0001752724-20-250091.txt : 20201127 0001752724-20-250091.hdr.sgml : 20201127 20201127092656 ACCESSION NUMBER: 0001752724-20-250091 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20200930 FILED AS OF DATE: 20201127 PERIOD START: 20201231 FILER: COMPANY DATA: COMPANY CONFORMED NAME: FPA FUNDS TRUST CENTRAL INDEX KEY: 0000924727 IRS NUMBER: 043236699 STATE OF INCORPORATION: MA FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-08544 FILM NUMBER: 201353101 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 S000064044 FPA Flexible Fixed Income Fund C000207154 FPA Flexible Fixed Income Fund NPORT-P 1 primary_doc.xml NPORT-P false 0000924727 XXXXXXXX S000064044 C000207154 FPA FUNDS TRUST 811-08544 0000924727 549300H7BXP5EUEHOJ64 11601 WILSHIRE BOULEVARD SUITE 1200 LOS ANGELES 90025 310-473-0225 FPA Flexible Fixed Income Fund S000064044 549300DRXGWEWOEBJV78 2020-12-31 2020-09-30 N 288239380.72 17100860.89 271138519.83 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 16305321.63000000 0.00000000 0.00000000 873.50000000 USD N Ivy Hill Middle Market Credit Fund Ltd 549300Y38WO7W7TJ7B80 Ivy Hill Middle Market Credit Fund X Ltd 46603LAN7 227000.00000000 PA USD 218960.57000000 0.080755980425 Long ABS-CBDO CORP KY N 2 2030-07-18 Floating 1.52000000 N N N N N N John Deere Owner Trust N/A John Deere Owner Trust 2019-A 47789JAE6 532000.00000000 PA USD 556748.85000000 0.205337423228 Long ABS-O CORP US N 2 2026-01-15 Fixed 3.00000000 N N N N N N PFS Financing Corp. 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Notes 64829TAA9 649112.54000000 PA USD 649280.01000000 0.239464318978 Long ABS-O CORP US N 2 2023-05-25 Fixed 3.61000000 N N N N N N CIM Trust N/A CIM Trust 2018-R3 12553WAA3 666659.96000000 PA USD 704545.85000000 0.259847199299 Long ABS-MBS CORP US N 2 2057-12-25 Variable 5.00000000 N N N N N N Enterprise Fleet Financing LLC N/A Enterprise Fleet Financing 2018-3 LLC 29373GAB8 273623.65000000 PA USD 277861.67000000 0.102479599790 Long ABS-O CORP US N 2 2024-05-20 Fixed 3.38000000 N N N N N N GREAT AMERICA LEASING RECEIVABLES N/A GreatAmerica Leasing Receivables Funding LLC Series 2019-1 39154TAY4 252000.00000000 PA USD 258737.98000000 0.095426492761 Long ABS-O CORP US N 2 2025-02-18 Fixed 3.37000000 N N N N N N Government National Mortgage Association 549300M8ZYFG0OCMTT87 Government National Mortgage Association 38379KAW8 267744.76000000 PA USD 269387.24000000 0.099354101427 Long ABS-MBS USGA US N 2 2042-11-16 Fixed 2.60000000 N N N N N N Fortress Credit Opportunities CLO LP 2549006W3UQV900EI619 Fortress Credit Opportunities VII CLO Ltd 34960YAS1 329000.00000000 PA USD 322770.39000000 0.119042617110 Long ABS-CBDO CORP KY N 2 2028-12-15 Floating 2.70000000 N N N N N N ABG Intermediate Holdings 2 LLC 54930020NXD0RJB64985 ABG Intermediate Holdings 2 LLC 2020 Incremental Term Loan 00076VAV2 584000.00000000 PA USD 578160.00000000 0.213234180212 Long LON CORP US Y 2 2024-09-27 Variable 6.25000000 N N N N N N Windstream Services, LLC 549300L3SXBFJVGRCF66 Windstream Services, LLC Term Loan B7 97381HAT4 283587.54000000 PA USD 170152.52000000 0.062754831038 Long LON CORP US Y 2 2024-02-17 Variable 7.50000000 N N N N N N Consolidated Communications, Inc. 549300WW675Y48HDVX34 Consolidated Communications, Inc. 2016 Term Loan B 20903EAX3 946379.90000000 PA USD 934947.63000000 0.344822871566 Long LON CORP US Y 2 2023-10-04 Variable 4.00000000 N N N N N N FANNIEMAE STRIP B1V7KEBTPIMZEU4LTD58 Fannie Mae Interest Strip 31364HP50 259608.24000000 PA USD 248196.95000000 0.091538800962 Long ABS-MBS USGSE US N 2 2027-07-25 None 0.00000000 N N N N N N Toyota Auto Receivables Owner Trust N/A Toyota Auto Receivables 2019-A Owner Trust 89239AAE3 252000.00000000 PA USD 265101.05000000 0.097773289522 Long ABS-O CORP US N 2 2024-05-15 Fixed 3.00000000 N N N N N N Dell Equipment Finance Trust 549300CHGEQ6XHCQGX20 Dell Equipment Finance Trust 2019-1 24704BAC8 154792.32000000 PA USD 155339.51000000 0.057291568198 Long ABS-O CORP US N 2 2021-08-23 Fixed 2.78000000 N N N N N N GS Mortgage Securities Trust 549300L45M7638EL0H21 GS Mortgage Securities Trust 2015-GC30 36250GAQ8 465394.31000000 PA USD 482553.86000000 0.177973185183 Long ABS-MBS CORP US N 2 2050-05-10 Fixed 3.12000000 N N N N N N Volkswagen Auto Lease Trust N/A Volkswagen Auto Lease Trust 2019-A 92867XAE6 259000.00000000 PA USD 264206.44000000 0.097443343780 Long ABS-O CORP US N 2 2024-08-20 Fixed 2.02000000 N N N N N N STONEMOR PART/CORNER FAM N/A StoneMor Partners LP / Cornerstone Family Services of West Virginia Subsidiary 86184VAD0 1763891.00000000 PA USD 1741842.36000000 0.642417890712 Long DBT CORP US N 2 2024-06-30 Fixed 11.50000000 N N N N N N World Omni Automobile Lease Securitization Trust N/A World Omni Automobile Lease Securitization Trust 2019-A 98162XAE5 529000.00000000 PA USD 544049.36000000 0.200653658632 Long ABS-O CORP US N 2 2024-07-15 Fixed 3.24000000 N N N N N N Fannie Mae N/A Fannie Mae REMICS 3136A6FU3 233083.74000000 PA USD 235336.19000000 0.086795557542 Long ABS-MBS USGSE US N 2 2027-05-25 Fixed 1.50000000 N N N N N N CNH Equipment Trust N/A CNH Equipment Trust 2020-A 12597PAB4 683000.00000000 PA USD 686590.60000000 0.253225030670 Long ABS-O CORP US N 2 2023-07-17 Fixed 1.08000000 N N N N N N Ally Auto Receivables Trust N/A Ally Auto Receivables Trust 2019-1 02004WAD3 252000.00000000 PA USD 264353.07000000 0.097497423149 Long ABS-O CORP US N 2 2024-04-15 Fixed 3.02000000 N N N N N N Nationstar HECM Loan Trust N/A Nationstar HECM Loan Trust 2019-2 63862UAB4 130000.00000000 PA USD 129711.40000000 0.047839532384 Long ABS-MBS CORP US N 3 2029-11-26 Variable 2.36000000 N N N N N N American Credit Acceptance Receivables Trust N/A American Credit Acceptance Receivables Trust 2020-2 02529WAB3 340000.00000000 PA USD 351977.66000000 0.129814701437 Long ABS-O CORP US N 2 2024-09-13 Fixed 2.48000000 N N N N N N CarMax Auto Owner Trust N/A Carmax Auto Owner Trust 2019-3 14315PAD7 919000.00000000 PA USD 944086.03000000 0.348193252139 Long ABS-O CORP US N 2 2024-08-15 Fixed 2.18000000 N N N N N N ABG Intermediate Holdings 2 LLC 54930020NXD0RJB64985 ABG Intermediate Holdings 2 LLC 2017 1st Lien Add-On Term Loan 00076VAQ3 963302.50000000 PA USD 941628.19000000 0.347286763455 Long LON CORP US Y 2 2024-09-27 Variable 3.72000000 N N N N N N Cerberus N/A Cerberus Loan Funding XXVIII LP 15673EAD5 2236000.00000000 PA USD 2235997.76000000 0.824669899873 Long ABS-CBDO CORP KY N 2 2031-10-15 Variable 0.00000000 N N N N N N JP Morgan Chase Commercial Mortgage Sec Trust N/A J.P. Morgan Chase Commercial Mortgage Securities Trust 2016-WIKI 46646JAA9 602000.00000000 PA USD 598358.14000000 0.220683560703 Long ABS-MBS CORP US N 2 2031-10-05 Fixed 2.80000000 N N N N N N J.C. Penney Corporation, Inc. 8TDNUQ07MEFMWW1VHP39 J.C. Penney Corporation, Inc. 2016 Term Loan B 46611NAJ2 480180.80000000 PA USD 147655.60000000 0.054457625605 Long LON CORP US Y 2 2023-06-23 Variable 5.25000000 N N N N N N Citigroup Commercial Mortgage Trust N/A Citigroup Commercial Mortgage Trust 2013-GC11 17320DAN8 800000.00000000 PA USD 837825.04000000 0.309002586768 Long ABS-MBS CORP US N 2 2046-04-10 Fixed 3.42000000 N N N N N N Wellfleet CLO Ltd 254900N8RLNFSYP97206 Wellfleet CLO 2016-1 Ltd 94949RAS6 337888.94000000 PA USD 334538.77000000 0.123382974211 Long ABS-CBDO CORP KY N 2 2028-04-20 Floating 1.18000000 N N N N N N 2020-10-28 FPA FUNDS TRUST Lake Setzler Lake Setzler Treasurer XXXX NPORT-EX 2 NPORT_352089966092978.htm

