JPMORGAN CHASE & CO Q2 2017 Filing

Filed August 9, 2017

Portfolio Value

$437.5B

Holdings

5,007

Report Date

Q2 2017

Filing Type

13F-HR

All Holdings (5,007 positions)

#StockSharesValue% PortfolioType
601
HONHONEYWELL INTL INC
18,557,238$1.1B0.26%
602
CARRIZO OIL & GAS INC
133,434$1.1B0.26%
603
SOLARCITY CORP
5,365,000$1.1B0.26%
604
PSAPUBLIC STORAGE
3,161,559$1.1B0.26%
605
PAYXPAYCHEX INC
1,451,778$1.1B0.26%
606
ATENA10 NETWORKS INC
132,663$1.1B0.26%
607
WHITING PETE CORP NEW
19,741,000$1.1B0.26%
608
ESLTELBIT SYS LTD
46,945$1.1B0.25%
609
W3UWESTERN UN CO
1,117,991$1.1B0.25%
610
IPARINTER PARFUMS INC
30,276$1.1B0.25%
611
NEW YORK REIT INC
716,236$1.1B0.25%
612
CVECENOVUS ENERGY INC
384,876$1.1B0.25%
613
SRCE1ST SOURCE CORP
288,115$1.1B0.25%
614
COSCNO FINL GROUP INC
6,467,334$1.1B0.25%
615
SHIP FINANCE INTERNATIONAL L
81,195$1.1B0.25%
616
CDEVEURCENTENNIAL RESOURCE DEV INC
414,388$1.1B0.25%
617
LEALEAR CORP
411,719$1.1B0.25%
618
LUMINEX CORP DEL
52,058$1.1B0.25%
619
CPRTCOPART INC
3,326,707$1.1B0.25%
620
HMCHONDA MOTOR LTD
379,299$1.1B0.25%
621
CLXCLOROX CO DEL
255,792$1.1B0.25%
622
VNOVORNADO RLTY TR
5,869,084$1.1B0.25%
623
SRISTONERIDGE INC
1,054,612$1.1B0.25%
624
AREALEXANDRIA REAL ESTATE EQ IN
1,997,637$1.1B0.25%
625
EXPDEXPEDITORS INTL WASH INC
203,745$1.1B0.25%
626
PANDORA MEDIA INC
6,318,000$1.1B0.25%
627
VSTVISTRA ENERGY CORP
8,005,313$1.1B0.25%
628
MYLAN N V
214,871$1.1B0.25%
629
TXTTEXTRON INC
829,399$1.1B0.25%
630
INTUINTUIT
286,688$1.1B0.25%
631
WABWABTEC CORP
518,532$1.1B0.25%
632
FNBFNB CORP PA
2,778,289$1.1B0.25%
633
LUVSOUTHWEST AIRLS CO
8,880,991$1.1B0.25%
634
LA QUINTA HLDGS INC
7,917,905$1.1B0.25%
635
BNEDBARNES & NOBLE INC
142,782$1.1B0.25%
636
SELECT COMFORT CORP
517,343$1.1B0.25%
637
PORPORTLAND GEN ELEC CO
4,705,994$1.1B0.25%
638
MRKMERCK & CO INC
35,229,484$1.1B0.25%
639
PBCTEURPEOPLES UNITED FINANCIAL INC
802,592$1.1B0.25%
640
GPNGLOBAL PMTS INC
3,284,298$1.1B0.25%
641
ETDETHAN ALLEN INTERIORS INC
33,450$1.1B0.25%
642
PENNEY J C INC
232,536$1.1B0.25%
643
SAMBOSTON BEER INC
21,770$1.1B0.25%
644
SIRIEURSIRIUS XM HLDGS INC
15,240,523$1.1B0.25%
645
NFBKNORTHFIELD BANCORP INC DEL
1,638,749$1.1B0.25%
646
MOBILEIRON INC
178,514$1.1B0.25%
647
SPYETFS PALLADIUM TR
13,379$1.1B0.25%
648
CAVIUM INC
2,875,651$1.1B0.25%
649
FXHFIRST TR EXCHANGE TRADED FD
16,133$1.1B0.25%
