0001752724-23-016729.txt : 20230127 0001752724-23-016729.hdr.sgml : 20230127 20230127161727 ACCESSION NUMBER: 0001752724-23-016729 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20221130 FILED AS OF DATE: 20230127 DATE AS OF CHANGE: 20230127 PERIOD START: 20230228 FILER: COMPANY DATA: COMPANY CONFORMED NAME: JPMorgan Institutional Trust CENTRAL INDEX KEY: 0001303608 IRS NUMBER: 201491791 STATE OF INCORPORATION: DE FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-21638 FILM NUMBER: 23563121 BUSINESS ADDRESS: STREET 1: 277 PARK AVENUE CITY: NEW YORK STATE: NY ZIP: 10172 BUSINESS PHONE: 800-480-4111 MAIL ADDRESS: STREET 1: 277 PARK AVENUE CITY: NEW YORK STATE: NY ZIP: 10172 0001303608 S000007337 JPMorgan Core Bond Trust C000020141 JPMorgan Core Bond Trust NPORT-P 1 primary_doc.xml NPORT-P false 0001303608 XXXXXXXX S000007337 C000020141 JPMorgan Institutional Trust 811-21638 0001303608 5493005FRK56SHN6MJ34 277 Park Avenue New York 10172 800-480-4111 JPMorgan Core Bond Trust S000007337 549300Q7485FUJKEMM46 2023-02-28 2022-11-30 N 2125425943.78 9181049.81 2116244893.97 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 USD N N/A N/A United States of America 254900HROIFWPRGM1V77 U.S. Treasury Bonds 912810TJ7 16975000.00000000 PA USD 14534843.75000000 0.686822389573 Long DBT UST US N 2 2052-08-15 Fixed 3.00000000 N N N N N N United States of America 254900HROIFWPRGM1V77 U.S. Treasury Inflation Indexed Bonds 912810FD5 799000.00000000 PA USD 1624072.15000000 0.076743110148 Long DBT UST US N 2 2028-04-15 Fixed 3.62500000 N N N N N N GNMA 549300M8ZYFG0OCMTT87 GNMA, Series 2008-93, Class AS 38375Y2X9 155428.47000000 PA USD 7572.91000000 0.000357846581 Long ABS-MBS USGA US N 2 2038-12-20 Floating 1.76142960 N N N N N N BOC Aviation Ltd. 254900H06V5RMEB3KE72 BOC Aviation Ltd. 09681LAJ9 310000.00000000 PA USD 297076.88000000 0.014037925423 Long DBT CORP SG Y 2 2024-10-10 Fixed 3.50000000 N N N N N N FNMA B1V7KEBTPIMZEU4LTD58 FNMA UMBS, 30 Year 3140M1CG7 4992505.69000000 PA USD 4287984.90000000 0.202622338852 Long ABS-MBS USGSE US N 2 2051-10-01 Fixed 2.50000000 N N N N N N Boston Properties LP BVHHEFJI6SHNOKQT2572 Boston Properties LP 10112RAX2 483000.00000000 PA USD 459445.06000000 0.021710391897 Long DBT CORP US N 2 2026-02-01 Fixed 3.65000000 N N N N N N UniCredit SpA 549300TRUWO2CD2G5692 UniCredit SpA 904678AU3 905000.00000000 PA USD 796347.30000000 0.037630205382 Long DBT CORP IT Y 2 2026-09-22 Variable 2.56899960 N N N N N N HCA, Inc. 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N/A HF Sinclair Corp. 403949AA8 1275000.00000000 PA USD 1248844.52000000 0.059012287451 Long DBT CORP US N 2 2023-10-01 Fixed 2.62500000 N N N N N N GNMA 549300M8ZYFG0OCMTT87 GNMA, Series 2009-33, Class CI 38374UKD2 70759.51000000 PA USD 8393.55000000 0.000396624701 Long ABS-MBS USGA US N 2 2039-05-20 Fixed 5.50000000 N N N N N N FNMA B1V7KEBTPIMZEU4LTD58 FNMA, REMIC, Series 2009-62, Class HJ 31396QTN9 18277.60000000 PA USD 18233.35000000 0.000861589792 Long ABS-MBS USGSE US N 2 2039-05-25 Fixed 6.00000000 N N N N N N FHLMC S6XOOCT0IEG5ABCC6L87 FHLMC 3128QSZC3 10174.76000000 PA USD 9997.78000000 0.000472430200 Long ABS-MBS USGSE US N 2 2036-10-01 Variable 3.84500160 N Y N N N N FNMA B1V7KEBTPIMZEU4LTD58 FNMA, Other 3140J2H58 4494552.21000000 PA USD 3678028.93000000 0.173799778110 Long ABS-MBS USGSE US N 2 2030-10-01 Fixed 1.45000000 N N N N N N GNMA 549300M8ZYFG0OCMTT87 GNMA I, 30 Year 36201SRB7 11908.43000000 PA USD 12302.60000000 0.000581341036 Long ABS-MBS USGA US N 2 2032-07-15 Fixed 6.50000000 N N N N N N GNMA 549300M8ZYFG0OCMTT87 GNMA, Series 2007-42, Class SB 38375KYH9 259054.08000000 PA USD 15791.63000000 0.000746209951 Long ABS-MBS USGA US N 2 2037-07-20 Floating 2.81143080 N N N N N N GNMA 549300M8ZYFG0OCMTT87 GNMA II, 30 Year 36202DYY1 55178.64000000 PA USD 55708.19000000 0.002632407532 Long ABS-MBS USGA US N 2 2033-08-20 Fixed 4.50000000 N N N N N N MASTR Adjustable Rate Mortgages Trust N/A MASTR Adjustable Rate Mortgages Trust, Series 2004-13, Class 2A1 576433UE4 80068.71000000 PA USD 74945.73000000 0.003541448828 Long ABS-MBS CORP US N 2 2034-04-21 Variable 4.02966000 N N N N N N FNMA B1V7KEBTPIMZEU4LTD58 FNMA, REMIC, Series 2008-27, Class SN 31396Y4G4 74282.76000000 PA USD 8290.55000000 0.000391757590 Long ABS-MBS USGSE US N 2 2038-04-25 Floating 2.88385920 N N N N N N FNMA B1V7KEBTPIMZEU4LTD58 FNMA, REMIC, Series G93-14, Class J 31358TV97 120.02000000 PA USD 119.76000000 0.000005659080 Long ABS-MBS USGSE US N 2 2023-03-25 Fixed 6.50000000 N N N N N N GNMA 549300M8ZYFG0OCMTT87 GNMA, Series 2008-40, Class SA 38375QKS7 1327630.06000000 PA USD 80506.56000000 0.003804217566 Long ABS-MBS USGA US N 2 2038-05-16 Floating 2.51343000 N N N N N N Entergy Arkansas LLC 549300A0I5ONUIFMLP35 Entergy Arkansas LLC 29364DAU4 175000.00000000 PA USD 168982.51000000 0.007985016785 Long DBT CORP US N 2 2026-04-01 Fixed 3.50000000 N N N N N N Edison International 549300I7ROF15MAEVP56 Edison International 281020AQ0 1591000.00000000 PA USD 1531120.73000000 0.072350829261 Long DBT CORP US N 2 2024-11-15 Fixed 3.55000000 N N N N N N Walt Disney Co. (The) 549300GZKULIZ0WOW665 Walt Disney Co. (The) 254687CP9 430000.00000000 PA USD 436476.05000000 0.020625025546 Long DBT CORP US N 2 2023-04-26 Fixed 8.87500000 N N N N N N GNMA 549300M8ZYFG0OCMTT87 GNMA, Series 2009-14, Class KI 38374XBQ7 143986.18000000 PA USD 19825.33000000 0.000936816436 Long ABS-MBS USGA US N 2 2039-03-20 Fixed 6.50000000 N N N N N N Citigroup, Inc. 6SHGI4ZSSLCXXQSBB395 Citigroup, Inc. 17327CAQ6 719000.00000000 PA USD 590985.95000000 0.027926160704 Long DBT CORP US N 2 2033-01-25 Variable 3.05700120 N N N N N N Fortis, Inc. 549300MQYQ9Y065XPR71 Fortis, Inc. 349553AM9 500000.00000000 PA USD 465610.18000000 0.022001715459 Long DBT CORP CA N 2 2026-10-04 Fixed 3.05500000 N N N N N N FNMA B1V7KEBTPIMZEU4LTD58 FNMA ACES, Series 2022-M13, Class A2 3136BNX43 6802000.00000000 PA USD 5839114.32000000 0.275918648953 Long ABS-MBS USGSE US N 2 2032-06-25 Fixed 2.67963700 N N N N N N FNMA B1V7KEBTPIMZEU4LTD58 FNMA, REMIC, Series 2003-34, Class AX 31393CDE0 103773.18000000 PA USD 107103.21000000 0.005061002642 Long ABS-MBS USGSE US N 2 2033-05-25 Fixed 6.00000000 N N N N N N JPMorgan Mortgage Trust N/A JPMorgan Mortgage Trust, Series 2006-A2, Class 4A1 466247K51 129098.59000000 PA USD 126528.21000000 0.005978902080 Long ABS-MBS CORP US N 2 2034-08-25 Variable 3.65080680 N N N N N N First Horizon Alternative Mortgage Securities Trust N/A First Horizon Alternative Mortgage Securities Trust, Series 2004-AA4, Class A1 32051GAA3 89400.73000000 PA USD 87423.36000000 0.004131060646 Long ABS-MBS CORP US N 2 2034-10-25 Variable 4.01109840 N N N N N N United States of America 254900HROIFWPRGM1V77 U.S. Treasury Bonds 912810QB7 3300000.00000000 PA USD 3478406.25000000 0.164366905735 Long DBT UST US N 2 2039-05-15 Fixed 4.25000000 N N N N N N UniCredit SpA 549300TRUWO2CD2G5692 UniCredit SpA 904678AW9 665000.00000000 PA USD 563469.49000000 0.026625911377 Long DBT CORP IT Y 2 2027-06-03 Variable 1.98200160 N N N N N N Banc of America Funding Trust N/A Banc of America Funding Trust, Series 2004-1 05946XGF4 65236.38000000 PA USD 45302.13000000 0.002140684668 Long ABS-MBS CORP US N 3 2034-03-25 None 0.00000000 N N N N N N FNMA B1V7KEBTPIMZEU4LTD58 FNMA, REMIC, Series 2006-128, Class BP 31396PES6 47622.27000000 PA USD 47634.33000000 0.002250889305 Long ABS-MBS USGSE US N 2 2037-01-25 Fixed 5.50000000 N N N N N N GNMA 549300M8ZYFG0OCMTT87 GNMA, Series 2018-160, Class PA 38381AH74 1253436.81000000 PA USD 1218090.77000000 0.057559064807 Long ABS-MBS USGA US N 2 2046-07-20 Fixed 3.50000000 N N N N N N United States of America 254900HROIFWPRGM1V77 U.S. Treasury STRIPS Bonds 912833PA2 1592000.00000000 PA USD 1374052.94000000 0.064928824821 Long DBT UST US N 2 2026-08-15 None 0.00000000 N N N N N N Northwestern Mutual Global Funding 635400LZXFVELZDVP257 Northwestern Mutual Global Funding 66815L2D0 795000.00000000 PA USD 673426.33000000 0.031821758054 Long DBT CORP US Y 2 2028-06-01 Fixed 1.70000000 N N N N N N American Homes 4 Rent Trust N/A American Homes 4 Rent Trust, Series 2014-SFR3, Class A 02665XAA7 2555150.80000000 PA USD 2447549.57000000 0.115655308937 Long ABS-O CORP US Y 2 2036-12-17 Fixed 3.67800000 N N N N N N GNMA 549300M8ZYFG0OCMTT87 GNMA, Series 2013-54, Class WA 38378MRL1 1065143.68000000 PA USD 1068368.72000000 0.050484172367 Long ABS-MBS USGA US N 2 2042-11-20 Variable 4.87545840 N N N N N N Bear Stearns Commercial Mortgage Securities Trust N/A Bear Stearns Commercial Mortgage Securities Trust, Series 2005-PWR8, Class X1 07383F6S2 6273.68000000 PA USD 0.06000000 0.000000002835 Long ABS-MBS CORP US Y 3 2041-06-11 Variable 0.71605080 N N N N N N Brookfield Finance, Inc. 549300XH8D8K6OYWGD17 Brookfield Finance, Inc. 11271LAC6 337000.00000000 PA USD 313357.07000000 0.014807221550 Long DBT CORP CA N 2 2028-01-25 Fixed 3.90000000 N N N N N N Memorial Sloan-Kettering Cancer Center 549300IZ71UAMEHWL382 Memorial Sloan-Kettering Cancer Center, Series 2015 586054AC2 200000.00000000 PA USD 165330.54000000 0.007812448383 Long DBT CORP US N 2 2055-07-01 Fixed 4.20000000 N N N N N N AbbVie, Inc. FR5LCKFTG8054YNNRU85 AbbVie, Inc. 00287YCZ0 480000.00000000 PA USD 435382.10000000 0.020573332568 Long DBT CORP US N 2 2042-10-01 Fixed 4.62500000 N N N N N N FHLMC S6XOOCT0IEG5ABCC6L87 FHLMC, REMIC, Series 1695, Class EB 3133T4SX5 3688.49000000 PA USD 3693.94000000 0.000174551632 Long ABS-MBS USGSE US N 2 2024-03-15 Fixed 7.00000000 N N N N N N Microsoft Corp. INR2EJN1ERAN0W5ZP974 Microsoft Corp. 594918CF9 268000.00000000 PA USD 194883.06000000 0.009208908692 Long DBT CORP US N 2 2062-03-17 Fixed 3.04100000 N N N N N N United States of America 254900HROIFWPRGM1V77 U.S. Treasury STRIPS Bonds 912833LS7 10600000.00000000 PA USD 9841876.45000000 0.465063210691 Long DBT UST US N 2 2024-08-15 None 0.00000000 N N N N N N Tennessee Valley Authority 549300HE1ISW43LNKM54 Tennessee Valley Authority 880591EJ7 304000.00000000 PA USD 288589.33000000 0.013636858892 Long DBT USGA US N 2 2060-09-15 Fixed 4.62500000 N N N N N N Alabama Power Co. 0RL818ELFOHP5JHOFU19 Alabama Power Co. 010392EZ7 239000.00000000 PA USD 249102.54000000 0.011770969452 Long DBT CORP US N 2 2038-05-15 Fixed 6.12500000 N N N N N N FNMA B1V7KEBTPIMZEU4LTD58 FNMA, REMIC, Series 1998-4, Class C 31359RA69 127.18900000 PA USD 126.14000000 0.000005960557 Long ABS-MBS USGSE US N 2 2023-04-25 None 0.00000000 N N N N N N Athene Global Funding 549300LM1QSI4MSIL320 Athene Global Funding 04685A2K6 3475000.00000000 PA USD 3124929.37000000 0.147663882327 Long DBT CORP US Y 2 2026-11-12 Fixed 2.95000000 N N N N N N FNMA B1V7KEBTPIMZEU4LTD58 FNMA, REMIC, Series 2006-77, Class PC 31396KGX4 298771.81000000 PA USD 308714.70000000 0.014587853271 Long ABS-MBS USGSE US N 2 2036-08-25 Fixed 6.50000000 N N N N N N FHLMC S6XOOCT0IEG5ABCC6L87 FHLMC, REMIC, Series 1709, Class FA 3133T4U79 203.00000000 PA USD 201.18000000 0.000009506461 Long ABS-MBS USGSE US N 2 2024-03-15 Floating 3.26999880 N N N N N N FNMA B1V7KEBTPIMZEU4LTD58 FNMA, REMIC, Series 2007-42, Class AO 31396VM96 11758.48000000 PA USD 10150.09000000 0.000479627382 Long ABS-MBS USGSE US N 2 2037-05-25 None 0.00000000 N N N N N N Constellation Brands, Inc. 5493005GKEG8QCVY7037 Constellation Brands, Inc. 21036PBD9 220000.00000000 PA USD 208780.34000000 0.009865603957 Long DBT CORP US N 2 2048-11-15 Fixed 5.25000000 N N N N N N HSBC Holdings plc MLU0ZO3ML4LN2LL2TL39 HSBC Holdings plc 404280BB4 200000.00000000 PA USD 190251.22000000 0.008990037993 Long DBT CORP GB N 2 2026-05-25 Fixed 3.90000000 N N N N N N Air Canada Pass-Through Trust N/A Air Canada Pass-Through Trust, Series 2013-1, Class A 009089AA1 480001.57000000 PA USD 434750.77000000 0.020543500009 Long ABS-O CORP CA Y 2 2025-05-15 Fixed 4.12500000 N N N N N N FHLMC S6XOOCT0IEG5ABCC6L87 FHLMC, REMIC, Series 1642, Class PJ 3133T2DL1 9857.04000000 PA USD 9857.11000000 0.000465783049 Long ABS-MBS USGSE US N 2 2023-11-15 Fixed 6.00000000 N N N N N N Banc of America Funding Trust N/A Banc of America Funding Trust, Series 2006-A, Class 3A2 058927AG9 98510.32800000 PA USD 87006.29000000 0.004111352625 Long ABS-MBS CORP US N 2 2036-02-20 Variable 3.51002160 N N N N N N FHLMC S6XOOCT0IEG5ABCC6L87 FHLMC, REMIC, Series 2351, Class PZ 313399HV2 19871.09000000 PA USD 20415.28000000 0.000964693644 Long ABS-MBS USGSE US N 2 2031-08-15 Fixed 6.50000000 N N N N N N Verizon Communications, Inc. 2S72QS2UO2OESLG6Y829 Verizon Communications, Inc. 92343VGK4 1060000.00000000 PA USD 813630.20000000 0.038446883076 Long DBT CORP US N 2 2041-03-22 Fixed 3.40000000 N N N N N N Corning, Inc. 549300X2937PB0CJ7I56 Corning, Inc. 219350BP9 1043000.00000000 PA USD 772170.69000000 0.036487775691 Long DBT CORP US N 2 2049-11-15 Fixed 3.90000000 N N N N N N Washington Mutual Mortgage Pass-Through Certificates WMALT Trust N/A Washington Mutual Mortgage Pass-Through Certificates WMALT Trust, Series 2005-3, Class CX 9393365L3 653176.61800000 PA USD 108051.74000000 0.005105824014 Long ABS-MBS CORP US N 3 2035-05-25 Fixed 5.50000000 N N N N N N Tyson Foods, Inc. WD6L6041MNRW1JE49D58 Tyson Foods, Inc. 902494AY9 210000.00000000 PA USD 198774.77000000 0.009392805651 Long DBT CORP US N 2 2044-08-15 Fixed 5.15000000 N N N N N N FNMA B1V7KEBTPIMZEU4LTD58 FNMA, REMIC, Series 2008-16, Class IS 31396YTG7 64866.00000000 PA USD 4740.60000000 0.000224009991 Long ABS-MBS USGSE US N 2 2038-03-25 Floating 2.18386080 N N N N N N Citigroup, Inc. 6SHGI4ZSSLCXXQSBB395 Citigroup, Inc. 172967AR2 250000.00000000 PA USD 269031.18000000 0.012712667648 Long DBT CORP US N 2 2028-01-15 Fixed 6.62500000 N N N N N N FNMA B1V7KEBTPIMZEU4LTD58 FNMA, Other 31381RTA2 2412756.87000000 PA USD 2418260.49000000 0.114271297092 Long ABS-MBS USGSE US N 2 2026-07-01 Fixed 4.54000000 N N N N N N FNMA B1V7KEBTPIMZEU4LTD58 FNMA, REMIC, Series 2006-65, Class QO 31396KAA0 128697.77000000 PA USD 109302.35000000 0.005164919726 Long ABS-MBS USGSE US N 2 2036-07-25 None 0.00000000 N N N N N N Siemens Financieringsmaatschappij NV TAFO772JB70PDRN5VS48 Siemens Financieringsmaatschappij NV 82620KAF0 513000.00000000 PA USD 465011.42000000 0.021973421947 Long DBT CORP NL Y 2 2045-05-27 Fixed 4.40000000 N N N N N N United States of America 254900HROIFWPRGM1V77 U.S. Treasury Bonds 912810SW9 7095000.00000000 PA USD 5127246.09000000 0.242280376179 Long DBT UST US N 2 2041-02-15 Fixed 1.87500000 N N N N N N FHLMC S6XOOCT0IEG5ABCC6L87 FHLMC, REMIC, Series 3219, Class DI 31397BF22 85799.22000000 PA USD 16438.30000000 0.000776767379 Long ABS-MBS USGSE US N 2 2036-04-15 Fixed 6.00000000 N N N N N N FHLMC S6XOOCT0IEG5ABCC6L87 FHLMC, REMIC, Series 3275, Class FL 31397FDQ2 22721.62000000 PA USD 22322.79000000 0.001054830188 Long ABS-MBS USGSE US N 2 2037-02-15 Floating 4.31313840 N N N N N N FHLMC S6XOOCT0IEG5ABCC6L87 FHLMC, REMIC, Series 3074, Class BH 31396FM83 133708.69000000 PA USD 132804.15000000 0.006275462276 Long ABS-MBS USGSE US N 2 2035-11-15 Fixed 5.00000000 N N N N N N FHLMC S6XOOCT0IEG5ABCC6L87 FHLMC, REMIC, Series 1455, Class WB 312914CC6 4.82000000 PA USD 4.82000000 0.000000227761 Long ABS-MBS USGSE US N 2 2022-12-15 Floating 2.96893080 N N N N N N 2022-12-30 JPMorgan Institutional Trust Timothy J. Clemens Timothy J. Clemens Treasurer and Principal Financial Officer XXXX NPORT-EX 2 JPM_CBT.htm PART F EDGAR HTML
JPMorgan Core Bond Trust
Schedule of Portfolio Investments as of November 30, 2022
(Unaudited)
THE “UNAUDITED MUTUAL FUNDS HOLDINGS” LIST (“the
List”) IS TO BE USED FOR REPORTING PURPOSES ONLY. IT IS
NOT TO BE REPRODUCED FOR USE AS ADVERTISING OR
SALES LITERATURE WITH THE GENERAL PUBLIC. The list is
submitted for the general information of the shareholders of the Fund.
It is not authorized for distribution to prospective investors in the Fund
unless preceded or accompanied by a prospectus. The list has been
created from the books and records of the Fund. Holdings are
available 60 days after the fund’s fiscal quarter, using a trade date
accounting convention, by contacting the appropriate service center.
The list is subject to change without notice. The list is for
informational purposes only and is not intended as an offer or
solicitation with respect to the purchase or sale of any security.
JPMorgan Asset Management is the marketing name for the asset
management business of J.P. Morgan Chase & Co.
J.P. Morgan Distribution Services, Inc., member FINRA.
© J.P. Morgan Chase & Co., 2022.

JPMorgan Core Bond Trust
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF November 30, 2022 (Unaudited)
INVESTMENTS
PRINCIPAL
AMOUNT
($000)
VALUE
($000)
U.S. Treasury Obligations — 28.2%
U.S. Treasury Bonds
 
 
4.38%, 2/15/2038
  447
      480
3.50%, 2/15/2039
  961
      925
4.25%, 5/15/2039
3,300
    3,478
1.13%, 5/15/2040
11,555
    7,394
4.38%, 5/15/2040
11,000
   11,718
3.88%, 8/15/2040
21,115
   21,057
1.88%, 2/15/2041
7,095
    5,127
2.25%, 5/15/2041
18,355
   14,104
1.75%, 8/15/2041
  980
      684
2.00%, 11/15/2041
1,160
      845
2.38%, 2/15/2042
26,895
   20,922
2.75%, 11/15/2042
3,800
3,121
3.63%, 8/15/2043
5,214
4,915
3.75%, 11/15/2043
238
228
3.00%, 11/15/2044
8,200
6,930
2.88%, 8/15/2045
2,795
2,301
2.25%, 8/15/2046
13,193
9,581
3.00%, 2/15/2047
548
460
3.13%, 5/15/2048
3,757
3,245
2.25%, 8/15/2049
8,965
6,513
2.38%, 11/15/2049
3,700
2,765
2.00%, 2/15/2050
5,329
3,640
1.25%, 5/15/2050
6,152
3,432
1.38%, 8/15/2050
565
326
1.63%, 11/15/2050
8,800
5,435
1.88%, 2/15/2051
18,386
12,124
2.00%, 8/15/2051
16,100
10,942
1.88%, 11/15/2051
7,225
4,751
2.25%, 2/15/2052
13,625
9,839
2.88%, 5/15/2052
2,025
1,683
3.00%, 8/15/2052
16,975
14,535
U.S. Treasury Inflation Indexed Bonds
 
 
1.75%, 1/15/2028
300
431
3.63%, 4/15/2028
799
1,624
2.50%, 1/15/2029
300
439
U.S. Treasury Notes
 
 
2.88%, 4/30/2025
17,212
16,677
2.13%, 5/15/2025
355
338
0.38%, 12/31/2025
10,000
8,953
0.38%, 1/31/2026
1,840
1,641
0.50%, 2/28/2026
7,870
7,027
2.50%, 2/28/2026
560
534
0.75%, 4/30/2026
1,130
1,013
0.88%, 6/30/2026
3,195
2,864
0.88%, 9/30/2026
21,887
19,498
1.75%, 12/31/2026
9,369
8,610
2.63%, 5/31/2027
12,000
11,389

JPMorgan Core Bond Trust
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF November 30, 2022 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT
($000)
VALUE
($000)
U.S. Treasury Obligations — continued
3.25%, 6/30/2027
12,000
   11,688
2.75%, 7/31/2027
7,950
    7,575
3.13%, 8/31/2027
53,850
   52,205
0.38%, 9/30/2027
4,690
    3,978
0.75%, 1/31/2028
4,500
    3,854
1.25%, 3/31/2028
9,800
    8,592
1.25%, 4/30/2028
17,110
   14,973
1.25%, 6/30/2028
13,470
   11,741
1.00%, 7/31/2028
9,500
    8,146
1.75%, 1/31/2029
3,850
    3,419
1.88%, 2/28/2029
12,700
   11,364
2.88%, 4/30/2029
30,400
   28,809
2.75%, 5/31/2029
130
122
3.25%, 6/30/2029
30,000
29,065
3.13%, 8/31/2029
27,735
26,679
1.50%, 2/15/2030
895
773
1.25%, 8/15/2031
1,040
856
1.38%, 11/15/2031
1,174
971
1.88%, 2/15/2032
27,100
23,336
2.88%, 5/15/2032
5,725
5,366
2.75%, 8/15/2032
36,000
33,345
U.S. Treasury STRIPS Bonds
 
 
4.44%, 2/15/2023(a)
23,462
23,263
1.88%, 8/15/2024(a)
10,600
9,842
8.12%, 5/15/2026(a)
1,500
1,307
3.86%, 8/15/2026(a)
1,592
1,374
2.53%, 11/15/2041(a)
500
229
Total U.S. Treasury Obligations
(Cost $686,403)
 
597,410
Corporate Bonds — 23.0%
Aerospace & Defense — 0.6%
Airbus SE (France) 3.95%, 4/10/2047 (b)
150
122
BAE Systems plc (United Kingdom)
 
 
1.90%, 2/15/2031(b)
1,007
789
3.00%, 9/15/2050(b)
502
336
Boeing Co. (The)
 
 
1.17%, 2/4/2023
1,115
1,107
4.88%, 5/1/2025
605
599
2.75%, 2/1/2026
701
649
2.20%, 2/4/2026
1,385
1,259
3.10%, 5/1/2026
320
298
5.04%, 5/1/2027
960
951
3.25%, 3/1/2028
840
747
5.15%, 5/1/2030
940
917
5.71%, 5/1/2040
745
710
L3Harris Technologies, Inc. 1.80%, 1/15/2031
840
654
Leidos, Inc. 2.30%, 2/15/2031
465
360

JPMorgan Core Bond Trust
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF November 30, 2022 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT
($000)
VALUE
($000)
Corporate Bonds — continued
Aerospace & Defense — continued
Raytheon Technologies Corp.
 
 
3.20%, 3/15/2024
  350
      344
4.50%, 6/1/2042
2,799
    2,587
4.15%, 5/15/2045
  543
      464
4.35%, 4/15/2047
  199
      174
 
 
13,067
Airlines — 0.0% ^
Continental Airlines Pass-Through Trust Series 2012-2, Class A Shares, 4.00%, 10/29/2024
  117
      111
Auto Components — 0.0% ^
Lear Corp. 2.60%, 1/15/2032
  445
      342
Automobiles — 0.3%
Hyundai Capital America
 
 
1.80%, 10/15/2025(b)
490
438
1.30%, 1/8/2026(b)
425
370
1.50%, 6/15/2026(b)
775
669
3.00%, 2/10/2027(b)
355
315
2.38%, 10/15/2027(b)
530
449
1.80%, 1/10/2028(b)
805
658
Nissan Motor Co. Ltd. (Japan)
 
 
4.35%, 9/17/2027(b)
2,393
2,156
4.81%, 9/17/2030(b)
1,102
957
Stellantis Finance US, Inc. 2.69%, 9/15/2031 (b)
785
606
Volkswagen Group of America Finance LLC (Germany) 1.63%, 11/24/2027 (b)
378
320
 
 
6,938
Banks — 4.4%
ABN AMRO Bank NV (Netherlands) (US Treasury Yield Curve Rate T Note Constant Maturity 1 Year + 1.10%), 2.47%, 12/13/2029
(b) (c)
800
649
ANZ New Zealand Int'l Ltd. (New Zealand) 2.55%, 2/13/2030 (b)
778
647
Australia & New Zealand Banking Group Ltd. (Australia) 4.40%, 5/19/2026 (b)
263
251
Banco Nacional de Panama (Panama) 2.50%, 8/11/2030 (b)
1,250
961
Banco Santander SA (Spain)
 
 
2.75%, 5/28/2025
2,000
1,880
5.15%, 8/18/2025
800
795
1.85%, 3/25/2026
1,000
881
(US Treasury Yield Curve Rate T Note Constant Maturity 1 Year + 0.90%), 1.72%, 9/14/2027(c)
400
343
2.75%, 12/3/2030
400
299
(US Treasury Yield Curve Rate T Note Constant Maturity 1 Year + 1.60%), 3.22%, 11/22/2032(c)
600
447
Bank of America Corp.
 
 
Series N, (SOFR + 0.91%), 1.66%, 3/11/2027(c)
590
523
(SOFR + 0.96%), 1.73%, 7/22/2027(c)
545
478
(ICE LIBOR USD 3 Month + 1.51%), 3.71%, 4/24/2028(c)
1,700
1,584
(SOFR + 1.58%), 4.38%, 4/27/2028(c)
1,500
1,440
(ICE LIBOR USD 3 Month + 1.04%), 3.42%, 12/20/2028(c)
6,211
5,664
(SOFR + 2.15%), 2.59%, 4/29/2031(c)
1,510
1,246
(SOFR + 1.21%), 2.57%, 10/20/2032(c)
1,120
892
(SOFR + 1.33%), 2.97%, 2/4/2033(c)
435
356

JPMorgan Core Bond Trust
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF November 30, 2022 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT
($000)
VALUE
($000)
Corporate Bonds — continued
Banks — continued
(SOFR + 1.93%), 2.68%, 6/19/2041(c)
3,685
    2,571
Bank of Ireland Group plc (Ireland)
 
 
(US Treasury Yield Curve Rate T Note Constant Maturity 1 Year + 2.65%), 6.25%, 9/16/2026(b) (c)
1,343
    1,316
(US Treasury Yield Curve Rate T Note Constant Maturity 1 Year + 1.10%), 2.03%, 9/30/2027(b) (c)
  755
      626
Bank of Montreal (Canada) 1.85%, 5/1/2025
  950
      888
Banque Federative du Credit Mutuel SA (France) 2.38%, 11/21/2024 (b)
  813
      768
Barclays plc (United Kingdom)
 
 
(US Treasury Yield Curve Rate T Note Constant Maturity 1 Year + 0.80%), 1.01%, 12/10/2024(c)
1,452
    1,373
(US Treasury Yield Curve Rate T Note Constant Maturity 1 Year + 2.30%), 5.30%, 8/9/2026(c)
  950
      934
(US Treasury Yield Curve Rate T Note Constant Maturity 1 Year + 1.30%), 2.89%, 11/24/2032(c)
  585
      447
BNP Paribas SA (France)
 
 
(SOFR + 2.07%), 2.22%, 6/9/2026(b) (c)
832
764
(SOFR + 1.00%), 1.32%, 1/13/2027(b) (c)
323
281
(SOFR + 1.22%), 2.16%, 9/15/2029(b) (c)
1,746
1,416
(SOFR + 1.51%), 3.05%, 1/13/2031(b) (c)
765
634
(US Treasury Yield Curve Rate T Note Constant Maturity 5 Year + 2.05%), 2.59%, 8/12/2035(b) (c)
1,200
873
Citigroup, Inc.
 
 
4.40%, 6/10/2025
865
851
4.30%, 11/20/2026
1,200
1,171
6.63%, 1/15/2028
250
269
(ICE LIBOR USD 3 Month + 1.39%), 3.67%, 7/24/2028(c)
1,573
1,457
(SOFR + 1.17%), 2.56%, 5/1/2032(c)
2,145
1,716
(SOFR + 1.18%), 2.52%, 11/3/2032(c)
885
695
(SOFR + 1.35%), 3.06%, 1/25/2033(c)
719
591
(SOFR + 1.38%), 2.90%, 11/3/2042(c)
298
209
Commonwealth Bank of Australia (Australia) 3.31%, 3/11/2041 (b)
525
357
Cooperatieve Rabobank UA (Netherlands)
 
 
4.38%, 8/4/2025
783
761
3.75%, 7/21/2026
945
887
Credit Agricole SA (France)
 
 
4.38%, 3/17/2025(b)
1,250
1,199
(SOFR + 1.68%), 1.91%, 6/16/2026(b) (c)
500
453
(SOFR + 0.89%), 1.25%, 1/26/2027(b) (c)
1,500
1,307
2.81%, 1/11/2041(b)
470
291
Danske Bank A/S (Denmark) (US Treasury Yield Curve Rate T Note Constant Maturity 1 Year + 1.03%), 1.17%, 12/8/2023 (b) (c)
2,110
2,109
Discover Bank 4.25%, 3/13/2026
1,205
1,148
HSBC Holdings plc (United Kingdom)
 
 
(ICE LIBOR USD 3 Month + 0.99%), 3.95%, 5/18/2024(c)
1,054
1,042
3.90%, 5/25/2026
200
190
(ICE LIBOR USD 3 Month + 1.35%), 4.29%, 9/12/2026(c)
939
895
(SOFR + 3.03%), 7.34%, 11/3/2026(c)
1,460
1,525
(SOFR + 1.29%), 1.59%, 5/24/2027(c)
550
471
(ICE LIBOR USD 3 Month + 1.55%), 4.04%, 3/13/2028(c)
904
828
(SOFR + 1.73%), 2.01%, 9/22/2028(c)
1,215
1,008
(SOFR + 1.29%), 2.21%, 8/17/2029(c)
815
659
(SOFR + 1.95%), 2.36%, 8/18/2031(c)
1,160
885
6.10%, 1/14/2042
700
721

JPMorgan Core Bond Trust
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF November 30, 2022 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT
($000)
VALUE
($000)
Corporate Bonds — continued
Banks — continued
Huntington National Bank (The) 5.65%, 1/10/2030
1,972
    1,987
ING Groep NV (Netherlands) (SOFR + 1.01%), 1.73%, 4/1/2027 (c)
  705
      622
KeyCorp (SOFRINDX + 2.06%), 4.79%, 6/1/2033 (c)
  225
      213
Lloyds Banking Group plc (United Kingdom)
 
 
4.58%, 12/10/2025
  400
      380
(US Treasury Yield Curve Rate T Note Constant Maturity 1 Year + 1.60%), 3.51%, 3/18/2026(c)
  770
      727
(US Treasury Yield Curve Rate T Note Constant Maturity 1 Year + 0.85%), 1.63%, 5/11/2027(c)
  980
      844
4.38%, 3/22/2028
  475
      446
Mitsubishi UFJ Financial Group, Inc. (Japan)
 
 
(US Treasury Yield Curve Rate T Note Constant Maturity 1 Year + 1.55%), 5.06%, 9/12/2025(c)
  944
      938
3.75%, 7/18/2039
  760
      621
Mizuho Financial Group, Inc. (Japan)
 
 
(ICE LIBOR USD 3 Month + 0.83%), 2.23%, 5/25/2026(c)
875
805
(US Treasury Yield Curve Rate T Note Constant Maturity 1 Year + 0.67%), 1.23%, 5/22/2027(c)
1,057
914
(US Treasury Yield Curve Rate T Note Constant Maturity 1 Year + 2.05%), 5.41%, 9/13/2028(c)
1,550
1,551
(SOFR + 1.57%), 2.87%, 9/13/2030(c)
720
605
National Australia Bank Ltd. (Australia) (US Treasury Yield Curve Rate T Note Constant Maturity 5 Year + 1.88%), 3.93%, 8/2/2034
(b) (c)
1,025
861
NatWest Group plc (United Kingdom)
 
 
(ICE LIBOR USD 3 Month + 1.76%), 4.27%, 3/22/2025(c)
1,480
1,440
4.80%, 4/5/2026
2,010
1,959
(US Treasury Yield Curve Rate T Note Constant Maturity 1 Year + 2.85%), 7.47%, 11/10/2026(c)
670
698
(ICE LIBOR USD 3 Month + 1.75%), 4.89%, 5/18/2029(c)
690
650
(US Treasury Yield Curve Rate T Note Constant Maturity 5 Year + 2.10%), 3.75%, 11/1/2029(c)
900
832
(ICE LIBOR USD 3 Month + 1.87%), 4.44%, 5/8/2030(c)
240
216
NatWest Markets plc (United Kingdom) 1.60%, 9/29/2026 (b)
435
377
Nordea Bank Abp (Finland) 5.38%, 9/22/2027 (b)
865
868
Santander UK Group Holdings plc (United Kingdom)
 
 
(SOFR + 2.75%), 6.83%, 11/21/2026(c)
1,075
1,086
(SOFR + 0.99%), 1.67%, 6/14/2027(c)
930
789
Societe Generale SA (France)
 
 
5.00%, 1/17/2024(b)
370
365
(US Treasury Yield Curve Rate T Note Constant Maturity 1 Year + 1.10%), 1.49%, 12/14/2026(b) (c)
3,947
3,413
(US Treasury Yield Curve Rate T Note Constant Maturity 1 Year + 1.00%), 1.79%, 6/9/2027(b) (c)
395
336
3.00%, 1/22/2030(b)
235
188
(US Treasury Yield Curve Rate T Note Constant Maturity 1 Year + 1.30%), 2.89%, 6/9/2032(b) (c)
915
704
(US Treasury Yield Curve Rate T Note Constant Maturity 1 Year + 1.90%), 4.03%, 1/21/2043(b) (c)
755
512
Standard Chartered plc (United Kingdom)
 
 
(ICE LIBOR USD 3 Month + 1.08%), 3.89%, 3/15/2024(b) (c)
400
397
(US Treasury Yield Curve Rate T Note Constant Maturity 1 Year + 3.10%), 7.78%, 11/16/2025(b) (c)
630
650
(ICE LIBOR USD 3 Month + 1.21%), 2.82%, 1/30/2026(b) (c)
570
527
(US Treasury Yield Curve Rate T Note Constant Maturity 1 Year + 1.00%), 1.46%, 1/14/2027(b) (c)
485
414
(USD ICE Swap Rate 5 Year + 1.97%), 4.87%, 3/15/2033(b) (c)
200
177
Sumitomo Mitsui Financial Group, Inc. (Japan)
 
 
4.44%, 4/2/2024(b)
500
491
2.63%, 7/14/2026
872
802
3.04%, 7/16/2029
1,315
1,144

JPMorgan Core Bond Trust
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF November 30, 2022 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT
($000)
VALUE
($000)
Corporate Bonds — continued
Banks — continued
Swedbank AB (Sweden) 5.34%, 9/20/2027 (b)
1,800
    1,784
Truist Financial Corp. 4.00%, 5/1/2025
  265
      260
UniCredit SpA (Italy)
 
 
(US Treasury Yield Curve Rate T Note Constant Maturity 1 Year + 2.30%), 2.57%, 9/22/2026(b) (c)
  905
      796
(US Treasury Yield Curve Rate T Note Constant Maturity 1 Year + 1.20%), 1.98%, 6/3/2027(b) (c)
  665
      563
(USD ICE Swap Rate 5 Year + 3.70%), 5.86%, 6/19/2032(b) (c)
  200
      174
(USD ICE Swap Rate 5 Year + 4.91%), 7.30%, 4/2/2034(b) (c)
  300
      270
Wells Fargo & Co.
 
 
4.65%, 11/4/2044
1,180
    1,023
4.40%, 6/14/2046
  300
      244
Westpac Banking Corp. (Australia) 3.13%, 11/18/2041
  882
      574
 
 
92,159
Beverages — 0.3%
Anheuser-Busch Cos. LLC (Belgium)
 
 
4.70%, 2/1/2036
2,583
2,478
4.90%, 2/1/2046
375
351
Anheuser-Busch InBev Finance, Inc. (Belgium) 4.63%, 2/1/2044
70
64
Anheuser-Busch InBev Worldwide, Inc. (Belgium) 4.44%, 10/6/2048
780
685
Coca-Cola Femsa SAB de CV (Mexico)
 
 
2.75%, 1/22/2030
357
310
1.85%, 9/1/2032
675
515
Constellation Brands, Inc. 5.25%, 11/15/2048
220
209
Fomento Economico Mexicano SAB de CV (Mexico) 3.50%, 1/16/2050
1,060
752
 
 
5,364
Biotechnology — 0.4%
AbbVie, Inc.
 
 
3.20%, 11/21/2029
1,832
1,673
4.05%, 11/21/2039
1,809
1,580
4.63%, 10/1/2042
480
435
4.40%, 11/6/2042
790
706
4.45%, 5/14/2046
190
168
Amgen, Inc. 3.00%, 1/15/2052
845
561
Baxalta, Inc. 5.25%, 6/23/2045
50
48
Biogen, Inc. 2.25%, 5/1/2030
609
502
Gilead Sciences, Inc. 2.60%, 10/1/2040
1,225
875
Regeneron Pharmaceuticals, Inc. 1.75%, 9/15/2030
1,270
998
 
 
7,546
Building Products — 0.0% ^
Masco Corp.
 
 
2.00%, 10/1/2030
340
267
6.50%, 8/15/2032
600
620
 
 
887
Capital Markets — 2.0%
Bank of New York Mellon Corp. (The) 2.80%, 5/4/2026
254
240
Blackstone Holdings Finance Co. LLC 4.45%, 7/15/2045 (b)
429
358

JPMorgan Core Bond Trust
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF November 30, 2022 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT
($000)
VALUE
($000)
Corporate Bonds — continued
Capital Markets — continued
Blackstone Secured Lending Fund 3.65%, 7/14/2023
  795
      786
Brookfield Finance, Inc. (Canada)
 
 
3.90%, 1/25/2028
  337
      313
4.85%, 3/29/2029
  411
      394
4.70%, 9/20/2047
   88
       71
Credit Suisse AG (Switzerland)
 
 
Series FXD, 0.52%, 8/9/2023
1,000
      953
3.63%, 9/9/2024
  402
      370
Credit Suisse Group AG (Switzerland)
 
 
(SOFR + 1.56%), 2.59%, 9/11/2025(b) (c)
  691
      612
(SOFR + 2.04%), 2.19%, 6/5/2026(b) (c)
  490
      413
4.28%, 1/9/2028(b)
1,162
947
(SOFR + 1.73%), 3.09%, 5/14/2032(b) (c)
840
572
Deutsche Bank AG (Germany)
 
 
(SOFR + 2.16%), 2.22%, 9/18/2024(c)
1,225
1,175
(SOFR + 1.87%), 2.13%, 11/24/2026(c)
780
683
(SOFR + 1.32%), 2.55%, 1/7/2028(c)
1,300
1,091
FMR LLC 6.45%, 11/15/2039 (b)
500
523
Goldman Sachs Group, Inc. (The)
 
 
4.25%, 10/21/2025
1,415
1,387
3.50%, 11/16/2026
469
446
(SOFR + 0.80%), 1.43%, 3/9/2027(c)
2,900
2,550
(SOFR + 0.91%), 1.95%, 10/21/2027(c)
780
683
(SOFR + 1.11%), 2.64%, 2/24/2028(c)
1,260
1,124
(ICE LIBOR USD 3 Month + 1.51%), 3.69%, 6/5/2028(c)
3,776
3,532
(SOFR + 1.09%), 1.99%, 1/27/2032(c)
880
679
(SOFR + 1.28%), 2.62%, 4/22/2032(c)
1,000
808
(SOFR + 1.25%), 2.38%, 7/21/2032(c)
2,255
1,781
6.75%, 10/1/2037
685
734
Jefferies Financial Group, Inc. 6.45%, 6/8/2027
749
769
Macquarie Bank Ltd. (Australia) (US Treasury Yield Curve Rate T Note Constant Maturity 5 Year + 1.70%), 3.05%, 3/3/2036 (b) (c)
575
414
Macquarie Group Ltd. (Australia)
 
 
6.21%, 11/22/2024(b)
1,600
1,609
(SOFR + 1.07%), 1.34%, 1/12/2027(b) (c)
510
441
(ICE LIBOR USD 3 Month + 1.75%), 5.03%, 1/15/2030(b) (c)
700
661
Morgan Stanley
 
 
3.63%, 1/20/2027
2,470
2,347
(SOFR + 1.00%), 2.48%, 1/21/2028(c)
960
853
(SOFR + 1.03%), 1.79%, 2/13/2032(c)
1,740
1,324
(ICE LIBOR USD 3 Month + 1.43%), 4.46%, 4/22/2039(c)
1,265
1,125
4.30%, 1/27/2045
485
418
Nomura Holdings, Inc. (Japan)
 
 
2.65%, 1/16/2025
1,094
1,034
2.68%, 7/16/2030
700
560
S&P Global, Inc. 2.90%, 3/1/2032 (b)
1,791
1,543
UBS Group AG (Switzerland)
 
 
4.13%, 9/24/2025(b)
300
291

JPMorgan Core Bond Trust
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF November 30, 2022 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT
($000)
VALUE
($000)
Corporate Bonds — continued
Capital Markets — continued
(US Treasury Yield Curve Rate T Note Constant Maturity 1 Year + 1.55%), 4.49%, 5/12/2026(b) (c)
1,838
    1,791
(US Treasury Yield Curve Rate T Note Constant Maturity 1 Year + 2.05%), 4.70%, 8/5/2027(b) (c)
  975
      943
(US Treasury Yield Curve Rate T Note Constant Maturity 1 Year + 0.85%), 1.49%, 8/10/2027(b) (c)
  255
      219
(ICE LIBOR USD 3 Month + 1.47%), 3.13%, 8/13/2030(b) (c)
  965
      821
(US Treasury Yield Curve Rate T Note Constant Maturity 1 Year + 1.00%), 2.09%, 2/11/2032(b) (c)
1,480
    1,121
(US Treasury Yield Curve Rate T Note Constant Maturity 1 Year + 1.10%), 2.75%, 2/11/2033(b) (c)
  360
      281
 
 
41,790
Chemicals — 0.2%
Albemarle Corp. 5.45%, 12/1/2044
  150
      139
DuPont de Nemours, Inc. 5.32%, 11/15/2038
  980
      952
International Flavors & Fragrances, Inc. 5.00%, 9/26/2048
  365
      314
Nutrien Ltd. (Canada)
 
 
5.90%, 11/7/2024
1,892
1,914
4.20%, 4/1/2029
175
165
4.13%, 3/15/2035
455
399
5.00%, 4/1/2049
230
211
Union Carbide Corp. 7.75%, 10/1/2096
850
962
 
 
5,056
Commercial Services & Supplies — 0.0% ^
Ford Foundation (The) Series 2020, 2.82%, 6/1/2070
365
216
Construction & Engineering — 0.1%
Quanta Services, Inc.
 
 
2.90%, 10/1/2030
1,440
1,197
2.35%, 1/15/2032
1,095
843
 
 
2,040
Construction Materials — 0.1%
CRH America, Inc. (Ireland)
 
 
3.88%, 5/18/2025(b)
417
403
5.13%, 5/18/2045(b)
893
810
Martin Marietta Materials, Inc. 3.45%, 6/1/2027
770
716
 
 
1,929
Consumer Finance — 1.3%
AerCap Ireland Capital DAC (Ireland)
 
 
4.50%, 9/15/2023
2,420
2,390
2.88%, 8/14/2024
600
568
6.50%, 7/15/2025
246
249
1.75%, 1/30/2026
860
759
2.45%, 10/29/2026
560
492
3.00%, 10/29/2028
690
583
3.30%, 1/30/2032
655
522
American Express Co. 5.85%, 11/5/2027
1,470
1,526
Avolon Holdings Funding Ltd. (Ireland)
 
 
2.88%, 2/15/2025(b)
450
413
5.50%, 1/15/2026(b)
1,000
947
2.13%, 2/21/2026(b)
620
531

JPMorgan Core Bond Trust
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF November 30, 2022 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT
($000)
VALUE
($000)
Corporate Bonds — continued
Consumer Finance — continued
4.25%, 4/15/2026(b)
1,200
    1,089
4.38%, 5/1/2026(b)
  820
      745
2.53%, 11/18/2027(b)
7,294
    5,900
Capital One Financial Corp.
 
 
4.20%, 10/29/2025
  250
      242
(SOFR + 2.06%), 4.93%, 5/10/2028(c)
  782
      750
(SOFR + 1.27%), 2.62%, 11/2/2032(c)
  920
      704
General Motors Financial Co., Inc.
 
 
1.20%, 10/15/2024
  470
      434
3.80%, 4/7/2025
  685
      662
1.25%, 1/8/2026
1,781
    1,561
4.35%, 1/17/2027
430
410
2.35%, 1/8/2031
520
402
2.70%, 6/10/2031
910
714
Park Aerospace Holdings Ltd. (Ireland)
 
 
4.50%, 3/15/2023(b)
2,385
2,373
5.50%, 2/15/2024(b)
1,626
1,602
 
 
26,568
Containers & Packaging — 0.1%
Graphic Packaging International LLC 1.51%, 4/15/2026 (b)
1,246
1,083
Packaging Corp. of America 4.05%, 12/15/2049
845
659
WRKCo, Inc.
 
