0001325358-13-001269.txt : 20131010 0001325358-13-001269.hdr.sgml : 20131010 20131010133546 ACCESSION NUMBER: 0001325358-13-001269 CONFORMED SUBMISSION TYPE: NSAR-B/A PUBLIC DOCUMENT COUNT: 3 CONFORMED PERIOD OF REPORT: 20130228 FILED AS OF DATE: 20131010 DATE AS OF CHANGE: 20131010 EFFECTIVENESS DATE: 20131010 FILER: COMPANY DATA: COMPANY CONFORMED NAME: JPMorgan Institutional Trust CENTRAL INDEX KEY: 0001303608 IRS NUMBER: 201491791 STATE OF INCORPORATION: DE FISCAL YEAR END: 0630 FILING VALUES: FORM TYPE: NSAR-B/A SEC ACT: 1940 Act SEC FILE NUMBER: 811-21638 FILM NUMBER: 131145469 BUSINESS ADDRESS: STREET 1: C/O JPMORGAN DISTRIBUTION SERVICES, INC. STREET 2: 270 PARK AVENUE CITY: NEW YORK STATE: NY ZIP: 10017 BUSINESS PHONE: 800-480-4111 MAIL ADDRESS: STREET 1: C/O JPMORGAN DISTRIBUTION SERVICES, INC. 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Dowd TITLE Treasurer and Principal Financial Officer EX-99.77B ACCT LTTR 2 ex-99_77bacctlttr2.htm EX-99.77B ACCT LTTR


Report of Independent Registered Public Accounting Firm

To the Trustees and Shareholders of JPMorgan Institutional Trust:

In planning and performing our audits of the financial statements of the Funds listed in Appendix 1 of
JPMorgan Institutional Trust (hereafter referred to as the "Trust") as of and for the year ended February
28, 2013, in accordance with the standards of the Public Company Accounting Oversight Board
(United States), we considered the Trust's internal control over financial reporting, including controls
over safeguarding securities, as a basis for designing our auditing procedures for the purpose of
expressing our opinion on the financial statements and to comply with the requirements of Form N-
SAR, but not for the purpose of expressing an opinion on the effectiveness of the Trust's internal
control over financial reporting.  Accordingly, we do not express an opinion on the effectiveness of
the Trust's internal control over financial reporting.

The management of the Trust is responsible for establishing and maintaining effective internal control
over financial reporting.  In fulfilling this responsibility, estimates and judgments by management are
required to assess the expected benefits and related costs of controls.  A fund's internal control over
financial reporting is a process designed to provide reasonable assurance regarding the reliability of
financial reporting and the preparation of financial statements for external purposes in accordance with
generally accepted accounting principles.  A fund's internal control over financial reporting includes
those policies and procedures that (1) pertain to the maintenance of records that, in reasonable detail,
accurately and fairly reflect the transactions and dispositions of the assets of the fund; (2) provide
reasonable assurance that transactions are recorded as necessary to permit preparation of financial
statements in accordance with generally accepted accounting principles, and that receipts and
expenditures of the fund are being made only in accordance with authorizations of management and
trustees of the fund; and (3)  provide reasonable assurance regarding prevention or timely detection of
unauthorized acquisition, use or disposition of a fund's assets that could have a material effect on the
financial statements.

Because of its inherent limitations, internal control over financial reporting may not prevent or detect
misstatements.  Also, projections of any evaluation of effectiveness to future periods are subject to
the risk that controls may become inadequate because of changes in conditions, or that the degree of
compliance with the policies or procedures may deteriorate.

A deficiency in internal control over financial reporting exists when the design or operation of a control
does not allow management or employees, in the normal course of performing their assigned
functions, to prevent or detect misstatements on a timely basis.  A material weakness is a deficiency,
or a combination of deficiencies, in internal control over financial reporting, such that there is a
reasonable possibility that a material misstatement of the Trust's annual or interim financial statements
will not be prevented or detected on a timely basis.

Our consideration of the Trust's internal control over financial reporting was for the limited purpose
described in the first paragraph and would not necessarily disclose all deficiencies in internal control
over financial reporting that might be material weaknesses under standards established by the Public
Company Accounting Oversight Board (United States).  However, we noted no deficiencies in the
Trust's internal control over financial reporting and its operation, including controls over safeguarding
securities, that we consider to be material weaknesses as defined above as of February 28, 2013.

This report is intended solely for the information and use of management and the Trustees of
JPMorgan Institutional Trust and the Securities and Exchange Commission and is not intended to be
and should not be used by anyone other than these specified parties.



PricewaterhouseCoopers, LLP
New York, NY
April 24, 2013


Appendix I

JPMorgan Core Bond Trust
JPMorgan Equity Index Trust
JPMorgan Intermediate Bond Trust




2

3

EX-99.77O RULE 10F-3 3 ex-99_77orule10f3.htm EX-99.77O RULE 10F-3

JPMorgan Funds - JPMorgan Institutional Trust
Rule 10f-3 Transactions
For the period from September 1, 2012 to February 28, 2013

