0000019617-17-000450.txt : 20170627 0000019617-17-000450.hdr.sgml : 20170627 20170627111805 ACCESSION NUMBER: 0000019617-17-000450 CONFORMED SUBMISSION TYPE: 11-K PUBLIC DOCUMENT COUNT: 4 CONFORMED PERIOD OF REPORT: 20161231 FILED AS OF DATE: 20170627 DATE AS OF CHANGE: 20170627 FILER: COMPANY DATA: COMPANY CONFORMED NAME: JPMORGAN CHASE & CO CENTRAL INDEX KEY: 0000019617 STANDARD INDUSTRIAL CLASSIFICATION: NATIONAL COMMERCIAL BANKS [6021] IRS NUMBER: 132624428 STATE OF INCORPORATION: DE FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 11-K SEC ACT: 1934 Act SEC FILE NUMBER: 001-05805 FILM NUMBER: 17931498 BUSINESS ADDRESS: STREET 1: 270 PARK AVE STREET 2: 38TH FL CITY: NEW YORK STATE: NY ZIP: 10017 BUSINESS PHONE: 2122706000 MAIL ADDRESS: STREET 1: 270 PARK AVENUE CITY: NEW YORK STATE: NY ZIP: 10017 FORMER COMPANY: FORMER CONFORMED NAME: J P MORGAN CHASE & CO DATE OF NAME CHANGE: 20010102 FORMER COMPANY: FORMER CONFORMED NAME: CHASE MANHATTAN CORP /DE/ DATE OF NAME CHANGE: 19960402 FORMER COMPANY: FORMER CONFORMED NAME: CHEMICAL BANKING CORP DATE OF NAME CHANGE: 19920703 11-K 1 jpmc401k11-k2016.htm 11-K JPMC 401K Document


UNITED STATES

SECURITIES AND EXCHANGE COMMISSION
WASHINGTON, D.C. 20549
 
FORM 11-K
ANNUAL REPORT
(Mark One)
x
 
ANNUAL REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934
For the fiscal year ended December 31, 2016
OR
¨
 
TRANSITION REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934
For the transition period from                      to                     
Commission file number 1-5805
 
A.
 
Full title of the plan and the address of the plan, if different from that of issuer named below:
THE JPMORGAN CHASE 401(k)
SAVINGS PLAN
B.
 
Name of issuer of the securities held pursuant to the plan and the address of its principal executive office:
JPMORGAN CHASE & CO.
270 Park Avenue
New York, New York 10017



THE JPMORGAN CHASE 401(k) SAVINGS PLAN


Table of Contents




2

jpm401k2016mandma01.jpg

Report of Independent Registered Public Accounting Firm

To the Plan Participants and Plan Administrator of
The JPMorgan Chase 401(k) Savings Plan
New York, New York

We have audited the accompanying Statement of Net Assets Available for Benefits of The JPMorgan Chase 401(k) Savings Plan (the “Plan”) as of December 31, 2016 and 2015, and the related Statements of Changes in Net Assets Available for Benefits for the years then ended. These financial statements are the responsibility of the Plan’s management. Our responsibility is to express an opinion on these financial statements based on our audits.

We conducted our audits in accordance with the standards of the Public Company Accounting Oversight Board (United States). Those standards require that we plan and perform the audits to obtain reasonable assurance about whether the financial statements are free of material misstatement. The Plan is not required to have, nor were we engaged to perform, an audit of its internal control over financial reporting. Our audits included consideration of internal control over financial reporting as a basis for designing audit procedures that are appropriate in the circumstances, but not for the purpose of expressing an opinion on the effectiveness of the Plan’s internal control over financial reporting. Accordingly, we express no such opinion. An audit also includes examining, on a test basis, evidence supporting the amounts and disclosures in the financial statements. An audit also includes assessing the accounting principles used and significant estimates made by management, as well as evaluating the overall financial statement presentation. We believe that our audits provide a reasonable basis for our opinion.

In our opinion, the financial statements referred to above present fairly, in all material respects, the net assets available for benefits of the Plan as of December 31, 2016 and 2015, and the changes in net assets available for benefits of the Plan for the years then ended, in conformity with accounting principles generally accepted in the United States of America.

The supplemental schedules of (1) assets held at end of year as of December 31, 2016, and (2) assets both acquired and disposed of within the Plan year for the year ended December 31, 2016, have been subjected to audit procedures performed in conjunction with the audit of the Plan’s financial statements. The supplemental schedules are the responsibility of the Plan’s management. Our audit procedures included determining whether the supplemental schedules reconcile to the financial statements or the underlying accounting and other records, as applicable, and performing procedures to test the completeness and accuracy of the information presented in the supplemental schedules. In forming our opinion on the supplemental schedules, we evaluated whether the supplemental schedules, including their form and content, are presented in conformity with Department of Labor’s ("DOL") Rules and Regulations for Reporting and Disclosure under the Employee Retirement Income Security Act of 1974. In our opinion, the supplemental schedules are fairly stated, in all material respects, in relation to the financial statements as a whole.

image2a08.jpg
Meaden & Moore, Ltd.
Cleveland, Ohio

June 27, 2017




3




THE JPMORGAN CHASE 401(k) SAVINGS PLAN
Statements of Net Assets Available For Benefits



December 31,
2016
 
2015
Assets:
 
 
 
Investments at fair value
$
20,677,766,584

 
$
18,334,939,913

Investments at contract value
2,308,463,925

 
2,092,610,651

Total investments
22,986,230,509

 
20,427,550,564

 
 
 
 
Receivables:
 
 
 
Employers’ contributions
477,679,391

 
466,282,005

Notes receivable from participants
506,583,334

 
510,110,960

Due from brokers for investments sold
207,026,507

 
261,269,888

Participants’ contributions
22,857,943

 
21,965,213

Accrued interest and dividends
14,323,505

 
12,568,694

Other
4,437,110

 
1,526,965

Total receivables
1,232,907,790

 
1,273,723,725

 
 
 
 
Cash (noninterest-bearing)
11,148,338

 
11,601,007

Total assets
24,230,286,637


21,712,875,296

 
 
 
 
Liabilities:
 
 
 
Derivative payables
3,742,763

 
5,506,035

Total liabilities at fair value
3,742,763

 
5,506,035

Payable to brokers for investments purchased
458,078,155

 
502,988,403

Accrued expenses
3,089,342

 
3,768,790

Other
137,943

 
272,191

Total liabilities
465,048,203

 
512,535,419

Net assets available for benefits
$
23,765,238,434

 
$
21,200,339,877

The accompanying notes to financial statements are an integral part of these statements.

4


THE JPMORGAN CHASE 401(k) SAVINGS PLAN
Statements of Changes in Net Assets Available For Benefits



Years Ended December 31,
2016
 
2015
Additions:
 
 
 
Contributions:
 
 
 
Participants
$
938,394,177

 
$
914,517,721

Employers
471,284,262

 
461,018,182

Rollovers
150,428,421

 
137,047,045

Total contributions
1,560,106,860

 
1,512,582,948

Investment income:
 
 
 
Dividend income:
 
 
 
   JPMorgan Chase & Co. common stock
88,998,538

 
81,842,659

   Other
73,598,510

 
85,753,706

Interest income
61,865,335

 
63,289,913

Net appreciation in fair value of investments
2,416,834,511

 
89,185,884

Increase in net assets available for benefits from investment income
2,641,296,894

 
320,072,162

Interest income on notes receivable from participants
16,028,869

 
15,780,286

       Total additions
4,217,432,623

 
1,848,435,396

 
 
 
 
Deductions:
 
 
 
Benefits paid to participants
1,638,616,886

 
1,802,552,535

Administrative expenses
13,917,180

 
16,762,218

Total deductions
1,652,534,066

 
1,819,314,753

Net increase
2,564,898,557

 
29,120,643

Net assets available for benefits, beginning of year
21,200,339,877

 
21,171,219,234

Net assets available for benefits, end of year
$
23,765,238,434

 
$
21,200,339,877

The accompanying notes to financial statements are an integral part of these statements.


5


THE JPMORGAN CHASE 401(k) SAVINGS PLAN
Notes to Financial Statements
December 31, 2016 and 2015




1. Description of the Plan
The JPMorgan Chase 401(k) Savings Plan (“Plan”) is a defined contribution plan sponsored by JPMorgan Chase Bank, National Association (“JPMorgan Chase Bank, N.A.”), a wholly-owned bank subsidiary of JPMorgan Chase & Co. (“JPMorgan Chase”), which is a leading global financial services firm and one of the largest banking institutions in the United States of America (“U.S.”), with operations worldwide. JPMorgan Chase Bank, N.A. is a national banking association that has retail branches in 23 states and operates nationally as well as through overseas branches and subsidiaries, representative offices and subsidiary foreign banks.
The following is a general description of the Plan. Refer to the Plan’s Summary Plan Description and legal plan document for a more complete description of the Plan.
General
The Plan enables eligible employees (i.e., Participants) of JPMorgan Chase and certain of its affiliated companies to save and invest for their retirement in an individual account. All amounts contributed to a Participant’s account under the Plan are held in a trust fund administered by JPMorgan Chase Bank, N.A., as Trustee.
The Plan is administered by a plan administrator who is appointed by the Board of Directors of JPMorgan Chase or JPMorgan Chase Bank, N.A. The Plan is subject to the provisions of the Employee Retirement Income Security Act of 1974, as amended (“ERISA”). The Plan is designed to comply with Section 404(c) of ERISA and the related regulations. As a result, the Plan’s fiduciaries may be released from liability for any losses that result from the Participant’s individual investment decisions.
Eligibility
Full-time employees are eligible to enroll in the Plan as of their first day of employment. Part-time employees are eligible to participate after completing 60 days of service. Newly hired and rehired eligible employees are automatically enrolled in the Plan at a 3% before-tax contribution rate unless they otherwise enroll themselves or opt out of the Plan within their first 31 days of eligibility. Further, unless the employees elect a different rate, for employees who are automatically enrolled, their contribution rate is automatically increased annually by 1% until they reach a before-tax contribution rate of 5%. Unless another investment election is chosen, Participant contributions are invested in one of the Plan’s qualified default investment funds, the Target Date Funds.
Contributions
Participant contributions
The Plan allows Participants to defer on a pre-tax and/or Roth 401(k) basis through payroll deductions up to 50% (in 1% increments) of their eligible compensation subject to certain legal limitations (“Contributions”). Eligible compensation generally means base salary/regular pay and variable incentive compensation. Eligible compensation excludes overtime, sign-on bonuses and similar awards, referral awards, stipends, non-cash awards (such as equity awards), and allowances. The maximum annual eligible compensation under the Plan may not exceed the applicable statutory limit.
In addition, Participants who are age 50 or older are permitted to make additional Contributions known as “catch-up” contributions.
Employer matching contributions
Generally, except as discussed below, each contributing employer (“Contributing Employer”) makes an annual matching contribution ("Matching Contribution") on behalf of each Participant who has completed one year of service in an amount equal to 100% of the Participant’s Contributions up to 5% of eligible compensation – provided that the Participant is employed by the Firm at the end of the calendar year, unless certain specified conditions are met. Participants whose total annual cash compensation is $250,000 or more are not eligible to receive Matching Contributions. The determination of total annual cash compensation is made each August 1 and applies for the next succeeding calendar year.
Matching Contributions are invested in the same manner as a Participant’s Contributions.
Employer discretionary contributions
In December 2016 and 2015, JPMorgan Chase Bank, N.A., on behalf of each Contributing Employer, announced the granting of discretionary contributions to certain non-highly compensated employees. The contributions were allocated to the accounts of the eligible employees in January 2017 and 2016, respectively. The awards were immediately 100% vested and were invested in the same manner as the Participants’ Contributions or, in the absence of such an election, a Target Date Fund as described above.



6


THE JPMORGAN CHASE 401(k) SAVINGS PLAN
Notes to Financial Statements
December 31, 2016 and 2015



Rollover contributions
The Plan accepts qualifying rollover contributions made by Participants in cash from qualified retirement plans of other employers; individual retirement accounts (“IRA”); governmental 457 plans; and 403(b) annuity plans. After-tax rollovers are not accepted by the Plan; however the Plan accepts Roth 401(k) rollovers.
Dividend election
The JPMorgan Chase Common Stock Fund has been designated as a nonleveraged employee stock ownership plan. As such, Participants may elect to have any dividends attributable to their vested balance paid to them on a quarterly basis rather than reinvested; the dividend payments are not subject to an early distribution tax penalty. If a Participant makes no election, the dividend income will automatically be reinvested in the Participant’s account in the JPMorgan Chase Common Stock Fund.
Vesting
A Participant’s Contributions are always 100% vested, including any associated investment performance (or “earnings”). Participants will become 100% vested in the value of the Matching Contributions, including any associated investment performance, after they have completed three years of service. Employer discretionary contributions, if any, vest according to the schedule communicated at the time they were announced.
Forfeited accounts
Matching Contributions that are forfeited can be used to reduce a Contributing Employer’s future Matching Contributions and/or Plan expenses that would otherwise be paid directly by the Contributing Employer. For the years ended December 31, 2016 and 2015, $4,652,332 and $6,363,747, respectively, of the forfeited amounts were used to reduce Contributing Employer’s Matching Contributions.
Distributions
Withdrawal of contributions
The Plan allows a Participant to withdraw all or any portion of his or her vested account balance attributable to after-tax contributions or contributions rolled over from another qualified plan or IRA, if any. Certain individuals who participated in prior plans may also withdraw other types of nonforfeitable employer contributions, subject to certain restrictions.
Participants who have withdrawn all amounts permissible under the preceding paragraph may request to withdraw up to the remaining amount of their vested account balance only upon attaining age 591/2 or for reasons of financial hardship (limited to amounts that are eligible to be withdrawn for financial hardship per plan provisions).
The Plan allows for in-plan Roth conversions whereby certain Plan Participants who are eligible to take an in-service withdrawal or distribution can convert certain non-Roth account balances in the Plan to Roth accounts.
Payment of vested benefits
A Participant who terminates employment may elect to receive the value of his or her vested benefit under the Plan. In the event of the death of a married Participant, fully vested benefits will be distributed to the Participant’s spouse or to another beneficiary if the spouse previously consented. An unmarried Participant may designate anyone as his or her beneficiary. If there is no spouse or living beneficiary on the date of the Participant’s death, the value of the vested benefit is distributed to the Participant’s estate.
A terminated Participant whose vested account balance under the Plan (including loans) is $1,000 or more may elect to: (1) receive a lump sum payment; (2) obtain a rollover payment to an IRA (traditional or Roth) or another employer’s qualified plan; (3) receive monthly, quarterly or annual installments over a period not exceeding their life expectancy, or (4) defer receipt of the distribution until April 1 of the year after they attain the age of 701/2. A Participant will be deemed to have elected to defer receipt of his or her account balance to April 1 of the year following the year in which he or she attains age 701/2 unless otherwise elected by the month following the date of his or her 65th birthday.
If a terminated Participant’s vested account balance does not exceed $1,000, the account balance, less any required income tax withholding, will be paid to the Participant in a single lump sum. However, the Participant may elect to directly roll over the distribution to an IRA (traditional or Roth) or another employer’s qualified plan without any required income tax withholding.
Notes receivable from participants
The Plan permits Participants to borrow a portion of their vested account balance without paying income taxes or incurring income tax penalties. The minimum loan amount is $1,000. The maximum aggregate amount of all loans to any Participant under the Plan is the lesser of $50,000 (reduced by the highest loan balance outstanding during the 12-month period preceding the date of the new loan) or 50% of the vested value of their account balance. The interest rate on a loan is based on the prime rate in effect on the first business day of the month, and it is fixed for the duration of the loan. Generally, loans must be paid off within five years. If, however, the loan is for the purchase of a principal residence, the repayment period may be up to 15 years. The Plan

7


THE JPMORGAN CHASE 401(k) SAVINGS PLAN
Notes to Financial Statements
December 31, 2016 and 2015



limits Participants to two outstanding loans at any time. Loan principal and interest are paid through payroll deductions. Notes receivable from participants in the Statement of Net Assets Available for Benefits are measured at the principal amount outstanding.
Administrative expenses
To the extent not paid in full or in part by the Contributing Employers, the trustee uses Plan assets to pay the expenses of the Plan, such as taxes (if any) incurred on the income or assets of the trust, brokerage commissions and other expenses associated with the purchase and sale of investments, investment management fees and other expenses directly attributable to the administration of the Plan.
2. Summary of significant accounting policies
Basis of presentation
The accounting and financial reporting policies of the Plan conform to accounting principles generally accepted in the United States of America (“U.S. GAAP”).
Use of estimates in the preparation of financial statements
The preparation of financial statements requires Plan management to make estimates and assumptions that affect the reported amounts of assets, liabilities and changes in net assets available for benefits, and the disclosure of contingent assets and liabilities. Actual results could be different from these estimates.
Investment valuation
Investments are recorded at fair value, except for the synthetic guaranteed investment contracts ("synthetic GICs"), which are recorded at contract value. Investments measured at fair value include certain investments that use the net asset value per share ("NAV") or its equivalent as a practical expedient. For information related to the Plan’s valuation methodologies for its investments recorded at fair value, see Note 3.
Fully benefit-responsive investment contracts/synthetic GICs
A synthetic GIC is an investment contract in which the Plan owns the underlying assets and purchases fully benefit-responsive wrapper contracts from independent third parties (“Issuers”), which provide market value and cash flow risk protection to the Plan. The Plan accounts for synthetic GICs at contract value.
Contract value is the relevant measurement attribute for that portion of the net assets available for benefits of the Plan that are attributable to fully benefit-responsive investment contracts. Contract value is used because that is the amount Participants would receive if they were to initiate permitted transactions under the terms of the Plan. The Statements of Changes in Net Assets Available for Benefits is prepared on a basis that reflects income credited to Participants but not realized and unrealized gains and losses on the investment contracts.
Participant withdrawals
Participant withdrawals are recorded when paid.
Differences between financial statements and Form 5500
The Plan does not reflect as liabilities amounts allocated to the accounts of Participants who have elected to withdraw from the Plan but have not yet been paid. The Department of Labor, however, requires that these amounts be reported as a liability on Form 5500. Similarly, amounts allocated to withdrawals by Participants that have been processed and approved for payment prior to December 31, but are not yet paid as of that date are recorded on the Form 5500 as benefits paid.

The following is a reconciliation of net assets available for benefits as disclosed in the financial statements to the Form 5500:
 
 
At December 31,
 
 
2016
 
2015
Net assets available for benefits per the financial statements
 
$
23,765,238,434

 
$
21,200,339,877

Less: Amounts allocated to withdrawing Participants
 
(6,339,517
)
 

Net assets available for benefits per Form 5500
 
$
23,758,898,917

 
$
21,200,339,877








8


THE JPMORGAN CHASE 401(k) SAVINGS PLAN
Notes to Financial Statements
December 31, 2016 and 2015



The following is a reconciliation of benefits paid to Participants as disclosed in the financial statements to Form 5500:
 
 
Year ended December 31,
 
 
2016
 
2015
Benefits paid to Participants per the financial statements
 
$
1,638,616,886

 
$
1,802,552,535

Add: Amounts allocated to withdrawing Participants at end of year
 
6,339,517

 

Benefits paid to Participants per Form 5500
 
$
1,644,956,403

 
$
1,802,552,535

Foreign currency translation
The Plan revalues assets and liabilities denominated in foreign (i.e., non-U.S.) currencies into U.S. dollars using applicable exchange rates as of the date of the Statements of Net Assets Available for Benefits. Income and expenses denominated in foreign currencies are revalued at the exchange rates prevailing at the date of the transaction.
Accounting and reporting developments
Financial Accounting Standards Board (“FASB”) Standards Issued but not yet Adopted
Standard
 
Summary of guidance
 
Effects on financial statements
Financial instruments - credit losses
                                               Issued June 2016
 
 • Replaces existing incurred loss impairment guidance and establishes a single allowance framework for financial assets carried at amortized cost, which will reflect the Plan's estimate of credit losses over the full remaining expected life of the financial assets.
 
 • Required effective date: January 1, 2021.
 • The Plan is currently evaluating the potential impact, if any, on the financial statements.

3. Fair value measurements
Determination of fair value
Following is a description of the Plan’s valuation methodologies for assets and liabilities measured at fair value. The Plan has an established and well-documented process for determining fair values. Fair value is defined as the price that would be received to sell an asset or paid to transfer a liability in an orderly transaction between market participants at the measurement date. Fair value is based on quoted market prices, where available. If listed prices or quotes are not available, fair value is based on models that consider relevant transaction characteristics (such as maturity) and use as inputs observable or unobservable market parameters, including but not limited to yield curves, interest rates, volatilities, equity or debt prices, foreign exchange rates and credit curves. Valuation adjustments may be made to ensure that financial instruments are recorded at fair value. These adjustments may include amounts to reflect constraints on liquidity and unobservable parameters when the Plan is unable to observe a recent market price for a financial instrument that trades in inactive (or less active) markets or to reflect the cost of exiting larger-than-normal market-size risk positions. Liquidity adjustments are not taken for positions classified within level 1 (as defined below) of the fair value hierarchy.
The Plan uses various methodologies and assumptions in the determination of fair value. The use of different methodologies or assumptions by other market participants compared with those used by the Plan could result in a different estimate of fair value at the reporting date.
During 2016, no changes were made to the Plan's valuation model that had, or are expected to have, a material impact on the Plan's Statements of Changes in Net Assets Available for Benefits.
Valuation hierarchy
A three-level valuation hierarchy has been established under U.S. GAAP for disclosure of fair value measurements. The valuation hierarchy is based on the transparency of inputs to the valuation of an asset or liability as of the measurement date. The three levels are defined as follows:
Level 1 — inputs to the valuation methodology are quoted prices (unadjusted) for identical assets or liabilities in active markets.
Level 2 — inputs to the valuation methodology include quoted prices for similar assets and liabilities in active markets, and inputs that are observable for the asset or liability, either directly or indirectly, for substantially the full term of the financial instrument.
Level 3 — one or more inputs to the valuation methodology are unobservable and significant to the fair value measurement.
A financial instrument’s categorization within the valuation hierarchy is based on the lowest level of input that is significant to the fair value measurement.

9


THE JPMORGAN CHASE 401(k) SAVINGS PLAN
Notes to Financial Statements
December 31, 2016 and 2015



Following is a description of the valuation methodologies used for instruments measured at fair value, including the general classification of such instruments pursuant to the valuation hierarchy.
Assets and liabilities
Equity securities
JPMorgan Chase & Co. common stock is valued at the closing price reported on the New York Stock Exchange and is classified within level 1 of the valuation hierarchy. Other common and preferred stocks are valued at the closing price reported on the major stock exchange on which the individual securities are traded and are generally classified within level 1 of the valuation hierarchy. If quoted exchange prices are not available for the specific common stock, other independent pricing services or broker quotes are consulted for valuation purposes. Consideration is given to the nature of the quotes (e.g., indicative or firm) and the relationship of recently evidenced market activity to the prices provided from independent pricing services. Other common and preferred stocks that do not have quoted exchange prices are generally classified within level 2 of the valuation hierarchy.
Corporate and U.S. federal, state, local and non-U.S. government debt securities
The Plan estimates the value of debt instruments using a combination of observed transaction prices, independent pricing services and relevant broker quotes. Consideration is given to the nature of the quotes (e.g., indicative or firm) and the relationship of recently evidenced market activity to the prices provided from independent pricing services. The Plan may also use pricing models or discounted cash flows. Such securities are generally classified within level 1 or 2 of the valuation hierarchy.
Mortgage-backed securities
Mortgage-backed securities (“MBS”) include both U.S. government agency and U.S. government-sponsored enterprise (collectively, “U.S. government agencies”) securities, and nonagency pass-through securities. Nonagency securities are primarily residential and commercial MBS valued using a combination of observed transaction prices, independent pricing services and relevant broker quotes. Consideration is given to the nature of the quotes and the relationships of recently evidenced market activity to the prices provided from independent pricing services. The Plan may also use pricing models or discounted cash flows. Such securities are generally classified within level 1 or 2 of the valuation hierarchy.
Money market funds and other
These investments predominantly consist of U.S. government money market funds and securities purchased under resale agreements (“resale agreements”). Money market funds are valued based on the amortized cost method which approximates fair value and are classified within level 1 or 2 of the valuation hierarchy. To estimate the fair value of resale agreements, cash flows are evaluated taking into consideration the terms of the resale agreement and are then discounted using the appropriate market rates for the applicable maturity. As the inputs into the valuation are primarily based on readily observable pricing information, such resale agreements are classified within level 2 of the valuation hierarchy.
Derivatives
Exchange-traded derivatives valued using exchange prices are classified within level 1 of the valuation hierarchy. However, few classes of derivative contracts are listed on an exchange; thus, the Plan’s derivative positions are predominantly valued using either relevant broker quotes or models. Both methodologies use readily observable market parameters as their basis — that is, parameters that are actively quoted and can be validated to external sources, including industry pricing services. Depending on the types and contractual terms of derivatives, fair value can be modeled using a series of techniques, such as the Black-Scholes option pricing model, simulation models or a combination of various models, which are consistently applied. Where derivative products have been established for some time, the Plan uses models that are widely accepted in the financial services industry. These models reflect the contractual terms of the derivatives, including the period to maturity, and readily observable parameters including interest rates and volatility, and the credit quality of the counterparty. Further, many of these models do not contain a high level of subjectivity, as the methodologies used in the models do not require significant judgment, and inputs to the model are readily observable from actively quoted markets, as is the case for “plain vanilla” interest rate swaps, option contracts and credit default swaps. Such instruments are generally classified within level 2 of the valuation hierarchy. See Note 6 for further information on derivative instruments.
Common/collective trust funds and registered investment companies
These investments are public investment vehicles valued based on the calculated NAV of the fund. Where the funds produce a daily NAV that is validated by a sufficient level of observable activity (i.e., purchases and sales at NAV), the NAV is used to value the fund investment, and it is classified in level 1 of the valuation hierarchy. Where adjustments to the NAV are required, for example, with respect to interests in funds subject to restrictions on redemption (such as lock-up periods or withdrawal limitations) and/or observable activity for the fund investment is limited, the registered investment company investments are classified within level 2 of the valuation hierarchy. The Plan measures certain common/collective trust funds using the net asset value per share (or its equivalent) as a practical expedient.

10


THE JPMORGAN CHASE 401(k) SAVINGS PLAN
Notes to Financial Statements
December 31, 2016 and 2015



Investments measured at net asset value
The Plan uses the NAV to determine the fair value of multiple investments, including: (1) investments that have readily determinable fair values, which are classified in level 1 of the valuation hierarchy; and (2) investments that (a) do not have a readily determinable fair value and (b) either have the attributes of an investment company or prepare their financial statements consistent with the measurement principles of an investment company. These investments consist predominantly of investments in certain common/collective trust funds and registered investment companies.
The investment strategies for common/collective trust funds and registered investment companies underlying investments vary, and they may invest directly and indirectly in a broad range of equities, debt and derivative investments with the objective of mirroring or exceeding the total return of certain market indices (e.g., S&P 500 Index, Russell 1000 Index, Bloomberg Barclays U.S. Aggregate Bond Index). Strategies may vary based on global macroeconomic views, expected directional movements in the financial markets, market capitalization (e.g., large, medium or small cap stocks), and other strategies. Certain of these investments could be subject to restrictions on redemption in the future as indicated above; and certain of these investments may be sold based on the level of capital markets activity, market levels, the performance of the broader economy and investments-specific issues.
The Plan has no commitments to make additional investments in financial instruments that are valued at NAV.
The following tables present the financial instruments carried at fair value as of December 31, 2016 and 2015, by major product category and fair value hierarchy.
Assets and liabilities measured at fair value on a recurring basis
 
 
Fair value hierarchy
 
 
December 31, 2016
 
Level 1(b)
 
Level 2(b)
 
Total fair value
Equity securities:
 
 
 
 
 
 
JPMorgan Chase & Co.
 
$
4,067,931,934

 
$

 
$
4,067,931,934

Other equity securities
 
2,037,711,476

 
1,841

 
2,037,713,317

Total equity securities
 
6,105,643,410

 
1,841

 
6,105,645,251

Registered investment companies
 

 
419,741,062

 
419,741,062

Corporate debt securities(a)
 

 
1,342,941,411

 
1,342,941,411

U.S. federal, state, local and non-U.S. government securities
 
558,024,275

 
63,434,865

 
621,459,140

Mortgage-backed securities(a)
 
114,752,978

 
30,822,478

 
145,575,456

Money market funds and other
 
302,444,563

 

 
302,444,563

Derivatives receivables
 

 
9,562,673

 
9,562,673

Total assets measured at fair value(b)(c)
 
$
7,080,865,226

 
$
1,866,504,330

 
$
8,947,369,556

Investments measured at net asset value(c)
 
 
 
 
 
11,730,397,028

  Total investments at fair value
 
 
 
 
 
$
20,677,766,584

 
 
 
 
 
 
 
Derivative payables
 
$

 
$
3,742,763

 
$
3,742,763

Total liabilities measured at fair value
 
$

 
$
3,742,763

 
$
3,742,763
















11


THE JPMORGAN CHASE 401(k) SAVINGS PLAN
Notes to Financial Statements
December 31, 2016 and 2015



Assets and liabilities measured at fair value on a recurring basis
 
 
Fair value hierarchy
 
 
December 31, 2015
 
Level 1(b)
 
Level 2(b)
 
Total fair value
Equity securities:
 
 
 
 
 
 
JPMorgan Chase & Co
 
$
3,387,215,854

 
$

 
$
3,387,215,854

Other equity securities
 
1,889,766,339

 
398

 
1,889,766,737

Total equity securities
 
5,276,982,193

 
398

 
5,276,982,591

Registered investment companies
 
371,821,234

 
7,196,520

 
379,017,754

Corporate debt securities
 

 
1,127,436,082

 
1,127,436,082

U.S. federal, state, local and non-U.S. government securities
 
518,963,343

 
117,785,216

 
636,748,559

Mortgage-backed securities
 
94,673,602

 
31,409,653

 
126,083,255

Money market funds and other
 
308,698,722

 
1,200,013

 
309,898,735

Derivative receivables
 

 
3,174,129

 
3,174,129

Total assets measured at fair value(b)(c)
 
$
6,571,139,094

 
$
1,288,202,011

 
$
7,859,341,105

Investments measured at net asset value(c)
 
 
 
 
 
10,475,598,808

  Total investments at fair value
 
 
 
 
 
$
18,334,939,913

 
 
 
 
 
 
 
Derivative payables
 
$

 
$
5,506,035

 
$
5,506,035

Total liabilities measured at fair value
 
$

 
$
5,506,035

 
$
5,506,035

(a)
Certain investments for the year ended December 31, 2016 have limited observable inputs.
(b)
For the years ended December 31, 2016 and 2015, there were no material transfers between levels 1 and 2.
(c)
investments that are measured at fair value using the net asset value per share (or its equivalent) as a practical expedient are not required to be classified in the fair value hierarchy.
4. Investment program
As of December 31, 2016, the Plan offers Participants 29 investment options, which consists of: nine Target Date Funds (most of the underlying funds are index funds) and 20 core investment funds, which are composed of six fixed-income funds, nine domestic equity funds (five are index funds), three international equity funds (two are index funds), one emerging markets equity index fund, and the JPMorgan Chase Common Stock Fund.
Effective January 12, 2015, the Plan added the 2055 Target Date Fund to the Target Date Fund series. Effective November 6, 2015, the Plan no longer offered as investment options the Mid Cap Value Fund and the Mid Cap Growth Fund, and all assets that were in those funds were transferred to the S&P Mid-Cap 400 Index Fund, which became available for investment on November 9, 2015. Effective December 18, 2015, the Small Cap Core Fund was converted from a mutual fund format to a separate account format.
Effective March 11, 2016, the Target Date 2015 Fund merged into the Target Date Income Fund and the Core Bond Fund was converted from a mutual fund format to a commingled account format.
Fund transactions are processed on a daily basis and are recorded at an aggregate level within the Trust Fund. Great-West Financial Retirement Plan Services, LLC, administers the Plan.
Participants may elect to direct or change the allocation of their account balances and contributions in the investment funds on a daily basis. Participant requests for fund reallocations, transfers and distributions are processed on a daily basis using NAV. Changes become effective on the same business day if the New York Stock Exchange is open and the request is made before 4 p.m. Eastern Time, or by the close of the New York Stock Exchange, whichever is earlier. Otherwise, the changes become effective on the next business day.
The Plan Administrator may place restrictions on investments in the funds and on daily transfers and reallocations among funds.
5. Investments in synthetic guaranteed investment contracts
The Stable Value Fund invests in synthetic GICs, which are also known as wrapper contracts. A synthetic GIC is an investment contract issued by an insurance company or other financial institution that is backed by a portfolio of bonds or other fixed income securities (the “underlying assets”) that are owned by the Plan. The wrapper contract is designed to protect the contract value of these underlying assets. Under these contracts, realized and unrealized gains and losses on the underlying assets are not immediately recognized in the net assets of the Plan, but are amortized over the maturity or duration of the underlying assets,

12


THE JPMORGAN CHASE 401(k) SAVINGS PLAN
Notes to Financial Statements
December 31, 2016 and 2015



through adjustments to the future interest crediting rate of the synthetic GICs as discussed further below. The issuer of the wrapper contract guarantees that all qualified participant withdrawals will take place at the contract value.
The Plan accounts for synthetic GICs at contract value. Contract value represents contributions made under the contract, plus earnings, less Participant withdrawals and administrative expenses. Participants may customarily direct the withdrawal or transfer of all or a portion of their investment at contract value. The Plan has not recognized any reserves to reflect the credit risk of the issuer of the synthetic GIC or otherwise.
The Plan’s wrapper contracts permit all allowable Participant-initiated transactions to occur at contract value. There are no events known to the Plan that are probable of occurring that would limit its ability to transact at contract value with the issuer of the wrapper contract nor with Participants. The wrapper contracts cannot be terminated by their issuer at a value other than contract value or prior to the scheduled maturity date, except under a limited number of very specific circumstances including termination of the Plan or loss of qualified status of the Plan, material misrepresentations by the Plan sponsor or investment manager, failure by these same parties to meet material obligations under the contract, or other similar types of events.
The following is a summary of the Plan’s investments related to fully benefit-responsive contracts recorded at contract value:
Description
 
2016
2015
Synthetic GICs
 
 
 
Prudential Bond Wrapper
 
$
933,416,589

$
721,447,665

Metlife GAC Wrapper
 
672,478,218


VOYA Contract MCA Wrapper
 
352,577,665

331,775,704

State Street Bank Bond Wrapper
 
349,991,453

329,308,715

AIG Financial Products Bond Wrapper
 

710,075,887

State Street Bank Loan Wrapper
 

2,680

Total synthetic GICs
 
$
2,308,463,925

$
2,092,610,651

6. Derivative instruments
Derivative instruments enable end-users to modify or mitigate exposure to credit or market risks. Counterparties to a derivative contract seek to obtain risks and rewards similar to those that could be obtained from purchasing or selling a related cash instrument without having to exchange upfront the full purchase or sales price. The Plan uses derivatives to manage and invest in market risk exposures, predominantly using interest rate, foreign exchange and credit derivative contracts. For a further discussion of credit derivatives, see the discussion in the Credit derivatives section of this Note.
Accounting for derivatives
All derivatives are recorded on the Statements of Net Assets Available for Benefits at fair value, with all changes in fair value reflected in the Statements of Changes in Net Assets Available for Benefits.
Notional amount of derivative contracts
The following table summarizes the notional amount of derivative contracts outstanding as of December 31, 2016 and 2015.

13


THE JPMORGAN CHASE 401(k) SAVINGS PLAN
Notes to Financial Statements
December 31, 2016 and 2015



 
 
Notional amounts(a)
December 31,
 
2016
 
2015
Interest rate contracts
 
 
 
 
Swaps
 
$
289,760,000

 
$
397,472,079

Futures and forwards
 
80,595,000

 
40,813,750

Written options
 
115,620,000

 
84,900,000

Purchased options
 
142,800,000

 
213,300,000

Total interest rate contracts
 
628,775,000

 
736,485,829

Credit derivatives
 
89,502,502

 
133,145,967

Foreign exchange contracts
 
 
 
 
Spot, futures and forwards
 
117,287,844

 
106,730,463

Total foreign exchange contracts
 
117,287,844

 
106,730,463

Equity contracts
 
 
 
 
Futures and forwards
 
7,650

 
12,600

Written options
 
11,800,000

 
10,500,000

Warrants
 
2,998

 
5,996

Total equity contracts
 
11,810,648

 
10,518,596

Total derivative notional amounts
 
$
847,375,994

 
$
986,880,855

(a)
Represents the sum of gross long and gross short third-party notional derivative contracts.
While the notional amounts disclosed above give an indication of the volume of the Plan’s derivative activities, the notional amounts significantly exceed, in the Plan’s view, the possible losses that could arise from such transactions. For most derivative transactions, the notional amount is not exchanged; it is used simply as a reference to calculate payments.
Impact of derivatives on the Statements of Net Assets Available for Benefits
The following table summarizes the gross fair values of derivative receivables and payables ( irrespective of any legally enforceable master netting agreements) by contract type as of December 31, 2016 and 2015, respectively.
 
 
Gross derivative receivables
 
Gross derivative payables
December 31,
 
2016
 
2015
 
2016
 
2015
Contract type
 
 
 
 
 
 
 
 
Interest rate
 
$
7,306,586

 
$
1,276,508

 
$
3,162,132

 
$
3,642,746

Credit
 
970,589

 
816,062

 
306,832

 
1,068,246

Equity
 
51,356

 
122,138

 
8,894

 
10,162

Foreign exchange
 
1,234,142

 
959,421

 
264,905

 
784,881

Gross fair value of derivative receivables and payables
 
$
9,562,673

 
$
3,174,129

 
$
3,742,763

 
$
5,506,035

Derivatives gains and losses
The following table presents derivatives, by contract type, and the gains/(losses) recorded on such derivatives for the years ended December 31, 2016 and 2015, respectively. All amounts are recorded in net appreciation in fair value of investments in the Statements of Changes in Net Assets Available for Benefits.
 
 
Derivatives gains/(losses)
Year ended December 31,
 
2016
 
2015
Contract type
 
 
 
 
Interest rate
 
$
(2,670,955
)
 
$
(7,206,420
)
Credit
 
928,188

 
(1,090,895
)
Equity
 
2,228,632

 
121,097

Foreign exchange
 
2,235,255

 
5,136,832

Total
 
$
2,721,120

 
$
(3,039,386
)


14


THE JPMORGAN CHASE 401(k) SAVINGS PLAN
Notes to Financial Statements
December 31, 2016 and 2015



Credit risk, liquidity risk and credit-related contingent features
In addition to the specific market risks introduced by each derivative contract type, derivatives expose the Plan to credit risk — the risk that derivative counterparties may fail to meet their payment obligations under the derivative contracts and the collateral, if any, held by the Plan proves to be of insufficient value to cover the payment obligation. It is the policy of the Plan to conduct its derivative activity under legally enforceable master netting agreements and collateral agreements to mitigate derivative counterparty credit risk. A master netting agreement is a single contract with a counterparty that permits multiple transactions governed by that contract to be terminated and settled through a single payment in a single currency in the event of a default. Collateral/margin agreements provide for a security interest in or title transfer of securities or cash collateral/margin with a value equal to the amount of the margin deficit on a net basis across all transactions governed by the master netting agreement, less any threshold. The collateral/margin agreement grants to the demanding party, upon default by the counterparty, the right to set off any amounts payable by the counterparty against the cash equivalent of any posted collateral/margin.
The amount of derivative receivables reported on the Statements of Net Assets Available for Benefits is the fair value of the derivative contracts excluding the impact of any legally enforceable master netting agreements and cash collateral held by the Plan. These amounts represent the cost to the Plan to replace the contracts at then-current market rates should the counterparty default. However, in the Plan’s view, the appropriate measure of current credit risk should take into consideration the collateral held by the Plan. The Plan has received $1,000,000 and $50,000 of cash collateral as of December 31, 2016 and 2015, respectively.
While derivative receivables expose the Plan to credit risk, derivative payables expose the Plan to liquidity risk, as the derivative contracts may require the Plan to post cash or securities collateral with counterparties as the fair value of the contracts moves in the counterparties’ favor. Certain derivative contracts also provide for termination of the contract (e.g., generally as a result of a counterparty ratings downgrade or in the event sufficient collateral is not delivered as required) at the fair value of the derivative contracts. The aggregate fair value of derivative payables that contain termination features was $3,742,763 and $5,506,035 as of December 31, 2016 and 2015, respectively. The Plan has posted $7,556,000 and $7,641,000 of cash collateral as of December 31, 2016 and 2015, respectively.
Credit derivatives
Credit derivatives are financial instruments whose value is derived from the credit risk associated with the debt of a third-party issuer (the reference entity) and which allow one party (the protection purchaser) to transfer that risk to another party (the protection seller). Credit derivatives expose the protection purchaser to the creditworthiness of the protection seller, as the protection seller is required to make payments under the contract when the reference entity experiences a credit event, such as a bankruptcy, a failure to pay its obligation or a restructuring. The seller of credit protection receives a premium for providing protection but has the risk that the underlying instrument referenced in the contract will be subject to a credit event.
The Plan primarily enters into credit default swaps (“CDS”), which are credit derivative contracts between two counterparties that provides protection against a credit event on one or more referenced credits. Protected credit events are specified at the inception of a transaction. Credit derivatives may reference the credit of either a single reference entity (“single-name”) or a broad-based index.
The following table summarizes the notional amounts by the ratings and maturity profile, and the total fair value, of credit derivatives as of December 31, 2016 and 2015, where the Plan is the seller of protection. All of the credit derivative contracts were credit default swaps. Upon a credit event, the Plan as a seller of protection would typically pay out only a percentage of the full notional amount of net protection sold, as the amount actually required to be paid on the contracts takes into account the recovery value of the reference obligation at the time of settlement. The Plan does not use notional amounts as the primary measure of risk management for such derivatives, because the notional amount does not take into account the probability of the occurrence of a credit event or the recovery value of the reference obligation, each of which reduces, in the Plan's view, the risks associated with such derivatives. The maturity profile is based on the remaining contractual maturity of the credit derivative contracts. The ratings profile is based on the rating of the reference entity on which the credit derivative contract is based.







15


THE JPMORGAN CHASE 401(k) SAVINGS PLAN
Notes to Financial Statements
December 31, 2016 and 2015



Protection sold – credit derivatives ratings/maturity profile
 
Risk rating of reference entity
 
 
 
Total
notional amount
 
December 31,
<1 year
1–5 years
>5 years
Fair value(b)
2016
Investment-grade:
  (AAA/Aaa to BBB-/Baa3)(a)
$

$
81,900,000

$
4,352,502

$
86,252,502

$
741,730

 
Noninvestment-grade:
  (BB+/Ba1 to B-/B3)

1,850,000


1,850,000

(56,792
)
 
Total
$

$
83,750,000

$
4,352,502

$
88,102,502

$
684,938

 
 
 
 
 
 
 
2015
Investment-grade:
  (AAA/Aaa to BBB-/Baa3)(a)
$
6,600,000

$
123,600,000

$
1,945,967

$
132,145,967

$
(250,269
)
(a)
The ratings scale is primarily based on external credit ratings as defined by Standard & Poor's and Moody’s Investors Services.
(b)
Amounts are shown on a gross basis, before the benefit of legally enforceable master netting agreements and cash collateral held by the Plan.
7. Transactions with affiliated parties
The following is a summary of transactions with parties affiliated with the Plan for the years ended December 31, 2016 and 2015:
 
Aggregate cost
of purchases
Aggregate proceeds from
sales, redemptions and
distributions to participants
 
2016
2015
2016
2015
JPMorgan U.S. Government Money Market
  Fund – Capital Shares
$
3,610,964,241

$
4,017,541,682

$
3,617,218,429

$
3,973,465,942

JPMorgan Chase & Co. common stock
514,757,515

757,987,525

777,694,531

764,147,393

Core Bond Fund (managed by JPMorgan
  Investment Advisors)
73,926,936

46,580,782

42,796,335

32,814,219

Funds managed by JPMorgan Asset
  Management (USA) Inc.:
 
 
 
 
Emerging Market Debt Fund
16,675,112

15,054,588

12,359,927

10,519,182

Mid Cap Growth Fund

49,281,086


62,326,369

Short-Term Fixed Income Fund
1,031,003,001

1,009,235,861

949,713,038

1,025,216,479

Small Cap Core Fund
473,846,931

109,141,551

468,237,630

106,641,825

Stable Value Fund
1,549,963,677

785,642,449

1,337,526,983

818,284,085

8. Tax status and federal income taxes
On May 12, 2017, the Plan received a favorable letter of determination from the IRS stating that it qualified under Section 401(a) of the Internal Revenue Code (“Code”), and therefore, the related trust is exempt from taxation. The Plan is required to operate in accordance with the Code to maintain its qualified status. The Plan Administrator believes the Plan is operating in compliance with the applicable requirements of the Code.
U.S. GAAP requires the management of the Plan to evaluate tax positions taken by the Plan and recognize an income tax liability if the Plan has taken uncertain tax positions that more-likely-than-not would not be sustained upon examination by applicable taxing authorities. Management of the Plan has analyzed tax positions taken by the Plan and has concluded that, as of December 31, 2016 and 2015, there were no uncertain tax positions taken, or expected to be taken, that would require recognition of a liability or that would require disclosure in the financial statements. The Plan is subject to routine audits by taxing authorities. However, currently, no audits are in progress for any tax period.
Participants who are not currently receiving a distribution under the Plan do not pay any U.S. federal income tax on Contributing Employer contributions or income earned by the Trust. When a Participant, or his or her beneficiary or estate, receives a distribution under the Plan, the distribution is generally taxable. The tax treatment of any distribution from the Trust depends on individual circumstances.

