,981   294,395
Inhibrx, Inc. (a)   5,676   107,106
Inovio Pharmaceuticals, Inc. (a)   41,065   33,673
Insmed, Inc. (a)   19,378   330,395
Instil Bio, Inc. (a)   20,401   13,481
Intellia Therapeutics, Inc. (a)   10,580   394,317
Intercept Pharmaceuticals, Inc. (a)   6,512   87,456
Intra-Cellular Therapies, Inc. (a)   13,226   716,188
Invivyd, Inc. (a)   18,404   22,085
Ionis Pharmaceuticals, Inc. (a)   19,665   702,827
Iovance Biotherapeutics, Inc. (a)   22,639   138,324
IVERIC bio, Inc. (a)   16,822   409,279
Karuna Therapeutics, Inc. (a)   4,625   840,085
Karyopharm Therapeutics, Inc. (a)   13,663   53,149
Keros Therapeutics, Inc. (a)   3,757   160,424
Kezar Life Sciences, Inc. (a)   11,020   34,493
Kiniksa Pharmaceuticals Ltd., Class A (a)   5,699   61,321
Kinnate Biopharma, Inc. (a)   7,715   48,219
Kodiak Sciences, Inc. (a)   8,934   55,391
Krystal Biotech, Inc. (a)   3,718   297,663
Kymera Therapeutics, Inc. (a)   8,064   238,936
Lexicon Pharmaceuticals, Inc. (a)   31,571   76,718
Ligand Pharmaceuticals, Inc. (a)   2,421   178,089
Liquidia Corp. (a),(b)   11,713   80,937
MacroGenics, Inc. (a)   11,047   79,207
Mersana Therapeutics, Inc. (a)   14,911   61,284
Mirati Therapeutics, Inc. (a)   7,752   288,219
Monte Rosa Therapeutics, Inc. (a)   7,996   62,289
Myriad Genetics, Inc. (a)   11,846   275,183
Nektar Therapeutics (a)   29,005   20,388
NeoGenomics, Inc. (a)   19,545   340,278
NGM Biopharmaceuticals, Inc. (a)   13,718   55,969
Nkarta, Inc. (a)   7,582   26,916
Novavax, Inc. (a),(b)   11,195   77,581
Nurix Therapeutics, Inc. (a)   7,510   66,689
Nuvalent, Inc., Class A (a)   6,633   173,055
Nuvation Bio, Inc. (a)   35,408   58,777
Phathom Pharmaceuticals, Inc. (a),(b)   6,603   47,145
PhenomeX, Inc. (a)   16,211   18,805
Point Biopharma Global, Inc. (a)   15,649   113,768
Praxis Precision Medicines, Inc. (a),(b)   14,772   11,951
Precigen, Inc. (a),(b)   35,748   37,893
Prothena Corp. PLC (a)   6,642   321,938

 

See accompanying notes.

9


 

  Schedule of Investments      
  Principal Healthcare Innovators ETF      
  March 31, 2023 (unaudited)      
 
COMMON STOCKS (continued)   Shares Held   Value
 
Biotechnology (continued)        
Provention Bio, Inc. (a)   13,173 $ 317,469
PTC Therapeutics, Inc. (a)   10,046   486,628
RAPT Therapeutics, Inc. (a)   4,610   84,593
Recursion Pharmaceuticals, Inc., Class A (a)   23,378   155,931
REGENXBIO, Inc. (a)   6,380   120,646
Relay Therapeutics, Inc. (a)   17,091   281,489
Replimune Group, Inc. (a)   7,320   129,271
REVOLUTION Medicines, Inc. (a)   12,709   275,277
Rigel Pharmaceuticals, Inc. (a)   39,926   52,702
Rocket Pharmaceuticals, Inc. (a)   9,630   164,962
Sage Therapeutics, Inc. (a)   8,490   356,240
Sana Biotechnology, Inc. (a),(b)   27,948   91,390
Sangamo Therapeutics, Inc. (a)   24,125   42,460
Sarepta Therapeutics, Inc. (a)   12,087   1,665,951
Scilex Holding Co. (a),(b)   10,078   82,640
Seagen, Inc. (a)   12,157   2,461,428
Seer, Inc. (a)   9,872   38,106
SpringWorks Therapeutics, Inc. (a)   9,131   235,032
Stoke Therapeutics, Inc. (a)   6,276   52,279
Sutro Biopharma, Inc. (a)   9,381   43,340
Syndax Pharmaceuticals, Inc. (a)   8,402   177,450
Tarsus Pharmaceuticals, Inc. (a)   4,417   55,522
TG Therapeutics, Inc. (a)   22,515   338,626
Theravance Biopharma, Inc. (a)   10,406   112,905
TransMedics Group, Inc. (a)   4,594   347,904
Travere Therapeutics, Inc. (a)   9,183   206,526
Twist Bioscience Corp. (a)   8,023   120,987
Ultragenyx Pharmaceutical, Inc. (a)   9,910   397,391
Vaxart, Inc. (a)   25,020   18,933
Ventyx Biosciences, Inc. (a)   8,236   275,906
Vera Therapeutics, Inc. (a)   4,568   35,448
Veracyte, Inc. (a)   10,742   239,547
Vericel Corp. (a)   7,073   207,380
Verve Therapeutics, Inc. (a)   8,466   122,080
Viridian Therapeutics, Inc. (a)   5,794   147,399
VistaGen Therapeutics, Inc. (a)   155,904   19,441
Xencor, Inc. (a)   8,677   242,002
Zentalis Pharmaceuticals, Inc. (a)   8,250   141,900
      $ 32,456,471
 
Chemicals — 0.09%        
Codexis, Inc. (a)   11,414   47,254
 
Electronics — 0.28%        
Mesa Laboratories, Inc.   833   145,550
 
Healthcare — Products — 21.38%        
10X Genomics, Inc., Class A (a)   13,582   757,740
Adaptive Biotechnologies Corp. (a)   21,254   187,673
Akoya Biosciences, Inc. (a)   6,122   50,078
Alphatec Holdings, Inc. (a)   15,802   246,511
AngioDynamics, Inc. (a)   6,361   65,773
Artivion, Inc. (a)   6,909   90,508
AtriCure, Inc. (a)   6,749   279,746
Axogen, Inc. (a)   6,843   64,666
Axonics, Inc. (a)   6,860   374,282
BioLife Solutions, Inc. (a)   6,428   139,809
Bionano Genomics, Inc. (a),(b)   45,224   50,199
Butterfly Network, Inc. (a),(b)   26,272   49,391

 

See accompanying notes.

10


 

  Schedule of Investments      
  Principal Healthcare Innovators ETF      
  March 31, 2023 (unaudited)      
 
COMMON STOCKS (continued)   Shares Held   Value
 
Healthcare — Products (continued)        
Cardiovascular Systems, Inc. (a)   6,463 $ 128,355
CareDx, Inc. (a)   7,970   72,846
Cerus Corp. (a)   27,576   81,901
Cutera, Inc. (a)   2,933   69,277
Exact Sciences Corp. (a)   24,596   1,667,855
Glaukos Corp. (a)   6,771   339,227
Inari Medical, Inc. (a)   7,424   458,358
Inogen, Inc. (a)   3,738   46,650
Inspire Medical Systems, Inc. (a)   3,980   931,599
iRhythm Technologies, Inc. (a)   4,216   522,910
MaxCyte, Inc. (a)   15,897   78,690
MiMedx Group, Inc. (a)   20,029   68,299
NanoString Technologies, Inc. (a)   7,684   76,072
Natera, Inc. (a)   13,596   754,850
Nevro Corp. (a)   5,084   183,787
Novocure Ltd. (a)   14,456   869,384
NuVasive, Inc. (a)   7,465   308,379
OmniAb, Inc., Earnout Shares (a)   977  
OmniAb, Inc., Earnout Shares (a)   977  
OraSure Technologies, Inc. (a)   13,207   79,902
Orthofix Medical, Inc. (a)   3,614   60,534
OrthoPediatrics Corp. (a)   3,023   133,889
Pacific Biosciences of California, Inc. (a)   32,476   376,072
Paragon 28, Inc. (a)   11,036   188,385
PROCEPT BioRobotics Corp. (a)   6,478   183,975
Pulmonx Corp. (a)   5,929   66,286
Quanterix Corp. (a)   6,421   72,365
Quantum-Si, Inc. (a)   21,097   37,131
SI-BONE, Inc. (a)   5,363   105,490
Silk Road Medical, Inc. (a)   5,477   214,315
SomaLogic, Inc. (a)   29,388   74,939
Tactile Systems Technology, Inc. (a)   4,578   75,171
Treace Medical Concepts, Inc. (a)   8,008   201,721
ViewRay, Inc. (a)   27,716   95,897
Zimvie, Inc. (a)   5,399   39,035
      $ 11,019,922
 
Healthcare — Services — 0.13%        
Inotiv, Inc. (a),(b)   4,131   17,887
Nano-X Imaging Ltd. (a),(b)   8,149   47,020
      $ 64,907
 
Miscellaneous Manufacturers — 0.14%        
Sight Sciences, Inc. (a)   8,241   72,026
 
Pharmaceuticals — 14.28%        
Aclaris Therapeutics, Inc. (a)   9,759   78,950
Agios Pharmaceuticals, Inc. (a)   8,088   185,781
Alector, Inc. (a)   12,596   77,969
Alkermes PLC (a)   23,115   651,612
Amneal Pharmaceuticals, Inc. (a)   27,041   37,587
Amylyx Pharmaceuticals, Inc. (a)   9,290   272,569
Anika Therapeutics, Inc. (a)   2,477   71,139
Arvinas, Inc. (a)   7,621   208,206
Bioxcel Therapeutics, Inc. (a)   5,034   93,935
Chimerix, Inc. (a)   19,566   24,653
Coherus Biosciences, Inc. (a)   12,019   82,210
Collegium Pharmaceutical, Inc. (a)   5,348   128,299

 

See accompanying notes.

11


 

    Schedule of Investments        
    Principal Healthcare Innovators ETF        
    March 31, 2023 (unaudited)        
 
COMMON STOCKS (continued)   Shares Held   Value  
 
Pharmaceuticals (continued)          
Eagle Pharmaceuticals, Inc. (a)   2,221 $ 63,010  
Elanco Animal Health, Inc. (a)   66,017   620,560  
Enanta Pharmaceuticals, Inc. (a)   3,071   124,191  
Fulcrum Therapeutics, Inc. (a)   9,402   26,796  
Heron Therapeutics, Inc. (a)   19,387   29,274  
Heska Corp. (a)   1,641   160,194  
KalVista Pharmaceuticals, Inc. (a)   6,367   50,045  
Kura Oncology, Inc. (a)   9,775   119,548  
Lyell Immunopharma, Inc. (a),(b)   35,322   83,360  
Madrigal Pharmaceuticals, Inc. (a)   2,528   612,433  
MannKind Corp. (a)   38,580   158,178  
Mirum Pharmaceuticals, Inc. (a)   5,632   135,281  
Morphic Holding, Inc. (a)   5,861   220,608  
Ocugen, Inc. (a)   36,876   31,459  
Ocular Therapeutix, Inc. (a)   14,316   75,445  
Perrigo Co. PLC   18,774   673,423  
PMV Pharmaceuticals, Inc. (a)   7,214   34,411  
Prometheus Biosciences, Inc. (a)   5,842   626,964  
Protagonist Therapeutics, Inc. (a)   8,216   188,968  
Reata Pharmaceuticals, Inc., Class A (a)   4,937   448,872  
Relmada Therapeutics, Inc. (a)   6,336   14,319  
Revance Therapeutics, Inc. (a)   10,663   343,455  
Senseonics Holdings, Inc. (a),(b)   73,765   52,373  
Seres Therapeutics, Inc. (a)   18,712   106,097  
SIGA Technologies, Inc.   11,303   64,992  
Vaxcyte, Inc. (a)   9,406   352,537  
Y-mAbs Therapeutics, Inc. (a)   6,781   33,973  
        $ 7,363,676  
 
Software — 0.26%          
Outset Medical, Inc. (a)   7,363   135,479  
 
Transportation — 0.33%          
CryoPort, Inc. (a)   7,057   169,368  
TOTAL COMMON STOCKS     $ 51,474,653  
INVESTMENT COMPANIES — 1.47%   Shares Held   Value  
 
Money Market Funds — 1.47%          
Principal Government Money Market Fund — Class R-6 4.72% (c),(d),(e) 667,298 $ 667,298  
State Street Institutional U.S. Government Money Market Fund — Institutional        
Class 1.49% (e)   88,040   88,040  
TOTAL INVESTMENT COMPANIES     $ 755,338  
Total Investments     $ 52,229,991  
Other Assets and Liabilities — (1.33)%       (684,579 )
 
Total Net Assets — 100.00%     $ 51,545,412  
 
(a) Non-income producing security.          
(b) Security or a portion of the security was on loan. At the end of the period, the value of these securities totaled $628,444 or  
  1.22% of net assets.          
(c) Affiliated Security. Security is either an affiliate (and registered under the Investment Company Act of 1940) or an affiliate  
  as defined by the Investment Company Act of 1940 (controls 5.00% or more of the outstanding voting shares of the security).  
  Please see Affiliated Securities sub-schedule for transactional information.        
(d) Security or a portion of the security was received as collateral for securities lending. At the end of the period, the value of  
  these securities totaled $667,298 or 1.29% of net assets.        
(e) Current yield shown is as of period end.          
 
 
 
 
See accompanying notes. 12        

 


 

      Schedule of Investments            
      Principal Healthcare Innovators ETF    
      March 31, 2023 (unaudited)            
 
Portfolio Summary                  
Sector         Percent            
Consumer, Non-cyclical           98.76 %          
Money Market Funds           1.47 %          
Industrial           0.75 %          
Technology           0.26 %          
Basic Materials           0.09 %          
Other Assets and Liabilities           (1.33 )%          
TOTAL NET ASSETS           100.00 %          
 
      June 30, 2022   Purchases       Sales   March 31, 2023
Affiliated Securities     Value     Cost       Proceeds   Value
Principal Government Money                        
Market Fund — Class R-6 4.72%   $   $ 5,482,808     $ 4,815,510 $ 667,298
Principal Government Money                        
Market Fund — Institutional Class                        
4.67 %   1,097,187     11,867,549       12,964,736  
    $ 1,097,187 $ 17,350,357   $ 17,780,246 $ 667,298
 
                  Realized Gain    
            Realized       from   Change in
          Gain/(Loss) on     Capital Gain   Unrealized
      Income (a)   Investments     Distributions   Gain/(Loss)
Principal Government Money                        
Market Fund — Class R-6 4.72%   $   $     $ $
Principal Government Money                        
Market Fund — Institutional Class                        
4.67 %              
    $   $     $ $
 
(a) Amount excludes earnings from securities lending collateral.                  

 

See accompanying notes.

13


 

  Schedule of Investments    
Principal International Adaptive Multi-Factor ETF    
  March 31, 2023 (unaudited)    
 
COMMON STOCKS — 97.77% Shares Held   Value
 
Advertising — 0.55%      
Dentsu Group, Inc. 500 $ 17,511
Hakuhodo DY Holdings, Inc. 1,000   11,260
Publicis Groupe SA (a) 383   29,815
WPP PLC 2,183   25,814
    $ 84,400
 
Aerospace & Defense — 1.26%      
Airbus SE 195   26,071
BAE Systems PLC 4,150   50,304
Dassault Aviation SA 99   19,605
Elbit Systems Ltd. 30   5,081
MTU Aero Engines AG 34   8,503
Rheinmetall AG 59   17,506
Rolls-Royce Holdings PLC (a) 9,577   17,605
Safran SA 163   24,137
Singapore Technologies Engineering Ltd. 800   2,200
Thales SA 146   21,589
    $ 192,601
 
Agriculture — 0.92%      
British American Tobacco PLC 1,661   58,202
Imperial Brands PLC 1,525   35,066
Japan Tobacco, Inc. 1,500   31,610
Wilmar International Ltd. 5,100   16,134
    $ 141,012
 
Airlines — 0.28%      
Air Canada (a) 517   7,326
Deutsche Lufthansa AG (a) 1,309   14,565
Qantas Airways Ltd. (a) 2,831   12,528
Singapore Airlines Ltd. 2,000   8,611
    $ 43,030
 
Apparel — 2.18%      
Burberry Group PLC 269   8,581
Gildan Activewear, Inc. 475   15,781
Hermes International 21   42,452
Kering SA 54   35,138
LVMH Moet Hennessy Louis Vuitton SE 245   224,359
Puma SE 121   7,461
    $ 333,772
 
Auto Manufacturers — 3.09%      
Bayerische Motoren Werke AG 444   48,604
Daimler Truck Holding AG 540   18,219
Ferrari NV 119   32,173
Honda Motor Co. Ltd. 1,500   39,654
Isuzu Motors Ltd. 1,200   14,271
Mazda Motor Corp. 1,300   11,994
Mercedes-Benz Group AG 544   41,758
Renault SA 365   14,884
Stellantis NV 2,640   47,916
Subaru Corp. 1,100   17,518
Toyota Motor Corp. 9,400   133,097
Volkswagen AG 39   6,683
Volvo AB, Class B 1,296   26,703
Volvo AB, Class A 614   13,192

 

See accompanying notes.

14


 

  Schedule of Investments    
Principal International Adaptive Multi-Factor ETF    
  March 31, 2023 (unaudited)    
 
COMMON STOCKS (continued) Shares Held   Value
 
Auto Manufacturers (continued)      
Volvo Car AB, Class B (a) 1,444 $ 6,288
    $ 472,954
 
Auto Parts & Equipment — 0.28%      
Cie Generale des Etablissements Michelin SCA 361   11,019
Continental AG 92   6,876
NGK Insulators Ltd. 900   11,876
Valeo SA 634   13,002
    $ 42,773
 
Banks — 9.78%      
ABN AMRO Bank NV, GDR (b) 862   13,667
AIB Group PLC 2,982   12,102
ANZ Group Holdings Ltd. 1,511   23,160
Banco Bilbao Vizcaya Argentaria SA 6,881   49,036
Banco Santander SA 11,499   42,725
Bank Hapoalim BM 2,416   19,987
Bank Leumi Le-Israel BM 2,822   21,188
Bank of Ireland Group PLC 2,303   23,288
Bank of Montreal 551   49,078
Bank of Nova Scotia 537   27,047
Banque Cantonale Vaudoise 135   12,733
Barclays PLC 7,376   13,266
BNP Paribas SA 752   45,026
BOC Hong Kong Holdings Ltd. 3,500   10,901
CaixaBank SA 4,936   19,186
Canadian Imperial Bank of Commerce 448   18,997
Chiba Bank Ltd. 2,100   13,523
Commerzbank AG 1,612   16,961
Commonwealth Bank of Australia 759   49,883
Concordia Financial Group Ltd. 3,700   13,599
Credit Agricole SA 1,776   20,027
Danske Bank A/S (a) 426   8,558
DBS Group Holdings Ltd. 1,600   39,675
Deutsche Bank AG 1,094   11,100
DNB Bank ASA 720   12,884
Erste Group Bank AG 498   16,472
FinecoBank Banca Fineco SpA 983   15,074
Hang Seng Bank Ltd. 695   9,890
HSBC Holdings PLC 17,656   119,727
ING Groep NV (a) 2,714   32,171
Intesa Sanpaolo SpA 5,897   15,141
Israel Discount Bank Ltd., Class A 3,883   18,950
KBC Group NV 280   19,222
Lloyds Banking Group PLC 53,580   31,511
Macquarie Group Ltd. 191   22,427
Mediobanca Banca di Credito Finanziario SpA 1,487   14,946
Mitsubishi UFJ Financial Group, Inc. 10,600   67,692
Mizrahi Tefahot Bank Ltd. 509   15,881
Mizuho Financial Group, Inc. 3,000   42,433
National Australia Bank Ltd. 1,487   27,553
National Bank of Canada 373   26,680
NatWest Group PLC 2,880   9,365
Nordea Bank Abp 1,352   14,412
Oversea-Chinese Banking Corp. Ltd. 3,300   30,674
Royal Bank of Canada 733   70,100
Skandinaviska Enskilda Banken AB, Class A 1,766   19,457
Societe Generale SA 889   20,039

 

See accompanying notes.

15


 

  Schedule of Investments    
Principal International Adaptive Multi-Factor ETF    
  March 31, 2023 (unaudited)    
 
COMMON STOCKS (continued) Shares Held   Value
 
Banks (continued)      
Standard Chartered PLC 2,641 $ 20,010
Sumitomo Mitsui Financial Group, Inc. 1,200   47,883
Svenska Handelsbanken AB, Class A 972   8,414
Swedbank AB, Class A 1,063   17,427
Toronto-Dominion Bank 838   50,193
UBS Group AG (a) 2,250   47,437
UniCredit SpA 783   14,784
United Overseas Bank Ltd. 800   17,890
Westpac Banking Corp. 1,720   24,903
    $ 1,496,355
 
Beverages — 2.27%      
Anheuser-Busch InBev SA 410   27,270
Asahi Group Holdings Ltd. 600   22,251
Budweiser Brewing Co. APAC Ltd. (a),(b) 1,900   5,797
Carlsberg AS, Class B 73   11,297
Coca-Cola Europacific Partners PLC 479   28,352
Coca-Cola HBC AG (a) 558   15,233
Davide Campari-Milano NV 1,258   15,348
Diageo PLC 974   43,423
Endeavour Group Ltd. 2,007   9,083
Heineken Holding NV 202   18,522
Heineken NV 390   41,898
JDE Peet's NV 647   18,819
Kirin Holdings Co. Ltd. 1,300   20,522
Pernod Ricard SA 175   39,609
Remy Cointreau SA 36   6,559
Suntory Beverage & Food Ltd. 400   14,867
Treasury Wine Estates Ltd. 946   8,265
    $ 347,115
 
Biotechnology — 0.61%      
Argenx SE (a) 12   4,435
Argenx SE (a) 24   8,868
Bachem Holding AG, Class B (a) 66   6,593
CSL Ltd. 204   39,314
Genmab A/S (a) 69   26,005
Swedish Orphan Biovitrum AB (a) 316   7,353
    $ 92,568
 
Chemicals — 2.67%      
Air Liquide SA 215   35,954
Arkema SA 145   14,278
BASF SE 690   36,188
Brenntag SE 226   16,961
Chr Hansen Holding A/S 90   6,826
Clariant AG (a) 497   8,208
Croda International PLC 104   8,337
EMS-Chemie Holding AG (a) 3   2,472
Evonik Industries AG 311   6,530
Givaudan SA 5   16,247
ICL Group Ltd. 2,107   14,138
Johnson Matthey PLC 505   12,357
Nippon Sanso Holdings Corp. 700   12,558
Nissan Chemical Corp. 400   18,046
Nitto Denko Corp. 300   19,318
Novozymes A/S, Class B 150   7,662
Nutrien Ltd. 401   29,614

 

See accompanying notes.

16


 

  Schedule of Investments    
Principal International Adaptive Multi-Factor ETF    
  March 31, 2023 (unaudited)    
 
COMMON STOCKS (continued) Shares Held   Value
 
Chemicals (continued)      
OCI NV (a) 432 $ 14,645
Shin-Etsu Chemical Co. Ltd. 1,500   48,296
Solvay SA (a) 199   22,736
Sumitomo Chemical Co. Ltd. 3,800   12,736
Symrise AG 27   2,934
Tosoh Corp. 900   12,181
Umicore SA 441   14,927
Yara International ASA 341   14,783
    $ 408,932
 
Commercial Services — 2.44%      
Adecco Group AG (a) 191   6,920
Adyen NV (a),(b) 9   14,243
Amadeus IT Group SA (a) 394   26,347
Ashtead Group PLC 396   24,220
Brambles Ltd. 2,124   19,068
Bureau Veritas SA 82   2,354
Edenred 357   21,116
Element Fleet Management Corp. 1,000   13,134
Experian PLC 412   13,519
IDP Education Ltd. 353   6,444
Intertek Group PLC 351   17,549
Persol Holdings Co. Ltd. 600   11,993
Randstad NV 222   13,145
Recruit Holdings Co. Ltd. 1,300   35,737
RELX PLC 1,555   50,220
Rentokil Initial PLC 1,437   10,487
Ritchie Bros Auctioneers, Inc. 203   11,422
Secom Co. Ltd. 400   24,595
Securitas AB, Class B 778   6,917
SGS SA 2   4,396
TOPPAN, Inc. 700   14,050
Transurban Group 1,811   17,202
Worldline SA (a),(b) 192   8,144
    $ 373,222
 
Computers — 1.45%      
Bechtle AG 139   6,631
Capgemini SE 145   26,851
CGI, Inc. (a) 393   37,875
Check Point Software Technologies Ltd. (a) 90   11,700
Computershare Ltd. 544   7,851
Itochu Techno-Solutions Corp. 500   12,258
Logitech International SA 138   8,009
NEC Corp. 500   19,205
Nomura Research Institute Ltd. 800   18,467
NTT Data Corp. 1,300   16,958
Otsuka Corp. 400   14,114
Ricoh Co. Ltd. 1,500   11,196
SCSK Corp. 800   11,659
Teleperformance 76   18,273
    $ 221,047
 
Construction Materials — 1.78%      
AGC, Inc. 400   14,837
Cie de Saint-Gobain 667   37,846
CRH PLC 592   29,838
Daikin Industries Ltd. 200   35,632

 

See accompanying notes.

17


 

  Schedule of Investments    
Principal International Adaptive Multi-Factor ETF    
  March 31, 2023 (unaudited)    
 
COMMON STOCKS (continued) Shares Held   Value
 
Construction Materials (continued)      
Geberit AG 20 $ 11,131
HeidelbergCement AG 222   16,193
Holcim AG (a) 755   48,603
Investment AB Latour, Class B 314   6,371
James Hardie Industries PLC, CDI (a) 369   7,851
Kingspan Group PLC 120   8,204
Nibe Industrier AB, Class B 1,735   19,692
Sika AG 59   16,476
West Fraser Timber Co. Ltd. 118   8,417
Xinyi Glass Holdings Ltd. 6,000   10,747
    $ 271,838
 
Distribution/Wholesale — 1.62%      
Bunzl PLC 537   20,251
D'ieteren Group (a) 31   6,015
IMCD NV 50   8,155
ITOCHU Corp. 1,400   45,350
Marubeni Corp. 2,100   28,398
Mitsubishi Corp. 1,100   39,361
Mitsui & Co. Ltd. 1,300   40,300
Sumitomo Corp. 1,700   29,973
Toromont Industries Ltd. 104   8,536
Toyota Tsusho Corp. 500   21,164
    $ 247,503
 
Diversified Financial Services — 1.52%      
abrdn PLC 2,329   5,847
AerCap Holdings NV (a) 129   7,254
Amundi SA (b) 200   12,591
ASX Ltd. 53   2,303
Brookfield Asset Management Ltd., Class A 233   7,632
Deutsche Boerse AG 178   34,641
Euronext NV (a),(b) 188   14,390
Futu Holdings Ltd., ADR (a) 230   11,925
IGM Financial, Inc. 339   10,131
Julius Baer Group Ltd. 255   17,369
London Stock Exchange Group PLC 50   4,853
Mitsubishi HC Capital, Inc. 2,600   13,394
Nomura Holdings, Inc. 5,400   20,730
ORIX Corp. 1,500   24,589
SBI Holdings, Inc. 700   13,834
Schroders PLC 1,214   6,889
Singapore Exchange Ltd. 1,400   9,889
TMX Group Ltd. 138   13,938
    $ 232,199
 
Electric — 2.76%      
BKW AG 122   19,174
Brookfield Renewable Corp., Class A 452   15,806
CLP Holdings Ltd. 528   3,814
E.ON SE 2,320   28,934
EDP - Energias de Portugal SA (a) 2,218   12,066
Elia Group SA 64   8,440
Emera, Inc. 229   9,407
Endesa SA 1,105   23,967
Enel SpA 3,804   23,214
Engie SA 1,922   30,378
Fortis, Inc. 316   13,433

 

See accompanying notes.

18


 

Schedule of Investments      
Principal International Adaptive Multi-Factor ETF    
March 31, 2023 (unaudited)      
 
COMMON STOCKS (continued) Shares Held   Value
 
Electric (continued)      
Hydro One Ltd. (b) 614 $ 17,482
Iberdrola SA (a) 4,752   59,188
Mercury NZ Ltd. 1,870   7,378
Meridian Energy Ltd. 2,425   7,961
National Grid PLC 1,826   24,699
Northland Power, Inc. 634   15,893
Origin Energy Ltd. 2,814   15,594
Orsted AS (b) 110   9,342
Power Assets Holdings Ltd. 500   2,682
Red Electrica Corp. SA 546   9,593
RWE AG 691   29,706
SSE PLC 686   15,258
Terna - Rete Elettrica Nazionale 1,357   11,135
Verbund AG 86   7,461
    $ 422,005
 
Electrical Components & Equipment — 1.01%      
ABB Ltd. 1,302   44,640
Legrand SA 292   26,626
Prysmian SpA 603   25,308
Schneider Electric SE 350   58,333
    $ 154,907
 
Electronics — 0.90%      
Assa Abloy AB, Class B 499   11,938
Halma PLC 293   8,057
Hirose Electric Co. Ltd. 100   13,007
Hoya Corp. 300   32,898
Ibiden Co. Ltd. 400   15,846
Murata Manufacturing Co. Ltd. 100   6,055
Shimadzu Corp. 545   16,993
TDK Corp. 700   24,911
Venture Corp. Ltd. 573   7,608
    $ 137,313
 
Energy — Alternate Sources — 0.18%      
Corp ACCIONA Energias Renovables SA (a) 335   12,992
Siemens Gamesa Renewable Energy SA (a) 87   1,703
Vestas Wind Systems A/S (a) 418   12,109
    $ 26,804
 
Engineering & Construction — 1.68%      
Acciona SA (a) 45   9,014
ACS Actividades de Construccion y Servicios SA 517   16,456
Aena SME SA (b) 52   8,397
Auckland International Airport Ltd. (a) 1,593   8,666
Bouygues SA 481   16,218
Cellnex Telecom SA (a),(b) 279   10,820
CK Infrastructure Holdings Ltd. 500   2,720
Eiffage SA 238   25,744
Ferrovial SA 396   11,634
Infrastrutture Wireless Italiane SpA (b) 964   12,671
Kajima Corp. 1,300   15,646
Keppel Corp. Ltd. 3,600   15,230
Skanska AB, Class B 411   6,278
Vinci SA 631   72,346

 

See accompanying notes.