 

 

FPA FLEXIBLE FIXED INCOME FUND 

Portfolio of investments

September 30, 2020 

(Unaudited)

 

COMMON STOCKS  Shares or
Principal
Amount
   Fair Value 
ENERGY — 0.2%          
PHI Group, Inc.(a)(b)(c)(d)   23,814   $172,652 
PHI Group, Inc., Restricted(a)(b)(c)(d)   51,478    373,215 
        $545,867 
           
TOTAL COMMON STOCKS — 0.2% (Cost $615,785)       $545,867 
           
BONDS & DEBENTURES          
           
COMMERCIAL MORTGAGE-BACKED SECURITIES — 12.6%          
AGENCY — 1.2%          
Federal Home Loan Mortgage Corp. K042 A1 — 2.267% 6/25/2024  $210,217   $217,303 
Federal Home Loan Mortgage Corp. K024 A2 — 2.573% 9/25/2022   93,000    96,196 
Government National Mortgage Association 2014-169 A — 2.600% 11/16/2042   630,939    638,570 
Government National Mortgage Association 2015-21 A — 2.600% 11/16/2042   267,745    269,387 
Government National Mortgage Association 2014-148 A — 2.650% 11/16/2043   879,346    891,766 
Government National Mortgage Association 2014-138 A — 2.700% 1/16/2044   66,721    67,469 
Government National Mortgage Association 2010-161 B — 3.000% 7/16/2040   17,190    17,245 
Government National Mortgage Association 2019-39 A — 3.100% 5/16/2059   1,035,295    1,067,300 
        $3,265,236 
AGENCY STRIPPED — 0.9%          
Government National Mortgage Association 2015-19 IO — 0.718% 1/16/2057(e)  $3,292,308   $130,631 
Government National Mortgage Association 2015-7 IO — 0.722% 1/16/2057(e)   3,576,113    146,488 
Government National Mortgage Association 2020-42 IO — 1.056% 3/16/2062(e)   5,737,594    505,295 
Government National Mortgage Association 2020-75, VRN — 1.165% 2/16/2062(e)   9,470,636    837,252 
Government National Mortgage Association 2020-71, VRN — 1.206% 1/16/2062(e)   4,718,020    432,105 
Government National Mortgage Association 2020-43, VRN — 1.357% 11/16/2061(e)   3,823,159    368,682 
        $2,420,453 
NON-AGENCY — 10.5%          
A10 Bridge Asset Financing LLC 2020-C A — 2.021% 8/15/2040(f)  $909,000   $909,025 
Citigroup Commercial Mortgage Trust 2012-GC8 AAB — 2.608% 9/10/2045   471,253    477,417 
Citigroup Commercial Mortgage Trust 2013-GC11 AAB — 2.690% 4/10/2046   56,522    57,538 
Citigroup Commercial Mortgage Trust 2013-GC11 A3 — 2.815% 4/10/2046   744,604    769,598 
Citigroup Commercial Mortgage Trust 2012-GC8 A4 — 3.024% 9/10/2045   301,190    309,383 
Citigroup Commercial Mortgage Trust 2013-GC11 A4 — 3.093% 4/10/2046   90,000    94,499 
Citigroup Commercial Mortgage Trust 2013-GC11 AS — 3.422% 4/10/2046   800,000    837,825 
COMM 2013-CCRE7 Mortgage Trust 2013-CR7 A4 — 3.213% 3/10/2046   1,153,226    1,206,293 
COMM Mortgage Trust 2012-CR5 A3 — 2.540% 12/10/2045   874,342    896,061 
COMM Mortgage Trust 2013-LC6 A4 — 2.941% 1/10/2046   1,359,220    1,410,797 
COMM Mortgage Trust 2012-CR2 A4 — 3.147% 8/15/2045   297,000    306,195 
COMM Mortgage Trust 2015-CR22 A3 — 3.207% 3/10/2048   179,000    183,316 
CoreVest American Finance Trust 2018-1 A — 3.804% 6/15/2051(f)   596,847    625,197 
DBUBS Mortgage Trust 2011-LC3A AM, VRN — 5.513% 8/10/2044(e)(f)   500,000    508,237 
GS Mortgage Securities Corp. II 2015-GC30 AAB — 3.120% 5/10/2050   465,394    482,554 
GS Mortgage Securities Corp. Trust 2012-ALOH A — 3.551% 4/10/2034(f)   988,000    991,478 
Hawaii Hotel Trust I 2019-MAUI C, 1M USD LIBOR + 1.650%, FRN — 1.802% 5/15/2038(e)(f)   1,384,000    1,259,491 

 

 

 

FPA FLEXIBLE FIXED INCOME FUND 

Portfolio of investments (Continued) 

September 30, 2020 

(Unaudited)

 

BONDS & DEBENTURES - Continued  Principal
Amount
   Fair Value 
JP Morgan Chase Commercial Mortgage Securities Trust 2016-WIKI A — 2.798% 10/5/2031(f)  $602,000   $598,358 
JP Morgan Chase Commercial Mortgage Securities Trust 2012-C8 A3 — 2.829% 10/15/2045   468,258    482,313 
JP Morgan Chase Commercial Mortgage Securities Trust 2012-C8 AS — 3.424% 10/15/2045(f)   687,000    706,633 
JP Morgan Chase Commercial Mortgage Securities Trust C 2012-HSBC A — 3.093% 7/5/2032(f)   923,772    942,350 
JPMBB Commercial Mortgage Securities Trust 2015-C30 ASB — 3.559% 7/15/2048   907,835    961,505 
Morgan Stanley Bank of America Merrill Lynch Trust 2012-C6 A4 — 2.858% 11/15/2045   226,723    232,528 
RETL P 2019-RVP B, 1M USD LIBOR + 1.55%, FRN — 1.702% 3/15/2036(e)(f)   735,000    678,090 
UBS Commercial Mortgage Trust 2012-C1 AAB — 3.002% 5/10/2045   59,706    60,228 
UBS Commercial Mortgage Trust 2012-C1 A3 — 3.400% 5/10/2045   2,093,948    2,146,482 
UBS-Barclays Commercial Mortgage Trust 2012-C4 A5 — 2.850% 12/10/2045   1,697,000    1,759,194 
VCC Trust 2020-MC1 A, VRN — 4.500% 6/25/2045(e)(f)   845,354    833,216 
VNDO E Mortgage Trust 2012-6AVE A — 2.996% 11/15/2030(f)   109,000    111,804 
VNDO E Mortgage Trust 2012-6AVE B — 3.298% 11/15/2030(f)   1,250,000    1,286,961 
Wells Fargo Commercial Mortgage Trust 2012-LC5 A3 — 2.918% 10/15/2045   1,179,532    1,217,544 
Wells Fargo Commercial Mortgage Trust 2014-LC18 ASB — 3.244% 12/15/2047   852,032    894,991 
WFRBS Commercial Mortgage Trust 2012-C8 AFL, 1M USD LIBOR + 1.000%, FRN — 1.151% 8/15/2045(e)(f)   824,426    825,528 
WFRBS Commercial Mortgage Trust 2013-C11 A3 — 2.695% 3/15/2045   163,402    167,823 
WFRBS Commercial Mortgage Trust 2012-C9 A3 — 2.870% 11/15/2045   1,345,775    1,388,822 
WFRBS Commercial Mortgage Trust 2012-C8 A3 — 3.001% 8/15/2045   1,254,000    1,283,849 
WFRBS Commercial Mortgage Trust 2013-C11 A4 — 3.037% 3/15/2045   300,000    310,241 
WFRBS Commercial Mortgage Trust 2013-C11 A5 — 3.071% 3/15/2045   246,000    255,504 
        $28,468,868 
           
TOTAL COMMERICAL MORTGAGE-BACKED SECURITIES (Cost $33,882,000)       $34,154,557 
           
RESIDENTIAL MORTGAGE-BACKED SECURITIES — 7.4%          
AGENCY COLLATERALIZED MORTGAGE OBLIGATION — 1.5%          
Federal Home Loan Mortgage Corp. 4336 WV — 3.000% 10/15/2025  $596,132   $612,658 
Federal Home Loan Mortgage Corp. 4235 QE — 3.000% 8/15/2031   170,043    176,379 
Federal Home Loan Mortgage Corp. 4162 P — 3.000% 2/15/2033   607,086    636,321 
Federal National Mortgage Association 2012-47 HA — 1.500% 5/25/2027   233,084    235,336 
Federal National Mortgage Association 2013-35 QB — 1.750% 2/25/2043   1,048,918    1,067,875 
Federal National Mortgage Association 4220 EH — 2.500% 6/15/2028   191,938    197,154 
Federal National Mortgage Association 4387 VA — 3.000% 2/15/2026   786,689    812,963 
Federal National Mortgage Association 2012-144 PD — 3.500% 4/25/2042   154,333    164,025 
        $3,902,711 
AGENCY POOL FIXED RATE — 0.1%          
Federal National Mortgage Association AL1576 — 4.000% 3/1/2027  $244,634   $261,601 
Federal National Mortgage Association FM1102 — 4.000% 3/1/2031   101,766    107,997 
        $369,598 

