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Y87794H0US1R65VBXU25 Walmart, Inc. 931142103 -39561.00000000 NS USD -5534979.51000000 -0.17187705974 Short EC CORP US N 1 N N N Truist Financial Corp. 549300DRQQI75D2JP341 Truist Financial Corp. 89832Q109 607819.00000000 NS USD 23127512.95000000 0.718175906146 Long EC CORP US N 1 N N N Capital One Financial Corp. ZUE8T73ROZOF6FLBAR73 Capital One Financial Corp. 14040H105 272975.00000000 NS USD 19615983.50000000 0.609132800207 Long EC CORP US N 1 N N N Devon Energy Corp. 54930042348RKR3ZPN35 Devon Energy Corp. 25179M103 -178213.00000000 NS USD -1685894.98000000 -0.05235189609 Short EC CORP US N 1 N N N Sysco Corp. 5RGWIFLMGH3YS7KWI652 Sysco Corp. 871829107 -107794.00000000 NS USD -6706942.68000000 -0.20826989253 Short EC CORP US N 1 N N N JBG SMITH Properties N/A JBG SMITH Properties 46590V100 65497.00000000 NS USD 1751389.78000000 0.054385698323 Long EC CORP US N 1 N N N Marathon Oil Corp. 1FRVQX2CRLGC1XLP5727 Marathon Oil Corp. 565849106 -641958.00000000 NS USD -2625608.22000000 -0.08153269945 Short EC CORP US N 1 N N N Intel Corp. KNX4USFCNGPY45LOCE31 Intel Corp. 458140100 -128798.00000000 NS USD -6669160.44000000 -0.20709664513 Short EC CORP US N 1 N N N Thermo Fisher Scientific, Inc. HCHV7422L5HDJZCRFL38 Thermo Fisher Scientific, Inc. 883556102 128689.00000000 NS USD 56818767.28000000 1.764386415680 Long EC CORP US N 1 N N N International Paper Co. 824LMFJDH41EY779Q875 International Paper Co. 460146103 -288945.00000000 NS USD -11713830.30000000 -0.36374817769 Short EC CORP US N 1 N N N HP, Inc. WHKXQACZ14C5XRO8LW03 HP, Inc. 40434L105 -349686.00000000 NS USD -6640537.14000000 -0.20620780920 Short EC CORP US N 1 N N N Realty Income Corp. 549300CUWDAUZSH43859 Realty Income Corp. 756109104 96119.00000000 NS USD 5839229.25000000 0.181324890699 Long EC CORP US N 1 N N N Parker-Hannifin Corp. 5493002CONDB4N2HKI23 Parker-Hannifin Corp. 701094104 130528.00000000 NS USD 26411035.52000000 0.820138741586 Long EC CORP US N 1 N N N CMS Energy Corp. 549300IA9XFBAGNIBW29 CMS Energy Corp. 125896100 25594.00000000 NS USD 1571727.54000000 0.048806668174 Long EC CORP US N 1 N N N Alphabet, Inc. 5493006MHB84DD0ZWV18 Alphabet, Inc., Class A 02079K305 55558.00000000 NS USD 81425804.80000000 2.528505822151 Long EC CORP US N 1 N N N Wells Fargo & Co. PBLD0EJDB5FWOLXP3B76 Wells Fargo & Co. 949746101 485519.00000000 NS USD 11414551.69000000 0.354454714648 Long EC CORP US N 1 N N N McKesson Corp. 549300WZWOM80UCFSF54 McKesson Corp. 58155Q103 155883.00000000 NS USD 23215655.19000000 0.720912976631 Long EC CORP US N 1 N N N Hershey Co. (The) 21X2CX66SU2BR6QTAD08 Hershey Co. (The) 427866108 -22308.00000000 NS USD -3197628.72000000 -0.09929558394 Short EC CORP US N 1 N N N Progressive Corp. (The) 529900TACNVLY9DCR586 Progressive Corp. (The) 743315103 197447.00000000 NS USD 18692307.49000000 0.580449999039 Long EC CORP US N 1 N N N CenturyLink, Inc. 8M3THTGWLTYZVE6BBY25 CenturyLink, Inc. 156700106 -847894.00000000 NS USD -8555250.46000000 -0.26566517397 Short EC CORP US N 1 N N N Hess Corp. UASVRYNXNK17ULIGK870 Hess Corp. 42809H107 -190522.00000000 NS USD -7798065.46000000 -0.24215239831 Short EC CORP US N 1 N N N Amazon.com, Inc. ZXTILKJKG63JELOEG630 Amazon.com, Inc. 023135106 65882.00000000 NS USD 207444629.86000000 6.441753393331 Long EC CORP US N 1 N N N Electronic Arts, Inc. 549300O7A67PUEYKDL45 Electronic Arts, Inc. 285512109 83339.00000000 NS USD 10868238.99000000 0.337490131417 Long EC CORP US N 1 N N N KLA Corp. 549300H0BF5JCG96TJ81 KLA Corp. 482480100 31727.00000000 NS USD 6146788.98000000 0.190875506378 Long EC CORP US N 1 N N N Brown-Forman Corp. 549300873K3LXF7ARU34 Brown-Forman Corp., Class B 115637209 -22292.00000000 NS USD -1679033.44000000 -0.05213882551 Short EC CORP US N 1 N N N Intuit, Inc. VI90HBPH7XSFMB9E4M29 Intuit, Inc. 461202103 17453.00000000 NS USD 5693343.13000000 0.176794706384 Long EC CORP US N 1 N N N O'Reilly Automotive, Inc. 549300K2RLMQL149Q332 O'Reilly Automotive, Inc. 67103H107 109698.00000000 NS USD 50579553.84000000 1.570640863549 Long EC CORP US N 1 N N N Microsoft Corp. INR2EJN1ERAN0W5ZP974 Microsoft Corp. 594918104 1070755.00000000 NS USD 225211899.15000000 6.993478291278 Long EC CORP US N 1 N N N Procter & Gamble Co. (The) 2572IBTT8CCZW6AU4141 Procter & Gamble Co. (The) 742718109 438046.00000000 NS USD 60884013.54000000 1.890624023796 Long EC CORP US N 1 N N N Alphabet, Inc. 5493006MHB84DD0ZWV18 Alphabet, Inc., Class C 02079K107 27530.00000000 NS USD 40458088.00000000 1.256340189850 Long EC CORP US N 1 N N N Acuity Brands, Inc. N/A Acuity Brands, Inc. 00508Y102 -106044.00000000 NS USD -10853603.40000000 -0.33703565418 Short EC CORP US N 1 N N N 2020-10-30 JPMorgan Trust I Timothy J. Clemens Timothy J. Clemens Treasurer and Principal Financial Officer XXXX NPORT-EX 2 HG_USLCCP.htm HTML

