PRE 14A 1 d699739dpre14a.htm JPMORGAN TRUST I JPMorgan Trust I

UNITED STATES

SECURITIES AND EXCHANGE COMMISSION

Washington, D.C. 20549

SCHEDULE 14A INFORMATION

Proxy Statement Pursuant to Section 14(a) of the

Securities Exchange Act of 1934

Filed by the Registrant  x

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x Preliminary Proxy Statement

 

¨ Confidential, for Use of the Commission Only (as permitted by Rule 14a-6(e)(2))

 

¨ Definitive Proxy Statement

 

¨ Definitive Additional Materials

 

¨ Soliciting Material Pursuant to Rule 14a-12

JPMorgan Trust I

 

(Name of Registrant as Specified In Its Charter)

 

 

(Name of Person(s) Filing Proxy Statement, if other than the Registrant)

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JPMorgan Trust I

J.P. Morgan Fleming Mutual Fund Group, Inc.

J.P. Morgan Mutual Fund Investment Trust

Undiscovered Managers Fund

270 Park Avenue

New York, NY 10017

April 17, 2014

Dear Shareholder:

I am writing to ask for your vote on important matters concerning your investment in the separate investment series of each of JPMorgan Trust I, J.P. Morgan Fleming Mutual Fund Group, Inc., J.P. Morgan Mutual Fund Investment Trust and Undiscovered Managers Funds (each a “Trust”; collectively, the Trusts). The Board of Trustees/Directors of each Trust (the “Board”) has called a special meeting of shareholders of the Trust scheduled for Tuesday, June 10, 2014 at 270 Park Avenue, New York, New York 10017, at 11:00 a.m. Eastern Time (“Meeting”).

It is important that you vote all proxies you receive.

The attached Proxy Statement relates to the following proposals that will be considered and acted upon at the Meeting:

 

(1) To elect the current thirteen (13) Trustees/Directors for each Trust;

 

(2) To amend the concentration policy of the JPMorgan Asia Pacific Fund;

 

(3) To transact such other business as may properly come before the Meeting and any adjournments or postponements thereof.

After careful consideration, the Board recommends that you vote “FOR” the Proposals.

Proposal 1 will be voted on by all shareholders of the Trusts while Proposal (2) will be voted on only by shareholders of the JPMorgan Asia Pacific Fund.

Detailed information about each of the proposals is contained in the enclosed materials. Your vote is very important to us regardless of the number of shares you own. Whether or not you plan to attend the Meeting in person, please read the Proxy Statement and cast your vote promptly. It is important that your vote be received by no later than the time of the Meeting on Tuesday, June 10, 2014. VOTING IS QUICK AND EASY. EVERYTHING YOU WILL REQUIRE IS ENCLOSED. To cast your vote simply complete, sign and return the Proxy Card in the enclosed postage-paid envelope.

In addition to voting by mail, you may also vote either by telephone or via the Internet, as follows:

 

To vote by Telephone:

 

To vote by Internet:

(1) Read the Proxy Statement and have your Proxy Card at hand.   (1) Read the Proxy Statement and have your Proxy Card at hand.
(2) Call the toll-free number that appears on your Proxy Card.   (2) Go to the website that appears on your Proxy Card.
(3) Enter the control number set forth on the Proxy Card and follow the simple instructions.   (3) Enter the control number set forth on the Proxy Card and follow the simple instructions.

 

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We encourage you to vote by telephone or via the Internet using the control number that appears on your enclosed Proxy Card. Use of telephone or Internet voting will reduce the time and costs associated with this proxy solicitation.

Whichever method you choose, please read the enclosed Proxy Statement carefully before you vote.

NOTE: You may receive more than one set of proxy solicitation materials if you hold shares in more than one account or in more than one Fund. Please be sure to vote each account or Fund by utilizing one of the methods described on the Proxy Cards or by signing and dating each card and enclosing it in the postage-paid envelope provided for each Proxy Card. In addition, certain other J.P. Morgan Funds not listed herein will also hold a special meeting at the place and on the same date as the Trust. If you were also a shareholder of record on the record date of one or more of those other funds, you will receive a separate proxy statement and proxy card(s) relating to those funds. Please be certain to vote by telephone or via the Internet with respect to each J.P. Morgan Fund in which you are a shareholder of record or sign, date and return each proxy card you receive.

If you have any questions after considering the enclosed materials, please call 1 (866) 456-7052. We will get you the answers that you need promptly.

Sincerely,

Robert L. Young

President

JPMorgan Trust I

J.P. Morgan Fleming Mutual Fund Group, Inc.

J.P. Morgan Mutual Fund Investment Trust

Undiscovered Managers Funds

 

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JPMorgan Trust I

JPMorgan 100% U.S. Treasury Securities Money Market Fund

JPMorgan Access Balanced Fund

JPMorgan Access Growth Fund

JPMorgan Alternative Strategies Fund

JPMorgan Asia Pacific Fund

JPMorgan California Municipal Money Market Fund

JPMorgan California Tax Free Bond Fund

JPMorgan China Region Fund

JPMorgan Commodities Strategy Fund

JPMorgan Corporate Bond Fund

JPMorgan Current Income Fund

JPMorgan Current Yield Money Market Fund

JPMorgan Disciplined Equity Fund

JPMorgan Diversified Fund

JPMorgan Diversified Real Return Fund

JPMorgan Dynamic Growth Fund

JPMorgan Dynamic Small Cap Growth Fund

JPMorgan Emerging Economies Fund

JPMorgan Emerging Markets Debt Fund

JPMorgan Emerging Markets Equity Fund

JPMorgan Emerging Markets Local Currency Debt Fund

JPMorgan Equity Focus Fund

JPMorgan Federal Money Market Fund

JPMorgan Floating Rate Income Fund

JPMorgan Global Allocation Fund

JPMorgan Global Bond Opportunities Fund

JPMorgan Global Equity Income Fund

JPMorgan Global Natural Resources Fund

JPMorgan Global Research Enhanced Index Fund

JPMorgan Growth and Income Fund

JPMorgan Income Builder Fund

JPMorgan Inflation Managed Bond Fund

JPMorgan Intermediate Tax Free Bond Fund

JPMorgan International Currency Income Fund

JPMorgan International Equity Fund

JPMorgan International Opportunities Fund

JPMorgan International Realty Fund

JPMorgan International Unconstrained Equity Fund

JPMorgan International Value Fund

JPMorgan International Value SMA Fund

JPMorgan Intrepid Advantage Fund

JPMorgan Intrepid America Fund

JPMorgan Intrepid European Fund

JPMorgan Intrepid Growth Fund

JPMorgan Intrepid International Fund

JPMorgan Intrepid Value Fund

JPMorgan Latin America Fund

JPMorgan Managed Income Fund

JPMorgan Market Neutral Fund

JPMorgan Mid Cap Equity Fund

 

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JPMorgan Multi-Sector Income Fund

JPMorgan New York Municipal Money Market Fund

JPMorgan New York Tax Free Bond Fund

JPMorgan Prime Money Market Fund

JPMorgan Real Return Fund

JPMorgan Research Equity Long/Short Fund

JPMorgan Research Market Neutral Fund

JPMorgan Short Duration High Yield Fund

JPMorgan Small Cap Core Fund

JPMorgan Small Cap Equity Fund

JPMorgan SmartAllocation Equity Fund

JPMorgan SmartAllocation Income Fund

JPMorgan SmartRetirement Income Fund

JPMorgan SmartRetirement 2010 Fund

JPMorgan SmartRetirement 2015 Fund

JPMorgan SmartRetirement 2020 Fund

JPMorgan SmartRetirement 2025 Fund

JPMorgan SmartRetirement 2030 Fund

JPMorgan SmartRetirement 2035 Fund

JPMorgan SmartRetirement 2040 Fund

JPMorgan SmartRetirement 2045 Fund

JPMorgan SmartRetirement 2050 Fund

JPMorgan SmartRetirement 2055 Fund

JPMorgan SmartRetirement Blend Income Fund

JPMorgan SmartRetirement Blend 2015 Fund

JPMorgan SmartRetirement Blend 2020 Fund

JPMorgan SmartRetirement Blend 2025 Fund

JPMorgan SmartRetirement Blend 2030 Fund

JPMorgan SmartRetirement Blend 2035 Fund

JPMorgan SmartRetirement Blend 2040 Fund

JPMorgan SmartRetirement Blend 2045 Fund

JPMorgan SmartRetirement Blend 2050 Fund

JPMorgan SmartRetirement Blend 2055 Fund

JPMorgan Strategic Income Opportunities Fund

JPMorgan Strategic Preservation Fund

JPMorgan Tax Aware Equity Fund

JPMorgan Tax Aware High Income Fund

JPMorgan Tax Aware Income Opportunities Fund

JPMorgan Tax Aware Real Return Fund

JPMorgan Tax Aware Real Return SMA Fund

JPMorgan Tax Free Money Market Fund

JPMorgan Total Emerging Markets Fund

JPMorgan Total Return Fund

JPMorgan U.S. Dynamic Plus Fund

JPMorgan U.S. Equity Fund

JPMorgan U.S. Large Cap Core Plus Fund

JPMorgan U.S. Research Equity Plus Fund

JPMorgan U.S. Small Company Fund

JPMorgan Value Advantage Fund

Security Capital U.S. Core Real Estate Securities Fund

 

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J.P. Morgan Fleming Mutual Fund Group, Inc.

JPMorgan Mid Cap Value Fund

J.P. Morgan Mutual Fund Investment Trust

JPMorgan Growth Advantage Fund

Undiscovered Managers Funds

JPMorgan Realty Income Fund

Undiscovered Managers Behavioral Value Fund

270 Park Avenue

New York, NY 10017

 

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NOTICE OF SPECIAL MEETING OF SHAREHOLDERS

TO BE HELD JUNE 10, 2014

To the Shareholders:

NOTICE IS HEREBY GIVEN that, on behalf of each of their series named above (each a “Fund” and, collectively, the “Funds”), will hold a special meeting of shareholders at 270 Park Avenue, New York, New York 10017, on Tuesday, June 10, 2014 at 11:00 a.m. Eastern Time (the “Meeting”). Please contact Computershare at 1 866-456-7052 if you have any questions relating to attending the Meeting in person. The Meeting will be held for the following purposes:

 

(1) To elect the current thirteen (13) Trustees for each Trust;

 

(2) To amend the concentration policy of the JPMorgan Asia Pacific Fund

 

(3) To transact such other business as may properly come before the Meeting and any adjournments or postponements thereof.

You are entitled to vote at the Meeting and any adjournment(s) or postponement(s) thereof if you owned shares of any Fund listed above at the close of business on March 21, 2014 (the “Record Date”).

Whether or not you plan to attend the Meeting in person, please vote your shares. In addition to voting by mail you may also vote by either telephone or via the Internet, as follows:

 

To vote by Telephone:

 

To vote by Internet:

(1) Read the Proxy Statement and have your Proxy Card at hand.   (1) Read the Proxy Statement and have your Proxy Card at hand.
(2) Call the toll-free number that appears on your Proxy Card.   (2) Go to the website that appears on your Proxy Card.
(3) Enter the control number set forth on the Proxy Card and follow the simple instructions.   (3) Enter the control number set forth on the Proxy Card and follow the simple instructions.

We encourage you to vote by telephone or via the Internet using the control number that appears on your enclosed Proxy Card. Use of telephone or Internet voting will reduce the time and costs associated with this proxy solicitation.

Whichever method you choose, please read the enclosed Proxy Statement carefully before you vote.

Important Notice regarding the availability of Proxy Materials for the Special Meeting of Shareholders to be held on June 10, 2014.

This Proxy Statement is available at www.proxy-direct.com/jpm-25469

PLEASE RESPOND—WE ASK THAT YOU VOTE PROMPTLY IN ORDER TO AVOID THE ADDITIONAL EXPENSE OF FURTHER SOLICITATION.

YOUR VOTE IS IMPORTANT.

By Order of the Board of Trustees,

Robert L. Young

President

April 17, 2014

 

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JPMorgan Trust I

JPMorgan 100% U.S. Treasury Securities Money Market Fund

JPMorgan Access Balanced Fund

JPMorgan Access Growth Fund

JPMorgan Alternative Strategies Fund

JPMorgan Asia Pacific Fund

JPMorgan California Municipal Money Market Fund

JPMorgan California Tax Free Bond Fund

JPMorgan China Region Fund

JPMorgan Commodities Strategy Fund

JPMorgan Corporate Bond Fund

JPMorgan Current Income Fund

JPMorgan Current Yield Money Market Fund

JPMorgan Disciplined Equity Fund

JPMorgan Diversified Fund

JPMorgan Diversified Real Return Fund

JPMorgan Dynamic Growth Fund

JPMorgan Dynamic Small Cap Growth Fund

JPMorgan Emerging Economies Fund

JPMorgan Emerging Markets Debt Fund

JPMorgan Emerging Markets Equity Fund

JPMorgan Emerging Markets Local Currency Debt Fund

JPMorgan Equity Focus Fund

JPMorgan Federal Money Market Fund

JPMorgan Floating Rate Income Fund

JPMorgan Global Allocation Fund

JPMorgan Global Bond Opportunities Fund

JPMorgan Global Equity Income Fund

JPMorgan Global Natural Resources Fund

JPMorgan Global Research Enhanced Index Fund

JPMorgan Growth and Income Fund

JPMorgan Income Builder Fund

JPMorgan Inflation Managed Bond Fund

JPMorgan Intermediate Tax Free Bond Fund

JPMorgan International Currency Income Fund

JPMorgan International Equity Fund

JPMorgan International Opportunities Fund

JPMorgan International Realty Fund

JPMorgan International Unconstrained Equity Fund

JPMorgan International Value Fund

JPMorgan International Value SMA Fund

JPMorgan Intrepid Advantage Fund

JPMorgan Intrepid America Fund

JPMorgan Intrepid European Fund

JPMorgan Intrepid Growth Fund

JPMorgan Intrepid International Fund

JPMorgan Intrepid Value Fund

JPMorgan Latin America Fund

JPMorgan Managed Income Fund

JPMorgan Market Neutral Fund

JPMorgan Mid Cap Equity Fund

 

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JPMorgan Multi-Sector Income Fund

JPMorgan New York Municipal Money Market Fund

JPMorgan New York Tax Free Bond Fund

JPMorgan Prime Money Market Fund

JPMorgan Real Return Fund

JPMorgan Research Equity Long/Short Fund

JPMorgan Research Market Neutral Fund

JPMorgan Short Duration High Yield Fund

JPMorgan Small Cap Core Fund

JPMorgan Small Cap Equity Fund

JPMorgan SmartAllocation Equity Fund

JPMorgan SmartAllocation Income Fund

JPMorgan SmartRetirement Income Fund

JPMorgan SmartRetirement 2010 Fund

JPMorgan SmartRetirement 2015 Fund

JPMorgan SmartRetirement 2020 Fund

JPMorgan SmartRetirement 2025 Fund

JPMorgan SmartRetirement 2030 Fund

JPMorgan SmartRetirement 2035 Fund

JPMorgan SmartRetirement 2040 Fund

JPMorgan SmartRetirement 2045 Fund

JPMorgan SmartRetirement 2050 Fund

JPMorgan SmartRetirement 2055 Fund

JPMorgan SmartRetirement Blend Income Fund

JPMorgan SmartRetirement Blend 2015 Fund

JPMorgan SmartRetirement Blend 2020 Fund

JPMorgan SmartRetirement Blend 2025 Fund

JPMorgan SmartRetirement Blend 2030 Fund

JPMorgan SmartRetirement Blend 2035 Fund

JPMorgan SmartRetirement Blend 2040 Fund

JPMorgan SmartRetirement Blend 2045 Fund

JPMorgan SmartRetirement Blend 2050 Fund

JPMorgan SmartRetirement Blend 2055 Fund

JPMorgan Strategic Income Opportunities Fund

JPMorgan Strategic Preservation Fund

JPMorgan Tax Aware Equity Fund

JPMorgan Tax Aware High Income Fund

JPMorgan Tax Aware Income Opportunities Fund

JPMorgan Tax Aware Real Return Fund

JPMorgan Tax Aware Real Return SMA Fund

JPMorgan Tax Free Money Market Fund

JPMorgan Total Emerging Markets Fund

JPMorgan Total Return Fund

JPMorgan U.S. Dynamic Plus Fund

JPMorgan U.S. Equity Fund

JPMorgan U.S. Large Cap Core Plus Fund

JPMorgan U.S. Research Equity Plus Fund

JPMorgan U.S. Small Company Fund

JPMorgan Value Advantage Fund

Security Capital U.S. Core Real Estate Securities Fund

 

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J.P. Morgan Fleming Mutual Fund Group, Inc.

JPMorgan Mid Cap Value Fund

J.P. Morgan Mutual Fund Investment Trust

JPMorgan Growth Advantage Fund

Undiscovered Managers Funds

JPMorgan Realty Income Fund

Undiscovered Managers Behavioral Value Fund

270 Park Avenue

New York, NY10017

 

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PROXY STATEMENT

SPECIAL MEETING OF SHAREHOLDERS

TO BE HELD ON JUNE 10, 2014

THIS PROXY STATEMENT IS BEING FURNISHED TO YOU IN CONNECTION WITH THE SOLICITATION OF PROXIES BY THE BOARD OF TRUSTEES/DIRECTORS (“BOARD”) OF JPMORGAN TRUST I, J.P. MORGAN FLEMING MUTUAL FUND GROUP, INC., J.P. MORGAN MUTUAL FUND INVESTMENT TRUST AND UNDISCOVERED MANAGERS FUNDS (each, a “Trust”, collectively, the “Trusts”), on behalf of each of their series named above (each a “Fund” and, collectively, the “Funds”), to be voted at a Special Meeting of Shareholders to be held on Tuesday, June 10, 2014, at 270 Park Avenue, New York, New York 10017, at 11:00 a.m. Eastern time, for the purposes set forth below and described in greater detail in this Proxy Statement. (The meeting and any adjournment(s) or postponement(s) of the meeting is referred to in this Proxy Statement as the “Meeting.”) This Proxy Statement, along with a Notice of Special Meeting of Shareholders and Proxy Card, is first being mailed to shareholders of the Funds on or about April 17, 2014.

The following proposals will be considered and acted upon at the Meeting:

 

PROPOSAL   Affected Fund(s)   Page  

(1)    To elect the current thirteen (13) Trustees for the Trust.

  All Funds     6   

(2)    To amend the concentration policy of the JPMorgan Asia Pacific Fund

  JPMorgan Asia Pacific Fund     27   

(3)    To transact such other business as may properly come before the Meeting and any adjournments or postponements thereof.

  All Funds  

Each proposal will be implemented if approved by shareholders and is not contingent on the approval of any other proposal.

You are entitled to vote at the Meeting, including any adjournment(s) or postponement(s) thereof, if you owned shares of any Fund at the close of business on March 21, 2014 (“Record Date”).

Only shareholders of record at the close of business on the Record Date will be entitled to notice of, and to vote at, the Meeting. Shares represented by proxies, unless previously revoked, will be voted at the Meeting in accordance with the instructions of the shareholders. If Proxy Cards have been executed, but no instructions are given, such proxies will be voted in favor of each of the applicable proposals. To revoke a proxy, the shareholder giving such proxy must either (1) submit to the applicable Trust a subsequently dated Proxy Card, (2) deliver to the applicable Trust a written notice of revocation, or (3) otherwise give notice of revocation in open meeting, in all cases prior to the exercise of the authority granted in the proxy.

For each of JPMorgan Trust I and J.P. Morgan Mutual Fund Investment Trust, the presence in person or by proxy of the holders of record of a majority of the outstanding shares of the Trust shall constitute a quorum at the Meeting for those actions for which a vote of shareholders of the Trust is required, and a majority of the outstanding shares of a Fund shall constitute a quorum at the Meeting for those actions for which a vote of shareholders of solely that Fund is required. For Undiscovered Managers Funds, the presence in person or by proxy of the holders of record of forty percent of its outstanding shares shall constitute a quorum at the Meeting for those actions for which a vote of its shareholders are required. For J.P. Morgan Fleming Mutual Fund Group, Inc., the presence in person or by proxy of the holders of record of one-third of its outstanding shares shall constitute a quorum at the Meeting for those actions for which a vote of its shareholders are required.

In the event that the necessary quorum to transact business or the vote required to approve any proposal is not obtained by the date of the Meeting, a person named as proxy may propose one or more adjournments of the

 

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Meeting for a reasonable period or periods to permit further solicitation of proxies. In addition, if, in the judgment of the persons named as proxies, it is advisable to defer action on one or more proposals, the persons named as proxies may propose one or more adjournments of the Meeting with respect to such proposal or proposals for a reasonable period or periods. Any broker non-votes received will be excluded from the calculation of the number of votes required to approve any proposal to adjourn a Meeting. Please refer to the section in this Proxy Statement titled “Adjournments” for additional details.

If a shareholder wishes to participate in the Meeting, but does not wish to authorize the execution of a proxy by telephone or through the Internet, the shareholder may submit the Proxy Card included with this Proxy Statement or attend the Meeting in person.

The most recent annual report of each of the Funds, including financial statements, for each Fund’s most recent completed fiscal year have been mailed previously to shareholders. If you would like to receive additional copies of these shareholder reports free of charge, or copies of any subsequent shareholder report, please make the request in writing to J.P. Morgan Funds Services, PO. Box 8528, Boston MA 02261-8528 or by calling 1-800-480-4111. Requested shareholder reports will be sent by first class mail within three business days of the receipt of the request. You can also obtain the annual report for any J.P. Morgan Fund by visiting www.jpmorganfunds.com.

PROPOSAL 1

Applicable Funds: All Funds

ELECTION OF EACH OF THE CURRENT TRUSTEES/DIRECTORS

What are shareholders being asked to approve in Proposal 1?

The purpose of this proposal is to elect the current Board of Trustees/Directors for each Trust. It is intended that the enclosed Proxy Card will be voted for the election as Trustees/Directors of the Trusts the thirteen current trustees/Directors listed below. Under the 1940 Act, each Fund is required to seek shareholder approval whenever less than two-thirds of its Board members have been elected by shareholders. Although the Funds are not currently required to ask their shareholders to elect or re-elect Trustees since more than two-thirds of their current Trustees were previously elected by shareholders, the Funds are seeking shareholder approval at this time to accommodate potential future resignations or retirements.

Who are the Trustees/Directors to be elected to the Board?

The Board, based on the recommendation of the Governance Committee, has nominated for election each of the Trustees/Directors (each, a “Trustee” and collectively, the “Trustees”) who currently serve as trustees of the J.P. Morgan Funds. Each Trustee would hold office until his or her death, resignation, removal, incapacity, or retirement. The Trustees are John F. Finn, Dr. Matthew Goldstein, Robert J. Higgins, Frankie D. Hughes, Peter C. Marshall, Mary E. Martinez, Marilyn McCoy, Mitchell M. Merin, William G. Morton, Jr., Dr. Robert A. Oden, Jr., Marian U. Pardo, Frederick W. Ruebeck and James J. Schonbachler. Each of the Trustees, other than Ms. Martinez, Mr. Merin, Ms. Pardo and Ms. Hughes, was elected at the shareholder meeting held on January 20, 2005. Ms. Hughes was appointed by the other Trustees to fill a vacancy on the Board in November 2008. To fill vacancies created by the retirement of three former Trustees at the end of 2012, the Governance Committee and Board appointed Mary E. Martinez and Mitchell M. Merin to serve as Trustees effective January 1, 2013 and Marian U. Pardo to serve as Trustee effective February 1, 2013. The Trustees are also trustees of the other registered investment companies in the J.P. Morgan Fund complex, a fund complex consisting of twelve registered investment companies advised by J.P. Morgan Investment Management Inc. (“JPMIM” or the “Adviser”) or its affiliates (the “J.P. Morgan Funds Complex”). JPMIM is a wholly-owned subsidiary of

 

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JPMorgan Chase & Co., a leading global financial services firm with assets of $2.4 trillion and operations worldwide.

What are the qualifications of the Trustees to be elected to the Board?

The Board’s Governance Committee is responsible for selection and nomination of persons for election or appointment as Trustees. At the February 12, 2014 Board meeting, the Governance Committee and Board evaluated each Trustee. The following is a description of the factors considered by the Governance Committee and the Board in concluding that each Trustee should serve for election as Trustee of each Trust. The Governance Committee and Board evaluated each Trustee both individually and in the broader context of the Board’s overall effectiveness.

The Governance Committee and the Board considered the commitment that each Trustee has demonstrated in serving on the Board including the significant time each Trustee has devoted to preparing for meetings and the active engagement and participation of each Trustee at Board meetings. The Governance Committee and the Board also considered the character of each Trustee noting that each Trustee is committed to executing his or her duties as a trustee with diligence, honesty and integrity. The Governance Committee and the Board also considered the contributions that each Trustee has made to the Board in terms of experience, leadership, independence and the ability to work effectively and collaboratively with other Board members.

The Governance Committee also considered the significant and relevant experience and knowledge that each Trustee has with respect to registered investment companies and asset management. The Governance Committee and the Board noted the additional experience that each of the Trustees has gained with respect to registered investment companies as a result of his or her service on the J.P. Morgan Funds Board. The J.P. Morgan Funds overseen by the J.P. Morgan Funds Board represent almost every asset class including (1) fixed income funds including traditional bond funds, municipal bond funds, high yield funds, government funds, and emerging markets debt funds, (2) money market funds, (3) international, emerging markets and country/region funds, (4) equity funds including small, mid and large capitalization funds and value and growth funds, (5) index funds, (6) funds of funds, including target date funds, and (7) specialty funds including market neutral funds, long/short funds and funds that invest in real estate securities and commodity-related securities and derivatives. The Governance Committee and the Board also considered the experience that each Trustee had with respect to reviewing agreements with the Funds’ service providers in connection with their broader service to the J.P. Morgan Funds including each Fund’s investment adviser, custodian, and fund accountant.

The Governance Committee and the Board also considered the experience and contribution of each Trustee in the context of the Board’s leadership and committee structure. The Board currently has six standing committees including the Audit and Valuation Committee, the Compliance Committee, the Governance Committee, the Equity Committee, the Fixed Income Committee, and the Money Market Funds/Alternative Products Committee. Prior to August 22, 2013, the Board had four committees: the Audit and Valuation Committee, the Compliance Committee, the Governance Committee and the Investments Committee. The Investments Committee had three sub-committees: an Equity Subcommittee, a Fixed Income Subcommittee and a Money Market and Alternatives Product Subcommittee. Effective August 22, 2013, the Investments Sub-Committees were reorganized into three separate investment committees: the Equity Committee, the Fixed Income Committee and the Money Market and Alternative Products Committee. Different members of the Board serve on these three investment committees with respect to each asset type thereby allowing the J.P. Morgan Funds Board to effectively evaluate information for the 165 Funds in the J.P. Morgan Funds Complex in a focused, disciplined manner.

The Governance Committee and the Board also considered the operational efficiencies achieved by having a single Board for the Funds and the other registered investment companies overseen by the Adviser and its affiliates as well as the extensive experience of certain Trustees in serving on Boards for registered investment companies advised by subsidiaries or affiliates of JPMorgan Chase & Co. and/or Bank One Corporation (known as “heritage J.P. Morgan Funds” or “heritage One Group Mutual Funds”).

 

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In reaching its conclusion that each Trustee should continue to serve as a Trustee of each Trust, the Board also considered the following additional specific qualifications, contributions and experience of each Trustee:

John F. Finn. Mr. Finn has served on the J.P. Morgan Funds Board since 2005 and was a member of the heritage One Group Mutual Funds Board since 1998. Until February 2013, Mr. Finn served on the Audit and Valuation Committee. As a member of the Audit and Valuation Committee, Mr. Finn has participated in the appointment of the Funds’ independent accountants, the oversight of the performance of the Funds’ audit, accounting and financial reporting policies, practices and internal controls and valuation policies, assisting the Board in its oversight of the valuation of the Funds’ securities by the Adviser, overseeing the quality and objectivity of the Funds’ independent audit and the financial statements of the Funds, and acting as a liaison between the Funds’ independent registered public accounting firm and the full Board. Mr. Finn currently serves as a member of the Equity Committee and the Governance Committee. As a member of the Governance Committee, he has participated in the selection and nomination of persons for election or appointment as Trustees, periodic review of the compensation payable to the Trustees, review and evaluation of the functioning of the Board and its committees, oversight of any ongoing litigation affecting the Funds, the Adviser or the non-interested Trustees, oversight of regulatory issues or deficiencies affecting the Funds, oversight of the Funds’ risk management processes and oversight and review of matters with respect to service providers to the Funds. In addition, Mr. Finn is also the head of the Strategic Planning Working Group, comprised of independent Trustees. The Strategic Planning Working Group works with the administrator to the Trust on initiatives related to efficiency and effectiveness of Board materials and meetings.

Dr. Matthew Goldstein. Dr. Goldstein has served as the Chairman of the Board since January 2013 and on the J.P. Morgan Funds Board since 2005. Dr. Goldstein was a member of the heritage J.P. Morgan Funds Board since 2003. Dr. Goldstein serves as the Chairman of the Governance Committee. As a member of the Governance Committee, he has participated in the selection and nomination of persons for election or appointment as Trustees, periodic review of the compensation payable to the Trustees, review and evaluation of the functioning of the Board and its committees, oversight of any ongoing litigation affecting the Funds, the Adviser or the non-interested Trustees, oversight of regulatory issues or deficiencies affecting the Funds, oversight of the Funds’ risk management processes and oversight and review of matters with respect to service providers to the Fund. Dr. Goldstein previously served as the Chairman of the Money Market and Alternative Products Subcommittee.

Robert J. Higgins. Mr. Higgins has served on the J.P. Morgan Funds Board since 2005 and was a member of the heritage J.P. Morgan Funds Board since 2002. Mr. Higgins serves as the Chairman of the Equity Committee. Until February 2013, Mr. Higgins served on the Audit and Valuation Committee. As a member of the Audit and Valuation Committee, Mr. Higgins has participated in the appointment of the Funds’ independent accountants, the oversight of the performance of the Funds’ audit, accounting and financial reporting policies, practices and internal controls and valuation policies, assisting the Board in its oversight of the valuation of the Funds’ securities by the Adviser, overseeing the quality and objectivity of the Funds’ independent audit and the financial statements of the Funds and acting as a liaison between the Funds’ independent registered public accounting firm and the full Board. Mr. Higgins currently serves on the Compliance Committee. As a member of the Compliance Committee, he has participated in the oversight of the Funds’ compliance with legal, regulatory and contractual requirements and compliance policies and procedures, as well as the appointment and compensation of the Funds’ Chief Compliance Officer. The members of the Compliance Committee also oversee the investigation and resolution of any significant compliance incidents.

Frankie D. Hughes. Ms. Hughes has served on the J.P. Morgan Funds Board since 2008. Until February 2013, Ms. Hughes was a member of the Fixed Income Subcommittee. Ms. Hughes is also a member of the Compliance Committee. As a member of the Compliance Committee, she has participated in the oversight of the Funds’ compliance with legal, regulatory and contractual requirements and compliance policies and procedures, as well as the appointment and compensation of the Funds’ Chief Compliance Officer. The members of the Compliance Committee also oversee the investigation and resolution of any significant compliance incidents. Ms. Hughes also serves as a member of the Money Market Funds and Alternative Products Committee.

 

7


Peter C. Marshall. Mr. Marshall has served on the J.P. Morgan Funds Board since 2005 and is currently Vice Chairman. Mr. Marshall was also the Chairman of the heritage One Group Mutual Funds Board, serving as a member of such Board since 1985. Mr. Marshall was also an Audit Committee Financial Expert for the heritage One Group Mutual Funds. Mr. Marshall serves as a member of the Governance Committee. As a member of the Governance Committee, he has participated in the selection and nomination of persons for election or appointment as Trustees, periodic review of the compensation payable to the Trustees, review and evaluation of the functioning of the Board and its committees, oversight of any ongoing litigation affecting the Funds, the Adviser or the non-interested Trustees, oversight of regulatory issues or deficiencies affecting the Funds, oversight of the Funds’ risk management processes and oversight and review of matters with respect to service providers to the Funds. Mr. Marshall also serves as a member of the Money Market Funds and Alternative Products Committee.

Mary E. Martinez. Ms. Martinez has served on the J.P. Morgan Funds Board since January 2013. In addition to the experience that Ms. Martinez has gained through her service on the J.P. Morgan Funds Board, Ms. Martinez was a senior financial services executive with over 25 years of experience in asset management, wealth management and private banking services. She has extensive experience with respect to registered investment companies and asset management products as a result of serving as president to other registered investment companies and as a chief operating officer of an asset management firm with responsibility for product development, management, infrastructure and operating oversight, including experience with respect to: (1) diversified product offerings including fundamental, quantitative, traditional and alternative asset classes; (2) asset and portfolio management analytics; (3) risk management and governance; and (4) regulatory and financial reporting. Ms. Martinez also serves on the Audit and Valuation Committee. As a member of the Audit and Valuation Committee, she has participated in the appointment of the Funds’ independent accountants, the oversight of the performance of the Funds’ audit, accounting and financial reporting policies, practices and internal controls and valuation policies, assisting the Board in its oversight of the valuation of the Funds’ securities by the Adviser, overseeing the quality and objectivity of the Funds’ independent audit and the financial statements of the Funds, and acting as a liaison between the Funds’ independent registered public accounting firm and the full Board. Ms. Martinez also serves as a member of the Fixed Income Committee.

Marilyn McCoy. Ms. McCoy has served on the J.P. Morgan Funds Board since 2005 and was a member of the heritage One Group Mutual Funds Board since 1999. Ms. McCoy is the Chairman of the Compliance Committee. As a member of the Compliance Committee, she has participated in the oversight of the Funds’ compliance with legal, regulatory and contractual requirements and compliance policies and procedures, as well as the appointment and compensation of the Funds’ Chief Compliance Officer. The members of the Compliance Committee also oversee the investigation and resolution of any significant compliance incidents. Ms. McCoy also serves as a member of the Equity Committee.

Mitchell M. Merin. Mr. Merin has served on the J.P. Morgan Funds Board since January 2013 and is the Chairman of the Money Market Funds and Alternative Products Committee. In addition to the experience that Mr. Merin has gained through his service on the J.P. Morgan Funds Board, Mr. Merin has been in the securities and asset management business for over 25 years and has served as both a board member and president of other registered investment companies and has extensive experience with respect to (1) taxable fixed income products and derivatives; (2) investment oversight; and (3) board governance of registered investment companies and other public companies. Mr. Merin has held leadership positions within the investment company industry including serving as a member of the Executive Committee of the Board of Governors of the Investment Company Institute and the Chair of the Fixed Income Securities and Investment Company Committees of NASDR. Mr. Merin also serves on the Audit and Valuation Committee. As a member of the Audit and Valuation Committee, he has participated in the appointment of the Fund’s independent accountants, the oversight of the performance of the Fund’s audit, accounting and financial reporting policies, practices and internal controls and valuation policies, assisting the Board in its oversight of the valuation of the Funds’ securities by the Adviser, overseeing the quality and objectivity of the Funds’ independent audit and the financial statements of the Funds, and acting as a liaison between the Funds’ independent registered public accounting firm and the full Board.

 

8


William G. Morton, Jr. Mr. Morton has served on the J.P. Morgan Funds Board since 2005 and was a member of the heritage J.P. Morgan Funds Board since 2003. Mr. Morton also serves as a member of the Governance Committee. As a member of the Governance Committee, he has participated in the selection and nomination of persons for election or appointment as Trustees, periodic review of the compensation payable to the Trustees, review and evaluation of the functioning of the Board and its committees, oversight of any ongoing litigation affecting the Funds, the Adviser or the non-interested Trustees, oversight of regulatory issues or deficiencies affecting the Funds, oversight of the Funds’ risk management processes and oversight and review of matters with respect to service providers to the Funds. Mr. Morton also serves as a member of the Equity Committee.

Dr. Robert A. Oden Jr. Dr. Oden has served on the J.P. Morgan Funds Board since 2005 and was a member of the heritage One Group Mutual Funds Board since 1997. Until February 2013, Dr. Oden was a member of the Compliance Committee. As a member of the Compliance Committee, he has participated in the oversight of the Funds’ compliance with legal, regulatory and contractual requirements and compliance policies and procedures, as well as the appointment and compensation of the Funds’ Chief Compliance Officer. The members of the Compliance Committee also oversee the investigation and resolution of any significant compliance incidents. Dr. Oden currently serves as a member of the Governance Committee. As a member of the Governance Committee, he has participated in the selection and nomination of persons for election or appointment as Trustees, periodic review of the compensation payable to the Trustees, review and evaluation of the functioning of the Board and its committees, oversight of any ongoing litigation affecting the Funds, the Adviser or the non-interested Trustees, oversight of regulatory issues or deficiencies affecting the Funds, oversight of the Funds’ risk management processes and oversight and review of matters with respect to service providers to the Funds. Dr. Oden also serves as a member of the Fixed Income Committee.

Marian U. Pardo. Ms. Pardo has served on the J.P. Morgan Funds Board since February 2013. In addition to the experience that Ms. Pardo has gained through her service on the J.P. Morgan Funds Board, Ms. Pardo has been in the financial services industry since 1968, with experience in banking, lending, and investment management, and has specific experience with respect to (1) portfolio management, (2) the J.P. Morgan Funds’ investment advisory business, and (3) banking and investment management. She served as a portfolio manager for equity funds across the capitalization spectrum including, prior to 2002, small cap US equity funds advised by JPMIM. Ms. Pardo is also a member of the Compliance Committee. As a member of the Compliance Committee, she has participated in the oversight of the Funds’ compliance with legal, regulatory and contractual requirements and compliance policies and procedures, as well as the appointment and compensation of the Funds’ Chief Compliance Officer. The members of the Compliance Committee also oversee the investigation and resolution of any significant compliance incidents. Ms. Pardo also serves as a member of the Money Market Funds/Alternative Products Committee.

Frederick W. Ruebeck. Mr. Ruebeck has served on the J.P. Morgan Funds Board since 2005 and was a member of the heritage One Group Mutual Funds Board since 1994. Mr. Ruebeck is the Chairman of the Fixed Income Committee. Mr. Ruebeck also serves on the Audit and Valuation Committee. As a member of the Audit and Valuation Committee, Mr. Ruebeck has participated in the appointment of the Funds’ independent accountants, the oversight of the performance of the Funds’ audit, accounting and financial reporting policies, practices and internal controls and valuation policies, assisting the Board in its oversight of the valuation of the Funds’ securities by the Adviser, overseeing the quality and objectivity of the Funds’ independent audit and the financial statements of the Funds, and acting as a liaison between the Funds’ independent registered public accounting firm and the full Board.

James J. Schonbachler. Mr. Schonbachler has served on the J.P. Morgan Funds Board since 2005 and was a member of the heritage J.P. Morgan Funds Board since 2001. Mr. Schonbachler serves as Chairman of the Audit and Valuation Committee. In connection with his duties to the Audit and Valuation Committee, Mr. Schonbachler has participated in the appointment of the Funds’ independent accountants, the oversight of the performance of the Funds’ audit, accounting and financial reporting policies, practices and internal controls and valuation policies, assisting the Board in its oversight of the valuation of the Funds’ securities by the Adviser,

 

9


overseeing the quality and objectivity of the Funds’ independent audit and the financial statements, and acting as a liaison between the Funds’ independent registered public accounting firm and the full Board. Mr. Schonbachler also serves as a member of the Fixed Income Committee.

Additional Information concerning the Trustees

Information about the Trustees, including their year of birth their position(s) with the Trust, term of office, length of time served, principal occupations during the past five years, and other current directorships, is set forth in the table below. Each Trustee has consented to being named in this proxy statement and has agreed to continue to serve on the Board if re-elected; however, should any Trustee become unable or unwilling to accept re-election, the persons named in the proxy will exercise their voting power in favor of such other person or persons as the Board may recommend. There are no family relationships among the Trustees. The address for each of the Trustees is 270 Park Avenue, New York, New York 10017.

A Trustee is deemed to be “independent” to the extent the Trustee is not an “interested person” of the Trusts or the other funds in the J.P. Morgan Funds Complex, as that term is defined in Section 2(a)(19) of the Investment Company Act of 1940, as amended (“1940 Act”) (each, an “Independent Trustee”).

 

Name and

Year of Birth

 

Position(s) with the

Trusts, Term of

Office, and Length

of Time Served

 

Principal

Occupation(s)

During

Past 5 Years

  Number of
Funds in
Fund Complex
Overseen
by Trustee1
 

Other Directorships

Held by Trustee

Independent Trustees

Dr. Matthew Goldstein

(1941)

  Chairman since 2013; Trustee, indefinite since 2005;   Professor, City University of New York (2013-present); Chancellor, City University of New York (1999-2013); President, Adelphi University (New York) (1998-1999).   165   Trustee, Museum of Jewish Heritage (2011-present)

John F. Finn

(1947)

  Trustee, indefinite, since 1998   Chairman (1985-present), President and Chief Executive Officer, Gardner, Inc. (supply chain management company serving industrial and consumer markets) (1975-present).   165   Director, Cardinal Health, Inc. (CAH) (1994-present); Director, Greif, Inc. (GEF) (industrial package products and services) (2007-present); Trustee, Columbus Association for the Performing Arts (1988-present)

Robert J. Higgins

(1945)

  Trustee, indefinite, since 2005   Retired. Director of Administration of the State of Rhode Island (2003-2004); President—Consumer Banking and Investment Services Fleet Boston Financial (1971-2002).   165   None

Peter C. Marshall

(1942)

  Vice Chairman since 2005; Trustee, indefinite, since 1985   Self-employed business consultant (2002-present);   165   None

Mary E. Martinez

(1960)

  Trustee, indefinite, since 2013   Associate, Special Properties, a Christie’s International Real Estate Affiliate (2010-present); Managing Director, Bank of America (Asset Management) (2007-2008); Chief Operating Officer, U.S. Trust Asset Management; U.S. Trust Company (asset management) (2003-2007); President, Excelsior Funds (registered investment companies) (2004-2005)   165   None

 

10


Name and

Year of Birth

 

Position(s) with the

Trusts, Term of

Office, and Length

of Time Served

 

Principal

Occupation(s)

During

Past 5 Years

  Number of
Funds in
Fund Complex
Overseen
by Trustee1
 

Other Directorships

Held by Trustee

Marilyn McCoy

(1948)2

  Trustee, indefinite, since 1999   Vice President of Administration and Planning, Northwestern University (1985-present).   165   Trustee, Carleton College (2003-present).

Mitchell M. Merin

(1953)

  Trustee, indefinite, since 2013   Retired (2005-present); President and Chief Operating Officer, Morgan Stanley Investment Management, Member Morgan Stanley & Co. Management Committee (registered investment adviser) (1985-2005)   165   Director, Sun Life Financial (SLF) (2007-2013) (financial services and insurance); Trustee, Trinity College, Hartford, CT (2002-2010).

William G. Morton, Jr.

(1937)

  Trustee, indefinite, since 2005   Retired; Chairman Emeritus (2001-2002), and Chairman and Chief Executive Officer, Boston Stock Exchange (1985-2001).   165   Director, Radio Shack Corp. (electronics) (1987-2008); Director, National Organization of Investment Professionals (2010-present); Trustee of the Stratton Mountain School (2001-present).

Dr. Robert A. Oden, Jr.

(1946)

  Trustee, indefinite, since 1997   Retired; President, Carleton College (2010-present); President, Kenyon College (1995-2002).   165   Trustee, American University in Cairo (1999-present); Chairman, Dartmouth-Hitchcock Medical Center (2011-present); Trustee, American Schools of Oriental Research (2011-present); Trustee, American Museum of Fly Fishing (2013-present).

Marian U. Pardo3

(1946)

  Trustee, indefinite, since February 1, 2013   Managing Director and Founder, Virtual Capital Management LLC (Investment Consulting) (2007-present); Managing Director, Credit Suisse Asset Management (portfolio manager) (2003-2006)   165   Member, Board of Governors, Columbus Citizens Foundation (not-for-profit supporting philanthropic and cultural programs) (2006–present)

Frederick W. Ruebeck

(1939)

  Trustee, indefinite, since 1994   Consultant (2000-present); Advisor, JP Green & Associates, LLC (broker-dealer) (2000-2009); Chief Investment Officer, Wabash College (2004-present); Director of Investments, Eli Lilly and Company (pharmaceuticals) (1988-1999).   165   Trustee, Wabash College (1988-present); Chairman, Indianapolis Symphony Foundation (1994-present).

James J. Schonbachler

(1943)

  Trustee, indefinite, since 2005   Retired; Managing Director of Bankers Trust Company (financial services) (1968-1998).   165   None

Interested Trustee

Frankie D. Hughes

(1952)4

  Trustee, indefinite, since 2008   Principal and Chief Investment Officer, Hughes Capital Management, Inc. (fixed income asset management) (1993-present)   165   Trustee, The Victory Portfolios (2000-2008) (investment companies)

 

1  A “Fund Complex” means two or more registered investment companies that (i) hold themselves out to investors as related companies for purposes of investment and investor services or (ii) have a common investment adviser or that have an investment adviser that is an affiliated person of the investment adviser of any of the other registered investment companies. The J.P. Morgan Funds Complex for which the Board of Trustees currently serves includes twelve registered investment companies (165 funds).
2  Two members of the Board of Trustees of Northwestern University are executive officers of registered investment advisers (not affiliated with JPMorgan) that are under common control with sub-advisers to certain J.P. Morgan Funds.

 

11


3  In connection with prior employment with JPMorgan Chase & Co., Ms. Pardo was the recipient of non-qualified pension plan payments from JPMorgan Chase & Co. in the amount of approximately $2,055 per month, which she irrevocably waived effective January 1, 2013, and deferred compensation payments from JPMorgan Chase in the amount of approximately $7,294 per year, which ended in January 2013. In addition, Ms. Pardo receives payments from a fully-funded qualified plan, which is not an obligation of JPMorgan Chase.
4  Ms. Hughes may be deemed to be an “interested person” based on the portfolio holdings of clients of Hughes Capital Management, Inc.

Executive Officers

Officers of the Trust are appointed by the Board to oversee the day-to-day activities of each series of the Trust. Information about the executive officers of the Trust, including their principal occupations during the past five years, is set forth in Exhibit B. Each of these officers is also an officer and/or employee of JPMIM or its affiliates.

Share Ownership

As of March 21, 2014, each of the Trustees and executive officers of the Trust beneficially owned individually and, collectively as a group, less than 1% of the outstanding shares of each class of each Fund of the Trust, respectively.

The following table sets forth the aggregate dollar range of equity securities owned by each Trustee of the Funds of the Trust solicited by this Proxy Statement and of all funds in the Family of Investment Companies (defined below) as of December 31, 2013. The information as to beneficial ownership is based on statements furnished by each Trustee.

 

Trustees

   Ownership
of 100%
U.S. Treasury
Securities
Money
Market
Fund
   Ownership
of Access
Balanced
Fund
   Ownership
of Access
Growth
Fund
   Ownership
of Alternative
Strategies
Fund
   Ownership
of Asia
Pacific
Fund

Independent Trustees

        

John F. Finn

   None    None    None    None    None

Dr. Matthew Goldstein

   None    None    None    None    None

Robert J. Higgins

   None    None    None    None    None

Peter C. Marshall

   None    None    None    None    None

Mary E. Martinez

   None    None    None    None    None

Marilyn McCoy

   None    None    None    None    None

Mitchell M. Merin

   None    None    None    None    None

William G. Morton, Jr.

   None    None    None    None    None

Dr. Robert A. Oden, Jr.

   None    Over
$100,000
   None    None    None

Marion U. Pardo

   None    None    None    None    None

Frederick W. Ruebeck

   None    None    Over
$100,000
   None    None

James J. Schonbachler

   None    $10,001-
$50,000
   None    None    None

Interested Trustees

        

Frankie D. Hughes

   None    None    None    None    None

 

12


Trustees

   Ownership
of California
Municipal
Money
Market
Fund
   Ownership
of California
Tax Free
Bond

Fund
   Ownership
of China
Region
Fund
   Ownership
of Commodities
Strategy
Fund
   Ownership
of Corporate
Bond
Fund

Independent Trustees

        

John F. Finn

   None    None    None    None    None

Dr. Matthew Goldstein

   None    None    None    None    None

Robert J. Higgins

   None    None    None    None    None

Peter C. Marshall

   None    None    None    None    None

Mary E. Martinez

   None    None    None    None    None

Marilyn McCoy

   None    None    None    None    None

Mitchell M. Merin

   None    None    None    None    None

William G. Morton, Jr.

   None    None    None    None    None

Dr. Robert A. Oden, Jr.

   None    None    None    None    None

Marion U. Pardo

   None    None    None    None    None

Frederick W. Ruebeck

   None    None    None    None    None

James J. Schonbachler

   None    None    None    None    None

Interested Trustees

        

Frankie D. Hughes

   None    None    None    None    None

 

Trustees

   Ownership
of Current
Income
Fund
   Ownership
of Current
Yield
Money
Market
Fund
   Ownership
of Disciplined
Equity
Fund
   Ownership
of Diversified
Fund
   Ownership
of Dynamic
Growth
Fund

Independent Trustees

        

John F. Finn

   None    None    None    None    None

Dr. Matthew Goldstein

   None    None    None    None    None

Robert J. Higgins

   None    None    None    None    None

Peter C. Marshall

   None    None    None    None    None

Mary E. Martinez

   None    None    None    None    None

Marilyn McCoy

   None    None    None    None    None

Mitchell M. Merin

   None    None    None    None    None

William G. Morton, Jr.

   None    None    None    None    None

Dr. Robert A. Oden, Jr.

   None    None    None    None    None

Marion U. Pardo

   None    None    None    None    None

Frederick W. Ruebeck

   None    None    None    None    None

James J. Schonbachler

   None    None    None    None    None

Interested Trustees

        

Frankie D. Hughes

   None    None    None    None    None

 

13


Trustees

   Ownership
of Dynamic
Small Cap
Growth
Fund
   Ownership
of Emerging
Economies
Fund
   Ownership
of Emerging
Markets Debt
Fund
   Ownership
of Emerging
Market
Equity
Fund
   Ownership
of Emerging
Markets Local
Currency Debt
Fund

Independent Trustees

        

John F. Finn

   None    None    None    None    None

Dr. Matthew Goldstein

   None    None    None    None    None

Robert J. Higgins

   None    None    None    None    None

Peter C. Marshall

   None    None    None    None    None

Mary E. Martinez

   None    None    None    None    None

Marilyn McCoy

   None    None    None    Over
$100,000
   None

Mitchell M. Merin

   None    None    None    None    None

William G. Morton, Jr.

   None    None    None    $50,001-
$100,000
   None

Dr. Robert A. Oden, Jr.

   None    None    None    None    None

Marion U. Pardo

   None    Over
$100,000
   None    None    None

Frederick W. Ruebeck

   None    None    None    None    None

James J. Schonbachler

   None    None    None    None    None

Interested Trustees

Frankie D. Hughes

   None    None    None    None    None

 

Trustees

     Ownership
of Equity
Focus
Fund
     Ownership
of Federal
Money
Market
Fund
     Ownership
of Floating
Rate
Income
Fund
     Ownership
of Global
Allocation
Fund
     Ownership
of Global
Bond
Opportunities
Fund

Independent Trustees

              

John F. Finn

     None      None      None      None      None

Dr. Matthew Goldstein

     None      None      None      None      None

Robert J. Higgins

     None      None      None      None      None

Peter C. Marshall

     None      None      None      None      None

Mary E. Martinez

     None      None      None      None      None

Marilyn McCoy

     None      None      None      None      None

Mitchell M. Merin

     None      None      None      None      None

William G. Morton, Jr.

     None      None      None      None      None

Dr. Robert A. Oden, Jr.

     None      None      None      None      None

Marion U. Pardo

     None      None      Over

$100,000

     None      None

Frederick W. Ruebeck

     None      None      None      None      None

James J. Schonbachler

     None      None      $50,001-
$100,000
     None      None

Interested Trustees

              

Frankie D. Hughes

     None      None      None      None      None

 

14


Trustees

     Ownership
of Global
Equity
Income
Fund
     Ownership
of Global

Natural
Resources
Fund
     Ownership
of Global
Research
Enhanced
Index
Fund
     Ownership
of Growth
Advantage
Fund
     Ownership
of Growth
and
Income
Fund

Independent Trustees

              

John F. Finn

     None      None      None      None      Over

$100,000

Dr. Matthew Goldstein

     None      None      None      None      None

Robert J. Higgins

     None      None      None      Over

$100,000

     None

Peter C. Marshall

     None      None      None      None      None

Mary E. Martinez

     None      None      None      None      None

Marilyn McCoy

     None      None      None      None      None

Mitchell M. Merin

     None      None      None      None      None

William G. Morton, Jr.

