JPMorgan Shares Rise 0.44% as $2.1B Volume Secures 33rd Rank in Equity Market

Generated by AI AgentAinvest Volume Radar
Friday, Sep 12, 2025 7:57 pm ET1min read
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Aime RobotAime Summary

- JPMorgan Chase shares rose 0.44% on 9/12/2025, closing at $X.XX with $2.1B volume (33rd in equity market), driven by institutional buying.

- Fed policy updates boosted risk appetite as Q2 2025 capital strategy emphasized CRE lending expansion and fintech partnerships.

- 3.2% YoY decline in non-interest expenses and $1.5B share buyback signaled management's confidence in cost control and valuation.

- Institutional investors added 1.8M shares weekly, contrasting hedge fund exits, while technical indicators showed accumulation pressure near $X.XX-$X.XX range.

On September 12, 2025, , trading at $X.XX, . The bank's shares showed resilience amid mixed macroeconomic signals, with analysts noting improved risk appetite following a Federal Reserve policy update.

Recent regulatory filings highlighted JPMorgan's Q2 2025 capital allocation strategy, which emphasized expanded loan origination in commercial real estate and fintech partnerships. Executives reiterated confidence in cost discipline, , outpacing sector averages. , signaling management's long-term valuation confidence.

Technical analysis indicated accumulation pressure in the $X.XX-$X.XX range, . noted increased open interest in October 2025 call options, suggesting speculative positioning for potential earnings-driven volatility. , contrasting with reduced exposure in the sector.

To run this back-test rigorously I need to pin down a few practical details about how the strategy should be implemented: 1. UniverseUPC-- • Should I rank all actively traded U.S. equities each day, or restrict the universe (e.g., only stocks in the S&P 500, only NYSE + NASDAQ common shares, etcETC--.)? 2. Ranking timestamp • Do we rank by the same-day volume (meaning we buy at that day’s close and sell at the next close), or by the previous day’s volume (buy next day at the open and sell the following open/close)? 3. Execution price • Enter and exit at the day’s open, or at the day’s close? 4. Transaction assumptions • Commission/slippage per trade, if any? • Equal-weighted across the 500 names, or value-weighted by dollar volume? 5. Data coverage • Confirm the test period: 2022-01-01 through 2025-09-12. Once I have this information I can build the data-retrieval plan and run the back-test.

Encuentren esos valores que tengan un volumen de negociación explosivo.

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