650
MCCUSDMEDLEY CAP CORP
168,705$1.1B0.25%
651
DEPOMED INC
1,222,000$1.1B0.25%
652
MXIMMAXIM INTEGRATED PRODS INC
2,258,111$1.1B0.25%
653
REGREGENCY CTRS CORP
4,274,814$1.1B0.25%
654
VGKVANGUARD INTL EQUITY INDEX F
11,993,144$1.1B0.25%
655
GWRUSDGENESEE & WYO INC
15,662$1.1B0.24%
656
BBTBERKSHIRE HILLS BANCORP INC
83,681$1.1B0.24%
657
WELLWELLTOWER INC
1,177,355$1.1B0.24%
658
K6BKBR INC
1,392,027$1.1B0.24%
659
FEYECHFFIREEYE INC
1,775,157$1.1B0.24%
660
VOOVANGUARD INDEX FDS
10,295,966$1.1B0.24%
661
MCOMOODYS CORP
128,823$1.1B0.24%
662
HALOHALOZYME THERAPEUTICS INC
2,677,194$1.1B0.24%
663
PINNACLE FOODS INC DEL
460,534$1.1B0.24%
664
FIDELITY NATIONAL FINANCIAL
532,109$1.1B0.24%
665
VLGEAVILLAGE SUPER MKT INC
41,078$1.1B0.24%
666
IACIEURIAC INTERACTIVECORP
114,736$1.1B0.24%
667
GPOR1EURGULFPORT ENERGY CORP
237,044$1.1B0.24%
668
ATGEADTALEM GLOBAL ED INC
54,396$1.1B0.24%
669
UBAUSDURSTADT BIDDLE PPTYS INC
183,993$1.1B0.24%
670
HOLOGIC INC
17,328,000$1.1B0.24%
671
EATBRINKER INTL INC
4,368,464$1.1B0.24%
672
GHCGRAHAM HLDGS CO
25,350$1.1B0.24%
673
LKQ1LKQ CORP
4,936,889$1.1B0.24%
674
SAPSAP SE
121,513$1.1B0.24%
675
WOOFOOT LOCKER INC
945,918$1.1B0.24%
676
DHRB & G FOODS INC NEW
61,413$1.1B0.24%
677
HSICSCHEIN HENRY INC
1,317,569$1.1B0.24%
678
USNAUSANA HEALTH SCIENCES INC
16,385$1.1B0.24%
679
BUFFALO WILD WINGS INC
51,712$1.0B0.24%
680
MIGAMICROSTRATEGY INC
436,911$1.0B0.24%
681
AORTCRYOLIFE INC
52,492$1.0B0.24%
682
AYXEURALTERYX INC
53,600$1.0B0.24%
683
HLTHILTON WORLDWIDE HLDGS INC
10,689,680$1.0B0.24%
684
VAREURVARIAN MED SYS INC
116,976$1.0B0.24%
685
LIILENNOX INTL INC
1,544,212$1.0B0.24%
686
FIXCOMFORT SYS USA INC
97,640$1.0B0.24%
687
RADIUS HEALTH INC
120,554$1.0B0.24%
688
USFDUS FOODS HLDG CORP
278,611$1.0B0.24%
689
FISVFISERV INC
618,501$1.0B0.24%
690
ALLERGAN PLC
40,985$1.0B0.24%
691
HSN INC
32,344$1.0B0.24%
692
PNNTPENNANTPARK INVT CORP
1,751,210$1.0B0.24%
693
TSQTOWNSQUARE MEDIA INC
100,300$1.0B0.23%
694
USX1UNITED STATES STL CORP NEW
571,049$1.0B0.23%
695
CPFCENTRAL PAC FINL CORP
1,218,287$1.0B0.23%
696
TOURTUNIU CORP
295,542$1.0B0.23%
697
SNDRSCHNEIDER NATIONAL INC
395,101$1.0B0.23%
698
DLTRDOLLAR TREE INC
825,769$1.0B0.23%
699
FUODOLBY LABORATORIES INC
127,589$1.0B0.23%
700
APHAMPHENOL CORP NEW
8,460,855$1.0B0.23%
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