JPMorgan Funds - JPMorgan Institutional Trust Rule 10f-3 Transactions For the period from March 1, 2012 to August 31, 2012 The following securities were purchased pursuant to Rule 10f-3 and all requirements of the Rule 10f-3 Procedures of the Funds: Fund JPMorgan Core Bond Trust Trade Date 3/1/2012 Issuer Wells Fargo & Company (WFC 3.50% March 8, 2022) Cusip 94974BFC Bonds 850,000 Offering Price $99.782 Spread 0.45% Cost $848,147 Dealer Executing Trade Wells Fargo Advisors % of Offering purchased by firm 0.60% Syndicate Members Wells Fargo, Citigroup Global Markets, Credit Suisse, Goldman Sachs, JPMorgan, Morgan Stanley, Bank of Montreal, Barckays Capital, CastleOak Securites, CIBC World Markets, Deutsche Bank, HSBC, ING Fiancial Markets, Lloyds Securities, Loop Capital, nabSecurities, National Bank of Canada, RBC Capital, TD Securities, UBS Securities, Williams Capital Fund JPMorgan Core Bond Trust Trade Date 3/5/2012 Issuer Commonwealth Bank of Australia (CBAAU 2.25% March 16, 2017 144A) Cusip 20271AAB Bonds 1,080,000 Offering Price $99.929 Spread 0.30% Cost $1,079,233 Dealer Executing Trade Morgan Stanley and Company % of Offering purchased by firm 0.68% Syndicate Members Citigroup Global Markets, Commonwealth Bank of Austrailia, Goldman Sachs, JPMorgan, Morgan Stanley Fund JPMorgan Intermediate Bond Trust Trade Date 3/5/2012 Issuer Commonwealth Bank of Australia (CBAAU 2.25% March 16, 2017 144A) Cusip 20271AAB Bonds 250,000 Offering Price $99.929 Spread 0.30% Cost $249,823 Dealer Executing Trade Morgan Stanley and Company % of Offering purchased by firm 0.68% Syndicate Members Citigroup Global Markets, Commonwealth Bank of Austrailia, Goldman Sachs, JPMorgan, Morgan Stanley Fund JPMorgan Core Bond Trust Trade Date 3/5/2012 Issuer DIRECTV Holdings LLC and DIRECTV Financing Co (DTV 3.80% March 15, 2022 144A) Cusip 25459HBD Bonds 400,000 Offering Price $99.958 Spread 0.45% Cost $399,832 Dealer Executing Trade BofA Merrill Lynch % of Offering purchased by firm 0.57% Syndicate Members BankAmerica Merrill Lynch, Deutsche Bank, Goldman Sachs, Morgan Stanley, RBS Securities Fund JPMorgan Core Bond Trust Trade Date 3/5/2012 Issuer Philips Electronics NV (PHG 3.75% March 15, 2022) Cusip 500472AF Bonds 970,000 Offering Price $99.545 Spread 0.45% Cost $965,587 Dealer Executing Trade Deutsche Bank Securities % of Offering purchased by firm 1.87% Syndicate Members Deutsche Bank. HSBC Securities, JPMorgan Fund JPMorgan Intermediate Bond Trust Trade Date 3/5/2012 Issuer Philips Electronics NV (PHG 3.75% March 15, 2022) Cusip 500472AF Bonds 152,000 Offering Price $99.545 Spread 0.45% Cost $151,308 Dealer Executing Trade Deutsche Bank Securities % of Offering purchased by firm 1.87% Syndicate Members Deutsche Bank. HSBC Securities, JPMorgan Fund JPMorgan Core Bond Trust Trade Date 3/5/2012 Issuer PNC Funding Corp (PNC 3.30% March 8, 2022) Cusip 693476BN Bonds 659,000 Offering Price $99.444 Spread 0.45% Cost $655,336 Dealer Executing Trade Morgan Stanley and Company % of Offering purchased by firm 1.43% Syndicate Members JPMorgan, Morgan Stanley, PNC Capital, Citigroup Global Markets, Bank America Merrill Lynch, Sandler O'Neill & Partners Fund JPMorgan Core Bond Trust Trade Date 3/5/2012 Issuer Progress Energy Inc (PGN 3.15% April 1, 2022) Cusip 743263AS Bonds 673,000 Offering Price $99.631 Spread 0.65% Cost $670,517 Dealer Executing Trade Barclays Capital Inc. % of Offering purchased by firm 2.50% Syndicate Members Barclays Capital, Deutsche Bank, JPMorgan, BB&T Capital, Comerica Securities, Morgan Keegan, TD Securities, UBS Securities Fund JPMorgan Core Bond Trust Trade Date 3/7/2012 Issuer Phillips 66 (COP 4.30% April 1, 2022 144A) Cusip 718546AA Bonds 182,000 Offering Price $99.763 Spread 0.55% Cost $181,569 Dealer Executing Trade Credit Suisse Securities % of Offering purchased by firm 1.38% Syndicate Members Citigroup Global Markets, Credit Suisse, DNB Markets, JPMorgan, Bank America Merrill Lynch, Mitsubishi UFJ Securities, RBC Capital, RBS Securities, BNP Paribas, Deutsche Bank, Lloyds Securities, Mizuho Securities, PNC Capital, Scotia Capital, SMBC Nikko Capital Fund JPMorgan Core Bond Trust Trade Date 3/7/2012 Issuer Phillips 66 (COP 2.95% May 1, 2017 144A) Cusip 718546AG Bonds 314,000 Offering Price $99.982 Spread 0.48% Cost $313,943 Dealer Executing Trade Credit Suisse Securities % of Offering purchased by firm 1.33% Syndicate Members Citigroup Global Markets, Credit Suisse, DNB Markets, JPMorgan, Bank America Merrill Lynch, Mitsubishi UFJ Securities, RBC Capital, RBS Securities, BNP Paribas, Deutsche Bank, Lloyds Securities, Mizuho Securities, PNC Capital, Scotia Capital, SMBC Nikko Capital Fund JPMorgan Intermediate Bond Trust Trade Date 3/7/2012 Issuer Phillips 66 (COP 2.95% May 1, 2017 144A) Cusip 718546AG Bonds 43,000 Offering Price $99.982 Spread 0.48% Cost $42,992 Dealer Executing Trade Credit Suisse Securities % of Offering purchased by firm 1.33% Syndicate Members Citigroup Global Markets, Credit Suisse, DNB Markets, JPMorgan, Bank America Merrill Lynch, Mitsubishi UFJ Securities, RBC Capital, RBS Securities, BNP Paribas, Deutsche Bank, Lloyds Securities, Mizuho Securities, PNC Capital, Scotia Capital, SMBC Nikko Capital Fund JPMorgan Core Bond Trust Trade Date 3/8/2012 Issuer Simon Property Group L.P. (SPG 2.15% September 15, 2017) Cusip 828807CJ Bonds 917,000 Offering Price $99.814 Spread 0.35% Cost $915,294 Dealer Executing Trade UBS Securities LLC % of Offering purchased by firm 2.29% Syndicate Members Barclays Capital, Credit Sussie, JPMorgan, RBC Capital, RBS Securities, UBS Securities, Credit Agricole, Fifth Third Securities, Mitsubishi UFJ Securities, Morgan Keegan, Scotia Capital Fund JPMorgan Core Bond Trust Trade Date 3/8/2012 Issuer Xerox Corportion (XRX 2.95% March 15, 2017) Cusip 984121CF Bonds 196,000 Offering Price $99.875 Spread 0.60% Cost $195,755 Dealer Executing Trade BofA Merrill Lynch % of Offering purchased by firm 0.76% Syndicate Members BNP Paribas, Citigroup Global Markets, JPMorgan, Bank America Merrill Lynach, Credit Suisse, Goldman Sachs, HSBC Securities, Lloyds Securities, Mizuho Securities, UBS Securities Fund JPMorgan Intermediate Bond Trust Trade Date 3/8/2012 Issuer Xerox Corportion (XRX 2.95% March 15, 2017) Cusip 984121CF Bonds 39,000 Offering Price $99.875 Spread 0.60% Cost $38,951 