 
3.75%, 3/15/2025
400
386
3.90%, 6/1/2028
170
157
 
 
2,285
Diversified Consumer Services — 0.0% ^
Pepperdine University Series 2020, 3.30%, 12/1/2059
600
390
University of Miami Series 2022, 4.06%, 4/1/2052
480
399
University of Southern California Series A, 3.23%, 10/1/2120
570
329
 
 
1,118
Diversified Financial Services — 0.2%
Corebridge Financial, Inc.
 
 
3.65%, 4/5/2027(b)
770
721
3.85%, 4/5/2029(b)
545
496
GTP Acquisition Partners I LLC 3.48%, 6/16/2025 (b)
1,436
1,355
Shell International Finance BV (Netherlands) 2.38%, 11/7/2029
2,280
1,999
Siemens Financieringsmaatschappij NV (Germany) 4.40%, 5/27/2045 (b)
513
465
 
 
5,036
Diversified Telecommunication Services — 0.5%
AT&T, Inc.
 
 
2.30%, 6/1/2027
2,340
2,106
1.65%, 2/1/2028
250
215
3.50%, 6/1/2041
1,646
1,258
3.55%, 9/15/2055
2,984
2,093
Deutsche Telekom AG (Germany) 3.63%, 1/21/2050 (b)
335
244

JPMorgan Core Bond Trust
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF November 30, 2022 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT
($000)
VALUE
($000)
Corporate Bonds — continued
Diversified Telecommunication Services — continued
Deutsche Telekom International Finance BV (Germany) 4.88%, 3/6/2042 (b)
  232
      210
Verizon Communications, Inc.
 
 
2.10%, 3/22/2028
  795
      695
4.33%, 9/21/2028
  962
      935
2.36%, 3/15/2032
1,787
    1,434
2.65%, 11/20/2040
  988
      684
3.40%, 3/22/2041
1,060
      814
3.70%, 3/22/2061
1,045
      750
 
 
11,438
Electric Utilities — 2.0%
Alabama Power Co. 6.13%, 5/15/2038
  239
      249
Arizona Public Service Co. 5.05%, 9/1/2041
200
177
Baltimore Gas and Electric Co.
 
 
3.50%, 8/15/2046
376
284
2.90%, 6/15/2050
450
303
China Southern Power Grid International Finance BVI Co. Ltd. (China) 3.50%, 5/8/2027 (b)
1,234
1,176
Duke Energy Carolinas LLC 4.25%, 12/15/2041
129
112
Duke Energy Corp. 3.75%, 9/1/2046
985
735
Duke Energy Florida LLC 5.95%, 11/15/2052
1,414
1,556
Duke Energy Progress LLC
 
 
4.10%, 5/15/2042
273
231
4.10%, 3/15/2043
125
106
2.90%, 8/15/2051
820
545
Duquesne Light Holdings, Inc. 3.62%, 8/1/2027 (b)
750
677
Edison International
 
 
3.55%, 11/15/2024
1,591
1,531
6.95%, 11/15/2029
1,020
1,069
Emera US Finance LP (Canada) 4.75%, 6/15/2046
700
554
Entergy Arkansas LLC
 
 
3.50%, 4/1/2026
175
169
2.65%, 6/15/2051
415
258
Entergy Corp. 2.95%, 9/1/2026
336
314
Entergy Louisiana LLC
 
 
3.05%, 6/1/2031
629
542
2.90%, 3/15/2051
490
322
Evergy Metro, Inc. 5.30%, 10/1/2041
1,400
1,346
Evergy, Inc. 2.90%, 9/15/2029
985
850
Fells Point Funding Trust 3.05%, 1/31/2027 (b)
2,405
2,189
FirstEnergy Transmission LLC 4.55%, 4/1/2049 (b)
240
196
Fortis, Inc. (Canada) 3.06%, 10/4/2026
500
466
Hydro-Quebec (Canada) Series IO, 8.05%, 7/7/2024
350
368
ITC Holdings Corp.
 
 
4.95%, 9/22/2027(b)
1,565
1,555
2.95%, 5/14/2030(b)
440
374
Jersey Central Power & Light Co. 4.30%, 1/15/2026 (b)
560
541
John Sevier Combined Cycle Generation LLC 4.63%, 1/15/2042
697
666
Mid-Atlantic Interstate Transmission LLC 4.10%, 5/15/2028 (b)
315
297

JPMorgan Core Bond Trust
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF November 30, 2022 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT
($000)
VALUE
($000)
Corporate Bonds — continued
Electric Utilities — continued
Nevada Power Co.
 
 
Series N, 6.65%, 4/1/2036
  100
      110
5.45%, 5/15/2041
  305
      289
Niagara Mohawk Power Corp.
 
 
3.51%, 10/1/2024(b)
  493
      473
1.96%, 6/27/2030(b)
1,000
      797
NRG Energy, Inc.
 
 
2.00%, 12/2/2025(b)
  710
      636
2.45%, 12/2/2027(b)
  795
      680
4.45%, 6/15/2029(b)
  615
      566
NSTAR Electric Co. 4.95%, 9/15/2052
1,000
      973
OGE Energy Corp. 0.70%, 5/26/2023
560
548
Oklahoma Gas and Electric Co. 0.55%, 5/26/2023
675
661
Oncor Electric Delivery Co. LLC 5.75%, 3/15/2029
110
115
Pacific Gas and Electric Co.
 
 
1.70%, 11/15/2023
690
662
3.25%, 2/16/2024
2,060
1,998
3.45%, 7/1/2025
795
752
2.95%, 3/1/2026
500
458
4.20%, 6/1/2041
695
528
3.75%, 8/15/2042(d)
308
210
4.30%, 3/15/2045
525
383
PECO Energy Co. 2.80%, 6/15/2050
410
273
Pennsylvania Electric Co. 3.25%, 3/15/2028 (b)
150
136
Pepco Holdings LLC 7.45%, 8/15/2032
316
339
PG&E Recovery Funding LLC Series A-3, 5.54%, 7/15/2047
1,360
1,372
PG&E Wildfire Recovery Funding LLC
 
 
Series A-2, 4.26%, 6/1/2036
640
598
Series A-4, 5.21%, 12/1/2047
420
412
Series A-5, 5.10%, 6/1/2052
795
766
Potomac Electric Power Co. 6.50%, 11/15/2037
1,085
1,195
Progress Energy, Inc. 7.00%, 10/30/2031
300
328
Public Service Co. of Colorado 3.55%, 6/15/2046
214
160
Public Service Co. of Oklahoma Series G, 6.63%, 11/15/2037
2,490
2,683
Public Service Electric and Gas Co. 5.38%, 11/1/2039
317
309
Southern California Edison Co.
 
 
5.85%, 11/1/2027
1,695
1,751
Series B, 3.65%, 3/1/2028
400
374
Series 08-A, 5.95%, 2/1/2038
200
203
4.05%, 3/15/2042
552
443
Southwestern Public Service Co. 4.50%, 8/15/2041
200
177
Toledo Edison Co. (The) 6.15%, 5/15/2037
300
315
 
 
42,431

JPMorgan Core Bond Trust
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF November 30, 2022 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT
($000)
VALUE
($000)
Corporate Bonds — continued
Electrical Equipment — 0.0% ^
Eaton Corp.
 
 
7.63%, 4/1/2024
  300
      311
4.00%, 11/2/2032
  170
      158
 
 
469
Electronic Equipment, Instruments & Components — 0.1%
Arrow Electronics, Inc.
 
 
4.50%, 3/1/2023
  190
      189
3.25%, 9/8/2024
  219
      211
3.88%, 1/12/2028
  442
      406
Corning, Inc. 3.90%, 11/15/2049
1,043
      772
 
 
1,578
Energy Equipment & Services — 0.1%
Baker Hughes Holdings LLC 5.13%, 9/15/2040
300
281
Halliburton Co. 4.75%, 8/1/2043
540
472
Schlumberger Holdings Corp.
 
 
4.00%, 12/21/2025(b)
13
12
3.90%, 5/17/2028(b)
1,126
1,063
 
 
1,828
Entertainment — 0.1%
Activision Blizzard, Inc. 1.35%, 9/15/2030
842
665
Walt Disney Co. (The)
 
 
8.88%, 4/26/2023
430
437
6.20%, 12/15/2034
100
109
 
 
1,211
Equity Real Estate Investment Trusts (REITs) — 1.5%
Alexandria Real Estate Equities, Inc.
 
 
3.80%, 4/15/2026
135
131
2.00%, 5/18/2032
980
747
4.00%, 2/1/2050
653
502
American Tower Corp.
 
 
5.00%, 2/15/2024
974
973
3.38%, 10/15/2026
312
291
1.50%, 1/31/2028
1,215
1,004
2.10%, 6/15/2030
630
506
1.88%, 10/15/2030
1,090
849
3.70%, 10/15/2049
935
683
3.10%, 6/15/2050
496
328
2.95%, 1/15/2051
324
208
Boston Properties LP
 
 
3.20%, 1/15/2025
532
510
3.65%, 2/1/2026
483
460
Brixmor Operating Partnership LP
 
 
3.85%, 2/1/2025
400
384
2.25%, 4/1/2028
840
695
2.50%, 8/16/2031
425
322

JPMorgan Core Bond Trust
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF November 30, 2022 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT
($000)
VALUE
($000)
Corporate Bonds — continued
Equity Real Estate Investment Trusts (REITs) — continued
Corporate Office Properties LP 2.00%, 1/15/2029
  335
      259
Crown Castle, Inc.
 
 
4.00%, 3/1/2027
  264
      252
2.10%, 4/1/2031
2,000
    1,586
Digital Realty Trust LP 3.70%, 8/15/2027
  252
      235
Equinix, Inc. 2.90%, 11/18/2026
1,130
    1,033
Essex Portfolio LP 2.65%, 3/15/2032
2,000
    1,592
Healthcare Realty Holdings LP
 
 
3.10%, 2/15/2030
1,604
    1,346
2.00%, 3/15/2031
  610
      463
Healthpeak Properties, Inc.
 
 
3.40%, 2/1/2025
17
16
3.50%, 7/15/2029
772
693
Life Storage LP
 
 
4.00%, 6/15/2029
859
770
2.40%, 10/15/2031
485
374
Mid-America Apartments LP 3.95%, 3/15/2029
920
863
National Retail Properties, Inc.
 
 
4.00%, 11/15/2025
783
753
4.30%, 10/15/2028
620
579
Office Properties Income Trust
 
 
2.40%, 2/1/2027
980
708
3.45%, 10/15/2031
490
314
Physicians Realty LP 2.63%, 11/1/2031
505
397
Prologis LP
 
 
3.25%, 6/30/2026
239
227
2.88%, 11/15/2029
380
332
3.00%, 4/15/2050
905
619
Public Storage
 
 
1.95%, 11/9/2028
615
529
2.25%, 11/9/2031
516
417
Realty Income Corp. 1.80%, 3/15/2033
530
386
Regency Centers LP 2.95%, 9/15/2029
745
627
Sabra Health Care LP 3.20%, 12/1/2031
825
619
Safehold Operating Partnership LP 2.80%, 6/15/2031
2,940
2,281
Scentre Group Trust 1 (Australia) 3.50%, 2/12/2025 (b)
420
402
Scentre Group Trust 2 (Australia) (US Treasury Yield Curve Rate T Note Constant Maturity 5 Year + 4.38%), 4.75%, 9/24/2080 (b)
(c)
1,320
1,162
SITE Centers Corp. 4.70%, 6/1/2027
330
310
UDR, Inc.
 
 
2.95%, 9/1/2026
382
351
3.00%, 8/15/2031
305
252
2.10%, 8/1/2032
640
475
Ventas Realty LP
 
 
3.50%, 2/1/2025
242
232
4.13%, 1/15/2026
114
110
3.25%, 10/15/2026
292
270

JPMorgan Core Bond Trust
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF November 30, 2022 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT
($000)
VALUE
($000)
Corporate Bonds — continued
Equity Real Estate Investment Trusts (REITs) — continued
3.85%, 4/1/2027
  554
      522
Welltower, Inc. 6.50%, 3/15/2041
  350
      354
WP Carey, Inc.
 
 
4.25%, 10/1/2026
  350
      337
2.25%, 4/1/2033
1,180
      872
 
 
32,512
Food & Staples Retailing — 0.2%
7-Eleven, Inc.
 
 
1.30%, 2/10/2028(b)
  565
      473
2.50%, 2/10/2041(b)
  574
      384
Alimentation Couche-Tard, Inc. (Canada)
 
 
3.44%, 5/13/2041(b)
1,275
921
3.63%, 5/13/2051(b)
1,420
973
CVS Pass-Through Trust
 
 
5.93%, 1/10/2034(b)
737
728
Series 2013, 4.70%, 1/10/2036(b)
573
512
Kroger Co. (The) 5.00%, 4/15/2042
1,100
1,013
 
 
5,004
Food Products — 0.2%
Bunge Ltd. Finance Corp. 2.75%, 5/14/2031
1,565
1,299
Campbell Soup Co. 3.13%, 4/24/2050
315
216
Conagra Brands, Inc. 5.30%, 11/1/2038
220
210
Kraft Heinz Foods Co.
 
 
4.63%, 10/1/2039
850
761
4.38%, 6/1/2046
629
530
Mead Johnson Nutrition Co. (United Kingdom) 4.13%, 11/15/2025
153
151
Smithfield Foods, Inc. 3.00%, 10/15/2030 (b)
1,500
1,155
Tyson Foods, Inc.
 
 
4.88%, 8/15/2034
300
293
5.15%, 8/15/2044
210
199
 
 
4,814
Gas Utilities — 0.2%
Atmos Energy Corp.
 
 
4.15%, 1/15/2043
828
702
4.13%, 10/15/2044
125
104
Boston Gas Co. 4.49%, 2/15/2042 (b)
308
256
Brooklyn Union Gas Co. (The) 4.27%, 3/15/2048 (b)
440
331
Southern California Gas Co. 6.35%, 11/15/2052
1,370
1,548
Southern Natural Gas Co. LLC
 
 
8.00%, 3/1/2032
351
387
4.80%, 3/15/2047(b)
367
304
 
 
3,632
Health Care Equipment & Supplies — 0.1%
Abbott Laboratories 4.75%, 11/30/2036
380
382

JPMorgan Core Bond Trust
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF November 30, 2022 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT
($000)
VALUE
($000)
Corporate Bonds — continued
Health Care Equipment & Supplies — continued
Becton Dickinson and Co. 4.67%, 6/6/2047
  365
      328
DH Europe Finance II SARL 3.25%, 11/15/2039
1,000
      805
 
 
1,515
Health Care Providers & Services — 0.7%
Advocate Health & Hospitals Corp. Series 2020, 2.21%, 6/15/2030
  710
      587
Aetna, Inc. 6.75%, 12/15/2037
  440
      475
Ascension Health Series B, 2.53%, 11/15/2029
  430
      372
Bon Secours Mercy Health, Inc. Series 20-2, 3.21%, 6/1/2050
  800
      537
Children's Hospital Series 2020, 2.93%, 7/15/2050
  650
      411
Children's Hospital Corp. (The) Series 2020, 2.59%, 2/1/2050
  580
      359
Cigna Corp. 4.50%, 2/25/2026
  300
      299
CommonSpirit Health
 
 
1.55%, 10/1/2025
555
499
2.78%, 10/1/2030
550
444
3.91%, 10/1/2050
545
398
CVS Health Corp. 4.30%, 3/25/2028
171
166
Elevance Health, Inc.
 
 
4.63%, 5/15/2042
500
456
4.65%, 1/15/2043
535
494
4.65%, 8/15/2044
100
90
Hackensack Meridian Health, Inc. Series 2020, 2.68%, 9/1/2041
1,430
980
HCA, Inc.
 
 
5.25%, 6/15/2026
1,680
1,667
5.13%, 6/15/2039
725
646
5.50%, 6/15/2047
650
593
3.50%, 7/15/2051
414
280
Mayo Clinic Series 2016, 4.13%, 11/15/2052
225
192
Memorial Health Services 3.45%, 11/1/2049
1,340
998
Memorial Sloan-Kettering Cancer Center Series 2015, 4.20%, 7/1/2055
200
165
MyMichigan Health Series 2020, 3.41%, 6/1/2050
310
216
Quest Diagnostics, Inc. 3.45%, 6/1/2026
150
143
Texas Health Resources 4.33%, 11/15/2055
300
254
UnitedHealth Group, Inc.
 
 
3.50%, 8/15/2039
815
675
3.25%, 5/15/2051
560
411
5.88%, 2/15/2053
650
719
Universal Health Services, Inc. 2.65%, 10/15/2030 (b)
146
117
Yale-New Haven Health Services Corp. Series 2020, 2.50%, 7/1/2050
780
473
 
 
14,116
Hotels, Restaurants & Leisure — 0.0% ^
McDonald's Corp. 4.70%, 12/9/2035
700
678
Household Durables — 0.0% ^
Lennar Corp. 4.50%, 4/30/2024
365
360
MDC Holdings, Inc. 3.97%, 8/6/2061
1,100
607
 
 
967

JPMorgan Core Bond Trust
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF November 30, 2022 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT
($000)
VALUE
($000)
Corporate Bonds — continued
Independent Power and Renewable Electricity Producers — 0.1%
Alexander Funding Trust 1.84%, 11/15/2023 (b)
1,000
      943
Constellation Energy Generation LLC 5.75%, 10/1/2041
  235
      229
Tri-State Generation and Transmission Association, Inc. 4.25%, 6/1/2046
  417
      320
 
 
1,492
Industrial Conglomerates — 0.1%
GE Capital International Funding Co. Unlimited Co. 4.42%, 11/15/2035
1,936
    1,827
Insurance — 0.8%
AIA Group Ltd. (Hong Kong)
 
 
3.60%, 4/9/2029(b)
  445
      407
3.20%, 9/16/2040(b)
  520
      372
AIG SunAmerica Global Financing X 6.90%, 3/15/2032 (b)
  520
      559
Assurant, Inc. 4.20%, 9/27/2023
496
491
Athene Global Funding
 
 
2.50%, 1/14/2025(b)
239
224
1.45%, 1/8/2026(b)
865
762
2.95%, 11/12/2026(b)
3,475
3,125
Berkshire Hathaway Finance Corp.
 
 
4.40%, 5/15/2042
1,000
930
3.85%, 3/15/2052
845
690
Brown & Brown, Inc. 2.38%, 3/15/2031
1,830
1,407
CNA Financial Corp. 3.95%, 5/15/2024
463
454
F&G Global Funding 1.75%, 6/30/2026 (b)
750
667
Guardian Life Insurance Co. of America (The) 4.85%, 1/24/2077 (b)
208
171
Hanover Insurance Group, Inc. (The) 2.50%, 9/1/2030
500
388
Hartford Financial Services Group, Inc. (The) 4.30%, 4/15/2043
400
327
Liberty Mutual Group, Inc.
 
 
4.57%, 2/1/2029(b)
408
379
3.95%, 10/15/2050(b)
900
634
Liberty Mutual Insurance Co. 8.50%, 5/15/2025 (b)
100
108
Markel Corp. 3.50%, 11/1/2027
200
185
Northwestern Mutual Global Funding 1.70%, 6/1/2028 (b)
795
673
Pacific Life Insurance Co. (ICE LIBOR USD 3 Month + 2.80%), 4.30%, 10/24/2067 (b) (c)
266
209
Prudential Financial, Inc. 3.91%, 12/7/2047
300
240
Prudential Insurance Co. of America (The) 8.30%, 7/1/2025 (b)
1,750
1,860
Swiss Re Finance Luxembourg SA (Switzerland) (US Treasury Yield Curve Rate T Note Constant Maturity 5 Year + 3.58%), 5.00%,
4/2/2049 (b) (c)
600
533
Teachers Insurance & Annuity Association of America 4.27%, 5/15/2047 (b)
400
337
 
 
16,132
Internet & Direct Marketing Retail — 0.1%
Amazon.com, Inc. 3.95%, 4/13/2052
1,760
1,504
IT Services — 0.2%
CGI, Inc. (Canada)
 
 
1.45%, 9/14/2026
843
743
2.30%, 9/14/2031
1,515
1,165
Fiserv, Inc.
 
 
3.20%, 7/1/2026
395
372

JPMorgan Core Bond Trust
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF November 30, 2022 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT
($000)
VALUE
($000)
Corporate Bonds — continued
IT Services — continued
4.40%, 7/1/2049
  375
      309
Global Payments, Inc.
 
 
3.20%, 8/15/2029
  945
      807
5.30%, 8/15/2029
  371
      359
2.90%, 5/15/2030
  273
      225
2.90%, 11/15/2031
  522
      414
 
 
4,394
Life Sciences Tools & Services — 0.1%
Thermo Fisher Scientific, Inc. 2.00%, 10/15/2031
1,375
    1,128
Machinery — 0.1%
nVent Finance SARL (United Kingdom) 4.55%, 4/15/2028
  450
      416
Otis Worldwide Corp. 2.57%, 2/15/2030
1,430
1,219
Parker-Hannifin Corp. 4.45%, 11/21/2044
592
514
 
 
2,149
Media — 0.6%
Charter Communications Operating LLC
 
 
4.20%, 3/15/2028
2,000
1,860
6.38%, 10/23/2035
528
520
4.80%, 3/1/2050
1,475
1,107
3.70%, 4/1/2051
1,120
715
Comcast Corp.
 
 
3.55%, 5/1/2028
443
420
4.20%, 8/15/2034
555
521
3.25%, 11/1/2039
1,715
1,355
3.45%, 2/1/2050
609
453
2.89%, 11/1/2051
1,086
724
2.94%, 11/1/2056
1,729
1,121
2.99%, 11/1/2063
259
164
Cox Communications, Inc. 2.95%, 10/1/2050 (b)
635
389
Discovery Communications LLC
 
 
5.20%, 9/20/2047
175
135
4.00%, 9/15/2055
784
503
Grupo Televisa SAB (Mexico)
 
 
4.63%, 1/30/2026
221
215
6.13%, 1/31/2046
200
197
Paramount Global
 
 
4.00%, 1/15/2026
792
759
4.85%, 7/1/2042
140
106
Time Warner Cable Enterprises LLC 8.38%, 7/15/2033
700
785
Time Warner Cable LLC
 
 
6.55%, 5/1/2037
400
383
5.50%, 9/1/2041
359
306
 
 
12,738
Metals & Mining — 0.2%
Barrick Gold Corp. (Canada) 6.45%, 10/15/2035
295
312

JPMorgan Core Bond Trust
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF November 30, 2022 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT
($000)
VALUE
($000)
Corporate Bonds — continued
Metals & Mining — continued
Glencore Funding LLC (Australia) 4.13%, 5/30/2023 (b)
  454
      451
Reliance Steel & Aluminum Co. 1.30%, 8/15/2025
2,500
    2,252
Vale Overseas Ltd. (Brazil) 3.75%, 7/8/2030
  675
      588
 
 
3,603
Multiline Retail — 0.0% ^
Nordstrom, Inc. 4.25%, 8/1/2031
1,243
      965
Multi-Utilities — 0.3%
CMS Energy Corp. 3.00%, 5/15/2026
  475
      443
Consolidated Edison Co. of New York, Inc. 6.15%, 11/15/2052
1,090
    1,199
Delmarva Power & Light Co. 4.00%, 6/1/2042
  235
      188
Dominion Energy, Inc. Series F, 5.25%, 8/1/2033
  920
      899
NiSource, Inc.
 
 
1.70%, 2/15/2031
740
570
5.80%, 2/1/2042
1,256
1,192
San Diego Gas & Electric Co.
 
 
6.00%, 6/1/2026
275
287
3.95%, 11/15/2041
379
301
2.95%, 8/15/2051
1,050
730
Southern Co. Gas Capital Corp.
 
 
3.25%, 6/15/2026
254
238
Series 21A, 3.15%, 9/30/2051
420
276
 
 
6,323
Oil, Gas & Consumable Fuels — 1.5%
Aker BP ASA (Norway) 2.00%, 7/15/2026 (b)
497
438
APA Infrastructure Ltd. (Australia) 4.25%, 7/15/2027 (b)
732
686
BP Capital Markets America, Inc. 2.94%, 6/4/2051
1,995
1,363
Buckeye Partners LP 5.85%, 11/15/2043
770
582
Cameron LNG LLC 3.70%, 1/15/2039 (b)
961
775
Cheniere Corpus Christi Holdings LLC 5.88%, 3/31/2025
1,490
1,497
Coterra Energy, Inc. 3.90%, 5/15/2027 (b)
935
882
Devon Energy Corp. 5.25%, 9/15/2024
790
791
Eastern Gas Transmission & Storage, Inc. 3.90%, 11/15/2049
807
561
Ecopetrol SA (Colombia)
 
 
5.88%, 9/18/2023
226
223
4.13%, 1/16/2025
533
500
Energy Transfer LP
 
 
4.75%, 1/15/2026
917
900
3.90%, 7/15/2026
244
230
5.50%, 6/1/2027
115
115
4.95%, 5/15/2028
325
313
4.15%, 9/15/2029
594
539
6.10%, 2/15/2042
400
373
5.30%, 4/1/2044
170
146
6.25%, 4/15/2049
800
757
Eni SpA (Italy) 5.70%, 10/1/2040 (b)
925
861
Enterprise Products Operating LLC 3.70%, 2/15/2026
506
489

JPMorgan Core Bond Trust
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF November 30, 2022 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT
($000)
VALUE
($000)
Corporate Bonds — continued
Oil, Gas & Consumable Fuels — continued
Exxon Mobil Corp.
 
