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Focused investors/First Pacific Advisors

First Pacific Advisors

As of Q2 2026, First Pacific Advisors reported 72 long-equity positions worth $7.97B in aggregate.

It also disclosed $4.77M of put notional. Notional is the contracts’ face value, not the premium paid, so it is reported separately from the equity above — see the Options section below.

Copy-investor backtest

Latest quarter
+6.95%
1-year
+26.95%
3-year
+80.31%
5-year
+78.24%
3-year vs S&P 500
+6.11%
5-year vs S&P 500
+2.88%
5-year top 5
+68.62%

Return from mechanically copying the disclosed 13F equity portfolio after each filing and rebalancing at the next. The vs S&P 500 figures subtract SPY over that manager's own rebalance dates, so both sides cover the same days; both are price return, excluding dividends. Method & limitations.

Get email alerts when First Pacific Advisors files a new 13F — sign in or create a free account.

Updated 2026-09-12 from SEC 13F data.

Live quotes available for 61 of 124 rows. Rows without a quote are marked unavailable.

1ORCLORACLE CORPORATION6.66%Add +6.2%20,282,100$817.37M$40.30No quote
2MSFTMICROSOFT CORP5.93%Add +0.8%16,479,000$727.55M$44.15No quote
3AONAON PLC5.81%Add +0.8%7,151,300$712.84M$99.68No quote
4CCITIGROUP INC4.33%Add +1.2%9,618,500$531.33M$55.24No quote
5AIGAMERICAN INTL GROUP INC4.30%Add +0.9%8,529,500$527.29M$61.82No quote
6CVSCVS HEALTH CORPORATION3.95%Reduce -0.2%4,621,500$484.7M$104.88No quote
7TMOTHERMO FISHER SCIENTIFIC INC3.65%Add +1.1%3,448,400$447.46M$129.76No quote
8TELTE CONNECTIVITY LTD3.53%Add +1.2%6,739,400$433.34M$64.30No quote
9ESRXEXPRESS SCRIPTS HOLDING CO3.38%Add +1.2%4,658,000$414.24MNo quoteNo quote
10CSCOCISCO SYSTEMS INC3.25%Add +1.0%14,496,800$398.08M$27.46No quote
11AAALCOA INC3.17%Add +57.6%34,881,400$388.93M$11.15No quote
1204270VARRIS GROUP INC2.48%Reduce -5.7%9,937,463$304.09MNo quoteNo quote
13BACBANK OF AMERICA CORP2.35%Add +31.2%16,971,300$288.85M$17.02No quote
14OXYOCCIDENTAL PETROLEUM CORP2.24%Add +0.9%3,527,900$274.37M$77.77No quote
15BUDANHEUSER-BUSCH INBEV SPN ADR2.07%Add +0.7%2,099,300$253.32M$120.67No quote
16ADIANALOG DEVICES INC2.00%Add +0.6%3,823,500$245.41M$64.18No quote
17GEGENERAL ELECTRIC COMPANY1.92%Add +1.3%8,859,000$235.38M$26.57No quote
18UTXUNITED TECHNOLOGIES CORP1.83%Add +1.2%2,027,900$224.96MNo quoteNo quote
19OIOWENS ILLINOIS INC1.63%Add +0.9%8,705,707$199.71MNo quoteNo quote
20WBAWALGREENS BOOTS ALLIANCE INC1.62%Add +0.5%2,357,200$199.04MNo quoteNo quote
21IPGINTERPUBLIC GROUP COS INC1.54%Add +0.7%9,801,700$188.88MNo quoteNo quote
22CITCIT GROUP INC.1.47%Add +9.5%3,868,700$179.86MNo quoteNo quote
23MDTMEDTRONIC PLC1.31%Add +1.0%2,169,396$160.75M$74.10No quote
24CNQCANADIAN NATURAL RESOURCES1.27%Add +0.7%5,729,500$155.61M$27.16No quote
25YHOOYAHOO INC1.25%Add +0.3%3,892,200$152.93MNo quoteNo quote
26JOYJOY GLOBAL INC1.11%Add +1.2%3,761,600$136.17MNo quoteNo quote
27YALLEGHANY CORPORATION1.11%Add +0.8%289,301$135.61MNo quoteNo quote
28ORLYO'REILLY AUTOMOTIVE, INC.1.08%-585,500$132.31M$225.98No quote
29GOOGLGOOGLE INC. CLASS A1.06%Add +0.9%240,359$129.8M$540.04No quote