Dealer Executing Trade BofA Merrill Lynch % of Offering purchased by firm 0.76% Syndicate Members BNP Paribas, Citigroup Global Markets, JPMorgan, Bank America Merrill Lynach, Credit Suisse, Goldman Sachs, HSBC Securities, Lloyds Securities, Mizuho Securities, UBS Securities Fund JPMorgan Core Bond Trust Trade Date 3/12/2012 Issuer ERAC USA Finance Company (ENTERP 5.625% March 15, 2042 144A) Cusip 26884TAE Bonds 1,013,000 Offering Price $98.716 Spread 0.88% Cost $999,993 Dealer Executing Trade RBS Securities Inc % of Offering purchased by firm 4.12% Syndicate Members Goldman Sachs, JPMorgan, RBC Capital, RBS Securities, Wells Fargo Fund JPMorgan Core Bond Trust Trade Date 3/12/2012 Issuer ERAC USA Finance Company (ENTERP 2.75% March 15, 2017 144A) Cusip 26884TAF Bonds 355,000 Offering Price $99.972 Spread 0.60% Cost $354,901 Dealer Executing Trade RBS Securities Inc % of Offering purchased by firm 1.52% Syndicate Members Goldman Sachs, JPMorgan, RBC Capital, RBS Securities, Wells Fargo Fund JPMorgan Intermediate Bond Trust Trade Date 3/12/2012 Issuer ERAC USA Finance Company (ENTERP 2.75% March 15, 2017 144A) Cusip 26884TAF Bonds 48,000 Offering Price $99.972 Spread 0.60% Cost $47,987 Dealer Executing Trade RBS Securities Inc % of Offering purchased by firm 1.52% Syndicate Members Goldman Sachs, JPMorgan, RBC Capital, RBS Securities, Wells Fargo Fund JPMorgan Core Bond Trust Trade Date 3/14/2012 Issuer Nordea Bank AB (NDASS 3.125% March 20, 2017 144A) Cusip 65557FAB Bonds 1,800,000 Offering Price $99.926 Spread 0.35% Cost $1,798,668 Dealer Executing Trade Goldman Sachs and Company % of Offering purchased by firm 1.76% Syndicate Members Bank America Merrill Lynch, Citigroup Global Markets, Goldman Sachs, JPMorgan Fund JPMorgan Intermediate Bond Trust Trade Date 3/14/2012 Issuer Nordea Bank AB (NDASS 3.125% March 20, 2017 144A) Cusip 65557FAB Bonds 300,000 Offering Price $99.926 Spread 0.35% Cost $299,778 Dealer Executing Trade Goldman Sachs and Company % of Offering purchased by firm 1.76% Syndicate Members Bank America Merrill Lynch, Citigroup Global Markets, Goldman Sachs, JPMorgan Fund JPMorgan Core Bond Trust Trade Date 3/14/2012 Issuer Santander Drive Auto Receivables Trust 2012-2 A2 (SDART 2012-2 A2 0.91% May 15, 2015) Cusip 80282VAB Bonds 786,000 Offering Price $99.992 Spread 0.17% Cost $785,939 Dealer Executing Trade Deutsche Bank Securities % of Offering purchased by firm 5.13% Syndicate Members Deutsche Bank, JPMorgan, Barclays Capital, Santander Fund JPMorgan Intermediate Bond Trust Trade Date 3/14/2012 Issuer Santander Drive Auto Receivables Trust 2012-2 A2 (SDART 2012-2 A2 0.91% May 15, 2015) Cusip 80282VAB Bonds 71,000 Offering Price $99.992 Spread 0.17% Cost $70,994 Dealer Executing Trade Deutsche Bank Securities % of Offering purchased by firm 5.13% Syndicate Members Deutsche Bank, JPMorgan, Barclays Capital, Santander Fund JPMorgan Core Bond Trust Trade Date 3/14/2012 Issuer Santander Drive Auto Receivables Trust 2012-2 A3 (SDART 2012-2 A3 1.22% December 15, 2015) Cusip 80282VAC Bonds 427,000 Offering Price $99.986 Spread 0.20% Cost $426,940 Dealer Executing Trade Deutsche Bank Securities % of Offering purchased by firm 5.68% Syndicate Members Deutsche Bank, JPMorgan, Barclays Capital, Santander Fund JPMorgan Intermediate Bond Trust Trade Date 3/14/2012 Issuer Santander Drive Auto Receivables Trust 2012-2 A3 (SDART 2012-2 A3 1.22% December 15, 2015) Cusip 80282VAC Bonds 53,000 Offering Price $99.986 Spread 0.20% Cost $52,993 Dealer Executing Trade Deutsche Bank Securities % of Offering purchased by firm 5.68% Syndicate Members Deutsche Bank, JPMorgan, Barclays Capital, Santander Fund JPMorgan Core Bond Trust Trade Date 3/30/2012 Issuer Weatherford International Ltd. (WFT 4.50% April 15, 2022) Cusip 94707VAC Bonds 311,000 Offering Price $99.855 Spread 0.65% Cost $310,549 Dealer Executing Trade Morgan Stanley and Company % of Offering purchased by firm 0.48% Syndicate Members Citigroup Global Markets, Deutsche bank, JPMorgan, Morgan Stanley, Barclays Capital, Credit Agricole, DNB Markets, Goldman Sachs, HSBC Securities, RBC Capital, RBS Securities, Mitusubishi UFJ Securities, Standard Chartered, SunTrust Robinson Humphrey, UBS Securities, UniCredit Capital, Wells Fargo Fund JPMorgan Intermediate Bond Trust Trade Date 3/30/2012 Issuer Weatherford International Ltd. (WFT 4.50% April 15, 2022) Cusip 94707VAC Bonds 33,000 Offering Price $99.855 Spread 0.65% Cost $32,952 Dealer Executing Trade Morgan Stanley and Company % of Offering purchased by firm 0.48% Syndicate Members Citigroup Global Markets, Deutsche bank, JPMorgan, Morgan Stanley, Barclays Capital, Credit Agricole, DNB Markets, Goldman Sachs, HSBC Securities, RBC Capital, RBS Securities, Mitusubishi UFJ Securities, Standard Chartered, SunTrust Robinson Humphrey, UBS Securities, UniCredit Capital, Wells Fargo Fund JPMorgan Core Bond Trust Trade Date 3/30/2012 Issuer Weatherford International Ltd. (WFT 5.95% April 15, 2042) Cusip 94707VAD Bonds 113,000 Offering Price $99.291 Spread 0.88% Cost $112,199 Dealer Executing Trade Morgan Stanley and Company % of Offering purchased by firm 0.42% Syndicate Members Citigroup Global Markets, Deutsche bank, JPMorgan, Morgan Stanley, Barclays Capital, Credit Agricole, DNB Markets, Goldman Sachs, HSBC Securities, RBC Capital, RBS Securities, Mitusubishi UFJ Securities, Standard Chartered, SunTrust Robinson Humphrey, UBS Securities, UniCredit Capital, Wells Fargo Fund JPMorgan Core Bond Trust Trade Date 4/3/2012 Issuer Apache Corporation (APA 3.25% April 15, 2022) Cusip 037411AZ Bonds 190,000 Offering Price $99.661 Spread 0.65% Cost $189,356 Dealer Executing Trade Goldman Sachs and Company % of Offering purchased by firm 0.42% Syndicate Members BMO Capital, Citigroup Global Markets, Deutsche bank, Goldman Sachs, JPMorgan, Mitsubishi UFJ Securities, RBC Capital, Credit Agricole. Fifth Third Securities, HSBC Securities, Morgan Stanley Fund JPMorgan Intermediate Bond Trust Trade Date 4/3/2012 Issuer Apache Corporation (APA 3.25% April 15, 2022) Cusip 037411AZ Bonds 57,000 Offering Price $99.661 Spread 0.65% Cost $56,807 Dealer Executing Trade Goldman Sachs and Company % of Offering purchased by firm 0.42% Syndicate Members BMO Capital, Citigroup Global Markets, Deutsche bank, Goldman Sachs, JPMorgan, Mitsubishi UFJ Securities, RBC Capital, Credit Agricole. Fifth Third Securities, HSBC Securities, Morgan Stanley Fund JPMorgan Core Bond Trust Trade Date 4/3/2012 Issuer Apache Corporation (APA 4.75% April 15, 2043) Cusip 037411BA Bonds 556,000 Offering Price $99.725 Spread 0.88% Cost $554,471 Dealer Executing Trade Citigroup Global Markets % of Offering purchased by firm 1.79% Syndicate Members Citigroup Global markets, Goldman Sachs, JPMorgan, Bank America Merrill Lynch, Royal Bank of Scotland, UBS Securities, Wells Fargo,Mizuho Securities, RBS Securities, SG Americas, Standard Chartered, TD Securities Fund JPMorgan Core Bond Trust Trade Date 4/11/2012 Issuer AmeriCredit Automobile Receivables Trust 2012-2 A3 (AMCAR 2012-2 A3 1.05% October 11, 2016) Cusip 03063WAC Bonds 123,000 Offering Price $99.990 Spread 0.35% Cost $122,988 Dealer Executing Trade Credit Suisse Securities % of Offering purchased by firm 4.30% Syndicate Members Credit Suisse, Royal Bank of Scotland, Barclays Capital, Deutsche Bank Fund JPMorgan Core Bond Trust Trade Date 4/11/2012 Issuer Bank of America Auto Trust 2012-1 A3 (BAAT 2012-1 A3 0.78% June 15, 2016) Cusip 06052YAC Bonds 589,000 Offering Price $99.996 Spread 0.27% Cost $588,979 Dealer Executing Trade BofA Merrill Lynch % of Offering purchased by firm 2.09% Syndicate Members Bank America Merrill Lynch, Citigroup Global Markets, Credit Suisse, JPMorgan Fund JPMorgan Core Bond Trust Trade Date 4/11/2012 Issuer Pacific Gas & Electric (PCG 4.45% April 15, 2042) Cusip 694308GZ Bonds 217,000 Offering Price $99.491 Spread 0.88% Cost $215,895 Dealer Executing Trade Wells Fargo Advisors % of Offering purchased by firm 2.46% Syndicate Members Goldman Sachs, JPMorgan, Loop Capital, Wells Fargo, BNY Mellon, MFR Securities, Mischler Financial Group, RBC Capital Fund JPMorgan Core Bond Trust Trade Date 4/16/2012 Issuer Lowe's Companies Inc (LOW 4.65% April 15, 2042) Cusip 548661CX Bonds 739,000 Offering Price $99.584 Spread 0.88% Cost $735,926 Dealer Executing Trade US Bancorp Investments % of Offering purchased by firm 4.00% Syndicate Members Goldman Sachs, US Bancorp, Wells Fargo, Bank America Merrill Lynch, JPMorgan, Stifel Nicolaus & Co, Australia & New Zealand Bank, BB&T Corp, BMO Capital, BNY Mellon, CastleOak Securities, CL King, PNC Capital RBS Securities, Williams Capital Fund JPMorgan Core Bond Trust Trade Date 4/18/2012 Issuer BMW Vehicle Lease Trust 2012-1 A3 (BMWLT 2012-1 A3 0.75% February 20, 2015) Cusip 05575BAC Bonds 622,000 Offering Price $99.984 Spread 0.25% Cost $621,902 Dealer Executing Trade Barclays Capital Inc % of Offering purchased by firm 3.91% Syndicate Members Barclays Capital, JPMorgan, Bank America Merrill Lynch, Credit Agricole Fund JPMorgan Core Bond Trust Trade Date 5/1/2012 Issuer Aetna Inc (AET 4.50% May 15, 2042) Cusip 00817YAJ Bonds 265,000 Offering Price $95.774 Spread 0.88% Cost $253,801 Dealer Executing Trade Citigroup Global Markets % of Offering purchased by firm 2.81% Syndicate Members Barclays Capital, Citigroup Global markets, Credit Suisse, Bank America Merrill Lynch, Goldman Sachs, JPMorgan, Morgan Stanley, RBS Securities, UBS Securities, US Bancorp, Wells Fargo, BNY Mellon, Fifth Third Securities, HSBC Securities, Mitsubishi UFJ Securities, PNC Capital, SunTrust Robinson Humphrey Fund JPMorgan Core Bond Trust Trade Date 5/2/2012 Issuer Wellpoint Inc (WLP 3.125% May 15, 2022) Cusip 94973VAX Bonds 615,000 Offering Price $99.488 Spread 0.65% Cost $611,851 Dealer Executing Trade BofA Merrill Lynch % of Offering purchased by firm 1.07% Syndicate Members Deutsche Bank, Goldman Sachs, Bank America Merrill Lynch, Barclys Capital, Citigroup Global Markets, Credit Suisse, Morgan Stanley, SunTrust Robinson Humphrey, UBS Securities, US Bancorp, Fifth Third Securities, Huntington Investment Co, Mizuho Securities, PNC Capital, SMBC Capital, Wells Fargo Fund JPMorgan Intermediate Bond Trust Trade Date 5/2/2012 Issuer Wellpoint Inc (WLP 3.125% May 15, 2022) Cusip 94973VAX Bonds 115,000 Offering Price $99.488 Spread 0.65% Cost $114,411 Dealer Executing Trade BofA Merrill Lynch % of Offering purchased by firm 1.07% Syndicate Members Deutsche Bank, Goldman Sachs, Bank America Merrill Lynch, Barclys Capital, Citigroup Global Markets, Credit Suisse, Morgan Stanley, SunTrust Robinson Humphrey, UBS Securities, US Bancorp, Fifth Third Securities, Huntington Investment Co, Mizuho Securities, PNC Capital, SMBC Capital, Wells Fargo Fund JPMorgan Core Bond Trust Trade Date 5/2/2012 Issuer Wellpoint Inc (WLP 4.625% May 15, 2042) Cusip 94973VAY Bonds 500,000 Offering Price $99.292 Spread 0.88% Cost $496,460 Dealer Executing Trade Deutsche Bank Securities % of Offering purchased by firm 1.39% Syndicate Members Deutsche Bank, Goldman Sachs, Bank America Merrill Lynch, Barclys Capital, Citigroup Global Markets, Credit Suisse, Morgan Stanley, SunTrust Robinson Humphrey, UBS Securities, US Bancorp, Fifth Third Securities, Huntington Investment Co, Mizuho Securities, PNC Capital, SMBC Capital, Wells Fargo Fund JPMorgan Core Bond Trust Trade Date 5/3/2012 Issuer ABB Finance USA Inc(ABBNVX 1.625% May 8, 2017) Cusip 00037BAA Bonds 226,000 Offering Price $99.300 Spread 0.35% Cost $224,418 Dealer Executing Trade Morgan Stanley and Company % of Offering purchased by firm 0.94% Syndicate Members Barclays Capital, BNP Paribas, Citigroup Global Markets, Credit Suisse, Goldman Sachs, HSBC Securities, JPMorgan, Bank America Merrill Lynch, Morgan Stanley, Nordea Bank, UBS Securities, Credit Agricole Securities, RBS Securities, SG Americas Securities, Skandinaviska Enskilda Banken, Svenska Handelsbanken Fund JPMorgan Intermediate Bond Trust Trade Date 5/3/2012 Issuer ABB Finance USA Inc(ABBNVX 1.625% May 8, 2017) Cusip 00037BAA Bonds 32,000 Offering Price $99.300 Spread 0.35% Cost $31,776 Dealer Executing Trade Morgan Stanley and Company % of Offering purchased by firm 0.94% Syndicate Members Barclays Capital, BNP Paribas, Citigroup Global Markets, Credit Suisse, Goldman Sachs, HSBC Securities, JPMorgan, Bank America Merrill Lynch, Morgan Stanley, Nordea Bank, UBS Securities, Credit Agricole Securities, RBS Securities, SG Americas Securities, Skandinaviska Enskilda Banken, Svenska Handelsbanken Fund JPMorgan Core Bond Trust Trade Date 5/3/2012 Issuer ABB Finance USA Inc(ABBNVX 2.875% May 8, 2022) Cusip 00037BAB Bonds 292,000 