Fund Name |
A |
C |
I |
L |
R2 |
R3 |
R4 |
R5 |
R6 |
JPMorgan Diversified Fund (the “Diversified Fund”) |
JDVAX |
JDVCX |
JDVSX |
JPDVX |
|
|
|
|
JDVZX |
JPMorgan Hedged Equity Fund (the “Hedged Equity Fund”) |
JHQAX |
JHQCX |
JHEQX |
|
|
|
|
JHQPX |
JHQRX |
JPMorgan Mid Cap Equity Fund (the “Mid Cap Equity Fund”) |
JCMAX |
JMCCX |
VSNGX |
|
JMCEX |
|
|
JMEEX |
JPPEX |
JPMorgan Small Cap Blend Fund (the “Small Cap Blend Fund”) |
VSCOX |
VSCCX |
JDSCX |
|
*
|
*
|
*
|
*
|
JSCHX |
JPMorgan Small Cap Equity Fund (the “Small Cap Equity Fund”) |
VSEAX |
JSECX |
VSEIX |
|
JSEZX |
JSEPX |
JSEQX |
JSERX |
VSENX |
JPMorgan U.S. Applied Data Science Value Fund (the “U.S. Applied Data Science Value Fund”) |
JIVAX |
JIVCX |
JPIVX |
|
JIVZX |
|
|
JIVRX |
JIVMX |
JPMorgan U.S. Equity Fund (the “U.S. Equity Fund”) |
JUEAX |
JUECX |
JUESX |
JMUEX |
JUEZX |
JUEPX |
JUEQX |
JUSRX |
JUEMX |
JPMorgan U.S. GARP Equity Fund (the “U.S. GARP Equity Fund”) |
JIGAX |
JCICX |
JPGSX |
|
JIGZX |
|
|
JGIRX |
JGISX |
JPMorgan U.S. Large Cap Core Plus Fund (the “U.S. Large Cap Core Plus Fund”) |
JLCAX |
JLPCX |
JLPSX |
|
JLPZX |
|
|
JCPRX |
JLPYX |
JPMorgan U.S. Research Enhanced Equity Fund (the “U.S. Research Enhanced Equity Fund”) |
JDEAX |
|
JDESX |
|
|
|
|
|
JDEUX |
JPMorgan U.S. Small Company Fund (the “U.S. Small Company Fund”) |
JTUAX |
JTUCX |
JSCSX |
JUSSX |
JSCZX |
JUSPX |
JUSQX |
JUSYX |
JUSMX |
JPMorgan U.S. Sustainable Leaders Fund (the “U.S. Sustainable Leaders Fund”) |
JICAX |
JICCX |
JIISX |
|
|
|
|
|
JIIGX |
JPMorgan U.S. Value Fund (the “U.S. Value Fund”) |
VGRIX |
VGICX |
VGIIX |
|
VGRTX |
JGAVX |
JGRUX |
VGIFX |
VGINX |
JPMorgan Value Advantage Fund (the “Value Advantage Fund”) |
JVAAX |
JVACX |
JVASX |
JVAIX |
JGAQX |
JVAPX |
JVAQX |
JVARX |
JVAYX |
Fund Name |
A |
C |
I |
L |
R2 |
R3 |
R4 |
R5 |
R6 |
JPMorgan Equity Income Fund (the “Equity Income Fund”) |
OIEIX |
OINCX |
HLIEX |
|
OIEFX |
OIEPX |
OIEQX |
OIERX |
OIEJX |
JPMorgan Equity Index Fund (the “Equity Index Fund”) |
OGEAX |
OEICX |
HLEIX |
|
|
|
|
|
OGFAX |
JPMorgan Large Cap Growth Fund (the “Large Cap Growth Fund”) |
OLGAX |
OLGCX |
SEEGX |
|
JLGZX |
JLGPX |
JLGQX |
JLGRX |
JLGMX |
JPMorgan Large Cap Value Fund (the “Large Cap Value Fund”) |
OLVAX |
OLVCX |
HLQVX |
|
JLVZX |
OLVTX |
OLVRX |
JLVRX |
JLVMX |
JPMorgan Mid Cap Growth Fund (the “Mid Cap Growth Fund”) |
OSGIX |
OMGCX |
HLGEX |
|
JMGZX |
JMGPX |
JMGQX |
JMGFX |
JMGMX |
JPMorgan Small Cap Growth Fund (the “Small Cap Growth Fund”) |
PGSGX |
OSGCX |
OGGFX |
JISGX |
JSGZX |
JGRQX |
JGLYX |
JGSVX |
JGSMX |
JPMorgan Small Cap Value Fund (the “Small Cap Value Fund”) |
PSOAX |
OSVCX |
PSOPX |
|
JSVZX |
JSVPX |
JSVQX |
JSVRX |
JSVUX |
JPMorgan SMID Cap Equity Fund (the “SMID Cap Equity Fund”) |
PECAX |
ODMCX |
WOOPX |
|
|
WOOOX |
WOOQX |
|
WOOSX |
Fund Name |
A |
C |
I |
L |
R2 |
R3 |
R4 |
R5 |
R6 |
JPMorgan Equity Premium Income Fund (the “Equity Premium Income Fund”) |
JEPAX |
JEPCX |
JEPIX |
|
|
|
|
JEPSX |
JEPRX |
JPMorgan Hedged Equity 2 Fund (the “Hedged Equity 2 Fund”) |
JHDAX |
JHDCX |
JHQDX |
|
|
|
|
JHDFX |
JHDRX |
JPMorgan Hedged Equity 3 Fund (the “Hedged Equity 3 Fund”) |
JHTAX |
JHTCX |
JHQTX |
|
|
|
|
JHTGX |
JHTRX |
Fund Name |
A |
C |
I |
L |
R2 |
R3 |
R4 |
R5 |
R6 |
JPMorgan Growth Advantage Fund (the “Growth Advantage Fund”) |
VHIAX |
JGACX |
JGASX |
|
JGRJX |
JGTTX |
JGTUX |
JGVRX |
JGVVX |
Fund Name |
A |
C |
I |
L |
R2 |
R3 |
R4 |
R5 |
R6 |
JPMorgan Mid Cap Value Fund (the “Mid Cap Value Fund”) |
JAMCX |
JCMVX |
JMVSX |
FLMVX |
JMVZX |
JMVPX |
JMVQX |
JMVRX |
JMVYX |
1 | |
1 | |
3 | |
4 | |
4 | |
15 | |
21 | |
