JPMorgan Small Cap Blend 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
VERADERMICS INC 0 152,456 152,456 0.66% $9.63M
DYCOM INDUSTRIES INC 0 20,107 20,107 0.46% $6.81M
PIPER SANDLER CO 0 81,408 81,408 0.42% $6.23M
PHILLIPS EDISON and CO INC 0 149,324 149,324 0.38% $5.59M
SILA REALTY TRUST INC 0 230,987 230,987 0.37% $5.47M
SPYRE THERAPEUTICS INC 0 107,050 107,050 0.37% $5.40M
PROCORE TECHNOLOGIES INC 0 89,075 89,075 0.35% $5.08M
SEMTECH CORP 0 64,142 64,142 0.34% $4.93M
IMAX Corporation COM NPV 0 115,843 115,843 0.30% $4.40M
SITIME CORP 0 10,273 10,273 0.24% $3.55M
TURNING POINT BRANDS INC 0 40,077 40,077 0.24% $3.48M
BROADSTONE NET LEASE INC 0 169,254 169,254 0.21% $3.09M
ALLIANCE LAUNDRY HOLDINGS INC 0 135,534 135,534 0.19% $2.81M
SPYGLASS PHARMA 0 95,508 95,508 0.17% $2.47M
GENERATE BIOMEDI 0 192,755 192,755 0.16% $2.41M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
PIPER SANDLER COS 34,977 0 -34,977 0.00% -$11.88M
HAMILTON LANE INC - A 60,607 0 -60,607 0.00% -$8.14M
KONTOOR BRANDS INC 115,365 0 -115,365 0.00% -$7.05M
ARCELLX INC 88,515 0 -88,515 0.00% -$5.77M
CLEARWATER ANALYTICS HOLDINGS INC 234,328 0 -234,328 0.00% -$5.65M
TENNANT CO 71,638 0 -71,638 0.00% -$5.28M
RLJ LODGING TRUST 672,871 0 -672,871 0.00% -$5.01M
IONQ INC 103,791 0 -103,791 0.00% -$4.66M
FIRST WATCH RESTAURANT GROUP INC 284,702 0 -284,702 0.00% -$4.29M
CORPORATE OFFICE PROPERTIES TR 151,154 0 -151,154 0.00% -$4.20M
TECHNIPFMC PLC 89,105 0 -89,105 0.00% -$3.97M
CIENA CORP 15,853 0 -15,853 0.00% -$3.71M
ARHAUS INC 322,691 0 -322,691 0.00% -$3.62M
ACV AUCTIONS INC CL A 360,957 0 -360,957 0.00% -$2.89M
HERITAGE COMMERCE CORP 233,408 0 -233,408 0.00% -$2.80M
ULTRAGENYX PHARMA INC 108,022 0 -108,022 0.00% -$2.48M
EVOLENT HEALTH INC A 435,297 0 -435,297 0.00% -$1.74M
UPSTART HOLDINGS INC 39,715 0 -39,715 0.00% -$1.74M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
DIGITALOCEAN HOLDINGS INC 162,245 167,341 5,096 0.98% $6.55M
WILEY JOHN&SON-A 311,124 344,344 33,220 0.89% $3.59M
APPLIED INDU TEC 47,187 47,215 28 0.85% $410.88K
ENSIGN GROUP INC 57,126 60,506 3,380 0.83% $2.24M
MEDIAALPHA INC CL A 767,940 1,310,477 542,537 0.83% $2.24M
OLD NATL BANCORP 518,213 548,876 30,663 0.83% $568.83K
FIRSTCASH HOLDINGS INC 61,440 63,317 1,877 0.81% $2.11M
BLOOM ENERGY CORP CL A 80,416 86,439 6,023 0.80% $4.72M
MAGNOLIA OIL and GAS CORPO CL A 349,691 370,383 20,692 0.80% $4.04M
SELECTIVE INSURANCE GROUP INC 141,891 150,287 8,396 0.77% -$541.88K