Offering Price $97.833 Spread 0.45% Cost $285,672 Dealer Executing Trade Goldman Sachs and Company % of Offering purchased by firm 0.52% Syndicate Members Barclays Capital, BNP Paribas, Citigroup Global Markets, Credit Suisse, Goldman Sachs, HSBC Securities, JPMorgan, Bank America Merrill Lynch, Morgan Stanley, Nordea Bank, UBS Securities, Credit Agricole Securities, RBS Securities, SG Americas Securities, Skandinaviska Enskilda Banken, Svenska Handelsbanken Fund JPMorgan Intermediate Bond Trust Trade Date 5/3/2012 Issuer ABB Finance USA Inc(ABBNVX 2.875% May 8, 2022) Cusip 00037BAB Bonds 41,000 Offering Price $97.833 Spread 0.45% Cost $40,112 Dealer Executing Trade Goldman Sachs and Company % of Offering purchased by firm 0.52% Syndicate Members Barclays Capital, BNP Paribas, Citigroup Global Markets, Credit Suisse, Goldman Sachs, HSBC Securities, JPMorgan, Bank America Merrill Lynch, Morgan Stanley, Nordea Bank, UBS Securities, Credit Agricole Securities, RBS Securities, SG Americas Securities, Skandinaviska Enskilda Banken, Svenska Handelsbanken Fund JPMorgan Core Bond Trust Trade Date 5/3/2012 Issuer ABB Finance USA Inc(ABBNVX 4.375% May 8, 2042) Cusip 00037BAC Bonds 145,000 Offering Price $96.865 Spread 0.88% Cost $140,454 Dealer Executing Trade BofA Merrill Lynch % of Offering purchased by firm 0.53% Syndicate Members Barclays Capital, BNP Paribas, Citigroup Global Markets, Credit Suisse, Goldman Sachs, HSBC Securities, JPMorgan, Bank America Merrill Lynch, Morgan Stanley, Nordea Bank, UBS Securities, Credit Agricole Securities, RBS Securities, SG Americas Securities, Skandinaviska Enskilda Banken, Svenska Handelsbanken Fund JPMorgan Intermediate Bond Trust Trade Date 5/7/2012 Issuer Devon Energy Corporation (DVN 1.875% May 15, 2017) Cusip 25179MAM Bonds 150,000 Offering Price $99.753 Spread 0.60% Cost $149,630 Dealer Executing Trade Morgan Stanley and Company % of Offering purchased by firm 3.08% Syndicate Members Barclays Capital, Goldman Sachs, Morgan Stanley, RBC Capital, RBS Securities, UBS Securities, BMO Capital Markets, Citigroup Global Markets, Credit Suisse, Deutsche Bank, JPMorgan, Bank America Merrill Lynch, Mitsubishi UFJ Securities, Nomura Securities, Scotia Capital, SG Americas Securities, US Bancorp, Wells Fargo Fund JPMorgan Core Bond Trust Trade Date 5/7/2012 Issuer Devon Energy Corporation (DVN 4.75% May 15, 2042) Cusip 25179MAN Bonds 522,000 Offering Price $99.115 Spread 0.88% Cost $517,380 Dealer Executing Trade Morgan Stanley and Company % of Offering purchased by firm 1.64% Syndicate Members Barclays Capital, Goldman Sachs, Morgan Stanley, RBC Capital, RBS Securities, UBS Securities, BMO Capital Markets, Citigroup Global Markets, Credit Suisse, Deutsche Bank, JPMorgan, Bank America Merrill Lynch, Mitsubishi UFJ Securities, Nomura Securities, Scotia Capital, SG Americas Securities, US Bancorp, Wells Fargo Fund JPMorgan Core Bond Trust Trade Date 5/7/2012 Issuer Devon Energy Corporation (DVN 3.25% May 15, 2022) Cusip 25179MAP Bonds 750,000 Offering Price $99.408 Spread 0.65% Cost $745,560 Dealer Executing Trade Goldman Sachs and Company % of Offering purchased by firm 2.07% Syndicate Members Barclays Capital, Goldman Sachs, Morgan Stanley, RBC Capital, RBS Securities, UBS Securities, BMO Capital Markets, Citigroup Global Markets, Credit Suisse, Deutsche Bank, JPMorgan, Bank America Merrill Lynch, Mitsubishi UFJ Securities, Nomura Securities, Scotia Capital, SG Americas Securities, US Bancorp, Wells Fargo Fund JPMorgan Core Bond Trust Trade Date 5/8/2012 Issuer Berkshire Hathaway Finance Corporation (BRK 3.00% May 15, 2022) Cusip 084664BT Bonds 233,000 Offering Price $99.231 Spread 0.43% Cost $231,208 Dealer Executing Trade Wells Fargo Advisors % of Offering purchased by firm 1.03% Syndicate Members Goldman Sachs, JPMorgan, Bank America Merrill Lynch, Wella Fargo Fund JPMorgan Core Bond Trust Trade Date 5/8/2012 Issuer Berkshire Hathaway Finance Corporation (BRK 4.40% May 15, 2042) Cusip 084664BU Bonds 494,000 Offering Price $98.719 Spread 0.75% Cost $487,672 Dealer Executing Trade Goldman Sachs and Company % of Offering purchased by firm 1.25% Syndicate Members Goldman Sachs, JPMorgan, Bank America Merrill Lynch, Wella Fargo Fund JPMorgan Intermediate Bond Trust Trade Date 5/8/2012 Issuer IBM Corporation (IBM 1.875% May 15, 2019) Cusip 459200HE Bonds 100,000 Offering Price $99.850 Spread 0.35% Cost $99,850 Dealer Executing Trade HSBC Securities % of Offering purchased by firm 2.08% Syndicate Members Barclays Capital, HSBC Securities, JPMorgan, RBS Securities, CIBC World Markets, Samuel A Ramirez & Co, TD Securities, UBS Securities Fund JPMorgan Core Bond Trust Trade Date 5/10/2012 Issuer Discovery Communications, LLC (DISCA 4.95% May 15, 2042) Cusip 25470DAG Bonds 319,000 Offering Price $99.228 Spread 0.88% Cost $316,537 Dealer Executing Trade BofA Merrill Lynch % of Offering purchased by firm 2.28% Syndicate Members Citigroup Global Markets, Credit Suisse, JPMorgan, Banl America Merrill Lynch, RBS Securities, BNP Paribas, Credit Agricole Securities, Goldman Sachs, Morgan Stanley, RBS Securities, Scotia Capital, SunTrust Robinson Humphrey, Wells Fargo Fund JPMorgan Core Bond Trust Trade Date 5/14/2012 Issuer Cameron International Corporation (CAM 1.60% April 30, 2015) Cusip 13342BAH Bonds 225,000 Offering Price $99.957 Spread 0.35% Cost $224,903 Dealer Executing Trade Citigroup Global Markets % of Offering purchased by firm 3.67% Syndicate Members Citigroup Global Markets, Credit Suisse, JPMorgan, Morgan Stanley, RBS Securities, DNB Markets, Mitsubish UFJ Securities, Standard Chartered Bank, UBS Securities, UniCredit Capital Markets Fund JPMorgan Core Bond Trust Trade Date 5/14/2012 Issuer Kellogg Company (K 1.75% May 17, 2017) Cusip 487836BH Bonds 365,000 Offering Price $99.458 Spread 0.35% Cost $363,022 Dealer Executing Trade Barclays Capital Inc % of Offering purchased by firm 1.12% Syndicate Members Barclays Capital, Citigroup Global Markets, JPMorgan, US Bancorp, Wells Fargo, Deutsche Bank, Goldman Sachs, Mitsubishi UFJ Securities, Mizuho Securities, Rabo Securities, SunTrust Robinson Humphrey Fund JPMorgan Core Bond Trust Trade Date 5/14/2012 Issuer Kellogg Company (K 3.125% May 17, 2022) Cusip 487836BJ Bonds 608,000 Offering Price $99.159 Spread 0.45% Cost $602,887 Dealer Executing Trade