13F-HR 1 13fhr0313.txt.txt FPA 13F FOR MARCH 31, 2013 UNITED STATES SECURITIES AND EXCHANGE COMMISSION Washington DC 20549 FORM 13F FORM 13F COVER PAGE Report for the Calendar Year or Quarter Ended: March 31,2013 Check here if Amendment [ ]; Amendment Number: This Amendment: [ ] is a restatement. [ ] adds new holdings entries. Institutional Investment Manager Filing this Report: Name: First Pacific Advisors, LLC Address: 11400 West Olympic Blvd. Suite 1200 Los Angeles, CA 90064 Form 13F File Number: 28-12253 The institutional investment manager filing this report and the person by whom it is signed hereby represent that the person signing the report is authorized to submit it, that all information contained herein is true, correct and complete, and that it is understood that all required items, statements, schedules, lists, and tables, are considered integral parts of this form. Person Signing this Report on Behalf of Reporting Manager: Name: J. Richard Atwood Title: Chief Operating Officer Phone: (310) 996-5458 Signature, Place, and Date of Signing: J. Richard Atwood Los Angeles, CA 05/10/13 ------------------------------ -------------------- -------- Signature City, State Date Report Type: [X] 13F HOLDINGS REPORT [ ] 13F NOTICE [ ] 13F COMBINATION REPORT REPORT SUMMARY: Number of Other Included Managers: 0 Form 13F Information Table Entry Total: 213 Form 13f Information Table value Total: $9,206,098 FORM 13F INFORMATION TABLE VALUE SHARES/ SH/ PUT/ INVSTMT OTHER VOTING AUTHORITY NAME OF ISSUER TITLE OF CLASS CUSIP (x$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE ------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- -------- ACTUANT CORP CL A CS 00508X203 21872 714300 SH Sole 0 714300 328 10700 SH Defined 0 10700 ALLEGHANY CORPORATION CS 017175100 113312 286200 SH Sole 0 286200 3771 9523 SH Defined 0 8923 600 ALLIANT TECHSYSTEMS INC CS 018804104 3795 52400 SH Sole 0 52400 4838 66800 SH Defined 0 56300 10500 AMERICAN INTL GROUP INC CS 026874784 200633 5168300 SH Sole 0 5168300 22081 568800 SH Defined 0 558000 10800 AMETEK INC. CS 031100100 361 8325 SH Defined 0 8325 ANALOG DEVICES INC CS 032654105 163738 3522000 SH Sole 0 3522000 7104 152800 SH Defined 0 147100 5700 ANHEUSER-BUSCH INBEV SPN ADR CS 03524A108 215068 2160400 SH Sole 0 2160400 5485 55100 SH Defined 0 55100 AON PLC CS G0408V102 384326 6249200 SH Sole 0 6249200 39471 641800 SH Defined 0 627100 14700 APOLLO GROUP INC CL A CS 037604105 21955 1262500 SH Sole 0 1262500 28290 1626800 SH Defined 0 1436200 190600 ARES COML REAL ESTATE CORP CS 04013V108 4152 245412 SH Defined 0 245412 ARRIS GROUP INC CS 04270V106 81915 4770800 SH Sole 0 4770800 16749 975500 SH Defined 0 841400 134100 ARROW ELECTRONICS INC. CS 042735100 86139 2120600 SH Sole 0 2120600 88543 2179800 SH Defined 0 1865900 313900 ATWOOD OCEANICS INC. CS 050095108 14564 277206 SH Sole 0 277206 