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., 2025.
|
INVESTMENTS
|
SHARES
(000)
|
VALUE
($000)
|
Long Positions — 122.1%
|
||
Common Stocks — 119.8%
|
||
Aerospace & Defense — 4.5%
|
||
Howmet Aerospace, Inc. (a)
|
364
|
47,222
|
Northrop Grumman Corp.
|
35
|
17,740
|
RTX Corp.
|
215
|
28,448
|
TransDigm Group, Inc.
|
27
|
37,963
|
|
|
131,373
|
Banks — 3.8%
|
||
Bank of America Corp. (a)
|
545
|
22,726
|
Fifth Third Bancorp
|
598
|
23,459
|
Wells Fargo & Co. (a)
|
912
|
65,485
|
|
|
111,670
|
Beverages — 1.6%
|
||
Coca-Cola Co. (The) (a)
|
86
|
6,151
|
Keurig Dr Pepper, Inc.
|
283
|
9,687
|
PepsiCo, Inc. (a)
|
209
|
31,346
|
|
|
47,184
|
Biotechnology — 3.7%
|
||
AbbVie, Inc. (a)
|
262
|
54,943
|
Neurocrine Biosciences, Inc. *
|
27
|
2,986
|
Regeneron Pharmaceuticals, Inc.
|
27
|
17,245
|
Sarepta Therapeutics, Inc. *
|
146
|
9,291
|
Vertex Pharmaceuticals, Inc. * (a)
|
52
|
25,120
|
|
|
109,585
|
Broadline Retail — 5.3%
|
||
Amazon.com, Inc. * (a)
|
819
|
155,807
|
Building Products — 1.5%
|
||
Carrier Global Corp.
|
63
|
3,967
|
Trane Technologies plc
|
115
|
38,924
|
|
|
42,891
|
Capital Markets — 2.9%
|
||
Ameriprise Financial, Inc.
|
52
|
25,144
|
Charles Schwab Corp. (The) (a)
|
386
|
30,221
|
CME Group, Inc.
|
13
|
3,585
|
Goldman Sachs Group, Inc. (The) (a)
|
50
|
27,256
|
|
|
86,206
|
Chemicals — 1.5%
|
||
Linde plc
|
75
|
34,884
|
Sherwin-Williams Co. (The)
|
27
|
9,417
|
|
|
44,301
|
Communications Equipment — 0.2%
|
||
Arista Networks, Inc. *
|
78
|
6,033
|
Construction Materials — 0.8%
|
||
Martin Marietta Materials, Inc.
|
47
|
22,600
|
INVESTMENTS
|
SHARES
(000)
|
VALUE
($000)
|
Long Positions — continued
|
||
Common Stocks — continued
|
||
Consumer Finance — 1.3%
|
||
American Express Co.
|
96
|
25,746
|
Capital One Financial Corp.
|
69
|
12,388
|
|
|
38,134
|
Consumer Staples Distribution & Retail — 0.8%
|
||
Costco Wholesale Corp.
|
14
|
13,614
|
Maplebear, Inc. *
|
102
|
4,058
|
Walmart, Inc.
|
56
|
4,927
|
|
|
22,599
|
Diversified Telecommunication Services — 0.5%
|
||
AT&T, Inc.
|
487
|
13,757
|
Electric Utilities — 3.5%
|
||
Entergy Corp.
|
209
|
17,818
|
NextEra Energy, Inc. (a)
|
424
|
30,063
|
PG&E Corp.
|
577
|
9,916
|
Southern Co. (The)
|
489
|
44,971
|
|
|
102,768
|
Electrical Equipment — 0.8%
|
||
AMETEK, Inc.
|
8
|
1,410
|
Eaton Corp. plc
|
74
|
20,168
|
Emerson Electric Co.
