JPMORGAN CHASE & CO Q3 2018 Filing
Filed November 7, 2018
Portfolio Value
$522.2M
Holdings
5,734
Report Date
Q3 2018
Filing Type
13F-HR
All Holdings (5,734 positions)
| Stock | Value |
|---|---|
—AQUAVENTURE HLDGS LTD | $331K |
BEPBROOKFIELD RENEWABLE PARTNER | $329K |
NBISYANDEX N V | $329K |
OUSAGBPOSI ETF TR | $328K |
—IMPRIMIS PHARMACEUTICALS INC | $328K |
LDPCOHEN & STEERS LTD DUR PFD I | $326K |
SEISOLARIS OILFIELD INFRSTR INC | $325K |
MMIMARCUS & MILLICHAP INC | $325K |
IBTXUSDINDEPENDENT BK GROUP INC | $325K |
BAC 7.25 PERP LBANK AMER CORP | $324K |
—DIFFERENTIAL BRANDS GROUP IN | $322K |
CLPRCLIPPER RLTY INC | $322K |
LASRNLIGHT INC | $322K |
—FORTRESS BIOTECH INC | $321K |
—RIGEL PHARMACEUTICALS INC | $321K |
—RIGEL PHARMACEUTICALS INC | $321K |
BOTZGLOBAL X FDS | $320K |
URGNUROGEN PHARMA LTD | $320K |
CDXSCODEXIS INC | $319K |
—VANECK VECTORS ETF TR | $318K |
OPKOPKO HEALTH INC | $317K |
—INTERSECT ENT INC | $317K |
FMFFORMFACTOR INC | $317K |
NHTCNATURAL HEALTH TRENDS CORP | $316K |
—HERTZ GLOBAL HLDGS INC | $315K |
SLYGSPDR SERIES TRUST | $315K |
—CENTRAL EUROPEAN MEDIA ENTRP | $314K |
—TESARO INC | $312K |
—TEVA PHARMACEUTICAL FIN LLC | $312K |
—NEW YORK & CO INC | $311K |
—HABIT RESTAURANTS INC | $311K |
—EVINE LIVE INC | $311K |
CBNABRIDGE BANCORP INC | $311K |
OVIDOVID THERAPEUTICS INC | $311K |
DHILDIAMOND HILL INVESTMENT GROU | $310K |
MANUMANCHESTER UTD PLC NEW | $309K |
CASA1EURCASA SYS INC | $308K |
—NAVISTAR INTL CORP NEW | $308K |
BSETBASSETT FURNITURE INDS INC | $306K |
—SYSTEMAX INC | $306K |
—BRISTOW GROUP INC | $306K |
CHLUSDCHINA MOBILE LIMITED | $305K |
FPHFIVE POINT HOLDINGS LLC | $304K |
—INTREXON CORP | $304K |
KTOSKRATOS DEFENSE & SEC SOLUTIO | $304K |
SCHESCHWAB STRATEGIC TR | $303K |
HAINHAIN CELESTIAL GROUP INC | $301K |
—ISHARES TR | $300K |
—CVR REFNG LP | $299K |
—ETFIS SER TR I | $298K |
—FIRST CONN BANCORP INC MD | $297K |
IXJISHARES TR | $296K |
—CLEAR CHANNEL OUTDOOR HLDGS | $296K |
PRIMPRIMORIS SVCS CORP | $296K |
—FGL HLDGS | $295K |
CHMGCHEMUNG FINL CORP | $294K |
MACKEURMERRIMACK PHARMACEUTICALS IN | $294K |
CSIIEURCARDIOVASCULAR SYS INC DEL | $294K |
—BMC STK HLDGS INC | $292K |
ARLPALLIANCE RES PARTNER L P | $292K |
—VICTORY PORTFOLIOS II | $292K |
SPEUSPDR INDEX SHS FDS | $292K |
RIBTEURRICEBRAN TECHNOLOGIES | $292K |
LEE1EURLEE ENTERPRISES INC | $292K |
HYMBSPDR SERIES TRUST | $291K |
—FRONTIER COMMUNICATIONS CORP | $291K |
FEPFIRST TR EXCH TRD ALPHA FD I | $291K |
—NEW YORK REIT INC | $291K |
CLWCLEARWATER PAPER CORP | $291K |
AORTCRYOLIFE INC | $290K |
HRIHERC HLDGS INC | $289K |
AXGNAXOGEN INC | $289K |
—BANK COMM HLDGS | $289K |
QUOTUSDQUOTIENT TECHNOLOGY INC | $286K |
MGIEURMONEYGRAM INTL INC | $283K |
NGVCNATURAL GROCERS BY VITAMIN C | $283K |
HTLDHEARTLAND EXPRESS INC | $281K |
HCKTHACKETT GROUP INC | $281K |
—SB ONE BANCORP | $280K |
TGLEURTRANSGLOBE ENERGY CORP | $280K |
FLXSFLEXSTEEL INDS INC | $278K |
—ISHARES TR | $277K |
—BBVA BANCO FRANCES S A | $276K |
LEAFLEAF GROUP LTD | $275K |
—PENNEY J C INC | $274K |
STMSTMICROELECTRONICS N V | $274K |
—REVLON INC | $274K |
—INNERWORKINGS INC | $273K |
DDWMWISDOMTREE TR | $273K |
EWOISHARES INC | $273K |
G3VGREEN PLAINS INC | $273K |
VONEVANGUARD SCOTTSDALE FDS | $273K |
FNCLFIDELITY | $271K |
SDPPROSHARES TR | $270K |
SSLSASOL LTD | $269K |
—ACER THERAPEUTICS INC | $268K |
ENZBENZO BIOCHEM INC | $268K |
WTMWHITE MTNS INS GROUP LTD | $267K |
FEMSFIRST TR EXCH TRD ALPHA FD I | $267K |
—OWENS RLTY MTG INC | $267K |