JPMorgan U.S. Large Cap Core Plus Fund

SCHEDULE OF PORTFOLIO INVESTMENTS

AS OF SEPTEMBER 30, 2020 (Unaudited)

 

Investments

   Shares (000)      Value ($000)  

LONG POSITIONS — 125.0%

 

COMMON STOCKS — 124.7%

 

Aerospace & Defense — 2.0%

 

Northrop Grumman Corp. (a)

     126        39,664  

Raytheon Technologies Corp.

     419        24,090  
     

 

 

 
        63,754  
     

 

 

 

Air Freight & Logistics — 0.1%

     

FedEx Corp.

     18        4,643  
     

 

 

 

Auto Components — 0.7%

     

Aptiv plc

     54        4,920  

BorgWarner, Inc.

     145        5,623  

Magna International, Inc. (Canada)

     250        11,455  
     

 

 

 
        21,998  
     

 

 

 

Banks — 2.4%

     

Bank of America Corp. (a)

     623        15,011  

Citigroup, Inc.

     104        4,499  

First Republic Bank

     117        12,779  

SVB Financial Group  *

     47        11,202  

Truist Financial Corp.

     608        23,127  

Wells Fargo & Co.

     486        11,415  
     

 

 

 
        78,033  
     

 

 

 

Beverages — 1.9%

     

Coca-Cola Co. (The) (a)

     601        29,692  

Constellation Brands, Inc., Class A

     17        3,260  

PepsiCo, Inc. (a)

     195        27,047  
     

 

 

 
        59,999  
     

 

 

 

Biotechnology — 3.4%

     

AbbVie, Inc.

     486        42,557  

Alexion Pharmaceuticals, Inc. *

     123        14,030  

Amgen, Inc.

     59        14,877  

Biogen, Inc. *

     70        19,946  

Regeneron Pharmaceuticals, Inc. *

     9        5,123  

Vertex Pharmaceuticals, Inc. *

     50        13,729  
     

 

 

 
        110,262  
     

 

 

 

Building Products — 1.7%

     

Masco Corp.

     135        7,456  

Trane Technologies plc

     389        47,214  
     

 

 

 
        54,670  
     

 

 

 

Capital Markets — 2.1%

     

BlackRock, Inc. (a)

     33        18,823  

Morgan Stanley (a)

     769        37,166  

State Street Corp.

     207        12,296  
     

 

 

 
        68,285  
     

 

 

 

Chemicals — 4.3%

     

Air Products and Chemicals, Inc.

     124        36,938  

Celanese Corp.

     162        17,429  

DuPont de Nemours, Inc.

     56        3,117  

Eastman Chemical Co.

     139        10,891  

FMC Corp.