RADIAN GROUP INC 306,879 325,038 18,159 0.73% -$292.32K
SCANSOURCE INC 237,458 293,775 56,317 0.73% $1.39M
LIVANOVA PLC 156,551 165,815 9,264 0.72% $906.62K
CARS.COM INC 723,384 1,290,993 567,609 0.71% $1.66M
HB FULLER CO 158,305 167,672 9,367 0.70% $929.19K
ONE GAS INC 117,483 118,864 1,381 0.70% $1.16M
STAGWELL INC 1,548,442 1,621,015 72,573 0.69% $2.62M
SANMINA CORP 9,930 77,604 67,674 0.69% $8.57M
MATADOR RESOURCES COMPANY 149,939 158,811 8,872 0.68% $3.67M
DONNELLEY FINANCIAL SOLUTIONS INC 202,756 212,259 9,503 0.68% $539.21K
QCR HOLDINGS INC 108,692 115,123 6,431 0.67% $783.22K
INSIGHT ENTERPRISES INC 122,337 146,320 23,983 0.67% -$161.89K
VSE CORP 47,567 52,837 5,270 0.66% $1.52M
PROVIDENT FINANCIAL SVCS INC 433,954 459,632 25,678 0.66% $1.16M
SAFETY INSURANCE GROUP INC 126,358 133,835 7,477 0.66% -$122.78K
STERLING INFRASTRUCTURE INC 20,361 22,776 2,415 0.63% $3.04M
WESBANCO INC 246,393 260,973 14,580 0.61% $810.86K
SOUTHSTATE BANK CORP 90,340 95,686 5,346 0.60% $350.97K
RALLIANT CORP 105,841 202,947 97,106 0.57% $3.05M
WSFS FINANCIAL CORP 120,785 127,933 7,148 0.57% $1.70M
COLUMBIA BANKING SYSTEMS INC 286,751 303,718 16,967 0.57% $316.29K
GRAHAM HOLDINGS CO 7,383 7,820 437 0.56% $156.81K
MCGRATH RENTCORP 70,030 74,174 4,144 0.56% $831.66K
ENCOMPASS HEALTH CORP 79,428 84,127 4,699 0.55% -$292.88K
STONEX GROUP INC 70,938 100,857 29,919 0.55% $1.39M
CNX RESOURCES CORP 196,493 208,120 11,627 0.55% $797.98K
SIMMONS FIRST -A 385,619 408,437 22,818 0.54% $675.18K
ENPRO INDUSTRIES INC 29,582 31,333 1,751 0.53% $1.52M
UNITIL CORP 148,375 150,119 1,744 0.53% $654.93K
PORTLAND GENERAL ELECTRIC CO 145,329 147,037 1,708 0.53% $784.80K
CAMDEN NATIONAL CORP 153,095 162,154 9,059 0.52% $1.05M
SABRA HEALTHCARE REIT INC 394,962 399,604 4,642 0.52% $203.80K
CHESAPEAKE UTILITIES CORP 60,042 60,748 706 0.52% $185.88K
PATRICK INDUSTRIES INC 65,509 68,579 3,070 0.52% $513.93K
AVIENT CORP 199,742 209,104 9,362 0.52% $1.35M
INDEPENDENT BANK CORP 213,373 225,999 12,626 0.51% $584.74K
GROUP 1 AUTOMOTIVE INC 21,122 22,372 1,250 0.50% -$910.43K
CHORD ENERGY CORP 48,864 51,755 2,891 0.50% $2.83M
WEATHERFORD INTERNATIONAL PLC 71,506 75,737 4,231 0.49% $1.57M
CRINETICS PHARMACEUTICALS INC 144,288 196,184 51,896 0.49% $408.80K
ESSENTIAL PROPERTIES REALTY TRUST INC 230,618 233,328 2,710 0.48% $243.71K
M/I HOMES INC 54,573 57,802 3,229 0.48% $95.24K
FIRST MERCHANTS CORP 171,686 181,845 10,159 0.48% $608.07K
