JVAIX
JPMorgan Value Advantage Fund
JPMorgan Trust I

Portfolio concentration

As of March 31, 2026 · N-PORT
Holdings
116
Top-10 weight
21.09%
Effective holdings ?
85
Crowding ?
1122.1

Holdings

As of March 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 BERKSHIRE HATH-B 614,186 $294.32M 3.64%
2 JPMorgan Prime Money Market Fund, IM Shares 216,007,368 $216.03M 2.67%
3 WELLS FARGO & CO 2,548,521 $202.89M 2.51%
4 JOHNSON&JOHNSON 639,852 $156.41M 1.93%
5 ABBVIE INC 703,992 $153.11M 1.89%
6 CAPITAL ONE FINANCIAL CORP 782,559 $142.76M 1.76%
7 CONOCOPHILLIPS 1,079,843 $142.54M 1.76%
8 PHILIP MORRIS INTL INC 861,341 $142.41M 1.76%
9 EOG RESOURCES INC 930,462 $134.52M 1.66%
10 TEXAS INSTRUMENTS INC 672,869 $130.63M 1.61%
11 AMAZON.COM INC 561,972 $117.04M 1.45%
12 STATE STREET CORP 911,454 $115.35M 1.43%
13 DOVER CORP 522,421 $108.90M 1.35%
14 EATON CORP PLC 300,929 $107.63M 1.33%
15 CHEVRON CORP 520,134 $107.62M 1.33%
16 WALT DISNEY CO/T 1,095,236 $105.56M 1.30%
17 THE CIGNA GROUP 383,185 $102.21M 1.26%
18 HEWLETT PACKARD ENTERPRISE CO 4,229,246 $100.70M 1.24%
19 META PLATFORMS INC CL A 175,441 $100.38M 1.24%
20 M&T BANK CORP 484,191 $100.09M 1.24%
21 CENCORA INC 317,138 $99.63M 1.23%
22 LOWES COS INC 411,978 $97.34M 1.20%
23 LOEWS CORP 908,673 $96.99M 1.20%
24 MCDONALDS CORP 308,010 $95.73M 1.18%
25 ALPHABET INC CL C 330,061 $94.68M 1.17%
26 NEXTERA ENERGY INC 1,015,003 $94.27M 1.17%
27 MERCK & CO 783,410 $94.24M 1.16%
28 LABCORP HOLDINGS INC 351,881 $93.89M 1.16%
29 XCEL ENERGY INC 1,170,581 $92.99M 1.15%
30 BANK OF AMERICA CORPORATION 1,873,107 $91.31M 1.13%
31 REGENERON PHARMACEUTICALS INC 118,100 $91.25M 1.13%
32 THE BOOKING HOLDINGS INC 21,627 $91.06M 1.13%
33 REGENCY CENTERS CORP REIT 1,154,411 $87.34M 1.08%
34 GENERAL DYNAMICS CORPORATION 245,990 $84.43M 1.04%
35 UNION PACIFIC CORP 345,753 $83.89M 1.04%
36 TRAVELERS COS IN 273,272 $79.71M 0.99%
37 AT&T INC 2,748,344 $79.67M 0.98%
38 CORPAY INC 266,215 $77.47M 0.96%
39 MID AMERICA APT CMNTY INC 632,903 $77.29M 0.96%
40 RTX CORP 399,117 $76.99M 0.95%
41 FEDEX CORP 212,406 $75.65M 0.93%
42 SCHWAB CHARLES CORP 795,495 $74.76M 0.92%
43 MEDTRONIC PLC 806,257 $69.86M 0.86%
44 PROCTER & GAMBLE 480,097 $69.35M 0.86%
45 WILLSCOT MOBILE MINI HOLDINGS CORP 3,975,509 $69.01M 0.85%
46 ANALOG DEVICES INC 216,047 $68.73M 0.85%
47 POST HOLDINGS INC 668,248 $66.06M 0.82%
48 PACKAGING CORP OF AMERICA 306,303 $65.00M 0.80%
49 JABIL INC 239,614 $63.65M 0.79%
50 EMERSON ELECTRIC CO 479,494 $62.82M 0.78%
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