JPMPWA

J.P. Morgan Private Wealth Advisors Portfolio holdings

AUM $35B
1-Year Return 24.25%
This Quarter Return
+6.85%
1 Year Return
+24.25%
3 Year Return
+44.76%
5 Year Return
+83.01%
10 Year Return
+248.9%
AUM
$20.5B
AUM Growth
+$2.63B
Cap. Flow
+$1.51B
Cap. Flow %
7.37%
Top 10 Hldgs %
21.67%
Holding
1,635
New
177
Increased
669
Reduced
588
Closed
71

Sector Composition

1 Technology 12.65%
2 Financials 9.44%
3 Healthcare 8.61%
4 Industrials 5.39%
5 Communication Services 5.35%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
HIG icon
701
Hartford Financial Services
HIG
$36.9B
$1.45M 0.01%
29,003
+2,279
+9% +$114K
CIBR icon
702
First Trust NASDAQ Cybersecurity ETF
CIBR
$10.8B
$1.45M 0.01%
50,785
-2,550
-5% -$72.7K
DXC icon
703
DXC Technology
DXC
$2.55B
$1.45M 0.01%
15,481
+590
+4% +$55.2K
SCHA icon
704
Schwab U.S Small- Cap ETF
SCHA
$18.7B
$1.44M 0.01%
75,576
+9,936
+15% +$189K
UBNK
705
DELISTED
United Financial Bancorp, Inc.
UBNK
$1.44M 0.01%
85,551
+4,680
+6% +$78.8K
ELAN icon
706
Elanco Animal Health
ELAN
$9.11B
$1.44M 0.01%
+41,230
New +$1.44M
MNST icon
707
Monster Beverage
MNST
$61.3B
$1.44M 0.01%
49,390
+9,486
+24% +$276K
SSTI icon
708
SoundThinking
SSTI
$160M
$1.44M 0.01%
23,465
+11,765
+101% +$721K
TECD
709
DELISTED
Tech Data Corp
TECD
$1.44M 0.01%
20,100
-10,937
-35% -$782K
FNDX icon
710
Schwab Fundamental US Large Company Index ETF
FNDX
$19.9B
$1.41M 0.01%
+106,911
New +$1.41M
EPI icon
711
WisdomTree India Earnings Fund ETF
EPI
$2.93B
$1.41M 0.01%
+58,323
New +$1.41M
PGF icon
712
Invesco Financial Preferred ETF
PGF
$811M
$1.41M 0.01%
77,293
REXR icon
713
Rexford Industrial Realty
REXR
$10.1B
$1.41M 0.01%
43,962
-182
-0.4% -$5.82K
HAIN icon
714
Hain Celestial
HAIN
$176M
$1.4M 0.01%
51,775
-9,556
-16% -$259K
CBRE icon
715
CBRE Group
CBRE
$48.4B
$1.4M 0.01%
31,792
-104
-0.3% -$4.59K
PKW icon
716
Invesco BuyBack Achievers ETF
PKW
$1.47B
$1.4M 0.01%
22,975
+512
+2% +$31.2K
QLYS icon
717
Qualys
QLYS
$4.75B
$1.4M 0.01%
15,698
-98
-0.6% -$8.73K
YUMC icon
718
Yum China
YUMC
$16.2B
$1.39M 0.01%
39,631
-3,945
-9% -$138K
SNP
719
DELISTED
CHINA PETROLEUM & CHEMICAL CORPORATION ADS (REP 100 ORDINARY H SHARES)
SNP
$1.39M 0.01%
13,848
-2,158
-13% -$217K
IHI icon
720
iShares US Medical Devices ETF
IHI
$4.24B
$1.39M 0.01%
36,654
+8,358
+30% +$317K
SLYV icon
721
SPDR S&P 600 Small Cap Value ETF
SLYV
$4.04B
$1.39M 0.01%
20,328
+75
+0.4% +$5.12K
ITOT icon
722
iShares Core S&P Total US Stock Market ETF
ITOT
$76.1B
$1.39M 0.01%
20,801
+544
+3% +$36.2K
CLDR
723
DELISTED
Cloudera, Inc.
CLDR
$1.39M 0.01%
78,455
+15,269
+24% +$270K
IDTI
724
DELISTED
Integrated Device Technology I
IDTI
$1.38M 0.01%
29,442
+15,261
+108% +$717K
ATAXZ
725
DELISTED
AMERICA FIRST TAX EXEMT INV LP
ATAXZ
$1.38M 0.01%
242,287