     None      None      None      None      None

Dr. Robert A. Oden, Jr.

     None      None      None      None      None

Marion U. Pardo

     None      None      None      None      None

Frederick W. Ruebeck

     None      None      None      None      None

James J. Schonbachler

     None      None      None      None      None

Interested Trustees

              

Frankie D. Hughes

     None      None      None      None      None

 

Trustees

   Ownership
of Income
Builder
Fund
   Ownership
of Inflation
Managed
Bond
Fund
   Ownership of
Intermediate
Tax Free
Bond
Fund
   Ownership of
International
Currency
Income
Fund
   Ownership of
International
Equity
Fund

Independent Trustees

        

John F. Finn

   None    None    None    None    None

Dr. Matthew Goldstein

   $50,001-
$100,000
   None    None    None    None

Robert J. Higgins

   None    None    None    None    None

Peter C. Marshall

   $50,001-
$100,000
   None    None    None    None

Mary E. Martinez

   None    None    None    None    None

Marilyn McCoy

   None    None    None    None    None

Mitchell M. Merin

   None    None    None    None    None

William G. Morton, Jr.

   None    None    None    None    None

Dr. Robert A. Oden, Jr.

   None    None    None    None    None

Marion U. Pardo

   None    None    None    None    None

Frederick W. Ruebeck

   None    None    None    None    None

James J. Schonbachler

   None    None    $50,001-
$100,000
   None    None

Interested Trustees

Frankie D. Hughes

   None    None    None    None    None

 

15


Trustees

   Ownership of
International
Opportunities
Fund
   Ownership of
International
Realty
Fund
   Ownership of
International
Unconstrained
Equity
Fund
   Ownership of
International
Value
Fund
   Ownership of
International
Value SMA
Fund

Independent Trustees

        

John F. Finn

   None    None    None    None    None

Dr. Matthew Goldstein

   None    None    None    None    None

Robert J. Higgins

   Over
$100,000
   None    None    Over
$100,000
   None

Peter C. Marshall

   None    None    None    None    None

Mary E. Martinez

   None    None    None    None    None

Marilyn McCoy

   None    None    None    None    None

Mitchell M. Merin

   None    None    None    None    None

William G. Morton, Jr.

   None    None    None    None    None

Dr. Robert A. Oden, Jr.

   None    None    None    None    None

Marion U. Pardo

   None    None    None    Over
$100,000
   None

Frederick W. Ruebeck

   None    None    None    None    None

James J. Schonbachler

   None    None    None    None    None

Interested Trustees

              

Frankie D. Hughes

   None    None    None    None    None

 

Trustees

   Ownership
of Intrepid
Advantage
Fund
   Ownership
of Intrepid
America
Fund
   Ownership
of Intrepid
European
Fund
   Ownership
of Intrepid
Growth
Fund
   Ownership
of Intrepid
International
Fund

Independent Trustees

John F. Finn

   None    None    None    None    None

Dr. Matthew Goldstein

   None    None    None    $50,001-
$100,000
   None

Robert J. Higgins

   None    None    None    None    None

Peter C. Marshall

   None    None    None    None    None

Mary E. Martinez

   None    None    None    None    None

Marilyn McCoy

   None    Over
$100,000
   None    None    None

Mitchell M. Merin

   None    None    None    None    None

William G. Morton, Jr.

   None    None    None    None    None

Dr. Robert A. Oden, Jr.

   None    None    None    None    None

Marion U. Pardo

   None    None    None    None    None

Frederick W. Ruebeck

   None    None    None    None    None

James J. Schonbachler

   None    None    None    None    None

Interested Trustees

Frankie D. Hughes

   None    None    None    None    None

 

16


Trustees

   Ownership
of Intrepid
Value
Fund
   Ownership
of Latin
America
Fund
   Ownership
of Managed
Income
Fund
   Ownership
of Market
Neutral
Fund
   Ownership
of Mid Cap
Equity
Fund

Independent Trustees

John F. Finn

   None    None    None    None    Over
$100,000

Dr. Matthew Goldstein

   None    None    None    None    None

Robert J. Higgins

   None    None    None    None    None

Peter C. Marshall

   None    None    None    None    None

Mary E. Martinez

   None    None    None    None    None

Marilyn McCoy

   None    None    None    None    None

Mitchell M. Merin

   None    None    None    None    None

William G. Morton, Jr.

   None    None    None    None    None

Dr. Robert A. Oden, Jr.

   None    None    None    None    None

Marion U. Pardo

   None    None    None    None    None

Frederick W. Ruebeck

   None    None    None    None    None

James J. Schonbachler

   None    None    None    None    None

Interested Trustees

Frankie D. Hughes

   None    None    None    None    None

 

Trustees

   Ownership
of Mid Cap
Value
Fund
   Ownership
of Multi-
Sector
Income
Fund
   Ownership
of New York
Municipal
Money
Market
Fund
   Ownership
of New York
Tax Free
Fund
   Ownership
of Prime
Money
Market
Fund

Independent Trustees

John F. Finn

   Over
$100,000
   None    None    None    None

Dr. Matthew Goldstein

   $10,001-
$50,000
   None    None    None    None

Robert J. Higgins

   Over
$100,000
   None    None    None    None

Peter C. Marshall

   None    None    None    None    None

Mary E. Martinez

   None    None    None    None    None

Marilyn McCoy

   None    None    None    None    None

Mitchell M. Merin

   None    None    None    None    None

William G. Morton, Jr.

   None    None    None    None    None

Dr. Robert A. Oden, Jr.

   None    None    None    None    None

Marion U. Pardo

   None    None    None    None    None

Frederick W. Ruebeck

   None    None    None    None    None

James J. Schonbachler

   None    None    None    None    $1-$10,000

Interested Trustees

Frankie D. Hughes

   None    None    None    None    Over
$100,000

 

17


Trustees

   Ownership
of Real
Return
Fund
   Ownership
of Realty
Income
Fund
   Ownership
of Research
Equity
Long/Short
Fund
   Ownership
of Research
Market
Neutral
Fund
   Ownership
of Short
Duration
High Yield
Fund

Independent Trustees

John F. Finn

   None    None    None    None    None

Dr. Matthew Goldstein

   None    None    None    None    None

Robert J. Higgins

   None    None    None    None    None

Peter C. Marshall

   None    None    None    None    None

Mary E. Martinez

   None    None    None    None    None

Marilyn McCoy

   None    None    None    None    None

Mitchell M. Merin

   None    None    None    None    None

William G. Morton, Jr.

   None    None    None    None    None

Dr. Robert A. Oden, Jr.

   None    None    None    None    None

Marion U. Pardo

   None    None    None    None    None

Frederick W. Ruebeck

   None    None    None    None    None

James J. Schonbachler

   None    None    None    None    None

Interested Trustees

Frankie D. Hughes

   None    None    None    None    None

 

Trustees

   Ownership
of Small
Cap Core
Fund
   Ownership
of Small
Cap Equity
Fund
   Ownership
of Smart
Allocation
Equity
Fund
   Ownership
of Smart
Allocation
Income
Fund
   Ownership
of Smart
Retirement
Income
Fund

Independent Trustees

John F. Finn

   None    None    None    None    None

Dr. Matthew Goldstein

   None    $50,001-

$100,000

   None    None    None

Robert J. Higgins

   None    None    None    None    None

Peter C. Marshall

   None    None    None    None    None

Mary E. Martinez

   None    None    None    None    None

Marilyn McCoy

   None    None    None    None    None

Mitchell M. Merin

   None    None    None    None    None

William G. Morton, Jr.

   None    None    None    None    None

Dr. Robert A. Oden, Jr.

   None    None    None    None    None

Marion U. Pardo

   None    None    None    None    None

Frederick W. Ruebeck

   None    None    None    None    None

James J. Schonbachler

   None    None    None    None    None

Interested Trustees

Frankie D. Hughes

   None    None    None    None    None

 

18


Trustees

   Ownership
of Smart
Retirement
2010
Fund
   Ownership
of Smart
Retirement
2015
Fund
   Ownership
of Smart
Retirement
2020
Fund
   Ownership
of Smart
Retirement
2025
Fund
   Ownership
of Smart
Retirement
2030
Fund

Independent Trustees

John F. Finn

   None    None    None    None    None

Dr. Matthew Goldstein

   None    None    None    None    None

Robert J. Higgins

   None    None    None    None    None

Peter C. Marshall

   None    None    None    None    None

Mary E. Martinez

   None    None    None    None    None

Marilyn McCoy

   None    None    None    None    None

Mitchell M. Merin

   None    None    None    None    None

William G. Morton, Jr.

   None    None    None    None    None

Dr. Robert A. Oden, Jr.

   None    None    None    None    None

Marion U. Pardo

   None    None    None    None    None

Frederick W. Ruebeck

   None    None    None    None    None

James J. Schonbachler

   None    None    None    None    None

Interested Trustees

Frankie D. Hughes

   None    None    None    None    None

 

Trustees

   Ownership
of Smart
Retirement
2035
Fund
   Ownership
of Smart
Retirement
2040
Fund
   Ownership
of Smart
Retirement
2045
Fund
   Ownership
of Smart
Retirement
2050
Fund
   Ownership
of Smart
Retirement
2055
Fund

Independent Trustees

John F. Finn

   None    None    None    None    None

Dr. Matthew Goldstein

   None    None    None    None    None

Robert J. Higgins

   None    None    None    None    None

Peter C. Marshall

   None    None    None    None    None

Mary E. Martinez

   None    None    None    None    None

Marilyn McCoy

   None    None    None    None    None

Mitchell M. Merin

   None    None    None    None    None

William G. Morton, Jr.

   None    None    None    None    None

Dr. Robert A. Oden, Jr.

   None    None    None    None    None

Marion U. Pardo

   None    None    None    None    None

Frederick W. Ruebeck

   None    None    None    None    None

James J. Schonbachler

   None    None    None    None    None

Interested Trustees

Frankie D. Hughes

   None    None    None    None    None

 

19


Trustees

   Ownership
of Smart
Retirement
Blend Income
Fund
   Ownership
of Smart
Retirement
Blend 2015
Fund
   Ownership
of Smart
Retirement
Blend 2020
Fund
   Ownership
of Smart
Retirement
Blend 2025
Fund
   Ownership
of Smart
Retirement
Blend 2030
Fund

Independent Trustees

John F. Finn

   None    None    None    None    None

Dr. Matthew Goldstein

   None    None    None    None    None

Robert J. Higgins

   None    None    None    None    None

Peter C. Marshall

   None    None    None    None    None

Mary E. Martinez

   None    None    None    None    None

Marilyn McCoy

   None    None    None    None    None

Mitchell M. Merin

   None    None    None    None    None

William G. Morton, Jr.

   None    None    None    None    None

Dr. Robert A. Oden, Jr.

   None    None    None    None    None

Marion U. Pardo

   None    None    None    None    None

Frederick W. Ruebeck

   None    None    None    None    None

James J. Schonbachler

   None    None    None    None    None

Interested Trustees

Frankie D. Hughes

   None    None    None    None    None

 

Trustees

   Ownership
of Smart
Retirement
Blend 2035
Fund
   Ownership
of Smart
Retirement
Blend 2040
Fund
   Ownership
of Smart
Retirement
Blend 2045
Fund
   Ownership
of Smart
Retirement
Blend 2050
Fund
   Ownership
of Smart
Retirement
Blend 2055
Fund

Independent Trustees

John F. Finn

   None    None    None    None    None

Dr. Matthew Goldstein

   None    None    None    None    None

Robert J. Higgins

   None    None    None    None    None

Peter C. Marshall

   None    None    None    None    None

Mary E. Martinez

   None    None    None    None    None

Marilyn McCoy

   None    None    None    None    None

Mitchell M. Merin

   None    None    None    None    None

William G. Morton, Jr.

   None    None    None    None    None

Dr. Robert A. Oden, Jr.

   None    None    None    None    None

Marion U. Pardo

   None    None    None    None    None

Frederick W. Ruebeck

   None    None    None    None    None

James J. Schonbachler

   None    None    None    None    None

Interested Trustees

              

Frankie D. Hughes

   None    None    None    None    None

 

20


Trustees

   Ownership
of Strategic
Income
Opportunities
Fund
   Ownership
of Strategic
Preservation
Fund
   Ownership
of Tax Aware
Equity
Fund
   Ownership
of Tax Aware
High Income
Fund
   Ownership
of Tax Aware
Income
Opportunities
Fund

Independent Trustees

John F. Finn

   Over
$100,000
   None    None    None    None

Dr. Matthew Goldstein

   $10,001-
$50,000
   None    None    None    None

Robert J. Higgins

   None    None    None    None    None

Peter C. Marshall

   $50,001-
$100,000
   None    None    None    None

Mary E. Martinez

   None    None    None    None    None

Marilyn McCoy

   None    None    None    None    None

Mitchell M. Merin

   None    None    None    None    None

William G. Morton, Jr.

   $50,001-
$100,000
   None    None    None    None

Dr. Robert A. Oden, Jr.

   None    None    None    None    None

Marion U. Pardo

   None    None    None    None    None

Frederick W. Ruebeck

   None    None    None    None    None

James J. Schonbachler

   Over
$100,000
   None    None    None    None

Interested Trustees

Frankie D. Hughes

   None    None    None    None    None

 

Trustees

   Ownership
of Tax Aware
Real Return
Fund
   Ownership
of Tax Aware
Real Return
SMA Fund
   Ownership
of Tax Free
Money
Market
Fund
   Ownership
of Total
Emerging
Markets
Fund
   Ownership
of Total
Return
Fund

Independent Trustees

John F. Finn

   None    None    None    None    None

Dr. Matthew Goldstein

   None    None    None    None    None

Robert J. Higgins

   None    None    None    None    None

Peter C. Marshall

   None    None    None    None    None

Mary E. Martinez

   None    None    $50,001-
$100,000
   None    None

Marilyn McCoy

   None    None    None    None    None

Mitchell M. Merin

   None    None    None    None    None

William G. Morton, Jr.

   None    None    None    None    None

Dr. Robert A. Oden, Jr.

   None    None    None    None    None

Marion U. Pardo

   None    None    None    None    None

Frederick W. Ruebeck

   None    None    None    None    None

James J. Schonbachler

   None    None    None    None    None

Interested Trustees

Frankie D. Hughes

   None    None    None    None    None

 

21


Trustees

   Ownership
of U.S.
Dynamic
Plus
Fund
   Ownership
of U.S.
Equity
Fund
   Ownership
of U.S.
Large
Cap Core
Plus
Fund
   Ownership
of U.S.
Research
Equity
Plus
Fund
   Ownership
of U.S.
Small
Company
Fund

Independent Trustees

John F. Finn

   None    None    $50,001-
$100,000
   None    None

Dr. Matthew Goldstein

   None    $50,001-
$100,000
   $10,001-
$50,000
   None    None

Robert J. Higgins

   None    Over
$100,000
   Over
$100,000
   None    None

Peter C. Marshall

   None    None    None    None    None

Mary E. Martinez

   None    None    None    None    None

Marilyn McCoy

   None    None    None    None    None

Mitchell M. Merin

   None    None    None    None    None

William G. Morton, Jr.

   None    Over
$100,000
   Over
$100,000
   None    None

Dr. Robert A. Oden, Jr.

   None    None    None    None    None

Marion U. Pardo

   None    None    None    None    None

Frederick W. Ruebeck

   None    None    None    None    None

James J. Schonbachler

   None    None    None    None    None

Interested Trustees

Frankie D. Hughes

   None    None    None    None    None

 

Trustees

   Ownership
of Value
Advantage
Fund
   Ownership
of Securities
Capital
U.S. Core
Real Estate
Securities
Fund
   Ownership
of UM
Behavioral
Value
Fund
   Aggregate Dollar Range of
Equity Securities in
All Registered Investment
Companies Overseen by
Trustee in Family of
Investments Companies*(1)(2)

Independent Trustees

John F. Finn

   None    None    None    Over $100,000

Dr. Matthew Goldstein

   None    None    None    Over $100,000

Robert J. Higgins

   Over
$100,000
   None    None    Over $100,000

Peter C. Marshall

   $50,001-
$100,000
   None    None    Over $100,000

Mary E. Martinez

   None    None    None    Over $100,000

Marilyn McCoy

   None    None    None    Over $100,000

Mitchell M. Merin

   None    None    None    Over $100,000

William G. Morton, Jr.

   None    None    None    Over $100,000

Dr. Robert A. Oden, Jr.

   None    None    None    Over $100,000

Marion U. Pardo

   None    None    None    Over $100,000

Frederick W. Ruebeck

   None    None    None    Over $100,000

James J. Schonbachler

   None    None    None    Over $100,000

Interested Trustees

Frankie D. Hughes

   None    None    None    Over $100,000

 

22


 

* Securities valued as of December 31, 2013.
(1) “Family of Investment Companies” means any two or more registered investment companies that share the same investment adviser or principal underwriter and hold themselves out to investors as related companies for purposes of investment and investor services. The Family of Investment Companies for the Board of Trustees currently serves includes twelve registered investment companies (165 funds), including J.P. Morgan Mutual Fund Group (JPMMFG) which liquidated effective November 29, 2012 and is in the process of winding up its affairs.
(2) For Ms. McCoy and Messrs. Finn, Higgins, Marshall, Oden, Ruebeck and Schonbachler, these amounts include deferred compensation balances, as of December 31, 2013, through participation in the J.P. Morgan Funds’ Deferred Compensation Plan for Eligible Trustees. For a more complete discussion, see “Compensation” below.

It is expected that the Board will meet at least quarterly at regularly scheduled meetings. During the year ended December 31, 2013, the Board met 11 times. Mr. Higgins attended 6 of the meetings. The remainder of the Trustees attended at least 75% of the meetings held while they were Trustees of the Trusts. The Trusts are not required to hold annual meetings and, therefore, the Board does not have a policy with regard to Trustee attendance at such meetings.

If elected, each Trustee will serve an indefinite term, subject to each Trust’s current retirement policy, which is age 75 for all Trustees except that the Board has determined Mr. Morton should, if elected, continue to serve until December 31, 2014.

Compensation

The Funds of the J.P. Morgan Funds Complex overseen by the Trustees pay each Trustee an annual fee of $315,000 and reimburse each Trustee for expenses incurred in connection with service as a Trustee. In addition, the Funds pay the Chairman $225,000 and the Vice Chairman $75,000. The Chairman and Vice Chairman receive no additional compensation for service as committee or sub-committee chairmen. Committee chairs and sub-committee chairs who are not already receiving an additional fee are each paid $50,000. Beginning January 1, 2014, the head of the Strategic Planning Working Group also receives an additional annual fee of $50,000 for his services. The Trustees may hold various other directorships unrelated to the J.P. Morgan Funds Complex. The Compensation Table below sets forth the total compensation paid to the current Trustees from the Funds Complex for the calendar year ended December 31, 2013:

 

Name of Person, Position

  Aggregate
Compen
sation
From
JPMorgan
Trust I
  Aggregate
Compensation
From
J.P. Morgan
Fleming
Mutual Fund
Group, Inc.
    Aggregate
Compensation
From
J.P. Morgan
Mutual Fund
Investment
Trust
    Aggregate
Compensation
From
Undiscovered
Managers
Funds
 

Dr. Matthew Goldstein,
Trustee and Chairman

  $298,334   $ 13,938      $ 2,125      $ 1,339   

John F. Finn, Trustee

  $174,028   $ 8,130      $ 1,239      $ 781   

Robert J. Higgins, Trustee

  $201,675   $ 9,422      $ 1,436      $ 905   

Frankie D. Hughes

  $174,028   $ 8,130      $ 1,239      $ 781   

Peter C. Marshall, Trustee

  $215,463   $ 10,066      $ 1,534      $ 967   

Mary E. Martinez, Trustee

  $174,028   $ 8,130      $ 1,239      $ 781   

Marilyn McCoy, Trustee

  $201,675   $ 9,422      $ 1,436      $ 905   

Mitchell M. Merin, Trustee

  $198,618   $ 9,331      $ 1,421      $ 897   

William G. Morton, Jr., Trustee

  $174,028   $ 8,130      $ 1,239      $ 781   

Dr. Robert A. Oden, Jr., Trustee

  $174,028   $ 8,130      $ 1,239      $ 781   

Marian U. Pardo, Trustee(2)

  $166,627   $ 7,863      $ 1,195      $ 756   

Frederick W. Ruebeck, Trustee

  $201,652   $ 9,421      $ 1,436      $ 905   

James J. Schonbachler, Trustee

  $201,652   $ 9,421      $ 1,436      $ 905   

 

23


Name of Person, Position

   Pension or
Retirement
Benefits
Accruedas
Part of
Fund
Expenses
     Estimated
Annual
Benefits
Upon
Retirement
     Total
Compensation
From the
Fund
Complex(1)
 

Dr. Matthew Goldstein,
Trustee and Chairman

     N/A         N/A       $ 540,000   

John F. Finn, Trustee

     N/A         N/A       $ 315,000 (3) 

Robert J. Higgins, Trustee

     N/A         N/A       $ 365,000 (4) 

Frankie D. Hughes

     N/A         N/A       $ 315,000   

Peter C. Marshall, Trustee

     N/A         N/A       $ 390,000 (5) 

Mary E. Martinez, Trustee

     N/A         N/A       $ 315,000   

Marilyn McCoy, Trustee

     N/A         N/A       $ 365,000   

Mitchell M. Merin, Trustee

     N/A         N/A       $ 359,941   

William G. Morton, Jr., Trustee

     N/A         N/A       $ 315,000   

Dr. Robert A. Oden, Jr., Trustee

     N/A         N/A       $ 315,000 (6) 

Marian U. Pardo, Trustee(2)

     N/A         N/A       $ 301,875   

Frederick W. Ruebeck, Trustee

     N/A         N/A       $ 365,000 (7) 

James J. Schonbachler, Trustee

     N/A         N/A       $ 365,000 (8) 

 

(1) A Fund Complex means two or more registered investment companies that (i) hold themselves out to investors as related companies for purposes of investment and investor services or (ii) have a common investment adviser or have an investment adviser that is an affiliated person of the investment adviser of any of the other registered investment companies. The J.P. Morgan Funds Complex for which the Board of Trustees currently serves includes twelve registered investment companies (165 funds), including JPMMFG which liquidated effective November 29, 2012 and is in the process of winding up its affairs.
(2) Ms. Pardo became a member of the Board of Trustees effective February 1, 2013. Compensation includes amounts paid prior to becoming a trustee for attendance at a Board meeting and service as a trustee nominee.
(3) Includes $315,000 of Deferred Compensation.
(4) Includes $365,000 of Deferred Compensation.
(5) Includes $390,000 of Deferred Compensation.
(6) Includes $31,500 of Deferred Compensation.
(7) Includes $182,500 of Deferred Compensation.
(8) Includes $146,000 of Deferred Compensation.

Standing Committees

The Board of Trustees has six standing committees: the Audit and Valuation Committee, the Compliance Committee, the Governance Committee, the Equity Committee, the Fixed Income Committee, and the Money Market and Alternative Products Committee. The members of each Committee are set forth below:

 

Name of Committee

  

Members

  

Committee Chair

Audit and Valuation Committee   

Mr. Schonbachler

Ms. Martinez

Mr. Merin

Mr. Ruebeck

   Mr. Schonbachler
Compliance Committee   

Ms. McCoy

Mr. Higgins

Ms. Hughes

Ms. Pardo

   Ms. McCoy
Governance Committee   

Dr. Goldstein

Mr. Finn

Mr. Marshall

Mr. Morton

Dr. Oden

   Dr. Goldstein

 

24


Name of Committee

  

Members

  

Committee Chair

Equity Committee(1)   

Mr. Higgins

Mr. Finn

Ms. McCoy

Mr. Morton

   Mr. Higgins
Fixed Income Committee(1)   

Mr. Ruebeck

Ms. Martinez

Dr. Oden

Mr. Schonbachler

   Mr. Ruebeck
Money Market and Alternative Products Committee1   

Mr. Merin

Ms. Hughes

Mr. Marshall

Ms. Pardo

   Mr. Merin

 

(1) Prior to August 22, 2013, the Equity Committee, the Fixed Income Committee and the Money Market and Alternative Products Committee were sub-committees of the Investments Committee.

Audit and Valuation Committee. The Board has an audit committee composed entirely of trustees who are not “interested persons” of the Trust, the Trust’s investment adviser or its affiliates as that term is defined in the 1940 Act (the “Audit Committee”). The Audit Committee operates pursuant to a written charter, which was most recently amended in June 2013 and reviewed at the regular board meeting in November 2013. The purposes of the Audit and Valuation Committee are to: (i) appoint and determine compensation of the Funds’ independent accountants; (ii) evaluate the independence of the Funds’ independent accountants; (iii) oversee the performance of the Funds’ audit, accounting and financial reporting policies, practices and internal controls and valuation policies; (iv) approve non-audit services, as required by the statutes and regulations administered by the Securities and Exchange Commission (“SEC”), including the 1940 Act and the Sarbanes-Oxley Act of 2002; (v) assist the Board in its oversight of the valuation of the Funds’ securities by the Adviser, as well as any sub-adviser; (vi) oversee the quality and objectivity of the Funds’ independent audit and the financial statements of the Funds; and (vii) act as a liaison between the Funds’ independent registered public accounting firm and the full Board. The Audit Committee has delegated valuation responsibilities to any member of the Committee to respond to inquiries on valuation matters and participate in fair valuation determinations when the Funds’ valuation procedures require Board action, but it is impracticable or impossible to hold a meeting of the entire Board. Prior to November 18, 2009, the Board delegated these valuation responsibilities to a Valuation Subcommittee of the Audit Committee.

Compliance Committee. The Compliance Committee operates pursuant to a written charter, which was most recently amended in February 2012 and reviewed at the regular board meeting in November 2013. The primary purposes of the Compliance Committee are to (i) oversee the Funds’ compliance with legal and regulatory and contractual requirements and the Funds’ compliance policies and procedures; and (ii) consider the appointment, compensation and removal of the Funds’ Chief Compliance Officer.

Governance Committee. The members of the Governance Committee are each Independent Trustees of the J.P. Morgan Funds. The Governance Committee operates pursuant to a written charter, which was most recently amended in February 2012 and reviewed at the regular board meeting in November 2013. A copy of the Governance Committee Charter is attached as Exhibit A. The duties of the Governance Committee include, but are not limited to, (i) selection and nomination of persons for election or appointment as Trustees; (ii) periodic review of the compensation payable to the non-interested Trustees; (iii) establishment of non-interested Trustee expense policies; (iv) periodic review and evaluation of the functioning of the Board and its committees; (v) with respect to the Funds of JPMorgan Trust II, appointment and removal of the Funds’ Senior Officer, and approval of compensation for the Funds’ Senior Officer and retention and compensation of the Senior Officer’s staff and consultants; (vi) selection of independent legal counsel to the non-interested Trustees and legal counsel to the Funds; (vii) oversight of ongoing litigation affecting the Funds, the Adviser or the non-interested Trustees; (viii) oversight of regulatory issues or deficiencies affecting the Funds (except financial matters considered by the Audit Committee); (ix) oversight of the risk management processes for Funds; and (x) oversight and review of matters with respect to service providers to the Funds (except the Funds’ independent registered public accounting

 

25


firm). When evaluating a person as a potential nominee to serve as an Independent Trustee, the Governance Committee may consider, among other factors, (i) whether or not the person is “independent” and whether the person is otherwise qualified under applicable laws and regulations to serve as a Trustee; (ii) whether or not the person is willing to serve, and willing and able to commit the time necessary for the performance of the duties of an Independent Trustee; (iii) the contribution that the person can make to the Board and the J.P. Morgan Funds, with consideration being given to the person’s business experience, education and such other factors as the Committee may consider relevant; (iv) the character and integrity of the person; (v) the desirable personality traits, including independence, leadership and the ability to work with the other members of the Board; and (vi) to the extent consistent with the 1940 Act, such recommendations from management as are deemed appropriate. The process of identifying nominees involves the consideration of candidates recommended by one or more of the following: current Independent Trustees, officers, shareholders and other sources that the Governance Committee deems appropriate. The Governance Committee will review nominees recommended to the Board by shareholders and will evaluate such nominees in the same manner as it evaluates nominees identified by the Governance Committee. Nominee recommendations may be submitted to the Secretary of the Trusts at each Trust’s principal business address.

Equity Committee, Fixed Income Committee and Money Market and Alternative Products Committee. Each member of the Board, other than Dr. Goldstein serves on one of the following committees: the Equity Committee, the Fixed Income Committee and Money Market and Alternative Products Committee. These three Committees are divided by asset type and different members of the Board serve on each committee with respect to each asset type. Each Committee operates pursuant to a written charter, which was most recently amended in August 2013 and reviewed at the regular board meeting in November 2013. The function of the Committees is to assist the Board in the oversight of the investment management services provided by the Adviser to the Funds, as well as any sub-adviser to the Funds. The primary purpose of each Committee is to (i) assist the Board in its oversight of the investment management services provided by the Adviser to the Funds designated for review by each Committee; and (ii) review and make recommendations to the Board concerning the approval of proposed new or continued advisory and distribution arrangements for the Funds or for new funds. The full Board may delegate to the applicable Committee from time to time the authority to make Board level decisions on an interim basis when it is impractical to convene a meeting of the full Board. Each of the Committees receives reports concerning investment management topics, concerns or exceptions with respect to particular Funds that the Committee is assigned to oversee, and work to facilitate the understanding by the Board of particular issues related to investment management of Funds reviewed by the applicable Committee.

The Audit Committee met five times during the calendar year ending 2013 and all members were in attendance for each of the meetings. The Compliance Committee met four times during 2013 and all members were in attendance for each of the meetings except Mr. Higgins who was in attendance for two of the meetings. The Governance Committee met four times during 2013 and all members were in attendance for each of the meetings. The Money Market and Alternatives Products Committee (formerly Money Market and Alternative Products Investments Subcommittee) and Fixed Income Committee (formerly Fixed Income Investments Subcommittee) each met six times and all members were in attendance for at least 75% of the meetings. The Equity Committee (formerly the Equity Investments Subcommittee) met six times during 2013 with all members in attendance for at least 75% of the meetings except Mr. Higgins attended four meetings.

Shareholder Approval: Proposal 1, the election of the Trustees, must be approved by the vote of a majority of the outstanding shares votes of the Trust cast in person or by proxy at the Meeting at which a quorum exists. The votes of all Funds will be counted together with respect to the election of the Trustees.

THE BOARD OF TRUSTEES RECOMMENDS THAT THE SHAREHOLDERS OF THE FUNDS VOTE “FOR” THE ELECTION OF EACH OF THE CURRENT TRUSTEES TO THE BOARD OF TRUSTEES

 

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PROPOSAL 2

Affected Fund: JPMorgan Asia Pacific Fund

AMENDING THE FUND’S FUNDAMENTAL INVESTMENT POLICY ON INDUSTRY CONCENTRATION TO ALLOW THE FUND TO INVEST UP TO 35% OF ITS TOTAL ASSETS IN AN INDUSTRY AT ANY TIME THAT INDUSTRY REPRESENTS 20% OR MORE OF THE FUND’S BENCHMARK

What are shareholders being asked to approve in the Proposal?

Shareholders are being asked to approve a change to the JPMorgan Asia Pacific Fund’s (“Asia Pacific Fund”) fundamental policy relating to industry concentration. The current policy and the proposed new policy are set forth below:

 

Current Fundamental Policy

  Proposed Fundamental Policy
The Fund may not purchase any security which would cause the Fund to concentrate its investments in the securities of issuers primarily engaged in any particular industry or group of industries. This restriction does not apply to investments in securities issued or guaranteed by the U.S. government or any of its agencies or instrumentalities, or repurchase agreements secured thereby, and futures and options transactions issued or guaranteed by the U.S. government or any of its agencies or instrumentalities.   The Fund will not invest more than 25% of the value of its total assets in the securities of companies conducting their principal business activities in the same industry, except that, to the extent that an industry represents 20% or more of the Fund’s benchmark at the time of investment, the Fund may invest up to 35% of its total assets in that industry.

Why are shareholders being asked to approve a change to the Fund’s fundamental policy on industry concentration?

The Investment Company Act of 1940 (the “1940 Act”) requires mutual funds, such as the Asia Pacific Fund, to have “fundamental” policies governing certain of their investment practices. An investment policy is “fundamental” if it cannot be changed or deviated from without shareholder approval. One such policy relates to a fund’s ability to “concentrate” its investments in a particular industry or group of industries. The 1940 Act does not define what constitutes “concentration” in an industry. However, the SEC and its staff have taken the position that a fund is concentrated in a particular industry or group of industries if the fund invests or proposes to invest more than 25% of its assets in a particular industry or group of industries.

Currently, the Asia Pacific Fund may not invest 25% or more of its total assets in the securities of one or more issuers primarily engaged in the same industry (excluding investments in securities issued or guaranteed by the U.S. government or any of its agencies or instrumentalities, or repurchase agreements secured thereby, and futures and options transactions issued or guaranteed by the U.S. government or any of its agencies or instrumentalities). The Board, subject to shareholder approval, has approved an amendment to the Asia Pacific Fund’s concentration policy to permit (but not require) the Asia Pacific Fund to invest up to 35% of its total assets in the securities of issuers conducting their principal business activities in the same industry if, at the time of investment, that industry represents 20% or more of the Asia Pacific Fund’s benchmark index, currently the Morgan Stanley Capital International All Country Asia Pacific ex-Japan Index (net of foreign withholding taxes).

The proposed amendment to the Asia Pacific Fund’s concentration policy would provide the Asia Pacific Fund with greater flexibility to take advantage of investment opportunities in the Asia Pacific region.

The goal of the Asia Pacific Fund is to seek to provide long-term capital growth. The Asia Pacific Fund seeks to achieve its goal by, under normal circumstances, investing at least 80% of its assets in securities of foreign companies located throughout the Asia Pacific region, except Japan.

 

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If shareholders approve the proposed amendment to the Asia Pacific Fund’s concentration policy, in order for the Asia Pacific Fund to concentrate in an industry, that industry must, at the time of investment, represent 20% or more of the Asia Pacific Fund’s benchmark index. Moreover, under such circumstances, the Asia Pacific Fund would only be permitted to invest up to 35% of its total assets in that industry. The proposed concentration policy is a means of providing flexibility within clearly defined, objective limits. The proposed concentration policy would not limit the types of industries in which the Asia Pacific Fund would be able to concentrate if such industry represents 20% or more of the Asia Pacific Fund’s benchmark index. The proposed amendment to the Asia Pacific Fund’s concentration policy would provide the Asia Pacific Fund with greater flexibility to take advantage of investment opportunities in the Asia Pacific region, subject to the objective limits set forth above which tie such concentration to representation of an industry or industries in the Asia Pacific Fund’s benchmark index.

The added flexibility that this concentration policy would allow is of particular importance considering that the securities markets in many of the countries in the Asia Pacific region may be dominated by a particular industry or group of industries, and, as a result, such industries may represent a higher percentage of the Fund’s investable universe. While it should be recognized that concentration in one or more industries can expose the Asia Pacific Fund to greater risk should those industries underperform, JPMIM and JF International Management Inc. (“JFIMI”), the Asia Pacific Fund’s investment adviser and sub-adviser, respectively, are of the view that it is important to have the flexibility to concentrate in those industries that represent a large portion of the Asia Pacific Fund’s benchmark index. The proposed concentration policy was approved unanimously by the Board of the Asia Pacific Fund, with adoption and implementation of the new policy conditioned upon shareholder approval.

If, during a period in which the Asia Pacific Fund is investing more than 25% of its total assets in an industry, such industry ceases to represent 20% or more of the Asia Pacific Fund’s benchmark index, the Asia Pacific Fund will not make additional investments in such industry. However, the Asia Pacific Fund would not be required to reduce its investment exposure to that industry.

If 25% or more of the Asia Pacific Fund’s total assets are invested in a particular industry, the Asia Pacific Fund will be subject to greater risk of loss as a result of adverse economic, business or other developments in that particular industry than if the Asia Pacific Fund’s investments were more broadly held across industries. In addition, the Asia Pacific Fund’s performance would be more closely linked to the performance of, and would be affected by fluctuations in, that industry. Market price movements affecting companies and their securities in any industry in which the Fund invests 25% or more of its total assets will have a greater impact on the Asia Pacific Fund’s performance because of its more concentrated position in those securities. For example, the Asia Pacific Fund could invest a significant portion of its assets in financial services companies, including banks, which may be particularly affected by economic cycles, business developments, interest rate changes and regulatory changes.

In addition, the proposed concentration policy does not include the following sentence that is in the current policy, “This restriction does not apply to investments in securities issued or guaranteed by the U.S. government or any of its agencies or instrumentalities, or repurchase agreements secured thereby, and futures and options transactions issued or guaranteed by the U.S. government or any of its agencies or instrumentalities.” This sentence explains how the Asia Pacific Fund interprets its concentration policy with respect to certain types of securities, and is intended to reflect SEC guidance. If the proposal is approved, this sentence would still be disclosed in the Asia Pacific Fund’s registration statement but it would no longer be a fundamental policy.

What happens if the proposal to amend the investment objective is not approved?

If the proposal is not approved, the Asia Pacific Fund’s fundamental investment policy relating to industry concentration will remain the same, and the Board may consider other courses of action. If the proposal is approved, the proposed concentration policy will become effective on the date that the proposal is approved by shareholders.

 

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Recommendation of Trustees

The Board met in February 2014 to consider the proposed amendment to the Asia Pacific Fund’s fundamental policy. At the Board meeting, the Trustees reviewed materials furnished by JPMIM regarding the proposed fundamental investment policy. The Trustees unanimously approved the proposed fundamental investment policy and recommended that shareholders of the Asia Pacific Fund approve the proposed fundamental investment policy. The Trustees considered numerous factors in approving the proposed investment policy and making their recommendation including: (1) the Asia Pacific Fund’s investment strategy and (2) the constraints on the ability of the Asia Pacific Fund’s investment adviser and investment sub-adviser to attempt to increase the Asia Pacific Fund’s returns by overweighting the Asia Pacific Fund’s investments in a particular industry on the basis of their judgment as to the relative prospects for such industry in an amount above 25% of the Asia Pacific Fund’s total assets, particularly, where an industry represents 20% or more of the Fund’s benchmark (currently the Morgan Stanley Capital International All Country Asia Pacific ex-Japan Index (net of foreign withholding taxes)) at the time of investment. Based upon a review of the factors, the Board concluded that amending the Asia Pacific Fund’s investment policy would be in the best interests of the Asia Pacific Fund and its shareholders.

THE BOARD OF TRUSTEES RECOMMENDS THAT THE SHAREHOLDERS OF THE ASIA PACIFIC FUND VOTE “FOR” APPROVAL OF THE PROPOSAL

GENERAL INFORMATION ABOUT THE FUNDS

Management and Other Service Providers

Set forth below is a description of the current service providers of the Funds.

Investment Adviser

J.P. Morgan Investment Management Inc., 270 Park Avenue, New York, NY 10017, makes the day-to-day investment decisions for the Funds and continuously reviews, supervises and administers the Funds’ investment program. In addition, JPMIM serves as investment adviser to other mutual funds and individual, corporate, charitable and retirement accounts. JPMIM is a wholly-owned subsidiary of JPMorgan Asset Management Holdings Inc., which is a wholly-owned subsidiary of JPMorgan Chase & Co. As of December 31, 2013, JPMIM, an indirect wholly owned subsidiary of JPMorgan Chase & Co., managed over $774,002,130,832 billion in assets.

Distributor

JPMorgan Distribution Services, Inc., 460 Polaris Parkway, Westerville, Ohio 43082 (“JPMDS”), serves as distributor to each series of the Trust pursuant to a Distribution Agreement dated as of February 19, 2005. JPMDS is an affiliate of JPMIM and a direct wholly-owned subsidiary of JPMorgan Chase & Co.

Administrator

JPMorgan Funds Management, Inc. (“JPMFM”), 460 Polaris Parkway, Westerville, Ohio 43082 serves as administrator for the Trust. JPMFM is an affiliate of JPMIM and an indirect wholly-owned subsidiary of JPMorgan Chase & Co.

Independent Auditors

The Board has selected PricewaterhouseCoopers LLP (“PwC”) as the independent auditors for the Funds for their current fiscal years. PwC will also prepare the Funds’ federal and state income tax returns and provide certain permitted non-audit services. PwC, in accordance with Independence Standards Board Standard No. 1, has confirmed to the Audit Committee that they are independent auditors with respect to the Funds. The Audit Committee has considered whether the provision by PwC to the Funds of non-audit services to the Funds or of

 

29


professional services to the Fund’s investment adviser and entities that control, are controlled by or are under common control with the adviser is compatible with maintaining PwC’s independence and has discussed PwC’s independence with them. Representatives of PwC are not expected to be present at the Meeting but have been given the opportunity to make a statement if they so desire and will be available should any matter arise requiring their presence. PwC served as the Funds’ independent auditors for the calendar years ended December 31, 2012 and 2013.

(1) Audit Fees. The aggregate fees billed for each of the last two calendar years ended December 31, 2012 and December 31, 2013 (“Reporting Periods”) for professional services rendered by PwC for the audit of each Trust’s annual financial statements, or services that are normally provided by PwC in connection with the statutory and regulatory filings or engagements for the Reporting Periods, were as follows.

 

JP Morgan Trust I

 

Year Ended

   Audit Fees  

12/31/12

   $ 4,177,000   

12/31/13

   $ 4,953,485   

 

J.P. Morgan Fleming Mutual Fund Group,
Inc.

 

Year Ended

   Audit Fees  

12/31/12

   $ 26,050   

12/31/13

   $ 25,850   

 

J.P. Morgan Mutual Fund Investment Trust

 

Year Ended

   Audit Fees  

12/31/12

   $ 26,050   

12/31/13

   $ 25,850   

 

Undiscovered Managers Funds

 

Year Ended

   Audit Fees  

12/31/12

   $ 91,350   

12/31/13

   $ 63,300   

(2) Audit-Related Fees. The audit-related fees during the Reporting Periods are below. There are fees billed in the Reporting Periods for assurance and related services by PwC to each Trust’s investment advisers (not including any sub-adviser whose role is primarily portfolio management and is subcontracted with or overseen by another investment adviser), and any entity controlling, controlled by or under common control with the investment adviser that provides ongoing services to the Trust (“Service Affiliates”), that were reasonably related to the performance of the annual audit of the Service Affiliates and related directly to the operations and financial reporting of each Trust and the Funds.

 

JP Morgan Trust I

 

Year Ended

   Audit-Related Fees  

12/31/12

   $ 1,350,020   

12/31/13

   $ 1,353,780   

 

J.P. Morgan Fleming Mutual Fund Group, Inc.

 

Year Ended

   Audit-Related Fees  

12/31/12

   $ 11,830   

12/31/13

   $ 5,020   

 

J.P. Morgan Mutual Fund Investment Trust

 

Year Ended

   Audit-Related Fees  

12/31/12

   $ 11,830   

12/31/13

   $ 5,020   

 

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Undiscovered Managers Funds

 

Year Ended

   Audit-Related Fees  

12/31/12

   $ 35,940   

12/31/13

   $ 10,040   

(3) Tax Fees. The aggregate fees billed to each Trust in the Reporting Periods for professional services rendered by PwC for tax compliance, tax advice and tax planning (“Tax Services”) were as follows:

 

JP Morgan Trust I

 

Fiscal Year Ended

   Tax Fees  

12/31/12

   $ 1,062,650   

12/31/13

   $ 1,252,175   

 

J.P. Morgan Fleming Mutual Fund Group,
Inc.

 

Year Ended

   Tax Fees  

12/31/12

   $ 7,950   

12/31/13

   $ 8,220   

 

J.P. Morgan Mutual Fund Investment Trust

 

Year Ended

   Tax Fees  

12/31/12

   $ 7,950   

12/31/13

   $ 8,220   

 

Undiscovered Managers Funds

 

Year Ended

   Tax Fees  

12/31/12

   $ 22,800   

12/31/13

   $ 24,090   

These services consisted of review or preparation of U.S. federal, state, local and excise tax returns. There were no fees billed in the Reporting Periods for Tax Services related directly to the operation and financial reporting of the Funds by PwC to Service Affiliates.

(4) All Other Fees. There were no other fees billed in the Reporting Periods for products and services provided by PwCs to the Trusts, or services provided to Service Affiliates related directly to the operation and financial reporting of the Trust Funds other than the services reported above.

The aggregate non-audit fees billed for the Reporting Periods by PwC for services rendered to the Funds and to the Funds’ investment adviser and the other Service Affiliates were $28.6 million and $28.2 million for the calendar years ended December 31, 2012 and 2013, respectively.

Pursuant to the Registrant’s Audit Committee Charter and written policies and procedures for the pre-approval of audit and non-audit services (the “Pre-approval Policy”), the Audit Committee pre-approves all audit and non-audit services performed by the Registrant’s independent public registered accounting firm for the Registrant. In addition, the Audit Committee pre-approves the auditor’s engagement for non-audit services with the Registrant’s investment adviser (not including a sub-adviser whose role is primarily portfolio management and is sub-contracted or overseen by another investment adviser) and any Service Affiliate in accordance with paragraph (c)(7)(ii) of Rule 2-01 of Regulation S-X, if the engagement relates directly to the operations and financial reporting of the Trust. Proposed services may be pre-approved either 1) without consideration of specific case-by-case services or 2) require the specific pre-approval of the Audit Committee. The Audit Committee annually reviews and pre-approves the services included on the pre-approval list that may be

 

31


provided by the independent public registered accounting firm without obtaining additional specific pre-approval of individual services from the Audit Committee. The Audit Committee adds to, or subtracts from, the list of general pre-approved services from time to time, based on subsequent determinations. All other audit and non-audit services not on the pre-approval list must be specifically pre-approved by the Audit Committee.

No Other Matters. The Board does not intend to present any other business at the Meeting. If, however, any other matters are properly brought before the Meeting, the persons named in the accompanying form of proxy will vote thereon in accordance with their judgment.

Shareholder Proposals. The Trusts do not hold annual shareholder meetings. Any shareholder proposal intended to be presented at any future meeting of shareholders must be received by the Funds at their principal office a reasonable time before the solicitation of proxies for such meeting in order for such proposal to be considered for inclusion in the proxy statement relating to such meeting.

Shareholder Communications with Board. Shareholders wishing to send communications to the Board of Trustees or specific members of the Board should submit the communication in writing to the attention of the Secretary of the Trusts, at 270 Park Avenue, New York, New York 10017, identifying the correspondence as intended for the Board of Trustees or for a specified member of the Board. The Secretary will maintain a copy of any such communication and promptly forward it to the Governance Committee no less frequently than monthly. The Governance Committee will periodically review such communications and determine how to respond, if at all. Other members of the Board will receive, no less frequently than quarterly, a summary of all shareholders communications received during the prior quarter, which summary shall identify the substance of such communications.

VOTING INFORMATION

This Proxy Statement is furnished in connection with a solicitation of proxies by the Board of Trustees to be used at the Meeting. This Proxy Statement, along with a Notice of the Meeting and Proxy Card, is first being mailed to shareholders of the Funds on or about April 17, 2014. Only shareholders of record as of the close of business on the Record Date, March 21, 2014, will be entitled to notice of, and to vote at, the Meeting or any adjournments or postponements thereof. If the enclosed form of Proxy Card is properly executed and returned in time to be voted at the Meeting, the proxies named therein will vote the shares represented by the proxy in accordance with the instructions marked thereon. Unmarked but properly executed Proxy Cards will be voted FOR the proposed election of Trustees. A proxy may be revoked at any time on or before the Meeting by (1) submitting to the applicable Trust a subsequently dated proxy card, (2) delivering to the Secretary of the applicable Trust at the address on the cover of this Proxy Statement a written notice of revocation, or (3) attending the Meeting and voting in person, in all cases prior to the exercise of the authority granted in the proxy. If you simply sign, date and return the Proxy Card, but do not specify a vote on any proposal, your proxy will be voted in accordance with the Trustees’ recommendations above.

Quorum

For each of JPMorgan Trust I and J.P. Morgan Mutual Fund Investment Trust, the presence in person or by proxy of the holders of record of a majority of the outstanding shares of the Trust shall constitute a quorum at the Meeting for those actions for which a vote of shareholders of the Trust is required, and a majority of the outstanding shares of a Fund shall constitute a quorum at the Meeting for those actions for which a vote of shareholders of solely that Fund is required. For Undiscovered Managers Funds, the presence in person or by proxy of the holders of record of forty percent of its outstanding shares shall constitute a quorum at the Meeting for those actions for which a vote of its shareholders are required. For J.P. Morgan Fleming Mutual Fund Group, Inc., the presence in person or by proxy of the holders of record of one-third of its outstanding shares shall constitute a quorum at the Meeting for those actions for which a vote of its shareholders are required.

 

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Voting Requirement

For Proposal 1, if a quorum is present, for each of JPMorgan Trust I and J.P. Morgan Mutual Fund Investment Trust, Trustees receiving the affirmative vote of a majority of the outstanding shares of the Trust will be elected to the Board of Trustees of the Trust, and for each of J.P. Morgan Fleming Mutual Fund Group, Inc. and Undiscovered Managers Funds, a plurality shall elect each Trustee.

For Proposal 2, if a quorum is present, the affirmative vote of a majority of the outstanding voting securities (as defined in the 1940 Act) of the Asia Pacific Fund is required to approve the proposal. A “majority of the outstanding voting securities” of the Fund is defined, under the 1940 Act, as the lesser of (a) 67% or more of the voting securities present at the Meeting, if the holders of more than 50% of the outstanding voting securities of such Fund are present or represented by proxy, or (b) more than 50% of the outstanding voting securities of such Fund.

Shareholders of the Funds are entitled to one vote for each dollar of net asset value represented by such Shareholder’s shares as of the Record Date and a proportionate fractional vote with respect to the remainder of the net asset value of such shares, if any.

ADJOURNMENTS

In the event that sufficient votes to approve one or more of the proposals are not received, whether or not a quorum is present, the persons named as proxies may propose one or more adjournments of the Meeting to permit further solicitation of proxies. Any such adjournment will require an affirmative vote by the holders of a majority of the shares present in person or by proxy and entitled to vote at the Meeting for all Trusts except for Undiscovered Managers Funds where such adjournment will require an affirmative vote of the majority of shares voted. In determining whether to adjourn the Meeting with respect to a proposal, the following factors may be considered: the percentage of votes actually cast, the percentage of negative votes actually cast, the nature of any further solicitation and the information to be provided to shareholders with respect to the reasons for the solicitation. In addition, if, in the judgment of persons named as proxies, it is advisable to defer action on one or more proposals, the persons named as proxies may propose one or more adjournments of the Meeting with respect to such proposal or proposals for a reasonable period or periods. The persons named as proxies will vote upon such adjournment after consideration of the best interests of all shareholders. In the event of an adjournment, no further notice is needed other than an announcement at the Meeting to be adjourned.

EFFECT OF ABSTENTIONS AND BROKER “NON-VOTES”

Executed proxy cards marked as abstentions and broker “non-votes” (that is, proxies from brokers or nominees indicating that they have not received instructions from the beneficial owners or other persons entitled to vote shares on a particular matter with respect to which the brokers or nominees do not have discretionary voting power) will be treated as shares that are present for purposes of determining whether a quorum is present at the Meeting but which have not been voted for or against any proposals. Accordingly, abstentions and broker “non-votes”, if any, will have no effect on Proposal 1, for which approval requires the affirmative vote of a majority of the outstanding shares of the Trust cast or a plurality of votes cast, depending on the Trust. Abstentions and broker “non-votes” will have the effect of votes against Proposal 2, for which approval requires the affirmative vote of a “majority of the outstanding voting securities” (as defined in the 1940 Act) of the JPMorgan Asia Pacific Fund. In addition, broker “non-votes” will be excluded from the calculation of whether any proposed adjournment is approved.

 

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PROXY SOLICITATION

Proxies are being solicited by mail. Additional solicitations may be made by telephone, e-mail, or other personal contact by officers or employees of J.P. Morgan Funds, JPMIM and their affiliates or by proxy soliciting firms retained by the Funds. The Funds have retained Computershare Fund Services (“Computershare”), a proxy solicitor, to assist in the solicitation of Proxy Cards primarily by contacting shareholders by telephone. By contract with Computershare, among other things, will be: (i) required to maintain the confidentiality of all shareholder information; (ii) prohibited from selling or otherwise disclosing to any third party shareholder information; and (iii) required to comply with state telemarketing laws to the extent applicable to the services provided under the contract. The cost of retaining such proxy solicitor is expected to be in excess of $462,853. The cost of retaining such proxy solicitor will be deemed an expense relating to the Meeting. In addition, JPMIM may reimburse persons holding shares in their names or in the names of their nominees for expenses incurred in forwarding solicitation material to their beneficial owners. The cost of the solicitation will be borne by the Funds.

