HoldingsChannel.com
JPMorgan Chase & Co. Top Holdings
As of  06/30/2019

   EntityAmountChange
 03/31/2019 to 06/30/2019
Position Size
($ in 1000's)
SPDR S&P 500 ETF TR (SPY)      $19,159,430
     SPY87,239,027-483,576$25,430,178
     Put26,849,600+14,267,600$7,826,658
     Call5,337,600-2,073,500$1,555,910
MICROSOFT CORP      $12,802,661
     MSFT94,907,835+3,242,350$12,731,884
     Call1,681,500+559,900$225,573
     Put1,153,900+224,000$154,796
AMAZON COM INC      $8,449,707
     AMZN4,312,319+76,548$8,211,863
     Call214,300+25,900$408,087
     Put89,400-12,200$170,243
APPLE INC      $6,466,635
     AAPL31,878,758-1,717,593$6,367,464
     Call2,728,100+1,164,200$544,911
     Put2,231,600-4,926,600$445,740
ISHARES TR (EFA) 86,241,183 -3,485,939 $5,636,723
     EFA86,241,183-3,485,939$5,636,723
PFIZER INC      $4,776,250
     PFE109,740,628+5,332,520$4,766,035
     Call725,000-609,700$31,487
     Put489,800+124,400$21,272
VANGUARD CHARLOTTE FDS (BNDX) 74,717,229 +5,024,026 $4,277,561
     BNDX74,717,229+5,024,026$4,277,561
ALIBABA GROUP HLDG LTD      $4,080,713
     BABA23,646,884+3,879,896$4,041,252
     Call1,406,400+611,300$240,354
     Put1,175,500+67,700$200,893
ALPHABET INC 3,756,962 -118,748 $4,042,529
     GOOG3,756,962-118,748$4,042,529
JP MORGAN EXCHANGE TRADED FD (BBEU) 168,545,943 +41,123,781 $4,036,676
     BBEU168,545,943+41,123,781$4,036,676
ISHARES TR (SHV) 35,313,175 +34,817,690 $3,908,109
     SHV35,313,175+34,817,690$3,908,109
BANK AMER CORP      $3,866,136
     BAC135,978,611-8,486,681$3,835,955
     Put5,307,500-1,304,900$149,725
     BAC.PRL93,617+11,504$128,442
     Call1,824,300+83,300$51,464
CHEVRON CORP NEW      $3,647,470
     CVX29,233,425+8,905,567$3,598,927
     Call658,700+120,200$81,093
     Put264,400+154,100$32,550
MASTERCARD INC 13,943,219 +1,548,776 $3,640,576
     MA13,943,219+1,548,776$3,640,576
JP MORGAN EXCHANGE TRADED FD (BBCA) 144,116,782 +49,508,749 $3,564,008
     BBCA144,116,782+49,508,749$3,564,008
ALPHABET INC      $3,558,231
     GOOGL3,430,778+286,024$3,693,678
     Put308,300+186,700$331,873
     Call182,500+80,500$196,426
UNITEDHEALTH GROUP INC      $3,496,857
     UNH14,283,551-1,075,110$3,518,609
     Put212,000+120,900$52,224
     Call123,700-73,800$30,472
TEXAS INSTRS INC      $3,462,182
     TXN30,030,159+352,424$3,479,295
     Put432,700+64,400$50,133
     Call285,000+66,300$33,020
MERCK & CO INC      $3,383,166
     MRK40,471,054-11,378,892$3,392,689
     Put500,900+161,300$41,990
     Call387,300-65,900$32,467
JP MORGAN EXCHANGE TRADED FD (BBJP) 143,638,087 +6,804,021 $3,263,458
     BBJP143,638,087+6,804,021$3,263,458
COCA COLA CO      $3,170,620
     KO62,518,556+1,725,226$3,193,448
     Put1,284,300-141,500$65,602
     Call837,400+182,700$42,774
HOME DEPOT INC      $3,087,060
     HD15,025,077-201,993$3,110,494
     Put170,700-13,600$35,338
     Call57,500+19,500$11,904
JOHNSON & JOHNSON      $3,045,156
     JNJ21,848,831+2,791,032$3,073,913
     Put534,300+56,200$75,171
     Call329,900+112,500$46,414
ISHARES TR (IEFA) 49,792,400 +3,842,933 $3,042,814
     IEFA49,792,400+3,842,933$3,042,814
ISHARES TR (AGG) 27,300,220 +13,731,291 $3,041,246
     AGG27,300,220+13,731,291$3,041,246
COMCAST CORP NEW      $3,028,374
     CMCSA72,244,105+6,178,224$3,034,254
     Put1,230,000+1,200,000$51,660
     Call1,090,000+934,400$45,780
TAIWAN SEMICONDUCTOR MFG LTD      $3,010,810
     TSM76,121,480+1,220,601$3,013,649
     Put362,000+16,800$14,332
     Call290,300+100$11,493
ISHARES TR (IVV) 9,479,653 -160,923 $2,780,193
     IVV9,479,653-160,923$2,780,193
VERIZON COMMUNICATIONS INC      $2,707,594
     VZ47,344,211+7,791,846$2,710,457
     Put270,000+200,000$15,458
     Call220,000+200,000$12,595
NEXTERA ENERGY INC      $2,600,686
     NEE12,558,671-635,370$2,568,875
     NEE.PRR558,605-95,986$36,271
     Put87,600+19,000$17,919
     Call65,800-18,500$13,459
FACEBOOK INC      $2,571,753
     FB12,956,553+4,037,012$2,455,267
     Call1,584,200-44,000$300,206
     Put969,500-234,500$183,720
HONEYWELL INTL INC      $2,430,315
     HON13,975,184-27,264$2,429,446
     Call86,000+48,000$14,950
     Put81,000+43,000$14,081
NORFOLK SOUTHERN CORP      $2,429,596
     NSC12,532,538-331,872$2,423,794
     Call30,000+30,000$5,802
VISA INC      $2,384,240
     V13,862,898-4,894,400$2,373,743
     Call190,100+190,100$32,551
     Put128,800+116,500$22,054
XCEL ENERGY INC 40,037,447 +918,607 $2,373,420
     XEL40,037,447+918,607$2,373,420
NETFLIX INC      $2,321,562
     NFLX6,273,650-491,248$2,321,377
     Call278,500-149,300$103,051
     Put278,000-137,100$102,866
SALESFORCE COM INC      $2,257,857
     CRM15,175,146-1,546,996$2,286,744
     Put269,500+162,400$40,611
     Call77,800+15,000$11,724
PROCTER AND GAMBLE CO      $2,250,238
     PG20,460,201+5,197,382$2,246,121
     Call351,600-244,000$38,599
     Put314,100+12,900$34,482
PAYPAL HLDGS INC      $2,227,078
     PYPL19,971,479-3,008,084$2,270,159
     Put742,100+488,700$84,355
     Call363,100+75,700$41,274
ANALOG DEVICES INC      $1,971,833
     ADI17,479,276-2,063,729$1,972,363
     Put99,600-14,700$11,239
     Call94,900UNCH$10,709
HDFC BANK LTD      $1,970,289
     HDB15,300,841-319,117$1,970,289
     Put39,500+12,000$5,086
     Call39,500+12,000$5,086
CITIGROUP INC      $1,967,687
     C29,415,724-1,421,477$2,004,679
     Put964,700-610,700$65,744
     Call421,900-139,300$28,752
ISHARES TR (IEF) 17,592,615 +1,479,434 $1,934,659
     IEF17,592,615+1,479,434$1,934,659
BOSTON SCIENTIFIC CORP      $1,929,674
     BSX46,121,321-2,387,930$1,933,867
     Put100,000+50,000$4,193
WELLS FARGO CO NEW      $1,922,928
     WFC39,271,672-9,708,652$1,817,887
     WFC.PRL104,692-11,234$142,822
     Put1,043,000-306,600$48,280
     Call226,800-375,800$10,499
CHARTER COMMUNICATIONS INC N      $1,917,485
     CHTR4,903,917+224,123$1,919,442
     Put7,500+2,500$2,936
     Call2,500-50,100$979
GENERAL DYNAMICS CORP 10,679,638 +11,631 $1,897,984
     GD10,679,638-4,169$1,897,984
LILLY ELI & CO      $1,865,207
     LLY16,753,824-1,235,003$1,867,548
     Put122,000-72,800$13,599
     Call101,000-2,400$11,258
EXXON MOBIL CORP      $1,829,714
     XOM24,264,039+2,148,198$1,839,699
     Put605,900+175,600$45,939
     Call474,200+101,100$35,954
PROLOGIS INC      $1,816,125
     PLD22,884,625+2,354,585$1,816,125
     Put38,000-73,200$3,016
     Call38,000-6,300$3,016

