13F Filings for First Pacific Advisors, LP (CIK: 1377581)
View the most recent portfolio holdings disclosed by First Pacific Advisors, LP in their 13F filing.
Holding | Shares | Value | Portfolio Percent | Change Status | Change Amount |
---|---|---|---|---|---|
META - META PLATFORMS INC(Class: CL A) | 777K | $573.50M | 8.21% | Decreased | 5.47K (0.0%, $122.51M) |
ADI - ANALOG DEVICES INC(Class: COM) | 2.09M | $496.28M | 7.10% | Decreased | 20.41K (0.0%, $71.68M) |
TEL - TE CONNECTIVITY PLC(Class: ORD SHS) | 2.66M | $448.11M | 6.41% | Decreased | 26.46K (0.0%, $68.92M) |
C - CITIGROUP INC(Class: COM NEW) | 5.25M | $447.14M | 6.40% | Decreased | 525.71K (9.0%, $36.91M) |
GOOGL - ALPHABET INC(Class: CAP STK CL A) | 2.48M | $436.77M | 6.25% | Decreased | 76.91K (3.0%, $41.62M) |
CMCSA - COMCAST CORP NEW(Class: CL A) | 11.09M | $395.86M | 5.66% | Increased | 134.92K (1.0%, $8.44M) |
AMZN - AMAZON COM INC(Class: COM) | 1.46M | $320.56M | 4.59% | Increased | 15.13K (1.0%, $45.44M) |
IFF - INTERNATIONAL FLAVORSFRAGRA(Class: COM) | 4.11M | $302.40M | 4.33% | Increased | 49.45K (1.0%, $12.85M) |
GOOG - ALPHABET INC(Class: CAP STK CL C) | 1.58M | $280.07M | 4.01% | Decreased | 20.43K (1.0%, $30.22M) |
FERG - FERGUSON ENTERPRISES INC(Class: COMMON STOCK NEW) | 1.26M | $273.53M | 3.91% | Increased | 4.52K (0.0%, $72.98M) |
CHTR - CHARTER COMMUNICATIONS INC N(Class: CL A) | 626.51K | $256.12M | 3.67% | Increased | 7.50K (1.0%, $28M) |
AON - AON PLC(Class: SHS CL A) | 652.02K | $232.61M | 3.33% | Decreased | 27.99K (4.0%, $38.77M) |
NXPI - NXP SEMICONDUCTORS N V(Class: COM) | 764.89K | $167.12M | 2.39% | Increased | 8.20K (1.0%, $23.31M) |
LPLA - LPL FINL HLDGS INC(Class: COM) | 443.50K | $166.30M | 2.38% | Decreased | 14.44K (3.0%, $16.49M) |
KMX - CARMAX INC(Class: COM) | 2.43M | $163.40M | 2.34% | Increased | 15.27K (0.0%, $24.85M) |
WFC - WELLS FARGO CO NEW(Class: COM) | 2.03M | $162.99M | 2.33% | Decreased | 594.25K (22.0%, $25.72M) |
MTN - VAIL RESORTS INC(Class: COM) | 993.74K | $156.15M | 2.23% | Increased | 188.15K (23.0%, $27.24M) |
JEF - JEFFERIES FINL GROUP INC(Class: COM) | 2.58M | $141.12M | 2.02% | Decreased | 540 (0.0%, $2.86M) |
ICLR - ICON PLC(Class: SHS) | 964.12K | $140.23M | 2.01% | Increased | 417.17K (76.0%, $44.52M) |
MAR - MARRIOTT INTL INC NEW(Class: CL A) | 450.71K | $123.14M | 1.76% | Increased | 5.65K (1.0%, $17.12M) |
KMI - KINDER MORGAN INC DEL(Class: COM) | 3.94M | $115.83M | 1.66% | Decreased | 531.96K (11.0%, $11.75M) |
FBIN - FORTUNE BRANDS INNOVATIONS I(Class: COM) | 2M | $102.88M | 1.47% | Increased | 1.21M (152.0%, $54.63M) |
UBER - UBER TECHNOLOGIES INC(Class: COM) | 1.03M | $95.97M | 1.37% | Decreased | 172.62K (14.0%, $8.45M) |
BIO - BIO RAD LABS INC(Class: CL A) | 386.95K | $93.38M | 1.34% | Increased | 14.39K (3.0%, $2.64M) |
WAB - WABTEC(Class: COM) | 435.96K | $91.27M | 1.31% | Increased | 6K (1.0%, $13.30M) |