JPMORGAN CHASE & CO Q3 2020 Filing
Filed November 12, 2020
Portfolio Value
$597.8M
Holdings
5,721
Report Date
Q3 2020
Filing Type
13F-HR
All Holdings (5,721 positions)
| Stock | Value |
|---|---|
—NAVIOS MARITIME HOLDINGS INC | $500K |
AXPAMERICAN EXPRESS CO | $499K |
HHYATT HOTELS CORP | $499K |
ZYXIQZYNEX INC | $498K |
MGNXMACROGENICS INC | $496K |
FRG1EURFRANCHISE GROUP INC | $494K |
CCBGCAPITAL CITY BK GROUP INC | $494K |
BSCKINVESCO BULLETSHARES 2020 CORP | $491K |
CFBCROSSFIRST BANKSHARES INC | $490K |
LEVILEVI STRAUSS & CO NEW | $488K |
FNKOFUNKO INC | $487K |
SANBANCO SANTANDER S.A. | $486K |
ASMLASML HOLDING N V | $486K |
—ABEONA THERAPEUTICS INC | $483K |
—HENNESSY CAP ACQUSTION CORP | $482K |
—CARDTRONICS INC | $480K |
NYFISHARES NEW YORK MUNI BOND E | $479K |
—CENTURY BANCORP INC MASS | $479K |
FROFRONTLINE LTD | $478K |
EOGEOG RES INC | $478K |
CSVCARRIAGE SVCS INC | $477K |
ERIIENERGY RECOVERY INC | $473K |
—PACIRA BIOSCIENCES | $473K |
IBDPiShares iBonds Dec 2024 Term Corporate ETF | $472K |
—QUOTIENT LTD | $471K |
BGXBLACKSTONE/GSO LONG-SHORT CR | $471K |
2JQGRITSTONE ONCOLOGY INC | $470K |
IYKISHARES US CONSUMER GOODS ET | $470K |
KRTXKARUNA THERAPEUTICS INC | $465K |
VGITVANGUARD INTERMEDIATE-TERM TREASURY INDEX FUND | $465K |
BAC 7.25 PERP LBK OF AMERICA CORP | $463K |
—PREVAIL THERAPEUTICS INC | $463K |
AGZISHARES AGENCY BOND ETF | $463K |
—STANDARD AVB FINL CORP | $462K |
—US ECOLOGY INC | $460K |
—RETROPHIN INC | $460K |
—FALCON MINERALS CORP | $458K |
CBNKCAPITAL BANCORP INC MD | $458K |
PAASPAN AMERN SILVER CORP | $458K |
MOVMOVADO GROUP INC | $458K |
RILYB. RILEY FINANCIAL INC | $457K |
BUWABIO RAD LABS INC | $455K |
MCBCMACATAWA BK CORP | $455K |
—HOSTESS BRANDS INC | $453K |
MLABMESA LABS INC | $452K |
HBNCHORIZON BANCORP INC | $452K |
ORRFORRSTOWN FINL SVCS INC | $452K |
SCHZSCHWAB US AGGREGATE BOND ETF | $451K |
RWOSPDR DJ GLOBAL REAL ESTATE E | $449K |
INVAINNOVIVA INC | $447K |
MTUSTIMKENSTEEL CORP | $446K |
SHYFSHYFT GROUP INC | $445K |
—BITAUTO HLDGS LTD | $444K |
KHCKRAFT HEINZ CO | $444K |
HTLDEXPRESS INC | $443K |
—ONE | $439K |
SITMSITIME CORP | $439K |
QCRHQCR HOLDINGS INC | $433K |
CSTLCASTLE BIOSCIENCES INC | $433K |
PDLIEURPDL BIOPHARMA INC | $432K |
WDIVSPDR S&P GLOBAL DIVIDEND ETF | $431K |
RYAMRAYONIER ADVANCED MATLS INC | $429K |
—CAI INTERNATIONAL INC | $428K |
EXPIEXP WORLD HLDGS INC | $426K |
—VANGUARD INTL EQUITY INDEX F | $426K |
—UNITEDHEALTH GROUP INC | $426K |
AMZNAMAZON COM INC | $426K |
CEOCNOOC LIMITED | $425K |
—BOINGO WIRELESS INC | $425K |
—INTREXON CORP | $425K |
ANGLVANECK VECTORS FALLEN ANGEL HI | $422K |
FMBHFIRST MID BANCSHARES INC | $422K |
PGFINVESCO FINANCIAL PREFERRED | $420K |
ADTADT INC DEL | $419K |
LBRTLIBERTY OILFIELD SVCS INC | $417K |
MPBMID PENN BANCORP INC | $417K |
—MARATHON OIL CORP | $416K |
RDVYFIRST TRUST RISING DIVIDEND ACHIEVERS ETF | $415K |
QLTAISHARES AAA - A RATED CORPOR | $411K |
JYNTJOINT CORP | $411K |
—BIOSPECIFICS TECHNOLOGIES CO | $411K |
TRSTRIMAS CORP | $409K |
TASTUSDCARROLS RESTAURANT GROUP INC | $406K |
CLNECLEAN ENERGY FUELS CORP | $406K |
BIPBROOKFIELD INFRAST PARTNERS | $405K |
GOLGBPGOL LINHAS AEREAS INTELIGENT | $404K |
EBEVENTBRITE INC | $404K |
FORFORESTAR GROUP INC | $404K |
CLVS 1.25 05/01/25CLOVIS ONCOLOGY INC | $403K |
NWPXNORTHWEST PIPE CO | $402K |
—CHENIERE ENERGY INC | $401K |
WRLDWORLD ACCEP CORP DEL | $401K |
EVBNUSDEVANS BANCORP INC | $401K |
FXGFIRST TRUST CONSUMER STAPLES | $398K |
FLGTFULGENT GENETICS INC | $396K |
ATRIUSDATRION CORP | $395K |
TBLLINVESCO TREASURY COLLATERAL | $394K |
HTLDHEARTLAND EXPRESS INC | $394K |
SPTSPROUT SOCIAL INC | $392K |
PKOHPARK OHIO HLDGS CORP | $392K |