J P MORGAN EXCHANGE TRADED F - US VALUE FACTR (JVAL) Institutional Ownership

13F Institutional Holders and Ownership History from Q4 2017 to Q4 2025

Type / Class
Equity / US VALUE FACTR
Symbol
JVAL
Price per share
$49.08
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
9,555,608
Total reported value
$453,703,429
% of total 13F portfolios
0%
Share change
+169,477
Value change
+$8,107,828
Number of holders
133
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 133 institutional investors reported holding 9,555,608 shares of J P MORGAN EXCHANGE TRADED F - US VALUE FACTR (JVAL).

Institutional Holders of J P MORGAN EXCHANGE TRADED F - US VALUE FACTR (JVAL) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 265,991 $13,117,324 +$8,005 $49.08 8
2025 Q3 9,555,608 $453,703,429 +$8,107,828 $47.50 133
2025 Q2 9,461,233 $418,687,645 -$24,476,328 $44.23 135
2025 Q1 10,220,106 $423,899,611 +$16,392,261 $41.42 126
2024 Q4 9,561,937 $413,777,161 +$133,123 $43.20 121
2024 Q3 9,420,388 $410,379,703 -$428,811,844 $43.57 112
2024 Q2 19,283,785 $788,142,847 +$4,964,438 $40.87 112
2024 Q1 19,304,408 $803,448,518 -$226,828,736 $41.62 110
2023 Q4 24,017,080 $926,710,858 +$126,237,106 $38.58 104
2023 Q3 20,907,138 $724,257,028 +$394,743 $34.64 88
2023 Q2 15,051,152 $536,907,706 -$541,775,039 $35.68 81
2023 Q1 30,233,890 $1,028,464,573 +$817,914,402 $34.06 72
2022 Q4 7,725,404 $255,974,508 -$49,119,250 $33.14 74
2022 Q3 9,368,596 $279,065,704 -$60,389,790 $29.78 72
2022 Q2 11,260,480 $361,533,903 +$26,943,208 $32.11 78
2022 Q1 10,813,995 $397,576,658 +$109,264,223 $36.97 77
2021 Q4 7,744,624 $297,478,808 -$130,071,972 $38.42 64
2021 Q3 11,331,002 $402,669,000 -$589,499,875 $35.52 56
2021 Q2 27,925,046 $1,011,150,000 +$344,484,680 $36.21 48
2021 Q1 18,422,189 $632,671,379 +$580,879,183 $34.34 39
2020 Q4 1,502,386 $44,834,000 -$589,785 $29.85 22
2020 Q3 1,860,186 $46,769,000 +$4,307,872 $25.23 17
2020 Q2 1,692,517 $40,681,000 +$3,038,816 $24.03 14
2020 Q1 1,566,497 $31,728,000 -$18,205,440 $20.25 12
2019 Q4 2,180,306 $63,208,000 +$6,813,500 $28.99 12
2019 Q3 1,530,694 $40,853,000 +$2,338,294 $26.73 9
2019 Q2 1,877,675 $49,425,000 -$2,929,358 $26.51 9
2019 Q1 1,988,205 $51,579,000 +$11,030,135 $26.00 7
2018 Q4 1,567,146 $36,374,000 +$7,241,186 $23.21 5
2018 Q3 1,030,685 $27,689,000 -$270,916 $26.89 3
2018 Q2 1,040,761 $26,574,000 -$127,155 $25.65 2
2018 Q1 1,045,695 $27,199,000 -$9,757 $26.01 2
2017 Q4 1,046,070 $27,303,000 +$27,303,002 $26.10 2