 
3.00%, 8/16/2039
  895
      701
3.57%, 3/6/2045
1,215
      990
Flex Intermediate Holdco LLC
 
 
3.36%, 6/30/2031(b)
1,425
    1,137
4.32%, 12/30/2039(b)
  545
      392
Galaxy Pipeline Assets Bidco Ltd. (United Arab Emirates) 2.94%, 9/30/2040 (b)
1,063
      848
Gray Oak Pipeline LLC
 
 
2.00%, 9/15/2023(b)
  535
      520
2.60%, 10/15/2025(b)
2,450
    2,223
HF Sinclair Corp.
 
 
2.63%, 10/1/2023
1,275
1,249
5.88%, 4/1/2026
577
581
Magellan Midstream Partners LP 3.20%, 3/15/2025
353
337
Marathon Petroleum Corp. 4.70%, 5/1/2025
380
377
ONEOK Partners LP
 
 
5.00%, 9/15/2023
334
334
6.65%, 10/1/2036
350
348
Phillips 66 Co. 3.15%, 12/15/2029 (b)
985
872
Pioneer Natural Resources Co. 1.90%, 8/15/2030
1,050
839
Plains All American Pipeline LP
 
 
5.15%, 6/1/2042
460
378
4.70%, 6/15/2044
610
474
Saudi Arabian Oil Co. (Saudi Arabia)
 
 
1.25%, 11/24/2023(b)
200
192
1.63%, 11/24/2025(b)
278
254
Spectra Energy Partners LP 4.50%, 3/15/2045
495
414
Suncor Energy, Inc. (Canada) 6.80%, 5/15/2038
1,195
1,274
Targa Resources Corp. 4.20%, 2/1/2033
400
350
Texas Eastern Transmission LP 3.50%, 1/15/2028 (b)
90
82
TotalEnergies Capital International SA (France)
 
 
2.99%, 6/29/2041
1,200
914
3.46%, 7/12/2049
815
629
3.13%, 5/29/2050
1,180
852
Valero Energy Corp.
 
 
2.15%, 9/15/2027
508
449
7.50%, 4/15/2032
175
198
 
 
31,229
Personal Products — 0.1%
Estee Lauder Cos., Inc. (The) 2.60%, 4/15/2030
1,880
1,632
GSK Consumer Healthcare Capital US LLC 3.38%, 3/24/2029
1,075
974
 
 
2,606
Pharmaceuticals — 0.4%
AstraZeneca plc (United Kingdom)
 
 
6.45%, 9/15/2037
300
342
4.00%, 9/18/2042
240
212

JPMorgan Core Bond Trust
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF November 30, 2022 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT
($000)
VALUE
($000)
Corporate Bonds — continued
Pharmaceuticals — continued
Bristol-Myers Squibb Co. 4.13%, 6/15/2039
1,545
    1,403
Mylan, Inc. 5.40%, 11/29/2043
  520
      417
Royalty Pharma plc 1.20%, 9/2/2025
  353
      317
Shire Acquisitions Investments Ireland DAC 3.20%, 9/23/2026
1,713
    1,614
Takeda Pharmaceutical Co. Ltd. (Japan)
 
 
5.00%, 11/26/2028
  895
      895
3.03%, 7/9/2040
1,265
      946
3.18%, 7/9/2050
  590
      413
Utah Acquisition Sub, Inc. 3.95%, 6/15/2026
  300
      281
Viatris, Inc. 3.85%, 6/22/2040
  567
      391
Zoetis, Inc.
 
 
2.00%, 5/15/2030
760
626
5.60%, 11/16/2032
1,463
1,533
 
 
9,390
Road & Rail — 0.3%
Burlington Northern Santa Fe LLC
 
 
5.75%, 5/1/2040
425
453
4.38%, 9/1/2042
375
342
5.15%, 9/1/2043
769
771
3.55%, 2/15/2050
465
368
CSX Corp.
 
 
5.50%, 4/15/2041
150
153
4.10%, 3/15/2044
190
163
4.75%, 11/15/2048
600
549
3.35%, 9/15/2049
95
70
Kansas City Southern 4.70%, 5/1/2048
1,712
1,513
Norfolk Southern Corp. 4.05%, 8/15/2052
600
496
Triton Container International Ltd. (Bermuda) 1.15%, 6/7/2024 (b)
1,105
1,018
 
 
5,896
Semiconductors & Semiconductor Equipment — 0.4%
Analog Devices, Inc. 2.80%, 10/1/2041
896
674
Broadcom, Inc.
 
 
1.95%, 2/15/2028(b)
2,500
2,113
3.14%, 11/15/2035(b)
1,413
1,047
KLA Corp. 3.30%, 3/1/2050
600
449
Microchip Technology, Inc.
 
 
2.67%, 9/1/2023
339
332
0.97%, 2/15/2024
350
331
0.98%, 9/1/2024
290
268
NXP BV (China)
 
 
2.50%, 5/11/2031
1,405
1,113
3.25%, 5/11/2041
1,445
1,022
TSMC Arizona Corp. (Taiwan) 4.50%, 4/22/2052
680
617
TSMC Global Ltd. (Taiwan) 4.63%, 7/22/2032 (b)
595
592
Xilinx, Inc. 2.38%, 6/1/2030
895
761
 
 
9,319

JPMorgan Core Bond Trust
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF November 30, 2022 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT
($000)
VALUE
($000)
Corporate Bonds — continued
Software — 0.3%
Microsoft Corp.
 
 
3.50%, 2/12/2035
  291
      270
2.92%, 3/17/2052
1,118
      829
3.04%, 3/17/2062
  268
      195
Oracle Corp.
 
 
3.60%, 4/1/2040
1,000
      751
4.38%, 5/15/2055
  900
      684
Roper Technologies, Inc.
 
 
1.40%, 9/15/2027
1,370
    1,171
2.00%, 6/30/2030
  570
      457
VMware, Inc. 4.65%, 5/15/2027
  550
      537
Workday, Inc. 3.50%, 4/1/2027
1,179
1,115
 
 
6,009
Specialty Retail — 0.3%
AutoZone, Inc. 1.65%, 1/15/2031
690
535
Home Depot, Inc. (The)
 
 
4.50%, 9/15/2032
1,800
1,788
4.95%, 9/15/2052
930
920
Lowe's Cos., Inc. 2.63%, 4/1/2031
2,760
2,317
O'Reilly Automotive, Inc. 3.60%, 9/1/2027
432
411
 
 
5,971
Technology Hardware, Storage & Peripherals — 0.3%
Apple, Inc.
 
 
3.45%, 2/9/2045
1,130
934
3.85%, 8/4/2046
569
493
3.75%, 11/13/2047
150
129
2.70%, 8/5/2051
1,855
1,283
Dell International LLC
 
 
5.45%, 6/15/2023
127
127
6.02%, 6/15/2026
2,132
2,177
3.45%, 12/15/2051(b)
167
108
HP, Inc. 3.00%, 6/17/2027
665
610
 
 
5,861
Thrifts & Mortgage Finance — 0.2%
BPCE SA (France)
 
 
4.63%, 7/11/2024(b)
800
777
1.00%, 1/20/2026(b)
2,205
1,937
(SOFR + 1.52%), 1.65%, 10/6/2026(b) (c)
690
607
3.38%, 12/2/2026
400
370
(SOFR + 1.31%), 2.28%, 1/20/2032(b) (c)
730
544
Nationwide Building Society (United Kingdom) 1.50%, 10/13/2026 (b)
1,000
868
 
 
5,103
Tobacco — 0.2%
Altria Group, Inc. 2.45%, 2/4/2032
1,700
1,289

JPMorgan Core Bond Trust
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF November 30, 2022 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT
($000)
VALUE
($000)
Corporate Bonds — continued
Tobacco — continued
BAT Capital Corp. (United Kingdom)
 
 
2.26%, 3/25/2028
  780
      654
4.39%, 8/15/2037
1,730
    1,362
3.73%, 9/25/2040
  520
      366
4.54%, 8/15/2047
1,086
      788
Reynolds American, Inc. (United Kingdom) 7.00%, 8/4/2041
  100
       93
 
 
4,552
Trading Companies & Distributors — 0.3%
Air Lease Corp.
 
 
3.38%, 7/1/2025
  476
      449
2.88%, 1/15/2026
1,000
      921
3.75%, 6/1/2026
526
495
1.88%, 8/15/2026
960
840
5.85%, 12/15/2027
710
705
3.25%, 10/1/2029
2,080
1,762
Aviation Capital Group LLC
 
 
3.88%, 5/1/2023(b)
490
484
5.50%, 12/15/2024(b)
1,047
1,025
BOC Aviation Ltd. (Singapore) 3.50%, 10/10/2024 (b)
310
297
 
 
6,978
Water Utilities — 0.1%
American Water Capital Corp.
 
 
3.45%, 6/1/2029
795
729
3.45%, 5/1/2050
1,096
815
 
 
1,544
Wireless Telecommunication Services — 0.3%
America Movil SAB de CV (Mexico) 4.38%, 4/22/2049
441
377
Rogers Communications, Inc. (Canada) 4.55%, 3/15/2052 (b)
745
607
T-Mobile USA, Inc.
 
 
3.88%, 4/15/2030
2,980
2,737
3.60%, 11/15/2060
915
634
Vodafone Group plc (United Kingdom)
 
 
5.25%, 5/30/2048
496
446
4.88%, 6/19/2049
1,105
942
 
 
5,743
Total Corporate Bonds
(Cost $560,789)
 
487,101
Mortgage-Backed Securities — 20.2%
FHLMC
 
 
Pool # 846812, ARM, 2.71%, 4/1/2030(e)
4
3
Pool # 781087, ARM, 2.36%, 12/1/2033(e)
106
104
Pool # 1B1665, ARM, 2.83%, 4/1/2034(e)
57
56
Pool # 847356, ARM, 2.69%, 12/1/2034(e)
47
46
Pool # 782979, ARM, 2.37%, 1/1/2035(e)
81
81
Pool # 1Q0025, ARM, 2.75%, 2/1/2036(e)
28
28

JPMorgan Core Bond Trust
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF November 30, 2022 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT
($000)
VALUE
($000)
Mortgage-Backed Securities — continued
Pool # 848431, ARM, 4.19%, 2/1/2036(e)
    44
       44
Pool # 1L1286, ARM, 3.25%, 5/1/2036(e)
     8
        8
Pool # 848365, ARM, 3.67%, 7/1/2036(e)
    49
       50
Pool # 1G2539, ARM, 3.85%, 10/1/2036(e)
    10
       10
Pool # 1A1096, ARM, 4.31%, 10/1/2036(e)
    84
       85
Pool # 1J1348, ARM, 4.44%, 10/1/2036(e)
    61
       61
Pool # 1G2671, ARM, 2.39%, 11/1/2036(e)
    77
       75
Pool # 782760, ARM, 4.31%, 11/1/2036(e)
    57
       58
Pool # 1J1634, ARM, 3.00%, 12/1/2036(e)
    52
       52
Pool # 1Q0739, ARM, 4.02%, 3/1/2037(e)
    48
       48
Pool # 848699, ARM, 3.47%, 7/1/2040(e)
    99
      100
FHLMC Gold Pools, 20 Year Pool # C91403, 3.50%, 3/1/2032
   112
      110
FHLMC Gold Pools, 30 Year
 
 
Pool # C68485, 7.00%, 7/1/2032
15
16
Pool # G01448, 7.00%, 8/1/2032
34
36
Pool # A13625, 5.50%, 10/1/2033
126
132
Pool # A16107, 6.00%, 12/1/2033
61
62
Pool # A17537, 6.00%, 1/1/2034
56
58
Pool # A61572, 5.00%, 9/1/2034
359
371
Pool # A28796, 6.50%, 11/1/2034
63
66
Pool # G03369, 6.50%, 1/1/2035
130
134
Pool # A46987, 5.50%, 7/1/2035
299
313
Pool # G01919, 4.00%, 9/1/2035
171
167
Pool # C02641, 7.00%, 10/1/2036
48
50
Pool # C02660, 6.50%, 11/1/2036
94
100
Pool # A93383, 5.00%, 8/1/2040
212
217
Pool # A93511, 5.00%, 8/1/2040
197
201
Pool # G06493, 4.50%, 5/1/2041
871
874
Pool # Z40179, 4.00%, 7/1/2048
2,159
2,080
FHLMC Gold Pools, Other
 
 
Pool # P20570, 7.00%, 7/1/2029
33
34
Pool # G20027, 10.00%, 10/1/2030
2
3
Pool # U50105, 4.00%, 1/1/2032
294
280
Pool # U80254, 3.00%, 3/1/2033
248
227
Pool # P20409, 5.50%, 10/1/2033
73
73
Pool # U90975, 4.00%, 6/1/2042
899
869
Pool # U90673, 4.00%, 1/1/2043
226
218
Pool # U99134, 4.00%, 1/1/2046
4,646
4,484
Pool # U69030, 4.50%, 1/1/2046
1,636
1,628
FHLMC UMBS, 20 Year Pool # SC0104, 3.50%, 8/1/2035
1,739
1,703
FHLMC UMBS, 30 Year
 
 
Pool # RA6702, 3.00%, 2/1/2052
4,045
3,602
Pool # QF0379, 5.00%, 8/1/2052
1,751
1,744
FNMA
 
 
Pool # 54844, ARM, 2.80%, 9/1/2027(e)
7
7
Pool # 303532, ARM, 3.97%, 3/1/2029(e)
4
4
Pool # 555258, ARM, 2.65%, 1/1/2033(e)
161
156
Pool # 722421, ARM, 2.66%, 7/1/2033(e)
8
7

JPMorgan Core Bond Trust
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF November 30, 2022 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT
($000)
VALUE
($000)
Mortgage-Backed Securities — continued
Pool # 686040, ARM, 3.67%, 7/1/2033(e)
    94
       93
Pool # 722985, ARM, 3.90%, 7/1/2033(e)
     9
        9
Pool # 746299, ARM, 4.06%, 9/1/2033(e)
    71
       72
Pool # 766610, ARM, 3.36%, 1/1/2034(e)
    27
       26
Pool # 920467, ARM, 4.50%, 2/1/2034(e)
    69
       67
Pool # 770377, ARM, 2.35%, 4/1/2034(e)
    30
       29
Pool # 751531, ARM, 3.34%, 5/1/2034(e)
    88
       87
Pool # 782306, ARM, 4.17%, 7/1/2034(e)
     6
        6
Pool # 735332, ARM, 3.63%, 8/1/2034(e)
    84
       83
Pool # 790235, ARM, 3.86%, 8/1/2034(e)
    47
       46
Pool # 791961, ARM, 2.69%, 9/1/2034(e)
    15
       14
Pool # 725902, ARM, 3.90%, 9/1/2034(e)
    12
       11
Pool # 803599, ARM, 3.83%, 10/1/2034(e)
70
69
Pool # 803594, ARM, 3.84%, 10/1/2034(e)
56
55
Pool # 896463, ARM, 4.32%, 10/1/2034(e)
60
61
Pool # 806778, ARM, 3.52%, 11/1/2034(e)
337
333
Pool # 806776, ARM, 4.86%, 11/1/2034(e)
62
62
Pool # 802692, ARM, 2.99%, 1/1/2035(e)
50
49
Pool # 810896, ARM, 4.11%, 1/1/2035(e)
140
142
Pool # 816597, ARM, 2.05%, 2/1/2035(e)
15
15
Pool # 735539, ARM, 2.70%, 4/1/2035(e)
352
355
Pool # 745862, ARM, 3.28%, 4/1/2035(e)
50
50
Pool # 821378, ARM, 3.04%, 5/1/2035(e)
37
36
Pool # 823660, ARM, 3.16%, 5/1/2035(e)
46
45
Pool # 745766, ARM, 3.46%, 6/1/2035(e)
140
138
Pool # 832801, ARM, 3.90%, 9/1/2035(e)
29
29
Pool # 843026, ARM, 3.94%, 9/1/2035(e)
183
187
Pool # 849251, ARM, 3.61%, 1/1/2036(e)
40
40
Pool # 895141, ARM, 3.57%, 7/1/2036(e)
50
50
Pool # 900197, ARM, 4.33%, 10/1/2036(e)
52
52
Pool # 966946, ARM, 2.28%, 1/1/2038(e)
30
30
FNMA UMBS, 15 Year
 
 
Pool # 889634, 6.00%, 2/1/2023
Pool # 995381, 6.00%, 1/1/2024
3
3
Pool # 995425, 6.00%, 1/1/2024
7
7
Pool # AD0133, 5.00%, 8/1/2024
4
4
FNMA UMBS, 20 Year
 
 
Pool # 255217, 4.50%, 4/1/2024
3
3
Pool # 888656, 6.50%, 4/1/2025
2
2
Pool # MA1138, 3.50%, 8/1/2032
280
274
FNMA UMBS, 30 Year
 
 
Pool # 50966, 7.00%, 1/1/2024
Pool # 689977, 8.00%, 3/1/2027
20
21
Pool # 695533, 8.00%, 6/1/2027
9
9
Pool # 756024, 8.00%, 9/1/2028
19
20
Pool # 755973, 8.00%, 11/1/2028
52
54
Pool # 455759, 6.00%, 12/1/2028
6
6
Pool # 252211, 6.00%, 1/1/2029
9
9

JPMorgan Core Bond Trust
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF November 30, 2022 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT
($000)
VALUE
($000)
Mortgage-Backed Securities — continued
Pool # 459097, 7.00%, 1/1/2029
     3
        3
Pool # 889020, 6.50%, 11/1/2029
   135
      139
Pool # 598559, 6.50%, 8/1/2031
    22
       23
Pool # 622542, 5.50%, 9/1/2031
   122
      125
Pool # 788150, 6.00%, 3/1/2032
    17
       18
Pool # 649734, 7.00%, 6/1/2032
     8
        8
Pool # 675555, 6.00%, 12/1/2032
    37
       38
Pool # AL0045, 6.00%, 12/1/2032
   170
      177
Pool # 674349, 6.00%, 3/1/2033
    10
       10
Pool # 688625, 6.00%, 3/1/2033
    13
       13
Pool # 688655, 6.00%, 3/1/2033
     3
        3
Pool # 695584, 6.00%, 3/1/2033
     4
        4
Pool # 702901, 6.00%, 5/1/2033
59
62
Pool # 723852, 5.00%, 7/1/2033
60
61
Pool # 729296, 5.00%, 7/1/2033
155
159
Pool # 729379, 6.00%, 8/1/2033
14
14
Pool # 737825, 6.00%, 9/1/2033
24
24
Pool # 750977, 4.50%, 11/1/2033
36
35
Pool # 725017, 5.50%, 12/1/2033
231
242
Pool # 751341, 5.50%, 3/1/2034
29
29
Pool # 888568, 5.00%, 12/1/2034
5
6
Pool # 815426, 4.50%, 2/1/2035
1
1
Pool # AD0755, 7.00%, 6/1/2035
1,652
1,762
Pool # 820347, 5.00%, 9/1/2035
42
44
Pool # 833657, 7.50%, 8/1/2036
24
25
Pool # 986648, 6.00%, 9/1/2037
77
81
Pool # 888892, 7.50%, 11/1/2037
21
23
Pool # 257510, 7.00%, 12/1/2038
76
84
Pool # AD0753, 7.00%, 1/1/2039
56
63
Pool # AT5891, 3.00%, 6/1/2043
1,793
1,646
Pool # AL7527, 4.50%, 9/1/2043
638
639
Pool # BM3500, 4.00%, 9/1/2047
1,805
1,776
Pool # BJ1778, 4.50%, 10/1/2047
666
661
Pool # BN9180, 4.00%, 6/1/2049
390
375
Pool # BK8753, 4.50%, 6/1/2049
925
909
Pool # BO1219, 4.50%, 6/1/2049
1,986
1,964
Pool # BO7077, 3.00%, 9/1/2049
2,018
1,809
Pool # CA5549, 3.00%, 4/1/2050
5,038
4,517
Pool # CA5702, 2.50%, 5/1/2050
6,209
5,379
Pool # CA6079, 2.50%, 6/1/2050
3,345
2,883
Pool # BP6439, 2.50%, 7/1/2050
7,374
6,355
Pool # CA6361, 2.50%, 7/1/2050
4,602
4,005
Pool # BU0070, 2.50%, 10/1/2051
4,993
4,288
Pool # CB2637, 2.50%, 1/1/2052
4,182
3,595
Pool # CB2670, 3.00%, 1/1/2052
3,855
3,415
Pool # CB3383, 4.00%, 4/1/2052
4,631
4,386
Pool # CB3679, 4.00%, 5/1/2052
4,227
3,999
Pool # CB3913, 4.00%, 5/1/2052
1,678
1,587

JPMorgan Core Bond Trust
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF November 30, 2022 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT
($000)
VALUE
($000)
Mortgage-Backed Securities — continued
Pool # CB4124, 4.00%, 6/1/2052
2,154
    2,038
Pool # BW8524, 5.00%, 9/1/2052
2,841
    2,830
Pool # BW9985, 5.00%, 9/1/2052
3,755
    3,739
Pool # BV6789, 4.00%, 10/1/2052
1,426
    1,349
Pool # BX0091, 5.00%, 10/1/2052
2,096
    2,087
Pool # BV6794, 5.00%, 11/1/2052
1,768
    1,769
FNMA, 30 Year
 
 
Pool # 535183, 8.00%, 6/1/2028
    3
        3
Pool # 252409, 6.50%, 3/1/2029
   25
       25
Pool # 653815, 7.00%, 2/1/2033
    6
        6
Pool # 752786, 6.00%, 9/1/2033
   42
       42
Pool # 931717, 6.50%, 8/1/2039
  168
      171
FNMA, Other
 
 
Pool # AM3789, 3.02%, 7/1/2023
2,083
2,053
Pool # AM4628, 3.69%, 11/1/2023
1,413
1,392
Pool # AM4668, 3.76%, 11/1/2023
1,849
1,822
Pool # AM4716, 3.38%, 12/1/2023
3
3
Pool # 470300, 3.64%, 1/1/2025
854
835
Pool # AM3833, 3.25%, 7/1/2025
3,336
3,223
Pool # AM4991, 3.97%, 12/1/2025
1,607
1,580
Pool # AL6805, 3.81%, 1/1/2026(e)
1,773
1,735
Pool # 468645, 4.54%, 7/1/2026
2,413
2,418
Pool # AM6448, 3.25%, 9/1/2026
9,250
8,871
Pool # AM7223, 3.11%, 12/1/2026
3,252
3,100
Pool # AM7515, 3.34%, 2/1/2027
2,000
1,912
Pool # AM8803, 2.78%, 6/1/2027
4,623
4,337
Pool # AM8987, 2.79%, 6/1/2027
1,713
1,605
Pool # BL9574, 1.00%, 12/1/2027
4,035
3,452
Pool # BL1040, 3.81%, 12/1/2028
3,000
2,917
Pool # BL4364, 2.24%, 11/1/2029
5,456
4,815
Pool # BL4333, 2.52%, 11/1/2029
5,983
5,349
Pool # AM7785, 3.17%, 2/1/2030
2,745
2,547
Pool # AM7516, 3.55%, 2/1/2030
2,000
1,911
Pool # AM8544, 3.08%, 4/1/2030
7,327
6,753
Pool # AM8889, 2.92%, 5/1/2030
8,000
7,216
Pool # AM9020, 2.97%, 6/1/2030
3,679
3,364
Pool # BS7241, 5.05%, 9/1/2030(f)
5,000
5,131
Pool # BL9251, 1.45%, 10/1/2030
4,495
3,678
Pool # BL4315, 2.39%, 9/1/2031
4,461
3,869
Pool # BS5153, 2.53%, 9/1/2031
971
839
Pool # BS5071, 2.63%, 9/1/2031
2,994
2,592
Pool # BS4313, 1.98%, 1/1/2032
8,350
6,845
Pool # BM7037, 1.75%, 3/1/2032(e)
6,749
5,404
Pool # BS5760, 2.43%, 5/1/2032
2,972
2,564
Pool # AN6149, 3.14%, 7/1/2032
3,050
2,739
Pool # BS6243, 3.87%, 8/1/2032
2,172
2,082
Pool # BS5887, 3.51%, 9/1/2032
2,000
1,858
Pool # BS6597, 3.67%, 9/1/2032
820
767

