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FPA Capital Fund | FPPTX

Mutual Fund
FPA Capital
Last update 2021-01-19 44 Stocks (34 new)
Value $143.00 Mil Turnover 64 %
Countries:
Portfolio Report

FPA Capital Fund Profile

FPA Capital Fund, Inc. (FPPTX) seeks long-term growth through investing primarily in carefully selected common stocks and select fixed income securities. -Fundamental bottom-up, deep value stock picking with economic and industry point of view -Capitalize on best ideas with concentrated portfolios -Focus on long term, turnover averaging less than 20% over 20 years

FPA Capital Fund Investing Philosophy

FPA Capital Fund primarily invests in the stocks of smaller companies. It selects stocks based on specific fundamental criteria: strong balance sheets, free cash flow, an understandable and successful business strategy under capable management, and unique business characteristics. The fund's purchases are concentrated in companies with relatively low Price/Normalized Earnings, low Price/Pretax Cash flow, low Price/Book Value, low Price/Replacement Value and low Market Cap/Total Revenues. The fund looks for companies with a track record of high returns on equity, and a long history. It sells stocks when the basis for investment has been revised, the stock is selling at a significant premium P/E to the market, profitability recovery has been attained, a management disappointment without expectation of recovery has occurred, or a superior alternative value has presented itself. The fund's portfolio generally holds 25-45 equities and its investment outlook is typically 3-5 years.

FPA Capital Fund's Portfolio

FPA Capital Fund Current Holdings

Add To Portfolio
Ticker
Company
Shares
Value ($1000)
Shares Change %
Weighting %
Trade Impact %
% of Shares outstanding
3M Change %
YTD Change %
Market Cap $Mil
Industry
OMI
Owens & Minor Inc
86,472
2339.07
New Holding
1.64
+1.64%
0.11
+0.73%
+4.90%
1082.226
Medical Distribution
FSTR
L.B. Foster Co
62,348
938.34
New Holding
0.66
+0.66%
0.58
+32.34%
-2.25%
284.289
Transportation
RLI
RLI Corp
31,542
3285.1
New Holding
2.3
+2.30%
0.07
+2.88%
-5.22%
7154.563
Insurance
DCO
Ducommun Inc
27,095
1455
New Holding
1.02
+1.02%
0.23
+0.06%
-1.01%
935.162
Aerospace & Defense
VSH
Vishay Intertechnology Inc
147,569
3056.15
New Holding
2.14
+2.14%
0.1
-5.20%
-1.24%
2269.176
Semiconductors
SCHL
Scholastic Corp
78,697
1967.43
New Holding
1.38
+1.38%
0.23
-22.14%
-3.84%
567.924
Media - Diversified
TRIP
TripAdvisor Inc
25,406
731.19
New Holding
0.51
+0.51%
0.02
+1.25%
-1.22%
2044.754
Travel & Leisure
MATV
Schweitzer-Mauduit International Inc
138,445
5566.87
New Holding
3.89
+3.89%
0.44
-37.73%
-9.04%
549.063
Chemicals
FN
Fabrinet
47,416
3679.01
New Holding
2.57
+2.57%
0.13
-7.18%
+3.42%
8262.732
Hardware
HMN
Horace Mann Educators Corp
140,098
5889.72
New Holding
4.12
+4.12%
0.34
+9.75%
-4.03%
1544.728
Insurance
ALTM
Livent Corp
191,133
1496.65
New Holding
1.05
+1.05%
0.05
+35.02%
+11.60%
6151.264
Chemicals
SNX
TD Synnex Corp
35,731
2909.93
New Holding
2.04
+2.04%
0.04
+0.69%
+2.98%
10299.906
Hardware
MSM
MSC Industrial Direct Co Inc
61,324
5175.13
New Holding
3.62
+3.62%
0.11
+3.78%
+10.38%
4684.339
Industrial Distribution
SJI
South Jersey Industries Inc
124,757
2688.51
New Holding
1.88
+1.88%
0.1
+5.72%
+1.58%
4419.754
Utilities - Regulated
SYNA
Synaptics Inc
50,511
4869.26
New Holding
3.41
+3.41%
0.13
+8.86%
+3.30%
3196.263
Semiconductors
VSEC
VSE Corp
7,540
290.22
New Holding
0.2
+0.20%
0.06
+5.46%
-4.60%
1858.487
Aerospace & Defense
SFBS
Servisfirst Bancshares Inc
52,900
2131.34
New Holding
1.49
+1.49%
0.1
+8.30%
-0.86%
4582.674
Banks
NJR
New Jersey Resources Corp
83,976
2985.35
New Holding
2.09
+2.09%
0.09
+1.48%
-2.60%
4594.365
Utilities - Regulated
LFUS
Littelfuse Inc
3,813
971.02
New Holding
0.68
+0.68%
0.02
-7.96%
+0.03%
5818.918
Hardware
GGG
Graco Inc
43,268
3130.44
New Holding
2.19
+2.19%
0.03
-3.85%
-3.07%
13795.854
Industrial Products
100/Page
Total 58

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