     228        24,180  

Linde plc (United Kingdom)

     192        45,605  
     

 

 

 
        138,160  
     

 

 

 

Consumer Finance — 1.0%

     

American Express Co.

     130        12,996  

Capital One Financial Corp.

     273        19,616  
     

 

 

 
        32,612  
     

 

 

 

Diversified Financial Services — 0.4%

     

Voya Financial, Inc.

     266        12,739  
     

 

 

 

Diversified Telecommunication Services — 0.5%

     

Verizon Communications, Inc.

     253        15,042  
     

 

 

 

Electric Utilities — 3.5%

     

Entergy Corp.

     146        14,398  

NextEra Energy, Inc. (a)

     224        62,256  

Xcel Energy, Inc.

     512        35,337  
     

 

 

 
        111,991  
     

 

 

 

Electrical Equipment — 1.0%

     

AMETEK, Inc.

     100        9,923  

Eaton Corp. plc

     202        20,581  

Sensata Technologies Holding plc *

     72        3,099  
     

 

 

 
        33,603  
     

 

 

 

Electronic Equipment, Instruments & Components — 0.2%

     

TE Connectivity Ltd.

     64        6,294  
     

 

 

 

Energy Equipment & Services — 0.1%

     

Baker Hughes Co.

     219        2,914  
     

 

 

 

Entertainment — 2.4%

     

Electronic Arts, Inc. *

     83        10,868  

Netflix, Inc. * (a)

     115        57,484  

Warner Music Group Corp., Class A

     334        9,608  
     

 

 

 
        77,960  
     

 

 

 

Equity Real Estate Investment Trusts (REITs) — 4.1%

     

Brixmor Property Group, Inc.

     469        5,479  

Camden Property Trust

     37        3,306  

Equinix, Inc.

     19        14,211  

Equity LifeStyle Properties, Inc.

     187        11,449  

JBG SMITH Properties

     65        1,751  

Kimco Realty Corp.

     133        1,501  

Prologis, Inc.

     372        37,405  

Realty Income Corp.

     96        5,839  

SBA Communications Corp.

     68        21,805  

UDR, Inc.

     47        1,523  

Ventas, Inc.

     472        19,797  

WP Carey, Inc.

     111        7,219  
     

 

 

 
        131,285  
     

 

 

 

Food & Staples Retailing — 0.6%

     

Albertsons Cos., Inc., Class A *

     457        6,323  

Costco Wholesale Corp.

     36        12,603  
     

 

 

 
        18,926  
     

 

 

 

Food Products — 0.7%

     

Conagra Brands, Inc.

     134        4,795  

Mondelez International, Inc., Class A (a)

     322        18,477  
     

 

 

 
        23,272  
     

 

 

 

Health Care Equipment & Supplies — 3.4%

     

Baxter International, Inc.

     245        19,717  

Boston Scientific Corp. * (a)

     899        34,343  

Intuitive Surgical, Inc. *

     11        8,084  

Medtronic plc

     65        6,740  

Zimmer Biomet Holdings, Inc. (a)

     299        40,729  
     

 

 

 
        109,613  
     

 

 

 


JPMorgan U.S. Large Cap Core Plus Fund

SCHEDULE OF PORTFOLIO INVESTMENTS

AS OF SEPTEMBER 30, 2020 (Unaudited) (continued)

 

Investments

   Shares (000)      Value ($000)  

Health Care Providers & Services — 3.5%

 

Centene Corp. *

     68        3,953  

Cigna Corp. (a)

     243        41,244  

HCA Healthcare, Inc.

     31        3,867  

McKesson Corp.

     156        23,216  

UnitedHealth Group, Inc. (a)

     135        41,964  
     

 

 

 
        114,244  
     

 

 

 

Hotels, Restaurants & Leisure — 1.8%

     

Choice Hotels International, Inc.

     17        1,487  

Hilton Worldwide Holdings, Inc.

     40        3,380  

Las Vegas Sands Corp.

     246        11,469  

McDonald’s Corp.

     38        8,356  

Yum! Brands, Inc.

     354        32,323  
     

 

 

 
        57,015  
     

 

 

 

Household Durables — 0.8%

     

KB Home

     161        6,171  

Lennar Corp., Class A

     178        14,501  

Toll Brothers, Inc.

     129        6,295  
     

 

 

 
        26,967  
     

 

 

 

Household Products — 2.0%

     

Kimberly-Clark Corp.

     21        3,117  

Procter & Gamble Co. (The)

     438        60,884  
     

 

 

 
        64,001  
     

 

 

 

Industrial Conglomerates — 1.3%

     

Honeywell International, Inc. (a)

     249        41,044  
     

 

 

 

Insurance — 1.8%

     

Arthur J Gallagher & Co.

     116        12,243  

Chubb Ltd.

     153        17,808  

Marsh & McLennan Cos., Inc.