As the Meeting date approaches, shareholders of the Funds may receive a call from a representative of JPMIM or Computershare if the Funds have not yet received their vote. Authorization to permit JPMIM or Computershare to execute proxies may be obtained by telephonic or electronically transmitted instructions from Fund shareholders. Proxies that are obtained telephonically will be recorded in accordance with the procedures set forth below. Management of the Funds believes that these procedures are reasonably designed to ensure that the identity of the shareholder casting the vote is accurately determined and that the voting instructions of the shareholder are accurately determined. In all cases where a telephonic proxy is solicited, JPMIM or Computershare representative is required to ask the shareholder for the shareholder’s full name, address, social security number or employer identification number, title (if the person giving the proxy is authorized to act on behalf of an entity, such as a corporation), the number of shares owned and to confirm that the shareholder has received this Proxy Statement in the mail.

If the shareholder information solicited agrees with the information provided to JPMIM or Computershare by the Funds, JPMIM or Computershare representative has the responsibility to explain the process, read the proposals listed on the Proxy Card, and ask for the shareholder’s instructions on each proposal. The representative of JPMIM or Computershare, although permitted to answer questions about the process, is not permitted to recommend to the shareholder how to vote, other than to read any recommendation set forth in this Proxy Statement. Computershare will record the shareholder’s instructions on the card. Within 72 hours, JPMIM or Computershare will send the shareholder a letter or mailgram to confirm the shareholder’s vote and asking the shareholder to call JPMIM or Computershare immediately if the shareholder’s instructions are not correctly reflected in the confirmation.

 

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SHARE INFORMATION

The chart below lists the number of shares of the Funds that are outstanding as of the close of business on the Record Date:

 

Fund Name

  Class A     Class B     Class C     Select Class     Institutional
Class
    Class R2     Class R5     Class R6     SMA Class  

Access Balanced Fund

    184,757.56        N/A        698,868.40        24,541,723.11        46,810,486.80        N/A        N/A        N/A        N/A   

Access Growth Fund

    696,282.74        N/A        868,412.32        28,212,204.98        28,838,177.14        N/A        N/A        N/A        N/A   

Alternative Strategies Fund

    4,870.10        N/A        3,994.09        700,199.68        N/A        N/A        3,479.62        N/A        N/A   

Asia Pacific Fund

    43,792.17        N/A        13,474.19        283,810.86        N/A        N/A        N/A        N/A        N/A   

California Tax Free Bond Fund

    7,382,282.84        N/A        4,637,816.97        2,445,748.84        8,918,983.98        N/A        N/A        N/A        N/A   

China Region Fund

    222,041.72        N/A        80,856.64        15,351,881.51        N/A        N/A        N/A        N/A        N/A   

Commodities Strategy Fund

    6,942.70        N/A        3,333.33        7,028,398.49        N/A        N/A        N/A        2,185,029.48        N/A   

Corporate Bond Fund

    6,855,710.43        N/A        6,079.95        1,596,058.48        N/A        N/A        N/A        57,751,352.91        N/A   

Current Income Fund

    N/A        N/A        N/A        10,020.01        995,852.28        N/A        N/A        N/A        N/A   

Disciplined Equity Fund

    8,046,706.81        N/A        N/A        3,110,528.35        14,125,274.54        N/A        N/A        148,851,310.73        N/A   

Diversified Fund

    9,241,457.02        141,579.99        1,595,610.90        6,270,955.05        49,051,740.47        N/A        N/A        N/A        N/A   

Diversified Real Return Fund

    227,407.77        N/A        123,776.70        1,220,385.23        N/A        93,091.52        2,911,051.63        N/A        N/A   

Dynamic Growth Fund

    309,861.17        N/A        110,591.28        9,317,388.70        N/A        N/A        1,836.75        N/A        N/A   

Dynamic Small Cap Growth Fund

    3,633,637.95        30,020.39        2,763,446.57        14,645,234.78        N/A        N/A        N/A        N/A        N/A   

Emerging Economies Fund

    5,165,875.42        N/A        387,442.83        21,064,412.51        N/A        N/A        47,024,242.73        N/A        N/A   

Emerging Markets Debt Fund

    6,930,688.23        N/A        1,493,331.90        15,437,300.69        N/A        N/A        25,729.50        29,713,370.70        N/A   

Emerging Markets Equity Fund

    13,494,800.70        148,121.47        2,425,451.80        25,143,944.48        42,284,555.40        N/A        N/A        31,592,871.01        N/A   

Emerging Markets Local Currency Debt Fund

    15,169.24        N/A        5,075.93        14,544,428.40        N/A        5,086.20        5,118.82        911,959.18        N/A   

Equity Focus Fund

    13,953.68        N/A        5,495.82        2,763,558.87        N/A        N/A        N/A        N/A        N/A   

Floating Rate Income Fund

    18,891,861.45        N/A        2,089,622.42        339,869,025.57        N/A        N/A        N/A        73,050,046.56        N/A   

Global Allocation Fund

    768,856.38        N/A        205,649.81        2,034,009.99        N/A        3,594.30        N/A        N/A        N/A   

Global Bond Opportunities Fund

    440,399.87        N/A        57,771.57        3,681,165.20        N/A        N/A        N/A        3,859,138.44        N/A   

Global Equity Income Fund

    3,714,874.42        N/A        162,748.17        3,215,050.80        N/A        33,904.14        34,317.92        N/A        N/A   

Global Natural Resources Fund

    355,517.54        N/A        77,593.35        3,507,124.24        N/A        3,595.93        3,737.17        3,856.19        N/A   

Global Research Enhanced Index Fund

    3,382.17        N/A        3,369.21        158,391,944.67        N/A        3,375.68        N/A        N/A        N/A   

Growth Advantage Fund

    44,018,059.38        205,232.71        9,757,495.43        78,597,212.69        N/A        N/A        99,177,019.12        6,401,390.73        N/A   

Growth and Income Fund

    9,379,273.34        67,600.53        315,624.77        516,445.63        N/A        N/A        N/A        N/A        N/A   

Income Builder Fund

    351,045,785.48        N/A        377,089,193.28        183,870,437.72        N/A        N/A        N/A        N/A        N/A   

Inflation Managed Bond Fund

    6,352,365.34        N/A        498,280.33        104,267,436.19        N/A        12,576.64        1,205,974.75        32,192,542.44        N/A   

Intermediate Tax Free Bond Fund

    15,679,374.83        89,650.80        6,070,626.67        28,923,708.74        278,301,783.88        N/A        N/A        N/A        N/A   

International Currency Income Fund

    657,046.89        N/A        81,604.22        15,848,598.98        N/A        N/A        N/A        N/A        N/A   

International Equity Fund

    13,748,860.57        86,755.05        1,707,249.04        26,982,233.32        N/A        78,795.28        7,202,522.90        94,550,822.03        N/A   

International Opportunities Fund

    9,096,115.32        15,497.19        86,199.76        3,078,471.06        4,147,842.74        N/A        N/A        93,434,387.17        N/A   

International Realty Fund

    4,044,475.48        N/A        185,963.12        1,454,875.13        N/A        N/A        29,888,411.40        N/A        N/A   

International Unconstrained Equity Fund

    7,631.83        N/A        7,331.47        207,470.10        N/A        3,675.82        3,716.95        3,719.96        N/A   

International Value Fund

    25,217,050.12        154,016.94        2,165,339.51        19,027,951.79        186,413,144.81        87,288.17        N/A        7,030,466.31        N/A   

International Value SMA Fund

    N/A        N/A        N/A        N/A        N/A        N/A        N/A        N/A        24,983,601.40   

Intrepid Advantage Fund

    303,718.04        N/A        107,459.95        105,481.06        N/A        N/A        N/A        N/A        N/A   

Intrepid America Fund

    3,295,156.33        N/A        237,242.02        41,134,533.88        N/A        5,973.79        34,958,867.69        N/A        N/A   

Intrepid European Fund

    7,888,369.88        208,828.41        2,266,385.22        12,997,741.60        27,903,538.47        N/A        N/A        N/A        N/A   

Intrepid Growth Fund

    867,420.69        N/A        506,678.85        16,924,910.72        N/A        16,477.73        3,375,556.10        N/A        N/A   

Intrepid International Fund

    3,510,146.13        N/A        63,578.55        749,352.14        32,820,634.66        5,353.89        N/A        N/A        N/A   

Intrepid Value Fund

    2,628,177.95        N/A        925,052.77        34,420,333.83        N/A        25,799.60        2,141,922.45        430,862.62        N/A   

JPM SmartAllocation Equity Fund

    15,038.92        N/A        8,518.60        60,400.05        N/A        3,364.89        3,397.36        1,936,310.12        N/A   

JPM SmartAllocation Income Fund

    4,771.00        N/A        3,463.35        262,593.96        N/A        3,474.91        3,507.47        3,509.64        N/A   

JPM SmartRetirement 2010 Fund

    11,426,504.20        N/A        691,298.07        6,979,642.02        11,939,933.80        1,468,259.44        N/A        N/A        N/A   

 

35


Fund Name

  Class A     Class B     Class C     Select Class     Institutional
Class
    Class R2     Class R5     Class R6     SMA Class  

JPM SmartRetirement 2015 Fund

    27,917,165.81        N/A        1,154,380.74        19,645,633.24        52,523,193.01        4,734,315.21        N/A        N/A        N/A   

JPM SmartRetirement 2020 Fund

    51,090,032.84        N/A        2,042,093.51        42,588,404.26        106,620,058.70        10,023,753.78        N/A        N/A        N/A   

JPM SmartRetirement 2025 Fund

    46,068,562.87        N/A        1,818,530.14        30,842,061.62        79,952,810.07        8,438,787.78        N/A        N/A        N/A   

JPM SmartRetirement 2030 Fund

    49,595,531.89        N/A        1,911,750.59        37,822,144.49        96,517,749.53        10,502,215.31        N/A        N/A        N/A   

JPM SmartRetirement 2035 Fund

    34,203,203.06        N/A        1,118,514.78        22,111,969.45        57,966,476.41        6,490,745.46        N/A        N/A        N/A   

JPM SmartRetirement 2040 Fund

    34,619,572.81        N/A        1,356,968.06        25,838,116.34        67,133,280.92        7,108,304.77        N/A        N/A        N/A   

JPM SmartRetirement 2045 Fund

    17,893,556.85        N/A        598,558.41        11,446,310.89        32,319,174.98        3,620,614.88        N/A        N/A        N/A   

JPM SmartRetirement 2050 Fund

    13,399,952.29        N/A        607,474.05        11,265,026.36        25,061,646.75        3,201,608.16        N/A        N/A        N/A   

JPM SmartRetirement 2055 Fund

    1,154,935.42        N/A        34,623.62        678,010.68        2,128,836.18        362,825.62        N/A        N/A        N/A   

JPM SmartRetirement Blend 2015 Fund

    3,437.92        N/A        3,407.97        175,994.68        N/A        3,425.34        931,089.29        1,384,956.80        N/A   

JPM SmartRetirement Blend 2020 Fund

    3,435.11        N/A        3,405.25        372,556.32        N/A        3,422.59        998,417.50        2,626,818.95        N/A   

JPM SmartRetirement Blend 2025 Fund

    3,437.66        N/A        3,407.78        313,129.39        N/A        3,425.11        724,854.19        1,648,587.67        N/A   

JPM SmartRetirement Blend 2030 Fund

    3,428.53        N/A        3,398.77        567,120.79        N/A        3,416.03        680,192.11        1,488,938.27        N/A   

JPM SmartRetirement Blend 2035 Fund

    3,426.83        N/A        3,397.19        349,927.80        N/A        3,414.37        443,931.63        1,136,637.51        N/A   

JPM SmartRetirement Blend 2040 Fund

    3,425.29        N/A        3,395.66        524,368.26        N/A        3,412.84        379,734.34        934,743.41        N/A   

JPM SmartRetirement Blend 2045 Fund

    3,436.03        N/A        3,406.31        189,144.76        N/A        3,423.53        153,112.35        340,156.35        N/A   

JPM SmartRetirement Blend 2050 Fund

    3,437.80        N/A        3,408.07        202,845.48        N/A        3,425.30        137,282.82        155,170.91        N/A   

JPM SmartRetirement Blend 2055 Fund

    3,484.84        N/A        3,454.77        60,963.95        N/A        3,472.21        17,522.72        17,909.85        N/A   

JPM SmartRetirement Blend Income Fund

    3,426.94        N/A        3,397.10        144,471.30        N/A        3,414.33        621,196.67        853,412.90        N/A   

JPM SmartRetirement Income Fund

    16,001,343.84        N/A        520,615.77        9,339,589.71        30,547,693.88        2,715,810.55        N/A        N/A        N/A   

Latin America Fund

    1,489,874.62        N/A        225,168.77        4,208,838.68        N/A        N/A        N/A        N/A        N/A   

Managed Income Fund

    N/A        N/A        N/A        349,321.13        339,703,043.08        N/A        N/A        N/A        N/A   

Market Neutral Fund

    4,658,957.08        N/A        1,654,086.46        6,857,976.88        N/A        N/A        N/A        N/A        N/A   

Mid Cap Equity Fund

    3,037,232.94        N/A        426,446.67        38,557,018.94        N/A        14,581.43        2,020.51        15,675,824.80        N/A   

Mid Cap Value Fund

    93,427,277.93        325,775.21        17,206,234.41        79,415,685.66        225,320,087.94        2,069,306.64        N/A        N/A        N/A   

Multi-Sector Income Fund

    9,934,631.11        N/A        145,997.56        171,456,612.94        N/A        5,454.28        391,572.51        4,439,499.66        N/A   

New York Tax Free Bond Fund

    25,319,284.42        130,340.54        15,069,664.43        6,905,197.03        20,664,357.69        N/A        N/A        N/A        N/A   

Real Return Fund

    1,576,742.73        N/A        1,328,086.72        131,767.34        5,982,835.91        N/A        N/A        N/A        N/A   

Realty Income Fund

    5,282,417.33        44,054.37        619,566.84        N/A        17,488,277.77        N/A        39,109,665.33        N/A        N/A   

Research Equity Long/Short Fund

    3,078,589.00        N/A        32,174.26        2,798,729.32        N/A        N/A        3,456.85        N/A        N/A   

Research Market Neutral Fund

    6,024,387.28        31,010.72        839,929.97        18,485,329.99        20,105,459.70        N/A        N/A        N/A        N/A   

Security Capital US Core Real Estate Securities Fund

    272,254.37        N/A        3,515.88        2,991,886.74        N/A        N/A        3,680.49        1,110,552.61        N/A   

Short Duration High Yield Fund

    146,443.34        N/A        5,447.10        20,412,603.11        N/A        N/A        N/A        4,147,876.59        N/A   

Small Cap Core Fund

    N/A        N/A        N/A        12,172,226.56        N/A        N/A        N/A        N/A        N/A   

Small Cap Equity Fund

    17,164,073.78        178,392.30        1,089,791.71        28,527,306.26        N/A        108,096.47        21,518,709.69        N/A        N/A   

Strategic Income Opportunities Fund

    424,161,330.94        N/A        159,085,386.81        1,542,022,839.33        N/A        N/A        37,317,001.27        N/A        N/A   

Strategic Preservation Fund

    4,736,870.08        N/A        44,941.36        1,482,654.19        N/A        N/A        15,153.21        N/A        N/A   

Tax Aware Equity Fund

    331,404.71        N/A        85,108.28        3,015,608.48        41,470,732.27        N/A        N/A        N/A        N/A   

Tax Aware High Income Fund

    4,032,545.73        N/A        1,905,944.25        3,001,852.15        N/A        N/A        N/A        N/A        N/A   

Tax Aware Income Opportunities Fund

    12,284,153.57        N/A        1,866,593.59        29,227,046.97        N/A        N/A        N/A        N/A        N/A   

Tax Aware Real Return Fund

    11,322,575.65        N/A        6,857,149.55        19,104,559.09        158,418,866.60        N/A        N/A        28,599,972.54        N/A   

Tax Aware Real Return SMA Fund

    N/A        N/A        N/A        N/A        N/A        N/A        N/A        N/A        2,379,898.00   

Total Emerging Markets Fund

    48,744.69        N/A        10,214.37        1,774,084.31        N/A        4,388.70        4,376.10        4,380.03        N/A   

 

36


Fund Name

  Class A     Class B     Class C     Select Class     Institutional
Class
    Class R2     Class R5     Class R6     SMA Class  

Total Return Fund

    4,563,558.70        N/A        1,099,370.98        14,990,330.28        N/A        N/A        182,663.04        N/A        N/A   

U.S. Dynamic Plus Fund

    4,951,464.52        N/A        55,591.76        10,812,115.90        N/A        N/A        N/A        N/A        N/A   

U.S. Equity Fund

    76,480,182.35        310,340.45        11,393,083.66        156,929,049.75        271,774,974.12        8,068,931.59        31,614,409.46        152,604,246.72        N/A   

U.S. Large Cap Core Plus Fund

    31,821,122.02        N/A        8,974,633.11        302,376,923.93        N/A        186,346.93        8,886,830.86        N/A        N/A   

U.S. Research Equity Plus Fund

    37,830.74        N/A        12,477.13        764,424.15        N/A        4,018.08        3,783.47        3,326.18        N/A   

U.S. Small Company Fund

    7,029,440.60        N/A        1,146,239.61        8,415,070.53        6,572,791.23        465,603.08        N/A        2,807,202.98        N/A   

Undiscovered Managers Behavioral Value Fund

    5,131,118.96        15,149.70        1,580,455.84        N/A        5,817,395.49        N/A        N/A        N/A        N/A   

Value Advantage Fund

    50,510,588.08        N/A        11,842,575.74        78,242,243.19        89,661,181.47        N/A        N/A        N/A        N/A   

 

Fund Name

  Morgan     Agency     Class B     Class C     Capital     Cash Mgmt     Direct     Eagle  

100% U.S. Treasury Securities Money Market Fund

    1,724,489,013.32        1,991,874,474.90        N/A        N/A        10,387,153,200.94        N/A        N/A        N/A   

California Municipal Money Market Fund

    431,975,375.46        N/A        N/A        N/A        N/A        N/A        N/A        N/A   

Current Yield Money Market Fund

    N/A        N/A        N/A        N/A        9,516,624.54        N/A        N/A        N/A   

Federal Money Market Fund

    94,047,526.67        233,847,977.67        N/A        N/A        N/A        N/A        N/A        N/A   

New York Municipal Money Market Fund

    636,584,389.57        N/A        N/A        N/A        N/A        N/A        N/A        N/A   

Prime Money Market Fund

    2,377,121,132.62        7,054,232,343.01        820,709.29        17,422,744.59        66,224,378,103.47        792,511,069.73        1,846,916,476.33        358,121,671.70   

Tax Free Money Market Fund

    284,585,898.72        365,834,316.11        N/A        N/A        N/A        N/A        100,108.35        1,320,538,878.44   

 

Fund Name

  E*Trade     IM Class     Institutional
Class
    Investor     Premier     Reserve     Service  

100% U.S. Treasury Securities Money Market Fund

    N/A        N/A        9,164,870,197.47        N/A        1,269,544,455.57        44,904,135.98        100,019.31   

California Municipal Money Market Fund

    1,037,965,583.72        N/A        N/A        N/A        N/A        N/A        111,057,167.95   

Current Yield Money Market Fund

    N/A        N/A        500,564.55        N/A        N/A        N/A        N/A   

Federal Money Market Fund

    N/A        N/A        3,791,067,959.98        N/A        283,565,795.32        2,355,583.11        N/A   

New York Municipal Money Market Fund

    375,046,237.17        N/A        N/A        N/A        N/A        242,267,534.08        54,137,514.55   

Prime Money Market Fund

    N/A        123,582,594.33        29,893,257,312.33        759,484,407.99        2,058,484,080.11        1,425,380,540.94        1,792,075,988.58   

Tax Free Money Market Fund

    N/A        N/A        10,941,498,221.34        N/A        2,343,480,405.94        4,675,913,517.40        N/A   

 

 

37


FUND SHARES OWNED BY CERTAIN BENEFICIAL OWNERS

For a list of persons or entities that owned beneficially or of record 5% or more of the outstanding shares of a class of each of the Funds as of the Record Date, please refer to Exhibit C.

 

38


EXHIBIT A

JPMORGAN FUNDS

GOVERNANCE COMMITTEE CHARTER

(As Amended February 16, 2012)

ORGANIZATION

There shall be a committee of the Boards of Trustees* (the “Boards”) of the JPMorgan Funds, including the Pacholder High Yield Fund, Inc., (the “Funds”) to be known as the Governance Committee (the “Committee”). With respect to the Pacholder High Yield Fund, Inc., the Governance Committee shall function as the Nominating Committee and Compensation Committee for purposes of Sections 804 and 805 of the NYSE Amex Company Guide. The Committee shall be composed solely of Trustees who are not “interested persons” of the Funds as defined by the Investment Company Act of 1940, as amended, and who are independent as defined in the NYSE Amex Company Guide 803A and satisfy the requirements of NYSE Amex Company Guide 803B(2) (“Independent Trustees”). The Chairman of the Boards shall determine the number of Committee members, shall nominate the members of the Committee and shall appoint the Chairperson of the Committee, subject to the approval of the full Boards. The Chairperson of the Committee shall set the agenda for, and preside at, each meeting of the Committee and shall engage in such other activities on behalf of the Committee as shall be determined from time to time by the Committee.

MEETINGS

The Committee may meet either on its own or in conjunction with meetings of the Boards. Meetings of the Committee may be held in person, by video conference or by conference telephone. Where appropriate, the Committee may take action by unanimous written consent in lieu of a meeting.

RESPONSIBILITES

The duties of the Committee are:

 

    to select and nominate persons for election or appointment as Trustees including Independent Trustees and Trustees who are interested persons of the Funds (i) as additions to the Boards, (ii) to fill vacancies which, from time to time, may occur in the Boards, (iii) for election by the Funds’ shareholders at meetings called for the election of Trustees, including the Pacholder High Yield Fund, Inc.’s annual meeting, and (iv) for election by holders of preferred shares of the Pacholder High Yield Fund, Inc. voting as a separate class;

 

    to review from time to time the compensation payable to the Trustees and to make recommendations to the Boards with respect thereto;

 

    to establish Trustee expense policies;

 

    to review and evaluate from time to time the functioning of the Boards and the various committees of the Boards and to make recommendations to the Boards with respect thereto;

 

    to consider and recommend the appointment or removal of the Funds’ Senior Officer;

 

    to consider and approve the compensation of the Funds’ Senior Officer;

 

    to approve the retention and compensation of consultants, experts or staff as may be reasonably necessary to assist the Senior Officer in the performance of his or her duties;

 

    to receive compliance reports from the Funds’ Senior Officer at regular meetings of the Committee and, as necessary, between meetings of the Boards;

 

 

* The term “Board of Trustees” also refers to “Board of Directors” and the term “Trustee” also refers to “Director”.

 

1


    to select independent legal counsel to the Independent Trustees and recommend the retention of such counsel to the Independent Trustees;

 

    to select legal counsel to the Funds and recommend the retention of such counsel to the Board of Trustees and to provide ongoing monitoring of counsel’s fees;

 

    to consult with independent counsel for the Independent Trustees so that the Committee may be apprised of regulatory developments affecting governance issues;

 

    to oversee and report to the Boards on the risk management processes for the Funds;

 

    to oversee on going civil litigation affecting the Funds, the Adviser or the Board of Trustees;

 

    to oversee regulatory issues or deficiencies affecting the Funds (except with respect to financial matters considered by the Audit Committee);

 

    to establish and revise, as appropriate, a Trustee Investment Policy concerning Trustee investments in the Funds;

 

    to oversee and review matters with respect to service providers to the Funds (except with respect to auditors);

 

    to review from time to time shareholder correspondence to the Boards; and

 

    to select and recommend continuing education and industry seminars; and

 

    to review and act upon such other matters as are referred to the Committee by the Boards.

NOMINATION OF TRUSTEES

After a determination by the Committee that a person should be nominated as an additional Trustee, or as soon as practical after a vacancy occurs or it appears that a vacancy is about to occur for a Trustee position on any of the Boards, the Committee shall nominate a person for appointment by a majority of the members of the Boards to add to the Boards or to fill the vacancy. Prior to a meeting of the shareholders of the Funds called for the purpose of electing Trustees, the Committee shall nominate one or more persons for election as Trustees at such meeting.

Evaluation by the Committee of a person as potential nominee to serve as a Trustee should include (but need not be limited to):

 

    upon advice of independent legal counsel to the Boards, whether or not a person being considered for nomination as an Independent Trustee is “independent” and whether the person is otherwise qualified under applicable laws and regulations to serve as a Trustee of the Funds;

 

    whether or not the person is willing to serve, and willing and able to commit the time necessary for the performance of the duties of an Independent Trustee;

 

    the contribution which the person can make to the Boards and the Funds, with consideration being given to the person’s business experience, education and such other factors as the Committee may consider relevant;

 

    the character and integrity of the person;

 

    desirable personality traits of the individual including independence, leadership and the ability to work with the other members of the Boards; and

 

    consistent with the Investment Company Act of 1940, as amended (the “1940 Act”), the Committee may consider recommendations from management in its evaluation process as it deems appropriate.

The Committee shall review nominees recommended to the Board by shareholders and shall evaluate such nominees in the same manner as it evaluates nominees identified by the Committee.

 

2


As long as any Class of any Fund is subject to any provision of the 1940 Act and/or any rule or regulation adopted thereunder that requires that the selection and nomination of the Independent Trustees of a Fund be limited solely to the discretion of the Independent Trustees, the Committee shall comply with such requirements.

In seeking out potential nominees and in nominating persons to serve as Independent Trustees of the Funds, the Committee shall not discriminate against any person based on his or her race, religion, national origin, sex, physical disability and other factors not relevant to the person’s ability to serve as an Independent Trustee.

REVIEW OF COMPENSATION

At least annually, the Committee shall review and recommend the amount of compensation payable to the Independent Trustees and other Trustees who are not employees of any adviser or principal underwriter of any Fund and report its findings and recommendation to the Boards. Compensation shall be based on the responsibilities and duties of the Independent Trustees and such other Trustees and the time required to perform these duties. The Committee shall also make recommendations to the Boards regarding matters related to compensation, including deferred compensation plans, expense reimbursement policies and policies for the Independent Trustees and such other Trustees, and shall monitor any and all such policies and deferred compensation plans.

EVALUATION FACTOR

The Committee shall consider, be responsible for and implement any periodic self-evaluation process of the Boards and all committees of the Boards.

SELECTION OF COUNSEL

The Committee shall consider and oversee the selection of independent legal counsel to the Independent Trustees in accordance with Rule 0-1(a)(6) under the 1940 Act and shall recommend such counsel to the Independent Trustees. In making such selection the Committee will examine and monitor such legal counsel’s client relationships in order to ascertain continued independence.

SHAREHOLDER COMMUNICATIONS

The Committee will review shareholder correspondence to the Boards. Shareholders wishing to send communications to any of the Boards or specific members of such Boards will be directed to submit communications only in written form. All such shareholder communications should clearly identify the specific Boards or specific Board members to which each communication is directed and should be sent to the attention of the Trust’s Secretary, at 270 Park Avenue, New York, New York 10017 in the first instance. The Trust’s Secretary will maintain a copy of any such communication and promptly forward each such communication to the Committee no less frequently than monthly. The Committee will periodically review such communications and determine how to respond. Other Trustees will receive, no less frequently than quarterly, a summary of all shareholders communications received during the prior quarter, which summary shall specifically identify the substance of all such communications.

REVIEW OF COMMITTEE AND CHARTER

The Committee shall periodically review the role of the Committee and this Charter and make recommendations to the Independent Trustees with respect thereto.

MAINTENANCE OF CHARTER

Each Fund shall maintain and preserve in an easily accessible place a copy of the Committee Charter established for the Fund and any modification to the Charter.

 

3


EXHIBIT B

CURRENT EXECUTIVE OFFICERS OF THE TRUST

The names of the officers of the Funds, together with their year of birth, information regarding their positions held with the Trusts and principal occupations are shown below. The contact address for each of the officers, unless otherwise noted, is 270 Park Avenue, New York, NY 10017.

The Trusts’ officers are compensated by advisory affiliates of JPMorgan Chase & Co. for services rendered to the Trusts. The Officers of the Trusts receive no direct remuneration from the Funds except the Funds, along with other affiliated funds, make reimbursement payments, on a pro-rata basis, to JPMFM for a portion of the fees associated with the Office of the Chief Compliance Officer.

 

Name

(Year of Birth)

 

Positions held
with the

Trusts (since)

  Principal Occupations During Past 5 Years

Robert L. Young1

(1963)

  President and Principal Executive Officer (2013)   Chief Operating Officer and Director, J.P. Morgan Investment Management Inc. since 2010; Senior Vice President, J.P. Morgan Funds (2005-2010), Chief Operating Officer, J.P. Morgan Funds (2005-2010); Director and various officer positions for JPMorgan Funds Management, Inc. (formerly One Group Administrative Services) and JPMorgan Distribution Services, Inc. (formerly One Group Dealer Services, Inc.) from 1999 to present. Mr. Young has been with JPMorgan Chase & Co. (formerly Bank One Corporation) since 1997.

Laura M. Del Prato

(1964)

  Treasurer and Principal Financial Officer (2014)   Managing Director, JPMorgan Funds Management, Inc. (since 2014); Partner, Cohen Fund Audit Services, Ltd. (2012-2013); Partner (2004-2012) and various other titles (1990-2004) at KPMG, LLP.

Frank J. Nasta

(1964)

  Secretary (2008)   Managing Director and Associate General Counsel, JPMorgan Chase since 2008; Previously, Director, Managing Director, General Counsel and Corporate Secretary, J.W. Seligman & Co. Incorporated; Secretary of each of the investment companies of the Seligman Group of Funds and Seligman Data Corp.; Director and Corporate Secretary, Seligman Advisors, Inc. and Seligman Services, Inc.

Stephen M. Ungerman

(1953)

  Chief Compliance Officer (2005)   Managing Director, JPMorgan Chase & Co.; Mr. Ungerman has been with JPMorgan Chase & Co. since 2000.

Kathryn A. Jackson

(1962)

  AML Compliance Officer (2012)   Vice President and AML Compliance Manager for JPMorgan Asset Management Compliance since 2011; Senior On-Boarding Specialist for JPMorgan Distribution Services, Inc. in Global Liquidity from 2008 to 2011; prior to joining JPMorgan, Ms. Jackson was a Financial Services Analyst responsible for on-boarding, compliance and training with Nationwide Securities LLC and 1717 Capital Management Company, both registered broker-dealers, from 2005 until 2008.

Elizabeth A. Davin1

(1964)

  Assistant Secretary (2005)   Executive Director and Assistant General Counsel, JPMorgan Chase since February 2012; formerly Vice President and Assistant General Counsel, JPMorgan Chase from 2005 until February 2012; Senior Counsel, JPMorgan Chase (formerly Bank One Corporation) from 2004 to 2005.

Jessica K. Ditullio1

(1962)

  Assistant Secretary (2005)   Executive Director and Assistant General Counsel, JPMorgan Chase since February 2011; Ms. Ditullio has served as an attorney with various titles for JPMorgan Chase (formerly Bank One Corporation) since 1990.

John T. Fitzgerald

(1975)

  Assistant Secretary (2008)   Executive Director and Assistant General Counsel, JPMorgan Chase since February 2011; formerly, Vice President and Assistant General Counsel, JPMorgan Chase from 2005 until February 2011.

 

1


Name

(Year of Birth)

 

Positions held
with the

Trusts (since)

  Principal Occupations During Past 5 Years

Carmine Lekstutis

(1980)

  Assistant Secretary (2011)   Vice President and Assistant General Counsel, JPMorgan Chase since 2011; Associate, Skadden, Arps, Slate, Meagher & Flom LLP (law firm) from 2006 to 2011.

Gregory S. Samuels

(1980)

  Assistant Secretary (2010)   Executive Director and Assistant General Counsel, JPMorgan Chase since February 2012; formerly Vice President and Assistant General Counsel, JPMorgan Chase 2010 until February 2014; Associate, Ropes & Gray (law firm) from 2008 to 2010; Associate, Clifford Chance LLP (law firm) from 2005 to 2008.

Pamela L. Woodley

(1971)

  Assistant Secretary (2012)   Vice President and Assistant General Counsel, JPMorgan Chase since November 2004.

Michael M. D’Ambrosio

(1969)

  Assistant Treasurer (2012)   Executive Director, JPMorgan Funds Management, Inc. from July 2012; prior to joining JPMorgan Chase, Mr. D’Ambrosio was a Tax Director at PricewaterhouseCoopers LLP since 2006.

Joseph Parascondola

(1963)

  Assistant Treasurer (2011)   Vice President, JPMorgan Funds Management, Inc. since August 2006.

Matthew J. Plastina

(1970)

  Assistant Treasurer (2011)   Vice President, JPMorgan Funds Management, Inc. since August 2010; prior to August 2010, Vice President and Controller, Legg Mason Global Asset Management.

Julie A. Roach

(1971)1

  Assistant Treasurer (2012)   Vice President, JPMorgan Funds Management, Inc. from August 2012; prior to joining JPMorgan Chase, Ms. Roach was a Senior Manager with Deloitte since 2001.

Gillian I. Sands

(1969)

  Assistant Treasurer (2012)   Vice President, JPMorgan Funds Management, Inc. from September 2012; Assistant Treasurer, Wells Fargo Funds Management (2007-2009).

 

1  Address is 460 Polaris Parkway, Westerville, OH 43082

 

2


EXHIBIT C

PRINCIPAL SHAREHOLDERS OF THE FUNDS

As of March 21, 2014, the following persons were the owners of more than 5% of the outstanding shares of the following class of shares of the following Funds. Shareholders indicated with an (*) below are a subsidiary or affiliate of JPMorgan Chase & Co. Shareholders indicated with an (**) below holding greater than 25% or more of a Fund are “controlling persons” under the 1940 Act.

 

JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 

JPM 100% US TREASURY SEC MONEY MKT FND

  

AGENCY SHARES

 

BEAR STEARNS SECURITIES CORP*,**

ATTN DENISE DILORENZO SIEGEL

1 METROTECH CTR N

BROOKLYN NY 11201-3832

    28.35 %
 

WSS EOD REGULAR SWEEP OMNIBUS**

10410 HIGHLAND MANOR DRIVE

3RD FLOOR

TAMPA FL 33610-9128

    26.35 %
 

JPMORGAN CHASE BANK N.A.*

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    18.14
 

JPMORGAN CHASE BANK*

ATTN: MICHAEL BROWNING

10410 HIGHLAND MANOR DR FL 3

TAMPA FL 33610-9128

    6.34

CAPITAL SHARES

 

JPMORGAN CHASE BANK N.A.*

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    20.87
 

FIRST CLEARING LLC

ATTN JOHN PENDER

ONE NORTH JEFFERSON

ST LOUIS MO 63103

    9.81
 

VODAFONE FINANCE LIMITED

1 KINGDOM STREET

PADDINGTON CENTRAL

LONDON UK W2 6BY

    9.63
 

MERRILL LYNCH PIERCE, FENNER & SMITH INC

200 N COLLEGE ST FL 3

CHARLOTTE NC 28202-2191

    7.53
 

METRO PCS COMMUNICATIONS INC

TREASURY DEPT

2250 LAKESIDE BLVD

RICHARDSON TX 75082-4304

    5.03

 

1


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 

INSTITUTIONAL CLASS SHARES

 

JPMORGAN CHASE BANK N.A.*,**

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    26.10
 

UNION BANK TR NOMINEE FBO

PORTAL OMNIBUS REINVEST

ATTN MUTUAL FUNDS

PO BOX 85484

SAN DIEGO CA 92186-5484

    11.83
 

HARE & CO

C/O THE BANK OF NEW YORK

ATTN STIF/ MASTERNOTE

111 SANDERS CREEK PKWY

EAST SYRACUSE NY 13057-1382

    9.21
 

KINGSLEY & CO/JPM ASSET SWEEP FUND OMNIBUS ACCOUNT

ATTN SPECIAL PRODUCTS

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    8.77
 

HARE & CO # 2

ATTN: FRANK NOTARO

111 SANDERS CREEK PKWY

EAST SYRACUSE NY 13057-1382

    6.78

MORGAN SHARES

 

JPMORGAN CHASE BANK*

ATTN: MICHAEL BROWNING

10410 HIGHLAND MANOR DR FL 3

TAMPA FL 33610-9128

    15.65
 

JPMORGAN CHASE BANK*

10410 HIGHLAND MANOR DR FL 3

TAMPA FL 33610-9128

    11.22
 

WSS EOD REGULAR SWEEP OMNIBUS

10410 HIGHLAND MANOR DRIVE

3RD FLOOR

TAMPA FL 33610-9128

    10.85
 

NBA/NBA PLAYERS ASSOCIATION ESCROW

ACCOUNT 2013-14 SEASON

ATTN MICHELLE A LEFTWICH VP & ASST G C, NATIONAL BASKETBALL ASSOC.

645 5TH AVE

NEW YORK NY 10022-5910

    9.30
 

HARE & CO C/O THE BANK OF NEW YORK

ATTN STIF/ MASTERNOTE

111 SANDERS CREEK PKWY

EAST SYRACUSE NY 13057-1382

    8.60

 

2


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

SATURN & CO

C/O STATE STREET BANK & TRUST CO

MAIL STOP CC 10313

1200 CROWN COLONY DR

QUINCY MA 02169-0938

    7.97

PREMIER SHARES

 

JPMORGAN CHASE BANK N.A.*,**

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    52.77
 

JPMORGAN CHASE BANK*

ATTN: MICHAEL BROWNING

10410 HIGHLAND MANOR DR FL 3

TAMPA FL 33610-9128

    12.89
 

CITIBANK CONTINENTAL

BOULEVARD DEPOSIT ACCOUNT

ATTN CHARLES KICK

480 WASHINGTON BLVD

30TH FLR

JERSEY CITY NJ 07310-2053

    8.27

RESERVE SHARES

 

JPMSI AS AGENT FOR*,** KINGSLEY AND CO

FUND OMNIBUS ACCOUNT

ATTN SPECIAL PRODUCTS

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    32.07
 

INGALLS & SNYDER LLC AS AGENT

OMNIBUS A/C FOR EXCLUSIVE

BENEFIT OF CUSTOMERS

ATTN: JOSEPH DIBUONO

61 BROADWAY

NEW YORK NY 10006-2701

    9.55
 

RISC TR

WILMINGTON TRUST

FBO SILLMAN BANCCORP RSP

PO BOX 52129

PHOENIX AZ 85072-2129

    6.20
 

JP MORGAN CLEARING CORP*

ATTN: DENISE DILORENZO-SIEGEL

3 CHASE METROTECH CENTER

BROOKLYN NY 11245-0001

    5.75

SERVICE SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    100.00

 

3


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 

JPM ACCESS BALANCED FUND

 

CLASS A SHARES

 

JPMORGAN CLEARING CORP*,** OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    97.90

CLASS C SHARES

 

JPMORGAN CLEARING CORP*,** OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    99.49

INSTITUTIONAL CLASS SHARES

 

JPMORGAN CHASE BANK N.A.*,**

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    99.97

SELECT CLASS SHARES

 

JPMORGAN CHASE BANK N.A.*,**

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    98.67

JPM ACCESS GROWTH FUND

 

CLASS A SHARES

 

JPMORGAN CLEARING CORP*,** OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    99.45

CLASS C SHARES

 

JPMORGAN CLEARING CORP*,** OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    99.59

INSTITUTIONAL CLASS SHARES

 

JPMORGAN CHASE BANK N.A.*,**

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    99.81

SELECT CLASS SHARES

 

JPMORGAN CHASE BANK N.A.*,**

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    97.57

 

4


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 

JPM ALTERNATIVE STRATEGIES FUND

 

CLASS A SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    70.49
 

STATE STREET BANK & TRUST CO**

CUST FOR THE TRAD IRA OF ROBERT J HOLTZ

6 RIDLEY CT

GLEN RIDGE NJ 07028-2423

    27.85

CLASS C SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    85.01
 

ROBERT L MASKE JOAN A MASKE TTEES

THE MASKE FAMILY 1997 TRUST

2826 W CANYON AVE

SAN DIEGO CA 92123-4648

    14.99

CLASS R5 SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    100.00

SELECT CLASS SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    97.27

JPM ASIA PACIFIC FUND

 

CLASS A SHARES

 

RAYMOND JAMES

OMNIBUS FOR MUTUAL FUNDS

ATTN COURTNEY WALLER

880 CARILLON PKWY

ST PETERSBURG FL 33716-1100

    19.63
 

STATE STREET BANK & TRUST CO

CUST FOR THE TRAD IRA OF DONALD G ROSE

16254 PALOMINO MESA WAY

SAN DIEGO CA 92127-4445

    14.09
 

JPMORGAN CLEARING CORP* OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    13.05
 

EDWARD D JONES & CO

FOR THE BENEFIT OF CUSTOMERS

12555 MANCHESTER RD

SAINT LOUIS MO 63131-3729

    12.04

 

5


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

TD AMERITRADE INC FOR THE EXCLUSIVE

BENEFIT OF OUR CLIENTS

PO BOX 2226

OMAHA NE 68103-2226

    10.11
 

JP MORGAN INVESTMENT MGMT*

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    7.80
 

STATE STREET BANK & TRUST CO

CUST FOR THE TRAD IRA OF ALBERT B GORDON JR

96 WESSKUM WOOD RD

OLD GREENWICH CT 06870-1515

    7.79

CLASS C SHARES

 

JPMORGAN CLEARING CORP*,** OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    65.61
 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    25.06

SELECT CLASS SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    69.99
 

JPMORGAN CHASE BANK N.A.*,**

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    26.53

JPM CALIFORNIA MUNICIPAL MONEY MKT FUND

 

ETRADE SHARES

 

E TRADE CLEAR LLC AS AGE FOR** THE EX BEN OF ITS DEP CUST FOR THEM&OTH

ATTN PAYMENT SERVICES DEPT

671 N GLEBE RD

BALLSTON TOWERS

ARLINGTON VA 22203-2120

    100.00

MORGAN SHARES

 

BEAR STEARNS SECURITIES CORP*,**

ATTN DENISE DILORENZO SIEGEL

1 METROTECH CTR N

BROOKLYN NY 11201-3832

    67.31
 

FIDUCIARY TRUST REVENUE

ATTN: BANK OPERATIONS

600 5TH AVE

NEW YORK NY 10020-2302

    20.74

 

6


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 

SERVICE SHARES

 

LPL FINANCIAL LLC AS AGENT** FOR AND EXCLUSIVE BENEFIT FOR IT’S CUSTOMERS

ATTN KRISTIN KENNEDY

9785 TOWNE CENTRE DR

SAN DIEGO CA 92121-1968

    100.00

JPM CALIFORNIA TAX FREE BOND FUND

 

CLASS A SHARES

 

JPMORGAN CLEARING CORP*,** OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    55.22
 

MORGAN STANLEY SMITH BARNEY

HARBORSIDE FINANCIAL CENTER PLAZA TWO FL 3

JERSEY CITY NJ 07311

    10.23
 

UBS WM USA

OMNI ACCOUNT M/F

ATTN DEPARTMENT MANAGER

499 WASHINGTON BLVD FL 9

JERSEY CITY NJ 07310-2055

    7.25
 

FIRST CLEARING LLC

SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER

2801 MARKET STREET

ST LOUIS MO 63103-2523

    7.02

CLASS C SHARES

 

JPMORGAN CLEARING CORP*,** OMNIBUS ACCT

FOR THE SOLE BENEFIT OF

CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    57.45
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR E FL 3

JACKSONVILLE FL 32246-6484

    13.36
 

FIRST CLEARING LLC

SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER

2801 MARKET STREET

ST LOUIS MO 63103-2523

    7.62

INSTITUTIONAL CLASS SHARES

 

JPMORGAN CHASE BANK N.A.*,**

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    50.98

 

7


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

NATIONAL FINANCIAL SERVICES** LLC

FOR THE EXCLUSIVE BENEFIT OF OUR CUSTOMERS

ATTN MUTUAL FUNDS DEPT 4TH FL

499 WASHINGTON BLVD

JERSEY CITY NJ 07310-2010

    32.22
 

FIRST CLEARING LLC

SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER

2801 MARKET STREET

ST LOUIS MO 63103-2523

    5.31

SELECT CLASS SHARES

 

JPMORGAN CLEARING CORP*,** OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    29.61
 

MLPF&S FOR THE SOLE BENEFIT** OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR E FL 3

JACKSONVILLE FL 32246-6484

    25.17
 

CHARLES SCHWAB & CO INC

SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS

ATTN: MUTUAL FUNDS

101 MONTGOMERY ST

SAN FRANCISCO CA 94104-4151

    15.29
 

JPMORGAN CHASE BANK N.A.*

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    10.48
 

NATIONAL FINANCIAL SERVICES LLC

FOR THE EXCLUSIVE BENEFIT OF OUR CUSTOMERS

ATTN MUTUAL FUNDS DEPT

4TH FL

499 WASHINGTON BLVD

JERSEY CITY NJ 07310-2010

    9.07

JPM CHINA REGION FUND

  

CLASS A SHARES

 

JPMORGAN CLEARING CORP*,**

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    34.39
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    17.15

 

8


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

CHARLES SCHWAB & CO INC

SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS

ATTN: MUTUAL FUNDS

101 MONTGOMERY ST

SAN FRANCISCO CA 94104-4151

    9.55
 

BENJAMIN H SOETER

YULI M SOETER JTWROS

908 PARADISE LN

POPLAR BLUFF MO 63901-2240

    5.28

CLASS C SHARES

 

JPMORGAN CLEARING CORP*,**

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    38.99
 

MLPF&S**

4800 DEER LAKE DRIVE EAST

2ND FLR

JACKSONVILLE FL 32246-6484

    26.40
 

NATIONAL FINANCIAL SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

499 WASHINGTON BLVD

ATTN MUTUAL FUNDS DEPT

4TH FLOOR

JERSEY CITY NJ 07310-2010

    7.09
 

FIRST CLEARING LLC

SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER

2801 MARKET STREET

ST LOUIS MO 63103-2523

    5.43

SELECT CLASS SHARES

 

JPMORGAN CHASE BANK N.A.*,**

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    96.80

JPM COMMODITIES STRATEGY FUND

  

CLASS A SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    48.01
 

STATE STREET BANK & TRUST**

CO CUST FOR THE TRAD IRA OF

DAVID W RYAN

1906 LOWER HUNTERS TRCE

LOUISVILLE KY 40216-1526

    30.79

 

9


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

STATE STREET BANK & TRUST

CO CUST FOR THE TRAD IRA OF

CHARLES R MARTIN SR

104 MANNINGTON CT

DOTHAN AL 36305-6326

    21.20

CLASS C SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    100.00

CLASS R6 SHARES

 

JPMIM AS AGENT FOR*,**

JPMORGAN SMARTRETIREMENT 2015 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    31.61
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT INCOME FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    23.69
 

JPMIM AS AGENT FOR*

JPMORGAN DIVERSIFIED REAL RETURN

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    15.74
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2020 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    13.81
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2010 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    13.33

SELECT CLASS SHARES

 

JPMIM AS AGENT FOR*,**

JPMORGAN INVESTOR BALANCED FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    25.63
 

JPMIM AS AGENT FOR*

JPMORGAN INVESTOR CONSERVATIVE GROWTH FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    22.45

 

10


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

JP MORGAN INVESTMENT MGMT*

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    18.83
 

JPMIM AS AGENT FOR*

JPMORGAN INVESTOR GROWTH AND INCOME

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    16.03
 

JPMIM AS AGENT FOR*

JPMORGAN INVESTOR GROWTH FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    12.41

JPM CORPORATE BOND FUND

 

CLASS A SHARES

 

GENWORTH FINANCIAL TRUST** CO CUST

FBO GFWM AND MUTUAL CLIENTS

FBO OTHER CUSTODIAL CLIENTS

3200 N CENTRAL AVE

PHOENIX AZ 85012-2468

    42.00
 

PERSHING LLC**

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    27.82
 

TD AMERITRADE INC FOR THE

EXCLUSIVE BENEFIT OF OUR CLIENTS

PO BOX 2226

OMAHA NE 68103-2226

    10.54

CLASS C SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    83.60
 

STATE STREET BANK & TRUST CO

CUST FOR THE TRAD IRA OF

JEROME J PAPROCKI

2110 37TH ST

COLUMBUS NE 68601-3071

    16.40

CLASS R6 SHARES

 

JPMIM AS AGENT FOR*,**

JPMORGAN SMARTRETIREMENT 2020 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    26.60

 

11


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2025 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    16.31
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2015 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    14.38
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2030 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    13.94
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT INCOME FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    7.64
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2035 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    5.97

SELECT CLASS SHARES

 

LPL FINANCIAL**

9785 TOWNE CENTRE DRIVE

SAN DIEGO CA 92121-1968

    34.67
 

JPMIM AS AGENT FOR*,**

OFFICE OF HAWAIIAN AFFAIRS

ATTN CLIENT SERVICES

460 POLARIS PKWY # OH1-1235

WESTERVILLE OH 43082-8212

    33.34
 

BRICS & CO*,**

C/O JPMORGAN WSS OPERATIONS

ATTN NAT AMARATANA TX1-J165

14201 DALLAS PKWY

DALLAS TX 75254-2916

    28.48

JPM CURRENT INCOME FUND

 

INSTITUTIONAL CLASS SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    100.00

 

12


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 

SELECT CLASS SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    100.00

JPM CURRENT YIELD MONEY MKT FUND

 

CAPITAL SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    100.00

INSTITUTIONAL CLASS SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    100.00

JPM DISCIPLINED EQUITY FUND

 

CLASS A SHARES

 

NATIONAL FINANCIAL** SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

499 WASHINGTON BLVD

ATTN MUTUAL FUNDS DEPT 4TH FLOOR

JERSEY CITY NJ 07310-2010

    28.08
 

GREAT-WEST TRUST COMPANY LLC TTEE F

EMPLOYEE BENEFITS CLIENTS 401K

8515 E ORCHARD RD 2T2

GREENWOOD VILLAGE CO 80111-5002

    8.89
 

SAXON & CO

P O BOX 7780-1888

PHILADELPHIA PA 19182-0001

    5.59

INSTITUTIONAL CLASS SHARES

 

NATIONAL FINANCIAL** SERVICES LLC

FOR THE EXCLUSIVE BENEFIT OF OUR CUSTOMERS

ATTN MUTUAL FUNDS DEPT 4TH FL

499 WASHINGTON BLVD

JERSEY CITY NJ 07310-2010

    52.67
 

CHARLES SCHWAB & CO INC

SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS

ATTN: MUTUAL FUNDS

101 MONTGOMERY ST

SAN FRANCISCO CA 94104-4151

    15.05
 

MARIL & CO FBO NG

C/O BMO HARRIS BANK NA ATTN MF

ATTN MF

11270 W PARK PL STE 400

MILWAUKEE WI 53224-3638

    10.33

 

13


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

JPMORGAN CHASE CUSTODIAN*

FBO HOUSING AND URBAN DEVELOPMENT

4 NEW YORK PLAZA 12TH FLOOR

NEW YORK NY 10004-2413

    9.13

CLASS R6 SHARES

 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2030 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    17.44
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2040 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    13.51
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2020 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    12.63
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2025 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    12.01
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2035 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    10.80
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2015 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    6.77
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2045 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    6.24

SELECT CLASS SHARES

 

NATIONAL FINANCIAL SERVICES LLC

FOR THE EXCLUSIVE BENEFIT OF OUR CUSTOMERS

ATTN MUTUAL FUNDS DEPT 4TH FL

499 WASHINGTON BLVD

JERSEY CITY NJ 07310-2010

    18.13

 

14


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

JPMORGAN CHASE BANK N.A.*

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    13.30
 

SAXON & CO

P O BOX 7780-1888

PHILADELPHIA PA 19182-0001

    6.60
 

T ROWE PRICE RETIREMENT PLAN SERVICES INC CUST

FBO RETIREMENT PLAN CLIENTS

4515 PAINTERS MILL RD

OWINGS MILLS MD 21117-4903

    5.17

JPM DIVERSIFIED FUND

 

CLASS A SHARES

 

JPMORGAN CLEARING CORP*,** OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    42.63
 

BANCO POPULAR DE PUERTO RICO

FBO CHEVRON PR PENSION PLAN

FIDUCIARY SERVICES DIVISION (725)

ATTN ROSAURA COSME

PO BOX 362708

SAN JUAN PR 00936-2708

    7.69
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DRIVE EAST 2ND FLR

JACKSONVILLE FL 32246-6484

    5.09

CLASS B SHARES

 

JPMORGAN CLEARING CORP*,** OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    48.53

CLASS C SHARES

 

JPMORGAN CLEARING CORP*,** OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    52.48
 

