JSERX
JPMorgan Small Cap Equity 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
Russell 2000 ETF 0 124,248 124,248 1.05% $30.81M
SOLSTICE ADV MAT 0 371,214 371,214 0.97% $28.27M
FORGENT POWER SOLUTIONS INC 0 781,464 781,464 0.78% $22.87M
ELF BEAUTY INC 0 306,310 306,310 0.63% $18.57M
MANHATTAN ASSOCIATES INC 0 135,818 135,818 0.62% $18.08M
LIBERTY ENERGY INC CL A 0 568,253 568,253 0.56% $16.37M
LEGENCE CORP-A 0 276,637 276,637 0.53% $15.62M
FIGURE TECHNOLOGY SOLUTIONS INC A 0 432,083 432,083 0.50% $14.67M
TYLER TECHNOLOGIES INC 0 39,340 39,340 0.46% $13.47M
XOMETRY INC-A 0 327,531 327,531 0.46% $13.38M
DIGITALOCEAN HOLDINGS INC 0 135,073 135,073 0.40% $11.59M
RIDGEPOST CAPITAL INC 0 1,133,207 1,133,207 0.28% $8.23M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
CLEARWATER ANALYTICS HOLDINGS INC 1,245,183 0 -1,245,183 0.00% -$30.03M
SPS COMMERCE INC 222,291 0 -222,291 0.00% -$19.81M
FORTUNE BRANDS INNOVATIONS INC 361,222 0 -361,222 0.00% -$18.07M
BRP GROUP INC-A 719,033 0 -719,033 0.00% -$17.28M
CUBESMART 445,083 0 -445,083 0.00% -$16.05M
VAIL RESORTS INC 103,873 0 -103,873 0.00% -$13.79M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
JPMorgan Prime Money Market Fund, IM Shares 78,597,959 81,329,104 2,731,145 2.78% $2.71M
EVERCORE INC A 130,808 133,555 2,747 1.36% -$4.64M
COLLIERS-SUBORD 289,854 371,368 81,514 1.35% -$2.92M
BADGER METER INC 206,159 253,196 47,037 1.32% $2.62M
LOAR HOLDINGS INC 341,934 659,846 317,912 1.29% $14.55M
STEPSTONE GROUP INC CLASS A 622,027 772,391 150,364 1.26% -$3.06M
PLANET FITNESS INC CL A 390,896 472,653 81,757 1.20% -$7.24M
MORNINGSTAR INC 196,932 206,977 10,045 1.19% -$7.81M
KINSALE CAPITAL GROUP INC 89,980 102,356 12,376 1.19% -$222.03K
CUSHMAN and WAKEFIELD LTD 2,581,712 2,786,053 204,341 1.17% -$7.64M
HEALTHEQUITY INC 378,820 399,147 20,327 1.14% -$1.35M
FIRST HORIZON CORP 613,287 1,449,659 836,372 1.13% $18.34M
POOL CORP 138,344 158,971 20,627 1.10% $518.41K
MIDDLEBY CORP 100,978 220,749 119,771 1.00% $14.25M
MIAMI INTERNATIONAL HOLDINGS INC 505,926 714,295 208,369 0.95% $5.35M
PERIMETER SOLUTIONS SA 812,583 1,075,642 263,059 0.90% $3.90M
MOELIS & CO-CL A 309,196 450,421 141,225 0.88% $4.42M
CHEFS WAREHOUSE INC 274,543 423,108 148,565 0.86% $8.04M
BEL FUSE INC NV CL B 84,839 121,735 36,896 0.82% $9.71M
VERRA MOBILITY CORP 1,483,062 1,512,578 29,516 0.74% -$11.62M
KARMAN HOLDINGS INC 258,742 268,887 10,145 0.73% $2.59M
NEPTUNE INSURANCE HOLDINGS INC 571,994 850,453 278,459 0.70% $3.89M
DIGI INTL INC 322,629 422,246 99,617 0.69% $6.39M
ALLIANCE LAUNDRY HOLDINGS INC 879,468 939,108 59,640 0.66% $1.58M
JANUS INTERNATIONAL GROUP INC 3,418,808 3,691,701 272,893 0.65% -$3.35M
ANDERSEN GROUP-A 539,002 607,095 68,093 0.56% $2.54M
WEALTHFRONT CORP 1,176,484 1,770,713 594,229 0.56% $390.68K
MEDPACE HOLDINGS INC 26,464 31,070 4,606 0.51% $56.00K
Accelerant Holdings, Class A 1,026,888 1,068,414 41,526 0.49% -$2.52M
NCINO INC 686,784 897,748 210,964 0.46% -$4.16M
DOXIMITY INC-A 507,404 531,735 24,331 0.42% -$10.08M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
JPMorgan Securities Lending Money Market Fund, Class Agency SL Shares 116,658,850 78,373,732 -38,285,118 2.68% -$38.29M
ELEMENT SOLUTIONS INC 1,986,276 1,380,305 -605,971 1.61% -$2.51M
HAYWARD HOLDINGS INC 3,898,330 3,439,735 -458,595 1.57% -$14.21M
MODINE MFG CO 290,064 201,528 -88,536 1.49% $4.95M
MSA SAFETY INC 399,257 260,471 -138,786 1.46% -$21.23M
FABRINET 80,783 78,816 -1,967 1.40% $4.33M
RBC BEARINGS INC 103,394 74,567 -28,827 1.38% -$5.87M
BRIGHT HORIZONS FAMILY SOLUTIONS INC 467,789 461,041 -6,748 1.29% -$9.57M
