J P MORGAN EXCHANGE TRADED F - DIVERSFED RTRN (JPME) Institutional Ownership

13F Institutional Holders and Ownership History from Q2 2016 to Q4 2025

Type / Class
Equity / DIVERSFED RTRN
Symbol
JPME
Price per share
$108.66
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
2,310,069
Total reported value
$250,360,495
% of total 13F portfolios
0%
Share change
+37,801
Value change
+$4,100,823
Number of holders
92
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 92 institutional investors reported holding 2,310,069 shares of J P MORGAN EXCHANGE TRADED F - DIVERSFED RTRN (JPME).

Institutional Holders of J P MORGAN EXCHANGE TRADED F - DIVERSFED RTRN (JPME) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 374,487 $40,692,133 +$38,148 $108.66 10
2025 Q3 2,310,069 $250,360,495 +$4,100,823 $108.44 92
2025 Q2 2,260,215 $234,350,796 -$69,055,271 $103.70 88
2025 Q1 2,873,579 $288,926,380 -$8,217,210 $100.57 84
2024 Q4 2,998,939 $307,576,784 -$5,435,934 $102.47 87
2024 Q3 3,036,864 $319,054,564 +$11,114,477 $105.04 82
2024 Q2 2,932,813 $279,266,264 -$7,544,501 $95.20 77
2024 Q1 2,966,175 $294,057,541 -$3,520,220 $99.14 76
2023 Q4 2,997,331 $275,320,857 -$1,757,716 $91.88 75
2023 Q3 3,018,048 $252,444,890 -$17,335,646 $83.65 65
2023 Q2 3,224,751 $285,176,650 +$9,613,220 $88.30 61
2023 Q1 2,263,423 $194,122,227 +$15,337,823 $85.79 57
2022 Q4 2,869,947 $241,569,493 +$19,628,562 $84.17 57
2022 Q3 2,659,845 $203,207,439 +$19,621,520 $76.40 53
2022 Q2 2,403,822 $194,015,000 +$15,757,470 $80.71 44
2022 Q1 2,196,495 $205,528,000 +$19,522,288 $93.57 41
2021 Q4 1,984,457 $189,315,000 -$17,182,878 $95.40 32
2021 Q3 2,153,624 $188,675,000 -$2,730,670 $87.41 34
2021 Q2 2,187,141 $192,136,000 -$15,835,293 $87.84 33
2021 Q1 2,369,927 $196,502,000 -$13,784,243 $82.79 34
2020 Q4 2,685,408 $201,514,000 +$1,285,115 $75.18 32
2020 Q3 2,422,192 $155,349,000 -$8,549,475 $64.13 32
2020 Q2 2,560,636 $154,959,000 -$3,635,154 $60.37 30
2020 Q1 2,621,474 $132,539,000 +$8,673,088 $49.83 25
2019 Q4 2,365,709 $166,712,000 -$2,937,784 $70.64 31
2019 Q3 2,305,047 $153,467,000 +$16,157,819 $66.81 28
2019 Q2 2,063,174 $137,115,000 +$9,578,442 $66.45 29
2019 Q1 1,906,041 $124,038,865 +$7,142,174 $65.08 28
2018 Q4 1,800,543 $102,832,000 +$17,173,846 $57.11 26
2018 Q3 1,075,671 $72,243,000 -$7,158,721 $67.16 18
2018 Q2 1,179,967 $76,502,000 +$10,201,313 $64.86 19
2018 Q1 1,023,352 $65,035,000 +$6,193,874 $63.55 15
2017 Q4 728,006 $46,396,000 +$793,340 $63.74 12
2017 Q3 714,495 $43,364,000 +$7,000,587 $60.79 8
2017 Q2 599,408 $35,481,000 -$1,586,701 $59.19 5
2017 Q1 626,993 $36,110,000 -$4,632,238 $57.60 7
2016 Q4 707,466 $38,310,000 +$1,049,189 $54.15 6
2016 Q3 688,761 $36,522,000 +$4,836,361 $53.03 7
2016 Q2 597,560 $30,266,000 +$30,266,017 $50.65 2