JPMPWA

J.P. Morgan Private Wealth Advisors Portfolio holdings

AUM $35B
1-Year Return 24.25%
This Quarter Return
+5.17%
1 Year Return
+24.25%
3 Year Return
+44.76%
5 Year Return
+83.01%
10 Year Return
+248.9%
AUM
$5.92B
AUM Growth
+$450M
Cap. Flow
+$199M
Cap. Flow %
3.37%
Top 10 Hldgs %
18.4%
Holding
959
New
86
Increased
392
Reduced
372
Closed
71

Sector Composition

1 Technology 12.38%
2 Healthcare 11.49%
3 Financials 11.08%
4 Energy 10.55%
5 Industrials 9.89%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
MSCC
776
DELISTED
Microsemi Corp
MSCC
$230K ﹤0.01%
+8,596
New +$230K
IGR
777
CBRE Global Real Estate Income Fund
IGR
$783M
$228K ﹤0.01%
+25,000
New +$228K
IHE icon
778
iShares US Pharmaceuticals ETF
IHE
$585M
$228K ﹤0.01%
+5,070
New +$228K
NVDA icon
779
NVIDIA
NVDA
$4.31T
$228K ﹤0.01%
491,360
-8,840
-2% -$4.1K
AZO icon
780
AutoZone
AZO
$72.8B
$227K ﹤0.01%
+424
New +$227K
CYN
781
DELISTED
CITY NATIONAL CORPORATION
CYN
$227K ﹤0.01%
3,000
-412
-12% -$31.2K
CRS icon
782
Carpenter Technology
CRS
$12.1B
$226K ﹤0.01%
+3,575
New +$226K
MSGS icon
783
Madison Square Garden
MSGS
$5.09B
$226K ﹤0.01%
+5,077
New +$226K
SHW icon
784
Sherwin-Williams
SHW
$91.9B
$226K ﹤0.01%
+3,273
New +$226K
BECN
785
DELISTED
Beacon Roofing Supply, Inc.
BECN
$226K ﹤0.01%
6,826
-413
-6% -$13.7K
SNI
786
DELISTED
Scripps Networks Interactive, Inc Common Class A
SNI
$226K ﹤0.01%
2,780
-138
-5% -$11.2K
AF
787
DELISTED
Astoria Financial Corporation
AF
$226K ﹤0.01%
16,810
-2,532
-13% -$34K
DSL
788
DoubleLine Income Solutions Fund
DSL
$1.45B
$225K ﹤0.01%
10,000
-1,080
-10% -$24.3K
DINO icon
789
HF Sinclair
DINO
$9.68B
$224K ﹤0.01%
+5,125
New +$224K
NXG
790
NXG NextGen Infrastructure Income Fund
NXG
$204M
$224K ﹤0.01%
+1,969
New +$224K
PEG icon
791
Public Service Enterprise Group
PEG
$40.9B
$223K ﹤0.01%
+5,470
New +$223K
TK icon
792
Teekay
TK
$726M
$223K ﹤0.01%
3,584
-106
-3% -$6.6K
ZION icon
793
Zions Bancorporation
ZION
$8.6B
$223K ﹤0.01%
7,572
-371
-5% -$10.9K
TPR icon
794
Tapestry
TPR
$22.2B
$222K ﹤0.01%
6,482
-3,280
-34% -$112K
TRW
795
DELISTED
TRW AUTOMOTIVE HOLDINGS CORP
TRW
$221K ﹤0.01%
+2,464
New +$221K
XL
796
DELISTED
XL Group Ltd.
XL
$221K ﹤0.01%
+6,766
New +$221K
ETY icon
797
Eaton Vance Tax-Managed Diversified Equity Income Fund
ETY
$2.52B
$219K ﹤0.01%
18,750
FLIC
798
DELISTED
First of Long Island Corp
FLIC
$219K ﹤0.01%
12,600
-3,425
-21% -$59.5K
NFG icon
799
National Fuel Gas
NFG
$7.95B
$219K ﹤0.01%
2,794
-91
-3% -$7.13K
SLXP
800
DELISTED
SALIX PHARMACEUTICALS LTD DEL
SLXP
$219K ﹤0.01%
+1,778
New +$219K