FIRST COMMONWEALTH FINL CORP 360,290 381,609 21,319 0.46% $634.20K
CONCENTRA GROUP HOLDINGS PARENT INC 294,889 312,338 17,449 0.46% $896.23K
MYERS INDUSTRIES 216,405 305,776 89,371 0.44% $2.43M
MIRION TECHNOLOGIES INC-A 186,453 347,979 161,526 0.44% $2.10M
AMER STATES WATE 84,452 85,445 993 0.44% $340.27K
WYNDHAM HOTELS and RESORTS INC 74,458 79,178 4,720 0.44% $805.58K
HAYWARD HOLDINGS INC 444,683 470,995 26,312 0.43% -$568.44K
IDACORP INC 43,345 43,854 509 0.43% $784.06K
TRICO BANCSHARES 122,422 129,666 7,244 0.42% $365.19K
BANCFIRST CORP 53,335 56,491 3,156 0.42% $474.70K
APPLE HOSPITALITY REIT INC 381,802 528,274 146,472 0.41% $1.56M
UFP INDUSTRIES INC 62,631 65,566 2,935 0.41% $337.39K
INDEPENDENCE REALTY TR INC 400,419 405,125 4,706 0.41% -$967.01K
BRIDGEBIO PHARMA INC 69,517 78,655 9,138 0.40% $523.56K
EASTERLY GOVERNMENT PROPERTIES INC 226,077 272,485 46,408 0.40% $1.05M
ASSOCIATED BANC CORP 210,795 223,268 12,473 0.39% $343.63K
MSA SAFETY INC 33,114 35,215 2,101 0.39% $470.62K
MARTEN TRANSPORT LTD 410,127 434,395 24,268 0.39% $1.04M
ICU MEDICAL INC 41,010 43,437 2,427 0.38% -$241.01K
PRESTIGE CONSUMER HEALTHCARE INC 88,206 93,426 5,220 0.38% $95.93K
URBAN OUTFITTERS 82,131 86,991 4,860 0.38% -$670.30K
INNOSPEC INC 70,873 75,067 4,194 0.37% $56.77K
HIGHWOODS PROPERTIES INC 249,839 252,775 2,936 0.37% -$1.04M
NBT BANCORP INC 116,276 123,157 6,881 0.36% $416.25K
Dole Public Limited Company 360,291 364,525 4,234 0.35% -$191.70K
SOUTHWEST GAS HOLDINGS INC 58,926 59,619 693 0.35% $465.63K
TORO CO 51,650 54,071 2,421 0.34% $986.51K
CITY HOLDING CO 39,626 41,971 2,345 0.34% $292.95K
VIRTUS INVESTMENT PARTNERS 34,869 36,932 2,063 0.34% -$727.06K
INMODE LTD 334,875 354,690 19,815 0.33% -$67.15K
REYNOLDS CONSUMER PRODUCTS INC 224,094 226,728 2,634 0.33% -$334.14K
CADRE HOLDINGS I 144,019 152,541 8,522 0.32% -$1.20M
INTERPARFUMS INC 49,715 50,299 584 0.31% $351.84K
KADANT INC 14,745 15,617 872 0.31% $363.01K
SERVISFIRST BANCSHARES INC 56,601 62,249 5,648 0.31% $470.21K
Sportradar Holding AG 243,388 266,320 22,932 0.30% -$1.33M
LEVI STRAUSS and COMPANY CL A 216,679 239,370 22,691 0.30% -$67.97K
BRINKER INTL 29,131 30,854 1,723 0.30% $224.14K
YETI HOLDINGS INC 113,558 118,880 5,322 0.30% -$666.04K
KORN FERRY 42,617 61,070 18,453 0.26% $1.03M
FIGURE TECHNOLOGY SOLUTIONS INC A 106,624 112,138 5,514 0.26% -$547.44K
WAYSTAR HOLDING CORP 133,319 152,249 18,930 0.25% -$695.47K
ATMUS FILTRATION TECHNOLOGIES INC 59,028 62,521 3,493 0.24% $485.17K
