J P MORGAN EXCHANGE TRADED F - DIV RTN INT EQ (JPIN) Institutional Ownership

13F Institutional Holders and Ownership History from Q4 2014 to Q4 2025

Type / Class
Equity / DIV RTN INT EQ
Symbol
JPIN
Price per share
$68.14
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
3,769,202
Total reported value
$250,966,266
% of total 13F portfolios
0%
Share change
+177,568
Value change
+$11,827,737
Number of holders
104
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 104 institutional investors reported holding 3,769,202 shares of J P MORGAN EXCHANGE TRADED F - DIV RTN INT EQ (JPIN).

Institutional Holders of J P MORGAN EXCHANGE TRADED F - DIV RTN INT EQ (JPIN) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 499,793 $34,657,679 -$1,848,885 $68.14 4
2025 Q3 3,769,202 $250,966,266 +$11,827,737 $66.61 104
2025 Q2 3,702,021 $237,522,887 -$15,264,402 $64.13 105
2025 Q1 3,948,999 $225,406,724 +$3,446,329 $57.14 99
2024 Q4 3,890,315 $208,601,147 -$2,076,526 $53.56 99
2024 Q3 3,848,679 $231,196,900 -$27,616,435 $60.08 94
2024 Q2 4,318,105 $238,994,939 -$10,208,570 $55.28 96
2024 Q1 4,611,082 $259,582,905 +$12,818,897 $56.33 97
2023 Q4 4,228,008 $229,620,746 -$6,766,444 $54.32 96
2023 Q3 4,569,943 $231,009,730 -$47,108,869 $50.55 88
2023 Q2 5,497,589 $285,479,962 -$288,220,793 $51.93 92
2023 Q1 10,829,658 $566,534,825 -$29,642,043 $52.31 88
2022 Q4 11,715,099 $601,185,940 -$12,009,321 $49.28 98
2022 Q3 11,950,577 $514,095,771 +$9,440,252 $42.82 86
2022 Q2 11,586,988 $565,615,879 +$25,900,340 $48.81 91
2022 Q1 11,612,150 $659,079,098 +$46,693,227 $56.50 100
2021 Q4 11,289,963 $660,067,047 -$30,485,143 $59.16 110
2021 Q3 11,756,463 $714,869,395 +$65,834,352 $60.31 112
2021 Q2 10,676,222 $666,986,124 +$17,575,088 $62.45 100
2021 Q1 10,405,607 $636,790,713 -$108,620,567 $61.00 108
2020 Q4 12,397,983 $726,789,000 -$657,475 $58.21 114
2020 Q3 11,985,178 $623,308,944 -$44,987,299 $51.61 109
2020 Q2 12,876,707 $643,528,113 -$87,784,715 $49.41 111
2020 Q1 14,370,668 $625,098,310 -$85,807,436 $43.24 122
2019 Q4 16,788,152 $958,199,370 -$202,063,822 $57.09 144
2019 Q3 20,199,811 $1,075,586,841 -$142,638,614 $53.17 132
2019 Q2 21,888,219 $1,191,589,118 -$107,569,727 $54.46 141
2019 Q1 24,357,254 $1,347,689,920 +$210,956,271 $55.29 141
2018 Q4 19,384,599 $994,425,000 -$101,969,251 $50.89 129
2018 Q3 20,610,177 $1,194,537,098 +$67,635,459 $58.38 112
2018 Q2 20,815,991 $1,201,846,014 +$66,476,334 $57.60 112
2018 Q1 19,952,800 $1,186,365,991 +$190,905,575 $59.43 108
2017 Q4 16,453,110 $989,866,204 +$84,197,647 $60.05 102
2017 Q3 14,530,268 $841,121,000 +$95,545,299 $57.91 88
2017 Q2 12,879,523 $723,086,000 +$119,741,316 $56.17 80
2017 Q1 10,648,608 $564,462,000 +$73,580,434 $53.06 65
2016 Q4 8,939,265 $437,398,000 +$80,802,707 $48.94 57
2016 Q3 7,254,510 $379,297,000 +$55,818,939 $52.32 44
2016 Q2 6,190,663 $305,926,000 +$177,715,252 $49.48 39
2016 Q1 2,588,058 $127,841,000 +$43,438,306 $49.63 22
2015 Q4 1,699,053 $84,154,000 +$8,521,921 $49.29 16
2015 Q3 1,530,062 $74,252,000 -$1,319,582 $48.68 13
2015 Q2 1,559,744 $81,225,674 -$1,443,296 $51.89 10
2015 Q1 1,588,052 $81,641,926 +$66,681,065 $51.24 8
2014 Q4 291,989 $14,337,000 +$14,337,008 $48.36 2