JPMORGAN CHASE & CO Q3 2018 Filing

Filed November 7, 2018

Portfolio Value

$522.2M

Holdings

5,734

Report Date

Q3 2018

Filing Type

13F-HR

All Holdings (5,734 positions)

StockValue
VVXVECTRUS INC
$16.7M
ADIANALOG DEVICES INC
$16.7M
TIM PARTICIPACOES S A
$16.6M
PAGSPAGSEGURO DIGITAL LTD
$16.6M
BLACKROCK CAPITAL INVESTMENT
$16.6M
ARRIS INTL INC
$16.6M
NIELSEN HLDGS PLC
$16.6M
FFIVF5 NETWORKS INC
$16.6M
QCOMQUALCOMM INC
$16.6M
DDOMINION ENERGY MIDSTRM PRTN
$16.5M
BURLBURLINGTON STORES INC
$16.5M
AWGASBURY AUTOMOTIVE GROUP INC
$16.5M
MMM3M CO
$16.4M
ICFIICF INTL INC
$16.4M
NBL2EURNOBLE ENERGY INC
$16.4M
MSGSMADISON SQUARE GARDEN CO NEW
$16.3M
NOBLE MIDSTREAM PARTNERS LP
$16.3M
AXPAMERICAN EXPRESS CO
$16.3M
BIOMARIN PHARMACEUTICAL INC
$16.3M
JFRNUVEEN FLOATING RATE INCOME
$16.3M
ROWAN COMPANIES PLC
$16.3M
3M4MASIMO CORP
$16.3M
NEANUVEEN FLTNG RTE INCM OPP FD
$16.2M
CDPCORPORATE OFFICE PPTYS TR
$16.2M
HYSPIMCO ETF TR
$16.2M
IQVIQVIA HLDGS INC
$16.1M
CYBRCYBERARK SOFTWARE LTD
$16.1M
KMXCARMAX INC
$16.1M
SLCAU S SILICA HLDGS INC
$16.1M
SBG1SEACOAST BKG CORP FLA
$16.1M
SF9SANDERSON FARMS INC
$16.1M
MYRGMYR GROUP INC DEL
$16.0M
ETRENTERGY CORP NEW
$16.0M
OIBR/USDOI S A
$16.0M
UNPUNION PAC CORP
$16.0M
PRGOPERRIGO CO PLC
$15.9M
SUISUN CMNTYS INC
$15.9M
TTENTOTAL S A
$15.9M
CARDTRONICS PLC
$15.8M
VANECK VECTORS ETF TR
$15.8M
HDHOME DEPOT INC
$15.8M
AMD 2.125 09/01/26ADVANCED MICRO DEVICES INC
$15.8M
BROADCOM INC
$15.7M
HOUGHTON MIFFLIN HARCOURT CO
$15.7M
TECHBIO TECHNE CORP
$15.7M
INVAINNOVIVA INC
$15.6M
WASHWASHINGTON TR BANCORP
$15.6M
EBAYEBAY INC
$15.5M
KINDER MORGAN INC DEL
$15.5M
COLDAMERICOLD RLTY TR
$15.5M
RSX1USDVANECK VECTORS ETF TR
$15.4M
CMCSACOMCAST CORP NEW
$15.4M
VTYVERINT SYS INC
$15.4M
AMGNAMGEN INC
$15.4M
CMCCOMMERCIAL METALS CO
$15.4M
UNIT CORP
$15.4M
CHKEURCHESAPEAKE ENERGY CORP
$15.4M
MICRON TECHNOLOGY INC
$15.4M
TIER REIT INC
$15.4M
WASHINGTON PRIME GROUP NEW
$15.4M
CAMPBELL SOUP CO
$15.3M
MFCMANULIFE FINL CORP
$15.3M
AIR LEASE CORP
$15.3M
AMLPUSDALPS ETF TR
$15.3M
RIORIO TINTO PLC
$15.3M
BARRICK GOLD CORP
$15.3M
HPHELMERICH & PAYNE INC
$15.3M
XLFISELECT SECTOR SPDR TR
$15.2M
BOXDROPBOX INC
$15.2M
GOGLGOLDEN OCEAN GROUP LTD
$15.1M
AMXNAMERICA MOVIL SAB DE CV
$15.1M
VOEVANGUARD INDEX FDS
$15.1M
ENVESTNET INC
$15.1M
CMRECOSTAMARE INC
$15.1M
AMERICAN RENAL ASSOCIATES HO
$15.0M
COLONY CAP INC NEW
$15.0M
ANTERO MIDSTREAM GP LP
$14.9M
OTXOPEN TEXT CORP
$14.9M
SLBSCHLUMBERGER LTD
$14.8M
TOTLSSGA ACTIVE ETF TR
$14.8M
FTCHQFARFETCH LTD
$14.8M
CCITIGROUP INC
$14.8M
GASLOG PARTNERS LP
$14.8M
DOMODOMO INC
$14.8M
GDXVANECK VECTORS ETF TR
$14.7M
MICRO FOCUS INTERNATIONAL PL
$14.7M
LNTHLANTHEUS HLDGS INC
$14.7M
CVECENOVUS ENERGY INC
$14.7M
BMRN 0.599 08/01/24BIOMARIN PHARMACEUTICAL INC
$14.6M
VIPSVIPSHOP HLDGS LTD
$14.6M
$14.6M
BGGUSDBRIGGS & STRATTON CORP
$14.6M
TMUST MOBILE US INC
$14.5M
LAMRLAMAR ADVERTISING CO NEW
$14.5M
RUTHUSDRUTHS HOSPITALITY GROUP INC
$14.4M
ACNACCENTURE PLC IRELAND
$14.4M
STAMPS COM INC
$14.4M
CIMCHIMERA INVT CORP
$14.3M
SRSPIRE INC
$14.3M
ALBALBEMARLE CORP
$14.3M
PreviousPage 19 of 58Next