Holdings (Monthly)
Guide ↗
JPMorgan U.S. Equity Fund
· JPMorgan Trust I| # | Name | Ticker | Since | Shares | Shares Δ | Value | Val Δ% | % Port | Cat |
|---|---|---|---|---|---|---|---|---|---|
| 1 | Advanced Micro Devices, Inc. | 007903107 | Jun 2026 | 1,324,269 | NEW | $769.3M | — | 2.30% | EC |
| 2 | ASML Holding NV | N/A | Mar 2026 | 201,820 | NEW | $401.5M | — | 1.20% | EC |
| 3 | Eaton Corp. plc | N/A | Mar 2026 | 912,335 | NEW | $388.8M | — | 1.16% | EC |
| 4 | Space Exploration Technologies Corp. | 84615Q103 | Jun 2026 | 2,006,573 | NEW | $342.8M | — | 1.03% | EC |
| 5 | Corning, Inc. | 219350105 | Jun 2026 | 1,226,559 | NEW | $313.3M | — | 0.94% | EC |
| 6 | Trane Technologies plc | N/A | Mar 2026 | 612,832 | NEW | $301.0M | — | 0.90% | EC |
| 7 | Aon plc | N/A | Mar 2026 | 829,396 | NEW | $275.1M | — | 0.82% | EC |
| 8 | Crowdstrike Holdings, Inc. | 22788C105 | Jun 2026 | 358,483 | NEW | $273.6M | — | 0.82% | EC |
| 9 | Palantir Technologies, Inc. | 69608A108 | Jun 2026 | 2,331,525 | NEW | $272.0M | — | 0.81% | EC |
| 10 | Canadian Pacific Kansas City Ltd. | 13646K108 | Jun 2026 | 2,971,784 | NEW | $257.5M | — | 0.77% | EC |
| 11 | Medtronic plc | N/A | Mar 2026 | 3,108,392 | NEW | $243.2M | — | 0.73% | EC |
| 12 | Cadence Design Systems, Inc. | 127387108 | Jun 2026 | 606,380 | NEW | $227.6M | — | 0.68% | EC |
| 13 | Thermo Fisher Scientific, Inc. | 883556102 | Jun 2026 | 431,286 | NEW | $216.2M | — | 0.65% | EC |
| 14 | JPMorgan Securities Lending Money Market Fund | 46645V642 | Jun 2026 | 148,162,278 | NEW | $148.2M | — | 0.44% | STIV |
| 15 | Affirm Holdings, Inc. | 00827B106 | Jun 2026 | 1,782,278 | NEW | $145.3M | — | 0.44% | EC |
| 16 | American Water Works Co., Inc. | 030420103 | Jun 2026 | 591,188 | NEW | $77.8M | — | 0.23% | EC |