JHTGX
JPMorgan Hedged Equity 3 Fund
JPMorgan Trust IV

Portfolio moves

Net position changes between two of this fund's N-PORT snapshots. These are differences between point-in-time reports — not a trade log — and share counts can be affected by splits and other corporate actions.

Dec 31, 2025 → Mar 31, 2026

Expand a category to see the positions behind it, ranked by weight.

Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
JPMorgan Prime Money Market Fund, IM Shares 0 45,624,231 45,624,231 1.72% $45.63M
MORGAN STANLEY 0 64,391 64,391 0.40% $10.60M
DOVER CORP 0 40,515 40,515 0.32% $8.45M
AUTODESK INC 0 27,010 27,010 0.24% $6.47M
ACCENTURE PLC CL A 0 28,027 28,027 0.21% $5.56M
BLACKSTONE INC 0 44,437 44,437 0.19% $5.11M
WATERS CORP 0 16,367 16,367 0.18% $4.87M
CORNING INC 0 19,390 19,390 0.10% $2.64M
FORTINET INC 0 29,229 29,229 0.09% $2.39M
VERTIV HOLDINGS CO 0 8,449 8,449 0.08% $2.12M
AFFIRM HOLDINGS INC 0 29,722 29,722 0.05% $1.36M
BALL CORP 0 16,858 16,858 0.04% $996.48K
ECHOSTAR CORP CL A 0 6,947 6,947 0.03% $813.29K
JPMorgan Securities Lending Money Market Fund, Class Agency SL Shares 0 413,151 413,151 0.02% $413.15K
ARES MANAGEMENT CORP CL A 0 2,901 2,901 0.01% $316.50K
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
TRUIST FINL CORP 141,757 0 -141,757 0.00% -$6.98M
COCA-COLA CO/THE 74,939 0 -74,939 0.00% -$5.24M
REGIONS FINANCIAL CORP 159,307 0 -159,307 0.00% -$4.32M
BOEING CO/THE 19,534 0 -19,534 0.00% -$4.24M
LPL FINL HLDGS INC 8,052 0 -8,052 0.00% -$2.88M
RAYMOND JAMES FINANCIAL INC. 11,694 0 -11,694 0.00% -$1.88M
DEXCOM INC 18,465 0 -18,465 0.00% -$1.23M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
BROADCOM INC 219,829 228,810 8,981 2.67% -$5.26M
US ULTRA BOND CBT Sep25 -4,041 -3,764 277 2.33% $53.98M
JPMORGAN US GOVERNMENT MONEY MARKET FUND OPEN-END FUND USD 21,978,127 38,573,037 16,594,910 1.46% $16.59M
PEPSICO INC 165,045 174,553 9,508 1.02% $3.42M
RTX CORP 118,312 132,350 14,038 0.96% $3.83M
AT&T INC 584,575 784,677 200,102 0.86% $8.23M
LAM RESEARCH CORP 59,799 100,933 41,134 0.81% $11.33M
ECOLAB INC 71,330 71,416 86 0.72% $272.53K
ORACLE CORP 122,897 127,206 4,309 0.71% -$5.24M
PHILIP MORRIS INTL INC 87,073 111,423 24,350 0.70% $4.46M
AMPHENOL CORPORATION CL A 88,250 136,725 48,475 0.65% $5.35M
WALT DISNEY CO/T 163,676 169,000 5,324 0.62% -$2.33M
ADV MICRO DEVICE 36,926 68,678 31,752 0.53% $6.06M
SEMPRA ENERGY 126,248 136,627 10,379 0.50% $2.13M
