J P MORGAN EXCHANGE TRADED F - JPMORGAN DIVER (JPUS) Institutional Ownership

13F Institutional Holders and Ownership History from Q3 2015 to Q4 2025

Type / Class
Equity / JPMORGAN DIVER
Symbol
JPUS
Price per share
$123.95
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
2,035,806
Total reported value
$252,167,818
% of total 13F portfolios
0%
Share change
-13,259
Value change
-$1,512,059
Number of holders
83
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 83 institutional investors reported holding 2,035,806 shares of J P MORGAN EXCHANGE TRADED F - JPMORGAN DIVER (JPUS).

Institutional Holders of J P MORGAN EXCHANGE TRADED F - JPMORGAN DIVER (JPUS) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 129,827 $16,426,284 -$883,999 $123.95 3
2025 Q3 2,035,806 $252,167,818 -$1,512,059 $123.91 83
2025 Q2 2,049,065 $242,459,462 -$51,675,596 $118.19 82
2025 Q1 2,470,353 $284,554,224 -$30,472,697 $115.20 84
2024 Q4 2,752,584 $314,113,128 +$5,121,218 $114.11 84
2024 Q3 2,683,105 $321,080,994 -$8,048,041 $119.68 77
2024 Q2 2,751,224 $300,407,620 -$27,329,861 $109.18 76
2024 Q1 3,001,323 $336,126,144 -$34,458,045 $112.00 79
2023 Q4 3,680 $378,020 -$51,361 $102.72 1
2023 Q3 3,557,993 $334,189,135 +$7,459,595 $93.93 70
2023 Q2 3,522,822 $344,433,155 -$21,557,578 $97.77 73
2023 Q1 3,329,404 $318,327,862 -$5,976,874 $95.61 73
2022 Q4 3,301,665 $312,933,915 -$20,712,955 $94.78 68
2022 Q3 4,254,364 $367,730,000 +$19,236,363 $85.50 72
2022 Q2 4,040,092 $369,749,000 -$26,411,470 $91.51 71
2022 Q1 4,318,445 $450,919,788 -$77,612,273 $104.47 76
2021 Q4 5,077,212 $538,388,000 -$5,656,000 $106.05 74
2021 Q3 5,027,441 $483,562,000 +$3,522,096 $96.15 70
2021 Q2 5,008,362 $484,182,000 -$10,932,098 $96.75 74
2021 Q1 5,778,014 $506,044,000 -$15,448,773 $91.31 68
2020 Q4 6,029,044 $504,695,000 -$5,493,212 $83.65 70
2020 Q3 6,052,001 $447,547,000 -$10,096,187 $73.95 74
2020 Q2 6,190,742 $429,566,000 -$135,276,724 $69.39 76
2020 Q1 8,356,552 $490,977,000 -$41,082,316 $58.64 89
2019 Q4 8,671,783 $690,829,000 +$15,481,306 $79.66 96
2019 Q3 8,765,389 $664,788,036 +$66,659,120 $75.92 82
2019 Q2 7,463,858 $557,334,000 +$29,030,757 $74.85 80
2019 Q1 7,003,998 $512,459,859 +$11,811,182 $73.15 75
2018 Q4 7,032,782 $464,730,000 +$38,187,014 $64.87 79
2018 Q3 5,618,949 $419,153,440 +$29,907,713 $74.54 72
2018 Q2 5,691,587 $404,736,000 +$23,180,778 $71.05 62
2018 Q1 4,900,823 $341,010,000 +$31,547,070 $69.69 59
2017 Q4 4,250,004 $299,849,000 +$41,642,306 $70.52 59
2017 Q3 3,559,989 $239,551,000 +$60,919,582 $67.29 46
2017 Q2 2,654,679 $173,382,000 -$57,518,671 $65.31 32
2017 Q1 3,725,432 $235,260,000 +$66,304,097 $63.16 31
2016 Q4 2,675,116 $158,398,000 +$14,816,265 $59.22 22
2016 Q3 1,944,505 $113,795,000 +$83,311,490 $58.52 14
2016 Q2 520,908 $29,874,000 -$2,412,951 $57.35 5
2016 Q1 563,083 $31,324,000 +$4,770,774 $55.63 4
2015 Q4 477,316 $25,632,000 +$14,920,578 $53.70 2
2015 Q3 199,500 $10,103,000 +$10,102,999 $50.64 1