19


 

  Schedule of Investments    
Principal International Adaptive Multi-Factor ETF    
  March 31, 2023 (unaudited)    
 
COMMON STOCKS (continued) Shares Held   Value
 
Engineering & Construction (continued)      
WSP Global, Inc. 191 $ 25,019
    $ 256,859
 
Entertainment — 0.73%      
Aristocrat Leisure Ltd. 476   11,836
Evolution AB (b) 173   23,139
Flutter Entertainment PLC (a) 139   25,273
Genting Singapore Ltd. (a) 10,000   8,416
La Francaise des Jeux SAEM (b) 359   14,947
Lottery Corp. Ltd. 2,538   8,686
Universal Music Group NV 751   18,981
    $ 111,278
 
Environmental Control — 0.05%      
GFL Environmental, Inc. 200   6,896
 
Food — 4.93%      
Associated British Foods PLC 695   16,633
Barry Callebaut AG 4   8,477
Carrefour SA (a) 436   8,809
Chocoladefabriken Lindt & Spruengli AG 1   11,804
CK Hutchison Holdings Ltd. 2,500   15,510
Coles Group Ltd. 1,045   12,587
Danone SA 332   20,635
Empire Co. Ltd., Class A 616   16,513
George Weston Ltd. 204   27,034
J Sainsbury PLC 6,816   23,434
Jeronimo Martins SGPS SA (a) 736   17,257
Kerry Group PLC, Class A 31   3,088
Kesko Oyj, Class B 752   16,152
Koninklijke Ahold Delhaize NV 1,417   48,392
Loblaw Cos. Ltd. 216   19,685
MEIJI Holdings Co. Ltd. 600   14,257
Metro, Inc. 407   22,387
Mowi ASA 841   15,535
Nestle SA 2,432   296,268
Orkla ASA 2,151   15,257
Salmar ASA 146   6,356
Saputo, Inc. 325   8,409
Seven & i Holdings Co. Ltd. 900   40,501
Tesco PLC 4,829   15,828
WH Group Ltd. (b) 36,500   21,761
Woolworths Group Ltd. 1,233   31,237
    $ 753,806
 
Food Service — 0.41%      
Compass Group PLC 1,529   38,346
Sodexo SA 255   24,906
    $ 63,252
 
Forest Products & Paper — 0.45%      
Holmen AB, Class B 311   11,962
Mondi PLC 1,053   16,653
Oji Holdings Corp. 3,100   12,234
Smurfit Kappa Group PLC 434   15,687
UPM-Kymmene Oyj 366   12,285
    $ 68,821

 

See accompanying notes.

20


 

  Schedule of Investments    
Principal International Adaptive Multi-Factor ETF    
  March 31, 2023 (unaudited)    
 
COMMON STOCKS (continued) Shares Held   Value
 
Gas — 0.54%      
AltaGas Ltd. 899 $ 14,987
Canadian Utilities Ltd., Class A 480   13,375
Enagas SA 456   8,753
Hong Kong & China Gas Co. Ltd. 3,250   2,861
Naturgy Energy Group SA 503   15,138
Snam SpA 2,060   10,922
Tokyo Gas Co. Ltd. 900   16,919
    $ 82,955
 
Hand/Machine Tools — 0.48%      
Disco Corp. 300   34,570
Fuji Electric Co. Ltd. 400   15,666
Schindler Holding AG 31   6,847
Schindler Holding AG 28   5,906
Techtronic Industries Co. Ltd. 1,000   10,809
    $ 73,798
 
Healthcare — Products — 1.20%      
Alcon, Inc. 68   4,808
Carl Zeiss Meditec AG 48   6,663
Cochlear Ltd. 115   18,195
Coloplast A/S, Class B 96   12,603
Demant A/S (a) 175   6,119
DiaSorin SpA 54   5,684
EBOS Group Ltd. 487   14,160
EssilorLuxottica SA 136   24,484
Fisher & Paykel Healthcare Corp. Ltd. 448   7,465
Lifco AB, Class B 343   7,370
Olympus Corp. 1,500   26,193
QIAGEN NV (a) 230   10,454
Sartorius Stedim Biotech 23   7,034
Siemens Healthineers AG (b) 174   10,005
Smith & Nephew PLC 197   2,727
Sonova Holding AG 34   9,981
Straumann Holding AG 69   10,283
    $ 184,228
 
Healthcare — Services — 0.59%      
BioMerieux (a) 129   13,570
Eurofins Scientific SE 118   7,888
Fresenius Medical Care AG & Co. KGaA 192   8,142
Fresenius SE & Co. KGaA 318   8,570
Lonza Group AG 29   17,350
Medibank Pvt Ltd. 7,106   15,960
Ramsay Health Care Ltd. 53   2,358
Sonic Healthcare Ltd. 713   16,605
    $ 90,443
 
Holding Companies — Diversified — 0.22%      
Jardine Matheson Holdings Ltd. 383   18,603
Swire Pacific Ltd., Class A 2,000   15,363
    $ 33,966
 
Home Builders — 0.67%      
Barratt Developments PLC 1,216   6,998
Berkeley Group Holdings PLC 118   6,109
Daiwa House Industry Co. Ltd. 900   21,108

 

See accompanying notes.

21


 

Schedule of Investments      
Principal International Adaptive Multi-Factor ETF    
March 31, 2023 (unaudited)      
 
COMMON STOCKS (continued) Shares Held   Value
 
Home Builders (continued)      
Iida Group Holdings Co. Ltd. 700 $ 11,383
Open House Group Co. Ltd. 300   11,184
Persimmon PLC 436   6,755
Sekisui Chemical Co. Ltd. 800   11,303
Sekisui House Ltd. 1,000   20,320
Taylor Wimpey PLC 4,706   6,906
    $ 102,066
 
Home Furnishings — 0.73%      
Rational AG 8   5,353
SEB SA 56   6,365
Sony Group Corp. 1,100   99,292
    $ 111,010
 
Household Products — 1.61%      
Beiersdorf AG 86   11,187
Essity AB, Class B 420   11,994
Haleon PLC 3,198   12,703
L'Oreal SA 175   78,050
Unilever PLC 2,545   131,546
    $ 245,480
 
Household Products/Wares — 0.36%      
Henkel AG & Co. KGaA 127   9,228
Reckitt Benckiser Group PLC 598   45,427
    $ 54,655
 
Insurance — 4.78%      
Aegon NV 1,743   7,469
Ageas SA 220   9,510
AIA Group Ltd. 10,600   111,605
Allianz SE 295   68,081
Assicurazioni Generali SpA 1,269   25,295
AXA SA 1,568   47,894
Baloise Holding AG 62   9,649
Fairfax Financial Holdings Ltd. 35   23,277
Gjensidige Forsikring ASA 92   1,505
Great-West Lifeco, Inc. 891   23,615
Hannover Rueck SE 139   27,187
iA Financial Corp., Inc. 281   17,810
Insurance Australia Group Ltd. 2,886   9,048
Intact Financial Corp. 251   35,922
Japan Post Holdings Co. Ltd. 2,900   23,512
Manulife Financial Corp. 2,571   47,178
Muenchener Rueckversicherungs-Gesellschaft AG in Muenchen 69   24,133
NN Group NV 288   10,451
Phoenix Group Holdings PLC 298   2,009
Power Corp. of Canada 486   12,421
Prudential PLC 1,049   14,260
QBE Insurance Group Ltd. 1,862   18,159
Sampo Oyj, Class A 787   37,110
Sun Life Financial, Inc. 421   19,668
Suncorp Group Ltd. 2,256   18,262
Swiss Life Holding AG 23   14,158
Swiss Re AG 306   31,384
Tokio Marine Holdings, Inc. 1,600   30,693
Tryg A/S 106   2,313

 

See accompanying notes.

22


 

Schedule of Investments      
Principal International Adaptive Multi-Factor ETF    
March 31, 2023 (unaudited)      
 
COMMON STOCKS (continued) Shares Held   Value
 
Insurance (continued)      
Zurich Insurance Group AG 17 $ 8,133
    $ 731,711
 
Internet — 1.01%      
Adevinta ASA (a) 781   5,539
Auto Trader Group PLC (b) 1,276   9,699
Delivery Hero SE (a),(b) 183   6,226
Prosus NV (a) 543   42,364
Scout24 SE (b) 105   6,229
SEEK Ltd. 406   6,492
Shopify, Inc., Class A (a) 1,000   47,947
United Internet AG 609   10,481
Wix.com Ltd. (a) 61   6,088
ZOZO, Inc. 600   13,624
    $ 154,689
 
Investment Companies — 0.37%      
EXOR NV (a) 30   2,467
Groupe Bruxelles Lambert NV 29   2,469
Industrivarden AB, Class A 209   5,632
Industrivarden AB, Class C 215   5,784
Melrose Industries PLC 3,351   6,883
Washington H Soul Pattinson & Co. Ltd. 1,017   20,530
Wendel SE (a) 125   13,197
    $ 56,962
 
Iron & Steel — 0.89%      
ArcelorMittal SA (a) 327   9,883
BlueScope Steel Ltd. 530   7,139
Fortescue Metals Group Ltd. 2,495   37,508
JFE Holdings, Inc. 1,400   17,704
Mineral Resources Ltd. 279   15,030
Nippon Steel Corp. 1,300   30,548
voestalpine AG 561   19,031
    $ 136,843
 
Leisure Time — 0.37%      
BRP, Inc. 273   21,363
Shimano, Inc. 100   17,202
Yamaha Motor Co. Ltd. 700   18,242
    $ 56,807
 
Lodging — 0.39%      
Accor SA (a) 215   6,988
City Developments Ltd. 2,300   12,737
Galaxy Entertainment Group Ltd. (a) 1,000   6,682
InterContinental Hotels Group PLC 161   10,550
Sands China Ltd. (a) 2,400   8,347
Whitbread PLC 375   13,818
    $ 59,122
 
Machinery — Construction & Mining — 1.09%      
Epiroc AB, Class A 465   9,220
Epiroc AB, Class B 428   7,276
Hitachi Construction Machinery Co. Ltd. 600   13,896
Hitachi Ltd. 900   49,157
Komatsu Ltd. 1,300   32,085

 

See accompanying notes.

23


 

Schedule of Investments      
Principal International Adaptive Multi-Factor ETF    
March 31, 2023 (unaudited)      
 
COMMON STOCKS (continued) Shares Held   Value
 
Machinery — Construction & Mining (continued)      
Metso Outotec Oyj 1,303 $ 14,188
Mitsubishi Heavy Industries Ltd. 600   22,034
Sandvik AB 502   10,631
Siemens Energy AG (a) 377   8,275
    $ 166,762
 
Machinery — Diversified — 1.25%      
Atlas Copco AB, Class A 1,170   14,828
Atlas Copco AB, Class B 1,750   20,095
CNH Industrial NV 1,305   19,927
GEA Group AG 358   16,287
Keyence Corp. 200   97,082
Kone Oyj, Class B 175   9,110
Spirax-Sarco Engineering PLC 57   8,336
Wartsila OYJ Abp 636   5,992
    $ 191,657
 
Media — 0.88%      
Bollore SE 2,414   14,896
Informa PLC 1,276   10,902
Pearson PLC 1,508   15,708
Quebecor, Inc., Class B 917   22,669
Shaw Communications, Inc., Class B 639   19,121
Thomson Reuters Corp. 127   16,524
Vivendi SE 222   2,239
Wolters Kluwer NV 255   32,176
    $ 134,235
 
Metal Fabrication & Hardware — 0.35%      
Norsk Hydro ASA 2,259   16,786
SKF AB, Class B 366   7,194
Tenaris SA 1,452   20,629
VAT Group AG (b) 23   8,250
    $ 52,859
 
Mining — 2.68%      
Anglo American PLC 506   16,716
Antofagasta PLC 387   7,548
BHP Group Ltd. 4,480   141,438
Boliden AB 426   16,738
First Quantum Minerals Ltd. 477   10,966
Franco-Nevada Corp. 117   17,066
Glencore PLC (a) 7,413   42,486
IGO Ltd. 803   6,854
Lundin Mining Corp. 1,089   7,397
Northern Star Resources Ltd. 931   7,661
Pilbara Minerals Ltd. 8,035   21,162
Rio Tinto Ltd. 329   26,421
Rio Tinto PLC 380   25,679
South32 Ltd. 6,286   18,362
Sumitomo Metal Mining Co. Ltd. 500   19,013
Teck Resources Ltd., Class B 329   12,013
Wheaton Precious Metals Corp. 259   12,474
    $ 409,994
 
Miscellaneous Manufacturers — 0.62%      
Alfa Laval AB 210   7,480

 

See accompanying notes.

24


 

  Schedule of Investments    
Principal International Adaptive Multi-Factor ETF    
  March 31, 2023 (unaudited)    
 
COMMON STOCKS (continued) Shares Held   Value
 
Miscellaneous Manufacturers (continued)      
Alstom SA 256 $ 6,963
Indutrade AB 337   7,146
Knorr-Bremse AG 95   6,314
Orica Ltd. 848   8,724
Siemens AG 300   48,562
Smiths Group PLC 428   9,063
    $ 94,252
 
Office & Business Equipment — 0.09%      
Seiko Epson Corp. 1,000   14,167
 
Oil & Gas — 5.70%      
Aker BP ASA 623   15,251
Ampol Ltd. 1,042   21,237
ARC Resources Ltd. 1,317   14,939
BP PLC 16,046   101,109
Canadian Natural Resources Ltd. 774   42,832
Cenovus Energy, Inc. 1,510   26,345
DCC PLC 162   9,429
Eni SpA 3,103   43,431
Equinor ASA 899   25,648
Galp Energia SGPS SA (a) 1,182   13,408
Idemitsu Kosan Co. Ltd. 600   13,105
Imperial Oil Ltd. 382   19,426
Inpex Corp. 1,700   17,887
Neste Oyj 213   10,494
OMV AG 462   21,174
Parkland Corp. 575   13,785
Repsol SA 2,129   32,752
Santos Ltd. 3,992   18,412
Shell PLC 6,241   177,729
Suncor Energy, Inc. 1,118   34,711
TotalEnergies SE 2,200   129,698
Tourmaline Oil Corp. 479   19,961
Woodside Energy Group Ltd. 2,215   49,364
    $ 872,127
 
Oil & Gas Services — 0.04%      
Sembcorp Marine Ltd. (a) 71,127   6,360
 
Packaging & Containers — 0.21%      
CCL Industries, Inc., Class B 514   25,534
Stora Enso Oyj, Class R 550   7,146
    $ 32,680
 
Pharmaceuticals — 7.60%      
Amplifon SpA 205   7,101
Astellas Pharma, Inc. 100   1,418
AstraZeneca PLC 1,371   189,963
Bayer AG 698   44,450
Chugai Pharmaceutical Co. Ltd. 1,000   24,628
Daiichi Sankyo Co. Ltd. 1,600   58,107
GSK PLC 3,224   56,833
Hikma Pharmaceuticals PLC 395   8,162
Ipsen SA (a) 162   17,832
Merck KGaA 62   11,535
Nippon Shinyaku Co. Ltd. 300   13,173
Novartis AG 985   90,173
Novo Nordisk A/S, Class B 1,464   231,406

 

See accompanying notes.

25


 

  Schedule of Investments    
Principal International Adaptive Multi-Factor ETF    
  March 31, 2023 (unaudited)    
 
COMMON STOCKS (continued) Shares Held   Value
 
Pharmaceuticals (continued)      
Ono Pharmaceutical Co. Ltd. 800 $ 16,654
Orion Oyj, Class B 317   14,161
Recordati Industria Chimica e Farmaceutica SpA 200   8,450
Roche Holding AG 33   9,919
Roche Holding AG 622   177,399
Sanofi 872   94,795
Shionogi & Co. Ltd. 500   22,508
Takeda Pharmaceutical Co. Ltd. 1,400   45,867
Teva Pharmaceutical Industries Ltd., ADR (a) 1,765   15,620
UCB SA (a) 30   2,682
    $ 1,162,836
 
Pipelines — 0.36%      
APA Group 1,454   9,836
Enbridge, Inc. 261   9,951
Keyera Corp. 99   2,168
Pembina Pipeline Corp. 811   26,271
TC Energy Corp. 184   7,157
    $ 55,383
 
Private Equity — 0.50%      
3i Group PLC 1,026   21,327
Brookfield Corp. 553   18,016
Capitaland Investment Ltd. 5,800   16,038
EQT AB 368   7,467
Eurazeo SE 181   12,857
    $ 75,705
 
Real Estate — 1.24%      
Aroundtown SA (a) 3,471   4,943
Azrieli Group Ltd. 135   7,726
CK Asset Holdings Ltd. 2,000   12,140
Fastighets AB Balder, Classs B (a) 3,090   12,656
FirstService Corp. 111   15,640
Hang Lung Properties Ltd. 2,000   3,740
Henderson Land Development Co. Ltd. 1,000   3,459
Hongkong Land Holdings Ltd. 516   2,265
Hulic Co. Ltd. 1,600   13,099
LEG Immobilien SE (a) 114   6,241
Mitsui Fudosan Co. Ltd. 1,300   24,321
Nomura Real Estate Holdings, Inc. 500   11,034
REA Group Ltd. 74   6,828
Sagax AB, Class B 299   6,879
Sino Land Co. Ltd. 6,000   8,117
Sun Hung Kai Properties Ltd. 1,000   14,013
Swire Properties Ltd. 5,200   13,381
Swiss Prime Site AG 26   2,161
UOL Group Ltd. 2,800   14,581
Wharf Real Estate Investment Co. Ltd. 1,000   5,745
    $ 188,969
 
REITs — 1.13%      
British Land Co. PLC 2,793   13,361
Canadian Apartment Properties REIT 70   2,456
CapitaLand Ascendas REIT 7,600   16,333
CapitaLand Integrated Commercial Trust 6,517   9,696
Dexus 1,711   8,589
Gecina SA 57   5,907

 

See accompanying notes.

26


 

  Schedule of Investments    
Principal International Adaptive Multi-Factor ETF    
  March 31, 2023 (unaudited)    
 
COMMON STOCKS (continued) Shares Held   Value
 
REITs (continued)      
Goodman Group 879 $ 11,040
GPT Group 728   2,063
Klepierre SA (a) 857   19,378
Land Securities Group PLC 932   7,142
Link REIT 1,540   9,907
Mapletree Logistics Trust 6,200   7,967
Mapletree Pan Asia Commercial Trust 6,100   8,251
Mirvac Group 6,229   8,661
RioCan Real Estate Investment Trust 144   2,172
Scentre Group 1,313   2,414
Stockland 6,329   16,838
Vicinity Ltd. 6,239   8,112
Warehouses De Pauw CVA 441   13,066
    $ 173,353
 
Retail — 2.85%      
Alimentation Couche-Tard, Inc. 756   38,010
Canadian Tire Corp. Ltd., Class A 129   16,834
Cie Financiere Richemont SA, Class A 170   27,109
Dollarama, Inc. 346   20,678
Fast Retailing Co. Ltd. 200   43,502
H & M Hennes & Mauritz AB, Class B 650   9,257
Industria de Diseno Textil SA 878   29,423
Jardine Cycle & Carriage Ltd. 800   18,804
JD Sports Fashion PLC 9,607   21,065
Kingfisher PLC 4,070   13,114
Mercedes-Benz Finance North America LLC 300   15,839
Moncler SpA 257   17,710
Next PLC 286   23,187
Pan Pacific International Holdings Corp. 800   15,418
Pandora A/S 240   22,898
Reece Ltd. 555   6,437
Restaurant Brands International, Inc. 352   23,631
Swatch Group AG 46   15,756
Swatch Group AG 193   12,192
USS Co. Ltd. 800   13,828
Welcia Holdings Co. Ltd. 600   12,807
Wesfarmers Ltd. 568   19,079
    $ 436,578
 
Semiconductors — 3.14%      
Advantest Corp. 300   27,475
ASM International NV 51   20,569
ASML Holding NV 357   242,056
Hamamatsu Photonics KK 300   16,065
Infineon Technologies AG 943   38,535
Renesas Electronics Corp. (a) 1,700   24,500
Rohm Co. Ltd. 200   16,524
STMicroelectronics NV 554   29,413
SUMCO Corp. 1,100   16,412
Tokyo Electron Ltd. 300   36,242
Tower Semiconductor Ltd. (a) 301   12,806
    $ 480,597
 
Shipbuilding — 0.08%      
Kongsberg Gruppen ASA 302   12,196

 

See accompanying notes.

27


 

  Schedule of Investments    
Principal International Adaptive Multi-Factor ETF    
  March 31, 2023 (unaudited)    
 
COMMON STOCKS (continued) Shares Held   Value
 
Software — 1.43%      
Constellation Software, Inc. 19 $ 35,721
Dassault Systemes SE 299   12,282
Descartes Systems Group, Inc. (a) 200   16,142
Nemetschek SE 100   6,863
Open Text Corp. 267   10,299
Oracle Corp. Japan 200   14,355
Sage Group PLC 1,051   10,048
SAP SE 544   68,472
Square Enix Holdings Co. Ltd. 300   14,370
TIS, Inc. 600   15,771
WiseTech Global Ltd. 316   13,759
    $ 218,082
 
Telecommunications — 3.73%      
BCE, Inc. 158   7,078
Bezeq The Israeli Telecommunication Corp. Ltd. 10,150   13,791
BT Group PLC 4,903   8,818
Deutsche Telekom AG 3,588   86,968
Elisa Oyj 277   16,691
Hikari Tsushin, Inc. 100   13,986
HKT Trust & HKT Ltd. 7,000   9,292
KDDI Corp. 1,400   43,157
Koninklijke KPN NV 5,323   18,796
Nice Ltd. (a) 38   8,508
Nippon Telegraph & Telephone Corp. 1,400   41,776
Nokia Oyj 5,134   25,141
Orange SA 3,177   37,735
Rogers Communications, Inc., Class B 53   2,456
Singapore Telecommunications Ltd. 1,600   2,958
SoftBank Corp. 3,500   40,305
SoftBank Group Corp. 1,100   42,931
Spark New Zealand Ltd. 6,902   21,838
Swisscom AG 20   12,748
Tele2 AB, Class B 911   9,063
Telecom Italia SpA (a) 18,290   6,034
Telefonaktiebolaget LM Ericsson, Class B 1,725   10,072
Telefonica Deutschland Holding AG 4,435   13,645
Telefonica SA 6,054   26,085
Telenor ASA 832   9,751
Telia Co. AB 857   2,177
Telstra Group Ltd. 6,516   18,381
TELUS Corp. 131   2,601
Vodafone Group PLC 15,477   17,049
    $ 569,831
 
Toys, Games & Hobbies — 0.38%      
Bandai Namco Holdings, Inc. 900   19,308
Nintendo Co. Ltd. 1,000   38,645
    $ 57,953
 
Transportation — 2.24%      
AP Moller - Maersk A/S, Class B 7   12,682
AP Moller - Maersk A/S, Class A 7   12,391
Aurizon Holdings Ltd. 3,688   8,283
Canadian National Railway Co. 254   29,971
Canadian Pacific Railway Ltd. 115   8,855
Deutsche Post AG 763   35,656
DSV A/S 228   44,028

 

See accompanying notes.

28


 

    Schedule of Investments    
  Principal International Adaptive Multi-Factor ETF    
    March 31, 2023 (unaudited)    
 
COMMON STOCKS (continued) Shares Held   Value
 
Transportation (continued)      
Getlink SE (a) 587 $ 9,670
Kintetsu Group Holdings Co. Ltd. 400   12,849
Kuehne + Nagel International AG 68   20,208
Mitsui OSK Lines Ltd. 700   17,451
MTR Corp. Ltd. 500   2,411
NIPPON EXPRESS HOLDINGS, Inc. 300   18,008
Nippon Yusen KK 900   20,938
Poste Italiane SpA (b) 2,085   21,282
SG Holdings Co. Ltd. 1,000   14,762
SITC International Holdings Co. Ltd. 5,000   10,739
TFI International, Inc. 239   28,519
Yamato Holdings Co. Ltd. 800   13,671
    $   342,374
 
Water — 0.17%      
Severn Trent PLC 70   2,486
United Utilities Group PLC 183   2,393
Veolia Environnement SA 690   21,252
    $   26,131
TOTAL COMMON STOCKS $   14,953,078
PREFERRED STOCKS — 0.45% Shares Held   Value
 
Auto Manufacturers — 0.28%      
Bayerische Motoren Werke AG      
  6.18% 224 $ 22,908
Porsche Automobil Holding SE      
  4.84% 128   7,346
Volkswagen AG      
  21.22% 89   12,127
    $   42,381
 
Electronics — 0.10%      
Sartorius AG      
  0.37% 35   14,690
Household Products/Wares — 0.07%      
Henkel AG & Co. KGaA      
  2.58% 148   11,566
TOTAL PREFERRED STOCKS $   68,637
INVESTMENT COMPANIES — 0.42% Shares Held   Value
 
Money Market Fund — 0.42%      
State Street Institutional U.S. Government Money Market Fund — Institutional    
Class 1.49% (c) 64,624 $ 64,624
TOTAL INVESTMENT COMPANIES $   64,624
Total Investments $   15,086,339
Other Assets and Liabilities — 1.36%     207,753
Total Net Assets — 100.00% $   15,294,092
 
(a) Non-income producing security.      
(b) Security exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in
  transactions exempt from registration, normally to qualified institutional buyers. At the end of the period, the value of these
  securities totaled $249,082 or 1.63% of net assets.    
(c) Current yield shown is as of period end.      
 
 
 
 
See accompanying notes. 29    

 


 

  Schedule of Investments  
  Principal International Adaptive Multi-Factor ETF  
  March 31, 2023 (unaudited)  
 
  Portfolio Summary  
Location Percent  
Japan 19.06 %
United Kingdom 11.96 %
France 10.81 %
Canada 9.85 %
Switzerland 7.69 %
Germany 6.95 %
Australia 6.60 %
Netherlands 4.40 %
Denmark 2.79 %
Spain 2.70 %
Sweden 2.45 %
Hong Kong 2.33 %
Italy 2.13 %
Singapore 1.76 %
Finland 1.19 %
Israel 1.12 %
Ireland 1.02 %
Norway 0.99 %
Belgium 0.83 %
United States 0.53 %
Austria 0.42 %
New Zealand 0.35 %
Luxemburg 0.28 %
Portugal 0.28 %
Mongolia 0.05 %
Jordan 0.05 %
Chile 0.05 %
Other Assets and Liabilities 1.36 %
TOTAL NET ASSETS 100.00 %

 

See accompanying notes.

30


 

  Schedule of Investments      
  Principal Investment Grade Corporate Active ETF    
  March 31, 2023 (unaudited)      
 
    Principal    
BONDS — 89.79%   Amount   Value
 
Aerospace & Defense — 3.43%      
Boeing Co.        
3.25%, 02/01/2028 $ 357,000 $ 332,656
5.71%, 05/01/2040   307,000   310,564
Lockheed Martin Corp.        
5.70%, 11/15/2054   152,000   173,091
Raytheon Technologies Corp.      
4.13%, 11/16/2028   593,000   584,471
      $ 1,400,782
 
Airlines — 7.82%        
Delta Air Lines, Inc./SkyMiles IP Ltd.      
4.75%, 10/20/2028 (a)   1,049,262   1,012,026
Southwest Airlines Co.        
5.25%, 05/04/2025   1,096,000   1,095,111
United Airlines 2016-2 Class A Pass Through Trust      
3.10%, 10/07/2028   1,256,559   1,086,303
      $ 3,193,440
 
Auto Manufacturers — 0.49%      
Mercedes-Benz Finance North America LLC      
4.80%, 04/07/2030   200,000   200,589
 
Banks — 23.24%        
Bank of America Corp.        
(6-month Secured Overnight Financing Rate + 1.06%),      
2.09%, 06/14/2029 (b)   703,000   605,432
(5-year Treasury Constant Maturity Rate + 1.20%),      
2.48%, 09/21/2036 (b)   624,000   473,882
(6-month Secured Overnight Financing Rate + 1.88%),      
2.83%, 10/24/2051 (b)   343,000   223,649
(6-month Secured Overnight Financing Rate + 1.99%),      
6.20%, 11/10/2028 (b)   355,000   371,111
Citigroup, Inc.        
(6-month Secured Overnight Financing Rate + 1.94%),      
3.79%, 03/17/2033 (b)   655,000   587,081
(6-month Secured Overnight Financing Rate + 1.54%),      
5.61%, 09/29/2026 (b)   662,000   666,934
(6-month Secured Overnight Financing Rate + 2.33%),      
6.27%, 11/17/2033 (b)   108,000   116,802
Deutsche Bank AG        
(6-month U.S. International Swaps and Derivative Association + 2.55%),      
4.88%, 12/01/2032 (b)   464,000   376,939
First Republic Bank        
4.63%, 02/13/2047   544,000   299,200
Goldman Sachs Group, Inc.      
(6-month Secured Overnight Financing Rate + 1.41%),      
3.10%, 02/24/2033 (b)   850,000   729,955
JPMorgan Chase & Co.        
(3-month Term Secured Overnight Financing Rate + 0.70%),      
1.04%, 02/04/2027 (b)   853,000   761,390
(6-month Secured Overnight Financing Rate + 2.08%),      
4.91%, 07/25/2033 (b)   385,000   382,669
Morgan Stanley        
(6-month Secured Overnight Financing Rate + 1.43%),      
2.80%, 01/25/2052 (b)   545,000   359,251
(3-month USD LIBOR + 1.34%),      
3.59%, 07/22/2028 (b)   308,000   290,927

 

See accompanying notes.