     80        9,224  

Progressive Corp. (The)

     197        18,692  
     

 

 

 
        57,967  
     

 

 

 

Interactive Media & Services — 5.6%

     

Alphabet, Inc., Class A * (a)

     56        81,426  

Alphabet, Inc., Class C * (a)

     28        40,458  

Facebook, Inc., Class A * (a)

     225        59,025  
     

 

 

 
        180,909  
     

 

 

 

Internet & Direct Marketing Retail — 7.1%

     

Amazon.com, Inc. * (a)

     66        207,444  

Booking Holdings, Inc. *

     13        21,618  
     

 

 

 
        229,062  
     

 

 

 

IT Services — 9.3%

     

Booz Allen Hamilton Holding Corp.

     72        6,004  

Fidelity National Information Services, Inc.

     236        34,676  

Fiserv, Inc. * (a)

     370        38,083  

FleetCor Technologies, Inc. *

     58        13,920  

Leidos Holdings, Inc.

     366        32,662  

Mastercard, Inc., Class A (a)

     243        82,211  

PayPal Holdings, Inc. *

     346        68,154  

WEX, Inc. *

     177        24,660  
     

 

 

 
        300,370  
     

 

 

 

Life Sciences Tools & Services — 1.8%

     

Thermo Fisher Scientific, Inc.

     129        56,819  
     

 

 

 

Machinery — 2.3%

     

Parker-Hannifin Corp.

     131        26,411  

Stanley Black & Decker, Inc.

     298        48,385  
     

 

 

 
        74,796  
     

 

 

 

Media — 2.8%

     

Charter Communications, Inc., Class A * (a)

     60        37,153  

Comcast Corp., Class A (a)

     776        35,898  

Discovery, Inc., Class A *

     860        18,715  
     

 

 

 
        91,766  
     

 

 

 

Multiline Retail — 0.4%

     

Dollar Tree, Inc. *

     129        11,752  
     

 

 

 

Multi-Utilities — 0.2%

     

CMS Energy Corp.

     26        1,572  

Public Service Enterprise Group, Inc.

     70        3,853  
     

 

 

 
        5,425  
     

 

 

 

Oil, Gas & Consumable Fuels — 3.0%

     

Cheniere Energy, Inc. *

     37        1,714  

Chevron Corp.

     395        28,422  

Diamondback Energy, Inc.

     665        20,020  

Kinder Morgan, Inc.

     464        5,721  

Parsley Energy, Inc., Class A

     490        4,586  

Pioneer Natural Resources Co. (a)

     178        15,298  

TC Energy Corp. (Canada)

     200        8,395  

Williams Cos., Inc. (The)

     708        13,903  
     

 

 

 
        98,059  
     

 

 

 

Personal Products — 0.4%

     

Estee Lauder Cos., Inc. (The), Class A

     63        13,641  
     

 

 

 

Pharmaceuticals — 3.9%

     

Bristol-Myers Squibb Co. (a)

     664        40,011  

Elanco Animal Health, Inc. *

     196        5,470  

Eli Lilly and Co.

     245        36,200  

Johnson & Johnson

     88        13,133  

Merck & Co., Inc.

     365        30,293  
     

 

 

 
        125,107  
     

 

 

 

Road & Rail — 4.1%

     

Canadian Pacific Railway Ltd. (Canada)

     22        6,786  

CSX Corp.

     240        18,626  

Lyft, Inc., Class A *

     677        18,664  

Norfolk Southern Corp. (a)

     276        59,081  

Uber Technologies, Inc. *

     89        3,249  

Union Pacific Corp. (a)

     126        24,752  
     

 

 

 
        131,158  
     

 

 

 

Semiconductors & Semiconductor Equipment — 10.0%

     

Advanced Micro Devices, Inc. *

     417        34,186  

Analog Devices, Inc. (a)

     357        41,625  

Applied Materials, Inc.

     24        1,423  

ASML Holding NV (Registered), NYRS (Netherlands)

     56        20,815  

KLA Corp.

     32        6,147  

Lam Research Corp.

     98        32,445  

Microchip Technology, Inc.

     30        3,054  

Micron Technology, Inc. *

     176        8,256  

NVIDIA Corp. (a)

     77        41,877  

NXP Semiconductors NV (Netherlands)

     426        53,121  


JPMorgan U.S. Large Cap Core Plus Fund

SCHEDULE OF PORTFOLIO INVESTMENTS

AS OF SEPTEMBER 30, 2020 (Unaudited) (continued)

 

Investments

   Shares (000)     Value ($000)  

ON Semiconductor Corp. *

     171       3,719  

Qorvo, Inc. *

     30       3,838  

Taiwan Semiconductor Manufacturing Co. Ltd., ADR (Taiwan)

     322       26,076  

Texas Instruments, Inc. (a)

     327       46,696  
    

 

 

 
       323,278  
    

 

 

 

Software — 12.0%

    

Ceridian HCM Holding, Inc. *

     280       23,158  

Coupa Software, Inc. *

     10       2,852  

Intuit, Inc.