MLPF&S

4800 DEER LAKE DR EAST 2ND FL

JACKSONVILLE FL 32246-6484

    9.68

 

15


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

FIRST CLEARING LLC

SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE

BENEFIT OF CUSTOMER

2801 MARKET STREET

ST LOUIS MO 63103-2523

    7.36
 

RAYMOND JAMES

OMNIBUS FOR MUTUAL FUNDS

HOUSE ACCT FIRM 92500015

ATTN COURTNEY WALLER

880 CARILLON PKWY

ST PETERSBURG FL 33716-1100

    5.63
 

LPL FINANCIAL

9785 TOWNE CENTRE DRIVE

SAN DIEGO CA 92121-1968

    5.53

INSTITUTIONAL CLASS SHARES

 

BRICS & CO*,**

C/O JPMORGAN WSS OPERATIONS

ATTN NAT AMARATANA TX1-J165

14201 DALLAS PKWY

DALLAS TX 75254-2916

    32.51
 

JPMIM AS AGENT FOR*

WEILL CORNELL MEDICAL BENEFITS TRUST DIVERSIFIED

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-2470

NEWARK DE 19713-2105

    16.63
 

JPMIM AS AGENT FOR*

BAE SYSTEMS SUPPLEMENTAL RETIREMENT TRUST

ATTN CLIENT SERVICES

460 POLARIS PKWY

WESTERVILLE OH 43082-8212

    7.38
 

JPMORGAN CHASE BANK N.A.*

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    6.81
 

JPMIM AS AGENT FOR*

RESEARCH FOUNDATION CUNY

ATTN CLIENT SERVICES

460 POLARIS PKWY # OH1-1235

WESTERVILLE OH 43082-8212

    5.55
 

JPMIM AS AGENT FOR*

NEW YORK UNIVERSITY VEBA TRUST

ATTN: CLIENT SERVICES

500 STANTON CHRISTIANA RD

OPS 2/2 DE3-3750

NEWARK DE 19713-2105

    5.54

 

16


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 

SELECT CLASS SHARES

 

JPMORGAN CHASE BANK N.A.*,*

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    32.37
 

GILA RIVER HEALTHCARE CORPORATION

PO BOX 310

483 WEST SEED FARM ROAD

SACATON AZ 85147-0006

    24.88
 

JPMORGAN CHASE BANK AS* TRUSTEE

FBO PROFIT SHARING PLAN FOR EMPLOYEES OF TRINITY INC

11500 OUTLOOK ST

OVERLAND PARK KS 66211-1804

    6.83
 

NATIONAL FINANCIAL SERVICES LLC

FOR THE EXCLUSIVE BENEFIT OF OUR CUSTOMERS

ATTN MUTUAL FUNDS DEPT 4TH FL

499 WASHINGTON BLVD

JERSEY CITY NJ 07310-2010

    6.81

JPM DIVERSIFIED REAL RETURN FUND

 

CLASS A SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    39.99
 

PIMS/PRUDENTIAL RETIREMENT**

AS NOMINEE FOR THE TTEE/CUST PL 767

VIRTUOSO, LTD 401(K)

505 MAIN ST STE 500

FT WORTH TX 76102-5456

    35.20
 

EDWARD D JONES & CO

FOR THE BENEFIT OF CUSTOMERS

12555 MANCHESTER RD

SAINT LOUIS MO 63131-3729

    6.61

CLASS C SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    72.93
 

RAYMOND JAMES

OMNIBUS FOR MUTUAL FUNDS

HOUSE ACCT FIRM 92500015

ATTN COURTNEY WALLER

880 CARILLON PKWY

ST PETERSBURG FL 33716-1100

    8.16

 

17


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    6.38

CLASS R2 SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    97.26

CLASS R5 SHARES

 

NFS LLC FBO**

ASC TRUST CORP

ATTN GABY BAMBA

CAPITOL PLAZA BLDG

120 FATHER DUENAS AVE STE 110

HAGATNA GU 96910-5058

    45.15
 

PRUDENTIAL BANK & TRUST**

FSB TTEE

STATE OF HAWAII

280 TRUMBULL STREET

HARTFORD CT 06103-3509

    25.48
 

NFS LLC FBO

FIIOC AGENT FBO

QUALIFIED EMPLOYEE

PLANS 401K FINOPS-IC FUNDS

100 MAGELLAN WAY # KW1C

COVINGTON KY 41015-1987

    20.71

SELECT CLASS SHARES

 

JPMIM AS AGENT FOR*,**

WEILL CORNELL MEDICAL BENEFITS TRUST DIVERSIFIED

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-2470

NEWARK DE 19713-2105

    49.87
 

BRICS & CO*,**

C/O JPMORGAN WSS OPERATIONS

ATTN NAT AMARATANA TX1-J165

14201 DALLAS PKWY

DALLAS TX 75254-2916

    45.42

JPM DYNAMIC GROWTH FUND

 

CLASS A SHARES

 

EDWARD D JONES & CO**

FOR THE BENEFIT OF CUSTOMERS

12555 MANCHESTER RD

SAINT LOUIS MO 63131-3729

    32.81
 

JPMORGAN CLEARING CORP* OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    22.30

 

18


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

CHARLES SCHWAB & CO INC

SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS

ATTN: MUTUAL FUNDS

101 MONTGOMERY ST

SAN FRANCISCO CA 94104-4151

    8.91
 

NATIONAL FINANCIAL SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

499 WASHINGTON BLVD

ATTN MUTUAL FUNDS DEPT 4TH FLOOR

JERSEY CITY NJ 07310-2010

    7.84

CLASS C SHARES

 

JPMORGAN CLEARING CORP*,**

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    35.20
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR E FL 3

JACKSONVILLE FL 32246-6484

    10.03
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    8.86
 

NATIONAL FINANCIAL SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

499 WASHINGTON BLVD

ATTN MUTUAL FUNDS DEPT

4TH FLOOR

JERSEY CITY NJ 07310-2010

    8.10
 

EDWARD D JONES & CO

FOR THE BENEFIT OF CUSTOMERS

12555 MANCHESTER RD

SAINT LOUIS MO 63131-3729

    8.02
 

LPL FINANCIAL

9785 TOWNE CENTRE DRIVE

SAN DIEGO CA 92121-1968

    6.11
 

JP MORGAN INVESTMENT MGMT*

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    6.03
 

RBC CAPITAL MARKETS LLC

MUTUAL FUND OMNIBUS PROCESSING OMNIBUS

ATTN MUTUAL FUND OPS MANAGER

510 MARQUETTE AVE S

MINNEAPOLIS MN 55402-1110

    5.63

 

19


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 

CLASS R5 SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    90.79
 

NATIONAL FINANCIAL SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

499 WASHINGTON BLVD

ATTN MUTUAL FUNDS DEPT

4TH FLOOR

JERSEY CITY NJ 07310-2010

    9.21

SELECT CLASS SHARES

 

JPMIM AS AGENT FOR*,**

JPMORGAN INVESTOR BALANCED FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    44.13
 

JPMIM AS AGENT FOR*

JPMORGAN INVESTOR GROWTH AND INCOME

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    19.25
 

JPMIM AS AGENT FOR*

JPMORGAN INVESTOR CONSERVATIVE GROWTH FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    15.60
 

JPMIM AS AGENT FOR*

JPMORGAN INVESTOR GROWTH FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    9.99

JPM DYNAMIC SMALL CAP GROWTH FUND

 

CLASS A SHARES

 

MLPF&S FOR THE SOLE BENEFIT** OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DRIVE EAST

2ND FLR

JACKSONVILLE FL 32246-6484

    27.40
 

JPMORGAN CLEARING CORP* OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    20.31
 

MORGAN STANLEY SMITH BARNEY

HARBORSIDE FINANCIAL CENTER PLAZA TWO FL 3

JERSEY CITY NJ 07311

    15.91

 

20


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 

CLASS B SHARES

 

JPMORGAN CLEARING CORP*,** OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    46.86
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DRIVE EAST

2ND FLR

JACKSONVILLE FL 32246-6484

    9.84
 

STATE STREET BANK & TRUST

CO CUST FOR THE TRAD IRA OF STEPHEN H ARBIT

7380 S ORIOLE BLVD APT 207

DELRAY BEACH FL 33446-3503

    5.65
 

MORGAN STANLEY SMITH BARNEY

HARBORSIDE FINANCIAL CENTER PLAZA TWO FL 3

JERSEY CITY NJ 07311

    5.45

CLASS C SHARES

 

MLPF&S FOR THE SOLE BENEFIT** OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR EAST 2ND FL

JACKSONVILLE FL 32246-6484

    89.15

SELECT CLASS SHARES

 

MORGAN STANLEY SMITH** BARNEY

HARBORSIDE FINANCIAL CENTER PLAZA TWO FL 3

JERSEY CITY NJ 07311

    91.22

JPM EMERGING ECONOMIES FUND

  

CLASS A SHARES

 

GENWORTH FINANCIAL TRUST** CO CUST

FBO GFWM AND MUTUAL CLIENTS

FBO OTHER CUSTODIAL CLIENTS

3200 N CENTRAL AVE

PHOENIX AZ 85012-2468

    37.70
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    22.32
 

TD AMERITRADE INC FOR THE EXCLUSIVE

BENEFIT OF OUR CLIENTS

PO BOX 2226

OMAHA NE 68103-2226

    8.94
 

JPMORGAN CLEARING CORP* OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    6.51

 

21


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

UBS WM USA

OMNI ACCOUNT M/F

ATTN DEPARTMENT MANAGER

499 WASHINGTON BLVD FL 9

JERSEY CITY NJ 07310-2055

    6.45

CLASS C SHARES

 

RAYMOND JAMES**

OMNIBUS FOR MUTUAL FUNDS HOUSE ACCT FIRM 92500015

ATTN COURTNEY WALLER

880 CARILLON PKWY

ST PETERSBURG FL 33716-1100

    32.28
 

JPMORGAN CLEARING CORP* OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    19.82
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    12.09
 

EDWARD D JONES & CO

FOR THE BENEFIT OF CUSTOMERS

12555 MANCHESTER RD

SAINT LOUIS MO 63131-3729

    8.80

CLASS R5 SHARES

 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2030 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    16.80
 

ATTN MUTUAL FUND OPERATIONS MAC & CO

PO BOX 3198

PITTSBURGH PA 15230-3198

    14.75
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2040 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    14.01
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2020 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    13.05
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2025 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    11.49

 

22


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2035 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    10.97
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2045 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    6.41
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2050 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    5.05

SELECT CLASS SHARES

 

JPMIM AS AGENT FOR*,**

JPMORGAN INVESTOR BALANCED FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    26.23%   
 

JPMIM AS AGENT FOR*

JPMORGAN INVESTOR GROWTH AND INCOME

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    17.50%   
 

JPMIM AS AGENT FOR*

JPMORGAN INVESTOR CONSERVATIVE GROWTH FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    14.39%   
 

JPMIM AS AGENT FOR*

JPMORGAN INVESTOR GROWTH FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    13.31%   
 

BROWN BROTHERS HARRIMAN AND COMPANY

AS CUSTODIAN

525 WASHINGTON BLVD

JERSEY CITY NJ 07310-1692

    11.24%   
 

COMERICA BANK

FBO NORTHERN ARIZONA HEALTHCARE

PO BOX 75000

DETROIT MI 48275-0001

    7.60

 

23


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 

JPM EMERGING MKTS DEBT FUND

 

CLASS A SHARES

 

GENWORTH FINANCIAL TRUST** CO CUST

FBO GFWM AND MUTUAL CLIENTS

FBO OTHER CUSTODIAL CLIENTS

3200 N CENTRAL AVE

PHOENIX AZ 85012-2468

    28.24
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    17.74
 

JPMORGAN CLEARING CORP* OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    17.37
 

UBS WM USA

OMNI ACCOUNT M/F

ATTN DEPARTMENT MANAGER

499 WASHINGTON BLVD FL 9

JERSEY CITY NJ 07310-2055

    7.28
 

TD AMERITRADE INC FOR THE

EXCLUSIVE BENEFIT OF OUR CLIENTS

PO BOX 2226

OMAHA NE 68103-2226

    6.42
 

EDWARD D JONES & CO

FOR THE BENEFIT OF CUSTOMERS

12555 MANCHESTER RD

SAINT LOUIS MO 63131-3729

    5.35

CLASS C SHARES

 

JPMORGAN CLEARING CORP*,** OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    41.39
 

FIRST CLEARING LLC

SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER

2801 MARKET STREET

ST LOUIS MO 63103-2523

    16.94
 

MORGAN STANLEY SMITH BARNEY

HARBORSIDE FINANCIAL CENTER

PLAZA TWO FL 3

JERSEY CITY NJ 07311

    8.26
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR E FL 3

JACKSONVILLE FL 32246-6484

    7.73

 

24


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 

CLASS R5 SHARES

 

MITRA & CO**

C/O M&I TRUST CO NA ATTN MF

11270 W PARK PL STE 400

MILWAUKEE WI 53224-3638

    75.06
 

FRONTIER TRUST CO FBO

ACCURATE CORROSION CONTROL INC 40 212399

PO BOX 10758

FARGO ND 58106-0758

    24.22

CLASS R6 SHARES

 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2020 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    17.21
 

ATTN MUTUAL FUND OPERATIONS

MAC & CO

PO BOX 3198

PITTSBURGH PA 15230-3198

    14.58
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2030 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    12.04
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2025 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    11.27
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2015 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    9.27
 

JPMIM AS AGENT FOR*

JPMORGAN DIVERSIFIED FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    6.09
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT INCOME FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    5.39

 

25


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 

SELECT CLASS SHARES

 

JPMIM AS AGENT FOR*

JPMORGAN INVESTOR BALANCED FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    18.63
 

JPMORGAN CHASE BANK N.A.*

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    16.57
 

JPMIM AS AGENT FOR*

JPMORGAN INVESTOR CONSERVATIVE GROWTH FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    12.99
 

CHARLES SCHWAB & CO INC

SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS

ATTN: MUTUAL FUNDS

101 MONTGOMERY ST

SAN FRANCISCO CA 94104-4151

    11.29
 

JPMIM AS AGENT FOR*

JPMORGAN INVESTOR GROWTH AND INCOME

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    6.82
 

BRICS & CO*

C/O JPMORGAN WSS OPERATIONS

ATTN NAT AMARATANA TX1-J165

14201 DALLAS PKWY

DALLAS TX 75254-2916

    6.49
 

MORGAN STANLEY SMITH BARNEY

HARBORSIDE FINANCIAL CENTER

PLAZA TWO FL 3

JERSEY CITY NJ 07311

    5.77
 

JPMIM AS AGENT FOR*

JPMORGAN INVESTOR GROWTH FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    5.69

JPM EMERGING MKTS EQUITY FUND

 

CLASS A SHARES

 

BNY MELLON INVESTMENT** SERVICING INC

FBO PRIMERICA FINANCIAL SERVICES

760 MOORE RD

KING OF PRUSSIA PA 19406-1212

    27.29

 

26


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

JPMORGAN CLEARING CORP* OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    13.31
 

GENWORTH FINANCIAL TRUST CO CUST

FBO GFWM AND MUTUAL CLIENTS

FBO OTHER CUSTODIAL CLIENTS

3200 N CENTRAL AVE

PHOENIX AZ 85012-2468

    10.21
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    7.58
 

EDWARD D JONES & CO

FOR THE BENEFIT OF CUSTOMERS

12555 MANCHESTER RD

SAINT LOUIS MO 63131-3729

    5.03

CLASS B SHARES

 

JPMORGAN CLEARING CORP*,** OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    48.46
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    10.31
 

MORGAN STANLEY SMITH BARNEY

HARBORSIDE FINANCIAL CENTER

PLAZA TWO FL 3

JERSEY CITY NJ 07311

    8.89
 

NATIONAL FINANCIAL SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

499 WASHINGTON BLVD

ATTN MUTUAL FUNDS DEPT

4TH FLOOR

JERSEY CITY NJ 07310-2010

    8.16
 

FIRST CLEARING LLC

SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER

2801 MARKET STREET

ST LOUIS MO 63103-2523

    5.37

CLASS C SHARES

 

MORGAN STANLEY SMITH BARNEY

HARBORSIDE FINANCIAL CENTER

PLAZA TWO FL 3

JERSEY CITY NJ 07311

    23.70

 

27


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

JPMORGAN CLEARING CORP* OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    22.16
 

FIRST CLEARING LLC

SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER

2801 MARKET STREET

ST LOUIS MO 63103-2523

    10.30
 

UBS WM USA

OMNI ACCOUNT M/F

ATTN DEPARTMENT MANAGER

499 WASHINGTON BLVD FL 9

JERSEY CITY NJ 07310-2055

    8.15
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    7.33
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR E FL 3

JACKSONVILLE FL 32246-6484

    6.60
 

RAYMOND JAMES

OMNIBUS FOR MUTUAL FUNDS

HOUSE ACCT FIRM

ATTN COURTNEY WALLER

880 CARILLON PKWY

ST PETERSBURG FL 33716-1100

    6.01

INSTITUTIONAL CLASS SHARES

 

JPMORGAN CLEARING CORP*,** OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    54.53
 

ATTN MUTUAL FUND OPERATIONS

MAC & CO

PO BOX 3198

PITTSBURGH PA 15230-3198

    10.22
 

JPMORGAN CHASE BANK N.A.*

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    10.17

 

28


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

MARIL & CO FBO JD

C/O M&I TRUST COMPANY NA

11270 W PARK PL STE 400 # PPW04WM

MILWAUKEE WI 53224-3638

    7.37
 

CHARLES SCHWAB & CO INC

SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS

ATTN: MUTUAL FUNDS

101 MONTGOMERY ST

SAN FRANCISCO CA 94104-4151

    5.42

CLASS R6 SHARES

 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2030 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    17.41
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2040 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    14.95
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2020 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    13.70
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2025 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    12.66
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2035 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    11.78
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2045 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    6.82
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2050 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    5.60

 

29


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 

SELECT CLASS SHARES

 

MORGAN STANLEY SMITH BARNEY

HARBORSIDE FINANCIAL CENTER

PLAZA TWO FL 3

JERSEY CITY NJ 07311

    22.47
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    15.30
 

JPMIM AS AGENT FOR*

JPMORGAN INVESTOR BALANCED FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    12.40
 

JPMIM AS AGENT FOR*

JPMORGAN INVESTOR GROWTH AND INCOME

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    8.52
 

JPMORGAN CHASE BANK N.A.*

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    7.70
 

JPMIM AS AGENT FOR*

JPMORGAN INVESTOR CONSERVATIVE GROWTH FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    6.95
 

JPMIM AS AGENT FOR*

JPMORGAN INVESTOR GROWTH FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    6.61
 

NATIONAL FINANCIAL SERVICES LLC

FOR THE EXCLUSIVE BENEFIT OF OUR CUSTOMERS

ATTN MUTUAL FUNDS DEPT 4TH FL

499 WASHINGTON BLVD

JERSEY CITY NJ 07310-2010

    5.90

JPM EMERGING MKTS LOCAL CURRENCY DEBT FD

 

CLASS A SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    33.61

 

30


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

EDWARD D JONES & CO

FOR THE BENEFIT OF CUSTOMERS

12555 MANCHESTER RD

SAINT LOUIS MO 63131-3729

    15.94
 

STATE STREET BANK & TRUST CO

CUST FOR THE TRAD IRA OF RAJAN JAIN

16 CLARENDON PL

SCARSDALE NY 10583-2418

    13.29
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    8.97
 

STATE STREET BANK & TRUST CO

CUST FOR THE TRAD IRA OF JIM A GRIES

4970 E COUNTY ROAD 2100 N

DALE IN 47523-9589

    6.91

CLASS C SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    100.00

CLASS R2 SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    100.00

CLASS R5 SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    100.00

CLASS R6 SHARES

 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2020 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    16.62
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2030 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    15.22
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2025 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    12.38

 

31


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2040 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    12.08
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2035 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    10.36
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2015 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    7.89
 

JPMIM AS AGENT FOR*

JPMORGAN DIVERSIFIED FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    5.69
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT INCOME FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    5.21
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2050 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    5.14

SELECT CLASS SHARES

 

JPMIM AS AGENT FOR*,**

JPMORGAN INVESTOR CONSERVATIVE GROWTH FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    41.77
 

JPMIM AS AGENT FOR*,**

JPMORGAN INVESTOR BALANCED FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    30.03
 

JPMIM AS AGENT FOR*

JPMORGAN INVESTOR GROWTH AND INCOME

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    13.82

 

32


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

JPMIM AS AGENT FOR*

JPMORGAN INVESTOR GROWTH FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    7.10
 

JP MORGAN INVESTMENT MGMT*

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    6.85

JPM EQUITY FOCUS FUND

 

CLASS A SHARES

 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    32.40
 

JP MORGAN INVESTMENT MGMT*

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    24.42
 

TD AMERITRADE INC FOR THE EXCLUSIVE

BENEFIT OF OUR CLIENTS

PO BOX 2226

OMAHA NE 68103-2226

    19.63
 

STATE STREET BANK & TRUST CO

CUST FOR THE TRAD IRA OF SANFORD P SITES

W164N8532 HIAWATHA AVE

MENOMONEE FLS WI 53051-3029

    6.34
 

STATE STREET BANK & TRUST CO

CUST FOR THE TRAD IRA OF VISH IYER

3575 MARTIGUES CT

SAN JOSE CA 95148-4396

    5.71

CLASS C SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    61.95
 

JPMORGAN CLEARING CORP* OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    8.31
 

STATE STREET BANK & TRUST CO

CUST FOR THE TRAD IRA OF JEROME J PAPROCKI

2110 37TH ST

COLUMBUS NE 68601-3071

    7.82

 

33


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

STATE STREET BANK & TRUST CO

CUST FOR THE TRAD IRA OF WILLIAM C STELLHORN

2712 MERIDIAN LAKE DR

BELLEVILLE IL 62221-3371

    6.46

SELECT CLASS SHARES

 

JPMORGAN CHASE BANK N.A.*,**

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    90.78
 

JP MORGAN INVESTMENT MGMT*

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    7.17

JPM FEDERAL MONEY MKT FUND

 

AGENCY SHARES

 

WSS EOD REGULAR SWEEP** OMNIBUS

10410 HIGHLAND MANOR DRIVE

3RD FLOOR

TAMPA FL 33610-9128

    69.39
 

JPMORGAN CHASE BANK N.A.*

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    13.60
 

HARE & CO C/O THE BANK OF NEW YORK

ATTN STIF/ MASTERNOTE

111 SANDERS CREEK PKWY

EAST SYRACUSE NY 13057-1382

    8.04

INSTITUTIONAL CLASS SHARES

 

JPMORGAN CHASE BANK N.A.*,**

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    44.33
 

EDWARD D JONES & CO**

FOR THE BENEFIT OF CUSTOMERS

12555 MANCHESTER RD

SAINT LOUIS MO 63131-3729

    33.66
 

MCKINSEY MASTER RETIREMENT TRUST

ATTN: GRACE LAUDATO

55 EAST 52ND ST

NEW YORK NY 10055-0002

    10.02

 

34


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 

MORGAN SHARES

 

E TRADE CLEAR LLC AS AGE**

FOR THE EX BEN OF ITS DEP CUST FOR THEM&OTH

ATTN PAYMENT SERVICES DEPT

671 N GLEBE RD

BALLSTON TOWERS

ARLINGTON VA 22203-2120

    59.34
 

WSS EOD REGULAR SWEEP OMNIBUS

10410 HIGHLAND MANOR DRIVE

3RD FLOOR

TAMPA FL 33610-9128

    8.35
 

HARE & CO C/O THE BANK OF NEW YORK

ATTN STIF/ MASTERNOTE

111 SANDERS CREEK PKWY

EAST SYRACUSE NY 13057-1382

    7.79

PREMIER SHARES

 

JPMORGAN CHASE BANK N.A.*,**

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    47.31
 

WSS EOD REGULAR SWEEP OMNIBUS

10410 HIGHLAND MANOR DRIVE

3RD FLOOR

TAMPA FL 33610-9128

    7.98
 

PIERRE F LAPEYRE JR

1160 PARK AVE APT 3A

NEW YORK NY 10128-1212

    6.70
 

HEARTLAND INDUSTRIAL PARTNERS LIMITED PARTNERSHIP

ATTN STEVE LAMB

177 BROAD ST STE 1110 FL 10

STAMFORD CT 06901-2064

    6.38

RESERVE SHARES

 

BEAR STEARNS SECURITIES*,** CORP

ATTN DENISE DILORENZO SIEGEL

1 METROTECH CTR N

BROOKLYN NY 11201-3832

    72.70
 

BLUE SKY SATELLITE SERVICES** INC

ATTN DAVE BENNET

29475 W 95TH ST

DE SOTO KS 66018-9545

    26.64

 

35


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 

JPM FLOATING RATE INCOME FUND

 

CLASS A SHARES

 

JPMORGAN CLEARING CORP*,**

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    38.13
 

GENWORTH FINANCIAL TRUST** COMPANY

FOR THE SOLE BENEFIT OF CUSTOMERS

3200 N CENTRAL AVE

PHOENIX AZ 85012-2468

    27.18
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    11.86
 

TD AMERITRADE INC FOR THE EXCLUSIVE

BENEFIT OF OUR CLIENTS

PO BOX 2226

OMAHA NE 68103-2226

    5.45
 

NATIONAL FINANCIAL SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

499 WASHINGTON BLVD

ATTN MUTUAL FUNDS DEPT

4TH FLOOR

JERSEY CITY NJ 07310-2010

    5.02

CLASS C SHARES

 

JPMORGAN CLEARING CORP*,** OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    25.05
 

LPL FINANCIAL

9785 TOWNE CENTRE DRIVE

SAN DIEGO CA 92121-1968

    16.88
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    9.76
 

RAYMOND JAMES

OMNIBUS FOR MUTUAL FUNDS

ATTN COURTNEY WALLER

880 CARILLON PKWY

ST PETERSBURG FL 33716-1100

    6.12
 

EDWARD D JONES & CO

FOR THE BENEFIT OF CUSTOMERS

12555 MANCHESTER RD

SAINT LOUIS MO 63131-3729

    6.05

 

36


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

NATIONAL FINANCIAL SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

499 WASHINGTON BLVD

ATTN MUTUAL FUNDS DEPT

4TH FLOOR

JERSEY CITY NJ 07310-2010

    5.70

CLASS R6 SHARES

 

JPMORGAN CHASE BANK N.A.*,**

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    73.45
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2015 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    7.15
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2020 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    5.34

SELECT CLASS SHARES

 

JPMORGAN CHASE BANK N.A.*,**

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    84.52

JPM GLOBAL ALLOCATION FUND

  

CLASS A SHARES

 

PERSHING LLC**

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    35.31
 

LPL FINANCIAL

9785 TOWNE CENTRE DRIVE

SAN DIEGO CA 92121-1968

    20.38
 

JPMORGAN CLEARING CORP*

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    10.46

CLASS C SHARES

 

PERSHING LLC**

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    50.75
 

LPL FINANCIAL

9785 TOWNE CENTRE DRIVE

SAN DIEGO CA 92121-1968

    15.77

 

37


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

AMERICAN ENTERPRISE INVESTMENT SVC

707 2ND AVE S

MINNEAPOLIS MN 55402-2405

    8.52

CLASS R2 SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    100.00

SELECT CLASS SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    70.91
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    21.04

JPM GLOBAL BOND OPPORTUNITIES FUND

  

CLASS A SHARES

 

LPL FINANCIAL

9785 TOWNE CENTRE DRIVE

SAN DIEGO CA 92121-1968

    22.11
 

NATIONAL FINANCIAL SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

499 WASHINGTON BLVD

ATTN MUTUAL FUNDS DEPT

4TH FLOOR

JERSEY CITY NJ 07310-2010

    16.91
 

AMERICAN ENTERPRISE INVESTMENT SVC

707 2ND AVE S

MINNEAPOLIS MN 55402-2405

    15.88
 

EDWARD D JONES & CO

FOR THE BENEFIT OF CUSTOMERS

12555 MANCHESTER RD

SAINT LOUIS MO 63131-3729

    13.90
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    9.11
 

UBS WM USA

OMNI ACCOUNT M/F

ATTN DEPARTMENT MANAGER

499 WASHINGTON BLVD FL 9

JERSEY CITY NJ 07310-2055

    7.17
 

CHARLES SCHWAB & CO INC SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS

ATTN: MUTUAL FUNDS

101 MONTGOMERY ST

SAN FRANCISCO CA 94104-4151

    5.06

 

38


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 

CLASS C SHARES

 

PERSHING LLC**

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    38.99
 

LPL FINANCIAL

9785 TOWNE CENTRE DRIVE

SAN DIEGO CA 92121-1968

    22.95
 

PHILIP EBERLY

119 N VILLAGE LN

CHADDS FORD PA 19317-9327

    13.79
 

JP MORGAN INVESTMENT MGMT*

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    9.14
 

JPMORGAN CLEARING CORP* OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    6.66

CLASS R6 SHARES

 

JPMIM AS AGENT FOR AARP*,**

ATTN CLIENT SERVICES

460 POLARIS PKWY

OH1-0213

WESTERVILLE OH 43082-8212

    99.86

SELECT CLASS SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    71.90
 

JPMORGAN CHASE BANK N.A.*

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE
19713-2105

    12.13
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    8.32

JPM GLOBAL EQUITY INCOME FUND

  

CLASS A SHARES

 

GENWORTH FINANCIAL TRUST** COMPANY

FOR THE SOLE BENEFIT OF CUSTOMERS

3200 N CENTRAL AVE

PHOENIX AZ 85012-2468

    65.86
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    14.28

 

39


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

EDWARD D JONES & CO

FOR THE BENEFIT OF CUSTOMERS

12555 MANCHESTER RD

SAINT LOUIS MO 63131-3729

    6.74

CLASS C SHARES

 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    22.43
 

JP MORGAN INVESTMENT MGMT*

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    20.77
 

NATIONAL FINANCIAL SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

499 WASHINGTON BLVD

ATTN MUTUAL FUNDS DEPT 4TH FLOOR

JERSEY CITY NJ 07310-2010

    13.87
 

RAYMOND JAMES

OMNIBUS FOR MUTUAL FUNDS

ATTN COURTNEY WALLER

880 CARILLON PKWY

ST PETERSBURG FL 33716-1100

    10.06
 

JPMORGAN CLEARING CORP* OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    9.43
 

EDWARD D JONES & CO

FOR THE BENEFIT OF CUSTOMERS

12555 MANCHESTER RD

SAINT LOUIS MO 63131-3729

    6.75

CLASS R2 SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    100.00

CLASS R5 SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    100.00

SELECT CLASS SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    52.78

 

40


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

GENWORTH FINANCIAL TRUST COMPANY

FOR THE SOLE BENEFIT OF CUSTOMERS

3200 N CENTRAL AVE

PHOENIX AZ 85012-2468

    23.79
 

US BANK NA

FBO GUIDE PATH MULTI-ASSET INCOME ASSET

PO BOX 1787

MILWAUKEE WI 53201-1787

    9.19
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    5.73

JPM GLOBAL NATURAL RESOURCES FUND

  

CLASS A SHARES

 

JPMORGAN CLEARING CORP*

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    23.15
 

MORGAN STANLEY SMITH BARNEY

HARBORSIDE FINANCIAL CENTER

PLAZA TWO FL 3

JERSEY CITY NJ 07311

    14.48
 

STIFEL NICOLAUS & CO INC

EXCLUSIVE BENEFIT OF CUSTOMERS

501 N BROADWAY

SAINT LOUIS MO 63102-2188

    12.77
 

NATIONAL FINANCIAL SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

499 WASHINGTON BLVD

ATTN MUTUAL FUNDS DEPT

4TH FLOOR

JERSEY CITY NJ 07310-2010

    8.22

CLASS C SHARES

 

JPMORGAN CLEARING CORP*,** OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    34.76
 

LPL FINANCIAL**

9785 TOWNE CENTRE DRIVE

SAN DIEGO CA 92121-1968

    31.57
 

MORGAN STANLEY SMITH BARNEY

HARBORSIDE FINANCIAL CENTER

PLAZA TWO FL 3

JERSEY CITY NJ 07311

    13.81

 

41


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    7.60

CLASS R2 SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    94.23
 

FRONTIER TRUST CO FBO

AKS MACHINE INC 401K PLAN

PO BOX 10758

FARGO ND 58106-0758

    5.77

CLASS R5 SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    90.77
 

MG TRUST CO CUST FBO

ROCHESTER CATHOLIC SCHOOLS 403 B

717 17TH ST STE 1300

DENVER CO 80202-3304

    9.23

CLASS R6 SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    100.00

SELECT CLASS SHARES

 

JPMIM AS AGENT FOR*,**

JPMORGAN INVESTOR BALANCED FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    30.72
 

JPMIM AS AGENT FOR*,**

JPMORGAN INVESTOR CONSERVATIVE GROWTH FUND ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    28.47
 

JPMIM AS AGENT FOR*

JPMORGAN INVESTOR GROWTH AND INCOME

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    19.75%   
 

JPMIM AS AGENT FOR*

JPMORGAN INVESTOR GROWTH FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    14.80%   

 

42


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 

JPM GLOBAL RESEARCH ENHANCED INDEX FUND

  

CLASS A SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    100.00%   

CLASS C SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    100.00%   

CLASS R2 SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    100.00%   

SELECT CLASS SHARES

 

JPMORGAN CHASE BANK N.A.*,**

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    83.34%   
 

JPMIM AS AGENT FOR*

JPMORGAN INVESTOR BALANCED FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    5.21%   

JPM GROWTH AND INCOME FUND

  

CLASS A SHARES

 

JPMORGAN CLEARING CORP* OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    17.15%   

CLASS B SHARES

 

JPMORGAN CLEARING CORP*,** OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    59.06%   
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    6.81%   

CLASS C SHARES

 

JPMORGAN CLEARING CORP*,** OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    34.67

 

43


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

FIRST CLEARING LLC

SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE

BENEFIT OF CUSTOMER

2801 MARKET STREET

ST LOUIS MO 63103-2523

    14.22
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR EAST 2ND FL

JACKSONVILLE FL 32246-6484

    10.33
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    8.51

SELECT CLASS SHARES

 

FIRST CLEARING LLC**

SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE

BENEFIT OF CUSTOMER

2801 MARKET STREET

ST LOUIS MO 63103-2523

    39.36
 

RAYMOND JAMES

OMNIBUS FOR MUTUAL FUNDS

ATTN COURTNEY WALLER

880 CARILLON PKWY

ST PETERSBURG FL 33716-1100

    12.25
 

JPMORGAN CHASE BANK N.A.*

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE
19713-2105

    8.63
 

MORGAN STANLEY SMITH BARNEY

HARBORSIDE FINANCIAL CENTER

PLAZA TWO FL 3

JERSEY CITY NJ 07311

    7.93
 

NATIONAL FINANCIAL SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

ATTN MUTUAL FUNDS DEPT

4TH FL 499 WASHINGTON BLVD

JERSEY CITY NJ 07310-2010

    7.68

JPM INCOME BUILDER FUND

  

CLASS A SHARES

 

JPMORGAN CLEARING CORP* OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    22.17

 

44


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

MORGAN STANLEY SMITH BARNEY

HARBORSIDE FINANCIAL CENTER

PLAZA TWO FL 3

JERSEY CITY NJ 07311

    18.11
 

UBS WM USA

OMNI ACCOUNT M/F

ATTN DEPARTMENT MANAGER

499 WASHINGTON BLVD FL 9

JERSEY CITY NJ 07310-2055

    11.48
 

AMERICAN ENTERPRISE INVESTMENT SVC

707 2ND AVE S

MINNEAPOLIS MN 55402-2405

    9.15
 

EDWARD D JONES & CO

FOR THE BENEFIT OF CUSTOMERS

12555 MANCHESTER RD

SAINT LOUIS MO 63131-3729

    5.66

CLASS C SHARES

 

MORGAN STANLEY SMITH BARNEY

HARBORSIDE FINANCIAL CENTER

PLAZA TWO FL 3

JERSEY CITY NJ 07311

    17.45%   
 

JPMORGAN CLEARING CORP* OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    17.13%   
 

MLPF&S FOR THE SOLE

BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR E FL 3

JACKSONVILLE FL 32246-6484

    16.04%   
 

FIRST CLEARING LLC

SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE

BENEFIT OF CUSTOMER

2801 MARKET STREET

ST LOUIS MO 63103-2523

    11.70%   
 

RAYMOND JAMES

OMNIBUS FOR MUTUAL FUNDS

HOUSE ACCT FIRM

ATTN COURTNEY WALLER

880 CARILLON PKWY

ST PETERSBURG FL 33716-1100

    7.74%   

 

45


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

UBS WM USA

OMNI ACCOUNT M/F

ATTN DEPARTMENT MANAGER

499 WASHINGTON BLVD FL 9

JERSEY CITY NJ 07310-2055

    6.02%   
SELECT CLASS SHARES  

FIRST CLEARING LLC

SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE

BENEFIT OF CUSTOMER

2801 MARKET STREET

ST LOUIS MO 63103-2523

    23.81%   
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR E FL 3

JACKSONVILLE FL 32246-6484

    23.46%   
 

LPL FINANCIAL

9785 TOWNE CENTRE DRIVE

SAN DIEGO CA 92121-1968

    10.92%   
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    9.24%   
 

NATIONAL FINANCIAL SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

ATTN MUTUAL FUNDS DEPT 4TH FL

499 WASHINGTON BLVD

JERSEY CITY NJ 07310-2010

    6.64%   
 

RAYMOND JAMES

OMNIBUS FOR MUTUAL FUNDS HOUSE ACCT FIRM

ATTN COURTNEY WALLER

880 CARILLON PKWY

ST PETERSBURG FL 33716-1100

    5.83
 

JPMORGAN CHASE BANK N.A.*

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE
19713-2105

    5.81

JPM INFLATION MANAGED BOND FUND

  

CLASS A SHARES

 

NATIONAL FINANCIAL** SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

499 WASHINGTON BLVD

ATTN MUTUAL FUNDS DEPT 4TH FLOOR

JERSEY CITY NJ 07310-2010

    41.40

 

46


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

CHARLES SCHWAB & CO INC** SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS

ATTN: MUTUAL FUNDS

101 MONTGOMERY ST

SAN FRANCISCO CA 94104-4151

    33.67
 

DCGT TRUSTEE & OR CUSTODIAN

FBO PRINCIPAL FINANCIAL GROUP QUALIFIED

FIA OMNIBUS

ATTN NPIO TRADE DESK

711 HIGH ST

DES MOINES IA 50392-0001

    13.76

CLASS C SHARES

 

PERSHING LLC**

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    34.01
 

JPMORGAN CLEARING CORP*

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    21.71
 

RAYMOND JAMES

OMNIBUS FOR MUTUAL FUNDS HOUSE ACCT FIRM

ATTN COURTNEY WALLER

880 CARILLON PKWY

ST PETERSBURG FL 33716-1100

    7.98
 

NATIONAL FINANCIAL SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

499 WASHINGTON BLVD

ATTN MUTUAL FUNDS DEPT 4TH FLOOR

JERSEY CITY NJ 07310-2010

    7.26
 

UBS WM USA

OMNI ACCOUNT M/F

ATTN DEPARTMENT MANAGER

499 WASHINGTON BLVD FL 9

JERSEY CITY NJ 07310-2055

    6.58
 

MORGAN STANLEY SMITH BARNEY

HARBORSIDE FINANCIAL CENTER

PLAZA TWO FL 3

JERSEY CITY NJ 07311

    6.37
 

RBC CAPITAL MARKETS LLC

MUTUAL FUND OMNIBUS PROCESSING OMNIBUS

ATTN MUTUAL FUND OPS MANAGER

510 MARQUETTE AVE S

MINNEAPOLIS MN
55402-1110

    5.78

 

47


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 

CLASS R2 SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    42.43
 

DCGT TRUSTEE & OR CUSTODIAN**

FBO PRINCIPAL FINANCIAL GROUP QUALI

FIED FIA OMNIBUS

ATTN NPIO TRADE DESK

711 HIGH ST

DES MOINES IA 50392-0001

    26.52
 

FRONTIER TRUST CO FBO

BARCLAY MACHINE RETIREMENT 401K P

PO BOX 10758

FARGO ND 58106-0758

    17.53
 

DCGT TRUSTEE & OR CUSTODIAN

FBO PRINCIPAL FINANCIAL GROUP

QUALIFIED PRIN ADVTG OMNIBUS

ATTN NPIO TRADE DESK

711 HIGH ST

DES MOINES IA 50392-0001

    12.76

CLASS R5 SHARES

 

DCGT TRUSTEE & OR CUSTODIAN**

FBO SERVANT SOLUTIONS INC RETPLAN

T CUSTODIAN FUND OF FUNDS

ATTN NPIO TRADE DESK

711 HIGH ST

DES MOINES IA 50392-0001

    94.53
 

DCGT TRUSTEE & OR CUSTODIAN

FBO PRINCIPAL FINANCIAL GROUP

QUALIFIED PRIN ADVTG OMNIBUS

ATTN NPIO TRADE DESK

711 HIGH ST

DES MOINES IA 50392-0001

    5.03

CLASS R6 SHARES

 

NFS LLC FEBO**

THE NORTHERN TRUST COMPANY

PO BOX 92956

CHICAGO IL 60675-2956

    30.21
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2015 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    19.89
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT INCOME FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    14.85

 

48


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2020 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    12.86
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2010 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    7.84
 

JPMIM AS AGENT FOR*

JPMORGAN DIVERSIFIED REAL RETURN

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    6.11

SELECT CLASS SHARES

 

JPMORGAN CHASE BANK N.A.*,**

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    36.76
 

NATIONAL FINANCIAL SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

ATTN MUTUAL FUNDS DEPT 4TH FL

499 WASHINGTON BLVD

JERSEY CITY NJ 07310-2010

    14.57
 

JPMIM AS AGENT FOR*

JPMORGAN INVESTOR CONSERVATIVE GROWTH FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    13.20
 

CHARLES SCHWAB & CO INC

SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS

ATTN: MUTUAL FUNDS

101 MONTGOMERY ST

SAN FRANCISCO CA 94104-4151

    11.19
 

JPMIM AS AGENT FOR*

JPMORGAN INVESTOR BALANCED FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    10.65
 

JPMIM AS AGENT FOR*

JPMORGAN INVESTOR GROWTH AND INCOME

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    5.92

 

49


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 

JPM INTERMEDIATE TAX FREE BOND FUND

  

CLASS A SHARES

 

JPMORGAN CLEARING CORP*,**

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    38.01
 

MORGAN STANLEY SMITH BARNEY

HARBORSIDE FINANCIAL CENTER

PLAZA TWO FL 3

JERSEY CITY NJ 07311

    13.05
 

GENWORTH FINANCIAL TRUST CO CUST

FBO GFWM AND MUTUAL CLIENTS

FBO OTHER CUSTODIAL CLIENTS

3200 N CENTRAL AVE

PHOENIX AZ 85012-2468

    10.59
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    7.78

CLASS B SHARES

 

JPMORGAN CLEARING CORP*,**

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    54.39
 

FIRST CLEARING LLC

SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE

BENEFIT OF CUSTOMER

2801 MARKET STREET

ST LOUIS MO 63103-2523

    18.27
 

MERRILL LYNCH PIERCE FENNER & SMITH INC

FOR THE SOLE BENEFIT OF CUSTOMERS

4800 DEER LAKE DR EAST

JACKSONVILLE FL 32246-6484

    8.01
 

NATIONAL FINANCIAL SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

499 WASHINGTON BLVD

ATTN MUTUAL FUNDS DEPT

4TH FLOOR

JERSEY CITY NJ 07310-2010

    6.51

CLASS C SHARES

 

JPMORGAN CLEARING CORP*,**

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    56.39

 

50


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR EAST 2ND FL

JACKSONVILLE FL 32246-6484

    13.43
 

MORGAN STANLEY SMITH BARNEY

HARBORSIDE FINANCIAL CENTER

PLAZA TWO FL 3

JERSEY CITY NJ 07311

    8.05
 

UBS WM USA

OMNI ACCOUNT M/F

ATTN DEPARTMENT MANAGER

499 WASHINGTON BLVD FL 9

JERSEY CITY NJ 07310-2055

    5.40

INSTITUTIONAL CLASS SHARES

 

JPMORGAN CHASE BANK N.A.*,**

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    74.45
 

JPMORGAN CLEARING CORP* OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    16.00
 

CHARLES SCHWAB & CO INC SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS

ATTN: MUTUAL FUNDS

101 MONTGOMERY ST

SAN FRANCISCO CA 94104-4151

    6.35

SELECT CLASS SHARES

 

JPMORGAN CHASE BANK N.A.*,**

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE
19713-2105

    42.42
 

MORGAN STANLEY SMITH BARNEY

HARBORSIDE FINANCIAL CENTER

PLAZA TWO FL 3

JERSEY CITY NJ 07311

    12.62
 

CHARLES SCHWAB & CO INC SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS

ATTN: MUTUAL FUNDS

101 MONTGOMERY ST

SAN FRANCISCO CA 94104-4151

    9.03

 

51


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

NATIONAL FINANCIAL SERVICES LLC

FOR THE EXCLUSIVE BENEFIT OF OUR CUSTOMERS

ATTN MUTUAL FUNDS DEPT 4TH FL

499 WASHINGTON BLVD

JERSEY CITY NJ 07310-2010

    7.47

JPM INTERNATIONAL CURRENCY INCOME FUND

  

CLASS A SHARES

 

JPMORGAN CLEARING CORP*,** OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    46.58
 

NATIONAL FINANCIAL** SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

499 WASHINGTON BLVD

ATTN MUTUAL FUNDS DEPT 4TH FLOOR

JERSEY CITY NJ 07310-2010

    27.42
 

MORGAN STANLEY SMITH BARNEY

HARBORSIDE FINANCIAL CENTER

PLAZA TWO FL 3

JERSEY CITY NJ 07311

    10.93
 

CHARLES SCHWAB & CO INC

SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS

ATTN: MUTUAL FUNDS

101 MONTGOMERY ST

SAN FRANCISCO CA 94104-4151

    6.76

CLASS C SHARES

 

JPMORGAN CLEARING CORP*,**

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    60.62
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR EAST 2ND FL

JACKSONVILLE FL 32246-6484

    11.80
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    6.49
 

RAYMOND JAMES

OMNIBUS FOR MUTUAL FUNDS

HOUSE ACCT FIRM 92500015

ATTN COURTNEY WALLER

880 CARILLON PKWY

ST PETERSBURG FL 33716-1100

    5.75

 

52


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 

SELECT CLASS SHARES

 

JPMORGAN CHASE BANK N.A.*,**

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE
19713-2105

    87.21

JPM INTERNATIONAL EQUITY FUND

  

CLASS A SHARES

 

GENWORTH FINANCIAL TRUST** CO CUST

FBO GFWM AND MUTUAL CLIENTS

FBO OTHER CUSTODIAL CLIENTS

3200 N CENTRAL AVE

PHOENIX AZ 85012-2468

    36.49
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    20.25
 

JPMORGAN CLEARING CORP*

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    10.01%   
 

TD AMERITRADE INC FOR THE EXCLUSIVE

BENEFIT OF OUR CLIENTS

PO BOX 2226

OMAHA NE 68103-2226

    7.86

CLASS B SHARES

 

JPMORGAN CLEARING CORP*,**

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    55.07%   
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR E FL 3

JACKSONVILLE FL 32246-6484

    16.23

CLASS C SHARES

 

JPMORGAN CLEARING CORP*

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    23.41%   
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DRIVE EAST 2ND FLR

JACKSONVILLE FL 32246-6484

    23.29

 

53


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

MORGAN STANLEY SMITH BARNEY

HARBORSIDE FINANCIAL CENTER

PLAZA TWO FL 3

JERSEY CITY NJ 07311

    19.05%   
 

LPL FINANCIAL

9785 TOWNE CENTRE DRIVE

SAN DIEGO CA 92121-1968

    8.90%   
 

FIRST CLEARING LLC

SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE

BENEFIT OF CUSTOMER

2801 MARKET STREET

ST LOUIS MO 63103-2523

    6.35%   

CLASS R2 SHARES

 

MLPF&S FOR THE SOLE BENEFIT** OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR EAST 2ND FL

JACKSONVILLE FL 32246-6484

    37.02
 

FIDELITY INVESTMENTS INST**

OPERATIONS CO INC CUST FBO

SULLIVAN MOVING & STORAGE COMPANY

401K PLAN

100 MAGELLAN WAY #KWIC

COVINGTON KY
41015-1987

    25.15%   
 

FIDELITY INVESTMENTS INST**

OPERATIONS CO INC AS AGENT FOR FBO

KOBELCO STEWART ROLLING, INC

100 MAGELLAN WAY #KWIC

COVINGTON KY 41015-1987

    25.10%   
 

JP MORGAN INVESTMENT MGMT*

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    6.90

CLASS R5 SHARES

 

JPMORGAN CHASE AS TRUSTEE*

FBO CUSHMAN & WAKEFIELD 401(K)

RETIREMENT SAVINGS PLAN

11500 OUTLOOK ST

OVERLAND PARK KS 66211-1804

    21.78
 

JPMORGAN CHASE AS TTEE FBO*

ELKAY MANUFACTURING COMPANY

RETIREMENT SAVING PLAN

C/O JPMORGAN RETIREMENT PLAN SERV

11500 OUTLOOK ST

OVERLAND PARK KS 66211-1804

    18.43

 

54


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

JPMORGAN RETIREMENT PLAN* SERVICES

FBO BROWN AND CALDWELL SAVINGS PLAN

11500 OUTLOOK ST

OVERLAND PARK KS 66211-1804

    13.97
 

HOCO

922 WALNUT ST

MAILSTOP TBTS 2

KANSAS CITY MO 64106-1802

    11.18
 

US BANK CUST FBO

SPRINGFIELD FIREFIGHTERS PENSION FUND

PO BOX 1787

MILWAUKEE WI 53201-1787

    9.78
 

GREATER TEXAS IBEW NECA ANNUITY PLAN

ATTN PAUL KLASS

PO BOX 860007

PLANO TX 75086-0007

    5.24
 

PLUMBERS LOCAL UNION NO 27 PENSION FUND

ATTN JUDY KRAUSE

1517 WOODRUFF ST

PITTSBURGH PA 15220-5317

    5.18

CLASS R6 SHARES

 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2030 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    15.16
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2040 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    13.07
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2020 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    12.20
 

ATTN MUTUAL FUND OPERATIONS MAC & CO

PO BOX 3198

PITTSBURGH PA 15230-3198

    11.11
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2025 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    10.30

 

55


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2035 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    10.07
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2045 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    5.62

SELECT CLASS SHARES

 

JPMIM AS AGENT FOR*

JPMORGAN INVESTOR GROWTH AND INCOME

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    16.80
 

JPMIM AS AGENT FOR*

JPMORGAN INVESTOR GROWTH FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    13.03
 

JPMIM AS AGENT FOR*

JPMORGAN INVESTOR BALANCED FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    12.42
 

JPMORGAN CHASE BANK AS* TRUSTEE FBO

CLARIAN HEALTH PARTNERS DC PLAN

JPMRPS MGMT RPTG TEAM

11500 OUTLOOK STREET

OVERLAND PARK KS 66211-1804

    7.91
 

JPMIM AS AGENT FOR*

JPMORGAN INVESTOR CONSERVATIVE GROWTH FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    6.56

JPM INTERNATIONAL OPPORTUNITIES FUND

 

CLASS A SHARES

 

GENWORTH FINANCIAL TRUST** COMPANY

FOR THE SOLE BENEFIT OF CUSTOMERS

3200 N CENTRAL AVE

PHOENIX AZ 85012-2468

    51.12
 

PERSHING LLC**

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    27.68

 

56


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

TD AMERITRADE INC FOR THE EXCLUSIVE

BENEFIT OF OUR CLIENTS

PO BOX 2226

OMAHA NE 68103-2226

    11.71

CLASS B SHARES

 

JPMORGAN CLEARING CORP*,**

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    25.66
 

MORGAN STANLEY SMITH BARNEY

HARBORSIDE FINANCIAL CENTER

PLAZA TWO FL 3

JERSEY CITY NJ 07311

    20.19
 

NATIONAL FINANCIAL SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

499 WASHINGTON BLVD

ATTN MUTUAL FUNDS DEPT 4TH FLOOR

JERSEY CITY NJ 07310-2010

    18.06
 

EDWARD D JONES & CO

FOR THE BENEFIT OF CUSTOMERS

12555 MANCHESTER RD

SAINT LOUIS MO 63131-3729

    5.75
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    5.54

CLASS C SHARES

 

JPMORGAN CLEARING CORP*,**

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    58.79
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR E FL 3