 

 

 

FPA FLEXIBLE FIXED INCOME FUND 

Portfolio of investments (Continued) 

September 30, 2020 

(Unaudited)

 

BONDS & DEBENTURES - Continued  Principal
Amount
   Fair Value 
AGENCY STRIPPED — 0.1%          
Federal National Mortgage Association 284 1 — 0.000% 7/25/2027(g)  $259,608   $248,197 
           
NON-AGENCY — 0.6%          
PRPM 2020 -3 LLC — 2.857% 9/25/2025(b)(f)  $1,705,000   $1,704,971 
           
NON-AGENCY COLLATERALIZED MORTGAGE OBLIGATION — 5.1%          
Bravo Residential Funding Trust 2019-1 A1C — 3.500% 3/25/2058(f)  $761,802   $782,838 
CIM Trust 2017-7 A, VRN — 3.000% 4/25/2057(e)(f)   110,707    113,851 
CIM Trust 2018-R3 A1, VRN — 5.000% 12/25/2057(e)(f)   666,660    704,546 
Finance of America HECM Buyout 2020-HB2 A, VRN — 1.710% 7/25/2030(e)(f)   1,560,909    1,563,787 
Finance of America HECM Buyout 2020-HB1 M1, VRN — 2.105% 2/25/2030(e)(f)   198,000    199,261 
Finance of America HECM Buyout 2019-AB1 A — 2.656% 12/27/2049(f)   423,722    423,557 
Nationstar HECM Loan Trust 2020-1A A1, VRN — 1.269% 9/25/2030(b)(e)(f)   2,416,000    2,416,000 
Nationstar HECM Loan Trust 2020-1A M1, VRN — 1.472% 9/25/2030(b)(e)(f)   673,000    673,000 
Nationstar HECM Loan Trust 2020-1A M2, VRN — 1.972% 9/25/2030(b)(e)(f)   602,000    602,000 
Nationstar HECM Loan Trust 2019-2A M1, VRN — 2.359% 11/26/2029(b)(e)(f)   130,000    129,711 
Nationstar HECM Loan Trust 2019-1A M1, VRN — 2.664% 6/25/2029(e)(f)   1,008,000    1,013,727 
RCO V Mortgage LLC 2020-1 A1 — 3.105% 9/25/2025(f)(h)   1,542,000    1,537,825 
Towd Point Mortgage Trust 2017-2 A1, VRN — 2.750% 4/25/2057(e)(f)   1,197,877    1,227,148 
Towd Point Mortgage Trust 2018-1 A1, VRN — 3.000% 1/25/2058(e)(f)   59,634    61,884 
Towd Point Mortgage Trust 2018-2 A1, VRN — 3.250% 3/25/2058(e)(f)   1,082,276    1,150,389 
Towd Point Mortgage Trust 2018-5 A1A, VRN — 3.250% 7/25/2058(e)(f)   134,770    140,880 
VCAT LLC 2020-NPL1 A1 — 3.671% 8/25/2050(f)(h)   1,088,283    1,088,173 
        $13,828,577 
           
TOTAL RESIDENTIAL MORTGAGE-BACKED SECURITIES (Cost $19,804,429)       $20,054,054 
           
ASSET-BACKED SECURITIES — 69.3%          
AUTO — 16.3%          
Ally Auto Receivables Trust 2019-1 A4 — 3.020% 4/15/2024  $252,000   $264,353 
American Credit Acceptance Receivables Trust 2020-3 C — 1.850% 6/15/2026(f)   1,033,000    1,038,363 
American Credit Acceptance Receivables Trust 2020-2 B — 2.480% 9/13/2024(f)   340,000    351,978 
CarMax Auto Owner Trust 2019-3 A3 — 2.180% 8/15/2024   919,000    944,086 
CarMax Auto Owner Trust 2017-3 C — 2.720% 5/15/2023   240,000    244,705 
CarMax Auto Owner Trust 2019-1 A4 — 3.260% 8/15/2024   200,000    211,917 
CarMax Auto Owner Trust 2018-3 A4 — 3.270% 3/15/2024   600,000    628,972 
CarMax Auto Owner Trust 2019-1 B — 3.450% 11/15/2024   107,000    112,690 
CarMax Auto Owner Trust 2018-4 B — 3.670% 5/15/2024   95,000    97,749 
DT Auto Owner Trust 2020-3A B — 0.910% 12/16/2024(f)   395,000    394,753 
DT Auto Owner Trust 2020-3A C — 1.470% 6/15/2026(f)   2,884,000    2,892,107 
DT Auto Owner Trust 2020-2A B — 2.080% 3/16/2026(f)   361,000    368,741 
Exeter Automobile Receivables Trust 2020-3A B — 0.790% 9/16/2024   565,000    564,430 
Exeter Automobile Receivables Trust 2020-3A C — 1.320% 7/15/2025   2,884,000    2,889,912 
Exeter Automobile Receivables Trust 2020-2A B — 2.080% 7/15/2024(f)   590,000    598,323 
Ford Credit Auto Lease Trust 2020-B C — 1.700% 2/15/2025   348,000    347,816 
Ford Credit Auto Lease Trust 2020-A A4 — 1.880% 5/15/2023   320,000    327,401 
Ford Credit Auto Lease Trust 2020-A B — 2.050% 6/15/2023   1,500,000    1,530,284 
Ford Credit Auto Lease Trust 2019-B B — 2.360% 1/15/2023   494,000    494,295 
Ford Credit Auto Owner Trust 2020-A A2 — 1.030% 10/15/2022   1,652,271    1,657,775 

 

 

 

FPA FLEXIBLE FIXED INCOME FUND 

Portfolio of investments (Continued) 

September 30, 2020 

(Unaudited)

 

BONDS & DEBENTURES - Continued  Principal
Amount
   Fair Value 
Ford Credit Auto Owner Trust 2019-A A4 — 2.850% 8/15/2024  $676,000   $710,989 
GM Financial Automobile Leasing Trust 2020-3 C — 1.110% 10/21/2024   1,000,000    999,963 
GM Financial Automobile Leasing Trust 2020-1 B — 1.840% 12/20/2023   255,000    257,504 
GM Financial Automobile Leasing Trust 2019-2 B — 2.890% 3/20/2023   1,000,000    1,018,924 
Honda Auto Receivables Owner Trust 2020-2 A2 — 0.740% 11/15/2022   247,000    247,664 
Honda Auto Receivables Owner Trust 2020-1 A3 — 1.610% 4/22/2024   1,007,000    1,030,679 
Honda Auto Receivables Owner Trust 2019-3 A3 — 1.780% 8/15/2023   523,000    532,375 
Honda Auto Receivables Owner Trust 2019-2 A4 — 2.540% 3/21/2025   1,000,000    1,043,760 
Honda Auto Receivables Owner Trust 2019-1 A4 — 2.900% 6/18/2024   355,000    369,785 
Honda Auto Receivables Owner Trust 2018-4 A4 — 3.300% 7/15/2025   155,000    161,993 
Hyundai Auto Lease Securitization Trust 2020-A A4 — 2.000% 12/15/2023(f)   778,000    797,898 
Hyundai Auto Lease Securitization Trust 2020-A B — 2.120% 5/15/2024(f)   656,000    673,851 
Hyundai Auto Lease Securitization Trust 2019-A A2 — 2.920% 7/15/2021(f)   22,170    22,190 
Hyundai Auto Lease Securitization Trust 2019-A B — 3.250% 10/16/2023(f)   334,000    337,160 
Hyundai Auto Receivables Trust 2019-A A4 — 2.710% 5/15/2025   1,000,000    1,043,390 
Legal Fee Funding — 8.000% 7/20/2036(f)   267,664    276,885 
Mercedes-Benz Auto Lease Trust 2020-A A4 — 1.880% 9/15/2025   1,438,000    1,468,459 
Nissan Auto Lease Trust 2020-A A4 — 1.880% 4/15/2025   1,442,000    1,470,060 
Nissan Auto Receivables Owner Trust 2019-C A3 — 1.930% 7/15/2024   575,000    589,046 
Nissan Auto Receivables Owner Trust 2019-A A4 — 3.000% 9/15/2025   252,000    265,663 
Nissan Auto Receivables Owner Trust 2018-B A4 — 3.160% 12/16/2024   435,000    444,869 
Prestige Auto Receivables Trust 2019-1A B — 2.530% 1/16/2024(f)   263,000    266,878 
Santander Consumer Auto Receivables Trust 2020-AA B — 2.260% 12/15/2025(f)   688,000    713,224 
Santander Drive Auto Receivables Trust 2020-2 B — 0.960% 11/15/2024   450,000    450,780 
Santander Drive Auto Receivables Trust 2020-3 C — 1.120% 1/15/2026   1,240,000    1,239,284 
Toyota Auto Receivables Owner Trust 2020-A A3 — 1.660% 5/15/2024   1,063,000    1,086,064 
Toyota Auto Receivables Owner Trust 2019-C A3 — 1.910% 9/15/2023   238,000    242,487 
Toyota Auto Receivables Owner Trust 2019-A A4 — 3.000% 5/15/2024   252,000    265,101 
Volkswagen Auto Lease Trust 2019-A A4 — 2.020% 8/20/2024   259,000    264,206 
Volkswagen Auto Loan Enhanced Trust 2020-1 A2A — 0.930% 12/20/2022   1,746,000    1,752,392 
Westlake Automobile Receivables Trust 2020-2A C — 2.010% 7/15/2025(f)   530,000    537,493 
Westlake Automobile Receivables Trust 2020-1A C — 2.520% 4/15/2025(f)   1,543,000    1,580,247 
World Omni Auto Receivables Trust 2019-C A3 — 1.960% 12/16/2024   650,000    664,401 
World Omni Auto Receivables Trust 2017-B B — 2.370% 5/15/2024   350,000    351,144 
World Omni Auto Receivables Trust 2018-A B — 2.890% 4/15/2025   1,022,000    1,032,054 
World Omni Auto Receivables Trust 2018-B A4 — 3.030% 6/17/2024   1,013,000    1,053,737 
World Omni Auto Receivables Trust 2019-A A3 — 3.040% 5/15/2024   859,000    879,523 
World Omni Auto Receivables Trust 2019-A B — 3.340% 6/16/2025   252,000    266,611 
World Omni Automobile Lease Securitization Trust 2020-A A3 — 1.700% 1/17/2023   792,000    808,255 
World Omni Automobile Lease Securitization Trust 2019-B A4 — 2.070% 2/18/2025   338,000    338,985 
World Omni Automobile Lease Securitization Trust 2019-B B — 2.130% 2/18/2025   190,000    187,360 
World Omni Automobile Lease Securitization Trust 2019-A B — 3.240% 7/15/2024   529,000    544,049 
        $44,248,032 
COLLATERALIZED LOAN OBLIGATION — 25.0%          
AGL CLO 6 Ltd. 2020-6A E, 3M USD LIBOR + 7.480%, FRN — 7.731% 7/20/2031(e)(f)  $500,000   $493,718 
AGL CLO 7 Ltd. 2020-7A A1, 3M USD LIBOR + 1.800%, FRN — 2.050% 7/15/2031(e)(f)   2,030,000    2,034,653 