Barclays Capital Inc % of Offering purchased by firm 1.29% Syndicate Members Barclays Capital, Citigroup Global Markets, JPMorgan, US Bancorp, Wells Fargo, Deutsche Bank, Goldman Sachs, Mitsubishi UFJ Securities, Mizuho Securities, Rabo Securities, SunTrust Robinson Humphrey Fund JPMorgan Core Bond Trust Trade Date 5/15/2012 Issuer Tailsman Energy Inc. (TLMCN 5.50% May 15, 2042) Cusip 87425EAN Bonds 1,500,000 Offering Price $98.143 Spread 0.88% Cost $1,472,145 Dealer Executing Trade Citigroup Global Markets % of Offering purchased by firm 3.62% Syndicate Members Barclays Capital, BNP Paribas, Citigroup Global Markets, HSBC Securities, JPMorgan, Credit Suisse, Deutsche Bank, BNB Nor Markets, Godman Sachs, Bank America Merrill Lynch, Mizuho Securities, Morgan Stanley, RBS Securities Fund JPMorgan Core Bond Trust Trade Date 5/22/2012 Issuer BlackRock Inc (BLK 3.375% June 1, 2022) Cusip 09247XAJ Bonds 1,200,000 Offering Price $99.469 Spread 0.45% Cost $1,193,628 Dealer Executing Trade Citigroup Global Markets % of Offering purchased by firm 1.98% Syndicate Members Citigroup Global Markets, JPMorgan, Wells Fargo, Barclays Capital, Credit Suisse, Deutsche Bank, Bank America Merrill Lynch, Morgan Stanley, UBS Securities,Goldman Sachs, HSBC Securities, Mizuho Securities, RBS Securities, CastleOak Securities, Loop Capital, Muriel Siebert & Co, Samuel A Ramirez & Co, Williams Capital Fund JPMorgan Core Bond Trust Trade Date 5/24/2012 Issuer United Technologies Corporation (UTX 4.50% June 1, 2042) Cusip 913017BT Bonds 914,000 Offering Price $98.767 Spread 0.88% Cost $902,730 Dealer Executing Trade HSBC Securities % of Offering purchased by firm 1.64% Syndicate Members BNP Parbias, Citigroup Global Markets, Deutsche Bank, Goldman Sachs, HSBC Securities, JPMorgan, Bank America Merrill Lynch, RBS Securities, Banca Caboto, Barclays Capital, BMO Capital, BNY Mellon, China International Capital, Commerz Markets, Mitsubishi UFJ Securities, RBC Capital, Santander Investment Securities, SMBC Nikko Capital, Standard Chartered Bank, UniCredit Capital Markets, Williams Capital Fund JPMorgan Core Bond Trust Trade Date 5/24/2012 Issuer United Technologies Corporation (UTX 1.80% June 1, 2017) Cusip 913017BU Bonds 214,000 Offering Price $99.914 Spread 0.35% Cost $213,816 Dealer Executing Trade BofA Merrill Lynch % of Offering purchased by firm 1.39% Syndicate Members BNP Parbias, Citigroup Global Markets, Deutsche Bank, Goldman Sachs, HSBC Securities, JPMorgan, Bank America Merrill Lynch, RBS Securities, Banca Caboto, Barclays Capital, BMO Capital, BNY Mellon, China International Capital, Commerz Markets, Mitsubishi UFJ Securities, RBC Capital, Santander Investment Securities, SMBC Nikko Capital, Standard Chartered Bank, UniCredit Capital Markets, Williams Capital Fund JPMorgan Core Bond Trust Trade Date 5/24/2012 Issuer United Technologies Corporation (UTX 3.10% June 1, 2022) Cusip 913017BV Bonds 681,000 Offering Price $99.923 Spread 0.45% Cost $680,476 Dealer Executing Trade BofA Merrill Lynch % of Offering purchased by firm 0.62% Syndicate Members BNP Parbias, Citigroup Global Markets, Deutsche Bank, Goldman Sachs, HSBC Securities, JPMorgan, Bank America Merrill Lynch, RBS Securities, Banca Caboto, Barclays Capital, BMO Capital, BNY Mellon, China International Capital, Commerz Markets, Mitsubishi UFJ Securities, RBC Capital, Santander Investment Securities, SMBC Nikko Capital, Standard Chartered Bank, UniCredit Capital Markets, Williams Capital Fund JPMorgan Core Bond Trust Trade Date 5/30/2012 Issuer Kraft Foods Group Inc. (KFT 5.00% June 4, 2042 144A) Cusip 50076QAC Bonds 694,000 Offering Price $99.293 Spread 0.88% Cost $689,093 Dealer Executing Trade Barclays Capital Inc. % of Offering purchased by firm 0.87% Syndicate Members Barclays Capital, Citigroup Global Markets, Credit Suisse, Deutsche Bank, Goldman Sachs, HSBC Securities, JPMorgan, RBS Securities, Wells Fargo, Banco Bilbao Vizcaya Argentaria, BNP Paribas, Credit Agricole Securities, Bank America Merrill Lynch, Mitsubishi UFJ Securities, Mizuho Securities, RBC Capital, UBS Securities, US Bancorp, Blaylock Robert Van, Williams Capital Fund JPMorgan Core Bond Trust Trade Date 5/30/2012 Issuer Kraft Foods Group Inc. (KFT 3.50% June 6, 2022 144A) Cusip 50076QAF Bonds 814,000 Offering Price $99.100 Spread 0.45% Cost $806,674 Dealer Executing Trade RBS Securities Inc. % of Offering purchased by firm 0.97% Syndicate Members Barclays Capital, Citigroup Global Markets, Credit Suisse, Deutsche Bank, Goldman Sachs, HSBC Securities, JPMorgan, RBS Securities, Wells Fargo, Banco Bilbao Vizcaya Argentaria, BNP Paribas, Credit Agricole Securities, Bank America Merrill Lynch, Mitsubishi UFJ Securities, Mizuho Securities, RBC Capital, UBS Securities, US Bancorp, Blaylock Robert Van, Williams Capital Fund JPMorgan Core Bond Trust Trade Date 6/5/2012 Issuer Deere & Company (DE 2.60% June 8, 2022) Cusip 244199BE Bonds 819,000 Offering Price $99.746 Spread 0.45% Cost $816,920 Dealer Executing Trade BofA Merrill Lynch % of Offering purchased by firm 1.03% Syndicate Members Citigroup Global Markets, Deutsche bank, JPMorgan, Bank of America Merrill Lynch, Barclays Capital, BNP Paribas, BNY Mellon, Credit Suisse, Fifth Third Securities, Goldman Sachs, HSBC Securities, Mitsubishi UFJ Securities, Morgan Syanley, RBC Capital, Santander Investment Securities, Standard Chartered, TD Securities, US Bancorp, Wells Fargo Fund JPMorgan Intermediate Bond Trust Trade Date 6/5/2012 Issuer Deere & Company (DE 2.60% June 8, 2022) Cusip 244199BE Bonds 89,000 Offering Price $99.746 Spread 0.45% Cost $88,774 Dealer Executing Trade BofA Merrill Lynch % of Offering purchased by firm 1.03% Syndicate Members Citigroup Global Markets, Deutsche bank, JPMorgan, Bank of America Merrill Lynch, Barclays Capital, BNP Paribas, BNY Mellon, Credit Suisse, Fifth Third Securities, Goldman Sachs, HSBC Securities, Mitsubishi UFJ Securities, Morgan Syanley, RBC Capital, Santander Investment Securities, Standard Chartered, TD Securities, US Bancorp, Wells Fargo Fund JPMorgan Core Bond Trust Trade Date 6/5/2012 Issuer Deere & Company (DE 3.90% June 9, 2042) Cusip 244199BF Bonds 346,000 Offering Price $99.265 Spread 0.88% Cost $343,457 Dealer Executing Trade BofA Merrill Lynch % of Offering purchased by firm 2.26% Syndicate Members Citigroup Global