MERITAGE HOMES CORP 51,790 54,855 3,065 0.23% -$15.55K
LA-Z-BOY INC 96,443 102,149 5,706 0.22% -$311.36K
HILLMAN SOLUTIONS CORP 365,354 386,973 21,619 0.22% $55.65K
DORMAN PRODUCTS INC 25,350 26,850 1,500 0.19% -$320.80K
AMERICAN HEALTHCARE REIT INC 58,397 59,083 686 0.19% $38.19K
OLD SECOND BNCRP 119,682 126,764 7,082 0.17% $221.76K
PETCO HEALTH AND WELLNESS CO INC 838,710 888,338 49,628 0.17% $112.80K
BRUKER CORP 59,196 62,699 3,503 0.15% -$524.04K
HAWKINS INC 13,393 14,185 792 0.15% $276.21K
NAVITAS SEMICONDUCTOR CORP 119,706 186,363 66,657 0.11% $779.70K
LUMEXA IMAGING H 132,510 181,532 49,022 0.11% -$890.26K
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
JPMorgan Securities Lending Money Market Fund, Class Agency SL Shares 77,206,297 36,044,403 -41,161,893 2.45% -$41.16M
FABRINET 34,331 32,541 -1,790 1.16% $1.34M
JPMorgan Prime Money Market Fund, IM Shares 23,918,550 16,028,854 -7,889,696 1.09% -$7.90M
NEXTRACKER INC CL A 127,345 104,063 -23,282 0.85% $1.45M
SPX TECHNOLOGIES INC 62,881 59,601 -3,280 0.81% -$663.35K
MODINE MFG CO 64,348 54,092 -10,256 0.80% $3.13M
VICOR CORPORATION 94,445 61,747 -32,698 0.68% -$409.90K
APOGEE THERAPEUTICS INC 126,048 113,530 -12,518 0.65% $41.72K
RUSH ENTERPRISES INC CL A 139,339 132,071 -7,268 0.59% $1.22M
MKS INSTRUMENTS INC 39,330 37,277 -2,053 0.58% $2.28M
CHEFS WAREHOUSE INC 153,779 141,655 -12,124 0.57% -$1.16M
KODIAK GAS SERVICES INC 162,173 144,200 -17,973 0.57% $2.34M
KITE REALTY GROUP TRUST 458,431 341,653 -116,778 0.57% -$2.60M
INGRAM MICRO HOL 345,193 342,033 -3,160 0.54% $606.37K
PRIMORIS SVCS CORP 58,412 55,365 -3,047 0.54% $668.14K
NUVALENT INC-A 78,474 74,381 -4,093 0.52% -$273.37K
TERRENO REALTY CORP 193,211 122,393 -70,818 0.51% -$3.83M
XENON PHARMACEUTICALS INC 162,284 128,976 -33,308 0.51% $226.39K
ALLEGRO MICROSYSTEMS INC 243,361 230,667 -12,694 0.50% $853.07K
AMERIS BANCORP 107,988 92,735 -15,253 0.49% -$787.87K
RHYTHM PHARMACEUTICALS INC 86,982 82,444 -4,538 0.49% -$2.14M
AZZ INC 59,637 57,120 -2,517 0.49% $755.53K
SIONNA THERAPEUTICS INC 187,954 178,151 -9,803 0.49% -$590.35K
BOYD GAMING CORP 91,557 86,781 -4,776 0.49% -$672.66K
CASELLA WASTE SYS INC CL A 94,255 89,338 -4,917 0.48% -$2.14M
JFROG LTD 159,203 150,898 -8,305 0.48% -$2.86M
MUELLER INDUSTRIES INC 68,518 63,295 -5,223 0.48% -$852.78K
TERNS PHARMACEUTICALS INC 139,850 132,555 -7,295 0.48% $1.34M
CREDO TECHNOLOGY GROUP HOLDING LTD 78,304 74,221 -4,083 0.47% -$4.30M
RAMBUS INC 92,510 79,354 -13,156 0.46% -$1.67M
