JPMPWA

J.P. Morgan Private Wealth Advisors Portfolio holdings

AUM $35B
1-Year Return 24.25%
This Quarter Return
+0.22%
1 Year Return
+24.25%
3 Year Return
+44.76%
5 Year Return
+83.01%
10 Year Return
+248.9%
AUM
$8.72B
AUM Growth
-$43.7M
Cap. Flow
-$26.4M
Cap. Flow %
-0.3%
Top 10 Hldgs %
18.15%
Holding
1,209
New
77
Increased
535
Reduced
342
Closed
168

Sector Composition

1 Technology 13.54%
2 Healthcare 11.75%
3 Financials 11.74%
4 Industrials 8.63%
5 Communication Services 7.84%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
CDK
701
DELISTED
CDK Global, Inc.
CDK
$469K 0.01%
8,684
-2,029
-19% -$110K
JUNO
702
DELISTED
Juno Therapeutics, Inc.
JUNO
$466K 0.01%
8,750
-1,500
-15% -$79.9K
TRMB icon
703
Trimble
TRMB
$19.3B
$462K 0.01%
19,704
-150
-0.8% -$3.52K
ETY icon
704
Eaton Vance Tax-Managed Diversified Equity Income Fund
ETY
$2.5B
$458K 0.01%
40,248
-2,000
-5% -$22.8K
HE icon
705
Hawaiian Electric Industries
HE
$2.05B
$457K 0.01%
15,378
+754
+5% +$22.4K
KNL
706
DELISTED
Knoll, Inc.
KNL
$457K 0.01%
18,270
QGENF
707
DELISTED
QIAGEN NV
QGENF
$457K 0.01%
18,453
-423
-2% -$10.5K
SYLD icon
708
Cambria Shareholder Yield ETF
SYLD
$951M
$456K 0.01%
14,570
+500
+4% +$15.6K
ICUI icon
709
ICU Medical
ICUI
$3.22B
$451K 0.01%
4,712
-790
-14% -$75.6K
DISCA
710
DELISTED
Discovery, Inc. Series A Common Stock
DISCA
$449K 0.01%
+13,487
New +$449K
STRZA
711
DELISTED
Starz - Series A
STRZA
$449K 0.01%
10,032
-10
-0.1% -$448
CCL icon
712
Carnival Corp
CCL
$42.8B
$448K 0.01%
9,077
+4,496
+98% +$222K
VSTM icon
713
Verastem
VSTM
$630M
$445K 0.01%
4,917
TFCF
714
DELISTED
Twenty-First Century Fox, Inc. Class B
TFCF
$445K 0.01%
13,817
-909
-6% -$29.3K
IUSV icon
715
iShares Core S&P US Value ETF
IUSV
$22B
$442K 0.01%
9,846
IFF icon
716
International Flavors & Fragrances
IFF
$17B
$440K 0.01%
4,022
+411
+11% +$45K
GLF
717
DELISTED
GulfMark Offshore, Inc. Common Stock
GLF
$439K 0.01%
37,850
-3,716
-9% -$43.1K
SCZ icon
718
iShares MSCI EAFE Small-Cap ETF
SCZ
$10.9B
$438K 0.01%
8,576
+4,075
+91% +$208K
MZTI
719
The Marzetti Company Common Stock
MZTI
$5.07B
$437K 0.01%
4,801
REN
720
DELISTED
Resolute Energy Corporaton
REN
$436K 0.01%
90,250
-7,692
-8% -$37.2K
DAL icon
721
Delta Air Lines
DAL
$40.3B
$435K 0.01%
10,587
+613
+6% +$25.2K
CADE icon
722
Cadence Bank
CADE
$7.04B
$434K 0.01%
16,839
+1,520
+10% +$39.2K
MSI icon
723
Motorola Solutions
MSI
$79.7B
$433K 0.01%
7,546
-380
-5% -$21.8K
YDLE
724
DELISTED
YODLEE INC COMMON STOCK
YDLE
$433K 0.01%
+30,000
New +$433K
FTI icon
725
TechnipFMC
FTI
$16.1B
$432K 0.01%
14,009
+1,160
+9% +$35.8K