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)

StockValue
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
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