{"id":5313,"date":"2012-05-15T00:00:00","date_gmt":"2012-05-15T05:00:00","guid":{"rendered":"https:\/\/institutionalinvestorsecuritiesblog.blawgcloud.com\/2012\/05\/jpmorgan_chase_2b_trading_loss_1"},"modified":"2022-05-19T13:45:27","modified_gmt":"2022-05-19T18:45:27","slug":"jpmorgan-chase-2b-trading-loss-1","status":"publish","type":"post","link":"https:\/\/www.investorlawyers.com\/blog\/jpmorgan-chase-2b-trading-loss-1\/","title":{"rendered":"JPMorgan Chase $2B Trading Loss Leads to Probes by the SEC, Federal Reserve, and FBI"},"content":{"rendered":"<p>In the wake of<a href=\"https:\/\/www.investorlawyers.com\/?s=jp+morgan\"> JPMorgan Chase\u2019s (JPM)<\/a> announcement that it lost $2 billion in a trading portfolio that is supposed to hedge against the risks that it takes against its own money, the Securities and Exchange Commission, the Federal Bureau of Investigation, the Federal Reserve and other regulators are launching their respective investigations to find out exactly what happened. JPMorgan is the largest bank in the US.<\/p>\n<p>As the financial firm\u2019s stock plummeted nearly 7% in after-hours trading after the announcement, its CEO, Jamie Dimon, attributed the losses to \u201cmany errors, sloppiness and bad judgment.&#8221; He also said that the portfolio, which consisted of derivatives, ended up being \u201criskier\u201d and not as effective as an economic hedge as the financial firm had previously thought.<\/p>\n<p>Also seeing drops in their stocks following JPMorgan\u2019s announcement of its massive trading loss were other banks, including Bank of America (BAC), Morgan Stanley (MS), Citigroup (C) and Goldman Sachs (GS).<\/p>\n<p>Now, the SEC and other regulators are looking into whether possible civil violations were involved in JPMorgan\u2019s massive loss. The Commission had recently opened a preliminary probe into the financial firm\u2019s public disclosures about its trades and accounting practices.<\/p>\n<p>According to The New York Times, questions regarding JP Morgan\u2019s chief investment office, which is in charge of its hedging activities, were raised in April following reports that a trader in London was taking large bets that were \u201cdistorting the market.\u201d Dimon, at the time, dismissed worries about the bank\u2019s trading activities.<\/p>\n<p>The FBI is also looking into potential wrongdoing related to the $2 trading loss.<\/p>\n<p>Known for its excellence in trading until now and earning up to $5.4 billion of securities gains last year, JPMorgan\u2019s chief investment officer has now seen a reversal of fortune. Per The New York Times, the financial firm\u2019s problems may have begun with its bond portfolio, which was valued at $379 billion in March.<\/p>\n<p>Just 30% of the portfolio had been invested in securities that the federal government had guaranteed\u2014a change from 2010 when government guaranteed bonds made up 42% of the portfolio.<\/p>\n<p>Signs of trouble with JPMorgan\u2019s trading strategy started to brew at the end of March when the market went against corporate bonds. Yet during its first-quarter earnings call in mid-April, Dimon did not give any indication that there were problems with the bank\u2019s trading.<\/p>\n<p>Last week, however, Dimon told a different story by announcing the $2 billion trading loss. He said the investment bank\u2019s problems were caused in part by its value-at-risk measure, which underestimated the losses on hedge funds that depended on credit derivatives. Yet were the trades even actual hedges? Banks have been known to perform elaborate trades that at first seemed to be a hedge but eventually become a bad bet.<\/p>\n<p><a href=\"https:\/\/online.wsj.com\/article\/SB10001424052702304203604577397984205205446\">SEC Opens Review of JP Morgan<\/a>, The Wall Street Journal, May 11, 2012<\/p>\n<p><a href=\"https:\/\/dealbook.nytimes.com\/2012\/05\/15\/investigators-begin-preliminary-inquiry-into-jpmorgan\/\">F.B.I. Begins Preliminary Inquiry Into JPMorgan<\/a>, The New York Times, May 15, 2012<\/p>\n<p><strong>More Blog Posts:<\/strong><\/p>\n<p><a href=\"https:\/\/www.investorlawyers.com\/blog\/washington-mutual-bank-bondhol\/\">Washington Mutual Bank Bondholders\u2019 Securities Fraud Lawsuit Against J.P. Morgan Chase &amp; Co. is Revived by Appeals Court<\/a>, Institutional Investor Securities Blog, June 29, 2011<\/p>\n<p> <a href=\"https:\/\/www.investorlawyers.com\/blog\/jpmorgan-chase-2b-trading-loss-1\/#more-5313\" class=\"more-link\">Continue Reading \u203a<\/a><\/p>\n","protected":false},"excerpt":{"rendered":"<p>In the wake of JPMorgan Chase\u2019s (JPM) announcement that it lost $2 billion in a trading portfolio that is supposed to hedge against the risks that it takes against its own money, the Securities and Exchange Commission, the Federal Bureau of Investigation, the Federal Reserve and other regulators are launching their respective investigations to find [&hellip;]<\/p>\n","protected":false},"author":2,"featured_media":0,"comment_status":"closed","ping_status":"closed","sticky":false,"template":"","format":"standard","meta":{"jetpack_post_was_ever_published":false,"footnotes":""},"categories":[3959,3752,3958],"tags":[],"class_list":["post-5313","post","type-post","status-publish","format-standard","hentry","category-derivatives","category-financial-firms","category-jp-morgan-chase"],"yoast_head":"<!-- This site is optimized with the Yoast SEO plugin v27.4 - https:\/\/yoast.com\/product\/yoast-seo-wordpress\/ -->\n<title>JPMorgan Chase $2B Trading Loss Leads to Probes by the SEC, Federal Reserve, and FBI &#8212; 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