AON PLC 27,124 40,345 13,221 0.49% $3.45M
US BANCORP DEL 210,870 249,351 38,481 0.49% $1.72M
REGENERON PHARMACEUTICALS INC 16,079 16,377 298 0.48% $242.63K
ENTERGY CORP 111,831 112,112 281 0.48% $2.26M
EQUINIX INC 11,223 12,252 1,029 0.45% $3.41M
CITIGROUP INC 88,019 101,560 13,541 0.43% $1.25M
CAPITAL ONE FINANCIAL CORP 52,973 60,849 7,876 0.42% -$1.74M
BOSTON SCIENTIFIC CORP 62,438 168,323 105,885 0.40% $4.61M
FIFTH THIRD BANCORP 193,518 211,582 18,064 0.37% $771.52K
AMERICAN EXPRESS CO 30,361 31,674 1,313 0.36% -$1.65M
ARISTA NETWORKS INC 76,688 76,857 169 0.36% -$611.93K
AUTOZONE INC 1,974 2,624 650 0.33% $2.17M
UNION PACIFIC CORP 33,056 36,041 2,985 0.33% $1.10M
PPG INDUSTRIES INC 53,854 67,470 13,616 0.27% $1.69M
FIDELITY NATL INFORM SVCS INC 141,376 142,625 1,249 0.25% -$2.71M
MASCO CORPORATION 82,928 91,335 8,407 0.21% $251.28K
CHURCH & DWIGHT 40,475 53,510 13,035 0.19% $1.60M
EQUITY LIFESTYLE PPTYS INC 61,076 79,953 18,877 0.19% $1.29M
UNITED RENTALS INC 3,058 5,084 2,026 0.14% $1.23M
UNITED AIRLINES HOLDINGS INC 19,637 20,974 1,337 0.07% -$264.73K
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
NVIDIA CORP 1,237,956 1,173,030 -64,926 7.72% -$26.30M
APPLE INC 726,106 649,443 -76,663 6.22% -$32.58M
MICROSOFT CORP 388,904 368,507 -20,397 5.15% -$51.67M
AMAZON.COM INC 508,234 501,109 -7,125 3.94% -$12.94M
ALPHABET INC CL A 282,919 268,080 -14,839 2.91% -$11.46M
META PLATFORMS INC CL A 119,537 107,092 -12,445 2.31% -$17.63M
EXXON MOBIL CORP 355,117 326,985 -28,132 2.09% $12.74M
ALPHABET INC CL C 185,784 176,041 -9,743 1.91% -$7.80M
TESLA INC 128,052 121,337 -6,715 1.70% -$12.48M
BERKSHIRE HATH-B 77,782 73,703 -4,079 1.33% -$3.78M
JOHNSON&JOHNSON 159,229 143,042 -16,187 1.32% $2.01M
MASTERCARD INC CL A 77,170 68,759 -8,411 1.30% -$9.70M
ABBVIE INC 144,604 133,610 -10,994 1.10% -$3.98M
LILLY ELI and CO 31,485 29,834 -1,651 1.04% -$6.40M
VISA INC-CLASS A 88,194 86,728 -1,466 0.99% -$4.72M
NEXTERA ENERGY INC 292,364 277,006 -15,358 0.97% $2.26M
WELLS FARGO & CO 344,093 318,429 -25,664 0.96% -$6.72M
TRANE TECHNOLOGIES PLC 61,099 57,892 -3,207 0.91% $346.18K
BANK OF AMERICA CORPORATION 618,499 492,130 -126,369 0.91% -$10.03M
LOWES COS INC 103,118 95,548 -7,570 0.85% -$2.29M
HOWMET AEROSPACE INC 127,506 93,642 -33,864 0.81% -$4.56M
EOG RESOURCES INC 156,531 148,322 -8,209 0.81% $5.01M
WALMART INC 189,923 163,398 -26,525 0.77% -$852.22K
