Follow-The-Filings

First Pacific Advisors, LP

13F holdings history for

MICC · Magnum Ice Cream Co. NV

Ticker
MICC
Investment type
Equity
Class
ORD SHS
Manager
First Pacific Advisors

Shares held by quarter

New Add Reduce Exit

  1. 2025 Q4 · 1,697,675 shares · $27M · 0.35% of portfolio · New
  2. 2026 Q1 · 2,255,110 shares · $34M · 0.47% of portfolio · Add +32.8%
  3. 2026 Q2 · 2,971,716 shares · $52M · 0.64% of portfolio · Add +31.8%
Holdings date Value % of holdings Shares Filing date All 13F holders