JACKSONVILLE FL 32246-6484

    14.88
 

MORGAN STANLEY SMITH BARNEY

HARBORSIDE FINANCIAL CENTER

PLAZA TWO FL 3

JERSEY CITY NJ 07311

    5.57
 

UBS WM USA

OMNI ACCOUNT M/F

ATTN DEPARTMENT MANAGER

499 WASHINGTON BLVD FL 9

JERSEY CITY NJ 07310-2055

    5.04

 

57


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 

INSTITUTIONAL CLASS SHARES

 

NATIONAL FINANCIAL SERVICES LLC

FOR THE EXCLUSIVE BENEFIT OF OUR CUSTOMERS

ATTN MUTUAL FUNDS DEPT 4TH FL

499 WASHINGTON BLVD

JERSEY CITY NJ 07310-2010

    22.11
 

JPMORGAN CHASE BANK N.A.*

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    16.86
 

JPMORGAN CHASE BANK CUST*

FBO BOSE CORPORATION BENEFIT

REPLACEMENT PLAN

1 CHASE MANHATTAN PLZ FL 19

NEW YORK NY 10005-1401

    16.51
 

BRICS & CO*

C/O JPMORGAN WSS OPERATIONS

ATTN NAT AMARATANA TX1-J165

14201 DALLAS PKWY

DALLAS TX 75254-2916

    15.06
 

SAXON & CO

PO BOX 7780-1888

PHILADELPHIA PA 19182-0001

    8.48
 

VRSCO

FBO AIGFSB CUSTODIAN TRUSTEE

FBO HOSPITAL SISTERS HLTH SYSTEM 403B

2929 ALLEN PKWY STE A6-20

HOUSTON TX 77019-7117

    6.24
 

TYSON FAMILY FOUNDATION, INC

ATTN HARRY C ERWIN III

6311 RANCH DR

LITTLE ROCK AR 72223-4623

    6.10

CLASS R6 SHARES

 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2030 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    16.04
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2040 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    13.25

 

58


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2020 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    12.49
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2025 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    10.67
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2035 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    10.36
 

ATTN MUTUAL FUND OPERATIONS MAC & CO

PO BOX 3198

PITTSBURGH PA 15230-3198

    9.74
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2045 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    6.12

SELECT CLASS SHARES

 

JPMIM AS AGENT FOR*,** TRANSAMERICA

JPMORGAN TACTICAL ALLOCATION VP

ATTN CLIENT SERVICES

575 WASHINGTON BLVD # NY1-D153

JERSEY CITY NJ 07310-1616

    37.19
 

JPMORGAN CHASE BANK N.A.*

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    21.58
 

LPL FINANCIAL

9785 TOWNE CENTRE DRIVE

SAN DIEGO CA 92121-1968

    15.94
 

NATIONAL FINANCIAL SERVICES LLC

FOR THE EXCLUSIVE BENEFIT OF OUR CUSTOMERS

ATTN MUTUAL FUNDS DEPT 4TH FL

499 WASHINGTON BLVD

JERSEY CITY NJ 07310-2010

    6.69

 

59


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 

JPM INTERNATIONAL REALTY FUND

 

CLASS A SHARES

 

GENWORTH FINANCIAL TRUST*,** CO CUST

FBO GFWM AND MUTUAL CLIENTS

FBO OTHER CUSTODIAL CLIENTS

3200 N CENTRAL AVE

PHOENIX AZ 85012-2468

    51.12
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    23.81
 

TD AMERITRADE INC FOR THE EXCLUSIVE

BENEFIT OF OUR CLIENTS

PO BOX 2226

OMAHA NE 68103-2226

    10.45
 

CHARLES SCHWAB & CO INC

SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS

ATTN: MUTUAL FUNDS

101 MONTGOMERY ST

SAN FRANCISCO CA 94104-4151

    6.57

CLASS C SHARES

 

MORGAN STANLEY SMITH** BARNEY

HARBORSIDE FINANCIAL CENTER

PLAZA TWO FL 3

JERSEY CITY NJ 07311

    55.39
 

JPMORGAN CLEARING CORP* OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    9.96
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR E FL 3

JACKSONVILLE FL 32246-6484

    7.96
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    7.87
 

LPL FINANCIAL

9785 TOWNE CENTRE DRIVE

SAN DIEGO CA 92121-1968

    5.13

CLASS R5 SHARES

 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2030 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    17.55

 

60


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2020 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    17.17
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2040 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    12.75
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2025 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    12.24
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2035 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    10.77
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2045 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    7.63
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2015 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    5.81
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2050 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    5.47

SELECT CLASS SHARES

 

JPMIM AS AGENT FOR*,**

OFFICE OF HAWAIIAN AFFAIRS

ATTN CLIENT SERVICES

460 POLARIS PKWY # OH1-1235

WESTERVILLE OH 43082-8212

    28.52
 

BRICS & CO*,**

C/O JPMORGAN WSS OPERATIONS

ATTN NAT AMARATANA TX1-J165

14201 DALLAS PKWY

DALLAS TX 75254-2916

    27.22

 

61


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

LPL FINANCIAL

9785 TOWNE CENTRE DRIVE

SAN DIEGO CA 92121-1968

    13.48
 

MORGAN STANLEY SMITH BARNEY

HARBORSIDE FINANCIAL CENTER

PLAZA TWO FL 3

JERSEY CITY NJ 07311

    11.15
 

GENWORTH FINANCIAL TRUST COMPANY

FOR THE SOLE BENEFIT OF CUSTOMERS

3200 N CENTRAL AVE

PHOENIX AZ 85012-2468

    7.61

JPM INTERNATIONAL UNCONSTRAINED EQTY FD

  

CLASS A SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    48.40
 

NATIONAL FINANCIAL** SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

499 WASHINGTON BLVD

ATTN MUTUAL FUNDS DEPT 4TH FLOOR

JERSEY CITY NJ 07310-2010

    30.37

CLASS C SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    50.07
 

STATE STREET BANK & TRUST CO

CUST FOR THE SEP IRA OF

MATHER B JOHNSON

11416 COUNTY ROAD 63

STERLING CO 80751-8855

    17.13
 

ALISON L WACHTEL

PO BOX 3 DUNN

NC 28335-0003

    12.14
 

STATE STREET BANK & TRUST CO

CUST FOR THE TRAD IRA OF NICOLE M MADSEN

610 W ALCOTT AVE

FERGUS FALLS MN 56537-2608

    7.05
 

BB&T SECURITIES ROTH IRA

CUST FBO ALISON L WACHTEL

PO BOX 3

DUNN NC 28335-0003

    6.71

 

62


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 

CLASS R2 SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    100.00

CLASS R5 SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    100.00

CLASS R6 SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    100.00

SELECT CLASS SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    98.23

JPM INTERNATIONAL VALUE FUND

  

CLASS A SHARES

 

AMERICAN ENTERPRISE** INVESTMENT SVC

707 2ND AVE S

MINNEAPOLIS MN 55402-2405

    27.29
 

EDWARD D JONES & CO

FOR THE BENEFIT OF CUSTOMERS

12555 MANCHESTER RD

SAINT LOUIS MO 63131-3729

    22.78
 

NATIONAL FINANCIAL SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

499 WASHINGTON BLVD

ATTN MUTUAL FUNDS DEPT 4TH FLOOR

JERSEY CITY NJ 07310-2010

    16.34
 

MORGAN STANLEY SMITH BARNEY
HARBORSIDE FINANCIAL CENTER

PLAZA TWO FL 3

JERSEY CITY NJ 07311

    6.60
 

JPMORGAN CLEARING CORP* OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    5.51

CLASS B SHARES

 

FIRST CLEARING LLC

SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE
BENEFIT OF CUSTOMER

2801 MARKET STREET

ST LOUIS MO 63103-2523

    24.06

 

63


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

MORGAN STANLEY SMITH BARNEY

HARBORSIDE FINANCIAL CENTER

PLAZA TWO FL 3

JERSEY CITY NJ 07311

    20.69
 

JPMORGAN CLEARING CORP* OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    17.46
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR E FL 3

JACKSONVILLE FL 32246-6484

    9.55
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    7.47

CLASS C SHARES

 

JPMORGAN CLEARING CORP*

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    23.68
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR E FL 3

JACKSONVILLE FL 32246-6484

    20.25%   
 

MORGAN STANLEY SMITH BARNEY

HARBORSIDE FINANCIAL CENTER

PLAZA TWO FL 2

JERSEY CITY NJ 07311

    14.90%   
 

UBS WM USA

OMNI ACCOUNT M/F

ATTN DEPARTMENT MANAGER

499 WASHINGTON BLVD FL 9

JERSEY CITY NJ 07310-2055

    10.12%   
 

EDWARD D JONES & CO

FOR THE BENEFIT OF CUSTOMERS

12555 MANCHESTER RD

SAINT LOUIS MO 63131-3729

    9.03%   
 

FIRST CLEARING LLC

SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE
BENEFIT OF CUSTOMER

2801 MARKET STREET

ST LOUIS MO 63103-2523

    5.36%   

 

64


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 

INSTITUTIONAL CLASS SHARES

 

JPMORGAN CLEARING CORP*,**

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    34.43%   
 

EDWARD D JONES & CO

FOR THE BENEFIT OF CUSTOMERS

12555 MANCHESTER RD

SAINT LOUIS MO 63131-3729

    24.72
 

JPMORGAN CHASE BANK N.A.*

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    22.64%   
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR E FL 3

JACKSONVILLE FL 32246-6484

    11.51%   

CLASS R2 SHARES

 

MLPF&S FOR THE SOLE** BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR EAST 2ND FL

JACKSONVILLE FL 32246-6484

    55.21
 

NFS LLC FEBO

RELIANCE TRUST CO TTEE/CUST FOR TRS

FBO VARIOUS RET PLANS

1150 S OLIVE ST STE 2700

LOS ANGELES CA 90015-2211

    23.31%   
 

SEI PRIVATE TRUST CO

FBO CLINTON UTL BOARD-7928829

C/O SUNTRUST BANK ID 866

1 FREEDOM VALLEY DR

OAKS PA 19456-9989

    13.86%   
 

JP MORGAN INVESTMENT*

MGMT* ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    6.54%   

CLASS R6 SHARES

 

JPMIM AS AGENT FOR*,**

JPMORGAN ACCESS GROWTH FUND

ATTN CLIENT SERVICES

570 WASHINGTON BLVD FL 6

JERSEY CITY NJ 07310-1617

    36.90

 

65


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

JPMIM AS AGENT FOR*,**

JPMORGAN ACCESS BALANCED FUND

ATTN CLIENT SERVICES

570 WASHINGTON BLVD FL 6 # NY1-I040

JERSEY CITY NJ 07310-1617

    31.88
 

JPMORGAN CHASE BANK N.A.*,**

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    29.46

SELECT CLASS SHARES

 

MLPF&S FOR THE SOLE BENEFIT**

OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR E FL 3

JACKSONVILLE FL 32246-6484

    29.19
 

JPMORGAN CHASE BANK N.A.*,**

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    26.53
 

MORGAN STANLEY SMITH** BARNEY

HARBORSIDE FINANCIAL CENTER

PLAZA TWO FL 3

JERSEY CITY NJ 07311

    25.33

JPM INTERNATIONAL VALUE SMA

  

SMCLASS A SHARES

 

JPMORGAN CLEARING CORP*,**

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    51.35
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR E FL 3

JACKSONVILLE FL 32246-6484

    22.78
 

UBS WM USA

OMNI ACCOUNT M/F

ATTN DEPARTMENT MANAGER

499 WASHINGTON BLVD FL 9

JERSEY CITY NJ 07310-2055

    15.98
 

MORGAN STANLEY SMITH BARNEY

HARBORSIDE FINANCIAL CENTER

PLAZA TWO FL 3

JERSEY CITY NJ 07311

    6.25

 

66


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 

JPM INTREPID ADVANTAGE FUND

  

CLASS A SHARES

 

JPMORGAN CLEARING CORP*,**

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    34.97
 

MORGAN STANLEY SMITH BARNEY

HARBORSIDE FINANCIAL CENTER

PLAZA TWO FL 2

JERSEY CITY NJ 07311

    16.61
 

RAYMOND JAMES

OMNIBUS FOR MUTUAL FUNDS HOUSE ACCT FIRM

ATTN COURTNEY WALLER

880 CARILLON PKWY

ST PETERSBURG FL 33716-1100

    9.93

CLASS C SHARES

 

JPMORGAN CLEARING CORP*

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    23.43
 

LPL FINANCIAL

9785 TOWNE CENTRE DRIVE

SAN DIEGO CA 92121-1968

    13.00
 

MORGAN STANLEY SMITH BARNEY

HARBORSIDE FINANCIAL CENTER

PLAZA TWO FL 2

JERSEY CITY NJ 07311

    12.23
 

FIRST CLEARING LLC

SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE

BENEFIT OF CUSTOMER

2801 MARKET STREET

ST LOUIS MO 63103-2523

    10.61
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR E FL 3

JACKSONVILLE FL 32246-6484

    7.60

SELECT CLASS SHARES

 

JPMORGAN CHASE BANK N.A.*,**

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    37.55

 

67


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

FIRST CLEARING LLC**

SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE

BENEFIT OF CUSTOMER

2801 MARKET STREET

ST LOUIS MO 63103-2523

    31.74

JPM INTREPID AMERICA FUND

  

CLASS A SHARES

 

GENWORTH FINANCIAL TRUST CO** CUST

FBO GFWM AND MUTUAL CLIENTS

FBO OTHER CUSTODIAL CLIENTS

3200 N CENTRAL AVE

PHOENIX AZ 85012-2468

    36.19
 

PERSHING LLC**

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    25.19
 

JPMORGAN CLEARING CORP* OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    17.22
 

TD AMERITRADE INC FOR THE EXCLUSIVE
BENEFIT OF OUR CLIENTS

PO BOX 2226

OMAHA NE 68103-2226

    8.37

CLASS C SHARES

 

FIRST CLEARING LLC**

SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE

BENEFIT OF CUSTOMER

2801 MARKET STREET

ST LOUIS MO 63103-2523

    33.71
 

JPMORGAN CLEARING CORP*

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    24.98
 

RBC CAPITAL MARKETS LLC

MUTUAL FUND OMNIBUS PROCESSING OMNIBUS

ATTN MUTUAL FUND OPS MANAGER

510 MARQUETTE AVE S

MINNEAPOLIS MN 55402-1110

    8.81
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR E FL 3

JACKSONVILLE FL 32246-6484

    5.53

 

68


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 

CLASS R2 SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    52.58
 

MLPF&S FOR THE SOLE BENEFIT** OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR E FL 3

JACKSONVILLE FL 32246-6484

    47.42

CLASS R5 SHARES

 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2030 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    19.23
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2040 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    15.61
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2020 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    14.84
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2025 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    12.83
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2035 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    12.38
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2045 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    7.27
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2050 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    5.67

 

69


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 

SELECT CLASS SHARES

 

JPMIM AS AGENT FOR*

JPMORGAN INVESTOR BALANCED FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    22.90
 

JPMIM AS AGENT FOR*

JPMORGAN INVESTOR GROWTH AND INCOME

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    20.93
 

JPMIM AS AGENT FOR*

JPMORGAN INVESTOR GROWTH FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    18.10
 

JPMORGAN CHASE BANK N.A.*

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    16.98
 

JPMIM AS AGENT FOR*

JPMORGAN INVESTOR CONSERVATIVE
GROWTH FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    16.68

JPM INTREPID EUROPEAN FUND

  

CLASS A SHARES

 

JPMORGAN CLEARING CORP*

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    20.21
 

CHARLES SCHWAB & CO INC REINVEST ACCOUNT

ATTN MUTUAL FUNDS DEPT

101 MONTGOMERY ST FL 11

SAN FRANCISCO CA 94104-4151

    14.42
 

NATIONAL FINANCIAL SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

499 WASHINGTON BLVD

ATTN MUTUAL FUNDS DEPT 4TH FLOOR

JERSEY CITY NJ 07310-2010

    11.87

 

70


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

UBS WM USA

OMNI ACCOUNT M/F

ATTN DEPARTMENT MANAGER

499 WASHINGTON BLVD FL 9

JERSEY CITY NJ 07310-2055

    9.71
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    9.17
 

AMERICAN ENTERPRISE INVESTMENT SVC

707 2ND AVE S

MINNEAPOLIS MN 55402-2405

    6.72
 

TD AMERITRADE INC FOR THE EXCLUSIVE

BENEFIT OF OUR CLIENTS

PO BOX 2226

OMAHA NE 68103-2226

    6.51

CLASS B SHARES

 

JPMORGAN CLEARING CORP*,**

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    44.63
 

MORGAN STANLEY SMITH BARNEY

HARBORSIDE FINANCIAL CENTER

PLAZA TWO FL 3

JERSEY CITY NJ 07311

    7.60
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    7.56
 

AMERICAN ENTERPRISE INVESTMENT SVC

707 2ND AVE S

MINNEAPOLIS MN 55402-2405

    7.13
 

FIRST CLEARING LLC

SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE

BENEFIT OF CUSTOMER

2801 MARKET STREET

ST LOUIS MO 63103-2523

    6.50

CLASS C SHARES

 

JPMORGAN CLEARING CORP*,**

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    30.85
 

MLPF&S

4800 DEER LAKE DR EAST 2ND FL

JACKSONVILLE FL 32246-6484

    20.35

 

71


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

MORGAN STANLEY SMITH BARNEY

HARBORSIDE FINANCIAL CENTER

PLAZA TWO FL 3

JERSEY CITY NJ 07311

    10.32
 

FIRST CLEARING LLC

SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE

BENEFIT OF CUSTOMER

2801 MARKET STREET

ST LOUIS MO 63103-2523

    8.51
 

RAYMOND JAMES

OMNIBUS FOR MUTUAL FUNDS HOUSE ACCT FIRM

ATTN COURTNEY WALLER

880 CARILLON PKWY

ST PETERSBURG FL 33716-1100

    6.80

INSTITUTIONAL CLASS SHARES

 

JPMORGAN CHASE BANK N.A.*,**

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    77.02
 

JPMIM AS AGENT FOR*

JPMORGAN ACCESS BALANCED FUND

ATTN CLIENT SERVICES

570 WASHINGTON BLVD FL 6 # NY1-I040

JERSEY CITY NJ 07310-1617

    8.71
 

JPMIM AS AGENT FOR*

JPMORGAN ACCESS GROWTH FUND

ATTN CLIENT SERVICES

570 WASHINGTON BLVD FL 6

JERSEY CITY NJ 07310-1617

    8.70

SELECT CLASS SHARES

 

JPMORGAN CHASE BANK N.A.*,**

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    41.43
 

MORGAN STANLEY SMITH BARNEY

HARBORSIDE FINANCIAL CENTER

PLAZA TWO FL 3

JERSEY CITY NJ 07311

    9.46
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR E FL 3

JACKSONVILLE FL 32246-6484

    8.34

 

72


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

JPMIM AS AGENT FOR*

JPMORGAN INVESTOR BALANCED FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    8.13
 

JPMIM AS AGENT FOR*

JPMORGAN INVESTOR GROWTH AND INCOME

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    6.59
 

JPMIM AS AGENT FOR*

JPMORGAN INVESTOR CONSERVATIVE GROWTH FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    6.29

JPM INTREPID GROWTH FUND

  

CLASS A SHARES

 

JPMORGAN CLEARING CORP*,**

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    29.53
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    7.51
 

FIRST CLEARING LLC

SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE

BENEFIT OF CUSTOMER

2801 MARKET STREET

ST LOUIS MO 63103-2523

    6.85
 

LPL FINANCIAL

9785 TOWNE CENTRE DRIVE

SAN DIEGO CA 92121-1968

    6.44
 

RAYMOND JAMES

OMNIBUS FOR MUTUAL FUNDS HOUSE ACCT FIRM

ATTN COURTNEY WALLER

880 CARILLON PKWY

ST PETERSBURG FL 33716-1100

    5.02

CLASS C SHARES

 

FIRST CLEARING LLC

SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE

BENEFIT OF CUSTOMER

2801 MARKET STREET

ST LOUIS MO 63103-2523

    17.89

 

73


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR E FL 3

JACKSONVILLE FL 32246-6484

    17.67
 

LPL FINANCIAL

9785 TOWNE CENTRE DRIVE

SAN DIEGO CA 92121-1968

    12.86
 

MORGAN STANLEY SMITH BARNEY

HARBORSIDE FINANCIAL CENTER

PLAZA TWO FL 2

JERSEY CITY NJ 07311

    12.80
 

JPMORGAN CLEARING CORP*

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    10.61
 

UBS WM USA

OMNI ACCOUNT M/F

ATTN DEPARTMENT MANAGER

499 WASHINGTON BLVD FL 9

JERSEY CITY NJ 07310-2055

    6.17
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    5.15

CLASS R2 SHARES

 

FRONTIER TRUST CO FBO**

DOCUMENT CONVERSION ASSOC 401K P

PO BOX 10758

FARGO ND 58106-0758

    55.68
 

JP MORGAN INVESTMENT MGMT*

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    19.80
 

FIDELITY INVESTMENTS INST

OPERATIONS CO INC AS AGENT FOR FBO

IMAGIMED 401(K) PROFIT SHARING PLAN

100 MAGELLAN WAY #KWIC

COVINGTON KY 41015-1999

    11.55
 

MG TRUST COMPANY CUST FBO

CONRAD MANUFACTURING CO INC 401K

717 17TH ST STE 1300

DENVER CO 80202-3304

    7.09

 

74


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR EAST 2ND FL

JACKSONVILLE FL 32246-6484

    5.87

CLASS R5 SHARES

 

JPMORGAN CHASE AS TRUSTEE*,**

FBO PEARSON RETIREMENT PLAN

C/O JPMORGAN RETIREMENT PLAN SERVICES

11500 OUTLOOK ST

OVERLAND PARK KS 66211-1804

    47.30
 

JPMORGAN RET PLAN SERVICES* CUST

FBO JPMORGAN CHASE AS TRUSTEE

FOR HITACHI EMPLOYEE 401K

RETIREMENT PLAN

11500 OUTLOOK ST

OVERLAND PARK KS 66211-1804

    24.34 %
 

JPMORGAN CHASE AS TRUSTEE*

FBO ENERGY NORTHWEST 401K

DEFERRED COMPENSATION PLAN

11500 OUTLOOK ST

OVERLAND PARK KS 66211-1804

    12.05 %
 

JPMORGAN CHASE AS TRUSTEE*

FBO ASTEC INDUSTRIES INC 401(K) RETIREMENT PLAN

11500 OUTLOOK ST

OVERLAND PARK KS 66211-1804

    11.11 %

SELECT CLASS SHARES

 

JPMIM AS AGENT FOR*,**

JPMORGAN INVESTOR BALANCED FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    26.54 %
 

JPMIM AS AGENT FOR*

JPMORGAN INVESTOR GROWTH FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    22.47 %
 

JPMIM AS AGENT FOR*

JPMORGAN INVESTOR GROWTH AND INCOME

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    18.14
 

JPMIM AS AGENT FOR*

JPMORGAN INVESTOR CONSERVATIVE GROWTH FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    16.61

 

75


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

JPMORGAN CHASE BANK N.A.*

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    8.55

JPM INTREPID INTERNATIONAL FUND

 

CLASS A SHARES

 

GENWORTH FINANCIAL TRUST** CO CUST

FBO GFWM AND MUTUAL CLIENTS

FBO OTHER CUSTODIAL CLIENTS

3200 N CENTRAL AVE

PHOENIX AZ 85012-2468

    53.78
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    24.92
 

TD AMERITRADE INC FOR THE

EXCLUSIVE BENEFIT OF OUR CLIENTS

PO BOX 2226

OMAHA NE 68103-2226

    12.49
 

JPMORGAN CLEARING CORP*

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    5.42

CLASS C SHARES

 

JPMORGAN CLEARING CORP*,**

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    42.26
 

MORGAN STANLEY SMITH BARNEY

HARBORSIDE FINANCIAL CENTER

PLAZA TWO FL 3

JERSEY CITY NJ 07311

    15.27
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR E FL 3

JACKSONVILLE FL 32246-6484

    15.00
 

HARTFORD SECURITIES DISTRIBUTION COMPANY INC AS AGENT FOR RELIANCE TRUST CO

FBO AGENTS PLAN CUSTOMERS

1 GRIFFIN RD N

WINDSOR CT 06095-1512

    8.07

 

76


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 

INSTITUTIONAL CLASS SHARES

 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2030 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    17.09
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2040 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    14.56
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2020 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    13.78
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2025 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    12.32
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2035 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    11.74
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2045 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    6.65
 

JPMORGAN CHASE BANK N.A.*

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    6.10
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2050 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    5.23

CLASS R2 SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    80.23

 

77


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR EAST 2ND FL

JACKSONVILLE FL 32246-6484

    19.77

SELECT CLASS SHARES

 

JPMORGAN CHASE BANK N.A.*,**

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    55.14
 

LPL FINANCIAL**

9785 TOWNE CENTRE DRIVE

SAN DIEGO CA 92121-1968

    34.20

JPM INTREPID VALUE FUND

 

CLASS A SHARES

 

JPMORGAN CLEARING CORP*

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    13.02
 

CHARLES SCHWAB & CO INC

SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS

ATTN MUTUAL FUNDS

101 MONTGOMERY ST

SAN FRANCISCO CA 94104-4151

    9.11
 

MORGAN STANLEY SMITH BARNEY

HARBORSIDE FINANCIAL CENTER

PLAZA TWO FL 2

JERSEY CITY NJ 07311

    8.37
 

GREAT-WEST TRUST

FBO JPMORGAN CHASE TTEE

FBO CERTAIN RETIREMENT PLANS

8515 E ORCHARD ROAD 2T2

GREENWOOD VILLAGE CO 80111-5002

    5.88
 

LPL FINANCIAL

9785 TOWNE CENTRE DRIVE

SAN DIEGO CA 92121-1968

    5.83
 

NATIONAL FINANCIAL SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

499 WASHINGTON BLVD

ATTN MUTUAL FUNDS DEPT 4TH FLOOR

JERSEY CITY NJ 07310-2010

    5.29

CLASS C SHARES

 

FIRST CLEARING LLC

SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE

BENEFIT OF CUSTOMER

2801 MARKET STREET

ST LOUIS MO 63103-2523

    21.42

 

78


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

LPL FINANCIAL

9785 TOWNE CENTRE DRIVE

SAN DIEGO CA 92121-1968

    19.67
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR E FL 3

JACKSONVILLE FL 32246-6484

    9.60
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    9.06
 

RBC CAPITAL MARKETS LLC

MUTUAL FUND OMNIBUS PROCESSING OMNIBUS

ATTN MUTUAL FUND OPS MANAGER

510 MARQUETTE AVE S

MINNEAPOLIS MN 55402-1110

    6.34
 

JPMORGAN CLEARING CORP*

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    6.09
 

MORGAN STANLEY SMITH BARNEY

HARBORSIDE FINANCIAL CENTER

PLAZA TWO FL 2

JERSEY CITY NJ 07311

    5.71

CLASS R2 SHARES

 

FRONTIER TRUST CO FBO**

PO BOX 10758

FARGO ND 58106-0758

    73.16
 

JP MORGAN INVESTMENT MGMT*

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    11.47
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR EAST 2ND FL

JACKSONVILLE FL 32246-6484

    9.81

CLASS R5 SHARES

 

CHARLES SCHWAB & CO INC**

SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS

ATTN MUTUAL FUNDS

101 MONTGOMERY ST

SAN FRANCISCO CA 94104-4151

    33.52

 

79


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

JPMORGAN CHASE TTEE*

FBO NCL 401K PLAN

ATTN JPMORGAN RET PLAN SERVICES

11500 OUTLOOK ST

OVERLAND PARK KS 66211-1804

    16.89
 

NFS LLC FBO

AMALGAMATED BANK OF CHICAGO

1 W MONROE ST

CHICAGO IL 60603-5301

    13.47
 

JPMORGAN CHASE TTEE FBO*

GLOBAL BRASS & COPPER INC RETIR SAVINGS PLAN

11500 OUTLOOK ST

OVERLAND PARK KS 66211-1804

    6.07
 

NFS LLC FEBO

THE NORTHERN TRUST COMPANY

CHICAGO TRUCK DRIVERS

PO BOX 92956

CHICAGO IL 60675-2956

    5.96
 

NFS LLC FEBO

FIRST MIDWEST BANK DBA UNATCO

2801 W JEFFERSON ST

JOLIET IL 60435-5299

    5.44
 

STATE STREET BANK & TRUST AS CUST

FBO STRUCTURAL IRON WORKERS LOCAL #1

1200 CROWN COLONY DR FL5

QUINCY MA 02169-0938

    5.12

CLASS R6 SHARES

 

JPMIM AS AGENT FOR*,**

OAKLAND UNIVERSITY

ATTN CLIENT SERVICES

460 POLARIS PKWY # OH1-1235

WESTERVILLE OH 43082-8212

    96.32

SELECT CLASS SHARES

 

FIRST CLEARING LLC**

SPECIAL CUSTODY ACCT FOR

THE EXCLUSIVE BENEFIT OF CUSTOMER

2801 MARKET STREET

ST LOUIS MO 63103-2523

    63.53
 

JPMORGAN CHASE BANK N.A.*

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    18.26
 

LPL FINANCIAL

9785 TOWNE CENTRE DRIVE

SAN DIEGO CA 92121-1968

    11.80 %

 

80


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 

JPM LATIN AMERICA FUND

 

CLASS A SHARES

 

CHARLES SCHWAB & CO INC**

SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS

ATTN: MUTUAL FUNDS

101 MONTGOMERY ST

SAN FRANCISCO CA 94104-4151

    39.80 %
 

NATIONAL FINANCIAL SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

499 WASHINGTON BLVD

ATTN MUTUAL FUNDS DEPT 4TH FLOOR

JERSEY CITY NJ 07310-2010

    20.66 %
 

RAYMOND JAMES

OMNIBUS FOR MUTUAL FUNDS

HOUSE ACCT FIRM

ATTN COURTNEY WALLER

880 CARILLON PKWY

ST PETERSBURG FL 33716-1100

    6.89 %
 

JPMORGAN CLEARING CORP* OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND

DEPT BROOKLYN NY 11245-0001

    6.39 %
 

TD AMERITRADE INC

FOR THE EXCLUSIVE BENEFIT OF OUR CLIENTS

PO BOX 2226

OMAHA NE 68103-2226

    5.73

CLASS C SHARES

 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR E FL 3

JACKSONVILLE FL 32246-6484

    19.01
 

FIRST CLEARING LLC

SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE

BENEFIT OF CUSTOMER

2801 MARKET STREET

ST LOUIS MO 63103-2523

    11.38
 

JPMORGAN CLEARING CORP*

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    8.95
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    8.84

 

81


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

NATIONAL FINANCIAL SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

499 WASHINGTON BLVD

ATTN MUTUAL FUNDS DEPT 4TH FLOOR

JERSEY CITY NJ 07310-2010

    8.78
 

UBS WM USA

OMNI ACCOUNT M/F

ATTN DEPARTMENT MANAGER

499 WASHINGTON BLVD FL 9

JERSEY CITY NJ 07310-2055

    6.55
 

AMERICAN ENTERPRISE INVESTMENT SVC

707 2ND AVE S

MINNEAPOLIS MN 55402-2405

    5.96

SELECT CLASS SHARES

 

JPMIM AS AGENT FOR*,**

JPMORGAN INVESTOR BALANCED FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    33.52
 

JPMIM AS AGENT FOR*

JPMORGAN INVESTOR CONSERVATIVE GROWTH FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    23.62
 

JPMIM AS AGENT FOR*

JPMORGAN INVESTOR GROWTH AND INCOME

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    13.60
 

JPMIM AS AGENT FOR*

JPMORGAN INVESTOR GROWTH FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    11.82

JPM MANAGED INCOME FUND

 

INSTITUTIONAL CLASS SHARES

 

JPMORGAN CHASE BANK N.A.*,**

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    96.47

SELECT CLASS SHARES

 

JPMORGAN CHASE BANK N.A.*,**

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    94.69

 

82


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 

JPM MARKET NEUTRAL FUND

 

CLASS A SHARES

 

UBS WM USA**

OMNI ACCOUNT M/F

ATTN DEPARTMENT MANAGER

499 WASHINGTON BLVD FL 9

JERSEY CITY NJ 07310-2055

    29.31
 

MORGAN STANLEY SMITH** BARNEY

HARBORSIDE FINANCIAL CENTER

PLAZA TWO FL 3

JERSEY CITY NJ 07311

    25.92
 

CHARLES SCHWAB & CO INC

SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS

ATTN MUTUAL FUNDS

101 MONTGOMERY ST

SAN FRANCISCO CA 94104-4151

    7.46
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    5.25

CLASS C SHARES

 

MORGAN STANLEY SMITH BARNEY

HARBORSIDE FINANCIAL CENTER

PLAZA TWO FL 3

JERSEY CITY NJ 07311

    24.85
 

FIRST CLEARING LLC

SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE

BENEFIT OF CUSTOMER

2801 MARKET STREET

ST LOUIS MO 63103-2523

    18.67
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR E FL 3

JACKSONVILLE FL 32246-6484

    16.18
 

UBS WM USA

OMNI ACCOUNT M/F

ATTN DEPARTMENT MANAGER

499 WASHINGTON BLVD FL 9

JERSEY CITY NJ 07310-2055

    12.57
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    5.92

SELECT CLASS SHARES

 

MORGAN STANLEY SMITH** BARNEY

HARBORSIDE FINANCIAL CENTER

PLAZA TWO FL 3

JERSEY CITY NJ 07311

    28.94

 

83


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

FIRST CLEARING LLC

SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE

BENEFIT OF CUSTOMER

2801 MARKET STREET

ST LOUIS MO 63103-2523

    15.04
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR EAST 2ND FL

JACKSONVILLE FL 32246-6484

    11.64
 

NATIONAL FINANCIAL SERVICES LLC

FOR THE EXCLUSIVE BENEFIT OF OUR CUSTOMERS

ATTN MUTUAL FUNDS DEPT 4TH FL

499 WASHINGTON BLVD

JERSEY CITY NJ 07310-2010

    11.38
 

CHARLES SCHWAB & CO INC

SPECIAL CUSTODY ACCOUNT FOR

BENEFIT OF CUSTOMERS

ATTN MUTUAL FUNDS

101 MONTGOMERY ST

SAN FRANCISCO CA 94104-4151

    5.06

JPM MID CAP EQUITY FUND

 

CLASS A SHARES

 

EDWARD D JONES & CO**

FOR THE BENEFIT OF CUSTOMERS

12555 MANCHESTER RD

SAINT LOUIS MO 63131-3729

    27.71
 

GENWORTH FINANCIAL TRUST COMPANY

FOR THE SOLE BENEFIT OF CUSTOMERS

3200 N CENTRAL AVE

PHOENIX AZ 85012-2468

    16.53
 

NATIONAL FINANCIAL SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

499 WASHINGTON BLVD

ATTN MUTUAL FUNDS DEPT 4TH FLOOR

JERSEY CITY NJ 07310-2010

    13.49
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    10.03

CLASS C SHARES

 

RAYMOND JAMES

OMNIBUS FOR MUTUAL FUNDS

HOUSE ACCT FIRM

ATTN COURTNEY WALLER

880 CARILLON PKWY

ST PETERSBURG FL 33716-1100

    17.94

 

84


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

EDWARD D JONES & CO

FOR THE BENEFIT OF CUSTOMERS

12555 MANCHESTER RD

SAINT LOUIS MO 63131-3729

    15.42
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    13.42
 

FIRST CLEARING LLC

SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE

BENEFIT OF CUSTOMER

2801 MARKET STREET

ST LOUIS MO 63103-2523

    12.95
 

JPMORGAN CLEARING CORP*

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    12.10
 

LPL FINANCIAL

9785 TOWNE CENTRE DRIVE

SAN DIEGO CA 92121-1968

    7.02

CLASS R2 SHARES

 

MLPF&S FOR THE SOLE BENEFIT** OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR E FL 3

JACKSONVILLE FL 32246-6484

    48.72
 

MID ATLANTIC TRUST CO FBO

RAPHAELSON & LEVINE LAW FIRM

401(K) PSP & TRUST

1251 WATERFRONT PL STE 525

PITTSBURGH PA 15222-4228

    24.68
 

JP MORGAN INVESTMENT MGMT*

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    13.61

CLASS R5 SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    100.00

CLASS R6 SHARES

 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2030 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    19.17

 

85


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2040 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    15.05
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2020 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    13.95
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2025 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    13.01
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2035 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    12.11
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2045 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    6.81
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2050 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    5.35
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2015 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    5.16
 

JPMIM AS AGENT FOR*

JPMORGAN DIVERSIFIED FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    5.01

SELECT CLASS SHARES

 

JPMORGAN CLEARING CORP*,**

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    38.16

 

86


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

JPMORGAN CHASE BANK N.A.*,**

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    30.66
 

EDWARD D JONES & CO

FOR THE BENEFIT OF CUSTOMERS

12555 MANCHESTER RD

SAINT LOUIS MO 63131-3729

    10.16

JPM MULTI-SECTOR INCOME FUND

 

CLASS A SHARES

 

GENWORTH FINANCIAL TRUST**

CO CUST FBO GFWM AND MUTUAL CLIENTS

FBO OTHER CUSTODIAL CLIENTS

3200 N CENTRAL AVE

PHOENIX AZ 85012-2468

    59.60
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    19.71
 

TD AMERITRADE INC FOR

THE EXCLUSIVE BENEFIT OF OUR CLIENTS

PO BOX 2226

OMAHA NE 68103-2226

    6.43

CLASS C SHARES

 

JPMORGAN CLEARING CORP*,**

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    32.28
 

RAYMOND JAMES

OMNIBUS FOR MUTUAL FUNDS

HOUSE ACCT FIRM 92500015

ATTN COURTNEY WALLER

880 CARILLON PKWY

ST PETERSBURG FL 33716-1100

    22.75
 

EDWARD D JONES & CO

FOR THE BENEFIT OF CUSTOMERS

12555 MANCHESTER RD

SAINT LOUIS MO 63131-3729

    12.22
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    8.31
 

STIFEL NICOLAUS & CO INC

EXCLUSIVE BENEFIT OF CUSTOMERS

501 N BROADWAY

SAINT LOUIS MO 63102-2188

    5.47

 

87


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 

CLASS R2 SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    99.33

CLASS R5 SHARES

 

MITRA & CO 98 ERISA ONLY GDN**

FBO C/O BMO HARRIS BANK NA

ATTN MF

11270 W PARK PL STE 400

MILWAUKEE WI 53224-3638

    98.59

CLASS R6 SHARES

 

JPMORGAN CHASE BANK N.A.*,**

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    39.57
 

NORTHERN TRUST CO CUST FBO

WEINBERG MT

PO BOX 92956

CHICAGO IL 60675-2956

    18.11
 

UMBSC&CO

FBO MFH-JPM INVESTMENT A/C

PO BOX 419260 MSC 1010405

KANSAS CITY MO 64141-6260

    15.50
 

M&T BANK CUSTODIAN

FBO THE READING HOSPITAL MT

ATTN: MICHELLE TORNABENE

1 M&T PLAZA FLOOR 9

BUFFALO NY 14203-2301

    13.63
 

NORTHERN TRUST AS TTEE FBO

ETERNITY FOUR TRUST

PO BOX 92956

CHICAGO IL 60675-2956

    11.73

SELECT CLASS SHARES

 

JPMORGAN CHASE BANK N.A.*,**

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    93.83

JPM NEW YORK MUNICIPAL MONEY MKT FUND

 

ETRADE SHARES

 

E TRADE CLEAR LLC AS AGE**

FOR THE EX BEN OF ITS DEP CUST FOR THEM&OTH

ATTN PAYMENT SERVICES DEPT

671 N GLEBE RD

BALLSTON TOWERS

ARLINGTON VA 22203-2120

    100.00

 

88


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 

MORGAN SHARES

 

JP MORGAN CLEARING CORP*,**

ATTN DENISE DILORENZO SIEGEL

3 CHASE METROTECH CENTER

BROOKLYN NY 11245-0001

    27.06
 

BEAR STEARNS SECURITIES* CORP

ATTN DENISE DILORENZO SIEGEL

1 METROTECH CTR N

BROOKLYN NY 11201-3832

    9.98
 

FIDUCIARY TRUST REVENUE

ATTN: BANK OPERATIONS

600 5TH AVE

NEW YORK NY 10020-2302

    9.27
 

CATHERINE M LEVIN

173 E 64TH ST

NEW YORK NY 10065-6653

    9.11
 

SATURN & CO

C/O STATE STREET BANK & TRUST CO

MAIL STOP CC 10313

1200 CROWN COLONY DR

QUINCY MA 02169-0938

    6.08

RESERVE SHARES

 

BEAR STEARNS SECURITIES*,** CORP

ATTN DENISE DILORENZO SIEGEL

1 METROTECH CTR N

BROOKLYN NY 11201-3832

    50.42
 

JPMORGAN CHASE BANK*,**

ATTN: TOM AVINO

10410 HIGHLAND MANOR DR FL 3

TAMPA FL 33610-9128

    42.27
 

JPMORGAN CHASE BANK*

FBO ITSELF AND ITS CLIENTS

ATTN MICHAEL BROWNING

10410 HIGHLAND MANOR DR 3RD FL

TAMPA FL 33610-9128

    5.74

SERVICE SHARES

 

LPL FINANCIAL LLC AS AGENT**

FOR AND EXCLUSIVE BENEFIT FOR IT’S CUSTOMERS

ATTN KRISTIN KENNEDY

9785 TOWNE CENTRE DR

SAN DIEGO CA 92121-1968

    100.00

JPM NEW YORK TAX FREE BOND FUND

 

CLASS A SHARES

 

JPMORGAN CLEARING CORP*,**

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    59.78

 

89


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

MORGAN STANLEY SMITH BARNEY

HARBORSIDE FINANCIAL CENTER

PLAZA TWO FL 3

JERSEY CITY NJ 07311

    6.79

CLASS B SHARES

 

JPMORGAN CLEARING CORP*,**

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    70.31
 

FIRST CLEARING LLC

SPECIAL CUSTODY ACCT FOR

THE EXCLUSIVE BENEFIT OF CUSTOMER

2801 MARKET STREET

ST LOUIS MO 63103-2523

    11.70
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    9.20
 

NATIONAL FINANCIAL SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

499 WASHINGTON BLVD

ATTN MUTUAL FUNDS DEPT 4TH FLOOR

JERSEY CITY NJ 07310-2010

    5.14

CLASS C SHARES

 

JPMORGAN CLEARING CORP*,**

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    72.33
 

FIRST CLEARING LLC

SPECIAL CUSTODY ACCT FOR

THE EXCLUSIVE BENEFIT OF CUSTOMER

2801 MARKET STREET

ST LOUIS MO 63103-2523

    5.38
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR E FL 3

JACKSONVILLE FL 32246-6484

    5.24
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    5.02

 

90


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 

INSTITUTIONAL CLASS SHARES

 

JPMORGAN CHASE BANK N.A.*,**

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    40.70
 

JPMORGAN CLEARING CORP*

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    21.51
 

CHARLES SCHWAB & CO INC

SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS

ATTN: MUTUAL FUNDS 101 MONTGOMERY ST

SAN FRANCISCO CA 94104-4151

    14.36
 

NATIONAL FINANCIAL SERVICES LLC

FOR THE EXCLUSIVE BENEFIT OF OUR CUSTOMERS

ATTN MUTUAL FUNDS DEPT 4TH FL

499 WASHINGTON BLVD

JERSEY CITY NJ 07310-2010

    12.01
 

FIRST CLEARING LLC

SPECIAL CUSTODY ACCT FOR

THE EXCLUSIVE BENEFIT OF CUSTOMER

2801 MARKET STREET

ST LOUIS MO 63103-2523

    5.44

SELECT CLASS SHARES

 

JPMORGAN CHASE BANK N.A.*,**

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    41.93
 

CHARLES SCHWAB & CO INC

SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS

ATTN: MUTUAL FUNDS 101 MONTGOMERY ST

SAN FRANCISCO CA 94104-4151

    9.71
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR E FL 3

JACKSONVILLE FL 32246-6484

    9.61
 

NATIONAL FINANCIAL SERVICES LLC

FOR THE EXCLUSIVE BENEFIT OF OUR CUSTOMERS

ATTN MUTUAL FUNDS DEPT 4TH FL

499 WASHINGTON BLVD

JERSEY CITY NJ 07310-2010

    8.28

 

91


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 

JPM PRIME MONEY MKT FUND

 

AGENCY SHARES

 

WSS EOD REGULAR SWEEP** OMNIBUS

10410 HIGHLAND MANOR DRIVE

3RD FLOOR

TAMPA FL 33610-9128

    48.35
 

JPMORGAN CHASE BANK*

ATTN: MICHAEL BROWNING

10410 HIGHLAND MANOR DR FL 3

TAMPA FL 33610-9128

    10.36

CLASS B SHARES

 

JPMORGAN CLEARING CORP*,**

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    38.70
 

MORGAN STANLEY SMITH BARNEY

HARBORSIDE FINANCIAL CENTER

PLAZA TWO FL 3

JERSEY CITY NJ 07311

    10.65
 

LPL FINANCIAL

9785 TOWNE CENTRE DRIVE

SAN DIEGO CA 92121-1968

    6.84
 

E TRADE CLEARING LLC

PO BOX 484

JERSEY CITY NJ 07303-0484

    6.67

CAPITAL SHARES

 

WSS SWEEP OMNIBUS

10410 HIGHLAND MANOR DR FL 3

TAMPA FL 33610-9128

    13.48
 

JPMORGAN CHASE BANK N.A.*

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    7.15
 

U S BANK NA

FBO SVB

1555 N RIVERCENTER DR STE 302

MILWAUKEE WI 53212-3958

    6.82
 

VODAFONE FINANCE LIMITED

1 KINGDOM STREET

PADDINGTON CENTRAL

LONDON UK W2 6BY

    6.34

 

92


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 

CASH MGMT SHARES

 

BEAR STEARNS SECURITIES*,** CORP

ATTN DENISE DILORENZO SIEGEL

1 METROTECH CTR N

BROOKLYN NY 11201-3832

    61.50
 

HARTFORD LIFE INSURANCE** COMPANY

SEPARATE ACCOUNT

ATTN UIT OPERATIONS

PO BOX 2999

HARTFORD CT 06104-2999

    35.70

CLASS C SHARES

 

JPMORGAN CLEARING CORP*,**

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    57.22
 

FIRST CLEARING LLC

SPECIAL CUSTODY ACCT FOR

THE EXCLUSIVE BENEFIT OF CUSTOMER

2801 MARKET STREET

ST LOUIS MO 63103-2523

    7.49

DIRECT SHARES

 

US BANK NA FBO SVB*,**

ATTN MUTUAL FUNDS

PO BOX 1787

MILWAUKEE WI 53201-1787

    100.00

EAGLE SHARES

 

EAGLE FUND SERVICES INC**

FEBO ITS CUSTOMERS (SWEEP)

ATTN MATT CALABRO

PO BOX 33022

ST PETERSBURG FL 33733-8022

    98.10

IM SHARES

 

JPM SECURITIES LENDING*,**

(SLAM) AS AGENT FOR JPM FUNDS

ATTN ADAM BRINTON

1 CHASE MANHATTAN PLZ

MAIL CODE NY1-A534

NEW YORK NY 10005-1401

    99.92

INSTITUTIONAL CLASS SHARES

 

WSS RESTRICTED SWEEP**

OMNIBUS

10410 HIGHLAND MANOR DR

3RD FLOOR

TAMPA FL 33610-9128

    64.45

INVESTOR SHARES

 

LPL FINANCIAL LLC AS AGENT**

FOR AND EXCLUSIVE BENEFIT FOR IT’S CUSTOMERS

ATTN KRISTIN KENNEDY

9785 TOWNE CENTRE DR

SAN DIEGO CA 92121-1968

    99.51

 

93


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 

MORGAN SHARES

 

JP MORGAN CLEARING CORP*

ATTN DENISE DILORENZO SIEGEL

3 CHASE METROTECH CENTER

BROOKLYN NY 11245-0001

    23.48
 

WSS EOD REGULAR SWEEP OMNIBUS

10410 HIGHLAND MANOR DRIVE

3RD FLOOR

TAMPA FL 33610-9128

    11.97
 

JPMORGAN CHASE BANK*

10410 HIGHLAND MANOR DR FL 3

TAMPA FL 33610-9128

    8.88
 

JPMORGAN CHASE BANK*

BANK 802 VH 15

ATTN: MICHAEL BROWNING

10410 HIGHLAND MANOR DR FL 3

TAMPA FL 33610-9128

    6.21
 

BRICS & CO*

C/O JPMORGAN WSS OPERATIONS

ATTN NAT AMARATANA TX1-J165

14201 DALLAS PKWY

DALLAS TX 75254-2916

    5.71
 

JPM AS EA FOR KASIMA LLC

CASH COLLATERAL ESCROW

SECURITIES A/C KASIMA LLC

ATTN: MARK KURTZ

ONE INTERNATIONAL BLVD 9TH FLOOR

MAHWAH NJ 07495-0027

    5.53

PREMIER SHARES

 

JPMORGAN CHASE BANK N.A.*

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    22.72
 

WSS EOD REGULAR SWEEP OMNIBUS

10410 HIGHLAND MANOR DRIVE

3RD FLOOR

TAMPA FL 33610-9128

    10.58
 

HARE & CO C/O THE BANK OF NEW YORK

ATTN STIF/ MASTERNOTE

111 SANDERS CREEK PKWY

EAST SYRACUSE NY 13057-1382

    7.98
 

BRICS & CO*

C/O JPMORGAN WSS OPERATIONS

ATTN NAT AMARATANA TX1-J165

14201 DALLAS PKWY

DALLAS TX 75254-2916

    5.89

 

94


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

JPMORGAN CHASE BANK*

10410 HIGHLAND MANOR DR FL 3

TAMPA FL 33610-9128

    5.83

RESERVE SHARES

 

BEAR STEARNS SECURITIES*,** CORP

ATTN DENISE DILORENZO SIEGEL

1 METROTECH CTR N

BROOKLYN NY 11201-3832

    53.94
 

JPMORGAN CHASE BANK*

ATTN: TOM AVINO

10410 HIGHLAND MANOR DR FL 3

TAMPA FL 33610-9128

    16.58
 

HARTFORD LIFE INSURANCE COMPANY

SEPARATE ACCOUNT

ATTN UIT OPERATIONS

PO BOX 2999

HARTFORD CT 06104-2999

    9.43
 

JPMORGAN CHASE BANK*

ATTN: MICHAEL BROWNING

10410 HIGHLAND MANOR DR FL 3

TAMPA FL 33610-9128

    7.59

SERVICE SHARES

 

LPL FINANCIAL LLC AS AGENT**

FOR AND EXCLUSIVE BENEFIT FOR IT’S CUSTOMERS

ATTN KRISTIN KENNEDY

9785 TOWNE CENTRE DR

SAN DIEGO CA 92121-1968

    100.00

JPM REAL RETURN FUND

 

CLASS A SHARES

 

JPMORGAN CLEARING CORP*,**

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    68.70
 

UBS WM USA

OMNI ACCOUNT M/F

ATTN DEPARTMENT MANAGER

499 WASHINGTON BLVD FL 9

JERSEY CITY NJ 07310-2055

    6.40
 

LPL FINANCIAL

9785 TOWNE CENTRE DRIVE

SAN DIEGO CA 92121-1968

    5.39

 

95


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 

CLASS C SHARES

 

JPMORGAN CLEARING CORP*,**

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    80.74

INSTITUTIONAL CLASS SHARES

 

JPMIM AS AGENT FOR*,**

JPMORGAN SMARTRETIREMENT 2015 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    26.68
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT INCOME FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    19.99
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2020 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    17.22
 

JPMIM AS AGENT FOR*

SOUTHERN UTE INDIAN TRIBE

ATTN CLIENT SERVICES

460 POLARIS PKWY # OH1-1235

WESTERVILLE OH 43082-8212

    11.37
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2010 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    11.10
 

ATTN MUTUAL FUND OPERATIONS MAC & CO

PO BOX 3198

PITTSBURGH PA 15230-3198

    7.86
 

JPMIM AS AGENT FOR*

JPMORGAN DIVERSIFIED REAL RETURN

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    5.44

SELECT CLASS SHARES

 

FIDELITY INVESTMENTS INST**

OPERATIONS CO INC AS AGENT FOR FBO MERCURY AIRCRAFT INC. 401(K)

RETIREMENT SAVINGS PLAN

100 MAGELLAN WAY # KW1C

COVINGTON KY 41015-1999

    38.46

 

96


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

JPMORGAN CHASE BANK N.A.*,**

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    25.51
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    14.30
 

FIRST CLEARING LLC

SPECIAL CUSTODY ACCT FOR

THE EXCLUSIVE BENEFIT OF CUSTOMER

2801 MARKET STREET

ST LOUIS MO 63103-2523

    10.79

JPM RESEARCH EQUITY LONG/SHORT FUND

 

CLASS A SHARES

 

GENWORTH FINANCIAL TRUST** COMPANY

FOR THE SOLE BENEFIT OF CUSTOMERS

3200 N CENTRAL AVE

PHOENIX AZ 85012-2468

    60.18
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    23.19
 

TD AMERITRADE INC FOR

THE EXCLUSIVE BENEFIT OF OUR CLIENTS

PO BOX 2226

OMAHA NE 68103-2226

    7.17
 

NATIONAL FINANCIAL SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

499 WASHINGTON BLVD

ATTN MUTUAL FUNDS DEPT 4TH FLOOR

JERSEY CITY NJ 07310-2010

    5.31

CLASS C SHARES

 

PERSHING LLC**

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    26.81
 

JPMORGAN CLEARING CORP* OMNIBUS ACCT FOR

THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    20.89
 

UBS WM USA

OMNI ACCOUNT M/F

ATTN DEPARTMENT MANAGER

499 WASHINGTON BLVD FL 9

JERSEY CITY NJ 07310-2055

    15.14

 

97


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

JP MORGAN INVESTMENT MGMT*

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    10.76
 

MORGAN STANLEY SMITH BARNEY

HARBORSIDE FINANCIAL CENTER

PLAZA TWO FL 3

JERSEY CITY NJ 07311

    10.29
 

AMERICAN ENTERPRISE INVESTMENT SVC

707 2ND AVE S

MINNEAPOLIS MN 55402-2405

    8.04

CLASS R5 SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    100.00

SELECT CLASS SHARES

 

SAXON & CO**

PO BOX 7780-1888

PHILADELPHIA PA 19182-0001

    47.48
 

CHARLES SCHWAB & CO INC

SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS

ATTN: MUTUAL FUNDS

101 MONTGOMERY ST

SAN FRANCISCO CA 94104-4151

    12.89
 

NATIONAL FINANCIAL SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

ATTN MUTUAL FUNDS DEPT 4TH FL

499 WASHINGTON BLVD

JERSEY CITY NJ 07310-2010

    7.93
 

NABANK & CO.