MACOM TECHNOLOGY SOLUTIONS HOLDINGS INC 32,255 30,573 -1,682 0.46% $1.26M
LITTELFUSE INC 20,910 19,820 -1,090 0.46% $1.44M
JOHN BEAN TECHNOLOGIES CORP 54,964 52,098 -2,866 0.45% -$1.62M
QUAKER HOUGHTON 58,188 53,177 -5,011 0.45% -$1.38M
ALKERMES PLC 226,849 181,535 -45,314 0.44% $71.84K
ONTO INNOVATION INC 31,919 30,253 -1,666 0.42% $1.17M
CLEAR SECURE INC 135,160 128,111 -7,049 0.42% $1.46M
SIMPSON MFG 38,032 36,048 -1,984 0.42% $45.53K
LCI INDUSTRIES 57,732 49,846 -7,886 0.42% -$875.14K
LIFE TIME GROUP HOLDINGS INC 238,129 225,708 -12,421 0.41% -$248.90K
CACTUS INC CL A 133,793 126,815 -6,978 0.41% -$104.44K
DISC MEDICINE INC 98,313 93,185 -5,128 0.41% -$1.85M
WARBY PARKER INC 345,536 277,619 -67,917 0.40% -$1.68M
LB PHARMACEUTICALS INC 248,406 235,450 -12,956 0.40% $276.68K
BLACKLINE INC 164,636 156,048 -8,588 0.39% -$3.33M
IMMUNOME INC 277,386 262,917 -14,469 0.39% -$208.26K
ESAB CORP 62,619 59,004 -3,615 0.39% -$1.29M
DYNE THERAPEUTICS INC 330,107 312,889 -17,218 0.39% -$784.22K
IRHYTHM TECHNOLOGIES INC 50,492 47,859 -2,633 0.38% -$3.31M
OSI SYSTEMS INC 22,437 21,266 -1,171 0.38% -$76.45K
GULFPORT ENERGY CORP 27,847 26,395 -1,452 0.38% -$207.51K
VAXCYTE INC 101,019 95,750 -5,269 0.38% $903.02K
LANTHEUS HOLDING 75,802 71,848 -3,954 0.37% $405.05K
PLEXUS CORP 41,676 26,833 -14,843 0.37% -$691.62K
VALMONT INDUSTRIES INC 14,099 13,364 -735 0.36% -$332.46K
PENNYMAC FINANCIAL SERVICES INC 113,017 57,921 -55,096 0.34% -$9.84M
ITT INC 44,592 26,510 -18,082 0.34% -$2.69M
SAIA INC 15,050 14,265 -785 0.34% $96.88K
EAGLE MATERIALS INC 33,389 26,372 -7,017 0.34% -$1.90M
HEXCEL CORPORATION 64,476 61,114 -3,362 0.34% $181.18K
COMPASS INC - A 711,058 673,968 -37,090 0.34% -$2.59M
LUMEN TECHNOLOGIES INC 747,258 708,281 -38,977 0.34% -$883.64K
NEWAMSTERDAM PHARMA COMPANY NV 152,888 144,914 -7,974 0.32% -$724.61K
EVOMMUNE INC 202,069 198,713 -3,356 0.31% $1.11M
KRATOS DEFENSE and SEC SOLTN INC 66,651 63,175 -3,476 0.30% -$605.01K
MOOG INC-CLASS A 23,500 15,120 -8,380 0.30% -$1.30M
CYTOKINETICS INC 88,460 65,424 -23,036 0.29% -$1.31M
MERIT MEDICAL SYSTEMS INC 64,844 61,461 -3,383 0.29% -$1.48M
BOX INC- CLASS A 185,827 176,134 -9,693 0.28% -$1.39M
TANGER INC- REIT 240,596 121,855 -118,741 0.28% -$3.89M
EVERCORE INC A 18,591 13,245 -5,346 0.27% -$2.37M
BRIGHT HORIZONS FAMILY SOLUTIONS INC 50,467 47,835 -2,632 0.27% -$1.19M
KARMAN HOLDINGS INC 74,789 49,018 -25,771 0.27% -$1.55M
HEALTHEQUITY INC 49,488 46,907 -2,581 0.27% -$613.58K