30GOOGGOOGLE INC. CLASS C1.05%Add +4.0%247,815$128.99M$520.51No quote
31QCOMQUALCOMM INC1.02%Add +0.7%1,990,800$124.68M$62.63No quote
32LPLALPL FINL HLDGS INC1.01%New2,666,600$123.97M$46.49No quote
33VODVODAFONE GROUP PLC-SP ADR0.93%Add +0.9%3,117,026$113.62MNo quoteNo quote
34ROSEROSETTA RESOURCES INC REG0.77%Reduce -26.4%4,082,602$94.47MNo quoteNo quote
35AVTAVNET INC0.76%Reduce -13.0%2,278,304$93.66M$41.11No quote
36RDCROWAN COMPANIES PLC0.76%Reduce -21.8%4,408,500$93.06MNo quoteNo quote
37IDCCINTERDIGITAL INC0.75%Reduce -15.2%1,623,400$92.36M$56.89No quote
38WDCWESTERN DIGITAL CORP.0.73%Reduce -0.5%1,136,058$89.09M$78.42No quote
39XECCIMAREX ENERGY CO0.71%Reduce -10.8%791,100$87.27MNo quoteNo quote
40SIGSIGNET JEWELERS LIMITED0.71%-678,400$87MNo quoteNo quote
41APOLAPOLLO EDUCATION GRP CL A0.68%Add +86.8%6,502,100$83.75MNo quoteNo quote
42HPHELMERICH & PAYNE INC0.65%Reduce -10.2%1,126,935$79.36M$70.42No quote
43KMXCARMAX INC0.63%Reduce -0.0%1,175,100$77.8M$66.21No quote
44DVDEVRY EDUCATION GROUP INC.0.62%Add +17.5%2,536,618$76.05M$29.98No quote
45LUKLEUCADIA NATIONAL CORP0.61%Add +7.3%3,089,100$75MNo quoteNo quote
46WBCWABCO HOLDINGS INC0.60%Reduce -0.0%594,000$73.49MNo quoteNo quote
47ARWARROW ELECTRONICS INC.0.59%Reduce -12.5%1,299,525$72.51M$55.80No quote
48ATWATWOOD OCEANICS INC.0.56%Reduce -2.3%2,610,200$69.01MNo quoteNo quote
49AANAARON'S INC0.53%Add +4.1%1,793,021$64.93MNo quoteNo quote
50AGCOAGCO CORPORATION0.52%Add +2.2%1,121,350$63.67M$56.78No quote
51DANDANA HOLDINGS CORP0.39%Add +52.1%2,307,200$47.48MNo quoteNo quote
52BWCBABCOCK & WILCOX CO0.37%Add +1.4%1,386,300$45.47MNo quoteNo quote
53IEXIDEX CORP.0.36%-557,350$43.8M$78.58No quote
54SCSCSCANSOURCE, INC.0.36%-1,149,864$43.76M$38.06No quote
55WACWALTER INVESTMENT MGMT0.34%Reduce -4.2%1,842,000$42.13MNo quoteNo quote
56KNXKNIGHT TRANSPORTATION, INC0.33%-1,532,600$40.98M$26.74No quote
57HNIHNI CORPORATION0.32%-777,333$39.76MNo quoteNo quote
58GGGGRACO INC0.32%-557,100$39.57M$71.03No quote
59CPRTCOPART INC.0.31%-1,066,000$37.82M$35.48No quote
60OSKOSHKOSH CORP0.29%Reduce -15.6%832,100$35.26M$42.38No quote
61HTLDHEARTLAND EXPRESS, INC0.28%-1,689,300$34.18M$20.23No quote
62MCHPMICROCHIP TECHNOLOGY INC0.27%-689,551$32.7M$47.43No quote
63FLFOOT LOCKER INC0.24%Reduce -19.1%439,900$29.48MNo quoteNo quote
64CUBCUBIC CORP0.23%Add +17.0%590,667$28.1MNo quoteNo quote
65FTIFMC TECHNOLOGIES INC0.22%-653,100$27.1M$41.49No quote
66SMSM ENERGY COMPANY0.21%Reduce -42.6%553,691$25.54MNo quoteNo quote
67BBBYQBED BATH & BEYOND INC0.20%-354,000$24.42MNo quoteNo quote
68CLCCLARCOR INC0.19%-383,000$23.84MNo quoteNo quote
69FELEFRANKLIN ELECTRIC CO INC0.18%-688,500$22.26MNo quoteNo quote
70VECOVEECO INSTRUMENTS INC0.18%Add +71.3%770,402$22.14M$28.74No quote
71RGSREGIS CORP0.17%Reduce -27.6%1,329,600$20.95MNo quoteNo quote
72RSRELIANCE STEEL & ALUMINUM0.17%-345,408$20.89M$60.48No quote
73FHIFEDERATED INVESTORS INC-CL B0.16%Reduce -15.5%582,843$19.52MNo quoteNo quote
74-WALTER INVESTMENT MGMTCUSIP 93317WAA00.15%-22,500,000$18.56MNo quoteNo quote
75NDSNNORDSON CORPORATION0.15%Add +0.1%238,300$18.56M$77.89No quote
