JPMORGAN CHASE & CO Q4 2020 Filing

Filed February 11, 2021

Portfolio Value

$680.7B

Holdings

5,728

Report Date

Q4 2020

Filing Type

13F-HR

All Holdings (5,728 positions)

#StockSharesValue% PortfolioType
401
WORKSLACK TECHNOLOGIES INC
3,794,956$1.5B0.23%
402
DREUSDDUKE REALTY CORP
2,318,566$1.5B0.23%
403
TDOCTELADOC HEALTH INC
2,165,681$1.5B0.23%
404
LABORATORY CORP AMER HLDGS
1,423,982$1.5B0.23%
405
INFYINFOSYS LTD
52,461,284$1.5B0.23%
406
PLTRPALANTIR TECHNOLOGIES INC
19,910,303$1.5B0.22%
407
CCKCROWN HLDGS INC
8,487,698$1.5B0.22%
408
AAMIBRIGHTSPHERE INVT GROUP INC
222,395$1.5B0.22%
409
AAXJISHARES MSCI ALL COUNTRY ASI
4,962,304$1.5B0.22%
410
PRSPPERSPECTA INC
1,141,307$1.5B0.22%
411
ETENERGY TRANSFER LP
42,456,900$1.5B0.22%
412
ETSYETSY INC
491,600$1.5B0.22%
413
MNSTMONSTER BEVERAGE CORP NEW
6,887,237$1.5B0.22%
414
NVECNVE CORP
27,011$1.5B0.22%
415
VICRVICOR CORP
16,439$1.5B0.22%
416
TMOTHERMO FISHER SCIENTIFIC INC
4,507,668$1.5B0.22%
417
FSBWFS BANCORP INC
27,660$1.5B0.22%
418
UPLDUPLAND SOFTWARE INC
121,115$1.5B0.22%
419
RNGRINGCENTRAL INC
1,184,175$1.5B0.22%
420
VISNCOMMSCOPE HLDG CO INC
14,656,708$1.5B0.22%
421
TRTOOTSIE ROLL INDS INC
50,906$1.5B0.22%
422
NTRANATERA INC
2,970,193$1.5B0.22%
423
CSTLCASTLE BIOSCIENCES INC
22,470$1.5B0.22%
424
NBIXNEUROCRINE BIOSCIENCES INC
953,263$1.5B0.22%
425
PSAPUBLIC STORAGE
3,612,431$1.5B0.22%
426
IFFINTERNATIONAL FLAVORS&FRAGRA
282,916$1.5B0.22%
427
GSHDGOOSEHEAD INS INC
54,070$1.5B0.22%
428
CSXCSX CORP
3,347,659$1.5B0.22%
429
WBAWALGREENS BOOTS ALLIANCE INC
4,308,171$1.5B0.22%
430
VOYAVOYA FINANCIAL INC
2,764,130$1.5B0.22%
431
CRMTAMERICAS CAR-MART INC
31,641$1.5B0.22%
432
CVECENOVUS ENERGY INC
5,512,037$1.5B0.22%
433
IHIISHARES U.S. MEDICAL DEVICES
137,399$1.5B0.22%
434
EPAMEPAM SYS INC
4,182,181$1.5B0.22%
435
AMWDAMERICAN WOODMARK CORPORATIO
59,543$1.5B0.22%
436
RBCAAREPUBLIC BANCORP INC KY
41,532$1.5B0.22%
437
TRVTRAVELERS COMPANIES INC
2,456,932$1.5B0.22%
438
UUNITY SOFTWARE INC
31,318$1.5B0.22%
439
HEIHEICO CORP NEW
1,206,135$1.5B0.22%
440
DQDAQO NEW ENERGY CORP
635,430$1.5B0.22%
441
SRJSPARTANNASH CO
394,358$1.5B0.22%
442
CARAEURCARA THERAPEUTICS INC
98,521$1.5B0.22%
443
STLDSTEEL DYNAMICS INC
1,007,413$1.5B0.22%
444
FTNTFORTINET INC
506,433$1.5B0.22%
445
YMABUSDY-MABS THERAPEUTICS INC
30,007$1.5B0.22%
446
OLEDUNIVERSAL DISPLAY CORP
540,985$1.5B0.22%
447
MKLMARKEL CORP
12,701$1.5B0.22%
448
LOBLIVE OAK BANCSHARES INC
31,240$1.5B0.22%