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	9/4/2012
Issuer	Bank of Montreal (BMO 1.40% September 11, 2017)
Cusip	06366RHA
Bonds	$1,666,000
Offering Price	$99.846
Spread	0.35%
Cost	$1,663,434
Dealer Executing Trade	Morgan Stanley and Company
% of Offering  purchased by firm	3.02%
Syndicate Members	BMO Capital Markets, Citigroup Global Markets, Bank of America Merrill Lynch, Morgan Stanley, Wells Fargo, Barclays Capital, Goldman Sachs, HSBC Securities, JPMorgan, RBS Securities, UBS Securities,
Fund	JPMorgan Core Bond Trust
Trade Date	9/5/2012
Issuer	EOG Resources Inc (EOG 2.625% March 15, 2023)
Cusip	26875PAK
Bonds	$379,000
Offering Price	$99.381
Spread	0.65%
Cost	$376,654
Dealer Executing Trade	Wells Fargo Advisor
% of Offering  purchased by firm	1.97%
Syndicate Members	Barclays Capital, Citigroup Global Markets, JPMorgan, Mitsubishi UFJ Securities, RBC Capital, SG Americas, UBS Securities,US Bancorp, Wells Fargo, Allen & Co, ANZ Securities, BB&T Capital, BMO Capital
Fund	JPMorgan Intermediate Bond Trust
Trade Date	9/5/2012
Issuer	EOG Resources Inc (EOG 2.625% March 15, 2023)
Cusip	26875PAK
Bonds	$23,000
Offering Price	$99.381
Spread	0.65%
Cost	$22,858
Dealer Executing Trade	Wells Fargo Advisor
% of Offering  purchased by firm	1.97%
Syndicate Members	Barclays Capital, Citigroup Global Markets, JPMorgan, Mitsubishi UFJ Securities, RBC Capital, SG Americas, UBS Securities,US Bancorp, Wells Fargo, Allen & Co, ANZ Securities, BB&T Capital, BMO Capital
Fund	JPMorgan Core Bond Trust
Trade Date	9/5/2012
Issuer	WellPoint, Inc. (WLP 3.30% January 15, 2023)
Cusip	94973VBA
Bonds	$280,000
Offering Price	$99.663
Spread	0.65%
Cost	$279,056
Dealer Executing Trade	Citigroup Global Markets
% of Offering  purchased by firm	0.66%
Syndicate Members	Citigroup Global Markets, Credit Suisse, Deutsche Bank, Bank America Merrill Lynch, UBS Securities, Wells Fargo, BB&T Capital, BNY Mellon, Fifth Third Securities, Huntington Investments, JPMorgan, Mitsubishi UFJ Securities, Mizuho Securities, Morgan Stanley, PNC Capital, SMBC Nikko Capital, SunTrust Robinson Humphrey, US Bancorp
Fund	JPMorgan Core Bond Trust
Trade Date	9/5/2012
Issuer	WellPoint, Inc. (WLP 4.65% January 15, 2043)
Cusip	94973VBB
Bonds	$535,000
Offering Price	$99.421
Spread	0.88%
Cost	$531,902
Dealer Executing Trade	Deutsche Bank Securities
% of Offering  purchased by firm	0.75%
Syndicate Members	Citigroup Global Markets, Credit Suisse, Deutsche Bank, Bank America Merrill Lynch, UBS Securities, Wells Fargo, BB&T Capital, BNY Mellon, Fifth Third Securities, Huntington Investments, JPMorgan, Mitsubishi UFJ Securities, Mizuho Securities, Morgan Stanley, PNC Capital, SMBC Nikko Capital, SunTrust Robinson Humphrey, US Bancorp
Fund	JPMorgan Core Bond Trust
Trade Date	9/10/2012
Issuer	Conagra Foods Inc (CAG 2.10% March 15, 2018)
Cusip	205887BG
Bonds	$286,000
Offering Price	$99.762
Spread	0.60%
Cost	$285,319
Dealer Executing Trade	BofA Merrill Lynch
% of Offering  purchased by firm	1.46%
Syndicate Members	BNP Paribas, JPMorgan, Bank America Merrill Lynch, Mitsubishi UFJ Securities
Fund	JPMorgan Intermediate Bond Trust
Trade Date	9/10/2012
Issuer	Conagra Foods Inc (CAG 2.10% March 15, 2018)
Cusip	205887BG
Bonds	$30,000
Offering Price	$99.762
Spread	0.60%
Cost	$29,929
Dealer Executing Trade	BofA Merrill Lynch
% of Offering  purchased by firm	1.46%
Syndicate Members	BNP Paribas, JPMorgan, Bank America Merrill Lynch, Mitsubishi UFJ Securities
Fund	JPMorgan Core Bond Trust
Trade Date	9/10/2012
Issuer	Merck & Co., Inc. (MRK 2.40% September 15, 2022)
Cusip	589331AT
Bonds	$474,000
Offering Price	$99.965
Spread	0.45%
Cost	$473,834
Dealer Executing Trade	BofA Merrill Lynch
% of Offering  purchased by firm	0.63%
Syndicate Members	Citigroup Global Markets, JPMorgan Securities, Bank America Merrill Lynch, BNP Paribas, Credit Suisse, Deutsche Bank, Goldman Sachs, HSBC Securities, Morgan Stanley, RBS Securities
Fund	JPMorgan Intermediate Bond Trust
Trade Date	9/10/2012
Issuer	Merck & Co., Inc. (MRK 2.40% September 15, 2022)
Cusip	589331AT
Bonds	$62,000
Offering Price	$99.965
Spread	0.45%
Cost	$61,978
Dealer Executing Trade	BofA Merrill Lynch
% of Offering  purchased by firm	0.63%
Syndicate Members	Citigroup Global Markets, JPMorgan Securities, Bank America Merrill Lynch, BNP Paribas, Credit Suisse, Deutsche Bank, Goldman Sachs, HSBC Securities, Morgan Stanley, RBS Securities
Fund	JPMorgan Core Bond Trust
Trade Date	9/10/2012
Issuer	PECO Energy Company (EXC 2.375% September 15, 2022)
Cusip	693304AP
Bonds	$350,000
Offering Price	$99.912
Spread	0.65%
Cost	$349,692
Dealer Executing Trade	BNP Paribas Securities
% of Offering  purchased by firm	3.34%
Syndicate Members	BNP Paribas, CIBC World Markets, JPMorgan, Mizuho Securities, US Bancorp, Lebenthal & Co, PNC Capital
Fund	JPMorgan Core Bond Trust
Trade Date	9/10/2012
Issuer	Transocean Inc. (RIG 3.80% October 15, 2022)
Cusip	893830BC
Bonds	$361,000
Offering Price	$99.309
Spread	0.65%
Cost	$358,505
Dealer Executing Trade	Barclays Capital Inc
% of Offering  purchased by firm	2.27%
Syndicate Members	Barclays Capital, Citigroup Global Markets, DNB Markets, JPMorgan, Bank America Merrill Lynch, Wells Fargo, Credit Agricole Securities, Credit Suisse, Mitsubishi UFJ Securities, Morgan Stanley, Standard Chartered Bank
Fund	JPMorgan Intermediate Bond Trust
Trade Date	9/10/2012
Issuer	Transocean Inc. (RIG 3.80% October 15, 2022)
Cusip	893830BC
Bonds	$39,000
Offering Price	$99.309
Spread	0.65%
Cost	$38,731
Dealer Executing Trade	Barclays Capital Inc
% of Offering  purchased by firm	2.27%
Syndicate Members	Barclays Capital, Citigroup Global Markets, DNB Markets, JPMorgan, Bank America Merrill Lynch, Wells Fargo, Credit Agricole Securities, Credit Suisse, Mitsubishi UFJ Securities, Morgan Stanley, Standard Chartered Bank
Fund	JPMorgan Core Bond Trust
Trade Date	9/10/2012
Issuer	Walgreen Co. (WAG 3.10% September 15, 2022)
Cusip	931422AH
Bonds	$1,031,000
Offering Price	$99.889
Spread	0.65%
Cost	$1,029,856
Dealer Executing Trade	Goldman Sachs and Company
% of Offering  purchased by firm	1.13%
Syndicate Members	Bank America Merrill Lynch, Goldman Sachs, JPMorgan, Morgan Stanley, Wells Fargo
Fund	JPMorgan Intermediate Bond Trust
Trade Date	9/10/2012
Issuer	Walgreen Co. (WAG 3.10% September 15, 2022)
Cusip	931422AH
Bonds	$94,000
Offering Price	$99.889
Spread	0.65%
Cost	$93,896
Dealer Executing Trade	Goldman Sachs and Company
% of Offering  purchased by firm	1.13%
Syndicate Members	Bank America Merrill Lynch, Goldman Sachs, JPMorgan, Morgan Stanley, Wells Fargo
Fund	JPMorgan Core Bond Trust
Trade Date	9/18/2012
Issuer	ING Bank NV (INTNED 2.00% September 25, 2015 144A)
Cusip	449786AR
Bonds	$216,000
Offering Price	$99.711
Spread	0.25%
Cost	$215,376
Dealer Executing Trade	Morgan Stanley and Company
% of Offering  purchased by firm	1.85%
Syndicate Members	Citigroup Global Markets, ING Groep, JPMorgan, Morgan Stanley
Fund	JPMorgan Core Bond Trust
Trade Date	9/19/2012
Issuer	GE Equipment Midticket LLC, Series 2012-1 A3 (GEEMT 2012-1 A3 0.60% May 23, 2016)
Cusip	36161YAC
Bonds	$800,000
Offering Price	$99.984