Markets, Deutsche bank, JPMorgan, Bank of America Merrill Lynch, Barclays Capital, BNP Paribas, BNY Mellon, Credit Suisse, Fifth Third Securities, Goldman Sachs, HSBC Securities, Mitsubishi UFJ Securities, Morgan Syanley, RBC Capital, Santander Investment Securities, Standard Chartered, TD Securities, US Bancorp, Wells Fargo Fund JPMorgan Core Bond Trust Trade Date 6/6/2012 Issuer Union Pacific Corporation (UNP 4.30% June 15, 2042) Cusip 907818DL Bonds 200,000 Offering Price $99.882 Spread 0.88% Cost $199,764 Dealer Executing Trade Morgan Stanley and Company % of Offering purchased by firm 1.31% Syndicate Members Barclays Capital, Credit Suisse, Morgan Stanley, BNP Paribas, BNY Mellon, Citigroup Global Markets, JPMorgan, Loop Capital, Bank of America Merrill Lynch, Mitsubishi UFJ Securities, PNC Capital, RBS Securities, SunTrust Robinson Humphrey, US Bancorp, Wells Fargo Fund JPMorgan Core Bond Trust Trade Date 6/6/2012 Issuer Union Pacific Corporation (UNP 2.95% January 15, 2023) Cusip 907818DM Bonds 182,000 Offering Price $99.943 Spread 0.65% Cost $181,896 Dealer Executing Trade Credit Suisse Securities % of Offering purchased by firm 0.92% Syndicate Members Barclays Capital, Credit Suisse, Morgan Stanley, BNP Paribas, BNY Mellon, Citigroup Global Markets, JPMorgan, Loop Capital, Bank of America Merrill Lynch, Mitsubishi UFJ Securities, PNC Capital, RBS Securities, SunTrust Robinson Humphrey, US Bancorp, Wells Fargo Fund JPMorgan Intermediate Bond Trust Trade Date 6/6/2012 Issuer Union Pacific Corporation (UNP 2.95% January 15, 2023) Cusip 907818DM Bonds 21,000 Offering Price $99.943 Spread 0.65% Cost $20,988 Dealer Executing Trade Credit Suisse Securities % of Offering purchased by firm 0.92% Syndicate Members Barclays Capital, Credit Suisse, Morgan Stanley, BNP Paribas, BNY Mellon, Citigroup Global Markets, JPMorgan, Loop Capital, Bank of America Merrill Lynch, Mitsubishi UFJ Securities, PNC Capital, RBS Securities, SunTrust Robinson Humphrey, US Bancorp, Wells Fargo Fund JPMorgan Core Bond Trust Trade Date 6/7/2012 Issuer Ford Motor Credit Company LLC (F 3.00% June 12, 2017) Cusip 345397WD Bonds 1,253,000 Offering Price $99.963 Spread 0.35% Cost $1,252,536 Dealer Executing Trade BofA Merrill Lynch % of Offering purchased by firm 1.35% Syndicate Members Credit Suisse, HSBC Securities, JPMorgan, Bank of America Merrill Lynch, RBC Capital, Banco Bradesco, BB Securities, CIBC World Markets, Commerz Markets Fund JPMorgan Intermediate Bond Trust Trade Date 6/7/2012 Issuer Ford Motor Credit Company LLC (F 3.00% June 12, 2017) Cusip 345397WD Bonds 200,000 Offering Price $99.963 Spread 0.35% Cost $199,926 Dealer Executing Trade BofA Merrill Lynch % of Offering purchased by firm 1.35% Syndicate Members Credit Suisse, HSBC Securities, JPMorgan, Bank of America Merrill Lynch, RBC Capital, Banco Bradesco, BB Securities, CIBC World Markets, Commerz Markets Fund JPMorgan Core Bond Trust Trade Date 6/7/2012 Issuer Viacom Inc. (VIA 3.125% June 15, 2022) Cusip 92553PAM Bonds 500,000 Offering Price $98.553 Spread 0.45% Cost $492,765 Dealer Executing Trade Deutsche Bank Securities % of Offering purchased by firm 1.53% Syndicate Members Deutsche Bank, JPMorgan, Banca IMI, BNY Mellon, Lloyds Securities, Mizuho Securities, Santander Investment Securities, SMBC Nikko Capital, US Bancorp, Williams Capital Fund JPMorgan Intermediate Bond Trust Trade Date 6/7/2012 Issuer Viacom Inc. (VIA 3.125% June 15, 2022) Cusip 92553PAM Bonds 50,000 Offering Price $98.553 Spread 0.45% Cost $49,277 Dealer Executing Trade Deutsche Bank Securities % of Offering purchased by firm 1.53% Syndicate Members Deutsche Bank, JPMorgan, Banca IMI, BNY Mellon, Lloyds Securities, Mizuho Securities, Santander Investment Securities, SMBC Nikko Capital, US Bancorp, Williams Capital Fund JPMorgan Core Bond Trust Trade Date 6/13/2012 Issuer Volkswagen Auto Lease Trust 2012-A A3 (VWALT A3 0.87% July 20, 2015) Cusip 92867KAC Bonds 1,100,000 Offering Price $99.980 Spread 0.20% Cost $1,099,783 Dealer Executing Trade RBS Securities Inc. % of Offering purchased by firm 5.68% Syndicate Members JPMorgan, RBS Securities, Bank of America Merrill Lynch, Barclays Capital Fund JPMorgan Core Bond Trust Trade Date 6/19/2012 Issuer AmeriCredit Automobile Receivables Trust 2012-3 A2 (AMCAR 2012-3 A2 0.71% December 8, 2015) Cusip 03061UAB Bonds 600,000 Offering Price $99.993 Spread 0.25% Cost $599,961 Dealer Executing Trade Morgan Stanley and Company % of Offering purchased by firm 6.51% Syndicate Members Barclays Capital, Deutsche Bank, Goldman Sachs, RBS Securities, JPMorgan, Morgan Stanley Fund JPMorgan Core Bond Trust Trade Date 6/19/2012 Issuer AmeriCredit Automobile Receivables Trust 2012-3 A3 (AMCAR 2012-3 A3 0.96% January 9, 2017) Cusip 03061UAC Bonds 361,000 Offering Price $99.989 Spread 0.35% Cost $360,962 Dealer Executing Trade Morgan Stanley and Company % of Offering purchased by firm 7.85% Syndicate Members Barclays Capital, Deutsche Bank, Goldman Sachs, RBS Securities, JPMorgan, Morgan Stanley Fund JPMorgan Core Bond Trust Trade Date 6/19/2012 Issuer Delmarva Power & Light Company (POM 4.00% June 1, 2042) Cusip 247109BR Bonds 235,000 Offering Price $99.449 Spread 0.88% Cost $233,705 Dealer Executing Trade Credit Suisse Securities % of Offering purchased by firm 1.53% Syndicate Members Credit Suisse, JPMorgan, SunTrust Robinson Humphrey, Williams Capital Fund JPMorgan Core Bond Trust Trade Date 6/19/2012 Issuer Detroit Edison Company (DTE 2.65% June 15, 2022) Cusip 250847EJ Bonds 224,000 Offering Price $99.844 Spread 0.65% Cost $223,651 Dealer Executing Trade Barclays Capital Inc. % of Offering purchased by firm 1.98% Syndicate Members Barclays Capital, JPMorgan, RBS Securities, Scotia Capital, Deutsche Bank, Huntington Investments, Mitsubishi UFJ Securities, SunTrust Robinson Hunphrey, US Bancorp, Williams Capital Fund JPMorgan Intermediate Bond Trust Trade Date 6/19/2012 Issuer Detroit Edison Company (DTE 2.65% June 15, 2022) Cusip 250847EJ Bonds 20,000 Offering Price $99.844 Spread 0.65% Cost $19,969 Dealer Executing Trade Barclays Capital Inc. % of Offering purchased by firm 1.98% Syndicate Members Barclays Capital, JPMorgan, RBS Securities, Scotia Capital, Deutsche Bank, Huntington Investments, Mitsubishi UFJ Securities, SunTrust Robinson Hunphrey, US Bancorp, Williams Capital