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First Pacific Advisors, LP

SEC CIK
0001377581
Latest filing
Aug 14, 2026

Holdings in Q1 2026

Holdings as of Mar 31, 2026, filed May 14, 2026. Long positions only; changes compare share counts with Q4 2025.

Institution overview
Positions
85
+22 vs. Q4 2025
Portfolio value
$7.13B
−$457.0M (−6.0%) vs. Q4 2025
Filed
May 14, 2026
SEC
Holdings of First Pacific Advisors, LP in Q1 2026
SecurityClassSharesValue% of portfolioShare changeActionHistory
DEODiageo PLCSPON ADR NEW1$74<0.1%+1NewHistory
EBCEastern Bankshares, Inc.COM83$1.62K<0.1%−85,800−99.9%ReducedHistory
iShares Tr46435U473BB RAT CORP BD142$6.60K<0.1%−144−50.3%Reduced–
UNITUniti Group Inc.COM SHS25,235$236.7K<0.1%00.0%UnchangedHistory
BIDUBaidu, Inc.ADR3,421$381.2K<0.1%+3,421NewHistory
SMGScotts Miracle-Gro CoStock7,357$447.4K<0.1%+7,357NewHistory
CPAYCorpay, Inc.COM SHS2,147$624.8K<0.1%+2,147NewHistory
UPWKUpwork, IncCOM57,081$625.6K<0.1%00.0%UnchangedHistory
MCDMcDonalds CorpStock2,142$665.7K<0.1%+2,142NewHistory
GWWW.W. Grainger, Inc.Stock669$729.8K<0.1%+669NewHistory
HSICHenry Schein IncCOM9,914$730.7K<0.1%+9,914NewHistory
DISWalt Disney CoStock7,872$758.7K<0.1%+7,872NewHistory
NVSTEnvista Holdings CorpCOM30,397$771.2K<0.1%+30,397NewHistory
ORLYO Reilly Automotive IncStock8,355$771.3K<0.1%+8,355NewHistory
CSLCarlisle Companies IncCOM2,632$878.1K<0.1%+2,632NewHistory
DGDollar General CorpCOM9,077$1.08M<0.1%+9,077NewHistory
EMREmerson Electric CoStock8,426$1.10M<0.1%+8,426NewHistory
TSLATesla, Inc.Stock3,000$1.12M<0.1%+3,000NewHistory
ROSTRoss Stores, Inc.COM5,154$1.12M<0.1%+5,154NewHistory
SCCOSouthern Copper CorpStock7,056$1.21M<0.1%+7,056NewHistory
CVXChevron CorpStock6,144$1.27M<0.1%+6,144NewHistory
ASLEAerSale CorpCOM208,726$1.30M<0.1%00.0%UnchangedHistory
NFLXNetflix IncStock16,400$1.58M<0.1%00.0%UnchangedHistory
FNVFranco Nevada CorpStock6,611$1.63M<0.1%+6,611NewHistory
PARRPar Pacific Holdings, Inc.COM NEW32,651$2.05M<0.1%−11,065−25.3%ReducedHistory
PBFSPioneer Bancorp, Inc.COM166,974$2.32M<0.1%00.0%UnchangedHistory
MRVIMaravai Lifesciences Holdings, Inc.COM CL A884,883$2.50M<0.1%00.0%UnchangedHistory
OECOrion S.A.COM417,388$2.71M<0.1%00.0%UnchangedHistory
ALGTAllegiant Travel COCOM34,186$2.77M<0.1%00.0%UnchangedHistory
RSVRReservoir Media, Inc.COM308,747$3.02M<0.1%−20,319−6.2%ReducedHistory
PDLBPonce Financial Group, Inc.COMMON STOCK181,562$3.03M<0.1%00.0%UnchangedHistory
Vanguard Total World Stock ETF922042742ETF26,390$3.65M0.1%+6,647+33.7%Added–
Wayfair Inc.94419LAF8NOTE 1.000% 8/1–$4.64M0.1%–––
NATLNCR Atleos CorpCOM SHS110,933$4.83M0.1%−1,929,767−94.6%ReducedHistory
ECHOEchoStar CORPCL A47,066$5.51M0.1%−191,867−80.3%ReducedHistory
EQPTEquipmentShare.com IncCOM CL A285,714$5.82M0.1%+285,714NewHistory
GLDSPDR Gold TrustETF13,995$6.02M0.1%+13,995NewHistory
Vanguard Instl Index FD9220408450 3 MO TR BI ETF90,159$6.82M0.1%+90,159New–
TDWTidewater IncCOM82,549$6.90M0.1%−12,412−13.1%ReducedHistory
STGWStagwell IncCOM CL A1,191,918$7.50M0.1%00.0%UnchangedHistory
RUSHARush Enterprises IncCL A129,094$8.53M0.1%−19,000−12.8%ReducedHistory
MRSHMarsh & McLennan Companies, Inc.Stock108,697$18.9M0.3%+108,697NewHistory
AVGOBroadcom Inc.Stock62,465$19.3M0.3%−23,646−27.5%ReducedHistory
PCGPG&E CorpStock1,162,062$20.4M0.3%+19,895+1.7%AddedHistory
MICCMagnum Ice Cream Co N.V.ORD SHS2,255,110$33.7M0.5%+557,435+32.8%AddedHistory
VYXNCR Voyix CorpCOM5,405,082$34.2M0.5%+366,874+7.3%AddedHistory
VNOVornado Realty TrustSH BEN INT1,680,601$43.7M0.6%+4,088+0.2%AddedHistory