16


THE JPMORGAN CHASE 401(k) SAVINGS PLAN
Notes to Financial Statements
December 31, 2016 and 2015



9. Commitments and contingencies
In accordance with the provisions of U.S. GAAP for contingencies, the Plan accrues for a litigation-related liability when it is probable that such a liability has been incurred and the amount of the loss can be reasonably estimated. Plan management evaluates the Plan's outstanding legal proceedings, if any, periodically to assess whether any litigation reserve is required, and makes adjustments in such reserves, upwards or downwards, as appropriate, based on Plan management’s best judgment after consultation with counsel.
While the outcome of litigation is inherently uncertain, Plan management believes, based upon its current knowledge, after consultation with counsel, in light of all information known to it at December 31, 2016, that there is no outstanding litigation against the Plan. As a result, no litigation reserves have been set aside. There is no assurance that the Plan will not need to establish a reserve, or to adjust the amount of such a reserve, for a litigation-related liability in the future.
10. Risks and uncertainties
The Plan’s investments include financial instruments that are exposed to various risks such as market, credit, liquidity and country risks. The instruments include investments in equities, fixed income securities, swaps, currency and commodities, futures, forwards, options, other derivative contracts, and real estate investment trusts. Due to the level of risk associated with certain financial instruments, and the sensitivity of certain fair value estimates to changes in valuation assumptions, it is at least reasonably possible that changes in the values of financial instruments will occur in the near term and such changes could materially affect the Participants’ account balances and the amounts reported in the Statements of Net Assets Available for Benefits and the Statements of Changes in Net Assets Available for Benefits.
Market risk is the risk of loss arising from potential adverse changes in the value of the Plan’s assets and liabilities or future results resulting from changes in market variables such as interest rates, foreign exchange rates, equity prices, commodity prices, implied volatilities or credit spreads. In many cases, the Plan’s financial instruments serve to reduce, rather than increase, exposure to losses from market or other risks. In addition, the measurement of market risk is meaningful only when all related and offsetting transactions are identified. The investment managers may limit the Plan’s market risk by holding or purchasing offsetting positions.
Credit risk is the risk of loss arising from the default of a counterparty. Regarding derivative assets, the Plan is subject to the risk of counterparty nonperformance except for written options, which obligate the Plan to perform, but do not give rise to counterparty credit risk. The Plan predominantly enters into derivative contracts with counterparties of high credit quality; therefore, the risk of counterparty nonperformance is considered to be negligible.
Concentration of credit risk arises when investments or counterparties are engaged in similar business activities or activities in the same geographic region, or when they have similar economic features that would cause their ability to meet contractual obligations to be similarly affected by changes in economic conditions. The Plan’s exposure to a concentration of credit risk is limited by the diversification of investments across the Participant directed fund elections. Additionally, the investments within each Fund are further diversified into various financial instruments, with the exception of the JPMorgan Chase Common Stock Fund, which invests predominantly in JPMorgan Chase & Co. common stock. The Plan’s exposure to credit risk from synthetic GICs is limited to the fair value of the contract with each counterparty.
11. Plan termination
JPMorgan Chase reserves the right to amend, modify or terminate the Plan at any time. In the event of termination, the value of Participants’ accounts will be paid in accordance with the provisions of the Plan and the provisions of ERISA.
12. Subsequent event
In preparing the financial statements, management of the Plan has performed an evaluation of material events that occurred subsequent to December 31, 2016, and through June 27, 2017, the date these financial statements were available to be issued. There were no material subsequent events that occurred that would require disclosure or recognition in these financial statements.

17

THE JPMORGAN CHASE 401(K) SAVINGS PLAN
PLAN NUMBER: 002 - EIN: 13/4994650
SCHEDULE OF ASSETS (HELD AT END OF YEAR) AT DECEMBER 31, 2016
(IRS FORM 5500 - SCHEDULE H - PART IV - LINE 4I)


(A)
 
(B)
 
(C)
 
(D)
 
(E)
 
 
IDENTITY OF ISSUE, BORROWER,
LESSOR, OR SIMILAR PARTY
 
DESCRIPTION OF INVESTMENT
INCLUDING MATURITY DATE,
RATE OF INTEREST,
COLLATERAL, PAR, OR
MATURITY VALUE
 
COST
 
CURRENT
VALUE
EQUITY SECURITIES:
 
 

 
 

 
 
8X8 INC
 
 20,890 SHARES
 
243,850

 
298,727

 
 
A10 NETWORKS INC
 
 311,600 SHARES
 
2,819,247

 
2,589,396

 
 
AAR CORP
 
 53,346 SHARES
 
1,304,248

 
1,763,085

 
 
ABB LTD
 
 352,347 SHARES
 
7,443,860

 
7,446,661

 
 
ABIOMED INC
 
 22,740 SHARES
 
2,588,382

 
2,562,343

 
 
ABM INDUSTRIES INC
 
 46,302 SHARES
 
1,312,842

 
1,890,974

 
 
ABRAXAS PETROLEUM CORP
 
 415,306 SHARES
 
879,376

 
1,067,336

 
 
ACACIA COMMUNICATIONS INC
 
 5,500 SHARES
 
134,686

 
339,625

 
 
ACACIA RESEARCH CORP
 
 202,600 SHARES
 
1,334,695

 
1,316,900

 
 
ACADIA HEALTHCARE CO INC
 
 48,426 SHARES
 
1,926,433

 
1,602,901

 
 
ACCELERON PHARMA INC
 
 25,200 SHARES
 
932,340

 
643,104

 
 
ACCO BRANDS CORP
 
 475,878 SHARES
 
3,530,029

 
6,210,208

 
 
ACHILLION PHARMACEUTICALS INC
 
 45,000 SHARES
 
436,064

 
185,850

 
 
ACORDA THERAPEUTICS INC
 
 34,300 SHARES
 
1,324,591

 
644,840

 
 
ADAMAS PHARMACEUTICALS INC
 
 17,100 SHARES
 
287,938

 
288,990

 
 
ADECOAGRO SA
 
 287,389 SHARES
 
2,792,442

 
2,983,098

 
 
ADIENT PLC
 
 24,669 SHARES
 
1,197,396

 
1,445,603

 
 
ADOBE SYSTEMS INC
 
 66,828 SHARES
 
4,515,601

 
6,879,943

 
 
ADURO BIOTECH INC
 
 32,100 SHARES
 
774,384

 
365,940

 
 
ADVANCED DISPOSAL SERVICES INC
 
 91,511 SHARES
 
1,729,184

 
2,033,374

 
 
ADVANCED ENERGY INDUSTRIES INC
 
 39,568 SHARES
 
1,138,735

 
2,166,348

 
 
ADVANCED MICRO DEVICES INC
 
 262,800 SHARES
 
1,711,484

 
2,980,152

 
 
ADVERUM BIOTECH INC
 
 3,300 SHARES
 
28,537

 
9,570

 
 
AEP INDUSTRIES INC
 
 10,400 SHARES
 
801,421

 
1,207,440

 
 
AES CORP
 
 353,500 SHARES
 
4,308,717

 
4,107,670

 
 
AETNA INC
 
 50,350 SHARES
 
5,510,910

 
6,243,904

 
 
AGIOS PHARMACEUTICALS INC
 
 5,200 SHARES
 
252,890

 
216,996

 
 
AGREE REALTY CORP
 
 4,207 SHARES
 
145,511

 
193,732

 
 
AIR METHODS CORP
 
 71,334 SHARES
 
2,055,284

 
2,271,988

 
 
AK STEEL HOLDING CORP
 
 182,700 SHARES
 
1,021,248

 
1,865,367

 
 
AKZO NOBEl
 
 135,376 SHARES
 
8,604,449

 
8,480,169

 
 
ALFA LAVAL
 
 148,356 SHARES
 
2,256,337

 
2,462,638

 
 
ALIBABA GRP HOLDING LTD
 
 52,367 SHARES
 
4,737,429

 
4,598,346

 
 
ALLERGAN PLC
 
 38,175 SHARES
 
8,885,936

 
8,017,132

 
 
ALLIANCE DATA SYSTEMS CORP
 
 31,776 SHARES
 
4,826,599

 
7,260,816

 
 
ALPHA & OMEGA SEMICONDCTR LTD
 
 95,975 SHARES
 
1,655,445

 
2,041,388

 
 
ALPHABET INC
 
 31,323 SHARES
 
16,880,725

 
24,175,718

 
 
AMAG PHARMACEUTICALS INC
 
 59,800 SHARES
 
1,574,240

 
2,081,040

 
 
AMAZON.COM INC
 
 23,550 SHARES
 
8,936,836

 
17,659,439

 
 
AMERICAN ASSETS TR INC
 
 39,276 SHARES
 
1,506,846

 
1,692,010

 
 
AMERICAN AXLE & MFG HLDGS INC
 
 191,230 SHARES
 
3,426,629

 
3,690,739

 
 
AMERICAN CAMPUS COMMNTS INC
 
 14,916 SHARES
 
606,545

 
742,369

 
 
AMERICAN EQUITY INV LIFE HOLD CO
 
 121,082 SHARES
 
2,216,147

 
2,729,188

 
 
AMERICAN EXPRESS CO
 
 94,350 SHARES
 
5,327,342

 
6,989,448

 
 
AMERICAN INTL GRP INC
 
 30,683 SHARES
 
1,723,464

 
2,003,907

 
 
AMERICAN STATES WATER CO
 
 6,843 SHARES
 
292,707

 
311,767

 
 
AMERICAN TOWER CORP
 
 67,449 SHARES
 
5,925,376

 
7,128,010

 
 
AMERICAN WOODMARK CORP
 
 8,219 SHARES
 
671,395

 
618,480

 
 
AMERIPRISE FINCL INC
 
 55,457 SHARES
 
4,112,181

 
6,152,400

 
 
AMETEK INC
 
 135,449 SHARES
 
5,204,940

 
6,582,821

 
 
AMGEN INC
 
 6,800 SHARES
 
476,106

 
994,228

 
 
AMICUS THERAPEUTICS INC
 
 453,564 SHARES
 
3,671,247

 
2,254,213


18

THE JPMORGAN CHASE 401(K) SAVINGS PLAN
PLAN NUMBER: 002 - EIN: 13/4994650
SCHEDULE OF ASSETS (HELD AT END OF YEAR) AT DECEMBER 31, 2016
(IRS FORM 5500 - SCHEDULE H - PART IV - LINE 4I)


(A)
 
(B)
 
(C)
 
(D)
 
(E)
 
 
IDENTITY OF ISSUE, BORROWER,
LESSOR, OR SIMILAR PARTY
 
DESCRIPTION OF INVESTMENT
INCLUDING MATURITY DATE,
RATE OF INTEREST,
COLLATERAL, PAR, OR
MATURITY VALUE
 
COST
 
CURRENT
VALUE
EQUITY SECURITIES (CONTINUED):
 
 
 
 
AMKOR TECH INC
 
 95,897 SHARES
 
584,713

 
1,011,713

 
 
AMPHASTAR PHARMACEUTICALS INC
 
 27,700 SHARES
 
392,963

 
510,234

 
 
ANALOG DEVICES INC
 
 15,500 SHARES
 
916,113

 
1,125,610

 
 
ANGIODYNAMICS INC
 
 65,800 SHARES
 
859,974

 
1,110,046

 
 
ANIXTER INTL INC
 
 30,615 SHARES
 
2,155,706

 
2,481,346

 
 
APACHE CORP
 
 67,400 SHARES
 
4,774,323

 
4,277,878

 
 
APPLE INC
 
 173,196 SHARES
 
16,492,499

 
20,059,561

 
 
APPLIED INDUSTRIAL TECH INC
 
 27,700 SHARES
 
1,254,763

 
1,645,380

 
 
APPLIED MATERIALS INC
 
 99,350 SHARES
 
1,646,033

 
3,206,025

 
 
ARCBEST CORP
 
 214,027 SHARES
 
4,607,008

 
5,917,847

 
 
ARCELORMITTAL
 
 260,885 SHARES
 
1,502,734

 
1,930,582

 
 
ARCHROCK INC
 
 102,400 SHARES
 
758,891

 
1,351,680

 
 
ARMADA HOFFLER PROP INC
 
 31,916 SHARES
 
339,691

 
465,016

 
 
ARYZTA AG
 
 95,272 SHARES
 
5,161,046

 
4,204,210

 
 
ASAHI GRP HLDGS LTD
 
 49,800 SHARES
 
1,635,898

 
1,575,531

 
 
ASHFORD HOSPITALITY TR INC
 
 400,610 SHARES
 
2,474,329

 
3,108,734

 
 
ASPEN INSURANCE HLDGS LTD
 
 24,425 SHARES
 
1,155,591

 
1,343,375

 
 
ASTRAZENECA PLC
 
 13,277 SHARES
 
719,871

 
728,004

 
 
ATLANTIC POWER CORP
 
 43,588 SHARES
 
71,484

 
108,970

 
 
ATLAS AIR WORLDWIDE HLDGS INC
 
 22,942 SHARES
 
904,257

 
1,196,425

 
 
ATWOOD OCEANICS INC
 
 199,544 SHARES
 
2,112,342

 
2,620,013

 
 
AUDENTES THERAPEUTICS INC
 
 32,800 SHARES
 
529,862

 
599,256

 
 
AUTODESK INC
 
 71,940 SHARES
 
5,009,376

 
5,324,279

 
 
AUTOZONE INC
 
 6,184 SHARES
 
2,616,741

 
4,884,061

 
 
AVIVA PLC
 
 1,195,192 SHARES
 
8,934,415

 
7,183,345

 
 
BAIDU INC
 
 26,700 SHARES
 
4,564,357

 
4,389,747

 
 
BAKER HUGHES INC
 
 21,000 SHARES
 
969,316

 
1,364,370

 
 
BALFOUR BEATTY PLC
 
 817,096 SHARES
 
3,545,512

 
2,714,934

 
 
BANC OF CALIFORNIA INC
 
 50,446 SHARES
 
751,996

 
875,238

 
 
BANK OF AMERICA CORP
 
 222,600 SHARES
 
3,853,073

 
4,919,460

 
 
BANK OF NEW YORK MELLON CORP
 
 194,050 SHARES
 
7,840,627

 
9,194,089

 
 
BANK OF THE OZARKS INC
 
 86,161 SHARES
 
2,320,212

 
4,531,207

 
 
BANKRATE INC
 
 75,200 SHARES
 
824,997

 
830,960

 
 
BANKUNITED INC
 
 66,768 SHARES
 
2,051,182

 
2,516,486

 
 
BARCLAYS PLC
 
 1,857,042 SHARES
 
6,596,379

 
5,127,404

 
 
BARNES GRP INC
 
 19,046 SHARES
 
664,697

 
903,161

 
 
BARRETT BUSINESS SERVICES INC
 
 102,797 SHARES
 
4,568,781

 
6,589,288

 
 
BASF SE
 
 49,893 SHARES
 
4,085,015

 
4,647,282

 
 
BEACON ROOFING SUPPLY INC
 
 19,820 SHARES
 
577,833

 
913,107

 
 
BEL FUSE INC
 
 24,100 SHARES
 
563,156

 
744,690

 
 
BELLICUM PHARMACEUTICALS INC
 
 23,200 SHARES
 
446,930

 
315,984

 
 
BENCHMARK ELECTRONICS INC
 
 111,748 SHARES
 
2,335,074

 
3,408,314

 
 
BERRY PLASTICS GRP INC
 
 31,300 SHARES
 
1,229,348

 
1,525,249

 
 
BGC PARTNERS INC
 
 218,151 SHARES
 
2,054,619

 
2,231,685

 
 
BILL BARRETT CORP
 
 96,524 SHARES
 
343,250

 
674,703

 
 
BIOTELEMETRY INC
 
 7,800 SHARES
 
152,456

 
174,330

 
 
BLACKHAWK NETWORK HLDGS INC
 
 6,256 SHARES
 
283,289

 
235,695

 
 
BLOOMIN' BRANDS INC
 
 316,320 SHARES
 
5,627,657

 
5,703,250

 
 
BLUEBIRD BIO INC
 
 23,500 SHARES
 
1,206,740

 
1,449,950

 
 
BLUEPRINT MEDICINES CORP
 
 41,100 SHARES
 
873,202

 
1,152,855

 
 
BLUEROCK RESIDENTIAL GROWTH INC
 
 96,555 SHARES
 
1,167,558

 
1,324,735

 
 
BNP PARIBAS SA
 
 64,037 SHARES
 
3,684,349

 
4,089,730


19

THE JPMORGAN CHASE 401(K) SAVINGS PLAN
PLAN NUMBER: 002 - EIN: 13/4994650
SCHEDULE OF ASSETS (HELD AT END OF YEAR) AT DECEMBER 31, 2016
(IRS FORM 5500 - SCHEDULE H - PART IV - LINE 4I)


(A)
 
(B)
 
(C)
 
(D)
 
(E)
 
 
IDENTITY OF ISSUE, BORROWER,
LESSOR, OR SIMILAR PARTY
 
DESCRIPTION OF INVESTMENT
INCLUDING MATURITY DATE,
RATE OF INTEREST,
COLLATERAL, PAR, OR
MATURITY VALUE
 
COST
 
CURRENT
VALUE
EQUITY SECURITIES (CONTINUED):
 
 

 
 
BOEING CO
 
 39,100 SHARES
 
4,150,294

 
6,087,088

 
 
BOISE CASCADE CO
 
 44,309 SHARES
 
1,122,506

 
996,953

 
 
BRISTOL-MYERS SQUIBB CO
 
 238,874 SHARES
 
12,088,800

 
13,959,797

 
 
BRITISH AMERICAN TOBACCO PLC
 
 144,267 SHARES
 
6,484,724

 
8,238,448

 
 
BUNGE LTD
 
 50,800 SHARES
 
3,083,280

 
3,669,792

 
 
CAIXABANK SA
 
 1,274,199 SHARES
 
5,527,974

 
4,220,039

 
 
CALERES INC
 
 90,311 SHARES
 
2,443,332

 
2,964,007

 
 
CALLIDUS SOFTWARE INC
 
 111,478 SHARES
 
1,930,286

 
1,872,830

 
 
CALLON PETROLEUM CO
 
 25,328 SHARES
 
195,116

 
389,291

 
 
CAMBREX CORP
 
 10,788 SHARES
 
527,799

 
582,013

 
 
CANADIAN NATURAL RESOURCES LTD
 
 104,200 SHARES
 
2,676,191

 
3,321,896

 
 
CANADIAN PACIFIC RAILWAY LTD
 
 25,700 SHARES
 
2,471,892

 
3,669,189

 
 
CAPELLA EDUCATION CO
 
 6,083 SHARES
 
281,621

 
534,087

 
 
CAPSTEAD MORTGAGE CORP
 
 111,318 SHARES
 
995,704

 
1,134,330

 
 
CARA THERAPEUTICS INC
 
 60,600 SHARES
 
604,802

 
562,974

 
 
CARBONITE INC
 
 30,809 SHARES
 
299,622

 
505,268

 
 
CARDIOVASCULAR SYSTEMS INC
 
 44,600 SHARES
 
1,064,983

 
1,079,766

 
 
CARNIVAL CORP
 
 72,800 SHARES
 
2,709,977

 
3,789,968

 
 
CARNIVAL PLC
 
 102,523 SHARES
 
4,001,004

 
5,225,655

 
 
CARRIZO OIL & GAS INC
 
 20,209 SHARES
 
600,219

 
754,806

 
 
CASCADE BANCORP
 
 67,554 SHARES
 
406,816

 
548,538

 
 
CATHAY GENERAL BANCORP
 
 26,179 SHARES
 
815,137

 
995,587

 
 
CATO CORP
 
 59,604 SHARES
 
2,258,426

 
1,792,888

 
 
CAVIUM INC
 
 65,339 SHARES
 
2,298,185

 
4,079,767

 
 
CDW CORP
 
 147,213 SHARES
 
5,109,120

 
7,668,325

 
 
CECO ENVIRONMENTAL CORP
 
 56,800 SHARES
 
778,794

 
792,360

 
 
CELGENE CORP
 
 18,805 SHARES
 
1,481,555

 
2,176,679

 
 
CELLDEX THERAPEUTICS INC
 
 130,400 SHARES
 
1,348,830

 
461,616

 
 
CEMPRA INC
 
 21,700 SHARES
 
522,501

 
60,760

 
 
CENTRAL GARDEN & PET CO
 
 79,400 SHARES
 
1,776,223

 
2,453,460

 
 
CERNER CORP
 
 64,235 SHARES
 
4,252,307

 
3,042,812

 
 
CHATHAM LODGING TR
 
 151,205 SHARES
 
3,118,839

 
3,107,263

 
 
CHESAPEAKE LODGING TR
 
 26,333 SHARES
 
667,572

 
680,971

 
 
CHEVRON CORP
 
 24,850 SHARES
 
2,366,488

 
2,924,845

 
 
CHILDREN'S PLACE INC
 
 58,795 SHARES
 
3,234,807

 
5,935,355

 
 
CHINA ENERGY SAVINGS TECH INC
 
 400 SHARES
 

 
32

 
 
CHINA MERCHANTS PORT HLDGS CO
 
 830,121 SHARES
 
2,677,539

 
2,060,005

 
 
CHINA MOBILE LTD
 
 723,040 SHARES
 
7,126,514

 
7,665,773

 
 
CIE FINANCIERE RICHEMONT
 
 80,027 SHARES
 
6,028,585

 
5,310,987

 
 
CINEMARK HLDGS INC
 
 88,198 SHARES
 
2,514,042

 
3,383,275

 
 
CIRRUS LOGIC INC
 
 57,100 SHARES
 
2,436,422

 
3,228,434

 
 
CISCO SYSTEMS INC
 
 235,850 SHARES
 
5,704,100

 
7,127,387

 
 
CITIGRP INC
 
 193,300 SHARES
 
9,382,599

 
11,487,819

 
 
CLAYTON WILLIAMS ENERGY INC
 
 9,900 SHARES
 
1,011,481

 
1,180,674

 
 
CLOVIS ONCOLOGY INC
 
 25,700 SHARES
 
829,978

 
1,141,594

 
 
CLUBCORP HLDGS INC
 
 177,417 SHARES
 
2,349,710

 
2,545,934

 
 
CNO FINCL GRP INC
 
 163,782 SHARES
 
2,997,211

 
3,136,425

 
 
CNOOC LTD
 
 4,125,000 SHARES
 
6,253,905

 
5,160,806

 
 
COBHAM PLC
 
 856,912 SHARES
 
1,490,494

 
1,733,326

 
 
COGENT COMMUNICATIONS HLDGS
 
 84,150 SHARES
 
2,442,587

 
3,479,603

 
 
COHERUS BIOSCIENCES INC
 
 22,900 SHARES
 
508,923

 
644,635

 
 
COHU INC
 
 96,800 SHARES
 
1,135,728

 
1,345,520


20

THE JPMORGAN CHASE 401(K) SAVINGS PLAN
PLAN NUMBER: 002 - EIN: 13/4994650
SCHEDULE OF ASSETS (HELD AT END OF YEAR) AT DECEMBER 31, 2016
(IRS FORM 5500 - SCHEDULE H - PART IV - LINE 4I)


(A)
 
(B)
 
(C)
 
(D)
 
(E)
 
 
IDENTITY OF ISSUE, BORROWER,
LESSOR, OR SIMILAR PARTY
 
DESCRIPTION OF INVESTMENT
INCLUDING MATURITY DATE,
RATE OF INTEREST,
COLLATERAL, PAR, OR
MATURITY VALUE
 
COST
 
CURRENT
VALUE
EQUITY SECURITIES (CONTINUED):
 
 

 
 
COLONY CAPITAL INC
 
 202,084 SHARES
 
4,312,508

 
4,092,201

 
 
COLUMBIA BANKING SYSTEM INC
 
 78,740 SHARES
 
2,149,570

 
3,518,103

 
 
COLUMBUS MCKINNON CORP
 
 52,585 SHARES
 
1,268,840

 
1,421,898

 
 
COMCAST CORP
 
 103,850 SHARES
 
5,545,281

 
7,170,843

 
 
COMMERCIAL METALS CO
 
 19,616 SHARES
 
265,644

 
427,236

 
 
COMMUNITY TR BANCORP INC
 
 5,798 SHARES
 
198,236

 
287,581

 
 
COMMVAULT SYSTEMS INC
 
 82,159 SHARES
 
4,421,482

 
4,222,973

 
 
CONSOLIDATED WATER CO LTD
 
 8,100 SHARES
 
110,083

 
87,885

 
 
CONSTELLATION BRANDS INC
 
 37,837 SHARES
 
5,858,725

 
5,800,790

 
 
COOPER TIRE & RUBBER CO
 
 135,796 SHARES
 
5,157,353

 
5,275,675

 
 
COOPER-STANDARD HLDGS INC
 
 55,800 SHARES
 
4,821,628

 
5,768,604

 
 
CORE-MARK HOLDING CO INC
 
 23,997 SHARES
 
933,766

 
1,033,551

 
 
CORESITE REALTY CORP
 
 28,630 SHARES
 
1,644,143

 
2,272,363

 
 
CORNERSTONE ONDEMAND INC
 
 53,559 SHARES
 
1,992,163

 
2,266,081

 
 
CORVUS PHARMACEUTICALS INC
 
 30,000 SHARES
 
451,059

 
429,000

 
 
COTY INC
 
 94,067 SHARES
 
1,838,874

 
1,722,367

 
 
COUPA SOFTWARE INC
 
 35,000 SHARES
 
1,027,239

 
875,350

 
 
COUSINS PROP INC
 
 243,472 SHARES
 
1,801,645

 
2,071,947

 
 
CRA INTL INC
 
 15,527 SHARES
 
278,632

 
568,288

 
 
CRITEO SA
 
 47,367 SHARES
 
1,988,747

 
1,945,836

 
 
CROSS COUNTRY HEALTHCARE INC
 
 310,623 SHARES
 
5,324,041

 
4,848,825

 
 
CU BANCORP
 
 10,900 SHARES
 
240,810

 
390,220

 
 
CUBESMART
 
 32,000 SHARES
 
1,003,558

 
856,640

 
 
CUMMINS INC
 
 22,250 SHARES
 
2,176,416

 
3,040,908

 
 
CURTISS-WRIGHT CORP
 
 22,674 SHARES
 
1,240,445

 
2,230,215

 
 
CUSTOMERS BANCORP INC
 
 12,912 SHARES
 
357,187

 
462,508

 
 
CUTERA INC
 
 30,000 SHARES
 
512,015

 
520,500

 
 
CYBERARK SOFTWARE LTD
 
 38,292 SHARES
 
1,770,178

 
1,742,286

 
 
CYBER-CARE INC
 
 12,250 SHARES
 

 
1,837

 
 
CYPRESS SEMICONDUCTOR CORP
 
 323,724 SHARES
 
3,003,578

 
3,703,403

 
 
CYRUSONE INC
 
 8,200 SHARES
 
406,358

 
366,786

 
 
DANA INC
 
 29,500 SHARES
 
418,117

 
559,910

 
 
DARLING INGREDIENTS INC
 
 126,802 SHARES
 
2,141,555

 
1,637,014

 
 
DCT INDUSTRIAL TR INC
 
 27,706 SHARES
 
1,041,171

 
1,326,563

 
 
DDR CORP
 
 31,924 SHARES
 
531,426

 
487,479

 
 
DEAN FOODS CO USD
 
 113,974 SHARES
 
2,038,245

 
2,482,354

 
 
DELEK US HLDGS INC
 
 118,564 SHARES
 
2,017,585

 
2,853,835

 
 
DENBURY RESOURCES INC
 
 369,300 SHARES
 
1,579,819

 
1,359,024

 
 
DERMIRA INC
 
 75,259 SHARES
 
1,907,360

 
2,282,605

 
 
DIAGEO PLC
 
 106,862 SHARES
 
2,988,023

 
2,786,129

 
 
DIAMONDROCK HOSPITALITY CO
 
 53,638 SHARES
 
524,221

 
618,446

 
 
DIME COMMUNITY BANCSHARES INC
 
 23,200 SHARES
 
400,410

 
466,320

 
 
DIMENSION THERAPEUTICS INC
 
 11,500 SHARES
 
137,368

 
50,025

 
 
DINEEQUITY INC
 
 23,700 SHARES
 
1,956,160

 
1,824,900

 
 
DORMAN PRODUCTS INC
 
 23,078 SHARES
 
1,205,489

 
1,686,079

 
 
DR HORTON INC
 
 147,795 SHARES
 
2,912,644

 
4,039,237

 
 
DUPONT FABROS TECH INC
 
 29,700 SHARES
 
1,376,605

 
1,304,721

 
 
DYNAVAX TECH CORP
 
 45,700 SHARES
 
743,111

 
180,515

 
 
EAGLE BANCORP INC
 
 54,714 SHARES
 
2,001,838

 
3,334,818

 
 
EAGLE WORLDWIDE INC
 
 3,950 SHARES
 

 
356

 
 
EAST JAPAN RAILWAY CO
 
 88,100 SHARES
 
7,295,554

 
7,629,014

 
 
EAST WEST BANCORP INC
 
 258,853 SHARES
 
8,743,810

 
13,157,498


21

THE JPMORGAN CHASE 401(K) SAVINGS PLAN
PLAN NUMBER: 002 - EIN: 13/4994650
SCHEDULE OF ASSETS (HELD AT END OF YEAR) AT DECEMBER 31, 2016
(IRS FORM 5500 - SCHEDULE H - PART IV - LINE 4I)


(A)
 
(B)
 
(C)
 
(D)
 
(E)
 
 
IDENTITY OF ISSUE, BORROWER,
LESSOR, OR SIMILAR PARTY
 
DESCRIPTION OF INVESTMENT
INCLUDING MATURITY DATE,
RATE OF INTEREST,
COLLATERAL, PAR, OR
MATURITY VALUE
 
COST
 
CURRENT
VALUE
EQUITY SECURITIES (CONTINUED):
 
 
 
 
EASTERLY GOVT PROP INC
 
 18,700 SHARES
 
320,087

 
374,374

 
 
ECLIPSE RESOURCES CORP
 
 171,400 SHARES
 
182,979

 
457,638

 
 
EDUCATION REALTY TR INC
 
 26,227 SHARES
 
979,291

 
1,109,402

 
 
EDWARDS LIFESCIENCES CORP
 
 87,160 SHARES
 
6,321,778

 
8,166,892

 
 
EI DU PONT DE NEMOURS & CO
 
 68,400 SHARES
 
4,118,022

 
5,020,560

 
 
EL PASO ELECTRIC CO
 
 57,791 SHARES
 
2,377,341

 
2,687,282

 
 
ELF BEAUTY INC
 
 10,000 SHARES
 
266,890

 
289,400

 
 
EMCOR GRP INC
 
 48,308 SHARES
 
2,271,025

 
3,418,274

 
 
EMCORE CORP
 
 131,234 SHARES
 
860,895

 
1,141,736

 
 
ENCANA CORP
 
 251,867 SHARES
 
2,361,713

 
2,959,937

 
 
ENGIE SA
 
 541,314 SHARES
 
9,712,867

 
6,919,925

 
 
ENGILITY HLDGS INC
 
 42,256 SHARES
 
1,276,475

 
1,424,027

 
 
ENTERGY CORP
 
 27,450 SHARES
 
1,867,298

 
2,016,752

 
 
ENVISION HEALTHCARE CORP
 
 33,970 SHARES
 
1,884,884

 
2,149,961

 
 
EP ENERGY CORP
 
 233,900 SHARES
 
1,299,730

 
1,532,045

 
 
EPIZYME INC
 
 68,800 SHARES
 
796,465

 
832,480

 
 
EPR PROP
 
 13,000 SHARES
 
922,821

 
933,010

 
 
EQT CORP
 
 47,800 SHARES
 
3,114,096

 
3,126,120

 
 
EQUIFAX INC
 
 56,239 SHARES
 
4,021,413

 
6,649,137

 
 
EQUITY ONE INC
 
 8,600 SHARES
 
250,396

 
263,934

 
 
ESPERION THERAPEUTICS INC
 
 25,700 SHARES
 
571,746

 
321,764

 
 
ESSENDANT INC
 
 86,101 SHARES
 
2,582,486

 
1,799,511

 
 
ESTEE LAUDER COS INC
 
 91,466 SHARES
 
7,558,894

 
6,996,234

 
 
EURONET WORLDWIDE INC
 
 36,353 SHARES
 
2,597,027

 
2,633,048

 
 
EVERCORE PARTNERS INC
 
 10,259 SHARES
 
535,504

 
704,793

 
 
EVERTEC INC
 
 8,056 SHARES
 
134,849

 
142,994

 
 
EXELIXIS INC
 
 89,700 SHARES
 
1,114,737

 
1,337,427

 
 
EXELON CORP
 
 176,250 SHARES
 
6,116,717

 
6,255,113

 
 
EXLSERVICE HLDGS INC
 
 28,858 SHARES
 
1,311,780

 
1,455,598

 
 
EXPRESS INC
 
 60,681 SHARES
 
1,049,826

 
652,928

 
 
EXTREME NETWORKS INC
 
 900,383 SHARES
 
3,630,147

 
4,528,926

 
 
EXXON MOBIL CORP
 
 122,300 SHARES
 
9,619,633

 
11,038,798

 
 
EZCORP INC
 
 232,500 SHARES
 
2,336,848

 
2,476,125

 
 
FACEBOOK INC
 
 150,635 SHARES
 
8,772,975

 
17,330,557

 
 
FASTENAL CO
 
 121,458 SHARES
 
5,343,279

 
5,706,097

 
 
FEDERAL SIGNAL CORP
 
 51,746 SHARES
 
805,046

 
807,755

 
 
FENIX PARTS INC
 
 172,960 SHARES
 
1,431,069

 
487,747

 
 
FERRO CORP
 
 214,256 SHARES
 
2,876,016

 
3,070,288

 
 
FIBROGEN INC
 
 23,800 SHARES
 
589,986

 
509,320

 
 
FIDELITY SOUTHERN CORP
 
 103,710 SHARES
 
2,135,800

 
2,454,816

 
 
FIFTH THIRD BANCORP
 
 267,400 SHARES
 
5,245,126

 
7,211,778

 
 
FINCL INSTITUTIONS INC
 
 16,212 SHARES
 
446,356

 
554,450

 
 
FIRST AMERICAN FINCL CORP
 
 36,900 SHARES
 
1,393,571

 
1,351,647

 
 
FIRST BANCORP/PUERTO RICO
 
 529,900 SHARES
 
2,439,996

 
3,502,639

 
 
FIRST BUSINESS FINCL SERVICES INC
 
 15,993 SHARES
 
401,539

 
379,354

 
 
FIRST COMMONWEALTH FINCL CORP
 
 74,568 SHARES
 
664,401

 
1,057,374

 
 
FIRST COMMUNITY BANCSHARES INC
 
 19,219 SHARES
 
369,036

 
579,261

 
 
FIRST FINCL BANCORP
 
 16,331 SHARES
 
291,182

 
464,617

 
 
FIRST HAWAIIAN INC
 
 24,800 SHARES
 
660,905

 
863,536

 
 
FIRST INDUSTRIAL REALTY TR INC
 
 142,147 SHARES
 
3,098,597

 
3,987,223

 
 
FIRST MERCHANTS CORP
 
 14,916 SHARES
 
371,639

 
561,587

 
 
FIRST SOLAR INC
 
 47,916 SHARES
 
3,018,820

 
1,537,624


22

THE JPMORGAN CHASE 401(K) SAVINGS PLAN
PLAN NUMBER: 002 - EIN: 13/4994650
SCHEDULE OF ASSETS (HELD AT END OF YEAR) AT DECEMBER 31, 2016
(IRS FORM 5500 - SCHEDULE H - PART IV - LINE 4I)


(A)
 
(B)
 
(C)
 
(D)
 
(E)
 
 
IDENTITY OF ISSUE, BORROWER,
LESSOR, OR SIMILAR PARTY
 
DESCRIPTION OF INVESTMENT
INCLUDING MATURITY DATE,
RATE OF INTEREST,
COLLATERAL, PAR, OR
MATURITY VALUE
 
COST
 
CURRENT
VALUE
EQUITY SECURITIES (CONTINUED):
 
 
 
 
FIRSTCASH INC
 
 113,557 SHARES
 
4,841,462

 
5,337,179

 
 
FIRSTENERGY CORP
 
 83,063 SHARES
 
2,864,591

 
2,572,461

 
 
FIVE BELOW INC
 
 66,622 SHARES
 
2,555,525

 
2,662,215

 
 
FIVE PRIME THERAPEUTICS INC
 
 2,100 SHARES
 
105,218

 
105,231

 
 
FIVE9 INC
 
 103,408 SHARES
 
817,759

 
1,467,360

 
 
FLAGSTAR BANCORP INC
 
 119,859 SHARES
 
2,796,990

 
3,229,001

 
 
FLEETCOR TECH INC
 
 43,686 SHARES
 
5,216,110

 
6,182,443

 
 
FLEX PHARMA INC
 
 19,500 SHARES
 
190,656

 
102,960

 
 
FNFV GRP TRACKING STK
 
 39,100 SHARES
 
477,145

 
535,670

 
 
FORTERRA INC
 
 21,200 SHARES
 
381,600

 
459,192

 
 
FORTINET INC
 
 65,713 SHARES
 
1,620,637

 
1,979,276

 
 
FORTUNE BRANDS HOME & SEC INC
 
 83,556 SHARES
 
3,949,514

 
4,466,904

 
 
FRANKLIN FINCL NETWORK INC
 
 17,300 SHARES
 
472,036

 
724,005

 
 
FRANKLIN STREET PROP CORP
 
 10,805 SHARES
 
110,621

 
140,033

 
 
FULTON FINCL CORP
 
 167,024 SHARES
 
2,187,624

 
3,140,051

 
 
FUTUREFUEL CORP
 
 56,989 SHARES
 
815,974

 
792,147

 
 
GAMING AND LEISURE PROP INC
 
 58,423 SHARES
 
880,693

 
1,788,912

 
 
GENERAL CABLE CORP
 
 344,134 SHARES
 
4,003,274

 
6,555,753

 
 
GENERAL ELECTRIC CO
 
 296,050 SHARES
 
8,169,540

 
9,355,180

 
 
GENERAL MOTORS CO
 
 57,988 SHARES
 
1,788,608

 
2,020,302

 
 
GENMARK DIAGNOSTICS INC
 
 173,071 SHARES
 
1,060,365

 
2,118,389

 
 
GILDAN ACTIVEWEAR INC
 
 23,900 SHARES
 
633,392

 
607,547

 
 
GILEAD SCIENCES INC
 
 31,150 SHARES
 
2,979,646

 
2,230,652

 
 
GLAUKOS CORP
 
 9,500 SHARES
 
288,800

 
325,850

 
 
GLAXOSMITHKLINE PLC
 
 194,541 SHARES
 
4,410,115

 
3,754,807

 
 
GLOBAL BLOOD THERAPEUTICS INC
 
 24,100 SHARES
 
719,382

 
348,245

 
 
GLOBAL BRASS & COPPER HLDGS INC
 
 179,781 SHARES
 
4,004,474

 
6,166,488

 
 
GLOBAL PAYMENTS INC
 
 118,891 SHARES
 
6,064,432

 
8,252,224

 
 
GOLD ENTERTAINMENT GRP INC
 
 3,410 SHARES
 

 
1

 
 
GOVERNMENT PROP INCOME TR
 
 17,784 SHARES
 
276,034

 
339,052

 
 
GRAMERCY PROPERTY TR
 
 95,279 SHARES
 
757,188

 
874,661

 
 
GRAPHIC PACKAGING HOLDING CO
 
 116,653 SHARES
 
1,428,087

 
1,455,829

 
 
GRAY TELEVISION INC
 
 24,617 SHARES
 
374,475

 
267,094

 
 
GREAT LAKES DREDGE & DOCK CORP
 
 139,050 SHARES
 
930,140

 
584,010

 
 
GREEN PLAINS INC
 
 26,335 SHARES
 
537,755

 
733,430

 
 
GREENBRIER COS INC
 
 17,154 SHARES
 
517,359

 
712,749

 
 
HAIN CELESTIAL GRP INC
 
 43,272 SHARES
 
1,523,093

 
1,688,906

 
 
HANCOCK HOLDING CO
 
 39,300 SHARES
 
1,644,827

 
1,693,830

 
 
HANMI FINCL CORP
 
 110,275 SHARES
 
2,599,239

 
3,848,598

 
 
HAWAIIAN HLDGS INC
 
 33,238 SHARES
 
1,230,937

 
1,894,566

 
 
HC2 HLDGS INC
 
 109,200 SHARES
 
550,901

 
647,556

 
 
HCI GRP INC
 
 20,434 SHARES
 
660,874

 
806,734

 
 
HEALTHWAYS INC
 
 160,000 SHARES
 
3,987,397

 
3,640,000

 
 
HEICO CORP
 
 19,200 SHARES
 
1,061,020

 
1,303,680

 
 
HELEN OF TROY LTD
 
 46,314 SHARES
 
4,491,473

 
3,911,217

 
 
HELIX ENERGY SOLUTIONS GRP INC
 
 37,880 SHARES
 
177,497

 
334,102

 
 
HERMAN MILLER INC
 
 8,513 SHARES
 
241,215

 
291,145

 
 
HERSHA HOSPITALITY TR
 
 175,721 SHARES
 
4,407,998

 
3,778,002

 
 
HESS CORP
 
 68,950 SHARES
 
3,858,592

 
4,294,896

 
 
HIGHWOODS PROP INC
 
 23,800 SHARES
 
1,149,397

 
1,214,038

 
 
HILLTOP HLDGS INC
 
 45,167 SHARES
 
874,837

 
1,345,977

 
 
HILTON WORLDWIDE HLDGS INC
 
 170,861 SHARES
 
4,734,950

 
4,647,419


23

THE JPMORGAN CHASE 401(K) SAVINGS PLAN
PLAN NUMBER: 002 - EIN: 13/4994650
SCHEDULE OF ASSETS (HELD AT END OF YEAR) AT DECEMBER 31, 2016
(IRS FORM 5500 - SCHEDULE H - PART IV - LINE 4I)


(A)
 
(B)
 
(C)
 
(D)
 
(E)
 
 
IDENTITY OF ISSUE, BORROWER,
LESSOR, OR SIMILAR PARTY
 
DESCRIPTION OF INVESTMENT
INCLUDING MATURITY DATE,
RATE OF INTEREST,
COLLATERAL, PAR, OR
MATURITY VALUE
 
COST
 
CURRENT
VALUE
EQUITY SECURITIES (CONTINUED):
 
 
 
 
HITACHI LTD
 
 1,286,000 SHARES
 
7,953,237

 
6,968,337

 
 
HMS HLDGS CORP
 
 110,300 SHARES
 
2,229,437

 
2,003,048

 
 
HOLOGIC INC
 
 87,300 SHARES
 
3,046,192

 
3,502,476

 
 
HOME DEPOT INC
 
 124,995 SHARES
 
10,151,825

 
16,759,330

 
 
HOMESTREET INC
 
 155,570 SHARES
 
3,741,417

 
4,916,012

 
 
HOPE BANCORP INC
 
 197,675 SHARES
 
3,183,454

 
4,327,106

 
 
HORACE MANN EDUCATORS CORP
 
 5,864 SHARES
 
189,628

 
250,979

 
 
HORIZON GLOBAL CORP
 
 54,010 SHARES
 
601,993

 
1,296,240

 
 
HORIZON PHARMA PLC
 
 91,900 SHARES
 
1,866,671

 
1,486,942

 
 
HOULIHAN LOKEY INC
 
 16,385 SHARES
 
373,371

 
509,901

 
 