MACOM TECHNOLOGY SOLUTIONS HOLDINGS INC 324,764 170,275 -154,489 1.29% -$17.81M
NOVANTA INC 418,471 318,690 -99,781 1.28% -$12.15M
APPLIED INDU TEC 145,561 141,553 -4,008 1.28% $181.14K
CULLEN FROST BANKERS INC 298,565 268,253 -30,312 1.26% -$1.04M
WINTRUST FINL 308,757 262,639 -46,118 1.25% -$6.68M
RYMAN HOSPITALITY PPTYS INC 458,435 392,609 -65,826 1.24% -$7.15M
ENVISTA HOLDINGS CORP 1,859,305 1,422,496 -436,809 1.23% -$4.28M
CORE & MAIN IN-A 839,542 729,042 -110,500 1.23% -$7.62M
WILLSCOT MOBILE MINI HOLDINGS CORP 2,473,481 2,002,910 -470,571 1.19% -$11.81M
CASELLA WASTE SYS INC CL A 470,711 437,342 -33,369 1.18% -$11.40M
MARKETAXESS HLDGS INC 243,473 210,267 -33,206 1.18% -$9.44M
WYNDHAM HOTELS and RESORTS INC 503,671 416,213 -87,458 1.15% -$4.25M
SM ENERGY CO 1,517,875 1,044,264 -473,611 1.11% $4.18M
COMMERCE BCSHS 690,005 657,633 -32,372 1.10% -$3.76M
ENCOMPASS HEALTH CORP 354,958 323,896 -31,062 1.07% -$6.34M
BALCHEM CORP 240,700 177,413 -63,287 1.03% -$6.85M
POWER INTEGRATIONS INC 915,886 579,155 -336,731 1.01% -$2.90M
PRIMO BRANDS CORP A 1,813,896 1,511,764 -302,132 0.97% -$1.19M
ALLEGRO MICROSYSTEMS INC 1,176,177 902,307 -273,870 0.97% -$2.58M
ICU MEDICAL INC 254,881 219,853 -35,028 0.97% -$7.97M
WSFS FINANCIAL CORP 504,246 414,181 -90,065 0.93% -$742.26K
HILLMAN SOLUTIONS CORP 3,231,322 3,144,491 -86,831 0.89% -$1.82M
PERFORMANCE FOOD GROUP CO 400,624 305,211 -95,413 0.89% -$9.88M
EAGLE MATERIALS INC 186,377 135,534 -50,843 0.88% -$12.84M
CONCENTRA GROUP HOLDINGS PARENT INC 1,559,661 1,193,384 -366,277 0.87% -$5.10M
FIRST INTST BANCSYST INC CL A 780,300 765,734 -14,566 0.87% -$1.42M
DT MIDSTREAM INC 239,699 188,666 -51,033 0.87% -$3.28M
FIRST FIN BANCRP 1,009,351 892,800 -116,551 0.85% -$362.70K
PORTLAND GENERAL ELECTRIC CO 551,174 466,914 -84,260 0.84% -$1.81M
SERVISFIRST BANCSHARES INC 380,119 338,174 -41,945 0.84% -$2.66M
CACTUS INC CL A 839,340 509,272 -330,068 0.82% -$14.22M
SAIA INC 101,963 68,368 -33,595 0.82% -$9.28M
CHEMED CORP 90,179 63,190 -26,989 0.81% -$14.71M
PAYLOCITY HOLDING CORP 271,735 218,184 -53,551 0.80% -$17.87M
BANKUNITED INC 595,412 506,823 -88,589 0.78% -$3.65M
SHAKE SHACK INC - CLASS A 260,134 257,263 -2,871 0.78% $1.64M
MONARCH CASINO and RESORT INC 238,505 232,604 -5,901 0.76% -$587.99K
SIMPSON MFG 231,157 125,637 -105,520 0.74% -$15.76M
AAON INC 272,461 257,553 -14,908 0.73% $537.36K
EASTGROUP PROP 114,069 110,845 -3,224 0.70% $196.05K
ACUSHNET HOLDINGS CORP 256,931 216,462 -40,469 0.69% -$273.36K
LANDSTAR SYSTEM INC 241,454 125,081 -116,373 0.68% -$14.65M
FIRST ADVANTAGE CORP 1,961,362 1,687,521 -273,841 0.68% -$8.65M
FIRST HAWAIIAN INC 895,623 782,978 -112,645 0.66% -$3.37M
FRESHPET INC 404,732 319,708 -85,024 0.64% -$5.81M
FLOWCO HOLDINGS INC 1,189,259 905,393 -283,866 0.64% -$3.64M
QUALYS INC 210,352 208,079 -2,273 0.62% -$9.68M
UTZ BRANDS INC A 3,056,143 2,291,686 -764,457 0.62% -$13.57M
LINCOLN ELECTRIC HLDGS INC 118,269 70,903 -47,366 0.60% -$10.68M
QUAKER HOUGHTON 186,361 131,162 -55,199 0.56% -$9.29M
RLI CORP 444,683 278,832 -165,851 0.54% -$12.55M
CCC INTELLIGENT SOLUTIONS HOLD CL A 3,017,641 2,585,382 -432,259 0.53% -$8.48M
WARBY PARKER INC 851,786 728,331 -123,455 0.52% -$3.21M
APTARGROUP INC 189,517 116,295 -73,222 0.50% -$8.46M
GENTEX CORP 775,900 569,688 -206,212 0.42% -$5.61M
FIVE BELOW INC 98,698 50,407 -48,291 0.39% -$7.07M
DRIVEN BRANDS HOLDINGS INC 1,775,260 825,023 -950,237 0.36% -$15.91M
WOODWARD INC 30,424 22,379 -8,045 0.27% -$1.19M
BJS WHSL CLUB HLDGS INC 144,635 70,683 -73,952 0.24% -$6.06M
MOLINA HEALTHCARE INC 102,884 38,004 -64,880 0.17% -$12.79M

No positions in this category.

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