PO BOX 2180

TULSA OK 74101-2180

    7.67
 

LPL FINANCIAL

9785 TOWNE CENTRE DRIVE

SAN DIEGO CA 92121-1968

    6.11

JPM RESEARCH MARKET NEUTRAL FUND

 

CLASS A SHARES

 

NATIONAL FINANCIAL SERVICES** LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

499 WASHINGTON BLVD

ATTN MUTUAL FUNDS DEPT 4TH FLOOR

JERSEY CITY NJ 07310-2010

    39.55
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    16.56

 

98


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

CHARLES SCHWAB & CO INC

SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS

ATTN MUTUAL FUNDS

101 MONTGOMERY ST

SAN FRANCISCO CA 94104-4151

    11.90
 

TD AMERITRADE INC FOR

THE EXCLUSIVE BENEFIT OF OUR CLIENTS

PO BOX 2226

OMAHA NE 68103-2226

    5.92

CLASS B SHARES

 

MORGAN STANLEY SMITH** BARNEY

HARBORSIDE FINANCIAL CENTER

PLAZA TWO FL 3

JERSEY CITY NJ 07311

    34.15
 

MLPF&S FOR THE SOLE BENEFIT** OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR E FL 3

JACKSONVILLE FL 32246-6484

    26.97
 

FIRST CLEARING LLC

SPECIAL CUSTODY ACCT FOR

THE EXCLUSIVE BENEFIT OF CUSTOMER

2801 MARKET STREET

ST LOUIS MO 63103-2523

    15.13
 

NATIONAL FINANCIAL SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

499 WASHINGTON BLVD

ATTN MUTUAL FUNDS DEPT 4TH FLOOR

JERSEY CITY NJ 07310-2010

    6.47
 

JPMORGAN CLEARING CORP* OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    6.29

CLASS C SHARES

 

STIFEL NICOLAUS & CO INC**

EXCLUSIVE BENEFIT OF CUSTOMERS

501 N BROADWAY

SAINT LOUIS MO 63102-2188

    28.77
 

FIRST CLEARING LLC

SPECIAL CUSTODY ACCT FOR

THE EXCLUSIVE BENEFIT OF CUSTOMER

2801 MARKET STREET

ST LOUIS MO 63103-2523

    15.62
 

MORGAN STANLEY SMITH BARNEY

HARBORSIDE FINANCIAL CENTER

PLAZA TWO FL 3

JERSEY CITY NJ 07311

    13.45

 

99


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

RAYMOND JAMES

OMNIBUS FOR MUTUAL FUNDS

HOUSE ACCT FIRM 92500015

ATTN COURTNEY WALLER

880 CARILLON PKWY

ST PETERSBURG FL 33716-1100

    9.54
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    8.44

INSTITUTIONAL CLASS SHARES

 

SEI PRIVATE TRUST CO

C/O WASHINGTON TRUST BANK

1 FREEDOM VALLEY DR

OAKS PA 19456-9989

    21.36
 

CHARLES SCHWAB & CO INC

SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS

ATTN: MUTUAL FUNDS

101 MONTGOMERY ST

SAN FRANCISCO CA 94104-4151

    21.20
 

FIRST CLEARING LLC

SPECIAL CUSTODY ACCT FOR

THE EXCLUSIVE BENEFIT OF CUSTOMER

2801 MARKET STREET

ST LOUIS MO 63103-2523

    14.28
 

CALHOUN & CO

C/O COMERICA BANK

ATTN: MUTUAL FUNS UNIT MC 3446

PO BOX 75000

DETROIT MI 48275-0001

    10.03
 

NATIONAL FINANCIAL SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

ATTN MUTUAL FUNDS DEPT 4TH FL

499 WASHINGTON BLVD

JERSEY CITY NJ 07310-2010

    9.68

SELECT CLASS SHARES

 

JPMIM AS AGENT FOR*,**

JPMORGAN INVESTOR CONSERVATIVE GROWTH FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    35.94
 

JPMIM AS AGENT FOR*,**

JPMORGAN INVESTOR BALANCED FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    32.24

 

100


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

JPMIM AS AGENT FOR*

JPMORGAN INVESTOR GROWTH AND INCOME

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    18.39

JPM SHORT DURATION HIGH YIELD FUND

 

CLASS A SHARES

 

JPMORGAN CLEARING CORP*,** OMNIBUS ACCT FOR

THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    71.99
 

NATIONAL FINANCIAL SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

499 WASHINGTON BLVD

ATTN MUTUAL FUNDS DEPT 4TH FLOOR

JERSEY CITY NJ 07310-2010

    10.03

CLASS C SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    94.51
 

ROBERT L MASKE JOAN A MASKE TTEES

THE MASKE FAMILY 1997 TRUST

2826 W CANYON AVE

SAN DIEGO CA 92123-4648

    5.49

CLASS R6 SHARES

 

JPMORGAN CHASE BANK N.A.*,**

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    99.87

SELECT CLASS SHARES

 

JPMORGAN CHASE BANK N.A.*,**

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    76.25
 

JP MORGAN INVESTMENT MGMT*

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    12.63
 

WELLS FARGO BANK NA FBO

BEP EMP RET PLAN COMMITTE DIRECT DB

PO BOX 1533

MINNEAPOLIS MN 55480-1533

    8.46

 

101


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 

JPM SMALL CAP CORE FUND

 

SELECT CLASS SHARES

 

JPMORGAN CHASE 401(K)*,** SAVINGS PLAN

ATTN STEPHEN RYAN

3 CHASE METROTECH CTR FL 5

BROOKLYN NY 11245-0001

    87.19

JPM SMALL CAP EQUITY FUND

 

CLASS A SHARES

 

NATIONAL FINANCIAL SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

499 WASHINGTON BLVD

ATTN MUTUAL FUNDS DEPT 4TH FLOOR

JERSEY CITY NJ 07310-2010

    17.58
 

NATIONWIDE TRUST COMPANY FSB

C/O IPO PORTFOLIO ACCOUNTING

PO BOX 182029

COLUMBUS OH 43218-2029

    11.73
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DRIVE EAST 2ND FLR

JACKSONVILLE FL 32246-6484

    9.32
 

GENWORTH FINANCIAL TRUST CO CUST

FBO GFWM AND MUTUAL CLIENTS

FBO OTHER CUSTODIAL CLIENTS

3200 N CENTRAL AVE

PHOENIX AZ 85012-2468

    6.65
 

CHARLES SCHWAB & CO INC

REINVEST ACCOUNT

ATTN: MUTUAL FUNDS DEPT

101 MONTGOMERY STREET

SAN FRANCISCO CA 94104-4151

    5.71
 

JPMORGAN CLEARING CORP*

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    5.21

CLASS B SHARES

 

JPMORGAN CLEARING CORP*,**

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    31.39
 

MORGAN STANLEY SMITH BARNEY

HARBORSIDE FINANCIAL CENTER

PLAZA TWO FL 3

JERSEY CITY NJ 07311

    14.34

 

102


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    9.40
 

NATIONAL FINANCIAL SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

499 WASHINGTON BLVD

ATTN MUTUAL FUNDS DEPT 4TH FLOOR

JERSEY CITY NJ 07310-2010

    8.00
 

FIRST CLEARING LLC

SPECIAL CUSTODY ACCT FOR

THE EXCLUSIVE BENEFIT OF CUSTOMER

2801 MARKET STREET

ST LOUIS MO 63103-2523

    5.29
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DRIVE EAST 2ND FLR

JACKSONVILLE FL 32246-6484

    5.26

CLASS C SHARES

 

MORGAN STANLEY SMITH BARNEY

HARBORSIDE FINANCIAL CENTER

PLAZA TWO FL 2

JERSEY CITY NJ 07311

    18.61
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR E FL 3

JACKSONVILLE FL 32246-6484

    18.00
 

FIRST CLEARING LLC

SPECIAL CUSTODY ACCT FOR

THE EXCLUSIVE BENEFIT OF CUSTOMER

2801 MARKET STREET

ST LOUIS MO 63103-2523

    12.88
 

RBC CAPITAL MARKETS LLC

MUTUAL FUND OMNIBUS PROCESSING OMNIBUS

ATTN MUTUAL FUND OPS MANAGER

510 MARQUETTE AVE S

MINNEAPOLIS MN 55402-1110

    9.67
 

UBS WM USA

OMNI ACCOUNT M/F

ATTN DEPARTMENT MANAGER

499 WASHINGTON BLVD FL 9

JERSEY CITY NJ 07310-2055

    7.69

 

103


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

RAYMOND JAMES

OMNIBUS FOR MUTUAL FUNDS

HOUSE ACCT FIRM

ATTN COURTNEY WALLER

880 CARILLON PKWY

ST PETERSBURG FL 33716-1100

    5.56
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    5.39

CLASS R2 SHARES

 

MLPF&S FOR THE SOLE BENEFIT** OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR E FL 3

JACKSONVILLE FL 32246-6484

    38.21
 

HARTFORD LIFE INSURANCE** COMPANY

SEPARATE ACCOUNT

ATTN UIT OPERATIONS

PO BOX 2999

HARTFORD CT 06104-2999

    26.82
 

DCGT TRUSTEE & OR CUSTODIAN

FBO PRINCIPAL FINANCIAL GROUP

QUALI FIED PRIN ADVTG OMNIBUS

ATTN NPIO TRADE DESK

711 HIGH ST

DES MOINES IA 50392-0001

    17.32
 

DCGT TRUSTEE & OR CUSTODIAN

FBO PRINCIPAL FINANCIAL GROUP

QUALIFIED FIA OMNIBUS

ATTN NPIO TRADE DESK

711 HIGH ST

DES MOINES IA 50392-0001

    8.16

CLASS R5 SHARES

 

MERCER TRUST TTEE FBO

BOSCH SAVINGS INCENTIVE PLAN

ATTN DC PLAN ADMIN N-7-E

1 INVESTORS WAY

NORWOOD MA 02062-1599

    11.22
 

JPMORGAN CHASE AS TTEE*

FBO FOREST LABORATORIES INC

SAVINGS & PROFIT SHARING PLAN

C/O JPMORGAN RETIREMENT PLAN SERV

11500 OUTLOOK ST

OVERLAND PARK KS 66211-1804

    9.30

 

104


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

NFS LLC FBO

FIIOC AGENT FBO

QUALIFIED EMPLOYEE

PLANS 401K FINOPS-IC FUNDS

100 MAGELLAN WAY # KW1C

COVINGTON KY 41015-1987

    7.68
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR E FL 3

JACKSONVILLE FL 32246-6484

    6.08
 

WELLS FARGO BANK FBO

VARIOUS RETIREMENT PLANS

1525 WEST WT HARRIS BLVD

CHARLOTTE NC 28288-1076

    5.22

SELECT CLASS SHARES

 

JPMORGAN CLEARING CORP*,**

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    30.96
 

NATIONAL FINANCIAL SERVICES LLC

FOR THE EXCLUSIVE BENEFIT OF OUR CUSTOMERS

ATTN MUTUAL FUNDS DEPT 4TH FL

499 WASHINGTON BLVD

JERSEY CITY NJ 07310-2010

    17.39
 

JPMORGAN CHASE BANK N.A.*

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    5.33
 

CHARLES SCHWAB & CO INC

SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS

ATTN: MUTUAL FUNDS

101 MONTGOMERY ST

SAN FRANCISCO CA 94104-4151

    5.03

JPM SMARTALLOCATION EQUITY FUND

 

CLASS A SHARES

 

JP MORGAN INVESTMENT MGMT*

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    22.51
 

STATE STREET BANK & TRUST

CO CUST FOR THE TRAD IRA OF ENRIQUE A MAGRINA MARBELLA EAST APT 1606

ISLA VERDE AVE

CAROLINA PUERTO RICO 00979

    20.51

 

105


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

STATE STREET BANK & TRUST

CO CUST FOR THE TRAD IRA OF

WEI-LIN XIA

16 AUGUSTA AVE

EDISON NJ 08820-3857

    19.26
 

GREAT-WEST TRUST FBO JPMORGAN CHASE

TTEE FBO CERTAIN RETIREMENT PLANS

8515 E ORCHARD RD # 2T2

GREENWOOD VLG CO 80111-5002

    14.74
 

STATE STREET BANK & TRUST

CO CUST FOR THE TRAD IRA OF

JANET S DINIERI

101 CORNERSTONE AVE

WELLINGTON OH 44090-1182

    8.75
 

TD AMERITRADE INC FOR

THE EXCLUSIVE BENEFIT OF OUR CLIENTS

PO BOX 2226

OMAHA NE 68103-2226

    6.54

CLASS C SHARES

 

JPMORGAN CLEARING CORP*,**

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    57.85
 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    39.36

CLASS R2 SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    100.00

CLASS R5 SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    100.00 %

CLASS R6 SHARES

 

BRICS & CO*,**

C/O JPMORGAN WSS OPERATIONS

ATTN NAT AMARATANA TX1-J165

14201 DALLAS PKWY

DALLAS TX 75254-2916

    99.82 %

SELECT CLASS SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    84.14 %

 

106


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

JPMORGAN INVESTMENT* MANAGEMENT INC

DEFERRED COMPENSATION PLAN

FBO PARTICIPANTS

ATTN SARAH MASON

1111 POLARIS PKWY OH1-0185

COLUMBUS OH 43240-2031

    12.28 %

JPM SMARTALLOCATION INCOME FUND

 

CLASS A SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    73.08
 

STATE STREET BANK & TRUST**

CO CUST FOR THE TRAD IRA OF TINA M MOORE

14617 TURNER AVE

MIDLOTHIAN IL 60445-3031

    26.92

CLASS C SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    100.00

CLASS R2 SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    100.00

CLASS R5 SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    100.00

CLASS R6 SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    100.00

SELECT CLASS SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    99.91

JPM SMARTRETIREMENT INCOME FUND

 

CLASS A SHARES

 

GREAT-WEST TRUST FBO

JPMORGAN CHASE

TTEE FBO CERTAIN RETIREMENT PLANS

8515 E ORCHARD ROAD 2T2

GREENWOOD VILLAGE CO 80111-5002

    7.80

 

107


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

NATIONAL FINANCIAL SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

499 WASHINGTON BLVD

ATTN MUTUAL FUNDS DEPT 4TH FLOOR

JERSEY CITY NJ 07310-2010

    6.50
 

CHARLES SCHWAB & CO INC

SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS

ATTN MUTUAL FUNDS 101 MONTGOMERY ST

SAN FRANCISCO CA 94104-4151

    5.15

CLASS C SHARES

 

JPMORGAN CLEARING CORP*,**

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    44.55
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR E FL 3

JACKSONVILLE FL 32246-6484

    23.17
 

AMERICAN ENTERPRISE INVESTMENT SVC

707 2ND AVE S

MINNEAPOLIS MN 55402-2405

    8.29
 

LPL FINANCIAL

9785 TOWNE CENTRE DRIVE

SAN DIEGO CA 92121-1968

    5.34

INSTITUTIONAL CLASS SHARES

 

BRICS & CO*,**

C/O JPMORGAN WSS OPERATIONS

ATTN NAT AMARATANA TX1-J165

14201 DALLAS PKWY

DALLAS TX 75254-2916

    31.11
 

NATIONAL FINANCIAL SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

ATTN MUTUAL FUNDS DEPT 4TH FL

499 WASHINGTON BLVD

JERSEY CITY NJ 07310-2010

    19.56
 

JPMORGAN CHASE TTEE FBO*

CAROLINAS HEALTHCARE SYSTEM 401(K) MATCHED SAVINGS PLAN

11500 OUTLOOK ST

OVERLAND PARK KS 66211-1804

    6.65

CLASS R2 SHARES

 

HARTFORD LIFE INSURANCE** COMPANY

SEPARATE ACCOUNT ATTN JAN TEW ONE HARTFORD PLAZA PO BOX 60

HARTFORD CT 06141-0060

    40.98

 

108


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

NFS LLC FBO**

STATE STREET BANK TRUST CO

TTEE VARIOUS RETIREMENT PLANS

440 MAMARONECK AVE

HARRISON NY 10528-2418

    30.21
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR EAST 2ND FL

JACKSONVILLE FL 32246-6484

    6.34
 

TAYNIK & CO

INVESTORS BANK AND TRUST CO

200 CLARENDON ST # 090

BOSTON MA 02116-5097

    6.07

SELECT CLASS SHARES

 

NATIONAL FINANCIAL** SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

ATTN MUTUAL FUNDS DEPT 4TH FL

499 WASHINGTON BLVD

JERSEY CITY NJ 07310-2010

    40.32
 

GREAT-WEST TRUST FBO JPMORGAN CHASE

TTEE FBO CERTAIN RETIREMENT PLANS

8515 E ORCHARD ROAD 2T2

GREENWOOD VILLAGE CO 80111-5002

    12.33

JPM SMARTRETIREMENT 2010 FUND

 

CLASS A SHARES

 

NATIONAL FINANCIAL SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

499 WASHINGTON BLVD

ATTN MUTUAL FUNDS DEPT 4TH FLOOR

JERSEY CITY NJ 07310-2010

    7.34
 

CHARLES SCHWAB & CO INC

SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS

ATTN: MUTUAL FUNDS

101 MONTGOMERY ST

SAN FRANCISCO CA 94104-4151

    6.09
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR E FL 3

JACKSONVILLE FL 32246-6484

    5.91
 

HARTFORD LIFE INSURANCE COMPANY

SEPARATE ACCOUNT

ATTN UIT OPERATIONS

PO BOX 2999

HARTFORD CT 06104-2999

    5.02

 

109


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 

CLASS C SHARES

 

JPMORGAN CLEARING CORP*,**

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    35.06
 

MLPF&S FOR THE SOLE** BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR E FL 3

JACKSONVILLE FL 32246-6484

    30.27
 

NATIONAL FINANCIAL SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

499 WASHINGTON BLVD

ATTN MUTUAL FUNDS DEPT 4TH FLOOR

JERSEY CITY NJ 07310-2010

    13.84
 

FIRST CLEARING LLC

SPECIAL CUSTODY ACCT FOR

THE EXCLUSIVE BENEFIT OF CUSTOMER

2801 MARKET STREET

ST LOUIS MO 63103-2523

    5.18

INSTITUTIONAL CLASS SHARES

 

NATIONAL FINANCIAL** SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

ATTN MUTUAL FUNDS DEPT 4TH FL

499 WASHINGTON BLVD

JERSEY CITY NJ 07310-2010

    25.15
 

JPMORGAN CHASE BANK CUST*

FBO IOWA HEALTH SYSTEM SECTION 401K

JPMRPS MGMT RPTG TEAM

11500 OUTLOOK STREET

OVERLAND PARK KS 66211-1804

    5.70
 

CHARLES SCHWAB & CO INC

SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS

ATTN: MUTUAL FUNDS

101 MONTGOMERY ST

SAN FRANCISCO CA 94104-4151

    5.54
 

JPMORGAN CHASE TTEE FBO*

T D WILLIAMSON INC

THRIFT PLAN & TRUST

11500 OUTLOOK ST

OVERLAND PARK KS 66211-1804

    5.19

CLASS R2 SHARES

 

HARTFORD LIFE INSURANCE** COMPANY

SEPARATE ACCOUNT

ATTN JAN TEW

ONE HARTFORD PLAZA

PO BOX 60

HARTFORD CT 06141-0060

    54.78

 

110


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR EAST 2ND FL

JACKSONVILLE FL 32246-6484

    9.07

SELECT CLASS SHARES

 

NATIONAL FINANCIAL** SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

ATTN MUTUAL FUNDS DEPT 4TH FL

499 WASHINGTON BLVD

JERSEY CITY NJ 07310-2010

    37.11
 

JPMORGAN CHASE BANK TTEE/* CUST

FOR THE TIAA-CREF RETIREMENT PLANS PROGRAM

1 CHASE MANHATTAN PLZ FL 19

ATTN JAMES BARTLEY

NEW YORK NY 10005-1401

    13.09
 

CHARLES SCHWAB & CO INC

ATTN MUTUAL FUND OPS

101 MONTGOMERY ST

SAN FRANCISCO CA 94104-4151

    6.60
 

DCGT AS TTEE AND/OR CUST

FBO PRINCIPAL FINANCIAL GROUP QUALIFIED PRIN ADVTG OMNIBUS

ATTN NPIO TRADE DESK

711 HIGH ST

DES MOINES IA 50392-0001

    6.22

JPM SMARTRETIREMENT 2015 FUND

 

CLASS A SHARES

 

NATIONAL FINANCIAL SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

499 WASHINGTON BLVD

ATTN MUTUAL FUNDS DEPT 4TH FLOOR

JERSEY CITY NJ 07310-2010

    8.35
 

CHARLES SCHWAB & CO INC

SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS

ATTN: MUTUAL FUNDS

101 MONTGOMERY ST

SAN FRANCISCO CA 94104-4151

    7.00
 

GREAT-WEST TRUST FBO JPMORGAN CHASE

TTEE FBO CERTAIN RETIREMENT PLANS

8515 E ORCHARD ROAD 2T2

GREENWOOD VILLAGE

CO 80111-5002

    6.40
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR E FL 3

JACKSONVILLE FL 32246-6484

    5.78

 

111


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 

CLASS C SHARES

 

MLPF&S FOR THE SOLE BENEFIT** OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR E FL 3

JACKSONVILLE FL 32246-6484

    35.95
 

JPMORGAN CLEARING CORP*,** OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    26.94
 

AMERICAN ENTERPRISE INVESTMENT SVC

707 2ND AVE S

MINNEAPOLIS MN 55402-2405

    6.88
 

NATIONAL FINANCIAL SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

499 WASHINGTON BLVD

ATTN MUTUAL FUNDS DEPT 4TH FLOOR

JERSEY CITY NJ 07310-2010

    6.10

INSTITUTIONAL CLASS SHARES

 

NATIONAL FINANCIAL** SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

ATTN MUTUAL FUNDS DEPT 4TH FL

499 WASHINGTON BLVD

JERSEY CITY NJ 07310-2010

    28.82
 

JPMORGAN CHASE TTEE FBO*

CAROLINAS HEALTHCARE SYSTEM 401(K) MATCHED SAVINGS PLAN

11500 OUTLOOK ST

OVERLAND PARK KS 66211-1804

    10.02

CLASS R2 SHARES

 

HARTFORD LIFE INSURANCE** COMPANY

SEPARATE ACCOUNT

ATTN JAN TEW

ONE HARTFORD PLAZA

PO BOX 60

HARTFORD CT 06141-0060

    40.93
 

NFS LLC FBO

STATE STREET BANK TRUST CO

TTEE VARIOUS RETIREMENT PLANS

440 MAMARONECK AVE

HARRISON NY 10528-2418

    19.86
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR EAST 2ND FL

JACKSONVILLE FL 32246-6484

    9.30

 

112


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 

SELECT CLASS SHARES

 

NATIONAL FINANCIAL** SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

ATTN MUTUAL FUNDS DEPT 4TH FL

499 WASHINGTON BLVD

JERSEY CITY NJ 07310-2010

    41.67
 

GREAT-WEST TRUST FBO JPMORGAN CHASE

TTEE FBO CERTAIN RETIREMENT PLANS

8515 E ORCHARD ROAD 2T2

GREENWOOD VILLAGE

CO 80111-5002

    11.20
 

JPMORGAN CHASE BANK TTEE/* CUST

FOR THE TIAA-CREF RETIREMENT PLANS PROGRAM

1 CHASE MANHATTAN PLZ FL 19

ATTN JAMES BARTLEY

NEW YORK NY 10005-1401

    9.14

JPM SMARTRETIREMENT 2020 FUND

 

CLASS A SHARES

 

NATIONAL FINANCIAL SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

499 WASHINGTON BLVD

ATTN MUTUAL FUNDS DEPT 4TH FLOOR

JERSEY CITY NJ 07310-2010

    9.13
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR E FL 3

JACKSONVILLE FL 32246-6484

    6.50
 

HARTFORD LIFE INSURANCE COMPANY

SEPARATE ACCOUNT

ATTN JAN TEW

ONE HARTFORD PLAZA

PO BOX 60

HARTFORD CT 06141-0060

    5.84
 

CHARLES SCHWAB & CO INC

SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS

ATTN: MUTUAL FUNDS

101 MONTGOMERY ST

SAN FRANCISCO CA 94104-4151

    5.74
 

GREAT-WEST TRUST FBO JPMORGAN CHASE

TTEE FBO CERTAIN RETIREMENT PLANS

8515 E ORCHARD ROAD 2T2

GREENWOOD VILLAGE

CO 80111-5002

    5.69

 

113


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

GREAT-WEST TRUST COMPANY LLC TTEE F

EMPLOYEE BENEFITS CLIENTS 401K

8515 E ORCHARD RD 2T2

GREENWOOD VILLAGE

CO 80111-5002

    5.34

CLASS C SHARES

 

MLPF&S FOR THE SOLE** BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR E FL 3

JACKSONVILLE FL 32246-6484

    37.05
 

JPMORGAN CLEARING CORP* OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    21.48
 

AMERICAN ENTERPRISE INVESTMENT SVC

707 2ND AVE S

MINNEAPOLIS MN 55402-2405

    6.10

INSTITUTIONAL CLASS SHARES

 

NATIONAL FINANCIAL** SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

ATTN MUTUAL FUNDS DEPT 4TH FL

499 WASHINGTON BLVD

JERSEY CITY NJ 07310-2010

    28.77
 

JPMORGAN CHASE TTEE FBO*

CAROLINAS HEALTHCARE SYSTEM 401(K) MATCHED SAVINGS PLAN

11500 OUTLOOK ST

OVERLAND PARK KS 66211-1804

    9.53

CLASS R2 SHARES

 

HARTFORD LIFE INSURANCE** COMPANY

SEPARATE ACCOUNT

ATTN JAN TEW

ONE HARTFORD PLAZA

PO BOX 60

HARTFORD CT 06141-0060

    46.21
 

NFS LLC FBO

STATE STREET BANK TRUST CO

TTEE VARIOUS RETIREMENT PLANS

440 MAMARONECK AVE

HARRISON NY 10528-2418

    15.86
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR EAST 2ND FL

JACKSONVILLE FL 32246-6484

    8.10

 

114


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 

SELECT CLASS SHARES

 

NATIONAL FINANCIAL** SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

ATTN MUTUAL FUNDS DEPT 4TH FL

499 WASHINGTON BLVD

JERSEY CITY NJ 07310-2010

    40.80
 

GREAT-WEST TRUST FBO

JPMORGAN CHASE

TTEE FBO CERTAIN RETIREMENT PLANS

8515 E ORCHARD ROAD 2T2

GREENWOOD VILLAGE

CO 80111-5002

    8.84
 

CHARLES SCHWAB & CO INC

ATTN MUTUAL FUND OPS

101 MONTGOMERY ST

SAN FRANCISCO CA 94104-4151

    5.59
 

JPMORGAN CHASE BANK TTEE/* CUST

FOR THE TIAA-CREF RETIREMENT PLANS PROGRAM

1 CHASE MANHATTAN PLZ FL 19

ATTN JAMES BARTLEY

NEW YORK NY 10005-1401

    5.04

JPM SMARTRETIREMENT 2025 FUND

 

CLASS A SHARES

 

NATIONAL FINANCIAL SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

499 WASHINGTON BLVD

ATTN MUTUAL FUNDS DEPT 4TH FLOOR

JERSEY CITY NJ 07310-2010

    9.40
 

MERRILL LYNCH PIERCE FENNER & SMITH INC

FOR THE SOLE BENEFIT OF CUSTOMERS

4800 DEER LAKE DR EAST

JACKSONVILLE FL 32246-6484

    5.95
 

GREAT-WEST TRUST FBO

JPMORGAN CHASE

TTEE FBO CERTAIN RETIREMENT PLANS

8515 E ORCHARD ROAD 2T2

GREENWOOD VILLAGE

CO 80111-5002

    5.56
 

GREAT-WEST TRUST COMPANY LLC TTEE F

EMPLOYEE BENEFITS CLIENTS 401K

8515 E ORCHARD RD 2T2

GREENWOOD VILLAGE

CO 80111-5002

    5.35

CLASS C SHARES

 

MLPF&S FOR THE SOLE BENEFIT** OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR E FL 3

JACKSONVILLE FL 32246-6484

    38.49

 

115


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

JPMORGAN CLEARING CORP*

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    16.85
 

MORGAN STANLEY SMITH BARNEY

HARBORSIDE FINANCIAL CENTER

PLAZA TWO FL 3

JERSEY CITY NJ 07311

    8.70
 

AMERICAN ENTERPRISE INVESTMENT SVC

707 2ND AVE S

MINNEAPOLIS MN 55402-2405

    6.29
 

FIRST CLEARING LLC

SPECIAL CUSTODY ACCT FOR

THE EXCLUSIVE BENEFIT OF CUSTOMER

2801 MARKET STREET

ST LOUIS MO 63103-2523

    5.04

INSTITUTIONAL CLASS SHARES

 

NATIONAL FINANCIAL** SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

ATTN MUTUAL FUNDS DEPT 4TH FL

499 WASHINGTON BLVD

JERSEY CITY NJ 07310-2010

    32.87
 

JPMORGAN CHASE TTEE FBO*

CAROLINAS HEALTHCARE SYSTEM 401(K) MATCHED SAVINGS PLAN

11500 OUTLOOK ST

OVERLAND PARK KS 66211-1804

    12.91

CLASS R2 SHARES

 

HARTFORD LIFE INSURANCE** COMPANY

SEPARATE ACCOUNT

ATTN JAN TEW

ONE HARTFORD PLAZA

PO BOX 60

HARTFORD CT 06141-0060

    40.28
 

NFS LLC FBO

STATE STREET BANK TRUST CO

TTEE VARIOUS RETIREMENT PLANS

440 MAMARONECK AVE

HARRISON NY 10528-2418

    17.70
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR EAST 2ND FL

JACKSONVILLE FL 32246-6484

    5.84

 

116


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 

SELECT CLASS SHARES

 

NATIONAL FINANCIAL** SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

ATTN MUTUAL FUNDS DEPT 4TH FL

499 WASHINGTON BLVD

JERSEY CITY NJ 07310-2010

    45.50
 

GREAT-WEST TRUST FBO

JPMORGAN CHASE

TTEE FBO CERTAIN RETIREMENT PLANS

8515 E ORCHARD ROAD 2T2

GREENWOOD VILLAGE

CO 80111-5002

    10.24
 

JPMORGAN CHASE BANK TTEE/* CUST

FOR THE TIAA-CREF RETIREMENT PLANS PROGRAM

1 CHASE MANHATTAN PLZ FL 19

ATTN JAMES BARTLEY

NEW YORK NY 10005-1401

    7.89
 

CHARLES SCHWAB & CO INC

ATTN MUTUAL FUND OPS

101 MONTGOMERY ST

SAN FRANCISCO CA 94104-4151

    5.94

JPM SMARTRETIREMENT 2030 FUND

 

CLASS A SHARES

 

NATIONAL FINANCIAL SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

499 WASHINGTON BLVD

ATTN MUTUAL FUNDS DEPT 4TH FLOOR

JERSEY CITY NJ 07310-2010

    8.11
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR E FL 3

JACKSONVILLE FL 32246-6484

    6.70
 

GREAT-WEST TRUST COMPANY LLC TTEE F

EMPLOYEE BENEFITS CLIENTS 401K

8515 E ORCHARD RD 2T2

GREENWOOD VILLAGE CO 80111-5002

    5.77
 

CHARLES SCHWAB & CO INC

SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS

ATTN: MUTUAL FUNDS

101 MONTGOMERY ST

SAN FRANCISCO CA 94104-4151

    5.65
 

HARTFORD LIFE INSURANCE COMPANY

SEPARATE ACCOUNT

ATTN JAN TEW

ONE HARTFORD PLAZA

PO BOX 60

HARTFORD CT 06141-0060

    5.52

 

117


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 

CLASS C SHARES

 

MLPF&S FOR THE SOLE BENEFIT** OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR E FL 3

JACKSONVILLE FL 32246-6484

    50.33
 

JPMORGAN CLEARING CORP*

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    17.23

INSTITUTIONAL CLASS SHARES

 

NATIONAL FINANCIAL** SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

ATTN MUTUAL FUNDS DEPT 4TH FL

499 WASHINGTON BLVD

JERSEY CITY NJ 07310-2010

    29.36
 

JPMORGAN CHASE TTEE FBO*

CAROLINAS HEALTHCARE SYSTEM 401(K) MATCHED SAVINGS PLAN

11500 OUTLOOK ST

OVERLAND PARK KS 66211-1804

    9.60
 

JPMORGAN CHASE BANK CUST*

FBO IOWA HEALTH SYSTEM SECTION 401K

JPMRPS MGMT RPTG TEAM

11500 OUTLOOK STREET

OVERLAND PARK KS 66211-1804

    6.18

CLASS R2 SHARES

 

HARTFORD LIFE INSURANCE** COMPANY

SEPARATE ACCOUNT

ATTN JAN TEW

ONE HARTFORD PLAZA

PO BOX 60

HARTFORD CT 06141-0060

    44.29
 

NFS LLC FBO

STATE STREET BANK TRUST CO

TTEE VARIOUS RETIREMENT PLANS

440 MAMARONECK AVE

HARRISON NY 10528-2418

    15.05
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR EAST 2ND FL

JACKSONVILLE FL 32246-6484

    8.59

SELECT CLASS SHARES

 

NATIONAL FINANCIAL** SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

ATTN MUTUAL FUNDS DEPT 4TH FL

499 WASHINGTON BLVD

JERSEY CITY NJ 07310-2010

    35.79

 

118


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

GREAT-WEST TRUST FBO JPMORGAN CHASE

TTEE FBO CERTAIN RETIREMENT PLANS

8515 E ORCHARD ROAD 2T2

GREENWOOD VILLAGE

CO 80111-5002

    9.64
 

CHARLES SCHWAB & CO INC

ATTN MUTUAL FUND OPS

101 MONTGOMERY ST

SAN FRANCISCO CA 94104-4151

    6.48
 

JPMORGAN CHASE BANK TTEE/* CUST

FOR THE TIAA-CREF RETIREMENT PLANS PROGRAM

1 CHASE MANHATTAN PLZ FL 19

ATTN JAMES BARTLEY

NEW YORK NY 10005-1401

    5.81
 

DCGT AS TTEE AND/OR CUST

FBO PRINCIPAL FINANCIAL GROUP QUALIFIED FIA OMNIBUS

ATTN NPIO TRADE DESK

711 HIGH ST

DES MOINES IA 50392-0001

    5.11

JPM SMARTRETIREMENT 2035 FUND

 

CLASS A SHARES

 

NATIONAL FINANCIAL SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

499 WASHINGTON BLVD

ATTN MUTUAL FUNDS DEPT 4TH FLOOR

JERSEY CITY NJ 07310-2010

    9.27
 

GREAT-WEST TRUST COMPANY LLC TTEE F

EMPLOYEE BENEFITS CLIENTS 401K

8515 E ORCHARD RD 2T2

GREENWOOD VILLAGE CO 80111-5002

    6.12
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR E FL 3

JACKSONVILLE FL 32246-6484

    5.12

CLASS C SHARES

 

MLPF&S FOR THE SOLE BENEFIT** OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR E FL 3

JACKSONVILLE FL 32246-6484

    45.34
 

JPMORGAN CLEARING CORP*

OMNIBUS ACCT FOR

THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    19.15

 

119


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

FIRST CLEARING LLC

SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER

2801 MARKET STREET

ST LOUIS MO 63103-2523

    7.64

INSTITUTIONAL CLASS SHARES

 

NATIONAL FINANCIAL** SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

ATTN MUTUAL FUNDS DEPT

4TH FL

499 WASHINGTON BLVD

JERSEY CITY NJ 07310-2010

    35.86
 

JPMORGAN CHASE TTEE FBO*

CAROLINAS HEALTHCARE SYSTEM 401(K) MATCHED SAVINGS PLAN

11500 OUTLOOK ST

OVERLAND PARK KS 66211-1804

    15.00

CLASS R2 SHARES

 

HARTFORD LIFE INSURANCE** COMPANY

SEPARATE ACCOUNT

ATTN JAN TEW

ONE HARTFORD PLAZA

PO BOX 60

HARTFORD CT 06141-0060

    40.02
 

NFS LLC FBO

STATE STREET BANK TRUST CO

TTEE VARIOUS RETIREMENT PLANS

440 MAMARONECK AVE

HARRISON NY 10528-2418

    16.14
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR EAST 2ND FL

JACKSONVILLE FL 32246-6484

    6.09

SELECT CLASS SHARES

 

NATIONAL FINANCIAL** SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

ATTN MUTUAL FUNDS DEPT 4TH FL

499 WASHINGTON BLVD

JERSEY CITY NJ 07310-2010

    43.57
 

JPMORGAN CHASE BANK TTEE/*

CUST FOR THE TIAA-CREF RETIREMENT PLANS PROGRAM

1 CHASE MANHATTAN PLZ FL 19

ATTN JAMES BARTLEY

NEW YORK NY 10005-1401

    9.58
 

GREAT-WEST TRUST FBO JPMORGAN CHASE

TTEE FBO CERTAIN RETIREMENT PLANS

8515 E ORCHARD ROAD 2T2

GREENWOOD VILLAGE

CO 80111-5002

    8.17

 

120


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

CHARLES SCHWAB & CO INC

ATTN MUTUAL FUND OPS

101 MONTGOMERY ST

SAN FRANCISCO CA 94104-4151

    5.79

JPM SMARTRETIREMENT 2040 FUND

 

CLASS A SHARES

 

NATIONAL FINANCIAL SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

499 WASHINGTON BLVD

ATTN MUTUAL FUNDS DEPT 4TH FLOOR

JERSEY CITY NJ 07310-2010

    8.08
 

GREAT-WEST TRUST COMPANY LLC TTEE F

EMPLOYEE BENEFITS CLIENTS 401K

8515 E ORCHARD RD 2T2

GREENWOOD VILLAGE

CO 80111-5002

    6.94
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR E FL 3

JACKSONVILLE FL 32246-6484

    6.40
 

CHARLES SCHWAB & CO INC

SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS

ATTN: MUTUAL FUNDS

101 MONTGOMERY ST

SAN FRANCISCO CA 94104-4151

    6.35
 

HARTFORD LIFE INSURANCE COMPANY

SEPARATE ACCOUNT

ATTN JAN TEW

ONE HARTFORD PLAZA

PO BOX 60

HARTFORD CT 06141-0060

    5.12

CLASS C SHARES

 

MLPF&S FOR THE SOLE BENEFIT** OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR E FL 3

JACKSONVILLE FL 32246-6484

    49.98
 

JPMORGAN CLEARING CORP*

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    14.11
 

FRONTIER TRUST CO FBO

KELCO 401 K PLAN 039314

PO BOX 10758

FARGO ND 58106-0758

    5.75

 

121


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 

INSTITUTIONAL CLASS SHARES

 

NATIONAL FINANCIAL** SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

ATTN MUTUAL FUNDS DEPT 4TH FL

499 WASHINGTON BLVD

JERSEY CITY NJ 07310-2010

    30.85
 

JPMORGAN CHASE TTEE FBO*

CAROLINAS HEALTHCARE SYSTEM

401(K) MATCHED SAVINGS PLAN

11500 OUTLOOK ST

OVERLAND PARK KS 66211-1804

    9.46
 

JPMORGAN CHASE BANK CUST* FBO

IOWA HEALTH SYSTEM SECTION 401K

JPMRPS MGMT RPTG TEAM

11500 OUTLOOK STREET

OVERLAND PARK KS 66211-1804

    9.30
 

JPMORGAN CHASE BANK AS* TRUSTEE FBO

CLARIAN HEALTH PARTNERS DC PLAN

JPMRPS MGMT RPTG TEAM

11500 OUTLOOK STREET

OVERLAND PARK KS 66211-1804

    6.10

CLASS R2 SHARES

 

HARTFORD LIFE INSURANCE** COMPANY

SEPARATE ACCOUNT

ATTN JAN TEW

ONE HARTFORD PLAZA

PO BOX 60

HARTFORD CT 06141-0060

    40.66
 

NFS LLC FBO

STATE STREET BANK TRUST CO

TTEE VARIOUS RETIREMENT PLANS

440 MAMARONECK AVE

HARRISON NY 10528-2418

    13.64
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR EAST 2ND FL

JACKSONVILLE FL 32246-6484

    8.65
 

NEW YORK LIFE TRUST CO

169 LACKAWANNA AVE

PARSIPPANY NJ 07054-1007

    5.18

SELECT CLASS SHARES

 

NATIONAL FINANCIAL** SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

ATTN MUTUAL FUNDS DEPT 4TH FL

499 WASHINGTON BLVD

JERSEY CITY NJ 07310-2010

    33.47

 

122


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

GREAT-WEST TRUST FBO*

JPMORGAN CHASE

TTEE FBO CERTAIN RETIREMENT PLANS

8515 E ORCHARD ROAD 2T2

GREENWOOD VILLAGE

CO 80111-5002

    9.10
 

JPMORGAN CHASE BANK TTEE/* CUST

FOR THE TIAA-CREF RETIREMENT PLANS PROGRAM

1 CHASE MANHATTAN PLZ FL 19

ATTN JAMES BARTLEY

NEW YORK NY 10005-1401

    7.91
 

CHARLES SCHWAB & CO INC

ATTN MUTUAL FUND OPS

101 MONTGOMERY ST

SAN FRANCISCO CA 94104-4151

    6.86

JPM SMARTRETIREMENT 2045 FUND

 

CLASS A SHARES

 

NATIONAL FINANCIAL SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

499 WASHINGTON BLVD

ATTN MUTUAL FUNDS DEPT 4TH FLOOR

JERSEY CITY NJ 07310-2010

    11.40
 

GREAT-WEST TRUST COMPANY LLC TTEE F

EMPLOYEE BENEFITS CLIENTS 401K

8515 E ORCHARD RD 2T2

GREENWOOD VILLAGE

CO 80111-5002

    6.58

CLASS C SHARES

 

MERRILL LYNCH PIERCE** FENNER & SMITH INC

FOR THE SOLE BENEFIT OF CUSTOMERS

4800 DEER LAKE DR EAST

JACKSONVILLE FL 32246-6484

    44.78
 

JPMORGAN CLEARING CORP* OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    15.48
 

FIRST CLEARING LLC

SPECIAL CUSTODY ACCT

FOR THE EXCLUSIVE BENEFIT OF CUSTOMER

2801 MARKET STREET

ST LOUIS MO 63103-2523

    5.39

INSTITUTIONAL CLASS SHARES

 

NATIONAL FINANCIAL** SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

ATTN MUTUAL FUNDS DEPT 4TH FL

499 WASHINGTON BLVD

JERSEY CITY NJ 07310-2010

    41.68

 

123


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

JPMORGAN CHASE TTEE FBO*

CAROLINAS HEALTHCARE SYSTEM 401(K) MATCHED SAVINGS PLAN

11500 OUTLOOK ST

OVERLAND PARK KS 66211-1804

    13.19

CLASS R2 SHARES

 

HARTFORD LIFE INSURANCE** COMPANY

SEPARATE ACCOUNT

ATTN JAN TEW

ONE HARTFORD PLAZA

PO BOX 60

HARTFORD CT 06141-0060

    34.63
 

NFS LLC FBO

STATE STREET BANK TRUST CO

TTEE VARIOUS RETIREMENT PLANS

440 MAMARONECK AVE

HARRISON NY 10528-2418

    18.63
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR EAST 2ND FL

JACKSONVILLE FL 32246-6484

    6.09
 

ING LIFE INS AND ANNUITY CO

ATTN TREASURY DEPT

5780 POWERS FERRY RD NW

ATLANTA GA 30327-4347

    5.26 %
 

NEW YORK LIFE TRUST CO

169 LACKAWANNA AVE

PARSIPPANY NJ 07054-1007

    5.04 %

SELECT CLASS SHARES

 

NATIONAL FINANCIAL** SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

ATTN MUTUAL FUNDS DEPT 4TH FL

499 WASHINGTON BLVD

JERSEY CITY NJ 07310-2010

    45.04 %
 

JPMORGAN CHASE BANK TTEE/* CUST

FOR THE TIAA-CREF RETIREMENT PLANS PROGRAM

1 CHASE MANHATTAN PLZ FL 19

ATTN JAMES BARTLEY

NEW YORK NY 10005-1401

    8.23 %
 

GREAT-WEST TRUST FBO JPMORGAN CHASE

TTEE FBO CERTAIN RETIREMENT PLANS

8515 E ORCHARD ROAD 2T2

GREENWOOD VILLAGE CO 80111-5002

    7.93 %

 

124


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 

JPM SMARTRETIREMENT 2050 FUND

 

CLASS A SHARES

 

NATIONAL FINANCIAL SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

499 WASHINGTON BLVD

ATTN MUTUAL FUNDS DEPT 4TH FLOOR

JERSEY CITY NJ 07310-2010

    13.02
 

GREAT-WEST TRUST COMPANY LLC TTEE F

EMPLOYEE BENEFITS CLIENTS 401K

8515 E ORCHARD RD 2T2

GREENWOOD VILLAGE CO 80111-5002

    7.21
 

MERRILL LYNCH PIERCE FENNER & SMITH INC

FOR THE SOLE BENEFIT OF CUSTOMERS

4800 DEER LAKE DR EAST

JACKSONVILLE FL 32246-6484

    5.78
 

CHARLES SCHWAB & CO INC

SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS

ATTN: MUTUAL FUNDS

101 MONTGOMERY ST

SAN FRANCISCO CA 94104-4151

    5.32

CLASS C SHARES

 

MLPF&S FOR THE SOLE BENEFIT** OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR E FL 3

JACKSONVILLE FL 32246-6484

    44.06
 

UBS WM USA

OMNI ACCOUNT M/F

ATTN DEPARTMENT MANAGER

499 WASHINGTON BLVD FL 9

JERSEY CITY NJ 07310-2055

    7.33
 

JPMORGAN CLEARING CORP*

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    7.05
 

FIRST CLEARING LLC

SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER

2801 MARKET STREET

ST LOUIS MO 63103-2523

    5.65

INSTITUTIONAL CLASS SHARES

 

NATIONAL FINANCIAL** SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

ATTN MUTUAL FUNDS DEPT 4TH FL

499 WASHINGTON BLVD

JERSEY CITY NJ 07310-2010

    32.91

 

125


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

JPMORGAN CHASE AS TTEE*

FOR IOWA HEALTH SYSTEM SECTION 401K RETIREMENT SAVINGS PLAN

11500 OUTLOOK ST

OVERLAND PARK KS 66211-1804

    7.66
 

JPMORGAN CHASE TTEE FBO*

CAROLINAS HEALTHCARE SYSTEM 401(K) MATCHED SAVINGS PLAN

11500 OUTLOOK ST

OVERLAND PARK KS 66211-1804

    7.19
 

JPMORGAN CHASE AS CUST*

FBO CLARIAN HEALTH PARTNERS DEFINED CONTRIBUTION PLAN

C/O JPMORGAN RETIREMENT PLAN SERV

11500 OUTLOOK ST

OVERLAND PARK KS 66211-1804

    6.58

CLASS R2 SHARES

 

HARTFORD LIFE INSURANCE** COMPANY

SEPARATE ACCOUNT

ATTN JAN TEW

ONE HARTFORD PLAZA

PO BOX 60

HARTFORD CT 06141-0060

    39.03
 

NFS LLC FBO

STATE STREET BANK TRUST CO

TTEE VARIOUS RETIREMENT PLANS

440 MAMARONECK AVE

HARRISON NY 10528-2418

    11.84
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR EAST 2ND FL

JACKSONVILLE FL 32246-6484

    10.10
 

NEW YORK LIFE TRUST CO

169 LACKAWANNA AVE

PARSIPPANY NJ 07054-1007

    6.73
 

ING LIFE INS AND ANNUITY CO

ATTN TREASURY DEPT

5780 POWERS FERRY RD NW

ATLANTA GA 30327-4347

    6.37

SELECT CLASS SHARES

 

NATIONAL FINANCIAL** SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

ATTN MUTUAL FUNDS DEPT 4TH FL

499 WASHINGTON BLVD

JERSEY CITY NJ 07310-2010

    41.28

 

126


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

DCGT AS TTEE AND/OR CUST

FBO PRINCIPAL FINANCIAL GROUP

QUALIFIED PRIN ADVTG OMNIBUS

ATTN NPIO TRADE DESK

711 HIGH ST

DES MOINES IA 50392-0001

    6.32
 

GREAT-WEST TRUST FBO JPMORGAN CHASE

TTEE FBO CERTAIN RETIREMENT PLANS

8515 E ORCHARD ROAD 2T2

GREENWOOD VILLAGE CO 80111-5002

    6.04

JPM SMARTRETIREMENT 2055 FUND

 

CLASS A SHARES

 

NATIONAL FINANCIAL SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

499 WASHINGTON BLVD

ATTN MUTUAL FUNDS DEPT 4TH FLOOR

JERSEY CITY NJ 07310-2010

    17.86
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR EAST 2ND FL

JACKSONVILLE FL 32246-6484

    8.41
 

GREAT-WEST TRUST COMPANY LLC TTEE F

EMPLOYEE BENEFITS CLIENTS 401K

8515 E ORCHARD RD 2T2

GREENWOOD VILLAGE CO 80111-5002

    5.38

CLASS C SHARES

 

MLPF&S FOR THE SOLE BENEFIT** OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR EAST 2ND FL

JACKSONVILLE FL 32246-6484

    66.11
 

PAI TRUST CO INC

PEARSON CHIROPRACTIC

1300 ENTERPRISE DR

DE PERE WI 54115-4934

    7.83
 

STATE STREET BANK & TRUST COMPANY

PROJECT DESIGN COMPANY NDFI SIRA

KERRI L SAREMBOCK

1301 N COURTHOUSE RD

ARLINGTON VA 22201-2533

    5.28

INSTITUTIONAL CLASS SHARES

 

NATIONAL FINANCIAL** SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

ATTN MUTUAL FUNDS DEPT 4TH FL

499 WASHINGTON BLVD

JERSEY CITY NJ 07310-2010

    36.42

 

127


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

JPMORGAN CHASE TTEE FBO*

CAROLINAS HEALTHCARE SYSTEM 401(K) MATCHED SAVINGS PLAN

11500 OUTLOOK ST

OVERLAND PARK KS 66211-1804

    10.98
 

LINCOLN RETIREMENT SERVICES CO

FBO PARKVIEW HEALTH SYSTEMS 403 B

PO BOX 7876

FORT WAYNE IN 46801-7876

    8.01

CLASS R2 SHARES

 

