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Jpmorgan Chase & Co  (JPM)
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    Sector  Financial    Industry Money Center Banks
 
   Industry Money Center Banks
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Jpmorgan Chase & Co 's Suppliers Data

(in $ except Marketcap in Millions of $)



COMPANY NAME TICKER MARKET CAP REV./EMPLOYEE INC./EMPLOYEE
Jpmorgan Chase & Co JPM 387,199 404,857 102,876
Visa Inc. V 329,494 2,277,059 1,097,176
Bank Of America Corp BAC 315,542 396,616 90,156
Mastercard Inc MA 218,492 1,295,437 420,000
Oracle Corporation ORCL 206,841 301,750 28,977
Cisco Systems, Inc. CSCO 203,496 694,557 -
Citigroup Inc C 177,411 299,589 -
International Business Machines Corp IBM 135,434 210,900 14,969
Adobe Systems Inc ADBE 128,320 649,810 173,403
Salesforce Com Inc CRM 110,740 693,652 30,043
Accenture Plc ACN 109,004 147,644 15,089
American Express Company AXP 86,229 480,924 49,889
Cme Group Inc. CME 57,586 1,427,015 1,590,448
Capital One Financial Corp COF 47,650 443,000 54,348
Intercontinental Exchange, Inc. ICE 44,425 2,048,587 863,542
Hp Inc. HPQ 37,759 183,798 14,411
Fidelity National Information Services, Inc. FIS 36,373 223,350 34,950
Moodys Corp MCO 36,064 439,960 104,909
Spdr Gold Trust GLD 33,031 - 1,840,919,000
Fiserv Inc FISV 32,611 273,429 67,714
Synchrony Financial SYF 25,299 832,000 164,250
Netapp, Inc. NTAP 23,209 461,436 5,933
First Data Corp FDC 21,540 - -
Ca, Inc. CA 17,328 365,086 41,034
Lennar Corp LEN 16,595 2,160,348 123,272
Total System Services Inc TSS 16,500 492,751 65,439
Horton D R Inc DHI 16,335 2,663,405 203,131
Nasdaq, Inc. NDAQ 16,014 1,124,220 201,248
Equifax Inc EFX 15,346 452,760 71,520
Transunion TRU 14,404 483,548 110,119
Cboe Global Markets, Inc. CBOE 11,791 4,699,645 892,730
Ishares Gold Trust IAU 10,332 22,758,729 539,292,939
Western Union Co WU 9,402 623,478 -
News Corp NWS 9,012 336,440 -
Pultegroup Inc PHM 8,960 2,148,594 126,887
Voya Financial, Inc. VOYA 8,736 1,195,943 -
Federal National Mortgage Association Fannie Mae FNMA 8,663 3,478,158 519,868
Marketaxess Holdings Inc MKTX 7,964 1,233,667 482,781
Calatlantic Group, Inc. CAA 6,611 859,941 60,461
Black Knight, Inc. BKFS 6,423 240,135 59,368
Morningstar, Inc. MORN 5,970 240,636 40,916
Toll Brothers Inc TOL 5,793 1,616,791 149,835
H&r Block Inc HRB 5,776 1,436,332 284,280
Blackbaud Inc BLKB 5,662 247,739 20,721
Bgc Partners, Inc. BGCP 5,268 459,453 20,032
Federal Home Loan Mortgage Corp FMCC 5,077 3,986,521 1,148,818
Ishares Silver Trust SLV 4,935 - -
Euronet Worldwide Inc EEFT 4,636 404,710 23,560
Green Dot Corp GDOT 4,431 940,858 113,798
Assured Guaranty Ltd AGO 4,281 5,016,667 2,033,333
Ncr Corp NCR 3,811 217,053 6,589
American National Insurance Co ANAT 3,362 725,207 100,227
American Equity Investment Life Holding Co AEL 3,203 6,292,292 534,016
Aci Worldwide, Inc. ACIW 3,071 251,832 -