HUBSPOT INC
 
 36,236 SHARES
 
1,758,768

 
1,703,092

 
 
HUDSON PACIFIC PROP INC
 
 19,292 SHARES
 
534,676

 
670,976

 
 
HUNTINGTON BANCSHARES INC
 
 486,290 SHARES
 
5,308,218

 
6,428,754

 
 
HURCO COS INC
 
 6,787 SHARES
 
163,747

 
224,650

 
 
HYSTER-YALE MATERLS HANDLING INC
 
 12,697 SHARES
 
659,732

 
809,688

 
 
IBERIABANK CORP
 
 4,372 SHARES
 
239,058

 
366,155

 
 
ICU MEDICAL INC
 
 10,551 SHARES
 
1,146,168

 
1,554,690

 
 
IDACORP INC
 
 21,576 SHARES
 
1,481,583

 
1,737,947

 
 
IDT CORP
 
 23,787 SHARES
 
241,740

 
441,011

 
 
IHS MARKIT LTD
 
 164,530 SHARES
 
4,944,776

 
5,826,007

 
 
ILLINOIS TOOL WORKS INC
 
 37,950 SHARES
 
2,296,832

 
4,647,357

 
 
ILLUMINA INC
 
 36,892 SHARES
 
6,532,318

 
4,723,652

 
 
IMAX CORP
 
 49,223 SHARES
 
1,448,043

 
1,545,602

 
 
IMMUNE DESIGN CORP
 
 17,300 SHARES
 
291,429

 
95,150

 
 
INC RESEARCH HLDGS INC
 
 52,867 SHARES
 
2,387,457

 
2,780,804

 
 
INFRAREIT INC
 
 27,400 SHARES
 
542,528

 
490,734

 
 
ING GROEP
 
 140,431 SHARES
 
1,582,212

 
1,980,359

 
 
INGEVITY CORP
 
 9 SHARES
 

 
494

 
 
INNOPHOS HLDGS INC
 
 58,700 SHARES
 
1,555,383

 
3,067,662

 
 
INNOSPEC INC
 
 4,045 SHARES
 
219,312

 
277,083

 
 
INOGEN INC
 
 50,446 SHARES
 
2,059,153

 
3,388,458

 
 
INSIGHT ENTERPRISES INC
 
 154,164 SHARES
 
3,927,169

 
6,234,392

 
 
INSMED INC
 
 60,900 SHARES
 
1,052,485

 
805,707

 
 
INSPERITY INC
 
 59,008 SHARES
 
3,682,413

 
4,186,618

 
 
INTELIQUENT INC
 
 211,707 SHARES
 
3,696,642

 
4,852,324

 
 
INTERCONTINENTALEXCHANGE INC
 
 112,788 SHARES
 
5,601,933

 
6,363,499

 
 
INTERFACE INC
 
 53,500 SHARES
 
872,981

 
992,425

 
 
INTL PAPER CO
 
 58,100 SHARES
 
2,152,968

 
3,082,786

 
 
INTERSECT ENT INC
 
 115,081 SHARES
 
2,678,820

 
1,392,480

 
 
INTERXION HOLDING
 
 68,556 SHARES
 
1,711,678

 
2,404,259

 
 
INTL. FCSTONE INC
 
 47,222 SHARES
 
1,311,452

 
1,869,991

 
 
INTRALINKS HLDGS INC
 
 43,000 SHARES
 
480,744

 
581,360

 
 
INVESCO LTD
 
 90,850 SHARES
 
2,406,378

 
2,756,389

 
 
IXYS CORP
 
 213,166 SHARES
 
2,447,756

 
2,536,675

 
 
JACK IN THE BOX INC
 
 1,700 SHARES
 
161,867

 
189,788

 
 
JAPAN AIRLINES CO LTD
 
 189,800 SHARES
 
6,607,553

 
5,557,226

 
 
JB HUNT TRANSPORT SERVICES INC
 
 38,695 SHARES
 
2,511,460

 
3,756,124

 
 
JOHNSON & JOHNSON
 
 68,300 SHARES
 
4,985,113

 
7,868,843

 
 
JOHNSON CONTROLS INTL
 
 158,099 SHARES
 
6,070,621

 
6,512,098

 
 
JOY GLOBAL INC
 
 31,000 SHARES
 
636,242

 
868,000

*
 
JPMORGAN CHASE & CO
 
 47,142,565 SHARES
 
2,321,703,819

 
4,067,931,934

 
 
K12 INC
 
 70,023 SHARES
 
637,420

 
1,201,595


24

THE JPMORGAN CHASE 401(K) SAVINGS PLAN
PLAN NUMBER: 002 - EIN: 13/4994650
SCHEDULE OF ASSETS (HELD AT END OF YEAR) AT DECEMBER 31, 2016
(IRS FORM 5500 - SCHEDULE H - PART IV - LINE 4I)


(A)
 
(B)
 
(C)
 
(D)
 
(E)
 
 
IDENTITY OF ISSUE, BORROWER,
LESSOR, OR SIMILAR PARTY
 
DESCRIPTION OF INVESTMENT
INCLUDING MATURITY DATE,
RATE OF INTEREST,
COLLATERAL, PAR, OR
MATURITY VALUE
 
COST
 
CURRENT
VALUE
EQUITY SECURITIES (CONTINUED):
 
 
 
 
KADANT INC
 
 24,425 SHARES
 
976,915

 
1,494,810

 
 
KANSAS CITY SOUTHERN
 
 21,417 SHARES
 
2,139,277

 
1,817,232

 
 
KARYOPHARM THERAPEUTICS INC
 
 64,500 SHARES
 
718,405

 
606,300

 
 
KDDI CORP
 
 273,900 SHARES
 
3,620,510

 
6,949,947

 
 
KELLY SERVICES INC
 
 6,649 SHARES
 
101,848

 
152,395

 
 
KENNAMETAL INC
 
 10,400 SHARES
 
235,703

 
325,104

 
 
KEYCORP
 
 136,700 SHARES
 
1,610,779

 
2,497,509

 
 
KIMBALL ELECTRONICS INC
 
 92,554 SHARES
 
1,081,085

 
1,684,483

 
 
KIMBALL INTL INC
 
 39,249 SHARES
 
399,139

 
689,212

 
 
KINDRED HEALTHCARE INC
 
 91,068 SHARES
 
1,060,915

 
714,884

 
 
KINSALE CAPITAL GRP INC
 
 6,500 SHARES
 
130,908

 
221,065

 
 
KOHL'S CORP
 
 54,450 SHARES
 
2,611,217

 
2,688,741

 
 
KOMATSU LTD
 
 174,100 SHARES
 
3,168,232

 
3,951,899

 
 
KORN/FERRY INTL
 
 92,771 SHARES
 
1,823,456

 
2,730,251

 
 
L INTL COMPUTERS INC
 
 21,600 SHARES
 

 
2

 
 
LAS VEGAS SANDS CORP
 
 136,891 SHARES
 
7,998,447

 
7,311,348

 
 
LEGRAND SA
 
 19,624 SHARES
 
780,601

 
1,116,679

 
 
LENNAR CORP
 
 96,462 SHARES
 
3,375,396

 
4,141,114

 
 
LIBBEY INC
 
 8,952 SHARES
 
193,208

 
174,206

 
 
LIBERTY TRIPADVISOR HLDGS INC
 
 66,000 SHARES
 
1,419,498

 
993,300

 
 
LIFE STORAGE INC
 
 2,000 SHARES
 
211,490

 
170,520

 
 
LIFEPOINT HEALTH INC
 
 21,743 SHARES
 
1,155,093

 
1,235,002

 
 
LIFETIME BRANDS INC
 
 64,433 SHARES
 
924,851

 
1,143,686

 
 
LINDE AG
 
 20,377 SHARES
 
3,433,516

 
3,355,001

 
 
LIPOCINE INC
 
 74,600 SHARES
 
308,131

 
274,528

 
 
LITTELFUSE INC
 
 21,181 SHARES
 
2,499,642

 
3,214,640

 
 
LLOYDS BANKING GRP PLC
 
 6,313,789 SHARES
 
6,160,583

 
4,876,801

 
 
LOCKHEED MARTIN CORP
 
 24,557 SHARES
 
5,644,413

 
6,137,777

 
 
LOEWS CORP
 
 100,100 SHARES
 
3,977,399

 
4,687,683

 
 
LOWE'S COS INC
 
 115,936 SHARES
 
4,075,873

 
8,245,368

 
 
LOXO ONCOLOGY INC
 
 2,900 SHARES
 
62,889

 
93,134

 
 
LTC PROP INC
 
 43,700 SHARES
 
2,101,465

 
2,053,026

 
 
MACOM TECH SOLUTIONS HLDGS INC
 
 97,060 SHARES
 
3,545,401

 
4,491,937

 
 
MACROGENICS INC
 
 27,300 SHARES
 
704,432

 
558,012

 
 
MAIDEN HLDGS LTD
 
 16,756 SHARES
 
243,985

 
292,392

 
 
MAINSOURCE FINCL GRP INC
 
 13,766 SHARES
 
310,508

 
473,550

 
 
MANHATTAN ASSOCIATES INC
 
 14,400 SHARES
 
939,231

 
763,632

 
 
MANULIFE FINCL CORP
 
 50,100 SHARES
 
675,872

 
893,249

 
 
MARCUS & MILLICHAP INC
 
 32,147 SHARES
 
424,593

 
858,968

 
 
MARKEL CORP
 
 6,458 SHARES
 
4,396,055

 
5,841,261

 
 
MARKETAXESS HLDGS INC
 
 37,777 SHARES
 
4,483,406

 
5,550,197

 
 
MARLIN BUSINESS SERVICES CORP
 
 8,900 SHARES
 
191,569

 
186,010

 
 
MARSH & MCLENNAN COS INC
 
 168,153 SHARES
 
7,744,364

 
11,365,461

 
 
MASIMO CORP
 
 83,500 SHARES
 
4,901,476

 
5,627,900

 
 
MASTEC INC
 
 106,100 SHARES
 
2,455,465

 
4,058,325

 
 
MASTERCARD INC
 
 134,076 SHARES
 
8,003,808

 
13,843,347

 
 
MATRIX SERVICE CO
 
 44,994 SHARES
 
890,948

 
1,021,364

 
 
MATTEL INC
 
 118,350 SHARES
 
2,959,227

 
3,260,543

 
 
MAXLINEAR INC
 
 89,426 SHARES
 
1,686,403

 
1,949,487

 
 
MEDICINES CO
 
 21,500 SHARES
 
845,564

 
729,710

 
 
MEDPACE HLDGS INC
 
 17,600 SHARES
 
406,738

 
634,832

 
 
MEDTRONIC PLC
 
 186,984 SHARES
 
12,853,013

 
13,318,870


25

THE JPMORGAN CHASE 401(K) SAVINGS PLAN
PLAN NUMBER: 002 - EIN: 13/4994650
SCHEDULE OF ASSETS (HELD AT END OF YEAR) AT DECEMBER 31, 2016
(IRS FORM 5500 - SCHEDULE H - PART IV - LINE 4I)


(A)
 
(B)
 
(C)
 
(D)
 
(E)
 
 
IDENTITY OF ISSUE, BORROWER,
LESSOR, OR SIMILAR PARTY
 
DESCRIPTION OF INVESTMENT
INCLUDING MATURITY DATE,
RATE OF INTEREST,
COLLATERAL, PAR, OR
MATURITY VALUE
 
COST
 
CURRENT
VALUE
EQUITY SECURITIES (CONTINUED):
 
 
 
 
MERCK & CO INC
 
 107,250 SHARES
 
3,953,716

 
6,313,808

 
 
MERITOR INC
 
 345,526 SHARES
 
2,621,395

 
4,291,433

 
 
META FINCL GRP INC
 
 24,102 SHARES
 
1,025,796

 
2,480,096

 
 
METALDYNE PERFORMANCE GRP INC
 
 38,536 SHARES
 
623,969

 
884,401

 
 
METHODE ELECTRONICS INC
 
 27,640 SHARES
 
867,253

 
1,142,914

 
 
METLIFE INC
 
 159,800 SHARES
 
7,488,432

 
8,611,622

 
 
MFA FINCL INC
 
 537,776 SHARES
 
4,144,374

 
4,103,231

 
 
MGE ENERGY INC
 
 10,936 SHARES
 
497,474

 
714,121

 
 
MICROSOFT CORP
 
 289,741 SHARES
 
12,946,946

 
18,004,506

 
 
MINDBODY INC
 
 63,946 SHARES
 
1,227,695

 
1,362,050

 
 
MINERALS TECH INC
 
 41,479 SHARES
 
1,910,249

 
3,204,253

 
 
MOBILE MINI INC
 
 101,306 SHARES
 
3,266,920

 
3,064,507

 
 
MOELIS & CO
 
 50,928 SHARES
 
1,655,806

 
1,726,459

 
 
MOLINA HEALTHCARE INC
 
 95,923 SHARES
 
5,217,055

 
5,204,782

 
 
MONDELEZ INTL INC
 
 166,397 SHARES
 
5,726,205

 
7,376,379

 
 
MONOLITHIC POWER SYSTEMS INC
 
 16,691 SHARES
 
704,345

 
1,367,494

 
 
MONSTER BEVERAGE CORP
 
 170,250 SHARES
 
3,993,954

 
7,548,885

 
 
MOOG INC
 
 10,400 SHARES
 
523,870

 
683,072

 
 
MORGAN STANLEY
 
 300,250 SHARES
 
8,041,254

 
12,685,562

 
 
MOTORS LIQUIDATION CO
 
 765 SHARES
 

 
6,426

 
 
MOVADO GRP INC
 
 44,600 SHARES
 
1,360,326

 
1,282,250

 
 
MRC GLOBAL INC
 
 92,509 SHARES
 
1,953,133

 
1,874,232

 
 
MSCI INC
 
 55,230 SHARES
 
3,788,791

 
4,351,019

 
 
MUELLER WATER PRODUCTS INC
 
 171,669 SHARES
 
1,419,291

 
2,284,914

 
 
MULTI PACKAGING SOLUTNS INTL LTD
 
 135,899 SHARES
 
1,891,254

 
1,937,920

 
 
NACCO INDUSTRIES INC
 
 6,375 SHARES
 
260,041

 
577,256

 
 
NANOMETRICS INC
 
 15,235 SHARES
 
232,462

 
381,789

 
 
NANOSTRING TECH INC
 
 53,115 SHARES
 
1,065,723

 
1,184,464

 
 
NATIONAL GENERAL HLDGS CORP
 
 11,355 SHARES
 
244,997

 
283,761

 
 
NATIONAL STORAGE AFFILIATES TR
 
 93,766 SHARES
 
1,853,631

 
2,069,416

 
 
NBT BANCORP INC
 
 10,041 SHARES
 
274,258

 
420,517

 
 
NCI BUILDING SYSTEMS INC
 
 77,300 SHARES
 
1,269,439

 
1,209,745

 
 
NEOPHOTONICS CORP
 
 47,300 SHARES
 
606,825

 
511,313

 
 
NETFLIX INC
 
 85,375 SHARES
 
8,428,176

 
10,569,425

 
 
NEUROCRINE BIOSCIENCES INC
 
 28,400 SHARES
 
1,214,939

 
1,099,080

 
 
NEVRO CORP
 
 29,327 SHARES
 
1,713,199

 
2,130,900

 
 
NEW JERSEY RESOURCES CORP
 
 44,856 SHARES
 
1,427,731

 
1,592,388

 
 
NEW SENIOR INV GRP INC
 
 96,700 SHARES
 
1,131,061

 
946,693

 
 
NEWS CORP
 
 202,350 SHARES
 
2,676,725

 
2,318,931

 
 
NEXPOINT RESIDENTIAL TR INC
 
 66,300 SHARES
 
1,330,316

 
1,481,142

 
 
NEXSTAR BROADCASTING GRP INC
 
 10,878 SHARES
 
603,779

 
688,577

 
 
NEXTERA ENERGY INC
 
 61,750 SHARES
 
3,084,310

 
3,024,515

 
 
NIELSEN HLDGS PLC
 
 128,431 SHARES
 
5,115,952

 
5,387,680

 
 
NIKE INC
 
 88,943 SHARES
 
4,995,292

 
4,520,973

 
 
NIKON CORP
 
 170,500 SHARES
 
3,052,902

 
2,656,137

 
 
NN INC
 
 131,463 SHARES
 
3,180,184

 
2,504,370

 
 
NORTHROP GRUMMAN CORP
 
 19,448 SHARES
 
4,246,755

 
4,523,216

 
 
NOVADAQ TECH INC
 
 197,830 SHARES
 
2,376,172

 
1,402,615

 
 
NOVARTIS AG
 
 100,078 SHARES
 
6,653,012

 
7,296,482

 
 
NOWAUTO INC
 
 12,999 SHARES
 

 
1

 
 
NUTANIX INC
 
 61,000 SHARES
 
2,285,561

 
1,620,160

 
 
NUVASIVE INC
 
 60,465 SHARES
 
3,173,874

 
4,072,922


26

THE JPMORGAN CHASE 401(K) SAVINGS PLAN
PLAN NUMBER: 002 - EIN: 13/4994650
SCHEDULE OF ASSETS (HELD AT END OF YEAR) AT DECEMBER 31, 2016
(IRS FORM 5500 - SCHEDULE H - PART IV - LINE 4I)


(A)
 
(B)
 
(C)
 
(D)
 
(E)
 
 
IDENTITY OF ISSUE, BORROWER,
LESSOR, OR SIMILAR PARTY
 
DESCRIPTION OF INVESTMENT
INCLUDING MATURITY DATE,
RATE OF INTEREST,
COLLATERAL, PAR, OR
MATURITY VALUE
 
COST
 
CURRENT
VALUE
EQUITY SECURITIES (CONTINUED):
 
 
 
 
NXP SEMICONDUCTORS NV
 
 29,900 SHARES
 
2,330,837

 
2,930,499

 
 
NXSTAGE MEDICAL INC
 
 121,727 SHARES
 
2,220,749

 
3,190,465

 
 
OCCIDENTAL PETROLEUM CORP
 
 79,100 SHARES
 
5,957,302

 
5,634,293

 
 
OCLARO INC
 
 118,100 SHARES
 
1,149,207

 
1,056,995

 
 
OFFICE DEPOT INC
 
 1,132,974 SHARES
 
5,685,897

 
5,121,042

 
 
OMNOVA SOLUTIONS INC
 
 46,978 SHARES
 
280,185

 
469,780

 
 
OPHTHOTECH CORP
 
 23,600 SHARES
 
1,372,581

 
113,988

 
 
ORASURE TECH INC
 
 216,324 SHARES
 
1,673,925

 
1,899,325

 
 
O'REILLY AUTOMOTIVE INC
 
 16,497 SHARES
 
4,277,455

 
4,592,930

 
 
ORION GRP HLDGS INC
 
 17,900 SHARES
 
109,394

 
178,105

 
 
ORMAT TECH INC
 
 34,700 SHARES
 
1,757,179

 
1,860,614

 
 
ORTHOFIX INTL
 
 28,400 SHARES
 
1,223,698

 
1,027,512

 
 
OTONOMY INC
 
 108,686 SHARES
 
2,583,489

 
1,728,107

 
 
OWENS & MINOR INC
 
 33,677 SHARES
 
1,201,051

 
1,188,461

 
 
PACIRA PHARMACEUTICALS INC
 
 24,800 SHARES
 
1,421,833

 
801,040

 
 
PACWEST BANCORP
 
 81,066 SHARES
 
3,437,737

 
4,413,233

 
 
PARK-OHIO HLDGS CORP
 
 12,159 SHARES
 
416,778

 
517,973

 
 
PARKWAY INC
 
 11,651 SHARES
 
247,955

 
259,235

 
 
PARTY CITY HOLDCO INC
 
 152,542 SHARES
 
2,521,114

 
2,166,096

 
 
PAYCOM SOFTWARE INC
 
 96,906 SHARES
 
3,090,562

 
4,408,254

 
 
PAYPAL HLDGS INC
 
 169,297 SHARES
 
6,753,063

 
6,682,153

 
 
PDC ENERGY INC
 
 17,902 SHARES
 
954,304

 
1,299,327

 
 
PDF SOLUTIONS INC
 
 15,800 SHARES
 
155,618

 
356,290

 
 
PEBBLEBROOK HOTEL TR
 
 76,726 SHARES
 
2,001,095

 
2,282,598

 
 
PENNYMAC FINCL SERVICES INC
 
 28,390 SHARES
 
446,470

 
472,693

 
 
PEPSICO INC
 
 108,709 SHARES
 
9,634,181

 
11,374,223

 
 
PERFORMANCE FOOD GRP CO
 
 168,747 SHARES
 
3,754,293

 
4,049,928

 
 
PERRY ELLIS INTL INC
 
 30,300 SHARES
 
570,620

 
754,773

 
 
PFIZER INC
 
 346,000 SHARES
 
8,649,446

 
11,238,080

 
 
PG&E CORP
 
 189,550 SHARES
 
8,914,014

 
11,518,953

 
 
PGT INNOVATIONS INC
 
 128,130 SHARES
 
1,474,506

 
1,467,088

 
 
PHARMERICA CORP
 
 46,221 SHARES
 
1,448,918

 
1,162,458

 
 
PHI INC
 
 21,576 SHARES
 
391,110

 
388,800

 
 
PHILIP MORRIS INTL INC
 
 80,000 SHARES
 
6,829,232

 
7,319,200

 
 
PILGRIM'S PRIDE CORP
 
 91,926 SHARES
 
1,968,709

 
1,745,675

 
 
PINNACLE ENTERTAINMENT INC
 
 177,216 SHARES
 
1,577,272

 
2,569,632

 
 
PINNACLE FINCL PARTNERS INC
 
 79,098 SHARES
 
2,590,876

 
5,481,491

 
 
PINNACLE FOODS INC
 
 12,481 SHARES
 
523,783

 
667,109

 
 
PIONEER ENERGY SERVICES CORP
 
 11,478 SHARES
 
24,980

 
78,624

 
 
PIPER JAFFRAY COS
 
 13,382 SHARES
 
524,207

 
970,195

 
 
PLANET FITNESS INC
 
 78,238 SHARES
 
1,566,892

 
1,572,584

 
 
PLANET PAYMENT INC
 
 69,700 SHARES
 
287,279

 
284,376

 
 
POLYONE CORP
 
 95,499 SHARES
 
3,389,327

 
3,059,788

 
 
POPULAR INC
 
 138,716 SHARES
 
3,956,740

 
6,078,535

 
 
PORTLAND GENERAL ELECTRIC CO
 
 213,281 SHARES
 
7,816,333

 
9,241,466

 
 
POST HLDGS INC
 
 19,900 SHARES
 
1,521,870

 
1,599,761

 
 
POSTNL NV
 
 268,810 SHARES
 
2,176,738

 
1,160,194

 
 
POWELL INDUSTRIES INC
 
 25,100 SHARES
 
936,641

 
978,900

 
 
PREFERRED BANK/LOS ANGELES CA
 
 34,746 SHARES
 
1,162,961

 
1,821,385

 
 
PREMIER FINCL BANCORP INC
 
 7,150 SHARES
 
106,296

 
143,715

 
 
PREMIER INC
 
 56,710 SHARES
 
1,839,522

 
1,721,716

 
 
PRESTIGE BRANDS HLDGS INC
 
 34,774 SHARES
 
1,733,737

 
1,811,725


27

THE JPMORGAN CHASE 401(K) SAVINGS PLAN
PLAN NUMBER: 002 - EIN: 13/4994650
SCHEDULE OF ASSETS (HELD AT END OF YEAR) AT DECEMBER 31, 2016
(IRS FORM 5500 - SCHEDULE H - PART IV - LINE 4I)


(A)
 
(B)
 
(C)
 
(D)
 
(E)
 
 
IDENTITY OF ISSUE, BORROWER,
LESSOR, OR SIMILAR PARTY
 
DESCRIPTION OF INVESTMENT
INCLUDING MATURITY DATE,
RATE OF INTEREST,
COLLATERAL, PAR, OR
MATURITY VALUE
 
COST
 
CURRENT
VALUE
EQUITY SECURITIES (CONTINUED):
 
 
 
 
PRICELINE GRP INC
 
 3,718 SHARES
 
4,554,905

 
5,450,811

 
 
PRIVATEBANCORP INC
 
 17,142 SHARES
 
699,803

 
928,925

 
 
PROCTER & GAMBLE CO
 
 56,849 SHARES
 
3,816,421

 
4,779,864

 
 
PROOFPOINT INC
 
 38,760 SHARES
 
1,566,217

 
2,738,394

 
 
PRUDENTIAL PLC
 
 363,951 SHARES
 
6,292,919

 
7,319,128

 
 
PS BUSINESS PARKS INC
 
 5,901 SHARES
 
509,070

 
687,585

 
 
PTC INC
 
 29,240 SHARES
 
985,122

 
1,352,935

 
 
PUBLIC STORAGE
 
 23,636 SHARES
 
5,323,241

 
5,282,646

 
 
PUMA BIOTECH INC
 
 17,000 SHARES
 
923,922

 
521,900

 
 
Q2 HLDGS INC
 
 100,190 SHARES
 
2,089,178

 
2,890,481

 
 
QAD INC
 
 7,700 SHARES
 
233,794

 
234,080

 
 
QTS REALTY TR INC
 
 48,865 SHARES
 
1,889,557

 
2,426,147

 
 
QUAD/GRAPHICS INC
 
 195,308 SHARES
 
3,087,644

 
5,249,879

 
 
QUALCOMM INC
 
 82,300 SHARES
 
5,627,509

 
5,365,960

 
 
QUALYS INC
 
 10,100 SHARES
 
256,795

 
319,665

 
 
QUANTENNA COMMUNICATIONS INC
 
 70,800 SHARES
 
1,132,800

 
1,283,604

 
 
RA PHARMACEUTICALS INC
 
 42,400 SHARES
 
579,121

 
644,056

 
 
RADIUS HEALTH INC
 
 50,590 SHARES
 
2,679,734

 
1,923,938

 
 
RADNET INC
 
 43,100 SHARES
 
283,302

 
277,995

 
 
RAIT FINCL TR
 
 31,432 SHARES
 
82,393

 
105,612

 
 
RAMCO-GERSHENSON PROP TR
 
 9,636 SHARES
 
156,091

 
159,765

 
 
RAYTHEON CO
 
 19,200 SHARES
 
996,787

 
2,726,400

 
 
REATA PHARMACEUTICALS INC
 
 23,900 SHARES
 
265,355

 
521,737

 
 
REDWOOD TR INC
 
 198,464 SHARES
 
2,708,828

 
3,018,637

 
 
REGAL BELOIT CORP
 
 10,871 SHARES
 
617,278

 
752,817

 
 
REGENERON PHARMACEUTICALS INC
 
 12,314 SHARES
 
3,271,823

 
4,520,346

 
 
REGIONS FINCL CORP
 
 104,000 SHARES
 
884,415

 
1,493,440

 
 
RELX NV
 
 82,128 SHARES
 
732,216

 
1,385,126

 
 
RENASANT CORP
 
 53,295 SHARES
 
1,765,281

 
2,250,115

 
 
RENEWABLE ENERGY GRP INC
 
 90,394 SHARES
 
776,085

 
876,822

 
 
RENT-A-CENTER INC
 
 212,700 SHARES
 
2,669,497

 
2,392,875

 
 
RETAIL OPPORTUNITY INVS CORP
 
 281,966 SHARES
 
4,929,336

 
5,957,942

 
 
RETAILMENOT INC
 
 498,124 SHARES
 
4,163,620

 
4,632,553

 
 
REVANCE THERAPEUTICS INC
 
 30,000 SHARES
 
951,353

 
621,000

 
 
REX AMERICAN RESOURCES CORP
 
 1,991 SHARES
 
103,428

 
196,611

 
 
REXFORD INDUSTRIAL REALTY INC
 
 73,400 SHARES
 
1,451,821

 
1,702,146

 
 
REXNORD CORP
 
 184,227 SHARES
 
3,864,598

 
3,609,007

 
 
RIGNET INC
 
 117,800 SHARES
 
1,525,320

 
2,727,070

 
 
RINGCENTRAL INC
 
 139,316 SHARES
 
2,935,722

 
2,869,910

 
 
RLJ LODGING TR
 
 70,196 SHARES
 
1,552,599

 
1,719,100

 
 
ROCHE HOLDING AG
 
 29,487 SHARES
 
5,735,258

 
6,748,341

 
 
ROSS STORES INC
 
 83,025 SHARES
 
3,272,251

 
5,446,440

 
 
ROYAL DUTCH SHELL PLC
 
 443,614 SHARES
 
13,356,205

 
15,353,097

 
 
RUDOLPH TECH INC
 
 22,500 SHARES
 
397,825

 
525,375

 
 
RUTH'S HOSPITALITY GRP INC
 
 52,600 SHARES
 
984,250

 
962,580

 
 
RYERSON HOLDING CORP
 
 14,600 SHARES
 
203,243

 
194,910

 
 
SAGE THERAPEUTICS INC
 
 22,800 SHARES
 
853,042

 
1,164,168

 
 
SALESFORCE.COM INC
 
 86,362 SHARES
 
3,952,474

 
5,912,343

 
 
SAMSUNG ELECTRONICS CO LTD
 
 10,616 SHARES
 
5,377,723

 
7,930,152

 
 
SANDERSON FARMS INC
 
 10,798 SHARES
 
829,875

 
1,017,604

 
 
SANMINA CORP
 
 210,799 SHARES
 
4,596,195

 
7,725,783

 
 
SANOFI
 
 57,771 SHARES
 
4,915,319

 
4,685,822


28

THE JPMORGAN CHASE 401(K) SAVINGS PLAN
PLAN NUMBER: 002 - EIN: 13/4994650
SCHEDULE OF ASSETS (HELD AT END OF YEAR) AT DECEMBER 31, 2016
(IRS FORM 5500 - SCHEDULE H - PART IV - LINE 4I)


(A)
 
(B)
 
(C)
 
(D)
 
(E)
 
 
IDENTITY OF ISSUE, BORROWER,
LESSOR, OR SIMILAR PARTY
 
DESCRIPTION OF INVESTMENT
INCLUDING MATURITY DATE,
RATE OF INTEREST,
COLLATERAL, PAR, OR
MATURITY VALUE
 
COST
 
CURRENT
VALUE
EQUITY SECURITIES (CONTINUED):
 
 
 
 
SAP SE
 
 51,717 SHARES
 
3,348,136

 
4,517,162

 
 
SAREPTA THERAPEUTICS INC
 
 23,000 SHARES
 
1,444,812

 
630,890

 
 
SCHNEIDER ELECTRIC
 
 109,013 SHARES
 
8,859,891

 
7,601,424

 
 
SCHWEITZER-MAUDUIT INTL INC
 
 64,449 SHARES
 
2,665,969

 
2,934,363

 
 
SCIENCE APPLICATIONS INTL CORP
 
 18,132 SHARES
 
814,565

 
1,537,594

 
 
SEADRILL LTD
 
 160,400 SHARES
 
543,756

 
546,964

 
 
SELECTA BIOSCIENCES INC
 
 50,700 SHARES
 
708,965

 
869,505

 
 
SELECTIVE INSURANCE GRP INC
 
 11,867 SHARES
 
393,329

 
510,874

 
 
SEMGRP CORP
 
 81,290 SHARES
 
3,413,946

 
3,393,857

 
 
SERES THERAPEUTICS INC
 
 9,800 SHARES
 
330,414

 
97,020

 
 
SERVICENOW INC
 
 94,150 SHARES
 
4,376,172

 
6,999,111

 
 
SHERWIN-WILLIAMS CO
 
 18,642 SHARES
 
3,708,800

 
5,009,851

 
 
SIERRA BANCORP
 
 9,661 SHARES
 
175,666

 
256,886

 
 
SIGMA DESIGNS INC
 
 184,500 SHARES
 
1,251,543

 
1,107,000

 
 
SIGNATURE BANK
 
 25,125 SHARES
 
1,827,794

 
3,773,775

 
 
SILVER BAY REALTY TR CORP
 
 75,900 SHARES
 
1,300,484

 
1,300,926

 
 
SINCLAIR BROADCAST GRP INC
 
 75,008 SHARES
 
2,395,747

 
2,501,517

 
 
SK TELECOM CO LTD
 
 276,891 SHARES
 
5,979,001

 
5,787,022

 
 
SKYWEST INC
 
 180,500 SHARES
 
4,737,796

 
6,579,225

 
 
SNAP-ON INC
 
 12,171 SHARES
 
2,071,128

 
2,084,527

 
 
SOUTHERN NATL BANCORP OF VA INC
 
 13,300 SHARES
 
162,679

 
217,322

 
 
SOUTHWEST AIRLINES CO
 
 83,250 SHARES
 
1,673,272

 
4,149,180

 
 
SOUTHWEST GAS CORP
 
 28,805 SHARES
 
1,953,869

 
2,207,039

 
 
SPARK ENERGY INC
 
 120,017 SHARES
 
2,954,516

 
3,636,515

 
 
SPARK THERAPEUTICS INC
 
 15,700 SHARES
 
537,434

 
783,430

 
 
SPARTANNASH CO
 
 125,253 SHARES
 
2,680,733

 
4,952,504

 
 
SPIRIT AIRLINES INC
 
 48,058 SHARES
 
1,582,437

 
2,780,636

 
 
SPROUTS FARMERS MARKET INC
 
 82,186 SHARES
 
1,666,574

 
1,554,959

 
 
SSE PLC
 
 196,003 SHARES
 
4,601,594

 
3,761,228

 
 
STANDEX INTL CORP
 
 4,061 SHARES
 
325,018

 
356,759

 
 
STARBUCKS CORP
 
 46,540 SHARES
 
2,518,389

 
2,583,901

 
 
STEELCASE INC
 
 98,436 SHARES
 
1,776,790

 
1,762,004

 
 
STERICYCLE INC
 
 25,374 SHARES
 
1,977,387

 
1,954,813

 
 
STEWART INFO SERVICES CORP
 
 67,814 SHARES
 
2,408,236

 
3,124,869

 
 
STIFEL FINCL CORP
 
 4,754 SHARES
 
194,613

 
237,462

 
 
STONEGATE BANK
 
 7,006 SHARES
 
226,965

 
292,360

 
 
STONERIDGE INC
 
 7,119 SHARES
 
100,047

 
125,935

 
 
SUMITOMO MITSUI FINCL GRP INC
 
 136,500 SHARES
 
5,015,646

 
5,219,617

 
 
SUMMIT HOTEL PROP INC
 
 160,056 SHARES
 
1,860,480

 
2,565,698

 
 
SUMMIT MATERIALS INC
 
 192,398 SHARES
 
4,264,776

 
4,577,148

 
 
SUN COMMUNITIES INC
 
 8,495 SHARES
 
587,717

 
650,802

 
 
SUNOPTA INC
 
 250,569 SHARES
 
2,276,561

 
1,766,511

 
 
SUNSTONE HOTEL INVESTORS INC
 
 124,611 SHARES
 
1,629,674

 
1,900,318

 
 
SUPERIOR ENERGY SERVICES INC
 
 42,663 SHARES
 
541,973

 
720,151

 
 
SUPERVALU INC
 
 127,348 SHARES
 
819,927

 
594,715

 
 
SURGERY PARTNERS INC
 
 147,884 SHARES
 
2,495,050

 
2,343,961

 
 
SURGICAL CARE AFFILIATES INC
 
 7,518 SHARES
 
296,099

 
347,858

 
 
SVB FINCL GRP
 
 5,195 SHARES
 
609,643

 
891,774

 
 
SYKES ENTERPRISES INC
 
 46,464 SHARES
 
1,383,664

 
1,340,951

 
 
SYNERGY PHARMACEUTICALS INC
 
 178,700 SHARES
 
859,611

 
1,088,283

 
 
SYROS PHARMACEUTICALS INC
 
 45,100 SHARES
 
596,591

 
548,416

 
 
TAILORED BRANDS INC
 
 6,900 SHARES
 
112,083

 
176,295


29

THE JPMORGAN CHASE 401(K) SAVINGS PLAN
PLAN NUMBER: 002 - EIN: 13/4994650
SCHEDULE OF ASSETS (HELD AT END OF YEAR) AT DECEMBER 31, 2016
(IRS FORM 5500 - SCHEDULE H - PART IV - LINE 4I)


(A)
 
(B)
 
(C)
 
(D)
 
(E)
 
 
IDENTITY OF ISSUE, BORROWER,
LESSOR, OR SIMILAR PARTY
 
DESCRIPTION OF INVESTMENT
INCLUDING MATURITY DATE,
RATE OF INTEREST,
COLLATERAL, PAR, OR
MATURITY VALUE
 
COST
 
CURRENT
VALUE
EQUITY SECURITIES (CONTINUED):
 
 
 
 
TAKE-TWO INTERCTVE SOFTWARE INC
 
 125,572 SHARES
 
4,379,063

 
6,189,444

 
 
TALLGRASS ENERGY GP LP
 
 73,259 SHARES
 
1,751,094

 
1,963,341

 
 
TCF FINCL CORP
 
 341,900 SHARES
 
3,861,237

 
6,697,821

 
 
TD AMERITRADE HOLDING CORP
 
 27,015 SHARES
 
1,187,069

 
1,177,854

 
 
TE CONNECTIVITY LTD
 
 51,850 SHARES
 
2,204,754

 
3,592,168

 
 
TEAM HEALTH HLDGS INC
 
 21,483 SHARES
 
990,162

 
933,436

 
 
TECH DATA CORP
 
 16,384 SHARES
 
1,058,250

 
1,387,397

 
 
TEREX CORP
 
 8,432 SHARES
 
262,979

 
265,861

 
 
TERRAFORM GLOBAL INC
 
 214,900 SHARES
 
602,299

 
848,855

 
 
TESARO INC
 
 5,900 SHARES
 
561,766

 
793,432

 
 
TEXAS INSTRUMENTS INC
 
 48,200 SHARES
 
1,804,892

 
3,517,154

 
 
TEXAS ROADHOUSE INC
 
 33,256 SHARES
 
571,670

 
1,604,269

 
 
THERAVANCE BIOPHARMA INC
 
 16,500 SHARES
 
567,772

 
526,020

 
 
THERMO FISHER SCIENTIFIC INC
 
 35,350 SHARES
 
2,505,238

 
4,987,885

 
 
TILLY'S INC
 
 45,416 SHARES
 
273,559

 
599,037

 
 
TIVO CORP
 
 102,713 SHARES
 
1,118,813

 
2,146,702

 
 
T-MOBILE US INC
 
 30,300 SHARES
 
934,754

 
1,742,553

 
 
TOTAL SA
 
241,052 SHARES
 
12,051,345

 
12,356,360

 
 
TOWER INTL INC
 
 16,849 SHARES
 
466,208

 
477,669

 
 
TOWNE BANK/PORTSMOUTH VA
 
 7,152 SHARES
 
156,594

 
237,804

 
 
TRANSCANADA CORP
 
 5,000 SHARES
 
229,084

 
225,750

 
 
TRANSUNION
 
 170,777 SHARES
 
4,250,960

 
5,282,133

 
 
TRAVELPORT WORLDWIDE LTD
 
 365,200 SHARES
 
4,716,553

 
5,149,320

 
 
TREEHOUSE FOODS INC
 
 7,800 SHARES
 
739,028

 
563,082

 
 
TRICO BANCSHARES
 
 51,435 SHARES
 
1,410,299

 
1,758,048

 
 
TRIMAS CORP
 
 31,924 SHARES
 
574,851

 
750,214

 
 
TRINET GRP INC
 
 126,300 SHARES
 
2,576,265

 
3,235,806

 
 
TRINSEO SA
 
 112,296 SHARES
 
4,295,124

 
6,659,153

 
 
TRISTATE CAPITAL HLDGS INC
 
 49,516 SHARES
 
634,900

 
1,094,304

 
 
TRIUMPH BANCORP INC
 
 20,222 SHARES
 
334,712

 
528,805

 
 
TRUEBLUE INC
 
 151,276 SHARES
 
3,839,466

 
3,728,953

 
 
TUTOR PERINI CORP
 
 42,485 SHARES
 
694,669

 
1,189,580

 
 
TWENTY-FIRST CENTURY FOX INC
 
 223,650 SHARES
 
6,280,378

 
6,094,462

 
 
TYSON FOODS INC
 
 75,050 SHARES
 
3,519,435

 
4,629,084

 
 
UBS GRP
 
 122,305 SHARES
 
1,964,711

 
1,919,383

 
 
ULTRA CLEAN HLDGS INC
 
 260,129 SHARES
 
1,339,427

 
2,523,251

 
 
ULTRAGENYX PHARMACEUTICAL INC
 
 17,300 SHARES
 
1,816,152

 
1,216,363

 
 
UNDER ARMOUR INC
 
 170,789 SHARES
 
5,973,177

 
4,298,759

 
 
UNISYS CORP
 
 278,766 SHARES
 
2,597,191

 
4,167,552

 
 
UNITED FIRE GRP INC
 
 13,309 SHARES
 
497,306

 
654,404

 
 
UNITED TECH CORP
 
 45,350 SHARES
 
4,236,823

 
4,971,267

 
 
UNITEDHEALTH GRP INC
 
 41,430 SHARES
 
4,948,491

 
6,630,457

 
 
UNIVAR INC
 
 159,560 SHARES
 
3,516,270

 
4,526,717

 
 
UNIVERSAL FOREST PRODUCTS INC
 
 39,800 SHARES
 
2,984,709

 
4,066,764

 
 
UNIVERSAL INSURANCE HLDGS INC
 
 47,829 SHARES
 
989,096

 
1,358,344

 
 
UNIVERSAL LOGISTICS HLDGS INC
 
 8,740 SHARES
 
120,085

 
142,899

 
 
US BANCORP
 
 65,350 SHARES
 
2,371,934

 
3,357,029

 
 
US FOODS HOLDING CORP
 
 35,600 SHARES
 
886,636

 
978,288

 
 
USANA HEALTH SCIENCES INC
 
 5,224 SHARES
 
337,874

 
319,709

 
 
VAIL RESORTS INC
 
 42,585 SHARES
 
2,310,903

 
6,869,386

 
 
VALIDUS HLDGS LTD
 
 66,270 SHARES
 
2,228,809

 
3,645,513

 
 
VANDA PHARMACEUTICALS INC
 
 33,300 SHARES
 
400,413

 
531,135


30

THE JPMORGAN CHASE 401(K) SAVINGS PLAN
PLAN NUMBER: 002 - EIN: 13/4994650
SCHEDULE OF ASSETS (HELD AT END OF YEAR) AT DECEMBER 31, 2016
(IRS FORM 5500 - SCHEDULE H - PART IV - LINE 4I)


(A)
 
(B)
 
(C)
 
(D)
 
(E)
 
 
IDENTITY OF ISSUE, BORROWER,
LESSOR, OR SIMILAR PARTY
 
DESCRIPTION OF INVESTMENT
INCLUDING MATURITY DATE,
RATE OF INTEREST,
COLLATERAL, PAR, OR
MATURITY VALUE
 
COST
 
CURRENT
VALUE
EQUITY SECURITIES (CONTINUED):
 
 
 
 
VARONIS SYSTEMS INC
 
 81,804 SHARES
 
1,928,446

 
2,192,347

 
 
VASCO DATA SECURITY INTL INC
 
 14,700 SHARES
 
255,669

 
200,655

 
 
VECTRUS INC
 
 168,813 SHARES
 
3,563,318

 
4,026,190

 
 
VEREIT INC
 
 285,107 SHARES
 
2,759,833

 
2,412,005

 
 
VERISK ANALYTICS INC
 
 67,237 SHARES
 
4,858,872

 
5,457,627

 
 
VERIZON COMMUNICATIONS INC
 
 76,950 SHARES
 
3,968,220

 
4,107,591

 
 
VIAD CORP
 
 12,478 SHARES
 
366,162

 
550,280

 
 
VILLAGE SUPER MARKET INC
 
 3,221 SHARES
 
82,908

 
99,529

 
 
VISA INC
 
 140,766 SHARES
 
6,947,034

 
10,982,563

 
 
VODAFONE GRP PLC
 
 1,413,793 SHARES
 
3,701,321

 
3,491,286

 
 
VOLKSWAGEN AG
 
 79,068 SHARES
 
14,811,434

 
11,120,986

 
 
VOYAGER THERAPEUTICS INC
 
 33,000 SHARES
 
696,126

 
420,420

 
 
VSE CORP
 
 5,282 SHARES
 
158,579

 
205,153

 
 
VULCAN MATERIALS CO
 
 27,250 SHARES
 
1,931,147

 
3,410,337

 
 
VWR CORP
 
 63,424 SHARES
 
1,759,838

 
1,587,503

 
 