Spread	0.25%
Cost	$799,869
Dealer Executing Trade	BofA Merrill Lynch
% of Offering  purchased by firm	8.75%
Syndicate Members	Bank America Merrill Lynch, CastleOak Securities, Credit Suisse, JPMorgan
Fund	JPMorgan Intermediate Bond Trust
Trade Date	9/19/2012
Issuer	GE Equipment Midticket LLC, Series 2012-1 A3 (GEEMT 2012-1 A3 0.60% May 23, 2016)
Cusip	36161YAC
Bonds	$200,000
Offering Price	$99.984
Spread	0.25%
Cost	$199,967
Dealer Executing Trade	BofA Merrill Lynch
% of Offering  purchased by firm	8.75%
Syndicate Members	Bank America Merrill Lynch, CastleOak Securities, Credit Suisse, JPMorgan
Fund	JPMorgan Core Bond Trust
Trade Date	9/19/2012
Issuer	GE Equipment Midticket LLC, Series 2012-1 A4 (GEEMT 2012-1 A4 0.78% September 22, 2020)
Cusip	36161YAD
Bonds	$360,000
Offering Price	$99.983
Spread	0.31%
Cost	$359,940
Dealer Executing Trade	BofA Merrill Lynch
% of Offering  purchased by firm	8.16%
Syndicate Members	Bank America Merrill Lynch, CastleOak Securities, Credit Suisse, JPMorgan
Fund	JPMorgan Intermediate Bond Trust
Trade Date	9/19/2012
Issuer	GE Equipment Midticket LLC, Series 2012-1 A4 (GEEMT 2012-1 A4 0.78% September 22, 2020)
Cusip	36161YAD
Bonds	$60,000
Offering Price	$99.983
Spread	0.31%
Cost	$59,990
Dealer Executing Trade	BofA Merrill Lynch
% of Offering  purchased by firm	8.16%
Syndicate Members	Bank America Merrill Lynch, CastleOak Securities, Credit Suisse, JPMorgan
Fund	JPMorgan Core Bond Trust
Trade Date	9/24/2012
Issuer	Canadian Imperial Bank (CM 0.90% October 1, 2015)
Cusip	136069ET
Bonds	$226,000
Offering Price	$99.970
Spread	0.25%
Cost	$225,932
Dealer Executing Trade	Citigroup Global Markets
% of Offering  purchased by firm	1.61%
Syndicate Members	CIBC World Markets, Citigroup Global Markets, UBS Securities, Wells Fargo, Barclays Capital, Credit Suisse, Deutsche bank, Goldman Sachs, HSBC Securities, JPMorgan, Bank America Merrill Lynch, Morgan Stanley
Fund	JPMorgan Core Bond Trust
Trade Date	9/24/2012
Issuer	United Parcel Service (UPS 2.45% October 1, 2022)
Cusip	911312AQ
Bonds	$214,000
Offering Price	$99.867
Spread	0.45%
Cost	$213,715
Dealer Executing Trade	BofA Merrill Lynch
% of Offering  purchased by firm	1.37%
Syndicate Members	Citigroup Global Markets, JPMorgan, Bank America Merrill Lynch, Morgan Stanley, UBS Securities, Barclays Capital, BNP Paribas, BNY Mellon, CastleOak Securities, Commerz Bank, Fifth Third Securities, Goldman Sachs, HSBC Securities, Mitsubishi UFJ Securities, Mizuho Securities, RBS Securities, Samuel A Ramirez & Co, Standard Chartered Bank, Wells Fargo, Williams Capital
Fund	JPMorgan Core Bond Trust
Trade Date	9/24/2012
Issuer	WEA Finance (WDCAU 3.375% October 3, 2022 144A)
Cusip	92890MAA
Bonds	$579,000
Offering Price	$98.762
Spread	0.40%
Cost	$571,832
Dealer Executing Trade	Citigroup Global Markets
% of Offering  purchased by firm	1.40%
Syndicate Members	Bank America Merrill Lynch, Citigroup Global Markets, Deutsche Bank, JPMorgan, Bank of Nova Scotia
Fund	JPMorgan Core Bond Trust
Trade Date	9/27/2012
Issuer	Watson Pharmaceuticals, Inc. (WPI 3.25% October 1, 2022)
Cusip	942683AF
Bonds	$275,000
Offering Price	$99.165
Spread	0.65%
Cost	$272,704
Dealer Executing Trade	Wells Fargo Advisors
% of Offering  purchased by firm	0.95%
Syndicate Members	Barclays Capital, Deutsche Bank, JPMorgan, Bank America Merrill Lynch, Wells Fargo, DNB Nor Markets, HSBC Securities, Mitsubishi UFJ Securities, Mizuho Securities, RBS Securities, US Bancorp
Fund	JPMorgan Core Bond Trust
Trade Date	9/28/2012
Issuer	NBCUniversal Media LLC (CMCSA 4.45% January 15, 2043)
Cusip	63946BAJ
Bonds	$515,000
Offering Price	$99.659
Spread	0.88%
Cost	$513,244
Dealer Executing Trade	Morgan Stanley and Company
% of Offering  purchased by firm	1.12%
Syndicate Members	Credit Suisse, JPMorgan, Morgan Stanley, RBC Capital, Allen & Co, Barclays Capital, BNP Paribas,Broadpoint Capital, Citigroup Global Markets, Deutsche Bank, DNB Markets, Drexel Hamilton, Goldman Sachs, Lebenthal & Co, Lloyds Securities, Lop Capital, Bank America Merrill Lynch, MFR Securities, Mizuho Securities, PNC Capital, RBS Securities, Samuel A Ramirez & Co, Santander Investments, SMBC Nikko Securities, SunTrust Robinson Humphrey, TD Securities, UBS Securities, US Bancorp, Wells Fargo, Williams Capital
Fund	JPMorgan Core Bond Trust
Trade Date	10/1/2012
Issuer	General Electric Company (GE 2.70% October 9, 2022)
Cusip	369604BD
Bonds	$212,000
Offering Price	$99.765
Spread	0.35%
Cost	$211,502
Dealer Executing Trade	Citigroup Global Markets
% of Offering  purchased by firm	0.22%
Syndicate Members	Barclays Capital, Citigroup Global Markets, Deutsche Bank, Goldman Sachs, JPMorgan, Morgan Stanley, Credit Suisse, Bank America Merrill Lynch, Banca Caboto, Blaylock Robert Van, BNP paribas, CastleOak Securities, HSBC Securities, ING Financial, Lebenthal & Co, Lloyds Securities, Mischler Financial, Mitsubishi UFJ Securities, Mizuho Securities, RBC Capital, RBS Securities, Samuel A Ramirez, Santander Investments, SMBC Nikko Capital, TD Securities, UBS Securities, UniCredit Capital, Williams Capital
Fund	JPMorgan Core Bond Trust
Trade Date	10/2/2012
Issuer	Heineken N.V. (HEIANA 1.40% October 1, 2017 144A)
Cusip	423012AB
Bonds	$355,000
Offering Price	$99.670
Spread	0.35%
Cost	$353,829
Dealer Executing Trade	Citigroup Global Markets
% of Offering  purchased by firm	1.90%
Syndicate Members	Barclays Capital, BNP Paribas, Citigroup Global Markets, Credit Suisse, JPMorgan, Societe Generale
Fund	JPMorgan Intermediate Bond Trust
Trade Date	10/2/2012
Issuer	Heineken N.V. (HEIANA 1.40% October 1, 2017 144A)
Cusip	423012AB
Bonds	$30,000
Offering Price	$99.670
Spread	0.35%
Cost	$29,901
Dealer Executing Trade	Citigroup Global Markets
% of Offering  purchased by firm	1.90%
Syndicate Members	Barclays Capital, BNP Paribas, Citigroup Global Markets, Credit Suisse, JPMorgan, Societe Generale
Fund	JPMorgan Core Bond Trust
Trade Date	10/3/2012
Issuer	CarMax Auto Owner Trust 2012-3 A2 (CARMX 2012-3 A2 0.43% September 15, 2015)
Cusip	14313KAB
Bonds	$415,000
Offering Price	$99.997
Spread	0.19%
Cost	$414,989
Dealer Executing Trade	BofA Merrill Lynch
% of Offering  purchased by firm	1.90%
Syndicate Members	Bank America Merrill Lynch, JPMorgan, Barclays Capital, RBS Securities
Fund	JPMorgan Core Bond Trust
Trade Date	10/3/2012
Issuer	Santander Drive Auto Receivables Trust 2012-6 A2 (SDART 2012-6 A2 0.47%  September 15, 2015)
Cusip	80283CAB
Bonds	$500,000
Offering Price	$99.993
Spread	0.17%
Cost	$499,964
Dealer Executing Trade	Deutsche Bank Securities
% of Offering  purchased by firm	1.90%
Syndicate Members	Citigroup Global Markets, Deutsche Bank, Credit Suisse, JPMorgan
Fund	JPMorgan Core Bond Trust
Trade Date	10/3/2012
Issuer	Santander Drive Auto Receivables Trust 2012-6 A3 (SDART 2012-6 A3 0.62%  July 15, 2016)
Cusip	80283CAC
Bonds	$333,000
Offering Price	$99.995
Spread	0.20%
Cost	$332,983
Dealer Executing Trade	Deutsche Bank Securities
% of Offering  purchased by firm	1.90%
Syndicate Members	Citigroup Global Markets, Deutsche Bank, Credit Suisse, JPMorgan
Fund	JPMorgan Intermediate Bond Trust
Trade Date	10/3/2012
