JPMORGAN CHASE & CO Q3 2017 Filing
Filed November 9, 2017
Portfolio Value
$453.3M
Holdings
5,010
Report Date
Q3 2017
Filing Type
13F-HR
All Holdings (5,010 positions)
| Stock | Value |
|---|---|
—MAZOR ROBOTICS LTD | $427K |
—FRANCESCAS HLDGS CORP | $427K |
NOCNORTHROP GRUMMAN CORP | $427K |
—AMERICAN RAILCAR INDS INC | $426K |
—CLOVIS ONCOLOGY INC | $425K |
UBNTEURUBIQUITI NETWORKS INC | $425K |
ULHUNIVERSAL LOGISTICS HLDGS IN | $423K |
AINALBANY INTL CORP | $422K |
HEZUISHARES TR | $420K |
GREKUSDGLOBAL X FDS | $420K |
HLITHARMONIC INC | $419K |
MNROMONRO INC | $416K |
RCKYROCKY BRANDS INC | $416K |
CREECREE INC | $415K |
EFGISHARES TR | $414K |
VCRVANGUARD WORLD FDS | $412K |
CMFISHARES TR | $408K |
BMRCBANK OF MARIN BANCORP | $407K |
DFINDONNELLEY FINL SOLUTIONS INC | $406K |
—TRINITY BIOTECH PLC | $405K |
VTWOVANGUARD SCOTTSDALE FDS | $404K |
YTRAYATRA ONLINE INC | $403K |
STAGSTAG INDL INC | $403K |
WERNWERNER ENTERPRISES INC | $401K |
—CENTRAL EUROPEAN MEDIA ENTRP | $400K |
GDSGDS HLDGS LTD | $399K |
—LEGG MASON ETF INVESTMENT TR | $399K |
IYCISHARES TR | $397K |
—AMTRUST FINL SVCS INC | $397K |
MGPIMGP INGREDIENTS INC NEW | $393K |
—FINISH LINE INC | $390K |
—CIVEO CORP CDA | $390K |
—GENERAL MLS INC | $387K |
PCRXPACIRA PHARMACEUTICALS INC | $387K |
—CRAY INC | $385K |
—PIONEER ENERGY SVCS CORP | $384K |
—CLAYMORE EXCHANGE TRD FD TR | $383K |
UVSPUNIVEST CORP PA | $382K |
VOTVANGUARD INDEX FDS | $378K |
BNEDBARNES & NOBLE ED INC | $376K |
LQDTLIQUIDITY SERVICES INC | $374K |
VIXYUSDPROSHARES TR II | $373K |
AMRNAMARIN CORP PLC | $370K |
—L BRANDS INC | $370K |
FGDFIRST TR EXCHANGE TRADED FD | $368K |
—CASCADIAN THERAPEUTICS INC | $367K |
GYLDARROW ETF TR | $366K |
CVA1EURCOVANTA HLDG CORP | $365K |
—POWERSHARES ETF TR II | $363K |
PS1COMPUTER PROGRAMS & SYS INC | $363K |
—LIGAND PHARMACEUTICALS INC | $361K |
SOHOSOTHERLY HOTELS INC | $360K |
MGNXMACROGENICS INC | $359K |
—MEDICINES CO | $359K |
QQEWFIRST TR NAS100 EQ WEIGHTED | $359K |
JEGBPJUST ENERGY GROUP INC | $357K |
—UNISYS CORP | $355K |
ADVMCHFADVERUM BIOTECHNOLOGIES INC | $355K |
GVIISHARES TR | $354K |
FFNWFIRST FINANCIAL NORTHWEST IN | $353K |
—POWERSHARES ETF TRUST II | $353K |
CHLUSDCHINA MOBILE LIMITED | $352K |
IGEISHARES TR | $352K |
THCTENET HEALTHCARE CORP | $351K |
MUNIPIMCO ETF TR | $351K |
JPEMJ P MORGAN EXCHANGE TRADED F | $351K |
INBKFIRST INTERNET BANCORP | $349K |
—POWERSHARES ETF TRUST II | $348K |
FLBFLUIDIGM CORP DEL | $345K |
TLYSTILLYS INC | $342K |
GFFGRIFFON CORP | $342K |
MSLMIDSOUTH BANCORP INC | $340K |
—ASCENA RETAIL GROUP INC | $337K |
—FQF TR | $335K |
CSIQCANADIAN SOLAR INC | $333K |
DHSWISDOMTREE TR | $332K |
—POWERSHARES ETF TRUST | $330K |
AVDLAVADEL PHARMACEUTICALS PLC | $329K |
—CARDIOME PHARMA CORP | $329K |
VCELVERICEL CORP | $328K |
—CIDARA THERAPEUTICS INC | $328K |
HIFSHINGHAM INSTN SVGS MASS | $327K |
—CLAYMORE EXCHANGE TRD FD TR | $326K |
MDGLMADRIGAL PHARMACEUTICALS INC | $325K |
—BRIDGEPOINT ED INC | $323K |
CCBGCAPITAL CITY BK GROUP INC | $323K |
IEZISHARES TR | $322K |
—BLACKSTONE MTG TR INC | $321K |
AU3EURANGLOGOLD ASHANTI LTD | $321K |
—INVACARE CORP | $318K |
—TELARIA INC | $316K |
QRTEALIBERTY INTERACTIVE CORP | $314K |
—RENREN INC | $313K |
NTIPNETWORK 1 TECHNOLOGIES INC | $311K |
IRWDIRONWOOD PHARMACEUTICALS INC | $311K |
CHMGCHEMUNG FINL CORP | $309K |
SUSAISHARES TR | $309K |
IYJISHARES TR | $308K |
AMZNAMAZON COM INC | $306K |
—USA TRUCK INC | $306K |