WABASH NATIONAL CORP
 
 273,725 SHARES
 
3,722,506

 
4,330,329

 
 
WAGEWORKS INC
 
 24,500 SHARES
 
1,464,264

 
1,776,250

 
 
WALKER & DUNLOP INC
 
 28,544 SHARES
 
801,069

 
890,573

 
 
WAL-MART STORES INC
 
 55,150 SHARES
 
3,898,535

 
3,811,968

 
 
WASHINGTON FEDERAL INC
 
 6,110 SHARES
 
144,011

 
209,878

 
 
WATCHIT TECH INC
 
 50,397 SHARES
 

 
5

 
 
WAYFAIR INC
 
 59,258 SHARES
 
1,946,044

 
2,076,993

 
 
WEB.COM GRP INC
 
 20,972 SHARES
 
439,601

 
443,558

 
 
WELLCARE HEALTH PLANS INC
 
 11,638 SHARES
 
1,103,645

 
1,595,337

 
 
WELLS FARGO & CO
 
 155,700 SHARES
 
7,142,045

 
8,580,627

 
 
WEST CORP
 
 198,744 SHARES
 
4,281,635

 
4,920,901

 
 
WEST PHARMACEUTICAL SERVC INC
 
 17,600 SHARES
 
1,305,749

 
1,493,008

 
 
WESTAR ENERGY INC
 
 7,437 SHARES
 
309,208

 
419,075

 
 
WESTFIELD CORP
 
 381,554 SHARES
 
2,712,003

 
2,591,537

 
 
WESTMORELAND COAL CO
 
 64,500 SHARES
 
1,099,020

 
1,139,715

 
 
WESTROCK CO
 
 58 SHARES
 

 
2,945

 
 
WEYERHAEUSER CO
 
 80,750 SHARES
 
2,047,560

 
2,429,767

 
 
WGL HLDGS INC
 
 15,400 SHARES
 
1,199,125

 
1,174,712

 
 
WHITE MOUNTAINS INS GRP LTD
 
 4,379 SHARES
 
1,615,667

 
3,661,063

 
 
WINGSTOP INC
 
 83,152 SHARES
 
2,114,658

 
2,460,468

 
 
WINTR FINCL CORP
 
 65,835 SHARES
 
2,684,923

 
4,777,646

 
 
WORKDAY INC
 
 67,552 SHARES
 
5,442,290

 
4,464,512

 
 
WORLD FUEL SERVICES CORP
 
 9,555 SHARES
 
366,494

 
438,670

 
 
WORTHINGTON INDUSTRIES INC
 
 14,246 SHARES
 
427,560

 
675,830

 
 
WPX ENERGY INC
 
 145,968 SHARES
 
1,477,581

 
2,126,754

 
 
WW OIL AND GAS INC
 
 284 SHARES
 

 
2

 
 
XACTLY CORP
 
 99,197 SHARES
 
917,842

 
1,091,167

 
 
XCERRA CORP
 
 183,273 SHARES
 
1,049,695

 
1,400,206

 
 
XENCOR INC
 
 39,600 SHARES
 
587,458

 
1,042,272

 
 
XENIA HOTELS & RESORTS INC
 
 74,700 SHARES
 
1,073,156

 
1,450,674

 
 
XL GRP LTD
 
 118,172 SHARES
 
3,084,502

 
4,403,089

 
 
YADKIN FINCL CORP
 
 54,130 SHARES
 
1,294,407

 
1,854,494

 
 
YRC WORLDWIDE INC
 
 122,932 SHARES
 
1,674,906

 
1,632,537


31

THE JPMORGAN CHASE 401(K) SAVINGS PLAN
PLAN NUMBER: 002 - EIN: 13/4994650
SCHEDULE OF ASSETS (HELD AT END OF YEAR) AT DECEMBER 31, 2016
(IRS FORM 5500 - SCHEDULE H - PART IV - LINE 4I)


(A)
 
(B)
 
(C)
 
(D)
 
(E)
 
 
IDENTITY OF ISSUE, BORROWER,
LESSOR, OR SIMILAR PARTY
 
DESCRIPTION OF INVESTMENT
INCLUDING MATURITY DATE,
RATE OF INTEREST,
COLLATERAL, PAR, OR
MATURITY VALUE
 
COST
 
CURRENT
VALUE
EQUITY SECURITIES (CONTINUED):
 
 
 
 
ZELTIQ AESTHETICS INC
 
 20,621 SHARES
 
823,638

 
897,426

 
 
ZENDESK INC
 
 91,745 SHARES
 
2,334,462

 
1,944,994

 
 
ZILLOW GRP INC
 
 84,775 SHARES
 
2,751,091

 
3,091,744

 
 
ZIONS BANCORPORATION
 
 70,100 SHARES
 
3,016,127

 
3,017,104

 
 
ZOE'S KITCHEN INC
 
 91,457 SHARES
 
2,740,912

 
2,194,053

 
 
ZURICH INSURANCE GRP
 
 19,823 SHARES
 
4,101,955

 
5,468,952

 
 
TOTAL EQUITY SECURITIES
 
4,039,656,816

 
6,105,645,251

REGISTERED INVESTMENT COMPANIES:
 
 

 
 

*
 
JPM CORE BD FD
 
 23,067,365 UNITS
 
407,964,146

 
412,213,810

 
 
PIMCO FDS PAC INVT MGMT
 
 612,470 UNITS
 
6,519,921

 
7,527,252

 
 
TOTAL REGISTERED INVESTMENT COMPANIES
 
414,484,067

 
419,741,062

CORPORATE DEBT SECURITIES:
 
 

 
 

 
 
ABBOTT LABORATORIES
 
 2.35% 22/NOV/2019 600,000
 
599,412

 
600,707

 
 
ABBVIE INC
 
 1.8% 14/MAY/2018 600,000
 
599,388

 
600,451

 
 
ABBVIE INC
 
 2.85% 14/MAY/2023 500,000
 
508,126

 
485,039

 
 
ABBVIE INC
 
 3.2% 06/NOV/2022 150,000
 
149,705

 
150,099

 
 
ABN AMRO BANK
 
 4.25% 02/FEB/2017 561,000
 
562,420

 
562,211

 
 
ACADIA HEALTHCARE CO INC
 
 5.125% 01/JUL/2022 370,000
 
370,000

 
367,688

 
 
ACADIA HEALTHCARE CO INC
 
 5.625% 15/FEB/2023 230,000
 
230,000

 
230,000

 
 
ACADIA HEALTHCARE CO INC
 
 6.5% 01/MAR/2024 999,000
 
999,464

 
1,021,478

 
 
ACTAVIS FUNDING SCS
 
 3.45% 15/MAR/2022 2,100,000
 
2,110,458

 
2,131,519

 
 
AEP TEXAS CNTRL TRANS FUND III LLC
 
 0.88% 01/DEC/2018 4,641,449
 
4,637,945

 
4,637,212

 
 
AERCAP IRELAND CAPITAL LTD
 
 4.5% 15/MAY/2021 1,516,000
 
1,520,738

 
1,571,107

 
 
AES CORP
 
 7.375% 01/JUL/2021 435,000
 
497,085

 
484,547

 
 
AES CORP
 
 8% 01/JUN/2020 1,620,000
 
1,720,450

 
1,883,250

 
 
AETNA INC
 
 2.75% 15/NOV/2022 600,000
 
588,888

 
589,438

 
 
AIG / ILFC
 
 ZCP FEB/2021 400,000
 
397,827

 
403,428

 
 
AIG GLOBAL FUNDING
 
 1.9% 06/OCT/2021 800,000
 
798,520

 
770,142

 
 
AIRCASTLE LTD
 
 5.5% 15/FEB/2022 1,700,000
 
1,729,413

 
1,802,000

 
 
ALERE INC
 
 6.375% 01/JUL/2023 956,000
 
966,810

 
950,025

 
 
ALLEGION PLC
 
 5.875% 15/SEP/2023 900,000
 
922,500

 
954,000

 
 
ALLEGION US HLDG CO INC
 
 5.75% 01/OCT/2021 786,000
 
796,893

 
821,370

 
 
ALLIANT HLDGS INTERMEDIATE LLC
 
 8.25% 01/AUG/2023 104,000
 
103,025

 
107,380

 
 
ALLY AUTO RECEIVABLES TR
 
 1.24% 15/NOV/2018 767,238
 
768,119

 
767,504

 
 
ALLY AUTO RECEIVABLES TR
 
 0.97% 15/OCT/2018 3,451,186
 
3,451,359

 
3,450,040

 
 
ALLY AUTO RECEIVABLES TR
 
 1.25% 15/APR/2019 1,404,906
 
1,406,318

 
1,405,456

 
 
ALLY AUTO RECEIVABLES TR
 
 1.28% 17/JUN/2019 1,864,933
 
1,865,220

 
1,865,697

 
 
ALLY AUTO RECEIVABLES TR
 
 0.92% 15/FEB/2018 391,607
 
391,644

 
391,541

 
 
ALLY AUTO RECEIVABLES TR
 
 1.2% 15/AUG/2018 471,957
 
472,247

 
472,219

 
 
ALLY AUTO RECEIVABLES TR
 
 1.17% 15/OCT/2018 268,805
 
269,079

 
268,888

 
 
ALLY FINCL INC
 
 3.25% 13/FEB/2018 1,400,000
 
1,390,116

 
1,407,000

 
 
ALLY FINCL INC
 
 3.5% 27/JAN/2019 592,000
 
586,642

 
594,960

 
 
ALLY FINCL INC
 
 4.125% 13/FEB/2022 2,222,000
 
2,188,803

 
2,202,558

 
 
ALLY FINCL INC
 
 4.625% 19/MAY/2022 1,730,000
 
1,718,645

 
1,749,463

 
 
ALLY FINCL INC
 
 4.625% 30/MAR/2025 673,000
 
658,248

 
662,905

 
 
ALLY FINCL INC
 
 5.125% 30/SEP/2024 875,000
 
868,738

 
890,313

 
 
ALTICE US FINANCE I CORP
 
 5.375% 15/JUL/2023 880,000
 
884,400

 
913,000

 
 
ALTICE US FINANCE I CORP
 
 5.5% 15/MAY/2026 2,228,000
 
2,233,570

 
2,272,560

 
 
AMAZON.COM INC
 
 3.3% 05/DEC/2021 1,000,000
 
996,280

 
1,036,250

 
 
AMC NETWORKS INC
 
 5% 01/APR/2024 800,000
 
796,000

 
804,000


32

THE JPMORGAN CHASE 401(K) SAVINGS PLAN
PLAN NUMBER: 002 - EIN: 13/4994650
SCHEDULE OF ASSETS (HELD AT END OF YEAR) AT DECEMBER 31, 2016
(IRS FORM 5500 - SCHEDULE H - PART IV - LINE 4I)


(A)
 
(B)
 
(C)
 
(D)
 
(E)
 
 
IDENTITY OF ISSUE, BORROWER,
LESSOR, OR SIMILAR PARTY
 
DESCRIPTION OF INVESTMENT
INCLUDING MATURITY DATE,
RATE OF INTEREST,
COLLATERAL, PAR, OR
MATURITY VALUE
 
COST
 
CURRENT
VALUE
CORPORATE DEBT SECURITIES (CONTINUED):
 
 
 
 
 
 
AMERICAN BLDRS & CNTR SUPPLY CO
 
 5.625% 15/APR/2021 1,578,000
 
1,582,923

 
1,625,340

 
 
AMERICAN BLDRS & CNTR SUPPLY CO
 
 5.75% 15/DEC/2023 578,000
 
578,000

 
595,340

 
 
AMERICAN EXPRESS CR ACCT MSTR TR
 
 1.26% 15/JAN/2020 10,927,000
 
10,943,129

 
10,933,912

 
 
AMERICAN HONDA FINANCE CORP
 
 FLT 11/DEC/2017 400,000
 
400,495

 
400,570

 
 
AMERICAN HONDA FINANCE CORP
 
 FLT 14/JUL/2017 2,733,000
 
2,730,580

 
2,734,350

 
 
AMERICAN HONDA FINANCE CORP
 
 2.125% 28/FEB/2017 1,030,000
 
1,031,771

 
1,031,634

 
 
AMERICAN INTL GRP INC
 
 3.75% 10/JUL/2025 1,300,000
 
1,295,489

 
1,308,390

 
 
AMERICREDIT AUTOMOBILE REC TR
 
 0.9% 08/FEB/2019 274,745
 
274,380

 
274,707

 
 
AMERICREDIT AUTOMOBILE REC TR
 
 0.94% 08/FEB/2019 609,275
 
608,226

 
608,765

 
 
AMERICREDIT AUTOMOBILE REC TR
 
 1.27% 08/JUL/2019 814,651
 
814,952

 
814,568

 
 
AMERICREDIT AUTOMOBILE REC TR
 
 1.26% 08/NOV/2019 965,718
 
965,791

 
965,712

 
 
AMERICREDIT AUTOMOBILE REC TR
 
 1.27% 08/JAN/2020 1,344,172
 
1,343,548

 
1,343,987

 
 
AMERICREDIT AUTOMOBILE REC TR
 
 1.07% 08/JAN/2019 151,892
 
151,702

 
151,856

 
 
ANCESTRY TERM LOAN
 
 ZCP OCT/2024 492,917
 
487,988

 
505,240

 
 
ANHEUSER-BUSCH INBEV FIN INC
 
 1.9% 01/FEB/2019 1,400,000
 
1,396,206

 
1,402,009

 
 
ANTERO RESOURCES CORP
 
 5.125% 01/DEC/2022 1,679,000
 
1,610,383

 
1,695,790

 
 
ANZ NEW ZEALAND INT'L LTD
 
 1.4% 27/APR/2017 750,000
 
750,442

 
750,465

 
 
AP MOLLER - MAERSK
 
 2.55% 22/SEP/2019 1,200,000
 
1,188,785

 
1,195,136

 
 
APPLE INC
 
 0.94% 18/MAY/2017 1,794,000
 
1,787,856

 
1,788,528

 
 
APPLE INC
 
 0.59% 21/FEB/2017 8,000,000
 
7,992,973

 
7,993,216

 
 
APPLE INC
 
 FLT 05/MAY/2017 2,800,000
 
2,799,586

 
2,800,890

 
 
APX GRP INC
 
 6.375% 01/DEC/2019 548,000
 
551,429

 
563,755

 
 
APX GRP INC
 
 7.875% 01/DEC/2022 1,887,000
 
1,901,305

 
2,042,678

 
 
APX GRP INC
 
 8.75% 01/DEC/2020 1,616,000
 
1,638,043

 
1,628,120

 
 
ARCELORMITTAL
 
 7.00% 25/FEB/2022 2,049,000
 
2,255,062

 
2,310,248

 
 
ARD FINANCE SA
 
 7.125% 15/SEP/2023 802,000
 
802,000

 
791,975

 
 
ARDAGH PACKAGING FINANCE PLC
 
 4.625% 15/MAY/2023 1,134,000
 
1,134,000

 
1,124,792

 
 
ARDAGH PACKAGING FINANCE PLC
 
 6.75% 31/JAN/2021 1,477,000
 
1,473,483

 
1,521,310

 
 
ARDAGH PACKAGING FINANCE PLC
 
 7.25% 15/MAY/2024 2,182,000
 
2,229,684

 
2,299,283

 
 
ARUBA INVESTMENTS INC
 
 8.75% 15/FEB/2023 1,266,000
 
1,282,836

 
1,291,320

 
 
ASBURY AUTOMOTIVE GRP INC
 
 6% 15/DEC/2024 550,000
 
539,000

 
562,375

 
 
AT&T INC
 
 2.45% 30/JUN/2020 800,000
 
811,800

 
794,426

 
 
ATLAS SENIOR LOAN FUND II LTD
 
 FLT 30/JAN/2024 1,500,000
 
1,500,000

 
1,499,991

 
 
AUSTR & NEW ZLND BNKNG GRP LTD
 
 FLT 10/JAN/2017 1,770,000
 
1,770,036

 
1,770,143

 
 
AUSTR & NEW ZLND BNKNG GRP LTD
 
 FLT 16/JAN/2018 4,000,000
 
4,006,069

 
4,003,596

 
 
AVAGO TECH CAYMAN FIN CL LTD
 
 ZCP FEB/2023 471,120
 
464,632

 
478,570

 
 
AVIATION CAPITAL GRP CORP
 
 6.75% 06/APR/2021 900,000
 
1,056,375

 
1,039,500

 
 
AVIS BUDGET CAR RENTAL LLC
 
 5.25% 15/MAR/2025 615,000
 
579,395

 
573,488

 
 
AXALTA COATING SYSTEMS LLC
 
 4.875% 15/AUG/2024 1,100,000
 
1,144,000

 
1,100,000

 
 
AYT CEDULAS CAJAS GLOBAL BOND
 
 FLT 22/FEB/2018 100,000
 
125,212

 
105,479

 
 
B&G FOODS INC
 
 4.625% 01/JUN/2021 778,000
 
784,475

 
793,560

 
 
BA CREDIT CARD TR
 
 5.17% 15/JUN/2019 7,990,000
 
8,118,090

 
8,001,371

 
 
BALL CORP
 
 4.375% 15/DEC/2020 1,538,000
 
1,549,096

 
1,607,210

 
 
BANCO SANTANDER CHILE
 
 FLT 11/APR/2017 2,200,000
 
2,209,900

 
2,197,360

 
 
BANK OF AMERICA CORP
 
 4.00% 01/APR/2024 4,600,000
 
4,582,750

 
4,744,159

 
 
BANK OF AMERICA NA BOND
 
 FLT 08/MAY/2017 3,000,000
 
3,000,000

 
3,002,772

 
 
BANK OF MONTREAL/CHICAGO IL
 
 FLT 16/AUG/2017 3,000,000
 
3,000,000

 
3,000,000

 
 
BANK OF NEW YORK MELLON CORP
 
 FLT 30/OCT/2023 700,000
 
700,000

 
710,835

 
 
BANK OF NOVA SCOTIA
 
 FLT 19/DEC/2017 1,200,000
 
1,200,000

 
1,200,419

 
 
BANK OF NOVA SCOTIA
 
 FLT 25/APR/2017 2,000,000
 
2,000,000

 
1,999,594

 
 
BANK OF NOVA SCOTIA
 
 FLT 11/APR/2017 3,000,000
 
2,999,129

 
3,001,884

 
 
BANK OF THE WEST
 
 0.87% 16/APR/2018 499,300
 
499,247

 
499,227


33

THE JPMORGAN CHASE 401(K) SAVINGS PLAN
PLAN NUMBER: 002 - EIN: 13/4994650
SCHEDULE OF ASSETS (HELD AT END OF YEAR) AT DECEMBER 31, 2016
(IRS FORM 5500 - SCHEDULE H - PART IV - LINE 4I)


(A)
 
(B)
 
(C)
 
(D)
 
(E)
 
 
IDENTITY OF ISSUE, BORROWER,
LESSOR, OR SIMILAR PARTY
 
DESCRIPTION OF INVESTMENT
INCLUDING MATURITY DATE,
RATE OF INTEREST,
COLLATERAL, PAR, OR
MATURITY VALUE
 
COST
 
CURRENT
VALUE
CORPORATE DEBT SECURITIES (CONTINUED):
 
 
 
 
 
 
BANK OF TOKYO-MITSUBISHI UFJ LTD
 
 2.35% 23/FEB/2017 3,350,000
 
3,354,796

 
3,354,265

 
 
BANQUE FED DU CREDIT MUTUEL SA
 
 FLT 20/JAN/2017 1,700,000
 
1,700,265

 
1,700,592

 
 
BARCLAYS BANK PLC
 
 FLT 06/DEC/2017 700,000
 
700,000

 
700,536

 
 
BARCLAYS BANK PLC
 
 FLT 06/NOV/2017 700,000
 
700,000

 
700,622

 
 
BARCLAYS BANK PLC
 
 FLT 08/SEP/2017 3,800,000
 
3,800,000

 
3,805,882

 
 
BARCLAYS PLC
 
 3.20% 10/AUG/2021 800,000
 
799,488

 
790,713

 
 
BEACON ROOFING SUPPLY INC
 
 6.375% 01/OCT/2023 980,000
 
1,005,725

 
1,045,542

 
 
BERKSHIRE HATHAWAY INC
 
 1.9% 31/JAN/2017 4,082,000
 
4,085,370

 
4,084,123

 
 
BERRY PLASTICS CORP
 
 5.125% 15/JUL/2023 1,645,000
 
1,641,331

 
1,673,788

 
 
BERRY PLASTICS CORP
 
 5.5% 15/MAY/2022 2,104,000
 
2,139,975

 
2,188,160

 
 
BERRY PLASTICS CORP
 
 6% 15/OCT/2022 385,000
 
385,000

 
407,138

 
 
BGC PARTNERS INC
 
 5.375% 09/DEC/2019 775,000
 
769,149

 
808,087

 
 
BMW VEHICLE LEASE TR
 
 1.24% 20/DEC/2017 4,447,855
 
4,451,852

 
4,449,006

 
 
BMW VEHICLE LEASE TR
 
 1.07% 22/JAN/2018 1,621,306
 
1,621,526

 
1,621,180

 
 
BMW VEHICLE LEASE TR
 
 1.17% 22/JAN/2018 1,152,383
 
1,152,752

 
1,152,592

 
 
BMW VEHICLE LEASE TR
 
 FLT 22/JAN/2018 606,392
 
606,392

 
606,847

 
 
BMW VEHICLE OWNER TR
 
 0.97% 26/NOV/2018 3,462,243
 
3,462,593

 
3,459,784

 
 
BNP PARIBAS SA
 
 FLT 17/MAR/2017 100,000
 
100,042

 
100,052

 
 
BOMBARDIER INC
 
 8.75% 01/DEC/2021 1,200,000
 
1,188,000

 
1,273,500

 
 
BOSTON SCIENTIFIC CORP
 
 3.375% 15/MAY/2022 400,000
 
399,788

 
406,572

 
 
BOYD GAMING CORP
 
 6.375% 01/APR/2026 1,930,000
 
2,001,884

 
2,078,610

 
 
BOYD GAMING CORP
 
 6.875% 15/MAY/2023 690,000
 
695,175

 
741,750

 
 
BP CAPITAL MARKETS PLC
 
 2.5% 06/NOV/2022 750,000
 
705,113

 
735,141

 
 
BP CAPITAL MARKETS PLC
 
 3.062% 17/MAR/2022 800,000
 
800,000

 
809,202

 
 
BP CAPITAL MARKETS PLC
 
 3.814% 10/FEB/2024 1,400,000
 
1,430,618

 
1,454,410

 
 
CAISSE CENTRALE DJDN
 
 1.01% 09/JAN/2017 2,000,000
 
1,999,569

 
1,999,604

 
 
CALATLANTIC GRP INC
 
 5.875% 15/NOV/2024 1,590,000
 
1,685,618

 
1,613,850

 
 
CALATLANTIC GRP INC
 
 6.25% 15/DEC/2021 1,035,000
 
1,108,113

 
1,115,213

 
 
CALPINE CORP
 
 5.375% 15/JAN/2023 1,550,000
 
1,555,663

 
1,515,125

 
 
CALPINE CORP
 
 6.00% 15/JAN/2022 1,737,000
 
1,830,587

 
1,815,165

 
 
CAMELOT FINANCE SA
 
 7.875% 15/OCT/2024 730,000
 
730,000

 
755,550

 
 
CANADIAN IMPRL BK OF COMMERCE
 
 FLT 06/OCT/2017 2,000,000
 
2,000,000

 
2,000,000

 
 
CANADIAN IMPRL BK OF COMMERCE
 
 FLT 23/MAY/2017 1,700,000
 
1,699,605

 
1,701,834

 
 
CAPITAL AUTO REC ASSET TR
 
 1.32% 20/JUN/2018 258,391
 
258,407

 
258,406

 
 
CAPITAL AUTO REC ASSET TR
 
 1.48% 20/NOV/2018 915,968
 
916,761

 
916,569

 
 
CAPITAL AUTO REC ASSET TR
 
 1.42% 20/JUN/2018 506,884
 
507,542

 
506,991

 
 
CAPITAL AUTO REC ASSET TR
 
 1.39% 20/SEP/2018 1,140,000
 
1,140,348

 
1,140,680

 
 
CAPITAL ONE MULTI-ASSET EXECTN TR
 
 FLT 15/NOV/2019 550,000
 
550,167

 
550,000

 
 
CAPITAL ONE MULTI-ASSET EXECTN TR
 
 1.26% 15/JAN/2020 8,956,000
 
8,964,537

 
8,960,975

 
 
CARLSON TRAVEL INC
 
 6.75% 15/DEC/2023 132,000
 
135,960

 
137,280

 
 
CARMAX AUTO OWNER TR
 
 0.89% 17/AUG/2018 705,917
 
705,565

 
705,443

 
 
CARMAX AUTO OWNER TR
 
 0.84% 15/NOV/2018 2,209,898
 
2,207,436

 
2,207,107

 
 
CARMAX AUTO OWNER TR
 
 0.8% 16/JUL/2018 940,307
 
939,571

 
940,021

 
 
CARMAX AUTO OWNER TR
 
 0.79% 15/OCT/2018 537,510
 
537,080

 
537,160

 
 
CARMAX AUTO OWNER TR
 
 0.98% 15/JAN/2019 1,737,664
 
1,737,513

 
1,736,489

 
 
CARMAX AUTO OWNER TR
 
 1.16% 17/JUN/2019 1,339,244
 
1,339,319

 
1,338,591

 
 
CARMAX AUTO OWNER TR
 
 1.1% 15/NOV/2018 991,788
 
991,878

 
991,570

 
 
CARMAX AUTO OWNER TR
 
 1.09% 15/APR/2019 435,549
 
435,757

 
435,499

 
 
CARMAX AUTO OWNER TR
 
 1.3% 15/APR/2019 1,452,059
 
1,452,005

 
1,452,461

 
 
CARMAX AUTO OWNER TR
 
 FLT 17/JUN/2019 1,121,617
 
1,121,617

 
1,123,191

 
 
CARMAX AUTO OWNER TR
 
 1.21% 15/NOV/2019 1,172,000
 
1,171,941

 
1,169,674

 
 
CARRIZO OIL & GAS INC
 
 6.25% 15/APR/2023 4,756,000
 
4,596,876

 
4,874,900


34

THE JPMORGAN CHASE 401(K) SAVINGS PLAN
PLAN NUMBER: 002 - EIN: 13/4994650
SCHEDULE OF ASSETS (HELD AT END OF YEAR) AT DECEMBER 31, 2016
(IRS FORM 5500 - SCHEDULE H - PART IV - LINE 4I)


(A)
 
(B)
 
(C)
 
(D)
 
(E)
 
 
IDENTITY OF ISSUE, BORROWER,
LESSOR, OR SIMILAR PARTY
 
DESCRIPTION OF INVESTMENT
INCLUDING MATURITY DATE,
RATE OF INTEREST,
COLLATERAL, PAR, OR
MATURITY VALUE
 
COST
 
CURRENT
VALUE
CORPORATE DEBT SECURITIES (CONTINUED):
 
 
 
 
 
 
CATERPILLAR FINCL SERVICES CORP
 
 1.00% 03/MAR/2017 5,400,000
 
5,401,764

 
5,398,747

 
 
CATERPILLAR FINCL SERVICES CORP
 
 FLT 03/MAR/2017 3,215,000
 
3,214,371

 
3,215,460

 
 
CBRE SERVICES INC
 
 5.25% 15/MAR/2025 909,000
 
915,764

 
937,324

 
 
CCO HLDGS LLC
 
 5.12% 01/MAY/2023 229,000
 
229,000

 
235,870

 
 
CCO HLDGS LLC
 
 5.25% 30/SEP/2022 70,000
 
69,868

 
72,450

 
 
CCO HLDGS LLC
 
 5.37% 01/MAY/2025 1,829,000
 
1,829,000

 
1,883,870

 
 
CCO HLDGS LLC
 
 5.5% 01/MAY/2026 314,000
 
315,178

 
320,280

 
 
CCO HLDGS LLC
 
 5.75% 15/FEB/2026 988,000
 
988,000

 
1,022,580

 
 
CCO HLDGS LLC
 
 5.875% 01/APR/2024 860,000
 
859,513

 
918,050

 
 
CCO HLDGS LLC
 
 5.875% 01/MAY/2027 1,157,000
 
1,157,000

 
1,200,388

 
 
CEDAR FAIR LP
 
 5.25% 15/MAR/2021 2,530,000
 
2,533,088

 
2,612,225

 
 
CENT CLO 19 LTD
 
 FLT 29/OCT/2025 900,000
 
899,550

 
900,087

 
 
CENTENE CORP
 
 4.75% 15/JAN/2025 390,000
 
390,000

 
380,738

 
 
CENTENE CORP
 
 4.75% 15/MAY/2022 2,127,000
 
2,154,263

 
2,148,270

 
 
CENTENE CORP
 
 6.125% 15/FEB/2024 1,444,000
 
1,478,411

 
1,521,615

 
 
CENTERPNT ENRGY TRANS BD CO
 
 5.17% 01/AUG/2019 926,240
 
940,563

 
932,366

 
 
CENTERPNT ENRGY TRANS BD CO
 
 0.90% 15/APR/2018 2,033,941
 
2,032,684

 
2,033,193

 
 
CENTURYLINK INC
 
 5.625% 01/APR/2025 900,000
 
903,375

 
855,000

 
 
CENTURYLINK INC
 
 6.45% 15/JUN/2021 696,000
 
724,508

 
732,540

 
 
CENTURYLINK INC
 
 7.5% 01/APR/2024 2,695,000
 
2,813,493

 
2,829,750

 
 
CEQUEL COMM HLDGS I LLC
 
 5.125% 15/DEC/2021 814,000
 
721,515

 
828,245

 
 
CEQUEL COMM HLDGS I LLC
 
 6.375% 15/SEP/2020 1,841,000
 
1,927,032

 
1,896,230

 
 
CEQUEL COMM HLDGS I LLC
 
 7.75% 15/JUL/2025 1,053,000
 
1,048,428

 
1,158,300

 
 
CF INDUSTRIES INC
 
 3.4% 01/DEC/2021 900,000
 
898,677

 
890,540

 
 
CHANGE HEALTHCARE HLDGS INC
 
 6.00% 15/FEB/2021 807,000
 
807,000

 
843,315

 
 
CHARTER COMM OPERTNG LLC
 
 4.464% 23/JUL/2022 2,900,000
 
2,900,000

 
3,030,590

 
 
CHARTER COMM OPERTNG LLC
 
 4.908% 23/JUL/2025 1,300,000
 
1,304,160

 
1,370,109

 
 
CHEMOURS CO
 
 6.625% 15/MAY/2023 2,520,000
 
2,516,532

 
2,494,800

 
 
CHEMOURS CO
 
 7.00% 15/MAY/2025 299,000
 
231,995

 
294,515

 
 
CHENIERE CORPS CHRISTI HLDGS LLC
 
 7.00% 30/JUN/2024 810,000
 
868,725

 
876,825

 
 
CHESAPEAKE ENERGY CORP
 
 8.00% 15/JAN/2025 1,145,000
 
1,141,469

 
1,167,900

 
 
CHESAPEAKE ENERGY CORP
 
 ZCP AUG/2021 1,344,164
 
1,345,002

 
1,466,819

 
 
CHEVRON CORP
 
 0.99% 28/JUN/2017 8,000,000
 
7,960,444

 
7,963,480

 
 
CHIBA BK LTD NY BRANCH
 
 1.29% 30/MAY/2017 2,850,000
 
2,850,000

 
2,849,473

 
 
CHINA CONSTRUCTION BK
 
 1.55% 16/MAR/2017 1,250,000
 
1,250,000

 
1,250,300

 
 
CHINA CONSTRUCTION BK
 
 1.60% 16/MAR/2017 1,250,000
 
1,250,000

 
1,250,432

 
 
CHOICE HOTELS INTL INC
 
 5.75% 01/JUL/2022 2,023,000
 
2,191,685

 
2,159,553

 
 
CHRYSLER CAPITAL AUTO RECBLS TR
 
 1.27% 15/MAY/2019 4,295,790
 
4,296,547

 
4,296,286

 
 
CHRYSLER CAPITAL AUTO RECBLS TR
 
 1.22% 15/JUL/2019 2,913,082
 
2,914,330

 
2,913,573

 
 
CIFC FDG 2014-V LTD
 
 FLT 17/JAN/2027 1,000,000
 
1,000,000

 
999,996

 
 
CIFC FUNDING 2012-III LTD
 
 FLT 29/JAN/2025 1,500,000
 
1,500,000

 
1,499,991

 
 
CISCO SYSTEMS INC
 
 1.1% 03/MAR/2017 4,000,000
 
4,002,249

 
3,999,460

 
 
CISCO SYSTEMS INC
 
 FLT 03/MAR/2017 3,000,000
 
3,000,551

 
3,001,410

 
 
CIT GRP INC
 
 5% 15/AUG/2022 979,000
 
979,000

 
1,020,608

 
 
CIT GRP INC
 
 5.25% 15/MAR/2018 1,018,000
 
1,018,000

 
1,054,903

 
 
CIT GRP INC
 
 5.375% 15/MAY/2020 615,000
 
673,425

 
653,438

 
 
CIT GRP INC
 
 5.5% 15/FEB/2019 2,005,000
 
2,012,519

 
2,115,275

 
 
CITIBANK CREDIT CARD ISSUANCE TR
 
 1.02% 22/FEB/2019 10,848,000
 
10,851,323

 
10,847,580

 
 
CITIGRP INC
 
 2.7% 30/MAR/2021 300,000
 
299,568

 
299,314

 
 
CITIGRP INC
 
 FLT 01/SEP/2023 1,900,000
 
1,893,996

 
1,937,778

 
 
CMMNWLTH BNK OF AUS
 
 FLT 08/DEC/2017 2,500,000
 
2,500,000

 
2,500,550

 
 
CNH EQUIPMENT TR
 
 0.69% 15/AUG/2018 250,364
 
250,197

 
250,306


35

THE JPMORGAN CHASE 401(K) SAVINGS PLAN
PLAN NUMBER: 002 - EIN: 13/4994650
SCHEDULE OF ASSETS (HELD AT END OF YEAR) AT DECEMBER 31, 2016
(IRS FORM 5500 - SCHEDULE H - PART IV - LINE 4I)


(A)
 
(B)
 
(C)
 
(D)
 
(E)
 
 
IDENTITY OF ISSUE, BORROWER,
LESSOR, OR SIMILAR PARTY
 
DESCRIPTION OF INVESTMENT
INCLUDING MATURITY DATE,
RATE OF INTEREST,
COLLATERAL, PAR, OR
MATURITY VALUE
 
COST
 
CURRENT
VALUE
CORPORATE DEBT SECURITIES (CONTINUED):
 
 
 
 
 
 
CNH EQUIPMENT TR
 
 1.02% 15/AUG/2018 97,275
 
97,248

 
97,266

 
 
CNH EQUIPMENT TR
 
 0.77% 15/OCT/2018 251,049
 
250,789

 
250,874

 
 
CNH EQUIPMENT TR
 
 0.84% 15/MAY/2019 4,130,396
 
4,126,786

 
4,128,764

 
 
CNH EQUIPMENT TR
 
 0.91% 15/MAY/2019 2,283,743
 
2,282,498

 
2,282,961

 
 
CNH EQUIPMENT TR
 
 1.05% 15/NOV/2019 1,391,339
 
1,389,188

 
1,390,029

 
 
CNH EQUIPMENT TR
 
 1.1% 17/DEC/2018 1,048,386
 
1,048,544

 
1,047,719

 
 
CNH EQUIPMENT TR
 
 1.22% 15/JUL/2019 533,184
 
533,156

 
533,188

 
 
CNH EQUIPMENT TR
 
 FLT 15/JUL/2019 763,874
 
763,874

 
764,977

 
 
CNH EQUIPMENT TR
 
 FLT 15/OCT/2019 2,000,000
 
2,000,000

 
2,002,570

 
 
COCA-COLA COMPANY CORP
 
 1.03% 23/MAR/2017 8,000,000
 
7,984,520

 
7,986,646

 
 
COGECO COMMUNICATIONS INC
 
 4.875% 01/MAY/2020 369,000
 
369,000

 
379,609

 
 
COMMONWEALTH BK OF AUSTRALIA
 
 FLT 08/SEP/2017 2,050,000
 
2,050,660

 
2,048,729

 
 
COMMONWEALTH BK OF AUSTRALIA
 
 FLT 12/MAR/2018 3,000,000
 
3,001,900

 
2,997,795

 
 
CONCHO RESOURCES INC
 
 5.5% 01/APR/2023 4,345,000
 
4,531,475

 
4,502,724

 
 
CONCHO RESOURCES INC
 
 6.5% 15/JAN/2022 1,057,000
 
1,102,788

 
1,093,678

 
 
CONSTELLIUM NV
 
 5.75% 15/MAY/2024 1,913,000
 
1,778,650

 
1,788,655

 
 
CONTINENTAL RESOURCES INC
 
 3.8% 01/JUN/2024 1,845,000
 
1,454,548

 
1,702,013

 
 
CONTINENTAL RESOURCES INC
 
 4.5% 15/APR/2023 697,000
 
570,833

 
683,060

 
 
COOP CENTR RAIFN-BOERNLNBK BA
 
 FLT 31/DEC/2049 3,493,000
 
3,425,284

 
4,105,323

 
 
COOP CENTR RAIFN-BOERNLNBK BA
 
 3.375% 19/JAN/2017 1,626,000
 
1,627,865

 
1,627,483

 
 
COOPERATIEVE RABOBANK UA/NY
 
 FLT 11/AUG/2017 1,500,000
 
1,500,000

 
1,500,000

 
 
COSTCO WHOLESALE CORP
 
 5.5% 15/MAR/2017 4,545,000
 
4,587,003

 
4,586,969

 
 
COX COMMUNICATIONS INC
 
 3.25% 15/DEC/2022 1,700,000
 
1,660,713

 
1,655,943

 
 
CREDIT AGRICOLE CORP & INV BANK
 
 FLT 03/NOV/2017 4,000,000
 
4,000,000

 
4,001,720

 
 
CREDIT AGRICOLE CORP & INV BANK
 
 1.30% 12/JUL/2017 1,200,000
 
1,200,000

 
1,200,201

 
 
CREDIT AGRICOLE SA/LONDON
 
 2.375% 01/JUL/2021 1,400,000
 
1,393,602

 
1,378,530

 
 
CREDIT SUISSE AG/NEW YORK NY
 
 FLT 12/SEP/2017 3,700,000
 
3,700,000

 
3,705,014

 
 
CREDIT SUISSE AG/NEW YORK NY
 
 FLT 26/MAY/2017 1,500,000
 
1,500,431

 
1,501,152

 
 
CREDIT SUISSE GRP FND GRNSY LTD
 
 3.125% 10/DEC/2020 1,300,000
 
1,297,556

 
1,295,936

 
 
CREDIT SUISSE GRP FND GRNSY LTD
 
 3.45% 16/APR/2021 700,000
 
699,972

 
704,418

 
 
CREDIT SUISSE GRP FND GRNSY LTD
 
 3.75% 26/MAR/2025 3,425,000
 
3,416,780

 
3,372,947

 
 
CREDIT SUISSE GRP FND GRNSY LTD
 
 3.8% 15/SEP/2022 700,000
 
707,119

 
706,208

 
 
CRH AMERICA INC
 
 5.75% 15/JAN/2021 350,000
 
390,870

 
387,520

 
 
CROWNROCK LP
 
 7.125% 15/APR/2021 186,000
 
180,420

 
193,440

 
 
CROWNROCK LP
 
 7.75% 15/FEB/2023 2,205,000
 
2,232,904

 
2,381,400

 
 
CSC HLDGS LLC
 
 5.25% 01/JUN/2024 689,000
 
651,105

 
673,498

 
 
CSC HLDGS LLC
 
 10.125% 15/JAN/2023 500,000
 
525,000

 
577,500

 
 
CSC HLDGS LLC
 
 10.875% 15/OCT/2025 2,239,000
 
2,312,998

 
2,664,410

 
 
CSC HLDGS LLC
 
 6.625% 15/OCT/2025 2,864,000
 
2,904,570

 
3,128,920

 
 
CSC HLDGS LLC
 
 6.75% 15/NOV/2021 671,000
 
714,963

 
721,325

 
 
CSC HLDGS LLC
 
 8.625% 15/FEB/2019 1,380,000
 
1,581,550

 
1,524,900

 
 
CVS PASS-THROUGH TR
 
 6.036% 10/DEC/2028 633,222
 
465,843

 
709,903

 
 
CVS PASS-THROUGH TR
 
 5.88% 10/JAN/2028 153,746
 
148,383

 
169,660

 
 
DAIMLER FIN NORTH AMERICA LLC
 
 2.7% 03/AUG/2020 3,400,000
 
3,393,370

 
3,420,312

 
 
DANSKE CORP
 
 1.19% 17/FEB/2017 2,000,000
 
1,996,919

 
1,997,515

 
 
DAVITA HEALTHCARE PARTNERS INC
 
 5.75% 15/AUG/2022 2,625,000
 
2,640,235

 
2,743,125

 
 
DAVITA INC
 
 5.125% 15/JUL/2024 1,250,000
 
1,260,938

 
1,246,875

 
 
DELL EQUIPMENT FINANCE TR
 
 1.01% 24/JUL/2017 47,010
 
46,965

 
47,003

 
 
DELPHI AUTOMOTIVE PLC
 
 3.15% 19/NOV/2020 800,000
 
830,488

 
812,809

 
 
DENBURY RESOURCES INC
 
 9.00% 15/MAY/2021 1,472,000
 
1,434,330

 
1,593,440

 
 
DEUTSCHE BANK AG
 
 4.25% 14/OCT/2021 2,400,000
 
2,403,372

 
2,409,254

 
 
DEUTSCHE BANK AG
 
 FLT 30/MAY/2017 900,000
 
900,000

 
897,337


36

THE JPMORGAN CHASE 401(K) SAVINGS PLAN
PLAN NUMBER: 002 - EIN: 13/4994650
SCHEDULE OF ASSETS (HELD AT END OF YEAR) AT DECEMBER 31, 2016
(IRS FORM 5500 - SCHEDULE H - PART IV - LINE 4I)


(A)
 
(B)
 
(C)
 
(D)
 
(E)
 
 
IDENTITY OF ISSUE, BORROWER,
LESSOR, OR SIMILAR PARTY
 
DESCRIPTION OF INVESTMENT
INCLUDING MATURITY DATE,
RATE OF INTEREST,
COLLATERAL, PAR, OR
MATURITY VALUE
 
COST
 
CURRENT
VALUE
CORPORATE DEBT SECURITIES (CONTINUED):
 
 
 
 
 
 
DG BANK, NY BRANCH
 
 1.05% 19/JAN/2017 1,650,000
 
1,650,000

 
1,650,257

 
 
DG BANK, NY BRANCH
 
 1.21% 25/APR/2017 900,000
 
900,056

 
899,772

 
 
DIAMOND 1 FINANCE CORP
 
 5.45% 15/JUN/2023 3,100,000
 
3,205,028

 
3,288,291

 
 
DIAMOND 1 FINANCE CORP
 
 6.02% 15/JUN/2026 2,125,000
 
2,148,226

 
2,302,004

 
 
DIAMONDBACK ENERGY INC
 
 4.75% 01/NOV/2024 375,000
 
382,500

 
367,500

 
 
DIAMONDBACK ENERGY INC
 
 5.375% 31/MAY/2025 1,352,000
 
1,357,556

 
1,359,706

 
 
DISCOVER CARD EXECUTION NOTE TR
 
 1.22% 15/OCT/2019 8,520,000
 
8,527,211

 
8,522,869

 
 
DISH DBS CORP
 
 5.875% 15/JUL/2022 324,000
 
330,908

 
341,010

 
 
DISH DBS CORP
 
 5.875% 15/NOV/2024 545,000
 
540,913

 
560,805

 
 
DISH DBS CORP
 
 6.75% 01/JUN/2021 454,000
 
486,979

 
492,590

 
 
DISH DBS CORP
 
 7.75% 01/JUL/2026 4,680,000
 
4,840,258

 
5,276,700

 
 
DISNEY (WALT) CO
 
 0.63% 19/JAN/2017 8,000,000
 
7,997,680

 
7,997,791

 
 
DOLLAR TREE INC
 
 5.75% 01/MAR/2023 1,700,000
 
1,797,750

 
1,799,994

 
 
DRYDEN XXV
 
 FLT 15/JAN/2025 1,600,000
 
1,600,000

 
1,599,994

 
 
DYNEGY INC
 
 7.625% 01/NOV/2024 530,000
 
491,915

 
488,925

 
 