|
27
|
2,918
|
|
|
24,496
|
Energy Equipment & Services — 0.3%
|
||
Baker Hughes Co. (a)
|
179
|
7,872
|
Entertainment — 2.0%
|
||
Walt Disney Co. (The) (a)
|
339
|
33,464
|
Warner Bros Discovery, Inc. *
|
368
|
3,944
|
Warner Music Group Corp., Class A
|
686
|
21,509
|
|
|
58,917
|
Financial Services — 7.1%
|
||
Affirm Holdings, Inc. *
|
67
|
3,013
|
Berkshire Hathaway, Inc., Class B *
|
36
|
19,068
|
Corpay, Inc. *
|
113
|
39,531
|
Fidelity National Information Services, Inc. (a)
|
477
|
35,609
|
Mastercard, Inc., Class A (a)
|
188
|
102,797
|
Toast, Inc., Class A *
|
87
|
2,903
|
WEX, Inc. *
|
35
|
5,518
|
|
|
208,439
|
Food Products — 0.3%
|
||
Mondelez International, Inc., Class A (a)
|
142
|
9,617
|
Ground Transportation — 1.8%
|
||
Canadian Pacific Kansas City Ltd. (Canada)
|
184
|
12,929
|
Norfolk Southern Corp. (a)
|
60
|
14,088
|
INVESTMENTS
|
SHARES
(000)
|
VALUE
($000)
|
Long Positions — continued
|
||
Common Stocks — continued
|
||
Ground Transportation — continued
|
||
Union Pacific Corp.
|
46
|
10,935
|
XPO, Inc. *
|
145
|
15,562
|
|
|
53,514
|
Health Care Equipment & Supplies — 3.0%
|
||
Boston Scientific Corp. * (a)
|
239
|
24,149
|
Edwards Lifesciences Corp. *
|
131
|
9,472
|
Intuitive Surgical, Inc. *
|
33
|
16,327
|
Medtronic plc
|
127
|
11,447
|
Stryker Corp.
|
75
|
27,758
|
|
|
89,153
|
Health Care Providers & Services — 2.6%
|
||
Cigna Group (The)
|
9
|
3,021
|
McKesson Corp.
|
3
|
1,983
|
Tenet Healthcare Corp. *
|
24
|
3,249
|
UnitedHealth Group, Inc. (a)
|
129
|
67,519
|
|
|
75,772
|
Health Care REITs — 1.2%
|
||
Alexandria Real Estate Equities, Inc.
|
126
|
11,697
|
Ventas, Inc.
|
341
|
23,432
|
|
|
35,129
|
Hotels, Restaurants & Leisure — 5.3%
|
||
Booking Holdings, Inc.
|
4
|
19,229
|
Carnival Corp. *
|
665
|
12,974
|
Chipotle Mexican Grill, Inc. *
|
379
|
19,030
|
Darden Restaurants, Inc.
|
19
|
3,851
|
DoorDash, Inc., Class A *
|
23
|
4,197
|
Hilton Worldwide Holdings, Inc. (a)
|
104
|
23,694
|
McDonald's Corp. (a)
|
134
|
41,918
|
Yum! Brands, Inc. (a)
|
202
|
31,813
|
|
|
156,706
|
Household Products — 0.5%
|
||
Church & Dwight Co., Inc.
|
61
|
6,655
|
Procter & Gamble Co. (The) (a)
|
48
|
8,199
|
|
|
14,854
|
Industrial Conglomerates — 0.8%
|
||
3M Co.
|
166
|
24,406
|
Insurance — 4.3%
|
||
Aon plc, Class A
|
109
|
43,481
|
Arch Capital Group Ltd.
|
25
|
2,403
|
Arthur J Gallagher & Co. (a)
|
134
|
46,326
|
Chubb Ltd.
|
12
|
3,634
|
Marsh & McLennan Cos., Inc.
|
13
|
3,076
|
INVESTMENTS
|
SHARES
(000)
|
VALUE
($000)
|
Long Positions — continued
|
||
Common Stocks — continued
|
||
Insurance — continued
|
||
Progressive Corp. (The) (a)
|
63
|
17,795
|
Ryan Specialty Holdings, Inc.
|
123
|
9,114
|
|
|
125,829
|
Interactive Media & Services — 6.6%
|
||
Alphabet, Inc., Class C
|
108
|
16,865
|
Alphabet, Inc., Class A (a)
|
419
|
64,705
|
Meta Platforms, Inc., Class A (a)
|
183
|
105,706
|
Pinterest, Inc., Class A *
|
183
|
5,684
|
|
|
192,960
|
IT Services — 0.8%
|
||
Cognizant Technology Solutions Corp., Class A
|
254
|
19,440
|
MongoDB, Inc. *
|
15
|
2,676
|
|
|
22,116
|
Life Sciences Tools & Services — 1.4%
|
||
Agilent Technologies, Inc.