Issuer	Santander Drive Auto Receivables Trust 2012-6 A3 (SDART 2012-6 A3 0.62%  July 15, 2016)
Cusip	80283CAC
Bonds	$56,000
Offering Price	$99.995
Spread	0.20%
Cost	$55,997
Dealer Executing Trade	Deutsche Bank Securities
% of Offering  purchased by firm	1.90%
Syndicate Members	Citigroup Global Markets, Deutsche Bank, Credit Suisse, JPMorgan
Fund	JPMorgan Core Bond Trust
Trade Date	10/10/2012
Issuer	ERAC USA Finance LLC (ENTERP 5.625% March15, 2042 144A)
Cusip	26884TAE
Bonds	$120,000
Offering Price	$107.597
Spread	0.88%
Cost	$129,116
Dealer Executing Trade	BofA Merrill Lynch
% of Offering  purchased by firm	1.08%
Syndicate Members	Goldman Sachs, JPMorgan, RBC Capital, RBS Securities, Wells Fargo, Bank America Merrill Lynch.
Fund	JPMorgan Core Bond Trust
Trade Date	10/17/2012
Issuer	CSX Corp (CSX 4.10% March 15, 2044)
Cusip	126408GY
Bonds	$191,000
Offering Price	$99.635
Spread	0.88%
Cost	$190,303
Dealer Executing Trade	Morgan Stanley and Company
% of Offering  purchased by firm	1.02%
Syndicate Members	Citigroup Global Markets, Credit Suisse, JPMorgan, Morgan Stanley, UBS Securities, Mitsubishi UFJ Securities, Mizuho Securities, PNC Capital, Williams Capital
Fund	JPMorgan Core Bond Trust
Trade Date	10/17/2012
Issuer	Nissan Auto Lease Trust 2012-B A2A (NALT 2012-B A2A 0.45% June 15, 2015)
Cusip	65476LAB
Bonds	$938,000
Offering Price	$99.997
Spread	0.20%
Cost	$937,969
Dealer Executing Trade	BofA Merrill Lynch
% of Offering  purchased by firm	23.75%
Syndicate Members	Bank America Merrill Lynch, JPMorgan, Citigroup Global Markets, Credit Agricole
Fund	JPMorgan Intermediate Bond Trust
Trade Date	10/17/2012
Issuer	Nissan Auto Lease Trust 2012-B A2A (NALT 2012-B A2A 0.45% June 15, 2015)
Cusip	65476LAB
Bonds	$94,000
Offering Price	$99.997
Spread	0.20%
Cost	$93,997
Dealer Executing Trade	BofA Merrill Lynch
% of Offering  purchased by firm	23.75%
Syndicate Members	Bank America Merrill Lynch, JPMorgan, Citigroup Global Markets, Credit Agricole
Fund	JPMorgan Core Bond Trust
Trade Date	10/17/2012
Issuer	UnitedHealth Group Inc (UNH 2.75% February 15, 2023)
Cusip	91324PBZ
Bonds	$173,000
Offering Price	$99.842
Spread	0.45%
Cost	$172,727
Dealer Executing Trade	BofA Merrill Lynch
% of Offering  purchased by firm	1.40%
Syndicate Members	Goldman Sachs, JPMorgan, Bank America Merrill Lynch, Morgan Stanley, UBS Securities, Wells Fargo, Barclays Capital, BB&T Capital, BMO Capital, BNY Mellon, Citigroup Global Markets, Credit Suisse, Deutsche Bank, Fifth Third Securities, KeyBanc Capital, Loop Capital, PNC Capital, RBS Securities, US Bancorp
Fund	JPMorgan Core Bond Trust
Trade Date	10/17/2012
Issuer	World Omni Auto Receivables Trust 2012-B A2 (WOART 2012-B A2 0.43% November 16, 2015)
Cusip	98158QAB
Bonds	$1,230,000
Offering Price	$99.996
Spread	0.20%
Cost	$1,229,949
Dealer Executing Trade	Morgan Stanley and Company
% of Offering  purchased by firm	23.68%
Syndicate Members	Barclays Capital, JPMorgan, BB&T Capital, Bank America Merrill Lynch
Fund	JPMorgan Intermediate Bond Trust
Trade Date	10/17/2012
Issuer	World Omni Auto Receivables Trust 2012-B A2 (WOART 2012-B A2 0.43% November 16, 2015)
Cusip	98158QAB
Bonds	$123,000
Offering Price	$99.996
Spread	0.20%
Cost	$122,995
Dealer Executing Trade	Morgan Stanley and Company
% of Offering  purchased by firm	23.68%
Syndicate Members	Barclays Capital, JPMorgan, BB&T Capital, Bank America Merrill Lynch
Fund	JPMorgan Core Bond Trust
Trade Date	10/19/2012
Issuer	Texas Eastern Transmission LP (SE 2.80% October 15, 2022 144A)
Cusip	882384AC
Bonds	$554,000
Offering Price	$99.802
Spread	0.65%
Cost	$552,903
Dealer Executing Trade	RBC Capital Markets
% of Offering  purchased by firm	2.38%
Syndicate Members	JPMorgan, RBC Capital Markets, RBS Securities, SunTrust Robinson Humphrey
Fund	JPMorgan Core Bond Trust
Trade Date	11/1/2012
Issuer	Bank of Montreal (BMO 2.55% November 6, 2022)
Cusip	06366RJJ
Bonds	$1,106,000
Offering Price	$99.877
Spread	0.45%
Cost	$1,104,640
Dealer Executing Trade	Morgan Stanley and Company
% of Offering  purchased by firm	1.65%
Syndicate Members	Barclays Capital, BMO Capital Markets, Goldman Sachs, JPMorgan, Morgan Stanley, Citigroup Global Markets, HSBC Securities, Bank America Merrill Lynch, RBS Securities, UBS Securities, Wells Fargo
Fund	JPMorgan Intermediate Bond Trust
Trade Date	11/1/2012
Issuer	Bank of Montreal (BMO 2.55% November 6, 2022)
Cusip	06366RJJ
Bonds	$85,000
Offering Price	$99.877
Spread	0.45%
Cost	$84,895
Dealer Executing Trade	Morgan Stanley and Company
% of Offering  purchased by firm	1.65%
Syndicate Members	Barclays Capital, BMO Capital Markets, Goldman Sachs, JPMorgan, Morgan Stanley, Citigroup Global Markets, HSBC Securities, Bank America Merrill Lynch, RBS Securities, UBS Securities, Wells Fargo
Fund	JPMorgan Core Bond Trust
Trade Date	11/2/2012
Issuer	Microsoft Corporation (MSFT 0.875% November 15, 2017)
Cusip	594918AP
Bonds	$262,000
Offering Price	$99.423
Spread	0.35%
Cost	$260,488
Dealer Executing Trade	UBS Securities LLC
% of Offering  purchased by firm	3.71%
Syndicate Members	Barclays Capital, JPMorgan, UBS Securities, HSBC Securities, Lebenthal & Co, Samuel A Ramirez & Co, US Bancorp, Wiiliams Capital
Fund	JPMorgan Intermediate Bond Trust
Trade Date	11/2/2012
Issuer	Microsoft Corporation (MSFT 0.875% November 15, 2017)
Cusip	594918AP
Bonds	$23,000
Offering Price	$99.423
Spread	0.35%
Cost	$22,867
Dealer Executing Trade	UBS Securities LLC
% of Offering  purchased by firm	3.71%
Syndicate Members	Barclays Capital, JPMorgan, UBS Securities, HSBC Securities, Lebenthal & Co, Samuel A Ramirez & Co, US Bancorp, Wiiliams Capital
Fund	JPMorgan Core Bond Trust
Trade Date	11/2/2012
Issuer	Microsoft Corporation (MSFT 2.125% November 15, 2022)
Cusip	594918AQ
Bonds	$384,000
Offering Price	$99.427
Spread	0.45%
Cost	$381,800
Dealer Executing Trade	UBS Securities LLC
% of Offering  purchased by firm	0.88%
Syndicate Members	Barclays Capital, JPMorgan, UBS Securities, HSBC Securities, Lebenthal & Co, Samuel A Ramirez & Co, US Bancorp, Wiiliams Capital
Fund	JPMorgan Intermediate Bond Trust
Trade Date	11/2/2012
Issuer	Microsoft Corporation (MSFT 2.125% November 15, 2022)
Cusip	594918AQ
Bonds	$34,000
Offering Price	$99.427
Spread	0.45%
Cost	$33,805
Dealer Executing Trade	UBS Securities LLC
% of Offering  purchased by firm	0.88%
Syndicate Members	Barclays Capital, JPMorgan, UBS Securities, HSBC Securities, Lebenthal & Co, Samuel A Ramirez & Co, US Bancorp, Wiiliams Capital
Fund	JPMorgan Core Bond Trust
Trade Date	11/5/2012
Issuer	AbbVie Inc (ABT 1.75% November 6, 2017 144A)
Cusip	00287YAB
Bonds	$952,000
Offering Price	$99.791
Spread	0.35%
Cost	$950,010
Dealer Executing Trade	Morgan Stanley and Company
% of Offering  purchased by firm	2.01%
Syndicate Members	Bank America Merrill Lynch, Barclays Capital, Deutsche Bank, JPMorgan, Morgan Stanley, RBS Securities
Fund	JPMorgan Intermediate Bond Trust
Trade Date	11/5/2012
Issuer	AbbVie Inc (ABT 1.75% November 6, 2017 144A)
Cusip	00287YAB
Bonds	$119,000
Offering Price	$99.791
Spread	0.35%
Cost	$118,751
Dealer Executing Trade	Morgan Stanley and Company
% of Offering  purchased by firm	2.01%