DZ BANK AG DEUTSCHE
 
 1.21% 27/APR/2017 1,400,000
 
1,394,587

 
1,394,906

 
 
E*TRADE FINCL CORP
 
 4.625% 15/SEP/2023 1,000,000
 
1,007,500

 
1,020,000

 
 
ECO SERVICES OPERATIONS LLC
 
 8.5% 01/NOV/2022 1,088,000
 
1,091,440

 
1,156,000

 
 
EL PASO LLC NOTES FIXED
 
 7.42% 15/FEB/2037 1,500,000
 
1,751,100

 
1,670,765

 
 
EL PASO NATURAL GAS CO LLC
 
 8.375% 15/JUN/2032 70,000
 
62,621

 
86,809

 
 
ELECTRICITE DE FRANCE SA
 
 2.35% 13/OCT/2020 1,500,000
 
1,492,365

 
1,485,657

 
 
ENDO LTD
 
 6.00% 15/JUL/2023 360,000
 
360,000

 
315,450

 
 
ENDO LTD
 
 6.5% 01/FEB/2025 1,090,000
 
1,099,175

 
912,875

 
 
ENERGY TRANSFER EQUITY LP
 
 5.5% 01/JUN/2027 2,960,000
 
2,852,670

 
2,886,000

 
 
ENERGY TRANSFER PARTNERS LP
 
 4.05% 15/MAR/2025 1,100,000
 
1,099,098

 
1,088,899

 
 
ENGIE CORP
 
 1.62% 04/OCT/2017 800,000
 
790,248

 
791,184

 
 
ENTEGRIS INC
 
 6.00% 01/APR/2022 1,294,000
 
1,310,550

 
1,345,760

 
 
ENVISION HEALTHCARE CORP
 
 5.625% 15/JUL/2022 1,000,000
 
1,017,500

 
1,031,000

 
 
ENVISION HEALTHCARE CORP
 
 6.25% 01/DEC/2024 600,000
 
612,750

 
633,000

 
 
EQUINIX INC
 
 4.875% 01/APR/2020 2,700,000
 
2,710,625

 
2,781,000

 
 
EQUINIX INC
 
 5.875% 15/JAN/2026 865,000
 
872,264

 
910,413

 
 
EXTRACTION OIL & GAS HLDGS LLC
 
 7.875% 15/JUL/2021 2,813,000
 
2,858,161

 
3,009,910

 
 
FAGE INTL SA
 
 5.625% 15/AUG/2026 1,088,000
 
1,105,231

 
1,090,720

 
 
FIFTH THIRD AUTO TR
 
 0.68% 16/APR/2018 189,735
 
189,654

 
189,699

 
 
FIFTH THIRD AUTO TR
 
 0.89% 15/NOV/2018 2,046,565
 
2,045,758

 
2,045,859

 
 
FIFTH THIRD AUTO TR
 
 0.96% 15/MAR/2019 1,936,531
 
1,936,353

 
1,935,131

 
 
FIFTH THIRD AUTO TR
 
 1.02% 15/MAY/2018 612,394
 
612,268

 
612,392

 
 
FIRST DATA CORP
 
 5.375% 15/AUG/2023 1,554,000
 
1,554,000

 
1,612,275

 
 
FIRST DATA CORP
 
 5.75% 15/JAN/2024 3,940,000
 
3,940,000

 
4,065,607

 
 
FIRST DATA CORP
 
 7.00% 01/DEC/2023 3,390,000
 
3,397,578

 
3,610,350

 
 
FIRSTENERGY CORP
 
 7.375% 15/NOV/2031 1,108,000
 
1,057,529

 
1,428,099

 
 
FLATIRON CLO
 
 FLT 25/OCT/2024 1,400,000
 
1,400,000

 
1,399,993

 
 
FORD CREDIT AUTO LEASE TR
 
 1.04% 15/MAY/2018 1,626,244
 
1,626,343

 
1,626,156

 
 
FORD CREDIT AUTO OWNER TR
 
 0.78% 15/MAY/2018 196,404
 
196,334

 
196,382

 
 
FORD CREDIT AUTO OWNER TR
 
 0.76% 15/AUG/2018 204,342
 
204,261

 
204,281

 
 
FORD CREDIT AUTO OWNER TR
 
 1.25% 15/OCT/2018 843,505
 
844,550

 
843,871

 
 
FORD CREDIT AUTO OWNER TR
 
 0.67% 15/APR/2018 288,489
 
288,336

 
288,446

 
 
FORD CREDIT AUTO OWNER TR
 
 1.11% 15/FEB/2019 2,700,000
 
2,698,594

 
2,700,396

 
 
FORD CREDIT AUTO OWNER TR
 
 0.79% 15/MAY/2018 784,803
 
784,534

 
784,610

 
 
FORD CREDIT AUTO OWNER TR
 
 0.9% 15/OCT/2018 1,250,663
 
1,250,749

 
1,250,221

 
 
FORD CREDIT AUTO OWNER TR
 
 1.06% 15/MAY/2019 4,144,605
 
4,145,730

 
4,142,167

 
 
FORD CREDIT AUTO OWNER TR
 
 1.16% 15/NOV/2019 980,831
 
981,227

 
979,936


37

THE JPMORGAN CHASE 401(K) SAVINGS PLAN
PLAN NUMBER: 002 - EIN: 13/4994650
SCHEDULE OF ASSETS (HELD AT END OF YEAR) AT DECEMBER 31, 2016
(IRS FORM 5500 - SCHEDULE H - PART IV - LINE 4I)


(A)
 
(B)
 
(C)
 
(D)
 
(E)
 
 
IDENTITY OF ISSUE, BORROWER,
LESSOR, OR SIMILAR PARTY
 
DESCRIPTION OF INVESTMENT
INCLUDING MATURITY DATE,
RATE OF INTEREST,
COLLATERAL, PAR, OR
MATURITY VALUE
 
COST
 
CURRENT
VALUE
CORPORATE DEBT SECURITIES (CONTINUED):
 
 
 
 
 
 
FORD CREDIT AUTO OWNER TR
 
 FLT 15/MAR/2019 1,783,491
 
1,783,491

 
1,784,466

 
 
FORD CREDIT FLRPLN MSTR OWNR TR
 
 FLT 15/FEB/2019 2,000,000
 
2,000,000

 
2,000,342

 
 
FORD MOTOR CREDIT CO LLC
 
 1.724% 06/DEC/2017 600,000
 
595,908

 
599,546

 
 
FORD MOTOR CREDIT CO LLC
 
 3.157% 04/AUG/2020 1,400,000
 
1,400,000

 
1,410,408

 
 
FREEPORT-MCMORAN CPR & GLD INC
 
 3.55% 01/MAR/2022 491,000
 
391,748

 
456,630

 
 
FREEPORT-MCMORAN INC
 
 3.875% 15/MAR/2023 1,101,000
 
899,753

 
1,010,168

 
 
FREEPORT-MCMORAN INC
 
 4.55% 14/NOV/2024 3,158,000
 
2,647,559

 
2,960,625

 
 
FRESENIUS MEDICAL CARE US
 
 4.75% 15/OCT/2024 948,000
 
948,000

 
957,480

 
 
FRONTIER COMMUNICATIONS CORP
 
 11.00% 15/SEP/2025 4,106,000
 
4,207,061

 
4,239,445

 
 
FRONTIER COMMUNICATIONS CORP
 
 6.875% 15/JAN/2025 1,437,000
 
1,447,837

 
1,217,858

 
 
FRONTIER COMMUNICATIONS CORP
 
 7.125% 15/JAN/2023 1,335,000
 
1,358,363

 
1,208,175

 
 
FRONTIER COMMUNICATIONS CORP
 
 8.75% 15/APR/2022 1,050,000
 
1,068,098

 
1,039,500

 
 
FRONTIER COMMUNICATIONS CORP
 
 8.875% 15/SEP/2020 640,000
 
667,870

 
681,600

 
 
FRONTIER COMMUNICATIONS CORP
 
 9.25% 01/JUL/2021 699,000
 
810,842

 
733,950

 
 
GATES GLOBAL LLC
 
 6.00% 15/JUL/2022 1,581,000
 
1,471,090

 
1,546,218

 
 
GATX CORP
 
 2.5% 15/MAR/2019 600,000
 
601,794

 
599,989

 
 
GENERAL ELECTRIC CAPITAL CORP
 
 2.9% 09/JAN/2017 3,850,000
 
3,851,663

 
3,851,363

 
 
GENERAL MOTORS CO
 
 3.5% 02/OCT/2018 400,000
 
407,916

 
407,960

 
 
GENERAL MOTORS FINCL CO INC
 
 2.35% 04/OCT/2019 800,000
 
799,768

 
790,598

 
 
GENERAL MOTORS FINCL CO INC
 
 3.2% 06/JUL/2021 1,300,000
 
1,297,621

 
1,289,154

 
 
GENESYS TELECOM HLDGS
 
 ZCP NOV/2023 499,000
 
491,515

 
509,137

 
 
GEORGIA-PACIFIC LLC
 
 2.539% 15/NOV/2019 685,000
 
696,268

 
691,004

 
 
GEORGIA-PACIFIC LLC
 
 5.4% 01/NOV/2020 600,000
 
663,378

 
659,627

 
 
GLITNIR BANKI HF
 
 FLT 15/JUN/2016 1,060,000
 
106

 
1,325

 
 
GLP CAPITAL LP
 
 5.375% 15/APR/2026 650,000
 
664,625

 
677,885

 
 
GOLDCORP INC
 
 3.625% 09/JUN/2021 1,300,000
 
1,298,323

 
1,320,678

 
 
GOLDENTREE LOAN OPPOR IX LTD
 
 FLT 29/OCT/2026 1,000,000
 
1,000,000

 
999,993

 
 
GOLDMAN SACHS GRP INC
 
 4.8% 08/JUL/2044 1,220,000
 
1,337,266

 
1,280,791

 
 
GOLDMAN SACHS GRP INC
 
 2.625% 25/APR/2021 900,000
 
899,415

 
893,465

 
 
GOLDMAN SACHS GRP INC
 
 FLT 15/SEP/2020 800,000
 
794,776

 
807,458

 
 
GOLDMAN SACHS GRP INC
 
 4% 03/MAR/2024 1,080,000
 
1,081,501

 
1,120,413

 
 
GOLDMAN SACHS GRP INC
 
 3.625% 22/JAN/2023 700,000
 
709,870

 
714,988

 
 
GRIFOLS WW OPERATIONS LTD
 
 5.25% 01/APR/2022 2,139,000
 
2,174,150

 
2,213,865

 
 
GRINDING MEDIA INC
 
 7.37% 15/DEC/2023 889,000
 
900,785

 
933,983

 
 
GRP 1 AUTOMOTIVE INC
 
 5% 01/JUN/2022 550,000
 
552,750

 
543,125

 
 
GRP 1 AUTOMOTIVE INC
 
 5.25% 15/DEC/2023 750,000
 
753,750

 
742,500

 
 
HANESBRANDS INC
 
 4.625% 15/MAY/2024 700,000
 
701,750

 
679,000

 
 
HANESBRANDS INC
 
 4.875% 15/MAY/2026 700,000
 
701,750

 
684,250

 
 
HARLEY DAVIDSON FINL CORP
 
 0.99% 05/JAN/2017 800,000
 
799,932

 
799,897

 
 
HARLEY-DAVIDSON MOTORCYCLE TR
 
 0.87% 15/JUL/2019 5,808,329
 
5,800,704

 
5,808,417

 
 
HARLEY-DAVIDSON MOTORCYCLE TR
 
 1.1% 15/SEP/2019 819,672
 
819,764

 
819,566

 
 
HARLEY-DAVIDSON MOTORCYCLE TR
 
 0.8% 15/JAN/2019 839,866
 
839,533

 
839,608

 
 
HARRIS CORP
 
 4.4% 15/DEC/2020 700,000
 
757,596

 
738,155

 
 
HCA INC
 
 4.5% 15/FEB/2027 1,400,000
 
1,403,500

 
1,375,500

 
 
HCA INC
 
 4.75% 01/MAY/2023 1,880,000
 
1,863,990

 
1,924,650

 
 
HCA INC
 
 5.25% 15/APR/2025 870,000
 
935,250

 
908,063

 
 
HCA INC
 
 5.375% 01/FEB/2025 3,070,000
 
3,172,233

 
3,077,675

 
 
HCA INC
 
 6.5% 15/FEB/2020 958,000
 
995,087

 
1,048,052

 
 
HCA INC
 
 7.5% 15/FEB/2022 2,000,000
 
2,008,388

 
2,270,000

 
 
HD SUPPLY INC
 
 5.75% 15/APR/2024 477,000
 
481,174

 
503,569

 
 
HEALTH CARE REIT INC
 
 4.95% 15/JAN/2021 600,000
 
657,954

 
647,078

 
 
HERC RENTALS INC
 
 7.75% 01/JUN/2024 118,000
 
119,410

 
124,048


38

THE JPMORGAN CHASE 401(K) SAVINGS PLAN
PLAN NUMBER: 002 - EIN: 13/4994650
SCHEDULE OF ASSETS (HELD AT END OF YEAR) AT DECEMBER 31, 2016
(IRS FORM 5500 - SCHEDULE H - PART IV - LINE 4I)


(A)
 
(B)
 
(C)
 
(D)
 
(E)
 
 
IDENTITY OF ISSUE, BORROWER,
LESSOR, OR SIMILAR PARTY
 
DESCRIPTION OF INVESTMENT
INCLUDING MATURITY DATE,
RATE OF INTEREST,
COLLATERAL, PAR, OR
MATURITY VALUE
 
COST
 
CURRENT
VALUE
CORPORATE DEBT SECURITIES (CONTINUED):
 
 
 
 
 
 
HERTZ CORP
 
 5.5% 15/OCT/2024 1,100,000
 
1,100,000

 
961,125

 
 
HILTON DOMESTIC OPERATING CO INC
 
 4.25% 01/SEP/2024 2,270,000
 
2,300,313

 
2,201,900

 
 
HOLCIM US FINANCE SARL & CIE SCS
 
 6% 30/DEC/2019 100,000
 
116,181

 
109,559

 
 
HOLLY ENERGY PARTNERS LP
 
 6% 01/AUG/2024 1,366,000
 
1,409,180

 
1,424,055

 
 
HOLOGIC INC
 
 5.25% 15/JUL/2022 860,000
 
868,431

 
905,150

 
 
HOME EQUITY MTG
 
 FLT 25/APR/2037 1,301,577
 
288,083

 
999,471

 
 
HONDA AUTO RECVBLS OWNER TR
 
 0.67% 21/NOV/2017 299,459
 
299,263

 
299,378

 
 
HONDA AUTO RECVBLS OWNER TR
 
 0.77% 19/MAR/2018 2,487,496
 
2,485,930

 
2,485,406

 
 
HONDA AUTO RECVBLS OWNER TR
 
 0.99% 17/SEP/2018 1,161,825
 
1,161,576

 
1,160,927

 
 
HONDA AUTO RECVBLS OWNER TR
 
 1.05% 15/OCT/2018 1,588,243
 
1,588,362

 
1,587,323

 
 
HONDA AUTO RECVBLS OWNER TR
 
 0.92% 20/NOV/2017 959,628
 
959,751

 
959,494

 
 
HONDA AUTO RECVBLS OWNER TR
 
 0.82% 23/JUL/2018 662,140
 
661,501

 
661,716

 
 
HONDA AUTO RECVBLS OWNER TR
 
 1.01% 18/OCT/2018 1,900,000
 
1,897,870

 
1,898,226

 
 
HONDA AUTO RECVBLS OWNER TR
 
 0.88% 15/JUN/2018 2,964,721
 
2,963,348

 
2,962,704

 
 
HSBC BANK PLC
 
 4.125% 12/AUG/2020 1,300,000
 
1,374,555

 
1,364,407

 
 
HSBC BANK USA NA
 
 FLT 04/AUG/2017 1,800,000
 
1,800,000

 
1,803,469

 
 
HSBC BANK USA NA
 
 FLT 12/MAY/2017 2,500,000
 
2,500,000

 
2,503,268

 
 
HSBC HLDGS PLC
 
 3.4% 08/MAR/2021 200,000
 
199,544

 
203,376

 
 
HSBC HLDGS PLC
 
 3.6% 25/MAY/2023 800,000
 
799,704

 
804,638

 
 
HSBC HLDGS PLC
 
 4.25% 18/AUG/2025 1,300,000
 
1,289,340

 
1,311,892

 
 
HUB HLDGS LLC
 
 8.125% 15/JUL/2019 205,000
 
204,488

 
204,488

 
 
HUB INTL LTD
 
 7.875% 01/OCT/2021 3,958,000
 
3,908,333

 
4,181,271

 
 
HUB INTL LTD
 
 9.25% 15/FEB/2021 199,000
 
199,000

 
205,965

 
 
HUDBAY MINERALS INC
 
 7.25% 15/JAN/2023 372,000
 
372,000

 
385,020

 
 
HUDBAY MINERALS INC
 
 7.625% 15/JAN/2025 984,000
 
1,002,640

 
1,022,750

 
 
HUGHES SATELLITE SYSTEMS CORP
 
 5.25% 01/AUG/2026 957,000
 
957,000

 
937,860

 
 
HUNTINGTON BANCSHARES INC
 
 3.15% 14/MAR/2021 700,000
 
698,621

 
709,869

 
 
HUNTSMAN INTL LLC
 
 4.875% 15/NOV/2020 340,000
 
316,050

 
352,325

 
 
HUNTSMAN INTL LLC
 
 5.125% 15/NOV/2022 765,000
 
746,250

 
780,300

 
 
HYUNDAI AUTO LEASE SEC TR
 
 1.42% 17/SEP/2018 3,151,199
 
3,155,864

 
3,155,523

 
 
HYUNDAI AUTO LEASE SEC TR
 
 0.95% 15/DEC/2017 474,830
 
474,800

 
474,730

 
 
HYUNDAI AUTO LEASE SEC TR
 
 FLT 15/DEC/2017 1,246,429
 
1,246,429

 
1,246,333

 
 
HYUNDAI AUTO LEASE SEC TR
 
 1.24% 15/NOV/2018 384,353
 
384,343

 
384,314

 
 
HYUNDAI AUTO RECEIVABLES TR
 
 0.75% 17/SEP/2018 119,895
 
119,845

 
119,858

 
 
HYUNDAI AUTO RECEIVABLES TR
 
 1.01% 15/FEB/2019 1,731,088
 
1,731,225

 
1,730,866

 
 
HYUNDAI AUTO RECEIVABLES TR
 
 1.55% 15/MAR/2019 982,109
 
984,252

 
983,407

 
 
HYUNDAI AUTO RECEIVABLES TR
 
 0.79% 16/JUL/2018 973,761
 
973,305

 
973,403

 
 
HYUNDAI AUTO RECEIVABLES TR
 
 0.9% 17/DEC/2018 339,105
 
339,085

 
338,842

 
 
HYUNDAI AUTO RECEIVABLES TR
 
 0.99% 15/NOV/2018 359,514
 
359,630

 
359,246

 
 
HYUNDAI AUTO RECEIVABLES TR
 
 FLT 17/JUN/2019 1,010,568
 
1,010,568

 
1,011,850

 
 
HYUNDAI CAPITAL AMERICA CORP
 
 0.96% 03/JAN/2017 1,500,000
 
1,499,932

 
1,499,872

 
 
HYUNDAI CAPITAL AMERICA CORP
 
 2.00% 01/JUL/2019 600,000
 
599,574

 
595,360

 
 
IBERDROLA FINANCE IRELAND LTD
 
 5.00% 11/SEP/2019 1,000,000
 
1,070,120

 
1,067,342

 
 
IHO VERWALTUNGS GMBH
 
 4.5% 15/SEP/2023 375,000
 
375,000

 
366,563

 
 
IHO VERWALTUNGS GMBH
 
 4.75% 15/SEP/2026 611,000
 
611,000

 
589,615

 
 
ILLINOIS TOOL WORKS INC
 
 0.9% 25/FEB/2017 3,795,000
 
3,794,623

 
3,793,824

 
 
IMPERIAL BRANDS FINANCE PLC
 
 3.75% 21/JUL/2022 2,200,000
 
2,164,470

 
2,258,456

 
 
IMPERIAL TOBACCO FINANCE PLC
 
 3.5% 11/FEB/2023 700,000
 
682,255

 
703,840

 
 
INEOS GRP HLDGS SA
 
 5.625% 01/AUG/2024 1,732,000
 
1,726,613

 
1,719,010

 
 
INEOS GRP HLDGS SA
 
 5.875% 15/FEB/2019 1,325,000
 
1,337,881

 
1,354,813

 
 
INFOR US INC
 
 5.75% 15/AUG/2020 301,000
 
297,990

 
315,298

 
 
INFORMATICA LLC
 
 7.125% 15/JUL/2023 486,000
 
457,564

 
464,130


39

THE JPMORGAN CHASE 401(K) SAVINGS PLAN
PLAN NUMBER: 002 - EIN: 13/4994650
SCHEDULE OF ASSETS (HELD AT END OF YEAR) AT DECEMBER 31, 2016
(IRS FORM 5500 - SCHEDULE H - PART IV - LINE 4I)


(A)
 
(B)
 
(C)
 
(D)
 
(E)
 
 
IDENTITY OF ISSUE, BORROWER,
LESSOR, OR SIMILAR PARTY
 
DESCRIPTION OF INVESTMENT
INCLUDING MATURITY DATE,
RATE OF INTEREST,
COLLATERAL, PAR, OR
MATURITY VALUE
 
COST
 
CURRENT
VALUE
CORPORATE DEBT SECURITIES (CONTINUED):
 
 
 
 
 
 
INFORMATION RESOURCES INC
 
 ZCP DEC/2023 1,878,000
 
1,868,610

 
1,894,433

 
 
INFORMATION RESOURCES INC
 
 ZCP DEC/2024 1,380,000
 
1,359,300

 
1,375,405

 
 
ING BANK
 
 2.3% 22/MAR/2019 100,000
 
99,971

 
100,261

 
 
ING BANK
 
 FLT 16/MAR/2018 1,151,000
 
1,152,515

 
1,152,914

 
 
INGRAM MICRO INC
 
 5.45% 15/DEC/2024 725,000
 
722,455

 
682,216

 
 
INTERVAL ACQUISITION CORP
 
 5.625% 15/APR/2023 2,556,000
 
2,581,660

 
2,607,120

 
 
INTESA SANPAOLO SPA
 
 6.50% 24/FEB/2021 500,000
 
585,260

 
548,338

 
 
INTL GAME TECHNOLOGY PLC
 
 6.25% 15/FEB/2022 1,082,000
 
1,082,000

 
1,160,445

 
 
INTL GAME TECHNOLOGY PLC
 
 6.5% 15/FEB/2025 2,106,000
 
2,158,575

 
2,258,685

 
 
INTL LEASE FINANCE CORP
 
 3.875% 15/APR/2018 700,000
 
711,375

 
713,125

 
 
INTL LEASE FINANCE CORP
 
 4.625% 15/APR/2021 2,650,000
 
2,623,125

 
2,746,063

 
 
INTL LEASE FINANCE CORP
 
 6.25% 15/MAY/2019 800,000
 
856,719

 
860,000

 
 
INTL LEASE FINANCE CORP
 
 8.625% 15/JAN/2022 400,000
 
501,000

 
480,500

 
 
IRON MOUNTAIN INC
 
 6.00% 01/OCT/2020 995,000
 
1,043,506

 
1,049,725

 
 
JACK OHIO FINANCE LLC
 
 6.75% 15/NOV/2021 1,660,000
 
1,660,000

 
1,680,750

 
 
JACKSON NTNL LIFE GLOBAL FND
 
 1.25% 21/FEB/2017 600,000
 
600,173

 
599,971

 
 
JACKSON NTNL LIFE GLOBAL FND
 
 2.1% 25/OCT/2021 2,000,000
 
1,998,780

 
1,951,666

 
 
JAGUAR HLDG CO II
 
 6.37% 01/AUG/2023 1,400,000
 
1,414,000

 
1,498,000

 
 
JAPAN BILL
 
 ZCP 06/FEB/2017 260,000,000
 
2,468,268

 
2,229,723

 
 
JAPAN BILL
 
 ZCP 10/JAN/2017 220,000,000
 
2,118,546

 
1,886,217

 
 
JOHN DEERE CAPITAL CORP
 
 5.5% 13/APR/2017 3,260,000
 
3,300,180

 
3,298,755

 
 
JOHN DEERE OWNER TR
 
 0.92% 16/APR/2018 368,019
 
368,019

 
367,861

 
 
JOHN DEERE OWNER TR
 
 1.07% 15/NOV/2018 2,340,716
 
2,341,505

 
2,340,557

 
 
JOHN DEERE OWNER TR
 
 0.87% 15/FEB/2018 165,822
 
165,799

 
165,799

 
 
JOHN DEERE OWNER TR
 
 0.98% 15/JUN/2018 3,272,255
 
3,271,589

 
3,272,117

 
 
JOHN DEERE OWNER TR
 
 1.15% 15/OCT/2018 2,099,471
 
2,100,365

 
2,100,188

 
 
JOHN DEERE OWNER TR
 
 1.09% 15/FEB/2019 648,000
 
647,967

 
647,255

 
 
KFC HLDG CO
 
 5.25% 01/JUN/2026 3,000,000
 
3,033,750

 
3,045,000

 
 
KINDER MORGAN INC
 
 7.75% 15/JAN/2032 405,000
 
302,043

 
496,309

 
 
KINDER MORGAN INC
 
 7.8% 01/AUG/2031 697,000
 
523,595

 
861,699

 
 
KINDER MORGAN INC
 
 5.00% 15/FEB/2021 300,000
 
318,276

 
319,553

 
 
KRONOS INC
 
 ZCP OCT/2024 704,000
 
696,960

 
727,383

 
 
LAMAR MEDIA CORP
 
 5.375% 15/JAN/2024 1,060,000
 
1,081,200

 
1,097,100

 
 
LAREDO PETROLEUM INC
 
 5.625% 15/JAN/2022 1,587,000
 
1,545,278

 
1,598,903

 
 
LAREDO PETROLEUM INC
 
 6.25% 15/MAR/2023 1,911,000
 
1,916,570

 
1,977,885

 
 
LAREDO PETROLEUM INC
 
 7.375% 01/MAY/2022 2,668,000
 
2,679,140

 
2,764,715

 
 
LAS VEGAS SANDS INC
 
 ZCP DEC/2020 99,744
 
99,726

 
100,406

 
 
LAZARD GRP LLC
 
 3.75% 13/FEB/2025 1,300,000
 
1,296,334

 
1,269,395

 
 
LCM X LP
 
 FLT 15/APR/2022 1,492,921
 
1,492,921

 
1,493,231

 
 
LEASEPLAN CORP
 
 2.875% 22/JAN/2019 870,000
 
862,927

 
869,725

 
 
LEHMAN BROTHERS HLDGS INC
 
 6.00% 26/SEP/2014 340,000
 
43,350

 
20,162

 
 
LEHMAN BROTHERS HLDGS INC
 
 5.25% 06/FEB/2012 210,000
 
26,775

 
12,075

 
 
LENNAR CORP
 
 4.5% 15/NOV/2019 430,000
 
441,825

 
446,662

 
 
LEVEL 3 FINANCING INC
 
 5.25% 15/MAR/2026 1,600,000
 
1,606,000

 
1,584,000

 
 
LEVEL 3 FINANCING INC
 
 5.375% 15/AUG/2022 1,050,000
 
1,050,000

 
1,084,125

 
 
LIVE NATION ENTERTAINMENT INC
 
 4.875% 01/NOV/2024 1,224,000
 
1,224,000

 
1,227,060

 
 
LLOYDS BANK PLC
 
 FLT 12/DEC/2017 2,000,000
 
2,000,000

 
2,002,754

 
 
LLOYDS BANK PLC
 
 FLT 20/DEC/2017 2,000,000
 
2,000,000

 
2,002,856

 
 
LTF MERGER SUB INC
 
 8.5% 15/JUN/2023 1,084,000
 
1,084,000

 
1,121,940

 
 
MALLINCKRODT INTL FINANCE SA
 
 5.5% 15/APR/2025 460,000
 
460,000

 
411,700

 
 
MALLINCKRODT INTL FINANCE SA
 
 5.625% 15/OCT/2023 453,000
 
453,000

 
422,422

 
 
MANITOWOC FOODSERVICE INC
 
 9.5% 15/FEB/2024 525,000
 
525,656

 
605,062


40

THE JPMORGAN CHASE 401(K) SAVINGS PLAN
PLAN NUMBER: 002 - EIN: 13/4994650
SCHEDULE OF ASSETS (HELD AT END OF YEAR) AT DECEMBER 31, 2016
(IRS FORM 5500 - SCHEDULE H - PART IV - LINE 4I)


(A)
 
(B)
 
(C)
 
(D)
 
(E)
 
 
IDENTITY OF ISSUE, BORROWER,
LESSOR, OR SIMILAR PARTY
 
DESCRIPTION OF INVESTMENT
INCLUDING MATURITY DATE,
RATE OF INTEREST,
COLLATERAL, PAR, OR
MATURITY VALUE
 
COST
 
CURRENT
VALUE
CORPORATE DEBT SECURITIES (CONTINUED):
 
 
 
 
 
 
MANUFACTURERS & TRADERS TR CO
 
 FLT 30/JAN/2017 1,500,000
 
1,500,093

 
1,500,358

 
 
MANUFACTURERS & TRADERS TR CO
 
 FLT 25/JUL/2017 750,000
 
748,374

 
750,577

 
 
MARRIOTT INTL CORP
 
 0.95% 19/JAN/2017 750,000
 
749,595

 
749,641

 
 
MASSMUTUAL GLOBAL FUNDING II
 
 2.5% 17/OCT/2022 200,000
 
195,820

 
196,394

 
 
MASTR ASSET BACKED SECURITIES TR
 
 FLT 25/JAN/2036 453,963
 
447,608

 
445,090

 
 
MATCH GRP INC
 
 6.375% 01/JUN/2024 1,380,000
 
1,408,500

 
1,455,900

 
 
MDC PARTNERS INC
 
 6.5% 01/MAY/2024 3,139,000
 
3,191,207

 
2,825,100

 
 
MEDNAX INC
 
 5.25% 01/DEC/2023 1,735,000
 
1,757,030

 
1,787,050

 
 
MERCEDES BENZ AUTO LEASE TR
 
 1.1% 15/AUG/2017 178,280
 
178,317

 
178,247

 
 
MERCEDES BENZ AUTO LEASE TR
 
 1% 16/JAN/2018 989,928
 
990,127

 
989,650

 
 
MERCEDES BENZ AUTO LEASE TR
 
 1.34% 16/JUL/2018 6,657,960
 
6,663,770

 
6,662,760

 
 
MERCEDES BENZ AUTO LEASE TR
 
 FLT 16/JUL/2018 2,439,163
 
2,439,163

 
2,442,067

 
 
MERCEDES BENZ AUTO LEASE TR
 
 1.15% 15/JAN/2019 480,000
 
479,987

 
479,414

 
 
MERCEDES-BENZ AUTO REC TR
 
 0.87% 15/OCT/2018 3,476,937
 
3,475,817

 
3,473,850

 
 
MERCEDES-BENZ AUTO REC TR
 
 0.82% 15/JUN/2018 1,748,450
 
1,747,712

 
1,747,915

 
 
MERCEDES-BENZ AUTO REC TR
 
 1.11% 15/MAR/2019 1,956,000
 
1,956,143

 
1,955,487

 
 
MERITAGE HOMES CORP
 
 6% 01/JUN/2025 2,000,000
 
2,012,500

 
2,025,000

 
 
MERITAGE HOMES CORP
 
 7% 01/APR/2022 684,000
 
695,275

 
740,430

 
 
METROPOLITAN LIFE GLOBAL FNDG
 
 FLT 10/APR/2017 5,229,000
 
5,228,603

 
5,233,471

 
 
MGM GROWTH PROP
 
 4.5% 01/SEP/2026 550,000
 
553,437

 
528,000

 
 
MGM RESORTS INTL
 
 11.37% 01/MAR/2018 455,000
 
517,562

 
505,050

 
 
MGM RESORTS INTL
 
 4.625% 01/SEP/2026 2,215,000
 
2,196,915

 
2,131,937

 
 
MGM RESORTS INTL
 
 6.00% 15/MAR/2023 921,000
 
925,644

 
994,680

 
 
MGM RESORTS INTL
 
 6.625% 15/DEC/2021 963,000
 
1,022,570

 
1,076,152

 
 
MGM RESORTS INTL
 
 6.75% 01/OCT/2020 1,491,000
 
1,544,000

 
1,658,737

 
 
MICROSEMI CORP
 
 9.125% 15/APR/2023 1,085,000
 
1,085,000

 
1,264,025

 
 
MICROSOFT CORPORATION CORP
 
 0.94% 09/MAY/2017 2,000,000
 
1,993,567

 
1,993,811

 
 
MICROSOFT CORPORATION CORP
 
 0.76% 16/MAR/2017 500,000
 
499,158

 
499,230

 
 
MICROSOFT CORPORATION CORP
 
 0.96% 02/MAY/2017 2,700,000
 
2,691,834

 
2,692,205

 
 
MICROSOFT CORPORATION CORP
 
 0.65% 24/JAN/2017 8,000,000
 
7,996,831

 
7,997,100

 
 
MICROSOFT CORPORATION CORP
 
 0.93% 03/MAY/2017 2,000,000
 
1,993,832

 
1,994,165

 
 
MITSUBISHI TST&BNK
 
 1.25% 15/MAR/2017 2,000,000
 
2,000,000

 
2,001,609

 
 
MITSUBISHI TST&BNK
 
 1.53% 23/AUG/2017 1,000,000
 
1,000,000

 
1,001,829

 
 
MIZUHO BANK LTD/NY
 
 FLT 08/DEC/2017 4,000,000
 
4,000,000

 
4,001,828

 
 
MIZUHO BANK LTD/NY
 
 FLT 12/DEC/2017 1,000,000
 
1,000,000

 
1,000,414

 
 
MIZUHO BANK LTD/NY
 
 FLT 19/OCT/2017 800,000
 
800,000

 
800,486

 
 
MOLINA HEALTHCARE INC
 
 5.37% 15/NOV/2022 1,305,000
 
1,315,500

 
1,324,575

 
 
MOLSON COORS BREWING CO
 
 2.1% 15/JUL/2021 300,000
 
299,886

 
292,174

 
 
MORGAN STANLEY
 
 3.7% 23/OCT/2024 2,875,000
 
2,988,476

 
2,909,247

 
 
MORGAN STANLEY
 
 5.75% 25/JAN/2021 2,150,000
 
2,240,644

 
2,385,588

 
 
MPH ACQUISITION HLDGS LLC
 
 7.125% 01/JUN/2024 2,221,000
 
2,258,060

 
2,337,825

 
 
MPLX LP
 
 4.5% 15/JUL/2023 1,524,000
 
1,493,520

 
1,547,799

 
 
MPLX LP
 
 4.875% 01/DEC/2024 4,389,000
 
4,205,938

 
4,519,327

 
 
MPLX LP
 
 4.875% 01/JUN/2025 1,516,000
 
1,508,420

 
1,558,671

 
 
MSCI INC
 
 5.25% 15/NOV/2024 1,325,000
 
1,350,202

 
1,391,250

 
 
MSCI INC
 
 5.75% 15/AUG/2025 1,280,000
 
1,289,600

 
1,360,000

 
 
NABORS INDUSTRIES INC
 
 5.5% 15/JAN/2023 271,000
 
271,000

 
282,179

 
 
NATNL AUSTRALIA BANK LTD
 
 1.25% 17/MAR/2017 3,400,000
 
3,402,287

 
3,401,652

 
 
NATNL RURAL UTILITS COOP FIN CORP
 
 5.45% 10/APR/2017 4,000,000
 
4,047,758

 
4,045,288

 
 
NATIXIS SA
 
 FLT 01/NOV/2017 3,500,000
 
3,500,000

 
3,506,692

 
 
NATIXIS SA
 
 FLT 25/SEP/2017 1,300,000
 
1,300,000

 
1,304,419

 
 
NATL AUSTRALIA BK LTD
 
 FLT 07/DEC/2017 2,000,000
 
2,000,000

 
2,000,348


41

THE JPMORGAN CHASE 401(K) SAVINGS PLAN
PLAN NUMBER: 002 - EIN: 13/4994650
SCHEDULE OF ASSETS (HELD AT END OF YEAR) AT DECEMBER 31, 2016
(IRS FORM 5500 - SCHEDULE H - PART IV - LINE 4I)


(A)
 
(B)
 
(C)
 
(D)
 
(E)
 
 
IDENTITY OF ISSUE, BORROWER,
LESSOR, OR SIMILAR PARTY
 
DESCRIPTION OF INVESTMENT
INCLUDING MATURITY DATE,
RATE OF INTEREST,
COLLATERAL, PAR, OR
MATURITY VALUE
 
COST
 
CURRENT
VALUE
CORPORATE DEBT SECURITIES (CONTINUED):
 
 
 
 
 
 
NAVIENT CORP
 
 7.25% 25/JAN/2022 482,000
 
533,403

 
510,317

 
 
NAVIENT CORP
 
 8.00% 25/MAR/2020 177,000
 
184,301

 
196,364

 
 
NAVIENT CORP
 
 5.00% 26/OCT/2020 416,000
 
370,146

 
424,320

 
 
NAVIENT CORP
 
 5.875% 25/OCT/2024 1,706,000
 
1,647,291

 
1,620,700

 
 
NAVIENT CORP
 
 6.625% 26/JUL/2021 615,000
 
631,370

 
650,362

 
 
NEIMAN MARCUS GRP LTD LLC
 
 8.00% 15/OCT/2021 496,000
 
376,960

 
368,280

 
 
NETFLIX INC
 
 5.875% 15/FEB/2025 3,194,000
 
3,241,087

 
3,445,527

 
 
NETFLIX INC
 
 4.375% 15/NOV/2026 2,200,000
 
2,208,250

 
2,134,000

 
 
NEW RED FINANCE INC
 
 4.625% 15/JAN/2022 1,900,000
 
1,908,000

 
1,938,000

 
 
NEW RED FINANCE INC
 
 6.00% 01/APR/2022 800,000
 
800,000

 
836,000

 
 
NEWFIELD EXPLORATION CO
 
 5.625% 01/JUL/2024 1,321,000
 
1,254,240

 
1,377,142

 
 
NEWFIELD EXPLORATION CO
 
 5.75% 30/JAN/2022 122,000
 
123,525

 
128,557

 
 
NFP CORP
 
 9.00% 15/JUL/2021 383,000
 
381,085

 
404,065

 
 
NIELSEN CO LUXEMBOURG SARL
 
 5.5% 01/OCT/2021 870,000
 
870,000

 
904,800

 
 
NISSAN AUTO LEASE TR
 
 1.12% 15/SEP/2017 442,493
 
442,765

 
442,549

 
 
NISSAN AUTO LEASE TR
 
 1.4% 15/JUN/2018 3,395,000
 
3,400,050

 
3,397,845

 
 
NISSAN AUTO LEASE TR
 
 1.18% 15/DEC/2017 2,819,685
 
2,820,571

 
2,820,529

 
 
NISSAN AUTO LEASE TR
 
 1.22% 15/AUG/2018 830,840
 
830,790

 
830,803

 
 
NISSAN AUTO REC OWNER TR
 
 0.67% 15/AUG/2018 1,264,146
 
1,263,018

 
1,263,253

 
 
NISSAN AUTO REC OWNER TR
 
 0.72% 15/AUG/2018 831,853
 
831,195

 
831,154

 
 
NISSAN AUTO REC OWNER TR
 
 1.11% 15/MAY/2019 264,691
 
264,828

 
264,492

 
 
NISSAN AUTO REC OWNER TR
 
 0.83% 16/JUL/2018 1,169,315
 
1,168,907

 
1,168,789

 
 
NISSAN AUTO REC OWNER TR
 
 FLT 16/JUL/2018 498,338
 
498,338

 
498,647

 
 
NISSAN AUTO REC OWNER TR
 
 0.87% 15/NOV/2018 552,530
 
552,446

 
552,219

 
 
NISSAN AUTO REC OWNER TR
 
 1.06% 15/FEB/2019 506,890
 
506,879

 
506,741

 
 
NISSAN AUTO REC OWNER TR
 
 FLT 15/FEB/2019 1,115,796
 
1,115,796

 
1,116,929

 
 
NORDEA BANK FINLAND PLC
 
 FLT 26/APR/2017 1,800,000
 
1,800,000

 
1,802,311

 
 
NORDEA BANK FINLAND PLC
 
 1.19% 01/MAR/2017 2,500,000
 
2,500,000

 
2,501,416

 
 
NORFOLK SOUTHERN RAILWAY CO
 
 9.75% 15/JUN/2020 400,000
 
514,456

 
494,430

 
 
NORINCHUKIN BANK
 
 1.2% 10/FEB/2017 1,500,000
 
1,500,000

 
1,500,731

 
 
NORINCHUKIN BANK
 
 FLT 10/OCT/2017 500,000
 
500,000

 
501,167

 
 
NORINCHUKIN BANK
 
 FLT 11/OCT/2017 1,400,000
 
1,400,000

 
1,403,258

 
 
NORINCHUKIN BANK
 
 1.25% 24/APR/2017 4,000,000
 
4,000,202

 
4,002,363

 
 
NORTHWEST AIRLINES
 
 6.264% 20/MAY/2023 158,797
 
168,920

 
171,199

 
 
NOVELIS CORP
 
 5.875% 30/SEP/2026 2,851,000
 
2,909,889

 
2,879,510

 
 
NOVELIS CORP
 
 6.25% 15/AUG/2024 485,000
 
495,860

 
514,100

 
 
NRG ENERGY INC
 
 6.25% 01/MAY/2024 390,000
 
385,597

 
379,275

 
 
NRG ENERGY INC
 
 6.25% 15/JUL/2022 1,714,000
 
1,725,105

 
1,718,285

 
 
NRG ENERGY INC
 
 6.625% 15/JAN/2027 1,500,000
 
1,507,500

 
1,417,500

 
 
NRG ENERGY INC
 
 7.25% 15/MAY/2026 905,000
 
905,000

 
900,475

 
 
NRG YIELD OPERATING LLC
 
 5.375% 15/AUG/2024 3,042,000
 
2,993,036

 
3,057,210

 
 
NXP BV / NXP FUNDING LLC
 
 3.875% 01/SEP/2022 905,000
 
905,295

 
916,312

 
 
NXP BV / NXP FUNDING LLC
 
 4.125% 01/JUN/2021 820,000
 
835,375

 
846,650

 
 
NXP BV / NXP FUNDING LLC
 
 4.625% 15/JUN/2022 1,003,000
 
1,003,000

 
1,050,642

 
 
OASIS PETROLEUM INC
 
 6.875% 15/JAN/2023 1,703,000
 
1,558,739

 
1,745,575

 
 
OCTAGON INV PARTNERS XII LTD
 
 FLT 05/MAY/2023 1,559,660
 
1,559,660

 
1,559,787

 
 
ONEMAIN FINCL HLDGS LLC
 
 7.25% 15/DEC/2021 3,026,000
 
3,082,584

 
3,154,605

 
 
ONTARIO TEACHERS FINANCE CORP
 
 1.08% 25/JAN/2017 2,000,000
 
1,998,615

 
1,998,934

 
 
ONTARIO TEACHERS FINANCE CORP
 
 1.30% 11/APR/2017 1,000,000
 
996,666

 
996,430

 
 
ORACLE CORP
 
 FLT 07/JUL/2017 841,000
 
841,296

 
841,637

 
 
OUTFRONT MEDIA CAPITAL LLC
 
 5.875% 15/MAR/2025 2,748,000
 
2,797,034

 
2,878,530

 
 
OVERSEA-CHINESE BANKING CORP
 
 FLT 15/NOV/2017 4,000,000
 
4,000,000

 
4,001,488


42

THE JPMORGAN CHASE 401(K) SAVINGS PLAN
PLAN NUMBER: 002 - EIN: 13/4994650
SCHEDULE OF ASSETS (HELD AT END OF YEAR) AT DECEMBER 31, 2016
(IRS FORM 5500 - SCHEDULE H - PART IV - LINE 4I)


(A)
 
(B)
 
(C)
 
(D)
 
(E)
 
 
IDENTITY OF ISSUE, BORROWER,
LESSOR, OR SIMILAR PARTY
 
DESCRIPTION OF INVESTMENT
INCLUDING MATURITY DATE,
RATE OF INTEREST,
COLLATERAL, PAR, OR
MATURITY VALUE
 
COST
 
CURRENT
VALUE
CORPORATE DEBT SECURITIES (CONTINUED):
 
 
 
 
 