|
53
|
6,182
|
Thermo Fisher Scientific, Inc. (a)
|
69
|
34,179
|
|
|
40,361
|
Machinery — 1.9%
|
||
Ingersoll Rand, Inc.
|
362
|
28,974
|
Otis Worldwide Corp.
|
253
|
26,122
|
|
|
55,096
|
Media — 0.3%
|
||
Charter Communications, Inc., Class A *
|
21
|
7,878
|
Multi-Utilities — 1.7%
|
||
Ameren Corp.
|
70
|
7,014
|
CMS Energy Corp.
|
182
|
13,687
|
Dominion Energy, Inc.
|
309
|
17,318
|
NiSource, Inc.
|
261
|
10,462
|
|
|
48,481
|
Oil, Gas & Consumable Fuels — 4.3%
|
||
Cheniere Energy, Inc.
|
27
|
6,268
|
ConocoPhillips (a)
|
232
|
24,299
|
Diamondback Energy, Inc.
|
13
|
2,069
|
EOG Resources, Inc.
|
23
|
2,989
|
Exxon Mobil Corp. (a)
|
542
|
64,424
|
Marathon Petroleum Corp.
|
10
|
1,503
|
TC Energy Corp. (Canada)
|
520
|
24,553
|
Williams Cos., Inc. (The)
|
26
|
1,565
|
|
|
127,670
|
Personal Care Products — 0.3%
|
||
Kenvue, Inc.
|
321
|
7,695
|
INVESTMENTS
|
SHARES
(000)
|
VALUE
($000)
|
Long Positions — continued
|
||
Common Stocks — continued
|
||
Pharmaceuticals — 3.1%
|
||
Bristol-Myers Squibb Co. (a)
|
482
|
29,403
|
Eli Lilly & Co. (a)
|
32
|
26,326
|
Johnson & Johnson (a)
|
208
|
34,571
|
|
|
90,300
|
Professional Services — 0.5%
|
||
Booz Allen Hamilton Holding Corp.
|
65
|
6,790
|
Equifax, Inc.
|
30
|
7,386
|
|
|
14,176
|
Residential REITs — 0.2%
|
||
American Homes 4 Rent, Class A
|
193
|
7,308
|
Semiconductors & Semiconductor Equipment — 14.5%
|
||
Advanced Micro Devices, Inc. *
|
42
|
4,313
|
Analog Devices, Inc.
|
109
|
21,982
|
ASML Holding NV (Registered), NYRS (Netherlands)
|
24
|
15,568
|
Broadcom, Inc. (a)
|
254
|
42,608
|
Lam Research Corp.
|
19
|
1,401
|
Marvell Technology, Inc.
|
38
|
2,359
|
Microchip Technology, Inc.
|
328
|
15,857
|
Micron Technology, Inc.
|
265
|
23,026
|
NVIDIA Corp. (a)
|
1,867
|
202,325
|
NXP Semiconductors NV (China)
|
114
|
21,663
|
ON Semiconductor Corp. *
|
90
|
3,648
|
Taiwan Semiconductor Manufacturing Co. Ltd., ADR (Taiwan)
|
223
|
37,092
|
Texas Instruments, Inc. (a)
|
183
|
32,909
|
|
|
424,751
|
Software — 10.1%
|
||
Cadence Design Systems, Inc. *
|
20
|
5,175
|
Crowdstrike Holdings, Inc., Class A *
|
8
|
2,712
|
Microsoft Corp. (a)
|
537
|
201,540
|
Oracle Corp.
|
44
|
6,116
|
Roper Technologies, Inc.
|
8
|
4,934
|
Salesforce, Inc. (a)
|
163
|
43,637
|
ServiceNow, Inc. *
|
32
|
25,587
|
Synopsys, Inc. *
|
15
|
6,637
|
|
|
296,338
|
Specialized REITs — 1.8%
|
||
American Tower Corp.
|
135
|
29,277
|
Digital Realty Trust, Inc.
|
18
|
2,614
|
Equinix, Inc.
|
14
|
11,123
|
Extra Space Storage, Inc.
|
40
|
5,947
|
SBA Communications Corp.
|
21
|
4,689
|
|
|
53,650
|
INVESTMENTS
|
SHARES
(000)
|
VALUE
($000)
|
Long Positions — continued
|
||
Common Stocks — continued
|
||
Specialty Retail — 3.9%
|
||
AutoZone, Inc. *
|
3
|
10,718
|
Best Buy Co., Inc.