31


 

Schedule of Investments        
Principal Investment Grade Corporate Active ETF    
March 31, 2023 (unaudited)      
 
    Principal    
BONDS (continued)   Amount   Value
 
Banks (continued)        
Morgan Stanley (continued)        
5.00%, 11/24/2025 $ 269,000 $ 266,660
National Australia Bank Ltd.        
2.33%, 08/21/2030 (a)   900,000   702,713
State Street Corp.        
(6-month Secured Overnight Financing Rate + 1.57%),        
4.82%, 01/26/2034 (b)   83,000   82,542
Truist Financial Corp.        
(6-month Secured Overnight Financing Rate + 1.63%),        
5.90%, 10/28/2026 (b)   195,000   194,400
UBS Group AG        
(1-year Treasury Constant Maturity Rate + 1.75%),        
4.75%, 05/12/2028 (a),(b)   667,000   639,461
Wells Fargo & Co.        
(6-month Secured Overnight Financing Rate + 2.10%),        
2.39%, 06/02/2028 (b)   930,000   837,427
Westpac Banking Corp.        
(1-year Treasury Constant Maturity Rate + 2.68%),        
5.41%, 08/10/2033 (b)   548,000   523,707
      $ 9,492,132
 
Beverages — 2.57%        
Anheuser-Busch InBev Worldwide, Inc.        
4.38%, 04/15/2038   465,000   441,559
4.90%, 01/23/2031   386,000   397,677
PepsiCo, Inc.        
4.45%, 02/15/2033 (c)   205,000   210,409
      $ 1,049,645
 
Biotechnology — 0.56%        
Amgen, Inc.        
5.25%, 03/02/2030   138,000   141,144
5.60%, 03/02/2043   84,000   86,545
      $ 227,689
 
Commercial Services — 1.11%        
CoStar Group, Inc.        
2.80%, 07/15/2030 (a)   539,000   451,625
 
Computers — 0.79%        
Apple, Inc.        
3.95%, 08/08/2052   360,000   322,411
 
Diversified Financial Services — 1.00%        
AerCap Ireland Capital DAC/AerCap Global Aviation Trust        
3.00%, 10/29/2028   270,000   235,716
3.85%, 10/29/2041   790   604
Blackstone Holdings Finance Co. LLC        
2.85%, 08/05/2051 (a)   298,342   171,399
      $ 407,719
 
Electric — 7.62%        
Commonwealth Edison Co.        
4.00%, 03/01/2049   391,000   326,940
FirstEnergy Corp.        
5.10%, 07/15/2047   226,000   200,445

 

See accompanying notes.

32


 

  Schedule of Investments      
  Principal Investment Grade Corporate Active ETF    
  March 31, 2023 (unaudited)      
 
    Principal    
BONDS (continued)   Amount   Value
 
Electric (continued)        
Florida Power & Light Co.        
3.95%, 03/01/2048 $ 226,000 $ 194,503
Louisville Gas & Electric Co        
5.45%, 04/15/2033   109,000   113,273
Monongahela Power Co.        
3.55%, 05/15/2027 (a)   242,000   229,735
NRG Energy, Inc.        
2.00%, 12/02/2025 (a)   306,000   275,565
Pacific Gas & Electric Co.        
1.70%, 11/15/2023   470,000   458,467
2.95%, 03/01/2026   589,000   547,896
WEC Energy Group, Inc.        
1.38%, 10/15/2027   619,000   536,678
5.00%, 09/27/2025   229,000   229,060
      $ 3,112,562
 
Environmental Control — 1.56%        
Waste Connections, Inc.        
4.20%, 01/15/2033   430,000   412,687
Waste Management, Inc.        
4.63%, 02/15/2030   226,000   226,122
      $ 638,809
 
Food — 2.69%        
JBS USA LUX SA/JBS USA Food Co./JBS USA Finance, Inc.      
4.38%, 02/02/2052 (a)   347,000   250,769
Kraft Heinz Foods Co.        
4.88%, 10/01/2049   313,000   290,826
Mars, Inc.        
2.38%, 07/16/2040 (a)   272,000   196,265
Pilgrim's Pride Corp.        
3.50%, 03/01/2032   445,000   362,141
Sysco Corp.        
3.15%, 12/14/2051   736   514
      $ 1,100,515
 
Gas — 1.78%        
NiSource, Inc.        
0.95%, 08/15/2025   750,000   682,310
5.25%, 03/30/2028   45,000   45,776
      $ 728,086
 
Healthcare — Products — 1.35%        
Boston Scientific Corp.        
2.65%, 06/01/2030   623,000   550,455
 
Healthcare — Services — 2.33%        
Centene Corp.        
2.45%, 07/15/2028   672,000   584,640
UnitedHealth Group, Inc.        
2.75%, 05/15/2040   316,000   238,987
5.88%, 02/15/2053   113,000   127,011
      $ 950,638

 

See accompanying notes.

33


 

  Schedule of Investments      
  Principal Investment Grade Corporate Active ETF    
  March 31, 2023 (unaudited)      
 
    Principal    
BONDS (continued)   Amount   Value
 
Insurance — 4.16%        
Arthur J Gallagher & Co.        
2.40%, 11/09/2031 $ 379,000 $ 307,804
5.50%, 03/02/2033   158,000   161,417
Chubb INA Holdings, Inc.        
3.35%, 05/03/2026   315,000   304,653
Corebridge Financial, Inc.        
4.40%, 04/05/2052 (a)   226,000   176,785
Everest Reinsurance Holdings, Inc.        
3.13%, 10/15/2052   278,000   187,542
Markel Corp.        
4.30%, 11/01/2047   275,000   225,853
MetLife, Inc.        
5.00%, 07/15/2052   149,000   139,396
New York Life Insurance Co.        
3.75%, 05/15/2050 (a)   242,000   195,160
      $ 1,698,610
 
Internet — 1.63%        
Amazon.com, Inc.        
4.55%, 12/01/2027   655,000   664,892
 
Media — 1.47%        
Charter Communications Operating LLC/Charter Communications Operating      
Capital        
2.30%, 02/01/2032   395,000   300,966
Comcast Corp.        
3.97%, 11/01/2047   355,000   298,421
      $ 599,387
 
Mining — 1.63%        
Yamana Gold, Inc.        
2.63%, 08/15/2031   826,000   664,561
 
Pharmaceuticals — 7.89%        
AbbVie, Inc.        
3.20%, 11/21/2029   318,000   295,110
4.05%, 11/21/2039   466,000   416,247
Astrazeneca Finance LLC        
4.88%, 03/03/2033   106,000   109,341
Bayer U.S. Finance II LLC        
4.63%, 06/25/2038 (a)   513,000   469,785
Becton Dickinson & Co.        
3.70%, 06/06/2027   817,000   789,349
Bristol-Myers Squibb Co.        
4.13%, 06/15/2039   226,000   210,370
CVS Health Corp.        
5.13%, 02/21/2030   205,000   207,808
Eli Lilly & Co.        
4.70%, 02/27/2033   158,000   161,992
Zoetis, Inc.        
3.90%, 08/20/2028   579,000   563,293
      $ 3,223,295
 
Pipelines — 2.13%        
Energy Transfer LP        
3.75%, 05/15/2030   399,000   368,202
5.15%, 03/15/2045   266,000   231,571

 

See accompanying notes.

34


 

    Schedule of Investments      
    Principal Investment Grade Corporate Active ETF    
    March 31, 2023 (unaudited)      
 
      Principal    
BONDS (continued)     Amount   Value
Pipelines (continued)          
Sabine Pass Liquefaction LLC          
5.00%, 03/15/2027   $ 271,000 $ 270,027
        $ 869,800
 
REITs — 2.42%          
Invitation Homes Operating Partnership LP      
2.00%, 08/15/2031     435,000   333,669
Kimco Realty OP LLC          
3.20%, 04/01/2032     435,000   365,646
Realty Income Corp.          
3.10%, 12/15/2029     70   63
Spirit Realty LP          
3.20%, 02/15/2031     345,000   287,218
        $ 986,596
 
Semiconductors — 0.66%          
Broadcom, Inc.          
4.11%, 09/15/2028     280,000   267,551
Software — 4.32%          
Fiserv, Inc.          
4.40%, 07/01/2049     273,000   233,245
Oracle Corp.          
2.80%, 04/01/2027     226,000   210,122
4.00%, 07/15/2046     226,000   172,428
6.15%, 11/09/2029     120,000   127,815
Take-Two Interactive Software, Inc.          
4.00%, 04/14/2032     357,000   328,006
VMware, Inc.          
4.65%, 05/15/2027     705,000   694,108
        $ 1,765,724
 
Telecommunications — 3.69%          
AT&T, Inc.          
3.50%, 09/15/2053     749,000   543,810
T-Mobile USA, Inc.          
3.38%, 04/15/2029     1,058,000   964,565
        $ 1,508,375
 
Transportation — 0.59%          
United Parcel Service, Inc.          
4.88%, 03/03/2033     236,000   242,196
Water — 0.86%          
Essential Utilities, Inc.          
2.40%, 05/01/2031     421,000   350,618
TOTAL BONDS       $ 36,668,702
U.S. GOVERNMENT & GOVERNMENT AGENCY OBLIGATIONS — Principal    
2.86 %   Amount   Value
U.S. Treasury — 2.86%          
3.00%, 08/15/2052   $ 201,800 $ 177,269
4.13%, 11/15/2032     942,800   990,676
TOTAL U.S. GOVERNMENT & GOVERNMENT AGENCY OBLIGATIONS   $ 1,167,945
 
 
 
 
See accompanying notes.   35      

 


 

    Schedule of Investments        
  Principal Investment Grade Corporate Active ETF    
    March 31, 2023 (unaudited)        
 
INVESTMENT COMPANIES — 6.43%     Shares Held   Value
 
Money Market Funds — 6.43%          
Principal Government Money Market Fund — Class R-6 4.72% (d),(e),(f)   160,268 $ 160,268
State Street Institutional U.S. Government Money Market Fund — Institutional        
Class 1.49% (f)     2,465,081   2,465,081
TOTAL INVESTMENT COMPANIES     $   2,625,349
Total Investments     $   40,461,996
Other Assets and Liabilities — 0.92%         376,115
 
Total Net Assets — 100.00%     $   40,838,111
 
(a) Security exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in
  transactions exempt from registration, normally to qualified institutional buyers. At the end of the period, the value of these
  securities totaled $4,771,288 or 11.68% of net assets.        
(b) Rate shown is as of period end. The rate may be a variable or floating rate or a fixed rate which may convert to a variable or
  floating rate in the future.          
(c) Security or a portion of the security was on loan. At the end of the period, the value of these securities totaled $157,768 or
  0.39% of net assets.          
(d) Affiliated Security. Security is either an affiliate (and registered under the Investment Company Act of 1940) or an affiliate
  as defined by the Investment Company Act of 1940 (controls 5.00% or more of the outstanding voting shares of the security).
  Please see Affiliated Securities sub-schedule for transactional information.        
(e) Security or a portion of the security was received as collateral for securities lending. At the end of the period, the value of
  these securities totaled $160,268 or 0.39% of net assets.        
(f) Current yield shown is as of period end.          
 
  Portfolio Summary          
Sector Percent        
Financial 30.81 %      
Consumer, Non-cyclical 18.50 %      
Utilities 10.26 %      
Consumer, Cyclical 8.31 %      
Communications 6.79 %      
Money Market Funds 6.43 %      
Technology 5.77 %      
Industrial 5.59 %      
Government 2.86 %      
Energy 2.13 %      
Basic Materials 1.63 %      
Other Assets and Liabilities 0.92 %      
TOTAL NET ASSETS 100.00 %      
 
 
 
 
See accompanying notes. 36        

 


 

      Schedule of Investments            
    Principal Investment Grade Corporate Active ETF      
      March 31, 2023 (unaudited)          
 
      June 30, 2022 Purchases     Sales   March 31, 2023  
Affiliated Securities     Value   Cost Proceeds   Value  
Principal Government Money                      
Market Fund — Class R-6 4.72%   $ $ 3,414,280 $   3,254,012 $ 160,268  
Principal Government Money                      
Market Fund — Institutional Class                      
4.67 %   1,398,980   3,608,665     5,007,645    
    $ 1,398,980 $ 7,022,945 $   8,261,657 $ 160,268  
 
            Realized Gain      
          Realized     from   Change in  
        Gain/(Loss) on Capital Gain   Unrealized  
      Income (a) Investments Distributions   Gain/(Loss)  
Principal Government Money                      
Market Fund — Class R-6 4.72%   $ $ $   $  
Principal Government Money                      
Market Fund — Institutional Class                      
4.67 %            
    $ $ $   $  
 
(a) Amount excludes earnings from securities lending collateral.                
 
      Futures Contracts            
                    Value and Unrealized  
                Notional   Appreciation/  
Description and Expiration Date     Type   Contracts   Amount   (Depreciation)  
U.S. 10 Year Ultra; June 2023     Short     6 $ 727,488 $ 644  
U.S. 5 Year CBT; June 2023     Short     7   747,674   (18,881 )
U.S. Long Bond CBT; June 2023     Long     12   1,537,479   36,396  
U.S. Ultra Bond CBT; June 2023     Long     13   1,749,122   85,503  
Total                 $ 103,662  
 
 
 
 
See accompanying notes.       37              

 


 

  Schedule of Investments    
  Principal Millennial Global Growth ETF    
  March 31, 2023 (unaudited)    
 
COMMON STOCKS — 99.20% Shares Held   Value
 
Apparel — 6.07%      
adidas AG 605 $ 106,804
Carter's, Inc. 690   49,625
Columbia Sportswear Co. 702   63,348
Fila Holdings Corp. 2,452   68,747
Gildan Activewear, Inc. 1,788   59,402
Kering SA 226   147,058
Levi Strauss & Co., Class A 3,207   58,464
LVMH Moet Hennessy Louis Vuitton SE 199   182,235
NIKE, Inc., Class B 972   119,206
PVH Corp. 826   73,646
Ralph Lauren Corp. 559   65,218
SMCP SA (a),(b) 9,031   80,263
Torrid Holdings, Inc. (a),(c) 10,459   45,601
Urban Outfitters, Inc. (a) 23,408   648,870
VF Corp. 2,296   52,601
    $ 1,821,088
 
Beverages — 1.84%      
Brown-Forman Corp., Class B 1,978   127,126
Constellation Brands, Inc., Class A 578   130,565
Fevertree Drinks PLC 2,940   46,568
Monster Beverage Corp. (a) 3,326   179,637
Treasury Wine Estates Ltd. 7,978   69,701
    $ 553,597
 
Commercial Services — 2.51%      
Aaron's Co., Inc. 3,155   30,477
Adyen NV (a),(b) 284   449,431
Global Payments, Inc. 961   101,136
GMO Payment Gateway, Inc. 600   51,425
Nuvei Corp. (a),(b),(c) 920   40,043
Paysafe Ltd. (a) 1,706   29,462
PROG Holdings, Inc. (a) 2,201   52,362
    $ 754,336
 
Computers — 0.42%      
Apple, Inc. 757   124,829
 
Construction Materials — 1.00%      
Fortune Brands Innovations, Inc. 1,779   104,481
Masco Corp. 2,599   129,222
Masterbrand, Inc. (a) 1,779   14,303
Mohawk Industries, Inc. (a) 510   51,112
    $ 299,118
 
Diversified Financial Services — 7.90%    
Coinbase Global, Inc., Class A (a) 4,094   276,632
Discover Financial Services 7,112   702,950
Futu Holdings Ltd., ADR (a) 13,171   682,916
LexinFintech Holdings Ltd., ADR (a) 164,476   445,730
Lufax Holding Ltd., ADR 76,244   155,538
Rocket Cos., Inc., Class A (a) 5,699   51,633
XP, Inc., Class A (a) 4,770   56,620
    $ 2,372,019
 
Entertainment — 6.14%      
CTS Eventim AG & Co. KGaA (a) 6,215   387,223
DraftKings, Inc., Class A (a) 3,258   63,075

 

See accompanying notes.

38


 

Schedule of Investments      
Principal Millennial Global Growth ETF    
March 31, 2023 (unaudited)      
 
COMMON STOCKS (continued) Shares Held   Value
 
Entertainment (continued)      
HYBE Co. Ltd. (a) 2,332 $ 338,376
Universal Music Group NV 21,240   536,825
Warner Music Group Corp., Class A 15,529   518,203
    $ 1,843,702
 
Food — 2.75%      
Albertsons Cos., Inc., Class A 3,974   82,580
Kroger Co. 13,661   674,444
Sprouts Farmers Market, Inc. (a) 1,984   69,499
    $ 826,523
 
Home Builders — 0.84%      
DR Horton, Inc. 1,766   172,521
Toll Brothers, Inc. 1,348   80,920
    $ 253,441
 
Home Furnishings — 2.29%      
Arhaus, Inc. (a) 7,447   61,736
Sleep Number Corp. (a) 1,250   38,012
Sony Group Corp. 5,500   496,460
Tempur Sealy International, Inc. 2,269   89,603
    $ 685,811
 
Internet — 30.01%      
AfreecaTV Co. Ltd. 4,876   317,613
Alphabet, Inc., Class C (a) 5,612   583,648
D-MARKET Elektronik Hizmetler ve Ticaret A/S, ADR (a) 30,559   40,949
eBay, Inc. 2,307   102,362
Expedia Group, Inc. (a) 2,647   256,838
Farfetch Ltd., Class A (a) 4,590   22,537
Hello Group, Inc., ADR 74,196   675,184
iQIYI, Inc., ADR (a) 94,876   690,697
JD.com, Inc., ADR 2,575   113,017
JOYY, Inc., ADR 17,514   546,087
Kakao Corp. 1,537   72,136
Kuaishou Technology (a),(b) 60,000   462,044
Lulu's Fashion Lounge Holdings, Inc. (a),(c) 9,349   22,251
Match Group, Inc. (a) 4,762   182,813
Meituan, Class B (a),(b) 280   5,119
Meta Platforms, Inc., Class A (a) 598   126,740
Naspers Ltd., Class N 5,021   928,613
Netflix, Inc. (a) 2,092   722,744
Pinterest, Inc., Class A (a) 5,346   145,785
RealReal, Inc. (a),(c) 8,731   11,001
Revolve Group, Inc. (a) 10,855   285,487
Rightmove PLC 8,326   57,825
Shutterstock, Inc. 683   49,586
Snap, Inc., Class A (a) 14,348   160,841
Temple & Webster Group Ltd. (a),(c) 13,808   31,751
Tencent Holdings Ltd. 3,000   147,441
Tencent Music Entertainment Group, ADR (a) 132,090   1,093,705
THG PLC (a),(c) 57,270   47,688
Trip.com Group Ltd., ADR (a) 24,732   931,654
Vipshop Holdings Ltd., ADR (a) 7,706   116,977
Weibo Corp., ADR (a) 2,829   56,750
    $ 9,007,883

 

See accompanying notes.

39


 

  Schedule of Investments    
  Principal Millennial Global Growth ETF    
  March 31, 2023 (unaudited)    
 
COMMON STOCKS (continued) Shares Held   Value
 
Leisure Time — 1.81%      
Camping World Holdings, Inc., Class A 21,030 $ 438,896
Shimano, Inc. 600   103,212
    $ 542,108
 
Media — 4.21%      
Comcast Corp., Class A 2,826   107,134
Fox Corp., Class B 3,618   113,279
Paramount Global, Class B 13,706   305,781
Sirius XM Holdings, Inc. (c) 20,006   79,424
Vivendi SE 65,108   656,669
    $ 1,262,287
 
Real Estate — 0.44%      
REA Group Ltd. 1,424   131,387
 
REITs — 3.02%      
EastGroup Properties, Inc. 645   106,632
Equity Residential 1,458   87,480
Prologis, Inc. 817   101,937
Rexford Industrial Realty, Inc. 1,759   104,924
Segro PLC 48,415   458,447
Warehouses De Pauw CVA 1,594   47,228
    $ 906,648
 
Retail — 16.71%      
Academy Sports & Outdoors, Inc. 1,559   101,725
American Eagle Outfitters, Inc. 3,771   50,682
ANTA Sports Products Ltd. 11,400   165,556
Bath & Body Works, Inc. 2,743   100,339
Bed Bath & Beyond, Inc. (a) 17,140   7,326
Dick's Sporting Goods, Inc. 614   87,120
Foot Locker, Inc. 2,138   84,857
Frasers Group PLC (a) 8,311   79,662
Goldwin, Inc. 1,300   123,367
H & M Hennes & Mauritz AB, Class B 10,709   152,520
Hibbett, Inc. 1,388   81,864
Home Depot, Inc. 2,618   772,624
Industria de Diseno Textil SA 38,972   1,305,993
Kingfisher PLC 20,632   66,480
Li Ning Co. Ltd. 16,771   132,247
Lowe's Cos., Inc. 658   131,580
Lululemon Athletica, Inc. (a) 364   132,565
Next PLC 1,808   146,578
Pandora A/S 1,476   140,824
Petco Health & Wellness Co., Inc. (a) 3,237   29,133
Qurate Retail, Inc., Series A (a) 13,315   13,153
Ryohin Keikaku Co. Ltd. 5,740   65,019
Signet Jewelers Ltd. 8,848   688,197
Starbucks Corp. 1,445   150,468
Truworths International Ltd. 17,374   52,029
Victoria's Secret & Co. (a) 1,233   42,107
Williams-Sonoma, Inc. 907   110,346
    $ 5,014,361
 
Semiconductors — 0.45%      
NVIDIA Corp. 491   136,385

 

See accompanying notes.

40


 

    Schedule of Investments        
  Principal Millennial Global Growth ETF      
    March 31, 2023 (unaudited)        
 
COMMON STOCKS (continued)   Shares Held   Value  
 
Software — 5.25%          
Bilibili, Inc., ADR (a)   16,631 $ 390,829  
DouYu International Holdings Ltd., ADR (a)   204,344   243,169  
Fidelity National Information Services, Inc.   1,318   71,607  
Fiserv, Inc. (a)   1,298   146,713  
HUYA, Inc., ADR (a)   96,416   348,062  
Kakao Games Corp. (a)   985   31,551  
Microsoft Corp.   431   124,257  
NetEase, Inc., ADR   1,620   143,273  
XD, Inc. (a)   22,200   76,216  
        $ 1,575,677  
 
Telecommunications — 2.82%          
AT&T, Inc.   43,918   845,421  
 
Toys, Games & Hobbies — 1.06%          
Funko, Inc., Class A (a)   33,893   319,611  
 
Transportation — 1.66%          
Deutsche Post AG   2,985   139,492  
FedEx Corp.   573   130,925  
RXO, Inc. (a)   869   17,067  
United Parcel Service, Inc., Class B   619   120,080  
XPO, Inc. (a)   869   27,721  
Yamato Holdings Co. Ltd.   3,700   63,230  
        $ 498,515  
TOTAL COMMON STOCKS     $ 29,774,747  
INVESTMENT COMPANIES — 2.33%   Shares Held   Value  
 
Money Market Funds — 2.33%          
Principal Government Money Market Fund —Class R-6 4.72% (d),(e),(f) 572,569 $ 572,569  
State Street Institutional U.S. Government Money Market Fund — Institutional        
Class 1.49% (f)   126,776   126,776  
TOTAL INVESTMENT COMPANIES     $ 699,345  
Total Investments     $ 30,474,092  
Other Assets and Liabilities — (1.53)%       (460,103 )
 
Total Net Assets — 100.00%     $ 30,013,989  
 
(a) Non-income producing security.          
(b) Security exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in  
  transactions exempt from registration, normally to qualified institutional buyers. At the end of the period, the value of these  
  securities totaled $1,036,900 or 3.45% of net assets.        
(c) Security or a portion of the security was on loan. At the end of the period, the value of these securities totaled $554,602 or  
  1.85% of net assets.          
(d) Affiliated Security. Security is either an affiliate (and registered under the Investment Company Act of 1940) or an affiliate  
  as defined by the Investment Company Act of 1940 (controls 5.00% or more of the outstanding voting shares of the security).  
  Please see Affiliated Securities sub-schedule for transactional information.        
(e) Security or a portion of the security was received as collateral for securities lending. At the end of the period, the value of  
  these securities totaled $572,569 or 1.91% of net assets.        
(f) Current yield shown is as of period end.          
 
 
 
 
See accompanying notes. 41        

 


 

      Schedule of Investments            
      Principal Millennial Global Growth ETF    
      March 31, 2023 (unaudited)            
 
Portfolio Summary                  
Location         Percent            
United States           47.61 %          
China           21.30 %          
Spain           4.35 %          
France           3.55 %          
Netherlands           3.29 %          
South Africa           3.27 %          
United Kingdom           3.18 %          
Japan           3.01 %          
Republic Of Korea           2.76 %          
Hong Kong           2.27 %          
Germany           2.11 %          
Singapore           1.82 %          
Australia           0.77 %          
Canada           0.77 %          
Sweden           0.51 %          
Denmark           0.47 %          
Brazil           0.19 %          
Belgium           0.16 %          
Turkey           0.14 %          
Other Assets and Liabilities           (1.53 )%          
TOTAL NET ASSETS           100.00 %          
 
      June 30, 2022   Purchases       Sales   March 31, 2023
Affiliated Securities     Value     Cost       Proceeds   Value
Principal Government Money                        
Market Fund — Class R-6 4.72%   $   $ 4,758,029     $ 4,185,460 $ 572,569
Principal Government Money                        
Market Fund — Institutional Class                        
4.67 %   988,500     8,567,796       9,556,296  
    $ 988,500 $ 13,325,825   $ 13,741,756 $ 572,569
 
                  Realized Gain    
            Realized       from   Change in
          Gain/(Loss) on     Capital Gain   Unrealized
      Income (a)   Investments     Distributions   Gain/(Loss)
Principal Government Money                        
Market Fund — Class R-6 4.72%   $   $     $ $
Principal Government Money                        
Market Fund — Institutional Class                        
4.67 %              
    $   $     $ $
 
(a) Amount excludes earnings from securities lending collateral.                  

 

See accompanying notes.

42


 

Schedule of Investments      
Principal Quality ETF      
March 31, 2023 (unaudited)      
 
COMMON STOCKS — 99.78% Shares Held   Value
Beverages — 1.18%      
Keurig Dr Pepper, Inc. 9,716 $ 342,780
Biotechnology — 1.52%      
Amgen, Inc. 1,816   439,018
Commercial Services — 2.53%      
Automatic Data Processing, Inc. 1,821   405,409
MarketAxess Holdings, Inc. 836   327,119
    $ 732,528
 
Computers — 8.53%      
Accenture PLC, Class A 1,787   510,742
Apple, Inc. 9,884   1,629,872
Leidos Holdings, Inc. 3,546   326,445
    $ 2,467,059
 
Construction Materials — 1.25%      
Trane Technologies PLC 1,960   360,601
Distribution/Wholesale — 3.51%      
LKQ Corp. 5,957   338,119
Pool Corp. 951   325,661
WW Grainger, Inc. 510   351,293
    $ 1,015,073
 
Diversified Financial Services — 2.02%      
Mastercard, Inc., Class A 1,610   585,090
Electrical Components & Equipment — 2.57%      
AMETEK, Inc. 2,494   362,453
Emerson Electric Co. 4,363   380,192
    $ 742,645
 
Electronics — 3.68%      
Agilent Technologies, Inc. 2,580   356,917
Keysight Technologies, Inc. (a) 2,172   350,735
Mettler-Toledo International, Inc. (a) 233   356,539
    $ 1,064,191
 
Healthcare — Products — 10.11%      
Abbott Laboratories 4,706   476,530
Danaher Corp. 1,845   465,014
Edwards Lifesciences Corp. (a) 4,407   364,591
Stryker Corp. 1,428   407,651
Thermo Fisher Scientific, Inc. 904   521,039
Waters Corp. (a) 1,099   340,283
West Pharmaceutical Services, Inc. 1,005   348,202
    $ 2,923,310
 
Healthcare — Services — 6.02%      
Charles River Laboratories International, Inc. (a) 1,669   336,838
Humana, Inc. 738   358,269
IQVIA Holdings, Inc. (a) 1,800   358,002
UnitedHealth Group, Inc. 1,457   688,564
    $ 1,741,673
 
Home Builders — 2.34%      
DR Horton, Inc. 3,483   340,254

 

See accompanying notes.

43


 

  Schedule of Investments      
  Principal Quality ETF      
  March 31, 2023 (unaudited)      
 
COMMON STOCKS (continued)   Shares Held   Value
Home Builders (continued)        
PulteGroup, Inc.   5,791 $ 337,500
      $ 677,754
 
Household Products/Wares — 1.21%        
Avery Dennison Corp.   1,953   349,450
Insurance — 4.13%        
Aon PLC, Class A   1,231   388,122
Arthur J Gallagher & Co.   1,922   367,698
Berkshire Hathaway, Inc., Class B (a)   107   33,038
Marsh & McLennan Cos., Inc.   2,431   404,883
      $ 1,193,741
 
Internet — 4.30%        
Alphabet, Inc., Class A (a)   941   97,610
Alphabet, Inc., Class C (a)   4,384   455,936
Amazon.com, Inc. (a)   3,306   341,477
CDW Corp.   1,782   347,294
      $ 1,242,317
 
Machinery — Diversified — 2.42%        
IDEX Corp.   1,504   347,469
Nordson Corp.   1,583   351,838
      $ 699,307
 
Pharmaceuticals — 5.16%        
AbbVie, Inc.   3,527   562,098
Merck & Co., Inc.   5,154   548,334
Zoetis, Inc.   2,301   382,978
      $ 1,493,410
 
Pipelines — 1.25%        
Williams Cos., Inc.   12,113   361,694
Retail — 4.96%        
Genuine Parts Co.   2,033   340,141
O'Reilly Automotive, Inc. (a)   445   377,796
Ulta Beauty, Inc. (a)   662   361,233
Yum! Brands, Inc.   2,684   354,503
      $ 1,433,673
 
Semiconductors — 14.41%        
Analog Devices, Inc.   2,116   417,318
Applied Materials, Inc.   3,270   401,654
Broadcom, Inc.   850   545,309
Microchip Technology, Inc.   4,349   364,359
NVIDIA Corp.   3,297   915,808
NXP Semiconductors NV   1,988   370,712
ON Semiconductor Corp. (a)   4,372   359,903
QUALCOMM, Inc.   3,540   451,633
Skyworks Solutions, Inc.   2,884   340,254
      $ 4,166,950
 
Software — 13.65%        
Adobe, Inc. (a)   1,262   486,337
Fiserv, Inc. (a)   3,436   388,371
Intuit, Inc.   995   443,601
Microsoft Corp.   4,802   1,384,417

 

See accompanying notes.

44


 

      Schedule of Investments          
      Principal Quality ETF          
      March 31, 2023 (unaudited)          
 
COMMON STOCKS (continued)             Shares Held   Value
Software (continued)                  
MSCI, Inc.             651 $ 364,358
Salesforce, Inc. (a)             2,541   507,641
Synopsys, Inc. (a)             962   371,572
                  $ 3,946,297
 
Telecommunications — 1.76%                  
Cisco Systems, Inc.             9,719   508,061
Transportation — 1.27%                  
Norfolk Southern Corp.             1,731   366,972
TOTAL COMMON STOCKS               $ 28,853,594
INVESTMENT COMPANIES — 0.18%           Shares Held   Value
Money Market Fund — 0.18%                  
State Street Institutional U.S. Government Money Market Fund — Institutional          
Class 1.49% (b)             52,798 $ 52,798
TOTAL INVESTMENT COMPANIES               $ 52,798
Total Investments               $ 28,906,392
Other Assets and Liabilities — 0.04%               12,479
Total Net Assets — 100.00%               $ 28,918,871
 
(a) Non-income producing security.                  
(b) Current yield shown is as of period end.                
 
