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Nasdaq - Delayed Quote USD

Principal Global Multi-Strategy Instl (PSMIX)

11.03
+0.03
+(0.27%)
As of 8:07:00 AM EDT. Market Open.

Performance Overview

Morningstar Return Rating --
YTD Return -0.90%
5y Average Return 6.35%
Number of Years Up 10
Number of Years Down 3
Best 1Y Total Return (Apr 23, 2025) 8.86%
Worst 1Y Total Return (Apr 23, 2025) --
Best 3Y Total Return 8.86%
Worst 3Y Total Return 1.74%

Trailing Returns (%) Vs. Benchmarks

Monthly Total Returns
PSMIX
Category
YTD
0.45%
5.60%
1-Month
-1.24%
0.13%
3-Month
0.45%
2.72%
1-Year
3.76%
12.76%
3-Year
4.16%
4.12%
5-Year
7.02%
3.42%
10-Year
3.47%
2.54%
Last Bull Market
4.42%
4.37%
Last Bear Market
-4.63%
-8.39%

Annual Total Return (%) History

Year
PSMIX
Category
2025
--
--
2024
8.86%
--
2023
6.58%
--
2022
-1.79%
--
2021
5.63%
--
2020
5.11%
1.63%
2019
8.18%
7.77%
2018
-4.33%
-4.31%

2017
6.59%
5.56%
2016
3.27%
2.51%
2015
-0.64%
-1.71%
2014
3.67%
3.35%
2013
5.46%
6.96%
2012
5.96%
4.92%

Past Quarterly Returns

YearQ1Q2Q3Q4
2025 0.45% -- -- --
2024 5.39% 0.55% 2.27% 0.45%
2023 0.69% 2.76% 0.96% 2.03%
2022 1.30% -4.63% -1.26% 2.95%
2021 1.50% 2.95% -0.67% 1.78%
2020 -9.47% 7.44% 3.37% 4.54%
2019 3.25% 2.29% 0.47% 1.95%
2018 -1.68% -0.09% 1.53% -4.07%
2017 2.29% 0.81% 1.78% 1.56%
2016 -0.19% 1.33% 1.68% 0.43%

2015 2.28% -0.89% -1.89% -0.10%
2014 0.37% 1.84% -0.27% 1.70%
2013 1.63% -0.09% 0.95% 2.88%
2012 3.02% -0.10% 1.66% 1.28%

Rank in Category (By Total Return)

YTD 53
1-Month 64
3-Month 53
1-Year 46
3-Year 42
5-Year 22

Load Adjusted Returns

1-Year 3.76%
3-Year 4.16%
5-Year 7.02%
10-Year 3.47%

Performance & Risk

YTD Return -0.90%
5y Average Return 6.35%
Rank in Category (ytd) 53
% Rank in Category (ytd) --
Beta (5Y Monthly) 0.25
Morningstar Risk Rating

Fund Overview

Category Multistrategy
Fund Family Principal Funds
Net Assets 428.15M
YTD Return 0.45%
Yield 1.59%
Morningstar Rating
Inception Date Jun 12, 2017

Fund Summary

The fund invests in a broad range of instruments including, but not limited to, equities, bonds, currencies, commodities, convertible securities, and bank loans. Under normal market conditions, it invests in securities of issuers located throughout the world, including the U.S., invests at least 30% of its net assets in foreign and emerging market securities, and holds investments tied economically to at least twenty countries.

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