|
56
|
4,103
|
Burlington Stores, Inc. * (a)
|
132
|
31,458
|
Lowe's Cos., Inc. (a)
|
255
|
59,593
|
Ross Stores, Inc.
|
62
|
7,906
|
|
|
113,778
|
Technology Hardware, Storage & Peripherals — 6.1%
|
||
Apple, Inc. (a)
|
648
|
143,842
|
Dell Technologies, Inc., Class C
|
32
|
2,872
|
Hewlett Packard Enterprise Co.
|
356
|
5,496
|
Sandisk Corp. *
|
26
|
1,242
|
Seagate Technology Holdings plc
|
264
|
22,463
|
Western Digital Corp. *
|
78
|
3,165
|
|
|
179,080
|
Trading Companies & Distributors — 0.1%
|
||
United Rentals, Inc.
|
4
|
2,762
|
WW Grainger, Inc.
|
2
|
1,450
|
|
|
4,212
|
Wireless Telecommunication Services — 0.3%
|
||
T-Mobile US, Inc.
|
30
|
8,017
|
Total Common Stocks
(Cost $2,467,195)
|
|
3,513,479
|
Short-Term Investments — 2.3%
|
||
Investment Companies — 2.3%
|
||
JPMorgan Prime Money Market Fund Class IM Shares, 4.43% (b) (c)(Cost $68,535)
|
68,515
|
68,536
|
Total Long Positions
(Cost $2,535,730)
|
|
3,582,015
|
Short Positions — (22.1)%
|
||
Common Stocks — (22.1)%
|
||
Aerospace & Defense — (0.6)%
|
||
General Dynamics Corp.
|
(20
)
|
(5,391
)
|
Huntington Ingalls Industries, Inc.
|
(28
)
|
(5,782
)
|
L3Harris Technologies, Inc.
|
(27
)
|
(5,531
)
|
|
|
(16,704
)
|
Air Freight & Logistics — (0.2)%
|
||
Expeditors International of Washington, Inc.
|
(51
)
|
(6,181
)
|
Automobiles — (0.4)%
|
||
Ford Motor Co.
|
(1,021
)
|
(10,243
)
|
Banks — (0.4)%
|
||
Citizens Financial Group, Inc.
|
(133
)
|
(5,474
)
|
Huntington Bancshares, Inc.
|
(477
)
|
(7,156
)
|
|
|
(12,630
)
|
INVESTMENTS
|
SHARES
(000)
|
VALUE
($000)
|
Short Positions — continued
|
||
Common Stocks — continued
|
||
Beverages — (0.2)%
|
||
Molson Coors Beverage Co., Class B
|
(72
)
|
(4,406
)
|
Biotechnology — (0.3)%
|
||
Amgen, Inc.
|
(29
)
|
(8,901
)
|
Building Products — (0.3)%
|
||
Johnson Controls International plc
|
(116
)
|
(9,274
)
|
Capital Markets — (1.1)%
|
||
Bank of New York Mellon Corp. (The)
|
(35
)
|
(2,972
)
|
Blackrock, Inc.
|
(3
)
|
(3,041
)
|
Cboe Global Markets, Inc.
|
(9
)
|
(2,114
)
|
Coinbase Global, Inc., Class A *
|
(8
)
|
(1,312
)
|
FactSet Research Systems, Inc.
|
(14
)
|
(6,220
)
|
Franklin Resources, Inc.
|
(365
)
|
(7,032
)
|
State Street Corp.
|
(101
)
|
(9,002
)
|
|
|
(31,693
)
|
Chemicals — (0.1)%
|
||
Eastman Chemical Co.
|
(30
)
|
(2,608
)
|
Commercial Services & Supplies — (0.3)%
|
||
Republic Services, Inc.
|
(9
)
|
(2,117
)
|
Veralto Corp.
|
(15
)
|
(1,442
)
|
Waste Management, Inc.
|
(27
)
|
(6,382
)
|
|
|
(9,941
)
|
Communications Equipment — (0.5)%
|
||
Cisco Systems, Inc.
|
(239
)
|
(14,759
)
|
Consumer Finance — (0.1)%
|
||
Synchrony Financial
|
(55
)
|
(2,924
)
|
Consumer Staples Distribution & Retail — (0.9)%
|
||
Dollar General Corp.