 
OWENS-BROCKWAY GLASS CNTNR INC
 
 5.875% 15/AUG/2023 800,000
 
780,000

 
834,000

 
 
OWENS-BROCKWAY GLASS CNTNR INC
 
 6.375% 15/AUG/2025 1,801,000
 
1,983,027

 
1,900,055

 
 
PACCAR FINCL CORP
 
 0.61% 04/JAN/2017 8,000,000
 
7,999,620

 
7,999,454

 
 
PACCAR FINCL CORP
 
 FLT 06/JUN/2017 4,500,000
 
4,498,438

 
4,501,741

 
 
PARSLEY ENERGY LLC
 
 5.375% 15/JAN/2025 1,915,000
 
1,915,000

 
1,921,511

 
 
PARSLEY ENERGY LLC
 
 6.25% 01/JUN/2024 1,655,000
 
1,699,271

 
1,741,556

 
 
PDC ENERGY INC
 
 6.125% 15/SEP/2024 1,322,000
 
1,342,351

 
1,351,745

 
 
PENSKE AUTOMOTIVE GRP INC
 
 5.375% 01/DEC/2024 511,000
 
512,916

 
509,722

 
 
PEPSICO, INC
 
 0.53% 19/JAN/2017 8,000,000
 
7,998,000

 
7,997,791

 
 
PETROBRAS GLOBAL FINANCE
 
 4.875% 17/MAR/2020 200,000
 
177,354

 
197,740

 
 
PETROBRAS GLOBAL FINANCE
 
 8.375% 23/MAY/2021 700,000
 
713,797

 
754,250

 
 
PETROBRAS INTL FINANCE CO
 
 5.75% 20/JAN/2020 650,000
 
611,000

 
658,125

 
 
PETROLEOS MEXICANOS
 
 5.5% 21/JAN/2021 450,000
 
445,549

 
462,937

 
 
PETROLEOS MEXICANOS
 
 6.625% 15/JUN/2035 115,000
 
96,254

 
113,275

 
 
PFIZER INC
 
 0.9% 15/JAN/2017 8,412,000
 
8,412,259

 
8,411,941

 
 
PFIZER INC
 
 6.05% 30/MAR/2017 2,000,000
 
2,024,096

 
2,024,216

 
 
PINNACLE FOODS FINANCE LLC
 
 5.875% 15/JAN/2024 800,000
 
835,362

 
848,000

 
 
PIONEER NATURAL RESOURCES CO
 
 3.45% 15/JAN/2021 300,000
 
281,278

 
306,566

 
 
PIONEER NATURAL RESOURCES CO
 
 6.65% 15/MAR/2017 87,000
 
88,531

 
87,887

 
 
PLASTIPAK HLDGS INC
 
 6.5% 01/OCT/2021 2,039,000
 
2,116,820

 
2,130,755

 
 
PLATFORM SPECIALTY PROD CORP
 
 10.38% 01/MAY/2021 1,330,000
 
1,349,710

 
1,472,975

 
 
PLATFORM SPECIALTY PROD CORP
 
 6.5% 01/FEB/2022 653,000
 
660,003

 
657,897

 
 
PLAYA RESORTS HLDG
 
 8.00% 15/AUG/2020 2,655,000
 
2,741,388

 
2,767,837

 
 
PNC BANK NA
 
 1.125% 27/JAN/2017 5,400,000
 
5,400,755

 
5,400,394

 
 
PNC BANK NA
 
 FLT 01/AUG/2017 3,000,000
 
2,999,397

 
3,000,915

 
 
PORSCHE INNVTV LEASE OWNER TR
 
 1.03% 20/NOV/2017 85,388
 
85,401

 
85,388

 
 
PORSCHE INNVTV LEASE OWNER TR
 
 1.19% 23/JUL/2018 6,852,486
 
6,859,243

 
6,853,362

 
 
POST HLDGS INC
 
 5% 15/AUG/2026 700,000
 
700,875

 
670,250

 
 
POST HLDGS INC
 
 6% 15/DEC/2022 211,000
 
208,347

 
220,231

 
 
POST HLDGS INC
 
 7.75% 15/MAR/2024 2,999,000
 
3,166,085

 
3,328,890

 
 
PQ CORP
 
 6.75% 15/NOV/2022 1,269,000
 
1,306,621

 
1,357,830

 
 
PRECISION DRILLING CORP
 
 7.75% 15/DEC/2023 133,000
 
133,000

 
140,315

 
 
PRESTIGE BRANDS INC
 
 6.375% 01/MAR/2024 1,468,000
 
1,484,386

 
1,541,400

 
 
PRINCIPAL LIFE GLOBAL FUNDING II
 
 1.2% 19/MAY/2017 450,000
 
449,898

 
449,959

 
 
PRINCIPAL LIFE GLOBAL FUNDING II
 
 2.625% 19/NOV/2020 900,000
 
898,911

 
899,551

 
 
PROLOGIS LP
 
 2.75% 15/FEB/2019 995,000
 
1,018,243

 
1,009,402

 
 
PROTECTIVE LIFE GLOBAL FUNDING
 
 1.999% 14/SEP/2021 800,000
 
800,000

 
773,558

 
 
PROVIDENT FUNDING ASSOCIATES LP
 
 6.75% 15/JUN/2021 2,640,000
 
2,630,382

 
2,653,200

 
 
PTC INC
 
 6% 15/MAY/2024 1,189,000
 
1,214,221

 
1,254,395

 
 
QEP RESOURCES INC
 
 5.25% 01/MAY/2023 54,000
 
51,570

 
54,135

 
 
QUALCOMM INCORPD CORP
 
 0.6% 25/JAN/2017 8,000,000
 
7,996,960

 
7,996,805

 
 
QUALITYTECH LP/QTS FINANCE CORP
 
 5.875% 01/AUG/2022 1,638,000
 
1,648,942

 
1,666,665

 
 
QUEBECOR MEDIA INC
 
 5.75% 15/JAN/2023 1,168,000
 
1,168,000

 
1,211,800

 
 
QUICKEN LOANS INC
 
 5.75% 01/MAY/2025 1,295,000
 
1,293,748

 
1,259,387

 
 
QUINTILES IMS INC
 
 4.875% 15/MAY/2023 1,088,000
 
1,097,520

 
1,104,320

 
 
QUINTILES IMS INC
 
 5% 15/OCT/2026 1,562,000
 
1,597,145

 
1,565,905

 
 
RAAC SERIES
 
 FLT 25/OCT/2046 566,769
 
326,479

 
505,640

 
 
RACE POINT VII CLO LTD
 
 FLT 08/NOV/2024 800,000
 
800,000

 
799,994

 
 
RANGE RESOURCES CORP
 
 5% 15/AUG/2022 839,000
 
839,000

 
833,756

 
 
REGENCY ENERGY PARTNERS LP
 
 5.875% 01/MAR/2022 700,000
 
724,801

 
770,041

 
 
RELIANCE STAND LIFE GLOB FNDNG II
 
 3.05% 20/JAN/2021 1,200,000
 
1,205,470

 
1,209,553

 
 
REYNOLDS GRP ISSUER INC
 
 5.125% 15/JUL/2023 2,634,000
 
2,640,400

 
2,689,972


43

THE JPMORGAN CHASE 401(K) SAVINGS PLAN
PLAN NUMBER: 002 - EIN: 13/4994650
SCHEDULE OF ASSETS (HELD AT END OF YEAR) AT DECEMBER 31, 2016
(IRS FORM 5500 - SCHEDULE H - PART IV - LINE 4I)


(A)
 
(B)
 
(C)
 
(D)
 
(E)
 
 
IDENTITY OF ISSUE, BORROWER,
LESSOR, OR SIMILAR PARTY
 
DESCRIPTION OF INVESTMENT
INCLUDING MATURITY DATE,
RATE OF INTEREST,
COLLATERAL, PAR, OR
MATURITY VALUE
 
COST
 
CURRENT
VALUE
CORPORATE DEBT SECURITIES (CONTINUED):
 
 
 
 
 
 
REYNOLDS GRP ISSUER INC
 
 5.75% 15/OCT/2020 450,000
 
462,937

 
464,062

 
 
REYNOLDS GRP ISSUER INC
 
 7.00% 15/JUL/2024 1,814,000
 
1,829,024

 
1,928,509

 
 
RITCHIE BROS AUCTIONEERS INC
 
 5.375% 15/JAN/2025 389,000
 
389,000

 
396,780

 
 
RITE AID CORP
 
 7.7% 15/FEB/2027 529,000
 
431,123

 
661,250

 
 
RITE AID CORP
 
 6.75% 15/JUN/2021 295,000
 
295,000

 
309,750

 
 
RITE AID CORP
 
 6.125% 01/APR/2023 1,826,000
 
1,838,172

 
1,962,950

 
 
RITE AID CORP
 
 ZCP AUG/2020 996,000
 
1,008,293

 
1,004,919

 
 
RIVERBED TECHNOLOGY INC
 
 8.875% 01/MAR/2023 837,000
 
810,124

 
883,035

 
 
RIVERS PITTSBURGH BORROWER LP
 
 6.125% 15/AUG/2021 356,000
 
356,000

 
364,010

 
 
ROCHE HLDGS INC
 
 FLT 29/SEP/2017 1,464,000
 
1,463,481

 
1,463,700

 
 
ROYAL BANK OF CANADA
 
 1% 27/APR/2017 2,000,000
 
1,999,324

 
1,999,036

 
 
ROYAL BANK OF CANADA
 
 FLT 22/MAR/2018 1,600,000
 
1,607,278

 
1,603,256

 
 
ROYAL BANK OF CANADA
 
 1.195% 02/MAR/2017 3,000,000
 
3,000,000

 
3,001,586

 
 
ROYAL BANK OF SCOTLAND GRP PLC
 
 FLT 31/DEC/2049 2,800,000
 
732,000

 
3,017,000

 
 
RSP PERMIAN INC
 
 5.25% 15/JAN/2025 1,431,000
 
1,434,307

 
1,438,155

 
 
RSP PERMIAN INC
 
 6.625% 01/OCT/2022 1,172,000
 
1,173,892

 
1,239,390

 
 
SABINE PASS LIQUEFACTION LLC
 
 5.00% 15/MAR/2027 700,000
 
701,750

 
706,125

 
 
SABINE PASS LIQUEFACTION LLC
 
 5.625% 01/MAR/2025 3,600,000
 
3,659,375

 
3,852,000

 
 
SABINE PASS LIQUEFACTION LLC
 
 5.875% 30/JUN/2026 2,035,000
 
2,071,845

 
2,192,712

 
 
SALLY HLDGS LLC
 
 5.625% 01/DEC/2025 1,085,000
 
1,163,662

 
1,128,400

 
 
SALLY HLDGS LLC
 
 5.75% 01/JUN/2022 497,000
 
497,000

 
516,259

 
 
SANTANDER DRIVE AUTO RECV TR
 
 1.27% 15/FEB/2019 134,047
 
134,013

 
134,046

 
 
SANTANDER HLDGS USA INC
 
 FLT 24/NOV/2017 100,000
 
100,647

 
100,857

 
 
SANTANDER UK GRP HLDGS PLC
 
 2.875% 16/OCT/2020 100,000
 
100,131

 
99,099

 
 
SANTANDER UK PLC NOTES
 
 FLT 14/MAR/2019 900,000
 
900,000

 
911,817

 
 
SBA COMMUNICATIONS CORP
 
 4.875% 01/SEP/2024 5,665,000
 
5,626,675

 
5,594,187

 
 
SBA TOWER TR
 
 2.24% 15/APR/2043 300,000
 
300,600

 
300,559

 
 
SBA TOWER TR
 
 2.877% 15/JUL/2046 600,000
 
604,800

 
594,888

 
 
SCHAEFFLER FINANCE
 
 4.25% 15/MAY/2021 2,743,000
 
2,716,275

 
2,797,860

 
 
SCIENTIFIC GAMES INTL INC
 
 10.00% 01/DEC/2022 2,593,000
 
2,346,665

 
2,580,035

 
 
SCIENTIFIC GAMES INTL INC
 
 7.00% 01/JAN/2022 3,200,000
 
3,244,500

 
3,432,000

 
 
SCOTTS MIRACLE-GRO CO
 
 6.00% 15/OCT/2023 1,869,000
 
1,938,731

 
1,976,467

 
 
SEMINOLE TRIBE OF FLORIDA INC
 
 7.804% 01/OCT/2020 185,000
 
190,319

 
184,075

 
 
SENSATA TECH UK FINANCING CO PLC
 
 6.25% 15/FEB/2026 871,000
 
871,000

 
910,195

 
 
SESI LLC
 
 6.375% 01/MAY/2019 335,000
 
327,951

 
335,000

 
 
SESI LLC
 
 7.125% 15/DEC/2021 883,000
 
848,345

 
898,452

 
 
SFR GRP SA
 
 6.00% 15/MAY/2022 4,223,000
 
4,315,910

 
4,333,854

 
 
SFR GRP SA
 
 7.375% 01/MAY/2026 2,380,000
 
2,410,162

 
2,439,500

 
 
SHACKLETON II CLO LTD
 
 FLT 20/OCT/2023 1,500,000
 
1,500,000

 
1,499,994

 
 
SHIZUOKA BANK
 
 1.00% 03/JAN/2017 2,500,000
 
2,500,000

 
2,500,167

 
 
SIGNODE INDUSTRIAL GRP
 
 6.375% 01/MAY/2022 568,000
 
577,230

 
566,580

 
 
SILVER II BORROWER S.C.A.
 
 ZCP DEC/2019 1,225,000
 
1,097,139

 
1,161,343

 
 
SIRIUS XM RADIO INC
 
 5.375% 15/APR/2025 1,945,000
 
1,989,044

 
1,935,275

 
 
SIRIUS XM RADIO INC
 
 5.375% 15/JUL/2026 235,000
 
235,294

 
229,712

 
 
SKANDINAVISKA ENSKILDA BANK AB
 
 FLT 02/MAY/2017 1,500,000
 
1,500,000

 
1,501,896

 
 
SLC STUDENT LOAN TR
 
 FLT 25/NOV/2042 226,601
 
226,300

 
226,913

 
 
SLM PRIVATE EDUCATION LOAN TR
 
 FLT 16/MAY/2044 108,680
 
113,859

 
112,854

 
 
SLM STUDENT LOAN TR
 
 FLT 15/DEC/2023 636,522
 
850,532

 
654,587

 
 
SM ENERGY CO
 
 5.625% 01/JUN/2025 323,000
 
313,070

 
311,695

 
 
SM ENERGY CO
 
 6.75% 15/SEP/2026 1,657,000
 
1,708,957

 
1,706,710

 
 
SMITHS GRP PLC
 
 7.20% 15/MAY/2019 528,000
 
594,507

 
579,086

 
 
SOLERA LLC / SOLERA FINANCE INC
 
 10.5% 01/MAR/2024 1,754,000
 
1,801,560

 
1,973,250


44

THE JPMORGAN CHASE 401(K) SAVINGS PLAN
PLAN NUMBER: 002 - EIN: 13/4994650
SCHEDULE OF ASSETS (HELD AT END OF YEAR) AT DECEMBER 31, 2016
(IRS FORM 5500 - SCHEDULE H - PART IV - LINE 4I)


(A)
 
(B)
 
(C)
 
(D)
 
(E)
 
 
IDENTITY OF ISSUE, BORROWER,
LESSOR, OR SIMILAR PARTY
 
DESCRIPTION OF INVESTMENT
INCLUDING MATURITY DATE,
RATE OF INTEREST,
COLLATERAL, PAR, OR
MATURITY VALUE
 
COST
 
CURRENT
VALUE
CORPORATE DEBT SECURITIES (CONTINUED):
 
 
 
 
 
 
SOUTHERN CA GAS CORP
 
 0.75% 04/JAN/2017 8,000,000
 
7,999,533

 
7,999,454

 
 
SOUTHERN NATURAL GAS CO LLC
 
 5.9% 01/APR/2017 120,000
 
101,497

 
121,250

 
 
SOUTHERN NATURAL GAS CO LLC
 
 8% 01/MAR/2032 77,000
 
66,228

 
96,407

 
 
SPECTRUM BRANDS INC
 
 5.75% 15/JUL/2025 2,097,000
 
2,143,750

 
2,175,637

 
 
SPECTRUM BRANDS INC
 
 6.625% 15/NOV/2022 555,000
 
555,000

 
589,687

 
 
SPRINGLEAF FINANCE CORP
 
 7.75% 01/OCT/2021 379,000
 
395,299

 
399,845

 
 
SPRINGS INDUSTRIES INC
 
 6.25% 01/JUN/2021 975,000
 
966,213

 
1,009,125

 
 
SPRINT CORP
 
 7.125% 15/JUN/2024 1,961,000
 
1,727,299

 
2,019,830

 
 
SPRINT CORP
 
 7.25% 15/SEP/2021 470,000
 
470,587

 
499,375

 
 
SPRINT CORP
 
 7.625% 15/FEB/2025 4,120,000
 
4,006,497

 
4,331,150

 
 
SPRINT CORP
 
 7.875% 15/SEP/2023 816,000
 
818,040

 
871,080

 
 
SPRINT NEXTEL CORP
 
 7.00% 01/MAR/2020 1,646,000
 
1,653,000

 
1,785,910

 
 
SPRINT NEXTEL CORP
 
 7.00% 15/AUG/2020 1,302,000
 
1,305,255

 
1,380,263

 
 
SPRINT NEXTEL CORP
 
 9.00% 15/NOV/2018 1,602,000
 
1,626,167

 
1,766,205

 
 
SPX FLOW INC
 
 5.625% 15/AUG/2024 800,000
 
816,000

 
806,000

 
 
SPX FLOW INC
 
 5.875% 15/AUG/2026 509,000
 
519,010

 
509,000

 
 
SSE PLC
 
 FLT 31/DEC/2049 200,000
 
296,023

 
217,803

 
 
STANDARD INDUSTRIES INC
 
 5.5% 15/FEB/2023 1,080,000
 
1,080,000

 
1,117,908

 
 
STARWOOD PROPERTY TR INC
 
 5.00% 15/DEC/2021 850,000
 
858,500

 
861,390

 
 
STATE STREET BANK & TR CO
 
 FLT 11/APR/2017 1,400,000
 
1,400,000

 
1,401,422

 
 
STATE STREET BANK & TR CO
 
 FLT 14/JUL/2017 1,500,000
 
1,500,000

 
1,502,046

 
 
STATE STREET BANK & TR CO
 
 FLT 30/MAR/2017 1,500,000
 
1,500,000

 
1,501,479

 
 
STERIGENICS-NORDION HLDGS LLC
 
 6.5% 15/MAY/2023 1,370,000
 
1,387,125

 
1,393,975

 
 
SUGARHOUSE HSP GAMING PROP
 
 6.375% 01/JUN/2021 1,192,000
 
1,184,221

 
1,189,020

 
 
SUMITOMO MITSUI BANKING CORP
 
 FLT 10/JAN/2017 677,000
 
676,978

 
677,034

 
 
SUMITOMO MITSUI BANKING CORP
 
 FLT 11/JUL/2017 1,225,000
 
1,225,053

 
1,224,436

 
 
SUMITOMO MITSUI BANKING CORP
 
 FLT 15/SEP/2017 3,550,000
 
3,550,213

 
3,555,850

 
 
SUMITOMO MITSUI BANKING CORP
 
 FLT 27/OCT/2017 3,000,000
 
3,000,000

 
2,999,313

 
 
SUMITOMO MITSUI BANKING CORP
 
 1.45% 19/JUL/2017 1,200,000
 
1,200,000

 
1,201,551

 
 
SUMITOMO MITSUI FINCL GRP INC
 
 2.44% 19/OCT/2021 1,500,000
 
1,500,000

 
1,475,647

 
 
SUMITOMO MITSUI TR
 
 1.5% 20/JUL/2017 1,200,000
 
1,200,000

 
1,201,885

 
 
SUNCORP-METWAY LTD
 
 1.7% 28/MAR/2017 1,000,000
 
1,001,256

 
998,902

 
 
SURGICAL CARE AFFILIATES INC
 
 6% 01/APR/2023 535,000
 
541,687

 
552,387

 
 
SVENSKA HANDELSBANKEN/NY
 
 FLT 21/APR/2017 3,800,000
 
3,800,000

 
3,804,997

 
 
SVENSKA HANDELSBANKEN/NY
 
 FLT 01/AUG/2017 2,500,000
 
2,500,000

 
2,501,440

 
 
SYNCHRONY FINCL
 
 2.6% 15/JAN/2019 1,400,000
 
1,399,636

 
1,407,081

 
 
SYNCHRONY FINCL
 
 FLT 09/NOV/2017 100,000
 
100,685

 
100,655

 
 
SYNOVUS FINCL CORP
 
 7.875% 15/FEB/2019 2,015,000
 
2,213,970

 
2,211,462

 
 
TAKEDA PHARMACEUTICAL CO LTD
 
 1.625% 17/MAR/2017 4,200,000
 
4,203,355

 
4,203,725

 
 
TALLGRASS ENERGY PARTNERS LP
 
 5.5% 15/SEP/2024 481,000
 
481,000

 
477,392

 
 
TARGA RESOURCES PARTNERS LP
 
 5.25% 01/MAY/2023 71,000
 
73,840

 
71,710

 
 
TARGA RESOURCES PARTNERS LP
 
 4.25% 15/NOV/2023 707,000
 
668,480

 
676,069

 
 
TARGA RESOURCES PARTNERS LP
 
 5.375% 01/FEB/2027 2,591,000
 
2,602,955

 
2,565,090

 
 
TARGA RESOURCES PARTNERS LP
 
 6.75% 15/MAR/2024 1,160,000
 
1,160,000

 
1,244,100

 
 
TAYLOR MORRISON COMMUNITIES INC
 
 5.25% 15/APR/2021 1,007,000
 
1,017,035

 
1,032,175

 
 
TAYLOR MORRISON COMMUNITIES INC
 
 5.625% 01/MAR/2024 500,000
 
490,625

 
505,000

 
 
TECK RESOURCES LTD
 
 6.25% 15/JUL/2041 2,530,000
 
2,443,512

 
2,438,110

 
 
TECK RESOURCES LTD
 
 8.5% 01/JUN/2024 1,020,000
 
1,153,102

 
1,175,550

 
 
TELECOM ITALIA SPA/MILANO
 
 5.30% 30/MAY/2024 1,355,000
 
1,390,808

 
1,324,512

 
 
TELEFONICA EMISIONES SAU
 
 5.134% 27/APR/2020 700,000
 
751,569

 
750,021

 
 
TELOS CLO LTD
 
 FLT 17/APR/2025 1,368,778
 
1,368,778

 
1,369,844

 
 
TEMPUR SEALY INTL INC
 
 5.5% 15/JUN/2026 1,400,000
 
1,410,500

 
1,407,000


45

THE JPMORGAN CHASE 401(K) SAVINGS PLAN
PLAN NUMBER: 002 - EIN: 13/4994650
SCHEDULE OF ASSETS (HELD AT END OF YEAR) AT DECEMBER 31, 2016
(IRS FORM 5500 - SCHEDULE H - PART IV - LINE 4I)


(A)
 
(B)
 
(C)
 
(D)
 
(E)
 
 
IDENTITY OF ISSUE, BORROWER,
LESSOR, OR SIMILAR PARTY
 
DESCRIPTION OF INVESTMENT
INCLUDING MATURITY DATE,
RATE OF INTEREST,
COLLATERAL, PAR, OR
MATURITY VALUE
 
COST
 
CURRENT
VALUE
CORPORATE DEBT SECURITIES (CONTINUED):
 
 
 
 
 
 
TEMPUR SEALY INTL INC
 
 5.625% 15/OCT/2023 770,000
 
776,737

 
795,025

 
 
TENET HEALTHCARE CORP
 
 4.5% 01/APR/2021 1,105,000
 
1,101,062

 
1,093,950

 
 
TENET HEALTHCARE CORP
 
 4.75% 01/JUN/2020 490,000
 
490,000

 
494,900

 
 
TENET HEALTHCARE CORP
 
 6% 01/OCT/2020 1,509,000
 
1,568,500

 
1,580,677

 
 
TENET HEALTHCARE CORP
 
 7.5% 01/JAN/2022 677,000
 
677,000

 
705,772

 
 
TENET HEALTHCARE CORP
 
 8.125% 01/APR/2022 862,000
 
905,739

 
813,297

 
 
TENNESSEE GAS PIPELINE CO LLC
 
 8.375% 15/JUN/2032 28,000
 
25,048

 
34,895

 
 
TERWIN MTG TR
 
 FLT 25/OCT/2037 740,994
 
191,228

 
348,593

 
 
TESORO LOGISTICS LP
 
 5.25% 15/JAN/2025 2,894,000
 
2,911,875

 
2,955,497

 
 
TESORO LOGISTICS LP
 
 6.25% 15/OCT/2022 2,240,000
 
2,236,025

 
2,374,400

 
 
TESORO LOGISTICS LP
 
 6.375% 01/MAY/2024 700,000
 
707,000

 
749,000

 
 
TEVA PHARM FIN NETHERLANDS III
 
 2.8% 21/JUL/2023 900,000
 
896,994

 
851,932

 
 
THERMO FISHER SCIENTIFIC INC
 
 3.00% 15/APR/2023 700,000
 
696,584

 
688,007

 
 
T-MOBILE USA INC
 
 6.5% 01/15/2026 4,926,000
 
5,283,793

 
5,326,237

 
 
T-MOBILE USA INC
 
 6.5% 15/JAN/2024 1,238,000
 
1,308,577

 
1,327,755

 
 
T-MOBILE USA INC
 
 6.633% 28/APR/2021 3,873,000
 
4,007,645

 
4,042,444

 
 
T-MOBILE USA INC
 
 6.836% 28/APR/2023 173,000
 
182,515

 
185,326

 
 
T-MOBILE USA INC
 
 6.375% 01/MAR/2025 620,000
 
625,425

 
662,625

 
 
T-MOBILE USA INC
 
 6.625% 01/APR/2023 379,000
 
396,055

 
401,740

 
 
TOLL BROTHERS FINANCE CORP
 
 8.91% 15/OCT/2017 2,100,000
 
2,357,250

 
2,207,625

 
 
TOLL BROTHERS FINANCE CORP
 
 4.875% 15/NOV/2025 664,000
 
664,000

 
652,380

 
 
TORONTO-DOMINION
 
 1.2% 13/JUL/2017 1,200,000
 
1,200,000

 
1,200,119

 
 
TOTAL CAPITAL INTL SA
 
 1.00% 10/JAN/2017 775,000
 
774,997

 
774,996

 
 
TOTAL CAPITAL INTL SA
 
 1.5% 17/FEB/2017 3,500,000
 
3,501,989

 
3,501,165

 
 
TOYOTA AUTO REC OWNER TR
 
 0.67% 15/DEC/2017 1,137,366
 
1,136,691

 
1,136,869

 
 
TOYOTA AUTO REC OWNER TR
 
 0.76% 15/MAR/2018 2,017,461
 
2,015,929

 
2,016,179

 
 
TOYOTA AUTO REC OWNER TR
 
 0.93% 16/JUL/2018 2,721,701
 
2,721,194

 
2,720,029

 
 
TOYOTA AUTO REC OWNER TR
 
 0.77% 15/NOV/2017 308,536
 
308,402

 
308,498

 
 
TOYOTA AUTO REC OWNER TR
 
 1.27% 15/MAY/2019 656,000
 
655,847

 
655,989

 
 
TOYOTA AUTO REC OWNER TR
 
 0.92% 15/FEB/2018 1,107,892
 
1,107,716

 
1,107,613

 
 
TOYOTA AUTO REC OWNER TR
 
 1.02% 15/OCT/2018 922,000
 
921,867

 
921,459

 
 
TOYOTA AUTO REC OWNER TR
 
 FLT 15/OCT/2018 2,000,000
 
2,000,000

 
2,001,278

 
 
TOYOTA MOTOR CREDIT CORP
 
 2.05% 12/JAN/2017 1,330,000
 
1,330,495

 
1,330,246

 
 
TOYOTA MOTOR CREDIT CORP
 
 FLT 05/DEC/2017 2,228,000
 
2,228,000

 
2,229,680

 
 
TOYOTA MOTOR CREDIT CORP
 
 FLT 16/MAY/2017 3,600,000
 
3,597,799

 
3,600,558

 
 
TOYOTA MOTOR CREDIT CORP
 
 1.23% 16/JUN/2017 8,000,000
 
7,953,889

 
7,959,307

 
 
TRANSDIGM INC
 
 6% 15/JUL/2022 259,000
 
259,000

 
269,360

 
 
TRANSDIGM INC
 
 6.375% 15/JUN/2026 4,103,000
 
4,199,987

 
4,213,781

 
 
TRANSDIGM INC
 
 6.5% 15/JUL/2024 708,000
 
708,333

 
740,745

 
 
TRANSDIGM INC
 
 6.5% 15/MAY/2025 1,056,000
 
1,056,000

 
1,106,160

 
 
UBS AG/STAMFORD CT
 
 1.26% 01/MAR/2017 1,500,000
 
1,500,000

 
1,500,000

 
 
UBS AG/STAMFORD CT
 
 FLT 14/AUG/2017 2,050,000
 
2,049,757

 
2,049,381

 
 
UBS AG/STAMFORD CT
 
 FLT 26/MAR/2018 1,100,000
 
1,103,676

 
1,103,659

 
 
UBS GRP FUNDING JERSEY LTD
 
 2.95% 24/SEP/2020 2,300,000
 
2,317,641

 
2,301,014

 
 
UBS GRP FUNDING JERSEY LTD
 
 3.00% 15/APR/2021 800,000
 
800,504

 
800,422

 
 
UNITED RENTALS N. A. INC
 
 5.5% 15/MAY/2027 840,000
 
844,200

 
833,700

 
 
UNITED RENTALS N. A. INC
 
 5.875% 15/SEP/2026 2,053,000
 
2,077,310

 
2,112,024

 
 
UNITED RENTALS N. A. INC
 
 6.125% 15/JUN/2023 309,000
 
325,222

 
327,540

 
 
UNITYMEDIA GMBH
 
 6.125% 15/JAN/2025 1,517,000
 
1,528,060

 
1,558,717

 
 
UNITYMEDIA HESSEN GMBH & CO KG
 
 5.00% 15/JAN/2025 1,300,000
 
1,306,500

 
1,293,500

 
 
UNITYMEDIA HESSEN GMBH & CO KG
 
 5.5% 15/JAN/2023 1,285,000
 
1,323,987

 
1,338,006

 
 
UNIVERSITY CALIF REVS TAXABLE
 
 FLT 01/JUL/2041 500,000
 
500,175

 
500,010


46

THE JPMORGAN CHASE 401(K) SAVINGS PLAN
PLAN NUMBER: 002 - EIN: 13/4994650
SCHEDULE OF ASSETS (HELD AT END OF YEAR) AT DECEMBER 31, 2016
(IRS FORM 5500 - SCHEDULE H - PART IV - LINE 4I)


(A)
 
(B)
 
(C)
 
(D)
 
(E)
 
 
IDENTITY OF ISSUE, BORROWER,
LESSOR, OR SIMILAR PARTY
 
DESCRIPTION OF INVESTMENT
INCLUDING MATURITY DATE,
RATE OF INTEREST,
COLLATERAL, PAR, OR
MATURITY VALUE
 
COST
 
CURRENT
VALUE
CORPORATE DEBT SECURITIES (CONTINUED):
 
 
 
 
 
 
UNIVISION COMMUNICATIONS INC
 
 5.125% 15/MAY/2023 1,267,000
 
1,250,945

 
1,247,995

 
 
UNIVISION COMMUNICATIONS INC
 
 5.125% 15/FEB/2025 1,704,000
 
1,722,709

 
1,629,450

 
 
US BANK NA/CINCINNATI OH
 
 1.1% 30/JAN/2017 1,500,000
 
1,500,151

 
1,500,000

 
 
US CONCRETE INC
 
 6.375% 01/JUN/2024 550,000
 
550,687

 
581,625

 
 
USAA AUTO OWNER TR
 
 0.94% 15/MAY/2019 1,031,464
 
1,031,403

 
1,031,177

 
 
USAA AUTO OWNER TR
 
 1.2% 17/JUN/2019 1,000,000
 
1,001,360

 
1,000,688

 
 
USAA AUTO OWNER TR
 
 1.07% 15/MAR/2019 466,000
 
465,900

 
465,546

 
 
USAA CAPITAL CORP
 
 0.5% 05/JAN/2017 8,000,000
 
7,999,600

 
7,999,379

 
 
VALEANT PHARMACEUTCLS INTL INC
 
 6.375% 15/OCT/2020 3,555,000
 
3,755,320

 
3,053,958

 
 
VALEANT PHARMACEUTCLS INTL INC
 
 5.5% 01/MAR/2023 780,000
 
787,800

 
585,000

 
 
VALEANT PHARMACEUTCLS INTL INC
 
 5.625% 01/DEC/2021 1,115,000
 
1,129,794

 
864,125

 
 
VALEANT PHARMACEUTCLS INTL INC
 
 5.875% 15/MAY/2023 2,150,000
 
2,150,000

 
1,623,250

 
 
VALEANT PHARMACEUTCLS INTL INC
 
 6.125% 15/APR/2025 1,577,000
 
1,577,000

 
1,184,721

 
 
VALEANT PHARMACEUTCLS INTL INC
 
 7.5% 15/JUL/2021 245,000
 
254,187

 
207,637

 
 
VALVOLINE INC
 
 5.5% 15/JUL/2024 1,085,000
 
1,123,554

 
1,122,975

 
 
VENTURE X CLO LTD
 
 FLT 20/JUL/2022 1,500,000
 
1,500,000

 
1,499,994

 
 
VERISIGN INC
 
 4.625% 01/MAY/2023 1,100,000
 
1,111,000

 
1,111,000

 
 
VERISIGN INC
 
 5.25% 01/APR/2025 2,525,000
 
2,523,463

 
2,588,125

 
 
VERIZON COMMUNICATIONS INC
 
 5.15% 15/SEP/2023 5,000,000
 
5,840,700

 
5,528,715

 
 
VIACOM INC
 
 5.625% 15/SEP/2019 700,000
 
771,316

 
753,073

 
 
VIDEOTRON LTD
 
 5% 15/JUL/2022 1,899,000
 
1,900,325

 
1,946,475

 
 
VIRGIN MEDIA FINANCE PLC
 
 5.75% 15/JAN/2025 2,420,000
 
2,469,223

 
2,426,050

 
 
VIRGIN MEDIA FINANCE PLC
 
 6% 15/OCT/2024 1,237,000
 
1,250,167

 
1,274,110

 
 
VIRGIN MEDIA SECURED FINANCE PLC
 
 5.25% 15/JAN/2026 1,495,000
 
1,501,765

 
1,476,312

 
 
VIRGIN MEDIA SECURED FINANCE PLC
 
 5.5% 15/AUG/2026 1,245,000
 
1,259,006

 
1,241,887

 
 
VISA INC
 
 0.68% 06/FEB/2017 8,000,000
 
7,994,400

 
7,994,705

 
 
VOLKSWAGEN AUTO LEASE TR
 
 1.25% 20/DEC/2017 5,937,816
 
5,939,589

 
5,938,298

 
 
VOLKSWAGEN AUTO LOAN ENHNCD TR
 
 0.7% 20/APR/2018 1,391,022
 
1,389,496

 
1,389,688

 
 
VOLKSWAGEN AUTO LOAN ENHNCD TR
 
 0.91% 22/OCT/2018 685,458
 
684,437

 
684,563

 
 
VOLKSWAGEN BANK GMBH
 
 FLT 27/NOV/2017 400,000
 
432,743

 
420,997

 
 
VOLKSWAGEN GRP OF AMER FIN LLC
 
 1.65% 22/MAY/2018 1,200,000
 
1,154,566

 
1,193,485

 
 
VOLKSWAGEN GRP OF AMER FIN LLC
 
 1.6% 20/NOV/2017 200,000
 
195,448

 
199,372

 
 
VOLKSWAGEN GRP OF AMER FIN LLC
 
 2.4% 22/MAY/2020 200,000
 
194,006

 
197,921

 
 
VOLKSWAGEN GRP OF AMER FIN LLC
 
 FLT 22/MAY/2018 900,000
 
878,418

 
895,718

 
 
WACHOVIA CAPITAL TR
 
 FLT 31/DEC/2049 628,000
 
370,520

 
616,256

 
 
WAL-MART STORES INC
 
 5.375% 05/APR/2017 4,200,000
 
4,248,834

 
4,246,032

 
 
WALT DISNEY CO
 
 1.125% 15/FEB/2017 2,400,000
 
2,400,799

 
2,400,259

 
 
WEA FINANCE LLC
 
 3.25% 05/OCT/2020 600,000
 
626,772

 
610,201

 
 
WEATHERFORD INTL LTD
 
 7.75% 15/JUN/2021 1,726,000
 
1,723,338

 
1,743,260

 
 
WEATHERFORD INTL LTD
 
 8.25% 15/JUN/2023 1,206,000
 
1,263,765

 
1,227,105

 
 
WEATHERFORD INTL LTD
 
 9.875% 15/FEB/2024 412,000
 
412,000

 
439,035

 
 
WELLS FARGO & CO
 
 FLT 31/OCT/2023 800,000
 
800,000

 
809,200

 
 
WELLS FARGO & CO
 
 2.1% 08/MAY/2017 4,000,000
 
4,011,220

 
4,011,332

 
 
WELLS FARGO & CO
 
 2.6% 22/JUL/2020 800,000
 
799,552

 
804,624

 
 
WELLS FARGO BANK NA
 
 FLT 10/JUL/2017 1,000,000
 
1,000,000

 
1,001,191

 
 
WELLS FARGO BANK NA
 
 FLT 22/SEP/2017 2,500,000
 
2,500,000

 
2,503,225

 
 
WELLS FARGO BANK NA
 
 FLT 07/SEP/2017 1,495,000
 
1,495,000

 
1,498,035

 
 
WESCO DISTRIBUTION INC
 
 5.375% 15/JUN/2024 500,000
 
503,125

 
501,250

 
 
WESTERN GAS PARTNERS LP
 
 3.95% 01/JUN/2025 1,144,000
 
897,587

 
1,128,038

 
 
WESTERN GAS PARTNERS LP
 
 4.00% 01/JUL/2022 1,122,000
 
839,484

 
1,140,307

 
 
WESTJET AIRLINES LTD
 
 3.5% 16/JUN/2021 900,000
 
901,216

 
899,624

 
 
WESTPAC BANKING CORP
 
 FLT 19/JAN/2017 3,000,000
 
3,000,000

 
3,000,969


47

THE JPMORGAN CHASE 401(K) SAVINGS PLAN
PLAN NUMBER: 002 - EIN: 13/4994650
SCHEDULE OF ASSETS (HELD AT END OF YEAR) AT DECEMBER 31, 2016
(IRS FORM 5500 - SCHEDULE H - PART IV - LINE 4I)


(A)
 
(B)
 
(C)
 
(D)
 
(E)
 
 
IDENTITY OF ISSUE, BORROWER,
LESSOR, OR SIMILAR PARTY
 
DESCRIPTION OF INVESTMENT
INCLUDING MATURITY DATE,
RATE OF INTEREST,
COLLATERAL, PAR, OR
MATURITY VALUE
 
COST
 
CURRENT
VALUE
CORPORATE DEBT SECURITIES (CONTINUED):
 
 
 
 
 
 
WESTPAC BANKING CORP
 
 1.23% 14/JUL/2017 1,000,000
 
1,000,000

 
999,729

 
 
WHITEHORSE VI LTD
 
 FLT 03/FEB/2025 1,600,000
 
1,600,000

 
1,599,990

 
 
WHITEWAVE FOODS CO
 
 5.375% 01/OCT/2022 1,280,000
 
1,308,005

 
1,401,600

 
 
WHITING PETROLEUM CORP
 
 5.75% 15/MAR/2021 1,791,000
 
1,673,941

 
1,783,549

 
 
WHITING PETROLEUM CORP
 
 6.25% 01/APR/2023 733,000
 
734,947

 
733,000

 
 
WILLIAMS COS INC
 
 3.7% 15/JAN/2023 1,609,000
 
1,137,485

 
1,552,685

 
 
WILLIAMS COS INC
 
 4.55% 24/JUN/2024 4,442,000
 
3,309,609

 
4,408,685

 
 
WIND ACQUISITION FINANCE SA
 
 4.75% 15/JUL/2020 2,216,000
 
2,195,361

 
2,232,620

 
 
WIND ACQUISITION FINANCE SA
 
 6.5% 30/APR/2020 538,000
 
550,726

 
559,520

 
 
WIND ACQUISITION FINANCE SA
 
 7.375% 23/APR/2021 549,000
 
549,000

 
570,960

 
 
WORLD OMNI AUTO LEASE SEC TR
 
 1.16% 15/SEP/2017 2,492,002
 
2,492,650

 
2,491,956

 
 
WORLD OMNI AUTO LEASE SEC TR
 
 1.06% 15/MAY/2018 2,121,602
 
2,121,765

 
2,120,178

 
 
WORLD OMNI AUTO RECEIVABLES TR
 
 0.83% 15/AUG/2018 644,563
 
644,442

 
644,430

 
 
WORLD OMNI AUTO RECEIVABLES TR
 
 0.94% 15/APR/2019 565,714
 
565,646

 
565,335

 
 
WORLD OMNI AUTO RECEIVABLES TR
 
 0.96% 15/JUL/2019 1,120,237
 
1,119,863

 
1,119,562

 
 
WPX ENERGY INC
 
 6.00% 15/JAN/2022 4,618,000
 
4,214,587

 
4,733,450

 
 
WR GRACE & CO-CONN
 
 5.125% 01/OCT/2021 493,000
 
493,000

 
513,952

 
 
WYNDHAM WORLDWIDE CORP
 
 5.625% 01/MAR/2021 700,000
 
788,067

 
767,532

 
 
ZAYO GRP LLC / ZAYO CAPITAL INC
 
 6.00% 01/APR/2023 2,185,000
 
2,195,238

 
2,272,400

 
 
ZAYO GRP LLC / ZAYO CAPITAL INC
 
 6.375% 15/MAY/2025 1,835,000
 
1,793,896

 
1,917,575

 
 
ZEBRA TECHNOLOGIES CORP
 
 7.25% 15/OCT/2022 2,174,000
 
2,238,216

 
2,364,225

 
 
ZEKELMAN INDUSTRIES INC
 
 9.875% 15/JUN/2023 647,000
 
715,372

 
724,640

 
 
ZF NORTH AMERICA CAPITAL INC
 
 4.75% 29/APR/2025 2,500,000
 
2,521,875

 
2,543,750

 
 
ZIGGO BOND FINANCE
 
 6% 15/JAN/2027 1,000,000
 
1,000,000

 
970,000

 
 
ZIGGO SECURED FINANCE
 
 5.5% 15/JAN/2027 2,990,000
 
2,988,762

 
2,914,652

 
 
ZUFFA
 
 ZCP AUG/2023 378,000
 
376,110

 
383,481

 
 
ZUFFA
 
 ZCP AUG/2024 118,000
 
116,820

 
121,614

 
 
  TOTAL CORPORATE DEBT SECURITIES
 
1,325,390,144

 
1,342,941,411

U.S. FEDERAL, STATE, LOCAL AND NON-U.S. GOVERNMENT SECURITIES:
 
 
 
 
AUTONOMOUS COMMTY OF CATN BD
 
 4.95% 11/FEB/2020 400,000
 
608,048

 
450,202

 
 
CHICAGO ILL TAXABLE
 
 7.375% 01/JAN/2033 100,000
 
99,309

 
103,791

 
 
FEDERAL HOME LOAN BANKS
 
 ZCP 01/FEB/2017 8,000,000
 
7,996,693

 
7,996,776

 
 
FEDERAL HOME LOAN BANKS
 
 ZCP 03/JAN/2017 8,000,000
 
7,999,873

 
8,000,000

 
 
FEDERAL HOME LOAN BANKS
 
 ZCP 18/JAN/2017 8,000,000
 
7,998,308

 
7,998,736

 
 
FEDERAL HOME LOAN BANKS
 
 ZCP 22/FEB/2017 8,000,000
 
7,995,470

 
7,994,448

 
 
FEDERAL HOME LOAN BANKS
 
 ZCP 25/JAN/2017 8,000,000
 
7,998,160

 
7,998,144

 
 
FEDERAL HOME LOAN BANKS
 
 ZCP 28/FEB/2017 8,000,000
 
7,993,362

 
7,993,776

 
 
FEDERAL NATIONAL MTG ASSOC
 
 1.15% 14/SEP/2018 1,500,000
 
1,499,925

 
1,497,789

 
 