 

 

 

FPA FLEXIBLE FIXED INCOME FUND 

Portfolio of investments (Continued) 

September 30, 2020 

(Unaudited)

 

BONDS & DEBENTURES - Continued  Principal
Amount
   Fair Value 
AGL CLO 7 Ltd. 2020-7A E, 3M USD LIBOR + 7.480%, FRN — 7.730% 7/15/2031(e)(f)  $1,715,000   $1,663,042 
AGL Core CLO 8 Ltd. 2020-8A A1, 3M USD LIBOR + 1.500%, FRN — 1.000% 10/20/2031(e)(f)   2,502,000    2,502,000 
Anchorage Capital CLO 16 Ltd. 2020-16A A, 3M USD LIBOR + 1.400%, FRN — 1.000% 10/20/2031(e)(f)   1,827,000    1,827,000 
Battalion CLO 18 Ltd. 2020-18A A1, 3M USD LIBOR + 1.800%, FRN — 1.000% 10/15/2032(e)(f)   1,052,000    1,054,739 
Canyon Capital CLO Ltd. 2014-2A AS, 3M USD LIBOR + 1.250%, FRN — 1.525% 4/15/2029(e)(f)   627,000    623,027 
Carlyle Global Market Strategies CLO Ltd. 2015-2A A1R, 3M USD LIBOR + 0.780%, FRN — 1.025% 4/27/2027(e)(f)   456,223    452,455 
Cayuga Park CLO Ltd. 2020 1A E — 7.562% 7/17/2031(e)(f)   1,066,000    1,058,173 
Cerberus Corporate Credit Solutions Fund — 1.805% 10/15/2030(e)(f)   1,247,000    1,201,639 
Cerberus Loan Funding XXI LP 2017-4A A, 3M USD LIBOR + 1.45%, FRN — 1.725% 10/15/2027(e)(f)   791,244    786,470 
Cerberus Loan Funding XXIII LP 2018-2A A, 3M USD LIBOR + 1.00%, FRN — 1.275% 4/15/2028(e)(f)   566,358    561,587 
Cerberus Loan Funding XXVIII LP 2020-1A A, 3M USD LIBOR + 1.850%, FRN — 1.000% 10/15/2031(e)(f)   2,412,000    2,412,000 
Cerberus Loan Funding XXVIII LP 2020-1A D, 3M USD LIBOR + 5.300%, FRN — 1.000% 10/15/2031(e)(f)   2,236,000    2,235,998 
CIFC Funding Ltd. 2020-2A E, 3M USD LIBOR + 7.635%, FRN — 7.918% 8/24/2032(e)(f)   1,595,000    1,598,917 
Elm Trust 2020-3A A2 — 2.954% 8/20/2029(f)   362,000    363,942 
Elm Trust 2020-3A B — 4.481% 8/20/2029(f)   897,000    901,587 
Fortress Credit Opportunities — 2.518% 7/15/2028(e)(f)   1,698,000    1,698,504 
Fortress Credit Opportunities FCO 2020 13A C 144A — 4.268% 7/15/2028(e)(f)   711,000    710,987 
Fortress Credit Opportunities FCO 2020 13A D 144A — 4.318% 7/15/2028(e)(f)   1,422,000    1,311,017 
Fortress Credit Opportunities IX CLO Ltd. 2017-9A A1T, 3M USD LIBOR + 1.55%, FRN — 1.830% 11/15/2029(e)(f)   2,193,000    2,178,759 
Fortress Credit Opportunities IX CLO Ltd. 2017-9A AFR2 — 2.530% 11/15/2029(b)(f)   1,069,000    1,070,604 
Fortress Credit Opportunities VII CLO Ltd. 2016-7A BR, 3M USD LIBOR + 2.45%, FRN — 2.700% 12/15/2028(e)(f)   329,000    322,770 
Fortress Credit Opportunities VII CLO Ltd. 2016-7I E, 3M USD LIBOR + 7.49%, FRN — 7.740% 12/15/2028(e)   246,000    215,280 
Golub Capital BDC CLO 4 LLC 2020-1A A1, 3M USD LIBOR + 2.350%, FRN — 2.554% 11/5/2032(e)(f)   2,002,000    2,001,952 
Golub Capital Partners CLO Ltd. 2020-49A A1 — 2.779% 7/20/2032(e)(f)   777,000    776,960 
Hercules Capital Funding Trust 2018-1A A — 4.605% 11/22/2027(f)   1,188,000    1,198,480 
Hercules Capital Funding Trust 2019-1A A — 4.703% 2/20/2028(f)   666,000    671,951 
Ivy Hill Middle Market Credit Fund IX Ltd. 9A CR, FRN — 2.622% 1/18/2030(e)(f)   2,092,000    1,974,239 
Ivy Hill Middle Market Credit Fund X Ltd. 10A A1AR, 3M USD LIBOR + 1.25%, FRN — 1.522% 7/18/2030(e)(f)   227,000    218,961 
Jamestown CLO VII Ltd. 2015-7A A1R, 3M USD LIBOR + 0.83%, FRN — 1.075% 7/25/2027(e)(f)   338,849    336,594 
Kayne CLO 8 Ltd. 2020-8A E, 3M USD LIBOR + 7.150%, FRN — 7.395% 7/15/2031(e)(f)   2,091,000    2,052,204 
KKR CLO 17 Ltd. 17 A, 3M USD LIBOR + 1.340%, FRN — 1.615% 4/15/2029(e)(f)   750,000    746,646 

 

 

 

FPA FLEXIBLE FIXED INCOME FUND 

Portfolio of investments (Continued) 

September 30, 2020 

(Unaudited)

 

