J P MORGAN EXCHANGE TRADED F - MUNICIPAL ETF (JMUB) Institutional Ownership

13F Institutional Holders and Ownership History from Q4 2018 to Q4 2025

Type / Class
Equity / MUNICIPAL ETF
Symbol
JMUB
Price per share
$50.50
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
60,352,619
Total reported value
$3,045,500,214
% of total 13F portfolios
0.03%
Share change
+10,405,593
Value change
+$525,272,595
Number of holders
391
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 391 institutional investors reported holding 60,352,619 shares of J P MORGAN EXCHANGE TRADED F - MUNICIPAL ETF (JMUB).

Institutional Holders of J P MORGAN EXCHANGE TRADED F - MUNICIPAL ETF (JMUB) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 8,266,087 $417,778,677 +$60,156,480 $50.50 56
2025 Q3 60,352,619 $3,045,500,214 +$525,272,595 $50.47 391
2025 Q2 51,143,970 $2,540,043,736 +$442,506,975 $49.64 354
2025 Q1 43,210,611 $2,162,005,167 +$519,360,560 $50.00 329
2024 Q4 32,758,274 $1,643,173,869 +$285,906,594 $50.15 314
2024 Q3 26,433,927 $1,354,954,638 +$154,791,190 $51.27 264
2024 Q2 23,479,530 $1,182,821,656 +$183,231,718 $50.38 251
2024 Q1 19,721,134 $1,000,237,097 +$191,789,993 $50.74 221
2023 Q4 41,894 $2,134,913 +$524,225 $50.96 2
2023 Q3 10,634,054 $514,292,312 +$119,442,151 $48.37 129
2023 Q2 8,165,308 $410,057,148 +$70,594,607 $50.23 113
2023 Q1 6,757,198 $342,137,731 +$74,115,704 $50.63 97
2022 Q4 5,266,429 $261,744,497 +$63,234,311 $49.69 85
2022 Q3 3,931,385 $190,209,298 +$41,230,657 $48.42 54
2022 Q2 3,071,498 $153,292,225 +$54,594,223 $49.91 44
2022 Q1 1,753,854 $90,182,588 +$28,581,519 $51.43 40
2021 Q4 1,162,047 $63,730,000 +$637,161 $54.84 31
2021 Q3 1,139,403 $62,638,000 +$721,193 $54.97 26
2021 Q2 1,126,277 $62,225,000 +$8,559,801 $55.25 22
2021 Q1 971,402 $52,967,000 -$3,327,988 $54.52 24
2020 Q4 1,032,280 $56,822,000 +$8,329,365 $55.04 23
2020 Q3 824,688 $44,976,000 +$6,836,518 $54.53 16
2020 Q2 700,055 $37,777,000 +$3,122,032 $53.96 16
2020 Q1 642,187 $33,936,000 +$1,278,454 $52.84 9
2019 Q4 617,619 $33,092,000 +$1,755,102 $53.58 10
2019 Q3 586,032 $31,741,000 +$1,014,851 $54.09 5
2019 Q2 567,694 $30,426,000 +$696,598 $53.49 5
2019 Q1 554,668 $29,191,000 +$425,646 $52.62 4
2018 Q4 546,584 $28,032,000 +$28,031,979 $51.29 2