Syndicate Members	Bank America Merrill Lynch, Barclays Capital, Deutsche Bank, JPMorgan, Morgan Stanley, RBS Securities
Fund	JPMorgan Core Bond Trust
Trade Date	11/6/2012
Issuer	The Dow Chemical Company (DOW 3.00% November 15, 2022)
Cusip	260543CH
Bonds	$542,000
Offering Price	$98.266
Spread	0.45%
Cost	$532,602
Dealer Executing Trade	HSBC Securities
% of Offering  purchased by firm	0.60%
Syndicate Members	Goldman Sachs, HSBC Securities, JPMorgan, SMBC Nikko Capital, Barclays Capital, CastleOak Securities, Deutsche Bank, Fifth Third Securities, Loop Capital, Mitsubishi UFJ Securities, RBC Capital, Scotia Capital, Standard Chartered Bank
Fund	JPMorgan Core Bond Trust
Trade Date	11/7/2012
Issuer	SpareBank 1 Boligkreditt (SPABOL 1.75% November 15, 2019 144A)
Cusip	84650WAE
Bonds	$927,000
Offering Price	$99.223
Spread	0.38%
Cost	$919,797
Dealer Executing Trade	BofA Merrill Lynch
% of Offering  purchased by firm	1.27%
Syndicate Members	Bank America Merrill Lynch, Barclays Capital, Citigroup Global Markets, JPMorgan
Fund	JPMorgan Core Bond Trust
Trade Date	11/14/2012
Issuer	Americredit Automobile Receivables Trust 2012-5 A2 (AMCAR 2012-5 A2 0.51% January 8, 2016)
Cusip	03064XAB
Bonds	$1,000,000
Offering Price	$99.998
Spread	0.25%
Cost	$999,977
Dealer Executing Trade	Barclays Capital Inc.
% of Offering  purchased by firm	16.37%
Syndicate Members	Barclays capital, Credit Suisse, Citigroup Global Markets, Goldman Sachs, JPMorgan
Fund	JPMorgan Core Bond Trust
Trade Date	11/14/2012
Issuer	Americredit Automobile Receivables Trust 2012-5 A3 (AMCAR 2012-5 A3 0.62% June 8, 2017)
Cusip	03064XAC
Bonds	$290,000
Offering Price	$99.985
Spread	0.35%
Cost	$289,958
Dealer Executing Trade	Barclays Capital Inc.
% of Offering  purchased by firm	3.09%
Syndicate Members	Barclays capital, Credit Suisse, Citigroup Global Markets, Goldman Sachs, JPMorgan
Fund	JPMorgan Core Bond Trust
Trade Date	11/14/2012
Issuer	Macy's Retail Holdings Inc. (M 2.875% February 15, 2023)
Cusip	55616XAH
Bonds	$516,000
Offering Price	$99.862
Spread	0.65%
Cost	$515,288
Dealer Executing Trade	Credit Suisse Securities
% of Offering  purchased by firm	0.99%
Syndicate Members	Credit Suisse, Goldman Sachs, JPMorgan, Bank America Merrill Lynch, US Bancorp, Wells Fargo, BNY Mellon,Citigroup Global Markets, Fifth Third Securities, Loop Capital, Mitsubishi UFJ Securities, PNC Capital, Samuel A Ramirez & Co, Standard Chartered Bank, Williams Capital
Fund	JPMorgan Intermediate Bond Trust
Trade Date	11/14/2012
Issuer	Macy's Retail Holdings Inc. (M 2.875% February 15, 2023)
Cusip	55616XAH
Bonds	$37,000
Offering Price	$99.862
Spread	0.65%
Cost	$36,949
Dealer Executing Trade	Credit Suisse Securities
% of Offering  purchased by firm	0.99%
Syndicate Members	Credit Suisse, Goldman Sachs, JPMorgan, Bank America Merrill Lynch, US Bancorp, Wells Fargo, BNY Mellon,Citigroup Global Markets, Fifth Third Securities, Loop Capital, Mitsubishi UFJ Securities, PNC Capital, Samuel A Ramirez & Co, Standard Chartered Bank, Williams Capital
Fund	JPMorgan Core Bond Trust
Trade Date	11/14/2012
Issuer	Turlock Corporation/Eaton (ETN 4.00% November 2, 2032 144A)
Cusip	900212AA
Bonds	$170,000
Offering Price	$99.688
Spread	0.88%
Cost	$169,470
Dealer Executing Trade	Citigroup Global Markets
% of Offering  purchased by firm	1.28%
Syndicate Members	Bank America Merrill Lynch, Citigroup Global Markets, Deutsche Bank, JPMorgan, Morgan Stanley, BNY Mellon, Barclays Capital, BNP Paribas, Credit Suisse, Goldman Sachs, KeyBanc Capital, PNC Capital, Svenska Handelsbanken, UBS Securities, Wells Fargo
Fund	JPMorgan Core Bond Trust
Trade Date	11/14/2012
Issuer	Turlock Corporation/Eaton (ETN 1.50% November 2, 2017 144A)
Cusip	900212AG
Bonds	$182,000
Offering Price	$99.891
Spread	0.60%
Cost	$181,802
Dealer Executing Trade	Morgan Stanley and Company
% of Offering  purchased by firm	2.79%
Syndicate Members	Bank America Merrill Lynch, Citigroup Global Markets, Deutsche Bank, JPMorgan, Morgan Stanley, BNY Mellon, Barclays Capital, BNP Paribas, Credit Suisse, Goldman Sachs, KeyBanc Capital, PNC Capital, Svenska Handelsbanken, UBS Securities, Wells Fargo, HSBC Securites, Intesa Sanpaolo
Fund	JPMorgan Intermediate Bond Trust
Trade Date	11/14/2012
Issuer	Turlock Corporation/Eaton (ETN 1.50% November 2, 2017 144A)
Cusip	900212AG
Bonds	$27,000
Offering Price	$99.891
Spread	0.60%
Cost	$26,971
Dealer Executing Trade	Morgan Stanley and Company
% of Offering  purchased by firm	2.79%
Syndicate Members	Bank America Merrill Lynch, Citigroup Global Markets, Deutsche Bank, JPMorgan, Morgan Stanley, BNY Mellon, Barclays Capital, BNP Paribas, Credit Suisse, Goldman Sachs, KeyBanc Capital, PNC Capital, Svenska Handelsbanken, UBS Securities, Wells Fargo, HSBC Securites, Intesa Sanpaolo
Fund	JPMorgan Core Bond Trust
Trade Date	11/15/2012
Issuer	National Oilwell Varco, Inc. (NOV 1.35% December 1, 2017)
Cusip	637071AL
Bonds	$188,000
Offering Price	$99.903
Spread	0.60%
Cost	$187,818
Dealer Executing Trade	Barclays Capital Inc.
% of Offering  purchased by firm	0.95%
Syndicate Members	Barclays Capital, DNB Nor Markets, JPMorgan, Lloyds Securities, Mitsubishi UFJ Securities, Wells Fargo, Fifth Third Securities, PNC Capital, Scotia Capital, Skandinaviska Enskilda Banken, uniCredit Capital, US Bancorp
Fund	JPMorgan Intermediate Bond Trust
Trade Date	11/15/2012
Issuer	National Oilwell Varco, Inc. (NOV 1.35% December 1, 2017)
Cusip	637071AL
Bonds	$15,000
Offering Price	$99.903
Spread	0.60%
Cost	$14,985
Dealer Executing Trade	Barclays Capital Inc.
% of Offering  purchased by firm	0.95%
Syndicate Members	Barclays Capital, DNB Nor Markets, JPMorgan, Lloyds Securities, Mitsubishi UFJ Securities, Wells Fargo, Fifth Third Securities, PNC Capital, Scotia Capital, Skandinaviska Enskilda Banken, uniCredit Capital, US Bancorp
Fund	JPMorgan Core Bond Trust
Trade Date	11/26/2012
Issuer	Cox Communications Inc (COXENT 3.25% December 15, 2022 144A)
Cusip	224044BW
Bonds	$446,000
Offering Price	$99.846
Spread	0.65%
Cost	$445,313
Dealer Executing Trade	Wells Fargo Advisors
% of Offering  purchased by firm	0.45%
Syndicate Members	Barclays Capital, Citigroup Global Markets, JPMorgan, Wells Fargo, Bank America Merrill Lynch, Goldman Scahs, Morgan Stanley RBC Capital, Sifel Nicolaus, Credit Agricole, Deutsche Bank, Fifth Third Securities, Mizuho Securities, RBS Securities, SMBC Nikko Securities
Fund	JPMorgan Core Bond Trust
Trade Date	11/27/2012
Issuer	The Walt Disney Company (DIS 0.45% December 1, 2015)
Cusip	25468PCU
Bonds	$333,000
Offering Price	$99.255
Spread	0.20%
Cost	$330,519
Dealer Executing Trade	Citigroup Global Markets
% of Offering  purchased by firm	5.22%
Syndicate Members	Citigroup Global Markets, Goldman Scahs, JPMorgan, Bank America Merrill Lynch, Morgan Stanley, RBS Securities, Dexel Hamilton, Lebenthal & Co, Loop Capital, Mizuho Securities, Muriel Siebert & Co, RBC Capital, Samuel A Ramirez & Co, SunTrust Robinson Humphrey, US Bancorp, Wells Fargo, Williams Capital
Fund	JPMorgan Intermediate Bond Trust
Trade Date	11/27/2012
Issuer	The Walt Disney Company (DIS 0.45% December 1, 2015)
Cusip	25468PCU
