SR
Steven Romick
First Pacific Advisors
- Portfolio value
- $7,970,121,469
- Stocks
- 72
- Period
- Q2 2026
- Filed
- 14 Aug 2026
Flexible value across equities, credit, and special situations globally.
✦
Cut Marriott International Inc /Md/ 92.1%, added 2525% to Ishares Bb Rated Corp Bond and opened 6 new positions, the largest INTU at 1.1%. Communication Services is still the biggest weight in the book at 20.0%. The top five names are 31% of it.
Sector exposure
Communication Services
20.0%
Technology
17.7%
Unknown
17.0%
Financial Services
14.7%
Healthcare
10.3%
Consumer Cyclical
8.4%
Industrials
5.8%
Basic Materials
2.1%
Real Estate
2.1%
Energy
1.6%
Utilities
0.2%
Concentration
8.0%Largest, ADI
31%Top 5
52%Top 10
5Positions over 5%
37Under 1%, 7% of the book
Portfolio return
Time-weighted · held at window start
By position
By sector
| Stock | % Portfolio | Recent Activity | Shares | Reported Price | Value | |
|---|---|---|---|---|---|---|
| ADI — Analog Devices Inc | 7.97% | Reduce 7.23% | 1,598,506 | $397.17 | $634,878,628 | ↗ ◎ |
| GOOGL — Alphabet Inc Cl A | 6.32% | Reduce 16.33% | 1,408,518 | $357.37 | $503,362,078 | ↗ ◎ |
| GOOG — Alphabet Inc Cl C | 5.91% | Add 0.00% | 1,333,205 | $353.33 | $471,061,323 | ↗ ◎ |
| INTERNATIONAL FLAVORS&FRAGRA | 5.42% | 5,455,081 | $79.22 | $432,151,517 | ||
| C — Citigroup Inc | 5.30% | Reduce 4.99% | 3,016,828 | $139.96 | $422,235,247 | ↗ ◎ |
| META — Meta Platforms Inc | 4.80% | Reduce 0.11% | 679,884 | $563.29 | $382,971,858 | ↗ ◎ |
| AMZN — Amazon Com Inc | 4.07% | Reduce 3.93% | 1,360,585 | $238.34 | $324,281,829 | ↗ ◎ |
| BDX — Becton Dickinson And Co | 4.01% | Add 6.58% | 2,110,794 | $151.33 | $319,426,456 | ↗ ◎ |
| TEL — Te Connectivity Plc | 3.92% | Reduce 6.04% | 1,551,105 | $201.61 | $312,718,279 | ↗ ◎ |
| AJG — Arthur J Gallagher & Co | 3.85% | Add 244.68% | 1,336,290 | $229.57 | $306,772,095 | ↗ ◎ |
| AON — Aon Plc | 2.84% | Reduce 3.11% | 681,367 | $331.69 | $226,002,620 | ↗ ◎ |
| CMCSA — Comcast Corp-Class A | 2.67% | Add 0.98% | 8,676,664 | $24.55 | $213,012,101 | ↗ ◎ |
| FBIN — Fortune Brands Innovations I | 2.63% | Add 0.87% | 3,825,269 | $54.90 | $210,007,268 | ↗ ◎ |
| NXPI — Nxp Semiconductors N.v. | 2.43% | Reduce 10.51% | 688,107 | $281.03 | $193,378,710 | ↗ ◎ |
| FERG — Ferguson Enterprises Inc | 2.34% | Reduce 3.69% | 786,822 | $237.33 | $186,736,465 | ↗ ◎ |
