Follow-The-Filings

Featured 13F manager

First Pacific Advisors, LP

El Segundo, CA 20 processed 13Fs on this site · 2021 Q3–2026 Q2

  • $8.1B
  • 72 Positions
  • 2026 Q2
  • +13.3% QoQ
  • Top 5 30.4%

Portfolio

2026 Q2 · filed 8/14/2026 · 72 long · top 12 shown

top 5 30.4% · top 10 50.8%

AUM over time

2026 Q2 $8.1B +13.3% QoQ
2021 Q3 · $7.7B 2021 Q3 · $7.7B
Q3 2021
2021 Q4 · $8.1B · +4.6% QoQ 2021 Q4 · $8.1B · +4.6% QoQ
Q4
2022 Q1 · $7.8B · −3.6% QoQ 2022 Q1 · $7.8B · −3.6% QoQ
Q1 2022
2022 Q2 · $6.8B · −13.1% QoQ 2022 Q2 · $6.8B · −13.1% QoQ
Q2
2022 Q3 · $6.3B · −6.7% QoQ 2022 Q3 · $6.3B · −6.7% QoQ
Q3
2022 Q4 · $6.5B · +3.6% QoQ 2022 Q4 · $6.5B · +3.6% QoQ
Q4
2023 Q1 · $6.4B · −1.3% QoQ 2023 Q1 · $6.4B · −1.3% QoQ
Q1 2023
2023 Q2 · $6.8B · +6.3% QoQ 2023 Q2 · $6.8B · +6.3% QoQ
Q2
2023 Q3 · $6.4B · −6.9% QoQ 2023 Q3 · $6.4B · −6.9% QoQ
Q3
2023 Q4 · $6.7B · +4.7% QoQ 2023 Q4 · $6.7B · +4.7% QoQ
Q4
2024 Q1 · $7.1B · +6.8% QoQ 2024 Q1 · $7.1B · +6.8% QoQ
Q1 2024
2024 Q2 · $7.4B · +3.7% QoQ 2024 Q2 · $7.4B · +3.7% QoQ
Q2
2024 Q3 · $7.2B · −2.6% QoQ 2024 Q3 · $7.2B · −2.6% QoQ
Q3
2024 Q4 · $7B · −2.8% QoQ 2024 Q4 · $7B · −2.8% QoQ
Q4
2025 Q1 · $6.2B · −10.8% QoQ 2025 Q1 · $6.2B · −10.8% QoQ
Q1 2025
2025 Q2 · $7B · +12.0% QoQ 2025 Q2 · $7B · +12.0% QoQ
Q2
2025 Q3 · $7.2B · +3.5% QoQ 2025 Q3 · $7.2B · +3.5% QoQ
Q3
2025 Q4 · $7.6B · +5.0% QoQ 2025 Q4 · $7.6B · +5.0% QoQ
Q4
2026 Q1 · $7.1B · −6.0% QoQ 2026 Q1 · $7.1B · −6.0% QoQ
Q1 2026
2026 Q2 · $8.1B · +13.3% QoQ 2026 Q2 · $8.1B · +13.3% QoQ
Q2