     16       5,300  

Microsoft Corp. (a)

     1,079       226,882  

Paylocity Holding Corp. *

     131       21,144  

salesforce.com, Inc.* (a)

     274       68,790  

ServiceNow, Inc. *

     20       9,841  

Workday, Inc., Class A *

     112       24,159  
    

 

 

 
       382,126  
    

 

 

 

Specialty Retail — 5.9%

    

AutoZone, Inc.* (a)

     12       14,541  

Best Buy Co., Inc.

     189       21,037  

Home Depot, Inc. (The) (a)

     135       37,477  

Lowe’s Cos., Inc.

     318       52,757  

O’Reilly Automotive, Inc. *

     110       50,580  

TJX Cos., Inc. (The)

     268       14,914  
    

 

 

 
       191,306  
    

 

 

 

Technology Hardware, Storage & Peripherals — 5.7%

    

Apple, Inc. (a)

     1,584       183,386  
    

 

 

 

Textiles, Apparel & Luxury Goods — 0.5%

    

NIKE, Inc., Class B

     122       15,341  
    

 

 

 

Tobacco — 0.7%

    

Altria Group, Inc.

     299       11,539  

Philip Morris International, Inc.

     153       11,454  
    

 

 

 
       22,993  
    

 

 

 

Trading Companies & Distributors — 0.1%

    

WW Grainger, Inc.

     9       3,240  
    

 

 

 

Wireless Telecommunication Services — 1.2%

    

T-Mobile US, Inc. *

     328       37,471  
    

 

 

 

TOTAL COMMON STOCKS

(Cost $2,354,386)

       4,015,298  
    

 

 

 

SHORT-TERM INVESTMENTS — 0.3%

    

INVESTMENT COMPANIES — 0.3%

    

JPMorgan Prime Money Market Fund Class IM Shares, 0.23% (b) (c)

(Cost $10,392)

     10,385       10,392  
    

 

 

 

TOTAL LONG POSITIONS

(Cost $2,364,778)

       4,025,690  
    

 

 

 

SHORT POSITIONS — (25.1)%

    

COMMON STOCKS — (25.1)%

    

Aerospace & Defense — (0.6)%

    

Boeing Co. (The)

     (29     (4,817

HEICO Corp.

     (48     (5,022

Huntington Ingalls Industries, Inc.

     (22     (3,059

Lockheed Martin Corp.

     (11     (4,389

TransDigm Group, Inc.

     (7     (3,542
    

 

 

 
       (20,829
    

 

 

 

Air Freight & Logistics — (0.6)%

    

CH Robinson Worldwide, Inc.

     (113     (11,515

Expeditors International of Washington, Inc.

     (75     (6,820
    

 

 

 
       (18,335
    

 

 

 

Automobiles — (0.2)%

    

Ford Motor Co.

     (929     (6,184 ) 
    

 

 

 

Banks — (0.5)%

    

BancorpSouth Bank

     (134     (2,603

Bank of Hawaii Corp.

     (60     (3,039

Commerce Bancshares, Inc.

     (159     (8,954
    

 

 

 
       (14,596
    

 

 

 

Beverages — (0.1)%

    

Brown-Forman Corp., Class B

     (22     (1,679 ) 
    

 

 

 

Biotechnology — (0.4)%

    

Gilead Sciences, Inc.

     (196     (12,394 ) 
    

 

 

 

Building Products — (0.1)%

    

Johnson Controls International plc

     (85     (3,486 ) 
    

 

 

 

Capital Markets — (0.6)%

    

Franklin Resources, Inc.

     (397     (8,070

Nasdaq, Inc.

     (51     (6,199

Northern Trust Corp.

     (82     (6,405
    

 

 

 
       (20,674
    

 

 

 

Chemicals — (0.3)%

    

Albemarle Corp.

     (104     (9,297 ) 
    

 

 

 

Commercial Services & Supplies — (0.1)%

    

Republic Services, Inc.

     (34     (3,160 ) 
    

 

 

 

Communications Equipment — (1.0)%

    

Cisco Systems, Inc.

     (588     (23,179

Juniper Networks, Inc.

     (378     (8,136
    

 

 

 
       (31,315
    

 

 

 

Construction Materials — (0.2)%

    

Martin Marietta Materials, Inc.

     (13     (3,127

Vulcan Materials Co.

     (23     (3,121
    

 

 

 
       (6,248
    

 

 

 

Containers & Packaging — (0.8)%

    

Avery Dennison Corp.

     (13     (1,617

Ball Corp.

     (91     (7,565

International Paper Co.

