JPMORGAN CHASE & CO Q2 2020 Filing
Filed August 11, 2020
Portfolio Value
$518.2M
Holdings
5,603
Report Date
Q2 2020
Filing Type
13F-HR
All Holdings (5,603 positions)
| Stock | Value |
|---|---|
SWTXSPRINGWORKS THERAPEUTICS INC | $694K |
AEBAALLETE INC | $693K |
PAYXPAYCHEX INC | $692K |
CZNCCITIZENS & NORTHN CORP | $692K |
G3VGREEN PLAINS INC | $692K |
TDYTELEDYNE TECHNOLOGIES INC | $691K |
HEHAWAIIAN ELEC INDUSTRIES | $691K |
RUSHARUSH ENTERPRISES INC | $690K |
FXIISHARES CHINA LARGE-CAP ETF | $690K |
TTCTORO CO | $689K |
MHOM/I HOMES INC | $689K |
TCXTUCOWS INC | $688K |
—HERCULES CAPITAL INC | $688K |
VMDVIEMED HEALTHCARE INC | $687K |
HTEURHERSHA HOSPITALITY TR | $686K |
IOSPINNOSPEC INC | $685K |
—CRESCENT PT ENERGY CORP | $685K |
CLSEURCELESTICA INC | $685K |
HFCUSDHOLLYFRONTIER CORP | $685K |
HCAHCA HEALTHCARE INC | $685K |
BBBLACKBERRY LTD | $684K |
FT2FIRST HORIZON NATL CORP | $684K |
AUBATLANTIC UN BANKSHARES CORP | $683K |
DISCKUSDDISCOVERY INC | $683K |
AMAGAMAG PHARMACEUTICALS INC | $683K |
HRTXHERON THERAPEUTICS INC | $683K |
ACHCACADIA HEALTHCARE COMPANY IN | $683K |
ALGTALLEGIANT TRAVEL CO | $683K |
—MACATAWA BK CORP | $682K |
—PQ GROUP HLDGS INC | $682K |
—ISIS PHARMACEUTICALS INC DEL | $681K |
—TCR2 THERAPEUTICS INC | $681K |
GHMGRAHAM CORP | $679K |
NGDNEW GOLD INC CDA | $679K |
ANETEURARISTA NETWORKS INC | $679K |
WASHWASHINGTON TR BANCORP | $678K |
GMS1EURGMS INC | $678K |
ASHASHLAND GLOBAL HLDGS INC | $677K |
IEURISHARES CORE MSCI EUROPE | $677K |
STLAFIAT CHRYSLER AUTOMOBILES N | $677K |
WF2WINTRUST FINL CORP | $675K |
TMETENCENT MUSIC ENTMT GROUP | $673K |
IEIINSIGHT ENTERPRISES INC | $673K |
—COREPOINT LODGING INC | $672K |
MXLMAXLINEAR INC | $672K |
PQ3PROVIDENT FINL SVCS INC | $671K |
TRTN-PATRITON INTL LTD | $671K |
KBHKB HOME | $669K |
EWSISHARES MSCI SINGAPORE ETF | $669K |
—EOG RES INC | $669K |
TGNATEGNA INC | $669K |
BILLBILL COM HLDGS INC | $668K |
—NATUS MED INC DEL | $668K |
TPRTAPESTRY INC | $668K |
—MENLO THERAPEUTICS INC | $667K |
SYKSTRYKER CORPORATION | $667K |
APLSAPELLIS PHARMACEUTICALS INC | $667K |
VHTVANGUARD HEALTH CARE ETF | $666K |
GRCGORMAN RUPP CO | $666K |
FEYECHFFIREEYE INC | $665K |
BSMBLACK STONE MINERALS L P | $664K |
CHRWC H ROBINSON WORLDWIDE INC | $663K |
CASHMETA FINL GROUP INC | $663K |
ICLNISHARES GLOBAL CLEAN ENERGY | $663K |
BBREJPMORGAN BETABUILDERS MSCI US REIT ETF | $663K |
—PLURALSIGHT INC | $662K |
SAHSONIC AUTOMOTIVE INC | $661K |
—UNITED AIRLS HLDGS INC | $661K |
BBSIBARRETT BUSINESS SVCS INC | $661K |
IXCISHARES GLOBAL ENERGY ETF | $661K |
ZEN1EURZENDESK INC | $660K |
THCTENET HEALTHCARE CORP | $660K |
HAYNUSDHAYNES INTERNATIONAL INC | $660K |
NVSTENVISTA HOLDINGS CORPORATION | $660K |
DGIIDIGI INTL INC | $660K |
G9NGRUPO AEROPUERTO DEL PACIFIC | $660K |
AGYSAGILYSYS INC | $659K |
BSCKINVESCO BULLETSHARES 2020 CORP | $659K |
LVLNSPDR S&P REGIONAL BANKING | $659K |
GTNGRAY TELEVISION INC | $658K |
ENPHENPHASE ENERGY INC | $656K |
GVIISHARES INTERMEDIATE GOVERNM | $656K |
VREXVAREX IMAGING CORP | $656K |
MKSIMKS INSTRS INC | $656K |
S7VSALLY BEAUTY HLDGS INC | $656K |
STMSTMICROELECTRONICS N V | $655K |
DHTDHT HOLDINGS INC | $655K |
RCI/BROGERS COMMUNICATIONS INC | $653K |
—CITIZENS HLDG CO MISS | $653K |
AMCRAMCOR PLC | $652K |
CRBNISHARES MSCI ACWI LOW CARBON | $652K |
—APTINYX INC | $651K |
—DMY TECHNOLOGY GROUP INC | $650K |
LITE 0.25 03/15/24LUMENTUM HLDGS INC | $650K |
NBHCNATIONAL BK HLDGS CORP | $649K |
—MFA FINL INC | $649K |
DBXDROPBOX INC | $649K |
DONSPDR DJIA TRUST | $646K |
VCVISTEON CORP | $646K |
CVA1EURCOVANTA HLDG CORP | $645K |