OIEIX
JPMorgan Equity Income Fund
JPMorgan Trust II

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
META PLATFORMS INC CL A 0 1,030,629 1,030,629 1.43% $589.65M
US BANCORP DEL 0 6,949,845 6,949,845 0.88% $361.46M
INTUIT INC 0 575,944 575,944 0.60% $249.03M
THE BOOKING HOLDINGS INC 0 47,891 47,891 0.49% $201.64M
SHERWIN WILLIAMS CO 0 331,340 331,340 0.26% $106.21M
AON PLC 0 329,001 329,001 0.26% $106.19M
CANADIAN PACIFIC KANSAS CITY LTD 0 1,147,018 1,147,018 0.22% $90.22M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
FIDELITY NATL INFORM SVCS INC 6,325,884 0 -6,325,884 0.00% -$420.42M
DIGITAL REALTY TRUST INC 1,316,474 0 -1,316,474 0.00% -$203.67M
PUB SERV ENTERP 1,616,332 0 -1,616,332 0.00% -$129.79M
JPMorgan Securities Lending Money Market Fund, Class Agency SL Shares 6,744,400 0 -6,744,400 0.00% -$6.74M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
MORGAN STANLEY 4,174,287 4,878,168 703,881 1.95% $61.74M
SCHWAB CHARLES CORP 8,159,299 8,406,770 247,471 1.91% -$25.13M
CITIGROUP INC 5,395,603 6,237,986 842,383 1.71% $77.84M
MICROSOFT CORP 1,791,719 1,794,835 3,116 1.61% -$202.12M
MERCK & CO 5,071,770 5,376,855 305,085 1.57% $112.93M
NEXTERA ENERGY INC 6,247,471 6,268,693 21,222 1.41% $80.69M
XCEL ENERGY INC 6,417,962 6,873,422 455,460 1.32% $71.99M
CME GROUP INC CL A 1,544,266 1,830,375 286,109 1.31% $118.89M
WALT DISNEY CO/T 2,227,178 5,485,152 3,257,974 1.28% $275.27M
UNITEDHEALTH GRP 1,417,550 1,640,666 223,116 1.08% -$24.00M
CARRIER GLOBAL CORP 6,014,059 7,763,957 1,749,898 1.06% $119.41M
NXP SEMICONDUCTORS NV 2,057,683 2,200,827 143,144 1.05% -$13.39M
DANAHER CORP 1,930,573 2,228,599 298,026 1.02% -$19.40M
MONDELEZ INTL INC 6,596,805 6,708,593 111,788 0.94% $31.58M
BRISTOL-MYERS SQUIBB CO 5,942,568 6,190,077 247,509 0.91% $54.89M
MEDTRONIC PLC 3,789,109 4,063,938 274,829 0.85% -$11.84M
CMS ENERGY CORP 4,321,869 4,486,133 164,264 0.84% $45.81M
INTL BUS MACH CORP 716,743 1,404,653 687,910 0.83% $128.17M
REPUBLIC SVCS 1,015,475 1,212,655 197,180 0.64% $50.39M
AMERICAN TOWER CORP 1,221,912 1,296,603 74,691 0.54% $9.24M
LILLY ELI and CO 192,912 230,899 37,987 0.51% $5.06M
JPMorgan Prime Money Market Fund, IM Shares 129,173,906 194,815,459 65,641,553 0.47% $65.61M
ACCENTURE PLC CL A 336,735 369,463 32,728 0.18% -$17.09M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
WELLS FARGO & CO 16,662,613 14,258,749 -2,403,864 2.75% -$417.82M
ALPHABET INC CL C 3,752,029 3,670,334 -81,695 2.55% -$124.51M
CONOCOPHILLIPS 9,569,605 7,952,162 -1,617,443 2.54% $153.87M
JOHNSON&JOHNSON 4,354,059 4,173,881 -180,178 2.47% $119.19M
CHEVRON CORP 5,320,417 4,830,199 -490,218 2.42% $188.48M
PHILIP MORRIS INTL INC 6,224,034 5,721,860 -502,174 2.29% -$52.28M
EATON CORP PLC 2,511,127 2,495,016 -16,111 2.16% $92.57M
BANK OF AMERICA CORPORATION 22,125,482 17,473,213 -4,652,269 2.06% -$365.08M
UNION PACIFIC CORP 3,552,307 3,442,257 -110,050 2.02% $13.44M
GENERAL DYNAMICS CORPORATION 2,422,919 2,228,616 -194,303 1.85% -$50.79M
RTX CORP 4,135,410 3,782,747 -352,663 1.77% -$28.74M
