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NYSE:JPM

JP Morgan Chase & Co (JPM)

320.72
+7.23 (2.31%)
as of Jun 12, 2026, 8:00:00 pm Market Open.
554 watching
0
Investor Insights
star iconJun 13, 2026, 12:00 am

This summary was created by AI, based on 51 opinions in the last 12 months.

JP Morgan Chase & Co (JPM) is consistently regarded as one of the best and most reliable financial institutions globally, benefiting from strong leadership under CEO Jamie Dimon. Experts highlight its solid fundamentals, including a robust dividend growth trajectory, impressive net interest income growth, and a favorable market position within the US banking sector. There is a consensus that JPM is well-managed and shows resilience against economic fluctuations, with many analysts citing it as a core holding for long-term investors. Despite some caution around its current valuation and guidance, the overall sentiment leans toward positive growth potential, particularly with deregulation, improving capital markets, and a recovering economy. Analysts suggest that timing and patience may provide better entry points for new investors.

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Consensus
Positive
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Valuation
Fair Value
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TOP PICK
Financials will move up even when rates are rising. Great dividend.
TOP PICK
Had about a 17% correction. Has a differential model price of 25%.
TOP PICK
Banks are positioned in case of higher interest rates. A no brainer.
TOP PICK
Almost 4% in dividend yield. Had a major correction. One of the world's leading banks.
BUY
Market is in a panic over higher interest rates. Good opportunity.
TOP PICK
DON'T BUY
Beyond his fair market value calculation. An interesting company in that it dominates the derivative business globally, so should be doing fairly well. Exposure to derivatives in a volatile market can create losses.
BUY
In merger or negotiations. Upside will depend on integration and cost savings. Trading at 12 X earnings and has a pretty good dividend.
STRONG BUY
Had a good run. Good management. Good option. Great platform. Not expensive. Like the stock
BUY
Has had a dramatic turnaround. Still has some upside. A reasonable multiple.
SHORT
Control 25% of the world's derivative markets. Has broken down through their trend line. Is shorting this stock.
BUY
US financials have had a big bounce off the bottom and can move higher.
BUY ON WEAKNESS
A little bit over bought. On a pullback of $5 or so, would be a good buy.
BUY ON WEAKNESS
Good base pattern. Could outperform over the next few years.
DON'T BUY
Has downside risk. A lot of derivitives.
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