JPMPWA

J.P. Morgan Private Wealth Advisors Portfolio holdings

AUM $35B
1-Year Return 24.25%
This Quarter Return
+0.71%
1 Year Return
+24.25%
3 Year Return
+44.76%
5 Year Return
+83.01%
10 Year Return
+248.9%
AUM
$7.78B
AUM Growth
+$1.85B
Cap. Flow
+$1.87B
Cap. Flow %
24.11%
Top 10 Hldgs %
18.47%
Holding
1,130
New
242
Increased
543
Reduced
210
Closed
54

Sector Composition

1 Technology 12.92%
2 Financials 11.4%
3 Healthcare 10.33%
4 Energy 9.39%
5 Industrials 9.05%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
NXPI icon
526
NXP Semiconductors
NXPI
$55.3B
$968K 0.01%
14,146
+3,480
+33% +$238K
XLP icon
527
Consumers Staples Select Sector SPDR Fund
XLP
$15.9B
$954K 0.01%
21,149
+1,270
+6% +$57.3K
DLN icon
528
WisdomTree US LargeCap Dividend Fund
DLN
$5.27B
$950K 0.01%
26,710
-400
-1% -$14.2K
URS
529
DELISTED
URS CORP
URS
$946K 0.01%
16,417
-6,296
-28% -$363K
TAP icon
530
Molson Coors Class B
TAP
$9.7B
$937K 0.01%
12,591
+6,809
+118% +$507K
BABA icon
531
Alibaba
BABA
$343B
$936K 0.01%
+10,532
New +$936K
ASNA
532
DELISTED
Ascena Retail Group, Inc.
ASNA
$928K 0.01%
3,488
+339
+11% +$90.2K
IPCC
533
DELISTED
Infinity Property & Casualty C
IPCC
$928K 0.01%
14,501
KSU
534
DELISTED
Kansas City Southern
KSU
$926K 0.01%
7,641
+27
+0.4% +$3.27K
VTRS icon
535
Viatris
VTRS
$11.9B
$923K 0.01%
20,293
+16,277
+405% +$740K
UBNK
536
DELISTED
United Financial Bancorp, Inc.
UBNK
$923K 0.01%
72,733
-115
-0.2% -$1.46K
TK icon
537
Teekay
TK
$721M
$920K 0.01%
13,865
+10,281
+287% +$682K
CODE
538
DELISTED
SPANSION INC, CLASS A COMMON STOCK
CODE
$919K 0.01%
+40,316
New +$919K
QEP
539
DELISTED
QEP RESOURCES, INC.
QEP
$917K 0.01%
29,792
+5,621
+23% +$173K
KYN icon
540
Kayne Anderson Energy Infrastructure Fund
KYN
$2.05B
$914K 0.01%
+22,379
New +$914K
TS icon
541
Tenaris
TS
$18.5B
$911K 0.01%
20,023
+6,061
+43% +$276K
DWX icon
542
SPDR S&P International Dividend ETF
DWX
$491M
$909K 0.01%
+19,651
New +$909K
NFLX icon
543
Netflix
NFLX
$530B
$900K 0.01%
13,965
+105
+0.8% +$6.77K
LO
544
DELISTED
LORILLARD INC COM STK
LO
$881K 0.01%
14,718
+8,577
+140% +$513K
POT
545
DELISTED
Potash Corp Of Saskatchewan
POT
$876K 0.01%
25,321
+3,496
+16% +$121K
VYX icon
546
NCR Voyix
VYX
$1.73B
$872K 0.01%
+42,502
New +$872K
RDS.B
547
DELISTED
Royal Dutch Shell PLC ADS Class B
RDS.B
$854K 0.01%
10,800
+5,282
+96% +$418K
WTM icon
548
White Mountains Insurance
WTM
$4.53B
$845K 0.01%
1,341
QIHU
549
DELISTED
QIHOO 360 TECHNOLOGY CO LTD ADS RPSTG 3 CL A SHS
QIHU
$844K 0.01%
+12,513
New +$844K
PAGP icon
550
Plains GP Holdings
PAGP
$3.67B
$843K 0.01%
+10,323
New +$843K