0001145549-23-063516.txt : 20231025 0001145549-23-063516.hdr.sgml : 20231025 20231025172503 ACCESSION NUMBER: 0001145549-23-063516 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20230831 FILED AS OF DATE: 20231025 DATE AS OF CHANGE: 20231025 PERIOD START: 20240531 FILER: COMPANY DATA: COMPANY CONFORMED NAME: FPA FUNDS TRUST CENTRAL INDEX KEY: 0000924727 IRS NUMBER: 043236699 STATE OF INCORPORATION: DE FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-08544 FILM NUMBER: 231346903 BUSINESS ADDRESS: STREET 1: 11601 WILSHIRE BOULEVARD STREET 2: SUITE 1200 CITY: LOS ANGELES STATE: CA ZIP: 90025 BUSINESS PHONE: 310-473-0225 MAIL ADDRESS: STREET 1: 11601 WILSHIRE BOULEVARD STREET 2: SUITE 1200 CITY: LOS ANGELES STATE: CA ZIP: 90025 FORMER COMPANY: FORMER CONFORMED NAME: UAM FUNDS TRUST DATE OF NAME CHANGE: 19951101 FORMER COMPANY: FORMER CONFORMED NAME: REGIS FUND II DATE OF NAME CHANGE: 19940606 0000924727 S000080695 FPA Queens Road Value Fund C000243218 FPA Queens Road Value Fund QRVLX NPORT-P 1 primary_doc.xml NPORT-P false 0000924727 XXXXXXXX S000080695 C000243218 FPA Funds Trust 811-08544 0000924727 549300H7BXP5EUEHOJ64 11601 Wilshire Boulevard Suite 1200 Los Angeles 90025 310-473-0225 FPA Queens Road Value Fund S000080695 5493000N6RWI5KGSNJ23 2024-05-31 2023-08-31 N 34303206.540000000000 147260.270000000000 34155946.270000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 N Allegion plc 984500560CAC2E6FB757 Allegion plc G0176J109 3400 NS USD 386954 1.1329037613 Long EC CORP IE N 1 N N N Ameriprise Financial Inc 6ZLKQF7QB6JAEKQS5388 Ameriprise Financial, Inc. 03076C106 6000 NS USD 2025480 5.9300948186 Long EC CORP US N 1 N N N American Express Co R4PP93JZOLY261QX3811 American Express Co. 025816109 11000 NS USD 1737890 5.0881037997 Long EC CORP US N 1 N N N Bank of New York Mellon Corp/T WFLLPEPC7FZXENRZV188 Bank of New York Mellon Corp. 064058100 14500 NS USD 650615 1.9048367006 Long EC CORP US N 1 N N N Walt Disney Co/The 549300GZKULIZ0WOW665 Walt Disney Co. 254687106 5151 NS USD 431035.68 1.2619638074 Long EC CORP US N 1 N N N Elevance Health Inc 8MYN82XMYQH89CTMTH67 Elevance Health, Inc. 036752103 4500 NS USD 1989045 5.8234223238 Long EC CORP US N 1 N N N Eaton Corp PLC 549300VDIGTMXUNT7H71 Eaton Corp. PLC G29183103 13000 NS USD 2994810 8.7680486915 Long EC CORP US N 1 N N N Fiserv Inc GI7UBEJLXYLGR2C7GV83 Fiserv, Inc. 337738108 12000 NS USD 1456680 4.2647918125 Long EC CORP US N 1 N N N General Dynamics Corp 9C1X8XOOTYY2FNYTVH06 General Dynamics Corp. 369550108 8000 NS USD 1813120 5.3083582743 Long EC CORP US N 1 N N N Intel Corp KNX4USFCNGPY45LOCE31 Intel Corp. 458140100 26000 NS USD 913640 2.6749075923 Long EC CORP US N 1 N N N Ingersoll Rand Inc 5299004C02FMZCUOIR50 Ingersoll Rand, Inc. 45687V106 9000 NS USD 626490 1.8342047825 Long EC CORP US N 1 N N N JPMorgan Chase & Co 8I5DZWZKVSZI1NUHU748 JPMorgan Chase & Co. 46625H100 9000 NS USD 1316970 3.8557561532 Long EC CORP US N 1 N N N McDonald's Corp UE2136O97NLB5BYP9H04 McDonald's Corp. 580135101 4225 NS USD 1187858.75 3.4777509620 Long EC CORP US N 1 N N N Mondelez International Inc 549300DV9GIB88LZ5P30 Mondelez International, Inc. - Class A 609207105 9000 NS USD 641340 1.8776818389 Long EC CORP US N 1 N N N MSILF Treasury Portfolio 549300D1XR6GP7EZ0T47 MSILF Treasury Portfolio - Class Institutional USD 61747C582 191588.62 PA USD 191588.62 0.5609231801 Long STIV RF US N 1 N N N 3M Co LUZQVYP4VS22CLWDAR65 3M Co. 88579Y101 3600 NS USD 384012 1.1242903270 Long EC CORP US N 1 N N N Merck & Co Inc 4YV9Y5M8S0BRK1RP0397 Merck & Co., Inc. 58933Y105 13820 NS USD 1506103.60 4.4094916536 Long EC CORP US N 1 N N N Oracle Corp 1Z4GXXU7ZHVWFCD8TV52 Oracle Corp. 68389X105 20395 NS USD 2455354.05 7.1886576662 Long EC CORP US N 1 N N N Pfizer Inc 765LHXWGK1KXCLTFYQ30 Pfizer, Inc. 717081103 31000 NS USD 1096780 3.2110953429 Long EC CORP US N 1 N N N Prudential Financial Inc 5PRBRS5FEH7NREC8OR45 Prudential Financial, Inc. 744320102 10000 NS USD 946700 2.7716989379 Long EC CORP US N 1 N N N RTX Corp I07WOS4YJ0N7YRFE7309 RTX Corp. 75513E101 6600 NS USD 567864 1.6625626341 Long EC CORP US N 1 N N N T Rowe Price Group Inc 549300SIV6FPS9Y7IH33 T. Rowe Price Group, Inc. 74144T108 7900 NS USD 886617 2.5957910608 Long EC CORP US N 1 N N N Trane Technologies PLC 549300BURLR9SLYY2705 Trane Technologies PLC G8994E103 10200 NS USD 2093652 6.1296852485 Long EC CORP IE N 1 N N N Union Pacific Corp 549300LMMRSZZCZ8CL11 Union Pacific Corp. 907818108 3000 NS USD 661710 1.9373200636 Long EC CORP US N 1 N N N Berkshire Hathaway Inc 5493000C01ZX7D35SD85 Berkshire Hathaway, Inc. - Class A 084670108 3 NS USD 1640175.03 4.8020190014 Long EC CORP US N 1 N N N Clorox Co/The 54930044KVSC06Z79I06 Clorox Co. 189054109 1200 NS USD 187740 0.5496553909 Long EC CORP US N 1 N N N Cisco Systems Inc 549300LKFJ962MZ46593 Cisco Systems, Inc. 17275R102 30700 NS USD 1760645 5.1547247032 Long EC CORP US N 1 N N N Danaher Corp S4BKK9OTCEWQ3YHPFM11 Danaher Corp. 235851102 6300 NS USD 1669500 4.8878751208 Long EC CORP US N 1 N N N 2023-09-07 FPA Funds Trust /s/ Rita Dam Rita Dam Treasurer XXXX NPORT-EX 2 qrvfpartf.htm PART F
FPA Queens Road Value Fund
SCHEDULE OF INVESTMENTS
As of August 31, 2023 (Unaudited)

