JPM
NYSE · Financial Services · Banks - Diversified · US
Research · Sep 13, 2026
[JPM] JPMorganChase: Can Deposit Growth Offset Margin Pressure?
JPMorganChase earned $16.9 billion in Q2 excluding significant items; Q3 will test whether deposit growth can offset margin pressure and rising costs.
Research · Sep 3, 2026
[JPM] JPMorgan Thesis 2026: Record Earnings Validate Premium Return on Capital
JPMorgan FY25 at $182.4B net revenue (NII $95.4B + NIR $87.0B), $57.0B net income, 20% ROTCE — 3rd consecutive year above 17% through-cycle target. Loans +11% to $1.49T, deposits +6% to $2.56T. NCO rose to $9.85B (card rate 3.31%, consumer 1.37%) — normalization ~70-80% complete. Capital return $48.2B (+43% YoY) — $31.6B buybacks + $16.6B dividends. CET1 14.6%. Narrow PT range $310-$350.
Research · Jun 10, 2026
JPM Stock: How Q1 Bank Data Defies 74-Year Sentiment Low
Univ of Michigan sentiment hit a 74-year low while JPM Q1 EPS came in at $5.94 with loan growth intact. Bifurcated consumer explains the divergence.
Research · Jun 9, 2026
GS, JPM, MS: Wall Street AI Won't Replace Investment Bankers
Goldman Solomon: 'no AI jobs apocalypse'. GS/JPM/MS price margin expansion (productivity) not headcount compression. Cohort positioning across three scenarios.
Research · Apr 23, 2026
Which Banks Capture the $197B IPO Wave: Goldman and Morgan Stanley or the Diversified Giants?
Blackstone's Q1 beat and 'best year ever' IPO forecast confirm the $197B pipeline is executable, yet Goldman Sachs and Morgan Stanley trade at the same 12-13x forward multiple as JPMorgan despite deriving 18-22% of revenue from investment banking versus JPM's 7%. Long GS and MS versus JPM over six months targets 8-12% relative return as Q2 and Q3 underwriting revenue surfaces the fee differential.
Research · Apr 13, 2026
Europe's 21-Hour Trading Days Are Boosting VLO, XOM & CVX Margins
Europe's surging energy market volatility, with traders facing 21-hour days per Bloomberg, spills over to boost US refining margins for Valero, Exxon, and Chevron while supercharging commodities trading at Goldman Sachs and JPMorgan. Recent financials show resilient FCF and margins, with VLO leading price gains at +43% over 3M. Bullish: Buy the dip for volatility-fueled profits.
Research · Apr 13, 2026
Middle East De-Escalation Talks: Why XOM, JPM, and SLB Benefit Most — and OXY Lags
US-Iran ceasefire talks in Islamabad on April 11 signal Middle East de-escalation, favoring integrated oils like XOM and CVX for stable refining, big banks JPM/BAC for lower provisions, and services SLB amid resilient rigs—while upstream OXY lags. Ranked conviction prioritizes cash-rich names. Watch negotiation breakthroughs and oil flows.
Research · Apr 13, 2026
US-Iran De-Escalation Talks: Why CVX, XOM, and JPM Are the Biggest Winners
US-Iran talks in Pakistan on April 11 signal Middle East de-escalation, lowering oil premiums and volatility to favor integrated majors (CVX, XOM), banks (JPM, BAC), services (SLB), and upstream (OXY). Ranked conviction highlights CVX and XOM for stability and FCF.
Research · Apr 13, 2026
Fed Private Credit Crackdown: JPM at Risk While BX, APO, KKR Stand to Win
The Federal Reserve's scrutiny of banks' private credit exposure creates a divergence in financial stocks: traditional banks like JPMorgan face regulatory risks while alternative asset managers like Blackstone and Apollo stand to gain market share. This analysis ranks six financial giants based on their exposure and positioning for the coming regulatory changes.
Research · Apr 13, 2026
April CPI Spike: XOM and CVX Win as Higher-for-Longer Rates Crush AAL
April's fuel-driven CPI surge signals persistent US inflation, favoring oil majors XOM and CVX with production growth, banks like JPM via NII, while pressuring airlines AAL and rails UNP. Ranked picks prioritize energy exposure at reasonable valuations amid higher-for-longer rates.