Latest book

2026 Q2 2026 Q1 · filed 14 Aug · long equity

ADI - Analog Devices 7.85% Reduce −7.2% 1,598,506 $397.17 $635M −124,629 +$87M
GOOGL - Alphabet · CL A 6.22% Reduce −16.3% 1,408,518 $357.37 $503M −274,975 +$19M
GOOG - Alphabet · CL C 5.82% Add 0.0% 1,333,205 $353.33 $471M +48 +$89M
IFF - International Flavors & Fragrances 5.34% Add +0.8% 5,455,081 $79.22 $432M +45,156 +$40M
C - Citigroup 5.22% Reduce −5.0% 3,016,828 $139.96 $422M −158,384 +$62M
META - Meta Platforms · CL A 4.73% Reduce −0.1% 679,884 $563.29 $383M −729 −$6M
AMZN - Amazon 4.01% Reduce −3.9% 1,360,585 $238.34 $324M −55,634 +$29M
BDX - Becton Dickinson & 3.95% Add +6.6% 2,110,794 $151.33 $319M +130,354 +$8M
TEL - Te Connectivity 3.87% Reduce −6.0% 1,551,105 $201.61 $313M −99,752 −$32M
AJG - Gallagher Arthur J & 3.79% Add +244.7% 1,336,290 $229.57 $307M +948,603 +$223M
AON - AON PLC · CL A 2.79% Reduce −3.1% 681,367 $331.69 $226M −21,891 −$995K
CMCSA - Comcast · CL A 2.63% Add +1.0% 8,676,664 $24.55 $213M +84,101 −$34M
FBIN - Fortune Brands 2.60% Add +0.9% 3,825,269 $54.90 $210M +33,039 +$62M
NXPI - Nxp Semiconductors 2.39% Reduce −10.5% 688,107 $281.03 $193M −80,808 +$42M
FERG - Ferguson Enterprises 2.31% Reduce −3.7% 786,822 $237.33 $187M −30,171 −$4M
MTN - Vail Resorts 2.20% Add +10.9% 1,304,959 $136.15 $178M +128,609 +$27M
AMRZ - Amrize 2.09% Add +1.0% 3,177,325 $53.30 $169M +30,942 −$7M
BAX - Baxter Intl 2.01% Add +13.7% 7,618,145 $21.32 $162M +917,220 +$50M
KMX - Carmax 1.97% Add +0.9% 3,008,564 $52.89 $159M +26,855 +$35M
LBRDA - Liberty Broadband 1.91% Reduce 0.0% 4,641,753 $33.26 $154M −857 −$79M
JEF - Jefferies 1.67% Add +4.6% 2,704,265 $49.98 $135M +117,764 +$28M
TMO - Thermo Fisher Scientific 1.54% Add +11.9% 248,244 $501.36 $124M +26,348 +$15M
NOV - NOV Inc 1.47% Add +1.1% 6,392,388 $18.55 $119M +71,630 −$315K
BIO - Bio Rad Labs · CL A 1.46% Reduce −1.3% 401,861 $293.61 $118M −5,497 +$4M
DHR - Danaher Del 1.33% New 564,781 $190.48 $108M +564,781 +$108M
ICLR - Icon Pub 1.30% Reduce −38.8% 606,523 $173.71 $105M −384,552 −$4M
DEI - Douglas Emmett 1.28% Add +1.2% 8,743,999 $11.80 $103M +107,029 +$22M
WAT - Waters 1.24% Add +0.3% 268,164 $375.04 $101M +692 +$21M
PYPL - Paypal 1.14% Add +53.6% 2,137,851 $43.18 $92M +746,442 +$29M
LPLA - Lpl Finl 1.12% Add +0.2% 321,244 $281.68 $90M +620 −$6M
INTU - Intuit 1.07% New 331,964 $261.00 $87M +331,964 +$87M
SAP - Sap Se 1.06% New 555,426 $154.11 $86M +555,426 +$86M
AVTR - Avantor 1.00% Add +1.3% 8,190,740 $9.90 $81M +101,717 +$18M
CNH - Cnh Indl 0.99% Add +48.6% 7,148,586 $11.23 $80M +2,339,331 +$27M
UBER - UBER Technologies 0.87% Add +0.7% 976,544 $72.16 $70M +6,727 +$708K
VNO - Vornado Rlty Tr 0.82% Add +0.2% 1,683,761 $39.30 $66M +3,160 +$22M
WFC - Wells Fargo & 0.80% Reduce −10.1% 784,923 $82.64 $65M −87,807 −$5M
GEHC - GE HealthCare 0.65% New 827,379 $64.01 $53M +827,379 +$53M
MICC - Magnum Ice Cream 0.64% Add +31.8% 2,971,716 $17.41 $52M +716,606 +$18M
WAB - Wabtec 0.63% Reduce −27.5% 189,045 $269.60 $51M −71,687 −$14M
VYX - Ncr Voyix 0.55% Add +0.1% 5,413,012 $8.17 $44M +7,930 +$10M
AVGO - Broadcom 0.29% Add +1.1% 63,167 $377.75 $24M +702 +$5M
MMC - Marsh & Mclennan Cos 0.25% Add +11.5% 121,213 $166.67 $20M +12,516 +$1M
PCG - Pg And E 0.24% Add +0.9% 1,172,695 $16.82 $20M +10,633 −$693K
VBIL - Vanguard Instl Index Fd 0.24% Add +188.7% 260,280 $75.68 $20M +170,121 +$13M
RUSHA - Rush Enterprises · CL A 0.12% Hold 129,094 $72.99 $9M
STGW - Stagwell · CL A 0.11% Hold 1,191,918 $7.43 $9M
MAR - Marriott Intl · CL A 0.08% Reduce −92.1% 18,445 $370.59 $7M −214,309 −$69M
FPAG — 0.07% New 145,470 $40.14 $6M +145,470 +$6M
EQPT - Equipmentshare · CL A 0.07% Hold 285,714 $19.66 $6M