  Portfolio Summary              
Sector     Percent          
Technology       36.60 %        
Consumer, Non-cyclical       27.74 %        
Industrial       11.18 %        
Consumer, Cyclical       10.81 %        
Financial       6.15 %        
Communications       6.05 %        
Energy       1.25 %        
Money Market Fund       0.18 %        
Other Assets and Liabilities       0.04 %        
TOTAL NET ASSETS       100.00 %        
 
    June 30, 2022 Purchases     Sales   March 31, 2023
Affiliated Securities   Value   Cost     Proceeds   Value
Principal Government Money                  
Market Fund — Class R-6 4.72% $ $ 59,105   $ 59,105 $
    $ $ 59,105   $ 59,105 $
 
                Realized Gain    
          Realized     from   Change in
        Gain/(Loss) on     Capital Gain   Unrealized
      Income (a) Investments     Distributions   Gain/(Loss)
Principal Government Money                  
Market Fund — Class R-6 4.72% $ $   $ $
    $ $   $ $
 
(a) Amount excludes earnings from securities lending collateral.              
 
 
 
 
See accompanying notes.     45            

 


 

  Schedule of Investments      
Principal Real Estate Active Opportunities ETF      
  March 31, 2023 (unaudited)      
 
COMMON STOCKS — 98.63% Shares Held     Value
 
Entertainment — 2.21%        
Marriott Vacations Worldwide Corp. 832   $ 112,204
 
REITs — 96.42%        
Alexandria Real Estate Equities, Inc. 1,628     204,460
American Homes 4 Rent, Class A 6,946     218,452
American Tower Corp. 1,840     375,986
Crown Castle, Inc. 1,648     220,568
CubeSmart 4,509     208,406
DiamondRock Hospitality Co. 12,332     100,259
Digital Realty Trust, Inc. 2,269     223,065
Equinix, Inc. 199     143,487
Equity LifeStyle Properties, Inc. 3,387     227,369
Extra Space Storage, Inc. 2,098     341,827
Gaming & Leisure Properties, Inc. 3,319     172,787
Invitation Homes, Inc. 10,368     323,793
Medical Properties Trust, Inc. 4,213     34,631
National Health Investors, Inc. 1,952     100,684
Rexford Industrial Realty, Inc. 6,586     392,855
SBA Communications Corp. 783     204,418
Sun Communities, Inc. 2,276     320,643
Terreno Realty Corp. 2,946     190,312
Ventas, Inc. 7,171     310,863
VICI Properties, Inc. 10,006     326,396
Welltower, Inc. 3,411     244,534
      $ 4,885,795
TOTAL COMMON STOCKS     $ 4,997,999
INVESTMENT COMPANIES — 0.99% Shares Held     Value
 
Money Market Fund — 0.99%        
State Street Institutional U.S. Government Money Market Fund — Institutional      
Class 1.49% (a) 49,923   $ 49,923
TOTAL INVESTMENT COMPANIES     $ 49,923
Total Investments     $ 5,047,922
Other Assets and Liabilities — 0.38%       19,279
 
Total Net Assets — 100.00%     $ 5,067,201
 
(a) Current yield shown is as of period end.        
 
Portfolio Summary        
Sector Percent      
Financial 96.42 %    
Consumer, Cyclical 2.21 %    
Money Market Fund 0.99 %    
Other Assets and Liabilities 0.38 %    
TOTAL NET ASSETS 100.00 %    
 
 
 
 
See accompanying notes. 46      

 


 

Schedule of Investments      
Principal Spectrum Preferred Securities Active ETF    
March 31, 2023 (unaudited)      
 
    Principal    
BONDS — 95.03%   Amount   Value
 
Banks — 46.85%        
Bank of America Corp.        
(5-year Treasury Constant Maturity Rate + 2.76%),        
4.38%, 01/27/2027 (a),(b) $ 10,268,000 $ 8,729,215
(5-year Treasury Constant Maturity Rate + 3.23%),        
6.13%, 04/27/2027 (a),(b),(c)   10,776,000   10,600,890
Bank of Montreal        
(5-year Treasury Constant Maturity Rate + 2.98%),        
4.80%, 08/25/2024 (a),(b)   3,362,000   2,892,433
Bank of New York Mellon Corp.        
(5-year Treasury Constant Maturity Rate + 3.35%),        
3.70%, 03/20/2026 (a),(b)   11,569,000   10,441,023
(5-year Treasury Constant Maturity Rate + 2.63%),        
3.75%, 12/20/2026 (a),(b)   3,447,000   2,842,396
Bank of Nova Scotia        
(5-year Treasury Constant Maturity Rate + 4.55%),        
4.90%, 06/04/2025 (a),(b)   4,565,000   4,154,150
(5-year Treasury Constant Maturity Rate + 4.38%),        
8.63%, 10/27/2082 (a)   12,585,000   12,819,726
Citigroup, Inc.        
(5-year Treasury Constant Maturity Rate + 3.42%),        
3.88%, 02/18/2026 (a),(b)   7,702,000   6,504,339
(5-year Treasury Constant Maturity Rate + 3.60%),        
4.00%, 12/10/2025 (a),(b)   13,081,000   11,560,334
(5-year Treasury Constant Maturity Rate + 3.20%),        
7.38%, 05/15/2028 (a),(b)   6,600,000   6,495,456
Citizens Financial Group, Inc.        
(5-year Treasury Constant Maturity Rate + 3.22%),        
4.00%, 10/06/2026 (a),(b)   3,206,000   2,444,575
(5-year Treasury Constant Maturity Rate + 5.31%),        
5.65%, 10/06/2025 (a),(b)   4,583,000   3,954,817
Comerica, Inc.        
(5-year Treasury Constant Maturity Rate + 5.29%),        
5.63%, 07/01/2025 (a),(b)   13,611,000   11,410,101
Goldman Sachs Group, Inc.        
(5-year Treasury Constant Maturity Rate + 2.92%),        
3.65%, 08/10/2026 (a),(b)   1,910,000   1,559,038
(5-year Treasury Constant Maturity Rate + 2.97%),        
3.80%, 05/10/2026 (a),(b)   1,284,000   1,063,537
(5-year Treasury Constant Maturity Rate + 2.95%),        
4.13%, 11/10/2026 (a),(b)   8,542,000   7,079,236
(5-year Treasury Constant Maturity Rate + 3.62%),        
5.50%, 08/10/2024 (a),(b)   8,268,000   7,976,718
HSBC Capital Funding Dollar 1 LP        
(3-month USD LIBOR + 4.98%),        
10.18%, 06/30/2030 (a),(b)   5,868,000   7,035,209
Huntington Bancshares, Inc.        
(10-year Treasury Constant Maturity Rate + 4.95%),        
5.63%, 07/15/2030 (a),(b)   6,707,000   5,700,950
JPMorgan Chase & Co.        
(5-year Treasury Constant Maturity Rate + 2.85%),        
3.65%, 06/01/2026 (a),(b)   9,269,000   8,110,375
(3-month USD LIBOR + 3.78%),        
6.75%, 02/01/2024 (a),(b)   7,688,000   7,714,754
M&T Bank Corp.        
(5-year Treasury Constant Maturity Rate + 2.68%),        
3.50%, 09/01/2026 (a),(b)   19,512,000   13,736,328

 

See accompanying notes.

47


 

Schedule of Investments      
Principal Spectrum Preferred Securities Active ETF    
March 31, 2023 (unaudited)      
 
    Principal    
BONDS (continued)   Amount   Value
 
Banks (continued)        
M&T Bank Corp. (continued)        
(5-year Treasury Constant Maturity Rate + 3.17%),        
5.00%, 08/01/2024 (a),(b) $ 5,000,000 $ 3,950,000
PNC Financial Services Group, Inc.        
(5-year Treasury Constant Maturity Rate + 2.60%),        
3.40%, 09/15/2026 (a),(b)   2,820,000   2,236,316
(5-year Treasury Constant Maturity Rate + 3.24%),        
6.20%, 09/15/2027 (a),(b),(c)   13,480,000   12,682,658
Toronto-Dominion Bank        
(5-year Treasury Constant Maturity Rate + 4.07%),        
8.13%, 10/31/2082 (a)   22,075,000   22,406,125
Truist Financial Corp.        
(5-year Treasury Constant Maturity Rate + 3.00%),        
4.80%, 09/01/2024 (a),(b)   6,129,000   5,362,875
(5-year Treasury Constant Maturity Rate + 4.61%),        
4.95%, 09/01/2025 (a),(b)   10,237,000   9,461,871
U.S. Bancorp        
(5-year Treasury Constant Maturity Rate + 2.54%),        
3.70%, 01/15/2027 (a),(b)   12,377,000   9,654,060
Wells Fargo & Co.        
(5-year Treasury Constant Maturity Rate + 3.45%),        
3.90%, 03/15/2026 (a),(b)   23,171,000   20,453,273
      $ 241,032,778
 
Diversified Financial Services — 8.33%        
American Express Co.        
(5-year Treasury Constant Maturity Rate + 2.85%),        
3.55%, 09/15/2026 (a),(b)   12,422,000   10,499,074
Capital One Financial Corp.        
(5-year Treasury Constant Maturity Rate + 3.16%),        
3.95%, 09/01/2026 (a),(b)   13,521,000   10,123,849
Charles Schwab Corp.        
(5-year Treasury Constant Maturity Rate + 3.17%),        
4.00%, 06/01/2026 (a),(b)   12,862,000   10,486,003
(5-year Treasury Constant Maturity Rate + 4.97%),        
5.38%, 06/01/2025 (a),(b)   2,494,000   2,363,065
Discover Financial Services        
(5-year Treasury Constant Maturity Rate + 5.78%),        
6.13%, 06/23/2025 (a),(b)   10,141,000   9,360,485
      $ 42,832,476
 
Electric — 12.07%        
Algonquin Power & Utilities Corp.        
(5-year Treasury Constant Maturity Rate + 3.25%),        
4.75%, 01/18/2082 (a)   3,010,000   2,408,000
American Electric Power Co., Inc.        
(5-year Treasury Constant Maturity Rate + 2.68%),        
3.88%, 02/15/2062 (a)   8,947,000   7,127,726
CMS Energy Corp.        
(5-year Treasury Constant Maturity Rate + 4.12%),        
4.75%, 06/01/2050 (a)   2,476,000   2,139,214
Dominion Energy, Inc.        
(5-year Treasury Constant Maturity Rate + 3.20%),        
4.35%, 01/15/2027 (a),(b)   712,000   589,003
(5-year Treasury Constant Maturity Rate + 2.99%),        
4.65%, 12/15/2024 (a),(b),(c)   11,434,000   10,045,226

 

See accompanying notes.

48


 

Schedule of Investments      
Principal Spectrum Preferred Securities Active ETF    
March 31, 2023 (unaudited)      
 
    Principal    
BONDS (continued)   Amount   Value
 
Electric (continued)        
Duke Energy Corp.        
(5-year Treasury Constant Maturity Rate + 2.32%),        
3.25%, 01/15/2082 (a) $ 4,456,000 $ 3,318,606
(5-year Treasury Constant Maturity Rate + 3.39%),        
4.88%, 09/16/2024 (a),(b),(c)   13,948,000   13,384,501
Emera, Inc.        
(3-month USD LIBOR + 5.44%),        
6.75%, 06/15/2076 (a)   6,187,000   5,764,950
Enel SpA        
(5-year Swap rate + 5.88%),        
8.75%, 09/24/2073 (a),(d)   3,335,000   3,308,417
NextEra Energy Capital Holdings, Inc.        
(5-year Treasury Constant Maturity Rate + 2.55%),        
3.80%, 03/15/2082 (a)   14,529,000   11,986,425
Southern Co.        
(5-year Treasury Constant Maturity Rate + 3.73%),        
4.00%, 01/15/2051 (a)   2,231,000   2,046,803
      $ 62,118,871
 
Gas — 1.03%        
NiSource, Inc.        
(5-year Treasury Constant Maturity Rate + 2.84%),        
5.65%, 06/15/2023 (a),(b)   5,628,000   5,290,320
 
Hand/Machine Tools — 0.58%        
Stanley Black & Decker, Inc.        
(5-year Treasury Constant Maturity Rate + 2.66%),        
4.00%, 03/15/2060 (a)   3,816,000   3,006,717
 
Insurance — 16.60%        
Allstate Corp.        
(3-month USD LIBOR + 2.94%),        
5.75%, 08/15/2053 (a)   3,210,000   3,125,828
American International Group, Inc.        
(3-month USD LIBOR + 2.87%),        
5.75%, 04/01/2048 (a)   1,192,000   1,093,422
Argentum Netherlands BV for Swiss Re Ltd.        
(3-month USD LIBOR + 3.78%),        
5.63%, 08/15/2052 (a)   5,600,000   5,208,000
Argentum Netherlands BV for Zurich Insurance Co. Ltd.        
(5-year Treasury Constant Maturity Rate + 3.27%),        
5.13%, 06/01/2048 (a)   4,000,000   3,735,000
Cloverie PLC for Zurich Insurance Co. Ltd.        
(3-month USD LIBOR + 4.92%),        
5.63%, 06/24/2046 (a)   5,600,000   5,419,456
Corebridge Financial, Inc.        
(5-year Treasury Constant Maturity Rate + 3.85%),        
6.88%, 12/15/2052 (a),(c),(d)   7,521,000   6,704,599
Equitable Holdings, Inc.        
(5-year Treasury Constant Maturity Rate + 4.74%),        
4.95%, 09/15/2025 (a),(b),(c)   3,555,000   3,240,146
Liberty Mutual Group, Inc.        
(5-year Treasury Constant Maturity Rate + 3.32%),        
4.13%, 12/15/2051 (a),(d)   2,612,000   2,094,615
Meiji Yasuda Life Insurance Co.        
(5-year Swap rate + 4.23%),        
5.20%, 10/20/2045 (a),(d)   3,210,000   3,100,712

 

See accompanying notes.

49


 

Schedule of Investments      
Principal Spectrum Preferred Securities Active ETF    
March 31, 2023 (unaudited)      
 
    Principal    
BONDS (continued)   Amount   Value
 
Insurance (continued)        
MetLife, Inc.        
(5-year Treasury Constant Maturity Rate + 3.58%),        
3.85%, 09/15/2025 (a),(b) $ 8,593,000 $ 7,570,891
9.25%, 04/08/2068 (d)   1,415,000   1,669,626
Nippon Life Insurance Co.        
(5-year Treasury Constant Maturity Rate + 2.65%),        
2.75%, 01/21/2051 (a),(d)   4,238,000   3,361,384
(5-year Treasury Constant Maturity Rate + 2.60%),        
2.90%, 09/16/2051 (a),(d)   2,505,000   1,996,925
Prudential Financial, Inc.        
(5-year Treasury Constant Maturity Rate + 3.04%),        
3.70%, 10/01/2050 (a)   14,098,000   11,483,794
(5-year Treasury Constant Maturity Rate + 3.16%),        
5.13%, 03/01/2052 (a)   4,634,000   4,082,976
Sumitomo Life Insurance Co.        
(5-year Treasury Constant Maturity Rate + 2.75%),        
3.38%, 04/15/2081 (a),(d)   3,860,000   3,232,750
(3-month USD LIBOR + 4.44%),        
6.50%, 09/20/2073 (a),(d)   6,436,000   6,379,896
Voya Financial, Inc.        
(5-year Treasury Constant Maturity Rate + 3.36%),        
6.13%, 09/15/2023 (a),(b)   7,690,000   7,331,132
Zurich Finance Ireland Designated Activity Co.        
(5-year Treasury Constant Maturity Rate + 2.78%),        
3.00%, 04/19/2051 (a)   6,000,000   4,546,320
      $ 85,377,472
 
Oil & Gas — 1.38%        
BP Capital Markets PLC        
(5-year Treasury Constant Maturity Rate + 4.04%),        
4.38%, 06/22/2025 (a),(b)   5,000,000   4,762,068
(5-year Treasury Constant Maturity Rate + 4.40%),        
4.88%, 03/22/2030 (a),(b)   2,561,000   2,327,309
      $ 7,089,377
 
Pipelines — 5.80%        
Enbridge, Inc.        
(5-year Treasury Constant Maturity Rate + 5.31%),        
5.75%, 07/15/2080 (a)   1,845,000   1,641,483
(3-month USD LIBOR + 3.89%),        
6.00%, 01/15/2077 (a)   4,782,000   4,414,719
(5-year Treasury Constant Maturity Rate + 4.41%),        
7.63%, 01/15/2083 (a)   5,245,000   5,116,430
Enterprise Products Operating LLC        
(3-month USD LIBOR + 3.03%),        
5.25%, 08/16/2077 (a)   3,210,000   2,714,441
Transcanada Trust        
(6-month Secured Overnight Financing Rate + 4.42%),        
5.50%, 09/15/2079 (a)   5,115,000   4,266,841
(5-year Treasury Constant Maturity Rate + 3.99%),        
5.60%, 03/07/2082 (a)   13,953,000   11,671,530
      $ 29,825,444
 
REITs — 0.58%        
Scentre Group Trust 2        
(5-year Treasury Constant Maturity Rate + 4.38%),        
4.75%, 09/24/2080 (a),(d)   1,210,000   1,089,334

 

See accompanying notes.

50


 

  Schedule of Investments        
  Principal Spectrum Preferred Securities Active ETF      
  March 31, 2023 (unaudited)        
 
      Principal      
BONDS (continued)   Amount   Value  
 
REITs (continued)          
Scentre Group Trust 2 (continued)          
  (5-year Treasury Constant Maturity Rate + 4.69%),          
  5.13%, 09/24/2080 (a),(d) $ 2,249,000 $ 1,898,252  
        $ 2,987,586  
 
Telecommunications — 1.81%          
Vodafone Group PLC          
  (5-year Treasury Constant Maturity Rate + 2.77%),          
  4.13%, 06/04/2081 (a)   1,793,000   1,414,982  
  (5-year Swap rate + 4.87%),          
  7.00%, 04/04/2079 (a)   7,931,000   7,895,072  
        $ 9,310,054  
TOTAL BONDS     $ 488,871,095  
INVESTMENT COMPANIES — 6.56%   Shares Held   Value  
 
Money Market Funds — 6.56%          
Principal Government Money Market Fund — Class R-6 4.72% (e),(f),(g) 19,419,230 $ 19,419,230  
State Street Institutional U.S. Government Money Market Fund — Institutional        
Class 1.49% (g)   14,319,518   14,319,518  
TOTAL INVESTMENT COMPANIES     $ 33,738,748  
Total Investments     $ 522,609,843  
Other Assets and Liabilities — (1.59)%       (8,187,017 )
 
Total Net Assets — 100.00%     $ 514,422,826  
 
(a) Rate shown is as of period end. The rate may be a variable or floating rate or a fixed rate which may convert to a variable or  
  floating rate in the future.          
(b) Perpetual security. Perpetual securities pay an indefinite stream of interest, but they may be called by the issuer at an earlier  
  date. Date shown, if any, reflects the next call date or final legal maturity date. Rate shown is as of period end.    
(c) Security or a portion of the security was on loan. At the end of the period, the value of these securities totaled $19,088,640 or  
  3.71% of net assets.          
(d) Security exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in  
  transactions exempt from registration, normally to qualified institutional buyers. At the end of the period, the value of these  
  securities totaled $34,836,510 or 6.77% of net assets.          
(e) Affiliated Security. Security is either an affiliate (and registered under the Investment Company Act of 1940) or an affiliate  
  as defined by the Investment Company Act of 1940 (controls 5.00% or more of the outstanding voting shares of the security).  
  Please see Affiliated Securities sub-schedule for transactional information.        
(f) Security or a portion of the security was received as collateral for securities lending. At the end of the period, the value of  
  these securities totaled $19,419,230 or 3.77% of net assets.        
(g) Current yield shown is as of period end.          
 
 
 
 
See accompanying notes. 51        

 


 

      Schedule of Investments            
    Principal Spectrum Preferred Securities Active ETF    
      March 31, 2023 (unaudited)            
 
Portfolio Summary                  
Sector         Percent            
Financial           72.36 %          
Utilities           13.10 %          
Energy           7.18 %          
Money Market Funds           6.56 %          
Communications           1.81 %          
Industrial           0.58 %          
Other Assets and Liabilities           (1.59 )%          
TOTAL NET ASSETS           100.00 %          
 
      June 30, 2022   Purchases       Sales   March 31, 2023
Affiliated Securities     Value     Cost       Proceeds   Value
Principal Government Money                        
Market Fund — Class R-6 4.72%   $ $ 51,062,488   $ 31,643,258 $ 19,419,230
Principal Government Money                        
Market Fund — Institutional Class                        
4.67 %   2,707,203     11,373,540       14,080,743  
    $ 2,707,203 $ 62,436,028   $ 45,724,001 $ 19,419,230
 
                  Realized Gain    
            Realized       from   Change in
          Gain/(Loss) on     Capital Gain   Unrealized
      Income (a)   Investments     Distributions   Gain/(Loss)
Principal Government Money                        
Market Fund — Class R-6 4.72%   $   $     $ $
Principal Government Money                        
Market Fund — Institutional Class                        
4.67 %              
    $   $     $ $
 
(a) Amount excludes earnings from securities lending collateral.                  

 

See accompanying notes.

52


 

Schedule of Investments      
Principal Spectrum Tax-Advantaged Dividend Active ETF    
March 31, 2023 (unaudited)      
 
PREFERRED STOCKS — 12.27%   Shares Held   Value
 
Banks — 5.23%        
Associated Banc-Corp.; Series F        
5.63%, 09/15/2025 (a)   2,070 $ 40,282
Bank of America Corp.; Series NN        
4.38%, 11/03/2025 (a)   4,380   81,337
Fulton Financial Corp.; Series A        
5.13%, 01/15/2026 (a)   9,200   152,996
Morgan Stanley; Series I        
(3-month USD LIBOR + 3.71%),        
6.38%, 10/15/2024 (a)   17,030   419,449
Morgan Stanley; Series P        
6.50%, 10/15/2027 (a)   4,000   101,560
Synovus Financial Corp.; Series E        
(5-year Treasury Constant Maturity Rate + 4.13%),        
5.88%, 07/01/2024 (a)   11,500   249,550
      $ 1,045,174
 
Insurance — 4.11%        
Allstate Corp.; Series H        
5.10%, 10/15/2024 (a)   11,500   258,405
American International Group, Inc.; Series A        
5.85%, 03/15/2024 (a)   8,019   187,324
MetLife, Inc.; Series F        
4.75%, 03/15/2025 (a)   17,250   375,532
      $ 821,261
 
Telecommunications — 2.93%        
AT&T, Inc.; Series A        
5.00%, 12/12/2024 (a)   11,381   257,893
AT&T, Inc.; Series C        
4.75%, 02/18/2025 (a)   15,395   327,452
      $ 585,345
TOTAL PREFERRED STOCKS     $ 2,451,780
    Principal    
BONDS — 84.78%   Amount   Value
 
Banks — 70.27%        
Bank of America Corp.        
(3-month USD LIBOR + 4.55%),        
6.30%, 03/10/2026 (a),(b) $ 575,000 $ 574,281
Bank of New York Mellon Corp.        
(5-year Treasury Constant Maturity Rate + 3.35%),        
3.70%, 03/20/2026 (a),(b)   230,000   207,575
(5-year Treasury Constant Maturity Rate + 4.36%),        
4.70%, 09/20/2025 (a),(b)   275,000   260,224
Bank of Nova Scotia        
(5-year Treasury Constant Maturity Rate + 4.55%),        
4.90%, 06/04/2025 (a),(b)   575,000   523,250
(5-year Treasury Constant Maturity Rate + 4.38%),        
8.63%, 10/27/2082 (b)   300,000   305,595
BNP Paribas SA        
(5-year Treasury Constant Maturity Rate + 4.90%),        
7.75%, 08/16/2029 (a),(b),(c),(d)   200,000   191,440
Citigroup, Inc.        
(5-year Treasury Constant Maturity Rate + 3.42%),        
3.88%, 02/18/2026 (a),(b)   655,000   553,147
(5-year Treasury Constant Maturity Rate + 3.20%),        
7.38%, 05/15/2028 (a),(b)   200,000   196,832
 
 
 
 
See accompanying notes. 53      

 


 

Schedule of Investments      
Principal Spectrum Tax-Advantaged Dividend Active ETF    
March 31, 2023 (unaudited)      
 
    Principal    
BONDS (continued)   Amount   Value
 
Banks (continued)        
Citizens Financial Group, Inc.        
(5-year Treasury Constant Maturity Rate + 5.31%),        
5.65%, 10/06/2025 (a),(b) $ 575,000 $ 496,186
Comerica, Inc.        
(5-year Treasury Constant Maturity Rate + 5.29%),        
5.63%, 07/01/2025 (a),(b)   575,000   482,022
Credit Agricole SA        
(5-year Swap Rate + 4.90%),        
7.88%, 01/23/2024 (a),(b),(d)   861,000   841,214
Fifth Third Bancorp        
(5-year Treasury Constant Maturity Rate + 4.22%),        
4.50%, 09/30/2025 (a),(b)   548,000   475,191
Goldman Sachs Group, Inc.        
(5-year Treasury Constant Maturity Rate + 2.97%),        
3.80%, 05/10/2026 (a),(b)   438,000   362,795
HSBC Holdings PLC        
(6-month U.S. International Swaps and Derivative Association + 4.37%),        
6.38%, 03/30/2025 (a),(b),(d)   861,000   791,219
Huntington Bancshares, Inc.        
(10-year Treasury Constant Maturity Rate + 4.95%),        
5.63%, 07/15/2030 (a),(b)   575,000   488,750
ING Groep NV        
(5-year Treasury Constant Maturity Rate + 4.34%),        
5.75%, 11/16/2026 (a),(b),(d)   861,000   744,903
JPMorgan Chase & Co.        
(5-year Treasury Constant Maturity Rate + 2.85%),        
3.65%, 06/01/2026 (a),(b)   110,000   96,250
Lloyds Banking Group PLC        
(5-year Swap Rate + 4.50%),        
7.50%, 09/27/2025 (a),(b),(d)   861,000   798,853
M&T Bank Corp.        
(3-month USD LIBOR + 3.52%),        
5.13%, 11/01/2026 (a),(b)   247,000   185,151
Natwest Group PLC        
(5-year Swap Rate + 5.72%),        
8.00%, 08/10/2025 (a),(b),(d)   861,000   851,185
Nordea Bank Abp        
(5-year Treasury Constant Maturity Rate + 4.11%),        
6.63%, 03/26/2026 (a),(b),(c),(d)   861,000   806,938
PNC Financial Services Group, Inc.        
(5-year Treasury Constant Maturity Rate + 3.00%),        
6.00%, 05/15/2027 (a),(b)   400,000   368,224
(5-year Treasury Constant Maturity Rate + 3.24%),        
6.20%, 09/15/2027 (a),(b)   100,000   94,085
Societe Generale SA        
(5-year Swap rate + 4.98%),        
7.88%, 12/18/2023 (a),(b),(d)   824,000   771,594
Toronto-Dominion Bank        
(5-year Treasury Constant Maturity Rate + 4.07%),        
8.13%, 10/31/2082 (b)   414,000   420,210
Truist Financial Corp.        
(5-year Treasury Constant Maturity Rate + 4.61%),        
4.95%, 09/01/2025 (a),(b)   575,000   531,462
U.S. Bancorp        
(5-year Treasury Constant Maturity Rate + 2.54%),        
3.70%, 01/15/2027 (a),(b)   209,000   163,020

 

See accompanying notes.

54


 

Schedule of Investments      
Principal Spectrum Tax-Advantaged Dividend Active ETF    
March 31, 2023 (unaudited)      
 
    Principal    
BONDS (continued)   Amount   Value
 
Banks (continued)        
UBS Group AG        
(5-year Swap rate + 4.34%),        
7.00%, 01/31/2024 (a),(b),(d) $ 861,000 $ 816,839
Wells Fargo & Co.        
(5-year Treasury Constant Maturity Rate + 3.45%),        
3.90%, 03/15/2026 (a),(b)   328,000   289,529
(3-month USD LIBOR + 3.99%),        
5.88%, 06/15/2025 (a),(b)   355,000   348,788
      $ 14,036,752
 
Diversified Financial Services — 6.56%        
Capital One Financial Corp.        
(5-year Treasury Constant Maturity Rate + 3.16%),        
3.95%, 09/01/2026 (a),(b)   209,000   156,489
Charles Schwab Corp.        
(5-year Treasury Constant Maturity Rate + 3.17%),        
4.00%, 06/01/2026 (a),(b)   328,000   267,409
(5-year Treasury Constant Maturity Rate + 4.97%),        
5.38%, 06/01/2025 (a),(b)   375,000   355,312
Discover Financial Services        
(5-year Treasury Constant Maturity Rate + 5.78%),        
6.13%, 06/23/2025 (a),(b)   575,000   530,744
      $ 1,309,954
 
Electric — 4.78%        
Dominion Energy, Inc.        
(5-year Treasury Constant Maturity Rate + 2.99%),        
4.65%, 12/15/2024 (a),(b)   460,000   404,129
Duke Energy Corp.        
(5-year Treasury Constant Maturity Rate + 3.39%),        
4.88%, 09/16/2024 (a),(b)   575,000   551,770
      $ 955,899
 
Insurance — 3.17%        
MetLife, Inc.        
(5-year Treasury Constant Maturity Rate + 3.58%),        
3.85%, 09/15/2025 (a),(b)   220,000   193,832
Voya Financial, Inc.        
(5-year Treasury Constant Maturity Rate + 3.36%),        
6.13%, 09/15/2023 (a),(b)   460,000   438,533
      $ 632,365
TOTAL BONDS     $ 16,934,970
INVESTMENT COMPANIES — 2.07%   Shares Held   Value
 
Money Market Fund — 2.07%        
State Street Institutional U.S. Government Money Market Fund — Institutional      
Class 1.49% (e)   413,785 $ 413,785
TOTAL INVESTMENT COMPANIES     $ 413,785
Total Investments     $ 19,800,535
Other Assets and Liabilities — 0.88%       175,049
 
Total Net Assets — 100.00%     $ 19,975,584
 
(a) Perpetual security. Perpetual securities pay an indefinite stream of interest, but they may be called by the issuer at an earlier
date. Date shown, if any, reflects the next call date or final legal maturity date. Rate shown is as of period end.  
 
