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
DB icon
601
Deutsche Bank
DB
$69.7B
$720K 0.01%
23,136
+10,633
+85% +$331K
FE icon
602
FirstEnergy
FE
$25B
$720K 0.01%
21,458
+2,553
+14% +$85.7K
IONS icon
603
Ionis Pharmaceuticals
IONS
$10.2B
$718K 0.01%
18,503
+4,780
+35% +$185K
L icon
604
Loews
L
$19.9B
$718K 0.01%
17,227
-9,966
-37% -$415K
IWP icon
605
iShares Russell Mid-Cap Growth ETF
IWP
$20.5B
$714K 0.01%
16,164
+1,632
+11% +$72.1K
DG icon
606
Dollar General
DG
$23.4B
$706K 0.01%
11,551
-588
-5% -$35.9K
AIVI icon
607
WisdomTree International AI Enhanced Value Fund
AIVI
$57.6M
$702K 0.01%
15,000
PRCP
608
DELISTED
Perceptron Inc
PRCP
$698K 0.01%
71,275
TYG
609
Tortoise Energy Infrastructure Corp
TYG
$736M
$697K 0.01%
3,621
+752
+26% +$145K
AEP icon
610
American Electric Power
AEP
$57.9B
$691K 0.01%
13,239
-53
-0.4% -$2.77K
SEIC icon
611
SEI Investments
SEIC
$10.7B
$689K 0.01%
19,060
-16,854
-47% -$609K
CX icon
612
Cemex
CX
$13.3B
$686K 0.01%
59,140
MFC icon
613
Manulife Financial
MFC
$52.4B
$686K 0.01%
35,635
+2,607
+8% +$50.2K
TWC
614
DELISTED
TIME WARNER CABLE INC NEW COM STK
TWC
$686K 0.01%
4,785
-295
-6% -$42.3K
PCYC
615
DELISTED
PHARMACYCLICS INC
PCYC
$678K 0.01%
5,771
+2,012
+54% +$236K
CYS
616
DELISTED
CYS Investments Inc.
CYS
$677K 0.01%
+82,186
New +$677K
AVP
617
DELISTED
Avon Products, Inc.
AVP
$669K 0.01%
+53,123
New +$669K
PRN icon
618
Invesco Dorsey Wright Industrials Momentum ETF
PRN
$361M
$666K 0.01%
14,550
+550
+4% +$25.2K
ACWX icon
619
iShares MSCI ACWI ex US ETF
ACWX
$6.73B
$664K 0.01%
+14,600
New +$664K
CMG icon
620
Chipotle Mexican Grill
CMG
$51.9B
$660K 0.01%
49,450
-41,400
-46% -$553K
AZPN
621
DELISTED
ASPEN TECHNOLOGY INC
AZPN
$657K 0.01%
17,426
-3,205
-16% -$121K
NTT
622
DELISTED
Nippon Telegraph & Telephone
NTT
$651K 0.01%
20,923
+6,689
+47% +$208K
KLAC icon
623
KLA
KLAC
$123B
$650K 0.01%
8,247
+879
+12% +$69.3K
MR
624
DELISTED
MINDRAY MED INTL LTD SPONSORED ADR REPSTG CL A
MR
$647K 0.01%
21,452
+880
+4% +$26.5K
BEAV
625
DELISTED
B/E Aerospace Inc
BEAV
$645K 0.01%
10,610
-5,013
-32% -$305K