15731 299411 SH Defined 0 254911 44500 AVNET INC CS 053807103 84418 2332000 SH Sole 0 2332000 97209 2685342 SH Defined 0 2300700 384642 AZZ INC CS 002474104 34 700 SH Defined 0 700 BAKER HUGHES INC CS 057224107 19899 428772 SH Sole 0 428772 22614 487255 SH Defined 0 405142 82113 BANK OF NEW YORK MELLON CS 064058100 125714 4491400 SH Sole 0 4491400 5724 204500 SH Defined 0 197000 7500 BANK OF AMERICA CORP CS 060505104 46299 3801200 SH Sole 0 3801200 2239 183800 SH Defined 0 173300 10500 BIO-RAD LABORATORIES, INC. 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CS 217204106 51667 1507200 SH Sole 0 1507200 967 28200 SH Defined 0 28200 COVIDIEN PLC ORDS CS G2554F113 329139 4851700 SH Sole 0 4851700 33723 497100 SH Defined 0 489000 8100 CVS CAREMARK CORP CS 126650100 374207 6805000 SH Sole 0 6805000 28628 520600 SH Defined 0 508600 12000 DEVRY INC CS 251893103 32226 1015000 SH Sole 0 1015000 45345 1428200 SH Defined 0 1269800 158400 DOLBY LABORATORIES INC CS 25659T107 77 2300 SH Defined 0 2300 DONALDSON CO INC CS 257651109 62 1700 SH Defined 0 1700 ENSCO PLC CL A CS G3157S106 78756 1312600 SH Sole 0 1312600 68364 1139400 SH Defined 0 1013400 126000 ENZON PHARMACEUTICALS INC CS 293904108 1443 379826 SH Defined 0 379826 FEDERATED INVESTORS INC-CL B CS 314211103 13136 554943 SH Sole 0 554943 16157 682600 SH Defined 0 595700 86900 FIRST ADVANTAGE BANCORP CS 31848L104 1184 92850 SH Defined 0 92850 FLIR SYSTEMS INC. CS 302445101 117 4500 SH Defined 0 4500 FMC TECHNOLOGIES INC CS 30249U101 38970 716500 SH Sole 0 716500 593 10900 SH Defined 0 10900 FOOT LOCKER INC CS 344849104 23365 682400 SH Sole 0 682400 28132 821600 SH Defined 0 710200 111400 FRANKLIN ELECTRIC CO INC CS 353514102 32583 970600 SH Sole 0 970600 524 15600 SH Defined 0 15600 FRANKLIN FINANCIAL CORPORATION CS 35353C102 1124 61598 SH Defined 0 61598 GOOGLE INC. CS 38259P508 203272 256000 SH Sole 0 256000 9192 11576 SH Defined 0 11101 475 GRACO INC CS 384109104 43052 741900 SH Sole 0 741900 795 13700 SH Defined 0 13700 HEALTH NET INC CS 42222G108 76078 2658200 SH Sole 0 2658200 4594 160500 SH Defined 0 156500 4000 HEARTLAND EXPRESS, INC CS 422347104 23573 1767100 SH Sole 0 1767100 311 23300 SH Defined 0 23300 HELIX ENERGY SOLUTIONS GRP CS 42330P107 192 8400 SH Defined 0 8400 HELMERICH & PAYNE INC CS 423452101 9803 161500 SH Sole 0 161500 13008 214300 SH Defined 0 184100 30200 HERITAGE FINANCIAL CORP CS 42722X106 3987 275000 SH Defined 0 275000 HEWLETT PACKARD COMPANY CS 428236103 71325 2991800 SH Sole 0 2991800 9157 384100 SH Defined 0 378300 5800 HNI CORPORATION CS 404251100 38249 1077733 SH Sole 0 1077733 685 19300 SH Defined 0 19300 HOME FEDERAL BANCORP INC CS 43710G105 1937 151290 SH Defined 0 151290 IDEX CORP. CS 45167R104 39846 745900 SH Sole 0 745900 855 16000 SH Defined 0 16000 INTEL CORPORATION CS 458140100 112309 5140000 SH Sole 0 5140000 5181 237100 SH