0001752724-19-175655.txt : 20191125 0001752724-19-175655.hdr.sgml : 20191125 20191125081452 ACCESSION NUMBER: 0001752724-19-175655 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20190930 FILED AS OF DATE: 20191125 PERIOD START: 20200630 FILER: COMPANY DATA: COMPANY CONFORMED NAME: JPMorgan Trust I CENTRAL INDEX KEY: 0001217286 IRS NUMBER: 331043149 STATE OF INCORPORATION: DE FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-21295 FILM NUMBER: 191243784 BUSINESS ADDRESS: STREET 1: 277 PARK AVENUE CITY: NEW YORK STATE: NY ZIP: 10172 BUSINESS PHONE: 800-480-4111 MAIL ADDRESS: STREET 1: 277 PARK AVENUE CITY: NEW YORK STATE: NY ZIP: 10172 FORMER COMPANY: FORMER CONFORMED NAME: JP MORGAN MUTUAL FUND SERIES DATE OF NAME CHANGE: 20030204 0001217286 S000037359 JPMorgan SmartRetirement* Blend Income Fund C000115298 Class I JIJSX C000115299 Class R2 JIRBX C000115300 Class R5 JIBBX C000115301 Class R6 JIYBX C000186783 Class R3 JITLX C000186784 Class R4 JITKX NPORT-P 1 primary_doc.xml NPORT-P false 0001217286 XXXXXXXX S000037359 C000115300 C000115298 C000186783 C000186784 C000115301 C000115299 JPMorgan Trust I 811-21295 0001217286 549300DM5WZMCZZ70R78 277 Park Avenue New York 10172 800-480-4111 JPMorgan SmartRetirement Blend Income Fund S000037359 549300ILOYIKX4LBLI81 2020-06-30 2019-09-30 N 460581764.17 3357676.38 457224087.79 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 N JPMorgan Emerging Economies Fund MIJ3LGVHV7XPBB9OUG74 JPMorgan Emerging Economies Fund, Class R6 46641U622 0.00900000 NS USD 0.11000000 0.000000024058 Long RF US N 1 N N N JPMorgan U.S. Government Money Market Fund 8I5DZWZKVSZI1NUHU748 JPMorgan U.S. Government Money Market Fund, Class IM 4812C2270 20725168.15000000 NS USD 20725168.15000000 4.532825085873 Long STIV RF US N 1 N N N JPMorgan BetaBuilders MSCI US REIT ETF 549300UDD0DL9T2E4I67 JPMorgan BetaBuilders MSCI US REIT ETF 46641Q738 152341.00000000 NS USD 13721353.87000000 3.001012902955 Long RF US N 1 N N N JPMorgan Income Fund 549300J9G10ZQTTAFU03 JPMorgan Income Fund, Class R6 46637K216 379019.90400000 NS USD 3653751.87000000 0.799116224969 Long RF US N 1 N N N N/A N/A U.S. Treasury 10 Year Note N/A 90.00000000 NC USD -39977.19000000 -0.00874345666 N/A DIR US N 1 CME Clearing House LCZ7XYGSLJUHFXXNXD88 Long United States of America U.S. Treasury 10 Year Note 2019-12-19 11728125.00000000 USD -39977.19000000 N N N N/A N/A S&P 500 E-Mini Index N/A 30.00000000 NC USD -36850.90000000 -0.00805970223 N/A DE US N 1 CME Clearing House LCZ7XYGSLJUHFXXNXD88 Long S&P 500 E-Mini Index US78378X1072 2019-12-20 4465500.00000000 USD -36850.90000000 N N N JPMorgan Core Plus Bond Fund JW89OQCNJOLWVS3KT374 JPMorgan Core Plus Bond Fund, Class R6 4812C0134 4410137.61000000 NS USD 37574372.44000000 8.217933709839 Long RF US N 1 N N N N/A N/A EURO STOXX 50 Index N/A -58.00000000 NC -31251.41000000 -0.00683503140 N/A DE DE N 2 Eurex Clearing 529900LN3S50JPU47S06 Short EURO STOXX 50 Index EU0009658145 2019-12-20 -2060455.64000000 EUR -31251.41000000 N N N JPMorgan Core Bond Fund DQ695W4P67V7A4LC6I09 JPMorgan Core Bond Fund, Class R6 4812C0100 8564940.39700000 NS USD 102779284.76000000 22.47897420645 Long RF US N 1 N N N United States of America 254900HROIFWPRGM1V77 U.S. Treasury Notes 9128283S7 1330000.00000000 PA USD 1330363.68000000 0.290965352772 Long DBT