Research · Apr 13, 2026
AI Cyber Threat Warning: JPM, BAC Exposed — CRWD, PANW Set to Gain
US regulators' warning on Anthropic Mythos AI cyber threats highlights vulnerabilities at major banks like JPM, BAC, and WFC, while creating tailwinds for cybersecurity leaders CRWD, PANW, and ZS. The article analyzes exposure, financials, and ranks conviction plays amid rising AI-driven risks.
Research · Apr 13, 2026
Hot CPI Kills 2025 Fed Cut Hopes — JPM, BAC Lead Bank Winners While REITs Take the Hit
Hotter CPI has bond markets pricing fewer 2025 Fed cuts, favoring banks like JPM, BAC, and WFC via NIM expansion while hurting REITs (PLD, O) and homebuilders (DHI) with higher costs and weak demand. JPM leads conviction ranking; avoid leveraged real estate. Article analyzes financials, guidance, and exposures.
Research · Apr 13, 2026
Jamie Dimon's Warning: XOM & WMT Win, NVDA Suffers — 6 Stocks Ranked by Risk
Jamie Dimon's April 11 warning spotlights inflation, deficits, and geopolitics, favoring XOM and WMT as winners while pressuring NVDA and PLD. JPM and BAC offer mixed bank exposure with strong fundamentals. Ranked picks prioritize resilient cash flows over growth hype.
Research · Apr 13, 2026
NFLX, JPM, BAC, WFC Q1 Earnings: Iran Ceasefire Rally Sets Up 10–15% Upside Case
The Iran ceasefire sparked a market rally just as NFLX, JPM, BAC, and WFC kick off Q1 earnings, per MarketWatch on April 9, 2026. Strong guidance, EPS beat history, and cheap bank vals position them to extend gains, with NFLX's ad/live momentum leading. Bulls eye 10-15% upside if beats confirm resilience.
Research · Apr 13, 2026
Treasury Yield Volatility Surges — JPM and PGR Climb as NVDA and REITs Take the Hit
April 10, 2026 Treasury yields snapshot signals volatility surge, favoring banks/insurers like PGR, JPM, BAC via NII/margins while pressuring REITs (PLD, EQIX) and NVDA on costs/valuations. PGR tops conviction ranks for pristine balance sheet and yield leverage.
Research · Apr 13, 2026
Hawkish Fed Bets: JPM Leads as NEE, PLD, and HD Face Rate Headwinds
Bond traders' inflation hedges spotlight hawkish Fed risks, positioning banks like JPM and BAC for NIM gains while utilities (NEE, DUK), REITs (PLD), and HD face debt and demand headwinds. JPM tops conviction rankings with superior scale; DUK ranks most vulnerable. Elevated rates reshape sector winners and losers.
Research · Apr 13, 2026
Hot Inflation Kills Rate Cut Hopes: JPM Surges While REITs and Utilities Crack
Hotter-than-expected inflation dashed rate cut hopes, favoring banks like JPM and WFC via NIM expansion while pressuring debt-laden REITs (PLD, AMT) and utilities (NEE, DUK). JPM tops conviction ranks with superior scale; REITs lag on cap rate risks. Prolonged high rates could widen these gaps further.
Research · Apr 13, 2026
PPI Report + Fed Rate Delay: Why JPM, BAC and WFC Are the Surprise Winners
Resilient U.S. labor data ahead of PPI and Goldman earnings signals fewer Fed cuts, boosting big banks' NII. JPM, BAC, and WFC lead with strong deposits and growth guidance, while GS and COF lag on exposure.
Research · Apr 10, 2026
10-Year Treasury Yield Outlook: JPM Wins, NEE and AMT Face Debt Squeeze
ETF Trends' March 2026 10-year Treasury yield analysis forecasts elevated rates, favoring banks like JPM and BAC via NIM expansion while pressuring leveraged utilities (NEE, DUK) and REITs (PLD, AMT) on debt costs and valuations. JPM tops conviction rankings for its balance sheet strength; AMT ranks as most vulnerable.
Research · Apr 10, 2026
CFTC vs. Illinois: Why IBKR, CME, and DKNG Are the Prediction Market Winners
CFTC's lawsuit against Illinois boosts prediction markets by asserting federal control, favoring platforms like IBKR's ForecastEx and CME's event contracts. DraftKings, Robinhood, and Coinbase gain from product launches, while JPMorgan eyes indirect entry. Ranked: IBKR > CME > DKNG.