JPMorgan Chase & Co.
CIK 0000019617 · SEC 13F-HR filings · 50 holdings · Q1 2026
| Issuer | Ticker | Shares | Value (USD) ↓ | Δ Shares | Δ Value | Type |
|---|---|---|---|---|---|---|
| NVDA | 277,715,593 | $45.9B | +254.5M | $41.5B | Shares | |
| AAPL | 148,968,379 | $36.7B | +132.1M | $32.1B | Shares | |
| MSFT | 76,099,189 | $27.3B | +63.9M | $21.4B | Shares | |
| GOOG | 80,836,408 | $22.1B | +11.0M | $158M | Shares | |
| AMZN | 102,336,250 | $20.6B | -3.3M | $-3.8B | Shares | |
| SPY | 30,120,834 | $19.0B | -214K | $-1.7B | Shares | |
| META | 31,604,208 | $17.0B | +3.7M | $-1.5B | Shares | |
| AVGO | 56,353,525 | $16.5B | -5.6M | $-4.9B | Shares | |
| TSLA | 32,357,435 | $11.5B | -704K | $-3.4B | Shares | |
| MA | 22,494,465 | $11.1B | +483K | $-1.5B | Shares | |
| BNDX | 226,290,042 | $10.8B | +11.8M | $452M | Shares | |
| JNJ | 42,461,992 | $10.3B | +3.3M | $2.2B | Shares | |
| GOOGL | 37,594,275 | $10.3B | -620K | $-1.7B | Shares | |
| WMT | 74,381,215 | $9.2B | +2.8M | $1.2B | Shares | |
| VOO | 15,100,000 | $8.8B | New | $8.8B | NEW POSITIONShares | |
| — | 13,211,400 | $8.3B | -6.7M | $-5.3B | Shares | |
| XOM | 47,653,494 | $8.2B | +11.8M | $3.9B | Shares | |
| BND | 110,164,236 | $8.1B | +3.5M | $198M | Shares | |
| MCD | 25,111,586 | $7.7B | +3.2M | $1.1B | Shares | |
| IVV | 11,937,422 | $7.6B | New | $7.6B | NEW POSITIONShares | |
| ABBV | 35,403,139 | $7.5B | +1.1M | $-284M | Shares | |
| LLY | 8,435,236 | $7.5B | +477K | $-1.1B | Shares | |
| NVDA | 43,332,164 | $7.2B | +20.1M | $2.8B | Shares | |
| NEE | 74,117,865 | $6.8B | +5.8M | $1.3B | Shares | |
| WFC | 81,305,457 | $6.2B | -1.6M | $-1.5B | Shares | |
| LOW | 26,157,266 | $6.1B | +65K | $-209M | Shares | |
| PM | 35,196,766 | $5.8B | +7.0M | $1.3B | Shares | |
| NVDA | 35,019,509 | $5.8B | +11.8M | $1.4B | Shares | |
| RTX | 30,874,559 | $5.8B | +6.7M | $1.4B | Shares | |
| BRKB | 12,068,348 | $5.7B | +2.8M | $1.1B | Shares | |
| AAPL | 23,104,644 | $5.7B | +6.2M | $1.1B | Shares | |
| BBJP | 81,098,147 | $5.4B | +1.1M | $134M | Shares | |
| — | 12,417,000 | $5.1B | New | $5.1B | NEW POSITIONShares | |
| MMM | 35,609,733 | $5.1B | +28K | $-622M | Shares | |
| SCHW | 52,299,736 | $4.9B | +5.0M | $146M | Shares | |
| TT | 11,879,505 | $4.8B | +61K | $199M | Shares | |
| DIS | 49,189,786 | $4.6B | -1.7M | $-1.1B | Shares | |
| ADI | 15,091,490 | $4.6B | -1.5M | $86M | Shares | |
| MSFT | 12,230,747 | $4.4B | +76K | $-1.5B | Shares | |
| JPST | 86,016,975 | $4.3B | +434K | $20M | Shares | |
| SPYM | 58,000,000 | $4.3B | New | $4.3B | NEW POSITIONShares | |
| ETN | 12,551,911 | $4.3B | New | $4.3B | NEW POSITIONShares | |
| TXN | 23,051,142 | $4.3B | New | $4.3B | NEW POSITIONShares | |
| TSM | 13,312,663 | $4.2B | New | $4.2B | NEW POSITIONShares | |
| LRCX | 21,006,531 | $4.2B | New | $4.2B | NEW POSITIONShares | |
| AXP | 14,015,210 | $4.2B | -418K | $-1.2B | Shares | |
| GS | 5,107,476 | $4.1B | -698K | $-978M | Shares | |
| AAPL | 16,624,467 | $4.1B | -267K | $-492M | Shares | |
| MRK | 34,636,651 | $4.1B | New | $4.1B | NEW POSITIONShares | |
| BBCA | 44,561,787 | $4.1B | New | $4.1B | NEW POSITIONShares |