BONDS & DEBENTURES - Continued  Principal
Amount
   Fair Value 
KKR CLO 18 Ltd. 18 A, 3M USD LIBOR + 1.270%, FRN — 1.542% 7/18/2030(e)(f)  $800,000   $794,315 
Madison Park Funding XIII Ltd. 2014-13A AR2, 3M USD LIBOR + 0.950%, FRN — 1.222% 4/19/2030(e)(f)   550,000    545,405 
Nassau Ltd. 2017-IA A1AS, 3M USD LIBOR + 1.150%, FRN — 1.425% 10/15/2029(e)(f)   944,000    931,875 
Ocean Trails CLO IX 2020-9A A1, 3M USD LIBOR + 1.870%, FRN — 2.153% 10/15/2029(e)(f)   250,000    249,411 
Ocean Trails CLO X 2020-10A A1, 3M USD LIBOR + 1.550%, FRN — 1.000% 10/15/2031(e)(f)   1,857,000    1,856,998 
Octagon Investment Partners 35 Ltd. 2018-1A A1A, FRN — 1.332% 1/20/2031(e)(f)   1,249,000    1,231,838 
Octagon Investment Partners 46 Ltd. 2020-2A E, 3M USD LIBOR + 7.860%, FRN — 8.109% 7/15/2033(e)(f)   2,097,000    2,102,494 
Octagon Investment Partners 48 Ltd. 2020-3A E, 3M USD LIBOR + 7.660%, FRN — 1.000% 10/20/2031(e)(f)   300,000    295,737 
Owl Rock CLO III Ltd. 2020-3A A1L, 3M USD LIBOR + 1.800%, FRN — 2.072% 4/20/2032(e)(f)   800,000    781,857 
Palmer Square CLO Ltd. 2019-1A A1, 3M USD LIBOR + 1.05%, FRN — 1.322% 4/20/2027(e)(f)   365,440    363,987 
Silvermore CLO Ltd. 2014-1A A1R, 3M USD LIBOR + 1.170% — 1.450% 5/15/2026(e)(f)   161,429    160,836 
Sound Point CLO XII Ltd. 2016-2A AR, 3M USD LIBOR + 1.29%, FRN — 1.562% 10/20/2028(e)(f)   514,000    510,661 
Sound Point CLO XVII Ltd. 2017-3A A1A, 3M USD LIBOR + 1.220%, FRN — 1.492% 10/20/2030(e)(f)   533,000    524,578 
Sound Point CLO XVII Ltd. 2017-3A A1B, 3M USD LIBOR + 1.220%, FRN — 1.492% 10/20/2030(e)(f)   533,000    524,578 
Stratus CLO Ltd. 2020-2A D, 3M USD LIBOR + 3.650%, FRN — 3.918% 10/15/2028(e)(f)   1,182,000    1,182,670 
Symphony CLO XII Ltd. 2013-12A AR, 3M USD LIBOR + 1.030%, FRN — 1.305% 10/15/2025(e)(f)   611,500    609,665 
Symphony CLO XIX Ltd. 2018-19A A, 3M USD LIBOR + 0.960%, FRN — 1.231% 4/16/2031(e)(f)   800,000    788,490 
Telos CLO Ltd. 2014-5A A1R, 3M USD LIBOR +  0.95%, FRN — 1.223% 4/17/2028(e)(f)   244,111    241,885 
Telos CLO Ltd. 2013-3A AR, 3M USD LIBOR + 1.300% — 1.573% 7/17/2026(e)(f)   425,072    423,923 
Trinitas CLO V Ltd. 2016-5A AR, 3M USD LIBOR + 1.39%, FRN — 1.635% 10/25/2028(e)(f)   628,000    623,776 
VCO CLO LLC 2018-1A A, 3M USD LIBOR + 1.50%, FRN — 1.772% 7/20/2030(e)(f)   249,682    245,898 
Venture 35 CLO Ltd. 2018-35A AS, 3M USD LIBOR + 1.150%, FRN — 1.408% 10/22/2031(e)(f)   155,000    154,148 
Venture CDO Ltd., 3M USD LIBOR + 0.88%, FRN — 1.155% 4/15/2027(e)(f)   1,097,829    1,082,247 
Venture XXIX CLO Ltd. 2017-29A A, 3M USD LIBOR + 1.280%, FRN — 1.560% 9/7/2030(e)(f)   676,000    665,116 
Venture XXV CLO Ltd. 2016-25A AR, 3M USD LIBOR + 1.230%, FRN — 1.502% 4/20/2029(e)(f)   577,000    573,824 
Vericrest Opportunity Loan Transferee LLC 2014-NPL4 A1 — 3.967% 4/25/2050(f)(h)   527,309    531,260 
Voya CLO Ltd. 2020-2A E, 3M USD LIBOR + 7.850%, FRN — 8.035% 7/19/2031(e)(f)   2,304,000    2,283,458 
Wellfleet CLO Ltd. 2016-1A AR, 3M USD LIBOR + 0.910% — 1.182% 4/20/2028(e)(f)   337,889    334,539 

 

 

 

FPA FLEXIBLE FIXED INCOME FUND 

Portfolio of investments (Continued) 

September 30, 2020 

(Unaudited)

 

BONDS & DEBENTURES - Continued  Principal
Amount
   Fair Value 
Whitebox CLO II Ltd. 2020-2A A1, 3M USD LIBOR + 1.750%, FRN — 1.992% 10/24/2031(e)(f)  $2,586,000   $2,587,397 
Woodmont Trust — 1.000% 10/18/2032(b)(e)   2,799,000    2,799,000 
Zais CLO 14 Ltd. 2020-14A A1A, 3M USD LIBOR + 1.400%, FRN — 2.380% 4/15/2032(e)(f)   1,394,000    1,385,913 
Zais CLO 5 Ltd. 2016-2A A1, 3M USD LIBOR + 1.530%, FRN — 1.805% 10/15/2028(e)(f)   492,267    488,555 
Zais CLO 7 LLC 2017-2A A, 3M USD LIBOR + 1.290%, FRN — 1.565% 4/15/2030(e)(f)   625,125    615,133 
        $67,748,322 
CREDIT CARD — 2.4%          
American Express Credit Account Master Trust 2019-2 A — 2.670% 11/15/2024  $268,000   $278,112 
American Express Credit Account Master Trust 2019-2 B — 2.860% 11/15/2024   1,160,000    1,192,694 
American Express Credit Account Master Trust 2019-1 A — 2.870% 10/15/2024   1,545,000    1,604,789 
Barclays Dryrock Issuance Trust 2019-1 A — 1.960% 5/15/2025   869,000    893,119 
Capital One Multi-Asset Execution Trust 2019-A2 A2 — 1.720% 8/15/2024   49,000    50,338 
Discover Card Execution Note Trust 2019-A1 A1 — 3.040% 7/15/2024   174,000    180,273 
Synchrony Card Funding LLC 2019-A2 A — 2.340% 6/15/2025   1,144,000    1,180,307 
Synchrony Card Funding LLC 2019-A1 A — 2.950% 3/15/2025   989,000    1,022,706 
        $6,402,338 
EQUIPMENT — 17.6%          
ARI Fleet Lease Trust 2018-B A3 — 3.430% 8/16/2027(f)  $380,000   $393,223 
Ascentium Equipment Receivables 2019-2A A3 — 2.190% 11/10/2026(f)   718,000    730,444 
Avis Budget Rental Car Funding AESOP LLC 2017-2A A — 2.970% 3/20/2024(f)   268,000    276,529 
Avis Budget Rental Car Funding AESOP LLC 2017-1A A — 3.070% 9/20/2023(f)   2,192,000    2,255,358 
Avis Budget Rental Car Funding AESOP LLC 2019-1A A — 3.450% 3/20/2023(f)   254,000    259,916 
Chesapeake Funding II LLC 2017-3A A1 — 1.910% 8/15/2029(f)   552,596    553,593 
Chesapeake Funding II LLC 2017-2A A1 — 1.990% 5/15/2029(f)   114,831    114,541 
Chesapeake Funding II LLC 2020-1A C — 2.140% 8/16/2032(f)   368,000    367,784 
Chesapeake Funding II LLC 2017-4A C — 2.760% 11/15/2029(f)   286,000    285,821 
Chesapeake Funding II LLC 2018-1A A1 — 3.040% 4/15/2030(f)   1,216,512    1,243,116 
Chesapeake Funding II LLC — 3.110% 4/15/2031(f)   676,000    682,261 
Chesapeake Funding II LLC 2018-2A A1 — 3.230% 8/15/2030(f)   1,347,160    1,366,686 
CNH Equipment Trust 2020-A A2 — 1.080% 7/17/2023   683,000    686,591 
Coinstar Funding LLC Series 2017-1A A2 — 5.216% 4/25/2047(f)   2,204,933    2,065,322 
Daimler Trucks Retail Trust 2020-1 A2 — 1.140% 4/15/2022   185,315    185,760 
Daimler Trucks Retail Trust 2019-1 A4 — 2.790% 5/15/2025(f)   1,000,000    1,005,630 
Dell Equipment Finance Trust 2019-2 A3 — 1.910% 10/22/2024(f)   1,470,000    1,487,266 
Dell Equipment Finance Trust 2020-2 D — 1.920% 3/23/2026(f)   745,000    744,771 
Dell Equipment Finance Trust 2019-2 B — 2.060% 10/22/2024(f)   1,073,000    1,075,054 
Dell Equipment Finance Trust 2019-1 A2 — 2.780% 8/23/2021(f)   154,792    155,340 
Dell Equipment Finance Trust 2019-1 B — 2.940% 3/22/2024(f)   1,294,000    1,321,778 
Dell Equipment Finance Trust 2018-2 A3 — 3.370% 10/22/2023(f)   552,938    558,188 
Dell Equipment Finance Trust 2018-2 C — 3.720% 10/22/2023(f)   1,777,000    1,786,948 
Dell Equipment Finance Trust 2020-1 C — 4.260% 6/22/2023(f)   664,000    674,765 
Enterprise Fleet Financing LLC 2020-1 A2 — 1.780% 12/22/2025(f)   549,000    557,344 
Enterprise Fleet Financing LLC 2019-1 A2 — 2.980% 10/20/2024(f)   989,734    1,005,927 
Enterprise Fleet Financing LLC 2018-1 A3 — 3.100% 10/20/2023(f)   2,195,000    2,233,568 

 

 

 