Number
of Shares
  Value
  COMMON STOCKS — 99.0%  
  DIVERSIFIED INDUSTRIALS — 9.8%  
3,600 3M Co. $384,012
13,000 Eaton Corp. PLC1 2,994,810
    3,378,822
  ASSET MANAGEMENT — 8.5%  
6,000 Ameriprise Financial, Inc. 2,025,480
7,900 T. Rowe Price Group, Inc. 886,617
    2,912,097
  BIOTECH & PHARMA — 7.6%  
13,820 Merck & Co., Inc. 1,506,103
31,000 Pfizer, Inc. 1,096,780
    2,602,883
  INSURANCE — 7.5%  
3 Berkshire Hathaway, Inc. - Class A2 1,640,175
10,000 Prudential Financial, Inc. 946,700
    2,586,875
  ELECTRICAL EQUIPMENT — 7.2%  
3,400 Allegion PLC1 386,954
10,200 Trane Technologies PLC1 2,093,652
    2,480,606
  SOFTWARE — 7.1%  
20,395 Oracle Corp. 2,455,354
  AEROSPACE & DEFENSE — 6.9%  
8,000 General Dynamics Corp. 1,813,120
6,600 RTX Corp. 567,864
    2,380,984
  HEALTH CARE FACILITIES & SVCS — 5.8%  
4,500 Elevance Health, Inc. 1,989,045
  TECHNOLOGY HARDWARE — 5.1%  
30,700 Cisco Systems, Inc. 1,760,645
  SPECIALTY FINANCE — 5.1%  
11,000 American Express Co. 1,737,890
  MEDICAL EQUIPMENT & DEVICES — 4.9%  
6,300 Danaher Corp. 1,669,500

