JPMORGAN CHAS 5.75 PFD - PREFERRED STOCK (JPMPRD) Institutional Ownership

13F Institutional Holders and Ownership History from Q3 2018 to Q3 2025

Type / Class
Equity / PREFERRED STOCK
Symbol
JPMPRD
Price per share
$24.74
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
261,105
Total reported value
$6,488,940
% of total 13F portfolios
0%
Share change
+180,455
Value change
+$4,484,403
Number of holders
8
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 8 institutional investors reported holding 261,105 shares of JPMORGAN CHAS 5.75 PFD - PREFERRED STOCK (JPMPRD).

Institutional Holders of JPMORGAN CHAS 5.75 PFD - PREFERRED STOCK (JPMPRD) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q3 261,105 $6,488,940 +$4,484,403 $24.85 8
2025 Q2 80,650 $1,990,437 +$218,658 $24.57 7
2025 Q1 71,715 $1,763,913 -$24,610 $24.59 5
2024 Q4 72,715 $1,830,293 +$640,365 $25.17 5
2024 Q3 47,100 $1,190,672 +$530,709 $25.28 5
2024 Q2 26,407 $656,954 -$36,488 $24.90 5
2024 Q1 27,862 $698,623 -$302,593 $25.02 5
2023 Q4 53,282 $1,332,167 -$56,058 $25.00 6
2023 Q3 55,524 $1,325,056 -$14,098 $23.81 6
2023 Q2 56,116 $1,410,308 +$452,099 $25.14 6
2023 Q1 38,116 $949,082 +$167,915 $24.91 5
2022 Q4 24,345 $570,931 -$4,283,481 $23.39 4
2022 Q3 196,385 $4,845,805 +$3,664,188 $24.67 5
2022 Q2 52,339 $1,305,572 +$47,877 $24.91 7
2022 Q1 50,044 $1,286,284 +$503,284 $25.67 7
2021 Q4 30,524 $821,000 +$137 $26.90 4
2021 Q3 30,519 $834,000 +$12,750 $27.33 4
2021 Q2 39,530 $1,117,000 $0 $28.25 5
2021 Q1 39,530 $1,071,000 $0 $27.08 5
2020 Q4 39,530 $1,111,000 +$246,000 $28.11 5
2020 Q3 30,805 $841,000 -$34,667 $27.29 5
2020 Q2 32,055 $848,000 $0 $26.46 4
2020 Q1 32,055 $812,000 -$592,000 $25.31 4
2019 Q4 53,680 $1,468,000 -$175,000 $27.33 5
2019 Q3 60,048 $1,647,000 +$119,239 $27.43 6
2019 Q2 55,711 $1,499,000 -$1,934,999 $26.92 6
2019 Q1 131,959 $3,395,000 +$718,999 $25.73 6
2018 Q4 104,000 $2,602,000 $0 $25.00 3
2018 Q3 104,000 $2,633,000 +$2,632,999 $25.33 3