     (289     (11,714

Sonoco Products Co.

     (115     (5,865
    

 

 

 
       (26,761
    

 

 

 


JPMorgan U.S. Large Cap Core Plus Fund

SCHEDULE OF PORTFOLIO INVESTMENTS

AS OF SEPTEMBER 30, 2020 (Unaudited) (continued)

 

Investments

   Shares (000)     Value ($000)  

Diversified Telecommunication Services — (0.7)%

 

AT&T, Inc.

     (531     (15,136

CenturyLink, Inc.

     (848     (8,555
    

 

 

 
       (23,691
    

 

 

 

Electric Utilities — (0.4)%

    

Duke Energy Corp.

     (39     (3,436

Southern Co. (The)

     (186     (10,067
    

 

 

 
       (13,503
    

 

 

 

Electrical Equipment — (0.3)%

    

Acuity Brands, Inc.

     (106     (10,854 ) 
    

 

 

 

Electronic Equipment, Instruments & Components — (0.2)%

    

Cognex Corp.

     (102     (6,644 ) 
    

 

 

 

Energy Equipment & Services — (0.4)%

    

Halliburton Co.

     (605     (7,285

Schlumberger NV

     (409     (6,369
    

 

 

 
       (13,654
    

 

 

 

Entertainment — (1.4)%

    

Spotify Technology SA *

     (51     (12,397

Take-Two Interactive Software, Inc. *

     (85     (14,085

Walt Disney Co. (The)

     (140     (17,412
    

 

 

 
       (43,894
    

 

 

 

Equity Real Estate Investment Trusts (REITs) — (1.7)%

    

Duke Realty Corp.

     (82     (3,039

Equity Residential

     (85     (4,364

Essex Property Trust, Inc.

     (22     (4,430

Extra Space Storage, Inc.

     (69     (7,397

Iron Mountain, Inc.

     (365     (9,783

National Retail Properties, Inc.

     (154     (5,329

Simon Property Group, Inc.

     (150     (9,732

Vornado Realty Trust

     (130     (4,382

Welltower, Inc.

     (58     (3,184
    

 

 

 
       (51,640
    

 

 

 

Food & Staples Retailing — (1.0)%

    

Kroger Co. (The)

     (428     (14,500

Sysco Corp.

     (108     (6,707

Walgreens Boots Alliance, Inc.

     (117     (4,198

Walmart, Inc.

     (40     (5,535
    

 

 

 
       (30,940
    

 

 

 

Food Products — (0.6)%

    

Campbell Soup Co.

     (198     (9,580

General Mills, Inc.

     (65     (4,030

Hershey Co. (The)

     (22     (3,198

Kellogg Co.

     (60     (3,882
    

 

 

 
       (20,690
    

 

 

 

Health Care Equipment & Supplies — (0.4)%

    

Dentsply Sirona, Inc.

     (32     (1,393

Stryker Corp.

     (60     (12,403
    

 

 

 
       (13,796 ) 
    

 

 

 

Health Care Providers & Services — (0.6)%

    

AmerisourceBergen Corp.

     (93     (9,025

Henry Schein, Inc. *

     (168     (9,893
    

 

 

 
       (18,918
    

 

 

 

Health Care Technology — (0.3)%

    

Cerner Corp.

     (146     (10,537 ) 
    

 

 

 

Hotels, Restaurants & Leisure — (0.8)%

    

Chipotle Mexican Grill, Inc. *

     (5     (5,668

Darden Restaurants, Inc.

     (82     (8,234

Starbucks Corp.

     (142     (12,226
    

 

 

 
       (26,128
    

 

 

 

Household Products — (0.6)%

    

Clorox Co. (The)

     (99     (20,826 ) 
    

 

 

 

Industrial Conglomerates — (0.8)%

    

3M Co.

     (88     (14,125

General Electric Co.

     (1,964     (12,237
    

 

 

 
       (26,362
    

 

 

 

Insurance — (0.8)%

    

Allstate Corp. (The)

     (64     (6,024

Aon plc, Class A

     (21     (4,423

Axis Capital Holdings Ltd.

     (40     (1,745

MetLife, Inc.

     (40     (1,504

Principal Financial Group, Inc.

     (73     (2,957

Travelers Cos., Inc. (The)

     (80     (8,627
    

 

 

 
       (25,280
    

 

 

 

Interactive Media & Services — (0.2)%

    

Twitter, Inc. *

     (171     (7,628 ) 
    

 

 

 

Internet & Direct Marketing Retail — 0.0% (d)

    

eBay, Inc.

     (30     (1,540 ) 
    

 

 

 

IT Services — (1.1)%

    

Accenture plc, Class A

     (14     (3,172

Infosys Ltd., ADR (India)

     (153     (2,114

Jack Henry & Associates, Inc.