FPA Queens Road Value Fund
SCHEDULE OF INVESTMENTS - Continued
As of August 31, 2023 (Unaudited)

Number
of Shares
  Value
  COMMON STOCKS (Continued)  
  TECHNOLOGY SERVICES — 4.2%  
12,000 Fiserv, Inc.2 $1,456,680
  BANKING — 3.8%  
9,000 JPMorgan Chase & Co. 1,316,970
  LEISURE FACILITIES & SERVICES — 3.5%  
4,225 McDonald's Corp. 1,187,859
  SEMICONDUCTORS — 2.7%  
26,000 Intel Corp. 913,640
  TRANSPORTATION & LOGISTICS — 1.9%  
3,000 Union Pacific Corp. 661,710
  INSTITUTIONAL FINANCIAL SVCS — 1.9%  
14,500 Bank of New York Mellon Corp. 650,615
  FOOD — 1.9%  
9,000 Mondelez International, Inc. - Class A 641,340
  MACHINERY — 1.8%  
9,000 Ingersoll Rand, Inc. 626,490
  ENTERTAINMENT CONTENT — 1.3%  
5,151 Walt Disney Co.2 431,036
  HOUSEHOLD PRODUCTS — 0.5%  
1,200 Clorox Co. 187,740
  TOTAL COMMON STOCKS  
  (Cost $11,063,712) 34,028,781
  SHORT-TERM INVESTMENTS — 0.6%  
  MONEY MARKET INVESTMENTS — 0.6%  
191,589 Morgan Stanley Institutional Liquidity Funds - Treasury Portfolio, 5.14%3 191,589
  TOTAL SHORT-TERM INVESTMENTS  
  (Cost $191,589) 191,589
  TOTAL INVESTMENTS — 99.6%  
  (Cost $11,255,301) 34,220,370
  Other Assets in Excess of Liabilities — 0.4% 153,867
  TOTAL NET ASSETS — 100.0% $34,374,237
    

FPA Queens Road Value Fund
SCHEDULE OF INVESTMENTS - Continued
As of August 31, 2023 (Unaudited)

PLC – Public Limited Company
    
1Foreign security denominated in U.S. dollars.
2Non-income producing security.
3The rate is the annualized seven-day yield at period end.