 
 
 
See accompanying notes. 55      

 


 

Schedule of Investments

Principal Spectrum Tax-Advantaged Dividend Active ETF

March 31, 2023 (unaudited)

(b)      Rate shown is as of period end. The rate may be a variable or floating rate or a fixed rate which may convert to a variable or floating rate in the future.
(c)      Security exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions exempt from registration, normally to qualified institutional buyers. At the end of the period, the value of these securities totaled $998,378 or 5.00% of net assets.
(d)      Security is a contingent convertible security, ("CoCo"). CoCo's are hybrid debt securities that may convert to equity or have their principal written down upon occurrence of certain "triggers". At the end of the period, the value of these securities totaled $6,614,185 or 33.11% of net assets.
(e)      Current yield shown is as of period end.
Portfolio Summary

Sector   Percent  
Financial   89.34 %
Utilities   4.78 %
Communications   2.93 %
Money Market Fund   2.07 %
Other Assets and Liabilities   0.88 %
TOTAL NET ASSETS   100.00 %

 

See accompanying notes.

56


 

  Schedule of Investments    
Principal U.S. Large-Cap Adaptive Multi-Factor ETF    
  March 31, 2023 (unaudited)    
 
COMMON STOCKS — 99.25% Shares Held   Value
 
Advertising — 0.41%      
Interpublic Group of Cos., Inc. 326 $ 12,140
Omnicom Group, Inc. 138   13,019
    $ 25,159
 
Aerospace & Defense — 1.61%      
Boeing Co. (a) 43   9,135
General Dynamics Corp. 57   13,008
Howmet Aerospace, Inc. 111   4,703
L3Harris Technologies, Inc. 8   1,570
Lockheed Martin Corp. 59   27,891
Northrop Grumman Corp. 45   20,777
Raytheon Technologies Corp. 140   13,710
TransDigm Group, Inc. 9   6,633
    $ 97,427
 
Agriculture — 0.66%      
Altria Group, Inc. 206   9,192
Archer-Daniels-Midland Co. 151   12,028
Bunge Ltd. 42   4,012
Philip Morris International, Inc. 151   14,685
    $ 39,917
 
Airlines — 0.34%      
American Airlines Group, Inc. (a) 232   3,422
Delta Air Lines, Inc. (a) 258   9,009
United Airlines Holdings, Inc. (a) 182   8,054
    $ 20,485
 
Apparel — 0.42%      
NIKE, Inc., Class B 91   11,160
Ralph Lauren Corp. 57   6,650
Tapestry, Inc. 176   7,588
    $ 25,398
 
Auto Manufacturers — 2.24%      
Cummins, Inc. 65   15,527
General Motors Co. 171   6,273
PACCAR, Inc. 221   16,177
Tesla, Inc. (a) 472   97,921
    $ 135,898
 
Auto Parts & Equipment — 0.26%      
Aptiv PLC (a) 38   4,263
BorgWarner, Inc. 232   11,394
    $ 15,657
 
Banks — 3.77%      
Bank of America Corp. 489   13,985
Bank of New York Mellon Corp. 218   9,906
Citigroup, Inc. 172   8,065
Citizens Financial Group, Inc. 131   3,979
Comerica, Inc. 88   3,821
Fifth Third Bancorp 165   4,396
First Republic Bank (a) 470   6,575
Goldman Sachs Group, Inc. 63   20,608
Huntington Bancshares, Inc. 997   11,166
JPMorgan Chase & Co. 514   66,979

 

See accompanying notes.

57


 

  Schedule of Investments    
Principal U.S. Large-Cap Adaptive Multi-Factor ETF    
  March 31, 2023 (unaudited)    
 
COMMON STOCKS (continued) Shares Held   Value
 
Banks (continued)      
KeyCorp 329 $ 4,119
M&T Bank Corp. 38   4,544
Morgan Stanley 231   20,282
Northern Trust Corp. 51   4,495
PNC Financial Services Group, Inc. 48   6,101
Regions Financial Corp. 236   4,380
State Street Corp. 120   9,083
Truist Financial Corp. 172   5,865
U.S. Bancorp 169   6,092
Wells Fargo & Co. 292   10,915
Zions Bancorp NA 126   3,771
    $ 229,127
 
Beverages — 1.69%      
Brown-Forman Corp., Class B 62   3,985
Coca-Cola Co. 573   35,543
Constellation Brands, Inc., Class A 26   5,873
Keurig Dr Pepper, Inc. 38   1,340
Molson Coors Beverage Co., Class B 157   8,114
Monster Beverage Corp. (a) 204   11,018
PepsiCo, Inc. 203   37,007
    $ 102,880
 
Biotechnology — 1.53%      
Amgen, Inc. 91   21,999
Biogen, Inc. (a) 37   10,287
Corteva, Inc. 114   6,875
Gilead Sciences, Inc. 240   19,913
Incyte Corp. (a) 64   4,625
Moderna, Inc. (a) 39   5,990
Regeneron Pharmaceuticals, Inc. (a) 9   7,395
Vertex Pharmaceuticals, Inc. (a) 50   15,754
    $ 92,838
 
Chemicals — 1.89%      
Air Products & Chemicals, Inc. 49   14,073
Albemarle Corp. 56   12,378
Celanese Corp. 38   4,138
CF Industries Holdings, Inc. 102   7,394
Dow, Inc. 130   7,127
DuPont de Nemours, Inc. 84   6,029
Eastman Chemical Co. 48   4,048
FMC Corp. 63   7,694
Linde PLC 77   27,369
LyondellBasell Industries NV, Class A 109   10,234
Mosaic Co. 97   4,450
PPG Industries, Inc. 33   4,408
Sherwin-Williams Co. 24   5,395
    $ 114,737
 
Commercial Services — 1.96%      
Automatic Data Processing, Inc. 79   17,588
Cintas Corp. 24   11,104
CoStar Group, Inc. (a) 116   7,987
FleetCor Technologies, Inc. (a) 36   7,591
Gartner, Inc. (a) 28   9,121
MarketAxess Holdings, Inc. 17   6,652
PayPal Holdings, Inc. (a) 88   6,683

 

See accompanying notes.

58


 

  Schedule of Investments    
Principal U.S. Large-Cap Adaptive Multi-Factor ETF    
  March 31, 2023 (unaudited)    
 
COMMON STOCKS (continued) Shares Held   Value
 
Commercial Services (continued)      
Quanta Services, Inc. 51 $ 8,499
Robert Half International, Inc. 86   6,929
Rollins, Inc. 180   6,755
S&P Global, Inc. 33   11,377
United Rentals, Inc. 33   13,060
Verisk Analytics, Inc. 29   5,564
    $ 118,910
 
Computers — 8.57%      
Accenture PLC, Class A 86   24,580
Apple, Inc. 2,610   430,389
Cognizant Technology Solutions Corp., Class A 150   9,139
DXC Technology Co. (a) 153   3,911
EPAM Systems, Inc. (a) 24   7,176
Fortinet, Inc. (a) 71   4,719
Hewlett Packard Enterprise Co. 379   6,037
HP, Inc. 166   4,872
International Business Machines Corp. 92   12,060
Leidos Holdings, Inc. 87   8,009
NetApp, Inc. 81   5,172
Seagate Technology Holdings PLC 63   4,166
    $ 520,230
 
Construction Materials — 0.74%      
Carrier Global Corp. 319   14,594
Johnson Controls International PLC 82   4,938
Martin Marietta Materials, Inc. 10   3,551
Masco Corp. 148   7,359
Trane Technologies PLC 50   9,199
Vulcan Materials Co. 31   5,318
    $ 44,959
 
Distribution/Wholesale — 0.80%      
Copart, Inc. (a) 133   10,003
Fastenal Co. 99   5,340
LKQ Corp. 215   12,204
Pool Corp. 21   7,191
WW Grainger, Inc. 20   13,776
    $ 48,514
 
Diversified Financial Services — 3.64%      
American Express Co. 96   15,835
Ameriprise Financial, Inc. 32   9,808
BlackRock, Inc. 24   16,059
Capital One Financial Corp. 53   5,097
Cboe Global Markets, Inc. 35   4,698
Charles Schwab Corp. 122   6,390
CME Group, Inc. 43   8,235
Discover Financial Services 48   4,744
Franklin Resources, Inc. 261   7,031
Intercontinental Exchange, Inc. 71   7,405
Invesco Ltd. 245   4,018
Mastercard, Inc., Class A 127   46,153
Nasdaq, Inc. 161   8,802
Raymond James Financial, Inc. 84   7,835
Synchrony Financial 261   7,590
T Rowe Price Group, Inc. 43   4,855

 

See accompanying notes.

59


 

Schedule of Investments      
Principal U.S. Large-Cap Adaptive Multi-Factor ETF    
March 31, 2023 (unaudited)      
 
COMMON STOCKS (continued) Shares Held   Value
 
Diversified Financial Services (continued)      
Visa, Inc., Class A 251 $ 56,590
    $ 221,145
 
Electric — 1.93%      
AES Corp. 154   3,708
Alliant Energy Corp. 77   4,112
Ameren Corp. 55   4,751
American Electric Power Co., Inc. 75   6,824
CenterPoint Energy, Inc. 39   1,149
CMS Energy Corp. 72   4,419
Consolidated Edison, Inc. 103   9,854
Constellation Energy Corp. 53   4,161
Dominion Energy, Inc. 30   1,677
DTE Energy Co. 44   4,820
Duke Energy Corp. 87   8,393
Edison International 79   5,577
Entergy Corp. 12   1,293
Evergy, Inc. 18   1,100
Eversource Energy 65   5,087
Exelon Corp. 38   1,592
FirstEnergy Corp. 133   5,328
NextEra Energy, Inc. 46   3,546
NRG Energy, Inc. 118   4,046
PG&E Corp. (a) 336   5,433
Pinnacle West Capital Corp. 54   4,279
PPL Corp. 186   5,169
Public Service Enterprise Group, Inc. 23   1,436
Sempra Energy 12   1,814
Southern Co. 31   2,157
WEC Energy Group, Inc. 100   9,479
Xcel Energy, Inc. 86   5,800
    $ 117,004
 
Electrical Components & Equipment — 0.27%      
AMETEK, Inc. 68   9,882
Emerson Electric Co. 78   6,797
    $ 16,679
 
Electronics — 1.36%      
Agilent Technologies, Inc. 68   9,407
Allegion PLC 95   10,139
Amphenol Corp., Class A 146   11,931
Fortive Corp. 79   5,385
Garmin Ltd. 41   4,138
Honeywell International, Inc. 64   12,232
Keysight Technologies, Inc. (a) 49   7,913
Mettler-Toledo International, Inc. (a) 6   9,181
TE Connectivity Ltd. 92   12,066
    $ 82,392
 
Energy — Alternate Sources — 0.12%      
Enphase Energy, Inc. (a) 17   3,575
First Solar, Inc. (a) 18   3,915
    $ 7,490
 
Engineering & Construction — 0.14%      
Jacobs Solutions, Inc. 71   8,343

 

See accompanying notes.

60


 

  Schedule of Investments    
Principal U.S. Large-Cap Adaptive Multi-Factor ETF    
  March 31, 2023 (unaudited)    
 
COMMON STOCKS (continued) Shares Held   Value
 
Entertainment — 0.07%      
Live Nation Entertainment, Inc. (a) 58 $ 4,060
 
Environmental Control — 0.33%      
Pentair PLC 133   7,351
Republic Services, Inc. 38   5,138
Waste Management, Inc. 46   7,506
    $ 19,995
 
Food — 1.90%      
Campbell Soup Co. 151   8,302
Conagra Brands, Inc. 129   4,845
General Mills, Inc. 212   18,118
Hershey Co. 42   10,685
Hormel Foods Corp. 105   4,187
J M Smucker Co. 31   4,878
Kellogg Co. 180   12,053
Kraft Heinz Co. 149   5,762
Kroger Co. 211   10,417
Lamb Weston Holdings, Inc. 74   7,735
McCormick & Co., Inc. 16   1,331
Mondelez International, Inc., Class A 148   10,319
Sysco Corp. 144   11,121
Tyson Foods, Inc., Class A 93   5,517
    $ 115,270
 
Forest Products & Paper — 0.07%      
International Paper Co. 114   4,111
 
Gas — 0.19%      
Atmos Energy Corp. 69   7,753
NiSource, Inc. 144   4,026
    $ 11,779
 
Hand/Machine Tools — 0.20%      
Snap-on, Inc. 49   12,098
 
Healthcare — Products — 2.15%      
Abbott Laboratories 156   15,797
Bio-Techne Corp. 40   2,968
Boston Scientific Corp. (a) 174   8,705
Danaher Corp. 44   11,090
Edwards Lifesciences Corp. (a) 60   4,964
GE HealthCare Technologies, Inc. (a) 116   9,515
Hologic, Inc. (a) 115   9,280
IDEXX Laboratories, Inc. (a) 19   9,501
Insulet Corp. (a) 12   3,828
Medtronic PLC 33   2,660
ResMed, Inc. 26   5,694
Stryker Corp. 53   15,130
Thermo Fisher Scientific, Inc. 33   19,020
Waters Corp. (a) 11   3,406
West Pharmaceutical Services, Inc. 11   3,811
Zimmer Biomet Holdings, Inc. 41   5,297
    $ 130,666
 
Healthcare — Services — 3.08%      
Catalent, Inc. (a) 43   2,826
Centene Corp. (a) 103   6,511
Charles River Laboratories International, Inc. (a) 34   6,862

 

See accompanying notes.

61


 

  Schedule of Investments    
Principal U.S. Large-Cap Adaptive Multi-Factor ETF    
  March 31, 2023 (unaudited)    
 
COMMON STOCKS (continued) Shares Held   Value
 
Healthcare — Services (continued)      
DaVita, Inc. (a) 47 $ 3,812
Elevance Health, Inc. 43   19,772
HCA Healthcare, Inc. 53   13,975
Humana, Inc. 40   19,418
IQVIA Holdings, Inc. (a) 48   9,547
Laboratory Corp. of America Holdings 26   5,965
Molina Healthcare, Inc. (a) 31   8,292
Quest Diagnostics, Inc. 38   5,376
UnitedHealth Group, Inc. 164   77,505
Universal Health Services, Inc., Class B 55   6,990
    $ 186,851
 
Home Builders — 0.78%      
DR Horton, Inc. 134   13,091
Lennar Corp., Class A 119   12,508
NVR, Inc. (a) 2   11,144
PulteGroup, Inc. 181   10,549
    $ 47,292
 
Home Furnishings — 0.06%      
Whirlpool Corp. 29   3,828
 
Household Products — 0.85%      
Colgate-Palmolive Co. 182   13,677
Procter & Gamble Co. 256   38,065
    $ 51,742
 
Household Products/Wares — 0.55%      
Avery Dennison Corp. 66   11,809
Church & Dwight Co., Inc. 53   4,686
Clorox Co. 31   4,906
Kimberly-Clark Corp. 87   11,677
    $ 33,078
 
Insurance — 3.92%      
Aflac, Inc. 178   11,485
Allstate Corp. 46   5,097
American International Group, Inc. 110   5,540
Aon PLC, Class A 44   13,873
Arch Capital Group Ltd. (a) 129   8,755
Arthur J Gallagher & Co. 58   11,096
Assurant, Inc. 29   3,482
Berkshire Hathaway, Inc., Class B (a) 187   57,740
Brown & Brown, Inc. 143   8,211
Chubb Ltd. 52   10,097
Everest Re Group Ltd. 22   7,876
Globe Life, Inc. 102   11,222
Hartford Financial Services Group, Inc. 143   9,966
Lincoln National Corp. 167   3,752
Loews Corp. 90   5,222
Marsh & McLennan Cos., Inc. 54   8,994
MetLife, Inc. 123   7,127
Progressive Corp. 121   17,310
Prudential Financial, Inc. 63   5,213
Travelers Cos., Inc. 71   12,170
W R Berkley Corp. 132   8,218

 

See accompanying notes.

62


 

Schedule of Investments      
Principal U.S. Large-Cap Adaptive Multi-Factor ETF    
March 31, 2023 (unaudited)      
 
COMMON STOCKS (continued) Shares Held   Value
 
Insurance (continued)      
Willis Towers Watson PLC 24 $ 5,577
    $ 238,023
 
Internet — 8.55%      
Alphabet, Inc., Class A (a) 1,046   108,502
Alphabet, Inc., Class C (a) 911   94,744
Amazon.com, Inc. (a) 1,565   161,649
Booking Holdings, Inc. (a) 6   15,914
CDW Corp. 70   13,642
Expedia Group, Inc. (a) 41   3,978
F5, Inc. (a) 26   3,788
Gen Digital, Inc. 231   3,964
Meta Platforms, Inc., Class A (a) 391   82,869
Netflix, Inc. (a) 62   21,420
VeriSign, Inc. (a) 40   8,453
    $ 518,923
 
Iron & Steel — 0.44%      
Nucor Corp. 97   14,984
Steel Dynamics, Inc. 102   11,532
    $ 26,516
 
Leisure Time — 0.06%      
Royal Caribbean Cruises Ltd. (a) 55   3,591
 
Lodging — 0.61%      
Hilton Worldwide Holdings, Inc. 44   6,198
Las Vegas Sands Corp. (a) 68   3,907
Marriott International, Inc., Class A 94   15,608
MGM Resorts International (a) 179   7,951
Wynn Resorts Ltd. (a) 30   3,357
    $ 37,021
 
Machinery — Construction & Mining — 0.31%      
Caterpillar, Inc. 82   18,765
 
Machinery — Diversified — 1.31%      
Deere & Co. 64   26,424
Dover Corp. 59   8,964
IDEX Corp. 36   8,317
Ingersoll Rand, Inc. 70   4,073
Nordson Corp. 14   3,112
Otis Worldwide Corp. 74   6,246
Rockwell Automation, Inc. 30   8,803
Westinghouse Air Brake Technologies Corp. 95   9,601
Xylem, Inc. 36   3,769
    $ 79,309
 
Media — 1.09%      
Charter Communications, Inc., Class A (a) 27   9,655
Comcast Corp., Class A 410   15,543
DISH Network Corp., Class A (a) 390   3,639
FactSet Research Systems, Inc. 19   7,887
Fox Corp., Class A 230   7,832
Fox Corp., Class B 146   4,571
News Corp., Class A 224   3,868
News Corp., Class B 205   3,573
Paramount Global, Class B 189   4,217

 

See accompanying notes.

63


 

  Schedule of Investments    
Principal U.S. Large-Cap Adaptive Multi-Factor ETF    
  March 31, 2023 (unaudited)    
 
COMMON STOCKS (continued) Shares Held   Value
 
Media (continued)      
Warner Bros Discovery, Inc. (a) 354 $ 5,345
    $ 66,130
 
Mining — 0.11%      
Freeport-McMoRan, Inc. 163   6,668
 
Miscellaneous Manufacturers — 1.30%      
3M Co. 128   13,454
A O Smith Corp. 48   3,319
Eaton Corp. PLC 48   8,224
General Electric Co. 180   17,208
Illinois Tool Works, Inc. 58   14,120
Parker-Hannifin Corp. 16   5,378
Teledyne Technologies, Inc. (a) 19   8,500
Textron, Inc. 123   8,688
    $ 78,891
 
Oil & Gas — 4.40%      
APA Corp. 114   4,111
Chevron Corp. 270   44,053
ConocoPhillips 191   18,949
Coterra Energy, Inc. 319   7,828
Devon Energy Corp. 106   5,365
Diamondback Energy, Inc. 65   8,786
EOG Resources, Inc. 114   13,068
EQT Corp. 127   4,053
Exxon Mobil Corp. 723   79,284
Hess Corp. 37   4,897
Marathon Oil Corp. 316   7,571
Marathon Petroleum Corp. 137   18,472
Occidental Petroleum Corp. 96   5,993
Phillips 66 161   16,322
Pioneer Natural Resources Co. 55   11,233
Valero Energy Corp. 124   17,310
    $ 267,295
 
Oil & Gas Services — 0.19%      
Halliburton Co. 160   5,062
Schlumberger Ltd. 137   6,727
    $ 11,789
 
Packaging & Containers — 0.52%      
Amcor PLC 1,095   12,461
Packaging Corp. of America 60   8,330
Sealed Air Corp. 147   6,749
Westrock Co. 128   3,900
    $ 31,440
 
Pharmaceuticals — 6.41%      
AbbVie, Inc. 369   58,808
AmerisourceBergen Corp. 87   13,930
Becton Dickinson & Co. 58   14,357
Bristol-Myers Squibb Co. 356   24,674
Cardinal Health, Inc. 130   9,815
Cigna Group 64   16,354
CVS Health Corp. 147   10,924
Dexcom, Inc. (a) 83   9,643
Eli Lilly & Co. 138   47,392

 

See accompanying notes.

64


 

  Schedule of Investments    
Principal U.S. Large-Cap Adaptive Multi-Factor ETF    
  March 31, 2023 (unaudited)    
 
COMMON STOCKS (continued) Shares Held   Value
 
Pharmaceuticals (continued)      
Henry Schein, Inc. (a) 62 $ 5,055
Johnson & Johnson 308   47,740
McKesson Corp. 51   18,159
Merck & Co., Inc. 533   56,706
Organon & Co. 163   3,834
Pfizer, Inc. 848   34,598
Viatris, Inc. 1,081   10,399
Zoetis, Inc. 39   6,491
    $ 388,879
 
Pipelines — 0.51%      
Kinder Morgan, Inc. 649   11,364
ONEOK, Inc. 153   9,722
Targa Resources Corp. 60   4,377
Williams Cos., Inc. 193   5,763
    $ 31,226
 
Real Estate — 0.08%      
CBRE Group, Inc., Class A (a) 65   4,733
 
REITs — 1.68%      
AvalonBay Communities, Inc. 30   5,042
Boston Properties, Inc. 74   4,005
Camden Property Trust 37   3,879
Crown Castle, Inc. 41   5,487
Equinix, Inc. 17   12,258
Equity Residential 21   1,260
Extra Space Storage, Inc. 22   3,585
Federal Realty Investment Trust 10   988
Host Hotels & Resorts, Inc. 259   4,271
Iron Mountain, Inc. 131   6,931
Mid-America Apartment Communities, Inc. 28   4,229
Prologis, Inc. 69   8,609
Public Storage 22   6,647
Realty Income Corp. 102   6,459
Regency Centers Corp. 64   3,916
SBA Communications Corp. 14   3,655
Simon Property Group, Inc. 92   10,301
VICI Properties, Inc. 184   6,002
Weyerhaeuser Co. 156   4,700
    $ 102,224
 
Retail — 4.98%      
Advance Auto Parts, Inc. 34   4,135
AutoZone, Inc. (a) 7   17,207
Bath & Body Works, Inc. 100   3,658
Best Buy Co., Inc. 56   4,383
CarMax, Inc. (a) 64   4,114
Chipotle Mexican Grill, Inc. (a) 6   10,250
Costco Wholesale Corp. 37   18,384
Darden Restaurants, Inc. 58   8,999
Dollar General Corp. 57   11,996
Dollar Tree, Inc. (a) 63   9,044
Genuine Parts Co. 83   13,887
Home Depot, Inc. 156   46,039
Lowe's Cos., Inc. 50   9,998
McDonald's Corp. 65   18,175
O'Reilly Automotive, Inc. (a) 22   18,677

 

See accompanying notes.

65


 

  Schedule of Investments    
Principal U.S. Large-Cap Adaptive Multi-Factor ETF    
  March 31, 2023 (unaudited)    
 
COMMON STOCKS (continued) Shares Held   Value
 
Retail (continued)      
Ross Stores, Inc. 58 $ 6,155
Starbucks Corp. 115   11,975
TJX Cos., Inc. 127   9,952
Tractor Supply Co. 39   9,167
Ulta Beauty, Inc. (a) 27   14,733
Walmart, Inc. 309   45,562
Yum! Brands, Inc. 46   6,076
    $ 302,566
 
Semiconductors — 5.68%      
Analog Devices, Inc. 79   15,580
Applied Materials, Inc. 136   16,705
Broadcom, Inc. 54   34,643
KLA Corp. 44   17,564
Lam Research Corp. 38   20,145
Microchip Technology, Inc. 190   15,918
Micron Technology, Inc. 112   6,758
Monolithic Power Systems, Inc. 15   7,508
NVIDIA Corp. 432   119,997
NXP Semiconductors NV 87   16,223
ON Semiconductor Corp. (a) 176   14,488
Qorvo, Inc. (a) 39   3,961
QUALCOMM, Inc. 165   21,051
Skyworks Solutions, Inc. 66   7,787
Texas Instruments, Inc. 142   26,413
    $ 344,741
 
Shipbuilding — 0.13%      
Huntington Ingalls Industries, Inc. 39   8,074
 
Software — 8.57%      
Activision Blizzard, Inc. 92   7,874
Adobe, Inc. (a) 30   11,561
Akamai Technologies, Inc. (a) 52   4,072
ANSYS, Inc. (a) 25   8,320
Autodesk, Inc. (a) 22   4,580
Broadridge Financial Solutions, Inc. 31   4,544
Cadence Design Systems, Inc. (a) 52   10,925
Ceridian HCM Holding, Inc. (a) 47   3,441
Electronic Arts, Inc. 43   5,179
Fair Isaac Corp. (a) 5   3,514
Fiserv, Inc. (a) 112   12,659
Intuit, Inc. 20   8,917
Jack Henry & Associates, Inc. 20   3,014
Microsoft Corp. 1,306   376,520
MSCI, Inc. 18   10,075
Oracle Corp. 147   13,659
Paychex, Inc. 51   5,844
Paycom Software, Inc. (a) 11   3,344
PTC, Inc. (a) 35   4,488
Roper Technologies, Inc. 15   6,610
Synopsys, Inc. (a) 29   11,201
    $ 520,341
 
Telecommunications — 1.98%      
Arista Networks, Inc. (a) 56   9,400
AT&T, Inc. 690   13,283
Cisco Systems, Inc. 899   46,995

 

See accompanying notes.

66


 

    Schedule of Investments      
  Principal U.S. Large-Cap Adaptive Multi-Factor ETF      
    March 31, 2023 (unaudited)      
 
COMMON STOCKS (continued) Shares Held     Value
 
Telecommunications (continued)        
Corning, Inc. 38   $ 1,341
Juniper Networks, Inc. 30     1,033
Motorola Solutions, Inc. 41     11,731
T-Mobile U.S., Inc. (a) 67     9,704
Verizon Communications, Inc. 680     26,445
        $ 119,932
 
Transportation — 1.76%        
CH Robinson Worldwide, Inc. 82     8,148
CSX Corp. 485     14,521
Expeditors International of Washington, Inc. 103     11,342
FedEx Corp. 51     11,653
JB Hunt Transport Services, Inc. 42     7,369
Norfolk Southern Corp. 59     12,508
Old Dominion Freight Line, Inc. 24     8,180
Union Pacific Corp. 45     9,057
United Parcel Service, Inc., Class B 125     24,249
        $ 107,027
 
Water — 0.08%        
American Water Works Co., Inc. 35     5,127
TOTAL COMMON STOCKS     $ 6,025,190
INVESTMENT COMPANIES — 0.34% Shares Held     Value
 
Money Market Fund — 0.34%        
State Street Institutional U.S. Government Money Market Fund — Institutional      
Class 1.49% (b) 20,769   $ 20,769
TOTAL INVESTMENT COMPANIES     $ 20,769
Total Investments     $ 6,045,959
Other Assets and Liabilities — 0.41%       24,766
Total Net Assets — 100.00%     $ 6,070,725
 
(a) Non-income producing security.        
(b) Current yield shown is as of period end.        
 
  Portfolio Summary        
Sector Percent      
Technology 22.82 %    
Consumer, Non-cyclical 20.77 %    
Financial 13.10 %    
Communications 12.03 %    
Consumer, Cyclical 10.61 %    
Industrial 9.97 %    
Energy 5.24 %    
Basic Materials 2.50 %    
Utilities 2.21 %    
Money Market Fund 0.34 %    
Other Assets and Liabilities 0.41 %    
TOTAL NET ASSETS 100.00 %    
 
 
 
 
See accompanying notes. 67      

 


 

  Schedule of Investments      
  Principal U.S. Mega-Cap ETF      
  March 31, 2023 (unaudited)      
 
COMMON STOCKS — 99.59%   Shares Held   Value
Auto Manufacturers — 1.92%        
Tesla, Inc. (a)   107,950 $ 22,395,307
Banks — 4.65%        
Bank of America Corp.   663,092   18,964,431
JPMorgan Chase & Co.   189,322   24,670,550
Wells Fargo & Co.   284,056   10,618,013
      $ 54,252,994
 
Beverages — 3.34%        
Coca-Cola Co.   412,390   25,580,552
PepsiCo, Inc.   73,583   13,414,181
      $ 38,994,733
 
Chemicals — 2.45%        
Linde PLC   80,263   28,528,681
Computers — 10.07%        
Accenture PLC, Class A   124,411   35,557,908
Apple, Inc.   496,045   81,797,820
      $ 117,355,728
 
Diversified Financial Services — 6.86%        
Mastercard, Inc., Class A   110,914   40,307,257
Visa, Inc., Class A   176,171   39,719,513
      $ 80,026,770
 
Healthcare — Products — 7.38%        
Abbott Laboratories   243,451   24,651,848
Danaher Corp.   137,118   34,559,221
Thermo Fisher Scientific, Inc.   46,590   26,853,078
      $ 86,064,147
 
Healthcare — Services — 2.55%        
UnitedHealth Group, Inc.   62,835   29,695,193
Household Products — 2.30%        
Procter & Gamble Co.   179,984   26,761,821
Insurance — 1.19%        
Berkshire Hathaway, Inc., Class B (a)   45,079   13,919,043
Internet — 9.34%        
Alphabet, Inc., Class A (a)   331,629   34,399,876
Amazon.com, Inc. (a)   193,162   19,951,703
Meta Platforms, Inc., Class A (a)   257,661   54,608,672
      $ 108,960,251
 
Media — 1.07%        
Walt Disney Co. (a)   124,798   12,496,024
Oil & Gas — 5.50%        
Chevron Corp.   133,633   21,803,560
ConocoPhillips   185,291   18,382,720
Exxon Mobil Corp.   218,640   23,976,063
      $ 64,162,343
 
Pharmaceuticals — 12.76%        
AbbVie, Inc.   228,053   36,344,807
Bristol-Myers Squibb Co.   319,495   22,144,199
Eli Lilly & Co.   37,369   12,833,262

 

See accompanying notes.