Fund JPMorgan Core Bond Trust Trade Date 6/21/2012 Issuer Caterpillar Inc (CAT 2.60% June 26, 2022) Cusip 149123BX Bonds 164,000 Offering Price $99.581 Spread 0.45% Cost $163,313 Dealer Executing Trade Citigroup Global Markets % of Offering purchased by firm 1.29% Syndicate Members Bank of America Merrill Lynch, Citigroup Global Markets, JPMorgan Fund JPMorgan Intermediate Bond Trust Trade Date 6/21/2012 Issuer Caterpillar Inc (CAT 2.60% June 26, 2022) Cusip 149123BX Bonds 31,000 Offering Price $99.581 Spread 0.45% Cost $30,870 Dealer Executing Trade Citigroup Global Markets % of Offering purchased by firm 1.29% Syndicate Members Bank of America Merrill Lynch, Citigroup Global Markets, JPMorgan Fund JPMorgan Intermediate Bond Trust Trade Date 6/21/2012 Issuer Caterpillar Inc (CAT 1.50% June 26, 2017) Cusip 149123BZ Bonds 74,000 Offering Price $99.880 Spread 0.35% Cost $73,911 Dealer Executing Trade BofA Merrill Lynch % of Offering purchased by firm 0.60% Syndicate Members Bank of America Merrill Lynch, Citigroup Global Markets, JPMorgan Fund JPMorgan Core Bond Trust Trade Date 6/27/2012 Issuer ADT Corporation (TYC 3.50% July 15, 2022 144A) Cusip 00101JAB Bonds 420,000 Offering Price $99.764 Spread 0.63% Cost $419,009 Dealer Executing Trade Goldman Sachs and Company % of Offering purchased by firm 0.64% Syndicate Members Bank of America Merrill Lynch, Barclays Capital, Citigroup Global Markets, Credit Suisse, Deutsche bank, Goldman Sachs, JPMorgan, Morgan Stanley Fund JPMorgan Intermediate Bond Trust Trade Date 6/27/2012 Issuer ADT Corporation (TYC 3.50% July 15, 2022 144A) Cusip 00101JAB Bonds 70,000 Offering Price $99.764 Spread 0.63% Cost $69,835 Dealer Executing Trade Goldman Sachs and Company % of Offering purchased by firm 0.64% Syndicate Members Bank of America Merrill Lynch, Barclays Capital, Citigroup Global Markets, Credit Suisse, Deutsche bank, Goldman Sachs, JPMorgan, Morgan Stanley Fund JPMorgan Core Bond Trust Trade Date 6/27/2012 Issuer ADT Corporation (TYC 4.875% July 15, 2042 144A) Cusip 00101JAC Bonds 328,000 Offering Price $98.925 Spread 0.88% Cost $324,474 Dealer Executing Trade Goldman Sachs and Company % of Offering purchased by firm 0.77% Syndicate Members Bank of America Merrill Lynch, Barclays Capital, Citigroup Global Markets, Credit Suisse, Deutsche bank, Goldman Sachs, JPMorgan, Morgan Stanley Fund JPMorgan Core Bond Trust Trade Date 6/27/2012 Issuer General Electric Capital Corporation (GE 1.625% July 2, 2015) Cusip 36962G5Z Bonds 1,100,000 Offering Price $99.915 Spread 0.20% Cost $1,099,065 Dealer Executing Trade Morgan Stanley and Company % of Offering purchased by firm 1.66% Syndicate Members Citigroup Global Markets, Deutsche Bank, JPMorgan, Morgan Stanley, CastleOak Securities, Lebenthal & Co, Mischler Financial, Samuel A Ramirez, Toussaint Capital, Williams Capital Fund JPMorgan Intermediate Bond Trust Trade Date 7/10/2012 Issuer Hyundai Auto Receivables Trust 2012-B A2 (HART 2012-B A2 0.54% January 15, 2015) Cusip 44890HAB Bonds 232,000 Offering Price $99.996 Spread 0.19% Cost $231,992 Dealer Executing Trade BofA Merrill Lynch % of Offering purchased by firm 10.92% Syndicate Members Bank America Merrill Lynch, Barclays Capital, JPMorgan, Mitsubishi UFJ Securities Fund JPMorgan Intermediate Bond Trust Trade Date 7/10/2012 Issuer Hyundai Auto Receivables Trust 2012-B A3 (HART 2012-B A3 0.62% September 15, 2016) Cusip 44890HAC Bonds 119,000 Offering Price $99.983 Spread 0.22% Cost $118,980 Dealer Executing Trade BofA Merrill Lynch % of Offering purchased by firm 4.15% Syndicate Members Bank America Merrill Lynch, Barclays Capital, JPMorgan, Mitsubishi UFJ Securities Fund JPMorgan Core Bond Trust Trade Date 7/11/2012 Issuer Nippon Telegraph and Telephone Corporation (NTT 1.40% July 18, 2017) Cusip 654624AE Bonds 267,000 Offering Price $99.865 Spread 0.35% Cost $266,640 Dealer Executing Trade Morgan Stanley and Company % of Offering purchased by firm 1.98% Syndicate Members Barclays Capital, Bank America Merrill Lynch, Morgan Stanley, BNP Paribas, Citigroup Global Markets, Credit Suisse, Deutsche Bank, Goldman Sachs, JPMorgan, UBS Securites Fund JPMorgan Intermediate Bond Trust Trade Date 7/11/2012 Issuer Nippon Telegraph and Telephone Corporation (NTT 1.40% July 18, 2017) Cusip 654624AE Bonds 27,000 Offering Price $99.865 Spread 0.35% Cost $26,964 Dealer Executing Trade Morgan Stanley and Company % of Offering purchased by firm 1.98% Syndicate Members Barclays Capital, Bank America Merrill Lynch, Morgan Stanley, BNP Paribas, Citigroup Global Markets, Credit Suisse, Deutsche Bank, Goldman Sachs, JPMorgan, UBS Securites Fund JPMorgan Intermediate Bond Trust Trade Date 7/11/2012 Issuer World Omni Auto Receivables Trust 2012-A A2 (WOART 2012-A A2 0.52% June 15, 2015) Cusip 98157HAA Bonds 176,000 Offering Price $99.997 Spread 0.20% Cost $175,996 Dealer Executing Trade Barclays Capital Inc. % of Offering purchased by firm 10.72% Syndicate Members Bank America Merrill Lynch, Barclays Capital, BB&T Capital, Comerica Securities, JPMorgan Fund JPMorgan Intermediate Bond Trust Trade Date 7/11/2012 Issuer World Omni Auto Receivables Trust 2012-A A3 (WOART 2012-A A3 0.64% February 15, 2017) Cusip 98157HAB Bonds 102,000 Offering Price $99.993 Spread 0.25% Cost $101,992 Dealer Executing Trade Barclays Capital Inc. % of Offering purchased by firm 6.67% Syndicate Members Bank America Merrill Lynch, Barclays Capital, BB&T Capital, Comerica Securities, JPMorgan Fund JPMorgan Core Bond Trust Trade Date 7/19/2012 Issuer EBAY Inc (EBAY 2.60% July 15, 2022) Cusip 278642AE Bonds 300,000 Offering Price $99.869 Spread 0.45% Cost $299,607 Dealer Executing Trade Citigroup Global Markets % of Offering purchased by firm 0.49% Syndicate Members Citigroup Global Markets, Credit Suisse, Deutsche Bank, JPMorgan, Barclays Capital, BNP Paribas, BNY Mellon, Goldman Sachs, HSBC Securities, Bank America Merrill Lynch, Mitsubishi UFJ Securities, Morgan Stanley, RBC Capital, RBS Securities, Standard Charted Bank, UBS Securities, Wells Fargo, Williams Capital Fund JPMorgan Core Bond Trust Trade Date 7/19/2012 Issuer EBAY Inc (EBAY 4.00% July 15, 2042) Cusip 278642AF Bonds 271,000 Offering Price $99.017 Spread 0.88% Cost $268,336 Dealer Executing Trade Deutsche Bank Securities % of Offering purchased by firm 1.33% Syndicate Members