Kb Home KBH 2,635 2,842,884 75,853
Blackhawk Network Holdings, Inc HAWK 2,550 966,786 -
Tri Pointe Group, Inc. TPH 2,539 3,259,559 214,492
Verifone Systems, Inc. PAY 2,526 308,241 -
Taylor Morrison Home Corp TMHC 2,425 34,741,496 1,668,858
Virtu Financial, Inc. VIRT 2,416 11,339,385 2,674,980
United States Oil Fund, Lp USO 2,371 521,501,297 503,025,575
Dillards, Inc. DDS 2,356 161,513 5,889
Covanta Holding Corp CVA 2,184 - -
Fbl Financial Group Inc FFG 2,103 449,440 -
Cavco Industries Inc CVCO 2,035 235,469 16,622
Horace Mann Educators Corp HMN 1,882 853,918 47,648
Meritage Homes Corp MTH 1,845 2,339,648 116,080
Fidelity & Guaranty Life FGL 1,813 7,204,545 1,104,545
Mdc Holdings Inc MDC 1,812 2,815,198 174,972
Pitney Bowes Inc PBI 1,651 348,725 23,558
Ishares S&p Gsci Commodity-indexed Trust GSG 1,504 13,033,135 164,298,221
Lgi Homes, Inc. LGIH 1,484 3,523,264 330,328
United Fire Group Inc UFCS 1,450 965,443 72,702
Kcg Holdings, Inc. KCG 1,353 1,356,224 220,421
National Western Life Group, Inc. NWLI 1,106 2,908,234 435,854
Intl Fcstone Inc. INTL 1,003 - 15,110
Century Communities, Inc. CCS 985 3,132,018 120,618
William Lyon Homes WLH 941 3,266,738 136,128
Unisys Corp UIS 920 120,073 207
Diebold Nixdorf, Inc DBD 883 285,669 -
Usa Technologies Inc USAT 830 1,806,254 -
M I Homes Inc MHO 825 1,977,032 72,680
Investment Technology Group, Inc. ITG 760 476,705 -
Everi Holdings Inc. EVRI 560 942,680 -
Net 1 Ueps Technologies Inc UEPS 560 108,534 7,748
United States Commodity Index Funds Trust USCI 498 47,301,156 41,916,869
Beazer Homes Usa Inc BZH 496 1,861,934 -
Av Homes, Inc. AVHI 488 4,004,463 -
Cowen Inc. COWN 439 1,034,062 -
Oppenheimer Holdings Inc OPY 393 286,203 10,474
Gain Capital Holdings, Inc. GCAP 352 907,040 31,699
Invesco Currencyshares Euro Trust FXE 346 - -
Skyline Corp SKY 253 194,723 6,743
Hovnanian Enterprises Inc HOV 248 1,074,798 -
Attunity Ltd ATTU 219 242,570 -
Value Line Inc VALU 211 199,360 76,388
New Home Co Inc. NWHM 209 3,202,453 66,897
Invesco Currencyshares British Pound Sterling Trus FXB 183 - -
Invesco Currencyshares Canadian Dollar Trust FXC 164 725,497 7,476
Invesco Currencyshares Japanese Yen Trust FXY 155 - -
Invesco Currencyshares Swiss Franc Trust FXF 151 - -
Invesco Currencyshares Australian Dollar Trust FXA 124 1,846,781 1,252,414
United States Brent Oil Fund, Lp BNO 98 91,560 2,595,743
United States 12 Month Oil Fund, Lp USL 98 20,178,402 19,332,954
Utg Inc UTGN 96 804,948 228,917
China United Insurance Service, Inc. CUII 92 32,536 4,546
Nobility Homes Inc NOBH 80 290,633 28,302
Atlantic American Corp AAME 53 1,209,490 -
United States Gasoline Fund, Lp UGA 53 10,387,993 9,969,255
National Security Group Inc NSEC 40 65,238,000 -
Jetpay Corp JTPY 27 361,208 -
Cpi Card Group Inc. PMTS 23 186,092 -
Payment Data Systems Inc PYDS 21 800,185 -
Invesco Currencyshares Swedish Krona Trust FXS 21 - -
United States 12 Month Natural Gas Fund, Lp UNL 14 - -