3M CO 146,996 139,280 -7,716 0.76% -$3.31M
SCHWAB CHARLES CORP 261,785 212,484 -49,301 0.75% -$6.19M
MCDONALDS CORP 66,652 62,349 -4,303 0.73% -$993.41K
MICRON TECHNOLOGY INC 65,057 56,432 -8,625 0.72% $497.07K
STRYKER CORP 56,127 54,699 -1,428 0.68% -$1.75M
ANALOG DEVICES INC 86,449 56,183 -30,266 0.67% -$5.57M
HILTON WORLDWIDE HOLDINGS INC 55,007 54,785 -222 0.63% $858.26K
NETFLIX INC 201,468 171,408 -30,060 0.62% -$2.41M
SERVICENOW INC 169,697 156,425 -13,272 0.62% -$9.64M
DEERE & CO 31,527 28,025 -3,502 0.60% $1.11M
MONDELEZ INTL INC 315,962 271,857 -44,105 0.59% -$1.34M
BRISTOL-MYERS SQUIBB CO 287,449 254,805 -32,644 0.58% -$51.08K
TEXAS INSTRUMENTS INC 90,962 78,750 -12,212 0.58% -$492.47K
ARTHUR J GALLAGHAR AND CO 67,567 64,024 -3,543 0.52% -$3.62M
UNITEDHEALTH GRP 54,075 51,238 -2,837 0.52% -$3.99M
VENTAS INC REIT 175,407 166,207 -9,200 0.51% $19.41K
ROSS STORES INC 72,958 60,848 -12,110 0.50% $38.85K
SEAGATE TECHNOLOGY HOLDINGS PLC 45,413 33,637 -11,776 0.50% $671.35K
MEDTRONIC PLC 211,665 148,258 -63,407 0.49% -$7.49M
NXP SEMICONDUCTORS NV 74,064 64,966 -9,098 0.48% -$3.29M
YUM! BRANDS INC 86,227 81,704 -4,523 0.48% -$341.08K
LINDE PLC 29,152 24,970 -4,182 0.47% -$50.99K
BAKER HUGHES CO 208,942 197,985 -10,957 0.46% $2.57M
SOUTHERN CO 170,823 121,186 -49,637 0.44% -$3.20M
EATON CORP PLC 33,647 31,881 -1,766 0.43% $685.97K
PALANTIR TECHNOLOGIES INC 80,972 76,726 -4,246 0.42% -$3.17M
COGNIZANT TECH SOLUTIONS CL A 188,749 178,850 -9,899 0.41% -$4.69M
INTUIT INC 24,572 24,219 -353 0.40% -$5.81M
GE VERNOVA LLC 13,085 11,930 -1,155 0.39% $1.86M
EDWARDS LIFESCIENCES CORP 149,459 129,912 -19,547 0.39% -$2.34M
CHIPOTLE MEXICAN GRILL INC 316,163 299,582 -16,581 0.36% -$2.11M
FEDEX CORP 27,886 26,424 -1,462 0.36% $1.36M
CORPAY INC 34,056 32,271 -1,785 0.35% -$857.93K
WELLTOWER INC 49,705 47,097 -2,608 0.35% $85.80K
BURLINGTON STORES INC 30,191 28,554 -1,637 0.35% $570.23K
TRANSDIGM GROUP INC 8,891 7,924 -967 0.35% -$2.64M
LEIDOS HOLDINGS INC 61,019 58,062 -2,957 0.34% -$1.98M
VERTEX PHARMACEUTICALS INC 21,195 20,084 -1,111 0.34% -$640.66K
THE CIGNA GROUP 35,356 33,502 -1,854 0.34% -$794.37K
DANAHER CORP 73,039 46,022 -27,017 0.33% -$7.99M
CME GROUP INC CL A 41,819 27,791 -14,028 0.31% -$3.21M
WESTERN DIGITAL CORP 41,044 27,771 -13,273 0.28% $441.13K
DIAMONDBACK ENERGY INC 42,915 37,598 -5,317 0.28% $985.10K
CARNIVAL CORP 280,540 275,118 -5,422 0.27% -$1.45M
