0001752724-23-221730.txt : 20230928 0001752724-23-221730.hdr.sgml : 20230928 20230928130016 ACCESSION NUMBER: 0001752724-23-221730 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20230731 FILED AS OF DATE: 20230928 DATE AS OF CHANGE: 20230928 PERIOD START: 20231031 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: 231288233 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 S000002662 JPMorgan Europe Dynamic Fund C000007293 Class I JFESX C000007294 Class L JFEIX C000007295 Class A VEUAX C000007297 Class C VEUCX C000205200 Class R6 VEUVX NPORT-P 1 primary_doc.xml NPORT-P false 0001217286 XXXXXXXX S000002662 C000007293 C000007294 C000205200 C000007297 C000007295 JPMorgan Trust I 811-21295 0001217286 549300DM5WZMCZZ70R78 277 Park Avenue New York 10172 800-480-4111 JPMorgan Europe Dynamic Fund S000002662 H40KNBC4QSZM6KZETD45 2023-10-31 2023-07-31 N 616227411.45 10452904.45 605774507.00 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 178945.54000000 N N/A N/A CTS Eventim AG & Co. KGaA 529900FDHSN08UBJII80 CTS Eventim AG & Co. 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EC CORP GB N 2 N N N AIB Group plc 635400AKJBGNS5WNQL34 AIB Group plc N/A 1574972.00000000 NS 7408134.38000000 1.222919468283 Long EC CORP IE N 1 N N N NKT A/S 529900197LKWCEQ0NL18 NKT A/S N/A 111513.00000000 NS 6371440.82000000 1.051784244198 Long EC CORP DK N 2 N N N/A N/A FTSE 100 Index N/A 9.00000000 NC 32116.11000000 0.005301660870 N/A DE GB N 1 ICE Clear Europe 5R6J7JCQRIPQR1EEP713 Long FTSE 100 Index GB0001383545 2023-09-15 692010.00000000 GBP 32116.11000000 N N N Infineon Technologies AG TSI2PJM6EPETEQ4X1U25 Infineon Technologies AG N/A 239072.00000000 NS 10503744.95000000 1.733936444770 Long EC CORP DE N 2 N N N Buzzi SpA 5299003DX5YLKSVJ6K59 Buzzi SpA N/A 56799.00000000 NS 1614106.45000000 0.266453347136 Long EC CORP IT N 2 N N N SPIE SA 969500TJNS5GSFWJ8X85 SPIE SA N/A 200772.00000000 NS 6026762.16000000 0.994885405436 Long EC CORP FR N 2 N N N Zurich Insurance Group AG 529900QVNRBND50TXP03 Zurich Insurance Group AG N/A 22901.00000000 NS 11072600.26000000 1.827841900253 Long EC CORP CH N 2 N N N UniCredit SpA 549300TRUWO2CD2G5692 UniCredit SpA N/A 682010.00000000 NS 17268668.69000000 2.850676033813 Long EC CORP IT N 2 N N N Dunelm Group plc 213800WCOWEI3T5DUV19 Dunelm Group plc N/A 264799.00000000 NS 3908042.66000000 0.645131581940 Long EC CORP GB N 1 N N N Siemens AG W38RGI023J3WT1HWRP32 Siemens AG (Registered) N/A 91611.00000000 NS 15614382.59000000 2.577589913337 Long EC CORP DE N 2 N N N Stellantis NV 549300LKT9PW7ZIBDF31 Stellantis NV N/A 549777.00000000 NS 11285900.53000000 1.863053066708 Long EC CORP NL N 2 N N N Rio Tinto plc 213800YOEO5OQ72G2R82 Rio Tinto plc N/A 66755.00000000 NS 4412358.58000000 0.728383008696 Long EC CORP GB N 2 N N N Ashtead Group plc 2138007UTBN8X9K1A235 Ashtead Group plc N/A 115371.00000000 NS 8535588.40000000 1.409037240981 Long EC CORP GB N 2 N N N Volvo AB 549300HGV012CNC8JD22 Volvo AB, Class B 928856301 316541.00000000 NS 6982461.26000000 1.152650231945 Long EC CORP SE N 2 N N N Carlsberg A/S 5299001O0WJQYB5GYZ19 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82547.00000000 NS 6690259.50000000 1.104414171063 Long EC CORP DE N 2 N N N Novartis AG 5493007HIVTX6SY6XD66 Novartis AG (Registered) N/A 243854.00000000 NS 25530835.27000000 4.214577367482 Long EC CORP CH N 2 N N N Prosus NV 635400Z5LQ5F9OLVT688 Prosus NV N/A 102871.00000000 NS 8137857.89000000 1.343380712783 Long EC CORP NL N 2 N N N Aker Solutions ASA 5967007LIEEXZXG42836 Aker Solutions ASA N/A 199525.00000000 NS 886929.98000000 0.146412562719 Long EC CORP NO Y 2 N N N JPMorgan Securities Lending Money Market Fund 5493002FD4HXUJXMRO62 JPMorgan Securities Lending Money Market Fund, Class Agency SL Shares 46645V642 6498400.16000000 NS USD 6498400.16000000 1.072742428891 Long STIV RF US N 1 N N SSE plc 549300KI75VYLLMSK856 SSE plc N/A 390098.00000000 NS 8435147.83000000 1.392456719873 Long EC CORP GB N 2 N N Rolls-Royce Holdings plc 213800EC7997ZBLZJH69 Rolls-Royce Holdings plc N/A 2449611.00000000 NS 5808367.00000000 0.958833185101 Long EC CORP GB N 2 N N N Games Workshop Group plc 213800RP9QJQYGWHNT41 Games Workshop Group plc N/A 41540.00000000 NS 6210494.72000000 1.025215595611 Long EC CORP GB N 2 N N N MTU Aero Engines AG 529900807L67JY81RD65 MTU Aero Engines AG N/A 32109.00000000 NS 7497820.78000000 1.237724713298 Long EC CORP DE N 2 N N N Taylor Wimpey plc 21380089BTRXTD8S3R66 Taylor Wimpey plc N/A 3021038.00000000 NS 4434463.01000000 0.732031962183 Long EC CORP GB N 2 N N N Melrose Industries plc 213800RGNXXZY2M7TR85 Melrose Industries plc N/A 1336978.00000000 NS 9098897.50000000 1.502027139613 Long EC CORP GB N 2 N N N 2023-08-30 JPMorgan Trust I Timothy J. Clemens Timothy J. Clemens Treasurer and Principal Financial Officer XXXX NPORT-EX 2 JPM_EDF.htm EDGAR HTML
JPMorgan Europe Dynamic Fund
Schedule of Portfolio Investments as of July 31, 2023
(Unaudited)
THE “UNAUDITED MUTUAL FUNDS HOLDINGS” LIST (“the
List”) IS TO BE USED FOR REPORTING PURPOSES ONLY. IT IS
NOT TO BE REPRODUCED FOR USE AS ADVERTISING OR
SALES LITERATURE WITH THE GENERAL PUBLIC. The list is
submitted for the general information of the shareholders of the Fund.
It is not authorized for distribution to prospective investors in the Fund
unless preceded or accompanied by a prospectus. The list has been
created from the books and records of the Fund. Holdings are
available 60 days after the fund’s fiscal quarter, using a trade date
accounting convention, by contacting the appropriate service center.
The list is subject to change without notice. The list is for
informational purposes only and is not intended as an offer or
solicitation with respect to the purchase or sale of any security.
JPMorgan Asset Management is the marketing name for the asset
management business of J.P. Morgan Chase & Co.
J.P. Morgan Distribution Services, Inc., member FINRA.
© J.P. Morgan Chase & Co., 2023.