22 | |
22 | |
22 | |
23 | |
23 | |
24 | |
27 | |
29 | |
29 | |
30 | |
30 | |
35 | |
37 | |
38 | |
38 | |
38 | |
38 | |
39 | |
41 | |
41 | |
42 | |
44 | |
44 | |
48 | |
48 | |
49 | |
50 | |
52 | |
52 | |
52 | |
53 | |
53 | |
53 | |
53 | |
55 | |
55 | |
55 | |
55 | |
56 |
J.P. Morgan Institutional Funds (“JPMIF”) |
J.P. Morgan Mutual Fund Select Group (“JPMMFSG”) |
JPMorgan Diversified Fund |
JPMorgan Mid Cap Equity Fund |
JPMorgan U.S. Equity Fund |
|
JPMorgan U.S. Research Enhanced Equity Fund |
|
JPMorgan U.S. Small Company Fund |
|
J.P. Morgan Mutual Fund Group (“JPMMFG”) |
J.P. Morgan Mutual Fund Series (“JPMMFS”) |
JPMorgan U.S. Value Fund |
JPMorgan U.S. GARP Equity Fund |
JPMorgan Small Cap Blend Fund |
JPMorgan U.S. Sustainable Leaders Fund |
JPMorgan Small Cap Equity Fund |
JPMorgan U.S. Applied Data Science Value Fund |
Target Funds |
Surviving Funds |
JPMorgan Equity Income Fund |
One Group Equity Income Fund |
|
(now known as JPMorgan Equity Income Fund) |
JPMorgan Equity Growth Fund |
One Group Large Cap Growth Fund |
|
(now known as JPMorgan Large Cap Growth Fund) |
JPMorgan Small Cap Growth Fund; JPMorgan U.S. |
One Group Small Cap Growth Fund |
Small Company Opportunities Fund |
(now known as JPMorgan Small Cap Growth Fund) |
One Group Balanced Fund |
JPMorgan Diversified Fund |
One Group Diversified Equity Fund |
JPMorgan U.S. Equity Fund |
Acquired Funds |
Acquiring Funds |
JPMorgan Capital Growth Fund |
JPMorgan Mid Cap Growth Fund |
JPMorgan Diversified Mid Cap Value Fund |
JPMorgan Mid Cap Value Fund |
Former Name |
Current Name |
One Group Diversified Mid Cap Fund |
JPMorgan SMID Cap Equity Fund1
|
One Group Equity Income Fund |
JPMorgan Equity Income Fund |
One Group Equity Index Fund |
JPMorgan Equity Index Fund |
One Group Large Cap Growth Fund |
JPMorgan Large Cap Growth Fund |
One Group Large Cap Value Fund |
JPMorgan Large Cap Value Fund |
Former Name |
Current Name |
One Group Mid Cap Growth Fund |
JPMorgan Mid Cap Growth Fund2
|
JPMorgan Intrepid Investor Fund |
JPMorgan U.S. Sustainable Leaders
Fund3 |
|
|
Former Name |
Name As Of May 1, 2003 |
J. P. Morgan Select Mid Cap Equity |
JPMorgan Mid Cap Equity Fund |
Fund |
Class
A |
Class
C |
Class
I |
Class
L |
Class
R2 |
Class
R3 |
Class
R4 |
Class
R5 |
Class
R6 |
Diversified Fund |
X |
X |
X |
X |
|
|
|
|
X1 |
Equity Income Fund |
X |
X |
X |
|
X |
X2 |
X2 |
X |
X |
Equity Index Fund |
X |
X |
X |
|
|
|
|
|
X3 |
Equity Premium Income Fund |
X |
X |
X |
|
|
|
|
X |
X |
Growth Advantage Fund |
X |
X |
X |
|
X4 |
X5 |
X5 |
X |
X |
Hedged Equity Fund |
X |
X |
X |
|
|
|
|
X |
X |
Hedged Equity 2 Fund |
X |
X |
X |
|
|
|
|
X |
X |
Hedged Equity 3 Fund |
X |
X |
X |
|
|
|
|
X |
X |
Large Cap Growth Fund |
X |
X |
X |
|
X |
X2 |
X2 |
X |
X |
Large Cap Value Fund |
X |
X |
X |
|
X |
X6 |
X6 |
X |
X |
Mid Cap Equity Fund |
X |
X |
X |
|
X |
|
|
X |
X |
Mid Cap Growth Fund |
X |
X |
X |
|
X |
X2 |
X2 |
X |
X |
Mid Cap Value Fund |
X |
X |
X |
X |
X |
X2 |
X2 |
X3 |
X3 |
Small Cap Blend Fund |
X |
X |
X |
|
X* |
X* |
X* |
X* |
X7 |
Small Cap Equity Fund |
X |
X |
X |
|
X |
X2 |
X2 |
X |
X8 |
Small Cap Growth Fund |
X |
X |
X |
X |
X |
X4 |
X4 |
X3 |
X |
Small Cap Value Fund |
X |
X |
X |
|
X |
X2 |
X2 |
X |
X |
SMID Cap Equity Fund |
X |
X |
X |
|
|
X2 |
X2 |
|
X9 |
U.S. Applied Data Science Value Fund |
X |
X |
X |
|
X |
|
|
X |
X |
U.S. Equity Fund |
X |
X |
X |
X |
X |
X2 |
X2 |
X |
X |
U.S. GARP Equity Fund |
X |
X |
X |
|
X |
|
|
X |
X9 |
U.S. Large Cap Core Plus Fund |
X |
X |
X |
|
X |
|
|
X |
X1 |
U.S. Research Enhanced Equity Fund |
X |
|
X |
|
|
|
|
|
X |