Citigroup Global Markets, Credit Suisse, Deutsche Bank, JPMorgan, Barclays Capital, BNP Paribas, BNY Mellon, Goldman Sachs, HSBC Securities, Bank America Merrill Lynch, Mitsubishi UFJ Securities, Morgan Stanley, RBC Capital, RBS Securities, Standard Charted Bank, UBS Securities, Wells Fargo, Williams Capital Fund JPMorgan Core Bond Trust Trade Date 7/30/2012 Issuer Texas Instruments Inc. (TXN 1.65% August 3,2019) Cusip 882508AU Bonds 365,000 Offering Price $99.390 Spread 0.40% Cost $362,774 Dealer Executing Trade Citigroup Global Markets % of Offering purchased by firm 0.92% Syndicate Members Citigroup Global Markets, JPMorgan, Mizuho Securities, Morgan Stanley, Barclays Capital, BNP Paribas, Goldman Sachs, HSBC Securities, Bank America Merrill Lynch, Mitsubishi UFJ Securities, PNC Capital, SMBC Nikko Securities, US Bancorp., Williams Capital Fund JPMorgan Intermediate Bond Trust Trade Date 7/30/2012 Issuer Texas Instruments Inc. (TXN 1.65% August 3,2019) Cusip 882508AU Bonds 73,000 Offering Price $99.390 Spread 0.40% Cost $72,555 Dealer Executing Trade Citigroup Global Markets % of Offering purchased by firm 0.92% Syndicate Members Citigroup Global Markets, JPMorgan, Mizuho Securities, Morgan Stanley, Barclays Capital, BNP Paribas, Goldman Sachs, HSBC Securities, Bank America Merrill Lynch, Mitsubishi UFJ Securities, PNC Capital, SMBC Nikko Securities, US Bancorp., Williams Capital Fund JPMorgan Core Bond Trust Trade Date 8/6/2012 Issuer Celgene Corporation (CELG 3.25% August 15, 2022) Cusip 151020AH Bonds 1,336,000 Offering Price $99.949 Spread 0.65% Cost $1,335,319 Dealer Executing Trade BofA Merrill Lynch % of Offering purchased by firm 1.33% Syndicate Members JPMorgan, Bank America Merrill Lynch, Morgan Stanley Fund JPMorgan Intermediate Bond Trust Trade Date 8/6/2012 Issuer Celgene Corporation (CELG 3.25% August 15, 2022) Cusip 151020AH Bonds 98,000 Offering Price $99.949 Spread 0.65% Cost $97,950 Dealer Executing Trade BofA Merrill Lynch % of Offering purchased by firm 1.33% Syndicate Members JPMorgan, Bank America Merrill Lynch, Morgan Stanley Fund JPMorgan Intermediate Bond Trust Trade Date 8/7/2012 Issuer Santander Drive Auto Receivables Trust 2012-5 A2 (SDART 2012-5 A2 0.57% December 15, 2015) Cusip 80282UAB Bonds 63,000 Offering Price $99.997 Spread 0.17% Cost $62,998 Dealer Executing Trade Citigroup Global Markets % of Offering purchased by firm 5.99% Syndicate Members Citigroup Global Markets, JPMorgan, Deutsche Bank, Wells Fargo Fund JPMorgan Intermediate Bond Trust Trade Date 8/7/2012 Issuer Santander Drive Auto Receivables Trust 2012-5 A3 (SDART 2012-5 A3 0.83% December 15, 2016) Cusip 80282UAC Bonds 60,000 Offering Price $99.995 Spread 0.20% Cost $59,997 Dealer Executing Trade Citigroup Global Markets % of Offering purchased by firm 6.61% Syndicate Members Citigroup Global Markets, JPMorgan, Deutsche Bank, Wells Fargo Fund JPMorgan Core Bond Trust Trade Date 8/14/2012 Issuer Cenovus Energy Inc (CVECN 3.00% August 15, 2022) Cusip 15135UAG Bonds 208,000 Offering Price $99.129 Spread 0.65% Cost $206,188 Dealer Executing Trade Deutsche Bank Securities % of Offering purchased by firm 2.18% Syndicate Members Barclays Capital, Credit Suisse, Deutsche Bank, Bank America Merrill Lynch, RBS Securities, BMO Capital, BNP Paribas, CIBC World Markets, JPMorgan, RBC Capital, Scotia Capital, TD Securities, UBS Securities, DNB Markets, Mitsubishi UFJ Securities, Mizuho Securities, Morgan Stanley, SMBC Nikko Capital Fund JPMorgan Intermediate Bond Trust Trade Date 8/14/2012 Issuer Cenovus Energy Inc (CVECN 3.00% August 15, 2022) Cusip 15135UAG Bonds 21,000 Offering Price $99.129 Spread 0.65% Cost $20,817 Dealer Executing Trade Deutsche Bank Securities % of Offering purchased by firm 2.18% Syndicate Members Barclays Capital, Credit Suisse, Deutsche Bank, Bank America Merrill Lynch, RBS Securities, BMO Capital, BNP Paribas, CIBC World Markets, JPMorgan, RBC Capital, Scotia Capital, TD Securities, UBS Securities, DNB Markets, Mitsubishi UFJ Securities, Mizuho Securities, Morgan Stanley, SMBC Nikko Capital Fund JPMorgan Core Bond Trust Trade Date 8/14/2012 Issuer Cenovus Energy Inc (CVECN 4.45% September 15, 2042) Cusip 15135UAH Bonds 490,000 Offering Price $99.782 Spread 0.88% Cost $488,932 Dealer Executing Trade Barclays Capital Inc. % of Offering purchased by firm 1.86% Syndicate Members Barclays Capital, Credit Suisse, Deutsche Bank, Bank America Merrill Lynch, RBS Securities, BMO Capital, BNP Paribas, CIBC World Markets, JPMorgan, RBC Capital, Scotia Capital, TD Securities, UBS Securities, DNB Markets, Mitsubishi UFJ Securities, Mizuho Securities, Morgan Stanley, SMBC Nikko Capital Fund JPMorgan Core Bond Trust Trade Date 8/14/2012 Issuer Liberty Mutual Group Inc (LIBMUT 4.95% May 1, 2022 144A) Cusip 53079EAW Bonds 372,000 Offering Price $102.464 Spread 0.65% Cost $381,166 Dealer Executing Trade Citigroup Global Markets % of Offering purchased by firm 1.80% Syndicate Members Citigroup Global Markets, JPMorgan, Bank America Merrill Lynch, Wells fargo Fund JPMorgan Intermediate Bond Trust Trade Date 8/14/2012 Issuer Liberty Mutual Group Inc (LIBMUT 4.95% May 1, 2022 144A) Cusip 53079EAW Bonds 37,000 Offering Price $102.464 Spread 0.65% Cost $37,912 Dealer Executing Trade Citigroup Global Markets % of Offering purchased by firm 1.80% Syndicate Members Citigroup Global Markets, JPMorgan, Bank America Merrill Lynch, Wells fargo Fund JPMorgan Core Bond Trust Trade Date 8/21/2012 Issuer Illinois Tools Works Inc. (ITW 3.90% September 1, 2042) Cusip 452308AR Bonds 1,920,000 Offering Price $99.038 Spread 0.88% Cost $1,901,530 Dealer Executing Trade BofA Merrill Lynch % of Offering purchased by firm 3.15% Syndicate Members Citigroup Global Markets, JPMorgan, Bank America Merrill Lynch, Banca IMI, BMO Capital, Commerz Markets, Danske Markets, Goldman Scahs, HSBC Securities, ING Financial, Loop Capital, Mizuho Securities, nabSecurities, SG Americas Securities, UBS Securities, US Bancorp, Wells Fargo Fund JPMorgan Equity Index Trust Trade Date 5/24/2012 Issuer Alexion Pharmaceuticals Inc. (ALXN) Secondary Cusip 01535110 Shares 2,400 Offering Price $93.02 Spread $0.54 Cost $223,248 Dealer Executing Trade Goldman Sachs and Company % of Offering purchased by firm 0.48% Syndicate Members Goldman Sachs & Co., cowen and Company, J.P. Morgan