JPMORGAN CHASE & CO Q3 2020 Filing

Filed November 12, 2020

Portfolio Value

$597.8M

Holdings

5,721

Report Date

Q3 2020

Filing Type

13F-HR

All Holdings (5,721 positions)

StockValue
DDDUPONT DE NEMOURS INC
$26.6M
VCRVANGUARD CONSUMER DISCRE ETF
$26.6M
OSH3EUROAK STR HEALTH INC
$26.6M
TOTLSPDR DOUBLELINE TR TACT ETF
$26.6M
LGIHLGI HOMES INC
$26.5M
WEIBO CORP
$26.4M
RBAGBPRITCHIE BROS AUCTIONEERS
$26.3M
VACMARRIOTT VACTINS WORLDWID CO
$26.3M
HUYAHUYA INC
$26.2M
FIAT CHRYSLER AUTOMOBILES N
$26.2M
TRMBTRIMBLE INC
$26.1M
JMUBJPMORGAN MUNICIPAL ETF
$26.1M
NOVAN INC
$26.0M
HLTHILTON WORLDWIDE HLDGS INC
$26.0M
NUVAGBPNUVASIVE INC
$25.9M
PMTPENNYMAC MTG INVT TR
$25.8M
HRUSDHEALTHCARE RLTY TR
$25.8M
TRMKTRUSTMARK CORP
$25.8M
IXJISHARES GLOBAL HEALTHCARE ET
$25.8M
OHIOMEGA HEALTHCARE INVS INC
$25.7M
RPMRPM INTL INC
$25.3M
DENEURDENBURY INC
$25.3M
3M4MASIMO CORP
$25.3M
NUANCE COMMUNICATIONS INC
$25.2M
JPEMJPM DIVERSIFIED RET EM EQUIT
$25.2M
KCKINGSOFT CLOUD HLDGS LTD
$25.2M
BGBBLACKSTONE/GSO STRATEGIC C
$25.2M
UNION PAC CORP
$25.1M
VRSNVERISIGN INC
$25.1M
NESCO HLDGS INC
$25.0M
GHGUARDANT HEALTH INC
$25.0M
BIGGQBIG LOTS INC
$25.0M
SFBSSERVISFIRST BANCSHARES INC
$25.0M
SKMEURSK TELECOM LTD
$25.0M
AAALCOA CORP
$24.9M
NTCOYNATURA &CO HLDG S A
$24.9M
TTDTHE TRADE DESK INC
$24.9M
CDPCORPORATE OFFICE PPTYS TR
$24.7M
RHCRH PLC
$24.7M
CCEPCOCA COLA EUROPEAN PARTNERS
$24.7M
SILICON LABORATORIES INC
$24.6M
AMKRAMKOR TECHNOLOGY INC
$24.6M
OVEROVERSTOCK COM INC DEL
$24.6M
BLDTOPBUILD CORP
$24.5M
UGIUGI CORP NEW
$24.5M
WMTWALMART INC
$24.4M
SFMSPROUTS FMRS MKT INC
$24.4M
GKOSGLAUKOS CORP
$24.3M
MTNVAIL RESORTS INC
$24.3M
ACACIA COMMUNICATIONS INC
$24.3M
IXUSISHARES CORE INTL STOCK ETF
$24.3M
GENNORTONLIFELOCK INC
$24.3M
XLFISELECT SECTOR SPDR TR
$24.2M
CHRWC H ROBINSON WORLDWIDE INC
$24.2M
FULFULLER H B CO
$24.2M
VVISA INC
$24.2M
MDYSPDR S&P MIDCAP 400 ETF TRST
$24.2M
FOOT LOCKER INC
$24.1M
NVONOVO-NORDISK A S
$24.0M
TPRTAPESTRY INC
$24.0M
LXPUSDLEXINGTON REALTY TRUST
$23.9M
URTHISHARES MSCI WORLD ETF
$23.9M
AELUSDAMERICAN EQTY INVT LIFE HLD
$23.9M
DVADAVITA INC
$23.9M
AZTABROOKS AUTOMATION INC NEW
$23.8M
IJSISHARES S&P SMALL-CAP 600 VA
$23.8M
GLPIGAMING & LEISURE PPTYS INC
$23.7M
COSTCO WHSL CORP NEW
$23.7M
BP MIDSTREAM PARTNERS LP
$23.7M
AALAMERICAN AIRLS GROUP INC
$23.7M
WCCWESCO INTL INC
$23.7M
SLRCSOLAR CAP LTD
$23.7M
TAPMOLSON COORS BEVERAGE CO
$23.6M
EATBRINKER INTL INC
$23.6M
CHINDATA GROUP HLDGS LTD
$23.5M
$23.5M
JBLJABIL INC
$23.5M
GDS HLDGS LTD
$23.4M
FATEFATE THERAPEUTICS INC
$23.4M
TBITRUEBLUE INC
$23.4M
CHCOCITY HLDG CO
$23.3M
LILAK 2 07/15/24LIBERTY LATIN AMERICA LTD
$23.3M
MFA FINL INC
$23.3M
TIFFANY & CO NEW
$23.3M
ARCC 4.625 03/01/24ARES CAPITAL CORP
$23.3M
PRSPPERSPECTA INC
$23.3M
WSOWATSCO INC
$23.2M
SEMPRA ENERGY
$23.2M
ATHMAUTOHOME INC
$23.1M
AERAERCAP HOLDINGS NV
$23.1M
BHEBENCHMARK ELECTRS INC
$23.1M
CXOEURCONCHO RES INC
$23.1M
VCITVANGUARD INT-TERM CORPORATE
$23.1M
PENPENUMBRA INC
$23.1M
PLURALSIGHT INC
$23.0M
JMOMJPMORGAN US MOMENTUM FACTOR
$23.0M
TXG10X GENOMICS INC
$23.0M
SAPSAP SE
$23.0M
BXMTBLACKSTONE MTG TR INC
$22.9M
BIDUBAIDU INC
$22.9M
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