J P MORGAN EXCHANGE TRADED F - ULTRA SHT MUNCPL (JMST)

Historical Holders from Q4 2018 to Q4 2025

Type / Class
Equity / ULTRA SHT MUNCPL
Symbol
JMST
Price per share
$50.94
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
60,015,893
Holdings value
$3,062,821,440
% of all portfolios
0.03%
Share change
+1,524,033
Value change
+$78,026,999
Average buys %
+0%
Average sells %
-0.01%
Number of holders
494
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, J P MORGAN EXCHANGE TRADED F - ULTRA SHT MUNCPL (JMST) has 494 institutional shareholders filing 13F forms. They hold 60,015,893 shares .

Institutional Holders of J P MORGAN EXCHANGE TRADED F - ULTRA SHT MUNCPL (JMST) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2025 Q4 3,855,407 $196,471,655 -$299,470 $50.94 42
2025 Q3 60,015,893 $3,062,821,440 +$78,026,999 $51.04 494
2025 Q2 58,461,933 $2,976,682,991 +$334,140,061 $50.92 496
2025 Q1 52,441,527 $2,666,623,590 +$322,536,797 $50.85 487
2024 Q4 46,074,869 $2,336,968,649 +$162,460,271 $50.71 456
2024 Q3 41,420,510 $2,109,789,490 +$111,666,093 $50.94 429
2024 Q2 38,795,621 $1,968,657,866 +$63,133,887 $50.74 419
2024 Q1 38,454,988 $1,951,102,604 -$45,638,231 $50.74 399
2023 Q4 278,045 $14,108,717 +$694,090 $50.74 7
2023 Q3 38,178,401 $1,926,753,346 -$9,923,298 $50.45 351
2023 Q2 38,331,752 $1,941,494,121 +$117,962,656 $50.65 349
2023 Q1 36,228,054 $1,840,091,411 -$154,086,335 $50.79 361
2022 Q4 39,625,818 $2,002,620,292 -$164,378,026 $50.54 347
2022 Q3 42,243,578 $2,124,837,661 -$532,562,959 $50.30 320
2022 Q2 52,895,821 $2,679,174,219 -$95,998,212 $50.65 299
2022 Q1 54,975,089 $2,783,930,950 +$1,379,535,745 $50.64 299
2021 Q4 27,724,843 $1,415,611,697 +$72,997,641 $51.06 290
2021 Q3 25,834,096 $1,319,554,627 +$213,168,248 $51.07 252
2021 Q2 21,529,267 $1,098,489,874 +$138,624,142 $51.05 222
2021 Q1 18,883,921 $963,657,170 +$288,519,094 $51.04 198
2020 Q4 12,963,359 $661,649,654 +$261,116,112 $51.04 166
2020 Q3 7,206,984 $367,482,266 +$168,362,361 $50.99 124
2020 Q2 3,819,709 $194,715,234 +$73,429,148 $50.98 94
2020 Q1 2,288,713 $115,419,000 +$50,511,483 $50.43 66
2019 Q4 1,266,790 $63,946,000 -$7,067,025 $50.48 56
2019 Q3 1,384,424 $69,796,000 +$6,252,357 $50.41 45
2019 Q2 1,278,293 $64,509,000 +$19,026,770 $50.42 32
2019 Q1 907,120 $45,645,000 +$9,719,041 $50.32 18
2018 Q4 713,972 $35,882,000 +$35,881,978 $50.26 7