Ishares Commodity Optimized Trust CMDT 13 173,997 253,241
United States Short Oil Fund, Lp DNO 9 - -
Nvr Inc NVR 8 1,527,080 139,685
Invesco Currencyshares Chinese Renminbi Trust FXCH 7 7,576 -
United States Diesel-heating Oil Fund, Lp UHN 7 1,357,558 1,317,015
American Church Mortgage Company ACMC 5 1,237,764 29,913
Invesco Currencyshares Singapore Dollar Trust FXSG 4 12,239 -
Electronic Systems Technology Inc ELST 3 132,477 -
Veritec Inc VRTC 2 120,904 -
Futures Portfolio Fund L.p. FPF 2 13,124,980 -
Lans Holdings, Inc. LAHO 0 142,943 -
Wci Communities, Inc. WCIC 0 - -
Green Brick Partners, Inc. BIOF 0 2,416,510 151,095
Deer Valley Corp DVLY 0 - -
Ryland Group Inc RYL 0 - -
Vanjia Corporation VNJA 0 - -
Ifan Financial, Inc. IFAN 0 - -
Federal Home Loan Bank Of Atlanta FHLBAT 0 1,646,497 1,076,433
Federal Home Loan Bank Of New York FHLBNY 0 2,676,363 1,963,842
Federal Home Loan Bank Of Pittsburgh FHLBPI 0 2,137,878 1,557,324
BMC SOFTWARE, INC. BMC 0 - -
Wisdomtree Continuous Commodity Index Master Fund GCC 0 610,186 -
Boston Capital Tax Credit Fund Iv Lp BCTC4 0 466,748 9,787,196
Centex Corporation CTX 0 - -
Boston Capital Tax Credit Fund V Lp BCTC5 0 212,694 -
Boston Capital Tax Credit Fund Ltd Partnership BCTCI 0 - -
Boston Capital Tax Credit Fund Iii L P BCTCIII 0 61,211 757,782
Dell Inc. DELL 0 - -
Nuveen Diversified Commodity Fund CFD 0 - -
Powershares Db Commodity Index Tracking Fund DBC 0 229,166,553 211,157,563
Deluxe Corp DLX 0 - -
Nuveen Long CTF 0 - -
Powershares Db Agriculture Fund DBA 0 - -
Powershares Db Base Metals Fund DBB 0 23,605,441 21,430,987
Powershares Db Energy Fund DBE 0 31,416,119 30,334,359
Powershares Db Oil Fund DBO 0 95,186,763 92,247,432
Powershares Db Precious Metals Fund DBP 0 2,492,791 1,329,985
Powershares Db Silver Fund DBS 0 - -
Powershares Db Gold Fund DGL 0 3,579,152 2,360,182
Powershares Db G10 Currency Harvest Fund DBV 0 - -
Currencyshares South African Rand Trust FXSA 0 - -
Lexmark International Inc LXK 0 - -
MCGRAW-HILL COMPANIES, INC. MHP 0 - -
Indo Global Exchange(s) Pte, Ltd. IGEX 0 - -
Nyse Euronext NYX 0 - -
Seneca Global Fund, L.p. SENE 0 - -
Wisdomtree Coal Fund TONS 0 - -
Powershares Db Us Dollar Index Bearish Fund UDN 0 4,028,378 3,714,264
Powershares Db Us Dollar Index Bullish Fund UUP 0 - -
Proshares Trust Ii VIXY 0 - -
Xoom Corp XOOM 0 - -
Fastfunds Financial Corp FFFC 0 - -
Citizens Inc CIA 0 403,998 -
First Trinity Financial Corp. FTFC 0 3,821,033 183,141
Emergent Capital, Inc.. IFT 0 719,531 -
Kansas City Life Insurance Co KCLI 0 - -
Protective Life Corp PL 0 1,762,821 434,959
Phoenix Companies Inc PNX 0 - -
Symetra Financial Corporation SYA 0 - -
Amerinst Insurance Group Ltd AIGT 0 699,554 -
Midwest Holding Inc. MIDH 0 216,496 -
S&p Global Inc. MHFI 0 363,353 102,471
Ucp, Inc. UCP -181 2,381,191 94,092
AVERAGE SUBTOTAL 2,738,073 373,028 40,425

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