449
ACLSAXCELIS TECHNOLOGIES INC
50,892$1.5B0.22%
450
DISDISNEY WALT CO
5,805,450$1.5B0.22%
451
HPHELMERICH & PAYNE INC
206,694$1.5B0.22%
452
LVSLAS VEGAS SANDS CORP
7,671,902$1.5B0.22%
453
VTRSVIATRIS INC
7,358,731$1.5B0.22%
454
LQDISHARES IBOXX INVESTMENT GRA
3,599,647$1.5B0.22%
455
GWWGRAINGER W W INC
119,457$1.5B0.22%
456
KRKROGER CO
8,327,732$1.5B0.22%
457
CHECHEMED CORP NEW
252,683$1.5B0.22%
458
VLOVALERO ENERGY CORP
4,495,106$1.5B0.22%
459
MSIMOTOROLA SOLUTIONS INC
1,782,913$1.5B0.21%
460
NVRIHARSCO CORP
81,370$1.5B0.21%
461
ASRGRUPO AEROPORTUARIO DEL SURE
656,580$1.5B0.21%
462
RCLROYAL CARIBBEAN GROUP
1,405,604$1.5B0.21%
463
DLTRDOLLAR TREE INC
1,461,425$1.5B0.21%
464
CBCHUBB LIMITED
12,520,441$1.5B0.21%
465
MOHMOLINA HEALTHCARE INC
1,027,109$1.5B0.21%
466
OPYOPPENHEIMER HLDGS INC
46,450$1.5B0.21%
467
CBBCINCINNATI BELL INC NEW
607,195$1.5B0.21%
468
ABXBARRICK GOLD CORP
11,865,907$1.5B0.21%
469
LIILENNOX INTL INC
142,950$1.5B0.21%
470
UPBDRENT A CTR INC NEW
530,861$1.5B0.21%
471
KEYSKEYSIGHT TECHNOLOGIES INC
4,854,575$1.5B0.21%
472
UTMUTAH MED PRODS INC
66,500$1.4B0.21%
473
CPSCOOPER STD HLDGS INC
41,733$1.4B0.21%
474
STROSUTRO BIOPHARMA INC
66,597$1.4B0.21%
475
SHWSHERWIN WILLIAMS CO
1,219,498$1.4B0.21%
476
BHBBAR HBR BANKSHARES
144,395$1.4B0.21%
477
RNSTRENASANT CORP
175,508$1.4B0.21%
478
ZSZSCALER INC
2,621,108$1.4B0.21%
479
TWITTER INC
31,024,000$1.4B0.21%
480
XLIINDUSTRIAL SELECT SECT SPDR
10,287,300$1.4B0.21%
481
VICIVICI PPTYS INC
10,191,430$1.4B0.21%
482
TRTN-PATRITON INTL LTD
84,873$1.4B0.21%
483
ICEINTERCONTINENTAL EXCHANGE IN
3,186,432$1.4B0.21%
484
MPTMEDICAL PPTYS TRUST INC
2,730,310$1.4B0.21%
485
BOTTOMLINE TECH DEL INC
46,835$1.4B0.21%
486
RMAXRE MAX HLDGS INC
39,491$1.4B0.21%
487
GILDGILEAD SCIENCES INC
3,680,803$1.4B0.21%
488
3TYTITAN MACHY INC
175,392$1.4B0.21%
489
KOSKOSMOS ENERGY LTD
2,612,707$1.4B0.21%
490
AMDADVANCED MICRO DEVICES INC
33,892,388$1.4B0.21%
491
BAMBROOKFIELD ASSET MGMT INC
4,132,080$1.4B0.21%
492
TMUST-MOBILE US INC
5,402,465$1.4B0.21%
493
UISUNISYS CORP
147,114$1.4B0.21%
494
AMATAPPLIED MATLS INC
8,961,540$1.4B0.21%
495
CITCINTAS CORP
253,065$1.4B0.21%
496
EDUNEW ORIENTAL ED & TECHNOLOGY
5,871,081$1.4B0.21%
497
AJXGREAT AJAX CORP
135,816$1.4B0.21%
498
EROS STX GLOBAL CORPORATION
2,335,128$1.4B0.21%
499
HTOSJW GROUP
69,375$1.4B0.21%
500
AQUAUSDEVOQUA WATER TECHNOLOGIES CO
92,864$1.4B0.21%
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