PLANET FITNESS INC CL A 63,533 52,513 -11,020 0.27% -$2.99M
CENTERSPACE 77,088 67,244 -9,844 0.26% -$1.28M
OLLIES BARGAIN OUTLET HOLDINGS INC 44,097 41,796 -2,301 0.26% -$986.57K
James Hardie Industries Public Limited Company 212,034 200,974 -11,060 0.26% -$593.26K
TRANSMEDICS GROUP INC 45,341 37,629 -7,712 0.25% -$1.78M
BILLIONTOONE INC 47,827 47,033 -794 0.25% -$201.38K
JOBY AVIATION INC 473,653 448,946 -24,707 0.25% -$2.54M
VISTEON CORP 42,770 40,538 -2,232 0.25% -$374.01K
ANGI INC 584,057 530,392 -53,665 0.25% -$3.92M
WESCO INTL 29,732 13,254 -16,478 0.25% -$3.65M
REGENXBIO INC 451,226 427,691 -23,535 0.24% -$2.91M
LEMONADE INC 59,895 56,771 -3,124 0.24% -$704.92K
UNIFIRST CORP/MA 18,330 13,888 -4,442 0.24% -$41.78K
EXLSERVICE HOLDINGS INC 120,106 110,747 -9,359 0.23% -$1.73M
LITHIA MOTORS INC CL A 16,818 13,120 -3,698 0.22% -$2.31M
SYNAPTICS INC 81,988 46,021 -35,967 0.22% -$2.85M
VERRA MOBILITY CORP 276,418 222,320 -54,098 0.22% -$3.02M
SENTINELONE INC 258,291 244,820 -13,471 0.21% -$721.08K
GLAUKOS CORP 61,629 28,094 -33,535 0.21% -$3.93M
HINGE HEALTH INC 79,836 75,671 -4,165 0.20% -$790.51K
BRAZE INC-A 126,303 119,715 -6,588 0.19% -$1.50M
WOLVERINE WORLD WIDE INC 216,791 161,587 -55,204 0.18% -$1.30M
VERTEX INC - CLASS A 228,872 216,934 -11,938 0.18% -$1.99M
AAON INC 32,219 30,538 -1,681 0.17% $70.32K
COMMVAULT SYSTEMS INC 34,220 32,435 -1,785 0.17% -$1.76M
GLOBAL-E ONLINE LTD 85,506 81,046 -4,460 0.17% -$860.97K
AGILYSYS INC 36,648 34,736 -1,912 0.17% -$1.88M
VARONIS SYSTEMS INC 115,610 109,580 -6,030 0.16% -$1.44M
VIKING THERAPEUTICS INC 71,749 68,006 -3,743 0.15% -$311.21K
AEROVIRONMENT INC 26,772 11,886 -14,886 0.15% -$4.30M
FIREFLY AEROSPACE INC 79,693 75,536 -4,157 0.15% $367.78K
CARIS LIFE SCIENCES INC 123,200 116,774 -6,426 0.14% -$1.24M
APPLIED DIGITAL CORP 90,414 85,699 -4,715 0.14% -$182.46K
UNIQURE N.V. 130,920 124,090 -6,830 0.14% -$1.10M
WINGSTOP INC 13,285 12,591 -694 0.13% -$1.22M
THERMON GROUP HOLDINGS INC 108,510 31,082 -77,428 0.11% -$2.47M
HIMS & HERS HEAL 75,680 71,733 -3,947 0.10% -$968.15K
GITLAB INC-CL A 70,904 67,206 -3,698 0.10% -$1.21M
D-WAVE QUANTUM INC 105,273 99,782 -5,491 0.10% -$1.31M
RIGETTI COMPUTING INC A 107,884 102,257 -5,627 0.10% -$953.94K
HEARTFLOW INC 83,482 44,049 -39,433 0.07% -$1.36M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
PRIMO BRANDS CORP A 192,411 192,411 0 0.25% $477.18K

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