JPMORGAN CHASE & CO Q1 2016 Filing
Filed May 10, 2016
Portfolio Value
$390.7M
Holdings
4,744
Report Date
Q1 2016
Filing Type
13F-HR
All Holdings (4,744 positions)
| Stock | Value |
|---|---|
IYEISHARES TR | $770K |
PDLIEURPDL BIOPHARMA INC | $767K |
EFGISHARES TR | $765K |
ARDXARDELYX INC | $763K |
HFWAHERITAGE FINL CORP WASH | $761K |
ALXALEXANDERS INC | $760K |
—TEAM HEALTH HOLDINGS INC | $759K |
—DBX ETF TR | $758K |
CVGWCALAVO GROWERS INC | $757K |
RHCRH PLC | $753K |
—CENTRAL EUROPEAN MEDIA ENTRP | $753K |
IAIISHARES TR | $752K |
DLSWISDOMTREE TR | $748K |
—TEXAS INSTRS INC | $747K |
RELXRELX NV | $746K |
HYSPIMCO ETF TR | $745K |
FXNFIRST TR EXCHANGE TRADED FD | $744K |
—INTEGRATED ELECTRICAL SVC | $743K |
LYTSLSI INDS INC | $742K |
SPYETFS PALLADIUM TR | $739K |
SLBSCHLUMBERGER LTD | $738K |
GTLSCHART INDS INC | $737K |
MEDMEDIFAST INC | $737K |
ECPGENCORE CAP GROUP INC | $736K |
—KOSMOS ENERGY LTD | $736K |
BWXSPDR SERIES TRUST | $735K |
DALDELTA AIR LINES INC DEL | $730K |
—HALCON RES CORP | $728K |
AEGAEGON N V | $728K |
—NAVISTAR INTL CORP NEW | $728K |
GSTEURGASTAR EXPL INC NEW | $728K |
—CANADIAN SOLAR INC | $727K |
URAGLOBAL X FDS | $727K |
—CABLEVISION SYS CORP | $726K |
—POWERSHARES ETF TRUST | $725K |
TLHISHARES TR | $723K |
CWCOCONSOLIDATED WATER CO INC | $723K |
AJRDEURAEROJET ROCKETDYNE HLDGS INC | $722K |
TWITITAN INTL INC ILL | $719K |
—KINDRED BIOSCIENCES INC | $718K |
SUNEQUSDSUNEDISON INC | $717K |
GSMFERROGLOBE PLC | $717K |
IBNICICI BK LTD | $716K |
IDV*ISHARES TR | $713K |
—DEL FRISCOS RESTAURANT GROUP | $712K |
—GENOMIC HEALTH INC | $709K |
CMCOCOLUMBUS MCKINNON CORP N Y | $707K |
KYOCYKYOCERA CORP | $707K |
AINALBANY INTL CORP | $704K |
BWEURBABCOCK & WILCOX ENTERPRIS I | $700K |
—NIC INC | $700K |
—NAVIOS MARITIME PARTNERS L P | $699K |
LPLLG DISPLAY CO LTD | $697K |
—SELECT COMFORT CORP | $694K |
—SOLARCITY CORP | $689K |
—NATIONAL GEN HLDGS CORP | $689K |
—DEL TACO RESTAURANTS INC | $687K |
—HEALTHWAYS INC | $684K |
—SPDR INDEX SHS FDS | $683K |
VALEVALE S A | $681K |
—CARBONITE INC | $676K |
NBISYANDEX N V | $674K |
BBTBERKSHIRE HILLS BANCORP INC | $670K |
SBUXSTARBUCKS CORP | $669K |
—DICERNA PHARMACEUTICALS INC | $669K |
BNDXVANGUARD CHARLOTTE FDS | $667K |
—COLUMBIA PPTY TR INC | $665K |
RELXRELX PLC | $665K |
—ALLEGIANCE BANCSHARES INC | $665K |
AGROADECOAGRO S A | $664K |
—BOTTOMLINE TECH DEL INC | $664K |
WIXWIX COM LTD | $664K |
BELFBBEL FUSE INC | $662K |
METMETLIFE INC | $659K |
CPRXCATALYST PHARMACEUTICALS INC | $658K |
SJNKSPDR SER TR | $658K |
—CONTINENTAL RESOURCES INC | $656K |
—ELECTRO SCIENTIFIC INDS | $655K |
—LIBBEY INC | $655K |
AZTABROOKS AUTOMATION INC | $654K |
—AETNA INC NEW | $652K |
DEMWISDOMTREE TR | $652K |
VSSVANGUARD INTL EQUITY INDEX F | $651K |
—WGL HLDGS INC | $650K |
VBRVANGUARD INDEX FDS | $650K |
—DOMINION DIAMOND CORP | $647K |
CSWCSW INDUSTRIALS INC | $646K |
BBYBEST BUY INC | $646K |
QLYSQUALYS INC | $643K |
SGASAGA COMMUNICATIONS INC | $639K |
HRUSDHEALTHCARE RLTY TR | $635K |
CMFISHARES TR | $633K |
—ALLERGAN PLC | $633K |
—PROTEOSTASIS THERAPEUTICS IN | $632K |
DC4DEXCOM INC | $631K |
OMCLOMNICELL INC | $629K |
—VODAFONE GROUP PLC NEW | $626K |
ACWXISHARES TR | $626K |
OXMOXFORD INDS INC | $624K |
GRA1EURGRACE W R & CO DEL NEW | $623K |