UST US N 2 2020-01-31 Fixed 2.00000000 N N N N N N iShares Core U.S. Aggregate Bond ETF 549300F7VSXTKBGHJE47 iShares Core U.S. Aggregate Bond ETF 464287226 200813.00000000 NS USD 22726007.21000000 4.970430871183 Long RF US N 1 N N N JPMorgan Floating Rate Income Fund K21GU2WTRTI2PVQVCH83 JPMorgan Floating Rate Income Fund, Class R6 46637K257 1002028.69000000 NS USD 9108440.79000000 1.992117439399 Long RF US N 1 N N N iShares Russell Mid-Cap ETF 549300RVM4H7425YNW89 iShares Russell Mid-Cap ETF 464287499 158234.00000000 NS USD 8853192.30000000 1.936291751992 Long RF US N 1 N N N iShares Russell 2000 ETF 549300O80OAR5VTWR172 iShares Russell 2000 ETF 464287655 40973.00000000 NS USD 6200853.82000000 1.356195787927 Long RF US N 1 N N N JPMorgan Short Duration Core Plus Fund 549300Q5U8SV79G4IM14 JPMorgan Short Duration Core Plus Fund, Class R6 46637K463 2471072.83200000 NS USD 23722299.19000000 5.188331022685 Long RF US N 1 N N N N/A N/A MSCI Emerging Markets E-Mini Index N/A -70.00000000 NC USD 70565.10000000 0.015433373237 N/A DE US N 1 ICE Clear US 549300HWWR1D8OTS2G29 Short MSCI Emerging Markets E-Mini Index MXEF Index 2019-12-20 -3505600.00000000 USD 70565.10000000 N N N iShares Core MSCI EAFE ETF 5493009FT582MI7Y3I36 iShares Core MSCI EAFE ETF 46432F842 667635.00000000 NS USD 40772469.45000000 8.917393142402 Long RF US N 1 N N N iShares TIPS Bond ETF 549300EHD1VQKMRQ0829 iShares TIPS Bond ETF 464287176 283588.00000000 NS USD 32978448.52000000 7.212753964779 Long RF US N 1 N N N N/A N/A Russell 2000 Emini Index N/A -35.00000000 NC USD 110676.45000000 0.024206172193 N/A DE US N 1 CME Clearing House LCZ7XYGSLJUHFXXNXD88 Short Russell 2000 E-Mini Index US1248351090 2019-12-20 -2667175.00000000 USD 110676.45000000 N N N JPMorgan Emerging Markets Strategic Debt Fund VC31EK6DBMYN3TDYHO32 JPMorgan Emerging Markets Strategic Debt Fund, Class R6 46637K778 997383.01800000 NS USD 8228409.90000000 1.799644883053 Long RF US N 1 N N N JPMorgan High Yield Fund 15QB5UY3VV3GNSMNPX63 JPMorgan High Yield Fund, Class R6 4812C0126 4555517.37700000 NS USD 32845280.29000000 7.183628589814 Long RF US N 1 N N N JPMorgan Emerging Markets Equity Fund YGO3SVACG8PL3FXK2G86 JPMorgan Emerging Markets Equity Fund, Class R6 48121L122 0.00100000 NS USD 0.03000000 0.000000006561 Long RF US N 1 N N N JPMorgan Emerging Markets Debt Fund 8KLDAXM5A9FOP50PQD10 JPMorgan Emerging Markets Debt Fund, Class R6 48121A134 1011312.49400000 NS USD 8292762.45000000 1.813719502417 Long RF US N 1 N N N JPMorgan Managed Income Fund 54930080XGK0GXPQLV03 JPMorgan Managed Income Fund, Class L 48121A415 791370.30000000 NS USD 7953271.52000000 1.739469055193 Long RF US N 1 N N N iShares Core MSCI Emerging Markets ETF 5493007C24Z3ZDJ0VD06 iShares Core MSCI Emerging Markets ETF 46434G103 258671.00000000 NS USD 12680052.42000000 2.773268679104 Long RF US N 1 N N N JPMorgan Equity Index Fund 549300FO80ME045UVK10 JPMorgan Equity Index Fund, Class R6 4812C2213 1451489.21900000 NS USD 66013729.68000000 14.43793786085 Long RF US N 1 N N N JPMorgan Realty Income Fund 549300IJYII8K4BC2M84 JPMorgan Realty Income Fund, Class R6 904504453 0.00600000 NS USD 0.09000000 0.000000019684 Long RF US N 1 N N N 2019-10-30 JPMorgan Trust I Timothy J. Clemens Timothy J. Clemens Treasurer and Principal Financial Officer XXXX NPORT-EX 2 HG_SRBI.htm HTML