Showing top 50 of 72 by value

Exits / last held

not current holdings · last reported size, unchanged · gone vs 2026 Q1

Stock % of portfolio Recent activity Shares Reported price* Value Share change $ change
DELL - DELL Technologies · CL C 0.88% Exit 0 $164.13 $63M −382,985 −$63M
KMI - Kinder Morgan Del 0.63% Exit 0 $33.53 $45M −1,332,715 −$45M
GLD - Spdr Gold Tr 0.08% Exit 0 $430.30 $6M −13,995 −$6M
FNV - Franco Nev 0.02% Exit 0 $247.01 $2M −6,611 −$2M
CVX - Chevron 0.02% Exit 0 $206.87 $1M −6,144 −$1M
ROST - Ross Stores 0.02% Exit 0 $216.72 $1M −5,154 −$1M
TSLA - Tesla 0.02% Exit 0 $371.67 $1M −3,000 −$1M
EMR - Emerson Elec 0.02% Exit 0 $131.02 $1M −8,426 −$1M
DG - Dollar Gen 0.02% Exit 0 $118.76 $1M −9,077 −$1M
NVST - Envista 0.01% Exit 0 $25.36 $771K −30,397 −$771K
ORLY - Oreilly Automotive 0.01% Exit 0 $92.28 $771K −8,355 −$771K
DIS - Disney Walt 0.01% Exit 0 $96.42 $759K −7,872 −$759K
HSIC - Schein Henry 0.01% Exit 0 $73.73 $731K −9,914 −$731K
GWW - Ww Grainger 0.01% Exit 0 $1,091 $730K −669 −$730K
MCD - Mcdonalds 0.01% Exit 0 $310.92 $666K −2,142 −$666K
CPAY - Corpay 0.01% Exit 0 $291.10 $625K −2,147 −$625K
SMG - Scotts Miracle-Gro · CL A 0.01% Exit 0 $60.76 $447K −7,357 −$447K
EBC - Eastern Bankshares Exit 0 $24.10 $2K −83 −$2K

* Reported price is value ÷ shares from the 13F as of period end — not a live market quote. Weight % is each long-equity position ÷ full 13F AUM, so rows may not sum to 100% when the filing includes options or other non-equity (excluded from this table). Share change and $ change are vs 2026 Q1. Click column headers to sort · click New / Hold / Add / Reduce to promote that move type to the top. Exit opens the last-held block below.

Filings history

20 periods · normalized AUM · open a period for holdings

Period Holdings AUM QoQ Form Filed Filing ID
2026 Q2 75 $8.1B +13.3% 13F-HR 8/14/2026 000137758126000007
2026 Q1 86 $7.1B −6.0% 13F-HR 5/14/2026 000137758126000005
2025 Q4 64 $7.6B +5.0% 13F-HR 2/17/2026 000137758126000002
2025 Q3 62 $7.2B +3.5% 13F-HR 11/13/2025 000137758125000013
2025 Q2 63 $7B +12.0% 13F-HR 8/1/2025 000137758125000006
2025 Q1 57 $6.2B −10.8% 13F-HR 5/6/2025 000137758125000004
2024 Q4 57 $7B −2.8% 13F-HR 2/7/2025 000137758125000003
2024 Q3 62 $7.2B −2.6% 13F-HR 11/4/2024 000137758124000011
2024 Q2 75 $7.4B +3.7% 13F-HR 8/2/2024 000137758124000006
2024 Q1 77 $7.1B +6.8% 13F-HR 5/2/2024 000137758124000004
2023 Q4 82 $6.7B +4.7% 13F-HR 2/12/2024 000137758124000002
2023 Q3 89 $6.4B −6.9% 13F-HR 11/13/2023 000137758123000008
2023 Q2 137 $6.8B +6.3% 13F-HR 8/11/2023 000137758123000006
2023 Q1 147 $6.4B −1.3% 13F-HR 5/9/2023 000137758123000004
2022 Q4 171 $6.5B +3.6% 13F-HR 2/7/2023 000137758123000002
2022 Q3 192 $6.3B −6.7% 13F-HR 11/4/2022 000137758122000009
2022 Q2 189 $6.8B −13.1% 13F-HR 8/8/2022 000137758122000007
2022 Q1 196 $7.8B −3.6% 13F-HR 5/11/2022 000137758122000005
2021 Q4 199 $8.1B +4.6% 13F-HR 2/8/2022 000137758122000002
2021 Q3 211 $7.7B 13F-HR 11/3/2021 000137758121000013

About

First Pacific Advisors, LP

20 processed 13Fs on this site · 2021 Q3–2026 Q2

SEC filing name
First Pacific Advisors, LP
Location
El Segundo, CA
All SEC filings
View on sec.gov