KMIKinder Morgan, Inc.Stock1,332,715$44.7M0.6%−2,743,789−67.3%ReducedHistory
CNHCNH Industrial N.V.SHS4,809,255$52.9M0.7%+4,809,255NewHistory
DELLDell Technologies Inc.Stock382,985$62.9M0.9%00.0%UnchangedHistory
PYPLPayPal Holdings, Inc.Stock1,391,409$62.9M0.9%+1,391,409NewHistory
AVTRAvantor, Inc.COM8,089,023$63.4M0.9%+4,120,403+103.8%AddedHistory
WABWestinghouse Air Brake Technologies CorpStock260,732$65.2M0.9%−183,816−41.3%ReducedHistory
WFCWells Fargo & CompanyStock872,730$69.5M1.0%−237,098−21.4%ReducedHistory
UBERUber Technologies, IncStock969,817$69.8M1.0%+16,554+1.7%AddedHistory
MARMarriott International IncStock232,754$76.1M1.1%−157,103−40.3%ReducedHistory
WATWaters CorpCOM267,472$79.7M1.1%+267,472NewHistory
DEIDouglas Emmett IncCOM8,636,970$81.4M1.1%+2,108,014+32.3%AddedHistory
AJGArthur J. Gallagher & Co.COM387,687$84.0M1.2%+387,687NewHistory
LPLALPL Financial Holdings Inc.COM320,624$96.5M1.4%−66,788−17.2%ReducedHistory
JEFJefferies Financial Group Inc.COM2,586,501$106.7M1.5%+6,218+0.2%AddedHistory
TMOThermo Fisher Scientific Inc.Stock221,896$109.1M1.5%+3,324+1.5%AddedHistory
ICLRIcon PLCCOM991,075$109.7M1.5%+10,271+1.0%AddedHistory
BAXBaxter International IncStock6,700,925$112.6M1.6%+6,700,925NewHistory
BIOBio-Rad Laboratories, Inc.CL A407,358$113.6M1.6%+5,901+1.5%AddedHistory
NOVNOV Inc.COM6,320,758$118.9M1.7%−1,773,052−21.9%ReducedHistory
KMXCarMax IncCOM2,981,709$124.0M1.7%+57,628+2.0%AddedHistory
EchoStar CORP278768AB2NOTE 3.875%11/3–$130.6M1.8%–––
FBINFortune Brands Innovations, Inc.COM3,792,230$147.8M2.1%+267,732+7.6%AddedHistory
MTNVail Resorts IncCOM1,176,350$150.9M2.1%+88,648+8.2%AddedHistory
NXPINXP Semiconductors N.V.COM768,915$151.4M2.1%+2,585+0.3%AddedHistory
AMRZAmrize LtdSHS3,146,383$176.3M2.5%−261,689−7.7%ReducedHistory
FERGFerguson Enterprises Inc.COMMON STOCK NEW816,993$190.6M2.7%−70,127−7.9%ReducedHistory
AONAon plcCL A703,258$227.0M3.2%+46,727+7.1%AddedHistory
LBRDKLiberty Broadband CorpCOM SER C4,642,610$233.5M3.3%+1,973,262+73.9%AddedHistory
CMCSAComcast CorpStock8,592,563$246.7M3.5%+192,732+2.3%AddedHistory
AMZNAmazon Com IncStock1,416,219$295.0M4.1%+5,020+0.4%AddedHistory
BDXBecton Dickinson & CoStock1,980,440$311.4M4.4%+29,194+1.5%AddedHistory
TELTE Connectivity plcStock1,650,857$345.1M4.8%−129,113−7.3%ReducedHistory
CCitigroup IncStock3,175,212$360.1M5.0%−331,719−9.5%ReducedHistory
GOOGAlphabet Inc.Stock1,333,157$382.4M5.4%−16,435−1.2%ReducedHistory
METAMeta Platforms, Inc.Stock680,613$389.4M5.5%−21,508−3.1%ReducedHistory
IFFInternational Flavors & Fragrances IncCOM5,409,925$392.5M5.5%+83,884+1.6%AddedHistory
GOOGLAlphabet Inc.Stock1,683,493$484.1M6.8%−227,936−11.9%ReducedHistory
ADIAnalog Devices IncStock1,723,135$548.2M7.7%−151,732−8.1%ReducedHistory

Options (1)

Puts and calls in the same filing. Amounts are the market value of the underlying shares, which is what 13F reports.

Option positions of First Pacific Advisors, LP in Q1 2026
SecurityClassPutsCalls
ECHOEchoStar CORPCL A$5.50M–

Sold out since Q4 2025 (5)

Positions held at the end of Q4 2025 that are gone from this filing.

Positions of First Pacific Advisors, LP sold out since Q4 2025
SecurityClassShares in Q4 2025Value in Q4 2025% of portfolio in Q4 2025History
CHTRCharter Communications, Inc.CL A461,525$96.3M1.3%History
GPORGulfport Energy CorpCOMMON SHARES127,434$26.5M0.3%History
iShares Tr46436E7180-3 MTH TREASURY40,837$4.10M0.1%–
LAURLaureate Education, Inc.COMMON STOCK101,485$3.42M<0.1%History
DARDarling Ingredients Inc.COM52,447$1.89M<0.1%History