JPMorgan Core Bond Trust
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF November 30, 2022 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT
($000)
VALUE
($000)
Mortgage-Backed Securities — continued
Pool # BS6339, 3.80%, 9/1/2032
3,844
    3,659
Pool # BS6505, 3.54%, 10/1/2032
3,487
    3,260
Pool # BS6822, 3.81%, 10/1/2032
5,575
    5,311
Pool # BS6759, 3.97%, 10/1/2032
4,994
    4,827
Pool # AP9632, 4.00%, 10/1/2032
  151
      145
Pool # AP9762, 4.00%, 10/1/2032
  223
      213
Pool # BS6926, 4.51%, 10/1/2032
4,000
    4,032
Pool # BS6928, 4.55%, 10/1/2032
2,065
    2,090
Pool # BS6601, 3.54%, 11/1/2032
6,715
    6,252
Pool # BS7115, 3.81%, 11/1/2032
10,120
    9,631
Pool # AQ7084, 3.50%, 12/1/2032
  428
      406
Pool # AT2703, 3.50%, 5/1/2033
  712
      677
Pool # AT2954, 3.50%, 5/1/2033
460
436
Pool # AT4180, 3.50%, 5/1/2033
428
406
Pool # AT4939, 3.50%, 5/1/2033
388
369
Pool # 754922, 5.50%, 9/1/2033
60
61
Pool # 762520, 4.00%, 11/1/2033
189
183
Pool # BS4198, 2.16%, 12/1/2033
9,000
7,384
Pool # BS4237, 2.16%, 12/1/2033
4,460
3,597
Pool # BS7097, 4.67%, 11/1/2034
7,251
7,256
Pool # AM8922, 3.03%, 6/1/2035
2,428
2,246
Pool # AM9188, 3.12%, 6/1/2035
7,000
6,000
Pool # 849215, 6.50%, 1/1/2036
18
18
Pool # 872740, 6.50%, 6/1/2036
41
42
Pool # 886320, 6.50%, 7/1/2036
14
14
Pool # BS4368, 2.29%, 1/1/2037
5,243
4,149
Pool # 888796, 6.00%, 9/1/2037
47
48
Pool # AO7225, 4.00%, 7/1/2042
255
246
Pool # AO9352, 4.00%, 7/1/2042
380
367
Pool # MA1125, 4.00%, 7/1/2042
365
353
Pool # AR1397, 3.00%, 1/1/2043
796
717
Pool # MA1711, 4.50%, 12/1/2043
1,411
1,400
Pool # MA1828, 4.50%, 3/1/2044
1,110
1,102
Pool # BF0558, 5.00%, 12/1/2049
4,053
4,109
Pool # BF0464, 3.50%, 3/1/2060
2,975
2,751
Pool # BF0546, 2.50%, 7/1/2061
4,023
3,364
Pool # BF0560, 2.50%, 9/1/2061
5,158
4,313
Pool # BF0590, 2.50%, 12/1/2061
7,873
6,613
Pool # BF0579, 3.00%, 12/1/2061
6,771
5,955
Pool # BF0583, 4.00%, 12/1/2061
4,797
4,586
FREMF Mortgage Trust , 6.30%, 1/25/2029(b) (e)
3,397
3,155
GNMA I, 30 Year
 
 
Pool # 345288, 7.50%, 3/15/2023
Pool # 554108, 6.50%, 3/15/2028
20
20
Pool # 468149, 8.00%, 8/15/2028
1
1
Pool # 486537, 7.50%, 9/15/2028
6
6
Pool # 486631, 6.50%, 10/15/2028
3
3
Pool # 591882, 6.50%, 7/15/2032
12
12

JPMorgan Core Bond Trust
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF November 30, 2022 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT
($000)
VALUE
($000)
Mortgage-Backed Securities — continued
Pool # 607645, 6.50%, 2/15/2033
   26
       27
Pool # 607724, 7.00%, 2/15/2033
   30
       31
Pool # 604209, 6.50%, 4/15/2033
   33
       34
Pool # 781614, 7.00%, 6/15/2033
   42
       45
Pool # BM2141, 5.00%, 7/15/2049
  495
      511
Pool # CO1916, 5.00%, 9/15/2052
2,992
    3,032
GNMA II
 
 
Pool # CE5524, ARM, 5.92%, 8/20/2071(e)
2,617
    2,712
Pool # CE5546, ARM, 5.83%, 10/20/2071(e)
4,864
    5,021
Pool # CK2783, ARM, 5.79%, 2/20/2072(e)
4,775
    4,925
Pool # CK2799, ARM, 5.80%, 3/20/2072(e)
3,910
    4,037
Pool # CK2810, ARM, 5.77%, 4/20/2072(e)
4,589
    4,733
Pool # CP1819, ARM, 5.92%, 7/20/2072(e)
3,595
3,748
Pool # CG5357, ARM, 5.76%, 8/20/2072(e)
2,444
2,519
Pool # CP4923, ARM, 6.01%, 8/20/2072(e)
5,535
5,774
GNMA II, 30 Year
 
 
Pool # 2006, 8.50%, 5/20/2025
1
1
Pool # 2141, 8.00%, 12/20/2025
Pool # 2234, 8.00%, 6/20/2026
2
2
Pool # 2270, 8.00%, 8/20/2026
1
1
Pool # 2285, 8.00%, 9/20/2026
1
1
Pool # 2324, 8.00%, 11/20/2026
1
1
Pool # 2499, 8.00%, 10/20/2027
3
3
Pool # 2512, 8.00%, 11/20/2027
3
4
Pool # 2525, 8.00%, 12/20/2027
2
2
Pool # 2549, 7.50%, 2/20/2028
2
2
Pool # 2646, 7.50%, 9/20/2028
6
7
Pool # 2647, 8.00%, 9/20/2028
1
1
Pool # 3427, 4.50%, 8/20/2033
55
56
Pool # 4245, 6.00%, 9/20/2038
385
408
Pool # AK8806, 4.25%, 3/20/2045
946
922
Pool # BM2118, 4.50%, 6/20/2049
152
149
Pool # BO0535, 4.00%, 7/20/2049
1,166
1,129
Pool # BO8227, 5.00%, 7/20/2049
887
911
Pool # BO8229, 5.00%, 7/20/2049
701
727
Pool # BM9734, 4.00%, 10/20/2049
1,753
1,706
Pool # BQ4115, 3.00%, 3/20/2050
3,515
3,177
Pool # 785294, 3.50%, 1/20/2051
3,951
3,632
Pool # CB1543, 3.00%, 2/20/2051
2,624
2,371
Pool # MA7534, 2.50%, 8/20/2051
26,273
23,161
Pool # MA7649, 2.50%, 10/20/2051
4,823
4,248
Pool # CK2698, 3.00%, 2/20/2052
1,414
1,263
Pool # CK2716, 3.50%, 2/20/2052
3,975
3,650
Pool # CM2161, 3.00%, 3/20/2052
2,467
2,205
Pool # CM2213, 3.00%, 3/20/2052
473
422
Pool # CN2859, 4.50%, 6/20/2052
4,124
4,123
Pool # CO4824, 5.00%, 6/20/2052
1,627
1,638
Pool # CO4865, 5.00%, 7/20/2052
1,886
1,890

JPMorgan Core Bond Trust
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF November 30, 2022 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT
($000)
VALUE
($000)
Mortgage-Backed Securities — continued
Pool # MA8200, 4.00%, 8/20/2052
9,601
    9,169
Pool # CO8413, 4.50%, 9/20/2052
4,988
    4,888
Total Mortgage-Backed Securities
(Cost $455,842)
 
427,593
Asset-Backed Securities — 14.4%
Academic Loan Funding Trust Series 2013-1A, Class A, 4.82%, 12/26/2044(b) (e)
  611
      586
ACC Series 2019-AA, 0.25%, 9/15/2022
3,821
    3,801
Air Canada Pass-Through Trust (Canada)
 
 
Series 2013-1, Class A, 4.13%, 5/15/2025(b)
  480
      435
Series 2015-2, Class AA, 3.75%, 12/15/2027(b)
  192
      167
Series 2017-1, Class AA, 3.30%, 1/15/2030(b)
  390
      335
Series 2017-1, Class A, 3.55%, 1/15/2030(b)
  553
      445
American Airlines Pass-Through Trust Series 2016-3, Class AA, 3.00%, 10/15/2028
  160
      141
American Homes 4 Rent Trust
 
 
Series 2014-SFR2, Class A, 3.79%, 10/17/2036(b)
3,430
3,287
Series 2014-SFR2, Class D, 5.15%, 10/17/2036‡ (b)
2,000
1,926
Series 2014-SFR2, Class E, 6.23%, 10/17/2036(b)
850
828
Series 2014-SFR3, Class A, 3.68%, 12/17/2036(b)
2,555
2,448
Series 2014-SFR3, Class C, 4.60%, 12/17/2036(b)
500
484
Series 2014-SFR3, Class E, 6.42%, 12/17/2036(b)
2,380
2,348
Series 2015-SFR1, Class A, 3.47%, 4/17/2052(b)
3,652
3,471
Series 2015-SFR1, Class E, 5.64%, 4/17/2052‡ (b)
1,275
1,237
American Tower Trust #1, 3.07%, 3/15/2023(b)
750
743
AMSR Trust
 
 
Series 2020-SFR2, Class C, 2.53%, 7/17/2037‡ (b)
3,500
3,165
Series 2020-SFR4, Class C, 1.86%, 11/17/2037‡ (b)
4,000
3,548
Series 2021-SFR3, Class C, 1.80%, 10/17/2038(b)
1,600
1,345
Series 2021-SFR3, Class E1, 2.33%, 10/17/2038‡ (b)
2,168
1,819
Bridge Trust
 
 
Series 2022-SFR13.40%, 11/17/2037(b)
3,000
2,743
Series 2022-SFR14.45%, 11/17/2037(b)
4,200
3,817
British Airways Pass-Through Trust (United Kingdom)
 
 
Series 2018-1, Class AA, 3.80%, 9/20/2031(b)
459
415
Series 2018-1, Class A, 4.13%, 9/20/2031(b)
737
617
Series 2019-1, Class AA, 3.30%, 12/15/2032(b)
628
536
Business Jet Securities LLC
 
 
Series 2020-1A, Class A, 2.98%, 11/15/2035(b)
718
651
Series 2021-1A, Class A, 2.16%, 4/15/2036(b)
2,827
2,461
Camillo Issuer LLC Series 2016-SFR, Class 1-A-1, 5.00%, 12/5/2023
4,676
4,637
Cars Net Lease Mortgage Notes Series 2020-1A, Class A3, 3.10%, 12/15/2050(b)
797
702
CFIN Issuer LLC Series 2022-RTL1, Class AA, 3.25%, 2/16/2026‡ (b)
4,200
4,011
Chase Funding Trust Series 2003-6, Class 1A7, 4.88%, 11/25/2034‡ (d)
245
240
Citibank Credit Card Issuance Trust Series 2007-A3, Class A3, 6.15%, 6/15/2039
800
881
Consumer Receivables Asset Investment Trust Series 2021-1, Class A1X, 7.99%, 3/24/2023(b) (e)
1,314
1,317
Continental Finance Credit Card ABS Master Trust
 
 
Series 2020-1A, Class A, 2.24%, 12/15/2028(b)
2,070
1,936
Series 2022-A, Class A, 6.19%, 10/15/2030(b)
4,080
3,901

JPMorgan Core Bond Trust
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF November 30, 2022 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT
($000)
VALUE
($000)
Asset-Backed Securities — continued
CoreVest American Finance Trust
 
 
Series 2019-2, Class D, 4.22%, 6/15/2052‡ (b)
2,000
    1,695
Series 2020-3, Class B, 2.20%, 8/15/2053‡ (b)
3,180
    2,442
CPS Auto Receivables Trust Series 2022-D, Class C, 7.69%, 1/16/2029(b)
4,000
    4,035
Credit Acceptance Auto Loan Trust
 
 
Series 2021-2A, Class C, 1.64%, 6/17/2030(b)
7,280
    6,532
Series 2022-3A, Class C, 8.45%, 2/15/2033(b)
4,100
    4,136
Credit Suisse ABS Trust Series 2020-AT1, Class A, 2.61%, 10/15/2026(b)
1,037
      984
CWABS, Inc. Asset-Backed Certificates Trust Series 2004-6, Class M1, 4.94%, 10/25/2034(e)
   60
       57
DataBank Issuer Series 2021-1A, Class A2, 2.06%, 2/27/2051(b)
2,700
    2,329
Delta Air Lines Pass-Through Trust Series 2015-1, Class AA, 3.63%, 7/30/2027
  229
      211
Diamond Resorts Owner Trust Series 2019-1A, Class A, 2.89%, 2/20/2032(b)
1,311
    1,277
Diversified Abs Phase III LLC Series 2022-1, 4.88%, 4/28/2039‡ (b)
5,123
4,713
Diversified Abs Phase LLC Series VI, Class A, 7.50%, 11/28/2039
3,262
3,176
Exeter Automobile Receivables Trust Series 2019-3A, Class D, 3.11%, 8/15/2025(b)
2,595
2,544
FirstKey Homes Trust
 
 
Series 2022-SFR34.50%, 7/17/2026(b) (f)
3,466
3,170
Series 2020-SFR2, Class E, 2.67%, 10/19/2037(b)
3,000
2,634
Series 2021-SFR1, Class D, 2.19%, 8/17/2038‡ (b)
4,000
3,313
Series 2022-SFR2, Class E1, 4.50%, 7/17/2039‡ (b)
3,700
3,110
Flagship Credit Auto Trust Series 2022-4, Class C, 7.71%, 10/16/2028(b)
5,190
5,241
FMC GMSR Issuer Trust
 
 
3.65%, 2/25/2024(b) (e)
7,325
7,006
Series 2020-GT1, Class A, 4.45%, 1/25/2026(b) (e)
5,000
4,361
Series 2021-GT1, Class A, 3.62%, 7/25/2026(b) (e)
4,300
3,502
Series 2021-GT2, Class A, 3.85%, 10/25/2026(b) (e)
3,370
2,710
Series 2022-GT1, Class A, 6.19%, 4/25/2027(b)
6,000
5,297
FNMA, Grantor Trust Series 2017-T1, Class A, 2.90%, 6/25/2027
4,836
4,544
Foundation Finance Trust Series 2019-1A, Class A, 3.86%, 11/15/2034(b)
320
313
FREED ABS Trust Series 2022-3FP, Class B, 5.79%, 8/20/2029‡ (b)
3,585
3,525
Freedom Series 2021-SAVF1, 4.90%, 3/25/2023(e)
3,948
3,874
GE Capital Mortgage Services, Inc. Trust Series 1999-HE1, Class M, 6.71%, 4/25/2029‡ (e)
42
35
GLS Auto Receivables Issuer Trust
 
 
Series 2022-3A, Class C, 5.34%, 6/15/2028(b)
2,361
2,291
Series 2022-3A, Class D, 6.42%, 6/15/2028(b)
2,500
2,375
Gold Key Resorts LLC Series 2014-A, Class A, 3.22%, 3/17/2031(b)
42
41
Goodgreen Series 2019-2A, Class A, 2.76%, 4/15/2055(b)
1,406
1,210
Goodgreen Trust Series 2017-1A, Class A, 3.74%, 10/15/2052(b)
299
277
HERO Funding (Cayman Islands) Series 2017-3A, Class A2, 3.95%, 9/20/2048(b)
802
740
HERO Funding Trust
 
 
Series 2016-3A, Class A1, 3.08%, 9/20/2042(b)
320
299
Series 2017-1A, Class A2, 4.46%, 9/20/2047(b)
807
764
HGI CRE CLO Ltd. (Cayman Islands) Series 2022-FL3, Class B, 5.94%, 4/20/2037‡ (b) (e)
1,500
1,430
Hilton Grand Vacations Trust Series 2017-AA, Class A, 2.66%, 12/26/2028(b)
63
62
Jonah Energy Abs LLC Series 2022-1, Class A1, 7.20%, 12/10/2037(b)
2,470
2,453
KGS-Alpha SBA COOF Trust
 
 
Series 2012-2, Class A, IO, 0.81%, 8/25/2038‡ (b) (e)
1,399
20
Series 2013-2, Class A, IO, 1.75%, 3/25/2039‡ (b) (e)
1,470
52

JPMorgan Core Bond Trust
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF November 30, 2022 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT
($000)
VALUE
($000)
Asset-Backed Securities — continued
Series 2015-2, Class A, IO, 3.03%, 7/25/2041‡ (b) (e)
  500
       51
Lending Funding Trust Series 2020-2A, 4.30%, 4/21/2031(b)
1,795
    1,505
Lendingpoint Asset Securitization Trust
 
 
Series 2022-B, Class B, 5.99%, 10/15/2029‡ (b)
5,237
    4,966
Series 2022-C, Class B, 7.46%, 2/15/2030‡ (b)
4,000
    3,977
LendingPoint Asset Securitization Trust Series 2020-REV1, Class A, 2.73%, 10/15/2028(b)
4,867
    4,791
LL ABS Trust Series 2022-1A, Class B, 5.05%, 11/15/2029‡ (b)
2,900
    2,766
LP LMS Asset Securitization Trust, 3.23%, 10/15/2028
1,209
    1,192
Mariner Finance Issuance Trust Series 2022-AA, Class C, 7.90%, 10/20/2037‡ (b)
2,033
    2,030
Mercury Financial Credit Card Master Trust Series 2021-1A, Class A, 1.54%, 3/20/2026(b)
2,330
    2,210
Mid-State Capital Corp. Trust Series 2006-1, Class M1, 6.08%, 10/15/2040‡ (b)
  409
      395
MVW LLC Series 2019-2A, Class B, 2.44%, 10/20/2038‡ (b)
1,503
    1,406
New Century Home Equity Loan Trust Series 2003-5, Class AI6, 4.83%, 11/25/2033‡ (d)
231
215
NRZ Excess Spread-Collateralized Notes
 
 
Series 2020-PLS1, Class A, 3.84%, 12/25/2025(b)
1,094
996
Series 2021-FHT1, Class A, 3.10%, 7/25/2026(b)
5,375
4,686
Series 2021-GNT1, Class A, 3.47%, 11/25/2026(b)
3,106
2,735
OneMain Direct Auto Receivables Trust Series 2019-1A, Class B, 3.95%, 11/14/2028(b)
3,880
3,613
Oportun Funding XIII LLC Series 2019-A, Class A, 3.08%, 8/8/2025(b)
2,367
2,301
Pagaya AI Debt Selection Trust Series 2021-1, Class A, 1.18%, 11/15/2027(b)
1,839
1,804
Pagaya AI Technology in Housing Trust Series 2022-1, Class A, 4.25%, 8/25/2025(b)
2,667
2,501
Pendoor Proper0.00%, 2/15/2026‡ (b)
4,150
3,953
PNMAC GMSR ISSUER TRUST Series 2022-GT1, Class A, 7.80%, 5/25/2027(b) (e)
3,450
3,244
Prestige Auto Receivables Trust Series 2022-1A, Class C, 7.09%, 8/15/2028(b)
4,000
4,007
PRET LLC
 
 
Series 2021-NPL6, Class A1, 2.49%, 7/25/2051‡ (b) (d)
2,799
2,587
Series 2021-RN3, Class A1, 1.84%, 9/25/2051‡ (b) (d)
3,778
3,397
Series 2021-RN4, Class A1, 2.49%, 10/25/2051(b) (e)
5,684
4,988
Pretium Mortgage Credit Partners I LLC Series 2021-NPL1, Class A1, 2.24%, 9/27/2060‡ (b) (d)
3,331
3,008
Progress Residential Trust
 
 
Series 2022-SFR2, Class E1, 4.55%, 4/17/2027
4,000
3,436
Series 2020-SFR3, Class C, 1.70%, 10/17/2027‡ (b)
3,250
2,894
Series 2019-SFR4, Class D, 3.14%, 10/17/2036‡ (b)
5,000
4,678
Series 2021-SFR6, Class E1, 2.43%, 7/17/2038(b)
3,446
2,837
Series 2022-SFR3, Class E2, 5.60%, 4/17/2039(b)
2,685
2,344
Series 2022-SFR5, Class E1, 6.62%, 6/17/2039(b)
3,619
3,309
Renaissance Home Equity Loan Trust Series 2007-2, Class AF2, 5.68%, 6/25/2037‡ (d)
287
86
Renew (Cayman Islands) Series 2017-1A, Class A, 3.67%, 9/20/2052(b)
382
346
RMIP Series 2019-1B, 4.71%, 8/25/2023
500
488
Santander Drive Auto Receivables Trust Series 2022-4, Class A3, 4.14%, 2/16/2027
4,829
4,702
Santander Retail Auto Lease Trust Series 2020-A, Class A4, 1.76%, 3/20/2024(b)
80
80
SCF Equipment Leasing LLC Series 2022-2A, Class C, 6.50%, 8/20/2032(b)
3,688
3,595
Securitized Asset-Backed Receivables LLC Trust Series 2006-CB1, Class AF2, 2.91%, 1/25/2036‡ (d)
153
118
Sierra Timeshare Receivables Funding LLC Series 2019-2A, Class C, 3.12%, 5/20/2036‡ (b)
808
751
Sonoran Auto Receivables Trust Series 2018-1, 4.76%, 6/15/2025
792
783
Spirit Airlines Pass-Through Trust Series 2017-1, Class AA, 3.38%, 2/15/2030
300
259
Tricolor Auto Securitization Trust Series 2020-1A, Class A, 4.88%, 11/15/2026(b)
38
38
Tricon Residential Trust Series 2022-SFR1, Class D, 4.75%, 4/17/2039‡ (b)
1,837
1,684

JPMorgan Core Bond Trust
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF November 30, 2022 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT
($000)
VALUE
($000)
Asset-Backed Securities — continued
United Airlines Pass-Through Trust
 
 
Series 2016-2, Class B, 3.65%, 10/7/2025
  858
      753
Series 2018-1, Class B, 4.60%, 3/1/2026
  523
      475
Series 2016-1, Class A, 3.45%, 7/7/2028
  578
      473
Series 2016-2, Class A, 3.10%, 10/7/2028
  982
      769
Series 2018-1, Class AA, 3.50%, 3/1/2030
  884
      758
Series 2018-1, Class A, 3.70%, 3/1/2030
1,371
    1,103
Series 2019-1, Class AA, 4.15%, 8/25/2031
  866
      778
Series 2019-1, Class A, 4.55%, 8/25/2031
  774
      653
Series 2019-2, Class AA, 2.70%, 5/1/2032
1,162
      944
Upstart Structured Pass-Through Trust Series 2022-4A, Class A, 7.01%, 11/15/2030(b)
1,856
    1,844
US Airways Pass-Through Trust Series 2011-1, Class A, 7.13%, 10/22/2023
1,142
    1,147
US Auto Funding Trust Series 2022-1A, Class B, 5.13%, 12/15/2025(b)
4,700
4,446
vMobo, Inc., 7.46%, 7/18/2027
6,154
5,785
VOLT CI LLC Series 2021-NP10, Class A1, 1.99%, 5/25/2051‡ (b) (d)
2,012
1,843
VOLT XCIII LLC Series 2021-NPL2, Class A1, 1.89%, 2/27/2051‡ (b) (d)
4,955
4,436
VOLT XCIV LLC Series 2021-NPL3, Class A1, 2.24%, 2/27/2051(b) (d)
3,468
3,069
VOLT XCVI LLC Series 2021-NPL5, Class A1, 2.12%, 3/27/2051(b) (d)
2,885
2,567
VOLT XCVII LLC Series 2021-NPL6, Class A1, 2.24%, 4/25/2051(b) (d)
2,935
2,618
Westlake Automobile Receivables Trust
 
 
Series 2019-2A, Class D, 3.20%, 11/15/2024(b)
1,106
1,103
Series 2022-2A, Class D, 5.48%, 9/15/2027(b)
4,910
4,641
WILMA, 7.95%, 3/27/2029
3,000
3,000
Total Asset-Backed Securities
(Cost $326,824)
 
305,161
Collateralized Mortgage Obligations — 7.5%
Alternative Loan Trust
 
 
Series 2004-2CB, Class 1A9, 5.75%, 3/25/2034
2,883
2,841
Series 2005-1CB, Class 1A6, IF, IO, 3.06%, 3/25/2035‡ (e)
376
26
Series 2005-22T1, Class A2, IF, IO, 1.03%, 6/25/2035‡ (e)
2,893
212
Series 2005-20CB, Class 3A8, IF, IO, 0.71%, 7/25/2035‡ (e)
1,089
42
Series 2005-28CB, Class 1A4, 5.50%, 8/25/2035
1,029
889
Series 2005-28CB, Class 3A5, 6.00%, 8/25/2035
51
24
Series 2005-37T1, Class A2, IF, IO, 1.01%, 9/25/2035‡ (e)
2,116
125
Series 2005-54CB, Class 1A2, IF, IO, 0.81%, 11/25/2035‡ (e)
1,642
74
Series 2005-54CB, Class 1A11, 5.50%, 11/25/2035
652
508
Series 2005-57CB, Class 3A2, IF, IO, 1.06%, 12/25/2035‡ (e)
437
38
Series 2005-64CB, Class 1A9, 5.50%, 12/25/2035
321
279
Series 2006-26CB, Class A9, 6.50%, 9/25/2036
875
498
Banc of America Alternative Loan Trust
 
 
Series 2004-6, Class 15, PO, 7/25/2019
6
2
Series 2006-4, Class 1A4, 6.00%, 5/25/2046
243
193
Banc of America Funding Trust
 
 
Series 2004-1, PO, 3/25/2034
65
45
Series 2004-2, Class 30, PO, 9/20/2034
74
53
Series 2005-6, Class 2A7, 5.50%, 10/25/2035
143
118
Series 2005-7, Class 30, PO, 11/25/2035
75
68
Series 2005-8, Class 30, PO, 1/25/2036
34
22

JPMorgan Core Bond Trust
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF November 30, 2022 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT
($000)
VALUE
($000)
Collateralized Mortgage Obligations — continued
Series 2006-A, Class 3A2, 3.51%, 2/20/2036(e)
   99
       87
Banc of America Mortgage Trust Series 2004-A, Class 2A2, 2.63%, 2/25/2034(e)
   26
       25
Bear Stearns ARM Trust
 
 
Series 2003-7, Class 3A, 3.48%, 10/25/2033(e)
   15
       13
Series 2004-1, Class 12A1, 2.99%, 4/25/2034(e)
  154
      140
Series 2004-2, Class 14A, 3.10%, 5/25/2034(e)
   19
       17
Series 2006-1, Class A1, 6.80%, 2/25/2036(e)
  283
      266
CFMT LLC Series 2020-HB4, Class A, 0.95%, 12/26/2030(b) (e)
1,573
    1,520
CHL Mortgage Pass-Through Trust
 
 
Series 2004-8, Class 2A1, 4.50%, 6/25/2019
    2
        1
Series 2004-HYB1, Class 2A, 3.33%, 5/20/2034(e)
   31
       28
Series 2004-HYB3, Class 2A, 2.72%, 6/20/2034(e)
  115
      105
Series 2004-7, Class 2A1, 3.16%, 6/25/2034(e)
83
76
Series 2004-HYB6, Class A3, 3.87%, 11/20/2034(e)
122
111
Series 2005-16, Class A23, 5.50%, 9/25/2035
198
127
Series 2005-22, Class 2A1, 3.45%, 11/25/2035(e)
652
505
Citicorp Mortgage Securities REMIC Pass-Through Certificates Trust
 
 
Series 2005-5, Class A, PO, 8/25/2035
27
19
Series 2005-8, Class A, PO, 11/25/2035
51
33
Citigroup Global Markets Mortgage Securities VII, Inc.
 