JPMorgan Europe Dynamic Fund
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF July 31, 2023  (Unaudited)
INVESTMENTS
SHARES
(000)
VALUE
($000)
Common Stocks — 98.9%
Australia — 0.7%
Rio Tinto plc
67
4,412
China — 1.4%
Prosus NV*
103
8,138
Denmark — 6.7%
Carlsberg A/S, Class B
70
10,529
NKT A/S* (a)
112
6,372
Novo Nordisk A/S, Class B
149
24,040
 
40,941
Finland — 1.6%
Nordea Bank Abp
858
9,712
France — 19.4%
Air Liquide SA
66
11,849
Amundi SA(b)
92
5,642
BNP Paribas SA
126
8,344
Elis SA
330
6,809
Engie SA
777
12,745
Forvia*
95
2,378
Gaztransport Et Technigaz SA
4
472
LVMH Moet Hennessy Louis Vuitton SE
22
20,794
Sodexo SA
65
6,712
SPIE SA
201
6,027
Thales SA
29
4,304
TotalEnergies SE
307
18,679
Vinci SA
112
13,146
 
117,901
Germany — 18.6%
Allianz SE (Registered)
57
13,757
CTS Eventim AG & Co. KGaA
81
5,505
Deutsche Boerse AG
30
5,704
Dr Ing hc F Porsche AG (Preference)
64
7,806
Heidelberg Materials AG
82
6,690
HUGO BOSS AG
63
5,092
Infineon Technologies AG
239
10,504
Mercedes-Benz Group AG
124
9,889
MTU Aero Engines AG
32
7,498
Muenchener Rueckversicherungs-Gesellschaft AG (Registered)
29
10,850
RWE AG
274
11,788
Siemens AG (Registered)
92
15,614
SMA Solar Technology AG*
25
2,389
 
