JPMORGAN CHASE 6.00 CALLABLE - PREFERRED (JPMPRC)

Historical Holders from Q1 2019 to Q3 2025

Type / Class
Equity / PREFERRED
Symbol
JPMPRC
Price per share
$25.36
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
227,549
Total reported value
$5,770,162
% of total 13F portfolios
0%
Share change
-44,483
Value change
-$1,120,941
Avg buy value change
+0%
Avg sell value change
-0%
Number of holders
8
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, JPMORGAN CHASE 6.00 CALLABLE - PREFERRED (JPMPRC) has 8 institutional shareholders filing 13F forms. They hold 227,549 shares. .

Institutional Holders of JPMORGAN CHASE 6.00 CALLABLE - PREFERRED (JPMPRC) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (% of par) Investors
2025 Q3 227,549 $5,770,162 -$1,120,941 2,536% 8
2025 Q2 272,032 $6,872,171 +$220,228 2,521% 10
2025 Q1 263,196 $6,590,886 -$7,132,671 2,502% 10
2024 Q4 543,502 $13,825,826 +$1,296,729 2,543.99% 10
2024 Q3 492,529 $12,539,395 +$1,366,999 2,546% 11
2024 Q2 374,905 $9,411,118 -$1,104,702 2,510% 9
2024 Q1 418,776 $10,546,082 +$1,190,905 2,518% 9
2023 Q4 373,809 $9,459,697 -$182,718 2,530% 9
2023 Q3 381,033 $9,401,133 +$145,331 2,479% 9
2023 Q2 375,132 $9,548,065 -$211,453 2,543.95% 9
2023 Q1 383,655 $9,659,292 +$63,718 2,518% 11
2022 Q4 381,151 $9,437,271 -$18,839,450 2,476% 12
2022 Q3 1,134,461 $28,318,394 +$17,278,798 2,497.5% 9
2022 Q2 441,956 $11,288,362 +$65,447 2,553.76% 8
2022 Q1 427,024 $11,240,496 -$101,083 2,632.22% 7
2021 Q4 441,649 $12,036,425 +$827,402 2,726.59% 8
2021 Q3 399,782 $11,083,600 +$3,441,921 2,772.75% 8
2021 Q2 291,576 $8,404,999 -$2,234,441 2,883.04% 12
2021 Q1 381,637 $10,487,644 -$447,988 2,748% 7
2020 Q4 397,942 $11,334,944 +$127,891 2,848% 7
2020 Q3 393,512 $10,799,432 +$915,373 2,744.58% 8
2020 Q2 360,147 $9,868,220 +$2,866,303 2,740% 7
2020 Q1 262,279 $6,859,595 +$3,541,023 2,615% 9
2019 Q4 126,889 $3,571,702 +$113 2,815% 7
2019 Q3 121,885 $3,429,702 +$1,546,533 2,813.85% 6
2019 Q2 66,922 $1,817,495 +$417,783 2,715.38% 5
2019 Q1 52,001 $1,378,115 +$1,378,114 2,646.28% 4