 
Series 2003-UP2, Class 1, PO, 12/25/2018
1
1
Series 2003-HYB1, Class A, 4.24%, 9/25/2033(e)
16
16
Citigroup Mortgage Loan Trust Series 2015-A, Class B2, 4.50%, 6/25/2058(b) (e)
241
222
Citigroup Mortgage Loan Trust, Inc.
 
 
Series 2003-1, Class 3, PO, 9/25/2033
10
7
Series 2003-UP3, Class A3, 7.00%, 9/25/2033
8
8
Series 2003-1, Class 2, PO, 10/25/2033
1
1
Series 2003-1, Class 2A6, PO, 10/25/2033
8
6
Series 2003-1, Class 2A5, 5.25%, 10/25/2033
14
14
Series 2004-UST1, Class A6, 3.91%, 8/25/2034(e)
11
10
Series 2005-1, Class 2A1A, 2.55%, 2/25/2035(e)
146
112
Series 2005-2, Class 2A11, 5.50%, 5/25/2035
102
97
Series 2005-5, Class 1A2, 4.03%, 8/25/2035(e)
173
124
Credit Suisse First Boston Mortgage Securities Corp. (Switzerland)
 
 
Series 2003-1, Class DB1, 6.66%, 2/25/2033(e)
185
178
Series 2003-21, Class 1A4, 5.25%, 9/25/2033
48
45
Series 2003-25, Class 1P, PO, 10/25/2033
82
58
CSFB Mortgage-Backed Pass-Through Certificates
 
 
Series 2005-4, Class 3A18, 5.50%, 6/25/2035
486
462
Series 2005-4, Class 3A23, 5.50%, 6/25/2035
1,025
975
CSMC Trust Series 2021-RPL1, Class A1, 1.67%, 9/27/2060(b) (e)
5,418
5,071
FHLMC - GNMA Series 8, Class ZA, 7.00%, 3/25/2023
FHLMC, REMIC
 
 
Series 1455, Class WB, IF, 2.97%, 12/15/2022(e)
Series 1470, Class F, 2.03%, 2/15/2023(e)
Series 2568, Class KG, 5.50%, 2/15/2023
2
2
Series 1466, Class PZ, 7.50%, 2/15/2023
1
1
Series 1498, Class I, 5.02%, 4/15/2023(e)
2
2

JPMorgan Core Bond Trust
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF November 30, 2022 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT
($000)
VALUE
($000)
Collateralized Mortgage Obligations — continued
Series 1502, Class PX, 7.00%, 4/15/2023
     3
        3
Series 1518, Class G, IF, 4.68%, 5/15/2023(e)
     1
        1
Series 1798, Class F, 5.00%, 5/15/2023
     3
        3
Series 1505, Class Q, 7.00%, 5/15/2023
     1
        1
Series 1541, Class O, 3.13%, 7/15/2023(e)
     1
        1
Series 2638, Class DS, IF, 4.73%, 7/15/2023(e)
     1
        1
Series 1541, Class M, HB, IF, 23.42%, 7/15/2023(e)
     1
       
Series 1570, Class F, 2.79%, 8/15/2023(e)
   
       
Series 1608, Class L, 6.50%, 9/15/2023
    21
       21
Series 1573, Class PZ, 7.00%, 9/15/2023
     5
        5
Series 2571, Class SK, IF, 17.80%, 9/15/2023(e)
     2
        2
Series 1591, Class PV, 6.25%, 10/15/2023
     3
        3
Series 1602, Class SA, IF, 11.66%, 10/15/2023(e)
2
2
Series 2710, Class HB, 5.50%, 11/15/2023
18
18
Series 1642, Class PJ, 6.00%, 11/15/2023
10
10
Series 2716, Class UN, 4.50%, 12/15/2023
18
18
Series 1638, Class H, 6.50%, 12/15/2023
16
16
Series 2283, Class K, 6.50%, 12/15/2023
6
6
Series 1865, Class D, PO, 2/15/2024
8
8
Series 1760, Class ZD, 3.62%, 2/15/2024(e)
16
16
Series 1671, Class QC, IF, 10.00%, 2/15/2024(e)
3
3
Series 1686, Class SH, IF, 11.56%, 2/15/2024(e)
Series 1709, Class FA, 3.27%, 3/15/2024(e)
Series 1699, Class FC, 4.01%, 3/15/2024(e)
1
1
Series 1695, Class EB, 7.00%, 3/15/2024
4
4
Series 1706, Class K, 7.00%, 3/15/2024
10
10
Series 2033, Class SN, HB, IF, 25.62%, 3/15/2024(e)
2
Series 2306, Class K, PO, 5/15/2024
2
2
Series 2306, Class SE, IF, IO, 6.48%, 5/15/2024(e)
5
Series 1745, Class D, 7.50%, 8/15/2024
5
5
Series 3720, Class A, 4.50%, 9/15/2025
30
30
Series 3131, Class BK, 5.50%, 3/15/2026
130
130
Series 1829, Class ZB, 6.50%, 3/15/2026
2
2
Series 1863, Class Z, 6.50%, 7/15/2026
2
2
Series 1890, Class H, 7.50%, 9/15/2026
6
6
Series 1899, Class ZE, 8.00%, 9/15/2026
21
22
Series 3229, Class HE, 5.00%, 10/15/2026
139
138
Series 1963, Class Z, 7.50%, 1/15/2027
17
18
Series 1935, Class FL, 4.57%, 2/15/2027(e)
1
1
Series 1981, Class Z, 6.00%, 5/15/2027
23
23
Series 1970, Class PG, 7.25%, 7/15/2027
2
2
Series 1987, Class PE, 7.50%, 9/15/2027
12
12
Series 2019, Class Z, 6.50%, 12/15/2027
26
27
Series 2038, Class PN, IO, 7.00%, 3/15/2028
20
2
Series 2040, Class PE, 7.50%, 3/15/2028
37
38
Series 4251, Class KW, 2.50%, 4/15/2028
2,715
2,587
Series 2043, Class CJ, 6.50%, 4/15/2028
6
6
Series 2054, Class PV, 7.50%, 5/15/2028
30
31

JPMorgan Core Bond Trust
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF November 30, 2022 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT
($000)
VALUE
($000)
Collateralized Mortgage Obligations — continued
Series 2075, Class PM, 6.25%, 8/15/2028
    68
       69
Series 2075, Class PH, 6.50%, 8/15/2028
    60
       62
Series 2086, Class GB, 6.00%, 9/15/2028
    10
       11
Series 2089, Class PJ, IO, 7.00%, 10/15/2028
    30
        2
Series 2095, Class PE, 6.00%, 11/15/2028
    76
       77
Series 2125, Class JZ, 6.00%, 2/15/2029
    28
       29
Series 2136, Class PG, 6.00%, 3/15/2029
    31
       31
Series 2132, Class SB, IF, 14.22%, 3/15/2029(e)
     6
        6
Series 2141, IO, 7.00%, 4/15/2029
     8
        1
Series 2169, Class TB, 7.00%, 6/15/2029
    96
       99
Series 2163, Class PC, IO, 7.50%, 6/15/2029
    10
        1
Series 2172, Class QC, 7.00%, 7/15/2029
    62
       65
Series 2176, Class OJ, 7.00%, 8/15/2029
51
53
Series 2201, Class C, 8.00%, 11/15/2029
22
23
Series 2209, Class TC, 8.00%, 1/15/2030
27
29
Series 2210, Class Z, 8.00%, 1/15/2030
54
57
Series 2224, Class CB, 8.00%, 3/15/2030
12
13
Series 2230, Class Z, 8.00%, 4/15/2030
33
35
Series 2234, Class PZ, 7.50%, 5/15/2030
26
28
Series 2247, Class Z, 7.50%, 8/15/2030
28
30
Series 2256, Class MC, 7.25%, 9/15/2030
28
30
Series 2259, Class ZM, 7.00%, 10/15/2030
46
48
Series 2262, Class Z, 7.50%, 10/15/2030
6
7
Series 2271, Class PC, 7.25%, 12/15/2030
51
55
Series 2296, Class PD, 7.00%, 3/15/2031
35
37
Series 2313, Class LA, 6.50%, 5/15/2031
19
20
Series 2325, Class PM, 7.00%, 6/15/2031
29
31
Series 2359, Class ZB, 8.50%, 6/15/2031
83
91
Series 2344, Class ZD, 6.50%, 8/15/2031
289
299
Series 2344, Class ZJ, 6.50%, 8/15/2031
31
33
Series 2345, Class NE, 6.50%, 8/15/2031
24
25
Series 2351, Class PZ, 6.50%, 8/15/2031
20
20
Series 2353, Class AZ, 6.00%, 9/15/2031
166
168
Series 2367, Class ME, 6.50%, 10/15/2031
58
60
Series 2396, Class FM, 4.32%, 12/15/2031(e)
71
71
Series 2399, Class OH, 6.50%, 1/15/2032
64
66
Series 2399, Class TH, 6.50%, 1/15/2032
72
75
Series 2464, Class SI, IF, IO, 4.13%, 2/15/2032(e)
142
11
Series 2410, Class QX, IF, IO, 4.78%, 2/15/2032(e)
31
3
Series 2410, Class OE, 6.38%, 2/15/2032
14
14
Series 2410, Class NG, 6.50%, 2/15/2032
70
73
Series 2420, Class XK, 6.50%, 2/15/2032
110
114
Series 2412, Class SP, IF, 8.35%, 2/15/2032(e)
57
59
Series 2410, Class QS, IF, 9.43%, 2/15/2032(e)
58
63
Series 2444, Class ES, IF, IO, 4.08%, 3/15/2032(e)
54
5
Series 2450, Class SW, IF, IO, 4.13%, 3/15/2032(e)
43
5
Series 2430, Class WF, 6.50%, 3/15/2032
144
151
Series 2423, Class MC, 7.00%, 3/15/2032
81
86

JPMorgan Core Bond Trust
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF November 30, 2022 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT
($000)
VALUE
($000)
Collateralized Mortgage Obligations — continued
Series 2423, Class MT, 7.00%, 3/15/2032
    71
       75
Series 2435, Class CJ, 6.50%, 4/15/2032
   104
      108
Series 2434, Class TC, 7.00%, 4/15/2032
    79
       83
Series 2436, Class MC, 7.00%, 4/15/2032
    46
       48
Series 2455, Class GK, 6.50%, 5/15/2032
   172
      176
Series 2450, Class GZ, 7.00%, 5/15/2032
    50
       53
Series 2462, Class JG, 6.50%, 6/15/2032
    74
       77
Series 2466, Class PH, 6.50%, 6/15/2032
   127
      132
Series 2474, Class NR, 6.50%, 7/15/2032
    77
       80
Series 2484, Class LZ, 6.50%, 7/15/2032
    81
       84
Series 2500, Class MC, 6.00%, 9/15/2032
    86
       89
Series 2835, Class QO, PO, 12/15/2032
    11
        9
Series 2543, Class YX, 6.00%, 12/15/2032
156
160
Series 2544, Class HC, 6.00%, 12/15/2032
102
107
Series 2552, Class ME, 6.00%, 1/15/2033
178
185
Series 2567, Class QD, 6.00%, 2/15/2033
177
184
Series 2575, Class ME, 6.00%, 2/15/2033
434
448
Series 2596, Class QG, 6.00%, 3/15/2033
104
105
Series 2586, Class WI, IO, 6.50%, 3/15/2033
48
8
Series 2692, Class SC, IF, 5.54%, 7/15/2033(e)
31
30
Series 4240, Class B, 3.00%, 8/15/2033
2,501
2,342
Series 3920, Class LP, 5.00%, 1/15/2034
408
413
Series 2744, Class PE, 5.50%, 2/15/2034
4
4
Series 3611, PO, 7/15/2034
27
23
Series 2990, Class UZ, 5.75%, 6/15/2035
1,028
1,048
Series 3004, Class EK, 5.50%, 7/15/2035
1,233
1,264
Series 3014, Class OD, PO, 8/15/2035
28
23
Series 3085, Class WF, 4.67%, 8/15/2035(e)
67
67
Series 3047, Class OD, 5.50%, 10/15/2035
447
450
Series 3074, Class BH, 5.00%, 11/15/2035
134
133
Series 3064, Class MC, 5.50%, 11/15/2035
3,095
3,140
Series 3102, Class FB, 4.17%, 1/15/2036(e)
55
55
Series 3102, Class HS, IF, 10.37%, 1/15/2036(e)
20
20
Series 3117, Class EO, PO, 2/15/2036
170
143
Series 3117, Class OK, PO, 2/15/2036
101
85
Series 3134, PO, 3/15/2036
26
23
Series 3152, Class MO, PO, 3/15/2036
140
118
Series 3122, Class ZB, 6.00%, 3/15/2036
29
33
Series 3138, PO, 4/15/2036
119
99
Series 3607, Class BO, PO, 4/15/2036
57
48
Series 3219, Class DI, IO, 6.00%, 4/15/2036
86
16
Series 3819, Class ZQ, 6.00%, 4/15/2036
523
546
Series 3149, Class SO, PO, 5/15/2036
20
16
Series 3233, Class OP, PO, 5/15/2036
35
29
Series 3171, Class MO, PO, 6/15/2036
20
18
Series 3179, Class OA, PO, 7/15/2036
101
84
Series 3194, Class SA, IF, IO, 3.23%, 7/15/2036(e)
20
2
Series 3211, Class SO, PO, 9/15/2036
119
100

JPMorgan Core Bond Trust
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF November 30, 2022 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT
($000)
VALUE
($000)
Collateralized Mortgage Obligations — continued
Series 3218, Class AO, PO, 9/15/2036
    59
       46
Series 3232, Class ST, IF, IO, 2.83%, 10/15/2036(e)
   138
       13
Series 3256, PO, 12/15/2036
    82
       66
Series 3261, Class OA, PO, 1/15/2037
    97
       79
Series 3260, Class CS, IF, IO, 2.27%, 1/15/2037(e)
   153
       14
Series 3274, Class JO, PO, 2/15/2037
    23
       20
Series 3275, Class FL, 4.31%, 2/15/2037(e)
    23
       22
Series 3290, Class SB, IF, IO, 2.58%, 3/15/2037(e)
   208
       17
Series 3318, Class AO, PO, 5/15/2037
     6
        5
Series 3607, PO, 5/15/2037
   123
      100
Series 3315, Class HZ, 6.00%, 5/15/2037
    83
       84
Series 3326, Class JO, PO, 6/15/2037
     7
        6
Series 3331, PO, 6/15/2037
82
68
Series 3607, Class OP, PO, 7/15/2037
280
227
Series 4048, Class FJ, 3.31%, 7/15/2037(e)
335
325
Series 3385, Class SN, IF, IO, 2.13%, 11/15/2037(e)
28
2
Series 3387, Class SA, IF, IO, 2.55%, 11/15/2037(e)
122
10
Series 3422, Class AI, IO, 0.25%, 1/15/2038(d)
701
6
Series 3404, Class SC, IF, IO, 2.13%, 1/15/2038(e)
200
15
Series 3424, Class PI, IF, IO, 2.93%, 4/15/2038(e)
173
19
Series 3481, Class SJ, IF, IO, 1.98%, 8/15/2038(e)
216
16
Series 3511, Class SA, IF, IO, 2.13%, 2/15/2039(e)
152
9
Series 3549, Class FA, 5.07%, 7/15/2039(e)
10
10
Series 3621, Class BO, PO, 1/15/2040
81
68
Series 3747, Class PY, 4.00%, 10/15/2040
771
743
Series 3925, Class FL, 4.32%, 1/15/2041(e)
74
74
Series 3852, Class QN, IF, 5.50%, 5/15/2041(e)
83
80
Series 3852, Class TP, IF, 5.50%, 5/15/2041(e)
240
237
Series 3957, Class B, 4.00%, 11/15/2041
101
98
Series 3966, Class NA, 4.00%, 12/15/2041
243
238
Series 4217, Class KY, 3.00%, 6/15/2043
2,300
2,018
FHLMC, STRIPS
 
 
Series 233, Class 11, IO, 5.00%, 9/15/2035
185
38
Series 233, Class 13, IO, 5.00%, 9/15/2035
270
54
Series 299, Class 300, 3.00%, 1/15/2043
1,280
1,168
Series 310, PO, 9/15/2043
642
510
Series 323, Class 300, 3.00%, 1/15/2044
949
872
FHLMC, Structured Pass-Through Certificates, Whole Loan
 
 
Series T-41, Class 3A, 4.42%, 7/25/2032(e)
213
206
Series T-76, Class 2A, 2.02%, 10/25/2037(e)
508
438
Series T-51, Class 2A, 7.50%, 8/25/2042(e)
158
158
Series T-54, Class 2A, 6.50%, 2/25/2043
874
922
Series T-54, Class 3A, 7.00%, 2/25/2043
242
250
Series T-58, Class A, PO, 9/25/2043
71
51
Series T-59, Class 1AP, PO, 10/25/2043
159
88
First Horizon Alternative Mortgage Securities Trust
 
 
Series 2004-AA4, Class A1, 4.01%, 10/25/2034(e)
89
87
Series 2005-FA8, Class 1A19, 5.50%, 11/25/2035
348
184

JPMorgan Core Bond Trust
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF November 30, 2022 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT
($000)
VALUE
($000)
Collateralized Mortgage Obligations — continued
Series 2007-FA4, Class 1A2, IF, IO, 1.61%, 8/25/2037‡ (e)
   838
       84
FNMA Trust, Whole Loan
 
 
Series 2004-W1, Class 2A2, 7.00%, 12/25/2033
    66
       70
Series 2004-W2, Class 2A2, 7.00%, 2/25/2044
   122
      128
Series 2004-W15, Class 2AF, 4.27%, 8/25/2044(e)
   165
      163
Series 2005-W3, Class 2AF, 4.24%, 3/25/2045(e)
   482
      476
Series 2006-W2, Class 1AF1, 4.24%, 2/25/2046(e)
   159
      157
FNMA, Grantor Trust, Whole Loan
 
 
Series 2002-T19, Class A2, 7.00%, 7/25/2042
   413
      437
Series 2004-T3, Class 1A3, 7.00%, 2/25/2044
   218
      229
FNMA, REMIC
 
 
Series G93-1, Class KA, 7.90%, 1/25/2023
   
       
Series G93-5, Class Z, 6.50%, 2/25/2023
Series 1997-61, Class ZC, 7.00%, 2/25/2023
1
1
Series 1993-27, Class SA, IF, 15.50%, 2/25/2023(e)
Series G93-14, Class J, 6.50%, 3/25/2023
Series 1993-25, Class J, 7.50%, 3/25/2023
1
1
Series 1993-21, Class KA, 7.70%, 3/25/2023
Series 1998-4, Class C, PO, 4/25/2023
Series G93-17, Class SI, IF, 6.00%, 4/25/2023(e)
Series 1993-62, Class SA, IF, 9.36%, 4/25/2023(e)
Series 1998-43, Class SA, IF, IO, 12.43%, 4/25/2023(e)
1
Series 2003-39, Class LW, 5.50%, 5/25/2023
9
9
Series 2003-41, Class PE, 5.50%, 5/25/2023
3
2
Series G93-27, Class FD, 4.90%, 8/25/2023(e)
Series 1996-14, Class SE, IF, IO, 6.63%, 8/25/2023(e)
6
Series 2002-83, Class CS, 6.88%, 8/25/2023
11
11
Series 1993-205, Class H, PO, 9/25/2023
1
1
Series G93-37, Class H, PO, 9/25/2023
Series 1993-165, Class SD, IF, 4.70%, 9/25/2023(e)
Series 1993-165, Class SK, IF, 12.50%, 9/25/2023(e)
1
1
Series 1993-179, Class SB, IF, 8.81%, 10/25/2023(e)
1
1
Series 1993-179, Class SC, IF, 10.50%, 10/25/2023(e)
Series 1999-52, Class NS, IF, 12.13%, 10/25/2023(e)
1
1
Series 1995-19, Class Z, 6.50%, 11/25/2023
9
9
Series 1993-230, Class FA, 4.19%, 12/25/2023(e)
1
1
Series 1993-247, Class FE, 5.02%, 12/25/2023(e)
2
2
Series 1993-225, Class UB, 6.50%, 12/25/2023
3
3
Series 1993-247, Class SU, IF, 8.16%, 12/25/2023(e)
1
1
Series 2002-1, Class UD, IF, 10.44%, 12/25/2023(e)
2
2
Series 1994-37, Class L, 6.50%, 3/25/2024
9
9
Series 1994-40, Class Z, 6.50%, 3/25/2024
60
60
Series 2004-53, Class NC, 5.50%, 7/25/2024
4
4
Series 1995-2, Class Z, 8.50%, 1/25/2025
3
4
Series G95-1, Class C, 8.80%, 1/25/2025
5
5
Series 1997-20, IO, 1.84%, 3/25/2027(e)
4
Series 1997-27, Class J, 7.50%, 4/18/2027
3
3
Series 1997-29, Class J, 7.50%, 4/20/2027
7
7

JPMorgan Core Bond Trust
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF November 30, 2022 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT
($000)
VALUE
($000)
Collateralized Mortgage Obligations — continued
Series 1997-39, Class PD, 7.50%, 5/20/2027
    36
       37
Series 1997-42, Class ZC, 6.50%, 7/18/2027
     3
        3
Series 1997-81, Class PI, IO, 7.00%, 12/18/2027
    10
        1
Series 1998-36, Class ZB, 6.00%, 7/18/2028
    16
       16
Series 1999-18, Class Z, 5.50%, 4/18/2029
    15
       15
Series 1999-17, Class C, 6.35%, 4/25/2029
    12
       12
Series 1999-62, Class PB, 7.50%, 12/18/2029
    20
       21
Series 2000-2, Class ZE, 7.50%, 2/25/2030
    60
       63
Series 2000-20, Class SA, IF, IO, 5.08%, 7/25/2030(e)
    22
        1
Series 2000-52, IO, 8.50%, 1/25/2031
     7
        1
Series 2001-7, Class PF, 7.00%, 3/25/2031
    18
       19
Series 2011-31, Class DB, 3.50%, 4/25/2031
   905
      874
Series 2001-33, Class ID, IO, 6.00%, 7/25/2031
58
7
Series 2001-30, Class PM, 7.00%, 7/25/2031
50
52
Series 2001-36, Class DE, 7.00%, 8/25/2031
53
56
Series 2001-49, Class Z, 6.50%, 9/25/2031
16
16
Series 2001-44, Class MY, 7.00%, 9/25/2031
126
133
Series 2001-44, Class PD, 7.00%, 9/25/2031
15
15
Series 2001-44, Class PU, 7.00%, 9/25/2031
17
18
Series 2001-52, Class KB, 6.50%, 10/25/2031
18
18
Series 2003-52, Class SX, IF, 10.90%, 10/25/2031(e)
28
31
Series 2001-61, Class Z, 7.00%, 11/25/2031
194
204
Series 2001-72, Class SX, IF, 8.11%, 12/25/2031(e)
4
4
Series 2002-1, Class SA, IF, 12.14%, 2/25/2032(e)
10
12
Series 2002-13, Class SJ, IF, IO, 1.60%, 3/25/2032(e)
144
4
Series 2002-13, Class ST, IF, 10.00%, 3/25/2032(e)
2
2
Series 2002-21, Class LO, PO, 4/25/2032
5
5
Series 2002-21, Class PE, 6.50%, 4/25/2032
48
50
Series 2002-28, Class PK, 6.50%, 5/25/2032
124
129
Series 2012-66, Class CB, 3.00%, 6/25/2032
2,848
2,691
Series 2002-37, Class Z, 6.50%, 6/25/2032
35
36
Series 2006-130, Class GI, IO, 6.50%, 7/25/2032
127
14
Series 2002-48, Class GH, 6.50%, 8/25/2032
186
195
Series 2004-61, Class SK, IF, 8.50%, 11/25/2032(e)
23
24
Series 2004-59, Class BG, PO, 12/25/2032
64
54
Series 2002-77, Class S, IF, 7.12%, 12/25/2032(e)
28
29
Series 2003-22, Class UD, 4.00%, 4/25/2033
611
594
Series 2003-35, Class UC, 3.75%, 5/25/2033
5
5
Series 2003-42, Class GB, 4.00%, 5/25/2033
48
47
Series 2003-34, Class AX, 6.00%, 5/25/2033
104
107
Series 2003-34, Class ED, 6.00%, 5/25/2033
519
535
Series 2003-39, IO, 6.00%, 5/25/2033(e)
22
3
Series 2003-33, Class IA, IO, 6.50%, 5/25/2033
185
32
Series 2007-97, Class KI, IO, 7.00%, 5/25/2033
339
31
Series 2003-47, Class PE, 5.75%, 6/25/2033
98
101
Series 2003-64, Class SX, IF, 4.33%, 7/25/2033(e)
23
21
Series 2003-132, Class OA, PO, 8/25/2033
7
6
Series 2003-71, Class DS, IF, 2.44%, 8/25/2033(e)
224
197