|
(78
)
|
(6,859
)
|
Sysco Corp.
|
(197
)
|
(14,774
)
|
Target Corp.
|
(35
)
|
(3,654
)
|
|
|
(25,287
)
|
Containers & Packaging — (0.1)%
|
||
International Paper Co.
|
(79
)
|
(4,227
)
|
Electric Utilities — (1.5)%
|
||
American Electric Power Co., Inc.
|
(91
)
|
(9,978
)
|
Duke Energy Corp.
|
(49
)
|
(5,932
)
|
Eversource Energy
|
(156
)
|
(9,674
)
|
Exelon Corp.
|
(85
)
|
(3,901
)
|
FirstEnergy Corp.
|
(227
)
|
(9,192
)
|
Pinnacle West Capital Corp.
|
(33
)
|
(3,184
)
|
PPL Corp.
|
(96
)
|
(3,459
)
|
|
|
(45,320
)
|
INVESTMENTS
|
SHARES
(000)
|
VALUE
($000)
|
Short Positions — continued
|
||
Common Stocks — continued
|
||
Electrical Equipment — (0.2)%
|
||
Acuity, Inc.
|
(14
)
|
(3,589
)
|
Rockwell Automation, Inc.
|
(11
)
|
(2,924
)
|
|
|
(6,513
)
|
Electronic Equipment, Instruments & Components — (0.2)%
|
||
Corning, Inc.
|
(96
)
|
(4,386
)
|
Energy Equipment & Services — (0.2)%
|
||
Halliburton Co.
|
(195
)
|
(4,943
)
|
Entertainment — (0.3)%
|
||
Netflix, Inc. *
|
(8
)
|
(7,723
)
|
Financial Services — (0.6)%
|
||
Global Payments, Inc.
|
(30
)
|
(2,898
)
|
PayPal Holdings, Inc. *
|
(110
)
|
(7,180
)
|
Voya Financial, Inc.
|
(88
)
|
(5,981
)
|
Western Union Co. (The)
|
(263
)
|
(2,782
)
|
|
|
(18,841
)
|
Food Products — (0.2)%
|
||
Kraft Heinz Co. (The)
|
(199
)
|
(6,046
)
|
Gas Utilities — (0.1)%
|
||
National Fuel Gas Co.
|
(45
)
|
(3,547
)
|
Health Care Equipment & Supplies — (0.5)%
|
||
Abbott Laboratories
|
(22
)
|
(2,898
)
|
Dentsply Sirona, Inc.
|
(208
)
|
(3,103
)
|
Dexcom, Inc. *
|
(62
)
|
(4,269
)
|
Zimmer Biomet Holdings, Inc.
|
(29
)
|
(3,235
)
|
|
|
(13,505
)
|
Health Care Providers & Services — (0.4)%
|
||
Centene Corp. *
|
(75
)
|
(4,568
)
|
Elevance Health, Inc.
|
(4
)
|
(1,622
)
|
HCA Healthcare, Inc.
|
(10
)
|
(3,450
)
|
Molina Healthcare, Inc. *
|
(9
)
|
(3,039
)
|
|
|
(12,679
)
|
Hotels, Restaurants & Leisure — (0.1)%
|
||
Choice Hotels International, Inc.
|
(32
)
|
(4,300
)
|
Insurance — (2.4)%
|
||
Aflac, Inc.
|
(54
)
|
(6,036
)
|
Allstate Corp. (The)
|
(73
)
|
(15,188
)
|
American International Group, Inc.
|
(116
)
|
(10,117
)
|
Globe Life, Inc.
|
(42
)
|
(5,527
)
|
Hartford Insurance Group, Inc. (The)
|
(60
)
|
(7,425
)
|
Kinsale Capital Group, Inc.
|
(13
)
|
(6,247
)
|
RenaissanceRe Holdings Ltd. (Bermuda)
|
(26
)
|
(6,144
)
|
INVESTMENTS
|
SHARES
(000)
|
VALUE
($000)
|
Short Positions — continued
|
||
Common Stocks — continued
|
||
Insurance — continued
|
||
Willis Towers Watson plc
|
(10
)
|
(3,307
)
|
WR Berkley Corp.
