JEPCX
JPMorgan Equity Premium Income Fund
JPMorgan Trust IV

Portfolio concentration

As of March 31, 2026 · N-PORT
Holdings
120
Top-10 weight
15.97%
Effective holdings ?
94
Crowding ?
1250.9

Holdings

As of March 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 JOHNSON&JOHNSON 399,254 $97.59M 1.78%
2 ROSS STORES INC 440,908 $95.51M 1.74%
3 EOG RESOURCES INC 653,363 $94.46M 1.72%
4 NEXTERA ENERGY INC 988,926 $91.85M 1.67%
5 HOWMET AEROSPACE INC 385,875 $88.93M 1.62%
6 ABBVIE INC 400,925 $87.20M 1.59%
7 RTX CORP 436,800 $84.26M 1.54%
8 WALMART INC 645,488 $80.22M 1.46%
9 PEPSICO INC 515,463 $80.05M 1.46%
10 EATON CORP PLC 223,038 $79.77M 1.45%
11 TRANE TECHNOLOGIES PLC 191,013 $79.60M 1.45%
12 NVIDIA CORP 452,200 $78.86M 1.44%
13 YUM! BRANDS INC 506,888 $78.81M 1.44%
14 AMAZON.COM INC 377,388 $78.60M 1.43%
15 APPLE INC 306,513 $77.79M 1.42%
16 ALPHABET INC CL A 267,663 $76.97M 1.40%
17 MASTERCARD INC CL A 151,550 $75.72M 1.38%
18 LOWES COS INC 319,025 $75.38M 1.37%
19 MCDONALDS CORP 235,550 $73.21M 1.33%
20 BROADCOM INC 235,988 $73.04M 1.33%
21 VISA INC-CLASS A 240,188 $72.59M 1.32%
22 MONDELEZ INTL INC 1,248,101 $71.94M 1.31%
23 ANALOG DEVICES INC 225,613 $71.78M 1.31%
24 MICROSOFT CORP 193,200 $71.52M 1.30%
25 AMERICAN EXPRESS CO 231,263 $69.95M 1.27%
26 WALT DISNEY CO/T 724,938 $69.87M 1.27%
27 3M CO 477,751 $69.38M 1.26%
28 VERTEX PHARMACEUTICALS INC 155,058 $69.24M 1.26%
29 STRYKER CORP 208,775 $68.60M 1.25%
30 REGENERON PHARMACEUTICALS INC 88,638 $68.49M 1.25%
31 PHILIP MORRIS INTL INC 405,260 $67.01M 1.22%
32 META PLATFORMS INC CL A 116,550 $66.68M 1.22%
33 EMERSON ELECTRIC CO 498,400 $65.30M 1.19%
34 AMPHENOL CORPORATION CL A 514,763 $65.04M 1.19%
35 BRISTOL-MYERS SQUIBB CO 1,056,651 $64.09M 1.17%
36 ECOLAB INC 232,504 $61.85M 1.13%
37 SOUTHERN CO 634,201 $61.21M 1.12%
38 ENTERGY CORP 539,788 $60.65M 1.11%
39 CADENCE DESIGN SYSTEMS INC 200,900 $55.82M 1.02%
40 MEDTRONIC PLC 631,925 $54.76M 1.00%
41 BNP Paribas Issuance BV, ELN, 48.00%, 04/06/2026, (linked to S&P 500 Index) 8,273 $54.44M 0.99%
42 Barclays Bank plc, ELN, 47.40%, 04/07/2026, (linked to S&P 500 Index) 8,205 $54.04M 0.98%
43 EQUINIX INC 54,775 $53.69M 0.98%
44 BNP Paribas Issuance BV, ELN, 70.40%, 05/04/2026, (linked to S&P 500 Index) 7,736 $51.96M 0.95%
45 BofA Finance LLC, ELN, 71.48%, 04/21/2026, (linked to S&P 500 Index) 7,643 $51.69M 0.94%
46 National Bank of Canada, ELN, 69.55%, 05/01/2026, (linked to S&P 500 Index) 7,778 $51.65M 0.94%
47 Royal Bank of Canada, ELN, 56.67%, 04/10/2026, (linked to S&P 500 Index) 7,775 $51.52M 0.94%
48 BNP Paribas Issuance BV, ELN, 74.75%, 05/05/2026, (linked to S&P 500 Index) 7,873 $51.49M 0.94%
49 Royal Bank of Canada, ELN, 61.04%, 04/17/2026, (linked to S&P 500 Index) 7,667 $51.45M 0.94%
50 Societe Generale SA, ELN, 55.60%, 04/13/2026, (linked to S&P 500 Index) 7,715 $51.35M 0.94%
1 / 3 Next ›

Machine-readable: JSON · Markdown. Programmatic access via the agent surface.