JPMorgan Chase & Co (JPM)

294.60
-0.78 (-0.26%)
NYSE · Last Trade: Apr 5th, 3:17 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 Volume11,224,817

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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

LendingClub: A Digital Bank Growing Again Like a Fintechmarketbeat.com
Via MarketBeat · April 5, 2026
Why Core Scientific Stock Crumbled in Marchfool.com
It's accelerating a significant strategic transition.
Via The Motley Fool · April 5, 2026
JEPI vs. JEPQ: Which Is the Better Buy in April?fool.com
These two high-yield heavyweights offer very different approaches.
Via The Motley Fool · April 4, 2026
March "Washout" Buying Opportunity: How Deleveraging Cleared the Decks for a Tactical Rally
The financial markets have emerged from a brutal March "washout" that saw trillions in market capitalization evaporate as speculative froth was systematically purged from the system. Following a volatile period characterized by a correction in the Nasdaq Composite and a spike in the VIX to "panic" levels, institutional investors are
Via MarketMinute · April 3, 2026
Earnings Revision Momentum: Why Analysts Upgraded S&P 500 Growth to 17%
As of April 3, 2026, the financial landscape is witnessing a historic disconnect between gritty macroeconomic headlines and exuberant corporate fundamentals. Despite a backdrop of stubborn energy-driven inflation and heightened geopolitical friction in the Middle East, Wall Street analysts have aggressively raised their collective expectations for the S&P 500.
Via MarketMinute · April 3, 2026
Consumer Sentiment Slump: US Index Hits 56.6 Amid Energy Shock and Geopolitical Tensions
As of April 3, 2026, the American consumer is signaling a level of distress not seen since the peak of the post-pandemic inflationary crisis. The University of Michigan’s Consumer Sentiment Index, a vital barometer of the nation’s economic psychological health, recently recorded a reading of 56.6—a
Via MarketMinute · April 3, 2026
The 2026 Financial Litmus Test: Wall Street Braces for High-Stakes Earnings from JPMorgan and Bank of America
As the second week of April 2026 begins, the financial world has its eyes fixed on two dates: April 14 and April 15. These dates mark the Q1 earnings releases for JPMorgan Chase (NYSE: JPM) and Bank of America (NYSE: BAC), respectively. In a year that has already seen significant
Via MarketMinute · April 3, 2026
Services Sector Slumps: S&P Global PMI Hits 49.8 as Energy Crises and Geopolitical Strife End Three-Year Growth Streak
The global economic engine has hit a significant snag as the S&P Global Services PMI plummeted to 49.8 in March 2026, marking the first time the sector has entered contraction territory in over three years. This unexpected dip below the critical 50.0 threshold signals a reversal of
Via MarketMinute · April 3, 2026
Banking M&A Heatwave: Santander’s $12B Webster Bid Sparks Regional Consolidation
As the second quarter of 2026 begins, the American financial landscape is undergoing its most significant transformation since the aftermath of the 2008 crisis. The headline event remains the massive $12.2 billion bid by the Spanish titan Banco Santander (NYSE:SAN) for Webster Financial Corporation (NYSE:WBS), a deal
Via MarketMinute · April 3, 2026
Goldman Sachs Sets Ambitious 7,600 Target for S&P 500, Betting on AI Productivity Surge
In a bold assertion that has reignited investor optimism following a volatile start to the year, Goldman Sachs (NYSE: GS) has issued a definitive call for the S&P 500 to reach 7,600 by the end of 2026. The investment bank’s equity strategy team, led by outgoing Chief
Via MarketMinute · April 3, 2026
U.S. Labor Market Defies Gravity: March Jobs Growth Triples Estimates Amid Middle East Turmoil
The U.S. Department of Labor released a bombshell employment report this morning, April 3, 2026, revealing that the American economy added a staggering 178,000 nonfarm payroll jobs in March. The figure decimated Wall Street’s consensus estimate of just 65,000, providing a startling display of economic resilience
Via MarketMinute · April 3, 2026
Bond Market Gravity Reasserts Itself: 10-Year Yield Hits 4.30% as AI Productivity Narrative Faces Macro Reality
The financial markets were jolted this week as the 10-year Treasury yield surged to 4.30%, marking a significant multi-month high that has forced investors to recalibrate their expectations for the remainder of 2026. This breach of the 4.30% threshold—a level many analysts had labeled a critical technical
Via MarketMinute · April 3, 2026
Architect of the ‘Leaner Fed’: Kevin Warsh’s Nomination Signals a Paradigm Shift in Global Finance
The financial world is bracing for a seismic shift in monetary policy as the transition from the Jerome Powell era to the Kevin Warsh era approaches its May 2026 deadline. Nominated by President Donald Trump on January 30, 2026, Kevin Warsh is set to become the next Chair of the
Via MarketMinute · April 3, 2026
The $1.2 Trillion AI Land Grab: Q1 2026 M&A Smashes Records as Corporate Giants Pivot to Aggressive Expansion
The first quarter of 2026 has officially redefined the landscape of corporate finance, with global mergers and acquisitions (M&A) activity surging to a staggering $1.22 trillion. This 30% year-over-year increase marks the most aggressive start to a fiscal year in half a decade, signaling a definitive end to
Via MarketMinute · April 3, 2026
Bank of America Earnings Preview: Resilience and Resurgence in Q1 2026
As the financial world pivots toward the spring earnings season, all eyes are on Bank of America (NYSE: BAC), which is scheduled to report its first-quarter results on April 15, 2026. The upcoming report arrives at a critical juncture for the U.S. banking giant, serving as a litmus test
Via MarketMinute · April 3, 2026
The Goldilocks Era: JPMorgan Chase Braces for Q1 2026 Earnings as 'Spread' Model Returns to Center Stage
As the financial world turns its eyes toward April 14, 2026, JPMorgan Chase & Co. (NYSE:JPM) is preparing to release a Q1 earnings report that many analysts believe will define the post-inflationary era of American banking. With the Federal Reserve having successfully guided the economy into a "neutral" interest rate
Via MarketMinute · April 3, 2026
Goldman Sachs Issues Bullish 7,600 S&P 500 Target, Citing AI Productivity and "Cleared Decks"
As of April 3, 2026, the equity markets are entering a pivotal transition point following a turbulent first quarter. Goldman Sachs (NYSE:GS) has released its highly anticipated mid-year outlook, setting a bold year-end price target of 7,600 for the S&P 500. This projection implies a 12% total
Via MarketMinute · April 3, 2026
Markets Breath a Sigh of Relief: Diplomatic Breakthrough in Strait of Hormuz Ignites Massive S&P 500 Rally
In a dramatic reversal of the bearish sentiment that dominated the first quarter of the year, the S&P 500 index surged 2.91% to close at 6,528.52 on April 3, 2026. This rally effectively erased the bruising volatility of March, providing the index with its first weekly
Via MarketMinute · April 3, 2026
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