|
(141
)
|
(10,010
)
|
|
|
(70,001
)
|
Interactive Media & Services — (0.1)%
|
||
Snap, Inc., Class A *
|
(294
)
|
(2,562
)
|
IT Services — (0.9)%
|
||
Accenture plc (Ireland), Class A
|
(20
)
|
(6,293
)
|
Infosys Ltd. (India)
|
(200
)
|
(3,657
)
|
International Business Machines Corp.
|
(70
)
|
(17,364
)
|
|
|
(27,314
)
|
Life Sciences Tools & Services — (0.6)%
|
||
Bruker Corp.
|
(109
)
|
(4,557
)
|
Illumina, Inc. *
|
(49
)
|
(3,866
)
|
Revvity, Inc.
|
(56
)
|
(5,869
)
|
Waters Corp. *
|
(8
)
|
(3,120
)
|
|
|
(17,412
)
|
Machinery — (0.8)%
|
||
Donaldson Co., Inc.
|
(104
)
|
(6,948
)
|
Illinois Tool Works, Inc.
|
(49
)
|
(12,220
)
|
Snap-on, Inc.
|
(4
)
|
(1,461
)
|
Stanley Black & Decker, Inc.
|
(43
)
|
(3,265
)
|
|
|
(23,894
)
|
Media — (0.5)%
|
||
Fox Corp., Class A
|
(170
)
|
(9,625
)
|
Interpublic Group of Cos., Inc. (The)
|
(225
)
|
(6,104
)
|
|
|
(15,729
)
|
Multi-Utilities — (0.6)%
|
||
CenterPoint Energy, Inc.
|
(166
)
|
(6,003
)
|
Consolidated Edison, Inc.
|
(95
)
|
(10,493
)
|
|
|
(16,496
)
|
Office REITs — (0.0)% ^
|
||
SL Green Realty Corp.
|
—
|
—
|
Oil, Gas & Consumable Fuels — (0.9)%
|
||
APA Corp.
|
(61
)
|
(1,286
)
|
Coterra Energy, Inc.
|
(51
)
|
(1,468
)
|
Enbridge, Inc. (Canada)
|
(119
)
|
(5,265
)
|
Kinder Morgan, Inc.
|
(175
)
|
(5,002
)
|
Occidental Petroleum Corp.
|
(158
)
|
(7,796
)
|
ONEOK, Inc.
|
(33
)
|
(3,289
)
|
Valero Energy Corp.
|
(25
)
|
(3,288
)
|
|
|
(27,394
)
|
INVESTMENTS
|
SHARES
(000)
|
VALUE
($000)
|
Short Positions — continued
|
||
Common Stocks — continued
|
||
Passenger Airlines — (0.1)%
|
||
Southwest Airlines Co.
|
(101
)
|
(3,392
)
|
Pharmaceuticals — (0.4)%
|
||
Pfizer, Inc.
|
(199
)
|
(5,051
)
|
Zoetis, Inc.
|
(43
)
|
(7,104
)
|
|
|
(12,155
)
|
Professional Services — (0.6)%
|
||
Dayforce, Inc. *
|
(44
)
|
(2,552
)
|
Paychex, Inc.
|
(14
)
|
(2,081
)
|
Paycom Software, Inc.
|
(42
)
|
(9,260
)
|
Verisk Analytics, Inc.
|
(11
)
|
(3,265
)
|
|
|
(17,158
)
|
Retail REITs — (0.8)%
|
||
NNN REIT, Inc.
|
(179
)
|
(7,618
)
|
Realty Income Corp.
|
(194
)
|
(11,254
)
|
Simon Property Group, Inc.
|
(30
)
|
(4,997
)
|
|
|
(23,869
)
|
Semiconductors & Semiconductor Equipment — (1.6)%
|
||
Applied Materials, Inc.
|
(67
)
|
(9,718
)
|
ARM Holdings plc *
|
(81
)
|
(8,643
)
|
Intel Corp.
|
(118
)
|
(2,671
)
|
KLA Corp.
|
(4
)
|
(2,793
)
|
Monolithic Power Systems, Inc.
|
(5
)
|
(2,933
)
|
Qorvo, Inc. *
|
(41
)
|
(2,976
)
|
QUALCOMM, Inc.
|
(84
)
|
(12,920
)
|
Skyworks Solutions, Inc.