JPMorgan SmartRetirement Blend Income Fund

SCHEDULE OF PORTFOLIO INVESTMENTS

AS OF SEPTEMBER 30, 2019 (Unaudited)

 

Investments

   Shares      Value ($)  

INVESTMENT COMPANIES — 65.9%

 

Fixed Income — 51.6%

     

JPMorgan Core Bond Fund Class R6 Shares (a)

     8,564,940        102,779,285  

JPMorgan Core Plus Bond Fund Class R6 Shares (a)

     4,410,138        37,574,372  

JPMorgan Emerging Markets Debt Fund Class R6 Shares (a)

     1,011,312        8,292,762  

JPMorgan Emerging Markets Strategic Debt Fund Class R6 Shares (a)

     1,086,546        8,964,005  

JPMorgan Floating Rate Income Fund Class R6 Shares (a)

     1,002,029        9,108,441  

JPMorgan High Yield Fund Class R6 Shares (a)

     4,555,517        32,845,280  

JPMorgan Income Fund Class R6 Shares (a)

     380,636        3,669,330  

JPMorgan Managed Income Fund Class L Shares (a)

     792,916        7,968,810  

JPMorgan Short Duration Core Plus Fund Class R6 Shares (a)

     2,777,572        26,664,690  
     

 

 

 

Total Fixed Income

        237,866,975  
     

 

 

 

U.S. Equity — 14.3%

     

JPMorgan Equity Index Fund Class R6 Shares (a)

     1,451,489        66,013,730  
     

 

 

 

TOTAL INVESTMENT COMPANIES
(Cost $288,874,021)

 

     303,880,705  
  

 

 

 

EXCHANGE-TRADED FUNDS — 30.3%

 

Alternative Assets — 3.0%

     

JPMorgan BetaBuilders MSCI US REIT ETF (a)

     152,341        13,721,354  
     

 

 

 

Fixed Income — 12.4%

     

iShares Core U.S. Aggregate Bond ETF

     200,813        22,726,007  

iShares TIPS Bond ETF

     296,646        34,496,963  
     

 

 

 

Total Fixed Income

        57,222,970  
     

 

 

 

International Equity — 11.6%

     

iShares Core MSCI EAFE ETF

     667,635        40,772,470  

iShares Core MSCI Emerging Markets ETF

     258,671        12,680,052  
     

 

 

 

Total International Equity

        53,452,522  
     

 

 

 

