JMGPX
JPMorgan Mid Cap Growth Fund
JPMorgan Trust II

Portfolio concentration

As of March 31, 2026 · N-PORT
Holdings
112
Top-10 weight
27.52%
Effective holdings ?
69
Crowding ?
801.3

Holdings

As of March 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 HOWMET AEROSPACE INC 1,713,050 $394.79M 3.46%
2 HILTON WORLDWIDE HOLDINGS INC 1,281,596 $389.71M 3.42%
3 VERTIV HOLDINGS CO 1,526,952 $382.62M 3.35%
4 ROYAL CARIBBEAN CRUISES LTD 1,284,759 $353.54M 3.10%
5 QUANTA SVCS INC 601,723 $330.36M 2.90%
6 COMFORT SYSTEMS USA INC 211,460 $291.60M 2.56%
7 CENCORA INC 903,030 $283.68M 2.49%
8 INSMED INC 1,549,913 $253.44M 2.22%
9 CLOUDFLARE INC-A 1,220,310 $251.80M 2.21%
10 ALNYLAM PHARMACEUTICALS INC 700,981 $231.93M 2.03%
11 CHENIERE ENERGY INC 704,379 $199.87M 1.75%
12 CARVANA CO CL A 632,133 $198.73M 1.74%
13 BURLINGTON STORES INC 555,292 $180.68M 1.58%
14 NATERA INC 844,952 $168.98M 1.48%
15 NEUROCRINE BIOSCIENCES INC 1,207,253 $159.04M 1.39%
16 LIVE NATION ENTERTAINMENT INC 1,036,283 $158.04M 1.39%
17 DATADOG INC CL A 1,337,997 $157.95M 1.38%
18 MSCI INC 292,404 $157.61M 1.38%
19 VISTRA CORP 1,029,919 $154.83M 1.36%
20 WILLIAMS COS INC 2,073,899 $150.94M 1.32%
21 HEICO CORP CL A 681,723 $143.90M 1.26%
22 FTAI AVIATION LTD 574,103 $140.66M 1.23%
23 TAKE-TWO INTERACTV SOFTWR INC 708,457 $139.92M 1.23%
24 VEEVA SYSTEMS-A 788,472 $138.50M 1.21%
25 IDEXX LABS INC 239,371 $134.50M 1.18%
26 MONOLITHIC POWER SYS INC 121,507 $132.85M 1.16%
27 CBRE GROUP INC - CL A 933,607 $126.47M 1.11%
28 ITT INC 662,774 $126.28M 1.11%
29 TEMPUR SEALY INTERNATIONAL INC 1,697,305 $125.46M 1.10%
30 CASEY'S GENERAL 168,700 $122.79M 1.08%
31 ULTA BEAUTY INC 229,430 $119.93M 1.05%
32 ROBLOX CORP - A 2,113,199 $119.52M 1.05%
33 CIENA CORP 300,152 $116.53M 1.02%
34 PERFORMANCE FOOD GROUP CO 1,316,745 $112.79M 0.99%
35 DEXCOM INC 1,783,253 $111.99M 0.98%
36 ON SEMICONDUCTOR CORP 1,786,996 $110.65M 0.97%
37 TELEDYNE TECHNOLOGIES INC 178,550 $108.02M 0.95%
38 AMETEK INC NEW 503,678 $107.97M 0.95%
39 BWX TECHNOLOGIES INC 526,365 $107.64M 0.94%
40 RAYMOND JAMES FINANCIAL INC. 740,804 $107.26M 0.94%
41 AUTOZONE INC 31,157 $105.24M 0.92%
42 EOG RESOURCES INC 726,708 $105.06M 0.92%
43 TERADYNE INC 346,402 $102.69M 0.90%
44 FABRINET 192,618 $100.45M 0.88%
45 REDDIT INC-A 727,716 $97.99M 0.86%
46 AXON ENTERPRISE INC 224,503 $95.34M 0.84%
47 ROLLINS INC 1,758,058 $93.90M 0.82%
48 JPMorgan Securities Lending Money Market Fund, Class Agency SL Shares 93,258,847 $93.26M 0.82%
49 BROADRIDGE FINL 563,781 $91.60M 0.80%
50 JPMorgan Prime Money Market Fund, IM Shares 86,085,180 $86.09M 0.75%
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