FPA FLEXIBLE FIXED INCOME FUND 

Portfolio of investments (Continued) 

September 30, 2020 

(Unaudited)

 

BONDS & DEBENTURES - Continued  Principal
Amount
   Fair Value 
Enterprise Fleet Financing LLC 2018-2 A2 — 3.140% 2/20/2024(f)  $736,828   $744,155 
Enterprise Fleet Financing LLC 2018-3 A2 — 3.380% 5/20/2024(f)   273,624    277,862 
Great American Auto Leasing, Inc. 2019-1 B — 3.370% 2/18/2025(f)   252,000    258,738 
GreatAmerica Leasing Receivables Funding LLC 2019-1 A4 — 3.210% 2/18/2025(f)   250,000    257,842 
GreatAmerica Leasing Receivables Funding LLC Series 2020-1 A3 — 1.760% 8/15/2023(f)   369,000    372,276 
GreatAmerica Leasing Receivables Funding LLC Series 2018-1 B — 2.990% 6/17/2024(f)   255,000    254,945 
HPEFS Equipment Trust 2020-1A A2 — 1.730% 2/20/2030(f)   125,000    125,940 
HPEFS Equipment Trust 2020-1A B — 1.890% 2/20/2030(f)   175,000    177,571 
HPEFS Equipment Trust 2020-2A C — 2.000% 7/22/2030(f)   711,000    711,577 
HPEFS Equipment Trust 2020-1A C — 2.030% 2/20/2030(f)   815,000    822,903 
HPEFS Equipment Trust 2019-1A B — 2.320% 9/20/2029(f)   100,000    99,386 
John Deere Owner Trust 2019 A A4 — 3.000% 1/15/2026   532,000    556,749 
Kubota Credit Owner Trust 2020-1A A1 — 1.500% 5/17/2021(f)   57,781    57,791 
Kubota Credit Owner Trust 2020-1A A2 — 1.920% 12/15/2022(f)   611,000    618,193 
Kubota Credit Owner Trust 2018-1A A4 — 3.210% 1/15/2025(f)   730,000    754,748 
Navistar Financial Dealer Note Master Trust 2020-1 A, 1M USD LIBOR + 0.950%, FRN — 1.098% 7/25/2025(e)(f)   1,572,000    1,577,388 
Navistar Financial Dealer Note Master Trust 2020-1 C, 1M USD LIBOR + 2.150%, FRN — 2.298% 7/25/2025(e)(f)   1,063,000    1,063,013 
NextGear Floorplan Master Owner Trust 2019-2A A2 — 2.070% 10/15/2024(f)   760,000    752,082 
NextGear Floorplan Master Owner Trust 2019-1A A2 — 3.210% 2/15/2024(f)   934,000    967,720 
NextGear Floorplan Master Owner Trust 2018-2A A2 — 3.690% 10/15/2023(f)   412,000    422,559 
Verizon Owner Trust 2019 A A1A — 2.930% 9/20/2023   847,000    867,884 
Verizon Owner Trust 2019 A B — 3.020% 9/20/2023   532,000    548,113 
Verizon Owner Trust 2019-C A1A — 1.940% 4/22/2024   1,532,000    1,567,876 
Verizon Owner Trust 2019-C B — 2.060% 4/22/2024   925,000    941,221 
Verizon Owner Trust 2019-B A1A — 2.330% 12/20/2023   141,000    144,383 
Verizon Owner Trust 2019-B B — 2.400% 12/20/2023   1,006,000    1,034,161 
Verizon Owner Trust 2018-1A C — 3.200% 9/20/2022(f)   1,400,000    1,427,318 
Verizon Owner Trust 2018-A A1A — 3.230% 4/20/2023   1,656,000    1,682,101 
Verizon Owner Trust 2018-A B — 3.380% 4/20/2023   556,000    574,917 
Volvo Financial Equipment LLC Series 2019-2A A2 — 2.020% 8/15/2022(f)   1,440,046    1,449,663 
Volvo Financial Equipment LLC Series 2019-1A A3 — 3.000% 3/15/2023(f)   1,206,000    1,230,476 
Volvo Financial Equipment LLC Series 2019-1A A4 — 3.130% 11/15/2023(f)   250,000    259,703 
Wheels SPV 2 LLC 2019-1A A3 — 2.350% 5/22/2028(f)   1,033,000    1,062,944 
        $47,737,722 
OTHER — 8.0%          
CARS-DB4 LP 2020-1A A1 — 2.690% 2/15/2050(f)  $318,803   $322,793 
InSite Issuer LLC 2020-1A C — 4.213% 9/15/2050(f)   298,000    298,186 
InSite Issuer LLC 2016-1A C — 6.414% 11/15/2046(f)   1,000,000    1,020,813 
LCM XIII LP 13A ARR, 3M USD LIBOR + 1.140%, FRN — 1.412% 7/19/2027(e)(f)   800,000    791,936 
Magnetite XVI Ltd. 2015-16A AR, 3M USD LIBOR + 0.800%, FRN — 1.072% 1/18/2028(e)(f)   302,953    300,584 
MelTel Land Funding LLC 2019-1A C — 6.070% 4/15/2049(f)   312,000    315,283 
New Residential Mortgage LLC 2018-FNT1 A — 3.610% 5/25/2023(f)   649,113    649,280 
NRZ Advance Receivables Trust 2015-ON1 2020-T2 AT2 — 1.475% 9/15/2053(f)   2,720,000    2,719,526 

 

 

 

FPA FLEXIBLE FIXED INCOME FUND 

Portfolio of investments (Continued) 

September 30, 2020 

(Unaudited)

 

BONDS & DEBENTURES - Continued  Principal
Amount
   Fair Value 
NRZ Excess Spread-Collateralized Notes Series 2018-PLS1 A — 3.193% 1/25/2023(f)  $719,028   $719,011 
Ocwen Master Advance Receivables Trust 2020-T1 AT1 — 1.278% 8/15/2052(f)   2,191,000    2,199,041 
OHA Credit Funding 6 Ltd. 2020-6A E, 3M USD LIBOR + 7.330%, FRN — 7.582% 7/20/2031(e)(f)   1,418,000    1,415,873 
Palmer Square Loan Funding Ltd. 2018-4A A1, 3M USD LIBOR + 0.900%, FRN — 1.180% 11/15/2026(e)(f)   147,859    147,233 
Parliament Funding II Ltd. 2020-1A A, 3M USD LIBOR + 2.450%, FRN — 2.764% 8/12/2030(e)(f)   986,000    986,486 
PFS Financing Corp. 2020-F A — 0.930% 8/15/2024(f)   460,000    460,822 
PFS Financing Corp. 2020-F B — 1.420% 8/15/2024(f)   130,000    129,687 
PFS Financing Corp. 2020-E B — 1.570% 10/15/2025(f)   1,151,000    1,146,795 
PFS Financing Corp. 2020-A B — 1.770% 6/15/2025(f)   2,119,000    2,117,676 
PFS Financing Corp. 2019-A A2 — 2.860% 4/15/2024(f)   1,420,000    1,456,542 
PFS Financing Corp. 2019-A B — 3.130% 4/15/2024(f)   1,000,000    1,021,943 
PFS Financing Corp. 2018-F A — 3.520% 10/15/2023(f)   486,000    500,850 
SpringCastle America Funding LLC 2020-AA A — 1.970% 9/25/2037(f)   2,083,000    2,105,338 
TVEST 2020A LLC 2020-A A — 4.500% 7/15/2032(f)   791,221    791,736 
        $21,617,434 
           
TOTAL ASSET-BACKED SECURITIES (Cost $185,684,749)       $187,753,848 
           
CORPORATE BONDS & NOTES — 3.0%          
COMMUNICATIONS — 0.4%          
Consolidated Communications, Inc. — 6.500% 10/1/2028(f)  $1,119,000   $1,139,981 
           
CONSUMER, CYCLICAL — 1.6%          
Air Canada 2020-1 Class C Pass Through Trust — 10.500% 7/15/2026(f)  $1,030,000   $1,048,297 
American Airlines 2016-1 Class A Pass Through Trust — 4.100% 7/15/2029   844,166    654,229 
American Airlines 2016-2 Class A Pass Through Trust — 3.650% 12/15/2029   1,047,488    817,041 
Aramark Services, Inc. — 6.375% 5/1/2025(f)   316,000    327,716 
Carnival Corp. — 11.500% 4/1/2023(f)   512,000    573,942 
CD&R Smokey Buyer, Inc. — 6.750% 7/15/2025(f)   177,000    186,292 
Royal Caribbean Cruises Ltd. — 11.500% 6/1/2025(f)   594,000    688,517 
        $4,296,034 
CONSUMER, NON-CYCLICAL — 0.7%          
Cimpress plc — 7.000% 6/15/2026(f)  $335,000   $314,063 
StoneMor Partners LP / Cornerstone Family Services of West Virginia Subsidiary PIK — 11.500% 6/30/2024(f)   1,781,529    1,759,260 
        $2,073,323 
ENERGY — 0.3%          
Natural Resource Partners LP / NRP Finance Corp. — 9.125% 6/30/2025(f)  $831,000   $729,651 
           