HARTFORD LIFE INSURANCE** COMPANY

SEPARATE ACCOUNT

ATTN UIT OPERATIONS

PO BOX 2999

HARTFORD CT 06104-2999

    49.83
 

NFS LLC FBO

STATE STREET BANK TRUST CO

TTEE VARIOUS RETIREMENT PLANS

440 MAMARONECK AVE

HARRISON NY 10528-2418

    14.94
 

ING LIFE INS AND ANNUITY CO

ATTN TREASURY DEPT

5780 POWERS FERRY RD NW

ATLANTA GA 30327-4347

    7.57

SELECT CLASS SHARES

 

NATIONAL FINANCIAL** SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

ATTN MUTUAL FUNDS DEPT 4TH FL

499 WASHINGTON BLVD

JERSEY CITY NJ 07310-2010

    46.11
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR E FL 3

JACKSONVILLE FL 32246-6484

    5.12

JPM SMARTRETIREMENT BLEND INCOME FUND

 

CLASS A SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    100.00

CLASS C SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    100.00

 

128


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 

CLASS R2 SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    100.00

CLASS R5 SHARES

 

PIMS/PRUDENTIAL RETPLAN**

NOMINEE TRUSTEE CUSTODIAN

300 PITTSBURGH GLASS WORKS LLC

30 ISABELLA ST STE 500

PITTSBURGH PA 15212-5864

    76.29
 

NFS LLC FBO

FIIOC AGENT FBO

QUALIFIED EMPLOYEE

PLANS 401K FINOPS-IC FUNDS

100 MAGELLAN WAY # KW1C

COVINGTON KY 41015-1987

    18.80

CLASS R6 SHARES

 

NFS LLC FBO**

FIIOC AGENT FBO QUALIFIED EMPLOYEE

PLANS 401K FINOPS-IC FUNDS

100 MAGELLAN WAY # KW1C

COVINGTON KY 41015-1987

    37.74
 

ING NATIONAL TRUST CUST

ING NATIONAL TRUST

151 FARMINGTON AVE

HARTFORD CT 06156-0001

    17.15
 

WELLS FARGO BANK NA FBO

KERRY DEFFD COMP TRUST

25766100

PO BOX 1533

MINNEAPOLIS MN 55480-1533

    16.39
 

JPMORGAN CHASE AS TRUSTEE*

FBO TEXAS HEALTH RETIREMENT PROGRAM

SOURCES B F X

JPMORGAN RETIREMENT PLAN SERVICES

11500 OUTLOOK ST

OVERLAND PARK KS 66211-1804

    14.91
 

CHARLES SCHWAB & CO INC

SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS

ATTN MUTUAL FUNDS

101 MONTGOMERY ST

SAN FRANCISCO CA 94104-4151

    7.58

SELECT CLASS SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    35.67

 

129


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

GREAT-WEST TRUST CO LLC**

TTEE F EMPLOYEE BENEFITS CLIENTS 401K

8515 E ORCHARD RD # 2T2

GREENWOOD VLG CO 80111-5002

    32.87
 

NATIONAL FINANCIAL SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

ATTN MUTUAL FUNDS DEPT 4TH FL

499 WASHINGTON BLVD

JERSEY CITY NJ 07310-2010

    22.52
 

GREAT-WEST TRUST FBO

JPMORGAN CHASE

TTEE FBO CERTAIN RETIREMENT PLANS

8515 E ORCHARD RD # 2T2

GREENWOOD VLG CO 80111-5002

    8.93

JPM SMARTRETIREMENT BLEND 2015 FUND

 

CLASS A SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    100.00

CLASS C SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    100.00

CLASS R2 SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    100.00

CLASS R5 SHARES

 

PIMS/PRUDENTIAL RETPLAN**

NOMINEE TRUSTEE CUSTODIAN

300 PITTSBURGH GLASS WORKS LLC

30 ISABELLA ST STE 500

PITTSBURGH PA 15212-5864

    81.31
 

GREAT-WEST TRUST FBO JPMORGAN CHASE

TTEE FBO CERTAIN RETIREMENT PLANS

8515 E ORCHARD RD # 2T2

GREENWOOD VLG CO 80111-5002

    10.57

CLASS R6 SHARES

 

JPMORGAN CHASE AS TRUSTEE*,**

FBO TEXAS HEALTH RETIREMENT PROGRAM

SOURCES B F X

JPMORGAN RETIREMENT PLAN SERVICES

11500 OUTLOOK ST

OVERLAND PARK KS 66211-1804

    37.05

 

130


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

ING NATIONAL TRUST CUST

ING NATIONAL TRUST

151 FARMINGTON AVE

HARTFORD CT 06156-0001

    20.60
 

NFS LLC FBO

FIIOC AGENT FBO QUALIFIED EMPLOYEE PLANS

401K FINOPS-IC FUNDS

100 MAGELLAN WAY # KW1C

COVINGTON KY 41015-1987

    20.02
 

TD AMERITRADE TRUST CO

CO

PO BOX 17748

DENVER CO 80217-0748

    7.70
 

CHARLES SCHWAB & CO INC

SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS

ATTN MUTUAL FUNDS

101 MONTGOMERY ST

SAN FRANCISCO CA 94104-4151

    7.55

SELECT CLASS SHARES

 

GREAT-WEST TRUST FBO** JPMORGAN CHASE

TTEE FBO CERTAIN RETIREMENT PLANS

8515 E ORCHARD RD # 2T2

GREENWOOD VLG CO 80111-5002

    54.41
 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    29.37
 

NATIONAL FINANCIAL SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

ATTN MUTUAL FUNDS DEPT 4TH FL

499 WASHINGTON BLVD

JERSEY CITY NJ 07310-2010

    8.09
 

GREAT-WEST TRUST CO LLC

TTEE F EMPLOYEE BENEFITS CLIENTS 401K

8515 E ORCHARD RD # 2T2

GREENWOOD VLG CO 80111-5002

    6.17

JPM SMARTRETIREMENT BLEND 2020 FUND

 

CLASS A SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    100.00 %

CLASS C SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    100.00 %

 

131


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 

CLASS R2 SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    100.00

CLASS R5 SHARES

 

PIMS/PRUDENTIAL RETPLAN**

NOMINEE TRUSTEE CUSTODIAN

300 PITTSBURGH GLASS WORKS LLC

30 ISABELLA ST STE 500

PITTSBURGH PA 15212-5864

    69.04
 

NFS LLC FBO

FIIOC AGENT FBO

QUALIFIED EMPLOYEE

PLANS 401K FINOPS-IC FUNDS

100 MAGELLAN WAY # KW1C

COVINGTON KY 41015-1987

    18.66
 

FIDELITY INVESTMENTS INST

OPERATIONS CO INC AS AGENT FOR FBO

RESURGENT CAPITAL SERVICES GROUP

RETIREMENT SAVINGS PLAN

100 MAGELLAN WAY #KWIC

COVINGTON KY 41015-1999

    8.47

CLASS R6 SHARES

 

NFS LLC FBO**

FIIOC AGENT FBO

QUALIFIED EMPLOYEE

PLANS 401K FINOPS-IC FUNDS

100 MAGELLAN WAY # KW1C

COVINGTON KY 41015-1987

    34.71
 

JPMORGAN CHASE AS TRUSTEE*,**

FBO TEXAS HEALTH RETIREMENT PROGRAM

SOURCES B F X

JPMORGAN RETIREMENT PLAN SERVICES

11500 OUTLOOK ST

OVERLAND PARK KS 66211-1804

    33.10
 

ING NATIONAL TRUST CUST

ING NATIONAL TRUST

151 FARMINGTON AVE

HARTFORD CT 06156-0001

    20.26

SELECT CLASS SHARES

 

GREAT-WEST TRUST CO LLC**

TTEE F EMPLOYEE BENEFITS CLIENTS 401K

8515 E ORCHARD RD # 2T2

GREENWOOD VLG CO 80111-5002

    56.15

 

132


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

NATIONAL FINANCIAL SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

ATTN MUTUAL FUNDS DEPT 4TH FL

499 WASHINGTON BLVD

JERSEY CITY NJ 07310-2010

    24.78
 

JP MORGAN INVESTMENT MGMT*

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    13.87

JPM SMARTRETIREMENT BLEND 2025 FUND

 

CLASS A SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    100.00 %

CLASS C SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    100.00 %

CLASS R2 SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    100.00

CLASS R5 SHARES

 

PIMS/PRUDENTIAL RETPLAN**

NOMINEE TRUSTEE CUSTODIAN

300 PITTSBURGH GLASS WORKS LLC

30 ISABELLA ST STE 500

PITTSBURGH PA 15212-5864

    48.24
 

FIDELITY INVESTMENTS INST

OPERATIONS CO INC AS AGENT FOR FBO

RESURGENT CAPITAL SERVICES GROUP

RETIREMENT SAVINGS PLAN

100 MAGELLAN WAY #KWIC

COVINGTON KY 41015-1999

    23.61
 

NFS LLC FBO

FIIOC AGENT FBO

QUALIFIED EMPLOYEE

PLANS 401K FINOPS-IC FUNDS

100 MAGELLAN WAY # KW1C

COVINGTON KY 41015-1987

    15.02
 

GREAT-WEST TRUST FBO*

JPMORGAN CHASE

TTEE FBO CERTAIN RETIREMENT PLANS

8515 E ORCHARD RD # 2T2

GREENWOOD VLG CO 80111-5002

    11.09

 

133


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 

CLASS R6 SHARES

 

JPMORGAN CHASE AS TRUSTEE*,**

FBO TEXAS HEALTH RETIREMENT PROGRAM

SOURCES B F X

JPMORGAN RETIREMENT PLAN SERVICES

11500 OUTLOOK ST

OVERLAND PARK KS 66211-1804

    40.41
 

NFS LLC FBO**

FIIOC AGENT FBO

QUALIFIED EMPLOYEE

PLANS 401K FINOPS-IC FUNDS

100 MAGELLAN WAY # KW1C

COVINGTON KY 41015-1987

    32.21
 

ING NATIONAL TRUST CUST

ING NATIONAL TRUST

151 FARMINGTON AVE

HARTFORD CT 06156-0001

    15.71

SELECT CLASS SHARES

 

NATIONAL FINANCIAL** SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

ATTN MUTUAL FUNDS DEPT 4TH FL

499 WASHINGTON BLVD

JERSEY CITY NJ 07310-2010

    43.94
 

GREAT-WEST TRUST FBO*,**

JPMORGAN CHASE

TTEE FBO CERTAIN RETIREMENT PLANS

8515 E ORCHARD RD # 2T2

GREENWOOD VLG CO 80111-5002

    25.32
 

JP MORGAN INVESTMENT MGMT*

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    16.51
 

JPMORGAN CHASE BANK N.A.*

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    11.13

JPM SMARTRETIREMENT BLEND 2030 FUND

  

CLASS A SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    100.00

CLASS C SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    100.00

 

134


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 

CLASS R2 SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    100.00

CLASS R5 SHARES

 

NFS LLC FBO**

FIIOC AGENT FBO

QUALIFIED EMPLOYEE

PLANS 401K FINOPS-IC FUNDS

100 MAGELLAN WAY # KW1C

COVINGTON KY 41015-1987

    39.15
 

PIMS/PRUDENTIAL RETPLAN**

NOMINEE TRUSTEE CUSTODIAN

300 PITTSBURGH GLASS WORKS LLC

30 ISABELLA ST STE 500

PITTSBURGH PA 15212-5864

    37.48
 

FIDELITY INVESTMENTS INST OPERATIONS CO INC AS AGENT FOR FBO

RESURGENT CAPITAL SERVICES GROUP

RETIREMENT SAVINGS PLAN

100 MAGELLAN WAY #KWIC

COVINGTON KY 41015-1999

    14.29
 

JPMORGAN CHASE TTEE FBO*

BENTLEY SYSTEMS INC PSP

SHARING/401 K

11500 OUTLOOK ST

OVERLAND PARK KS 66211-1804

    6.09

CLASS R6 SHARES

 

NFS LLC FBO**

FIIOC AGENT FBO

QUALIFIED EMPLOYEE

PLANS 401K FINOPS-IC FUNDS

100 MAGELLAN WAY # KW1C

COVINGTON KY 41015-1987

    40.01
 

JPMORGAN CHASE AS TRUSTEE*

FBO TEXAS HEALTH RETIREMENT PROGRAM

SOURCES B F X

JPMORGAN RETIREMENT PLAN SERVICES

11500 OUTLOOK ST

OVERLAND PARK KS 66211-1804

    20.82
 

ING NATIONAL TRUST CUST

ING NATIONAL TRUST

151 FARMINGTON AVE

HARTFORD CT 06156-0001

    17.62

 

135


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

MID ATLANTIC TRUST CO FBO

MMC 401K SAVINGS & RET PLAN

1251 WATERFRONT PL STE 525

PITTSBURGH PA 15222-4228

    9.06

SELECT CLASS SHARES

 

GREAT-WEST TRUST CO LLC**

TTEE F EMPLOYEE BENEFITS CLIENTS 401K

8515 E ORCHARD RD # 2T2

GREENWOOD VLG CO 80111-5002

    60.55
 

NATIONAL FINANCIAL SERVICES** LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

ATTN MUTUAL FUNDS DEPT 4TH FL

499 WASHINGTON BLVD

JERSEY CITY NJ 07310-2010

    25.72
 

JP MORGAN INVESTMENT MGMT*

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    9.09

JPM SMARTRETIREMENT BLEND 2035 FUND

  

CLASS A SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    100.00 %

CLASS C SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    100.00 %

CLASS R2 SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    100.00

CLASS R5 SHARES

 

FIDELITY INVESTMENTS INST**

OPERATIONS CO INC AS AGENT FOR FBO

RESURGENT CAPITAL SERVICES GROUP

RETIREMENT SAVINGS PLAN

100 MAGELLAN WAY #KWIC

COVINGTON KY 41015-1999

    35.76
 

PIMS/PRUDENTIAL RETPLAN**

NOMINEE TRUSTEE CUSTODIAN

300 PITTSBURGH GLASS WORKS LLC

30 ISABELLA ST STE 500

PITTSBURGH PA 15212-5864

    28.53

 

136


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

NFS LLC FBO**

FIIOC AGENT FBO

QUALIFIED EMPLOYEE

PLANS 401K FINOPS-IC FUNDS

100 MAGELLAN WAY # KW1C

COVINGTON KY 41015-1987

    25.68
 

GREAT-WEST TRUST FBO

JPMORGAN CHASE

TTEE FBO CERTAIN RETIREMENT PLANS

8515 E ORCHARD RD # 2T2

GREENWOOD VLG CO 80111-5002

    7.30

CLASS R6 SHARES

 

NFS LLC FBO**

FIIOC AGENT FBO

QUALIFIED EMPLOYEE

PLANS 401K FINOPS-IC FUNDS

100 MAGELLAN WAY # KW1C

COVINGTON KY 41015-1987

    41.28
 

ING NATIONAL TRUST CUST**

ING NATIONAL TRUST

151 FARMINGTON AVE

HARTFORD CT 06156-0001

    32.06
 

CHARLES SCHWAB & CO INC

SPECIAL CUSTODY ACCOUNT FOR

BENEFIT OF CUSTOMERS

ATTN MUTUAL FUNDS

101 MONTGOMERY ST

SAN FRANCISCO CA 94104-4151

    12.58
 

MID ATLANTIC TRUST CO FBO

MMC 401K SAVINGS & RET PLAN

1251 WATERFRONT PL STE 525

PITTSBURGH PA 15222-4228

    5.57

SELECT CLASS SHARES

 

NATIONAL FINANCIAL** SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

ATTN MUTUAL FUNDS DEPT 4TH FL

499 WASHINGTON BLVD

JERSEY CITY NJ 07310-2010

    68.47
 

JP MORGAN INVESTMENT MGMT*

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    14.72
 

GREAT-WEST TRUST FBO

JPMORGAN CHASE

TTEE FBO CERTAIN RETIREMENT PLANS

8515 E ORCHARD RD # 2T2

GREENWOOD VLG CO 80111-5002

    10.63

 

137


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 

JPM SMARTRETIREMENT BLEND 2040 FUND

  

CLASS A SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    100.00

CLASS C SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    100.00

CLASS R2 SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    100.00

CLASS R5 SHARES

 

NFS LLC FBO**

FIIOC AGENT FBO

QUALIFIED EMPLOYEE

PLANS 401K FINOPS-IC FUNDS

100 MAGELLAN WAY # KW1C

COVINGTON KY 41015-1987

    51.44
 

FIDELITY INVESTMENTS INST

OPERATIONS CO INC AS AGENT FOR FBO

RESURGENT CAPITAL SERVICES GROUP

RETIREMENT SAVINGS PLAN

100 MAGELLAN WAY #KWIC

COVINGTON KY 41015-1999

    22.63
 

PIMS/PRUDENTIAL RETPLAN

NOMINEE TRUSTEE CUSTODIAN

300 PITTSBURGH GLASS WORKS LLC

30 ISABELLA ST STE 500

PITTSBURGH PA 15212-5864

    21.02

CLASS R6 SHARES

 

NFS LLC FBO**

FIIOC AGENT FBO

QUALIFIED EMPLOYEE

PLANS 401K FINOPS-IC FUNDS

100 MAGELLAN WAY # KW1C

COVINGTON KY 41015-1987

    46.23
 

ING NATIONAL TRUST CUST

ING NATIONAL TRUST

151 FARMINGTON AVE

HARTFORD CT 06156-0001

    21.24
 

MID ATLANTIC TRUST CO FBO

MMC 401K SAVINGS & RET PLAN

1251 WATERFRONT PL STE 525

PITTSBURGH PA 15222-4228

    15.86

 

138


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

CHARLES SCHWAB & CO INC

SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS

ATTN MUTUAL FUNDS

101 MONTGOMERY ST

SAN FRANCISCO CA 94104-4151

    11.28

SELECT CLASS SHARES

 

GREAT-WEST TRUST CO LLC**

TTEE F EMPLOYEE BENEFITS CLIENTS 401K

8515 E ORCHARD RD # 2T2

GREENWOOD VLG CO 80111-5002

    45.92
 

NATIONAL FINANCIAL** SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

ATTN MUTUAL FUNDS DEPT 4TH FL

499 WASHINGTON BLVD

JERSEY CITY NJ 07310-2010

    43.46
 

JP MORGAN INVESTMENT MGMT*

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    9.82

JPM SMARTRETIREMENT BLEND 2045 FUND

  

CLASS A SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    100.00 %

CLASS C SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    100.00 %

CLASS R2 SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    100.00 %

CLASS R5 SHARES

 

NFS LLC FBO**

FIIOC AGENT FBO

QUALIFIED EMPLOYEE

PLANS 401K FINOPS-IC FUNDS

100 MAGELLAN WAY # KW1C

COVINGTON KY 41015-1987

    38.15 %
 

PIMS/PRUDENTIAL RETPLAN**

NOMINEE TRUSTEE CUSTODIAN

300 PITTSBURGH GLASS WORKS LLC

30 ISABELLA ST STE 500

PITTSBURGH PA 15212-5864

    25.75 %

 

139


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

FIDELITY INVESTMENTS INST

OPERATIONS CO INC AS AGENT FOR FBO

RESURGENT CAPITAL SERVICES GROUP

RETIREMENT SAVINGS PLAN

100 MAGELLAN WAY #KWIC

COVINGTON KY 41015-1999

    23.19

CLASS R6 SHARES

 

NFS LLC FBO**

FIIOC AGENT FBO

QUALIFIED EMPLOYEE

PLANS 401K FINOPS-IC FUNDS

100 MAGELLAN WAY # KW1C

COVINGTON KY 41015-1987

    39.42
 

ING NATIONAL TRUST CUST**

ING NATIONAL TRUST

151 FARMINGTON AVE

HARTFORD CT 06156-0001

    29.48
 

MID ATLANTIC TRUST CO FBO

MMC 401K SAVINGS & RET PLAN

1251 WATERFRONT PL STE 525

PITTSBURGH PA 15222-4228

    11.87
 

CHARLES SCHWAB & CO INC

SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS

ATTN MUTUAL FUNDS

101 MONTGOMERY ST

SAN FRANCISCO CA 94104-4151

    10.69

SELECT CLASS SHARES

 

NATIONAL FINANCIAL** SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

ATTN MUTUAL FUNDS DEPT 4TH FL

499 WASHINGTON BLVD

JERSEY CITY NJ 07310-2010

    60.83
 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    27.31
 

GREAT-WEST TRUST FBO JPMORGAN CHASE

TTEE FBO CERTAIN RETIREMENT PLANS

8515 E ORCHARD RD # 2T2

GREENWOOD VLG CO 80111-5002

    10.83

JPM SMARTRETIREMENT BLEND 2050 FUND

  

CLASS A SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    100.00 %

 

140


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 

CLASS C SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    100.00 %

CLASS R2 SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    100.00 %

CLASS R5 SHARES

 

NFS LLC FBO**

FIIOC AGENT FBO

QUALIFIED EMPLOYEE

PLANS 401K FINOPS-IC FUNDS

100 MAGELLAN WAY # KW1C

COVINGTON KY 41015-1987

    50.54
 

PIMS/PRUDENTIAL RETPLAN

NOMINEE TRUSTEE CUSTODIAN

300 PITTSBURGH GLASS WORKS LLC

30 ISABELLA ST STE 500

PITTSBURGH PA 15212-5864

    19.85
 

FIDELITY INVESTMENTS INST

OPERATIONS CO INC AS AGENT FOR FBO

RESURGENT CAPITAL SERVICES GROUP

RETIREMENT SAVINGS PLAN

100 MAGELLAN WAY #KWIC

COVINGTON KY 41015-1999

    17.76
 

JPMORGAN CHASE TTEE FBO*

BENTLEY SYSTEMS INC PSP

SHARING/401 K

11500 OUTLOOK ST

OVERLAND PARK KS 66211-1804

    9.31

CLASS R6 SHARES

 

MID ATLANTIC TRUST CO FBO**

MMC 401K SAVINGS & RET PLAN

1251 WATERFRONT PL STE 525

PITTSBURGH PA 15222-4228

    35.16
 

NFS LLC FBO**

FIIOC AGENT FBO

QUALIFIED EMPLOYEE

PLANS 401K FINOPS-IC FUNDS

100 MAGELLAN WAY # KW1C

COVINGTON KY 41015-1987

    35.08
 

ING NATIONAL TRUST CUST

ING NATIONAL TRUST

151 FARMINGTON AVE

HARTFORD CT 06156-0001

    10.26

 

141


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

GREAT-WEST TRUST CO LLC

TTEE F EMPLOYEE BENEFITS

CLIENTS 401K

8515 E ORCHARD RD # 2T2

GREENWOOD VLG CO 80111-5002

    9.40

SELECT CLASS SHARES

 

GREAT-WEST TRUST CO LLC**

TTEE F EMPLOYEE BENEFITS CLIENTS 401K

8515 E ORCHARD RD # 2T2

GREENWOOD VLG CO 80111-5002

    46.40
 

NATIONAL FINANCIAL** SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

ATTN MUTUAL FUNDS DEPT 4TH FL

499 WASHINGTON BLVD

JERSEY CITY NJ 07310-2010

    27.97
 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    25.49

JPM SMARTRETIREMENT BLEND 2055 FUND

  

CLASS A SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    100.00 %

CLASS C SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    100.00

CLASS R2 SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    100.00 %

CLASS R5 SHARES

 

JPMORGAN CHASE TTEE FBO*,**

BENTLEY SYSTEMS INC PSP

SHARING/401 K

11500 OUTLOOK ST

OVERLAND PARK KS 66211-1804

    34.57 %
 

NFS LLC FBO**

FIIOC AGENT FBO

QUALIFIED EMPLOYEE

PLANS 401K FINOPS-IC FUNDS

100 MAGELLAN WAY # KW1C

COVINGTON KY 41015-1987

    31.38 %

 

142


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

JP MORGAN INVESTMENT MGMT*

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    19.99 %
 

FIDELITY INVESTMENTS INST

OPERATIONS CO INC AS AGENT FOR FBO

RESURGENT CAPITAL SERVICES GROUP

RETIREMENT SAVINGS PLAN

100 MAGELLAN WAY #KWIC

COVINGTON KY 41015-1999

    11.17 %

CLASS R6 SHARES

 

NFS LLC FBO**

FIIOC AGENT FBO

QUALIFIED EMPLOYEE

PLANS 401K FINOPS-IC FUNDS

100 MAGELLAN WAY # KW1C

COVINGTON KY 41015-1987

    38.05
 

JP MORGAN INVESTMENT MGMT*

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    19.57
 

GREAT-WEST TRUST CO LLC

TTEE F EMPLOYEE BENEFITS CLIENTS 401K

8515 E ORCHARD RD # 2T2

GREENWOOD VLG CO 80111-5002

    15.59
 

WELLS FARGO BANK NA FBO

KERRY DEFFD COMP TRUST

PO BOX 1533

MINNEAPOLIS MN 55480-1533

    12.53
 

JPMORGAN CHASE AS TRUSTEE*

FBO TEXAS HEALTH RETIREMENT PROGRAM

SOURCES B F X

JPMORGAN RETIREMENT PLAN SERVICES

11500 OUTLOOK ST

OVERLAND PARK KS 66211-1804

    11.19

SELECT CLASS SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    85.94
 

NATIONAL FINANCIAL SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

ATTN MUTUAL FUNDS DEPT 4TH FL

499 WASHINGTON BLVD

JERSEY CITY NJ 07310-2010

    5.82

 

143


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 

JPM STRATEGIC INCOME OPPORTUNITIES FUND

  

CLASS A SHARES

 

AMERICAN ENTERPRISE INVESTMENT SVC

707 2ND AVE S

MINNEAPOLIS MN 55402-2405

    24.40 %
 

UBS WM USA

OMNI ACCOUNT M/F

ATTN DEPARTMENT MANAGER

499 WASHINGTON BLVD FL 9

JERSEY CITY NJ 07310-2055

    24.31 %
 

NATIONAL FINANCIAL SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

499 WASHINGTON BLVD

ATTN MUTUAL FUNDS DEPT 4TH FLOOR

JERSEY CITY NJ 07310-2010

    14.68 %
 

JPMORGAN CLEARING CORP*

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    8.24 %
 

CHARLES SCHWAB & CO INC

SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS

ATTN: MUTUAL FUNDS

101 MONTGOMERY ST

SAN FRANCISCO CA 94104-4151

    6.14 %

CLASS C SHARES

 

JPMORGAN CLEARING CORP*

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    23.99
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR EAST 2ND FL

JACKSONVILLE FL 32246-6484

    18.70
 

MORGAN STANLEY SMITH BARNEY

HARBORSIDE FINANCIAL CENTER

PLAZA TWO FL 3

JERSEY CITY NJ 07311

    17.16
 

UBS WM USA

OMNI ACCOUNT M/F

ATTN DEPARTMENT MANAGER

499 WASHINGTON BLVD FL 9

JERSEY CITY NJ 07310-2055

    14.26

 

144


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

FIRST CLEARING LLC

SPECIAL CUSTODY ACCT FOR

THE EXCLUSIVE BENEFIT OF CUSTOMER

2801 MARKET STREET

ST LOUIS MO 63103-2523

    6.49
 

RAYMOND JAMES

OMNIBUS FOR MUTUAL FUNDS

HOUSE ACCT FIRM

ATTN COURTNEY WALLER

880 CARILLON PKWY

ST PETERSBURG FL 33716-1100

    5.30

CLASS R5 SHARES

 

NFS LLC FEBO**

THE NORTHERN TRUST COMPANY

PO BOX 92956

CHICAGO IL 60675-2956

    33.54
 

JPMORGAN CHASE BANK TTEE*

JPMC RETIREMENT PLAN JPMAM SIOF

ATTN CHRISTIE COBB

1 CHASE MANHATTAN PLAZA 19TH FL

NEW YORK NY 10005-1401

    19.08 %
 

JPMIM AS AGENT FOR*

JPMORGAN ACCESS BALANCED FUND

ATTN CLIENT SERVICES

570 WASHINGTON BLVD

FL 6 # NY1-I040

JERSEY CITY NJ 07310-1617

    15.47 %
 

SAXON & CO

OB BOX 7780-1888

PHILADELPHIA PA 19182-0001

    8.57 %
 

DCGT TRUSTEE & OR CUSTODIAN

FBO SERVANT SOLUTIONS INC RETPLAN

T CUSTODIAN FUND OF FUNDS

ATTN NPIO TRADE DESK

711 HIGH ST

DES MOINES IA 50392-0001

    5.36 %

SELECT CLASS SHARES

 

JPMORGAN CHASE BANK N.A.*,**

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    37.61 %
 

CHARLES SCHWAB & CO INC

SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS

ATTN: MUTUAL FUNDS

101 MONTGOMERY ST

SAN FRANCISCO CA 94104-4151

    13.08 %

 

145


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR EAST 2ND FL

JACKSONVILLE FL 32246-6484

    12.10
 

NATIONAL FINANCIAL SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

ATTN MUTUAL FUNDS DEPT 4TH FL

499 WASHINGTON BLVD

JERSEY CITY NJ 07310-2010

    8.01 %
 

MORGAN STANLEY SMITH BARNEY

HARBORSIDE FINANCIAL CENTER

PLAZA TWO FL 3

JERSEY CITY NJ 07311

    7.50 %

JPM STRATEGIC PRESERVATION FUND

  

CLASS A SHARES

 

GENWORTH FINANCIAL TRUST** CO CUST

FBO GFWM AND MUTUAL CLIENTS

FBO OTHER CUSTODIAL CLIENTS

3200 N CENTRAL AVE

PHOENIX AZ 85012-2468

    62.66 %
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    23.41 %
 

TD AMERITRADE INC FOR THE

EXCLUSIVE BENEFIT OF OUR CLIENTS

PO BOX 2226

OMAHA NE 68103-2226

    7.44 %

CLASS C SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    34.48
 

PERSHING LLC**

1 PERSHING PLZ

JERSEY CITY NJ 07399-0001

    28.79 %
 

LPL FINANCIAL

9785 TOWNE CENTRE DRIVE

SAN DIEGO CA 92121-1968

    11.09 %
 

NATIONAL FINANCIAL SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

499 WASHINGTON BLVD

ATTN MUTUAL FUNDS DEPT 4TH FLOOR

JERSEY CITY NJ 07310-2010

    7.12 %

 

146


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

JPMORGAN CLEARING CORP OMNIBUS

ACCT FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    6.48 %
 

AMERICAN ENTERPRISE INVESTMENT SVC

707 2ND AVE S

MINNEAPOLIS MN 55402-2405

    5.25 %

CLASS R5 SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    52.70
 

MG TRUST CO CUST FBO**

STEVEN M POTTER PC

717 17TH ST STE 1300

DENVER CO 80202-3304

    47.30

SELECT CLASS SHARES

 

US BANK NA FBO**

GUIDEPATH ABSOLUTE RETURN AA

PO BOX 1787

MILWAUKEE WI 53201-1787

    50.74
 

LPL FINANCIAL

9785 TOWNE CENTRE DRIVE

SAN DIEGO CA 92121-1968

    19.54
 

GENWORTH FINANCIAL TRUST COMPANY

FOR THE SOLE BENEFIT OF CUSTOMERS

3200 N CENTRAL AVE

PHOENIX AZ 85012-2468

    13.41
 

BRICS & CO*

C/O JPMORGAN WSS OPERATIONS

ATTN NAT AMARATANA TX1-J165

14201 DALLAS PKWY

DALLAS TX 75254-2916

    9.34

JPM TAX AWARE EQUITY FUND

  

CLASS A SHARES

 

MARIL & CO**

C/O BMO HARRIS BANK NA ATTN MF

11270 W PARK PL STE 400

MILWAUKEE WI 53224-3638

    26.70 %
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    23.84 %

 

147


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

JPMORGAN CLEARING CORP* OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    18.70 %
 

FIRST CLEARING LLC

SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE

BENEFIT OF CUSTOMER

2801 MARKET STREET

ST LOUIS MO 63103-2523

    6.43 %

CLASS C SHARES

 

LPL FINANCIAL

9785 TOWNE CENTRE DRIVE

SAN DIEGO CA 92121-1968

    23.71 %
 

JPMORGAN CLEARING CORP*

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    18.98 %
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DRIVE EAST 2ND FLR

JACKSONVILLE FL 32246-6484

    14.14
 

MORGAN STANLEY SMITH BARNEY

HARBORSIDE FINANCIAL CENTER

PLAZA TWO FL 3

JERSEY CITY NJ 07311

    11.49
 

RAYMOND JAMES

OMNIBUS FOR MUTUAL FUNDS

HOUSE ACCT FIRM

ATTN COURTNEY WALLER

880 CARILLON PKWY

ST PETERSBURG FL 33716-1100

    9.18
 

FIRST CLEARING LLC

SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE

BENEFIT OF CUSTOMER

2801 MARKET STREET

ST LOUIS MO 63103-2523

    8.81
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    5.24

 

148


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 

INSTITUTIONAL CLASS SHARES

 

JPMORGAN CHASE BANK N.A.*,**

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    96.71

SELECT CLASS SHARES

 

JPMORGAN CHASE BANK N.A.*,**

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    66.46
 

CHARLES SCHWAB & CO INC

SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS

ATTN: MUTUAL FUNDS

101 MONTGOMERY ST

SAN FRANCISCO CA 94104-4151

    6.36
 

THE NPD GROUP INC OFFICERS

WEALTH ACCUMULATION PLAN II

PO BOX 419784

KANSAS CITY MO 64141-6784

    5.54

JPM TAX AWARE HIGH INCOME FUND

  

CLASS A SHARES

 

AMERICAN ENTERPRISE** INVESTMENT SVC

707 2ND AVE S

MINNEAPOLIS MN 55402-2405

    30.01
 

UBS WM USA

OMNI ACCOUNT M/F

ATTN DEPARTMENT MANAGER

499 WASHINGTON BLVD FL 9

JERSEY CITY NJ 07310-2055

    10.19
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    7.55
 

JPMORGAN CLEARING CORP*

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    7.09
 

TD AMERITRADE INC FOR THE

EXCLUSIVE BENEFIT OF OUR CLIENTS

PO BOX 2226

OMAHA NE 68103-2226

    6.84
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR E FL 3

JACKSONVILLE FL 32246-6484

    6.32

 

149


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

EDWARD D JONES & CO

FOR THE BENEFIT OF CUSTOMERS

12555 MANCHESTER RD

SAINT LOUIS MO 63131-3729

    6.29
 

LPL FINANCIAL

9785 TOWNE CENTRE DRIVE

SAN DIEGO CA 92121-1968

    5.46
 

NATIONAL FINANCIAL SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

499 WASHINGTON BLVD

ATTN MUTUAL FUNDS DEPT 4TH FLOOR

JERSEY CITY NJ 07310-2010

    5.41

CLASS C SHARES

 

FIRST CLEARING LLC

SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE

BENEFIT OF CUSTOMER

2801 MARKET STREET

ST LOUIS MO 63103-2523

    16.30
 

MORGAN STANLEY SMITH BARNEY

HARBORSIDE FINANCIAL CENTER

PLAZA TWO FL 3

JERSEY CITY NJ 07311

    13.92
 

AMERICAN ENTERPRISE INVESTMENT SVC

707 2ND AVE S

MINNEAPOLIS MN 55402-2405

    12.63
 

JPMORGAN CLEARING CORP* OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    10.56
 

UBS WM USA

OMNI ACCOUNT M/F

ATTN DEPARTMENT MANAGER

499 WASHINGTON BLVD FL 9

JERSEY CITY NJ 07310-2055

    10.46
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    8.29
 

RAYMOND JAMES

OMNIBUS FOR MUTUAL FUNDS

HOUSE ACCT FIRM

ATTN COURTNEY WALLER

880 CARILLON PKWY

ST PETERSBURG FL 33716-1100

    6.50

 

150


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR E FL 3

JACKSONVILLE FL 32246-6484

    6.11

SELECT CLASS SHARES

 

MLPF&S FOR THE SOLE** BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR E FL 3

JACKSONVILLE FL 32246-6484

    37.30
 

NATIONAL FINANCIAL** SERVICES LLC

FOR THE EXCLUSIVE BENEFIT OF OUR CUSTOMERS

ATTN MUTUAL FUNDS DEPT 4TH FL

499 WASHINGTON BLVD

JERSEY CITY NJ 07310-2010

    26.09
 

TD AMERITRADE INC FOR THE

EXCLUSIVE BENEFIT OF OUR CLIENTS

PO BOX 2226

OMAHA NE 68103-2226

    9.77
 

LPL FINANCIAL

9785 TOWNE CENTRE DRIVE

SAN DIEGO CA 92121-1968

    5.96
 

JPMORGAN CHASE BANK N.A.**

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    5.34

JPM TAX AWARE INCOME OPPORTUNITIES FUND

  

CLASS A SHARES

 

MORGAN STANLEY SMITH** BARNEY

HARBORSIDE FINANCIAL CENTER

PLAZA TWO FL 3

JERSEY CITY NJ 07311

    32.09
 

UBS WM USA**

OMNI ACCOUNT M/F

ATTN DEPARTMENT MANAGER

499 WASHINGTON BLVD FL 9

JERSEY CITY NJ 07310-2055

    26.17
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR E FL 3

JACKSONVILLE FL 32246-6484

    15.80 %
 

CHARLES SCHWAB & CO INC

SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS

ATTN: MUTUAL FUNDS

101 MONTGOMERY ST

SAN FRANCISCO CA 94104-4151

    9.47 %

 

151


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

AMERICAN ENTERPRISE INVESTMENT SVC

707 2ND AVE S

MINNEAPOLIS MN 55402-2405

    5.20 %

CLASS C SHARES

 

MLPF&S FOR THE SOLE BENEFIT**

OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR E FL 3

JACKSONVILLE FL 32246-6484

    27.91 %
 

FIRST CLEARING LLC

SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER

2801 MARKET STREET

ST LOUIS MO 63103-2523

    17.24 %
 

UBS WM USA

OMNI ACCOUNT M/F

ATTN DEPARTMENT MANAGER

499 WASHINGTON BLVD FL 9

JERSEY CITY NJ 07310-2055

    15.71 %
 

MORGAN STANLEY SMITH BARNEY

HARBORSIDE FINANCIAL CENTER

PLAZA TWO FL 3

JERSEY CITY NJ 07311

    15.67

SELECT CLASS SHARES

 

LPL FINANCIAL**

9785 TOWNE CENTRE DRIVE

SAN DIEGO CA 92121-1968

    25.70 %
 

NATIONAL FINANCIAL SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

ATTN MUTUAL FUNDS DEPT 4TH FL

499 WASHINGTON BLVD

JERSEY CITY NJ 07310-2010

    14.41 %
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR E FL 3

JACKSONVILLE FL 32246-6484

    12.96 %
 

VALLEE & CO FBO NJ

C/O BMO HARRIS BANK

NA-ATTN MF

11270 W PARK PL STE 400

MILWAUKEE WI 53224-3638

    12.69 %
 

CHARLES SCHWAB & CO INC

SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS

ATTN: MUTUAL FUNDS

101 MONTGOMERY ST

SAN FRANCISCO CA 94104-4151

    11.38 %

 

152


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

FIRST CLEARING LLC

SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE

BENEFIT OF CUSTOMER

2801 MARKET ST

SAINT LOUIS MO 63103-2523

    9.78

JPM TAX AWARE REAL RETURN FUND

  

CLASS A SHARES

 

MORGAN STANLEY SMITH** BARNEY

HARBORSIDE FINANCIAL CENTER

PLAZA TWO FL 3

JERSEY CITY NJ 07311

    29.94
 

UBS WM USA

OMNI ACCOUNT M/F ATTN DEPARTMENT MANAGER

499 WASHINGTON BLVD FL 9

JERSEY CITY NJ 07310-2055

    20.49
 

JPMORGAN CLEARING CORP* OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    16.42
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR E FL 3

JACKSONVILLE FL 32246-6484

    8.70
 

NATIONAL FINANCIAL SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

499 WASHINGTON BLVD

ATTN MUTUAL FUNDS DEPT 4TH FLOOR

JERSEY CITY NJ 07310-2010

    5.16

CLASS C SHARES

 

MLPF&S FOR THE SOLE** BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR E FL 3

JACKSONVILLE FL 32246-6484

    27.07
 

MORGAN STANLEY SMITH** BARNEY

HARBORSIDE FINANCIAL CENTER PLAZA TWO FL 3

JERSEY CITY NJ 07311

    26.36
 

JPMORGAN CLEARING CORP*

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    19.58

 

153


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

FIRST CLEARING LLC

SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE

BENEFIT OF CUSTOMER

2801 MARKET STREET

ST LOUIS MO 63103-2523

    5.83
 

UBS WM USA

OMNI ACCOUNT M/F

ATTN DEPARTMENT MANAGER

499 WASHINGTON BLVD FL 9

JERSEY CITY NJ 07310-2055

    5.74

INSTITUTIONAL CLASS SHARES

 

JPMORGAN CHASE BANK N.A.*,**

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    81.65
 

CHARLES SCHWAB & CO INC

SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS

ATTN MUTUAL FUNDS

101 MONTGOMERY ST

SAN FRANCISCO CA 94104-4151

    7.87
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR EAST 2ND FL

JACKSONVILLE FL 32246-6484

    5.43

CLASS R6 SHARES

 

JPMORGAN CHASE BANK N.A.*,**

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    64.05
 

NORTHERN TR CO CUST FBO**

GEORGE LUCAS JR LIVING TR

PO BOX 92956

CHICAGO IL 60675-2956

    35.94

SELECT CLASS SHARES

 

JPMORGAN CHASE BANK N.A.*,**

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    55.48
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR EAST 2ND FL

JACKSONVILLE FL 32246-6484

    13.19

 

154


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

NATIONAL FINANCIAL SERVICES LLC

FOR THE EXCLUSIVE BENEFIT OF OUR CUSTOMERS

ATTN MUTUAL FUNDS DEPT 4TH FL

499 WASHINGTON BLVD
JERSEY CITY NJ 07310-2010

    11.99

JPM TAX AWARE REAL RETURN SMA

  

SMCLASS A SHARES

 

MLPF&S FOR THE SOLE BENEFIT**

OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR E FL 3

JACKSONVILLE FL 32246-6484

    100.00

JPM TAX FREE MONEY MKT FUND

  

AGENCY SHARES

 

JPMORGAN CHASE BANK N.A.*,**

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    48.29
 

WSS EOD REGULAR SWEEP**

OMNIBUS

10410 HIGHLAND MANOR DR FL 3

TAMPA FL 33610-9128

    32.85
 

BEAR STEARNS SECURITIES* CORP

ATTN DENISE DILORENZO SIEGEL

1 METROTECH CTR N

BROOKLYN NY 11201-3832

    10.58

DIRECT SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    100.00

EAGLE SHARES

 

EAGLE FUND SERVICES INC**

FEBO ITS CUSTOMERS (SWEEP)

ATTN MATT CALABRO

PO BOX 33022

ST PETERSBURG FL 33733-8022

    99.96

INSTITUTIONAL CLASS SHARES

 

KINGSLEY & CO/JPM ASSET**

SWEEP FUND OMNIBUS ACCOUNT

ATTN SPECIAL PRODUCTS

2 OPS/3

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    76.49

 

155


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

JPMORGAN CHASE BANK N.A.*

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    9.30

MORGAN SHARES

 

FIDUCIARY TRUST REVENUE**

ATTN: BANK OPERATIONS

600 5TH AVE

NEW YORK NY 10020-2302

    26.92
 

FIDUCIARY TRUST

ATTN: BANK OPERATIONS

600 5TH AVE

NEW YORK NY 10020-2326

    22.70
 

JPMORGAN CHASE BANK*

ATTN: TOM AVINO

10410 HIGHLAND MANOR DR FL 3

TAMPA FL 33610-9128

    19.21
 

JPMORGAN CHASE BANK*

ATTN: MICHAEL BROWNING

10410 HIGHLAND MANOR DR FL 3

TAMPA FL 33610-9128

    11.64

PREMIER SHARES

 

KINGSLEY & CO/JPM ASSET**

SWEEP FUND

OMNIBUS ACCOUNT

ATTN SPECIAL PRODUCTS

2 OPS/3

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    82.26
 

JPMORGAN CHASE BANK N.A.*

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    11.41

RESERVE SHARES

 

JPMSI AS AGENT FOR KINGSLEY*,** AND CO

FUND OMNIBUS ACCOUNT

ATTN SPECIAL PRODUCTS

2 OPS/3

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    91.76
 

BEAR STEARNS SECURITIES* CORP

ATTN DENISE DILORENZO SIEGEL

1 METROTECH CTR N

BROOKLYN NY 11201-3832

    8.23

 

156


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 

JPM TOTAL EMERGING MARKETS FUND

  

CLASS A SHARES

 

UBS WM USA**

OMNI ACCOUNT M/F

ATTN DEPARTMENT MANAGER

499 WASHINGTON BLVD FL 9

JERSEY CITY NJ 07310-2055

    35.82
 

EDWARD D JONES & CO

FOR THE BENEFIT OF CUSTOMERS

12555 MANCHESTER RD

SAINT LOUIS MO 63131-3729

    21.26
 

LPL FINANCIAL

9785 TOWNE CENTRE DRIVE

SAN DIEGO CA 92121-1968

    14.23
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    9.11
 

JP MORGAN INVESTMENT MGMT*

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    8.92

CLASS C SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    42.18
 

UBS WM USA**

OMNI ACCOUNT M/F

ATTN DEPARTMENT MANAGER

499 WASHINGTON BLVD FL 9

JERSEY CITY NJ 07310-2055

    37.67
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    5.35

CLASS R2 SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    98.51

CLASS R5 SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    100.00

CLASS R6 SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    100.00

 

157


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 

SELECT CLASS SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    97.10

JPM TOTAL RETURN FUND

  

CLASS A SHARES

 

MORGAN STANLEY SMITH BARNEY

HARBORSIDE FINANCIAL CENTER

PLAZA TWO FL 3

JERSEY CITY NJ 07311

    23.95
 

JPMORGAN CLEARING CORP*

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    11.37
 

GREAT-WEST TRUST COMPANY LLC TTEE F

EMPLOYEE BENEFITS CLIENTS 401K

8515 E ORCHARD RD 2T2

GREENWOOD VILLAGE

CO 80111-5002

    6.57

CLASS C SHARES

 

JPMORGAN CLEARING CORP*,**

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    31.32
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR E FL 3

JACKSONVILLE FL 32246-6484

    23.50
 

MORGAN STANLEY SMITH BARNEY

HARBORSIDE FINANCIAL CENTER

PLAZA TWO FL 3

JERSEY CITY NJ 07311

    5.95

CLASS R5 SHARES

 

GREAT-WEST TRUST CO LLC**

TTEE F EMPLOYEE BENEFITS CLIENTS 401K

8515 E ORCHARD RD # 2T2

GREENWOOD VLG CO 80111-5002

    72.09
 

FRONTIER TRUST CO FBO

ALBANY OBSTETRICS & GYNECOLOGY PC

PO BOX 10758

FARGO ND 58106-0758

    12.32

 

158


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

RELIANCE TRUST COMPANY FBO

CAP REG ORTHO PS

PO BOX 48529

ATLANTA GA 30362-1529

    9.26

SELECT CLASS SHARES

 

JPMORGAN CHASE BANK N.A.*,**

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    83.70
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR EAST 2ND FL

JACKSONVILLE FL 32246-6484

    9.68

JPM U.S. DYNAMIC PLUS FUND

  

CLASS A SHARES

 

GENWORTH FINANCIAL TRUST** CO CUST

FBO GFWM AND MUTUAL CLIENTS

FBO OTHER CUSTODIAL CLIENTS

3200 N CENTRAL AVE

PHOENIX AZ 85012-2468

    56.41
 

PERSHING LLC**

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    26.33
 

TD AMERITRADE INC

FOR THE EXCLUSIVE BENEFIT OF OUR CLIENTS

PO BOX 2226

OMAHA NE 68103-2226

    13.16

CLASS C SHARES

 

AMERICAN ENTERPRISE** INVESTMENT SVC

707 2ND AVE S

MINNEAPOLIS MN 55402-2405

    32.66
 

MORGAN STANLEY SMITH BARNEY**

HARBORSIDE FINANCIAL CENTER PLAZA TWO FL 3

JERSEY CITY NJ 07311

    28.79 %
 

JPMORGAN CLEARING CORP*

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    11.59 %
 

NATIONAL FINANCIAL SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

499 WASHINGTON BLVD

ATTN MUTUAL FUNDS DEPT 4TH FLOOR

JERSEY CITY NJ 07310-2010

    9.25 %

 

159


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR E FL 3

JACKSONVILLE FL 32246-6484

    7.86 %

SELECT CLASS SHARES

 

JPMIM AS AGENT FOR*,**

JPMORGAN INVESTOR BALANCED FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    30.30 %
 

JPMIM AS AGENT FOR*

JPMORGAN INVESTOR GROWTH AND INCOME

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    24.61
 

JPMIM AS AGENT FOR*

JPMORGAN INVESTOR CONSERVATIVE GROWTH FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    23.15 %
 

JPMIM AS AGENT FOR*

JPMORGAN INVESTOR GROWTH FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    16.95 %

JPM US EQUITY FUND

  

CLASS A SHARES

 

JPMORGAN CLEARING CORP* OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    19.17 %
 

NATIONAL FINANCIAL SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

499 WASHINGTON BLVD

ATTN MUTUAL FUNDS DEPT 4TH FLOOR

JERSEY CITY NJ 07310-2010

    10.51 %
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DRIVE EAST 2ND FLR

JACKSONVILLE FL 32246-6484

    10.37

CLASS B SHARES

 

JPMORGAN CLEARING CORP*,**

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    63.35 %

 

160


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

MORGAN STANLEY SMITH BARNEY

HARBORSIDE FINANCIAL CENTER

PLAZA TWO FL 3

JERSEY CITY NJ 07311

    5.98 %

CLASS C SHARES

 

JPMORGAN CLEARING CORP*,**

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    47.20 %
 

NATIONAL FINANCIAL SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

499 WASHINGTON BLVD

ATTN MUTUAL FUNDS DEPT 4TH FLOOR

JERSEY CITY NJ 07310-2010

    12.53 %
 

MLPF&S

4800 DEER LAKE DR EAST 2ND FL

JACKSONVILLE FL 32246-6484

    9.06 %

INSTITUTIONAL CLASS SHARES

 

JPMORGAN CLEARING CORP*,**

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    56.12
 

NATIONAL FINANCIAL SERVICES LLC

FOR THE EXCLUSIVE BENEFIT OF OUR CUSTOMERS

ATTN MUTUAL FUNDS DEPT 4TH FL

499 WASHINGTON BLVD

JERSEY CITY NJ 07310-2010

    10.58 %
 

JPMORGAN CHASE BANK N.A.*

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    9.89 %
 

CHARLES SCHWAB & CO INC

SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS

ATTN: MUTUAL FUNDS

101 MONTGOMERY ST

SAN FRANCISCO CA 94104-4151

    7.97 %

CLASS R2 SHARES

 

HARTFORD LIFE INSURANCE** COMPANY

SEPARATE ACCOUNT

ATTN UIT OPERATIONS

PO BOX 2999

HARTFORD CT 06104-2999

    45.83 %

 

161


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR EAST 2ND FL

JACKSONVILLE FL 32246-6484

    11.18 %
 

STATE STREET BANK & TRUST

FBO ADP ACCESS PRODUCT

1 LINCOLN ST FL 1

BOSTON MA 02111-2900

    10.97
 

ING LIFE INS AND ANNUITY CO

ATTN TREASURY DEPT

5780 POWERS FERRY RD NW

ATLANTA GA 30327-4347

    6.41 %
 

DCGT TRUSTEE & OR CUSTODIAN

FBO PRINCIPAL FINANCIAL GROUP

QUALIFIED FIA OMNIBUS

ATTN NPIO TRADE DESK

711 HIGH ST

DES MOINES IA 50392-0001

    6.36 %
 

NFS LLC FEBO

RELIANCE TRUST CO TTEE/CUST

FOR TRS FBO VARIOUS RET PLANS

1150 S OLIVE ST STE 2700

LOS ANGELES CA 90015-2211

    5.11 %

CLASS R5 SHARES

 

JPMORGAN CHASE AS TTEE*

FBO FOREST LABORATORIES INC

SAVINGS & PROFIT SHARING PLAN

C/O JPMORGAN RETIREMENT PLAN SERV

11500 OUTLOOK ST

OVERLAND PARK KS 66211-1804

    19.44 %
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

SEC# 9L686

4800 DEER LAKE DR EAST 2ND FL

JACKSONVILLE FL 32246-6484

    11.86 %
 

JPMORGAN CHASE BANK AS* TTEE

FBO ALLERGAN INC SAVINGS

AND INVESTMENT

C/O JPMORGAN RETIREMENT PLAN SVCS

11500 OUTLOOK ST

OVERLAND PARK KS 66211-1804

    11.54 %
 

JPMORGAN CHASE TTEE FBO*

REPUBLIC NATIONAL 401K PLAN

11500 OUTLOOK ST

OVERLAND PARK KS 66211-1804

    8.26

 

