JPMORGAN CHASE & CO Q1 2024 Filing

Filed May 10, 2024

Portfolio Value

$1.2T

Holdings

7,411

Report Date

Q1 2024

Filing Type

13F-HR

All Holdings (7,411 positions)

StockValue
BACBk of America Corp Com
$185.7M
VIGVanguard Group Div App ETF
$185.4M
FASTFASTENAL CO
$185.3M
AM6AMICUS THERAPEUTICS INC
$184.8M
SRESEMPRA
$184.4M
PGProcter and Gamble Co Com
$183.5M
ABFLFCF US QUALITY ETF
$182.2M
DKSDICKS SPORTING GOODS INC
$181.6M
PFFiShares Preferred & Income Securities ETF
$181.4M
ELSEQUITY LIFESTYLE PPTYS INC
$181.4M
WPCWP CAREY INC
$181.2M
VRSKVERISK ANALYTICS INC
$181.2M
TWTRADEWEB MKTS INC
$180.5M
STLDSTEEL DYNAMICS INC
$180.4M
GOOGLALPHABET INC
$179.5M
JAZZJAZZ PHARMACEUTICALS PLC
$179.4M
EGPEASTGROUP PPTYS INC
$179.4M
CYBRCYBERARK SOFTWARE LTD
$178.5M
LHXL3HARRIS TECHNOLOGIES INC
$178.4M
VWOVanguard Emerg Mkt ETF
$177.5M
PLDPROLOGIS INC. COM
$176.4M
DTEDTE ENERGY CO
$176.3M
AMDADVANCED MICRO DEVICES INC
$176.1M
FTNTFORTINET INC
$175.6M
FRPTFRESHPET INC
$175.0M
SHVISHARES SHORT TREASURY BOND
$174.7M
WABWABTEC
$174.6M
VUGVanguard Growth ETF
$174.6M
CRMSALESFORCE INC
$174.1M
ARMARM HOLDINGS PLC
$173.8M
QCOMQUALCOMM INC
$173.6M
DONSPDR DJIA TRUST
$173.1M
ABXBARRICK GOLD CORP
$172.2M
GISGENERAL MLS INC
$170.6M
DGDOLLAR GEN CORP NEW
$170.6M
GEHCGE HEALTHCARE TECHNOLOGIES I
$170.2M
MRKMERCK & CO INC
$170.1M
BACBANK AMERICA CORP
$169.8M
CECELANESE CORP DEL
$169.2M
XOMEXXON MOBIL CORP
$168.7M
AQLTISHARES US TREASURY BOND ETF
$167.1M
XLKTECHNOLOGY SELECT SECT SPDR
$166.8M
RBBNRIBBON COMMUNICATIONS INC
$166.5M
MTSIMACOM TECH SOLUTIONS HLDGS I
$166.3M
PYPLPAYPAL HLDGS INC
$165.4M
LINLinde Plc Shs
$165.2M
GPKGRAPHIC PACKAGING HLDG CO
$164.9M
LAMRLAMAR ADVERTISING CO NEW
$164.6M
WSCWILLSCOT MOBIL MINI HLDNG CO
$162.4M
DWDMorgan Stanley Com New
$162.1M
BCEBCE INC
$162.0M
TOSTTOAST INC
$161.9M
TXRHTEXAS ROADHOUSE INC
$161.6M
CFGCITIZENS FINL GROUP INC
$160.5M
NEMNEWMONT CORP
$160.2M
ACIALBERTSONS COS INC
$160.0M
CHECHEMED CORP NEW
$159.8M
IRMIRON MTN INC DEL
$159.6M
IGSBISHARES TRUST ISHARES 1-5 YEAR
$159.5M
XLKSelect Sector SPDR Technology
$159.3M
SUSAISHARES MSCI USA ESG SELECT
$159.3M
HPEHEWLETT PACKARD ENTERPRISE C
$159.3M
ALCALCON AG
$158.1M
UUNITY SOFTWARE INC
$157.9M
AMDADVANCED MICRO DEVICES INC
$157.8M
VCRVANGUARD CONSUMER DISCRE ETF
$157.0M
CITCINTAS CORP COM
$157.0M
WF2WINTRUST FINL CORP
$156.9M
WDCWESTERN DIGITAL CORP.
$156.4M
STLASTELLANTIS N.V
$156.4M
RHPRYMAN HOSPITALITY PPTYS INC
$155.8M
EVHEVOLENT HEALTH INC
$155.7M
EAELECTRONIC ARTS INC
$155.5M
MOHMOLINA HEALTHCARE INC
$155.4M
NNNNNN REIT INC
$155.3M
LCIILCI INDS
$155.2M
GEGENERAL ELECTRIC CO
$155.0M
WPMWHEATON PRECIOUS METALS CORP
$154.9M
CCEPCOCA-COLA EUROPACIFIC PARTNE
$154.9M
FBNDFIDELITY TOTAL BOND ETF
$154.2M
TLHISHARES 10-20 YEAR TREASURY
$153.4M
AERAERCAP HOLDINGS NV
$153.0M
HONHoneywell International Inc Co
$153.0M
LIESUN LIFE FINANCIAL INC.
$152.4M
ALGMALLEGRO MICROSYSTEMS INC
$152.2M
MRNAMODERNA INC
$152.1M
ADCAGREE RLTY CORP
$151.9M
KIESPDR S&P INSURANCE ETF
$151.7M
SBCSABRA HEALTH CARE REIT INC
$151.7M
JCPBJPM CORE PLUS BOND ETF
$151.3M
CTVACORTEVA INC
$151.0M
EXLSEXLSERVICE HOLDINGS INC
$150.9M
HALHALLIBURTON CO
$150.8M
BLDRBUILDERS FIRSTSOURCE INC
$150.4M
ENRENERGIZER HLDGS INC NEW
$149.8M
AQLTISHARES SELECT DIVIDEND ETF
$149.3M
GMGENERAL MTRS CO
$149.0M
AIGAMERICAN INTL GROUP INC
$148.7M
MAMastercard Incorporated Cl A
$148.5M
FNVFRANCO NEV CORP
$147.4M
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