AIR PRODUCTS and CHEMICALS INC 3,034,535 2,467,761 -566,774 1.74% -$32.73M
DEERE & CO 1,572,402 1,269,036 -303,366 1.73% -$17.22M
MCDONALDS CORP 2,364,330 2,266,490 -97,840 1.71% -$18.21M
BANK OF NEW YORK MELLON CORP 6,437,568 5,929,889 -507,679 1.71% -$43.87M
ANALOG DEVICES INC 2,580,226 2,129,337 -450,889 1.64% -$22.33M
EOG RESOURCES INC 5,098,408 4,626,167 -472,241 1.62% $133.42M
LOWES COS INC 3,203,426 2,760,685 -442,741 1.58% -$120.24M
DOVER CORP 3,381,413 3,052,962 -328,451 1.54% -$23.80M
CORNING INC 5,741,123 4,428,168 -1,312,955 1.46% $99.41M
AMERICAN EXPRESS CO 2,105,660 1,913,276 -192,384 1.40% -$200.26M
TEXAS INSTRUMENTS INC 3,305,931 2,977,904 -328,027 1.40% $4.58M
CAPITAL ONE FINANCIAL CORP 3,375,612 3,142,617 -232,995 1.39% -$244.81M
DOMINION ENERGY INC 9,574,623 9,260,447 -314,176 1.39% $11.50M
HOME DEPOT INC 1,706,905 1,695,499 -11,406 1.35% -$29.71M
HEWLETT PACKARD ENTERPRISE CO 24,439,261 23,133,448 -1,305,813 1.34% -$36.22M
WALMART INC 5,581,997 4,387,974 -1,194,023 1.32% -$76.55M
PROCTER & GAMBLE 3,625,494 3,475,465 -150,029 1.22% -$17.57M
TJX COS INC 3,549,842 3,125,383 -424,459 1.21% -$46.17M
ABBVIE INC 2,471,355 2,277,434 -193,921 1.20% -$69.36M
GOLDMAN SACHS GROUP INC 716,328 567,044 -149,284 1.16% -$149.94M
COCA-COLA CO/THE 6,547,252 6,276,317 -270,935 1.16% $19.60M
3M CO 3,530,369 2,864,676 -665,693 1.01% -$149.18M
VENTAS INC REIT 5,306,437 5,022,301 -284,136 1.00% $111.68K
CVS HEALTH CORP 6,567,155 5,437,189 -1,129,966 0.95% -$130.67M
SEAGATE TECHNOLOGY HOLDINGS PLC 1,445,977 982,530 -463,447 0.93% -$13.29M
THE CIGNA GROUP 1,595,618 1,386,899 -208,719 0.90% -$69.21M
ARTHUR J GALLAGHAR AND CO 1,734,392 1,677,480 -56,912 0.88% -$85.53M
PROLOGIS INC REIT 2,775,518 2,660,662 -114,856 0.85% -$2.64M
VERIZON COMMUNICATIONS INC 7,295,154 6,993,269 -301,885 0.85% $53.93M
ABBOTT LABS 3,370,312 3,230,843 -139,469 0.80% -$90.56M
COMCAST CORP CL A 11,759,004 10,512,174 -1,246,830 0.73% -$49.67M
YUM! BRANDS INC 1,828,683 1,753,009 -75,674 0.66% -$4.09M
PROGRESSIVE CORP OHIO 1,935,757 1,345,275 -590,482 0.65% -$174.12M
TRAVELERS COS IN 1,084,220 883,240 -200,980 0.62% -$56.87M
CHUBB LTD 806,867 773,477 -33,390 0.61% $260.03K
PACKAGING CORP OF AMERICA 1,194,824 1,145,381 -49,443 0.59% -$3.34M
QUEST DIAGNOSTICS INC 1,243,796 1,192,326 -51,470 0.57% $17.84M
LAM RESEARCH CORP 1,263,505 902,754 -360,751 0.47% -$23.40M
BECTON DICKINSON and CO 1,189,917 1,140,677 -49,240 0.43% -$51.58M
BLACKSTONE INC 2,635,330 1,362,885 -1,272,445 0.38% -$249.49M
PEPSICO INC 2,042,689 903,362 -1,139,327 0.34% -$152.88M
ARES MANAGEMENT CORP CL A 2,274,273 1,217,789 -1,056,484 0.32% -$234.73M
AVALONBAY COMMUNITIES INC REIT 953,702 778,106 -175,596 0.31% -$45.81M
BLACKROCK INC 280,093 122,419 -157,674 0.29% -$182.06M
CENCORA INC 820,602 340,808 -479,794 0.26% -$170.10M
NIKE INC CL B 4,854,727 1,235,662 -3,619,065 0.16% -$244.03M
NORFOLK SOUTHERN CORP 982,356 191,547 -790,809 0.13% -$228.65M

No positions in this category.

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