113,086
Ireland — 5.3%
AIB Group plc
1,575
7,408
Bank of Ireland Group plc
826
8,638
Bank of Ireland Group plc
7
76

JPMorgan Europe Dynamic Fund
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF July 31, 2023  (Unaudited) (continued)
INVESTMENTS
SHARES
(000)
VALUE
($000)
Common Stocks — continued
Ireland — continued
Kingspan Group plc
92
7,389
Ryanair Holdings plc, ADR*
82
8,379
 
31,890
Italy — 6.5%
BPER Banca
1,360
4,706
Buzzi SpA
78
2,215
Coca-Cola HBC AG
299
8,789
Prysmian SpA
157
6,269
UniCredit SpA
682
17,269
 
39,248
Netherlands — 7.4%
ASML Holding NV
5
3,791
Koninklijke Ahold Delhaize NV
412
14,205
Koninklijke KPN NV
2,325
8,413
Shell plc
607
18,381
 
44,790
Norway — 0.2%
Aker Solutions ASA(b)
220
978
Portugal — 1.2%
Jeronimo Martins SGPS SA
275
7,500
Singapore — 0.7%
STMicroelectronics NV
80
4,279
Spain — 2.9%
Banco de Sabadell SA
4,359
5,372
Industria de Diseno Textil SA
325
12,436
 
17,808
Sweden — 1.2%
AddTech AB, Class B
20
383
Volvo AB, Class B
317
6,982
 
7,365
Switzerland — 6.7%
Accelleron Industries AG
157
4,145
Novartis AG (Registered)
244
25,531
Zurich Insurance Group AG
23
11,073
 
40,749
United Kingdom — 13.9%
3i Group plc
433
10,988
Ashtead Group plc
115
8,536
Dunelm Group plc
265
3,908
Games Workshop Group plc
41
6,210
Inchcape plc
367
3,860
Melrose Industries plc
1,337
9,099
Rolls-Royce Holdings plc*
2,450
5,808

JPMorgan Europe Dynamic Fund
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF July 31, 2023  (Unaudited) (continued)
INVESTMENTS
SHARES
(000)
VALUE
($000)
Common Stocks — continued
United Kingdom — continued
Rotork plc
1,455
5,765
SSE plc(a)
390
8,435
Taylor Wimpey plc
3,021
4,434
Weir Group plc (The)
193
4,543
Whitbread plc
291
13,063
 
84,649
United States — 4.5%
Nestle SA (Registered)
49
6,018
Schneider Electric SE
57
10,192
Stellantis NV
550
11,286
 
27,496
Total Common Stocks
(Cost $501,887)
600,942
Short-Term Investments — 2.3%
Investment Companies — 1.0%
JPMorgan Prime Money Market Fund Class Institutional Shares, 5.35%(c) (d)(Cost $6,080)
6,079
6,080
Investment of Cash Collateral from Securities Loaned — 1.3%
JPMorgan Securities Lending Money Market Fund Agency SL Class Shares, 5.52%(c) (d)
6,497
6,498
JPMorgan U.S. Government Money Market Fund Class IM Shares, 5.27%(c) (d)
1,719
1,719
Total Investment of Cash Collateral from Securities Loaned
(Cost $8,217)
8,217
Total Short-Term Investments
(Cost $14,297)
14,297
Total Investments — 101.2%
(Cost $516,184)
615,239
Liabilities in Excess of Other Assets — (1.2)%
(7,556
)
NET ASSETS — 100.0%
607,683

Percentages indicated are based on net assets.
Abbreviations
 
ADR
American Depositary Receipt
Preference
A special type of equity investment that shares in the earnings of the company, has limited voting rights, and may have a dividend preference. Preference
shares may also have liquidation preference.
SGPS
Holding company
*
Non-income producing security.
(a)
The security or a portion of this security is on loan at July 31, 2023. The total value of securities on loan at July 31, 2023 is $7,862.
(b)
Security exempt from registration pursuant to Regulation S under the Securities Act of 1933, as amended. Regulation S applies to securities offerings that
are made outside of the United States and do not involve direct selling efforts in the United States and as such may have restrictions on resale.
(c)
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.
(d)
The rate shown is the current yield as of July 31, 2023.