Bonds	$42,000
Offering Price	$99.255
Spread	0.20%
Cost	$41,687
Dealer Executing Trade	Citigroup Global Markets
% of Offering  purchased by firm	5.22%
Syndicate Members	Citigroup Global Markets, Goldman Scahs, JPMorgan, Bank America Merrill Lynch, Morgan Stanley, RBS Securities, Dexel Hamilton, Lebenthal & Co, Loop Capital, Mizuho Securities, Muriel Siebert & Co, RBC Capital, Samuel A Ramirez & Co, SunTrust Robinson Humphrey, US Bancorp, Wells Fargo, Williams Capital
Fund	JPMorgan Core Bond Trust
Trade Date	11/28/2012
Issuer	American Electric Power Company (AEP 1.65% December 15, 2017)
Cusip	025537AF
Bonds	$286,000
Offering Price	$99.884
Spread	0.60%
Cost	$285,668
Dealer Executing Trade	Goldman Sachs and Company
% of Offering  purchased by firm	0.84%
Syndicate Members	BNP Paribas, Citigroup Global Markets, Credit Agricole, Goldman Sachs, JPMorgan, RBS Securities, BNY mellon, KeyBanc Capital, Mizuho Securities, Scotia Capital, SunTrust Robinson Humphrey
Fund	JPMorgan Intermediate Bond Trust
Trade Date	11/28/2012
Issuer	American Electric Power Company (AEP 1.65% December 15, 2017)
Cusip	025537AF
Bonds	$27,000
Offering Price	$99.884
Spread	0.60%
Cost	$26,969
Dealer Executing Trade	Goldman Sachs and Company
% of Offering  purchased by firm	0.84%
Syndicate Members	BNP Paribas, Citigroup Global Markets, Credit Agricole, Goldman Sachs, JPMorgan, RBS Securities, BNY mellon, KeyBanc Capital, Mizuho Securities, Scotia Capital, SunTrust Robinson Humphrey
Fund	JPMorgan Core Bond Trust
Trade Date	11/28/2012
Issuer	Apache Corporation (APA 2.625% January 15, 2023)
Cusip	037411BD
Bonds	$615,000
Offering Price	$99.469
Spread	0.65%
Cost	$611,734
Dealer Executing Trade	Citigroup Global Markets
% of Offering  purchased by firm	0.83%
Syndicate Members	BMO Capital, BNP Paribas, Citigroup Global Markets, Credit Agricole, Deutsche Bank, Goldman Sachs, HSBC Securities, JPMorgan, Bank America Merrill Lynch, Mitsubishi UFJ Securities, Mizuho Securities, RBC Capital, RBS Securities, UBS Securities, Wells Fargo, Fifth Third Securities, MOrgan Stanley, SG Americas, Standard Chartered Bank
Fund	JPMorgan Intermediate Bond Trust
Trade Date	11/28/2012
Issuer	Apache Corporation (APA 2.625% January 15, 2023)
Cusip	037411BD
Bonds	$58,000
Offering Price	$99.469
Spread	0.65%
Cost	$57,692
Dealer Executing Trade	Citigroup Global Markets
% of Offering  purchased by firm	0.83%
Syndicate Members	BMO Capital, BNP Paribas, Citigroup Global Markets, Credit Agricole, Deutsche Bank, Goldman Sachs, HSBC Securities, JPMorgan, Bank America Merrill Lynch, Mitsubishi UFJ Securities, Mizuho Securities, RBC Capital, RBS Securities, UBS Securities, Wells Fargo, Fifth Third Securities, MOrgan Stanley, SG Americas, Standard Chartered Bank
Fund	JPMorgan Core Bond Trust
Trade Date	11/28/2012
Issuer	Costco Wholesale Corp (COST 0.65% December 7, 2015)
Cusip	22160KAD
Bonds	$849,000
Offering Price	$99.881
Spread	0.25%
Cost	$847,990
Dealer Executing Trade	BofA Merrill Lynch
% of Offering  purchased by firm	2.61%
Syndicate Members	Guggenheim Securities, JPMorgan, Bank America Merrill Lynch
Fund	JPMorgan Intermediate Bond Trust
Trade Date	11/28/2012
Issuer	Costco Wholesale Corp (COST 0.65% December 7, 2015)
Cusip	22160KAD
Bonds	$85,000
Offering Price	$99.881
Spread	0.25%
Cost	$84,899
Dealer Executing Trade	BofA Merrill Lynch
% of Offering  purchased by firm	2.61%
Syndicate Members	Guggenheim Securities, JPMorgan, Bank America Merrill Lynch
Fund	JPMorgan Core Bond Trust
Trade Date	11/29/2012
Issuer	McKesson Corporation (MCK 0.95% December 4, 2015)
Cusip	581557AY
Bonds	$164,000
Offering Price	$99.897
Spread	0.45%
Cost	$163,831
Dealer Executing Trade	BofA Merrill Lynch
% of Offering  purchased by firm	1.60%
Syndicate Members	JPMorgan, Bank America Merrill Lynch, Mitsubishi UFJ Securities, Scotia Capital Fufth Third Securities, HSBC Securities, Lloyds Securities, PNC Capital, Rabo Securities, TD Securities, US Bancorp, Wells Fargo
Fund	JPMorgan Intermediate Bond Trust
Trade Date	11/29/2012
Issuer	McKesson Corporation (MCK 0.95% December 4, 2015)
Cusip	581557AY
Bonds	$17,000
Offering Price	$99.897
Spread	0.45%
Cost	$16,982
Dealer Executing Trade	BofA Merrill Lynch
% of Offering  purchased by firm	1.60%
Syndicate Members	JPMorgan, Bank America Merrill Lynch, Mitsubishi UFJ Securities, Scotia Capital Fufth Third Securities, HSBC Securities, Lloyds Securities, PNC Capital, Rabo Securities, TD Securities, US Bancorp, Wells Fargo
Fund	JPMorgan Core Bond Trust
Trade Date	12/4/2012
Issuer	Intel (INTC 4.000% Decmeber 15, 2032)
Cusip	458140AN
Bonds	$685,000
Offering Price	$99.115
Spread	0.60%
Cost	$678,938
Dealer Executing Trade	BofA Merrill Lynch
% of Offering  purchased by firm	1.25%
Syndicate Members	JPMorgan, Bank America Merrill Lynch, Credit Suisse, Morgan Stanley, Needham & Co, Wells Fargo
Fund	JPMorgan Core Bond Trust
Trade Date	12/10/2012
Issuer	Ecolab Inc. (ECL 1.45% December 8, 2017)
Cusip	278865AP
Bonds	$447,000
Offering Price	$99.919
Spread	0.60%
Cost	$446,638
Dealer Executing Trade	BofA Merrill Lynch
% of Offering  purchased by firm	2.27%
Syndicate Members	Bank America Merrill Lynch, RBS Securities, JPMorgan, Mitsubishi UFJ Securities, SMBC Capital, Citigroup Global Markets, Credit Suisse, US Bancorp, Wells Fargo
Fund	JPMorgan Core Bond Trust
Trade Date	12/13/2012
Issuer	HSBC USA Inc (HSBC 1.625% January 16, 2018)
Cusip	40428HPH
Bonds	$800,000
Offering Price	$99.714
Spread	0.35%
Cost	$797,712
Dealer Executing Trade	HSBC Securities Inc
% of Offering  purchased by firm	1.33%
Syndicate Members	HSBC Securities, bank of Nova Scotia, BNY Mellon, Bank America Merrill Lynch, BMO Capital, CIBC Comerica, Fifth Third Securities, Goldman Sachs, JPMorgan, Loop Capital, Morgan Stanley, RBC Capital, SunTrust Robinson Humphrey, US Bancorp, Wells Fargo, ANB Amro Bank, Danske Bank, Lloyds Capital, Mischler Financial Group, Natixis Securities, RB International, RBS Securities
Fund	JPMorgan Core Bond Trust
Trade Date	12/17/2012
Issuer	Precision Castparts Corporation (PCP 0.70% December 20, 2015)
Cusip	740189AJ
Bonds	$215,000
Offering Price	$99.970
Spread	0.45%
Cost	$214,936
Dealer Executing Trade	Citigroup Global Markets
% of Offering  purchased by firm	1.52%
Syndicate Members	Citigroup Global Markets, Bank America Merrill Lynch, Mizuho Securities, US Bancorp, Wells Fargo, JPMorgan, Mitsubishi UFJ Securities, PNC Capital, Barclays Capital, BNY Mello, Scotia Capital
Fund	JPMorgan Intermediate Bond Trust
Trade Date	12/17/2012
Issuer	Precision Castparts Corporation (PCP 0.70% December 20, 2015)
Cusip	740189AJ
Bonds	$43,000
Offering Price	$99.970
Spread	0.45%
Cost	$42,987
Dealer Executing Trade	Citigroup Global Markets
% of Offering  purchased by firm	1.52%
Syndicate Members	Citigroup Global Markets, Bank America Merrill Lynch, Mizuho Securities, US Bancorp, Wells Fargo, JPMorgan, Mitsubishi UFJ Securities, PNC Capital, Barclays Capital, BNY Mello, Scotia Capital
Fund	JPMorgan Intermediate Bond Trust
Trade Date	1/3/2013
Issuer	Metropolitan Life Global Funding I (MET 1.50% January 10, 2018 144A)
Cusip	59217GAY
Bonds	$100,000
Offering Price	$99.478
