JPMORGAN CHASE & CO - COM (JPM)

Historical Holders from Q1 2014 to Q1 2025

Symbol
JPM on NYSE
CUSIP
46625H100
Type / Class
Equity / COM
All holders as of December 31, 2024
Q4 2024
Shares, excl. options
2.03B
Holdings value
$488B
% of all portfolios
0.529%
Grand Portfolio weight change
+0.018%
Number of holders
4543
Number of buys
1834
Number of sells
-1986
Average Value change %
-0.14%
Average buys %
+0.027%
Average sells %
-0.163%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

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

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q1 48.8M $11.9B -$50.7M $245.30 910
2024 Q4 2.03B $488B +$9.91B $239.71 4,543
2024 Q3 1.99B $419B -$14.8B $210.86 4,153
2024 Q2 2.05B $415B +$5.53B $202.26 4,101
2024 Q1 2.01B $403B -$5.08B $200.30 4,058
2023 Q4 2.06B $350B +$8.01B $170.10 3,878
2023 Q3 2B $290B -$131M $145.02 3,620
2023 Q2 2B $290B -$4.61B $145.44 3,583
2023 Q1 2.03B $265B -$2.71B $130.31 3,522
2022 Q4 2.05B $275B +$6.32B $134.10 3,534
2022 Q3 1.97B $206B -$254M $104.50 3,279
2022 Q2 2.02B $227B +$171M $112.61 3,345
2022 Q1 2.03B $277B -$5.99B $136.32 3,442
2021 Q4 2.07B $328B -$1.97B $158.35 3,523
2021 Q3 2.08B $340B -$4.76B $163.69 3,176
2021 Q2 2.11B $328B -$8.15B $155.54 3,191
2021 Q1 2.16B $329B -$1.37B $152.23 3,168
2020 Q4 2.17B $276B +$4.39B $127.07 3,065
2020 Q3 2.14B $206B -$713M $96.27 2,778
2020 Q2 2.14B $202B -$5.05B $94.06 2,810
2020 Q1 2.18B $196B -$6.99B $90.03 2,733
2019 Q4 2.25B $314B -$3.01B $139.40 2,839
2019 Q3 2.25B $265B -$4.6B $117.69 2,585
2019 Q2 2.33B $260B +$5.28B $111.80 2,608
2019 Q1 2.35B $237B -$5.12B $101.23 2,570
2018 Q4 2.39B $233B -$4.29B $97.62 2,571
2018 Q3 2.4B $271B -$1.66B $112.84 2,427
2018 Q2 2.45B $255B -$1.59B $104.20 2,411
2018 Q1 2.5B $274B -$6.47B $109.97 2,426
2017 Q4 2.56B $274B -$3.75B $106.94 2,400
2017 Q3 2.59B $248B -$2.05B $95.51 2,177
2017 Q2 2.63B $240B -$3.78B $91.40 2,181
2017 Q1 2.67B $234B +$17.2B $87.84 2,129
2016 Q4 2.7B $233B +$1.93B $86.29 2,062
2016 Q3 2.66B $177B -$945M $66.59 1,898
2016 Q2 2.68B $166B -$1.88B $62.14 1,884
2016 Q1 2.7B $160B -$2.43B $59.22 1,882
2015 Q4 2.75B $182B -$1.2B $66.03 1,924
2015 Q3 2.76B $168B -$184M $60.97 1,809
2015 Q2 2.73B $185B +$1.58B $67.76 1,825
2015 Q1 2.76B $167B -$1.95B $60.58 1,782
2014 Q4 2.8B $175B +$144M $62.58 1,792
2014 Q3 2.77B $167B +$356M $60.24 1,673
2014 Q2 2.77B $159B +$1.55B $57.62 1,680
2014 Q1 2.75B $167B +$900M $60.71 1,702