JPMPWA

J.P. Morgan Private Wealth Advisors Portfolio holdings

AUM $35B
1-Year Return 24.25%
This Quarter Return
+14.07%
1 Year Return
+24.25%
3 Year Return
+44.76%
5 Year Return
+83.01%
10 Year Return
+248.9%
AUM
$19.2B
AUM Growth
+$2.72B
Cap. Flow
+$524M
Cap. Flow %
2.73%
Top 10 Hldgs %
20.28%
Holding
1,563
New
119
Increased
710
Reduced
512
Closed
111

Sector Composition

1 Technology 13.26%
2 Healthcare 8.77%
3 Financials 8.63%
4 Industrials 5.8%
5 Consumer Discretionary 5.46%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
VNO icon
776
Vornado Realty Trust
VNO
$7.77B
$1.08M 0.01%
15,942
+2,273
+17% +$153K
EQR icon
777
Equity Residential
EQR
$25.2B
$1.07M 0.01%
14,187
-50,341
-78% -$3.79M
ISCB icon
778
iShares Morningstar Small-Cap ETF
ISCB
$249M
$1.07M 0.01%
25,228
-240
-0.9% -$10.2K
AES icon
779
AES
AES
$9.06B
$1.07M 0.01%
58,906
-2,152
-4% -$38.9K
EMN icon
780
Eastman Chemical
EMN
$7.47B
$1.05M 0.01%
13,871
+1,798
+15% +$136K
MGV icon
781
Vanguard Mega Cap Value ETF
MGV
$9.91B
$1.05M 0.01%
13,447
+48
+0.4% +$3.74K
IYF icon
782
iShares US Financials ETF
IYF
$4.03B
$1.05M 0.01%
17,740
-3,144
-15% -$186K
CEM
783
DELISTED
ClearBridge MLP and Midstream Fund Inc.
CEM
$1.05M 0.01%
16,531
+328
+2% +$20.8K
BPMP
784
DELISTED
BP Midstream Partners LP Common Units representing Limited Partner Interests
BPMP
$1.04M 0.01%
72,016
-985
-1% -$14.3K
BSX icon
785
Boston Scientific
BSX
$156B
$1.04M 0.01%
27,050
+5,692
+27% +$218K
GWRE icon
786
Guidewire Software
GWRE
$21.3B
$1.04M 0.01%
10,674
+6,105
+134% +$593K
NUE icon
787
Nucor
NUE
$32.6B
$1.04M 0.01%
17,780
-4,284
-19% -$250K
PHO icon
788
Invesco Water Resources ETF
PHO
$2.2B
$1.04M 0.01%
30,495
-961
-3% -$32.6K
TFC icon
789
Truist Financial
TFC
$58.2B
$1.03M 0.01%
22,081
+3,669
+20% +$171K
MGK icon
790
Vanguard Mega Cap Growth ETF
MGK
$29.4B
$1.02M 0.01%
8,212
-1,095
-12% -$136K
CDW icon
791
CDW
CDW
$22.4B
$1.02M 0.01%
10,560
+802
+8% +$77.3K
NML
792
Neuberger Berman Energy Infrastructure and Income Fund
NML
$490M
$1.01M 0.01%
126,465
+244
+0.2% +$1.94K
CHTR icon
793
Charter Communications
CHTR
$35.9B
$1.01M 0.01%
2,898
-3,042
-51% -$1.05M
MKL icon
794
Markel Group
MKL
$24.3B
$1M 0.01%
1,004
-114
-10% -$114K
SLYV icon
795
SPDR S&P 600 Small Cap Value ETF
SLYV
$4.04B
$999K 0.01%
16,574
+8,686
+110% +$524K
MXIM
796
DELISTED
Maxim Integrated Products
MXIM
$999K 0.01%
18,786
+615
+3% +$32.7K
MGP
797
DELISTED
MGM Growth Properties LLC Class A common shares representing limited liability company interests
MGP
$996K 0.01%
30,891
+8,905
+41% +$287K
DISCK
798
DELISTED
Discovery, Inc. Series C Common Stock
DISCK
$996K 0.01%
39,165
+308
+0.8% +$7.83K
VIV icon
799
Telefônica Brasil
VIV
$19.7B
$992K 0.01%
82,147
+13,445
+20% +$162K
EV
800
DELISTED
Eaton Vance Corp.
EV
$990K 0.01%
24,566
+728
+3% +$29.3K