U.S. Small Company Fund |
X |
X |
X |
X |
X |
X2 |
X2 |
X3 |
X |
U.S. Sustainable Leaders Fund |
X |
X |
X |
|
|
|
|
|
X10
|
U.S. Value Fund |
X |
X |
X |
|
X9 |
X4 |
X4 |
X9 |
X9 |
Value Advantage Fund |
X |
X |
X |
X |
X4 |
X3 |
X3 |
X3 |
X3 |
|
|
|
|
|
|
|
|
|
|
FUND NAME |
FUND CODE |
Diversified Fund |
1 |
Equity Income Fund |
2 |
Equity Index Fund |
3 |
Equity Premium Income Fund |
4 |
Growth Advantage Fund |
5 |
Hedged Equity Fund |
6 |
Hedged Equity 2 Fund |
7 |
Hedged Equity 3 Fund |
8 |
Large Cap Growth Fund |
9 |
Large Cap Value Fund |
10 |
Mid Cap Equity Fund |
11 |
Mid Cap Growth Fund |
12 |
Mid Cap Value Fund |
13 |
Small Cap Blend Fund |
14 |
Small Cap Equity Fund |
15 |
Small Cap Growth Fund |
16 |
Small Cap Value Fund |
17 |
SMID Cap Equity Fund |
18 |
U.S. Applied Data Science Value Fund |
19 |
U.S. Equity Fund |
20 |
U.S. GARP Equity Fund |
21 |
U.S. Large Cap Core Plus Fund |
22 |
U.S. Research Enhanced Equity Fund |
23 |
FUND NAME |
FUND CODE |
U.S. Small Company Fund |
24 |
U.S. Sustainable Leaders Fund |
25 |
U.S. Value Fund |
26 |
Value Advantage Fund |
27 |
Instrument |
Fund Code |
Part II
Section Reference |
Adjustable Rate Mortgage Loans (“ARMs”):
Loans in a mortgage pool which provide for a fixed initial mortgage interest rate for a specified period of time, after which the rate may be subject to periodic adjustments. |
1-2, 5,
11-19, 21, 25-27 |
Mortgage-Related
Securities |
Asset-Backed Securities: Securities secured by company receivables, home equity loans, truck and auto loans, leases, and credit card receivables or other securities backed by other types of receivables or other assets. |
1-2, 5,
11-19, 21, 25-27 |
Asset-Backed
Securities |
Auction Rate Securities: Auction rate municipal securities and auction rate preferred securities issued by closed-end investment companies. |
2, 5, 11-19, 21, 25-27 |
Auction Rate
Securities |
Bank Obligations: Bankers’ acceptances, certificates of deposit and time deposits. Bankers’ acceptances are bills of
exchange or time drafts drawn on and accepted by a
commercial bank. Maturities are generally six months or
less. Certificates of deposit are negotiable certificates issued
by a bank for a specified period of time and earning a
specified return. Time deposits are non-negotiable receipts
issued by a bank in exchange for the deposit of
funds. |
1-27 |
Bank Obligations |
Borrowings: A Fund may borrow for temporary purposes and/or for investment purposes. Such a practice will result in leveraging of a Fund’s assets and may cause a Fund to liquidate portfolio positions when it would not be advantageous to do so. A Fund must maintain continuous asset coverage of 300% of the amount borrowed, with the exception for borrowings not in excess of 5% of the Fund’s total assets made for temporary administrative purposes. |
1-27 |
Miscellaneous
Investment
Strategies
and Risks |
Brady Bonds: Securities created through the exchange of existing commercial bank loans to public and private entities in certain emerging markets for new bonds in connection with debt restructurings. |
1-2, 5,
11-19, 21, 25-27 |
Foreign Investments
(including Foreign
Currencies) |
Call and Put Options: A call option gives the buyer the right to buy, and obligates the seller of the option to sell, a security at a specified price at a future date. A put option gives the buyer the right to sell, and obligates the seller of the option to buy, a security at a specified price at a future date. |
1-27 |
Options and Futures
Transactions |
