FIRST PACIFIC CO LTD - COMMON STOCK-FO (FPAFY)

Historical Holders from Q1 2014 to Q4 2025

Type / Class
Equity / COMMON STOCK-FO
Symbol
FPAFY
Price per share
$3.79
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
528,827
Holdings value
$2,208,664
% of all portfolios
0%
Share change
-19,782
Value change
-$73,664
Average sells %
-0%
Number of holders
5
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, FIRST PACIFIC CO LTD - COMMON STOCK-FO (FPAFY) has 5 institutional shareholders filing 13F forms. They hold 528,827 shares .

Institutional Holders of FIRST PACIFIC CO LTD - COMMON STOCK-FO (FPAFY) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2025 Q4 26,044 $98,732 -$10,770 $3.79 1
2025 Q3 528,827 $2,208,664 -$73,664 $4.17 5
2025 Q2 548,609 $1,965,972 +$376,555 $3.57 6
2025 Q1 442,069 $1,327,329 -$12,100 $3.01 4
2024 Q4 446,112 $1,264,858 -$70,251 $2.90 3
2024 Q3 471,144 $1,271,547 -$6,872 $2.77 4
2024 Q2 473,689 $1,095,044 -$68,486 $2.32 4
2024 Q1 503,262 $1,233,725 -$912,688 $2.44 4
2023 Q4 68,025 $135,441 -$1,101 $1.99 3
2023 Q3 68,584 $135,166 -$31,729 $1.94 4
2023 Q2 84,631 $145,738 -$108,828 $1.71 4
2023 Q1 151,890 $242,652 +$104,446 $1.60 5
2022 Q4 1 $1 +$1 $1.00 1
2022 Q3 77,624 $117,000 $0 $1.50 2
2022 Q2 77,624 $151,000 -$9,560 $1.95 2
2022 Q1 82,541 $167,000 -$45,061 $2.02 2
2021 Q4 105,527 $193,000 +$18,682 $1.83 3
2021 Q3 82,108 $147,000 -$58,608 $1.79 1
2021 Q2 115,626 $199,000 +$65,127 $1.73 2
2021 Q1 78,409 $129,000 -$36,747 $1.65 1
2020 Q4 100,854 $163,000 -$1,447 $1.62 2
2020 Q3 103,670 $139,000 +$27,411 $1.33 4
2020 Q2 80,836 $76,000 -$31,219 $0.9379 2
2020 Q1 115,100 $104,000 +$23,445 $0.9093 3
2019 Q4 46,850 $78,000 -$133,033 $1.67 2
2019 Q3 159,848 $300,000 -$57,925 $1.86 3
2019 Q2 190,966 $376,000 -$260,583 $1.95 3
2019 Q1 324,575 $586,000 -$353,259 $1.81 3
2018 Q4 520,148 $1,002,000 -$2,028,650 $1.94 2
2018 Q3 1,574,818 $3,802,000 -$2,792,241 $2.39 3
2018 Q2 2,732,562 $6,448,000 +$51,602 $2.24 4
2018 Q1 2,708,016 $7,190,000 -$1,043,408 $2.89 2
2017 Q4 3,100,449 $10,448,000 -$160,603 $3.29 3
2017 Q3 3,147,994 $12,434,000 -$1,612,166 $3.92 3
2017 Q2 3,557,176 $13,161,000 +$206,984 $3.64 5
2017 Q1 3,501,485 $12,779,000 +$1,938,220 $3.63 5
2016 Q4 2,971,062 $10,281,000 +$418,151 $3.48 7
2016 Q3 2,850,311 $10,175,000 +$3,446,293 $3.57 7
2016 Q2 1,885,030 $6,742,000 -$703,888 $3.36 4
2016 Q1 2,080,817 $7,661,000 +$3,223,823 $3.72 3
2015 Q4 1,204,653 $3,990,000 +$3,875,171 $3.31 3
2015 Q3 1,614 $4,000 -$1,182,991 $2.48 1
2015 Q2 359,625 $1,530,000 -$289,531 $4.25 3
2015 Q1 427,355 $2,116,000 +$946,668 $4.95 3
2014 Q4 236,167 $1,152,000 -$67,912 $4.93 2
2014 Q3 248,574 $1,314,000 +$294,626 $5.29 3
2014 Q2 192,794 $1,084,000 -$623,368 $5.64 4
2014 Q1 328,138 $1,635,000 -$112,624 $4.97 3