162


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

NFS LLC FBO

FIIOC AGENT FBO

QUALIFIED EMPLOYEE

PLANS 401K FINOPS-IC FUNDS

100 MAGELLAN WAY # KW1C

COVINGTON KY 41015-1987

    7.32 %
 

DCGT TRUSTEE & OR CUSTODIAN

FBO PRINCIPAL FINANCIAL GROUP

QUALIFIED FIA OMNIBUS

ATTN NPIO TRADE DESK

711 HIGH ST

DES MOINES IA 50392-0001

    6.24 %
 

CHARLES SCHWAB & CO INC

SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS

ATTN MUTUAL FUNDS

101 MONTGOMERY ST

SAN FRANCISCO CA 94104-4151

    5.77 %

CLASS R6 SHARES

 

ATTN MUTUAL FUND OPERATIONS

MAC & CO

PO BOX 3198

PITTSBURGH PA 15230-3198

    13.55 %
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2030 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    10.30 %
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2040 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    8.70
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2020 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    7.63 %
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2025 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    6.88 %

 

163


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2035 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    6.62 %
 

JPMORGAN CHASE TTEE FBO*

TJX COMPANIES INC GENERAL

SAVINGS/PROFIT PSP

11500 OUTLOOK ST

OVERLAND PARK KS 66211-1804

    5.41 %

SELECT CLASS SHARES

 

JPMIM AS AGENT FOR*

JPMORGAN INVESTOR BALANCED FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    20.28
 

JPMIM AS AGENT FOR*

JPMORGAN INVESTOR GROWTH FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    14.09 %
 

JPMIM AS AGENT FOR*

JPMORGAN INVESTOR GROWTH AND INCOME

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    13.78 %
 

NATIONAL FINANCIAL SERVICES LLC

FOR THE EXCLUSIVE BENEFIT OF OUR CUSTOMERS

ATTN MUTUAL FUNDS DEPT 4TH FL

499 WASHINGTON BLVD

JERSEY CITY NJ 07310-2010

    11.55 %
 

JPMIM AS AGENT FOR*

JPMORGAN INVESTOR CONSERVATIVE GROWTH FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    9.86 %

JPM US LARGE CAP CORE PLUS FUND

  

CLASS A SHARES

 

GENWORTH FINANCIAL TRUST CO CUST

FBO GFWM AND MUTUAL CLIENTS

FBO OTHER CUSTODIAL CLIENTS

3200 N CENTRAL AVE

PHOENIX AZ 85012-2468

    16.02 %
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    12.68

 

164


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

UBS WM USA

OMNI ACCOUNT M/F

ATTN DEPARTMENT MANAGER

499 WASHINGTON BLVD FL 9

JERSEY CITY NJ 07310-2055

    10.69 %
 

CHARLES SCHWAB & CO INC

SPECIAL CUSTODY ACCOUNT FOR

BENEFIT OF CUSTOMERS

ATTN: MUTUAL FUNDS

101 MONTGOMERY ST

SAN FRANCISCO CA 94104-4151

    8.26 %
 

JPMORGAN CLEARING CORP*

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    6.85 %
 

AMERICAN ENTERPRISE INVESTMENT SVC

707 2ND AVE S

MINNEAPOLIS MN 55402-2405

    6.82 %
 

NATIONAL FINANCIAL SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

499 WASHINGTON BLVD

ATTN MUTUAL FUNDS DEPT 4TH FLOOR

JERSEY CITY NJ 07310-2010

    6.21 %
 

MORGAN STANLEY SMITH BARNEY

HARBORSIDE FINANCIAL CENTER

PLAZA TWO FL 3

JERSEY CITY NJ 07311

    5.69

CLASS C SHARES

 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR E FL 3

JACKSONVILLE FL 32246-6484

    17.68 %
 

MORGAN STANLEY SMITH BARNEY

HARBORSIDE FINANCIAL CENTER

PLAZA TWO FL 3

JERSEY CITY NJ 07311

    16.09 %
 

RAYMOND JAMES

OMNIBUS FOR MUTUAL FUNDS

HOUSE ACCT FIRM

ATTN COURTNEY WALLER

880 CARILLON PKWY

ST PETERSBURG FL 33716-1100

    9.69 %

 

165


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

JPMORGAN CLEARING CORP*

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    9.05 %
 

FIRST CLEARING LLC

SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE

BENEFIT OF CUSTOMER

2801 MARKET STREET

ST LOUIS MO 63103-2523

    8.70 %
 

UBS WM USA

OMNI ACCOUNT M/F

ATTN DEPARTMENT MANAGER

499 WASHINGTON BLVD FL 9

JERSEY CITY NJ 07310-2055

    8.52
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    6.69 %
 

RBC CAPITAL MARKETS LLC

MUTUAL FUND OMNIBUS PROCESSING OMNIBUS

ATTN MUTUAL FUND OPS MANAGER

510 MARQUETTE AVE S

MINNEAPOLIS MN 55402-1110

    5.35 %
 

LPL FINANCIAL

9785 TOWNE CENTRE DRIVE

SAN DIEGO CA 92121-1968

    5.17 %

CLASS R2 SHARES

 

MLPF&S FOR THE SOLE BENEFIT** OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR EAST 2ND FL

JACKSONVILLE FL 32246-6484

    33.53 %
 

LINCOLN RETIREMENT SERVICES

FBO ARMSTRONG AMBULANCE SERVICE

PO BOX 7876

FORT WAYNE IN 46801-7876

    20.32 %
 

FRONTIER TRUST CO FBO

KEIS GEORGE LLP 401K PS

PO BOX 10758

FARGO ND 58106-0758

    8.02 %

CLASS R5 SHARES

 

JPMIM AS AGENT FOR*,**

JPMORGAN ACCESS GROWTH FUND

ATTN CLIENT SERVICES

570 WASHINGTON BLVD FL 6

JERSEY CITY NJ 07310-1617

    33.09

 

166


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

JPMIM AS AGENT FOR*,**

JPMORGAN ACCESS BALANCED FUND

ATTN CLIENT SERVICES

570 WASHINGTON BLVD FL 6 # NY1-I040

JERSEY CITY NJ 07310-1617

    28.70 %
 

BRICS & CO*

C/O JPMORGAN WSS OPERATIONS

ATTN NAT AMARATANA TX1-J165

14201 DALLAS PKWY

DALLAS TX 75254-2916

    12.40 %
 

CHARLES SCHWAB & CO INC

SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS

ATTN MUTUAL FUNDS

101 MONTGOMERY ST

SAN FRANCISCO CA 94104-4151

    11.30 %

SELECT CLASS SHARES

 

NATIONAL FINANCIAL** SERVICES LLC

FOR THE EXCLUSIVE BENEFIT OF OUR CUSTOMERS

ATTN MUTUAL FUNDS DEPT 4TH FL

499 WASHINGTON BLVD

JERSEY CITY NJ 07310-2010

    31.01 %
 

JPMORGAN CHASE BANK N.A.*,**

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    28.83 %
 

RAYMOND JAMES

OMNIBUS FOR MUTUAL FUNDS

HOUSE ACCT FIRM

ATTN COURTNEY WALLER

880 CARILLON PKWY

ST PETERSBURG FL 33716-1100

    9.31

JPM U.S. RESEARCH EQUITY PLUS FUND

  

CLASS A SHARES

 

NATIONAL FINANCIAL** SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

499 WASHINGTON BLVD

ATTN MUTUAL FUNDS DEPT 4TH FLOOR

JERSEY CITY NJ 07310-2010

    59.03 %
 

JP MORGAN INVESTMENT MGMT*

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    9.91 %
 

STIFEL NICOLAUS & CO INC

EXCLUSIVE BENEFIT OF CUSTOMERS

501 N BROADWAY

SAINT LOUIS MO 63102-2188

    9.27 %

 

167


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

JPMORGAN CLEARING CORP*

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    6.42 %
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    5.03 %

CLASS C SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    29.69
 

STATE STREET BANK & TRUST CO

CUST FOR THE TRAD IRA OF

TIMOTHY P MURPHY

15737 BURDETTE ST

OMAHA NE 68116-2413

    21.83 %
 

RAYMOND JAMES

OMNIBUS FOR MUTUAL FUNDS

HOUSE ACCT FIRM

ATTN COURTNEY WALLER

880 CARILLON PKWY

ST PETERSBURG FL 33716-1100

    20.64 %
 

STATE STREET BANK &

TRUST CO

IRA R/O SHAFIQUR M RAHMAN

PO BOX 25522

BROOKLYN NY 11202-5522

    11.77 %
 

STATE STREET BANK &

TRUST CO

CUST FOR THE TRAD IRA OF

LINDA D SIMODYNES

2724 WOODBINE CT

BELLEVUE NE 68005-2855

    8.03 %

CLASS R2 SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    92.42 %
 

MG TRUST COMPANY CUST. FBO

CALIFORNIA RANGELAND TRUST

RETIRE

717 17TH ST STE 1300

DENVER CO 80202-3304

    7.58

 

168


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 

CLASS R5 SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    100.00 %

CLASS R6 SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    100.00 %

SELECT CLASS SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    96.02 %

JPM US SMALL COMPANY FUND

  

CLASS A SHARES

 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    14.86 %
 

AMERICAN ENTERPRISE INVESTMENT SVC

707 2ND AVE S

MINNEAPOLIS MN 55402-2405

    10.83 %
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR EAST 2ND FL

JACKSONVILLE FL 32246-6484

    8.46
 

NATIONAL FINANCIAL SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

499 WASHINGTON BLVD

ATTN MUTUAL FUNDS DEPT 4TH FLOOR

JERSEY CITY NJ 07310-2010

    6.91 %
 

FIRST CLEARING LLC

SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE

BENEFIT OF CUSTOMER

2801 MARKET STREET

ST LOUIS MO 63103-2523

    5.45 %

CLASS C SHARES

 

FIRST CLEARING LLC

SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE

BENEFIT OF CUSTOMER

2801 MARKET STREET

ST LOUIS MO 63103-2523

    16.31 %
 

RAYMOND JAMES

OMNIBUS FOR MUTUAL FUNDS

HOUSE ACCT FIRM

ATTN COURTNEY WALLER

880 CARILLON PKWY

ST PETERSBURG FL 33716-1100

    14.88 %

 

169


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR E FL 3

JACKSONVILLE FL 32246-6484

    13.47 %
 

JPMORGAN CLEARING CORP*

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    11.35
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    10.90 %
 

LPL FINANCIAL

9785 TOWNE CENTRE DRIVE

SAN DIEGO CA 92121-1968

    7.47 %
 

AMERICAN ENTERPRISE INVESTMENT SVC

707 2ND AVE S

MINNEAPOLIS MN 55402-2405

    7.46 %

INSTITUTIONAL CLASS SHARES

 

CHARLES SCHWAB & CO INC**

SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS

ATTN: MUTUAL FUNDS

101 MONTGOMERY ST

SAN FRANCISCO CA 94104-4151

    25.25 %
 

NATIONAL FINANCIAL SERVICES LLC

FOR THE EXCLUSIVE BENEFIT OF OUR CUSTOMERS

ATTN MUTUAL FUNDS DEPT 4TH FL

499 WASHINGTON BLVD

JERSEY CITY NJ 07310-2010

    21.12 %
 

JPMORGAN CHASE BANK N.A.*

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    11.02 %
 

NEW YORK LIFE TRUST CO CUST

NEW YORK LIFE

169 LACKAWANNA AVE

PARSIPPANY NJ 07054-1007

    10.91

CLASS R2 SHARES

 

STATE STREET BANK & TRUST

FBO ADP ACCESS PRODUCT

1 LINCOLN ST FL 1

BOSTON MA 02111-2900

    21.68 %

 

170


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

NEW YORK LIFE TRUST CO

169 LACKAWANNA AVE

PARSIPPANY NJ 07054-1007

    15.77 %
 

OPPENHEIMER & CO INC. FBO

IBEW LOCAL UNION #527-PSP

ANNUITY TRUST FD STRATEGIES ACCT

2509 FM 2004 RD

TEXAS CITY TX 77591-8500

    10.56 %
 

EMJAY CORP CUST FBO

PLANS OF RPSA CUSTOMERS

8515 E ORCHARD RD # 2T2

GREENWOOD VLG CO 80111-5002

    7.05 %
 

FRONTIER TRUST CO FBO

MP ENVIRONMENTAL SERVICES INC 4

PO BOX 10758

FARGO ND 58106-0758

    5.96 %

CLASS R6 SHARES

 

BRICS & CO*,**

C/O JPMORGAN WSS OPERATIONS

ATTN NAT AMARATANA TX1-J165

14201 DALLAS PKWY

DALLAS TX 75254-2916

    30.13
 

STATE STREET BANK & TRUST AS CUST

FBO TRANSDIGM INC

1301 E 9TH ST STE 3710

CLEVELAND OH 44114-1838

    22.03 %
 

JPMIM AS AGENT FOR*

WEILL CORNELL MEDICAL BENEFITS TRUST DIVERSIFIED

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-2470

NEWARK DE 19713-2105

    17.34 %
 

JPMIM AS AGENT FOR*

BAE SYSTEMS NORTH AMERICA INC

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD

OPS 3 FL 2

NEWARK DE 19713-2105

    12.80 %
 

JPMIM AS AGENT FOR*

CORNELL UNIVERSITY

POSTRETIREMENT

WELFARE PLAN A

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-2470

NEWARK DE 19713-2105

    10.44 %

 

171


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 

SELECT CLASS SHARES

 

CHARLES SCHWAB & CO INC

SPECIAL CUSTODY ACCOUNT FOR

BENEFIT OF CUSTOMERS

ATTN: MUTUAL FUNDS

101 MONTGOMERY ST

SAN FRANCISCO CA 94104-4151

    15.98 %
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    14.30
 

JPMORGAN CHASE BANK N.A.*

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    7.46 %
 

NATIONAL FINANCIAL SERVICES LLC

FOR THE EXCLUSIVE BENEFIT OF OUR CUSTOMERS

ATTN MUTUAL FUNDS DEPT 4TH FL

499 WASHINGTON BLVD

JERSEY CITY NJ 07310-2010

    7.36 %
 

FIRST CLEARING LLC

SPECIAL CUSTODY ACCT FOR THE

EXCLUSIVE BENEFIT OF CUSTOMER

2801 MARKET STREET

ST LOUIS MO 63103-2523

    6.63 %

JPM VALUE ADVANTAGE FUND

  

CLASS A SHARES

 

CHARLES SCHWAB & CO INC**

SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS

ATTN MUTUAL FUNDS

101 MONTGOMERY ST

SAN FRANCISCO CA 94104-4151

    36.09 %
 

AMERICAN ENTERPRISE INVESTMENT SVC

707 2ND AVE S

MINNEAPOLIS MN 55402-2405

    14.06 %
 

GENWORTH FINANCIAL TRUST CO CUST

FBO GFWM AND MUTUAL CLIENTS

FBO OTHER CUSTODIAL CLIENTS 3200 N CENTRAL AVE

PHOENIX AZ 85012-2468

    7.65
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    6.92 %

CLASS C SHARES

 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR E FL 3

JACKSONVILLE FL 32246-6484

    21.65 %

 

172


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

MORGAN STANLEY SMITH BARNEY

HARBORSIDE FINANCIAL CENTER

PLAZA TWO FL 3

JERSEY CITY NJ 07311

    13.33 %
 

FIRST CLEARING LLC

SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER

2801 MARKET STREET

ST LOUIS MO 63103-2523

    9.56
 

RAYMOND JAMES

OMNIBUS FOR MUTUAL FUNDS

HOUSE ACCT FIRM

ATTN COURTNEY WALLER

880 CARILLON PKWY

ST PETERSBURG FL 33716-1100

    7.51
 

JPMORGAN CLEARING CORP*

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    6.41
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    6.22
 

UBS WM USA

OMNI ACCOUNT M/F

ATTN DEPARTMENT MANAGER

499 WASHINGTON BLVD FL 9

JERSEY CITY NJ 07310-2055

    6.03

INSTITUTIONAL CLASS SHARES

 

JPMORGAN CLEARING CORP*

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    16.99
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT

2030 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD

DE3-3650

NEWARK DE 19713-2105

    9.22

 

173


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2040 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    7.31
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2020 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    7.08
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2025 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    6.44
 

NATIONAL FINANCIAL SERVICES LLC

FOR THE EXCLUSIVE BENEFIT OF OUR CUSTOMERS

ATTN MUTUAL FUNDS DEPT 4TH FL

499 WASHINGTON BLVD

JERSEY CITY NJ 07310-2010

    6.11
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2035 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    5.91

SELECT CLASS SHARES

 

NATIONAL FINANCIAL SERVICES** LLC

FOR THE EXCLUSIVE BENEFIT OF OUR CUSTOMERS

ATTN MUTUAL FUNDS DEPT 4TH FL

499 WASHINGTON BLVD

JERSEY CITY NJ 07310-2010

    58.96
 

EDWARD D JONES & CO

FOR THE BENEFIT OF CUSTOMERS

12555 MANCHESTER RD

SAINT LOUIS MO 63131-3729

    9.64

SEC CAP US CORE REAL ESTATE SEC FUND

  

CLASS A SHARES

 

BRICS & CO*,**

C/O JPMORGAN WSS OPERATIONS

ATTN NAT AMARATANA TX1-J165

14201 DALLAS PKWY

DALLAS TX 75254-2916

    84.33
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    5.37

 

174


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 

CLASS C SHARES

 

EDWARD D JONES & CO**

FOR THE BENEFIT OF CUSTOMERS

12555 MANCHESTER RD

SAINT LOUIS MO 63131-3729

    50.26
 

PERSHING LLC**

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    40.96
 

NATIONAL FINANCIAL SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

499 WASHINGTON BLVD

ATTN MUTUAL FUNDS DEPT 4TH FLOOR

JERSEY CITY NJ 07310-2010

    8.79

CLASS R5 SHARES

 

JP MORGAN INVESTMENT MGMT*,**

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    100.00

CLASS R6 SHARES

 

JPMIM AS AGENT*,**

FOR SOUTHERN ILLINOIS HOSPITAL SERVICES

ATTN CLIENT SERVICES

460 POLARIS PKWY # OH1-1235

WESTERVILLE OH 43082-8212

    56.53
 

RELIANCE TRUST CO FBO**

RETIREMENT PLANS SERVICED BY METLIF

C/O FASCORE LLC

8515 E ORCHARD RD # 2T2

GREENWOOD VLG CO 80111-5002

    43.47

SELECT CLASS SHARES

 

MITRA & CO FBO 98**

C/O M&I TRUST CO NA ATTN MF

11270 W PARK PL STE 400

MILWAUKEE WI 53224-3638

    32.77
 

CURRIE & CO

C/O FIDUCIARY TRUST CO INTL

PO BOX 3199

NEW YORK NY 10008-3199

    15.91
 

WELLS FARGO BANK NA FBO

BOULDER COMMUNITY HOSPITAL FUNDS

1340635020

PO BOX 1533

MINNEAPOLIS MN 55480-1533

    11.96
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    10.61

 

175


JPMorgan Trust I—Fund

 

Shareholder and Address

  Percentage
Held
 
 

MAC & CO

MUTUAL FUND OPERATIONS

PO BOX 3198

525 WILLIAM PENN PLACE

PITTSBURGH PA 15230-3198

    7.44
 

NATIONAL FINANCIAL SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

ATTN MUTUAL FUNDS DEPT 4TH FL

499 WASHINGTON BLVD

JERSEY CITY NJ 07310-2010

    7.36

J.P. Morgan Mutual Fund
Investment Trust

 

Shareholder and Address

  Percentage
Held
 

JPM GROWTH ADVANTAGE FUND

  

CLASS A SHARES

 

GENWORTH FINANCIAL TRUST CO CUST

FBO GFWM AND MUTUAL CLIENTS

FBO OTHER CUSTODIAL CLIENTS

3200 N CENTRAL AVE

PHOENIX AZ 85012-2468

    14.45
 

JPMORGAN CLEARING CORP OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    14.11
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    12.32
 

EDWARD D JONES & CO

FOR THE BENEFIT OF CUSTOMERS

12555 MANCHESTER RD

SAINT LOUIS MO 63131-3729

    9.43
 

CHARLES SCHWAB & CO INC

FBO SCHWAB CUSTOMERS

ATTN MUTUAL FUNDS

101 MONTGOMERY ST

SAN FRANCISCO CA 94104-4151

    6.34
 

AMERICAN ENTERPRISE INVESTMENT SVC

707 2ND AVE S

MINNEAPOLIS MN 55402-2405

    6.03

CLASS B SHARES

 

JPMORGAN CLEARING CORP*,**

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    47.63

 

176


J.P. Morgan Mutual Fund
Investment Trust

 

Shareholder and Address

  Percentage
Held
 
 

FIRST CLEARING LLC

SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE

BENEFIT OF CUSTOMER

2801 MARKET STREET

ST LOUIS MO 63103-2523

    11.92
 

MORGAN STANLEY SMITH BARNEY

HARBORSIDE FINANCIAL CENTER

PLAZA TWO FL 3

JERSEY CITY NJ 07311

    5.87

CLASS C SHARES

 

JPMORGAN CLEARING CORP*,**

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    27.23
 

MLPF&S FOR THE SOLE BENEFIT OF

ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR E FL 3

JACKSONVILLE FL 32246-6484

    15.50
 

MORGAN STANLEY SMITH BARNEY

HARBORSIDE FINANCIAL CENTER

PLAZA TWO FL 3

JERSEY CITY NJ 07311

    9.62
 

FIRST CLEARING LLC

SPECIAL CUSTODY ACCT FOR THE

EXCLUSIVE BENEFIT OF CUSTOMER

2801 MARKET STREET

ST LOUIS MO 63103-2523

    9.59
 

RAYMOND JAMES

OMNIBUS FOR MUTUAL FUNDS

HOUSE ACCT FIRM

ATTN COURTNEY WALLER

880 CARILLON PKWY

ST PETERSBURG FL 33716-1100

    6.98
 

LPL FINANCIAL

9785 TOWNE CENTRE DRIVE

SAN DIEGO CA 92121-1968

    6.11
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    6.07

 

177


J.P. Morgan Mutual Fund
Investment Trust

 

Shareholder and Address

  Percentage
Held
 

CLASS R5 SHARES

 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2030 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    16.50
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2040 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    13.20
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2020 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA
RD DE3-3650

NEWARK DE 19713-2105

    13.00
 

ATTN MUTUAL FUND OPERATIONS

MAC & CO

PO BOX 3198

PITTSBURGH PA 15230-3198

    12.34
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2025 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA
RD DE3-3650

NEWARK DE 19713-2105

    11.50
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2035 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA
RD DE3-3650

NEWARK DE 19713-2105

    10.77
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2045 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA
RD DE3-3650

NEWARK DE 19713-2105

    6.14
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2050 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA
RD DE3-3650

NEWARK DE 19713-2105

    5.22

 

178


J.P. Morgan Mutual Fund
Investment Trust

 

Shareholder and Address

  Percentage
Held
 

CLASS R6 SHARES

 

JPMORGAN CHASE BANK N.A.*,**

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    64.77
 

JPMIM AS AGENT FOR*

TWG HOLDINGS INC-CONSUMERS PROGRAM

ADMIN-EQUITY

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD OPS3/FLR3

NEWARK DE 19713-2105

    19.16
 

JPMIM AS AGENT FOR BAE* SYSTEMS

NORTH AMERICA INC

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD

OPS 3 FL 2

NEWARK DE 19713-2105

    7.81
 

JPMIM AS AGENT FOR*

OFFICE OF HAWAIIAN AFFAIRS

ATTN CLIENT SERVICES

460 POLARIS PKWY # OH1-1235

WESTERVILLE OH 43082-8212

    7.44

SELECT CLASS SHARES

 

JPMORGAN CHASE BANK N.A.*,**

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    53.63
 

JPMORGAN CLEARING CORP*,**

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    33.90

JPM MID CAP VALUE FUND

  

CLASS A SHARES

 

UBS WM USA

OMNI ACCOUNT M/F

ATTN DEPARTMENT MANAGER

499 WASHINGTON BLVD FL 9

JERSEY CITY NJ 07310-2055

    11.87
 

MORGAN STANLEY SMITH BARNEY

HARBORSIDE FINANCIAL CENTER

PLAZA TWO FL 3

JERSEY CITY NJ 07311

    10.49

 

179


J.P. Morgan Mutual Fund
Investment Trust

 

Shareholder and Address

  Percentage
Held
 
 

NATIONAL FINANCIAL SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

499 WASHINGTON BLVD

ATTN MUTUAL FUNDS DEPT 4TH FLOOR

JERSEY CITY NJ 07310-2010

    6.80
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR E FL 3

JACKSONVILLE FL 32246-6484

    6.46
 

CHARLES SCHWAB & CO INC

SPECIAL CUSTODY ACCOUNT FOR

BENEFIT OF CUSTOMERS

ATTN: MUTUAL FUNDS

101 MONTGOMERY ST

SAN FRANCISCO CA 94104-4151

    6.22

CLASS B SHARES

 

JPMORGAN CLEARING CORP*

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    24.64
 

FIRST CLEARING LLC

SPECIAL CUSTODY ACCT FOR THE

EXCLUSIVE BENEFIT OF CUSTOMER

2801 MARKET STREET

ST LOUIS MO 63103-2523

    20.39
 

MORGAN STANLEY SMITH BARNEY

HARBORSIDE FINANCIAL CENTER

PLAZA TWO FL 3

JERSEY CITY NJ 07311

    12.47
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    8.06

CLASS C SHARES

 

MORGAN STANLEY SMITH BARNEY

HARBORSIDE FINANCIAL CENTER

PLAZA TWO FL 3

JERSEY CITY NJ 07311

    21.22
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR E FL 3

JACKSONVILLE FL 32246-6484

    20.53

 

180


J.P. Morgan Mutual Fund
Investment Trust

 

Shareholder and Address

  Percentage
Held
 
 

FIRST CLEARING LLC

SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE

BENEFIT OF CUSTOMER

2801 MARKET STREET

ST LOUIS MO 63103-2523

    11.23
 

RAYMOND JAMES

OMNIBUS FOR MUTUAL FUNDS

HOUSE ACCT FIRM

ATTN COURTNEY WALLER

880 CARILLON PKWY

ST PETERSBURG FL 33716-1100

    10.15
 

UBS WM USA

OMNI ACCOUNT M/F

ATTN DEPARTMENT MANAGER

499 WASHINGTON BLVD FL 9

JERSEY CITY NJ 07310-2055

    7.12
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    5.74

INSTITUTIONAL CLASS SHARES

 

NATIONAL FINANCIAL SERVICES LLC

FOR THE EXCLUSIVE BENEFIT OF OUR CUSTOMERS

ATTN MUTUAL FUNDS DEPT 4TH FL

499 WASHINGTON BLVD

JERSEY CITY NJ 07310-2010

    22.36
 

CHARLES SCHWAB & CO INC

SPECIAL CUSTODY ACCOUNT FOR

BENEFIT OF CUSTOMERS

ATTN: MUTUAL FUNDS

101 MONTGOMERY ST

SAN FRANCISCO CA 94104-4151

    11.26
 

JPMORGAN CHASE BANK N.A.*

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    7.83

CLASS R2 SHARES

 

MASSACHUSETTS MUTUAL LIFE INS CO

ATTN RS FUND OPERATIONS

ATTN RS FUND OPERATIONS

1295 STATE STREET MIP C105

SPRINGFIELD MA 01111-0001

    16.33
 

DCGT TRUSTEE & OR CUSTODIAN

FBO PRINCIPAL FINANCIAL GROUP

QUALIFIED FIA OMNIBUS

ATTN NPIO TRADE DESK

711 HIGH ST

DES MOINES IA 50392-0001

    12.00

 

181


J.P. Morgan Mutual Fund
Investment Trust

 

Shareholder and Address

  Percentage
Held
 
 

DCGT TRUSTEE & OR CUSTODIAN

FBO PRINCIPAL FINANCIAL GROUP

QUALIFIED PRIN ADVTG OMNIBUS

ATTN NPIO TRADE DESK

711 HIGH ST

DES MOINES IA 50392-0001

    11.51
 

TAYNIK & CO CUST

INVESTORS BANK AND TRUST CO

200 CLARENDON ST # 090

BOSTON MA 02116-5021

    11.08
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR E FL 3

JACKSONVILLE FL 32246-6484

    6.52
 

PIMS/PRUDENTIAL RETPLAN

NOMINEE TRUSTEE CUSTODIAN

767 ASSOCIATED FOOD STORES INC

1850 W 2100 S

SALT LAKE CTY UT 84119-1304

    5.99

SELECT CLASS SHARES

 

EDWARD D JONES & CO**

FOR THE BENEFIT OF CUSTOMERS

12555 MANCHESTER RD

SAINT LOUIS MO 63131-3729

    38.77
 

NATIONAL FINANCIAL SERVICES LLC

FOR THE EXCLUSIVE BENEFIT OF OUR CUSTOMERS

ATTN MUTUAL FUNDS DEPT 4TH FL

499 WASHINGTON BLVD

JERSEY CITY NJ 07310-2010

    12.88
 

MORGAN STANLEY SMITH BARNEY

HARBORSIDE FINANCIAL CENTER

PLAZA TWO FL 3

JERSEY CITY NJ 07311

    7.29

Undiscovered Managers Funds

 

Shareholder and Address

  Percentage
Held
 

JPM REALTY INCOME FUND

  

CLASS A SHARES

 

GENWORTH FINANCIAL TRUST** COMPANY

FOR THE SOLE BENEFIT OF CUSTOMERS

3200 N CENTRAL AVE

PHOENIX AZ 85012-2468

    31.55
 

JPMORGAN CLEARING CORP*

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    18.20

 

182


Undiscovered Managers Funds

 

Shareholder and Address

  Percentage
Held
 
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    15.45
 

TD AMERITRADE INC FOR THE

EXCLUSIVE BENEFIT OF OUR CLIENTS

PO BOX 2226

OMAHA NE 68103-2226

    6.70

CLASS B SHARES

 

JPMORGAN CLEARING CORP*,**

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    48.50
 

FIRST CLEARING LLC

SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE

BENEFIT OF CUSTOMER

2801 MARKET STREET

ST LOUIS MO 63103-2523

    20.34
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    10.56

CLASS C SHARES

 

JPMORGAN CLEARING CORP*,**

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    30.49
 

MORGAN STANLEY SMITH BARNEY

HARBORSIDE FINANCIAL CENTER

PLAZA TWO FL 3

JERSEY CITY NJ 07311

    17.87
 

RAYMOND JAMES

OMNIBUS FOR MUTUAL FUNDS

HOUSE ACCT FIRM

ATTN COURTNEY WALLER

880 CARILLON PKWY

ST PETERSBURG FL 33716-1100

    10.67
 

FIRST CLEARING LLC

SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE

BENEFIT OF CUSTOMER

2801 MARKET STREET

ST LOUIS MO 63103-2523

    10.44

 

183


Undiscovered Managers Funds

 

Shareholder and Address

  Percentage
Held
 

INSTITUTIONAL CLASS SHARES

 

JPMORGAN CHASE BANK N.A.*,**

FBO CLIENTS

ATTN PB MF OPS 3OPS3 DE3-3740

500 STANTON CHRISTIANA RD

NEWARK DE 19713-2105

    53.96
 

CHARLES SCHWAB & CO INC

SPECIAL CUST A/C

FBO EXCLUSIVE BENEFIT OF CUSTOMERS

ATTN MUTUAL FUNDS

101 MONTGOMERY ST

SAN FRANCISCO CA 94104-4151

    12.78
 

NATIONAL FINANCIAL SERVICES LLC

FOR THE EXCLUSIVE BENEFIT OF OUR CUSTOMERS

ATTN MUTUAL FUNDS DEPT 4TH FL

499 WASHINGTON BLVD

JERSEY CITY NJ 07310-2010

    9.54

CLASS R5 SHARES

 

ATTN MUTUAL FUND OPERATIONS

MAC & CO

PO BOX 3198

PITTSBURGH PA 15230-3198

    22.17
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2040 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    14.18
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2030 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    13.99
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2020 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    11.66
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2025 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    10.60
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2035 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    10.43

 

184


Undiscovered Managers Funds

 

Shareholder and Address

  Percentage
Held
 
 

JPMIM AS AGENT FOR*

JPMORGAN SMARTRETIREMENT 2045 FUND

ATTN CLIENT SERVICES

500 STANTON CHRISTIANA RD DE3-3650

NEWARK DE 19713-2105

    5.25

UM BEHAVIORAL VALUE FUND

  

CLASS A SHARES

 

CHARLES SCHWAB & CO INC

SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS

ATTN MUTUAL FUNDS

101 MONTGOMERY ST

SAN FRANCISCO CA 94104-4151

    16.80
 

UBS WM USA

OMNI ACCOUNT M/F

ATTN DEPARTMENT MANAGER

499 WASHINGTON BLVD FL 9

JERSEY CITY NJ 07310-2055

    14.10
 

NATIONAL FINANCIAL SERVICES LLC

FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS

499 WASHINGTON BLVD

ATTN MUTUAL FUNDS DEPT 4TH FLOOR

JERSEY CITY NJ 07310-2010

    13.89
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    9.09
 

AMERICAN ENTERPRISE INVESTMENT SVC

707 2ND AVE S

MINNEAPOLIS MN 55402-2405

    7.98
 

LPL FINANCIAL

9785 TOWNE CENTRE DRIVE

SAN DIEGO CA 92121-1968

    5.67
 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR E FL 3

JACKSONVILLE FL 32246-6484

    5.09

CLASS B SHARES

 

FIRST CLEARING LLC**

SPECIAL CUSTODY ACCT FOR THE

EXCLUSIVE BENEFIT OF CUSTOMER

2801 MARKET STREET

ST LOUIS MO 63103-2523

    33.25

 

185


Undiscovered Managers Funds

 

Shareholder and Address

  Percentage
Held
 
 

JPMORGAN CLEARING CORP*,**

OMNIBUS ACCT

FOR THE SOLE BENEFIT OF CUSTOMERS

3 CHASE METROTECH CENTER

3RD FLOOR MUTUAL FUND DEPT

BROOKLYN NY 11245-0001

    27.56
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    10.77

CLASS C SHARES

 

MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR E FL 3

JACKSONVILLE FL 32246-6484

    16.65
 

FIRST CLEARING LLC

SPECIAL CUSTODY ACCT FOR THE

EXCLUSIVE BENEFIT OF CUSTOMER

2801 MARKET STREET

ST LOUIS MO 63103-2523

    16.61
 

MORGAN STANLEY SMITH BARNEY

HARBORSIDE FINANCIAL CENTER

PLAZA TWO FL 3

JERSEY CITY NJ 07311

    13.54
 

UBS WM USA

OMNI ACCOUNT M/F

ATTN DEPARTMENT MANAGER

499 WASHINGTON BLVD FL 9

JERSEY CITY NJ 07310-2055

    12.17
 

RAYMOND JAMES

OMNIBUS FOR MUTUAL FUNDS

HOUSE ACCT FIRM

ATTN COURTNEY WALLER

880 CARILLON PKWY

ST PETERSBURG FL 33716-1100

    10.16
 

PERSHING LLC

P.O. BOX 2052

JERSEY CITY NJ 07303-2052

    7.11

INSTITUTIONAL CLASS SHARES

 

MLPF&S FOR THE SOLE BENEFIT**

OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR EAST 2ND FL

JACKSONVILLE FL 32246-6484

    30.05

 

186


Undiscovered Managers Funds

 

Shareholder and Address

  Percentage
Held
 
 

FIRST CLEARING LLC

SPECIAL CUSTODY ACCT FOR THE

EXCLUSIVE BENEFIT OF CUSTOMER

2801 MARKET STREET

ST LOUIS MO 63103-2523

    22.97
 

CHARLES SCHWAB & CO INC

SPECIAL CUST A/C

FBO EXCLUSIVE BENEFIT OF CUSTOMERS

ATTN MUTUAL FUNDS

101 MONTGOMERY ST

SAN FRANCISCO CA 94104-4151

    9.49
 

MB FINANCIAL BANK N A

6111 N RIVER RD STE 800 FL 8

ROSEMONT IL 60018-5111

    7.30
 

T ROWE PRICE RETIREMENT PLAN

SERVICES INC CUST

FBO RETIREMENT PLAN CLIENTS

4515 PAINTERS MILL RD

OWINGS MILLS MD 21117-4903

    5.63

CLASS R2 SHARES

 

STATE STREET BANK & TRUST**

FBO ADP ACCESS PRODUCT

1 LINCOLN ST FL 1

BOSTON MA 02111-2900

    90.16
 

JP MORGAN INVESTMENT MGMT*

ATTN CLIENT SERVICES

1111 POLARIS PKWY

COLUMBUS OH 43240-2031

    7.79

CLASS R6 SHARES

 

TD AMERITRADE TRUST CO**

PO BOX 17748

DENVER CO 80217-0748

    59.79
 

NFS LLC FBO**

FIIOC AGENT FBO

QUALIFIED EMPLOYEE

PLANS 401K FINOPS-IC FUNDS

100 MAGELLAN WAY # KW1C

COVINGTON KY 41015-1987

    38.09

SELECT CLASS SHARES

 

MLPF&S FOR THE SOLE BENEFIT**

OF ITS CUSTOMERS

ATTN FUND ADMINISTRATION

4800 DEER LAKE DR E FL 3

JACKSONVILLE FL 32246-6484

    51.93

 

187


Undiscovered Managers Funds

 

Shareholder and Address

  Percentage
Held
 
 

MORGAN STANLEY SMITH**

BARNEY

HARBORSIDE FINANCIAL CENTER

PLAZA TWO FL 3

JERSEY CITY NJ 07311

    28.18
 

LPL FINANCIAL

9785 TOWNE CENTRE DRIVE

SAN DIEGO CA 92121-1968

    11.48
 

RAYMOND JAMES

OMNIBUS FOR MUTUAL FUNDS

HOUSE ACCT FIRM 92500015

ATTN COURTNEY WALLER

880 CARILLON PKWY

ST PETERSBURG FL 33716-1100

    5.05

 

188


EVERY SHAREHOLDER’S VOTE IS IMPORTANT

 

  EASY VOTING OPTIONS:
  LOGO   

VOTE ON THE INTERNET

Log on to:

www.proxy-direct.com

or scan the QR code

Follow the on-screen instructions

available 24 hours

     LOGO   

VOTE BY PHONE

Call 1-800-337-3503

Follow the recorded instructions

available 24 hours

     LOGO   

VOTE BY MAIL

Vote, sign and date this Proxy

Card and return in the

postage-paid envelope

  LOGO   

VOTE IN PERSON

Attend Shareholder Meeting

270 Park Avenue

New York, NY 10017

on June 10, 2014

 

 

Please detach at perforation before mailing.

 

PROXY  

JPMORGAN TRUST I, J.P. MORGAN FLEMING MUTUAL FUND GROUP, INC.,

J.P. MORGAN MUTUAL FUND INVESTMENT TRUST AND UNDISCOVERED MANAGERS FUND

SPECIAL MEETING OF SHAREHOLDERS

TO BE HELD ON JUNE 10, 2014

  PROXY

THIS PROXY IS SOLICITED ON BEHALF OF THE BOARD OF TRUSTEES. The undersigned hereby appoints Wendy Setnicka, Elisaida Poueriet and Joseph Parascondola, and each of them separately, proxies, with power of substitution to each, and hereby authorizes them to represent and to vote, as designated below, at the Special Meeting of Shareholders of JPMorgan Trust I (the “Trust”), to be held on June 10, 2014, at 11:00 a.m., Eastern Time, at the offices of the Trusts at 270 Park Avenue, New York, New York 10017, and at any adjournments thereof (each, a “Meeting”), all of the shares of each series of the Trusts which the undersigned would be entitled to vote if personally present. The undersigned hereby revokes any proxy previously given.

This proxy, when properly executed, will be voted in the manner directed herein by the undersigned shareholder. IF NO DIRECTION IS MADE, THIS PROXY WILL BE VOTED FOR THE PROPOSALS ON THE REVERSE SIDE OF THIS CARD. In their discretion, the proxies are authorized to vote on any other matter properly brought before the Meeting.

 

 

VOTE VIA THE INTERNET: www.proxy-direct.com

VOTE VIA THE TELEPHONE: 1-800-337-3503

 

   
        

 

Note: Please sign your name exactly as it appears on this card. If you are a joint owner, each owner should sign. When signing as executor, administrator, attorney, trustee, or guardian, or as custodian for a minor, please give your full title as such. If you are signing for a corporation, please sign the full corporate name and indicate the signer’s office. If you are a partner, sign in the partnership name.

 

 

Signature  

 

Signature (if held jointly)  

 

Date   25469_040414-BK1
 

 

PLEASE SIGN, DATE AND RETURN THIS PROXY CARD IN THE ENCLOSED ENVELOPE

 



EVERY SHAREHOLDER’S VOTE IS IMPORTANT

Important Notice Regarding the Availability of Proxy Materials for the

Shareholder Meeting to Be Held on June 10, 2014

The Proxy Statement and Proxy Card for this Meeting are available at:

https://www.proxy-direct.com/jpm-25469

IF YOU VOTE ON THE INTERNET OR BY TELEPHONE,

YOU NEED NOT RETURN THIS PROXY CARD

 

Funds

  

Funds

  

Funds

JPMorgan Trust I

  

JPMorgan Trust I

  

JPMorgan Trust I

JPMorgan 100% U.S. Treasury Securities Money Market Fund    JPMorgan Access Balanced Fund    JPMorgan Access Growth Fund
JPMorgan Alternative Strategies Fund    JPMorgan Asia Pacific Fund    JPMorgan California Municipal Money Market Fund
JPMorgan California Tax Free Bond Fund    JPMorgan China Region Fund    JPMorgan Commodities Strategy Fund
JPMorgan Corporate Bond Fund    JPMorgan Current Income Fund    JPMorgan Current Yield Money Market Fund
JPMorgan Disciplined Equity Fund    JPMorgan Diversified Fund    JPMorgan Diversified Real Return Fund
JPMorgan Dynamic Growth Fund    JPMorgan Dynamic Small Cap Growth Fund    JPMorgan Emerging Economies Fund
JPMorgan Emerging Markets Debt Fund    JPMorgan Emerging Markets Equity Fund    JPMorgan Emerging Markets Local Currency Debt Fund
JPMorgan Equity Focus Fund    JPMorgan Federal Money Market Fund    JPMorgan Floating Rate Income Fund
JPMorgan Global Allocation Fund    JPMorgan Global Bond Opportunities Fund    JPMorgan Global Equity Income Fund
JPMorgan Global Natural Resources Fund    JPMorgan Global Research Enhanced Index Fund    JPMorgan Growth and Income Fund
JPMorgan Income Builder Fund    JPMorgan Inflation Managed Bond Fund    JPMorgan Intermediate Tax Free Bond Fund
JPMorgan International Currency Income Fund    JPMorgan International Equity Fund    JPMorgan International Opportunities Fund
JPMorgan International Realty Fund    JPMorgan International Unconstrained Equity Fund    JPMorgan International Value Fund
JPMorgan International Value SMA Fund    JPMorgan Intrepid Advantage Fund    JPMorgan Intrepid America Fund
JPMorgan Intrepid European Fund    JPMorgan Intrepid Growth Fund    JPMorgan Intrepid International Fund
JPMorgan Intrepid Value Fund    JPMorgan Latin America Fund    JPMorgan Managed Income Fund
JPMorgan Market Neutral Fund    JPMorgan Mid Cap Equity Fund    JPMorgan Multi-Sector Income Fund
JPMorgan New York Municipal Money Market Fund      

Please detach at perforation before mailing.

THE BOARD OF TRUSTEES RECOMMENDS THAT YOU VOTE “FOR” EACH PROPOSAL AS DESCRIBED IN THE PROXY STATEMENT.

In their discretion, the proxies are authorized to vote, on any other business as may properly come before the Meeting or any adjournment or postponement thereof. No proposal is conditioned on approval of any other proposal.

 

TO VOTE, MARK BLOCKS BELOW IN BLUE OR BLACK INK. Example:      

 

1. To elect the current thirteen (13) Trustees:

 

 

01. Dr. Matthew Goldstein

05. Mary E. Martinez

09. Dr. Robert A. Oden, Jr.

13. Frankie D. Hughes

  

 

02. John F. Finn

06. Marilyn McCoy

10. Marian U. Pardo

  

 

03. Robert J. Higgins

07. Mitchell M. Merin

11. Frederick W. Ruebeck

  

 

04. Peter C. Marshall

08. William G. Morton, Jr.

12. James J. Schonbachler

 

FOR
ALL

 

¨

 

WITHHOLD
ALL

 

¨

 

FOR ALL
EXCEPT

 

¨

 

INSTRUCTIONS: To withhold authority to vote for any individual Trustee nominee(s), mark the box “FOR ALL EXCEPT” and write the nominee’s number on the line provided below.

 

  

2.     To amend the concentration policy of the JPMorgan Asia Pacific Fund.

  FOR   AGAINST   ABSTAIN            

JPMorgan Asia Pacific Fund

  ¨   ¨   ¨            

3.     To transact such other business as may properly come before the Meeting and any adjournments thereof.

           

25469_040414-BK1


EVERY SHAREHOLDER’S VOTE IS IMPORTANT

 

  EASY VOTING OPTIONS:
  LOGO   

VOTE ON THE INTERNET

Log on to:

www.proxy-direct.com

or scan the QR code

Follow the on-screen instructions

available 24 hours

     LOGO   

VOTE BY PHONE

Call 1-800-337-3503

Follow the recorded instructions

available 24 hours

     LOGO   

VOTE BY MAIL

Vote, sign and date this Proxy

Card and return in the

postage-paid envelope

  LOGO   

VOTE IN PERSON

Attend Shareholder Meeting

270 Park Avenue

New York, NY 10017

on June 10, 2014

 

 

Please detach at perforation before mailing.

 

PROXY  

JPMORGAN TRUST I, J.P. MORGAN FLEMING MUTUAL FUND GROUP, INC.,

J.P. MORGAN MUTUAL FUND INVESTMENT TRUST AND UNDISCOVERED MANAGERS FUND

SPECIAL MEETING OF SHAREHOLDERS

TO BE HELD ON JUNE 10, 2014

  PROXY

THIS PROXY IS SOLICITED ON BEHALF OF THE BOARD OF TRUSTEES. The undersigned hereby appoints Wendy Setnicka, Elisaida Poueriet and Joseph Parascondola, and each of them separately, proxies, with power of substitution to each, and hereby authorizes them to represent and to vote, as designated below, at the Special Meeting of Shareholders of JPMorgan Trust I (the “Trust”), to be held on June 10, 2014, at 11:00 a.m., Eastern Time, at the offices of the Trusts at 270 Park Avenue, New York, New York 10017, and at any adjournments thereof (each, a “Meeting”), all of the shares of each series of the Trusts which the undersigned would be entitled to vote if personally present. The undersigned hereby revokes any proxy previously given.

This proxy, when properly executed, will be voted in the manner directed herein by the undersigned shareholder. IF NO DIRECTION IS MADE, THIS PROXY WILL BE VOTED FOR THE PROPOSALS ON THE REVERSE SIDE OF THIS CARD. In their discretion, the proxies are authorized to vote on any other matter properly brought before the Meeting.

 

 

VOTE VIA THE INTERNET: www.proxy-direct.com

VOTE VIA THE TELEPHONE: 1-800-337-3503

 

   
        

 

Note: Please sign your name exactly as it appears on this card. If you are a joint owner, each owner should sign. When signing as executor, administrator, attorney, trustee, or guardian, or as custodian for a minor, please give your full title as such. If you are signing for a corporation, please sign the full corporate name and indicate the signer’s office. If you are a partner, sign in the partnership name.

 

 

Signature  

 

Signature (if held jointly)  

 

Date   25469_040414-BK1
 

 

PLEASE SIGN, DATE AND RETURN THIS PROXY CARD IN THE ENCLOSED ENVELOPE

 



EVERY SHAREHOLDER’S VOTE IS IMPORTANT

Important Notice Regarding the Availability of Proxy Materials for the

Shareholder Meeting to Be Held on June 10, 2014

The Proxy Statement and Proxy Card for this Meeting are available at:

https://www.proxy-direct.com/jpm-25469

IF YOU VOTE ON THE INTERNET OR BY TELEPHONE,

YOU NEED NOT RETURN THIS PROXY CARD

 

Funds

  

Funds

  

Funds

JPMorgan Trust I

  

JPMorgan Trust I

  

JPMorgan Trust I

JPMorgan New York Tax Free Bond Fund    JPMorgan Prime Money Market Fund    JPMorgan Real Return Fund
JPMorgan Research Equity Long/Short Fund    JPMorgan Research Market Neutral Fund    JPMorgan Short Duration High Yield Fund
JPMorgan Small Cap Core Fund    JPMorgan Small Cap Equity Fund    JPMorgan SmartAllocation Equity Fund
JPMorgan SmartAllocation Income Fund    JPMorgan SmartRetirement Income Fund    JPMorgan SmartRetirement 2010 Fund
JPMorgan SmartRetirement 2015 Fund    JPMorgan SmartRetirement 2020 Fund    JPMorgan SmartRetirement 2025 Fund
JPMorgan SmartRetirement 2030 Fund    JPMorgan SmartRetirement 2035 Fund    JPMorgan SmartRetirement 2040 Fund
JPMorgan SmartRetirement 2045 Fund    JPMorgan SmartRetirement 2050 Fund    JPMorgan SmartRetirement 2055 Fund
JPMorgan SmartRetirement Blend Income Fund    JPMorgan SmartRetirement Blend 2015 Fund    JPMorgan SmartRetirement Blend 2020 Fund
JPMorgan SmartRetirement Blend 2025 Fund    JPMorgan SmartRetirement Blend 2030 Fund    JPMorgan SmartRetirement Blend 2035 Fund
JPMorgan SmartRetirement Blend 2040 Fund    JPMorgan SmartRetirement Blend 2045 Fund    JPMorgan SmartRetirement Blend 2050 Fund
JPMorgan SmartRetirement Blend 2055 Fund    JPMorgan Strategic Income Opportunities Fund    JPMorgan Strategic Preservation Fund
JPMorgan Tax Aware Equity Fund    JPMorgan Tax Aware High Income Fund    JPMorgan Tax Aware Income Opportunities Fund
JPMorgan Tax Aware Real Return Fund    JPMorgan Tax Aware Real Return SMA Fund    JPMorgan Tax Free Money Market Fund
JPMorgan Total Emerging Markets Fund    JPMorgan Total Return Fund    JPMorgan U.S. Dynamic Plus Fund
JPMorgan U.S. Equity Fund    JPMorgan U.S. Large Cap Core Plus Fund    JPMorgan U.S. Research Equity Plus Fund
JPMorgan U.S. Small Company Fund    JPMorgan Value Advantage Fund    Security Capital U.S. Core Real Estate Securities Fund

J. P Morgan Fleming Mutual Fund Group Inc.

  

J. P Morgan Mutual Fund Investment Trust

  

Undiscovered Managers Funds

JPMorgan Mid Cap Value Fund    JPMorgan Growth Advantage Fund    JPMorgan Realty Income Fund
      Undiscovered Managers Behavioral Value Fund

Please detach at perforation before mailing.

THE BOARD OF TRUSTEES RECOMMENDS THAT YOU VOTE “FOR” EACH PROPOSAL AS DESCRIBED IN THE PROXY STATEMENT.

In their discretion, the proxies are authorized to vote, on any other business as may properly come before the Meeting or any adjournment or postponement thereof. No proposal is conditioned on approval of any other proposal.

 

TO VOTE, MARK BLOCKS BELOW IN BLUE OR BLACK INK. Example:      

 

1. To elect the current thirteen (13) Trustees:

 

 

01. Dr. Matthew Goldstein

05.Mary E. Martinez

09. Dr. Robert A. Oden, Jr.

13. Frankie D. Hughes

  

 

02. John F. Finn

06. Marilyn McCoy

10. Marian U. Pardo

  

 

03. Robert J. Higgins

07. Mitchell M. Merin

11. Frederick W. Ruebeck

  

 

04. Peter C. Marshall

08. William G. Morton, Jr.

12. James J. Schonbachler

 

FOR
ALL

 

¨

 

WITHHOLD
ALL

 

¨

 

FOR ALL
EXCEPT

 

¨

 

INSTRUCTIONS: To withhold authority to vote for any individual Trustee nominee(s), mark the box “FOR ALL EXCEPT” and write the nominee’s number on the line provided below.

 

  

2.     To amend the concentration policy of the JPMorgan Asia Pacific Fund.

                 

Not Applicable

                 

3.     To transact such other business as may properly come before the Meeting and any adjournments thereof.

           

25469_040414-BK1