See Full List: All Stocks Held By JPMorgan Chase & Co.
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By JPMorgan Chase & Co.

Size ($ in 1000's)
At 06/30/2019: $511,429,786
At 03/31/2019: $489,549,468

Combined Holding Report Includes:
JPMORGAN CHASE & CO
Russell Investments Group Ltd.
J.P. Morgan Trust Co of Delaware
JPMorgan Chase Bank N.A.
J.P. Morgan Investment Management Inc.
J.P. Morgan Securities LLC
J.P. Morgan Securities plc
JPMorgan Asset Management UK Ltd
JPMorgan Asset Management Canada Inc.
J.P. Morgan Private Investments Inc.
J.P. Morgan Suisse SA
J.P. Morgan GT Corp
JF Asset Management Ltd
JPMorgan Asset Management Japan Ltd
JPMorgan Asset Management Singapore Ltd
JPMorgan Asset Management Taiwan Ltd
JPMorgan Funds Asia Ltd
MLP Investment Holdings Inc.
J.P. Morgan International Bank Ltd
J.P. Morgan Whitefriars LLC

JPMorgan Chase & Co. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from JPMorgan Chase & Co. 13F filings. Link to 13F filings: SEC filings

JPMorgan Chase & Co. Top Holdings 13F Filings | www.HoldingsChannel.com

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