JPMPWA

J.P. Morgan Private Wealth Advisors Portfolio holdings

AUM $35B
1-Year Return 24.25%
This Quarter Return
+3.74%
1 Year Return
+24.25%
3 Year Return
+44.76%
5 Year Return
+83.01%
10 Year Return
+248.9%
AUM
$11.5B
AUM Growth
+$764M
Cap. Flow
+$355M
Cap. Flow %
3.09%
Top 10 Hldgs %
21.77%
Holding
1,351
New
126
Increased
558
Reduced
460
Closed
109

Sector Composition

1 Technology 11.91%
2 Financials 11.3%
3 Healthcare 10.05%
4 Industrials 7.76%
5 Consumer Staples 6.12%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
PNW icon
1076
Pinnacle West Capital
PNW
$10.5B
$252K ﹤0.01%
3,222
-2,269
-41% -$177K
CAMP
1077
DELISTED
CalAmp Corp.
CAMP
$252K ﹤0.01%
757
-217
-22% -$72.2K
EPD icon
1078
Enterprise Products Partners
EPD
$68.8B
$250K ﹤0.01%
9,252
-141,561
-94% -$3.83M
NAC icon
1079
Nuveen California Quality Municipal Income Fund
NAC
$1.67B
$250K ﹤0.01%
17,707
-5,960
-25% -$84.1K
SNI
1080
DELISTED
Scripps Networks Interactive, Inc Common Class A
SNI
$249K ﹤0.01%
3,485
-562
-14% -$40.2K
BIT icon
1081
BlackRock Multi-Sector Income Trust
BIT
$605M
$248K ﹤0.01%
+15,075
New +$248K
BMTC
1082
DELISTED
Bryn Mawr Bank Corp
BMTC
$247K ﹤0.01%
+5,846
New +$247K
CHRW icon
1083
C.H. Robinson
CHRW
$15.6B
$246K ﹤0.01%
3,355
-1,587
-32% -$116K
MGK icon
1084
Vanguard Mega Cap Growth ETF
MGK
$29.7B
$246K ﹤0.01%
+2,831
New +$246K
VAW icon
1085
Vanguard Materials ETF
VAW
$2.89B
$245K ﹤0.01%
+2,183
New +$245K
MDSO
1086
DELISTED
Medidata Solutions, Inc.
MDSO
$245K ﹤0.01%
4,937
-5,760
-54% -$286K
ALB icon
1087
Albemarle
ALB
$8.94B
$244K ﹤0.01%
2,843
+269
+10% +$23.1K
DEW icon
1088
WisdomTree Global High Dividend Fund
DEW
$124M
$244K ﹤0.01%
5,609
+100
+2% +$4.35K
MRGR icon
1089
ProShares Merger ETF
MRGR
$11.8M
$244K ﹤0.01%
6,850
CALD
1090
DELISTED
Callidus Software, Inc.
CALD
$244K ﹤0.01%
14,546
-525
-3% -$8.81K
PIV
1091
DELISTED
PWSHS S&P 500 HIGH QTY PORTF S&P HIGH QTY RKGS INDEX
PIV
$243K ﹤0.01%
9,361
-585
-6% -$15.2K
GNRC icon
1092
Generac Holdings
GNRC
$10.8B
$242K ﹤0.01%
5,949
-618
-9% -$25.1K
GPN icon
1093
Global Payments
GPN
$20.7B
$242K ﹤0.01%
3,476
-845
-20% -$58.8K
KEYW
1094
DELISTED
The KEYW Holding Corporation
KEYW
$242K ﹤0.01%
20,544
RWT
1095
Redwood Trust
RWT
$804M
$241K ﹤0.01%
15,878
+336
+2% +$5.1K
UTG icon
1096
Reaves Utility Income Fund
UTG
$3.41B
$241K ﹤0.01%
7,843
TYPE
1097
DELISTED
Monotype Imaging Holdings Inc.
TYPE
$240K ﹤0.01%
12,130
+1,022
+9% +$20.2K
ATKR icon
1098
Atkore
ATKR
$2.06B
$239K ﹤0.01%
10,000
RELX icon
1099
RELX
RELX
$84.9B
$239K ﹤0.01%
+13,309
New +$239K
PCBK
1100
DELISTED
Pacific Continental Corp
PCBK
$239K ﹤0.01%
10,916
-500
-4% -$10.9K