| MTN — Vail Resorts Inc | 2.23% | Add 10.93% | 1,304,959 | $136.15 | $177,670,168 | ↗ ◎ |
| AMRZ — Amrize Ltd | 2.12% | Add 0.98% | 3,177,325 | $53.30 | $169,351,423 | ↗ ◎ |
| BAX — Baxter International Inc | 2.04% | Add 13.69% | 7,618,145 | $21.32 | $162,418,851 | ↗ ◎ |
| KMX — Carmax Inc | 2.00% | Add 0.90% | 3,008,564 | $52.89 | $159,122,950 | ↗ ◎ |
| LBRDK — Liberty Broadband-C | 1.94% | Reduce 0.02% | 4,641,753 | $33.26 | $154,384,705 | ↗ ◎ |
| JEF — Jefferies Financial Group In | 1.70% | Add 4.55% | 2,704,265 | $49.98 | $135,159,165 | ↗ ◎ |
| TMO — Thermo Fisher Scientific Inc. | 1.56% | Add 11.87% | 248,244 | $501.36 | $124,459,612 | ↗ ◎ |
| NOV — Nov Inc | 1.49% | Add 1.13% | 6,392,388 | $18.55 | $118,578,797 | ↗ ◎ |
| BIO — Bio-Rad Laboratories-A | 1.48% | Reduce 1.35% | 401,861 | $293.61 | $117,990,408 | ↗ ◎ |
| DANAHER CORP DEL | 1.35% | 564,781 | $190.48 | $107,579,485 | ||
| ICLR — Icon Plc | 1.32% | Reduce 38.80% | 606,523 | $173.71 | $105,359,110 | ↗ ◎ |
| DEI — Douglas Emmett Inc | 1.29% | Add 1.24% | 8,743,999 | $11.80 | $103,179,188 | ↗ ◎ |
| WAT — Waters Corp | 1.26% | Add 0.26% | 268,164 | $375.04 | $100,572,227 | ↗ ◎ |
| PAYPAL HLDGS INC | 1.16% | 2,137,851 | $43.18 | $92,312,406 | ||
| LPL FINL HLDGS INC | 1.14% | 321,244 | $281.68 | $90,488,010 | ||
| INTU — Intuit Inc | 1.09% | New | 331,964 | $261.00 | $86,642,604 | ↗ ◎ |
| SAP — Sap Se-Sponsored Adr | 1.07% | New | 555,426 | $154.11 | $85,596,701 | ↗ ◎ |
| AVTR — Avantor Inc | 1.02% | Add 1.26% | 8,190,740 | $9.90 | $81,088,326 | ↗ ◎ |
| CNH INDL N V | 1.01% | 7,148,586 | $11.23 | $80,278,621 | ||
| UBER — Uber Technologies Inc | 0.88% | Add 0.69% | 976,544 | $72.16 | $70,467,415 | ↗ ◎ |
| VNO — Vornado Realty Trust | 0.83% | Add 0.19% | 1,683,761 | $39.30 | $66,171,807 | ↗ ◎ |
| WFC — Wells Fargo & Co | 0.81% | Reduce 10.06% | 784,923 | $82.64 | $64,866,037 | ↗ ◎ |
| GEHC — Ge Healthcare Technology | 0.66% | New | 827,379 | $64.01 | $52,960,530 | ↗ ◎ |
| MAGNUM ICE CREAM CO NV | 0.65% | 2,971,716 | $17.41 | $51,737,576 | ||
| WAB — Wabtec Corp | 0.64% | Reduce 27.49% | 189,045 | $269.60 | $50,966,532 | ↗ ◎ |
| VYX — Ncr Voyix Corp | 0.56% | Add 0.15% | 5,413,012 | $8.17 | $44,224,308 | ↗ ◎ |
| AVGO — Broadcom Inc | 0.30% | Add 1.12% | 63,167 | $377.75 | $23,861,334 | ↗ ◎ |
| MRSH — Marsh & Mclennan Cos | 0.25% | Add 11.51% | 121,213 | $166.67 | $20,202,571 | ↗ ◎ |