68


 

    Schedule of Investments        
    Principal U.S. Mega-Cap ETF        
    March 31, 2023 (unaudited)        
 
COMMON STOCKS (continued)     Shares Held   Value
Pharmaceuticals (continued)          
Johnson & Johnson     137,156 $ 21,259,180
Merck & Co., Inc.     241,903   25,736,060
Pfizer, Inc.     746,108   30,441,206
          $ 148,758,714
 
Retail — 5.61%          
Costco Wholesale Corp.     48,408   24,052,483
Home Depot, Inc.     46,232   13,643,988
McDonald's Corp.     50,029   13,988,609
Walmart, Inc.     93,078   13,724,351
          $ 65,409,431
 
Semiconductors — 11.55%          
Broadcom, Inc.     51,530   33,058,556
NVIDIA Corp.     268,803   74,665,409
Texas Instruments, Inc.     144,889   26,950,803
          $ 134,674,768
 
Software — 7.42%          
Microsoft Corp.     244,892   70,602,364
Salesforce, Inc. (a)     79,503   15,883,109
          $ 86,485,473
 
Telecommunications — 3.63%          
Cisco Systems, Inc.     541,471   28,305,397
Verizon Communications, Inc.     360,232   14,009,422
          $ 42,314,819
TOTAL COMMON STOCKS       $ 1,161,256,240
INVESTMENT COMPANIES — 0.35%     Shares Held   Value
Money Market Fund — 0.35%          
State Street Institutional U.S. Government Money Market Fund — Institutional        
Class 1.49% (b)     4,073,542 $ 4,073,542
TOTAL INVESTMENT COMPANIES       $ 4,073,542
Total Investments       $ 1,165,329,782
Other Assets and Liabilities — 0.06%         708,404
Total Net Assets — 100.00%       $ 1,166,038,186
 
(a) Non-income producing security.          
(b) Current yield shown is as of period end.          
 
  Portfolio Summary        
Sector Percent        
Technology 29.03 %      
Consumer, Non-cyclical 28.32 %      
Communications 14.05 %      
Financial 12.71 %      
Consumer, Cyclical 7.53 %      
Energy 5.50 %      
Basic Materials 2.45 %      
Money Market Fund 0.35 %      
Other Assets and Liabilities 0.06 %      
TOTAL NET ASSETS 100.00 %      
 
 
 
 
See accompanying notes. 69        

 


 

  Schedule of Investments    
Principal U.S. Small-Cap Adaptive Multi-Factor ETF    
  March 31, 2023 (unaudited)    
 
COMMON STOCKS — 99.18% Shares Held   Value
 
Aerospace & Defense — 1.20%      
AAR Corp. (a) 265 $ 14,456
Aerojet Rocketdyne Holdings, Inc. (a) 261   14,661
Barnes Group, Inc. 229   9,224
Moog, Inc., Class A 195   19,646
National Presto Industries, Inc. 69   4,974
Triumph Group, Inc. (a) 464   5,378
    $ 68,339
 
Agriculture — 0.58%      
Andersons, Inc. 274   11,322
Fresh Del Monte Produce, Inc. 387   11,652
Universal Corp. 35   1,851
Vector Group Ltd. 669   8,035
    $ 32,860
 
Airlines — 0.11%      
SkyWest, Inc. (a) 287   6,363
 
Apparel — 1.31%      
Kontoor Brands, Inc. 471   22,792
Oxford Industries, Inc. 175   18,478
Steven Madden Ltd. 748   26,928
Urban Outfitters, Inc. (a) 226   6,265
    $ 74,463
 
Auto Manufacturers — 0.28%      
Wabash National Corp. 655   16,107
 
Auto Parts & Equipment — 1.32%      
American Axle & Manufacturing Holdings, Inc. (a) 1,318   10,294
Dorman Products, Inc. (a) 116   10,006
Methode Electronics, Inc. 472   20,711
Standard Motor Products, Inc. 405   14,948
Titan International, Inc. (a) 795   8,332
XPEL, Inc. (a) 163   11,076
    $ 75,367
 
Banks — 10.06%      
Ameris Bancorp 618   22,606
Atlantic Union Bankshares Corp. 540   18,927
BancFirst Corp. 88   7,313
Bancorp, Inc. (a) 201   5,598
BankUnited, Inc. 301   6,797
Banner Corp. 400   21,748
Central Pacific Financial Corp. 520   9,308
City Holding Co. 137   12,451
Community Bank System, Inc. 202   10,603
Customers Bancorp, Inc. (a) 458   8,482
CVB Financial Corp. 825   13,761
Dime Community Bancshares, Inc. 390   8,861
Eagle Bancorp, Inc. 348   11,648
FB Financial Corp. 386   11,997
First BanCorp 1,443   16,479
First Bancorp/Southern Pines NC 375   13,320
First Commonwealth Financial Corp. 1,016   12,629
First Financial Bancorp 705   15,348
First Hawaiian, Inc. 534   11,016
Hanmi Financial Corp. 519   9,638

 

See accompanying notes.

70


 

  Schedule of Investments    
Principal U.S. Small-Cap Adaptive Multi-Factor ETF    
  March 31, 2023 (unaudited)    
 
COMMON STOCKS (continued) Shares Held   Value
 
Banks (continued)      
Heritage Financial Corp. 678 $ 14,509
Hilltop Holdings, Inc. 453   13,441
HomeStreet, Inc. 230   4,138
Hope Bancorp, Inc. 1,231   12,088
Independent Bank Corp. 305   20,014
Independent Bank Group, Inc. 312   14,461
Lakeland Financial Corp. 122   7,642
National Bank Holdings Corp., Class A 231   7,729
NBT Bancorp, Inc. 560   18,878
OFG Bancorp 489   12,196
Park National Corp. 67   7,944
Pathward Financial, Inc. 116   4,813
Preferred Bank 191   10,469
Renasant Corp. 677   20,703
S&T Bancorp, Inc. 560   17,612
Seacoast Banking Corp. of Florida 269   6,375
ServisFirst Bancshares, Inc. 142   7,757
Simmons First National Corp., Class A 570   9,969
Southside Bancshares, Inc. 343   11,388
Stellar Bancorp, Inc. 254   6,251
Tompkins Financial Corp. 229   15,162
Triumph Financial, Inc. (a) 86   4,993
TrustCo Bank Corp. NY 316   10,093
Trustmark Corp. 562   13,881
United Community Banks, Inc. 759   21,343
Veritex Holdings, Inc. 525   9,586
Walker & Dunlop, Inc. 203   15,463
Westamerica BanCorp 148   6,556
    $ 573,984
 
Beverages — 0.44%      
MGP Ingredients, Inc. 137   13,251
National Beverage Corp. (a) 230   12,125
    $ 25,376
 
Biotechnology — 1.21%      
ANI Pharmaceuticals, Inc. (a) 108   4,290
Certara, Inc. (a) 322   7,764
Dynavax Technologies Corp. (a) 1,079   10,585
Innoviva, Inc. (a) 913   10,271
iTeos Therapeutics, Inc. (a) 307   4,178
Ligand Pharmaceuticals, Inc. (a) 72   5,296
NeoGenomics, Inc. (a) 412   7,173
Vir Biotechnology, Inc. (a) 576   13,404
Xencor, Inc. (a) 218   6,080
    $ 69,041
 
Chemicals — 3.00%      
AdvanSix, Inc. 322   12,323
American Vanguard Corp. 640   14,003
AZZ, Inc. 253   10,434
Balchem Corp. 110   13,913
Hawkins, Inc. 136   5,954
HB Fuller Co. 190   13,006
Innospec, Inc. 176   18,070
Koppers Holdings, Inc. 322   11,260
Livent Corp. (a) 467   10,143
Mativ Holdings, Inc. 523   11,229

 

See accompanying notes.

71


 

  Schedule of Investments    
Principal U.S. Small-Cap Adaptive Multi-Factor ETF    
  March 31, 2023 (unaudited)    
 
COMMON STOCKS (continued) Shares Held   Value
 
Chemicals (continued)      
Minerals Technologies, Inc. 163 $ 9,848
Quaker Chemical Corp. 81   16,034
Rogers Corp. (a) 54   8,825
Stepan Co. 158   16,279
    $ 171,321
 
Coal — 0.80%      
CONSOL Energy, Inc. 353   20,569
SunCoke Energy, Inc. 1,245   11,180
Warrior Met Coal, Inc. 376   13,803
    $ 45,552
 
Commercial Services — 5.56%      
Aaron's Co., Inc. 445   4,299
ABM Industries, Inc. 648   29,121
Adtalem Global Education, Inc. (a) 380   14,676
Alarm.com Holdings, Inc. (a) 198   9,955
AMN Healthcare Services, Inc. (a) 237   19,661
CoreCivic, Inc. (a) 1,157   10,644
CorVel Corp. (a) 43   8,182
Cross Country Healthcare, Inc. (a) 604   13,481
Deluxe Corp. 316   5,056
EVERTEC, Inc. 505   17,044
Forrester Research, Inc. (a) 106   3,429
GEO Group, Inc. (a) 1,904   15,023
Green Dot Corp., Class A (a) 563   9,672
Healthcare Services Group, Inc. (a) 368   5,104
Heidrick & Struggles International, Inc. 288   8,744
Kelly Services, Inc., Class A 85   1,410
Korn Ferry 375   19,402
Matthews International Corp., Class A 191   6,887
Medifast, Inc. 104   10,782
Mister Car Wash, Inc. (a) 472   4,069
Monro, Inc. 292   14,434
Payoneer Global, Inc. (a) 865   5,432
Perdoceo Education Corp. (a) 874   11,738
PROG Holdings, Inc. (a) 472   11,229
Resources Connection, Inc. 722   12,317
Strategic Education, Inc. 102   9,163
Stride, Inc. (a) 468   18,369
TrueBlue, Inc. (a) 347   6,177
Upbound Group, Inc. 466   11,422
    $ 316,922
 
Computers — 1.01%      
Corsair Gaming, Inc. (a) 250   4,587
Insight Enterprises, Inc. (a) 261   37,313
NetScout Systems, Inc. (a) 77   2,206
OneSpan, Inc. (a) 238   4,165
TTEC Holdings, Inc. 244   9,084
    $ 57,355
 
Construction Materials — 2.35%      
AAON, Inc. 219   21,175
American Woodmark Corp. (a) 278   14,475
Apogee Enterprises, Inc. 271   11,721
Boise Cascade Co. 292   18,469
Gibraltar Industries, Inc. (a) 413   20,031

 

See accompanying notes.

72


 

Schedule of Investments      
Principal U.S. Small-Cap Adaptive Multi-Factor ETF    
March 31, 2023 (unaudited)      
 
COMMON STOCKS (continued) Shares Held   Value
 
Construction Materials (continued)      
Griffon Corp. 188 $ 6,018
Masterbrand, Inc. (a) 1,382   11,111
PGT Innovations, Inc. (a) 752   18,883
SPX Technologies, Inc. (a) 173   12,210
    $ 134,093
 
Distribution/Wholesale — 0.70%      
G-III Apparel Group Ltd. (a) 330   5,131
Resideo Technologies, Inc. (a) 910   16,635
ScanSource, Inc. (a) 361   10,989
Veritiv Corp. 54   7,298
    $ 40,053
 
Diversified Financial Services — 2.94%      
Avantax, Inc. (a) 257   6,764
Bread Financial Holdings, Inc. 221   6,701
Brightsphere Investment Group, Inc. 462   10,894
Encore Capital Group, Inc. (a) 160   8,072
Enova International, Inc. (a) 274   12,174
EZCORP, Inc., Class A (a) 1,551   13,339
LendingTree, Inc. (a) 160   4,266
Mr Cooper Group, Inc. (a) 486   19,911
Piper Sandler Cos. 64   8,871
PRA Group, Inc. (a) 197   7,675
Radian Group, Inc. 1,453   32,111
StoneX Group, Inc. (a) 193   19,981
Virtus Investment Partners, Inc. 35   6,664
WisdomTree, Inc. 985   5,772
World Acceptance Corp. (a) 51   4,248
    $ 167,443
 
Electric — 0.91%      
Avista Corp. 280   11,886
Otter Tail Corp. 404   29,197
Unitil Corp. 192   10,952
    $ 52,035
 
Electrical Components & Equipment — 0.72%      
Encore Wire Corp. 157   29,097
Insteel Industries, Inc. 303   8,429
Powell Industries, Inc. 90   3,833
    $ 41,359
 
Electronics — 3.19%      
Advanced Energy Industries, Inc. 231   22,638
Badger Meter, Inc. 184   22,415
Benchmark Electronics, Inc. 670   15,872
Brady Corp., Class A 328   17,623
Comtech Telecommunications Corp. 299   3,731
CTS Corp. 286   14,146
Itron, Inc. (a) 142   7,874
OSI Systems, Inc. (a) 137   14,023
Plexus Corp. (a) 191   18,636
Sanmina Corp. (a) 541   32,996
TTM Technologies, Inc. (a) 871   11,750
    $ 181,704

 

See accompanying notes.

73


 

  Schedule of Investments    
Principal U.S. Small-Cap Adaptive Multi-Factor ETF    
  March 31, 2023 (unaudited)    
 
COMMON STOCKS (continued) Shares Held   Value
 
Energy — Alternate Sources — 0.27%      
FutureFuel Corp. 1,007 $ 7,432
REX American Resources Corp. (a) 280   8,005
    $ 15,437
 
Engineering & Construction — 2.13%      
Arcosa, Inc. 322   20,321
Comfort Systems USA, Inc. 298   43,496
Dycom Industries, Inc. (a) 83   7,773
Frontdoor, Inc. (a) 520   14,498
Granite Construction, Inc. 208   8,545
MYR Group, Inc. (a) 169   21,296
NV5 Global, Inc. (a) 51   5,302
    $ 121,231
 
Entertainment — 0.35%      
Golden Entertainment, Inc. (a) 130   5,656
Monarch Casino & Resort, Inc. 85   6,303
Six Flags Entertainment Corp. (a) 292   7,799
    $ 19,758
 
Food — 2.33%      
Cal-Maine Foods, Inc. 382   23,260
Calavo Growers, Inc. 310   8,919
Chefs' Warehouse, Inc. (a) 197   6,708
Hostess Brands, Inc. (a) 856   21,297
J & J Snack Foods Corp. 65   9,634
John B Sanfilippo & Son, Inc. 115   11,146
Seneca Foods Corp., Class A (a) 102   5,331
Simply Good Foods Co. (a) 306   12,170
SpartanNash Co. 276   6,845
Tootsie Roll Industries, Inc. 229   10,277
TreeHouse Foods, Inc. (a) 208   10,489
United Natural Foods, Inc. (a) 268   7,062
    $ 133,138
 
Forest Products & Paper — 0.50%      
Mercer International, Inc. 934   9,130
Sylvamo Corp. 421   19,475
    $ 28,605
 
Gas — 0.41%      
Chesapeake Utilities Corp. 73   9,343
Northwest Natural Holding Co. 301   14,316
    $ 23,659
 
Hand/Machine Tools — 0.70%      
Enerpac Tool Group Corp. 294   7,497
Franklin Electric Co., Inc. 243   22,866
Kennametal, Inc. 353   9,736
    $ 40,099
 
Healthcare — Products — 1.70%      
Avanos Medical, Inc. (a) 435   12,937
BioLife Solutions, Inc. (a) 202   4,393
Cardiovascular Systems, Inc. (a) 228   4,528
Embecta Corp. 226   6,355
Glaukos Corp. (a) 50   2,505

 

See accompanying notes.

74


 

  Schedule of Investments    
Principal U.S. Small-Cap Adaptive Multi-Factor ETF    
  March 31, 2023 (unaudited)    
 
COMMON STOCKS (continued) Shares Held   Value
 
Healthcare — Products (continued)      
Integer Holdings Corp. (a) 100 $ 7,750
LeMaitre Vascular, Inc. 215   11,066
Merit Medical Systems, Inc. (a) 339   25,069
NuVasive, Inc. (a) 236   9,749
OraSure Technologies, Inc. (a) 651   3,939
Varex Imaging Corp. (a) 67   1,219
Zynex, Inc. (a) 598   7,176
    $ 96,686
 
Healthcare — Services — 1.67%      
Addus HomeCare Corp. (a) 135   14,413
Agiliti, Inc. (a) 248   3,963
Community Health Systems, Inc. (a) 1,013   4,964
Enhabit, Inc. (a) 661   9,194
Ensign Group, Inc. 181   17,293
Fulgent Genetics, Inc. (a) 151   4,714
Pediatrix Medical Group, Inc. (a) 405   6,038
RadNet, Inc. (a) 218   5,456
Select Medical Holdings Corp. 654   16,906
U.S. Physical Therapy, Inc. 127   12,435
    $ 95,376
 
Home Builders — 4.18%      
Cavco Industries, Inc. (a) 77   24,466
Century Communities, Inc. 210   13,423
Green Brick Partners, Inc. (a) 421   14,760
Installed Building Products, Inc. 216   24,630
LCI Industries 231   25,380
LGI Homes, Inc. (a) 128   14,596
M/I Homes, Inc. (a) 339   21,388
MDC Holdings, Inc. 442   17,181
Meritage Homes Corp. 316   36,896
Tri Pointe Homes, Inc. (a) 1,041   26,358
Winnebago Industries, Inc. 339   19,560
    $ 238,638
 
Home Furnishings — 0.44%      
Ethan Allen Interiors, Inc. 523   14,362
iRobot Corp. (a) 38   1,658
Sleep Number Corp. (a) 164   4,987
Xperi, Inc. (a) 364   3,979
    $ 24,986
 
Household Products — 0.86%      
Edgewell Personal Care Co. 224   9,502
elf Beauty, Inc. (a) 262   21,576
Inter Parfums, Inc. 127   18,064
    $ 49,142
 
Household Products/Wares — 0.96%      
Central Garden & Pet Co. (a) 228   9,361
Central Garden & Pet Co., Class A (a) 373   14,573
Quanex Building Products Corp. 643   13,844
WD-40 Co. 97   17,271
    $ 55,049

 

See accompanying notes.

75


 

Schedule of Investments      
Principal U.S. Small-Cap Adaptive Multi-Factor ETF    
March 31, 2023 (unaudited)      
 
COMMON STOCKS (continued) Shares Held   Value
 
Insurance — 2.63%      
Ambac Financial Group, Inc. (a) 707 $ 10,944
American Equity Investment Life Holding Co. 438   15,983
AMERISAFE, Inc. 132   6,461
Assured Guaranty Ltd. 59   2,966
Employers Holdings, Inc. 163   6,796
Genworth Financial, Inc., Class A (a) 3,746   18,805
Horace Mann Educators Corp. 56   1,875
James River Group Holdings Ltd. 526   10,862
Mercury General Corp. 168   5,332
NMI Holdings, Inc., Class A (a) 994   22,196
Palomar Holdings, Inc. (a) 200   11,040
ProAssurance Corp. 89   1,645
Safety Insurance Group, Inc. 23   1,714
SiriusPoint Ltd. (a) 1,226   9,967
Stewart Information Services Corp. 269   10,854
United Fire Group, Inc. 155   4,115
Universal Insurance Holdings, Inc. 463   8,436
    $ 149,991
 
Internet — 1.24%      
Cars.com, Inc. (a) 280   5,404
Cogent Communications Holdings, Inc. 173   11,023
ePlus, Inc. (a) 266   13,045
HealthStream, Inc. (a) 356   9,648
Liquidity Services, Inc. (a) 326   4,293
Perficient, Inc. (a) 140   10,107
QuinStreet, Inc. (a) 289   4,586
Shutterstock, Inc. 83   6,026
TechTarget, Inc. (a) 125   4,515
Yelp, Inc. (a) 77   2,364
    $ 71,011
 
Iron & Steel — 0.50%      
ATI, Inc. (a) 322   12,706
Carpenter Technology Corp. 165   7,385
Haynes International, Inc. 164   8,215
    $ 28,306
 
Leisure Time — 0.15%      
Vista Outdoor, Inc. (a) 311   8,618
 
Lodging — 0.17%      
Marcus Corp. 591   9,456
 
Machinery — Construction & Mining — 0.09%      
Astec Industries, Inc. 119   4,909
 
Machinery — Diversified — 1.78%      
Alamo Group, Inc. 81   14,917
Albany International Corp., Class A 124   11,081
Applied Industrial Technologies, Inc. 220   31,268
CIRCOR International, Inc. (a) 137   4,263
DXP Enterprises, Inc. (a) 353   9,503
Ichor Holdings Ltd. (a) 314   10,280
Lindsay Corp. 51   7,708
Tennant Co. 185   12,678
    $ 101,698

 

See accompanying notes.

76


 

  Schedule of Investments    
Principal U.S. Small-Cap Adaptive Multi-Factor ETF    
  March 31, 2023 (unaudited)    
 
COMMON STOCKS (continued) Shares Held   Value
 
Media — 0.55%      
AMC Networks, Inc., Class A (a) 282 $ 4,958
EW Scripps Co., Class A (a) 928   8,732
Scholastic Corp. 319   10,916
Thryv Holdings, Inc. (a) 282   6,503
    $ 31,109
 
Metal Fabrication & Hardware — 1.21%      
Mueller Industries, Inc. 497   36,520
Olympic Steel, Inc. 168   8,771
Standex International Corp. 110   13,469
TimkenSteel Corp. (a) 274   5,025
Tredegar Corp. 586   5,350
    $ 69,135
 
Mining — 0.14%      
Arconic Corp. (a) 303   7,948
 
Miscellaneous Manufacturers — 2.33%      
EnPro Industries, Inc. 24   2,493
ESCO Technologies, Inc. 186   17,754
Fabrinet (a) 219   26,008
Federal Signal Corp. 393   21,305
Hillenbrand, Inc. 257   12,215
John Bean Technologies Corp. 203   22,186
Materion Corp. 129   14,964
Myers Industries, Inc. 657   14,079
Sturm Ruger & Co., Inc. 29   1,666
    $ 132,670
 
Office & Business Equipment — 0.17%      
Pitney Bowes, Inc. 2,493   9,698
 
Office Furnishings — 0.30%      
HNI Corp. 449   12,500
Interface, Inc. 567   4,604
    $ 17,104
 
Oil & Gas — 2.59%      
Callon Petroleum Co. (a) 398   13,309
Civitas Resources, Inc. 292   19,955
Comstock Resources, Inc. 938   10,121
CVR Energy, Inc. 475   15,570
Nabors Industries Ltd. (a) 50   6,096
Northern Oil & Gas, Inc. 476   14,447
Par Pacific Holdings, Inc. (a) 643   18,776
Patterson-UTI Energy, Inc. 733   8,576
Ranger Oil Corp., Class A 238   9,720
SM Energy Co. 366   10,307
Talos Energy, Inc. (a) 1,029   15,270
Vital Energy, Inc. (a) 117   5,328
    $ 147,475
 
Oil & Gas Services — 1.26%      
Archrock, Inc. 570   5,569
Bristow Group, Inc. (a) 214   4,793
DMC Global, Inc. (a) 393   8,634
Dril-Quip, Inc. (a) 175   5,021
Helix Energy Solutions Group, Inc. (a) 683   5,286

 

See accompanying notes.

77


 

  Schedule of Investments    
Principal U.S. Small-Cap Adaptive Multi-Factor ETF    
  March 31, 2023 (unaudited)    
 
COMMON STOCKS (continued) Shares Held   Value
 
Oil & Gas Services (continued)      
NexTier Oilfield Solutions, Inc. (a) 786 $ 6,249
NOW, Inc. (a) 1,031   11,496
Oceaneering International, Inc. (a) 371   6,541
Oil States International, Inc. (a) 517   4,307
RPC, Inc. 1,126   8,659
U.S. Silica Holdings, Inc. (a) 457   5,456
    $ 72,011
 
Packaging & Containers — 0.67%      
Clearwater Paper Corp. (a) 262   8,756
O-I Glass, Inc. (a) 1,301   29,546
    $ 38,302
 
Pharmaceuticals — 2.06%      
AdaptHealth Corp. (a) 358   4,450
Amphastar Pharmaceuticals, Inc. (a) 193   7,237
Anika Therapeutics, Inc. (a) 133   3,820
Catalyst Pharmaceuticals, Inc. (a) 710   11,772
Collegium Pharmaceutical, Inc. (a) 188   4,510
Corcept Therapeutics, Inc. (a) 304   6,585
Eagle Pharmaceuticals, Inc. (a) 153   4,340
Harmony Biosciences Holdings, Inc. (a) 123   4,016
Ironwood Pharmaceuticals, Inc. (a) 1,285   13,518
Owens & Minor, Inc. (a) 431   6,271
Pacira BioSciences, Inc. (a) 52   2,122
Phibro Animal Health Corp., Class A 544   8,334
Prestige Consumer Healthcare, Inc. (a) 324   20,292
Supernus Pharmaceuticals, Inc. (a) 248   8,985
uniQure NV (a) 226   4,552
USANA Health Sciences, Inc. (a) 103   6,479
    $ 117,283
 
Real Estate — 0.47%      
Alexander & Baldwin, Inc. (a) 100   1,891
Cushman & Wakefield PLC (a) 668   7,041
Douglas Elliman, Inc. 1,312   4,080
Kennedy-Wilson Holdings, Inc. 134   2,223
Marcus & Millichap, Inc. 49   1,573
RE/MAX Holdings, Inc., Class A 433   8,123
St. Joe Co. 47   1,956
    $ 26,887
 
REITs — 5.48%      
Acadia Realty Trust 133   1,855
American Assets Trust, Inc. 89   1,655
Apollo Commercial Real Estate Finance, Inc. 1,172   10,911
Armada Hoffler Properties, Inc. 939   11,090
ARMOUR Residential REIT, Inc. 1,193   6,263
Brandywine Realty Trust 1,159   5,482
CareTrust REIT, Inc. 461   9,026
Centerspace 27   1,475
Chatham Lodging Trust 131   1,374
Community Healthcare Trust, Inc. 171   6,259
DiamondRock Hospitality Co. 1,136   9,236
Easterly Government Properties, Inc. 514   7,062
Ellington Financial, Inc. 125   1,526
Elme Communities 102   1,822
Essential Properties Realty Trust, Inc. 901   22,390

 

See accompanying notes.

78


 

  Schedule of Investments    
Principal U.S. Small-Cap Adaptive Multi-Factor ETF    
  March 31, 2023 (unaudited)    
 
COMMON STOCKS (continued) Shares Held   Value
 
REITs (continued)      
Four Corners Property Trust, Inc. 621 $ 16,680
Franklin BSP Realty Trust, Inc. 554   6,609
Getty Realty Corp. 377   13,583
Global Net Lease, Inc. 583   7,497
Hudson Pacific Properties, Inc. 863   5,739
Innovative Industrial Properties, Inc. 87   6,611
iStar, Inc. (a) 103   3,025
JBG SMITH Properties 130   1,958
KKR Real Estate Finance Trust, Inc. 127   1,447
LTC Properties, Inc. 377   13,244
LXP Industrial Trust 271   2,794
NexPoint Residential Trust, Inc. 33   1,441
Office Properties Income Trust 402   4,945
Orion Office REIT, Inc. 201   1,347
PennyMac Mortgage Investment Trust 139   1,714
Ready Capital Corp. 1,167   11,868
Redwood Trust, Inc. 205   1,382
Retail Opportunity Investments Corp. 592   8,264
RPT Realty 719   6,838
Saul Centers, Inc. 132   5,148
Service Properties Trust 1,335   13,297
SITE Centers Corp. 191   2,346
Summit Hotel Properties, Inc. 750   5,250
Sunstone Hotel Investors, Inc. 241   2,381
Tanger Factory Outlet Centers, Inc. 473   9,285
Two Harbors Investment Corp. 962   14,151
Uniti Group, Inc. 1,504   5,339
Universal Health Realty Income Trust 194   9,333
Urban Edge Properties 143   2,154
Urstadt Biddle Properties, Inc., Class A 513   9,014
Veris Residential, Inc. (a) 485   7,100
Whitestone REIT 537   4,940
Xenia Hotels & Resorts, Inc. 657   8,600
    $ 312,750
 
Retail — 8.76%      
Abercrombie & Fitch Co., Class A (a) 213   5,911
Academy Sports & Outdoors, Inc. 581   37,910
America's Car-Mart, Inc. (a) 111   8,792
American Eagle Outfitters, Inc. 609   8,185
Asbury Automotive Group, Inc. (a) 170   35,700
BJ's Restaurants, Inc. (a) 147   4,284
Bloomin' Brands, Inc. 684   17,545
Boot Barn Holdings, Inc. (a) 93   7,128
Brinker International, Inc. (a) 347   13,186
Buckle, Inc. 320   11,421
Caleres, Inc. 443   9,582
Cheesecake Factory, Inc. 179   6,274
Chico's FAS, Inc. (a) 1,703   9,367
Children's Place, Inc. (a) 120   4,830
Chuy's Holdings, Inc. (a) 160   5,736
Cracker Barrel Old Country Store, Inc. 89   10,110
Dave & Buster's Entertainment, Inc. (a) 336   12,361
Designer Brands, Inc., Class A 513   4,484
Dine Brands Global, Inc. 181   12,243
El Pollo Loco Holdings, Inc. 429   4,114
Genesco, Inc. (a) 224   8,261
GMS, Inc. (a) 450   26,051

 

See accompanying notes.

