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JPMORGAN CHASE & CO

Changes: All | New | Increased | Decreased | Sold Out

Portfolio as of:
NameTickerClassSharesChangeValueChange% Port% OSHistDate
SPDR S&P 500 ETF TRUST SPYCommon65,005,440-1,102,91025,763,609,0001,047,017,0003.44  Hist 03/31/2021
MICROSOFT CORP MSFTCommon78,480,9844,067,32918,503,462,0001,952,377,0002.471.04 Hist 03/31/2021
Apple Inc. AAPLCommon127,421,274-305,71015,564,508,000-1,383,586,0002.08  Hist 03/31/2021
AMAZON COM INC AMZNCommon4,360,019391,80913,490,249,000566,067,0001.800.87 Hist 03/31/2021
Alphabet Inc. GOOGCOM3,594,116804,7397,434,896,0002,548,242,0000.990.53 Hist 03/31/2021
Vanguard Charlotte Funds BNDXCommon127,893,35313,142,6597,305,267,000586,613,0000.98  Hist 03/31/2021
J P MORGAN EXCHANGE TRADED F BBJPCommon240,925,30659,821,3186,861,552,0001,790,640,0000.92  Hist 03/31/2021
Alphabet Inc. GOOGLCOM3,326,476189,1876,860,923,0001,362,387,0000.920.49 Hist 03/31/2021
Facebook Inc FBCommon21,709,5342,280,2256,394,110,0001,086,800,0000.850.76 Hist 03/31/2021
Mastercard Inc MACL A17,819,1021,814,0996,344,492,000631,665,0000.851.79 Hist 03/31/2021
SPDR S&P 500 ETF TRUST SPYPut14,264,600-3,905,9005,653,489,000-1,140,098,0000.75  Hist 03/31/2021
iShares, Inc. IEMGCommon86,336,1993,271,9735,556,598,000403,293,0000.74  Hist 03/31/2021
UNITEDHEALTH GROUP INC UNHCommon13,652,497-50,6365,079,686,000274,269,0000.681.44 Hist 03/31/2021
ANALOG DEVICES INC ADICommon31,711,4861,524,0724,917,817,000458,229,0000.668.60 Hist 03/31/2021
BRISTOL MYERS SQUIBB CO BMYCommon76,042,9093,693,6964,800,590,000312,768,0000.643.39 Hist 03/31/2021
iSHARES TRUST  Put25,489,3007,859,5004,655,178,0001,760,438,0000.62  Hist 03/31/2021
NORFOLK SOUTHERN CORP NSCCommon17,189,5511,219,0994,615,737,000820,998,0000.626.82 Hist 03/31/2021
NEXTERA ENERGY INC FPLcommon59,618,9914,270,4544,507,793,000237,654,0000.603.04 Hist 03/31/2021
J P MORGAN EXCHANGE TRADED F BBCACommon150,896,7564,151,6404,458,999,000521,826,0000.60  Hist 03/31/2021
TEXAS INSTRUMENTS INC TXNCommon22,902,753-805,5014,328,393,000437,156,0000.582.49 Hist 03/31/2021
Tesla, Inc. TSLACOM6,422,809-2,045,9074,289,987,000-1,686,132,0000.570.67 Hist 03/31/2021
TAIWAN SEMICONDUCTOR MANUFACTURING CO LTD TSMCommon36,122,705-12,170,1054,272,595,000-993,254,0000.57  Hist 03/31/2021
MORGAN STANLEY MSCommon54,991,8581,645,1174,270,668,000614,816,0000.573.03 Hist 03/31/2021
JOHNSON & JOHNSON JNJCommon25,808,7961,351,8464,241,674,000392,640,0000.570.98 Hist 03/31/2021
BANK OF AMERICA CORP /DE/ BACCommon105,784,3044,989,0804,092,796,0001,037,692,0000.551.23 Hist 03/31/2021
J P MORGAN EXCHANGE TRADED F BBEUCommon146,942,52338,072,9304,023,287,0001,179,614,0000.54  Hist 03/31/2021
COMCAST CORP CMCSACommon71,030,2734,067,9993,843,447,000334,623,0000.511.55 Hist 03/31/2021
iSHARES TRUST IVVCommon9,240,696-290,2833,676,133,00098,299,0000.49  Hist 03/31/2021
AbbVie Inc. ABBVCOM33,664,7953,319,3003,643,204,000391,685,0000.491.91 Hist 03/31/2021
INVESCO QQQ TR PUT  UNIT SER 111,380,800-9,159,7003,631,955,000-2,812,421,0000.48  Hist 03/31/2021
COCA COLA CO KOCommon68,150,6173,325,7943,592,220,00037,226,0000.481.58 Hist 03/31/2021
PayPal Holdings, Inc. PYPLCOM14,782,666-3,990,3193,589,820,000-806,812,0000.481.26 Hist 03/31/2021
DEERE & CO DECommon9,512,1764,070,6883,558,885,0002,094,854,0000.483.03 Hist 03/31/2021
Eaton Corp plc ETNSHS25,399,9411,583,8223,512,302,000651,032,0000.476.37 Hist 03/31/2021
J P MORGAN EXCHANGE TRADED F BBAXCommon123,617,85562,904,2673,509,512,0001,866,602,0000.47  Hist 03/31/2021
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