FEDERAL NATIONAL MTG ASSOC
 
 ZCP 05/JAN/2017 8,000,000
 
7,999,689

 
7,999,832

 
 
FEDERAL NATIONAL MTG ASSOC
 
 1.25% 23/AUG/2019 900,000
 
900,270

 
893,795

 
 
FEDERAL NATIONAL MTG ASSOC
 
 ZCP 01/FEB/2019 390,000
 
216,934

 
377,350

 
 
FRENCH REPUBLIC BD
 
 1.85% 25/JUL/2027 400,000
 
610,210

 
579,335

 
 
FRENCH REPUBLIC BD
 
 2.25% 25/JUL/2020 250,000
 
393,154

 
369,070

 
 
JAPAN BD
 
 0.1% 10/MAR/2024 59,120,000
 
604,195

 
546,213

 
 
JAPAN BD
 
 0.1% 10/MAR/2026 116,400
 
1,203

 
1,061

 
 
KINGDOM OF DENMARK BD
 
 0.1% 15/NOV/2023 3,708,800
 
673,578

 
589,987

 
 
MEXICO (UNITED MEXICAN STATES)
 
 ZCP 02/FEB/2017 16,000,000
 
371,511

 
77,243

 
 
MEXICO (UNITED MEXICAN STATES)
 
 7.75% 29/MAY/2031 26,870,000
 
1,345,711

 
1,301,869

 
 
REPUBLIC OF SLOVENIA BD
 
 4.125% 18/FEB/2019 800,000
 
834,000

 
830,128

 
 
REPUBLIC OF SLOVENIA BD
 
 4.75% 10/MAY/2018 1,400,000
 
1,490,125

 
1,449,840

 
 
RESOLUTION FUNDING CORP BD
 
 ZCP 15/OCT/2019 400,000
 
356,070

 
383,554

 
 
TENNESSEE VALLEY AUTHORITY BD
 
 7.125% 01/MAY/2030 942,000
 
1,321,014

 
1,341,915


48

THE JPMORGAN CHASE 401(K) SAVINGS PLAN
PLAN NUMBER: 002 - EIN: 13/4994650
SCHEDULE OF ASSETS (HELD AT END OF YEAR) AT DECEMBER 31, 2016
(IRS FORM 5500 - SCHEDULE H - PART IV - LINE 4I)


(A)
 
(B)
 
(C)
 
(D)
 
(E)
 
 
IDENTITY OF ISSUE, BORROWER,
LESSOR, OR SIMILAR PARTY
 
DESCRIPTION OF INVESTMENT
INCLUDING MATURITY DATE,
RATE OF INTEREST,
COLLATERAL, PAR, OR
MATURITY VALUE
 
COST
 
CURRENT
VALUE
U.S. FEDERAL, STATE, LOCAL AND NON-U.S. GOVERNMENT SECURITIES (CONTINUED):
 
 
 
 
U.K. OF GRT BRTN & NRTHRN IRELND
 
 0.125% 22/MAR/2024 2,080,000
 
3,339,516

 
3,310,049

 
 
U.K. OF GRT BRTN & NRTHRN IRELND
 
 0.125% 22/MAR/2026 1,016,361
 
1,596,062

 
1,556,296

 
 
U.K. OF GRT BRTN & NRTHRN IRELND
 
 0.125% 22/MAR/2046 246,605
 
476,697

 
509,552

 
 
U.K. OF GRT BRTN & NRTHRN IRELND
 
 0.125% 22/MAR/2058 290,000
 
664,980

 
752,637

 
 
U.S. OF AMER TREAS BOND
 
 0.625% 15/FEB/2043 1,540,000
 
1,411,997

 
1,482,310

 
 
U.S. OF AMER TREAS BOND
 
 0.75% 15/FEB/2042 2,470,000
 
2,664,798

 
2,501,390

 
 
U.S. OF AMER TREAS BOND
 
 0.75% 15/FEB/2045 2,200,000
 
2,137,165

 
2,124,824

 
 
U.S. OF AMER TREAS BOND
 
 1.00% 15/FEB/2046 9,190,000
 
10,000,993

 
9,414,429

 
 
U.S. OF AMER TREAS BOND
 
 1.375% 15/FEB/2044 14,110,000
 
15,638,813

 
15,969,987

 
 
U.S. OF AMER TREAS BOND
 
 1.75% 15/JAN/2028 11,250,000
 
14,632,375

 
14,492,336

 
 
U.S. OF AMER TREAS BOND
 
 2.125% 15/FEB/2040 1,930,000
 
2,759,446

 
2,673,100

 
 
U.S. OF AMER TREAS BOND
 
 2.125% 15/FEB/2041 380,000
 
529,528

 
522,121

 
 
U.S. OF AMER TREAS BOND
 
 2.25% 15/AUG/2046 700,000
 
576,534

 
588,574

 
 
U.S. OF AMER TREAS BOND
 
 2.375% 15/JAN/2025 17,410,000
 
26,002,023

 
25,633,519

 
 
U.S. OF AMER TREAS BOND
 
 2.375% 15/JAN/2027 8,420,000
 
12,186,357

 
11,822,236

 
 
U.S. OF AMER TREAS BOND
 
 2.5% 15/FEB/2046 16,325,000
 
15,225,284

 
14,506,297

 
 
U.S. OF AMER TREAS BOND
 
 2.5% 15/JAN/2029 9,510,000
 
13,165,614

 
12,913,506

 
 
U.S. OF AMER TREAS BOND
 
 2.875% 15/AUG/2045 3,450,000
 
3,431,025

 
3,319,952

 
 
U.S. OF AMER TREAS BOND
 
 3.13% 15/AUG/2044 11,400,000
 
12,742,452

 
11,538,043

 
 
U.S. OF AMER TREAS BOND
 
 3.375% 15/MAY/2044 1,000,000
 
1,033,442

 
1,060,430

 
 
U.S. OF AMER TREAS BOND
 
 3.63% 15/APR/2028 10,730,000
 
21,845,259

 
21,085,082

 
 
U.S. OF AMER TREAS BOND
 
 3.875% 15/APR/2029 8,210,000
 
16,913,592

 
16,503,770

 
 
U.S. OF AMER TREAS NOTES
 
 0.125% 15/APR/2018 350,000
 
368,658

 
369,303

 
 
U.S. OF AMER TREAS NOTES
 
 0.125% 15/APR/2020 7,000,000
 
7,182,120

 
7,300,118

 
 
U.S. OF AMER TREAS NOTES
 
 0.125% 15/APR/2021 1,100,000
 
1,125,527

 
1,128,244

 
 
U.S. OF AMER TREAS NOTES
 
 0.125% 15/JAN/2022 13,950,000
 
14,345,758

 
14,922,890

 
 
U.S. OF AMER TREAS NOTES
 
 0.125% 15/JAN/2023 5,800,000
 
5,859,244

 
6,028,726

 
 
U.S. OF AMER TREAS NOTES
 
 0.125% 15/JUL/2022 28,580,000
 
30,530,356

 
30,115,897

 
 
U.S. OF AMER TREAS NOTES
 
 0.125% 15/JUL/2024 5,550,000
 
5,525,216

 
5,550,215

 
 
U.S. OF AMER TREAS NOTES
 
 0.125% 15/JUL/2026 240,000
 
242,116

 
234,025

 
 
U.S. OF AMER TREAS NOTES
 
 0.25% 15/JAN/2025 5,755,000
 
5,815,017

 
5,775,974

 
 
U.S. OF AMER TREAS NOTES
 
 0.375% 15/JUL/2023 10,140,000
 
10,641,681

 
10,626,122

 
 
U.S. OF AMER TREAS NOTES
 
 0.375% 15/JUL/2025 2,720,000
 
2,783,856

 
2,757,301

 
 
U.S. OF AMER TREAS NOTES
 
 0.5% 28/FEB/2017 8,000,000
 
8,001,317

 
8,000,736

 
 
U.S. OF AMER TREAS NOTES
 
 0.5% 31/MAR/2017 6,000,000
 
6,000,139

 
6,000,276

 
 
U.S. OF AMER TREAS NOTES
 
 0.625% 15/FEB/2017 14,000,000
 
14,003,472

 
14,003,332

 
 
U.S. OF AMER TREAS NOTES
 
 0.625% 15/JAN/2024 4,340,000
 
4,448,408

 
4,574,846

 
 
U.S. OF AMER TREAS NOTES
 
 0.625% 15/JAN/2026 890,000
 
945,815

 
913,302

 
 
U.S. OF AMER TREAS NOTES
 
 0.625% 15/JUL/2021 21,350,000
 
23,791,170

 
23,626,995

 
 
U.S. OF AMER TREAS NOTES
 
 0.625% 30/JUN/2017 6,000,000
 
5,999,200

 
5,999,064

 
 
U.S. OF AMER TREAS NOTES
 
 0.625% 31/MAY/2017 6,000,000
 
6,001,687

 
6,000,468

 
 
U.S. OF AMER TREAS NOTES
 
 0.75% 15/JAN/2017 14,000,000
 
14,002,079

 
14,001,918

 
 
U.S. OF AMER TREAS NOTES
 
 0.75% 15/MAR/2017 6,000,000
 
6,003,148

 
6,003,396

 
 
U.S. OF AMER TREAS NOTES
 
 0.875% 15/APR/2017 6,000,000
 
6,006,435

 
6,006,282

 
 
U.S. OF AMER TREAS NOTES
 
 0.875% 15/AUG/2017 1,700,000
 
1,703,714

 
1,701,595

 
 
U.S. OF AMER TREAS NOTES
 
 0.875% 15/JUL/2017 6,000,000
 
6,007,192

 
6,005,388

 
 
U.S. OF AMER TREAS NOTES
 
 0.875% 15/JUN/2017 6,000,000
 
6,006,804

 
6,007,032

 
 
U.S. OF AMER TREAS NOTES
 
 0.875% 15/MAY/2017 6,000,000
 
6,008,074

 
6,006,096

 
 
U.S. OF AMER TREAS NOTES
 
 0.875% 28/FEB/2017 6,000,000
 
6,003,823

 
6,004,020

 
 
U.S. OF AMER TREAS NOTES
 
 0.875% 30/APR/2017 6,000,000
 
6,007,200

 
6,006,858

 
 
U.S. OF AMER TREAS NOTES
 
 0.875% 31/JAN/2017 14,000,000
 
14,005,176

 
14,005,572

 
 
U.S. OF AMER TREAS NOTES
 
 1.25% 15/JUL/2020 1,440,000
 
1,664,442

 
1,685,585


49

THE JPMORGAN CHASE 401(K) SAVINGS PLAN
PLAN NUMBER: 002 - EIN: 13/4994650
SCHEDULE OF ASSETS (HELD AT END OF YEAR) AT DECEMBER 31, 2016
(IRS FORM 5500 - SCHEDULE H - PART IV - LINE 4I)


(A)
 
(B)
 
(C)
 
(D)
 
(E)
 
 
IDENTITY OF ISSUE, BORROWER,
LESSOR, OR SIMILAR PARTY
 
DESCRIPTION OF INVESTMENT
INCLUDING MATURITY DATE,
RATE OF INTEREST,
COLLATERAL, PAR, OR
MATURITY VALUE
 
COST
 
CURRENT
VALUE
U.S. FEDERAL, STATE, LOCAL AND NON-U.S. GOVERNMENT SECURITIES (CONTINUED):
 
 
 
 
U.S. OF AMER TREAS NOTES
 
 1.25% 31/OCT/2021 3,100,000
 
2,995,839

 
3,006,033

 
 
U.S. OF AMER TREAS NOTES
 
 1.375% 15/JAN/2020 650,000
 
772,127

 
764,110

 
 
U.S. OF AMER TREAS NOTES
 
 1.375% 15/JUL/2018 1,399,500
 
1,652,400

 
1,627,814

 
 
U.S. OF AMER TREAS NOTES
 
 1.375% 31/JAN/2021 5,800,000
 
5,841,508

 
5,707,333

 
 
U.S. OF AMER TREAS NOTES
 
 1.5% 15/AUG/2026 24,502,000
 
22,433,914

 
22,535,151

 
 
U.S. OF AMER TREAS NOTES
 
 1.63% 15/JAN/2018 200,000
 
236,695

 
236,782

 
 
U.S. OF AMER TREAS NOTES
 
 1.63% 30/APR/2019 45,400,000
 
45,754,101

 
45,754,665

 
 
U.S. OF AMER TREAS NOTES
 
 1.625% 31/JUL/2020 12,000,000
 
12,060,920

 
11,992,032

 
 
U.S. OF AMER TREAS NOTES
 
 1.75% 30/NOV/2021 12,030,000
 
11,900,297

 
11,940,244

 
 
U.S. OF AMER TREAS NOTES
 
 1.75% 31/DEC/2020 8,700,000
 
8,805,783

 
8,697,286

 
 
U.S. OF AMER TREAS NOTES
 
 1.75% 31/MAR/2022 2,300,000
 
2,317,969

 
2,269,364

 
 
U.S. OF AMER TREAS NOTES
 
 1.87% 15/JUL/2019 10,400,000
 
12,771,035

 
12,535,798

 
 
U.S. OF AMER TREAS NOTES
 
 2.0% 15/AUG/2025 11,225,000
 
11,181,750

 
10,873,343

 
 
U.S. OF AMER TREAS NOTES
 
 2.0% 15/FEB/2025 8,225,000
 
8,196,777

 
8,005,236

 
 
U.S. OF AMER TREAS NOTES
 
 2.0% 15/NOV/2026 300,000
 
288,328

 
288,644

 
 
U.S. OF AMER TREAS NOTES
 
 2.0% 31/JUL/2022 6,325,000
 
6,366,184

 
6,301,775

 
 
U.S. OF AMER TREAS NOTES
 
 2.12% 31/JAN/2021 500,000
 
496,026

 
506,660

 
 
  TOTAL U.S. FEDERAL, STATE, LOCAL AND NON-U.S. GOVERNMENT SECURITIES
 
627,381,261

 
621,459,140

MORTGAGE-BACKED SECURITIES:
 
 
 
 
 
 
ALTERNATIVE LOAN TR
 
 FLT 20/DEC/2046 723,068
 
403,706

 
521,063

 
 
BAMLL COMM MTG SEC TR
 
 FLT 15/JAN/2028 1,300,000
 
1,298,375

 
1,302,084

 
 
BANC OF AMERICA COMM MTG TR
 
 5.37% 10/JUN/2049 3,300,000
 
3,816,656

 
3,333,918

 
 
BANC OF AMERICA FUNDING TR
 
 FLT 25/APR/2037 212,742
 
161,667

 
182,973

 
 
BANC OF AMERICA FUNDING TR
 
 FLT 20/MAY/2036 339,416
 
222,963

 
320,877

 
 
BANC OF AMERICA MTG TR
 
 FLT 25/FEB/2035 118,751
 
89,361

 
116,158

 
 
BCRR TR
 
 FLT 17/AUG/2045 4,568,917
 
3,906,424

 
4,565,045

*
 
BEAR STEARNS ARM TR
 
 FLT 25/AUG/2035 15,484
 
15,118

 
15,425

 
 
CHL MTG PASS-THROUGH TR
 
 FLT 20/NOV/2034 175,702
 
172,985

 
176,638

 
 
CITIGROUP MTG LOAN TR INC
 
 FLT 25/SEP/2037 250,872
 
165,119

 
213,064

 
 
CITIGROUP MTG LOAN TR INC
 
 FLT 25/OCT/2035 542,192
 
303,265

 
405,174

 
 
FEDERAL HOME LOAN MTG CORP
 
 FLT 01/JAN/2037 545,557
 
565,776

 
576,519

 
 
FEDERAL HOME LOAN MTG CORP
 
 FLT 01/SEP/2037 38,705
 
39,880

 
41,224

 
 
FEDERAL HOME LOAN MTG CORP
 
 4% 01/AUG/2043 19,635
 
20,329

 
20,640

 
 
FEDERAL HOME LOAN MTG CORP
 
 4% 01/SEP/2039 9,471
 
9,805

 
9,949

 
 
FEDERAL HOME LOAN MTG CORP
 
 4% 01/SEP/2043 736,839
 
762,859

 
778,487

 
 
FEDERAL NATIONAL MTG ASSOC
 
 3% 01/FEB/2046 474,071
 
473,626

 
471,470

 
 
FEDERAL NATIONAL MTG ASSOC
 
 3% 01/MAY/2043 1,450,313
 
1,414,961

 
1,449,900

 
 
FEDERAL NATIONAL MTG ASSOC
 
 3% 01/SEP/2043 3,147,011
 
3,024,081

 
3,146,113

 
 
FEDERAL NATIONAL MTG ASSOC
 
 9% 01/NOV/2021 0,573
 
615

 
580

 
 
FEDERAL NATIONAL MTG ASSOC
 
 FLT 25/JUN/2055 567,929
 
564,209

 
564,050

 
 
FORT CRE
 
 FLT 21/MAY/2036 1,304,838
 
1,304,838

 
1,304,838

 
 
GOVT NATIONAL MTG ASSOC
 
 FLT 20/MAY/2037 70,413
 
69,346

 
70,125

 
 
GOVT NATIONAL MTG ASSOC
 
 FLT 20/MAR/2037 173,300
 
170,674

 
172,654

 
 
GOVT NATIONAL MTG ASSOC
 
 FLT 20/MAY/2066 696,123
 
694,165

 
692,918

 
 
GOVT NATIONAL MTG ASSOC
 
 7.5% 15/MAR/2029 4,816
 
5,124

 
5,709

 
 
HARBORVIEW MTG LOAN TR
 
 FLT 25/FEB/2036 241,418
 
125,688

 
196,420

 
 
IMPAC SECURED ASSETS TR
 
 FLT 25/DEC/2036 619,841
 
568,704

 
568,426

 
 
INDYMAC INDA MTG LOAN TR
 
 FLT 25/NOV/2037 180,621
 
117,468

 
167,840

 
 
MASTR ADJ RATE MTGS TR
 
 FLT 25/JAN/2036 286,711
 
220,435

 
283,586

 
 
ML-CFC COMM MTG TR
 
 FLT 12/JUN/2050 3,314,076
 
2,167,170

 
3,335,235

 
 
ML-CFC COMM MTG TR
 
 5.7% 12/SEP/2049 77,107
 
55,806

 
78,645


50

THE JPMORGAN CHASE 401(K) SAVINGS PLAN
PLAN NUMBER: 002 - EIN: 13/4994650
SCHEDULE OF ASSETS (HELD AT END OF YEAR) AT DECEMBER 31, 2016
(IRS FORM 5500 - SCHEDULE H - PART IV - LINE 4I)


(A)
 
(B)
 
(C)
 
(D)
 
(E)
 
 
IDENTITY OF ISSUE, BORROWER,
LESSOR, OR SIMILAR PARTY
 
DESCRIPTION OF INVESTMENT
INCLUDING MATURITY DATE,
RATE OF INTEREST,
COLLATERAL, PAR, OR
MATURITY VALUE
 
COST
 
CURRENT
VALUE
MORTGAGE-BACKED SECURITIES (CONTINUED):
 
 
 
 
 
 
MORGAN STANLEY CAPITAL I TR
 
 FLT 11/JUN/2049 51,917
 
41,511

 
52,736

 
 
MORGAN STANLEY CAPITAL I TR
 
 5.81% 12/DEC/2049 286,999
 
303,513

 
291,222

 
 
MORGAN STANLEY MTG LOAN TR
 
 FLT 25/AUG/2034 161,144
 
83,633

 
159,036

 
 
MORGAN STANLEY MTG LOAN TR
 
 FLT 25/JUL/2035 563,374
 
346,913

 
495,928

 
 
MORGAN STANLEY MTG LOAN TR
 
 FLT 25/JUN/2036 830,385
 
671,184

 
800,011

 
 
MORGAN STANLEY MTG LOAN TR
 
 FLT 25/JUN/2037 410,915
 
197,720

 
275,595

 
 
RALI SERIES TR
 
 FLT 25/DEC/2035 1,104,620
 
624,715

 
956,956

 
 
RALI SERIES TR
 
 FLT 25/JUN/2046 178,933
 
148,835

 
76,068

 
 
RBSGC MTG LOAN TR
 
 FLT 25/JAN/2037 442,218
 
172,894

 
254,526

 
 
STRUCTURED ADJ RATE MTG LOAN TR
 
 FLT 25/JAN/2035 472,478
 
295,862

 
446,650

 
 
STRUCTURED ADJ RATE MTG LOAN TR
 
 FLT 25/MAY/2036 409,968
 
228,503

 
322,189

 
 
TBA FNMA SINGLE FAMILY 30YR
 
 3.00% 25/FEB/2047 39,200,000
 
38,408,579

 
38,882,867

 
 
TBA FNMA SINGLE FAMILY 30YR
 
 3.50% 25/JAN/2047 32,600,000
 
33,727,607

 
33,412,454

 
 
TBA FNMA SINGLE FAMILY 30YR
 
 3.50% 25/FEB/2047 17,000,000
 
17,304,086

 
17,397,442

 
 
TBA FNMA SINGLE FAMILY 30YR
 
 4.00% 25/FEB/2047 12,600,000
 
13,175,656

 
13,228,770

 
 
TBA FNMA SINGLE FAMILY 30YR
 
 4.50% 25/JAN/2047 11,000,000
 
11,937,578

 
11,831,445

 
 
THORNBURG MTG SECURITIES TR
 
 FLT 25/SEP/2037 460,839
 
364,999

 
460,404

 
 
UBS-BARCLAYS COMM MTG TR
 
 FLT 10/MAR/2046 7,624,511
 
404,636

 
372,595

 
 
WELLS FARGO
 
 FLT 25/OCT/2035 693,896
 
605,967

 
691,537

 
 
WELLS FARGO
 
 FLT 25/APR/2036 80,647
 
62,348

 
79,278

 
 
TOTAL MORTGAGE-BACKED SECURITIES
 
142,037,937

 
145,575,456

DERIVATIVES RECEIVABLE:
 
 

 
 

 
 
US 10YR NOTE BD
 
VM EX: 22/MAR/2017 SIZE 100,000
 

 
(78,345
)
 
 
US 10YR NOTE BD
 
FUTR LONG EX: 22/MAR/2017
 
(78,345
)
 
78,345

 
 
US 10YR NOTE BD
 
VM EX: 22/MAR/2017 SIZE 100,000
 

 
(102,536
)
 
 
US 10YR NOTE BD
 
FUTR LONG EX: 22/MAR/2017
 
(102,536
)
 
102,536

 
 
US LONG BOND
 
VM EX: 22/MAR/2017 SIZE 100,000
 

 
(43,447
)
 
 
US LONG BOND
 
FUTR LONG EX: 22/MAR/2017
 
(43,447
)
 
43,447

 
 
US ULTRA BD CBT
 
VM EX: 22/MAR/2017 SIZE 100,000
 

 
(41,947
)
 
 
US ULTRA BD CBT
 
FUTR LONG EX: 22/MAR/2017
 
(41,947
)
 
41,947

 
 
EURO-BUND FUT BD
 
VM EX: 08/MAR/2017 SIZE 100,000
 

 
13,289

 
 
EURO-BUND FUT BD
 
FUTR LONG EX: 08/MAR/2017
 
13,289

 
(13,289
)
 
 
ICE APUT UK
 
VM EX: 21/JUN/2017 SIZE 1,250
 

 
(4,771
)
 
 
ICE APUT UK
 
FUTR LONG EX: 21/JUN/2017
 
(4,771
)
 
4,771

 
 
RUSSELL 2000 MINI EQ INDEX
 
VM EX: 17/MAR/2017 SIZE 50
 

 
(204,066
)
 
 
RUSSELL 2000 MINI EQ INDEX
 
FUTR LONG EX: 17/MAR/2017
 
(204,066
)
 
204,066

 
 
CURRENCY CONTRACT - AUD
 
AUD RATE 1.3811
 

 
12,957

 
 
CURRENCY CONTRACT - BRL
 
BRL RATE 3.2547
 

 
12,688

 
 
CURRENCY CONTRACT - BRL
 
BRL RATE 3.2547
 

 
19,868

 
 
CURRENCY CONTRACT - BRL
 
BRL RATE 3.2547
 

 
1,001

 
 
CURRENCY CONTRACT - BRL
 
BRL RATE 3.2547
 

 
979

 
 
CURRENCY CONTRACT - BRL
 
BRL RATE 3.2842
 

 
20,603

 
 
CURRENCY CONTRACT - CNY
 
CNY RATE 6.9618
 

 
87,068

 
 
CURRENCY CONTRACT - DKK
 
DKK RATE 7.0495
 

 
38,136

 
 
CURRENCY CONTRACT - EUR
 
EUR RATE 0.9480
 

 
41,904

 
 
CURRENCY CONTRACT - EUR
 
EUR RATE 0.9480
 

 
19,882

 
 
CURRENCY CONTRACT - GBP
 
GBP RATE 0.6250
 

 
56,198

 
 
CURRENCY CONTRACT - GBP
 
GBP RATE 0.6250
 

 
57,159

 
 
CURRENCY CONTRACT - GBP
 
GBP RATE 0.8086
 

 
359

 
 
CURRENCY CONTRACT - GBP
 
GBP RATE 0.8092
 

 
31,337

 
 
CURRENCY CONTRACT - GBP
 
GBP RATE 0.8092
 

 
34,654

 
 
CURRENCY CONTRACT - GBP
 
GBP RATE 0.8092
 

 
14,564


51

THE JPMORGAN CHASE 401(K) SAVINGS PLAN
PLAN NUMBER: 002 - EIN: 13/4994650
SCHEDULE OF ASSETS (HELD AT END OF YEAR) AT DECEMBER 31, 2016
(IRS FORM 5500 - SCHEDULE H - PART IV - LINE 4I)


(A)
 
(B)
 
(C)
 
(D)
 
(E)
 
 
IDENTITY OF ISSUE, BORROWER,
LESSOR, OR SIMILAR PARTY
 
DESCRIPTION OF INVESTMENT
INCLUDING MATURITY DATE,
RATE OF INTEREST,
COLLATERAL, PAR, OR
MATURITY VALUE
 
COST
 
CURRENT
VALUE
DERIVATIVES RECEIVABLE (CONTINUED):
 
 
 
 
 
 
CURRENCY CONTRACT - INR
 
INR RATE 67.9569
 

 
1,970

 
 
CURRENCY CONTRACT - INR
 
INR RATE 67.9569
 

 
308

 
 
CURRENCY CONTRACT - INR
 
INR RATE 67.9569
 

 
961

 
 
CURRENCY CONTRACT - INR
 
INR RATE 68.7217
 

 
1,037

 
 
CURRENCY CONTRACT - JPY
 
JPY RATE 116.4119
 

 
57,605

 
 
CURRENCY CONTRACT - JPY
 
JPY RATE 116.4119
 

 
104,713

 
 
CURRENCY CONTRACT - JPY
 
JPY RATE 116.4119
 

 
76,443

 
 
CURRENCY CONTRACT - JPY
 
JPY RATE 116.4119
 

 
9,580

 
 
CURRENCY CONTRACT - JPY
 
JPY RATE 116.5742
 

 
248,032

 
 
CURRENCY CONTRACT - JPY
 
JPY RATE 116.6147
 

 
63,898

 
 
CURRENCY CONTRACT - MXN
 
MXN RATE 20.6908
 

 
599

 
 
CURRENCY CONTRACT - MXN
 
MXN RATE 20.7191
 

 
13,978

 
 
CURRENCY CONTRACT - MXN
 
MXN RATE 20.7191
 

 
170,895

 
 
CURRENCY CONTRACT - RUB
 
RUB RATE 61.6765
 

 
16,142

 
 
CURRENCY CONTRACT - RUB
 
RUB RATE 61.6765
 

 
862

 
 
CURRENCY CONTRACT - RUB
 
RUB RATE 61.6765
 

 
453

 
 
CURRENCY CONTRACT - SGD
 
SGD RATE 1.4448
 

 
1,754

 
 
CURRENCY CONTRACT - SGD
 
SGD RATE 1.4448
 

 
15,555

 
 
CDS - CHINA
 
EX 20/JUN/2019 700,000
 

 
6,150

 
 
CDS - CHINA
 
EX 20/DEC/2019 800,000
 

 
6,427

 
 
CDS - TECKRS
 
EX 20/JUN/2019 450,000
 

 
617

 
 
CDS - APS
 
EX 20/JUN/2019 400,000
 

 
2,805

 
 
CDS - MET
 
EX 20/DEC/2021 100,000
 

 
330

 
 
CDS - MET
 
EX 20/DEC/2021 800,000
 

 
2,642

 
 
CDS - BRK
 
EX 20/DEC/2021 400,000
 

 
3,096

 
 
CDI
 
EX 20/DEC/2018 5,700,000
 

 
97,708

 
 
CDI - CDX.NA.IG.26-V
 
EX 20/JUN/2021 250,000
 

 
4,152

 
 
CDI - CDX.NA.IG.26-V
 
EX 20/JUN/2021 3,000,000
 

 
49,825

 
 
CDI - CDX.NA.IG.26-V
 
EX 20/JUN/2021 900,000
 

 
14,948

 
 
CDI - CDX.NA.IG.26-V
 
EX 20/JUN/2021 900,000
 

 
14,948

 
 
CDI - CDX.NA.IG.26-V
 
EX 20/JUN/2021 900,000
 

 
14,948

 
 
CDI - CDX.NA.IG.26-V
 
EX 20/JUN/2021 1,700,000
 

 
28,234

 
 
CDI - CDX.NA.IG.26-V
 
EX 20/JUN/2021 900,000
 

 
14,948

 
 
CDI - CDX.NA.IG.26-V
 
EX 20/JUN/2021 2,550,000
 

 
42,352

 
 
CDI - CDX.NA.IG.26-V
 
EX 20/JUN/2021 900,000
 

 
14,948

 
 
CDI - CDX.NA.IG.26-V
 
EX 20/JUN/2021 3,000,000
 

 
49,825

 
 
CDI - CDX.NA.IG.27-V
 
EX 20/JUN/2021 900,000
 

 
13,616

 
 
CDI - CDX.NA.IG.27-V
 
EX 20/DEC/2021 1,100,000
 

 
16,642

 
 
CDI - CDX.NA.IG.27-V
 
EX 20/DEC/2021 1,000,000
 

 
15,129

 
 
CDI - CDX.NA.IG.27-V
 
EX 20/DEC/2021 2,300,000
 

 
34,798

 
 
CDI - CDX.NA.IG.27-V
 
EX 20/DEC/2021 1,100,000
 

 
16,642

 
 
CDI - CDX.NA.IG.27-V
 
EX 20/DEC/2021 1,100,000
 

 
16,642

 
 
CDI - CDX.NA.IG.27-V
 
EX 20/DEC/2021 600,000
 

 
9,078

 
 
CDI - CDX.NA.IG.27-V
 
EX 20/DEC/2021 4,400,000
 

 
66,570

 
 
CDI - CDX.NA.IG.27-V
 
EX 20/DEC/2021 2,700,000
 

 
40,849

 
 
CDI - CDX.NA.IG.27-V
 
EX 20/DEC/2021 1,200,000
 

 
18,155

 
 
CDI - CDX.NA.IG.27-V
 
EX 20/DEC/2021 600,000
 

 
9,078

 
 
CDI - CDX.NA.IG.27-V
 
EX 20/DEC/2021 1,100,000
 

 
16,642

 
 
CDI - CDX.NA.IG.27-V
 
EX 20/DEC/2021 700,000
 

 
10,591

 
 
CDI - CDX.NA.IG.27-V
 
EX 20/DEC/2021 900,000
 

 
13,616

 
 
CDI - CDX.NA.IG.27-V
 
EX 20/DEC/2021 600,000
 

 
9,078

 
 
CDI - CDX.NA.IG.25-V
 
EX 20/DEC/2020 18,000,000
 

 
294,560


52

THE JPMORGAN CHASE 401(K) SAVINGS PLAN
PLAN NUMBER: 002 - EIN: 13/4994650
SCHEDULE OF ASSETS (HELD AT END OF YEAR) AT DECEMBER 31, 2016
(IRS FORM 5500 - SCHEDULE H - PART IV - LINE 4I)


(A)
 
(B)
 
(C)
 
(D)
 
(E)
 
 
IDENTITY OF ISSUE, BORROWER,
LESSOR, OR SIMILAR PARTY
 
DESCRIPTION OF INVESTMENT
INCLUDING MATURITY DATE,
RATE OF INTEREST,
COLLATERAL, PAR, OR
MATURITY VALUE
 
COST
 
CURRENT
VALUE
DERIVATIVES RECEIVABLE (CONTINUED):
 
 
 
 
 
 
INTEREST RATE SWAP
 
EX 15/JUN/2018 13,600,000
 

 
11,284

 
 
INTEREST RATE SWAP
 
EX 15/JUN/2018 1,000,000
 

 
830

 
 
INTEREST RATE SWAP
 
EX 11/DEC/2031 2,300,000
 

 
1,015

 
 
INTEREST RATE SWAP
 
EX 17/DEC/2026 3,300,000
 

 
1,200

 
 
INTEREST RATE SWAP
 
EX 17/DEC/2026 5,700,000
 

 
2,073

 
 
INTEREST RATE SWAP
 
EX 21/DEC/2018 1,000,000
 

 
3,866

 
 
INTEREST RATE SWAP
 
EX 21/DEC/2018 1,000,000
 

 
3,866

 
 
INTEREST RATE SWAP
 
EX 15/JUN/2026 900,000
 

 
3,929

 
 
INTEREST RATE SWAP
 
EX 19/DEC/2023 2,000,000
 

 
4,944

 
 
INTEREST RATE SWAP
 
EX 21/DEC/2018 1,400,000
 

 
5,413

 
 
INTEREST RATE SWAP
 
EX 21/DEC/2018 1,500,000
 

 
5,800

 
 
INTEREST RATE SWAP
 
EX 21/DEC/2046 90,000
 

 
6,238

 
 
INTEREST RATE SWAP
 
EX 19/DEC/2023 2,600,000
 

 
6,428

 
 
INTEREST RATE SWAP
 
EX 15/JUN/2018 7,800,000
 

 
6,472

 
 
INTEREST RATE SWAP
 
EX 21/DEC/2026 130,000
 

 
6,737

 
 
INTEREST RATE SWAP
 
EX 19/DEC/2023 3,200,000
 

 
7,911

 
 
INTEREST RATE SWAP
 
EX 21/DEC/2026 200,000
 

 
10,365

 
 
INTEREST RATE SWAP
 
EX 21/DEC/2026 200,000
 

 
10,365

 
 
INTEREST RATE SWAP
 
EX 21/DEC/2026 2,900,000
 

 
11,212

 
 
INTEREST RATE SWAP
 
EX 21/DEC/2026 3,000,000
 

 
11,599

 
 
INTEREST RATE SWAP
 
EX 21/DEC/2026 3,500,000
 

 
13,532

 
 
INTEREST RATE SWAP
 
EX 15/JUN/2046 900,000
 

 
14,788

 
 
INTEREST RATE SWAP
 
EX 21/JUN/2027 200,000
 

 
16,350

 
 
INTEREST RATE SWAP
 
EX 15/JUN/2046 1,000,000
 

 
16,431

 
 
INTEREST RATE SWAP
 
EX 21/DEC/2026 400,000
 

 
20,730

 
 
INTEREST RATE SWAP
 
EX 21/DEC/2026 400,000
 

 
20,730

 
 
INTEREST RATE SWAP
 
EX 21/DEC/2026 400,000
 

 
20,730

 
 
INTEREST RATE SWAP
 
EX 21/DEC/2026 400,000
 

 
20,730

 
 
INTEREST RATE SWAP
 
EX 21/DEC/2026 400,000
 

 
20,730

 
 
INTEREST RATE SWAP
 
EX 21/JUN/2027 300,000
 

 
24,525

 
 
INTEREST RATE SWAP
 
EX 15/JUN/2046 1,600,000
 

 
26,290

 
 
INTEREST RATE SWAP
 
EX 03/DEC/2025 2,900,000
 

 
28,591

 
 
INTEREST RATE SWAP
 
EX 21/DEC/2026 600,000
 

 
31,095

 
 
INTEREST RATE SWAP
 
EX 21/DEC/2046 580,000
 

 
40,202

 
 
INTEREST RATE SWAP
 
EX 21/DEC/2021 1,950,000
 

 
42,656

 
 
INTEREST RATE SWAP
 
EX 21/DEC/2046 650,000
 

 
45,054

 
 
INTEREST RATE SWAP
 
EX 21/DEC/2046 660,000
 

 
45,747

 
 
INTEREST RATE SWAP
 
EX 27/JUL/2026 1,300,000
 

 
48,031

 
 
INTEREST RATE SWAP
 
EX 21/DEC/2021 2,200,000
 

 
48,125

 
 
INTEREST RATE SWAP
 
EX 21/DEC/2021 2,300,000
 

 
50,312

 
 
INTEREST RATE SWAP
 
EX 21/DEC/2021 2,500,000
 

 
54,687

 
 
INTEREST RATE SWAP
 
EX 21/APR/2026 3,200,000
 

 
54,758

 
 
INTEREST RATE SWAP
 
EX 22/FEB/2026 7,470,000
 

 
60,065

 
 
INTEREST RATE SWAP
 
EX 27/APR/2026 3,700,000
 

 
63,472

 
 
INTEREST RATE SWAP
 
EX 21/DEC/2046 990,000
 

 
68,620

 
 
INTEREST RATE SWAP
 
EX 16/MAR/2026 5,500,000
 

 
68,953

 
 
INTEREST RATE SWAP
 
EX 15/JUN/2046 5,700,000
 

 
93,659

 
 
INTEREST RATE SWAP
 
EX 21/DEC/2026 1,900,000
 

 
98,469

 
 
INTEREST RATE SWAP
 
EX 27/JUL/2026 3,500,000
 

 
106,938

 
 
INTEREST RATE SWAP
 
EX 21/DEC/2018 28,000,000
 

 
108,257

 
 
INTEREST RATE SWAP
 
EX 21/DEC/2026 2,100,000
 

 
108,834

 
 
INTEREST RATE SWAP
 
EX 21/DEC/2023 4,200,000
 

 
108,871


53

THE JPMORGAN CHASE 401(K) SAVINGS PLAN
PLAN NUMBER: 002 - EIN: 13/4994650
SCHEDULE OF ASSETS (HELD AT END OF YEAR) AT DECEMBER 31, 2016
(IRS FORM 5500 - SCHEDULE H - PART IV - LINE 4I)


(A)
 
(B)
 
(C)
 
(D)
 
(E)
 
 
IDENTITY OF ISSUE, BORROWER,
LESSOR, OR SIMILAR PARTY
 
DESCRIPTION OF INVESTMENT
INCLUDING MATURITY DATE,
RATE OF INTEREST,
COLLATERAL, PAR, OR
MATURITY VALUE
 
COST
 
CURRENT
VALUE
DERIVATIVES RECEIVABLE (CONTINUED):
 
 
 
 
 
 
INTEREST RATE SWAP
 
EX 15/MAR/2027 2,100,000
 

 
129,129

 
 
INTEREST RATE SWAP
 
EX 21/DEC/2026 2,500,000
 

 
129,564

 
 
INTEREST RATE SWAP
 
EX 21/DEC/2023 5,500,000
 

 
142,569

 
 
INTEREST RATE SWAP
 
EX 15/MAR/2027 2,560,000
 

 
157,414

 
 
INTEREST RATE SWAP
 
EX 21/DEC/2026 6,200,000
 

 
321,319

 
 
INTEREST RATE SWAP
 
EX 21/DEC/2026 6,500,000
 

 
336,867

 
 
INTEREST RATE SWAP
 
EX 21/DEC/2046 6,400,000
 

 
443,606

 
 
INFLATION SWAP
 
EX 15/OCT/2017 400,000
 

 
3,131

 
 
INFLATION SWAP
 
EX 15/DEC/2021 410,000
 

 
1,214

 
 
INFLATION SWAP
 
EX 15/SEP/2018 100,000
 

 
1,277

 
 
INFLATION SWAP
 
EX 15/APR/2021 100,000
 

 
2,949

 
 
INFLATION SWAP
 
EX 15/APR/2021 100,000
 

 
2,950

 
 
INFLATION SWAP
 
EX 07/JUN/2018 400,000
 

 
3,046

 
 
INFLATION SWAP
 
EX 15/OCT/2017 600,000
 

 
4,540

 
 
INFLATION SWAP
 
EX 15/SEP/2018 400,000
 

 
5,107

 
 
INFLATION SWAP
 
EX 15/NOV/2018 700,000
 

 
5,363

 
 
INFLATION SWAP
 
EX 15/NOV/2018 600,000
 

 
6,268

 
 
INFLATION SWAP
 
EX 15/JUN/2030 100,000
 

 
7,255

 
 
INFLATION SWAP
 
EX 25/NOV/2020 1,100,000
 

 
9,159

 
 
INFLATION SWAP
 
EX 15/APR/2021 330,000
 

 
9,736

 
 
INFLATION SWAP
 
EX 20/JUL/2026 200,000
 

 
10,882

 
 
INFLATION SWAP
 
EX 15/OCT/2017 1,500,000
 

 
11,350

 
 
INFLATION SWAP
 
EX 15/OCT/2018 900,000
 

 
11,512

 
 
INFLATION SWAP
 
EX 15/APR/2031 100,000
 

 
13,373

 
 
INFLATION SWAP
 
EX 04/MAR/2019 400,000
 

 
13,669

 
 
INFLATION SWAP
 
EX 15/JUN/2030 200,000
 

 
14,511

 
 
INFLATION SWAP
 
EX 16/OCT/2017 600,000
 

 
14,730

 
 
INFLATION SWAP
 
EX 15/DEC/2026 1,400,000
 

 
15,378

 
 
INFLATION SWAP
 
EX 15/MAY/2030 200,000
 

 
16,277

 
 
INFLATION SWAP
 
EX 15/AUG/2030 200,000
 

 
17,797

 
 
INFLATION SWAP
 
EX 15/SEP/2018 1,400,000
 

 
17,875

 
 
INFLATION SWAP
 
EX 15/MAY/2018 1,100,000
 

 
17,897

 
 
INFLATION SWAP
 
EX 15/JUN/2030 300,000
 

 
21,756

 
 
INFLATION SWAP
 
EX 15/APR/2021 750,000
 

 
22,128

 
 
INFLATION SWAP
 
EX 15/MAY/2021 800,000
 

 
22,225

 
 
INFLATION SWAP
 
EX 15/MAY/2018 1,500,000
 

 
24,405

 
 
INFLATION SWAP
 
EX 01/OCT/2018 800,000
 

 
29,356

 
 
INFLATION SWAP
 
EX 15/MAY/2021 1,100,000
 

 
30,559

 
 
INFLATION SWAP
 
EX 15/MAY/2030 400,000
 

 
32,553

 
 
INFLATION SWAP
 
EX 24/MAY/2026 700,000
 

 
38,389

 
 
INFLATION SWAP
 
EX 15/JAN/2017 2,900,000
 

 
46,335

 
 
INFLATION SWAP
 
EX 01/NOV/2018 1,500,000
 

 
52,357

 
 
INFLATION SWAP
 
EX 15/MAY/2030 800,000
 

 
65,106

 
 
INFLATION SWAP
 
EX 13/FEB/2017 1,900,000
 

 
88,227

 
 
INFLATION SWAP
 
EX 24/MAY/2021 2,800,000
 

 
103,838

 
 
INFLATION SWAP
 
EX 15/AUG/2030 1,300,000
 

 
115,677

 
 
INFLATION SWAP
 
EX 15/DEC/2030 1,300,000
 

 
124,259

 
 
INFLATION SWAP
 
EX 15/JUL/2017 3,100,000
 

 
162,056

 
 
INFLATION SWAP
 
EX 15/JUL/2017 8,800,000
 

 
459,280

 
 
SWAPTION - SOP
 
CALL SCTY EX 01/09/2017 1
 
16,380

 
1,085

 
 
SWAPTION - SOP
 
CALL SCTY EX 02/21/2017 1
 
7,975

 
7,415

 
 
SWAPTION - SOP
 
CALL SCTY EX 02/06/2017 1
 
13,700

 
8,100


54

THE JPMORGAN CHASE 401(K) SAVINGS PLAN
PLAN NUMBER: 002 - EIN: 13/4994650
SCHEDULE OF ASSETS (HELD AT END OF YEAR) AT DECEMBER 31, 2016
(IRS FORM 5500 - SCHEDULE H - PART IV - LINE 4I)


(A)
 
(B)
 
(C)
 
(D)
 
(E)
 
 
IDENTITY OF ISSUE, BORROWER,
LESSOR, OR SIMILAR PARTY
 
DESCRIPTION OF INVESTMENT
INCLUDING MATURITY DATE,
RATE OF INTEREST,
COLLATERAL, PAR, OR
MATURITY VALUE
 
COST
 
CURRENT
VALUE
DERIVATIVES RECEIVABLE (CONTINUED):
 