79


 

  Schedule of Investments    
Principal U.S. Small-Cap Adaptive Multi-Factor ETF    
  March 31, 2023 (unaudited)    
 
COMMON STOCKS (continued) Shares Held   Value
 
Retail (continued)      
Group 1 Automotive, Inc. 125 $ 28,303
Guess?, Inc. 330   6,422
Haverty Furniture Cos., Inc. 411   13,115
Hibbett, Inc. 228   13,447
Jack in the Box, Inc. 84   7,358
La-Z-Boy, Inc. 568   16,517
Leslie's, Inc. (a) 534   5,879
MarineMax, Inc. (a) 311   8,941
Movado Group, Inc. 159   4,574
Nu Skin Enterprises, Inc., Class A 55   2,162
ODP Corp. (a) 342   15,383
Patrick Industries, Inc. 288   19,817
PC Connection, Inc. 190   8,542
PriceSmart, Inc. 213   15,225
Ruth's Hospitality Group, Inc. 305   5,008
Sally Beauty Holdings, Inc. (a) 838   13,056
Shoe Carnival, Inc. 323   8,285
Signet Jewelers Ltd. 135   10,500
Sonic Automotive, Inc., Class A 191   10,379
World Fuel Services Corp. 733   18,728
Zumiez, Inc. (a) 233   4,297
    $ 499,413
 
Savings & Loans — 2.55%      
Axos Financial, Inc. (a) 375   13,845
Banc of California, Inc. 818   10,250
Berkshire Hills Bancorp, Inc. 492   12,330
Brookline Bancorp, Inc. 1,070   11,235
Capitol Federal Financial, Inc. 213   1,433
Northfield Bancorp, Inc. 1,089   12,828
Northwest Bancshares, Inc. 1,081   13,004
Pacific Premier Bancorp, Inc. 707   16,982
Provident Financial Services, Inc. 699   13,407
Washington Federal, Inc. 750   22,590
WSFS Financial Corp. 459   17,263
    $ 145,167
 
Semiconductors — 2.56%      
Alpha & Omega Semiconductor Ltd. (a) 180   4,851
Axcelis Technologies, Inc. (a) 168   22,386
Cohu, Inc. (a) 227   8,715
Diodes, Inc. (a) 240   22,262
Kulicke & Soffa Industries, Inc. 334   17,598
MaxLinear, Inc. (a) 209   7,359
Onto Innovation, Inc. (a) 125   10,985
Photronics, Inc. (a) 616   10,213
Rambus, Inc. (a) 356   18,249
Semtech Corp. (a) 435   10,501
SMART Global Holdings, Inc. (a) 317   5,465
Veeco Instruments, Inc. (a) 346   7,311
    $ 145,895
 
Software — 2.90%      
Adeia, Inc. 1,738   15,399
Agilysys, Inc. (a) 74   6,106
Avid Technology, Inc. (a) 153   4,893
Computer Programs & Systems, Inc. (a) 311   9,392
Consensus Cloud Solutions, Inc. (a) 146   4,977

 

See accompanying notes.

80


 

  Schedule of Investments    
Principal U.S. Small-Cap Adaptive Multi-Factor ETF    
  March 31, 2023 (unaudited)    
 
COMMON STOCKS (continued) Shares Held   Value
 
Software (continued)      
CSG Systems International, Inc. 147 $ 7,894
Digi International, Inc. (a) 359   12,091
Digital Turbine, Inc. (a) 484   5,982
Donnelley Financial Solutions, Inc. (a) 262   10,705
DoubleVerify Holdings, Inc. (a) 471   14,201
Ebix, Inc. 575   7,584
NextGen Healthcare, Inc. (a) 349   6,076
PDF Solutions, Inc. (a) 128   5,427
Progress Software Corp. 305   17,522
Simulations Plus, Inc. 93   4,087
SPS Commerce, Inc. (a) 114   17,362
Veradigm, Inc. (a) 476   6,212
Verra Mobility Corp. (a) 563   9,526
    $ 165,436
 
Telecommunications — 0.94%      
A10 Networks, Inc. 104   1,611
ATN International, Inc. 98   4,010
Clearfield, Inc. (a) 84   3,913
Extreme Networks, Inc. (a) 410   7,839
Harmonic, Inc. (a) 418   6,099
InterDigital, Inc. 178   12,976
Lumen Technologies, Inc. (a) 3,203   8,488
NETGEAR, Inc. (a) 75   1,388
Shenandoah Telecommunications Co. 255   4,850
Viavi Solutions, Inc. (a) 233   2,524
    $ 53,698
 
Textiles — 0.18%      
UniFirst Corp. 57   10,045
 
Transportation — 2.18%      
ArcBest Corp. 162   14,972
Dorian LPG Ltd. 205   4,088
Forward Air Corp. 188   20,259
Heartland Express, Inc. 958   15,251
Hub Group, Inc., Class A (a) 330   27,700
Marten Transport Ltd. 584   12,235
Matson, Inc. 246   14,679
RXO, Inc. (a) 786   15,437
    $ 124,621
 
Water — 1.13%      
American States Water Co. 237   21,067
California Water Service Group 356   20,719
Middlesex Water Co. 90   7,031
SJW Group 203   15,454
    $ 64,271
TOTAL COMMON STOCKS   $ 5,656,448

 

See accompanying notes.

81


 

    Schedule of Investments      
  Principal U.S. Small-Cap Adaptive Multi-Factor ETF      
    March 31, 2023 (unaudited)      
 
INVESTMENT COMPANIES — 0.34% Shares Held     Value
 
Money Market Fund — 0.34%        
State Street Institutional U.S. Government Money Market Fund — Institutional      
Class 1.49% (b) 19,248   $ 19,248
TOTAL INVESTMENT COMPANIES     $ 19,248
Total Investments     $ 5,675,696
Other Assets and Liabilities — 0.48%       27,603
Total Net Assets — 100.00%     $ 5,703,299
 
(a) Non-income producing security.        
(b) Current yield shown is as of period end.        
 
  Portfolio Summary        
Sector Percent      
Financial 24.13 %    
Industrial 18.55 %    
Consumer, Cyclical 18.24 %    
Consumer, Non-cyclical 17.37 %    
Technology 6.64 %    
Energy 4.92 %    
Basic Materials 4.14 %    
Communications 2.73 %    
Utilities 2.46 %    
Money Market Fund 0.34 %    
Other Assets and Liabilities 0.48 %    
TOTAL NET ASSETS 100.00 %    
 
 
 
 
See accompanying notes. 82      

 


 

  Schedule of Investments    
Principal U.S. Small-Cap Multi-Factor ETF    
  March 31, 2023 (unaudited)    
 
COMMON STOCKS — 99.60% Shares Held   Value
 
Aerospace & Defense — 0.49%      
AAR Corp. (a) 6,976 $ 380,541
Barnes Group, Inc. 5,759   231,972
Moog, Inc., Class A 3,321   334,591
    $ 947,104
 
Agriculture — 0.04%      
Turning Point Brands, Inc. 3,417   71,757
 
Apparel — 1.88%      
Crocs, Inc. (a) 17,290   2,186,148
Oxford Industries, Inc. 3,493   368,826
Steven Madden Ltd. 10,852   390,672
Urban Outfitters, Inc. (a) 24,773   686,707
    $ 3,632,353
 
Auto Parts & Equipment — 0.25%      
American Axle & Manufacturing Holdings, Inc. (a) 19,282   150,593
Dorman Products, Inc. (a) 1,493   128,786
Methode Electronics, Inc. 3,223   141,425
Standard Motor Products, Inc. 1,545   57,026
    $ 477,830
 
Banks — 9.21%      
Amalgamated Financial Corp. 15,910   281,448
Ameris Bancorp 21,809   797,773
Associated Banc-Corp. 60,153   1,081,551
Cadence Bank 50,072   1,039,495
Central Pacific Financial Corp. 10,500   187,950
City Holding Co. 3,776   343,163
Eagle Bancorp, Inc. 11,095   371,350
Enterprise Financial Services Corp. 7,422   330,947
FB Financial Corp. 11,570   359,596
First BanCorp 87,263   996,543
First Bancorp/Southern Pines NC 9,834   349,304
First Bancshares, Inc. 9,587   247,632
First Busey Corp. 10,027   203,949
First Commonwealth Financial Corp. 32,519   404,211
First Financial Bancorp 20,229   440,385
Hanmi Financial Corp. 10,715   198,977
Heartland Financial USA, Inc. 8,040   308,414
Heritage Financial Corp. 12,540   268,356
Hope Bancorp, Inc. 53,856   528,866
Kearny Financial Corp. 22,892   185,883
NBT Bancorp, Inc. 9,491   319,942
Pathward Financial, Inc. 15,065   625,047
Preferred Bank 4,348   238,314
Premier Financial Corp. 7,967   165,156
Renasant Corp. 14,877   454,939
S&T Bancorp, Inc. 8,753   275,282
Sandy Spring Bancorp, Inc. 11,285   293,184
Simmons First National Corp., Class A 37,459   655,158
SouthState Corp. 15,869   1,130,825
Texas Capital Bancshares, Inc. (a) 24,054   1,177,684
Tompkins Financial Corp. 2,883   190,883
TriCo Bancshares 6,208   258,191
Trustmark Corp. 14,462   357,211
United Bankshares, Inc. 35,021   1,232,739
United Community Banks, Inc. 37,441   1,052,841

 

See accompanying notes.

83


 

  Schedule of Investments    
  Principal U.S. Small-Cap Multi-Factor ETF    
  March 31, 2023 (unaudited)    
 
COMMON STOCKS (continued) Shares Held   Value
 
Banks (continued)      
WesBanco, Inc. 12,946 $ 397,442
    $ 17,750,631
 
Beverages — 0.22%      
MGP Ingredients, Inc. 3,333   322,368
Vita Coco Co., Inc. (a) 4,834   94,843
    $ 417,211
 
Biotechnology — 2.95%      
ACADIA Pharmaceuticals, Inc. (a) 30,563   575,196
Adicet Bio, Inc. (a) 6,755   38,909
ADMA Biologics, Inc. (a) 47,619   157,619
Agenus, Inc. (a) 52,186   79,323
Amicus Therapeutics, Inc. (a) 45,014   499,205
AnaptysBio, Inc. (a) 4,069   88,541
Avid Bioservices, Inc. (a) 11,927   223,751
Chinook Therapeutics, Inc. (a) 9,364   216,777
Cytek Biosciences, Inc. (a) 10,985   100,952
Dynavax Technologies Corp. (a) 39,143   383,993
Emergent BioSolutions, Inc. (a) 15,540   160,994
Evolus, Inc. (a) 8,339   70,548
Halozyme Therapeutics, Inc. (a) 19,504   744,858
Innoviva, Inc. (a) 12,136   136,530
Intercept Pharmaceuticals, Inc. (a) 10,527   141,378
iTeos Therapeutics, Inc. (a) 6,861   93,378
Karyopharm Therapeutics, Inc. (a) 26,643   103,641
Ligand Pharmaceuticals, Inc. (a) 2,407   177,059
Liquidia Corp. (a) 7,753   53,573
Organogenesis Holdings, Inc. (a) 23,176   49,365
REGENXBIO, Inc. (a) 8,011   151,488
Rigel Pharmaceuticals, Inc. (a) 55,960   73,867
Syndax Pharmaceuticals, Inc. (a) 12,544   264,929
TransMedics Group, Inc. (a) 6,023   456,122
Vir Biotechnology, Inc. (a) 20,416   475,080
Xencor, Inc. (a) 5,956   166,113
    $ 5,683,189
 
Chemicals — 1.07%      
AdvanSix, Inc. 5,150   197,090
American Vanguard Corp. 6,548   143,270
AZZ, Inc. 4,244   175,023
Balchem Corp. 2,851   360,594
Ingevity Corp. (a) 5,625   402,300
Intrepid Potash, Inc. (a) 7,188   198,389
Kronos Worldwide, Inc. 14,728   135,645
Quaker Chemical Corp. 2,322   459,640
    $ 2,071,951
 
Coal — 2.18%      
Alpha Metallurgical Resources, Inc. 8,567   1,336,452
Arch Resources, Inc. 9,788   1,286,731
CONSOL Energy, Inc. 10,234   596,335
Ramaco Resources, Inc. 16,950   149,330
SunCoke Energy, Inc. 22,889   205,543
Warrior Met Coal, Inc. 17,240   632,880
    $ 4,207,271

 

See accompanying notes.

84


 

  Schedule of Investments    
  Principal U.S. Small-Cap Multi-Factor ETF    
  March 31, 2023 (unaudited)    
 
COMMON STOCKS (continued) Shares Held   Value
 
Commercial Services — 6.78%      
AMN Healthcare Services, Inc. (a) 10,451 $ 867,015
ASGN, Inc. (a) 6,083   502,882
Barrett Business Services, Inc. 1,216   107,786
Brink's Co. 6,951   464,327
Carriage Services, Inc. 1,605   48,985
CBIZ, Inc. (a) 6,217   307,679
Chegg, Inc. (a) 17,920   292,096
Cimpress PLC (a) 4,185   183,387
CoreCivic, Inc. (a) 29,597   272,292
CorVel Corp. (a) 883   168,017
CRA International, Inc. 1,087   117,200
Cross Country Healthcare, Inc. (a) 9,541   212,955
Ennis, Inc. 3,881   81,850
EVERTEC, Inc. 8,871   299,396
GEO Group, Inc. (a) 50,081   395,139
Healthcare Services Group, Inc. (a) 18,100   251,047
HealthEquity, Inc. (a) 12,831   753,308
Heidrick & Struggles International, Inc. 3,464   105,167
Herc Holdings, Inc. 5,701   649,344
Huron Consulting Group, Inc. (a) 3,357   269,802
I3 Verticals, Inc., Class A (a) 4,083   100,156
ICF International, Inc. 2,519   276,334
Insperity, Inc. 4,741   576,269
John Wiley & Sons, Inc., Class A 7,650   296,590
Kelly Services, Inc., Class A 5,561   92,257
Kforce, Inc. 3,557   224,945
Korn Ferry 9,796   506,845
Matthews International Corp., Class A 4,202   151,524
Medifast, Inc. 3,402   352,685
Monro, Inc. 3,511   173,549
Multiplan Corp. (a) 53,875   57,108
Payoneer Global, Inc. (a) 71,484   448,920
Perdoceo Education Corp. (a) 6,692   89,874
Progyny, Inc. (a) 4,677   150,225
R1 RCM, Inc. (a) 44,534   668,010
Repay Holdings Corp. (a) 23,865   156,793
Resources Connection, Inc. 7,071   120,631
SP Plus Corp. (a) 2,562   87,851
StoneCo Ltd., Class A (a) 75,696   722,140
Strategic Education, Inc. 1,207   108,425
Stride, Inc. (a) 5,608   220,114
Target Hospitality Corp. (a),(b) 9,395   123,450
TriNet Group, Inc. (a) 5,865   472,778
TrueBlue, Inc. (a) 4,474   79,637
V2X, Inc. (a) 1,420   56,402
WW International, Inc. (a) 11,433   47,104
ZipRecruiter, Inc., Class A (a) 22,688   361,647
    $ 13,071,937
 
Computers — 2.47%      
Conduent, Inc. (a) 17,608   60,396
ExlService Holdings, Inc. (a) 5,365   868,218
Insight Enterprises, Inc. (a) 5,873   839,604
Maximus, Inc. 9,810   772,047
Mitek Systems, Inc. (a) 5,630   53,992
NetScout Systems, Inc. (a) 12,419   355,804
Parsons Corp. (a) 9,249   413,800
Qualys, Inc. (a) 9,638   1,253,133

 

See accompanying notes.

85


 

Schedule of Investments      
Principal U.S. Small-Cap Multi-Factor ETF    
March 31, 2023 (unaudited)      
 
COMMON STOCKS (continued) Shares Held   Value
 
Computers (continued)      
TTEC Holdings, Inc. 4,035 $ 150,223
    $ 4,767,217
 
Construction Materials — 1.71%      
Apogee Enterprises, Inc. 3,088   133,556
Boise Cascade Co. 8,101   512,388
Gibraltar Industries, Inc. (a) 5,436   263,646
JELD-WEN Holding, Inc. (a) 43,454   550,128
Modine Manufacturing Co. (a) 4,253   98,032
PGT Innovations, Inc. (a) 13,514   339,336
Summit Materials, Inc., Class A (a) 24,306   692,478
UFP Industries, Inc. 8,775   697,349
    $ 3,286,913
 
Distribution/Wholesale — 0.27%      
G-III Apparel Group Ltd. (a) 7,226   112,364
MRC Global, Inc. (a) 19,491   189,453
ScanSource, Inc. (a) 2,592   78,901
Titan Machinery, Inc. (a) 4,443   135,289
    $ 516,007
 
Diversified Financial Services — 2.49%      
BGC Partners, Inc., Class A 129,680   678,227
Enact Holdings, Inc. 16,050   366,903
Encore Capital Group, Inc. (a) 22,023   1,111,060
Houlihan Lokey, Inc. 16,460   1,440,086
International Money Express, Inc. (a) 8,485   218,743
LendingTree, Inc. (a) 20,309   541,438
StepStone Group, Inc., Class A 18,397   446,495
    $ 4,802,952
 
Electric — 1.37%      
ALLETE, Inc. 10,762   692,750
Clearway Energy, Inc., Class A 5,239   157,327
Otter Tail Corp. 5,471   395,389
Portland General Electric Co. 26,297   1,285,660
Unitil Corp. 1,865   106,380
    $ 2,637,506
 
Electrical Components & Equipment — 1.23%      
Belden, Inc. 5,330   462,484
Encore Wire Corp. 7,161   1,327,148
Energizer Holdings, Inc. 13,700   475,390
Insteel Industries, Inc. 3,708   103,157
    $ 2,368,179
 
Electronics — 2.53%      
Advanced Energy Industries, Inc. 4,522   443,156
Atkore, Inc. (a) 10,881   1,528,563
Badger Meter, Inc. 2,437   296,875
Benchmark Electronics, Inc. 3,091   73,226
CTS Corp. 3,264   161,437
GoPro, Inc., Class A (a) 23,445   117,928
Knowles Corp. (a) 26,269   446,573
Mesa Laboratories, Inc. 1,572   274,675
Napco Security Technologies, Inc. (a) 4,574   171,891
OSI Systems, Inc. (a) 2,561   262,144

 

See accompanying notes.

86


 

  Schedule of Investments    
Principal U.S. Small-Cap Multi-Factor ETF    
  March 31, 2023 (unaudited)    
 
COMMON STOCKS (continued) Shares Held   Value
 
Electronics (continued)      
Sanmina Corp. (a) 7,533 $ 459,438
TTM Technologies, Inc. (a) 13,091   176,598
Vishay Intertechnology, Inc. 20,748   469,320
    $ 4,881,824
 
Energy — Alternate Sources — 0.06%      
Montauk Renewables, Inc. (a) 7,897   62,149
REX American Resources Corp. (a) 2,062   58,953
    $ 121,102
 
Engineering & Construction — 2.32%      
Arcosa, Inc. 5,585   352,469
Comfort Systems USA, Inc. 4,562   665,870
Dycom Industries, Inc. (a) 7,168   671,283
EMCOR Group, Inc. 7,498   1,219,100
Exponent, Inc. 5,547   552,980
Frontdoor, Inc. (a) 13,945   388,787
MYR Group, Inc. (a) 2,411   303,810
NV5 Global, Inc. (a) 1,674   174,046
Sterling Infrastructure, Inc. (a) 3,899   147,694
    $ 4,476,039
 
Entertainment — 0.36%      
Accel Entertainment, Inc. (a) 3,689   33,607
Everi Holdings, Inc. (a) 6,942   119,056
Liberty Media Corp.-Liberty Braves, Class C (a) 3,523   118,690
Monarch Casino & Resort, Inc. 628   46,566
RCI Hospitality Holdings, Inc. 778   60,816
Red Rock Resorts, Inc., Class A 6,902   307,622
    $ 686,357
 
Environmental Control — 0.08%      
Heritage-Crystal Clean, Inc. (a) 4,614   164,305
 
Food — 1.72%      
Cal-Maine Foods, Inc. 14,828   902,877
Hain Celestial Group, Inc. (a) 29,627   508,103
Ingles Markets, Inc., Class A 1,946   172,610
Simply Good Foods Co. (a) 11,241   447,055
SpartanNash Co. 4,673   115,890
Sprouts Farmers Market, Inc. (a) 31,897   1,117,352
Tootsie Roll Industries, Inc. 1,306   58,654
    $ 3,322,541
 
Forest Products & Paper — 0.28%      
Sylvamo Corp. 11,654   539,114
 
Gas — 1.66%      
Brookfield Infrastructure Corp., Class A 10,061   463,410
Northwest Natural Holding Co. 6,983   332,111
ONE Gas, Inc. 8,632   683,913
Southwest Gas Holdings, Inc. (a) 17,568   1,097,122
Spire, Inc. 8,866   621,861
    $ 3,198,417
 
Hand/Machine Tools — 0.30%      
Kennametal, Inc. 20,808   573,885

 

See accompanying notes.

87


 

  Schedule of Investments    
  Principal U.S. Small-Cap Multi-Factor ETF    
  March 31, 2023 (unaudited)    
 
COMMON STOCKS (continued) Shares Held   Value
 
Healthcare — Products — 5.57%      
Artivion, Inc. (a) 6,873 $ 90,036
Atrion Corp. 82   51,489
Avanos Medical, Inc. (a) 5,432   161,548
CONMED Corp. 7,109   738,341
Embecta Corp. 8,206   230,753
Glaukos Corp. (a) 7,884   394,988
Haemonetics Corp. (a) 7,299   603,992
Inogen, Inc. (a) 4,357   54,375
Integer Holdings Corp. (a) 4,089   316,898
Lantheus Holdings, Inc. (a) 18,472   1,525,048
LeMaitre Vascular, Inc. 1,856   95,528
LivaNova PLC (a) 8,955   390,259
Merit Medical Systems, Inc. (a) 5,991   443,034
Neogen Corp. (a) 121,775   2,255,273
NuVasive, Inc. (a) 14,370   593,625
OmniAb, Inc., Earnout Shares (a) 1,130  
OmniAb, Inc., Earnout Shares (a) 1,130  
Omnicell, Inc. (a) 9,197   539,588
Orthofix Medical, Inc. (a) 4,473   74,923
Shockwave Medical, Inc. (a) 4,832   1,047,723
Silk Road Medical, Inc. (a) 6,299   246,480
STAAR Surgical Co. (a) 8,795   562,440
UFP Technologies, Inc. (a) 813   105,560
Varex Imaging Corp. (a) 4,795   87,221
ViewRay, Inc. (a) 15,872   54,917
Zimvie, Inc. (a) 9,926   71,765
    $ 10,735,804
 
Healthcare — Services — 1.71%      
Addus HomeCare Corp. (a) 1,379   147,222
Agiliti, Inc. (a) 3,923   62,689
Cano Health, Inc. (a),(b) 30,663   27,903
DocGo, Inc. (a) 13,097   113,289
Ensign Group, Inc. 4,846   462,987
Fulgent Genetics, Inc. (a) 6,359   198,528
Joint Corp. (a) 3,361   56,566
Medpace Holdings, Inc. (a) 6,472   1,217,060
ModivCare, Inc. (a) 1,789   150,419
OPKO Health, Inc. (a) 65,960   96,302
Pediatrix Medical Group, Inc. (a) 10,710   159,686
RadNet, Inc. (a) 4,806   120,294
Select Medical Holdings Corp. 12,346   319,144
U.S. Physical Therapy, Inc. 1,655   162,041
    $ 3,294,130
 
Home Builders — 2.36%      
Beazer Homes USA, Inc. (a) 6,595   104,729
Cavco Industries, Inc. (a) 919   292,003
Century Communities, Inc. 3,417   218,415
Installed Building Products, Inc. 2,137   243,682
KB Home 22,814   916,666
LGI Homes, Inc. (a) 3,187   363,414
Meritage Homes Corp. 4,771   557,062
Skyline Champion Corp. (a) 5,280   397,214
Taylor Morrison Home Corp. (a) 15,918   609,023
Tri Pointe Homes, Inc. (a) 15,908   402,791

 

See accompanying notes.

88


 

Schedule of Investments      
Principal U.S. Small-Cap Multi-Factor ETF    
March 31, 2023 (unaudited)      
 
COMMON STOCKS (continued) Shares Held   Value
 
Home Builders (continued)      
Winnebago Industries, Inc. 7,835 $ 452,079
    $ 4,557,078
 
Home Furnishings — 0.14%      
Ethan Allen Interiors, Inc. 3,114   85,510
Sleep Number Corp. (a) 6,078   184,832
    $ 270,342
 
Household Products — 0.72%      
Edgewell Personal Care Co. 8,930   378,811
elf Beauty, Inc. (a) 12,176   1,002,693
    $ 1,381,504
 
Household Products/Wares — 0.35%      
ACCO Brands Corp. 27,220   144,810
Central Garden & Pet Co., Class A (a) 3,033   118,499
Helen of Troy Ltd. (a) 4,281   407,423
    $ 670,732
 
Insurance — 2.80%      
American Equity Investment Life Holding Co. 30,090   1,097,984
Essent Group Ltd. 36,636   1,467,271
Jackson Financial, Inc., Class A 40,024   1,497,298
NMI Holdings, Inc., Class A (a) 31,230   697,366
Palomar Holdings, Inc. (a) 11,549   637,505
    $ 5,397,424
 
Internet — 2.67%      
1-800-Flowers.com, Inc., Class A (a) 11,828   136,022
Cargurus, Inc. (a) 43,075   804,641
Cars.com, Inc. (a) 12,275   236,908
ePlus, Inc. (a) 2,458   120,540
Figs, Inc., Class A (a) 58,554   362,449
Perficient, Inc. (a) 7,402   534,351
Q2 Holdings, Inc. (a) 13,618   335,275
QuinStreet, Inc. (a) 6,859   108,852
Revolve Group, Inc. (a) 18,521   487,102
Shutterstock, Inc. 10,397   754,822
Yelp, Inc. (a) 18,622   571,696
Ziff Davis, Inc. (a) 8,780   685,279
    $ 5,137,937
 
Leisure Time — 0.23%      
Camping World Holdings, Inc., Class A 12,609   263,150
Malibu Boats, Inc., Class A (a) 2,388   134,803
MasterCraft Boat Holdings, Inc. (a) 1,691   51,457
    $ 449,410
 
Machinery — Construction & Mining — 0.37%      
Terex Corp. 14,612   706,929
 
Machinery — Diversified — 0.84%      
Albany International Corp., Class A 3,064   273,799
Applied Industrial Technologies, Inc. 4,020   571,363
GrafTech International Ltd. 71,806   348,977
Kadant, Inc. 1,455   303,397

 

See accompanying notes.

89


 

  Schedule of Investments    
Principal U.S. Small-Cap Multi-Factor ETF    
  March 31, 2023 (unaudited)    
 
COMMON STOCKS (continued) Shares Held   Value
 
Machinery — Diversified (continued)      
Tennant Co. 1,655 $ 113,417
    $ 1,610,953
 
Media — 0.65%      
AMC Networks, Inc., Class A (a) 12,614   221,754
Gannett Co., Inc. (a) 32,552   60,872
Liberty Latin America Ltd., Class C (a) 38,828   320,719
Scholastic Corp. 8,230   281,631
Sinclair Broadcast Group, Inc., Class A 21,164   363,174
    $ 1,248,150
 
Metal Fabrication & Hardware — 0.75%      
Mueller Industries, Inc. 8,478   622,963
Proto Labs, Inc. (a) 5,325   176,524
Ryerson Holding Corp. 6,376   231,959
Standex International Corp. 1,287   157,580
TimkenSteel Corp. (a) 13,522   247,994
    $ 1,437,020
 
Mining — 0.34%      
Constellium SE (a) 22,876   349,546
Kaiser Aluminum Corp. 4,129   308,147
    $ 657,693
 
Miscellaneous Manufacturers — 0.80%      
EnPro Industries, Inc. 2,026   210,481
Fabrinet (a) 4,167   494,873
Hillenbrand, Inc. 8,831   419,737
LSB Industries, Inc. (a) 16,797   173,513
Smith & Wesson Brands, Inc. 10,426   128,344
Sturm Ruger & Co., Inc. 1,938   111,319
    $ 1,538,267
 
Office & Business Equipment — 0.28%      
Xerox Holdings Corp. 34,711   534,549
 
Office Furnishings — 0.04%      
Interface, Inc. 8,761   71,139
 
Oil & Gas — 4.40%      
Berry Corp. 9,125   71,631
California Resources Corp. 11,461   441,249
Callon Petroleum Co. (a) 19,570   654,421
Chord Energy Corp. 6,120   823,752
Comstock Resources, Inc. 53,449   576,715
CVR Energy, Inc. 10,827   354,909
Denbury, Inc. (a) 10,369   908,635
HighPeak Energy, Inc. 1,910   43,930
Magnolia Oil & Gas Corp., Class A 22,403   490,178
Matador Resources Co. 16,568   789,465
Par Pacific Holdings, Inc. (a) 10,354   302,337
PBF Energy, Inc., Class A 31,004   1,344,333
Permian Resources Corp. 94,196   989,058
Ranger Oil Corp., Class A 5,009   204,568
Ring Energy, Inc. (a),(b) 27,417   52,092
SandRidge Energy, Inc. (a) 11,808   170,153
Sitio Royalties Corp., Class A 4,855   109,723

 

See accompanying notes.

90


 

  Schedule of Investments    
  Principal U.S. Small-Cap Multi-Factor ETF    
  March 31, 2023 (unaudited)    
 
COMMON STOCKS (continued) Shares Held   Value
 
Oil & Gas (continued)      
Talos Energy, Inc. (a) 10,856 $ 161,103
    $ 8,488,252
 
Oil & Gas Services — 0.49%      
ChampionX Corp. 27,308   740,866
NOW, Inc. (a) 18,705   208,561
    $ 949,427
 
Packaging & Containers — 0.64%      
Greif, Inc., Class A 8,100   513,297
O-I Glass, Inc. (a) 28,212   640,695
TriMas Corp. 3,205   89,291
    $ 1,243,283
 
Pharmaceuticals — 3.41%      
AbCellera Biologics, Inc. (a) 24,701   186,246
Alector, Inc. (a) 9,166   56,738
Alkermes PLC (a) 29,753   838,737
Amneal Pharmaceuticals, Inc. (a) 23,368   32,482
Amphastar Pharmaceuticals, Inc. (a) 5,088   190,800
BellRing Brands, Inc. (a) 18,111   615,774
Catalyst Pharmaceuticals, Inc. (a) 35,162   582,986
Collegium Pharmaceutical, Inc. (a) 4,760   114,192
Corcept Therapeutics, Inc. (a) 9,126   197,669
Eagle Pharmaceuticals, Inc. (a) 3,434   97,423
Harmony Biosciences Holdings, Inc. (a) 8,028   262,114
Herbalife Nutrition Ltd. (a) 22,319   359,336
Ironwood Pharmaceuticals, Inc. (a) 42,507   447,174
Option Care Health, Inc. (a) 17,625   559,946
Pacira BioSciences, Inc. (a) 7,693   313,951
PetIQ, Inc. (a) 10,289   117,706
Phibro Animal Health Corp., Class A 4,186   64,129
Prestige Consumer Healthcare, Inc. (a) 5,371   336,386
Revance Therapeutics, Inc. (a) 11,701   376,889
Senseonics Holdings, Inc. (a),(b) 39,310   27,910
Seres Therapeutics, Inc. (a) 10,651   60,391
SIGA Technologies, Inc. 50,035   287,701
Supernus Pharmaceuticals, Inc. (a) 8,404   304,477
USANA Health Sciences, Inc. (a) 1,233   77,556
Vanda Pharmaceuticals, Inc. (a) 8,318   56,479
    $ 6,565,192
 
Pipelines — 0.06%      
Kinetik Holdings, Inc. 3,774   118,126
 
Real Estate — 0.84%      
Alexander & Baldwin, Inc. (a) 11,141   210,676
Anywhere Real Estate, Inc. (a) 70,714   373,370
Cushman & Wakefield PLC (a) 46,725   492,482
Marcus & Millichap, Inc. 6,716   215,651
McGrath RentCorp 1,897   177,009
RE/MAX Holdings, Inc., Class A 7,575   142,107
    $ 1,611,295
 
REITs — 5.10%      
American Assets Trust, Inc. 11,882   220,886
Broadstone Net Lease, Inc. 51,310   872,783
CareTrust REIT, Inc. 29,774   582,975

 

See accompanying notes.