|
(43
)
|
(2,801
)
|
|
|
(45,455
)
|
Software — (0.4)%
|
||
Adobe, Inc. *
|
(5
)
|
(1,988
)
|
Bill Holdings, Inc. *
|
(17
)
|
(773
)
|
Workday, Inc., Class A *
|
(36
)
|
(8,311
)
|
|
|
(11,072
)
|
Specialized REITs — (0.2)%
|
||
Public Storage
|
(19
)
|
(5,847
)
|
Specialty Retail — (0.3)%
|
||
Home Depot, Inc. (The)
|
(28
)
|
(10,193
)
|
Technology Hardware, Storage & Peripherals — (0.6)%
|
||
HP, Inc.
|
(413
)
|
(11,450
)
|
NetApp, Inc.
|
(56
)
|
(4,918
)
|
|
|
(16,368
)
|
Textiles, Apparel & Luxury Goods — (0.1)%
|
||
Lululemon Athletica, Inc. *
|
(8
)
|
(2,223
)
|
INVESTMENTS
|
SHARES
(000)
|
VALUE
($000)
|
Short Positions — continued
|
||
Common Stocks — continued
|
||
Trading Companies & Distributors — (0.4)%
|
||
Fastenal Co.
|
(155
)
|
(12,046
)
|
Total Common Stocks
(Proceeds $(657,235))
|
|
(648,161
)
|
Total Short Positions
(Proceeds $(657,235))
|
|
(648,161
)
|
Total Investments — 100.0%
(Cost $1,878,495)
|
|
2,933,854
|
Liabilities in Excess of Other Assets — (0.0)% ^
|
|
(536
)
|
Net Assets — 100.0%
|
|
2,933,318
|
Percentages indicated are based on net assets.
|
||
Amounts presented as a dash ("-") represent amounts that round to less than a thousand.
|
Abbreviations
|
|
ADR
|
American Depositary Receipt
|
NYRS
|
New York Registry Shares
|
REIT
|
Real Estate Investment Trust
|
^
|
Amount rounds to less than 0.1% of net assets.
|
|
*
|
Non-income producing security.
|
|
(a)
|
All or a portion of this security is segregated as collateral for short sales. The
total value of securities segregated as collateral is $877,509.
|
|
(b)
|
Investment in an affiliated fund, which is registered under the Investment Company
Act of 1940, as amended, and is advised by J.P. Morgan
Investment Management Inc.
|
|
(c)
|
The rate shown is the current yield as of March 31, 2025.
|
|
DESCRIPTION
|
NUMBER OF
CONTRACTS
|
EXPIRATION DATE
|
TRADING CURRENCY
|
NOTIONAL
AMOUNT ($)
|
VALUE AND
UNREALIZED
APPRECIATION
(DEPRECIATION) ($)
|
Long Contracts
|
|
|
|
|
|
S&P 500 E-Mini Index
|
61
|
06/20/2025
|
USD
|
17,253
|
(274
)
|
Abbreviations
|
|
USD
|
United States Dollar
|
|
|
|
|
|
|
Level 1
Quoted prices
|
Level 2
Other significant
observable inputs
|
Level 3
Significant
unobservable inputs
|
Total
|
Total Investments in Securities (a)
|
$3,582,015
|
$—
|
$—
|
$3,582,015
|
Total Liabilities in Securities Sold Short (a)
|
$(648,161
)
|
$—
|
$—
|
$(648,161
)
|
Depreciation in Other Financial Instruments
|
|
|
|
|
Futures Contracts (a)
|
$(274
)
|
$—
|
$—
|
$(274
)
|
|
|
(a)
|
Please refer to the SOI for specifics of portfolio holdings.
|
|
|||||||||
For the period ended March 31, 2025
|
|||||||||
Security Description
|
Value at
June 30,
2024
|
Purchases at
Cost
|
Proceeds from
Sales
|
Net Realized
Gain (Loss)
|
Change in
Unrealized
Appreciation/
(Depreciation)
|
Value at
March 31,
2025
|
Shares at
March 31,
2025
|
Dividend
Income
|
Capital Gain
Distributions
|
JPMorgan Prime Money Market Fund Class IM Shares,
4.43% (a) (b)
|
$62,838
|
$825,135
|
$819,446
|
$8
|
$1
|
$68,536
|
68,515
|
$2,201
|
$—
|
|
|
(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 March 31, 2025.
|