U.S. Equity — 3.3%

     

iShares Russell 2000 ETF

     40,973        6,200,854  

iShares Russell Mid-Cap ETF

     158,234        8,853,192  
     

 

 

 

Total U.S. Equity

        15,054,046  
     

 

 

 
TOTAL EXCHANGE-TRADED FUNDS
(Cost $130,015,487)

 

     139,450,892  
  

 

 

 
     Principal
Amount ($)
        

U.S. TREASURY OBLIGATIONS — 0.3%

 

U.S. Treasury Notes 2.00%, 1/31/2020 (b)

(Cost $1,327,592)

     1,330,000        1,330,364  
     

 

 

 
     Shares         

SHORT-TERM INVESTMENTS — 4.5%

 

INVESTMENT COMPANIES — 4.5%

 

JPMorgan U.S. Government Money Market Fund Class IM Shares, 2.00% (a) (c)

(Cost $20,725,168)

     20,725,168        20,725,168  
     

 

 

 
Total Investments — 101.0%
(Cost $440,942,268)

 

     465,387,129  

Liabilities in Excess of Other Assets — (1.0)%

 

     (4,775,166
  

 

 

 

Net Assets — 100.0%

 

     460,611,963  
  

 

 

 

 

Percentages indicated are based on net assets.

Abbreviations

 

EAFE

Europe, Australasia and Far East

ETF

Exchange-Traded Fund

REIT

Real Estate Investment Trust

TIPS

Treasury Inflation Protected Security

 

(a)

Investment in an affiliated fund, which is registered under the Investment Company Act of 1940, as amended, and is advised by J.P. Morgan Investment Management Inc.

(b)

All or a portion of this security is deposited with the broker as initial margin for futures contracts.

(c)

The rate shown is the current yield as of September 30, 2019.

Detailed information about investment portfolios of the underlying funds can be found in shareholder reports filed with the Securities and Exchange Commission (SEC) by each such underlying fund semi-annually on Form N-CSR and in portfolio holdings filed quarterly on Form N-PORT, and are available for download from both the SEC’s as well as each respective underlying fund’s website. Detailed information about underlying J.P. Morgan Funds can also be found at www.jpmorganfunds.com or by calling 1-800-480-4111.


JPMorgan SmartRetirement Blend Income Fund

SCHEDULE OF PORTFOLIO INVESTMENTS

AS OF SEPTEMBER 30, 2019 (Unaudited) (continued)

 

Futures contracts outstanding as of September 30, 2019:

 

Description

   Number of
Contracts
    Expiration
Date
     Trading
Currency
     Notional Amount
($)
    Value and
Unrealized
Appreciation
(Depreciation) ($)
 

Long Contracts

 

S&P 500 E-Mini Index

     30       12/2019        USD        4,465,500       (36,851

U.S. Treasury 10 Year Note

     96       12/2019        USD        12,510,000       (40,084
            

 

 

 
               (76,935
            

 

 

 

Short Contracts

 

EURO STOXX 50 Index

     (58     12/2019        EUR        (2,245,794     (31,251

MSCI Emerging Markets E-Mini Index

     (70     12/2019        USD        (3,505,600     70,565  

Russell 2000 E-Mini Index

     (35     12/2019        USD        (2,667,175     110,676  
            

 

 

 
               149,990  
            

 

 

 
               73,055  
            

 

 

 

 

Abbreviations
EUR      Euro
MSCI      Morgan Stanley Capital International
USD      United States Dollar

A. Valuation of Investments — The valuation of investments is in accordance with U.S. generally accepted accounting principles (“GAAP”) and the Fund’s valuation policies set forth by and under the supervision and responsibility of the Board of Trustees of the Trust (the “Board”), which established the following approach to valuation, as described more fully below: (i) investments for which market quotations are readily available shall be valued at their market value and (ii) all other investments for which market quotations are not readily available shall be valued at their fair value as determined in good faith by the Board.