 
 
 
 
 
SWAPTION - SOP
 
CALL SCTY EX 02/13/2017 1
 
9,604

 
13,043

 
 
SWAPTION - SOP
 
PUT SCTY EX 06/15/2018 1
 
50,025

 
18,693

 
 
SWAPTION - SOP
 
CALL SCTY EX 11/15/2018 1
 
40,000

 
38,831

 
 
SWAPTION - SOP
 
CALL SCTY EX 12/10/2018 1
 
41,912

 
40,190

 
 
SWAPTION - SOP
 
PUT SCTY EX 06/15/2018 1
 
110,185

 
41,125

 
 
SWAPTION - SOP
 
PUT SCTY EX 11/15/2018 1
 
78,883

 
59,828

 
 
SWAPTION - SOP
 
CALL SCTY EX 06/15/2018 1
 
50,025

 
71,498

 
 
SWAPTION - SOP
 
CALL SCTY EX 10/17/2018 1
 
138,000

 
143,197

 
 
SWAPTION - SOP
 
CALL SCTY EX 10/23/2018 1
 
143,220

 
150,763

 
 
SWAPTION - SOP
 
CALL SCTY EX 06/15/2018 1
 
110,185

 
157,295

 
 
SWAPTION - SOP
 
CALL SCTY EX 07/16/2018 1
 
58,140

 
162,388

 
 
SWAPTION - SOP
 
CALL SCTY EX 03/29/2019 1
 
169,787

 
189,892

 
 
SWAPTION - SOP
 
CALL SCTY EX 07/16/2018 1
 
77,720

 
202,498

 
 
SWAPTION - SOP
 
CALL SCTY EX 11/19/2018 1
 
994,547

 
952,016

 
 
GENERAL MOTORS CO WRT
 
2,998 WARRANTS
 
40,293

 
51,356

 
 
TOTAL DERIVATIVES RECEIVABLE
 
 
 
1,688,758

 
9,562,673

MONEY MARKET FUNDS AND OTHER:
 
 

 
 

 
 
BLACKROCK DOMICILED MM FD
 
 12 SHARES
 
12

 
12

*
 
JPM US GOV’T MMKT FD CAP’L SH'S
 
 302,444,550 SHARES
 
302,444,550

 
302,444,550

 
 
TRUST RECEIPT MISC INC
 
 1 SHARE
 

 
1

 
 
TOTAL OTHER
 
 
 
302,444,562

 
302,444,563

COMMON/COLLECTIVE TRUST FUNDS:
 
 

 
 

 
 
BGI EAFE INDEX FD
 
 26,297,956 UNITS
 
$
888,294,899

 
$
897,412,502

 
 
BLKRCK DEV'D REAL ESTATE IDX FD
 
 9,790,695 UNITS
 
152,283,033

 
177,182,747

 
 
BLKRCK BLOOMMBRG COMM INDX FD
 
 1,183,105 UNITS
 
7,593,087

 
6,315,176

 
 
BLKRCK EAFE EQUITY INDEX FD
 
 14,592,093 UNITS
 
348,849,173

 
513,341,943

 
 
BLKRCK EMERGING MARKETS FD
 
 24,259,423 UNITS
 
435,223,026

 
423,423,971

 
 
BLKRCK EQUITY INDEX FD
 
 98,992,874 UNITS
 
2,727,362,274

 
4,057,846,788

 
 
BLKRCK MSCI EAFE SM CAP EQ IDX FD
 
 13,973,203 UNITS
 
217,334,573

 
259,806,565

 
 
BLKRCK RUSSELL 1000 GROWTH FD
 
 56,610,926 UNITS
 
550,156,683

 
1,081,268,682

 
 
BLKRCK RUSSELL 1000 VALUE FD
 
 42,085,080 UNITS
 
735,212,266

 
1,197,989,688

 
 
BLKRCK RUSSELL 2000 INDEX FD
 
 20,276,416 UNITS
 
511,527,162

 
818,206,098

 
 
BLKRCK US DEBT INDEX FD
 
 26,752,876 UNITS
 
749,972,625

 
802,468,567

 
 
BLKRCK US TIPS FD
 
 1,661,953 UNITS
 
32,090,465

 
33,262,333

*
 
JPMAM EMBI GLOBAL FD
 
 5,188,930 UNITS
 
66,627,125

 
76,588,605

 
 
SSGA S&P MIDCAP INDEX SEC LND FD
 
 116,088,441 UNITS
 
1,173,196,806

 
1,385,283,363

 
 
TOTAL COMMON/COLLECTIVE TRUST FUNDS
 
8,595,723,197

 
11,730,397,028

 
 
SUBTOTAL INVESTMENTS AT FAIR VALUE
 
15,448,806,742

 
20,677,766,584

SYNTHETIC GUARANTEED INVESTMENT CONTRACTS:
 
 

 
 

*
 
JPMAM/STATE STREET BANK
 
 349,991,453 SHARES
 
349,991,453

 
349,991,453

*
 
JPMAM/VOYA CONTRACT MCA
 
 352,577,665 SHARES
 
352,577,665

 
352,577,665

*
 
JPMAM/PRUD'L WRAP CONTRACT
 
 933,416,589 SHARES
 
933,416,589

 
933,416,589

*
 
JPMAM/METLIFE GAC
 
 672,478,218 SHARES
 
672,478,218

 
672,478,218

 
 
TOTAL SYNTHETIC GUARANTEED INVESTMENT CONTRACTS
 
2,308,463,925

 
2,308,463,925

*
 
NOTES RECEIVABLE FROM
  PARTICIPANTS
 
INT RATE: 3.25 – 9.20%
 
N/A

 
506,583,334

 
 
TOTAL INVESTMENTS
 
 
 
$
17,757,270,667

 
$
23,492,813,843

*
PARTY-IN-INTEREST INVESTMENTS

55

THE JPMORGAN CHASE 401(k) SAVINGS PLAN
PLAN NUMBER:002 - EIN# 13/4994650
SCHEDULE OF ASSETS (ACQUIRED AND DISPOSED OF WITHIN YEAR)
FOR THE YEAR ENDED DECMEBER 31, 2016
(IRS FORM 5500 - SCHEDULE H - PART IV - LINE 4I)


(A)
 
(B)
 
(C)
 
(D)
 
(E)
 
 
IDENTITY OF ISSUE, BORROWER,
LESSOR, OR SIMILAR PARTY
 
DESCRIPTION OF INVESTMENT
INCLUDING MATURITY DATE, RATE OF INTEREST, COLLATERAL, PAR, OR
MATURITY VALUE
 
COSTS OF
ACQUISITIONS
 
PROCEEDS OF
DISPOSITION
FOLLOWING ARE THE PURCHASES AND SALES OF NON-EXCLUDED ASSETS:
 
 
NON-U.S. GOVERNMENT SECURITIES AND AGENCY SECURITIES:
 
 
 
 
 
 
FEDERAL REPUBLIC OF GERMANY
 
ANN FLT 04/15/2020 200,000
 
$
(272,760
)
 
$
272,209

 
 
JAPAN BILL
 
ZCP 12/19/2016 150,000,000
 
(1,466,199
)
 
1,270,325

 
 
U.K. OF GREAT BRITAIN & NORT
 
ZCP 03/22/2062 250,000
 
(679,548
)
 
692,182

 
 
UNITED MEXICAN STATES
 
4.00% 11/08/2046 3,170,724
 
(181,671
)
 
192,404

DERIVATIVES:
 


 


 
 
10 YEAR US TREASURY NOTES
 
EX 06/24/2016 100,000
 
6,501

 
(12
)
 
 
10 YEAR US TREASURY NOTES
 
EX 09/23/2016 100,000
 
4,796

 
(1,110
)
 
 
10 YEAR US TREASURY NOTES
 
EX 10/21/2016 100,000
 
4,577

 
(1
)
 
 
10 YEAR US TREASURY NOTES
 
EX 06/24/2016 100,000
 
5,404

 
(13
)
 
 
10 YEAR US TREASURY NOTES
 
EX 07/22/2016 100,000
 
9,820

 
(2
)
 
 
10 YEAR US TREASURY NOTES
 
EX 07/22/2016 100,000
 
7,585

 
(2,777
)
 
 
10 YEAR US TREASURY NOTES
 
EX 08/26/2016 100,000
 
11,689

 
(1,552
)
 
 
10 YEAR US TREASURY NOTES
 
PUT SCTY EX 11/25/2016 100,000
 
13,782

 
(19
)
 
 
10 YEAR US TREASURY NOTES
 
PUT SCTY EX 06/24/2016 100,000
 
6,158

 
(2
)
 
 
10 YEAR US TREASURY NOTES
 
PUT SCTY EX 12/23/2016 100,000
 
3,365

 
(4
)
 
 
10 YEAR US TREASURY NOTES
 
PUT SCTY EX 05/20/2016 100,000
 
1,556

 
(240
)
 
 
10 YEAR US TREASURY NOTES
 
PUT SCTY EX 05/20/2016 100,000
 
7,461

 
(4,039
)
 
 
10 YEAR US TREASURY NOTES
 
PUT SCTY EX 10/21/2016 100,000
 
6,354

 
(2
)
 
 
10 YEAR US TREASURY NOTES
 
PUT SCTY EX 11/25/2016 100,000
 
10,647

 
(56,765
)
 
 
10 YEAR US TREASURY NOTES
 
PUT SCTY EX 05/20/2016 100,000
 
1,775

 
(1
)
 
 
10 YEAR US TREASURY NOTES
 
PUT SCTY EX 05/20/2016 100,000
 
22,521

 
(36
)
 
 
10 YEAR US TREASURY NOTES
 
PUT SCTY EX 09/23/2016 100,000
 
9,246

 
(3,567
)
 
 
10 YEAR US TREASURY NOTES
 
PUT SCTY EX 10/21/2016 100,000
 
2,390

 
(1
)
 
 
10 YEAR US TREASURY NOTES
 
PUT SCTY EX 07/22/2016 100,000
 
8,809

 
(1,409
)
 
 
10 YEAR US TREASURY NOTES
 
PUT SCTY EX 10/21/2016 100,000
 
3,921

 
(8
)
 
 
10 YEAR US TREASURY NOTES
 
PUT SCTY EX 08/26/2016 100,000
 
1,869

 
(194
)
 
 
10 YEAR US TREASURY NOTES
 
PUT SCTY EX 08/26/2016 100,000
 
7,392

 
(2,812
)
 
 
10 YEAR US TREASURY NOTES
 
PUT SCTY EX 08/26/2016 100,000
 
19,228

 
(4,712
)
 
 
10 YEAR US TREASURY NOTES
 
PUT SCTY EX 07/22/2016 100,000
 
8,648

 
(8
)
 
 
30 YEAR US TREASURY BONDS
 
PUT SCTY EX 12/23/2016 100,000
 
2,965

 
(3
)
 
 
30 YEAR US TREASURY BONDS
 
PUT SCTY EX 12/23/2016 100,000
 
2,844

 
(3
)
 
 
30 YEAR US TREASURY BONDS
 
PUT SCTY EX 11/25/2016 100,000
 
2,350

 
(647
)
 
 
30 YEAR US TREASURY BONDS
 
PUT SCTY EX 11/25/2016 100,000
 
1,995

 
(630
)
 
 
30 YEAR US TREASURY BONDS
 
PUT SCTY EX 11/25/2016 100,000
 
3,249

 
(3
)
 
 
90DAY EURO$ FUTR INT RATE
 
EX 12/18/2017 SIZE 2,500
 

 
124,742

 
 
90DAY EURO$ FUTR INT RATE
 
EX 12/19/2016 SIZE 2,500
 

 
(129,947
)
 
 
90DAY STERLING FU INT RATE
 
EX 03/15/2017 SIZE 1,250
 

 
(10,924
)
 
 
90DAY STERLING FU INT RATE
 
EX 12/20/2017 SIZE 1,250
 

 
(26,416
)
 
 
90DAY STERLING FU INT RATE
 
EX 12/21/2016 SIZE 1,250
 

 
18,102

 
 
CAIXABANK SA RIGHT
 
1,274,199 SHARES
 

 
50,434

 
 
CREDIT DEFAULT SWAP INDEX
 
CALL SCTY EX 04/20/2016 1
 
368

 

 
 
CREDIT DEFAULT SWAP INDEX
 
CALL SCTY EX 04/20/2016 1
 
7,280

 

 
 
CREDIT DEFAULT SWAP INDEX
 
CALL SCTY EX 06/15/2016 1
 
2,280

 

 
 
CREDIT DEFAULT SWAP INDEX
 
CALL SCTY EX 07/20/2016 1
 
1,665

 

 
 
CREDIT DEFAULT SWAP INDEX
 
CALL SCTY EX 07/20/2016 1
 
2,400

 


56

THE JPMORGAN CHASE 401(k) SAVINGS PLAN
PLAN NUMBER:002 - EIN# 13/4994650
SCHEDULE OF ASSETS (ACQUIRED AND DISPOSED OF WITHIN YEAR)
FOR THE YEAR ENDED DECMEBER 31, 2016
(IRS FORM 5500 - SCHEDULE H - PART IV - LINE 4I)


(A)
 
(B)
 
(C)
 
(D)
 
(E)
 
 
IDENTITY OF ISSUE, BORROWER,
LESSOR, OR SIMILAR PARTY
 
DESCRIPTION OF INVESTMENT
INCLUDING MATURITY DATE, RATE OF INTEREST, COLLATERAL, PAR, OR
MATURITY VALUE
 
COSTS OF
ACQUISITIONS
 
PROCEEDS OF
DISPOSITION
DERIVATIVES (CONTINUED):
 
 
 
 
 
 
CREDIT DEFAULT SWAP INDEX
 
CALL SCTY EX 07/20/2016 1
 
5,289

 

 
 
CREDIT DEFAULT SWAP INDEX
 
CALL SCTY EX 09/21/2016 1
 
434

 

 
 
CREDIT DEFAULT SWAP INDEX
 
PUT SCTY EX 08/17/2016 1
 
3,570

 

 
 
CREDIT DEFAULT SWAP INDEX
 
CALL SCTY EX 08/17/2016 1
 
1,658

 

 
 
CREDIT DEFAULT SWAP INDEX
 
CALL SCTY EX 09/21/2016 1
 
2,328

 

 
 
CREDIT DEFAULT SWAP INDEX
 
PUT SCTY EX 09/21/2016 1
 
4,288

 

 
 
CREDIT DEFAULT SWAP INDEX
 
CALL SCTY EX 10/19/2016 1
 
2,088

 

 
 
CREDIT DEFAULT SWAP INDEX
 
PUT SCTY EX 10/19/2016 1
 
7,384

 

 
 
CREDIT DEFAULT SWAP INDEX
 
PUT SCTY EX 10/19/2016 1
 
10,035

 

 
 
CREDIT DEFAULT SWAP INDEX
 
CALL SCTY EX 10/19/2016 1
 
748

 

 
 
CREDIT DEFAULT SWAP INDEX
 
PUT SCTY EX 10/19/2016 1
 
619

 

 
 
CREDIT DEFAULT SWAP INDEX
 
CALL SCTY EX 10/19/2016 1
 
287

 

 
 
CREDIT DEFAULT SWAP INDEX
 
PUT SCTY EX 10/19/2016 1
 
1,853

 

 
 
CREDIT DEFAULT SWAP INDEX
 
CALL SCTY EX 10/19/2016 1
 
3,885

 

 
 
CREDIT DEFAULT SWAP INDEX
 
CALL SCTY EX 10/19/2016 1
 
2,970

 

 
 
CREDIT DEFAULT SWAP INDEX
 
PUT SCTY EX 11/16/2016 1
 
3,625

 

 
 
CREDIT DEFAULT SWAP INDEX
 
PUT SCTY EX 11/16/2016 1
 
2,415

 

 
 
CREDIT DEFAULT SWAP INDEX
 
PUT SCTY EX 11/16/2016 1
 
2,937

 

 
 
CREDIT DEFAULT SWAP INDEX
 
PUT SCTY EX 11/16/2016 1
 
1,820

 

 
 
CREDIT DEFAULT SWAP INDEX
 
CALL SCTY EX 11/16/2016 1
 
2,355

 

 
 
CREDIT DEFAULT SWAP INDEX
 
CALL SCTY EX 11/16/2016 1
 
2,800

 

 
 
CREDIT DEFAULT SWAP INDEX
 
PUT SCTY EX 04/20/2016 1
 
638

 

 
 
CREDIT DEFAULT SWAP INDEX
 
PUT SCTY EX 04/20/2016 1
 
705

 

 
 
CREDIT DEFAULT SWAP INDEX
 
PUT SCTY EX 04/20/2016 1
 
11,200

 

 
 
CREDIT DEFAULT SWAP INDEX
 
CALL SCTY EX 03/16/2016 1
 
5,600

 

 
 
CREDIT DEFAULT SWAP INDEX
 
PUT SCTY EX 05/18/2016 1
 
1,200

 

 
 
CREDIT DEFAULT SWAP INDEX
 
PUT SCTY EX 05/18/2016 1
 
1,185

 

 
 
CREDIT DEFAULT SWAP INDEX
 
PUT SCTY EX 05/18/2016 1
 
1,000

 
(365
)
 
 
CREDIT DEFAULT SWAP INDEX
 
PUT SCTY EX 06/15/2016 1
 
2,533

 

 
 
CREDIT DEFAULT SWAP INDEX
 
PUT SCTY EX 07/20/2016 1
 
3,060

 

 
 
CREDIT DEFAULT SWAP INDEX
 
PUT SCTY EX 07/20/2016 1
 
4,440

 

 
 
CREDIT DEFAULT SWAP INDEX
 
PUT SCTY EX 08/17/2016 1
 
6,156

 

 
 
CREDIT DEFAULT SWAP INDEX
 
PUT SCTY EX 07/20/2016 1
 
9,549

 

 
 
CREDIT DEFAULT SWAP INDEX
 
PUT SCTY EX 07/20/2016 1
 
3,720

 

 
 
CREDIT DEFAULT SWAP INDEX
 
PUT SCTY EX 09/21/2016 1
 
4,063

 

 
 
CREDIT DEFAULT SWAP INDEX
 
PUT SCTY EX 09/21/2016 1
 
4,501

 
(144
)
 
 
CREDIT DEFAULT SWAP INDEX
 
PUT SCTY EX 09/21/2016 1
 
3,800

 
(190
)
 
 
CREDIT DEFAULT SWAP INDEX
 
PUT SCTY EX 09/21/2016 1
 
3,570

 

 
 
CREDIT DEFAULT SWAP INDEX
 
PUT SCTY EX 09/21/2016 1
 
7,605

 
(390
)
 
 
CREDIT DEFAULT SWAP INDEX
 
PUT SCTY EX 09/21/2016 1
 
1,035

 
(68
)
 
 
CREDIT DEFAULT SWAP INDEX
 
PUT SCTY EX 12/21/2016 1
 
10,428

 

 
 
CREDIT DEFAULT SWAP INDEX
 
PUT SCTY EX 12/21/2016 1
 
3,588

 

 
 
CREDIT DEFAULT SWAP INDEX
 
PUT SCTY EX 12/21/2016 1
 
2,380

 

 
 
EURO-BOBL FUTURE BOND
 
EX 12/08/2016 SIZE 100,000
 

 
1,957

 
 
EURO-BOBL FUTURE BOND
 
EX 06/08/2016 SIZE 100,000
 

 
(3,634
)
 
 
EURO-BOBL FUTURE BOND
 
EX 09/08/2016 SIZE 100,000
 

 
(13,779
)
 
 
EURO-BTP FUTURE BOND
 
EX 12/08/2016 SIZE 100,000
 

 
(72,878
)
 
 
EURO-BTP FUTURE BOND
 
EX 12/08/2016 SIZE 100,000
 

 
9,537


57

THE JPMORGAN CHASE 401(k) SAVINGS PLAN
PLAN NUMBER:002 - EIN# 13/4994650
SCHEDULE OF ASSETS (ACQUIRED AND DISPOSED OF WITHIN YEAR)
FOR THE YEAR ENDED DECMEBER 31, 2016
(IRS FORM 5500 - SCHEDULE H - PART IV - LINE 4I)


(A)
 
(B)
 
(C)
 
(D)
 
(E)
 
 
IDENTITY OF ISSUE, BORROWER,
LESSOR, OR SIMILAR PARTY
 
DESCRIPTION OF INVESTMENT
INCLUDING MATURITY DATE, RATE OF INTEREST, COLLATERAL, PAR, OR
MATURITY VALUE
 
COSTS OF
ACQUISITIONS
 
PROCEEDS OF
DISPOSITION
DERIVATIVES (CONTINUED):
 
 
 
 
 
 
EURO-BTP FUTURE BOND
 
EX 06/08/2016 SIZE 100,000
 

 
5,414

 
 
EURO-BTP FUTURE BOND
 
EX 06/08/2016 SIZE 100,000
 

 
(4,537
)
 
 
EURO-BTP FUTURE BOND
 
EX 03/08/2016 SIZE 100,000
 

 
1,431

 
 
EURO-BTP FUTURE BOND
 
EX 03/08/2017 SIZE 100,000
 

 
4,491

 
 
EURO-BTP FUTURE BOND
 
EX 09/08/2016 SIZE 100,000
 

 
(14,466
)
 
 
EURO-BUND FUTURE BOND
 
EX 12/08/2016 SIZE 100,000
 

 
(60,407
)
 
 
EURO-BUND FUTURE BOND
 
EX 12/08/2016 SIZE 100,000
 

 
33,046

 
 
EURO-BUND FUTURE BOND
 
EX 06/08/2016 SIZE 100,000
 

 
3,664

 
 
EURO-BUND FUTURE BOND
 
EX 03/08/2016 SIZE 100,000
 

 
(7,357
)
 
 
EURO-BUND FUTURE BOND
 
EX 03/08/2017 SIZE 100,000
 

 
314

 
 
EURO-BUND FUTURE BOND
 
EX 09/08/2016 SIZE 100,000
 

 
(154,893
)
 
 
EURO-OAT FUTURE BOND
 
EX 12/08/2016 SIZE 100,000
 

 
242,547

 
 
EURO-OAT FUTURE BOND
 
EX 09/08/2016 SIZE 100,000
 

 
(19,705
)
 
 
EUX ACAL EUR-BUND
 
EX 06/24/2016 SIZE 100,000
 

 
2,694

 
 
EUX ACAL EUR-BUND
 
EX 07/22/2016 SIZE 100,000
 

 
7,456

 
 
EUX ACAL EUR-BUND
 
EX 08/26/2016 SIZE 100,000
 

 
4,079

 
 
EUX ACAL EUR-BUND
 
EX 06/24/2016 SIZE 100,000
 

 
10,166

 
 
EUX APUT EURO-BOBL
 
EX 12/23/2016 SIZE 1,000
 

 
6,489

 
 
FOREIGN EXCHANGE OPTION
 
CALL SCTY EX 07/07/2016 1
 
(3,556
)
 

 
 
FOREIGN EXCHANGE OPTION
 
CALL SCTY EX 07/07/2016 1
 
(8,393
)
 

 
 
FOREIGN EXCHANGE OPTION - FX
 
PUT SCTY EX 12/20/2016 1
 
4,774

 
(767
)
 
 
FOREIGN EXCHANGE OPTION - FX
 
PUT SCTY EX 08/03/2016 1
 
5,984

 

 
 
FOREIGN EXCHANGE OPTION - FX
 
PUT SCTY EX 11/03/2016 1
 
4,197

 

 
 
FOREIGN EXCHANGE OPTION - FX
 
PUT SCTY EX 11/16/2016 1
 
9,633

 

 
 
FOREIGN EXCHANGE OPTION - FX
 
PUT SCTY EX 05/03/2016 1
 
4,359

 

 
 
FOREIGN EXCHANGE OPTION - FX
 
CALL SCTY EX 07/01/2016 1
 
4,346

 

 
 
FOREIGN EXCHANGE OPTION - FX
 
CALL SCTY EX 05/19/2016 1
 
10,707

 

 
 
FOREIGN EXCHANGE OPTION - FX
 
CALL SCTY EX 11/10/2016 1
 
8,018

 

 
 
FOREIGN EXCHANGE OPTION - FX
 
CALL SCTY EX 12/12/2016 1
 
6,711

 

 
 
FOREIGN EXCHANGE OPTION - FX
 
CALL SCTY EX 11/04/2016 1
 
11,672

 

 
 
FOREIGN EXCHANGE OPTION - FX
 
CALL SCTY EX 10/06/2016 1
 
7,133

 

 
 
FOREIGN EXCHANGE OPTION - FX
 
CALL SCTY EX 11/09/2016 1
 
9,519

 

 
 
FOREIGN EXCHANGE OPTION - FX
 
PUT SCTY EX 10/14/2016 1
 
13,774

 
(1,207
)
 
 
FOREIGN EXCHANGE OPTION - FX
 
PUT SCTY EX 11/01/2016 1
 
2,430

 
(7,448
)
 
 
FOREIGN EXCHANGE OPTION - FX
 
PUT SCTY EX 10/27/2016 1
 
3,388

 
(11,440
)
 
 
FOREIGN EXCHANGE OPTION - FX
 
CALL SCTY EX 11/10/2016 1
 
7,924

 

 
 
FOREIGN EXCHANGE OPTION - FX
 
PUT SCTY EX 09/08/2016 1
 
4,603

 

 
 
FOREIGN EXCHANGE OPTION - FX
 
PUT SCTY EX 09/15/2016 1
 
16,605

 
(3,337
)
 
 
FOREIGN EXCHANGE OPTION - FX
 
PUT SCTY EX 07/07/2016 1
 
4,200

 

 
 
FOREIGN EXCHANGE OPTION - FX
 
PUT SCTY EX 07/07/2016 1
 
3,269

 

 
 
FOREIGN EXCHANGE OPTION - FX
 
CALL SCTY EX 09/08/2016 1
 
5,167

 

 
 
FOREIGN EXCHANGE OPTION - FX
 
CALL SCTY EX 09/22/2016 1
 
7,028

 

 
 
ICE APUT UK 90DAY
 
EX 12/21/2016 SIZE 1,250
 

 
5,732

 
 
JPN 10Y BOND
 
EX 09/12/2016 SIZE 100,000,000
 

 
21,468

 
 
JPN 10Y BOND
 
EX 12/13/2016 SIZE 100,000,000
 

 
10,097

 
 
LONG GILT FUTURE BOND
 
EX 12/28/2016 SIZE 100,000
 

 
86,631

 
 
LONG GILT FUTURE BOND
 
EX 09/28/2016 SIZE 100,000
 

 
(5,358
)
 
 
RUSSELL 2000 MINI EQ INDEX
 
EX 12/16/2016 SIZE 100
 

 
963,781


58

THE JPMORGAN CHASE 401(k) SAVINGS PLAN
PLAN NUMBER:002 - EIN# 13/4994650
SCHEDULE OF ASSETS (ACQUIRED AND DISPOSED OF WITHIN YEAR)
FOR THE YEAR ENDED DECMEBER 31, 2016
(IRS FORM 5500 - SCHEDULE H - PART IV - LINE 4I)


(A)
 
(B)
 
(C)
 
(D)
 
(E)
 
 
IDENTITY OF ISSUE, BORROWER,
LESSOR, OR SIMILAR PARTY
 
DESCRIPTION OF INVESTMENT
INCLUDING MATURITY DATE, RATE OF INTEREST, COLLATERAL, PAR, OR
MATURITY VALUE
 
COSTS OF
ACQUISITIONS
 
PROCEEDS OF
DISPOSITION
DERIVATIVES (CONTINUED):
 
 
 
 
 
 
RUSSELL 2000 MINI EQ INDEX
 
EX 09/16/2016 SIZE 100
 

 
1,334,478

 
 
RUSSELL 2000 MINI EQ INDEX
 
EX 12/16/2016 SIZE 50.0
 

 
851,585

 
 
RUSSELL 2000 MINI EQ INDEX
 
EX 06/17/2016 SIZE 100.0
 

 
381,473

 
 
SWAPTION - SOP
 
CALL SCTY EX 11/14/2016 1
 
(22,885
)
 
10,178

 
 
SWAPTION - SOP
 
CALL SCTY EX 11/14/2016 1
 
(8,270
)
 
3,781

 
 
SWAPTION - SOP
 
CALL SCTY EX 06/20/2016 1
 
(4,360
)
 

 
 
SWAPTION - SOP
 
CALL SCTY EX 06/20/2016 1
 
(28,240
)
 

 
 
SWAPTION - SOP
 
CALL SCTY EX 06/20/2016 1
 
(1,160
)
 

 
 
SWAPTION - SOP
 
CALL SCTY EX 08/08/2016 1
 
(16,170
)
 

 
 
SWAPTION - SOP
 
PUT SCTY EX 12/13/2016 1
 
(26,980
)
 
6,560

 
 
SWAPTION - SOP
 
PUT SCTY EX 12/21/2016 1
 
(28,580
)
 
7,990

 
 
SWAPTION - SOP
 
PUT SCTY EX 12/21/2016 1
 
(7,650
)
 
2,115

 
 
SWAPTION - SOP
 
PUT SCTY EX 09/28/2016 1
 
(34,340
)
 

 
 
SWAPTION - SOP
 
CALL SCTY EX 01/23/2017 1
 
(25,088
)
 
40,960

 
 
SWAPTION - SOP
 
CALL SCTY EX 01/09/2017 1
 
(23,765
)
 
42,826

 
 
SWAPTION - SOP
 
CALL SCTY EX 07/05/2016 1
 
(9,906
)
 

 
 
SWAPTION - SOP
 
CALL SCTY EX 07/05/2016 1
 
(25,376
)
 

 
 
SWAPTION - SOP
 
CALL SCTY EX 08/05/2016 1
 
(26,670
)
 

 
 
SWAPTION - SOP
 
CALL SCTY EX 07/01/2016 1
 
(23,484
)
 

 
 
SWAPTION - SOP
 
CALL SCTY EX 07/05/2016 1
 
(9,000
)
 

 
 
SWAPTION - SOP
 
CALL SCTY EX 12/27/2016 1
 
(21,863
)
 

 
 
SWAPTION - SOP
 
CALL SCTY EX 12/27/2016 1
 
(42,838
)
 

 
 
SWAPTION - SOP
 
CALL SCTY EX 07/05/2016 1
 
(14,765
)
 

 
 
SWAPTION - SOP
 
CALL SCTY EX 07/21/2016 1
 
(8,815
)
 

 
 
SWAPTION - SOP
 
CALL SCTY EX 12/13/2016 1
 
27,280

 
(3,200
)
 
 
SWAPTION - SOP
 
CALL SCTY EX 12/21/2016 1
 
28,630

 
(4,420
)
 
 
SWAPTION - SOP
 
CALL SCTY EX 12/21/2016 1
 
7,718

 
(1,170
)
 
 
SWAPTION - SOP
 
CALL SCTY EX 09/28/2016 1
 
35,350

 

 
 
SWAPTION - SOP
 
CALL SCTY EX 10/07/2016 1
 
5,000

 

 
 
SWAPTION - SOP
 
PUT SCTY EX 07/21/2016 1
 
5,102

 

 
 
SWAPTION - SOP
 
CALL SCTY EX 03/15/2016 1
 
5,640

 

 
 
SWAPTION - SOP
 
CALL SCTY EX 03/15/2016 1
 
5,050

 

 
 
SWAPTION - SOP
 
CALL SCTY EX 03/09/2016 1
 
8,550

 

 
 
SWAPTION - SOP
 
CALL SCTY EX 06/23/2016 1
 
30,780

 
(7,009
)
 
 
SWAPTION - SOP
 
PUT SCTY EX 10/07/2016 1
 
7,625

 

 
 
SWAPTION - SOP
 
PUT SCTY EX 05/13/2016 1
 
12,760

 
(2,231
)
 
 
SWAPTION - SOP
 
PUT SCTY EX 03/15/2016 1
 
6,000

 

 
 
SWAPTION - SOP
 
PUT SCTY EX 03/15/2016 1
 
4,400

 

 
 
SWAPTION - SOP
 
PUT SCTY EX 03/09/2016 1
 
8,170

 

 
 
SWAPTION - SOP
 
CALL SCTY EX 07/18/2016 1
 
15,812

 

 
 
SWAPTION - SOP
 
CALL SCTY EX 07/25/2016 1
 
3,780

 

 
 
SWAPTION - SOP
 
CALL SCTY EX 12/14/2016 1
 
1,870

 

 
 
SWAPTION - SOP
 
CALL SCTY EX 12/15/2016 1
 
2,880

 

 
 
SWAPTION - SOP
 
PUT SCTY EX 07/18/2016 1
 
3,315

 

 
 
SWAPTION - SOP
 
PUT SCTY EX 05/25/2016 1
 
1,800

 
(264
)
 
 
SWAPTION - SOP
 
PUT SCTY EX 11/04/2016 1
 
6,655

 

 
 
SWAPTION - SOP
 
PUT SCTY EX 07/19/2016 1
 
3,270

 

 
 
SWAPTION - SOP
 
CALL SCTY EX 07/25/2016 1
 
10,500

 


59

THE JPMORGAN CHASE 401(k) SAVINGS PLAN
PLAN NUMBER:002 - EIN# 13/4994650
SCHEDULE OF ASSETS (ACQUIRED AND DISPOSED OF WITHIN YEAR)
FOR THE YEAR ENDED DECMEBER 31, 2016
(IRS FORM 5500 - SCHEDULE H - PART IV - LINE 4I)


(A)
 
(B)
 
(C)
 
(D)
 
(E)
 
 
IDENTITY OF ISSUE, BORROWER,
LESSOR, OR SIMILAR PARTY
 
DESCRIPTION OF INVESTMENT
INCLUDING MATURITY DATE, RATE OF INTEREST, COLLATERAL, PAR, OR
MATURITY VALUE
 
COSTS OF
ACQUISITIONS
 
PROCEEDS OF
DISPOSITION
DERIVATIVES (CONTINUED):
 
 
 
 
 
 
SWAPTION - SOP
 
PUT SCTY EX 06/23/2016 1
 
20,734

 
(3,420
)
 
 
SWAPTION - SOP
 
PUT SCTY EX 08/12/2016 1
 
7,877

 

 
 
SWAPTION - SOP
 
PUT SCTY EX 07/21/2016 1
 
3,655

 

 
 
SWAPTION - SOP
 
PUT SCTY EX 07/25/2016 1
 
3,780

 

 
 
SWAPTION - SOP
 
CALL SCTY EX 04/19/2016 1
 
18,288

 

 
 
SWAPTION - SOP
 
CALL SCTY EX 04/25/2016 1
 
14,430

 

 
 
SWAPTION - SOP
 
PUT SCTY EX 12/14/2016 1
 
2,640

 

 
 
SWAPTION - SOP
 
PUT SCTY EX 12/15/2016 1
 
2,880

 

 
 
SWAPTION - SOP
 
PUT SCTY EX 07/25/2016 1
 
15,313

 
(3,203
)
 
 
US 10YR NOTE (CBT ) BOND
 
EX 12/20/2016 SIZE 100,000
 

 
(2,061,090
)
 
 
US 10YR NOTE (CBT ) BOND
 
EX 06/21/2016 SIZE 100,000
 

 
(91,875
)
 
 
US 10YR NOTE (CBT ) BOND
 
EX 09/21/2016 SIZE 100,000
 

 
597,848

 
 
US 2YR NOTE (CBT) BOND
 
EX 12/30/2016 SIZE 200,000
 

 
148,928

 
 
US 5YR NOTE (CBT) BOND
 
EX 12/30/2016 SIZE 100,000
 

 
(69,749
)
 
 
US 5YR NOTE (CBT) BOND
 
EX 12/30/2016 SIZE 100,000
 

 
(5,360
)
 
 
US 5YR NOTE (CBT) BOND
 
EX 06/30/2016 SIZE 100,000
 

 
21,055

 
 
US 5YR NOTE (CBT) BOND
 
EX 09/30/2016 SIZE 100,000
 

 
(73,077
)
 
 
US 5YR NOTE (CBT) BOND
 
EX 03/31/2017 SIZE 100,000
 

 
(1,884
)
 
 
US LONG BOND(CBT) BOND
 
EX 12/20/2016 SIZE 100,000
 

 
(43,137
)
 
 
US LONG BOND(CBT) BOND
 
EX 12/20/2016 SIZE 100,000
 

 
2,072,228

 
 
US LONG BOND(CBT) BOND
 
EX 06/21/2016 SIZE 100,000
 

 
181,272

 
 
US LONG BOND(CBT) BOND
 
EX 09/21/2016 SIZE 100,000
 

 
(945,508
)
 
 
US ULTRA BOND CBT BOND
 
EX 12/20/2016 SIZE 100,000
 

 
(730,737
)
 
 
US ULTRA BOND CBT BOND
 
EX 06/21/2016 SIZE 100,000
 

 
(5,066
)
 
 
US ULTRA BOND CBT BOND
 
EX 09/21/2016 SIZE 100,000
 

 
403,786

SECURITIES SOLD SHORT:
 
 
 
 
 
 
NOMURA SECURITIES INTL INC
 
1,120,000 SHARES
 
1,120,000

 
(1,120,000
)
 
 
TBA FGLMC SINGLE FAMILY 30YR
 
5.50% 10/15/2047 1,000,000
 
1,121,094

 
(1,124,258
)
 
 
TBA FGLMC SINGLE FAMILY 30YR
 
5.50% 11/15/2047 1,000,000
 
1,123,750

 
(1,124,688
)
 
 
TBA FGLMC SINGLE FAMILY 30YR
 
5.50% 02/15/2047 1,000,000
 
1,102,813

 
(1,112,500
)
 
 
TBA FGLMC SINGLE FAMILY 30YR
 
5.50% 03/15/2047 1,000,000
 
1,111,563

 
(1,109,375
)
 
 
TBA FGLMC SINGLE FAMILY 30YR
 
5.50% 04/15/2047 1,000,000
 
1,108,906

 
(1,110,703
)
 
 
TBA FGLMC SINGLE FAMILY 30YR
 
5.50% 05/15/2047 1,000,000
 
1,110,156

 
(1,109,688
)
 
 
TBA FGLMC SINGLE FAMILY 30YR
 
5.50% 06/15/2047 1,000,000
 
1,109,219

 
(1,110,000
)
 
 
TBA FGLMC SINGLE FAMILY 30YR
 
5.50% 07/15/2047 1,000,000
 
1,109,688

 
(1,116,250
)
 
 
TBA FGLMC SINGLE FAMILY 30YR
 
5.50% 08/15/2047 1,000,000
 
1,110,938

 
(1,114,375
)
 
 
TBA FGLMC SINGLE FAMILY 30YR
 
5.50% 09/15/2047 1,000,000
 
1,108,906

 
(1,121,836
)
 
 
TBA FNMA SINGLE FAMILY 30YR
 
3.00% 11/25/2047 3,000,000
 
3,095,859

 
(3,088,828
)
 
 
TBA FNMA SINGLE FAMILY 30YR
 
3.00% 04/25/2047 4,000,000
 
4,080,625

 
(4,091,563
)
 
 
TBA FNMA SINGLE FAMILY 30YR
 
3.00% 06/25/2047 5,000,000
 
5,134,766

 
(5,113,672
)
 
 
TBA FNMA SINGLE FAMILY 30YR
 
3.00% 07/25/2047 7,100,000
 
7,352,881

 
(7,359,594
)
 
 
TBA FNMA SINGLE FAMILY 30YR
 
3.00% 09/25/2047 5,000,000
 
5,186,426

 
(5,198,047
)
 
 
TBA FNMA SINGLE FAMILY 30YR
 
3.50% 05/25/2047 10,700,000
 
11,230,820

 
(11,238,344
)
 
 
TBA FNMA SINGLE FAMILY 30YR
 
3.50% 07/25/2047 9,000,000
 
9,500,859

 
(9,502,578
)
 
 
TBA FNMA SINGLE FAMILY 30YR
 
4.00% 01/25/2047 5,000,000
 
5,210,938

 
(5,210,938
)
 
 
TBA FNMA SINGLE FAMILY 30YR
 
4.00% 05/25/2047 5,000,000
 
5,318,750

 
(5,331,641
)
 
 
TBA FNMA SINGLE FAMILY 30YR
 
4.00% 06/25/2047 5,000,000
 
5,332,227

 
(5,333,984
)
 
 
TBA FNMA SINGLE FAMILY 30YR
 
4.00% 07/25/2047 3,600,000
 
3,853,969

 
(3,858,750
)

60

THE JPMORGAN CHASE 401(k) SAVINGS PLAN
PLAN NUMBER:002 - EIN# 13/4994650
SCHEDULE OF ASSETS (ACQUIRED AND DISPOSED OF WITHIN YEAR)
FOR THE YEAR ENDED DECMEBER 31, 2016
(IRS FORM 5500 - SCHEDULE H - PART IV - LINE 4I)


(A)
 
(B)
 
(C)
 
(D)
 
(E)
 
 
IDENTITY OF ISSUE, BORROWER,
LESSOR, OR SIMILAR PARTY
 
DESCRIPTION OF INVESTMENT
INCLUDING MATURITY DATE, RATE OF INTEREST, COLLATERAL, PAR, OR
MATURITY VALUE
 
COSTS OF
ACQUISITIONS
 
PROCEEDS OF
DISPOSITION
SECURITIES SOLD SHORT (CONTINUED):
 
 
 
 
 
 
TBA FNMA SINGLE FAMILY 30YR
 
6.00% 10/25/2047 3,000,000
 
3,437,813

 
(3,442,148
)
 
 
TBA FNMA SINGLE FAMILY 30YR
 
6.00% 02/25/2047 1,500,000
 
1,696,055

 
(1,702,031
)
 
 
TBA FNMA SINGLE FAMILY 30YR
 
6.00% 03/25/2047 1,500,000
 
1,698,750

 
(1,708,594
)
 
 
TBA FNMA SINGLE FAMILY 30YR
 
6.00% 04/25/2047 1,500,000
 
1,706,719

 
(1,712,578
)
 
 
TBA FNMA SINGLE FAMILY 30YR
 
6.00% 05/25/2047 1,500,000
 
1,710,820

 
(1,710,117
)
 
 
TBA FNMA SINGLE FAMILY 30YR
 
6.00% 06/25/2047 1,500,000
 
1,708,594

 
(1,712,871
)
 
 
TBA FNMA SINGLE FAMILY 30YR
 
6.00% 07/25/2047 1,500,000
 
1,711,582

 
(1,716,328
)
 
 
TBA FNMA SINGLE FAMILY 30YR
 
6.00% 08/25/2047 1,500,000
 
1,715,625

 
(1,709,766
)
 
 
TBA FNMA SINGLE FAMILY 30YR
 
6.00% 09/25/2047 1,500,000
 
1,709,063

 
(1,717,617
)
 
 
TBA FNMA SINGLE FAMILY 30YR
 
3.00% 04/15/2047 11,000,000
 
11,394,883

 
(11,407,344
)
 
 
 
 
 
 
103,863,934

 
(100,675,180
)


61


THE JPMORGAN CHASE 401(k) SAVINGS PLAN




SIGNATURE
Pursuant to the requirements of the Securities Exchange Act of 1934, the registrant has duly caused this report to be signed on its behalf by the undersigned hereunto duly authorized.
 
The JPMorgan Chase 401(k) Savings Plan
 
(Registrant)
 
 
By:
/s/ Nicole Giles
 
Nicole Giles
 
 
 
Managing Director and Corporate Controller
 
(Principal Accounting Officer)
 
 
 
 
Date: June 27, 2017
 


62


THE JPMORGAN CHASE 401(k) SAVINGS PLAN




INDEX TO EXHIBIT

Exhibit No.
 
Description of Exhibit
 
Page at which located
 
 
 
 
 
23
 
Consent of Independent Registered Public Accounting Firm
 
64



63
EX-23 2 jpmc401k2016ex23.htm EXHIBIT 23 CONSENT Exhibit
jpm401k2016mandma01.jpg
Exhibit 23

CONSENT OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM


To the Plan Participants and Plan Administrator of
The JPMorgan Chase 401(k) Savings Plan:

We consent to the incorporation by reference in the registration statements No. 333-185582, No. 333-145108 and No. 333-31656 on Form S-8 of JPMorgan Chase & Co. of our report dated June 27, 2017, relating to the statements of net assets available for benefits of The JPMorgan Chase 401(k) Savings Plan as of December 31, 2016 and 2015, and the related statements of changes in net assets available for benefits for the years then ended, and all related schedules, which report appears in the December 31, 2016 Annual Report on Form 11-K of The JPMorgan Chase 401(k) Savings Plan.


image2a08.jpg

MEADEN & MOORE, LTD.
Cleveland, Ohio
June 27, 2017


64

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