Commercial Paper: Secured and unsecured short-term promissory notes issued by corporations and other entities. Maturities generally vary from a few days to nine months. |
1-3, 5-27 |
Commercial Paper |
Common Stock: Shares of ownership of a company. |
1-27 |
Equity Securities,
Warrants and Rights |
Common Stock Warrants and Rights: Securities, typically issued with preferred stock or bonds, that give the holder the right to buy a proportionate amount of common stock at a specified price. |
1-27 |
Equity Securities,
Warrants and Rights |
Convertible Securities: Bonds or preferred stock that can convert to common stock including contingent convertible securities. |
1-27 |
Convertible
Securities |
Instrument |
Fund Code |
Part II
Section Reference |
Corporate Debt Securities: May include bonds and other debt securities of domestic and foreign issuers, including obligations of industrial, utility, banking and other corporate issuers. |
1-3, 5, 9,
11-21, 23-27 |
Debt Instruments |
Credit Default Swaps (“CDSs”): A swap agreement between two parties pursuant to which one party pays the other a fixed periodic coupon for the specified life of the agreement. The other party makes no payment unless a credit event, relating to a predetermined reference asset, occurs. If such an event occurs, the party will then make a payment to the first party, and the swap will terminate. |
1-2, 5,
11-12, 14-19, 21,
25-27 |
Swaps and Related
Swap Products |
Demand Features: Securities that are subject to puts and standby commitments to purchase the securities at a fixed price (usually with accrued interest) within a fixed period of time following demand by a Fund. |
1-2, 5,
11-19, 21, 25-27 |
Demand Features |
Emerging Market Securities: Securities issued by issuers or governments in countries with emerging economies or securities markets which may be undergoing significant evolution and rapid development. |
1-2, 5, 11-27 |
Foreign Investments
(including Foreign
Currencies) |
Exchange-Traded Funds (“ETFs”): Ownership interest in unit investment trusts, depositary receipts, and other pooled investment vehicles that hold a portfolio of securities or stocks designed to track the price performance and dividend yield of a particular broad-based, sector or international index. ETFs include a wide range of investments. |
1-27 |
Investment
Company
Securities and
Exchange-Traded
Funds |
Foreign Currency Transactions: Strategies used to hedge against currency risks, for other risk management purposes or to increase income or gain to a Fund. These strategies may consist of use of any of the following: options on currencies, currency futures, options on such futures, forward foreign currency transactions (including non- deliverable forwards (“NDFs”)), forward rate agreements
and currency swaps, caps and floors. |
1-2, 5,
11-21, 25, 27 |
Foreign Investments
(including Foreign
Currencies) |
Foreign Investments: Equity and debt securities (e.g., bonds and commercial paper) of foreign entities and obligations of foreign branches of U.S. banks and foreign banks. Foreign securities may also include American Depositary Receipts (“ADRs”), Global Depositary Receipts (“GDRs”), European
Depositary Receipts (“EDRs”) and American Depositary
Securities. |
1-27 |
Foreign Investments
(including Foreign
Currencies) |
High Yield/High Risk Securities/Junk Bonds: Securities that are generally rated below investment grade by the primary rating agencies or are unrated but are deemed by a Fund’s Adviser to be of comparable quality. |
1-2, 5, 9,
11-19, 21, 25-27 |
Debt Instruments |