Spread	0.35%
Cost	$99,478
Dealer Executing Trade	Barclays Capital Inc.
% of Offering  purchased by firm	1.85%
Syndicate Members	Barclays Capital, JPMorgan, UBS Securities, Jefferieis & Co, Mizuho Securities, US Bancorp
Fund	JPMorgan Core Bond Trust
Trade Date	1/7/2013
Issuer	ADT Corp (ADT 4.125% June 15, 2023 144A)
Cusip	00101JAD
Bonds	$264,000
Offering Price	$99.986
Spread	0.63%
Cost	$263,963
Dealer Executing Trade	Morgan Stanley and Company
% of Offering  purchased by firm	0.61%
Syndicate Members	Citigroup Global Markets, Goldman sachs, Morgan Stanley, BONY Mellon, Bank America Merrill Lynch, Barclays Capital, Credit Suisse, Deutsche bank, JPMorgan, Scotia Capital, Wells Fargo, Williams Capital
Fund	JPMorgan Intermediate Bond Trust
Trade Date	1/7/2013
Issuer	ADT Corp (ADT 4.125% June 15, 2023 144A)
Cusip	00101JAD
Bonds	$24,000
Offering Price	$99.986
Spread	0.63%
Cost	$23,997
Dealer Executing Trade	Morgan Stanley and Company
% of Offering  purchased by firm	0.61%
Syndicate Members	Citigroup Global Markets, Goldman sachs, Morgan Stanley, BONY Mellon, Bank America Merrill Lynch, Barclays Capital, Credit Suisse, Deutsche bank, JPMorgan, Scotia Capital, Wells Fargo, Williams Capital
Fund	JPMorgan Core Bond Trust
Trade Date	1/7/2013
Issuer	Daimler Finance North America LLC (DAIGR 1.875% January 11, 2018 144A)
Cusip	233851AU
Bonds	$532,000
Offering Price	$99.583
Spread	0.30%
Cost	$529,782
Dealer Executing Trade	Citigroup Global Markets
% of Offering  purchased by firm	2.59%
Syndicate Members	Citigroup Global Markets, JPMorgan, Mizuho Securities, RBS Securities
Fund	JPMorgan Intermediate Bond Trust
Trade Date	1/7/2013
Issuer	Daimler Finance North America LLC (DAIGR 1.875% January 11, 2018 144A)
Cusip	233851AU
Bonds	$150,000
Offering Price	$99.583
Spread	0.30%
Cost	$149,375
Dealer Executing Trade	Citigroup Global Markets
% of Offering  purchased by firm	2.59%
Syndicate Members	Citigroup Global Markets, JPMorgan, Mizuho Securities, RBS Securities
Fund	JPMorgan Core Bond Trust
Trade Date	1/8/2013
Issuer	Atmos Energy Corporation (ATO 4.15% January 15, 2043)
Cusip	049560AL
Bonds	$828,000
Offering Price	$99.812
Spread	0.88%
Cost	$826,443
Dealer Executing Trade	Mitsubishi UFJ Securities
% of Offering  purchased by firm	3.33%
Syndicate Members	Credit Agricole, JPMorgan, Mitsubishi UFJ Securities, RBS Securities, US Bancorp, BNP Paribas, Bank America Merrill Lynch, UBS Securities, Wells Fargo, BBB&T Capital, BOSC Inc, Goldman Sachs, Morgan Stanley
Fund	JPMorgan Core Bond Trust
Trade Date	1/8/2013
Issuer	Comcast Corporation (CMCSA 4.25% January 15, 2033)
Cusip	20030NBH
Bonds	$1,082,000
Offering Price	$99.161
Spread	0.65%
Cost	$1,072,922
Dealer Executing Trade	Goldman Sachs and Company
% of Offering  purchased by firm	1.13%
Syndicate Members	Barclays Capital, Deutsche bank, Goldman sachs, RBS Securities, UBS Securities, Allen & Co, BNP Paribas, Braodpoint Capital, Citigroup, Credit Suisse, DNB Markets, Drexel Hamilton, JPMorgan, Lebenthal & Co, Lloyds Securities, Loop Capital, Bank America Merrill Lynch, MFR Securities, Mischler Financial, Mixuho Securities, Morgan Stanley, PNC Capital, RBC Capital, Samuel A Ramirez & Co, Santander Investments, SMBC Nikko Capital, SunTrust Robinson Humphrey, TD Securities, US Bancorp, Wells Fargo, Williams Capital
Fund	JPMorgan Core Bond Trust
Trade Date	1/14/2013
Issuer	Penske Truck Leasing Co., LP (PENSKE 2.875% July 17, 2018 144A)
Cusip	709599AL
Bonds	$479,000
Offering Price	$99.783
Spread	0.50%
Cost	$477,961
Dealer Executing Trade	BofA Merrill Lynch
% of Offering  purchased by firm	1.00%
Syndicate Members	Bank America Merrill Lynch, JPMorgan, Wells fargo, Bank of Tokyo-Mitsubishi UFJ, Comerica Securities, Deutsche Bank, Fifth Third Securities, Huntington Capital, Mizuho Securities, PNC Capital, RBS Securities, SMBC Nikko Capital, Sovereign Bank, US Bancorp
Fund	JPMorgan Intermediate Bond Trust
Trade Date	1/14/2013
Issuer	Penske Truck Leasing Co., LP (PENSKE 2.875% July 17, 2018 144A)
Cusip	709599AL
Bonds	$53,000
Offering Price	$99.783
Spread	0.50%
Cost	$52,885
Dealer Executing Trade	BofA Merrill Lynch
% of Offering  purchased by firm	1.00%
Syndicate Members	Bank America Merrill Lynch, JPMorgan, Wells fargo, Bank of Tokyo-Mitsubishi UFJ, Comerica Securities, Deutsche Bank, Fifth Third Securities, Huntington Capital, Mizuho Securities, PNC Capital, RBS Securities, SMBC Nikko Capital, Sovereign Bank, US Bancorp
Fund	JPMorgan Core Bond Trust
Trade Date	1/15/2013
Issuer	Conagra Foods Inc (CAG 1.30% January 25, 2016)
Cusip	205887BP
Bonds	$223,000
Offering Price	$99.956
Spread	0.40%
Cost	$222,902
Dealer Executing Trade	BofA Merrill Lynch
% of Offering  purchased by firm	1.82%
Syndicate Members	JPMorgan, Bank America Merrill Lynch, RBS Securities, US Bancorp, BNP Paribas, Mitsubishi UFJ, Mizuho Securities, Scotia Capital, Wells Fargo
Fund	JPMorgan Core Bond Trust
Trade Date	1/15/2013
Issuer	Jefferies Group Inc. (JEF 6.50% January 20. 2043)
Cusip	472319AM
Bonds	$203,000
Offering Price	$98.790
Spread	0.88%
Cost	$200,544
Dealer Executing Trade	Jefferies and Company
% of Offering  purchased by firm	1.58%
Syndicate Members	Jefferies & Co, Barclays Capitak, BNY Mellon, Citigroup, Credit Suisse, Deutsche Bank, HSBC Securities, JMP Securities, JPMorgan, Keefe Bruyette & Woods, Knight Capital, Bank America Merrill Lynch, Natixis Securities, Oppenheimer & Co, RBC Capital, Sandler O'Neill & Partners, Stephens Inc, Stifel Nicolaus & Co, US Bancorp
Fund	JPMorgan Intermediate Bond Trust
Trade Date	1/16/2013
Issuer	BMW Vehicle Lease Trust 2013-1 A2 (BMWLT A2 0.40% January 20, 2015)
Cusip	09657YAB
Bonds	$146,000
Offering Price	$99.999
Spread	0.18%
Cost	$145,999
Dealer Executing Trade	BofA Merrill Lynch
% of Offering  purchased by firm	17.66%
Syndicate Members	Bank America Merrill Lynch, RBC Capital, Credit Agricole, Credit Suisse, JPMorgan
Fund	JPMorgan Intermediate Bond Trust
Trade Date	1/16/2013
Issuer	BMW Vehicle Lease Trust 2013-1 A3(BMWLT A3 0.54% September 21, 2015)
Cusip	09657YAC
Bonds	$48,000
Offering Price	$99.984
Spread	0.25%
Cost	$47,992
Dealer Executing Trade	BofA Merrill Lynch
% of Offering  purchased by firm	1.44%
Syndicate Members	Bank America Merrill Lynch, RBC Capital, Credit Agricole, Credit Suisse, JPMorgan
Fund	JPMorgan Core Bond Trust
Trade Date	1/16/2013
Issuer	Zoetis Inc (ZTS 4.70% February 1, 2043 144A)
Cusip	98978VAC
Bonds	$123,000
Offering Price	$99.268
Spread	0.75%
Cost	$122,100
Dealer Executing Trade	Deutsche Bank Securities
% of Offering  purchased by firm	0.21%
Syndicate Members	Bank America Merrill Lynch, Barclays Capital, BNP Paribas, Citigroup, Deutsche bank, HSBC Securities, JPMorgan, Morgan Stanley, RBC Capital, Loop Capital, Rabo Securities, Standard Chartered, Williams Capital
Fund	JPMorgan Core Bond Trust
Trade Date	1/16/2013
Issuer	Zoetis Inc (ZTS 1.875% February 1, 2018144A)
Cusip	98978VAF
Bonds	$193,000
Offering Price	$99.943
Spread	0.60%
Cost	$192,890
Dealer Executing Trade	BofA Merrill Lynch
% of Offering  purchased by firm	0.62%