76MGLNMAGELLAN HEALTH INC0.13%Add +9.7%234,843$16.46MNo quoteNo quote
77HOSHORNBECK OFFSHORE SVCS INC0.13%Reduce -7.5%787,200$16.16MNo quoteNo quote
78FEICFEI COMPANY0.12%Add +22.0%170,400$14.13MNo quoteNo quote
79NENOBLE CORPORATION PLC0.10%-761,200$11.72M$15.39No quote
80VARVARIAN MEDICAL SYSTEM INC0.09%-124,700$10.52MNo quoteNo quote
81MYGNMYRIAD GENETICS INC0.06%Reduce -7.1%233,200$7.93MNo quoteNo quote
82LNWSCIENTIFIC GAMES CORP CL A0.05%Reduce -11.0%417,400$6.49MNo quoteNo quote
83LHLABORATORY CORP AMER HLDGS0.05%-50,400$6.11M$121.21No quote
84CLBCORE LABORATORIES N V0.05%-51,800$5.91M$114.03No quote
85MCDMCDONALDS CORP0.04%-52,600$5M$95.08No quote
86HFWAHERITAGE FINANCIAL CORP0.04%-275,000$4.91MNo quoteNo quote
87STCSTEWART INFORMATION SVCS0.04%Reduce -2.9%112,100$4.46M$39.80No quote
88ACNACCENTURE PLC CL A0.03%Reduce -2.0%44,225$4.28M$96.78No quote
89BKSBARNES & NOBLE INC0.03%New155,200$4.03MNo quoteNo quote
90TSMTAIWAN SEMICONDUCTOR MFG0.03%Reduce -2.0%161,200$3.66M$22.71No quote
91CBSCBS CORP CL B NON VOTING0.03%Reduce -7.1%61,300$3.4MNo quoteNo quote
92PBSKPOAGE BANKSHARES INC0.01%-116,447$1.79MNo quoteNo quote
93EBAYEBAY INC0.01%Reduce -49.1%24,900$1.5M$60.24No quote
94PDCOPATTERSON COMPANIES INC0.01%-29,000$1.41MNo quoteNo quote
95TOWNTOWNEBANK PORTSMOUTH0.01%-86,237$1.41MNo quoteNo quote
96CACBCASCADE BANCORP0.01%-253,743$1.31MNo quoteNo quote
97FABKFIRST ADVANTAGE BANCORP0.01%-89,600$1.28MNo quoteNo quote
98CZWICITIZENS CMNTY BANCORP INC0.01%-108,909$998KNo quoteNo quote
99UNTDUNITED ONLINE INC0.01%Reduce -0.0%44,398$696KNo quoteNo quote
100PARRPAR PETROLEUM CORP0.00%-27,700$519K$18.74No quote
101SIALSIGMA-ALDRICH CORPORATION0.00%-2,700$376KNo quoteNo quote
102AMEAMETEK INC.0.00%-6,025$330K$54.77No quote
103WABWABTEC CORP0.00%-2,800$264K$94.29No quote
104NVSLNAUGATUCK VALLEY FINL CORP0.00%-24,012$255KNo quoteNo quote
105TTCTHE TORO COMPANY0.00%-3,600$244K$67.78No quote
106GWWWW GRAINGER, INC.0.00%-1,000$237K$237.00No quote
107BIOBIO-RAD LABORATORIES, INC.0.00%Reduce -99.3%1,500$226K$150.67No quote
108FMCKNFEDERAL HOME LN MTG CORP W 5.60.00%-43,853$159KNo quoteNo quote
109SHOSSEARS HMTWN & OUTLET STORES0.00%-13,900$132KNo quoteNo quote
110AZZAZZ INC0.00%-2,500$129K$51.60No quote
111FMCKMFEDERAL HOME LN MTG CORP V 5.50.00%-30,647$104KNo quoteNo quote
112FLIRFLIR SYSTEMS INC.0.00%-3,300$102KNo quoteNo quote
113TSCOTRACTOR SUPPLY COMPANY0.00%-1,000$90K$90.00No quote
114DCIDONALDSON CO INC0.00%-1,300$47K$36.15No quote
115HLXHELIX ENERGY SOLUTIONS GRP0.00%-3,100$39K$12.58No quote
116TDWTIDEWATER INC0.00%-1,600$36K$22.50No quote
117ENZNENZON PHARMACEUTICALS INC0.00%-23,626$28KNo quoteNo quote
118FMCCFEDERAL HOME LN MTG H 5.10%0.00%-1,925$11KNo quoteNo quote
122TRNTRINITY INDUSTRIES INC-Sold0$0No quoteNo quote
121INTCINTEL CORPORATION-Sold0$0No quoteNo quote
120CTSHCOGNIZANT TECH. SOLUTIONS A-Sold0$0No quoteNo quote
119CNCCENTENE CORPORATION-Sold0$0No quoteNo quote

Other instruments

Bonds, warrants, or non-share principal positions reported alongside the equity portfolio.

1BACWSABANK OF AMERICA CORP WTWTOTHER51,677$319K
2JPMWSJPMORGAN CHASE & COWTOTHER10,000$247K