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JPMorgan Chase & Co.

CIK 0000019617 · SEC 13F-HR filings · 50 holdings · Q1 2026

Holdings detail for selected institution and quarter
Issuer Ticker Shares Value (USD) Δ Shares Δ Value Type
NVIDIA CORPORATIONNVDA277,715,593$45.9B+254.5M$41.5BShares
APPLE INCAAPL148,968,379$36.7B+132.1M$32.1BShares
MICROSOFT CORPMSFT76,099,189$27.3B+63.9M$21.4BShares
ALPHABET INCGOOG80,836,408$22.1B+11.0M$158MShares
AMAZON COM INCAMZN102,336,250$20.6B-3.3M$-3.8BShares
STATE STREET SPDR S&P 500 ETFSPY30,120,834$19.0B-214K$-1.7BShares
META PLATFORMS INCMETA31,604,208$17.0B+3.7M$-1.5BShares
BROADCOM INCAVGO56,353,525$16.5B-5.6M$-4.9BShares
TESLA INCTSLA32,357,435$11.5B-704K$-3.4BShares
MASTERCARD INCORPORATEDMA22,494,465$11.1B+483K$-1.5BShares
VANGUARD TOTAL INTL BOND ETFBNDX226,290,042$10.8B+11.8M$452MShares
JOHNSON & JOHNSONJNJ42,461,992$10.3B+3.3M$2.2BShares
ALPHABET INCGOOGL37,594,275$10.3B-620K$-1.7BShares
WALMART INCWMT74,381,215$9.2B+2.8M$1.2BShares
VANGUARD S&P 500 ETFVOO15,100,000$8.8BNew$8.8BNEW POSITIONShares
STATE STR SPDR S&P 500 ETF T13,211,400$8.3B-6.7M$-5.3BShares
EXXON MOBIL CORPXOM47,653,494$8.2B+11.8M$3.9BShares
VANGUARD TOTAL BOND MARKETBND110,164,236$8.1B+3.5M$198MShares
MCDONALDS CORPMCD25,111,586$7.7B+3.2M$1.1BShares
ISHARES CORE S&P 500 ETFIVV11,937,422$7.6BNew$7.6BNEW POSITIONShares
ABBVIE INCABBV35,403,139$7.5B+1.1M$-284MShares
ELI LILLY & COLLY8,435,236$7.5B+477K$-1.1BShares
NVIDIA CORPORATIONNVDA43,332,164$7.2B+20.1M$2.8BShares
NEXTERA ENERGY INCNEE74,117,865$6.8B+5.8M$1.3BShares
WELLS FARGO & COWFC81,305,457$6.2B-1.6M$-1.5BShares
LOWES COS INCLOW26,157,266$6.1B+65K$-209MShares
PHILIP MORRIS INTL INCPM35,196,766$5.8B+7.0M$1.3BShares
NVIDIA CORPORATIONNVDA35,019,509$5.8B+11.8M$1.4BShares
RTX CORPORATIONRTX30,874,559$5.8B+6.7M$1.4BShares
BERKSHIRE HATHAWAY INC DELBRKB12,068,348$5.7B+2.8M$1.1BShares
APPLE INCAAPL23,104,644$5.7B+6.2M$1.1BShares
JPMORGAN BETABUILDERS JAPAN ETFBBJP81,098,147$5.4B+1.1M$134MShares
SPDR GOLD TR12,417,000$5.1BNew$5.1BNEW POSITIONShares
3M COMMM35,609,733$5.1B+28K$-622MShares
SCHWAB CHARLES CORPSCHW52,299,736$4.9B+5.0M$146MShares
TRANE TECHNOLOGIES PLCTT11,879,505$4.8B+61K$199MShares
DISNEY WALT CODIS49,189,786$4.6B-1.7M$-1.1BShares
ANALOG DEVICES INCADI15,091,490$4.6B-1.5M$86MShares
MICROSOFT CORPMSFT12,230,747$4.4B+76K$-1.5BShares
JPMORGAN ULTRA-SHORT INCOMEJPST86,016,975$4.3B+434K$20MShares
STE STR SPDR PT S&P 500 ETFSPYM58,000,000$4.3BNew$4.3BNEW POSITIONShares
EATON CORP PLCETN12,551,911$4.3BNew$4.3BNEW POSITIONShares
TEXAS INSTRS INCTXN23,051,142$4.3BNew$4.3BNEW POSITIONShares
TAIWAN SEMICONDUCTOR MANUFACTSM13,312,663$4.2BNew$4.2BNEW POSITIONShares
LAM RESEARCH CORPLRCX21,006,531$4.2BNew$4.2BNEW POSITIONShares
AMERICAN EXPRESS COAXP14,015,210$4.2B-418K$-1.2BShares
GOLDMAN SACHS GROUP INCGS5,107,476$4.1B-698K$-978MShares
APPLE INCAAPL16,624,467$4.1B-267K$-492MShares
MERCK & CO INCMRK34,636,651$4.1BNew$4.1BNEW POSITIONShares
JPMORGAN BETABUILDERS CANADABBCA44,561,787$4.1BNew$4.1BNEW POSITIONShares