JIIGX
JPMorgan U.S. Sustainable Leaders Fund
JPMorgan Trust I

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
EATON CORP PLC 0 7,196 7,196 0.93% $2.57M
LAM RESEARCH CORP 0 10,665 10,665 0.82% $2.28M
MORGAN STANLEY 0 12,725 12,725 0.75% $2.09M
WESTERN DIGITAL CORP 0 7,137 7,137 0.69% $1.93M
AUTOZONE INC 0 568 568 0.69% $1.92M
BOSTON SCIENTIFIC CORP 0 29,333 29,333 0.66% $1.84M
AUTODESK INC 0 6,544 6,544 0.56% $1.57M
US BANCORP DEL 0 29,817 29,817 0.56% $1.55M
TRACTOR SUPPLY CO. 0 32,444 32,444 0.53% $1.47M
WATERS CORP 0 4,200 4,200 0.45% $1.25M
MICRON TECHNOLOGY INC 0 2,989 2,989 0.36% $1.01M
TOAST INC-A 0 25,314 25,314 0.24% $671.07K
AFFIRM HOLDINGS INC 0 14,364 14,364 0.24% $658.16K
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
NETFLIX INC 38,250 0 -38,250 0.00% -$3.59M
SERVICENOW INC 20,935 0 -20,935 0.00% -$3.21M
APOLLO GLOBAL MANAGEMENT INC 14,628 0 -14,628 0.00% -$2.12M
PG&E CORP 99,961 0 -99,961 0.00% -$1.61M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
BROADCOM INC 19,284 29,953 10,669 3.34% $2.60M
NEXTERA ENERGY INC 55,637 56,907 1,270 1.90% $818.98K
LOWES COS INC 19,673 20,414 741 1.74% $79.08K
ARTHUR J GALLAGHAR AND CO 16,573 16,967 394 1.32% -$614.21K
INTUIT INC 6,570 7,589 1,019 1.18% -$1.07M
STRYKER CORP 9,313 9,939 626 1.17% -$7.38K
AMERICAN TOWER CORP 16,217 18,441 2,224 1.14% $335.33K
CHURCH & DWIGHT 17,298 26,640 9,342 0.89% $1.04M
CADENCE DESIGN SYSTEMS INC 5,978 8,252 2,274 0.82% $424.38K
VENTAS INC REIT 26,946 27,014 68 0.79% $124.12K
COGNIZANT TECH SOLUTIONS CL A 29,791 33,833 4,042 0.75% -$397.00K
ORACLE CORP 13,181 13,696 515 0.72% -$554.29K
DOORDASH INC-A 8,373 10,502 2,129 0.57% -$319.44K
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
NVIDIA CORP 149,933 146,458 -3,475 9.19% -$2.42M
MICROSOFT CORP 49,175 48,573 -602 6.47% -$5.80M
AMAZON.COM INC 84,713 77,470 -7,243 5.80% -$3.42M
APPLE INC 53,785 53,142 -643 4.85% -$1.14M
ALPHABET INC CL A 48,031 46,610 -1,421 4.82% -$1.63M
MASTERCARD INC CL A 18,895 16,875 -2,020 3.03% -$2.36M
ABBVIE INC 35,224 34,527 -697 2.70% -$539.05K
TRANE TECHNOLOGIES PLC 11,579 11,350 -229 1.70% $223.45K
LINDE PLC 8,914 8,738 -176 1.56% $531.11K
HOWMET AEROSPACE INC 20,474 17,945 -2,529 1.49% -$61.97K
AT&T INC 141,981 139,174 -2,807 1.45% $507.85K
TESLA INC 10,930 10,713 -217 1.43% -$932.88K
WELLS FARGO & CO 58,969 50,004 -8,965 1.43% -$1.52M
PROCTER & GAMBLE 26,659 26,450 -209 1.37% -$63
BRISTOL-MYERS SQUIBB CO 59,972 58,786 -1,186 1.28% $330.48K
WALT DISNEY CO/T 36,580 35,857 -723 1.24% -$705.81K
SCHWAB CHARLES CORP 41,174 35,960 -5,214 1.22% -$734.17K
JPMorgan Prime Money Market Fund, IM Shares 6,362,470 3,311,696 -3,050,774 1.19% -$3.05M
INGERSOLL RAND INC 42,143 41,311 -832 1.19% -$28.73K
ECOLAB INC 12,341 12,098 -243 1.16% -$21.45K
BANK OF AMERICA CORPORATION 82,671 64,959 -17,712 1.14% -$1.38M
UNITEDHEALTH GRP 11,770 11,537 -233 1.12% -$763.60K
AMPHENOL CORPORATION CL A 25,581 24,387 -1,194 1.11% -$375.72K
HILTON WORLDWIDE HOLDINGS INC 10,309 10,106 -203 1.11% $111.77K
BURLINGTON STORES INC 10,542 8,899 -1,643 1.04% -$149.50K
EMERSON ELECTRIC CO 22,297 21,856 -441 1.03% -$95.68K
REGENERON PHARMACEUTICALS INC 3,709 3,635 -74 1.01% -$54.32K
ANALOG DEVICES INC 11,251 8,806 -2,445 1.01% -$249.73K
VERTEX PHARMACEUTICALS INC 6,347 6,222 -125 1.00% -$99.10K
TEXAS INSTRUMENTS INC 15,090 14,070 -1,020 0.98% $113.59K
AON PLC 8,549 8,380 -169 0.97% -$311.87K
EQUINIX INC 2,861 2,655 -206 0.94% $410.55K
DANAHER CORP 17,494 13,318 -4,176 0.91% -$1.48M
CORPAY INC 8,711 8,539 -172 0.89% -$136.64K
NXP SEMICONDUCTORS NV 12,739 12,258 -481 0.87% -$352.02K
FIDELITY NATL INFORM SVCS INC 50,957 49,950 -1,007 0.84% -$1.04M
TAIWAN SEMIC MFG CO LTD SP ADR 12,278 6,923 -5,355 0.84% -$1.39M
LILLY ELI and CO 2,408 2,360 -48 0.78% -$417.17K
CHIPOTLE MEXICAN GRILL INC 68,835 64,046 -4,789 0.74% -$496.78K
UNITED RENTALS INC 2,779 2,723 -56 0.71% -$265.23K
AMERICAN EXPRESS CO 6,652 6,521 -131 0.71% -$488.44K
FIFTH THIRD BANCORP 41,497 40,677 -820 0.68% -$52.62K
EDWARDS LIFESCIENCES CORP 34,061 16,087 -17,974 0.46% -$1.62M
ROPER TECHNOLOGIES INC 5,368 2,842 -2,526 0.36% -$1.38M
WARNER MUSIC GRP CORP CL A 34,128 33,456 -672 0.31% -$192.24K
MEDTRONIC PLC 22,980 518 -22,462 0.02% -$2.16M
US ULTRA BOND CBT Sep25 13 6 -7 -0.01% -$25.67K

No positions in this category.

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