FPCSX
FPA Crescent Fund
Investment Managers Series Trust III

Portfolio concentration

As of March 31, 2026 · N-PORT
Holdings
114
Top-10 weight
40.45%
Effective holdings ?
19
Crowding ?
485.2

Holdings

As of March 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 ANALOG DEVICES INC 1,176,501 $374.29M 3.17%
2 ALPHABET INC CL A 1,185,801 $340.99M 2.89%
3 META PLATFORMS INC CL A 440,781 $252.18M 2.14%
4 INTL FLVR & FRAG 3,163,067 $229.48M 1.94%
5 TE CONNECTIVITY 1,077,405 $225.20M 1.91%
6 CITIGROUP INC 1,953,442 $221.54M 1.88%
7 Zywave_Pfd Equity ZURN SW 3,088,974 $219.82M 1.86%
8 Zywave_Pfd Equity ZURN SW 5,885,188 $217.47M 1.84%
9 ALPHABET INC CL C 746,360 $214.10M 1.81%
10 Zywave_Pfd Equity ZURN SW 20,235,939 $206.35M 1.75%
11 Zywave_Pfd Equity ZURN SW 26,947,501 $204.10M 1.73%
12 BECTON DICKINSON and CO 1,180,043 $185.54M 1.57%
13 AMAZON.COM INC 861,595 $179.44M 1.52%
14 U.S. Treasury Bills B 179,000,000 $178.89M 1.52%
15 Zywave_Pfd Equity ZURN SW 544,912 $178.30M 1.51%
16 LIBERTY BROADBAND CORP C 3,266,346 $164.30M 1.39%
17 AON PLC-CLASS A 499,156 $161.12M 1.36%
18 FPS LLC / 963HYB90 2,073,734 $156.44M 1.32%
19 U.S. Treasury Bills 156,000,000 $154.68M 1.31%
20 Zywave_Pfd Equity ZURN SW 3,117,146 $144.30M 1.22%
21 Nestle Capital DCP DCP, 06/11/26 / 135,000,000 $134.04M 1.14%
22 JOHNSON & JOHNSON Co. DCP, 06/10/2026 / 126,000,000 $125.12M 1.06%
23 PEPSICO, Inc. DCP, 05/12/2026 / 125,000,000 $124.49M 1.05%
24 U.S. Treasury Bills 125,000,000 $124.05M 1.05%
25 U.S. Treasury Bills B 124,000,000 $123.82M 1.05%
26 FERGUSON PLC 521,728 $121.70M 1.03%
27 Zywave_Pfd Equity ZURN SW 1,656,284 $120.85M 1.02%
28 SATS 3.875 11/30/30 SATS 33,209,948 $118.63M 1.00%
29 COMCAST CORP CL A 3,996,138 $114.73M 0.97%
30 NESTLE CAPITAL DCP, 05/08/2026 / 115,000,000 $114.58M 0.97%
31 JOHNSON & JOHNSON Co. DCP, 07/08/2026 / 115,000,000 $113.85M 0.96%
32 U.S. Treasury Bills B 113,000,000 $112.59M 0.95%
33 Pepsico, Inc. DCP DCP, 07/06/26 / 113,000,000 $111.92M 0.95%
34 U.S. Treasury Bills B 111,000,000 $110.37M 0.93%
35 Pepsico, Inc. DCP DCP, 07/01/26 / 111,000,000 $109.98M 0.93%
36 U.S. Treasury Bills 912797SX 110,000,000 $109.29M 0.93%
37 Amrize Ltd. USD0.01 AMRZ US 1,926,741 $107.94M 0.91%
38 Zywave_Pfd Equity ZURN SW 608,165 $106.59M 0.90%
39 United States Treasury Bill 104,000,000 $103.29M 0.87%
40 JOHNSON & JOHNSON Co. DCP, 07/13/2026 / 104,000,000 $102.93M 0.87%
41 U.S. Treasury Bills B 100,000,000 $99.92M 0.85%
42 Nestle Capital DCP DCP, 04/13/26 / 100,000,000 $99.88M 0.85%
43 U.S. Treasury Bills B 100,000,000 $99.22M 0.84%
44 U.S. Treasury Bills B 100,000,000 $99.08M 0.84%
45 Pepsico, Inc. DCP DCP, 07/09/26 / 100,000,000 $98.99M 0.84%
46 Zywave_Pfd Equity ZURN SW 15,271,100 $95.76M 0.81%
47 NXP SEMICONDUCTO 482,460 $94.98M 0.80%
48 JEFFERIES FINANCIAL GROUP INC 2,277,248 $93.98M 0.80%
49 VAIL RESORTS INC 719,136 $92.28M 0.78%
50 FORTUNE BRANDS INNOVATIONS INC 2,353,218 $91.70M 0.78%
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