TOTAL CORPORATE BONDS & NOTES (Cost $7,886,547)       $8,238,989 
           
CORPORATE BANK DEBT — 5.6%          
ABG Intermediate Holding 2 LLC, 1M USD LIBOR + 5.250% — 6.250% 9/27/2024(a)(e)  $584,000   $578,160 

 

 

 

FPA FLEXIBLE FIXED INCOME FUND 

Portfolio of investments (Continued) 

September 30, 2020 

(Unaudited)

 

BONDS & DEBENTURES - Continued  Principal
Amount
   Fair Value 
ABG Intermediate Holding 2 LLC, 3M USD LIBOR + 3.500% — 4.500% 9/27/2024(a)(e)  $963,303   $941,628 
Asurion LLC Second Lien, 1M USD LIBOR + 3.000% — 3.150% 8/4/2025(a)(e)   745,000    745,000 
BJ Services Inc., 3M USD LIBOR + 7.000% — 8.500% 1/3/2023(a)(b)(d)(e)   237,500    200,464 
Cincinnati Bell, Inc., 1M USD LIBOR + 3.250% — 4.250% 10/2/2024(a)(e)   1,127,372    1,126,166 
Consolidated Communications, 1M USD LIBOR + 3.000% — 4.000% 10/4/2023(a)(e)   946,380    934,948 
Delta Air Lines, Inc. 2020 Term Loan B, 3M USD LIBOR + 4.750% — 5.750% 4/29/2023(a)(e)   333,165    332,125 
Frontier Communications Corp., 1M USD LIBOR + 2.000% — 5.250% 3/15/2024(a)(e)   1,273,226    1,057,027 
Frontier Communications Corp., 1M USD LIBOR + 2.750% — 6.000% 6/15/2024(a)(e)   1,430,808    1,412,035 
General Nutrition Centers, Inc., 1M USD LIBOR + 9.000% — 10.000% 12/23/2020(a)(e)   2,318,000    2,260,050 
JC Penney Corp., Inc., 1M USD LIBOR + 11.750% — 13.000% 11/16/2020(a)(e)   749,709    952,131 
JC Penney Corp., Inc., 3M USD LIBOR + 4.250% — 5.250% 6/23/2023(a)(e)   480,181    147,656 
Logix Holding Co. LLC, 1M USD LIBOR + 5.750% — 6.750% 12/22/2024(a)(e)   332,512    305,911 
McDermott Super Senior Exit LC — 6/30/2024(a)(b)(d)   640,000    (51,200)
Mediaco Holding, Inc. Class A, 6.400% — 8.400% 11/25/2024(a)(b)(d)   1,214,502    1,083,985 
PHI, Inc., 6M USD LIBOR + 7.000% — 8.000% 9/4/2024(a)(e)   1,189,283    1,177,390 
Polyconcept North America Holdings, Inc., 3M USD LIBOR + 4.500% — 5.500% 8/16/2023(a)(e)   751,075    612,126 
Tech Data Corp., 1M USD LIBOR + 3.500% — 3.645% 6/30/2025(a)(e)   470,000    470,978 
Windstream Corp., 1M USD LIBOR + 0.000% — 7.500% 2/17/2024(a)(e)   283,588    170,152 
Windstream Services LLC, 1M USD LIBOR + 6.250% — 7.250% 9/21/2027(a)(e)   847,875    816,080 
           
TOTAL CORPORATE BANK DEBT (Cost $15,467,810)       $15,272,812 
           
U.S. TREASURIES — 8.3%          
U.S. Treasury Bills — 0.007% 10/6/2020(g)  $1,635,000   $1,634,984 
U.S. Treasury Bills — 0.084% 10/13/2020(g)   7,703,000    7,702,811 
U.S. Treasury Bills — 0.086% 10/20/2020(g)   7,890,000    7,889,620 
U.S. Treasury Bills — 0.081% 10/27/2020(g)   5,191,000    5,190,718 
           
TOTAL U.S. TREASURIES (Cost $22,418,118)       $22,418,133 
           
TOTAL BONDS & DEBENTURES — 106.2% (Cost $285,143,653)       $287,892,393 
           
TOTAL INVESTMENT SECURITIES — 106.4% (Cost $285,759,438)       $288,438,260 
           
SHORT-TERM INVESTMENTS — 0.9%          
State Street Bank Repurchase Agreement — 0.00% 10/1/2020 (Dated 09/30/2020, repurchase price of $2,511,000, collateralized by $2,560,700 principal amount U.S. Treasury Notes — 0.125% 2022, fair value $2,561,268) $ 2,511,000     $ 2,511,000  
TOTAL SHORT-TERM INVESTMENTS (Cost $2,511,000)       $2,511,000 
           
TOTAL INVESTMENTS — 107.3% (Cost $288,270,438)       $290,949,260 
Other Assets and Liabilities, net — (7.3)%        (19,866,967)
NET ASSETS — 100.0% — NOTE 2       $271,082,293 

 

 

 

FPA FLEXIBLE FIXED INCOME FUND 

Portfolio of investments (Continued) 

September 30, 2020 

(Unaudited)

 

(a) Restricted securities. These restricted securities constituted 5.84% of total net assets at September 30, 2020, most of which are considered liquid by the Adviser. These securities are not registered and may not be sold to the public. There are legal and/or contractual restrictions on resale. The Fund does not have the right to demand that such securities be registered. The values of these securities are determined by valuations provided by pricing services, brokers, dealers, market makers, or in good faith under policies adopted by authority of the Fund’s Board of Trustees.
(b) Investments categorized as a significant unobservable input (Level 3). (See Note 1 of the Notes to Financial Statements).
(c) Non-income producing security.
(d) These securities have been valued in good faith under policies adopted by authority of the Board of Trustees in accordance with the Fund's fair value procedures. These securities constituted 0.66% of total net assets at September 30, 2020.
(e) Variable/Floating Rate Security — The rate shown is based on the latest available information as of September 30, 2020. For Corporate Bank Debt, the rate shown may represent a weighted average interest rate. Certain variable rate securities are not based on a published rate and spread but are determined by the issuer or agent and are based on current market conditions. These securities do not indicate a reference rate and spread in their description.
(f) Security exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions exempt from registration, typically only to qualified institutional buyers. Unless otherwise indicated, these securities are not considered to be illiquid.
(g) Zero coupon bond. Coupon amount represents effective yield to maturity.
(h) Step Coupon - Coupon rate increases in increments to maturity. Rate disclosed is as of September 30, 2020.

 

 

 

fpa Flexible fixed income fund 

Portfolio of investments – RESTRICTED SECURITIES 

September 30, 2020 

(Unaudited)

 

Issuer  Acquisition Date (s)  Cost   Fair Value   Fair Value as a %
of Net Assets
 
ABG Intermediate Holding 2 LLC, 1M USD LIBOR + 5.250% — 6.250% 9/27/2024  07/15/2020  $570,069   $578,160    0.21%
ABG Intermediate Holding 2 LLC, 3M USD LIBOR + 3.500% — 4.500% 9/27/2024  03/06/2020, 03/12/2020, 03/20/2020   868,097    941,628    0.35%
Asurion LLC Second Lien, 1M USD LIBOR + 3.000% — 3.150% 8/4/2025  09/25/2020   745,931    745,000    0.28%
BJ Services Inc., 3M USD LIBOR + 7.000% — 8.500% 1/3/2023  03/31/2020   235,985    200,464    0.07%
Cincinnati Bell, Inc., 1M USD LIBOR + 3.250% — 4.250% 10/2/2024  03/16/2020, 03/24/2020, 06/30/2020   1,062,478    1,126,166    0.42%
Consolidated Communications, 1M USD LIBOR + 3.000% — 4.000% 10/4/2023  03/18/2020, 05/04/2020, 06/30/2020   807,963    934,948    0.34%
Delta Air Lines, Inc. 2020 Term Loan B, 3M USD LIBOR + 4.750% — 5.750% 4/29/2023  04/27/2020   324,243    332,125    0.12%
Frontier Communications Corp., 1M USD LIBOR + 2.000% — 5.250% 3/15/2024  12/10/2019   1,049,533    1,057,027    0.39%
Frontier Communications Corp., 1M USD LIBOR + 2.750% — 6.000% 6/15/2024  03/20/2020, 04/14/2020   1,365,910    1,412,035    0.53%
General Nutrition Centers, Inc., 1M USD LIBOR + 9.000% — 10.000% 12/23/2020  02/14/2020, 04/12/2019, 12/11/2019, 03/12/2020, 03/23/2020, 07/23/2020   2,239,172    2,260,050    0.84%
JC Penney Corp., Inc., 1M USD LIBOR + 11.750% — 13.000% 11/16/2020  06/08/2020   762,867    952,131    0.35%
JC Penney Corp., Inc., 3M USD LIBOR + 4.250% — 5.250% 6/23/2023  03/30/2020, 06/08/2020, 07/08/2020   439,892    147,656    0.05%
Logix Holding Co. LLC, 1M USD LIBOR + 5.750% — 6.750% 12/22/2024   01/09/2019, 06/18/2019, 06/19/2019   332,434    305,911    0.11%
McDermott Super Senior Exit LC —6/30/2024  02/28/2020   (5,651)   (51,200)   (0.02)%
Mediaco Holding, Inc. Class A, 6.400% — 8.400% 11/25/2024   11/25/2019, 12/12/2019, 12/13/2019, 12/18/2019, 03/27/2020, 06/30/2020   1,204,068    1,083,985    0.40%
PHI Group, Inc.  08/19/2019   188,003    172,652    0.06%
PHI Group, Inc, Restricted  08/19/2019   427,782    373,215    0.14%
PHI, Inc., 6M USD LIBOR + 7.000% — 8.000% 9/4/2024  07/10/2019, 12/05/2019   1,171,170    1,177,390    0.44%
Polyconcept North America Holdings, Inc., 3M USD LIBOR + 4.500% — 5.500% 8/16/2023  11/18/2019   745,097    612,126    0.23%
Tech Data Corp., 1M USD LIBOR + 3.500% — 3.645% 6/30/2025  06/26/2020   463,261    470,978    0.17%
Windstream Corp., 1M USD LIBOR + 0.000% — 7.500% 2/17/2024  01/07/2020, 02/14/2020   271,291    170,152    0.06%
Windstream Services LLC, 1M USD LIBOR + 6.250% — 7.250% 9/21/2027  03/08/2019, 03/29/2019   814,000    816,080    0.30%
TOTAL RESTRICTED SECURITIES     $16,083,595   $15,818,679    5.84%

 

See Notes to Financial Statements.

