JPMorgan Chase & Co (JPM)

294.60
-0.78 (-0.26%)
NYSE · Last Trade: Apr 3rd, 12:32 PM EDT
QuoteNewsPress ReleasesChartHistoricalFAQAboutCompetitors

Detailed Quote

Previous Close295.38
Open291.91
Bid294.81
Ask294.87
Day's Range288.72 - 295.62
52 Week Range202.16 - 337.25
Volume6,669,254
Market Cap908.08B
PE Ratio (TTM)-
EPS (TTM)-
Dividend & Yield6.000 (2.04%)
1 Month Average Volume11,045,827

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About JPMorgan Chase & Co (JPM)

JPMorgan Chase & Co. is a leading global financial services firm that provides a wide range of financial solutions to consumers, businesses, and governments. The company offers investment banking, asset management, private banking, and wealth management services while also delivering a full suite of commercial banking products. With a strong emphasis on innovation and technology, JPMorgan Chase plays a pivotal role in the financial market, helping clients navigate complex financial landscapes through expert advice and tailored services. The firm is committed to maintaining its reputation for integrity and professionalism while actively contributing to economic development and community investment. Read More

News & Press Releases

Bond Market Rebellion: 10-Year Yield Hits 4.37% as Strong Jobs and Energy Shocks Reshape Inflation Outlook
The bond market is sounding a loud alarm as the benchmark 10-year Treasury yield surged to 4.37% today, April 3, 2026. This critical psychological and technical threshold marks a decisive "pushback" from fixed-income investors who are rapidly recalibrating their expectations for inflation and interest rates. Following a blockbuster March
Via MarketMinute · April 3, 2026
The Warsh Shock: Federal Reserve Nomination Reshapes Global Markets as US Dollar Surges and Gold Corrects
The global financial landscape has been fundamentally altered this week following the nomination of Kevin Warsh to succeed Jerome Powell as Chair of the Federal Reserve. As of today, April 3, 2026, the "Warsh Shock" is reverberating through every asset class, signaling a definitive end to the post-pandemic monetary regime.
Via MarketMinute · April 3, 2026
Labor Day of Reckoning: March Jobs Report Tests U.S. Resilience Amid $140 Oil Shock
The United States labor market faces a defining moment this morning as the Bureau of Labor Statistics (BLS) prepares to release the March nonfarm payrolls report. In a rare "calendar collision," the data arrives on Good Friday, April 3, 2026, a day when major U.S. stock exchanges are shuttered,
Via MarketMinute · April 3, 2026
The GE Renaissance: A Deep Dive into the Aerospace Powerhouse (2026 Research Report)
As of today, April 3, 2026, GE Aerospace (NYSE: GE) stands as a testament to one of the most successful corporate transformations in industrial history. No longer the sprawling, debt-laden conglomerate that once defined the American economy, the "new" GE is a streamlined, high-margin, pure-play aviation powerhouse. Following the final separation of its energy business, [...]
Via Finterra · April 3, 2026
The Consolidation King: A Deep Dive into Crescent Energy Company (NYSE: CRGY)
Date: April 3, 2026 The American energy landscape has undergone a tectonic shift over the last five years, moving from a "growth-at-all-costs" era to one defined by fiscal discipline, shareholder returns, and aggressive consolidation. At the center of this transformation sits Crescent Energy Company (NYSE: CRGY), a firm that has evolved from a mid-cap experiment [...]
Via Finterra · April 3, 2026
Beyond Earth: SpaceX Files Confidential IPO Targeting Record $1.75 Trillion Valuation
CAPE CANAVERAL, FL — In a move that has sent shockwaves through global capital markets, SpaceX has officially submitted a confidential draft registration with the Securities and Exchange Commission (SEC) for an Initial Public Offering (IPO). The filing, confirmed by sources close to the matter on April 1, 2026, sets the
Via MarketMinute · April 3, 2026
Copper Supply Shock: Ivanhoe Mines Slashes Production Forecast Amid DRC Flooding Crisis
The global copper market faced a significant supply-side jolt this week as Ivanhoe Mines (TSX: IVN) announced a dramatic reduction in production guidance for its flagship Kamoa-Kakula Copper Complex in the Democratic Republic of Congo (DRC). Shares of the Canadian miner plummeted 12% following the revelation that persistent flooding and
Via MarketMinute · April 3, 2026
The National Transformation: A Deep Dive into PNC Financial Services Group
As of April 3, 2026, The PNC Financial Services Group, Inc. (NYSE: PNC) stands at a critical juncture in the American banking landscape. Once regarded as a stalwart of the mid-Atlantic and Rust Belt regions, the Pittsburgh-headquartered institution has successfully shed its "regional" label to become a formidable national competitor. With total assets nearing $600 [...]
Via Finterra · April 3, 2026
Gold Overtakes Treasuries: The New Global Reserve Reality
In a watershed moment for the global financial architecture, the total value of gold held in central bank reserves has officially surpassed the value of U.S. Treasury holdings for the first time in 30 years. As of early April 2026, global gold reserves reached a valuation of approximately $4
Via MarketMinute · April 3, 2026
The Bullion Bloodbath: Gold and Silver Shatter as Trump and the Fed Unleash a Macro Maelstrom
The precious metals market suffered a historic collapse on April 2, 2026, as a "perfect storm" of geopolitical aggression and hawkish monetary policy sent investors fleeing for the exits. In a single chaotic session, the multi-year bull run that had propelled gold to record heights came to a screeching halt.
