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The investment seeks long-term growth of capital. Under normal circumstances, the fund primarily invests in equity securities, focusing on value stocks. For security selection and portfolio construction, Principal Global Investors, LLC ("PGI") uses a proprietary quantitative model designed to identify equity securities of mid- to large-capitalization companies in the S&P 500 Index that exhibit higher degrees of shareholder yield (meaning how much money a company distributes to shareholders through dividends and share repurchases).
Principal Value ETF trades on the NASDAQ stock market under the symbol PY.
As of January 30, 2026, PY stock price declined to $52.20 with 6,487 million shares trading.
PY has a beta of 0.82, meaning it tends to be less sensitive to market movements. PY has a correlation of 0.82 to the broad based SPY ETF.
PY has a market cap of $184.27 million. This is considered a Micro Cap stock.
In the last 3 years, PY traded as high as $53.45 and as low as $36.85.
PY has underperformed the market in the last year with a price return of +4.9% while the SPY ETF gained +16.1%. However, in the short term, PY had mixed performance relative to the market. It has outperformed in the last 3 months, returning +1.2% vs +0.8% return in SPY. But in the last 2 weeks, PY shares have been beat by the market, returning -1.2% compared to an SPY return of -0.2%.
PY support price is $51.96 and resistance is $52.68 (based on 1 day standard deviation move). This means that using the most recent 20 day stock volatility and applying a one standard deviation move around the stock's closing price, stastically there is a 67% probability that PY shares will trade within this expected range on the day.