 

 

 

NOTE 1 — Disclosure of Fair Value Measurements

 

The Fund uses the following methods and inputs to establish the fair value of its assets and liabilities. Use of particular methods and inputs may vary over time based on availability and relevance as market and economic conditions evolve.

 

Equity securities are generally valued each day at the official closing price of, or the last reported sale price on, the exchange or market on which such securities principally are traded, as of the close of business on that day. If there have been no sales that day, equity securities are generally valued at the last available bid price. Securities that are unlisted and fixed-income and convertible securities listed on a national securities exchange for which the over-the-counter ("OTC") market more accurately reflects the securities’ value in the judgment of the Fund's officers, are valued at the most recent bid price. Events occurring after the close of trading on non-U.S. exchanges may result in adjustments to the valuation of foreign securities to reflect their fair value as of the close of regular trading on the NYSE. The Fund may utilize an independent fair valuation service in adjusting the valuations of foreign securities. Currency forwards are valued at the closing currency exchange rate which is not materially different from the forward rate. Short-term corporate notes with maturities of 60 days or less at the time of purchase are valued at amortized cost.

 

Securities for which representative market quotations are not readily available or are considered unreliable by the Adviser are valued as determined in good faith under procedures adopted by the authority of the Fund’s Board of Trustees. Various inputs may be reviewed in order to make a good faith determination of a security’s value. These inputs include, but are not limited to, the type and cost of the security; contractual or legal restrictions on resale of the security; relevant financial or business developments of the issuer; actively traded similar or related securities; conversion or exchange rights on the security; related corporate actions; significant events occurring after the close of trading in the security; and changes in overall market conditions. Fair valuations and valuations of investments that are not actively trading involve judgment and may differ materially from valuations of investments that would have been used had greater market activity occurred.

 

The Fund classifies its assets based on three valuation methodologies. Level 1 values are based on quoted market prices in active markets for identical assets. Level 2 values are based on significant observable market inputs, such as quoted prices for similar assets and quoted prices in inactive markets or other market observable inputs as noted above including spreads, cash flows, financial performance, prepayments, defaults, collateral, credit enhancements, and interest rate volatility. Level 3 values are based on significant unobservable inputs that reflect the Fund’s determination of assumptions that market participants might reasonably use in valuing the assets. These assumptions consider inputs such as proprietary pricing models, cash flows, prepayments, defaults, and collateral The valuation levels are not necessarily an indication of the risk associated with investing in those securities. The following table presents the valuation levels of the Fund's investments as of September 30, 2020:

 

 

 

Investments  Level 1   Level 2   Level 3   Total 
Common Stocks                    
Energy          $545,867   $545,867 
Commercial Mortgage-Backed Securities                    
Agency      $3,265,236        3,265,236 
Agency Stripped       2,420,453        2,420,453 
Non-Agency       28,468,868        28,468,868 
Residential Mortgage-Backed Securities                    
Agency Collateralized Mortgage Obligation       3,902,711        3,902,711 
Agency Pool Fixed Rate       369,598        369,598 
Agency Stripped       248,197        248,197 
Non-Agency           1,704,971    1,704,971 
Non-Agency Collateralized Mortgage Obligation       10,007,866    3,820,711    13,828,577 
Asset-Backed Securities                    
Auto       44,248,032        44,248,032 
Collateralized Loan Obligation       63,878,718    3,869,604    67,748,322 
Credit Card       6,402,338        6,402,338 
Equipment       47,737,722        47,737,722 
Other       21,617,434        21,617,434 
Corporate Bonds & Notes       8,238,989        8,238,989 
Corporate Bank Debt       14,039,563    1,233,249    15,272,812 
U.S. Treasuries       22,418,133        22,418,133 
Short-Term Investment       2,511,000        2,511,000 
       $279,774,858   $11,174,402   $290,949,260 

 

The following table summarizes the Fund’s Level 3 investment securities and related transactions during the period ended September 30, 2020:

 

Investments  Beginning
Value at
December 
31, 2019
   Net
Realized
and
Unrealized
Gains
(Losses)*
   Purchases   (Sales)   Gross
Transfers
In/(Out)
   Ending
Value at
September 
30, 2020
   Net Change in
Unrealized
Appreciation
(Depreciation)
related to
Investments held at
September 30, 2020
 
Common Stocks  $489,398   $56,469               $545,867   $56,469 
Residential Mortgage-Backed Securities Non-Agency          $1,704,971            1,704,971     
Residential Mortgage-Backed Securities Non-Agency Collateralized Mortgage Obligation   1,204,188    (349)   4,367,375   $(1,456,657)  $(293,846)   3,820,711     
Asset-Backed Securities Collateralized Loan Obligation       1,604    3,868,000            3,869,604    1,604 
Corporate Bank Debt   2,554,734    (839,036)   639,096    (1,121,545)       1,233,249    (201,231)
   $4,248,320   $(781,312)  $10,579,442   $(2,578,202)  $(293,846)  $11,174,402   $(143,158)

 

* Net realized and unrealized gains (losses) are included in the related amounts in the statement of operations.

 

 

 

Level 3 Valuation Process: Investments classified within Level 3 of the fair value hierarchy are valued by the Adviser in good faith under procedures adopted by authority of the Fund’s Board of Trustees. The Adviser employs various methods to determine fair valuations including regular review of key inputs and assumptions, and review of related market activity, if any. However, there are generally no observable trade activities in these securities. The Adviser reports to the Board of Trustees at their regularly scheduled quarterly meetings, or more often if warranted. The report includes a summary of the results of the process, the key inputs and assumptions noted, and any changes to the inputs and assumptions used. When appropriate, the Adviser will recommend changes to the procedures and process employed. The value determined for an investment using the fair value procedures may differ significantly from the value realized upon the sale of such investment. Transfers of investments between different levels of the fair value hierarchy are recorded at fair value as of the end of the reporting period.

 

There were transfers of $129,711 out of Level 2 into Level 3 and $423, 557 out of Level 3 into Level 2 during the period ended September 30, 2020.

 

The following table summarizes the quantitative inputs and assumptions used for items categorized as items categorized as Level 3 of the fair value hierarchy as of September 30, 2020:

 

Financial Assets  Fair Value at
September 30,
2020
   Valuation Technique(s)  Unobservable Inputs  Price/Range
Common Stocks  $545,867   Recent Trade Activity (a)  Quotes/Prices  $7.25
               
Residential Mortgage-Backed Securities Non-Agency  $1,704,971   Third-Party Broker Quote (b)  Quotes/Prices  $100.00
               
Residential Mortgage-Backed Securities Non-Agency Collateralized Mortgage Obligation  $3,820,711   Third-Party Broker Quote (b)  Quotes/Prices  $99.78 - $100.00
               
Asset-Backed Securities Collateralized Loan Obligation  $1,070,604   Third-Party Broker Quote (b)  Quotes/Prices  $100.15
    2,799,000   Recent Trade Activity (e)  Cost  $100.00
               
Corporate Bank Debt  $1,284,449   Pricing Model (c)  Amortized Cost  $84.41 - $89.25
           Liqudity Discount  10%
    (51,200)  Pricing Model (d)  Quotes/Prices  $92.00

 

(a)  The fair value is based on recent trade activity obtained from market makers in the security.
 
(b)  The Third Party Broker Quote technique involves obtaining an independent third-party broker quote for the security.
 
(c)  The Pricing Model technique for Level 3 securities involves amortized cost and the application of a discount for lack of liquidity. The discount reflects the current market expectation of discount needed in order to effect a transaction in a timely manner.
 
(d)  The Pricing Model technique for Level 3 securities involves recently quoted funding prices of the security.
 
(e)  The significant unobservable inputs used in the fair value measurement are based on the most recent trade executed by the Fund.

 

 

 

NOTE 2 — Federal Income Tax

 

The cost of investment securities held at September 30, 2020 (excluding short-term investments), was $285,759,438 for federal income tax purposes. Net unrealized appreciation consists of:

 

Gross unrealized appreciation:  $3,897,180 
Gross unrealized depreciation:   (1,218,358)
Net unrealized appreciation:  $2,678,822