JP MORGAN CHASE & CO - COM (JPMPRACL) Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2014 to Q4 2025

Type / Class
Equity / COM
Symbol
JPMPRACL
Price per share
$322.28
All holders as of 31 Dec 2025
Q4 2025
Total 13F shares
3,704
Total reported value
$1,193,717
% of total 13F portfolios
0%
Share change
+683
Value change
+$220,116
Number of holders
1
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 31 Dec 2025, 1 institutional investors reported holding 3,704 shares of JP MORGAN CHASE & CO - COM (JPMPRACL).

Institutional Holders of JP MORGAN CHASE & CO - COM (JPMPRACL) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 3,704 $1,193,717 +$220,116 $322.28 1
2025 Q3 3,021 $953,068 +$6,941 $315.48 1
2025 Q2 2,999 $869,541 +$80,604 $289.94 1
2025 Q1 2,721 $667,540 +$119,475 $245.33 1
2024 Q4 2,234 $535,603 +$32,366 $239.75 1
2024 Q3 2,099 $442,613 -$8,224 $210.87 1
2024 Q2 2,138 $432,606 +$1,821 $202.34 1
2024 Q1 2,129 $426,550 +$19,835 $200.35 1
2023 Q4 2,030 $345,000 -$15,466 $169.95 1
2023 Q3 2,121 $307,000 -$27,935 $144.74 1
2023 Q2 2,314 $336,000 -$28,750 $145.20 1
2023 Q1 2,512 $327,000 -$24,863 $130.18 1
2022 Q4 2,703 $362,000 +$18,080 $133.93 1
2022 Q3 2,568 $268,000 -$35,274 $104.36 1
2022 Q2 2,906 $327,000 -$14,291 $112.53 1
2022 Q1 3,033 $413,000 +$28,459 $136.17 1
2021 Q4 2,824 $447,000 +$117,290 $158.29 1
2021 Q3 2,083 $341,000 -$5,402 $163.71 1
2021 Q2 2,116 $329,000 +$39,803 $155.48 1
2021 Q1 1,860 $283,000 -$2,891 $152.15 1
2020 Q4 1,879 $239,000 +$239,000 $127.20 1
2019 Q4 0 $0 -$3,327,000 $322.28 0
2019 Q3 130,891 $3,327,000 +$82,767 $25.36 8
2019 Q2 127,418 $3,289,000 +$1,431,605 $25.80 8
2019 Q1 72,061 $1,836,000 -$302,097 $25.31 6
2018 Q4 83,929 $2,056,000 +$342,589 $24.52 6
2018 Q3 69,842 $1,742,482 -$72,974 $24.94 4
2018 Q2 72,742 $1,850,632 -$541,488 $25.44 5
2018 Q1 94,117 $2,372,286 +$154,364 $25.21 6
2017 Q4 87,991 $2,232,370 -$212,994 $25.37 6
2017 Q3 96,362 $2,456,439 +$43,214 $25.49 8
2017 Q2 94,667 $2,450,767 +$233,137 $25.89 7
2017 Q1 85,660 $2,179,632 -$3,367,714 $25.45 7
2016 Q4 222,213 $5,475,565 +$283,117 $24.64 11
2016 Q3 208,955 $5,577,429 +$20,993 $26.69 10
2016 Q2 208,236 $5,441,110 -$538,506 $26.13 11
2016 Q1 228,975 $5,838,650 +$306,594 $25.50 12
2015 Q4 217,086 $5,476,911 +$482,550 $25.23 11
2015 Q3 198,019 $4,768,000 -$1,608,345 $24.08 10
2015 Q2 266,898 $6,316,000 +$865,732 $23.59 9
2015 Q1 229,827 $5,665,000 +$989,696 $24.65 8
2014 Q4 189,729 $4,496,400 -$19,177 $23.70 6
2014 Q3 190,566 $4,325,400 -$229,848 $22.70 7
2014 Q2 200,639 $4,576,600 -$397,545 $22.81 8
2014 Q1 218,054 $4,731,400 -$5,648,411 $21.70 7