JPMORGAN CHASE & CO Q1 2017 Filing

Filed May 10, 2017

Portfolio Value

$437.6M

Holdings

5,095

Report Date

Q1 2017

Filing Type

13F-HR

All Holdings (5,095 positions)

StockValue
OTICEUROTONOMY INC
$62K
J40TPROSHARES TR
$62K
XEVVXEATON VANCE LTD DUR INCOME F
$61K
PIRSPIERIS PHARMACEUTICALS INC
$61K
SINOPEC SHANGHAI PETROCHEMIC
$61K
TRAVELCENTERS AMER LLC
$61K
BWENBROADWIND ENERGY INC
$61K
HEMISPHERE MEDIA GROUP INC
$61K
BOINGO WIRELESS INC
$61K
PROVIDENT BANCORP INC
$61K
DLAPQDELTA APPAREL INC
$61K
GBYSANGAMO THERAPEUTICS INC
$61K
NTRANATERA INC
$60K
NATRNATURES SUNSHINE PRODUCTS IN
$60K
LFVNLIFEVANTAGE CORP
$60K
MCHXMARCHEX INC
$60K
CONCORDIA INTERNATIONAL CORP
$60K
POWERSHARES ETF TR II
$60K
TCMDTACTILE SYS TECHNOLOGY INC
$60K
BBBLACKBERRY LTD
$59K
CPI CARD GROUP INC
$59K
CIVBCIVISTA BANCSHARES INC
$59K
AQLTISHARES TR
$59K
REETISHARES TR
$58K
GAINGLADSTONE INVT CORP
$58K
IGHGPROSHARES TR
$58K
WTIW & T OFFSHORE INC
$58K
BITBLACKROCK MULTI-SECTOR INC T
$57K
ELDWISDOMTREE TR
$57K
WLFCWILLIS LEASE FINANCE CORP
$57K
AMSCAMERICAN SUPERCONDUCTOR CORP
$57K
AMERICAN RENAL ASSOCIATES HO
$56K
EXPEDITORS INTL WASH INC
$56K
ALCOALICO INC
$55K
GAZIT GLOBE LTD
$55K
GWXSPDR INDEX SHS FDS
$55K
OSG1EUROVERSEAS SHIPHOLDING GROUP I
$55K
UNIQUE FABRICATING INC
$54K
URSTADT BIDDLE PPTYS INC
$54K
LSXMKUSDLIBERTY MEDIA CORP DELAWARE
$54K
BHCVALEANT PHARMACEUTICALS INTL
$53K
PARAGON COML CORP
$53K
SNDXSYNDAX PHARMACEUTICALS INC
$53K
OMFONEMAIN HLDGS INC
$53K
PRICELINE GRP INC
$53K
ADXADAMS DIVERSIFIED EQUITY FD
$52K
CASCADIAN THERAPEUTICS INC
$52K
XMPTVANECK VECTORS ETF TR
$52K
NAGECHROMADEX CORP
$52K
MMA CAP MGMT LLC
$51K
GNRSPDR INDEX SHS FDS
$51K
HNNAHENNESSY ADVISORS INC
$51K
FIBRIA CELULOSE S A
$51K
HLNEHAMILTON LANE INC
$50K
HANDY & HARMAN LTD
$50K
STRSSTRATUS PPTYS INC
$50K
SANDRIDGE MISSISSIPPIAN TR I
$50K
MCYMERCURY GENL CORP NEW
$50K
RCKYROCKY BRANDS INC
$50K
LWAYLIFEWAY FOODS INC
$50K
GWRSGLOBAL WTR RES INC
$50K
ONCOMED PHARMACEUTICALS INC
$50K
GRCGORMAN RUPP CO
$50K
BIO PATH HOLDINGS INC
$49K
CORINDUS VASCULAR ROBOTICS I
$49K
ADEPTUS HEALTH INC
$48K
TCP CAP CORP
$48K
NEW YORK MTG TR INC
$48K
CLPRCLIPPER RLTY INC
$48K
PEAK RESORTS INC
$48K
ISRAMCO INC
$47K
CODICOMPASS DIVERSIFIED HOLDINGS
$47K
WERNWERNER ENTERPRISES INC
$47K
CPFL ENERGIA S A
$47K
GSBDGOLDMAN SACHS BDC INC
$47K
GLOBAL SOURCES LTD
$47K
NTLAINTELLIA THERAPEUTICS INC
$47K
BOOMDMC GLOBAL INC
$47K
SPLBSPDR SERIES TRUST
$47K
GAIAGAIA INC NEW
$47K
GCBCGREENE COUNTY BANCORP INC
$46K
LTPZPIMCO ETF TR
$46K
SPTLSPDR SERIES TRUST
$46K
ALJ REGIONAL HLDGS INC
$46K
BROOKFIELD GLOBL LISTED INFR
$45K
SPDR INDEX SHS FDS
$45K
NUMEREX CORP PA
$45K
MDGLMADRIGAL PHARMACEUTICALS INC
$45K
TRHCEURTABULA RASA HEALTHCARE INC
$45K
NAVIOS MARITIME HOLDINGS INC
$45K
TCSUSDCONTAINER STORE GROUP INC
$44K
COHEN & STEERS MLP INC & ENR
$44K
OPKOPKO HEALTH INC
$44K
CAMBIUM LEARNING GRP INC
$44K
WBWEIBO CORP
$44K
KBIAKB FINANCIAL GROUP INC
$43K
SMRFALPS ETF TR
$43K
LVLNSPDR SERIES TRUST
$43K
DMRCDIGIMARC CORP NEW
$43K
QLTAISHARES TR
$43K
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