Syndicate Members	Bank America Merrill Lynch, Barclays Capital, BNP Paribas, Citigroup, Deutsche bank, HSBC Securities, JPMorgan, Morgan Stanley, RBC Capital, Loop Capital, Rabo Securities, Standard Chartered, Williams Capital
Fund	JPMorgan Core Bond Trust
Trade Date	2/11/2013
Issuer	Vodafone Group Plc (VOD 1.50% February 19, 2018)
Cusip	92857WBE
Bonds	$350,000
Offering Price	$99.540
Spread	0.15%
Cost	$348,390
Dealer Executing Trade	Morgan Stanley and Company
% of Offering  purchased by firm	1.41%
Syndicate Members	Barclays Capital, HSBC Securities, JPMorgan, Mitsubishi UFJ Securities, Morgan Stanley
Fund	JPMorgan Intermediate Bond Trust
Trade Date	2/11/2013
Issuer	Vodafone Group Plc (VOD 1.50% February 19, 2018)
Cusip	92857WBE
Bonds	$100,000
Offering Price	$99.540
Spread	0.15%
Cost	$99,540
Dealer Executing Trade	Morgan Stanley and Company
% of Offering  purchased by firm	1.41%
Syndicate Members	Barclays Capital, HSBC Securities, JPMorgan, Mitsubishi UFJ Securities, Morgan Stanley
Fund	JPMorgan Core Bond Trust
Trade Date	2/12/2013
Issuer	American Honda Finance (HNDA 1.60% February 16, 2018 144A)
Cusip	02666QM2
Bonds	$533,000
Offering Price	$99.943
Spread	0.35%
Cost	$532,696
Dealer Executing Trade	Citigroup Global Markets
% of Offering  purchased by firm	3.86%
Syndicate Members	Citigroup Global Markets, JPMorgan, RBS Securities
Fund	JPMorgan Core Bond Trust
Trade Date	2/12/2013
Issuer	Arrow Electrics Inc (ARW 3.00% March 1, 2018)
Cusip	042735BB
Bonds	$219,000
Offering Price	$99.481
Spread	0.60%
Cost	$217,863
Dealer Executing Trade	BofA Merrill Lynch
% of Offering  purchased by firm	1.21%
Syndicate Members	Goldman Sachs, JPMOrgan, Bank America Merrill Lynch, BNP Paribas, HSBC Securities, Mitsubishi UFJ Securities, Mizuho Securities, RBS Securities, Scotia Capital, Wells Fargo
Fund	JPMorgan Intermediate Bond Trust
Trade Date	2/12/2013
Issuer	Arrow Electrics Inc (ARW 3.00% March 1, 2018)
Cusip	042735BB
Bonds	$32,000
Offering Price	$99.481
Spread	0.60%
Cost	$31,834
Dealer Executing Trade	BofA Merrill Lynch
% of Offering  purchased by firm	1.21%
Syndicate Members	Goldman Sachs, JPMOrgan, Bank America Merrill Lynch, BNP Paribas, HSBC Securities, Mitsubishi UFJ Securities, Mizuho Securities, RBS Securities, Scotia Capital, Wells Fargo
Fund	JPMorgan Core Bond Trust
Trade Date	2/12/2013
Issuer	Arrow Electrics Inc (ARW 4.50% March 1, 2023)
Cusip	042735BC
Bonds	$353,000
Offering Price	$99.202
Spread	0.65%
Cost	$350,183
Dealer Executing Trade	BofA Merrill Lynch
% of Offering  purchased by firm	1.43%
Syndicate Members	Goldman Sachs, JPMOrgan, Bank America Merrill Lynch, BNP Paribas, HSBC Securities, Mitsubishi UFJ Securities, Mizuho Securities, RBS Securities, Scotia Capital, Wells Fargo
Fund	JPMorgan Intermediate Bond Trust
Trade Date	2/12/2013
Issuer	Arrow Electrics Inc (ARW 4.50% March 1, 2023)
Cusip	042735BC
Bonds	$29,000
Offering Price	$99.202
Spread	0.65%
Cost	$28,769
Dealer Executing Trade	BofA Merrill Lynch
% of Offering  purchased by firm	1.43%
Syndicate Members	Goldman Sachs, JPMOrgan, Bank America Merrill Lynch, BNP Paribas, HSBC Securities, Mitsubishi UFJ Securities, Mizuho Securities, RBS Securities, Scotia Capital, Wells Fargo
Fund	JPMorgan Core Bond Trust
Trade Date	2/25/2013
Issuer	Pepsico Inc (PEP FRN February 26, 2016)
Cusip	713448CF
Bonds	$500,000
Offering Price	$100.000
Spread	0.25%
Cost	$500,000
Dealer Executing Trade	BofA Merrill Lynch
% of Offering  purchased by firm	0.69%
Syndicate Members	BNP Paribas, JPMorgan, Bank America Merrill Lynch, Loop Capital, Mizuho Securities, US Bancorp
Fund	JPMorgan Core Bond Trust
Trade Date	2/25/2013
Issuer	UnitedHealth Group Inc (UNH 2.875% March 15,2023)
Cusip	91324PCC
Bonds	$400,000
Offering Price	$99.593
Spread	0.45%
Cost	$398,372
Dealer Executing Trade	Wells Fargo Advisors
% of Offering  purchased by firm	0.85%
Syndicate Members	Barclays Capital, Citigroup Global Markets, Deutsche Bank, RBS Securities, US Bancorp, Wells Fargo, BB&T Capital, BMO Capital, BNY Mellon, Credit Suisse, CRT Capital, Fifth Third Securities, Goldman Sachs, JPMorgan, KeyBanc Capital, Bank America Merrill Lynch, Morgan Stanley, PNC Capital, UBS Securities, Williams Capital
Fund	JPMorgan Core Bond Trust
Trade Date	2/28/2013
Issuer	Freeport-McMoran Copper & Gold Inc. (FCX 5.45% March 15, 2043 144A)
Cusip	35671DBA
Bonds	$299,000
Offering Price	$99.544
Spread	0.88%
Cost	$297,637
Dealer Executing Trade	BofA Merrill Lynch
% of Offering  purchased by firm	0.73%
Syndicate Members	BNP Pairbas, Citigroup Global Markets, JPMorgan, Bank America Merrill Lynch, BMO Capital, CIBC World Markets, HSBC Securities, Mitsubishi UFJ Securities, Mizuho Securities, RBC Capital, Santander Investment Securities, Scotia Capital, SMBC Capital, Standard Chartered, TD Securities, US Bancorp
Fund	JPMorgan Core Bond Trust
Trade Date	2/28/2013
Issuer	Freeport-McMoran Copper & Gold Inc. (FCX 2.375% March 15, 2018 144A)
Cusip	35671DBE
Bonds	$234,000
Offering Price	$99.990
Spread	0.56%
Cost	$233,977
Dealer Executing Trade	BofA Merrill Lynch
% of Offering  purchased by firm	0.41%
Syndicate Members	BNP Pairbas, Citigroup Global Markets, JPMorgan, Bank America Merrill Lynch, BMO Capital, CIBC World Markets, HSBC Securities, Mitsubishi UFJ Securities, Mizuho Securities, RBC Capital, Santander Investment Securities, Scotia Capital, SMBC Capital, Standard Chartered, TD Securities, US Bancorp
Fund	JPMorgan Intermediate Bond Trust
Trade Date	2/28/2013
Issuer	Freeport-McMoran Copper & Gold Inc. (FCX 2.375% March 15, 2018 144A)
Cusip	35671DBE
Bonds	$22,000
Offering Price	$99.990
Spread	0.56%
Cost	$21,998
Dealer Executing Trade	BofA Merrill Lynch
% of Offering  purchased by firm	0.41%
Syndicate Members	BNP Pairbas, Citigroup Global Markets, JPMorgan, Bank America Merrill Lynch, BMO Capital, CIBC World Markets, HSBC Securities, Mitsubishi UFJ Securities, Mizuho Securities, RBC Capital, Santander Investment Securities, Scotia Capital, SMBC Capital, Standard Chartered, TD Securities, US Bancorp
Fund	JPMorgan Core Bond Trust
Trade Date	2/28/2013
Issuer	Freeport-McMoran Copper & Gold Inc. (FCX 3.10% March 15, 2020 144A)
Cusip	35671DBF
Bonds	$453,000
Offering Price	$99.962
Spread	0.63%
Cost	$452,828
Dealer Executing Trade	BofA Merrill Lynch
% of Offering  purchased by firm	0.63%
Syndicate Members	BNP Pairbas, Citigroup Global Markets, JPMorgan, Bank America Merrill Lynch, BMO Capital, CIBC World Markets, HSBC Securities, Mitsubishi UFJ Securities, Mizuho Securities, RBC Capital, Santander Investment Securities, Scotia Capital, SMBC Capital, Standard Chartered, TD Securities, US Bancorp
Fund	JPMorgan Intermediate Bond Trust
Trade Date	2/28/2013
Issuer	Freeport-McMoran Copper & Gold Inc. (FCX 3.10% March 15, 2020 144A)
Cusip	35671DBF
Bonds	$42,000
Offering Price	$99.962
Spread	0.63%
Cost	$41,984
Dealer Executing Trade	BofA Merrill Lynch
% of Offering  purchased by firm	0.63%
Syndicate Members	BNP Pairbas, Citigroup Global Markets, JPMorgan, Bank America Merrill Lynch, BMO Capital, CIBC World Markets, HSBC Securities, Mitsubishi UFJ Securities, Mizuho Securities, RBC Capital, Santander Investment Securities, Scotia Capital, SMBC Capital, Standard Chartered, TD Securities, US Bancorp