JPMORGAN CHASE & CO Q2 2021 Filing

Filed August 12, 2021

Portfolio Value

$838.2M

Holdings

6,436

Report Date

Q2 2021

Filing Type

13F-HR

All Holdings (6,436 positions)

StockValue
HBBHAMILTON BEACH BRANDS HLDG C
$249K
KLUDEIN I ACQUISITION CORP
$249K
EPIZYME INC
$249K
QLCFLEXSHARES US QUALITY LG CAP
$248K
ACMRACM RESH INC
$248K
RSIRUSH STREET INTERACTIVE INC
$248K
MISONIX INC
$247K
MUFGMITSUBISHI UFJ FINL GROUP IN
$246K
OPHTEURIVERIC BIO INC
$246K
FRSTPRIMIS FINANCIAL CORP
$246K
TASTEMAKER ACQUISITION CORP
$246K
VAC2USDVBI VACCINES INC CDA
$245K
EPMEVOLUTION PETE CORP
$245K
INFUINFUSYSTEM HLDGS INC
$244K
KRPKIMBELL RTY PARTNERS LP
$244K
ISHARES IBONDS DEC 2021 TERM MUNI Bond ETF
$243K
BETZROUNDHILL SPORTS BET & IGAM
$243K
SSOPROSHARES ULTRA S&P500
$242K
NATHNATHANS FAMOUS INC NEW
$242K
TROXTRONOX HOLDINGS PLC
$242K
PKWINVESCO BUYBACK ACHIEVERS ET
$242K
ELVTUSDELEVATE CREDIT INC
$242K
DILA CAPITAL ACQUISITION COR
$242K
PRETIUM RES INC
$242K
BWFGBANKWELL FINL GROUP INC
$242K
GSEWGOLDMAN SACHS EQL WGHT LARGE
$241K
EPOLISHARES MSCI POLAND ETF
$240K
UGI 7.25 06/01/24UGI CORP NEW
$240K
FRHCFREEDOM HLDG CORP NEV
$240K
XBITXBIOTECH INC
$238K
TABULA RASA HEALTHCARE INC
$238K
SVXYPROSHARES SHORT VIX ST FUTUR
$237K
IDNINTELLICHECK INC
$236K
ZHZHIHU INC
$235K
CYCLERION THERAPEUTICS INC
$233K
KWE1RING ENERGY INC
$233K
CAPSTONE GREEN ENERGY CORP
$233K
PSTLPOSTAL REALTY TRUST INC
$232K
GATOGATOS SILVER INC
$232K
USLUNITED STATES 12 MONTH OIL
$232K
BDQMALBIREO PHARMA INC
$232K
CHINA ONLINE ED GROUP
$231K
NEUBASE THERAPEUTICS INC
$231K
RH
$231K
NODKNI HLDGS INC
$231K
ORGSORGENESIS INC
$230K
VTE1ASURE SOFTWARE INC
$230K
FSTRFOSTER L B CO
$230K
ATLOAMES NATL CORP
$229K
TMVDRX DLY 20 YR TREAS BEAR 3X
$228K
LQDALIQUIDIA CORPORATION
$227K
HUIZE HLDG LTD
$227K
FTHMFATHOM HOLDINGS INC
$227K
CMRXEURCHIMERIX INC
$226K
SUNPOWER CORP
$225K
SCHXSCHWAB US LARGE-CAP ETF
$224K
CELCCELCUITY INC
$224K
PWODPENNS WOODS BANCORP INC
$224K
UTBUNITY BANCORP INC
$223K
INTRICON CORP
$223K
REGNREGENERON PHARMACEUTICALS
$223K
CMCLCALEDONIA MNG CORP PLC
$222K
SMSISMITH MICRO SOFTWARE INC
$222K
ALCOALICO INC
$222K
REALNETWORKS INC
$222K
THE LION ELECTRIC COMPANY
$222K
G MED INNOVATIONS HLDGS LTD
$221K
TIGOMILLICOM INTL CELLULAR S A
$221K
PFLTPENNANTPARK FLOATING RATE CA
$221K
SPHDPowerShares S&P 500 High Dividend Low VolatilityPortfolio
$220K
SHGSHINHAN FINANCIAL GROUP CO L
$220K
PJPINVESCO DYNAMIC PHARMACEUTIC
$220K
CENTENNIAL RESOURCE DEV INC
$220K
MDC PARTNERS INC.
$220K
LZLEGALZOOM COM INC
$219K
CLVTCLARIVATE PLC
$219K
SGITEMPUR SEALY INTL INC
$219K
BPRNUSDBANK PRINCETON NEW JERSEY
$218K
TCW SPECIAL PURPOSE ACQU COR
$218K
CMLSCUMULUS MEDIA INC
$218K
AFCGAFC GAMMA INC
$217K
TDOC 1.375 05/15/25TELADOC HEALTH INC
$217K
HBMDHOWARD BANCORP INC
$217K
EWTXEDGEWISE THERAPEUTICS INC
$216K
ASMBASSEMBLY BIOSCIENCES INC
$216K
MACKINAC FINL CORP
$216K
GLSIGREENWICH LIFESCIENCES INC
$216K
INTREXON CORP
$216K
BOCBOSTON OMAHA CORP
$215K
ARAVIVE INC
$214K
THTARGET HOSPITALITY CORP
$214K
T7DTRANSDIGM GROUP INC
$214K
PRVBUSDPROVENTION BIO INC
$213K
ROCKWELL MED INC
$213K
MLRMILLER INDS INC TENN
$213K
DGICADONEGAL GROUP INC
$213K
IBDRISHARES IBONDS DEC 2026 TERM
$212K
QCLNFIRST TRUST NASDAQ CLEAN EDG
$212K
NBISYANDEX N V
$212K
ALDXALDEYRA THERAPEUTICS INC
$211K
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