JPMorgan Core Bond Trust
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF November 30, 2022 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT
($000)
VALUE
($000)
Collateralized Mortgage Obligations — continued
Series 2003-74, Class SH, IF, 2.94%, 8/25/2033(e)
   52
       48
Series 2003-72, Class IE, IO, 5.50%, 8/25/2033
  187
       29
Series 2003-91, Class SD, IF, 5.81%, 9/25/2033(e)
   43
       42
Series 2013-101, Class AE, 3.00%, 10/25/2033
2,963
    2,797
Series 2013-101, Class E, 3.00%, 10/25/2033
2,703
    2,551
Series 2013-108, Class GU, 3.00%, 10/25/2033
3,496
    3,296
Series 2003-116, Class SB, IF, IO, 3.58%, 11/25/2033(e)
  257
       22
Series 2006-44, Class P, PO, 12/25/2033
  485
      404
Series 2003-130, Class SX, IF, 5.50%, 1/25/2034(e)
    4
        4
Series 2004-25, Class SA, IF, 8.48%, 4/25/2034(e)
  109
      113
Series 2004-46, Class SK, IF, 5.46%, 5/25/2034(e)
  201
      194
Series 2004-46, Class QB, IF, 7.94%, 5/25/2034(e)
   96
       98
Series 2004-36, Class SA, IF, 8.48%, 5/25/2034(e)
247
259
Series 2004-51, Class SY, IF, 6.21%, 7/25/2034(e)
47
44
Series 2005-74, Class CS, IF, 8.98%, 5/25/2035(e)
55
53
Series 2005-56, Class S, IF, IO, 2.69%, 7/25/2035(e)
225
19
Series 2005-66, Class SG, IF, 7.33%, 7/25/2035(e)
77
83
Series 2005-68, Class PG, 5.50%, 8/25/2035
219
222
Series 2005-84, Class XM, 5.75%, 10/25/2035
580
587
Series 2005-110, Class GL, 5.50%, 12/25/2035
1,819
1,862
Series 2006-46, Class UC, 5.50%, 12/25/2035
104
104
Series 2005-109, Class PC, 6.00%, 12/25/2035
181
184
Series 2006-39, Class WC, 5.50%, 1/25/2036
71
71
Series 2006-16, Class OA, PO, 3/25/2036
77
65
Series 2006-22, Class AO, PO, 4/25/2036
137
116
Series 2006-23, Class KO, PO, 4/25/2036
24
21
Series 2006-44, Class GO, PO, 6/25/2036
191
162
Series 2006-53, Class US, IF, IO, 2.56%, 6/25/2036(e)
278
25
Series 2006-56, PO, 7/25/2036
151
126
Series 2006-58, PO, 7/25/2036
83
69
Series 2006-58, Class AP, PO, 7/25/2036
166
139
Series 2006-65, Class QO, PO, 7/25/2036
129
109
Series 2006-56, Class FC, 4.31%, 7/25/2036(e)
272
268
Series 2006-58, Class FL, 4.48%, 7/25/2036(e)
21
20
Series 2006-60, Class DZ, 6.50%, 7/25/2036
3,240
3,333
Series 2006-72, Class TO, PO, 8/25/2036
22
18
Series 2006-79, Class DO, PO, 8/25/2036
103
91
Series 2007-7, Class SG, IF, IO, 2.48%, 8/25/2036(e)
785
87
Series 2006-77, Class PC, 6.50%, 8/25/2036
299
309
Series 2006-90, Class AO, PO, 9/25/2036
68
59
Series 2008-42, Class AO, PO, 9/25/2036
40
33
Series 2009-19, Class IP, IO, 5.50%, 10/25/2036
521
112
Series 2006-109, PO, 11/25/2036
43
35
Series 2006-110, PO, 11/25/2036
224
186
Series 2006-111, Class EO, PO, 11/25/2036
29
24
Series 2006-124, Class HB, 3.27%, 11/25/2036(e)
357
365
Series 2006-119, PO, 12/25/2036
34
30
Series 2006-118, Class A2, 3.23%, 12/25/2036(e)
123
120

JPMorgan Core Bond Trust
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF November 30, 2022 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT
($000)
VALUE
($000)
Collateralized Mortgage Obligations — continued
Series 2009-70, Class CO, PO, 1/25/2037
  209
      177
Series 2006-128, Class BP, 5.50%, 1/25/2037
   48
       48
Series 2007-14, Class ES, IF, IO, 2.42%, 3/25/2037(e)
  338
       30
Series 2007-77, Class FG, 4.52%, 3/25/2037(e)
   35
       34
Series 2007-16, Class FC, 4.77%, 3/25/2037(e)
   46
       45
Series 2007-42, Class AO, PO, 5/25/2037
   12
       10
Series 2007-48, PO, 5/25/2037
   57
       47
Series 2007-60, Class AX, IF, IO, 3.13%, 7/25/2037(e)
1,014
      136
Series 2007-81, Class GE, 6.00%, 8/25/2037
   98
      100
Series 2007-88, Class VI, IF, IO, 2.52%, 9/25/2037(e)
  718
       70
Series 2007-91, Class ES, IF, IO, 2.44%, 10/25/2037(e)
  523
       45
Series 2007-116, Class HI, IO, 0.99%, 1/25/2038(e)
  277
        8
Series 2008-1, Class BI, IF, IO, 1.89%, 2/25/2038(e)
168
13
Series 2008-16, Class IS, IF, IO, 2.18%, 3/25/2038(e)
65
5
Series 2008-10, Class XI, IF, IO, 2.21%, 3/25/2038(e)
150
11
Series 2008-27, Class SN, IF, IO, 2.88%, 4/25/2038(e)
74
8
Series 2008-44, PO, 5/25/2038
6
5
Series 2008-53, Class CI, IF, IO, 3.18%, 7/25/2038(e)
111
10
Series 2008-80, Class SA, IF, IO, 1.83%, 9/25/2038(e)
237
17
Series 2008-81, Class SB, IF, IO, 1.83%, 9/25/2038(e)
272
17
Series 2009-6, Class GS, IF, IO, 2.53%, 2/25/2039(e)
219
22
Series 2009-62, Class HJ, 6.00%, 5/25/2039
18
18
Series 2009-60, Class HT, 6.00%, 8/25/2039
210
217
Series 2009-99, Class SC, IF, IO, 2.16%, 12/25/2039(e)
57
4
Series 2009-103, Class MB, 3.32%, 12/25/2039(e)
104
104
Series 2010-49, Class SC, IF, 4.63%, 3/25/2040(e)
159
155
Series 2010-64, Class DM, 5.00%, 6/25/2040
86
87
Series 2010-71, Class HJ, 5.50%, 7/25/2040
133
137
Series 2010-147, Class SA, IF, IO, 2.51%, 1/25/2041(e)
678
81
Series 2011-30, Class LS, IO, 1.56%, 4/25/2041(e)
233
11
Series 2011-75, Class FA, 4.57%, 8/25/2041(e)
68
67
Series 2011-118, Class MT, 7.00%, 11/25/2041
196
209
Series 2011-130, Class CA, 6.00%, 12/25/2041
434
449
Series 2013-81, Class TA, 3.00%, 2/25/2043
944
906
Series 2013-92, PO, 9/25/2043
540
410
Series 2013-90, Class PM, 3.50%, 9/25/2043
1,694
1,570
Series 2013-101, Class DO, PO, 10/25/2043
945
702
Series 2013-128, PO, 12/25/2043
983
776
Series 2011-2, Class WA, 5.88%, 2/25/2051(e)
129
131
FNMA, REMIC Trust, Whole Loan
 
 
Series 2007-W7, Class 1A4, IF, 15.08%, 7/25/2037(e)
6
7
Series 2003-W4, Class 2A, 5.21%, 10/25/2042(e)
35
35
Series 2003-W1, Class 1A1, 4.84%, 12/25/2042(e)
296
285
Series 2003-W1, Class 2A, 5.31%, 12/25/2042(e)
127
123
Series 2009-W1, Class A, 6.00%, 12/25/2049
275
280
FNMA, REMIC, Whole Loan
 
 
Series 2007-101, Class A2, 3.96%, 6/27/2036(e)
206
203
Series 2007-54, Class FA, 4.42%, 6/25/2037(e)
112
109

JPMorgan Core Bond Trust
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF November 30, 2022 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT
($000)
VALUE
($000)
Collateralized Mortgage Obligations — continued
Series 2007-106, Class A7, 6.24%, 10/25/2037(e)
    66
       68
FNMA, STRIPS
 
 
Series 218, Class 2, IO, 7.50%, 4/25/2023
   
       
Series 265, Class 2, 9.00%, 3/25/2024
   
       
Series 329, Class 1, PO, 1/25/2033
    22
       18
Series 345, Class 6, IO, 5.00%, 12/25/2033(e)
    33
        5
Series 351, Class 7, IO, 5.00%, 4/25/2034(e)
   106
       14
Series 355, Class 11, IO, 6.00%, 7/25/2034
    91
       14
Series 365, Class 8, IO, 5.50%, 5/25/2036
   134
       29
Series 374, Class 5, IO, 5.50%, 8/25/2036
    76
       14
Series 393, Class 6, IO, 5.50%, 4/25/2037
    23
        3
Series 383, Class 32, IO, 6.00%, 1/25/2038
    34
        7
Series 383, Class 33, IO, 6.00%, 1/25/2038
87
18
GMACM Mortgage Loan Trust Series 2005-AR3, Class 3A4, 3.18%, 6/19/2035(e)
397
354
GNMA
 
 
Series 1999-4, Class ZB, 6.00%, 2/20/2029
136
136
Series 2001-35, Class SA, IF, IO, 4.36%, 8/16/2031(e)
49
Series 2002-52, Class GH, 6.50%, 7/20/2032
236
235
Series 2003-58, Class BE, 6.50%, 1/20/2033
309
309
Series 2003-12, Class SP, IF, IO, 3.76%, 2/20/2033(e)
76
2
Series 2003-46, Class MG, 6.50%, 5/20/2033
243
246
Series 2003-52, Class AP, PO, 6/16/2033
74
67
Series 2003-90, PO, 10/20/2033
20
19
Series 2003-112, Class SA, IF, IO, 2.66%, 12/16/2033(e)
254
6
Series 2004-28, Class S, IF, 8.97%, 4/16/2034(e)
106
112
Series 2004-90, Class SI, IF, IO, 2.16%, 10/20/2034(e)
341
18
Series 2005-68, Class DP, IF, 7.07%, 6/17/2035(e)
34
32
Series 2010-14, Class CO, PO, 8/20/2035
114
97
Series 2005-58, Class NI, IO, 5.50%, 8/20/2035(e)
519
71
Series 2005-68, Class KI, IF, IO, 2.36%, 9/20/2035(e)
743
64
Series 2005-91, Class PI, IO, 6.00%, 12/20/2035
111
14
Series 2006-16, Class OP, PO, 3/20/2036
50
43
Series 2006-38, Class SW, IF, IO, 2.56%, 6/20/2036(e)
17
Series 2006-38, Class ZK, 6.50%, 8/20/2036
609
619
Series 2006-59, Class SD, IF, IO, 2.76%, 10/20/2036(e)
169
10
Series 2006-65, Class SA, IF, IO, 2.86%, 11/20/2036(e)
272
6
Series 2011-22, Class WA, 5.89%, 2/20/2037(e)
259
267
Series 2007-57, PO, 3/20/2037
44
41
Series 2007-17, Class JO, PO, 4/16/2037
49
40
Series 2007-17, Class JI, IF, IO, 2.92%, 4/16/2037(e)
456
41
Series 2007-19, Class SD, IF, IO, 2.26%, 4/20/2037(e)
249
6
Series 2007-28, Class BO, PO, 5/20/2037
51
43
Series 2007-26, Class SC, IF, IO, 2.26%, 5/20/2037(e)
201
7
Series 2007-27, Class SA, IF, IO, 2.26%, 5/20/2037(e)
221
10
Series 2007-36, Class SE, IF, IO, 2.58%, 6/16/2037(e)
124
5
Series 2007-47, Class PH, 6.00%, 7/16/2037
1,946
2,011
Series 2007-40, Class SB, IF, IO, 2.81%, 7/20/2037(e)
447
25
Series 2007-42, Class SB, IF, IO, 2.81%, 7/20/2037(e)
259
16

JPMorgan Core Bond Trust
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF November 30, 2022 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT
($000)
VALUE
($000)
Collateralized Mortgage Obligations — continued
Series 2007-53, Class SW, IF, 8.39%, 9/20/2037(e)
   21
       22
Series 2008-32, Class PI, IO, 5.50%, 10/16/2037
   12
       
Series 2009-79, Class OK, PO, 11/16/2037
   75
       63
Series 2007-73, Class MI, IF, IO, 2.06%, 11/20/2037(e)
  146
        3
Series 2007-76, Class SA, IF, IO, 2.59%, 11/20/2037(e)
  286
       13
Series 2007-72, Class US, IF, IO, 2.61%, 11/20/2037(e)
  140
        4
Series 2007-79, Class SY, IF, IO, 2.61%, 12/20/2037(e)
  131
        4
Series 2008-2, Class NS, IF, IO, 2.65%, 1/16/2038(e)
  266
       11
Series 2008-2, Class MS, IF, IO, 3.27%, 1/16/2038(e)
   80
        3
Series 2008-10, Class S, IF, IO, 1.89%, 2/20/2038(e)
  158
        5
Series 2008-36, Class SH, IF, IO, 2.36%, 4/20/2038(e)
  211
       
Series 2008-40, Class SA, IF, IO, 2.51%, 5/16/2038(e)
1,328
       81
Series 2008-55, Class SA, IF, IO, 2.26%, 6/20/2038(e)
120
4
Series 2008-71, Class SC, IF, IO, 2.06%, 8/20/2038(e)
54
2
Series 2009-25, Class SE, IF, IO, 3.66%, 9/20/2038(e)
100
5
Series 2008-93, Class AS, IF, IO, 1.76%, 12/20/2038(e)
155
8
Series 2009-6, Class SA, IF, IO, 2.21%, 2/16/2039(e)
143
1
Series 2009-12, Class IE, IO, 5.50%, 3/20/2039
317
28
Series 2009-14, Class KI, IO, 6.50%, 3/20/2039
144
20
Series 2009-14, Class NI, IO, 6.50%, 3/20/2039
139
21
Series 2009-22, Class SA, IF, IO, 2.33%, 4/20/2039(e)
289
15
Series 2009-33, Class CI, IO, 5.50%, 5/20/2039
71
8
Series 2009-33, Class TI, IO, 6.00%, 5/20/2039
73
11
Series 2009-43, Class SA, IF, IO, 2.01%, 6/20/2039(e)
134
5
Series 2009-72, Class SM, IF, IO, 2.36%, 8/16/2039(e)
302
19
Series 2010-31, Class NO, PO, 3/20/2040
481
401
Series 2013-75, Class WA, 5.12%, 6/20/2040(e)
696
704
Series 2010-130, Class CP, 7.00%, 10/16/2040
87
93
Series 2010-157, Class OP, PO, 12/20/2040
517
431
Series 2011-75, Class SM, IF, IO, 2.66%, 5/20/2041(e)
425
27
Series 2014-188, Class W, 4.55%, 10/20/2041(e)
292
288
Series 2012-141, Class WC, 3.73%, 1/20/2042(e)
170
164
Series 2013-54, Class WA, 4.88%, 11/20/2042(e)
1,065
1,068
Series 2013-91, Class WA, 4.46%, 4/20/2043(e)
564
550
Series 2013-116, Class JY, 4.00%, 8/16/2043
1,300
1,252
Series 2018-160, Class PA, 3.50%, 7/20/2046
1,253
1,218
Series 2012-H24, Class FG, 3.57%, 4/20/2060(e)
9
8
Series 2013-H03, Class FA, 3.44%, 8/20/2060(e)
1
1
Series 2012-H21, Class CF, 3.84%, 5/20/2061(e)
9
9
Series 2013-H05, Class FB, 3.54%, 2/20/2062(e)
9
9
Series 2012-H15, Class FA, 3.59%, 5/20/2062(e)
Series 2012-H26, Class MA, 3.69%, 7/20/2062(e)
3
3
Series 2012-H28, Class FA, 3.72%, 9/20/2062(e)
3
3
Series 2012-H29, Class FA, 3.66%, 10/20/2062(e)
366
363
Series 2012-H31, Class FD, 3.48%, 12/20/2062(e)
645
636
Series 2013-H01, Class FA, 1.65%, 1/20/2063
1
1
Series 2013-H04, Class BA, 1.65%, 2/20/2063
6
5
Series 2013-H08, Class FC, 3.59%, 2/20/2063(e)
446
441

JPMorgan Core Bond Trust
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF November 30, 2022 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT
($000)
VALUE
($000)
Collateralized Mortgage Obligations — continued
Series 2013-H07, Class HA, 3.55%, 3/20/2063(e)
  502
      497
Series 2013-H09, Class HA, 1.65%, 4/20/2063
   11
       10
Series 2013-H18, Class JA, 3.74%, 8/20/2063(e)
  916
      909
Series 2014-H01, Class FD, 3.79%, 1/20/2064(e)
  629
      625
Series 2014-H09, Class TA, 3.74%, 4/20/2064(e)
  609
      605
Series 2015-H15, Class FD, 3.58%, 6/20/2065(e)
1,095
    1,080
Series 2015-H15, Class FJ, 3.58%, 6/20/2065(e)
2,467
    2,435
Series 2015-H16, Class FG, 3.58%, 7/20/2065(e)
1,648
    1,625
Series 2015-H23, Class FB, 3.66%, 9/20/2065(e)
1,544
    1,524
Series 2015-H32, Class FH, 3.80%, 12/20/2065(e)
1,240
    1,228
Series 2017-H08, Class XI, IO, 1.90%, 3/20/2067(e)
5,012
      263
GSMPS Mortgage Loan Trust
 
 
Series 2001-2, Class A, 7.50%, 6/19/2032(b) (e)
305
279
Series 2005-RP3, Class 1AS, IO, 0.53%, 9/25/2035‡ (b) (e)
403
6
Series 2005-RP3, Class 1AF, 4.39%, 9/25/2035(b) (e)
534
455
Series 2006-RP2, Class 1AS2, IF, IO, 2.50%, 4/25/2036‡ (b) (e)
1,602
97
GSR Mortgage Loan Trust
 
 
Series 2004-6F, Class 3A4, 6.50%, 5/25/2034
94
94
Series 2004-8F, Class 2A3, 6.00%, 9/25/2034
50
49
Series 2004-13F, Class 3A3, 6.00%, 11/25/2034
80
76
Series 2005-4F, Class AP, PO, 5/25/2035
Series 2005-7F, Class 3A9, 6.00%, 9/25/2035
325
309
Series 2006-1F, Class 2A4, 6.00%, 2/25/2036
697
363
Impac CMB Trust
 
 
Series 2004-7, Class 1A1, 4.78%, 11/25/2034(e)
328
319
Series 2005-4, Class 2A1, 4.62%, 5/25/2035(e)
95
79
Impac Secured Assets Trust Series 2006-1, Class 2A1, 4.74%, 5/25/2036(e)
51
43
Jonah nov37 144a, 7.80%, 11/10/2037‡ (b)
2,850
2,795
JPMorgan Mortgage Trust
 
 
Series 2006-A2, Class 5A3, 4.19%, 11/25/2033(e)
131
124
Series 2006-A2, Class 4A1, 3.65%, 8/25/2034(e)
129
127
Series 2006-A3, Class 6A1, 3.75%, 8/25/2034(e)
31
29
Lehman Mortgage Trust
 
 
Series 2006-2, Class 1A1, 5.91%, 4/25/2036(e)
210
138
Series 2008-2, Class 1A6, 6.00%, 3/25/2038
430
149
LHOME Mortgage Trust Series 2021-RTL1, Class A1, 2.09%, 9/25/2026(b) (e)
2,075
1,955
MASTR Adjustable Rate Mortgages Trust
 
 
Series 2004-13, Class 2A1, 4.03%, 4/21/2034(e)
80
75
Series 2004-4, Class 2A1, 3.60%, 5/25/2034(e)
28
26
Series 2004-13, Class 3A7, 3.87%, 11/21/2034(e)
174
155
Series 2004-15, Class 3A1, 3.44%, 12/25/2034(e)
45
41
MASTR Alternative Loan Trust
 
 
Series 2004-10, Class 1A1, 4.50%, 9/25/2019
2
2
Series 2004-8, Class 6A1, 5.50%, 9/25/2019
1
1
Series 2004-4, Class 10A1, 5.00%, 5/25/2024
54
53
Series 2003-3, Class 1A1, 6.50%, 5/25/2033
82
81
Series 2003-9, Class 8A1, 6.00%, 1/25/2034
171
161
Series 2004-3, Class 2A1, 6.25%, 4/25/2034
107
105

JPMorgan Core Bond Trust
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF November 30, 2022 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT
($000)
VALUE
($000)
Collateralized Mortgage Obligations — continued
Series 2004-6, Class 30, PO, 7/25/2034
   93
       68
Series 2004-6, Class 7A1, 6.00%, 7/25/2034
  176
      163
Series 2004-7, Class 30, PO, 8/25/2034
   57
       42
MASTR Asset Securitization Trust
 
 
Series 2004-6, Class 15, PO, 7/25/2019
   
       
Series 2003-12, Class 30, PO, 12/25/2033
    7
        5
Series 2004-1, Class 30, PO, 2/25/2034
    7
        5
MASTR Reperforming Loan Trust Series 2005-2, Class 1A1F, 4.39%, 5/25/2035(b) (e)
1,178
      625
Mastr Resecuritization Trust Series 2005-PO, Class 3, PO, 5/28/2035‡ (b)
   53
       32
Merrill Lynch Mortgage Investors Trust
 
 
Series 2003-E, Class A1, 4.66%, 10/25/2028(e)
   37
       34
Series 2003-F, Class A1, 4.68%, 10/25/2028(e)
  287
      266
Series 2004-A, Class A1, 4.50%, 4/25/2029(e)
62
56
Series 2004-1, Class 2A1, 3.01%, 12/25/2034(e)
104
95
MRA Issuance Trust
 
 
Series 2021-EBO7, Class A1X, 2.86%, 2/15/2023(b) (e)
3,942
3,583
Series 2021-EBO2, Class A, 4.35%, 4/5/2023(b) (e)
4,219
4,045
NACC Reperforming Loan REMIC Trust Series 2004-R2, Class A1, 6.50%, 10/25/2034(b) (e)
162
139
Nomura Asset Acceptance Corp. Alternative Loan Trust
 
 
Series 2003-A1, Class A5, 7.00%, 4/25/2033
33
32
Series 2003-A1, Class A1, 5.50%, 5/25/2033
9
8
Series 2003-A1, Class A2, 6.00%, 5/25/2033
32
31
PRPM LLC Series 2021-1, Class A1, 2.12%, 1/25/2026(b) (e)
2,952
2,737
RALI Trust
 
 
Series 2002-QS16, Class A3, IF, 8.22%, 10/25/2017(e)
Series 2003-QS12, Class A2A, IF, IO, 4.01%, 6/25/2018‡ (e)
Series 2003-QS12, Class A5, IO, 5.00%, 6/25/2018
(g)
Series 2004-QA6, Class NB2, 3.32%, 12/26/2034(e)
266
230
RFMSI Trust Series 2004-S9, Class 2A1, 4.75%, 12/25/2019
Rillion Capital Iii Frn, 7.25%, 11/15/2024
6,738
6,738
SART Series 2017-1, 4.75%, 7/15/2024
702
687
Seasoned Credit Risk Transfer Trust
 
 
Series 2019-1, Class MT, 3.50%, 7/25/2058
2,675
2,405
Series 2019-3, Class MB, 3.50%, 10/25/2058
1,722
1,489
Series 2022-1, Class MTU, 3.25%, 11/25/2061
3,457
3,052
Structured Asset Mortgage Investments II Trust Series 2004-AR5, Class 1A1, 4.60%, 10/19/2034(e)
129
120
Thornburg Mortgage Securities Trust
 
 
Series 2003-4, Class A1, 4.68%, 9/25/2043(e)
76
70
Series 2004-4, Class 3A, 2.71%, 12/25/2044(e)
168
153
Towd Point Mortgage Trust Series 2021-R1, Class A1, 2.92%, 11/30/2060(b) (e)
5,637
4,551
Two Harbors Series 2019-VF1, Class A, IO, 4.00%, 2/8/2023(e)
6,600
6,600
Vendee Mortgage Trust
 
 
Series 1994-1, Class 1, 4.62%, 2/15/2024(e)
20
20
Series 1994-1, Class 2ZB, 6.50%, 2/15/2024
30
30
Series 1996-1, Class 1Z, 6.75%, 2/15/2026
104
106
Series 1996-2, Class 1Z, 6.75%, 6/15/2026
74
76
Series 1997-1, Class 2Z, 7.50%, 2/15/2027
147
151
Series 1998-1, Class 2E, 7.00%, 3/15/2028
200
202