Defined 0 223700 13400 INTERDIGITAL INC CS 45867G101 44035 920648 SH Sole 0 920648 52149 1090300 SH Defined 0 940900 149400 INTERPUBLIC GROUP COMPANIES IN CS 460690100 124206 9532300 SH Sole 0 9532300 5992 459900 SH Defined 0 444400 15500 ITT CORPORATION CS 450911201 50486 1775800 SH Sole 0 1775800 3675 129263 SH Defined 0 126563 2700 JOHNSON & JOHNSON CS 478160104 152461 1870000 SH Sole 0 1870000 6645 81500 SH Defined 0 78300 3200 KNIGHT TRANSPORTATION, INC CS 499064103 24617 1529000 SH Sole 0 1529000 333 20700 SH Defined 0 20700 LANDAUER INC CS 51476K103 727 12900 SH Sole 0 12900 LIFE TECHNOLOGIES CORP. CS 53217V109 37169 575098 SH Sole 0 575098 679 10500 SH Defined 0 10500 LOWE'S COS INC CS 548661107 118310 3120000 SH Sole 0 3120000 5442 143500 SH Defined 0 136700 6800 MAIDENFORM BRANDS INC CS 560305104 14 800 SH Defined 0 800 MANPOWERGROUP CS 56418H100 15116 266500 SH Sole 0 266500 425 7500 SH Defined 0 7500 MAXIM INTEGRATED PRODUCTS CS 57772K101 22313 683400 SH Sole 0 683400 300 9200 SH Defined 0 9200 MICROCHIP TECHNOLOGY INC CS 595017104 29910 813651 SH Sole 0 813651 408 11100 SH Defined 0 11100 MICROSOFT CORP CS 594918104 335166 11715000 SH Sole 0 11715000 35657 1246300 SH Defined 0 1214600 31700 NAUGATUCK VALLEY FINL CORP CS 63906P107 172 24012 SH Defined 0 24012 NEWFIELD EXPLORATION CO CS 651290108 24375 1087200 SH Sole 0 1087200 32220 1437100 SH Defined 0 1258700 178400 NOBLE CORPORATION CS H5833N103 39386 1032400 SH Sole 0 1032400 8656 226900 SH Defined 0 211100 15800 O'REILLY AUTOMOTIVE, INC. CS 67103H107 81630 796000 SH Sole 0 796000 1241 12100 SH Defined 0 12100 OCCIDENTAL PETROLEUM CORP CS 674599105 158229 2019000 SH Sole 0 2019000 6842 87300 SH Defined 0 82800 4500 OMNICARE INC CS 681904108 238049 5846000 SH Sole 0 5846000 28199 692500 SH Defined 0 681000 11500 ORACLE CORPORATION CS 68389X105 199363 6164600 SH Sole 0 6164600 9214 284900 SH Defined 0 269300 15600 OSHKOSH CORP CS 688239201 53831 1266900 SH Sole 0 1266900 64988 1529500 SH Defined 0 1331400 198100 OWENS ILLINOIS INC CS 690768403 154972 5815100 SH Sole 0 5815100 7177 269307 SH Defined 0 260007 9300 PARKWAY PROPERTIES INC CS 70159Q104 6027 324900 SH Defined 0 324900 PATTERSON-UTI ENERGY INC CS 703481101 19158 803600 SH Sole 0 803600 24944 1046318 SH Defined 0 926518 119800 PETSMART INC CS 716768106 26268 423000 SH Sole 0 423000 379 6100 SH Defined 0 6100 POAGE BANKSHARES INC CS 730206109 1800 120404 SH Defined 0 120404 REGIS CORP CS 758932107 7514 413100 SH Sole 0 413100 333 18300 SH Defined 0 17900 400 RELIANCE STEEL & ALUMINUM CS 759509102 18612 261508 SH Sole 0 261508 20874 293300 SH Defined 0 256000 37300 ROSETTA RESOURCES INC REG CS 777779307 28719 603600 SH Defined 0 384500 219100 ROSETTA RESOURCES INC. CS 777779109 68577 1441302 SH Sole 0 1441302 44535 936000 SH Defined 0 936000 ROWAN COMPANIES PLC CS G7665A101 142440 4028276 SH Sole 0 