91


 

  Schedule of Investments    
Principal U.S. Small-Cap Multi-Factor ETF    
  March 31, 2023 (unaudited)    
 
COMMON STOCKS (continued) Shares Held   Value
 
REITs (continued)      
City Office REIT, Inc. 15,277 $ 105,411
Corporate Office Properties Trust 27,302   647,330
Empire State Realty Trust, Inc., Class A 50,042   324,773
Essential Properties Realty Trust, Inc. 41,599   1,033,735
Four Corners Property Trust, Inc. 18,412   494,546
Franklin Street Properties Corp. 41,236   64,741
Getty Realty Corp. 9,966   359,075
Industrial Logistics Properties Trust 54,072   166,001
Innovative Industrial Properties, Inc. 11,903   904,509
LTC Properties, Inc. 11,368   399,358
Necessity Retail REIT, Inc. 27,974   175,677
Office Properties Income Trust 14,597   179,543
Paramount Group, Inc. 59,421   270,960
Piedmont Office Realty Trust, Inc., Class A 49,659   362,511
PotlatchDeltic Corp. 22,293   1,103,503
Sabra Health Care REIT, Inc. 91,275   1,049,663
Uniti Group, Inc. 79,076   280,720
Universal Health Realty Income Trust 2,145   103,196
Whitestone REIT 12,787   117,640
    $ 9,819,536
 
Retail — 6.35%      
Academy Sports & Outdoors, Inc. 20,917   1,364,834
Arko Corp. 4,292   36,439
Asbury Automotive Group, Inc. (a) 2,509   526,890
Bloomin' Brands, Inc. 17,848   457,801
BlueLinx Holdings, Inc. (a) 3,840   260,966
Boot Barn Holdings, Inc. (a) 9,139   700,413
Caleres, Inc. 7,225   156,277
Children's Place, Inc. (a) 4,437   178,589
Chuy's Holdings, Inc. (a) 1,388   49,760
Conn's, Inc. (a) 3,029   18,356
Container Store Group, Inc. (a) 6,386   21,904
Denny's Corp. (a) 6,856   76,513
Designer Brands, Inc., Class A 16,242   141,955
Dillard's, Inc., Class A 2,121   652,589
Foot Locker, Inc. 34,512   1,369,781
Genesco, Inc. (a) 2,354   86,816
GMS, Inc. (a) 6,817   394,636
Group 1 Automotive, Inc. 2,649   599,787
Haverty Furniture Cos., Inc. 2,172   69,309
Hibbett, Inc. 4,119   242,939
Jack in the Box, Inc. 4,999   437,862
La-Z-Boy, Inc. 5,003   145,487
MarineMax, Inc. (a) 4,647   133,601
Movado Group, Inc. 2,037   58,605
Murphy USA, Inc. 4,148   1,070,391
National Vision Holdings, Inc. (a) 10,279   193,656
Nu Skin Enterprises, Inc., Class A 8,672   340,896
OneWater Marine, Inc., Class A (a) 1,159   32,417
Patrick Industries, Inc. 2,854   196,384
PriceSmart, Inc. 2,104   150,394
Qurate Retail, Inc., Series A (a) 45,150   44,599
Rite Aid Corp. (a),(b) 22,517   50,438
Rush Enterprises, Inc., Class A 6,260   341,796
Ruth's Hospitality Group, Inc. 4,621   75,877
Sally Beauty Holdings, Inc. (a) 20,888   325,435
Shoe Carnival, Inc. 4,548   116,656

 

See accompanying notes.

92


 

  Schedule of Investments    
  Principal U.S. Small-Cap Multi-Factor ETF    
  March 31, 2023 (unaudited)    
 
COMMON STOCKS (continued) Shares Held   Value
 
Retail (continued)      
Texas Roadhouse, Inc. 9,393 $ 1,015,008
Zumiez, Inc. (a) 5,133   94,653
    $ 12,230,709
 
Savings & Loans — 0.47%      
OceanFirst Financial Corp. 16,519   305,271
Washington Federal, Inc. 20,276   610,713
    $ 915,984
 
Semiconductors — 4.29%      
Alpha & Omega Semiconductor Ltd. (a) 7,649   206,141
Amkor Technology, Inc. 17,316   450,562
Axcelis Technologies, Inc. (a) 9,869   1,315,044
Diodes, Inc. (a) 4,991   462,965
FormFactor, Inc. (a) 12,035   383,315
Kulicke & Soffa Industries, Inc. 15,806   832,818
MaxLinear, Inc. (a) 15,587   548,818
Onto Innovation, Inc. (a) 6,659   585,193
Photronics, Inc. (a) 19,062   316,048
Power Integrations, Inc. 10,942   926,131
Rambus, Inc. (a) 14,834   760,391
Semtech Corp. (a) 27,124   654,774
SiTime Corp. (a) 4,627   658,098
Veeco Instruments, Inc. (a) 7,686   162,405
    $ 8,262,703
 
Software — 3.84%      
8x8, Inc. (a) 25,503   106,347
ACI Worldwide, Inc. (a) 18,464   498,159
Adeia, Inc. 16,896   149,699
Apollo Medical Holdings, Inc. (a) 6,618   241,358
Box, Inc., Class A (a) 28,284   757,728
Cerence, Inc. (a) 12,847   360,872
CommVault Systems, Inc. (a) 5,803   329,262
CSG Systems International, Inc. 3,634   195,146
Digi International, Inc. (a) 7,724   260,144
Ebix, Inc. 5,593   73,772
Envestnet, Inc. (a) 7,958   466,896
Everbridge, Inc. (a) 8,880   307,870
Evolent Health, Inc., Class A (a) 25,288   820,596
Health Catalyst, Inc. (a) 11,179   130,459
NextGen Healthcare, Inc. (a) 5,133   89,365
Privia Health Group, Inc. (a) 19,534   539,334
Progress Software Corp. 6,186   355,386
PubMatic, Inc., Class A (a) 14,205   196,313
Sapiens International Corp. NV 4,073   88,466
Simulations Plus, Inc. 2,748   120,747
SPS Commerce, Inc. (a) 3,244   494,061
Upland Software, Inc. (a) 12,794   55,014
Veradigm, Inc. (a) 26,878   350,758
Verra Mobility Corp. (a) 23,834   403,271
    $ 7,391,023
 
Telecommunications — 0.82%      
A10 Networks, Inc. 12,087   187,228
Clearfield, Inc. (a) 5,739   267,323
EchoStar Corp., Class A (a) 6,278   114,825
Extreme Networks, Inc. (a) 21,922   419,149

 

See accompanying notes.

93


 

    Schedule of Investments        
  Principal U.S. Small-Cap Multi-Factor ETF      
    March 31, 2023 (unaudited)        
 
COMMON STOCKS (continued)   Shares Held   Value  
 
Telecommunications (continued)          
InterDigital, Inc.   6,264 $ 456,645  
NETGEAR, Inc. (a)   3,965   73,392  
U.S. Cellular Corp. (a)   3,372   69,901  
        $ 1,588,463  
 
Textiles — 0.16%          
UniFirst Corp.   1,758   309,812  
 
Toys, Games & Hobbies — 0.04%          
Funko, Inc., Class A (a)   7,636   72,007  
 
Transportation — 4.15%          
Air Transport Services Group, Inc. (a)   9,452   196,885  
ArcBest Corp.   6,417   593,059  
Covenant Logistics Group, Inc.   3,364   119,153  
Eagle Bulk Shipping, Inc.   9,733   442,851  
FLEX LNG Ltd. (a)   9,002   302,287  
Forward Air Corp.   4,709   507,442  
Genco Shipping & Trading Ltd.   35,661   558,451  
Golden Ocean Group Ltd. (a)   102,485   975,657  
Heartland Express, Inc.   8,777   139,730  
Hub Group, Inc., Class A (a)   7,531   632,152  
International Seaways, Inc.   8,666   361,199  
Marten Transport Ltd.   13,713   287,287  
Matson, Inc.   11,353   677,434  
Safe Bulkers, Inc.   36,281   133,877  
Saia, Inc. (a)   7,102   1,932,312  
SFL Corp. Ltd.   13,863   131,699  
        $ 7,991,475  
TOTAL COMMON STOCKS     $ 191,929,940  
INVESTMENT COMPANIES — 0.43%   Shares Held   Value  
 
Money Market Funds — 0.43%          
Principal Government Money Market Fund — Class R-6 4.72% (c),(d),(e) 233,283 $ 233,283  
State Street Institutional U.S. Government Money Market Fund — Institutional        
Class 1.49% (e)   599,346   599,346  
TOTAL INVESTMENT COMPANIES     $ 832,629  
Total Investments     $ 192,762,569  
Other Assets and Liabilities — (0.03)%       (66,190 )
 
Total Net Assets — 100.00%     $ 192,696,379  
 
(a) Non-income producing security.          
(b) Security or a portion of the security was on loan. At the end of the period, the value of these securities totaled $200,020 or  
  0.10% of net assets.          
(c) Affiliated Security. Security is either an affiliate (and registered under the Investment Company Act of 1940) or an affiliate  
  as defined by the Investment Company Act of 1940 (controls 5.00% or more of the outstanding voting shares of the security).  
  Please see Affiliated Securities sub-schedule for transactional information.        
(d) Security or a portion of the security was received as collateral for securities lending. At the end of the period, the value of  
  these securities totaled $233,283 or 0.12% of net assets.        
(e) Current yield shown is as of period end.          
 
 
 
 
See accompanying notes. 94        

 


 

      Schedule of Investments            
    Principal U.S. Small-Cap Multi-Factor ETF    
      March 31, 2023 (unaudited)            
 
Portfolio Summary                  
Sector         Percent            
Consumer, Non-cyclical           23.46 %          
Financial           20.91 %          
Industrial           16.20 %          
Consumer, Cyclical           12.08 %          
Technology           10.87 %          
Energy           7.21 %          
Communications           4.14 %          
Utilities           3.03 %          
Basic Materials           1.70 %          
Money Market Funds           0.43 %          
Other Assets and Liabilities           (0.03 )%          
TOTAL NET ASSETS           100.00 %          
 
      June 30, 2022   Purchases       Sales   March 31, 2023
Affiliated Securities     Value     Cost       Proceeds   Value
Principal Government Money                        
Market Fund — Class R-6 4.72%   $   $ 5,813,397     $ 5,580,114 $ 233,283
Principal Government Money                        
Market Fund — Institutional Class                        
4.67 %   5,359,834     17,843,390       23,203,224  
    $ 5,359,834 $ 23,656,787   $ 28,783,338 $ 233,283
 
                  Realized Gain    
            Realized       from   Change in
          Gain/(Loss) on     Capital Gain   Unrealized
      Income (a)   Investments     Distributions   Gain/(Loss)
Principal Government Money                        
Market Fund — Class R-6 4.72%   $   $     $ $
Principal Government Money                        
Market Fund — Institutional Class                        
4.67 %              
    $   $     $ $
 
(a) Amount excludes earnings from securities lending collateral.                  

 

See accompanying notes.

95


 

  Schedule of Investments      
  Principal Value ETF      
  March 31, 2023 (unaudited)      
 
COMMON STOCKS — 99.41%   Shares Held   Value
Advertising — 1.47%        
Omnicom Group, Inc.   5,037 $ 475,190
Aerospace & Defense — 2.65%        
Northrop Grumman Corp.   824   380,457
Raytheon Technologies Corp.   4,875   477,409
      $ 857,866
 
Agriculture — 3.65%        
Altria Group, Inc.   8,496   379,092
Archer-Daniels-Midland Co.   4,456   354,965
Philip Morris International, Inc.   4,597   447,058
      $ 1,181,115
 
Auto Parts & Equipment — 1.41%        
BorgWarner, Inc.   9,292   456,330
Banks — 6.00%        
Bank of America Corp.   16,432   469,955
M&T Bank Corp.   2,058   246,075
Northern Trust Corp.   3,498   308,279
PNC Financial Services Group, Inc.   2,376   301,990
Wells Fargo & Co.   11,688   436,897
Zions Bancorp NA   5,992   179,341
      $ 1,942,537
 
Beverages — 3.74%        
Coca-Cola Co.   8,892   551,571
Constellation Brands, Inc., Class A   1,498   338,383
Molson Coors Beverage Co., Class B   6,200   320,416
      $ 1,210,370
 
Biotechnology — 2.56%        
Amgen, Inc.   1,833   443,128
Corteva, Inc.   6,388   385,260
      $ 828,388
 
Chemicals — 2.91%        
CF Industries Holdings, Inc.   3,720   269,663
Eastman Chemical Co.   3,608   304,299
FMC Corp.   3,033   370,420
      $ 944,382
 
Computers — 7.87%        
Accenture PLC, Class A   1,719   491,307
Apple, Inc.   8,132   1,340,967
International Business Machines Corp.   3,112   407,952
Leidos Holdings, Inc.   3,358   309,138
      $ 2,549,364
 
Construction Materials — 1.33%        
Johnson Controls International PLC   7,146   430,332
Diversified Financial Services — 4.54%        
American Express Co.   2,720   448,664
Franklin Resources, Inc.   13,369   360,161
Invesco Ltd.   19,350   317,340
Raymond James Financial, Inc.   3,677   342,954
      $ 1,469,119

 

See accompanying notes.

96


 

Schedule of Investments      
Principal Value ETF      
March 31, 2023 (unaudited)      
 
COMMON STOCKS (continued) Shares Held   Value
Electronics — 1.40%      
Honeywell International, Inc. 2,369 $ 452,763
Food — 6.11%      
Conagra Brands, Inc. 10,234   384,389
General Mills, Inc. 5,160   440,974
Hershey Co. 1,625   413,416
J M Smucker Co. 2,584   406,644
Sysco Corp. 4,328   334,251
    $ 1,979,674
 
Household Products/Wares — 1.26%      
Clorox Co. 2,590   409,842
Insurance — 4.32%      
Arthur J Gallagher & Co. 2,239   428,343
Assurant, Inc. 1,847   221,769
Cincinnati Financial Corp. 2,810   314,945
Marsh & McLennan Cos., Inc. 2,600   433,030
    $ 1,398,087
 
Machinery — Construction & Mining — 1.48%      
Caterpillar, Inc. 2,103   481,250
Machinery — Diversified — 4.10%      
Deere & Co. 1,210   499,585
Dover Corp. 2,740   416,315
Otis Worldwide Corp. 4,872   411,197
    $ 1,327,097
 
Media — 1.02%      
Fox Corp., Class A 9,752   332,056
Oil & Gas — 4.49%      
Chevron Corp. 3,917   639,098
Hess Corp. 3,236   428,252
Phillips 66 3,823   387,576
    $ 1,454,926
 
Oil & Gas Services — 1.47%      
Schlumberger Ltd. 9,688   475,681
Packaging & Containers — 2.72%      
Amcor PLC 27,257   310,185
Packaging Corp. of America 2,276   315,977
Sealed Air Corp. 5,576   255,994
    $ 882,156
 
Pharmaceuticals — 8.53%      
AmerisourceBergen Corp. 2,297   367,773
Becton Dickinson & Co. 1,560   386,162
Cardinal Health, Inc. 6,285   474,518
CVS Health Corp. 4,730   351,486
Johnson & Johnson 4,345   673,475
Organon & Co. 9,367   220,312
Viatris, Inc. 30,041   288,994
    $ 2,762,720
 
Pipelines — 1.06%      
Williams Cos., Inc. 11,486   342,972

 

See accompanying notes.

97


 

  Schedule of Investments      
  Principal Value ETF      
  March 31, 2023 (unaudited)      
 
COMMON STOCKS (continued)   Shares Held   Value
REITs — 8.20%        
Essex Property Trust, Inc.   1,242 $ 259,752
Kimco Realty Corp.   16,786   327,830
Public Storage   1,172   354,108
Realty Income Corp.   5,209   329,834
Regency Centers Corp.   5,398   330,250
Simon Property Group, Inc.   3,506   392,567
Ventas, Inc.   6,648   288,191
VICI Properties, Inc.   11,404   371,998
      $ 2,654,530
 
Retail — 5.40%        
Genuine Parts Co.   2,519   421,454
McDonald's Corp.   2,025   566,210
Ross Stores, Inc.   4,425   469,625
Walgreens Boots Alliance, Inc.   8,392   290,196
      $ 1,747,485
 
Semiconductors — 1.68%        
Texas Instruments, Inc.   2,923   543,707
Shipbuilding — 0.99%        
Huntington Ingalls Industries, Inc.   1,545   319,846
Software — 4.07%        
Jack Henry & Associates, Inc.   1,832   276,119
Microsoft Corp.   3,610   1,040,763
      $ 1,316,882
 
Telecommunications — 2.33%        
Corning, Inc.   10,302   363,455
Juniper Networks, Inc.   11,408   392,663
      $ 756,118
 
Toys, Games & Hobbies — 0.65%        
Hasbro, Inc.   3,911   209,981
TOTAL COMMON STOCKS     $ 32,192,766
INVESTMENT COMPANIES — 0.39%   Shares Held   Value
Money Market Fund — 0.39%        
State Street Institutional U.S. Government Money Market Fund — Institutional      
Class 1.49% (a)   125,551 $ 125,551
TOTAL INVESTMENT COMPANIES     $ 125,551
Total Investments     $ 32,318,317
Other Assets and Liabilities — 0.20%       63,218
Total Net Assets — 100.00%     $ 32,381,535
 
(a) Current yield shown is as of period end.        
 
 
 
 
See accompanying notes. 98      

 


 

    Schedule of Investments  
    Principal Value ETF  
    March 31, 2023 (unaudited)  
 
  Portfolio Summary    
Sector   Percent  
Consumer, Non-cyclical   25.85 %
Financial   23.05 %
Industrial   14.67 %
Technology   13.62 %
Consumer, Cyclical   7.45 %
Energy   7.02 %
Communications   4.83 %
Basic Materials   2.92 %
Money Market Fund   0.39 %
Other Assets and Liabilities   0.20 %
TOTAL NET ASSETS   100.00 %

 

See accompanying notes.

99


 

Principal Exchange-Traded Funds
March 31, 2023 (unaudited)

1. Security Valuation

The Funds may invest in series of Principal Funds, Inc. and other investment funds, which may include money market funds and other registered open-end investment companies. Investments in registered open-end investment companies are valued at the respective fund’s closing net asset value (“NAV”) per share on the day of valuation.

The Funds value securities for which market quotations are readily available at fair value, which is determined using the last reported sale price. If no sales are reported, as is regularly the case for some securities traded over-the-counter (“OTC”), securities are valued using the last reported bid price or an evaluated bid price provided by a pricing service.

Pricing services use modeling techniques that incorporate security characteristics such as current quotations by broker/dealers, coupon, maturity, quality, type of issue, trading characteristics, other yield and risk factors and other market conditions to determine an evaluated bid price. When reliable market quotations are not considered to be readily available, which may be the case, for example, with respect to restricted securities, certain debt securities, preferred stocks, and foreign securities, the investments are valued at their fair value as determined in good faith by the Principal Global Investors, LLC (“the Advisor”) under procedures established and periodically reviewed by the Board of Trustees.

The value of foreign securities used in computing the NAV per share is generally determined as of the close of the foreign exchange where the security is principally traded. Events that occur after the close of the applicable foreign market or exchange but prior to the calculation of the Fund’s NAV are reflected in the Fund’s NAV and these securities are valued at fair value. Many factors, provided by independent pricing services, are reviewed in the course of making a good faith determination of a security’s fair value including, but not limited to, price movements in American Depository Receipts (“ADRs”), futures contracts, industry indices, general indices, and foreign currencies.

To the extent the Funds invest in foreign securities listed on foreign exchanges which trade on days on which the Funds do not determine NAV, for example, weekends and other customary national U.S. holidays, the Fund’s NAV could be significantly affected on days when shares are not able to be issued or redeemed by Authorized Participants (“APs”).

Certain securities issued by companies in emerging market countries may have more than one quoted valuation at any given point in time, sometimes referred to as a “local” price and a “premium” price. The premium price is often a negotiated price, which may not consistently represent a price at which a specific transaction can be effected. It is the policy of the Funds to value such securities at prices at which it is expected those shares may be sold, and the Advisor, or any sub-advisor, is authorized to make such determinations subject to such oversight by the Board of Trustees, as may occasionally be necessary.

2. Fair Valuation

Fair value is defined as the price that the Funds would receive upon selling a security or transferring a liability in a timely transaction to an independent buyer in the principal or most advantageous market of the security at the measurement date. In determining fair value, the Funds may use one or more of the following approaches: market, income and/or cost. A hierarchy for inputs is used in measuring fair value that maximizes the use of observable inputs and minimizes the use of unobservable inputs by requiring that the most observable inputs be used when available.

Observable inputs are inputs that reflect the assumptions market participants would use in pricing the asset or liability developed based on market data obtained from sources independent of the Funds. Unobservable inputs are inputs that reflect the Fund’s own estimates about the estimates market participants would use in pricing the asset or liability developed based on the best information available in the circumstances.

The three-tier hierarchy of inputs is summarized in the three broad levels listed below.

Level 1 — Quoted prices are available in active markets for identical securities as of the reporting date. Investments which are generally included in this category include listed equities and listed derivatives.

Level 2 — Other significant observable inputs (including quoted prices for similar investments, interest rates, prepayment speeds, credit risk, etc.). Investments which are generally included in this category include certain corporate bonds, senior floating rate interests, OTC derivatives, mortgage-backed securities and municipal bonds.

100


 

Principal Exchange-Traded Funds
March 31, 2023 (unaudited) (continued)

2. Fair Valuation (continued)

Level 3 — Significant unobservable inputs (including the Funds’ assumptions in determining the fair value of investments). Investments which are generally included in this category include certain corporate bonds and certain common stocks.

The availability of observable inputs can vary from security to security and is affected by a wide variety of factors, including, for example, the type of security, whether the security is new and not yet established in the market place, and other characteristics particular to the transaction. To the extent that valuation is based on models or inputs that are less observable or unobservable in the market, the determination of fair value requires more judgment. Accordingly, the degree of judgment exercised by the Funds in determining fair value is greatest for instruments categorized in Level 3.

In certain cases, the inputs used to measure fair value may fall into different levels of the fair value hierarchy. In such cases, for disclosure purposes, the level in the fair value hierarchy within which the fair value measurement in its entirety falls is determined based on the lowest level input that is significant to the fair value measurement in its entirety.

Fair value is a market based measure considered from the perspective of a market participant who holds the asset rather than an entity specific measure. Therefore, even when market assumptions are not readily available, the Funds’ own assumptions are set to reflect those that market participants would use in pricing the asset or liability at the measurement date. The Funds use prices and inputs that are current as of the measurement date, to the extent available.

Investments which are included in the Level 3 category may be valued using quoted prices from brokers and dealers participating in the market for these investments. These investments are classified as Level 3 investments due to the lack of market transparency and market corroboration to support these quoted prices.

Valuation models may be used as the pricing source for other investments classified as Level 3. Valuation models rely on one or more significant unobservable inputs such as prepayment rates, probability of default, or loss severity in the event of default. Significant increases in any of those inputs in isolation would result in a significantly lower fair value measurement.

The fair values of these entities are dependent on economic, political and other considerations. The values of the underlying investee entities may be affected by significant changes in the economic conditions, changes in government policies, and other factors (e.g., natural disasters, pandemics, accidents, conflicts, etc.).

The inputs or methodology used for valuing securities are not necessarily an indication of the risk associated with investing in those instruments.

During the period there were no significant purchases, sales, or transfers into or out of Level 3.

The following is a summary of the inputs used as of March 31, 2023, in valuing the Funds' securities carried at fair value:

        Level 2 —        
        Other   Level 3 —    
    Level 1 —   Significant   Significant    
    Quoted   Observable   Unobservable    
Fund   Prices   Inputs   Inputs   Totals (Level 1,2,3)
 
Principal Active High Yield ETF                
Bonds* $ — $   71,461,660 $   — $ 71,461,660
Senior Floating Rate Interests*     6,072,040     6,072,040
Investment Companies   4,726,332       4,726,332
Total investments in securities $ 4,726,332 $ 77,533,700 $   — $ 82,260,032

 

101


 

Principal Exchange-Traded Funds
March 31, 2023 (unaudited) (continued)

 
 
2. Fair Valuation (continued)                      
 
 
            Level 2 —          
            Other   Level 3 —      
    Level 1 —       Significant   Significant      
    Quoted       Observable   Unobservable      
Fund   Prices       Inputs   Inputs   Totals (Level 1,2,3)  
 
Principal Healthcare Innovators ETF                      
Common Stocks* $ 51,474,653   $   — $     — $ 51,474,653  
Investment Companies   755,338           755,338  
Total investments in securities $ 52,229,991   $   — $     — $ 52,229,991  
 
Principal International Adaptive Multi-Factor ETF                  
Common Stocks*                      
Basic Materials $ 1,024,590   $   — $     — $ 1,024,590  
Communications   943,155           943,155  
Consumer, Cyclical   2,138,098           2,138,098  
Consumer, Non-cyclical   3,445,365           3,445,365  
Diversified   33,966           33,966  
Energy   958,971       1,703     960,674  
Financial   2,955,254           2,955,254  
Industrial   1,986,992           1,986,992  
Technology   933,893           933,893  
Utilities   531,091           531,091  
Preferred Stocks*   68,637           68,637  
Investment Companies   64,624           64,624  
Total investments in securities $ 15,084,636   $   1,703 $   — $ 15,086,339  
 
Principal Investment Grade Corporate Active ETF                  
Bonds* $   $   36,668,702 $   — $ 36,668,702  
U.S. Government & Government Agency                      
Obligations*         1,167,945     1,167,945  
Investment Companies   2,625,349           2,625,349  
Total investments in securities $ 2,625,349   $   37,836,647 $   — $ 40,461,996  
Derivative Assets                      
Interest rate contracts                      
Futures $ 122,543   $   — $     — $ 122,543  
Derivative Liabilities                      
Interest rate contracts                      
Futures $ (18,881 ) $   — $     — $ (18,881 )
 
Principal Millennial Global Growth ETF                      
Common Stocks* $ 29,774,747 $ — $     — $ 29,774,747  
Investment Companies   699,345           699,345  
Total investments in securities $ 30,474,092 $ — $     — $ 30,474,092  
 
Principal Quality ETF                      
Common Stocks* $ 28,853,594 $ — $     — $ 28,853,594  
Investment Companies   52,798           52,798  
Total investments in securities $ 28,906,392 $ — $     — $ 28,906,392  
 
Principal Real Estate Active Opportunities ETF                    
Common Stocks* $ 4,997,999 $ — $     — $ 4,997,999  
Investment Companies   49,923           49,923  
Total investments in securities $ 5,047,922 $ — $     — $ 5,047,922  
 
Principal Spectrum Preferred Securities Active ETF                  
Bonds* $ — $   488,871,095 $   — $ 488,871,095  
Investment Companies   33,738,748           33,738,748  
Total investments in securities $ 33,738,748 $ 488,871,095 $   — $ 522,609,843  
 
Principal Spectrum Tax-Advantaged Dividend Active ETF                  
Preferred Stocks* $ 2,451,780 $ — $     — $ 2,451,780  
Bonds*         16,934,970     16,934,970  
Investment Companies   413,785           413,785  
Total investments in securities $ 2,865,565 $ 16,934,970 $   — $ 19,800,535  
 
Principal U.S. Large-Cap Adaptive Multi-Factor ETF                  
Common Stocks* $ 6,025,190 $ — $     — $ 6,025,190  
Investment Companies   20,769           20,769  
Total investments in securities $ 6,045,959 $ — $     — $ 6,045,959  

 

102


 

Principal Exchange-Traded Funds
March 31, 2023 (unaudited) (continued)

 
 
2. Fair Valuation (continued)              
 
        Level 2 —      
        Other Level 3 —    
    Level 1 —   Significant Significant    
    Quoted   Observable Unobservable    
Fund   Prices   Inputs Inputs   Totals (Level 1,2,3)
 
Principal U.S. Mega-Cap ETF              
Common Stocks* $ 1,161,256,240 $ — $   — $ 1,161,256,240
Investment Companies   4,073,542     4,073,542
Total investments in securities $ 1,165,329,782 $ — $   — $ 1,165,329,782
 
Principal U.S. Small-Cap Adaptive Multi-Factor ETF          
Common Stocks* $ 5,656,448 $ — $   — $ 5,656,448
Investment Companies   19,248     19,248
Total investments in securities $ 5,675,696 $ — $   — $ 5,675,696
 
Principal U.S. Small-Cap Multi-Factor ETF            
Common Stocks* $ 191,929,940 $ — $   — $ 191,929,940
Investment Companies   832,629     832,629
Total investments in securities $ 192,762,569 $ — $   — $ 192,762,569
 
Principal Value ETF              
Common Stocks* $ 32,192,766 $ — $   — $ 32,192,766
Investment Companies   125,551     125,551
Total investments in securities $ 32,318,317 $ — $   — $ 32,318,317
 
* For additional detail regarding sector classifications, please see the Schedules of Investments.      

 

The Funds’ Schedules of Investments for the period ended March 31, 2023 has not been audited. This report is provided for the general information of the Funds’ shareholders. For more information regarding the Funds and their holdings, please see the Funds’ prospectus.

103