JPMorgan Core Bond Trust
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF November 30, 2022 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT
($000)
VALUE
($000)
Collateralized Mortgage Obligations — continued
Series 1999-1, Class 2Z, 6.50%, 1/15/2029
  422
      423
Series 2003-2, Class Z, 5.00%, 5/15/2033
1,831
    1,839
VM Master Issuer LLC Series 2022-1, Class A1, 5.16%, 5/24/2025(b) (e)
4,000
    3,769
WaMu Mortgage Pass-Through Certificates Series 2004-RS2, Class A4, 5.00%, 11/25/2033
  323
      303
WaMu Mortgage Pass-Through Certificates Trust
 
 
Series 2003-AR8, Class A, 4.16%, 8/25/2033(e)
   25
       24
Series 2003-AR9, Class 1A6, 4.13%, 9/25/2033(e)
  385
      351
Series 2003-AR9, Class 2A, 4.17%, 9/25/2033(e)
   29
       26
Series 2003-S9, Class P, PO, 10/25/2033
   10
        7
Series 2003-S9, Class A8, 5.25%, 10/25/2033
  178
      171
Series 2004-AR3, Class A1, 3.10%, 6/25/2034(e)
   29
       26
Series 2004-AR3, Class A2, 3.10%, 6/25/2034(e)
   24
       22
Series 2006-AR10, Class 2P, 3.57%, 9/25/2036‡ (e)
42
40
Series 2006-AR12, Class 2P, 3.32%, 10/25/2036‡ (e)
43
37
Washington Mutual Mortgage Pass-Through Certificates WMALT Trust
 
 
Series 2005-2, Class 2A3, IF, IO, 0.96%, 4/25/2035‡ (e)
387
16
Series 2005-2, Class 1A4, IF, IO, 1.01%, 4/25/2035‡ (e)
2,049
77
Series 2005-3, Class CX, IO, 5.50%, 5/25/2035
653
108
Series 2005-4, Class CB7, 5.50%, 6/25/2035
651
584
Series 2005-4, Class CX, IO, 5.50%, 6/25/2035
569
90
Series 2005-6, Class 2A4, 5.50%, 8/25/2035
106
88
Series 2005-6, Class 2A9, 5.50%, 8/25/2035
677
564
Wells Fargo Mortgage-Backed Securities Trust Series 2007-7, Class A7, 6.00%, 6/25/2037
98
82
Total Collateralized Mortgage Obligations
(Cost $166,159)
 
159,402
Commercial Mortgage-Backed Securities — 4.5%
BAMLL Commercial Mortgage Securities Trust Series 2014-520M, Class C, 4.35%, 8/15/2046‡ (b) (e)
1,300
960
BB-UBS Trust Series 2012-SHOW, Class A, 3.43%, 11/5/2036(b)
4,400
4,085
Bear Stearns Commercial Mortgage Securities Trust Series 2005-PWR8, Class X1, IO, 0.72%, 6/11/2041‡ (b) (e)
6
Commercial Mortgage Trust
 
 
Series 2013-300P, Class A1, 4.35%, 8/10/2030(b)
3,500
3,408
Series 2013-SFS, Class A2, 3.09%, 4/12/2035(b) (e)
1,060
1,043
FHLMC, Multi-Family Structured Credit Risk Series 2021-MN2, Class M1, 5.35%, 7/25/2041(b) (e)
6,088
5,528
FHLMC, Multi-Family Structured Pass-Through Certificates
 
 
Series K065, Class A2, 3.24%, 4/25/2027
2,467
2,360
Series K065, Class AM, 3.33%, 5/25/2027
1,322
1,262
Series K070, Class A2, 3.30%, 11/25/2027(e)
1,748
1,670
Series K138, Class AM, 1.89%, 1/25/2032
1,850
1,494
Series K-150, Class A2, 3.71%, 9/25/2032(e)
4,145
3,921
Series K-151, Class A2, 3.80%, 10/25/2032(e)
5,200
4,955
Series K146, Class A2, 2.92%, 6/25/2054
4,200
3,729
FHLMC, Multi-Family WI Certificates Series K153, Class A2, 3.82%, 1/25/2033
4,500
4,265
FNMA ACES
 
 
Series 2014-M3, Class A2, 3.50%, 1/25/2024(e)
560
549
Series 2017-M3, Class A2, 2.55%, 12/25/2026(e)
896
830
Series 2015-M10, Class A2, 3.09%, 4/25/2027(e)
6,010
5,715
Series 2017-M8, Class A2, 3.06%, 5/25/2027(e)
3,462
3,277
Series 2018-M8, Class A2, 3.41%, 6/25/2028(e)
2,344
2,214

JPMorgan Core Bond Trust
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF November 30, 2022 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT
($000)
VALUE
($000)
Commercial Mortgage-Backed Securities — continued
Series 2018-M10, Class A2, 3.47%, 7/25/2028(e)
3,335
    3,169
Series 2017-M5, Class A2, 3.20%, 4/25/2029(e)
2,762
    2,579
Series 2020-M50, Class A1, 0.67%, 10/25/2030
2,118
    1,952
Series 2020-M50, Class A2, 1.20%, 10/25/2030
1,325
    1,144
Series 2020-M50, Class X1, IO, 2.00%, 10/25/2030(e)
20,698
    1,557
Series 2022-M1S, Class A2, 2.15%, 4/25/2032(e)
5,230
    4,314
Series 2022-M13, Class A2, 2.68%, 6/25/2032
6,802
    5,839
Series 2022-M2S, Class A2, 3.75%, 8/25/2032(e)
4,225
    3,958
Series 2021-M3, Class 1A1, 1.00%, 11/25/2033
  345
      322
Series 2021-M3, Class X1, IO, 2.06%, 11/25/2033(e)
3,451
      313
FREMF Mortgage Trust
 
 
Series 2014-K39, Class C, 4.28%, 8/25/2047(b) (e)
4,650
    4,475
Series 2020-K737, Class B, 3.42%, 1/25/2053(b) (e)
550
502
Ladder Capital Commercial Mortgage Trust Series 2013-GCP, Class A2, 3.99%, 2/15/2036(b)
998
896
MRCD MARK Mortgage Trust
 
 
Series 2019-PARK, Class A, 2.72%, 12/15/2036(b)
2,050
1,883
Series 2019-PARK, Class D, 2.72%, 12/15/2036(b)
2,685
2,386
P4 SFR Series 2019-STl A7.25%, 10/11/2026
2,600
2,502
RBS Commercial Funding, Inc. Trust Series 2013-SMV, Class A, 3.26%, 3/11/2031(b)
664
657
SLG Office Trust Series 2021-OVA, Class A, 2.59%, 7/15/2041(b)
3,935
3,174
UBS-BAMLL Trust Series 2012-WRM, Class A, 3.66%, 6/10/2030(b)
71
71
UBS-Barclays Commercial Mortgage Trust
 
 
Series 2013-C6, Class A4, 3.24%, 4/10/2046
857
850
Series 2012-C2, Class XA, IO, 0.67%, 5/10/2063‡ (b) (e)
1,059
WFRBS Commercial Mortgage Trust Series 2013-C11, Class D, 4.41%, 3/15/2045‡ (b) (e)
400
369
Total Commercial Mortgage-Backed Securities
(Cost $99,834)
 
94,177
U.S. Government Agency Securities — 0.6%
Tennessee Valley Authority
 
 
5.88%, 4/1/2036
6,839
7,632
4.63%, 9/15/2060
304
289
Tennessee Valley Authority STRIPS
 
 
DN, 4.04%, 11/1/2025(a)
5,000
4,416
DN, 5.39%, 6/15/2035(a)
800
450
Total U.S. Government Agency Securities
(Cost $13,969)
 
12,787
Municipal Bonds — 0.5% (h)
California — 0.1%
City of Los Angeles Department of Airports, Federally Taxable Build America Bonds Direct Payment to Issuer Series 2009C, Rev.,
6.58%, 5/15/2039
420
465
State of California, Various Purpose GO, 7.30%, 10/1/2039
350
431
Total California
 
896
New York — 0.2%
New York State Dormitory Authority, State Personal Income Tax, General Purpose Series 2010-D, Rev., 5.60%, 3/15/2040
360
382
Port Authority of New York and New Jersey, Consolidated
 
 
Series 164, Rev., 5.65%, 11/1/2040
1,825
1,955

JPMorgan Core Bond Trust
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF November 30, 2022 (Unaudited) (continued)
INVESTMENTS
PRINCIPAL
AMOUNT
($000)
VALUE
($000)
Municipal Bonds — continued
New York — continued
Series 165, Rev., 5.65%, 11/1/2040
  440
      471
Series 174, Rev., 4.46%, 10/1/2062
2,060
    1,853
Total New York
 
4,661
Ohio — 0.2%
American Municipal Power, Inc., Meldahl Hydroelectric Project Series 2010B, Rev., 7.50%, 2/15/2050
1,315
    1,586
Ohio State University (The), General Receipts
 
 
Series 2016A, Rev., 4.05%, 12/1/2056
  325
      277
Series 2011-A, Rev., 4.80%, 6/1/2111
1,563
    1,331
Ohio University, General Receipts, Federally Taxable Rev., 5.59%, 12/1/2114
  200
      182
Total Ohio
 
3,376
Oklahoma — 0.0% ^
Oklahoma Development Finance Authority, Natural Gas Company Series 2022, Rev., 4.71%, 5/1/2052
575
533
Total Municipal Bonds
(Cost $9,685)
 
9,466
Foreign Government Securities — 0.4%
Kingdom of Saudi Arabia
 
 
2.25%, 2/2/2033(b)
622
502
3.45%, 2/2/2061(b)
550
394
Province of Quebec 7.36%, 3/6/2026(d)
377
405
Republic of Chile 2.55%, 1/27/2032
497
416
Republic of Panama 4.50%, 4/16/2050
325
250
Republic of Peru 5.63%, 11/18/2050
88
88
Republic of South Africa 5.88%, 9/16/2025
640
644
United Mexican States
 
 
4.13%, 1/21/2026
316
309
3.75%, 1/11/2028
1,216
1,164
2.66%, 5/24/2031
1,075
892
3.50%, 2/12/2034
1,252
1,044
4.60%, 1/23/2046
2,113
1,730
3.77%, 5/24/2061
772
522
Total Foreign Government Securities
(Cost $10,010)
 
8,360
Loan Assignments — 0.1% (c) (i)
Diversified Financial Services — 0.1%
OneSky, 1st Lien Term Loan (3-MONTH SOFR + 3.88%), 3.88%, 1/15/2031(Cost $3,355)
3,320
2,821
Total Loan Assignments
(Cost $3,355)
 
2,821

JPMorgan Core Bond Trust
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF November 30, 2022 (Unaudited) (continued)
INVESTMENTS
SHARES
(000)
VALUE
($000)
Short-Term Investments — 0.5%
Investment Companies — 0.5%
JPMorgan Prime Money Market Fund Class Institutional Shares, 3.94%(j) (k)
(Cost $9,226)
9,230
    9,232
Total Investments — 99.9%
(Cost $2,342,096)
 
2,113,510
Other Assets Less Liabilities — 0.1%
 
2,735
NET ASSETS — 100.0%
 
2,116,245

Percentages indicated are based on net assets.

Amounts presented as a dash ("-") represent amounts that round to less than a thousand.
Abbreviations
 
ABS
Asset-Backed Securities
ACES
Alternative Credit Enhancement Securities
ARM
Adjustable Rate Mortgage. The interest rate shown is the rate in effect as of November 30, 2022.
CLO
Collateralized Loan Obligations
CSMC
Credit Suisse Mortgage Trust
DN
Discount Notes
FHLMC
Federal Home Loan Mortgage Corp.
FNMA
Federal National Mortgage Association
GNMA
Government National Mortgage Association
GO
General Obligation
ICE
Intercontinental Exchange
IF
Inverse Floaters represent securities that pay interest at a rate that increases (decreases) with a decline (incline) in a specified index or have an interest
rate that adjusts periodically based on changes in current interest rates and prepayments on the underlying pool of assets. The interest rate shown is the
rate in effect as of November 30, 2022. The rate may be subject to a cap and floor.
IO
Interest Only represents the right to receive the monthly interest payments on an underlying pool of mortgage loans. The principal amount shown
represents the par value on the underlying pool. The yields on these securities are subject to accelerated principal paydowns as a result of prepayment or
refinancing of the underlying pool of mortgage instruments. As a result, interest income may be reduced considerably.
LIBOR
London Interbank Offered Rate
PO
Principal Only represents the right to receive the principal portion only on an underlying pool of mortgage loans. The market value of these securities is
extremely volatile in response to changes in market interest rates. As prepayments on the underlying mortgages of these securities increase, the yield on
these securities increases.
REMIC
Real Estate Mortgage Investment Conduit
Rev.
Revenue
SOFR
Secured Overnight Financing Rate
SOFRINDX
Compounding index of the Secured Overnight Financing Rate
STRIPS
Separate Trading of Registered Interest and Principal of Securities. The STRIPS Program lets investors hold and trade individual interest and principal
components of eligible notes and bonds as separate securities.
UMBS
Uniform Mortgage-Backed Securities
USD
United States Dollar
^
Amount rounds to less than 0.1% of net assets.
Value determined using significant unobservable inputs.
 
(a)
The rate shown is the effective yield as of November 30, 2022.
 
(b)
Securities exempt from registration under Rule 144A or section 4(a)(2), of the Securities Act of 1933, as amended.
 
(c)
Variable or floating rate security, linked to the referenced benchmark. The interest rate shown is the current rate as of November 30, 2022.
 
(d)
Step bond. Interest rate is a fixed rate for an initial period that either resets at a specific date or may reset in the future contingent upon a
predetermined trigger. The interest rate shown is the current rate as of November 30, 2022.
 
(e)
Variable or floating rate security, the interest rate of which adjusts periodically based on changes in current interest rates and prepayments
on the underlying pool of assets. The interest rate shown is the current rate as of November 30, 2022.
 
(f)
All or a portion of the security is a when-issued security, delayed delivery security, or forward commitment.
 
(g)
Value is zero.
 

JPMorgan Core Bond Trust
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF November 30, 2022 (Unaudited) (continued)
(h)
The date shown represents the earliest of the prerefunded date, next put date or final maturity date.
 
(i)
Loan assignments are presented by obligor. Each series or loan tranche underlying each obligor may have varying terms.
 
(j)
Investment in an affiliated fund, which is registered under the Investment Company Act of 1940, as amended, and is advised by J.P. Morgan
Investment Management Inc.
 
(k)
The rate shown is the current yield as of November 30, 2022.
 
Futures contracts outstanding as of November 30, 2022 (amounts in thousands, except number of contracts):
DESCRIPTION
NUMBER OF
CONTRACTS
EXPIRATION DATE
TRADING CURRENCY
NOTIONAL
AMOUNT ($)
VALUE AND
UNREALIZED
APPRECIATION
(DEPRECIATION) ($)
Long Contracts
 
 
 
 
 
U.S. Treasury 10 Year Note
184
03/22/2023
USD
20,939
163
U.S. Treasury 2 Year Note
203
03/31/2023
USD
41,728
152
U.S. Treasury 5 Year Note
160
03/31/2023
USD
17,408
140
 
 
 
 
 
455
Abbreviations
 
USD
United States Dollar

JPMorgan Core Bond Trust
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF November 30, 2022 (Unaudited) (continued)
(Dollar values in thousands)
A. Valuation of Investments  Investments are valued in accordance with U.S. generally accepted accounting principles (“GAAP”) and the Fund's valuation policies set forth by, and under the supervision and responsibility of, the Board of Trustees of the Trust (the “Board”), which established the following approach to valuation, as described more fully below: (i) investments for which market quotations are readily available shall be valued at their market value and (ii) all other investments for which market quotations are not readily available shall be valued at their fair value as determined in good faith by the Board.
Under Section 2(a)(41) of the Investment Company Act of 1940, the Board is required to determine fair value for securities that do not have readily available market quotations. Under SEC Rule 2a-5 (Good Faith Determinations of Fair Value), the Board may designate the performance of these fair valuation determinations to a valuation designee. The Board has designated the Adviser as the “Valuation Designee” to perform fair valuation determinations for the Fund on behalf of the Board subject to appropriate oversight by the Board. The Adviser, as Valuation Designee, leverages the J.P. Morgan Asset Management Americas Valuation Committee (“AVC”) to help oversee and carry out the policies for the valuation of Investments held in the Fund. The Adviser, as Valuation Designee, remains responsible for the valuation determinations. 
This oversight by the AVC includes monitoring the appropriateness of fair values based on results of ongoing valuation oversight including, but not limited to, consideration of macro or security specific events, market events, and pricing vendor and broker due diligence. The Administrator is responsible for discussing and assessing the potential impacts to the fair values on an ongoing basis, and, at least on a quarterly basis, with the AVC and the Board.
A market-based approach is primarily used to value the Fund's investments. Investments for which market quotations are not readily available are fair valued using prices supplied by approved affiliated and/or unaffiliated pricing vendors or third party broker-dealers (collectively referred to as “Pricing Services”), or may be internally fair valued using methods set forth by the valuation policies approved by the Board. This may include the use of related or comparable assets or liabilities, recent transactions, market multiples, book values and other relevant information for the investment. An income-based valuation approach may be used in which the anticipated future cash flows of the investment are discounted to calculate the fair value. Discounts may also be applied due to the nature or duration of any restrictions on the disposition of the investments. Valuations may be based upon current market prices of securities that are comparable in coupon, rating, maturity and industry. It is possible that the estimated values may differ significantly from the values that would have been used had a ready market for the investments existed, and such differences could be material.
Fixed income instruments are valued based on prices received from Pricing Services. The Pricing Services use multiple valuation techniques to determine the valuation of fixed income instruments. In instances where sufficient market activity exists, the Pricing Services may utilize a market-based approach through which trades or quotes from market makers are used to determine the valuation of these instruments. In instances where sufficient market activity may not exist, the Pricing Services also utilize proprietary valuation models which may consider market transactions in comparable securities and the various relationships between securities in determining fair value and/or market characteristics in order to estimate the relevant cash flows, which are then discounted to calculate the fair values.
Investments in open-end investment companies (“Underlying Funds”) are valued at each Underlying Fund’s net asset value ("NAV") per share as of the report date.
Futures contracts are generally valued on the basis of available market quotations.
See the table on “Quantitative Information about Level 3 Fair Value Measurements” for information on the valuation techniques and inputs used to value level 3 securities held by the Fund at November 30, 2022.
Valuations reflected in this report are as of the report date. As a result, changes in valuation due to market events and/or issuer-related events after the report date and prior to issuance of the report are not reflected herein.
The various inputs that are used in determining the valuation of the Fund's investments are summarized into the three broad levels listed below.
Level 1 Unadjusted inputs using quoted prices in active markets for identical investments.
Level 2 Other significant observable inputs including, but not limited to, quoted prices for similar investments, inputs other than quoted prices that are observable for investments (such as interest rates, prepayment speeds, credit risk, etc.) or other market corroborated inputs.
Level 3 Significant inputs based on the best information available in the circumstances, to the extent observable inputs are not available (including the Fund's assumptions in determining the fair value of investments).
A financial instrument’s level within the fair value hierarchy is based on the lowest level of any input, both individually and in the aggregate, that is significant to the fair value measurement. The inputs or methodology used for valuing instruments are not necessarily an indication of the risk associated with investing in those instruments. 

JPMorgan Core Bond Trust
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF November 30, 2022 (Unaudited) (continued)
(Dollar values in thousands)
The following table represents each valuation input as presented on the Schedule of Portfolio Investments ("SOI"):
 
 
 
 
 
 
Level 1
Quoted prices
Level 2
Other significant
observable inputs
Level 3
Significant
unobservable inputs
Total
Investments in Securities
 
 
 
 
Asset-Backed Securities
$
$202,752
$102,409
$305,161
Collateralized Mortgage Obligations
148,391
11,011
159,402
Commercial Mortgage-Backed Securities
90,346
3,831
94,177
Corporate Bonds
487,101
487,101
Foreign Government Securities
8,360
8,360
Loan Assignments
2,821
2,821
Mortgage-Backed Securities
427,593
427,593
Municipal Bonds
9,466
9,466
U.S. Government Agency Securities
12,787
12,787
U.S. Treasury Obligations
597,410
597,410
Short-Term Investments
 
 
 
 
Investment Companies
9,232
9,232
Total Investments in Securities
$9,232
$1,987,027
$117,251
$2,113,510
Appreciation in Other Financial Instruments
 
 
 
 
Futures Contracts
$455
$
$
$455
The following is a summary of investments for which significant unobservable inputs (level 3) were used in determining fair value:
 
Balance as of
February 28,
2022
Realized
gain (loss)
Change in net
unrealized
appreciation
(depreciation)
Net
accretion
(amortization)
Purchases1
Sales2
Transfers
into
Level 3
Transfers
out of
Level 3
Other(a)
Balance as of
November 30,
2022
Investments in Securities:
 
 
 
 
 
 
 
 
 
 
Asset-Backed Securities
$59,313
$
$(5,768)
$(83)
$44,274
$(11,182)
$19,087
$(5,353)
$2,121
$102,409
Collateralized Mortgage Obligations
14,123
(1,068)
(97)
(386)
9,936
(1,760)
(5,016)
(4,721)
11,011
Commercial Mortgage-Backed Securities
1,684
(432)
(21)
2
(2)
2,600
3,831
Total
$75,120
$(1,068)
$(6,297)
$(490)
$54,212
$(12,944)
$19,087
$(10,369)
$
$117,251

 
1
Purchases include all purchases of securities and securities received in corporate actions.
2
Sales include all sales of securities, maturities, paydowns and securities tendered in corporate actions.
(a)
Certain Level 3 investments were re-classified between Collateralized Mortgage Obligations, Asset-Backed Securities and Commercial
Mortgage-Backed Securities.
The changes in net unrealized appreciation (depreciation) attributable to securities owned at November 30, 2022, which were valued using significant unobservable inputs (level 3), amounted to $(7,370).
Transfers between level 2 and level 3 are due to a decline or an increase in market activity (e.g. frequency of trades), which resulted in a lack or increase of available market inputs to determine the price for the period ended November 30, 2022.
The significant unobservable inputs used in the fair value measurement of the Fund's investments are listed below. Generally, a change in the assumptions used in any input in isolation may be accompanied by a change in another input. Significant changes in any of the unobservable inputs may significantly impact the fair value measurement. The impact is based on the relationship between each unobservable input and the fair value measurement. Significant increases (decreases) in enterprise multiples may increase (decrease) the fair value measurement. Significant increases (decreases) in the discount for lack of marketability, liquidity discount, probability of default, yield and default rate may

JPMorgan Core Bond Trust
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF November 30, 2022 (Unaudited) (continued)
(Dollar values in thousands)
decrease (increase) the fair value measurement. A significant change in the discount rate or prepayment rate (Constant Prepayment Rate or PSA Prepayment Model) may decrease or increase the fair value measurement.
Quantitative Information about Level 3 Fair Value Measurements #
 
Fair Value at
November 30, 2022
Valuation Technique(s)
Unobservable Input
Range (Weighted
Average) (a)
 
$67,290
Discounted Cash Flow
Constant Prepayment Rate
0.00% - 30.00% (8.97%)
 
 
 
Constant Default Rate
0.00% - 5.03% (0.04%)
 
 
 
Yield (Discount Rate of Cash Flows)
5.87% - 9.65% (7.32%)
 
 
 
 
Asset-Backed
Securities
67,290
 
 
 
 
1,369
Discounted Cash Flow
Constant Prepayment Rate
0.00% - 19.86% (10.91%)
 
 
 
Constant Default Rate
0.00% - 6.69% (1.56%)
 
 
 
Yield (Discount Rate of Cash Flows)
5.38% - 20.58% (12.26%)
 
 
 
 
Collateralized Mortgage
Obligations
1,369
 
 
 
 
1,329
Discounted Cash Flow
Constant Prepayment Rate
0.00% - 100.00% (0.00%)
 
 
 
Yield (Discount Rate of Cash Flows)
6.01% - 81.25% (28.14%)
 
 
 
 
Commercial Mortgage-
Backed Securities
1,329
 
 
 
Total
69,988
 
 
 
#
The table above does not include certain level 3 investments that are valued by brokers and Pricing Services. At November 30, 2022, the value
of these investments was $47,263. The inputs for these investments are not readily available or cannot be reasonably estimated and are
generally those inputs described in Note A.
(a)
Unobservable inputs were weighted by the relative fair value of the instruments.
B. Investment Transactions with Affiliates  The Fund invested in an Underlying Fund, which is advised by the Adviser. An issuer which is under common control with the Fund may be considered an affiliate. The Fund assumes the issuer listed in the table below to be an affiliated issuer. The Underlying Fund's distributions may be reinvested into such Underlying Fund. Reinvestment amounts are included in the purchases at cost amounts in the table below.
 
For the period ended November 30, 2022
Security Description
Value at
February 28,
2022
Purchases at
Cost
Proceeds from
Sales
Net Realized
Gain (Loss)
Change in
Unrealized
Appreciation/
(Depreciation)
Value at
November 30,
2022
Shares at
November 30,
2022
Dividend
Income
Capital Gain
Distributions
JPMorgan Prime Money Market Fund
Class Institutional Shares, 3.94% (a) (b)
$80,987
$893,252
$964,988
$(20)
$1
$9,232
9,230
$1,179
$

 
(a)
Investment in an affiliated fund, which is registered under the Investment Company Act of 1940, as amended, and is advised by J.P. Morgan
Investment Management Inc.
(b)
The rate shown is the current yield as of November 30, 2022.