J.P. Morgan Investment Management, Inc. (the “Administrator”) has established the J.P. Morgan Asset Management Americas Valuation Committee (“AVC”) to assist the Board with the oversight and monitoring of the valuation of the Fund’s investments. The Administrator implements the valuation policies of the Fund’s investments, as directed by the Board. The AVC oversees and carries out the policies for the valuation of investments held in the Fund. This includes monitoring the appropriateness of fair values based on results of ongoing valuation oversight including, but not limited to, consideration of macro or security specific events, market events and pricing vendor and broker due diligence. The Administrator is responsible for discussing and assessing the potential impacts to the fair values on an ongoing basis, and at least on a quarterly basis with the AVC and the Board.

Fixed income instruments are valued based on prices received from approved affiliated and unaffiliated pricing vendors or third party broker-dealers (collectively referred to as “Pricing Services”). The Pricing Services use multiple valuation techniques to determine the valuation of fixed income instruments. In instances where sufficient market activity exists, the Pricing Services may utilize a market-based approach through which trades or quotes from market makers are used to determine the valuation of these instruments. In instances where sufficient market activity may not exist, the Pricing Services also utilize proprietary valuation models which may consider market transactions in comparable securities and the various relationships between securities in determining fair value and/or market characteristics in order to estimate the relevant cash flows, which are then discounted to calculate the fair values.

Equities and other exchange-traded instruments are valued at the last sale price or official market closing price on the primary exchange on which the instrument is traded before the net asset values (“NAV”) of the Fund are calculated on a valuation date.

Certain foreign equity instruments, as well as certain derivatives with equity reference obligations, are valued by applying an international fair value factor provided by an approved Pricing Service. The factors seek to adjust the local closing price for movements of local markets post closing, but prior to the time the NAVs are calculated.

Investments in open-end investment companies excluding exchange-traded funds (“ETFs”) (“Underlying Funds”), are valued at each Underlying Fund’s NAV per share as of the report date.

Futures contracts are generally valued on the basis of available market quotations.


JPMorgan SmartRetirement Blend Income Fund

SCHEDULE OF PORTFOLIO INVESTMENTS

AS OF SEPTEMBER 30, 2019 (Unaudited) (continued)

 

Valuations reflected in this report are as of the report date. As a result, changes in valuation due to market events and/or issuer-related events after the report date and prior to issuance of the report are not reflected herein.

The various inputs that are used in determining the valuation of the Fund’s investments are summarized into the three broad levels listed below.

 

 

Level 1 – Unadjusted inputs using quoted prices in active markets for identical investments.

 

 

Level 2 – Other significant observable inputs including, but not limited to, quoted prices for similar investments, inputs other than quoted prices that are observable for investments (such as interest rates, prepayment speeds, credit risk, etc.) or other market corroborated inputs.

 

 

Level 3 – Significant inputs based on the best information available in the circumstances, to the extent observable inputs are not available (including the Fund’s assumptions in determining the fair value of investments).

A financial instrument’s level within the fair value hierarchy is based on the lowest level of any input, both individually and in the aggregate, that is significant to the fair value measurement. The inputs or methodology used for valuing instruments are not necessarily an indication of the risk associated with investing in those instruments.

The following table represents each valuation input as presented on the Schedule of Portfolio Investments (“SOI”):

 

     Level 1
Quoted prices
    Level 2
Other significant observable
inputs
    Level 3
Significant unobservable
inputs
     Total  

Total Investments in Securities (a)

   $ 464,056,765     $ 1,330,364     $ —        $ 465,387,129  
  

 

 

   

 

 

   

 

 

    

 

 

 

Appreciation in Other Financial Instruments

         

Futures Contracts (a)

   $ 181,241     $ —       $ —        $ 181,241  
  

 

 

   

 

 

   

 

 

    

 

 

 

Depreciation in Other Financial Instruments

         

Futures Contracts (a)

   $ (76,935   $ (31,251   $ —        $ (108,186
  

 

 

   

 

 

   

 

 

    

 

 

 

 

(a)

All portfolio holdings designated as level 1 and level 2 are disclosed individually on the SOI. Level 2 consists of foreign futures with equity reference obligations and U.S. Treasury Notes held as initial margin for futures contracts.

