JPMPWA

J.P. Morgan Private Wealth Advisors Portfolio holdings

AUM $35B
1-Year Return 24.25%
This Quarter Return
+9.55%
1 Year Return
+24.25%
3 Year Return
+44.76%
5 Year Return
+83.01%
10 Year Return
+248.9%
AUM
$4.98B
AUM Growth
+$568M
Cap. Flow
+$192M
Cap. Flow %
3.87%
Top 10 Hldgs %
19.83%
Holding
735
New
98
Increased
367
Reduced
149
Closed
84
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
ZION icon
576
Zions Bancorporation
ZION
$8.34B
$234K ﹤0.01%
7,825
+494
+7% +$14.8K
CP icon
577
Canadian Pacific Kansas City
CP
$70.3B
$233K ﹤0.01%
+7,690
New +$233K
FWONA icon
578
Liberty Media Series A
FWONA
$22.6B
$232K ﹤0.01%
8,916
-4,841
-35% -$126K
WFT
579
DELISTED
Weatherford International plc
WFT
$232K ﹤0.01%
14,982
+1,600
+12% +$24.8K
SNI
580
DELISTED
Scripps Networks Interactive, Inc Common Class A
SNI
$232K ﹤0.01%
2,689
-894
-25% -$77.1K
TS icon
581
Tenaris
TS
$18.2B
$231K ﹤0.01%
+5,290
New +$231K
VXUS icon
582
Vanguard Total International Stock ETF
VXUS
$102B
$229K ﹤0.01%
4,378
-2,280
-34% -$119K
MNKD icon
583
MannKind Corp
MNKD
$1.7B
$228K ﹤0.01%
+8,774
New +$228K
CRZO
584
DELISTED
Carrizo Oil & Gas Inc
CRZO
$228K ﹤0.01%
+5,089
New +$228K
SF icon
585
Stifel
SF
$11.5B
$227K ﹤0.01%
7,121
-6,307
-47% -$201K
WTW icon
586
Willis Towers Watson
WTW
$32.1B
$227K ﹤0.01%
1,911
-177
-8% -$21K
AVP
587
DELISTED
Avon Products, Inc.
AVP
$225K ﹤0.01%
13,078
-9,558
-42% -$164K
LLTC
588
DELISTED
Linear Technology Corp
LLTC
$225K ﹤0.01%
4,942
-165
-3% -$7.51K
NBW
589
DELISTED
Neuberger Berman California Municipal Fund Inc.
NBW
$222K ﹤0.01%
+15,985
New +$222K
BEAM
590
DELISTED
BEAM INC COM STK (DE)
BEAM
$222K ﹤0.01%
3,259
-691
-17% -$47.1K
TYC
591
DELISTED
TYCO INTL PLC COM SHS (IRL)
TYC
$222K ﹤0.01%
+5,164
New +$222K
DG icon
592
Dollar General
DG
$24.1B
$221K ﹤0.01%
+3,663
New +$221K
DRI icon
593
Darden Restaurants
DRI
$24.5B
$221K ﹤0.01%
4,554
-488
-10% -$23.7K
HE icon
594
Hawaiian Electric Industries
HE
$2.12B
$221K ﹤0.01%
8,498
-1,767
-17% -$46K
FMBI
595
DELISTED
First Midwest Bancorp Inc/IL
FMBI
$220K ﹤0.01%
+12,563
New +$220K
COL
596
DELISTED
Rockwell Collins
COL
$220K ﹤0.01%
+2,981
New +$220K
NVDA icon
597
NVIDIA
NVDA
$4.07T
$218K ﹤0.01%
543,560
-48,720
-8% -$19.5K
BDJ icon
598
BlackRock Enhanced Equity Dividend Trust
BDJ
$1.6B
$216K ﹤0.01%
27,266
GTLS icon
599
Chart Industries
GTLS
$8.96B
$213K ﹤0.01%
+2,224
New +$213K
AHD
600
DELISTED
ATLAS ENERGY L P COM UNITS REPSTG LTD PARTNER INT (DE)
AHD
$213K ﹤0.01%
4,552
-12
-0.3% -$562