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Palladium Partners’s JPMorgan Chase JPM Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2022
Q1
$43.7M Sell
320,582
-2,611
-0.8% -$356K 1.92% 8
2021
Q4
$51.2M Buy
323,193
+4,045
+1% +$641K 2.09% 8
2021
Q3
$52.2M Sell
319,148
-3,070
-1% -$503K 2.38% 6
2021
Q2
$50.1M Sell
322,218
-3,786
-1% -$589K 2.36% 8
2021
Q1
$49.6M Sell
326,004
-1,218
-0.4% -$185K 2.46% 6
2020
Q4
$41.6M Sell
327,222
-1,953
-0.6% -$248K 2.3% 7
2020
Q3
$31.7M Sell
329,175
-480
-0.1% -$46.2K 2% 8
2020
Q2
$31M Buy
329,655
+3,085
+0.9% +$290K 2.12% 9
2020
Q1
$29.4M Sell
326,570
-6,484
-2% -$584K 2.45% 7
2019
Q4
$46.4M Sell
333,054
-26,713
-7% -$3.72M 2.98% 4
2019
Q3
$40.6M Buy
359,767
+22,767
+7% +$2.57M 2.84% 4
2019
Q2
$37.7M Sell
337,000
-965
-0.3% -$108K 2.61% 4
2019
Q1
$34.2M Sell
337,965
-15,001
-4% -$1.52M 2.46% 5
2018
Q4
$34.5M Sell
352,966
-8,181
-2% -$799K 2.75% 4
2018
Q3
$40.8M Buy
361,147
+87
+0% +$9.82K 2.78% 4
2018
Q2
$37.6M Sell
361,060
-8,905
-2% -$928K 2.73% 4
2018
Q1
$40.7M Sell
369,965
-2,758
-0.7% -$303K 3.01% 4
2017
Q4
$39.9M Sell
372,723
-6,029
-2% -$645K 2.88% 3
2017
Q3
$36.2M Sell
378,752
-2,272
-0.6% -$217K 2.76% 3
2017
Q2
$34.8M Buy
381,024
+1,701
+0.4% +$155K 2.75% 4
2017
Q1
$33.3M Sell
379,323
-22,932
-6% -$2.01M 2.69% 4
2016
Q4
$34.7M Sell
402,255
-8,165
-2% -$705K 2.93% 3
2016
Q3
$27.3M Buy
410,420
+5,139
+1% +$342K 2.39% 6
2016
Q2
$25.2M Buy
405,281
+1,564
+0.4% +$97.2K 2.29% 9
2016
Q1
$23.9M Buy
403,717
+10,154
+3% +$601K 2.2% 9
2015
Q4
$26M Buy
393,563
+9,383
+2% +$620K 2.41% 4
2015
Q3
$23.4M Buy
384,180
+87
+0% +$5.31K 2.31% 4
2015
Q2
$26M Sell
384,093
-4,215
-1% -$286K 2.32% 3
2015
Q1
$23.5M Sell
388,308
-1,281
-0.3% -$77.6K 2.02% 7
2014
Q4
$24.4M Sell
389,589
-6,382
-2% -$399K 2.12% 4
2014
Q3
$23.9M Buy
395,971
+637
+0.2% +$38.4K 2.14% 5
2014
Q2
$22.8M Buy
395,334
+5,942
+2% +$342K 2.03% 7
2014
Q1
$23.6M Buy
389,392
+11,738
+3% +$713K 2.16% 5
2013
Q4
$22.1M Buy
377,654
+7,858
+2% +$460K 2.09% 7
2013
Q3
$19.1M Buy
369,796
+9,851
+3% +$509K 1.94% 7
2013
Q2
$19M Buy
+359,945
New +$19M 2% 9