     (33     (5,419

Paychex, Inc.

     (161     (12,804

Western Union Co. (The)

     (593     (12,718
    

 

 

 
       (36,227
    

 

 

 

Life Sciences Tools & Services — (0.2)%

    

Waters Corp. *

     (34     (6,706 ) 
    

 

 

 

Machinery — (0.8)%

    

Caterpillar, Inc.

     (74     (11,092

Illinois Tool Works, Inc.

     (68     (13,110

PACCAR, Inc.

     (22     (1,845
    

 

 

 
       (26,047
    

 

 

 

Media — (0.9)%

    

Fox Corp., Class A

     (140     (3,886

Interpublic Group of Cos., Inc. (The)

     (125     (2,083

Omnicom Group, Inc.

     (156     (7,745

Sirius XM Holdings, Inc.

     (730     (3,912

ViacomCBS, Inc.

     (411     (11,509
    

 

 

 
       (29,135
    

 

 

 

Multiline Retail — (0.5)%

    

Kohl’s Corp.

     (218     (4,042

Macy’s, Inc.

     (848     (4,834

Nordstrom, Inc.

     (378     (4,508

Target Corp.

     (24     (3,769
    

 

 

 
       (17,153
    

 

 

 


JPMorgan U.S. Large Cap Core Plus Fund

SCHEDULE OF PORTFOLIO INVESTMENTS

AS OF SEPTEMBER 30, 2020 (Unaudited) (continued)

 

Investments

   Shares (000)     Value ($000)  

Multi-Utilities — (0.4)%

 

Consolidated Edison, Inc.

     (134     (10,447

NiSource, Inc.

     (128     (2,815
    

 

 

 
       (13,262
    

 

 

 

Oil, Gas & Consumable Fuels — (1.5)%

    

Apache Corp.

     (426     (4,033

Devon Energy Corp.

     (178     (1,686

Enbridge, Inc. (Canada)

     (405     (11,825

Exxon Mobil Corp.

     (214     (7,344

Hess Corp.

     (191     (7,797

HollyFrontier Corp.

     (136     (2,679

Marathon Oil Corp.

     (642     (2,626

Occidental Petroleum Corp.

     (473     (4,738

Valero Energy Corp.

     (30     (1,317
    

 

 

 
       (44,045
    

 

 

 

Professional Services — (0.4)%

    

Robert Half International, Inc.

     (219     (11,570 ) 
    

 

 

 

Road & Rail — (0.5)%

    

Canadian National Railway Co. (Canada)

     (48     (5,098

JB Hunt Transport Services, Inc.

     (65     (8,159

Werner Enterprises, Inc.

     (34     (1,428
    

 

 

 
       (14,685
    

 

 

 

Semiconductors & Semiconductor Equipment — (0.7)%

    

Broadcom, Inc.

     (37     (13,503

Intel Corp.

     (129     (6,669

QUALCOMM, Inc.

     (14     (1,652
    

 

 

 
       (21,824
    

 

 

 

Software — (0.5)%

    

Adobe, Inc. *

     (15     (7,310

Oracle Corp.

     (49     (2,907

Splunk, Inc. *

     (38     (7,143
    

 

 

 
       (17,360
    

 

 

 

Specialty Retail — (0.1)%

    

Ulta Beauty, Inc. *

     (17     (3,847 ) 
    

 

 

 

Technology Hardware, Storage & Peripherals — (0.6)%

    

HP, Inc.

     (350     (6,641

NetApp, Inc.

     (221     (9,698

Xerox Holdings Corp.

     (151     (2,842
    

 

 

 
       (19,181
    

 

 

 

Trading Companies & Distributors — (0.2)%

    

Fastenal Co.

     (100     (4,502

HD Supply Holdings, Inc. *

     (39     (1,588
    

 

 

 
       (6,090
    

 

 

 
TOTAL COMMON STOCKS
(Proceeds $(870,041))

 

    (808,615
    

 

 

 
TOTAL SHORT POSITIONS
(Proceeds $(870,041))

 

    (808,615
    

 

 

 
Total Investments — 99.9%
(Cost $1,494,737)

 

    3,217,075  

Other Assets Less Liabilities — 0.1%

 

    2,859  
    

 

 

 

Net Assets — 100.0%

 

    3,219,934  
    

 

 

 

 

Percentages indicated are based on net assets.


JPMorgan U.S. Large Cap Core Plus Fund

SCHEDULE OF PORTFOLIO INVESTMENTS

AS OF SEPTEMBER 30, 2020 (Unaudited) (continued)

 

Abbreviations
ADR    American Depositary Receipt
NYRS    New York Registry Shares

 

(a)

All or a portion of this security is segregated as collateral for short sales. The total value of securities segregated as collateral is approximately $1,094,373,000.

