FPA

First Pacific Advisors Portfolio holdings

AUM $6.99B
1-Year Return 15.49%
This Quarter Return
+5.21%
1 Year Return
+15.49%
3 Year Return
+95.11%
5 Year Return
+170.67%
10 Year Return
+277.73%
AUM
$8.06B
AUM Growth
+$352M
Cap. Flow
-$10.4M
Cap. Flow %
-0.13%
Top 10 Hldgs %
55.9%
Holding
241
New
30
Increased
33
Reduced
32
Closed
42

Sector Composition

1 Communication Services 29.21%
2 Technology 25.74%
3 Financials 22.85%
4 Industrials 4.53%
5 Materials 4.17%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
DOCU icon
201
DocuSign
DOCU
$16.1B
-790
Closed -$203K
EXAS icon
202
Exact Sciences
EXAS
$10.2B
-850
Closed -$81K
FVRR icon
203
Fiverr
FVRR
$875M
-440
Closed -$80K
LMT icon
204
Lockheed Martin
LMT
$108B
-594
Closed -$205K
LULU icon
205
lululemon athletica
LULU
$19.9B
-540
Closed -$219K
MDT icon
206
Medtronic
MDT
$119B
-2,900
Closed -$364K
NET icon
207
Cloudflare
NET
$74.7B
-2,473
Closed -$279K
NOW icon
208
ServiceNow
NOW
$190B
-2,650
Closed -$1.65M
OKTA icon
209
Okta
OKTA
$16.1B
-675
Closed -$160K
PATH icon
210
UiPath
PATH
$6.15B
-1,500
Closed -$79K
PCOR icon
211
Procore
PCOR
$10.5B
-885
Closed -$79K
RNG icon
212
RingCentral
RNG
$2.89B
-370
Closed -$80K
TDUP icon
213
ThredUp
TDUP
$1.43B
$0 ﹤0.01%
1
-5,699
-100%
TEAM icon
214
Atlassian
TEAM
$45.2B
-530
Closed -$207K
Z icon
215
Zillow
Z
$21.3B
-900
Closed -$79K
XYZ
216
Block, Inc.
XYZ
$45.7B
-790
Closed -$189K
EDR
217
DELISTED
Endeavor Group Holdings, Inc.
EDR
-3,960
Closed -$114K
SMAR
218
DELISTED
Smartsheet Inc.
SMAR
-1,115
Closed -$77K
TWOU
219
DELISTED
2U, Inc.
TWOU
-77
Closed -$77K
AYX
220
DELISTED
Alteryx, Inc.
AYX
-168,978
Closed -$12.4M
HLGN
221
DELISTED
Heliogen, Inc.
HLGN
-10,219
Closed -$3.55M
BBLN
222
DELISTED
Babylon Holdings Limited
BBLN
-2,395
Closed -$597K
GXIIU
223
DELISTED
GX Acquisition Corp. II Unit
GXIIU
-782,029
Closed -$7.71M
GIIXU
224
DELISTED
Gores Holdings VIII, Inc. Unit
GIIXU
-284,080
Closed -$2.83M
SCLEU
225
DELISTED
Broadscale Acquisition Corp. Units
SCLEU
-1,009,809
Closed -$9.99M