US48128BAH42 - JPMORGAN CHASE and CO 4/VAR PERP Hisse Senedi - Hisse Fiyatı, Kurumsal Mülkiyet, Hissedarlar

Temel İstatistikler
Kurumsal Sahipler 5 total, 5 long only, 0 short only, 0 long/short - change of -27,45% MRQ
Ortalama Portföy Dağıtımı 0.3622 % - change of 31,14% MRQ
Kurumsal Hisseler (Uzun) 61.520.000 (ex 13D/G) - change of -4,25MM shares -6,47% MRQ
Kurumsal Değer (Uzun) $ 61.904 USD ($1000)
Kurumsal Mülkiyet ve Hissedarlar

JPMORGAN CHASE and CO 4/VAR PERP (US:US48128BAH42) var 5 Menkul Kıymetler Borsası Komisyonuna (SEC) 13D/G veya 13F formları dolduran kurumsal sahipler ve hissedarlar. Bu kurumların toplam 61,520,000 hissesi bulunmaktadır. En büyük hissedarlar arasındakiler: PIGIX - PIMCO Investment Grade Credit Bond Fund Institutional, PIMCO FUNDS - PIMCO Long Duration Credit Bond Portfolio Long Duration Credit Bond Portfolio, PIMCO FUNDS - PIMCO Investment Grade Credit Bond Portfolio, PTCIX - PIMCO Long-Term Credit Bond Fund Institutional, and Resources Management Corp /ct/ /adv .

JPMORGAN CHASE and CO 4/VAR PERP (US48128BAH42) kurumsal mülkiyet yapısı, kurum ve fonlara göre şirketteki mevcut pozisyonların yanı sıra pozisyon büyüklüğündeki son değişiklikleri gösterir. Büyük hissedarlar bireysel yatırımcıları, yatırım fonlarını, hedge fonlarını veya kurumları içerebilir. Çizelge 13D, yatırımcının şirketin %5inden fazlasını elinde bulundurduğunu (veya elinde önceden bulundurduğunu) ve iş stratejisinde aktif olarak bir değişiklik yapmayı planladığını (veya önceden planladığını) gösterir. Çizelge 13G, %5in üzerinde pasif yatırımı gösterir.

US48128BAH42 / JPMORGAN CHASE and CO 4/VAR PERP - 4.0% 2199-12-31 Institutional Ownership
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13F ve NPORT Başvuruları

13F başvurularına ilişkin ayrıntılar ücretsizdir. NP başvurularına ilişkin ayrıntılar premium üyelik gerektirir. Yeşil satırlar yeni pozisyonları gösterir. Kırmızı satırlar kapalı pozisyonları gösterir. Tam işlem geçmişini görmek için linkesimgesine tıklayınız.

Yükseltin premium verilerin kilidini açmak ve Excele aktarmak için .