There were no transfers into and out of level 3 for the period ended September 30, 2019.

B. Investment Transactions with Affiliates — The Fund invested in Underlying Funds which are advised by the Adviser. An issuer which is under common control with the Fund may be considered an affiliate. The Fund assumes the issuers listed in the table below to be affiliated issuers. Underlying Funds’ distributions may be reinvested into the Underlying Funds. Reinvestment amounts are included in the purchase cost amounts in the table below.

 

For the period ended September 30, 2019

 

Security Description

  Value at
June 30,
2019
    Purchases
at Cost
    Proceeds
from Sales
    Net Realized
Gain (Loss)
    Change in
Unrealized
Appreciation/
(Depreciation)
    Value at
September 30,
2019
    Shares at
September 30,
2019
    Dividend
Income
    Capital Gain
Distributions
 

JPMorgan BetaBuilders MSCI US REIT ETF (a)

  $ 6,065,740     $ 6,977,283     $ —       $ —       $ 678,331     $ 13,721,354       152,341     $ 65,970     $ —    

JPMorgan Core Bond Fund Class R6 Shares (a)

    100,253,822       737,235       —         —         1,788,228       102,779,285       8,564,940       737,234       —    

JPMorgan Core Plus Bond Fund Class R6 Shares (a)

    40,705,798       323,727       4,025,695       146,943       423,599       37,574,372       4,410,138       323,727       —    

JPMorgan Emerging Markets Debt Fund Class R6 Shares (a)

    8,177,872       105,498       —         —         9,392       8,292,762       1,011,312       105,499       —    

JPMorgan Emerging Markets Strategic Debt Fund Class R6 Shares (a)

    8,096,396       828,554       —         —         39,055       8,964,005       1,086,546       92,959       —    

JPMorgan Equity Index Fund Class R6 Shares (a)

    54,707,300       10,743,727       —         —         562,703       66,013,730       1,451,489       376,721       —    

JPMorgan Floating Rate Income Fund Class R6 Shares (a)

    10,249,046       120,947       1,207,950       (39,863     (13,739     9,108,441       1,002,029       120,946       —    

JPMorgan High Yield Fund Class R6 Shares (a)

    34,741,180       1,342,328       3,158,561       (60,155     (19,512     32,845,280       4,555,517       499,087       —    

JPMorgan Income Fund Class R6 Shares (a)

    2,944,841       690,522       —         —         33,967       3,669,330       380,636       44,577       —    

JPMorgan Managed Income Fund Class L Shares (a)

    12,559,227       5,197,438       9,792,991       22,887       (17,751     7,968,810       792,916       74,186       —    

JPMorgan Realty Income Fund Class R6 Shares (a)

    363,929       —         378,255       73,078       (58,752     —         —         —         —    

JPMorgan Short Duration Core Plus Fund Class R6 Shares (a)

    6,345,483       20,305,091       —         —         14,116       26,664,690       2,777,572       107,656       —    

JPMorgan U.S. Government Money Market Fund Class IM Shares, 2.00% (a) (b)

    11,354,558       55,875,399       46,504,789       —         —         20,725,168       20,725,168       69,536       —    
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

     

 

 

   

 

 

 

Total

  $ 296,565,192     $ 103,247,749     $ 65,068,241     $ 142,890     $ 3,439,637     $ 338,327,227       $ 2,618,098     $ —    
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

     

 

 

   

 

 

 

 

(a)

Investment in an affiliated fund, which is registered under the Investment Company Act of 1940, as amended, and is advised by J.P. Morgan Investment Management Inc.

(b)

The rate shown is the current yield as of September 30, 2019.