| PCG — Pg&e Corp | 0.25% | Add 0.92% | 1,172,695 | $16.82 | $19,724,730 | ↗ ◎ |
| VBIL — Vanguard 0-3m T-Bill Etf | 0.25% | Add 188.69% | 260,280 | $75.68 | $19,697,990 | ↗ ◎ |
| SATS — Echostar Corp | 0.12% | 94,066 | $101.50 | $9,547,699 | ↗ ◎ | |
| RUSH ENTERPRISES INC | 0.12% | 129,094 | $72.99 | $9,421,926 | ||
| STGW — Stagwell Inc | 0.11% | 1,191,918 | $7.43 | $8,855,951 | ↗ ◎ | |
| MAR — Marriott International Inc /md/ | 0.09% | Reduce 92.08% | 18,445 | $370.59 | $6,835,533 | ↗ ◎ |
| FPAG — Fpa Global Equity Etf New | 0.07% | New | 145,470 | $40.14 | $5,839,733 | ↗ ◎ |
| EQPT — Equipmentshare.com Inc-A | 0.07% | 285,714 | $19.66 | $5,617,137 | ↗ ◎ | |
| MRVI — Maravai Lifesciences Hldgs-A | 0.07% | 884,883 | $6.24 | $5,521,670 | ↗ ◎ | |
| VT — Vanguard Tot World Stk Etf | 0.07% | Add 25.62% | 33,151 | $156.95 | $5,203,049 | ↗ ◎ |
| TDW — Tidewater Inc | 0.06% | Reduce 7.42% | 76,423 | $66.63 | $5,092,064 | ↗ ◎ |
| ALGT — Allegiant Travel Co | 0.05% | 34,186 | $117.60 | $4,020,274 | ↗ ◎ | |
| FPAS — Fpa Short Duration Govt Etf | 0.04% | New | 146,775 | $24.70 | $3,626,018 | ↗ ◎ |
| PDLB — Ponce Financial Group Inc | 0.04% | 181,562 | $19.94 | $3,620,346 | ↗ ◎ | |
| RSVR — Reservoir Media Inc | 0.04% | 308,747 | $9.89 | $3,053,508 | ↗ ◎ | |
| PBFS — Pioneer Bancorp Inc/ny | 0.04% | 166,974 | $17.07 | $2,850,246 | ↗ ◎ | |
| ORION S.A. | 0.04% | 417,388 | $6.63 | $2,767,282 | ||
| WLFC — Willis Lease Finance Corp | 0.03% | New | 11,443 | $228.80 | $2,618,158 | ↗ ◎ |
| NATL — Ncr Atleos Corp | 0.03% | Reduce 54.90% | 50,033 | $43.41 | $2,171,933 | ↗ ◎ |
| PARR — Par Pacific Holdings Inc | 0.02% | Reduce 27.35% | 23,720 | $56.08 | $1,330,218 | ↗ ◎ |
| ASLE — Aersale Corp | 0.02% | 208,726 | $6.32 | $1,319,148 | ↗ ◎ | |
| SCCO — Southern Copper Corp | 0.02% | Add 0.99% | 7,126 | $174.26 | $1,241,777 | ↗ ◎ |
| NFLX — Netflix Inc | 0.01% | 16,400 | $71.40 | $1,170,960 | ↗ ◎ | |
| CSL — Carlisle Cos Inc | 0.01% | 2,632 | $362.75 | $954,758 | ↗ ◎ | |
| UPWK — Upwork Inc | 0.01% | 57,081 | $8.36 | $477,197 | ↗ ◎ | |
| BIDU — Baidu Inc - Spon Adr | 0.01% | 3,421 | $114.29 | $390,986 | ↗ ◎ | |
| UNIT — Uniti Group Inc | 0.00% | 25,235 | $11.47 | $289,445 | ↗ ◎ | |
| HYBB — Ishares Bb Rated Corp Bond | 0.00% | Add 2524.65% | 3,727 | $46.77 | $174,312 | ↗ ◎ |
| DEO — Diageo Plc-Sponsored Adr | 0.00% | 1 | $80.00 | $80 | ↗ ◎ |