Via MarketMinute · April 3, 2026
The Swoosh at a Crossroads: Can Nike’s “Win Now” Strategy Restore the Crown in 2026?
As of April 3, 2026, Nike, Inc. (NYSE:NKE) finds itself at one of the most critical junctures in its 62-year history. Once the undisputed champion of both the basketball court and the stock market, the Beaverton-based giant is currently navigating a high-stakes "Win Now" turnaround strategy. After a bruising 2024 and 2025 characterized by slowing [...]
Via Finterra · April 3, 2026
2 No-Brainer Vanguard ETFs to Buy During the Stock Market Sell-Offfool.com
Throughout history, investors who bought during stock market declines while maintaining a long-term outlook yielded strong returns.
Via The Motley Fool · April 3, 2026
Retail Investors Are Getting Cautious: Is That Actually a Contrarian Buy Signal?fool.com
Retail investors have pulled back in recent weeks. Is it time to buy?
Via The Motley Fool · April 3, 2026
Wall Street Thinks This Company Will Benefit From the Current Natural Gas Shock, but Does That Make It a Buy?fool.com
Venture Global stands to gain if LNG supplies remain tight.
Via The Motley Fool · April 2, 2026
Global M&A Surges to $1.2 Trillion in Q1 2026 as AI Consolidation and Strategic Resilience Defy High Rates
The global dealmaking landscape witnessed a staggering resurgence in the first quarter of 2026, with merger and acquisition (M&A) volumes totaling a record $1.22 trillion. This figure represents a 26% increase over the same period in 2025, marking the most aggressive start to a fiscal year since the
Via MarketMinute · April 2, 2026
Higher for Ever? Market Expectations Pivot to Zero Fed Rate Cuts in 2026
The optimism that defined the start of the year has evaporated as the Federal Reserve faces a grueling "higher-for-longer" reality. As of early April 2026, the financial markets have undergone a violent repricing of interest rate expectations. What was once a consensus of at least two 25-basis-point cuts for the
Via MarketMinute · April 2, 2026
Big Bank Earnings Preview: High Profitability and the Resurgence of Deal-Making
As the first quarter of 2026 comes to a close, the financial world is turning its collective gaze toward mid-April, when the titans of American banking are scheduled to kick off the spring earnings season. With the Federal Reserve recently signaling a pause in the 3.5%–3.75% range,
Via MarketMinute · April 2, 2026
Goldman Sachs Projects S&P 500 to Hit 7,600 by Year-End 2026 on Robust 12% Earnings Growth
In a sweeping update to its 2026 equity outlook, Goldman Sachs (NYSE: GS) has officially raised its S&P 500 year-end price target to 7,600, signaling a continued bull run fueled by a "fundamental floor" of earnings rather than speculative fervor. The firm’s projection, released in early April
Via MarketMinute · April 2, 2026
Meet the 2 Vanguard ETFs That Are Issuing 6-for-1 Stock Splits in April. Here's Why Both Are Buys Now.fool.com
These splits will make it significantly less expensive to own a full share of these low-cost growth ETFs.
Via The Motley Fool · April 2, 2026
Why Wix (WIX) Shares Are Trading Lower Today
What Happened? Shares of website building platform Wix (NASDAQ:WIX) fell 7.4% in the afternoon session after analysts from UBS and JPMorgan Chase downgraded ...
Via StockStory · April 2, 2026
Wall Street's Advisory Windfall: Goldman Sachs and JPMorgan Lead the M&A Renaissance
The first quarter of 2026 has officially marked the end of the deal-making drought, ushering in a lucrative "advisory windfall" for Wall Street’s elite investment banks. Driven by a surge in multi-billion dollar tech and healthcare integrations, total global M&A volume reached a staggering $1.38 trillion in
Via MarketMinute · April 2, 2026
Goldman Sachs Projects 12% S&P 500 Growth as April Bank Earnings Loom as Critical Catalysts
As the second quarter of 2026 begins, Goldman Sachs Group Inc. (NYSE: GS) has released a "constructive" market outlook that identifies a potential tactical turning point for equities. Following a volatile March characterized by geopolitical tensions and speculative deleveraging, the investment bank projects that S&P 500 earnings will grow
Via MarketMinute · April 2, 2026
Jobless Claims Plummet to 202,000: US Labor Market Defies Gravity, Complicating Fed’s 'Soft Landing' Script
The U.S. labor market once again demonstrated its uncanny ability to shrug off pressure as initial jobless claims for the week ending March 28, 2026, fell to a two-year low of 202,000. This surprising figure, released by the Department of Labor on April 2, 2026, significantly beat the
Via MarketMinute · April 2, 2026
The Powell Hand-Off: Fed Leadership Transition Meets a Middle Eastern Inferno
As the sun begins to set on Jerome Powell’s tenure as Chair of the Federal Reserve this May, the global financial landscape has been upended by a "perfect storm" of geopolitical volatility and resurgent inflation. What was once expected to be a victory lap for the central bank—marked
Via MarketMinute · April 2, 2026
The Financial Vibe Check: Why JPMorgan’s Q1 2026 Earnings Are the Market’s New Compass
As the first quarter of 2026 draws to a close, all eyes are fixed on April 14, when JPMorgan Chase & Co. (NYSE: JPM) is set to release its Q1 earnings report. For years, the bank has been dubbed the "fortress" of Wall Street, but this particular reporting cycle carries weight
Via MarketMinute · April 2, 2026