(b)

Investment in an affiliated fund, which is registered under the Investment Company Act of 1940, as amended, and is advised by J.P. Morgan Investment Management Inc.

(c)

The rate shown is the current yield as of September 30, 2020.

(d)

Amount rounds to less than 0.1% of net assets.

*

Non-income producing security.

A. Valuation of Investments – Investments are valued in accordance with U.S. generally accepted accounting principles (“GAAP”) and the Fund’s valuation policies set forth by, and under the supervision and responsibility of, the Board of Trustees of the Trust (the “Board”), which established the following approach to valuation, as described more fully below: (i) investments for which market quotations are readily available shall be valued at their market value and (ii) all other investments for which market quotations are not readily available shall be valued at their fair value as determined in good faith by the Board.

J.P. Morgan Investment Management Inc. (the “Administrator”) has established the J.P. Morgan Asset Management Americas Valuation Committee (“AVC”) to assist the Board with the oversight and monitoring of the valuation of the Fund’s investments. The Administrator implements the valuation policies of the Fund’s investments, as directed by the Board. The AVC oversees and carries out the policies for the valuation of investments held in the Fund. This includes monitoring the appropriateness of fair values based on results of ongoing valuation oversight including, but not limited to, consideration of macro or security specific events, market events, and pricing vendor and broker due diligence. The Administrator is responsible for discussing and assessing the potential impacts to the fair values on an ongoing basis, and, at least on a quarterly basis, with the AVC and the Board.

Equities and other exchange-traded instruments are valued at the last sale price or official market closing price on the primary exchange on which the instrument is traded before the net asset values (“NAV”) of the Fund are calculated on a valuation date.

Investments in open-end investment companies (“Underlying Funds”) are valued at each Underlying Fund’s NAV per share as of the report date.

Valuations reflected in this report are as of the report date. As a result, changes in valuation due to market events and/or issuer-related events after the report date and prior to issuance of the report are not reflected herein.

The various inputs that are used in determining the valuation of the Fund’s investments are summarized into the three broad levels listed below.

 

 

Level 1 – Unadjusted inputs using quoted prices in active markets for identical investments.

 

 

Level 2 – Other significant observable inputs including, but not limited to, quoted prices for similar investments, inputs other than quoted prices that are observable for investments (such as interest rates, prepayment speeds, credit risk, etc.) or other market corroborated inputs.

 

 

Level 3 – Significant inputs based on the best information available in the circumstances, to the extent observable inputs are not available (including the Fund’s assumptions in determining the fair value of investments).

A financial instrument’s level within the fair value hierarchy is based on the lowest level of any input, both individually and in the aggregate, that is significant to the fair value measurement. The inputs or methodology used for valuing instruments are not necessarily an indication of the risk associated with investing in those instruments.

The following table represents each valuation input as presented on the Schedule of Portfolio Investments (“SOI”) (amounts in thousands):

 

     Level 1
Quoted prices
    Level 2
Other significant observable

inputs
     Level 3
Significant unobservable

inputs
     Total  

Total Investments in Securities (a)

   $ 4,025,690     $ —        $ —        $ 4,025,690  
  

 

 

   

 

 

    

 

 

    

 

 

 

Total Liabilities for Securities Sold Short (a)

   $ (808,615   $ —        $ —        $ (808,615
  

 

 

   

 

 

    

 

 

    

 

 

 

 

(a)

Please refer to the SOI for specifics of portfolio holdings.

B. Investment Transactions with Affiliates — The Fund invested in an Underlying Fund which is advised by the Adviser. An issuer which is under common control with the Fund may be considered an affiliate. The Fund assumes the issuer listed in the table below to be an affiliated issuer. The Underlying Fund’s distributions may be reinvested into the Underlying Fund. Reinvestment amounts are included in the purchase cost amount in the table below. Amounts in the table below are in thousands.

 

For the period ended September 30, 2020

 

Security Description

   Value at
June  30,
2020
     Purchases
at Cost
     Proceeds
from Sales
     Net Realized
Gain (Loss)
    Change in
Unrealized
Appreciation/
(Depreciation)
    Value at
September  30,
2020
     Shares at
September 30,
2020
     Dividend
Income
     Capital Gain
Distributions
 

JPMorgan Prime Money Market Fund Class IM Shares, 0.23% (a) (b)

   $ 35,661      $ 192,753      $ 218,018      $ —   (c)    $ (4   $ 10,392        10,385      $ 11      $ —    
  

 

 

    

 

 

    

 

 

    

 

 

   

 

 

   

 

 

       

 

 

    

 

 

 

 

(a)

Investment in an affiliated fund, which is registered under the Investment Company Act of 1940, as amended, and is advised by J.P. Morgan Investment Management Inc.

(b)

The rate shown is the current yield as of September 30, 2020.

(c)

Amount rounds to less than one thousand.