Dosya Tarihi Kaynak Yatırımcı Tür Ortalama Fiyat
(Tahmin)
Hisseler Δ Hisseler
(%)
Bildirilen
Değer
(1000$)
Δ Değer
(%)
Bağlantı Noktası Dağıtımı
(%)
2025-09-25 NP SDMAX - PGIM Short Duration Multi-Sector Bond Fund Class A 4.535 0,78
2025-08-22 NP Variable Insurance Products Fund V - Strategic Income Portfolio Initial Class 4.025 0,20
2025-08-28 NP PIGIX - PIMCO Investment Grade Credit Bond Fund Institutional 32.000.000 0,00 32.211 0,07
2025-07-24 NP FPFD - Fidelity Preferred Securities & Income ETF 1.005 0,20
2025-07-29 NP FRFAX - PGIM Floating Rate Income Fund Class A 22.976 -0,20
2025-09-26 NP FAHYX - Fidelity Advisor High Income Advantage Fund Class M This fund is a listed as child fund of Fmr Llc and if that institution has disclosed ownership in this security, then these positions will not be double counted when calculating total shares and total value 3.571 0,99
2025-09-26 NP TAIBX - PGIM CORE BOND FUND Class Z 3.942 0,79
2025-08-27 NP PRUDENTIAL SERIES FUND - CONSERVATIVE BALANCED PORTFOLIO Class I 231 0,00
2025-07-28 NP VRP - Invesco Variable Rate Preferred ETF This fund is a listed as child fund of Invesco Ltd. and if that institution has disclosed ownership in this security, then these positions will not be double counted when calculating total shares and total value 12.155 -3,46
2025-08-28 NP Cohen & Steers Ltd Duration Preferred & Income Fund, Inc. 4.141 0,22
2025-08-29 NP PTCIX - PIMCO Long-Term Credit Bond Fund Institutional 5.800.000 0,00 5.838 0,09
2025-08-22 NP Fidelity Multi-Strategy Credit Fund 397 0,25
2025-08-27 NP PBSMX - PGIM SHORT-TERM CORPORATE BOND FUND Class A 5.254 0,06
2025-08-26 NP Blackrock Ltd Duration Income Trust This fund is a listed as child fund of BlackRock, Inc. and if that institution has disclosed ownership in this security, then these positions will not be double counted when calculating total shares and total value 4.020 0,20
2025-08-29 NP PIMCO FUNDS - PIMCO Long Duration Credit Bond Portfolio Long Duration Credit Bond Portfolio 12.700.000 0,00 12.784 0,07
2025-09-25 NP PDBAX - PGIM TOTAL RETURN BOND FUND Class A 90.461 0,77
2025-09-29 NP PFLD - AAM Low Duration Preferred and Income Securities ETF 3.601
2025-08-27 NP ADVANCED SERIES TRUST - AST Multi-Sector Fixed Income Portfolio 26.864 0,06
2025-07-23 NP THOPX - Thompson Bond Fund 4.251 0,14
2025-08-27 NP ADVANCED SERIES TRUST - AST PGIM Fixed Income Central Portfolio 568 0,18
2025-08-27 NP PRUDENTIAL SERIES FUND - DIVERSIFIED BOND PORTFOLIO Class I 1.358 0,07
2025-09-25 NP LBHYX - Thrivent High Yield Fund Class A 1.541 0,98
2025-04-25 NP PFRL - PGIM Floating Rate Income ETF 1.500 1,21
2025-08-27 NP JNL SERIES TRUST - JNL/PIMCO Investment Grade Credit Bond Fund (I) 4.708 0,15
2025-09-26 NP FAGIX - Fidelity Capital & Income Fund 26.457 1,00
2025-08-27 NP ADVANCED SERIES TRUST - AST Target Maturity Central Portfolio 241 0,00
2025-08-27 NP ADVANCED SERIES TRUST - AST Investment Grade Bond Portfolio 6.034 0,07
2025-07-25 NP CTRZX - Multi-Manager Total Return Bond Strategies Fund Institutional Class 2.988 -0,20
2025-08-27 NP THRIVENT SERIES FUND INC - Thrivent High Yield Portfolio Class A 1.976 0,25
2025-05-30 NP IOBAX - ICON FLEXIBLE BOND FUND Investor Class 2.202 1,34
2025-08-26 NP Blackrock Multi-sector Income Trust This fund is a listed as child fund of BlackRock, Inc. and if that institution has disclosed ownership in this security, then these positions will not be double counted when calculating total shares and total value 4.020 0,20
2025-08-27 NP BBTBX - Bridge Builder Core Bond Fund 4.297 0,21
2025-07-24 NP FSDIX - Fidelity Strategic Dividend & Income Fund This fund is a listed as child fund of Fmr Llc and if that institution has disclosed ownership in this security, then these positions will not be double counted when calculating total shares and total value 23.825 72,58
2025-08-27 NP PRUDENTIAL SERIES FUND - FLEXIBLE MANAGED PORTFOLIO Class I 1.051 0,00
2025-08-15 13F Resources Management Corp /ct/ /adv 20.000 0
2025-08-29 NP PIMCO FUNDS - PIMCO Investment Grade Credit Bond Portfolio 11.000.000 0,00 11.073 0,07
2025-08-22 NP FSTAX - Fidelity Advisor Strategic Income Fund Class A This fund is a listed as child fund of Fmr Llc and if that institution has disclosed ownership in this security, then these positions will not be double counted when calculating total shares and total value 19.197 0,21
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