J P MORGAN EXCHANGE TRADED F - CORE PLUS BD ETF (JCPB) Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2019 to Q4 2025

Type / Class
Equity / CORE PLUS BD ETF
Symbol
JCPB
Price per share
$47.35
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
140,323,220
Total reported value
$6,662,966,024
% of total 13F portfolios
0.07%
Share change
+16,015,173
Value change
+$761,382,671
Number of holders
382
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 382 institutional investors reported holding 140,323,220 shares of J P MORGAN EXCHANGE TRADED F - CORE PLUS BD ETF (JCPB).

Institutional Holders of J P MORGAN EXCHANGE TRADED F - CORE PLUS BD ETF (JCPB) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 10,483,356 $496,538,943 +$102,619,099 $47.35 28
2025 Q3 140,323,220 $6,662,966,024 +$761,382,671 $47.55 382
2025 Q2 125,343,297 $5,889,593,968 +$777,726,508 $47.06 366
2025 Q1 109,524,852 $5,143,034,546 +$1,107,670,390 $47.04 343
2024 Q4 86,500,461 $3,988,156,968 +$520,727,174 $46.07 320
2024 Q3 72,526,214 $3,496,187,627 +$635,006,041 $48.24 289
2024 Q2 59,866,082 $2,774,348,664 +$295,117,115 $46.33 258
2024 Q1 53,427,203 $2,491,191,845 +$398,672,760 $46.64 232
2023 Q4 63,670 $2,997,904 +$1,364,524 $47.08 4
2023 Q3 25,806,969 $1,152,666,932 +$287,468,513 $44.67 153
2023 Q2 19,128,138 $890,855,124 +$192,697,055 $46.58 142
2023 Q1 14,881,990 $705,362,346 +$208,953,528 $47.39 110
2022 Q4 10,792,967 $496,176,677 +$147,028,195 $45.93 92
2022 Q3 7,499,788 $341,394,315 +$73,840,857 $45.88 69
2022 Q2 6,007,915 $289,099,571 +$55,230,247 $48.04 62
2022 Q1 4,758,772 $243,059,430 +$60,190,638 $51.07 46
2021 Q4 3,263,652 $177,194,000 +$57,563,488 $54.27 36
2021 Q3 2,194,544 $119,566,000 -$60,190,046 $54.48 33
2021 Q2 3,299,729 $180,662,000 +$74,157,047 $54.74 32
2021 Q1 1,946,531 $104,874,000 +$17,654,505 $53.88 30
2020 Q4 1,616,838 $90,142,000 +$12,048,367 $55.75 25
2020 Q3 1,315,950 $73,390,000 +$21,423,620 $55.73 18
2020 Q2 913,859 $50,403,000 +$3,687,581 $55.15 13
2020 Q1 846,234 $45,849,000 +$14,606,400 $54.18 12
2019 Q4 576,134 $30,307,000 +$769,414 $52.61 6
2019 Q3 561,516 $29,968,000 -$1,263,054 $53.37 5
2019 Q2 587,209 $30,714,052 -$389,575 $52.26 3
2019 Q1 594,764 $30,508,000 +$30,507,989 $51.30 3