JPMORGAN CHASE & CO - COM (JPM)

Historical Holders from Q1 2014 to Q4 2025

Type / Class
Equity / COM
Symbol
JPM on NYSE
Price per share
$322.22
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
1,953,646,111
Holdings value
$615,757,506,235
% of all portfolios
0.62%
Share change
-50,635,318
Value change
-$15,007,328,765
Average buys %
+0.02%
Average sells %
-0.06%
Number of holders
4,688
Price from insider filings
$322.22
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, JPMORGAN CHASE & CO - COM (JPM) has 4,688 institutional shareholders filing 13F forms. They hold 1,953,646,111 shares .

Institutional Holders of JPMORGAN CHASE & CO - COM (JPM) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2025 Q4 11,836,249 $3,824,604,617 +$43,232,379 $322.22 201
2025 Q3 1,953,646,111 $615,757,506,235 -$15,007,328,765 $315.43 4,688
2025 Q2 2,004,578,441 $580,887,729,203 +$7,261,058,245 $289.91 4,693
2025 Q1 1,978,631,836 $484,936,705,769 -$14,143,228,916 $245.30 4,594
2024 Q4 2,037,162,115 $488,365,261,575 +$9,884,093,404 $239.71 4,565
2024 Q3 1,986,737,279 $419,095,632,641 -$14,753,606,107 $210.86 4,153
2024 Q2 2,054,168,580 $415,462,727,596 +$5,525,806,088 $202.26 4,101
2024 Q1 2,011,781,141 $402,671,615,346 -$5,076,946,804 $200.30 4,058
2023 Q4 21,051,241 $3,580,844,936 -$273,873,724 $170.10 69
2023 Q3 1,996,081,864 $289,529,590,895 -$131,183,073 $145.02 3,620
2023 Q2 1,998,095,913 $290,337,863,263 -$4,606,882,156 $145.44 3,583
2023 Q1 2,033,047,525 $264,890,135,462 -$2,706,752,731 $130.31 3,522
2022 Q4 2,052,050,415 $275,188,043,383 +$6,323,423,672 $134.10 3,534
2022 Q3 1,970,998,597 $206,246,141,226 -$254,405,598 $104.50 3,279
2022 Q2 2,019,203,339 $227,427,944,861 +$170,814,311 $112.61 3,345
2022 Q1 2,029,649,097 $276,728,733,877 -$5,994,563,880 $136.32 3,442
2021 Q4 2,073,825,086 $328,239,470,901 -$1,973,500,617 $158.35 3,523
2021 Q3 2,077,054,216 $339,838,661,621 -$4,763,961,386 $163.69 3,176
2021 Q2 2,107,329,409 $327,501,815,727 -$8,153,306,197 $155.54 3,191
2021 Q1 2,161,080,093 $328,745,068,737 -$1,371,998,122 $152.23 3,168
2020 Q4 2,170,763,211 $275,671,682,972 +$4,385,606,769 $127.07 3,065
2020 Q3 2,140,208,423 $205,882,431,750 -$713,122,546 $96.27 2,778
2020 Q2 2,144,841,764 $201,650,859,009 -$5,045,033,227 $94.06 2,810
2020 Q1 2,176,085,726 $195,911,722,251 -$6,985,614,210 $90.03 2,733
2019 Q4 2,253,398,776 $313,939,758,818 -$3,014,924,228 $139.40 2,839
2019 Q3 2,250,291,414 $264,753,544,258 -$4,596,339,096 $117.69 2,585
2019 Q2 2,327,964,288 $260,135,670,145 +$5,284,342,974 $111.80 2,608
2019 Q1 2,345,090,898 $237,413,899,238 -$5,122,628,347 $101.23 2,570
2018 Q4 2,389,665,341 $233,164,853,191 -$4,292,993,775 $97.62 2,571
2018 Q3 2,402,778,701 $270,971,673,242 -$1,664,011,866 $112.84 2,427
2018 Q2 2,451,660,555 $255,377,774,592 -$1,589,056,122 $104.20 2,411
2018 Q1 2,495,578,825 $274,269,577,629 -$6,470,192,796 $109.97 2,426
2017 Q4 2,560,806,965 $273,713,877,967 -$3,750,066,231 $106.94 2,400
2017 Q3 2,593,206,406 $247,670,779,562 -$2,049,710,288 $95.51 2,177
2017 Q2 2,626,003,580 $240,043,740,154 -$3,780,052,516 $91.40 2,181
2017 Q1 2,666,767,318 $234,286,888,740 +$17,210,999,369 $87.84 2,129
2016 Q4 2,701,528,962 $233,065,135,334 +$1,927,399,374 $86.29 2,062
2016 Q3 2,657,292,023 $176,837,633,203 -$945,151,513 $66.59 1,898
2016 Q2 2,677,052,509 $166,355,078,054 -$1,882,646,851 $62.14 1,884
2016 Q1 2,704,837,450 $160,234,972,027 -$2,428,514,383 $59.22 1,882
2015 Q4 2,750,977,157 $181,612,348,574 -$1,196,277,396 $66.03 1,924
2015 Q3 2,763,030,299 $168,467,534,204 -$184,157,043 $60.97 1,809
2015 Q2 2,727,887,218 $184,787,186,085 +$1,582,794,940 $67.76 1,825
2015 Q1 2,759,750,417 $167,138,454,891 -$1,945,508,298 $60.58 1,782
2014 Q4 2,796,551,268 $174,907,531,217 +$143,663,175 $62.58 1,792
2014 Q3 2,773,739,019 $167,062,970,645 +$355,752,749 $60.24 1,673
2014 Q2 2,774,563,985 $159,479,262,326 +$1,546,801,218 $57.62 1,680
2014 Q1 2,746,762,659 $166,693,194,999 +$899,773,239 $60.71 1,702