Objective: Current income and long-term total return.

Investments: Fixed income; convertible securities; preferred stock; common stock.
     
Fund data as of 7/3/2008
Net Asset Value: $10.95
Maximum Offering Price: $11.35
Cusip: 302544101
Ticker: FPNIX
Quarterly Portfolio Holdings

Investment Officer: Robert L. Rodriguez and Thomas H. Atteberry
     
Founded: 1969; under FPA management since July 1984


Data below last updated May 31, 2008

Average Annual Total Return *
 
 
12 Months
5 Years
10 Years
Before Tax
+2.02%
+3.76%
+5.12%
After Tax on Distribution
+0.34%
+2.18%
+3.00%
After Tax on Distribution
and Sale of Fund Shares
+0.75%
+2.28%
+3.05%
The maximum sales charge of 3.50% and all applicable expenses, such as advisory fees, have been included. Please see additional disclosures below.*




 




Portfolio Structure

 
Total net assets: $2.038 billion
     
Total Securities in Portfolio: 156

Average Quality: AAA
     
Effective Duration: 1.13 years

Average Life: 1.32 years
     
Derivative Exposure: 2.81%


Data below last updated March 31, 2008

Top Sectors


Major Holdings

FHLB 5.25% '09
6.84%
       
0%
FHLB 4.75% '09
3.74%
       
0%
TN Valley Authority 5.375% '08
2.55%
       
0%
FFCB 5.25% '09
2.49%
       
0%
Toyota Motor Credit 5.25% '08
2.44%
       
0%

Top 10 Holdings represent 18.06% of Total Net Assets

* Performance has been calculated on a total return basis, which combines principal and dividend income changes for the periods shown. Principal changes are based on the difference between the beginning and closing net asset values for the period and assume reinvestment of all dividends and distributions paid. The maximum sales charge of 3.50% and all applicable expenses such as advisory fees have been included in calculating performance. Total return calculations are based on a $10,000 investment. This data represents past performance and investors should understand that investment returns and principal values fluctuate, so that when you redeem your investment it may be worth more or less than its original cost. The Prospectus details the Fund's objective and policies, sales charges, and other matters of interest to the prospective investor. Please read this Prospectus carefully before investing.