JPMorgan Europe Dynamic Fund
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF July 31, 2023  (Unaudited) (continued)
Summary of Investments by Industry, July 31, 2023
The following table represents the portfolio investments of the Fund by industry classifications as a percentage of total investments:
INDUSTRY
PERCENT OF
TOTAL
INVESTMENTS
Banks
10.0
%
Pharmaceuticals
8.1
Oil, Gas & Consumable Fuels
6.1
Insurance
5.8
Automobiles
4.7
Electrical Equipment
4.4
Aerospace & Defense
4.3
Textiles, Apparel & Luxury Goods
4.2
Capital Markets
3.6
Consumer Staples Distribution & Retail
3.5
Semiconductors & Semiconductor Equipment
3.4
Hotels, Restaurants & Leisure
3.2
Beverages
3.1
Machinery
2.8
Specialty Retail
2.7
Industrial Conglomerates
2.5
Construction & Engineering
2.1
Commercial Services & Supplies
2.1
Multi-Utilities
2.1
Chemicals
1.9
Independent Power and Renewable Electricity Producers
1.9
Trading Companies & Distributors
1.5
Construction Materials
1.5
Electric Utilities
1.4
Diversified Telecommunication Services
1.4
Passenger Airlines
1.4
Broadline Retail
1.3
Building Products
1.2
Leisure Products
1.0
Food Products
1.0
Others (each less than 1.0%)
3.5
Short-Term Investments
2.3

JPMorgan Europe Dynamic Fund
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF July 31, 2023 (Unaudited) (continued)
(Dollar values in thousands)
A. Valuation of Investments  Investments are valued 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.
Under Section 2(a)(41) of the Investment Company Act of 1940, the Board is required to determine fair value for securities that do not have readily available market quotations. Under SEC Rule 2a-5 (Good Faith Determinations of Fair Value), the Board may designate the performance of these fair valuation determinations to a valuation designee. The Board has designated the Adviser as the “Valuation Designee” to perform fair valuation determinations for the Funds on behalf of the Board subject to appropriate oversight by the Board. The Adviser, as Valuation Designee, leverages the J.P. Morgan Asset Management Americas Valuation Committee (“AVC”) to help oversee and carry out the policies for the valuation of investments held in the Funds. The Adviser, as Valuation Designee, remains responsible for the valuation determinations. 
This oversight by the AVC 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.
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 are valued by applying international fair value factors provided by approved Pricing Services. The factors seek to adjust the local closing price for movements of local markets post-closing, but prior to the time the NAV is calculated. 
Investments in open-end investment companies (“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.
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
Investments in Securities
Common Stocks
Australia
$
$4,412
$
$4,412
China
8,138
8,138
Denmark
40,941
40,941
Finland
9,712
9,712
France
117,901
117,901
Germany
113,086
113,086

JPMorgan Europe Dynamic Fund
SCHEDULE OF PORTFOLIO INVESTMENTS
AS OF July 31, 2023 (Unaudited) (continued)
(Dollar values in thousands)
 
 
 
 
Level 1
Quoted prices
Level 2
Other significant
observable inputs
Level 3
Significant
unobservable inputs
Total
Ireland
$23,252
$8,638
$
$31,890
Italy
39,248
39,248
Netherlands
44,790
44,790
Norway
978
978
Portugal
7,500
7,500
Singapore
4,279
4,279
Spain
17,808
17,808
Sweden
7,365
7,365
Switzerland
40,749
40,749
United Kingdom
3,908
80,741
84,649
United States
27,496
27,496
Total Common Stocks
27,160
573,782
600,942
Short-Term Investments
Investment Companies
6,080
6,080
Investment of Cash Collateral from Securities Loaned
8,217
8,217
Total Short-Term Investments
14,297
14,297
Total Investments in Securities
$41,457
$573,782
$
$615,239
B. Investment Transactions with Affiliates  The Fund invested in Underlying Funds 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. The Underlying Funds’ distributions may be reinvested into such Underlying Funds. Reinvestment amounts are included in the purchases at cost amounts in the table below.
 
For the period ended July 31, 2023
Security Description
Value at
October 31,
2022
Purchases at
Cost
Proceeds from
Sales
Net Realized
Gain (Loss)
Change in
Unrealized
Appreciation/
(Depreciation)
Value at
July 31,
2023
Shares at
July 31,
2023
Dividend
Income
Capital Gain
Distributions
JPMorgan Prime Money Market Fund
Class Institutional Shares, 5.35% (a) (b)
$6,343
$263,034
$263,287
$(10
)
$
(c)
$6,080
6,079
$416
$
JPMorgan Securities Lending Money Market Fund
Agency SL Class Shares, 5.52% (a) (b)
147,000
140,499
(3
)
(c)
6,498
6,497
290
JPMorgan U.S. Government Money Market Fund
Class IM Shares, 5.27% (a) (b)
122,372
120,653
1,719
1,719
102
Total
$6,343
$532,406
$524,439
$(13
)
$
(c)
$14,297
$808
$

 
(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 July 31, 2023.
(c)
Amount rounds to less than one thousand.