KEURIG DR PEPPER INC 362,848 265,263 -97,585 0.26% -$3.18M
EMERSON ELECTRIC CO 51,313 48,622 -2,691 0.24% -$439.81K
CADENCE DESIGN SYSTEMS INC 23,502 22,270 -1,232 0.23% -$1.16M
NIKE INC CL B 127,262 115,935 -11,327 0.23% -$1.98M
EXPEDIA INC 27,686 26,234 -1,452 0.23% -$1.79M
APOLLO GLOBAL MANAGEMENT INC 71,554 50,242 -21,312 0.21% -$4.76M
PROGRESSIVE CORP OHIO 31,268 27,020 -4,248 0.20% -$1.76M
MCKESSON CORP 6,366 6,032 -334 0.20% -$2.11K
VULCAN MATERIALS CO 20,030 18,980 -1,050 0.20% -$544.70K
ALTRIA GROUP INC 81,312 77,049 -4,263 0.19% $396.01K
EQT CORPORATION 83,818 79,422 -4,396 0.19% $561.77K
HUMANA INC 29,672 28,235 -1,437 0.18% -$2.70M
THE BOOKING HOLDINGS INC 1,213 1,149 -64 0.18% -$1.66M
COMCAST CORP CL A 291,774 166,141 -125,633 0.18% -$3.95M
MARTIN MAR MTLS 8,374 7,934 -440 0.18% -$543.57K
TEXTRON INC 54,379 51,528 -2,851 0.17% -$228.43K
CHUBB LTD 17,607 13,728 -3,879 0.17% -$1.02M
SBA COMMUNICATIONS CORP 39,009 24,489 -14,520 0.16% -$3.33M
OTIS WORLDWIDE CORP 71,720 53,411 -18,309 0.16% -$2.15M
INGERSOLL RAND INC 53,181 50,392 -2,789 0.15% -$175.59K
CARRIER GLOBAL CORP 155,612 67,179 -88,433 0.14% -$4.44M
DELTA AIR LI 67,480 56,167 -11,313 0.14% -$949.13K
STATE STREET CORP 35,191 29,493 -5,698 0.14% -$807.36K
ARCH CAPITAL GROUP LTD 48,654 37,445 -11,209 0.14% -$1.07M
HCA HEALTHCARE INC 7,826 7,416 -410 0.13% -$144.10K
MOTOROLA SOLUTIONS INC 8,029 7,502 -527 0.12% $177.97K
OMNICOM GROUP INC 40,552 38,425 -2,127 0.11% -$380.79K
AMERICAN TOWER CORP 28,609 15,106 -13,503 0.10% -$2.42M
TOAST INC-A 99,032 93,838 -5,194 0.09% -$1.03M
APPLOVIN CORP 7,793 6,106 -1,687 0.09% -$2.82M
AMERIPRISE FINANCIAL INC 13,847 5,412 -8,435 0.09% -$4.38M
DOORDASH INC-A 16,462 15,599 -863 0.09% -$1.39M
MERCK & CO 28,456 18,128 -10,328 0.08% -$814.66K
ROPER TECHNOLOGIES INC 12,524 5,868 -6,656 0.08% -$3.50M
LENNAR CORP CL A 23,887 22,634 -1,253 0.07% -$490.05K
NEUROCRINE BIOSCIENCES INC 14,846 14,067 -779 0.07% -$252.42K
MEDLINE INC-A 41,549 41,433 -116 0.07% $98.71K
WARNER MUSIC GRP CORP CL A 75,415 70,655 -4,760 0.07% -$508.45K
APTIV PLC 23,820 22,570 -1,250 0.06% -$245.20K
SALESFORCE INC 43,876 8,249 -35,627 0.06% -$10.08M
VISTRA CORP 9,573 9,071 -502 0.05% -$180.77K
NRG ENERGY INC 9,552 9,051 -501 0.05% -$198.35K
CHARTER COMMUNICATIONS INC A 16,427 5,793 -10,634 0.05% -$2.18M
WEX INC 6,685 6,263 -422 0.04% -$37.44K

No positions in this category.

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