JPMORGAN CHASE & CO Q1 2020 Filing
Filed May 12, 2020
Portfolio Value
$425.9M
Holdings
5,335
Report Date
Q1 2020
Filing Type
13F-HR
All Holdings (5,335 positions)
| Stock | Value |
|---|---|
FDVVFIDELITY HIGH DIVIDEND ETF | $330K |
—CASTLIGHT HEALTH INC | $330K |
—POPE RES DEL LTD PARTNERSHIP | $329K |
—BANK COMM HLDGS | $327K |
—DRX DLY GOLD MINERS BULL 3X | $326K |
SSYSSTRATASYS LTD | $326K |
TXTERNIUM SA | $326K |
—PFENEX INC | $325K |
SMBCSOUTHERN MO BANCORP INC | $324K |
AMZNAMAZON COM INC | $323K |
SFSTSOUTHERN FIRST BANCSHARES IN | $323K |
—CALIFORNIA RES CORP | $322K |
—ISHARES IBONDS DEC 2021 TERM MUNI Bond ETF | $322K |
ASCARDMORE SHIPPING CORP | $322K |
WLFCWILLIS LEASE FINANCE CORP | $322K |
BCMLBAYCOM CORP | $321K |
—WHITING PETE CORP NEW | $320K |
—MUTUALFIRST FINL INC | $320K |
MCBSMETROCITY BANKSHARES INC | $319K |
YEXTYEXT INC | $317K |
—AMERICA FIRST MULTIFAMILY IN | $317K |
BWINBRP GROUP INC | $317K |
COLLCOLLEGIUM PHARMACEUTICAL INC | $316K |
ALCOALICO INC | $315K |
DCHAMERICAN AXLE & MFG HLDGS IN | $315K |
SPABSPDR PORTFOLIO AGGREGATE BON | $314K |
XPROFRANKS INTL N V | $314K |
BCRXBIOCRYST PHARMACEUTICALS INC | $313K |
VRRMVERRA MOBILITY CORP | $312K |
CLLSCELLECTIS S A | $312K |
—R1 RCM INC | $311K |
PLPCPREFORMED LINE PRODS CO | $310K |
SCVLSHOE CARNIVAL INC | $310K |
BSCOINVESCO BULLETSHARES 2024 CO | $309K |
—GTY TECHNOLOGY HOLDINGS INC | $309K |
REMISHARES MORTGAGE REAL ESTATE ETF | $306K |
CAMPEURCALAMP CORP | $305K |
SCPHSCPHARMACEUTICALS INC | $305K |
—FLOTEK INDS INC DEL | $303K |
NBISYANDEX N V | $303K |
BAC 7.25 PERP LBK OF AMERICA CORP | $302K |
—ARMSTRONG FLOORING INC | $302K |
CPACCEMENTOS PACASMAYO S A A | $301K |
GFLGFL ENVIRONMENTAL INC | $301K |
CVGICOMMERCIAL VEH GROUP INC | $301K |
AORISHARES CORE GROWTH ALLOCATI | $301K |
TELLEURTELLURIAN INC NEW | $300K |
OYSTOYSTER PT PHARMA INC | $300K |
RRBIRED RIVER BANCSHARES INC | $300K |
—HOSTESS BRANDS INC | $300K |
—PACIFIC MERCANTILE BANCORP | $299K |
DTDWISDOMTREE US TOTAL DIVIDEND | $297K |
DGICADONEGAL GROUP INC | $296K |
CDNACAREDX INC | $296K |
IVOVVANGUARD S&P MID-CAP 400 VAL | $295K |
—HAYMAKER ACQUISITION CORP II | $295K |
TBLLINVESCO TREASURY COLLATERAL | $295K |
PHIPLDT INC | $295K |
BLUBELLUS HEALTH INC NEW | $294K |
CPE3EURCALLON PETE CO DEL | $292K |
—ISHARES IBONDS SEP 2020 TERM MUNI BOND ETF | $292K |
BKOBLUEROCK RESIDENTIAL GRW REI | $292K |
—CLEVELAND CLIFFS INC | $291K |
BECNUSDBEACON ROOFING SUPPLY INC | $291K |
USLMUNITED STATES LIME & MINERAL | $291K |
—COLLECTORS UNIVERSE INC | $290K |
—TRECORA RES | $289K |
TCXTUCOWS INC | $288K |
—CSG SYS INTL INC | $288K |
ARCTARCTURUS THERAPEUTICS HLDG I | $288K |
—ATLAS TECHNICAL CONSULTANTS | $288K |
—US ECOLOGY INC | $286K |
FSC1EUROAKTREE SPECIALTY LENDING CO | $286K |
WNEBWESTERN NEW ENG BANCORP INC | $286K |
—RETROPHIN INC | $285K |
PCCPC CONNECTION INC | $285K |
ALLKGUSDALLAKOS INC | $285K |
—VERTIV HOLDINGS CO | $283K |
BPYPNBROOKFIELD PPTY REIT INC | $283K |
WEYSWEYCO GROUP INC | $283K |
—SPIRIT OF TEX BANCSHARES INC | $281K |
—ENDURANCE INTL GROUP HLDGS I | $281K |
IAGGISHARES INTL AGGREGATE BOND | $280K |
NPKINEWPARK RES INC | $279K |
DCPHEURDECIPHERA PHARMACEUTICALS IN | $279K |
PFLTPENNANTPARK FLOATING RATE CA | $279K |
IBTXUSDINDEPENDENT BK GROUP INC | $278K |
TMDXTRANSMEDICS GROUP INC | $278K |
BSFAANI PHARMACEUTICALS INC | $277K |
SPFISOUTH PLAINS FINANCIAL INC | $276K |
ALCALCON INC | $274K |
FPIFARMLAND PARTNERS INC | $273K |
NWFLNORWOOD FINANCIAL CORP | $271K |
EFCELLINGTON FINANCIAL INC | $271K |
CGCCANOPY GROWTH CORP | $270K |
OVVOVINTIV INC | $270K |
BCBPBCB BANCORP INC | $270K |
—COMMUNITY BANKERS TR CORP | $270K |
EEXEMERALD HOLDING INC | $269K |
SSUPSUPERIOR INDS INTL INC | $269K |