4028276 113209 3201600 SH Defined 0 2836000 365600 RUSH ENTERPRISES INC CL B CS 781846308 750 36400 SH Defined 0 36400 SCANSOURCE, INC. CS 806037107 42493 1505764 SH Sole 0 1505764 799 28300 SH Defined 0 28300 SIGMA-ALDRICH CORPORATION CS 826552101 303 3900 SH Defined 0 3900 SIGNET JEWELERS LIMITED CS G81276100 85948 1282800 SH Sole 0 1282800 21185 316200 SH Defined 0 259000 57200 SM ENERGY COMPANY CS 78454L100 20247 341900 SH Sole 0 341900 30788 519900 SH Defined 0 410100 109800 SUNCOKE ENERGY PARTNERS L P CS 86722Y101 4276 204600 SH Defined 0 204600 TE CONNECTIVITY LTD CS H84989104 31590 753400 SH Sole 0 753400 1359 32400 SH Defined 0 31600 800 THE TORO COMPANY CS 891092108 226 4900 SH Defined 0 4900 THERMO FISHER SCIENTIFIC INC CS 883556102 282631 3695000 SH Sole 0 3695000 13064 170800 SH Defined 0 161100 9700 TIDEWATER INC CS 886423102 111 2200 SH Defined 0 2200 TRACTOR SUPPLY COMPANY CS 892356106 73 700 SH Defined 0 700 TRAVELERS COS INC CS 89417E109 58512 695000 SH Sole 0 695000 2652 31500 SH Defined 0 29700 1800 TRINITY INDUSTRIES INC CS 896522109 16029 353600 SH Sole 0 353600 20584 454100 SH Defined 0 401100 53000 UNILEVER N V N Y SHS NEW CS 904784709 381 9300 SH Defined 0 9300 VARIAN MEDICAL SYSTEM INC CS 92220P105 6422 89200 SH Sole 0 89200 86 1200 SH Defined 0 1200 VCA ANTECH INC CS 918194101 20941 891500 SH Sole 0 891500 381 16200 SH Defined 0 16200 VEECO INSTRS INC DEL COM CS 922417100 12676 330700 SH Sole 0 330700 16060 419000 SH Defined 0 369100 49900 VODAFONE GROUP PLC-SP ADR CS 92857W209 116399 4097100 SH Sole 0 4097100 11361 399900 SH Defined 0 399900 WABCO HOLDINGS INC CS 92927K102 59260 839500 SH Sole 0 839500 1193 16900 SH Defined 0 16900 WABTEC CORP CS 929740108 194 1900 SH Defined 0 1900 WAL-MART STORES INC CS 931142103 96905 1295000 SH Sole 0 1295000 4325 57800 SH Defined 0 55600 2200 WALGREEN CO CS 931422109 103704 2175000 SH Sole 0 2175000 4868 102100 SH Defined 0 97800 4300 WELLPOINT INC CS 94973V107 134116 2025000 SH Sole 0 2025000 15610 235700 SH Defined 0 232400 3300 WESTERN DIGITAL CORP. CS 958102105 73866 1469100 SH Sole 0 1469100 95130 1892000 SH Defined 0 1671100 220900 WW GRAINGER, INC. CS 384802104 315 1400 SH Defined 0 1400 XEROX CORP CS 984121103 79410 9233700 SH Sole 0 9233700 3654 424900 SH Defined 0 405800 19100 ZEBRA TECHNOLOGIES CORP. CL A CS 989207105 39368 835300 SH Sole 0 835300 614 13025 SH Defined 0 13025 PROLOGIS 6.75% SERIES S PFD. PS 74340W400 3008 120000 SH Sole 0 120000 TESCO PLC SPONSORED ADR AD 881575302 234 13400 SH Defined 0 13400 INTERDIGITAL INC CV CV 458660AB3 20651 18500000 PRN Defined 0 18500000 NAVISTAR INTL CORP CV 63934EAL2 9377 9193000 PRN Sole 0 9193000 2863 2807000 PRN Defined 0 2807000 BANK OF AMERICA CORP WT WT 060505146 372 65277 SH Defined 0 65277 JPMORGAN CHASE & CO WT 46634E114 142 10000 SH Defined 0 10000 S Report Summary 213 Data Records 9,206,098