Inflation-Linked Debt Securities: Includes fixed and floating rate debt securities of varying maturities issued by the U.S. government as well as securities issued by other entities such as corporations, foreign governments and foreign issuers. |
1-2, 5,
11-19, 21, 25-27 |
Debt Instruments |
Initial Public Offerings (“IPOs”): A transaction in which a previously private company makes its first sale of stock to the public. |
1-27 |
Equity Securities,
Warrants and Rights |
Interfund Lending: Involves lending money and borrowing money for temporary purposes through a credit facility. |
1-3, 5-27 |
Miscellaneous
Investment
Strategies
and Risks |
Instrument |
Fund Code |
Part II
Section Reference |
Inverse Floating Rate Instruments: Leveraged variable debt instruments with interest rates that reset in the opposite direction from the market rate of interest to which the inverse floater is indexed. |
1-2, 5,
11-19, 21, 25-27 |
Inverse Floaters and
Interest Rate Caps |
Investment Company Securities: Shares of other investment companies, including money market funds for which the Adviser and/or its affiliates serve as investment adviser or administrator. The Adviser will waive certain fees when investing in funds for which it serves as investment adviser, to the extent required by law or by contract. |
1-27 |
Investment
Company
Securities and
Exchange-Traded
Funds |
Loan Assignments and Participations: Assignments of, or participations in, all or a portion of loans to corporations or governments, including governments in less developed countries. |
1-2, 5, 9,
11-19, 21, 25-27 |
Loans |
Master Limited Partnerships (“MLPs”):
Limited partnerships that are publicly traded on a securities exchange. |
1-27 |
Master Limited
Partnerships |
Mortgages (Directly Held): Debt instruments secured by real property. |
2, 5, 9-22, 25-27 |
Mortgage-Related Securities |
Mortgage-Backed Securities: Debt obligations secured by real estate loans and pools of loans such as collateralized mortgage obligations (“CMOs”), commercial mortgage- backed securities (“CMBSs”) and other asset-backed structures. |
1-2, 5, 9-19,
21, 25-27 |
Mortgage-Related
Securities |
Mortgage Dollar Rolls: A transaction in which a Fund sells securities for delivery in a current month and simultaneously contracts with the same party to repurchase similar but not identical securities on a specified future date. |
1-2, 5,
11-19, 21, 25-27 |
Mortgage-Related
Securities |
Municipal Securities: Securities issued by a state or political subdivision to obtain funds for various public purposes. Municipal securities include, among others, private activity bonds and industrial development bonds, as well as general obligation notes, tax anticipation notes, bond anticipation notes, revenue anticipation notes, other short-term tax- exempt obligations, municipal leases, obligations of municipal housing authorities and single-family revenue bonds. |
1-2, 5, 9-19,
21, 25-27 |
Municipal Securities |
New Financial Products: New options and futures contracts and other financial products continue to be developed and a Fund may invest in such options, contracts and products. |
1-27 |
Miscellaneous
Investment
Strategies
and Risks |
Obligations of Supranational Agencies: Obligations which are chartered to promote economic development and are supported by various governments and governmental agencies. |
1-2, 5,
11-19,
21, 25-27 |
Foreign Investments
(including Foreign
Currencies) |
Options and Futures Transactions: A Fund may purchase and sell (a) exchange traded and over-the-counter put and call options on securities, indexes of securities and futures contracts on securities and indexes of securities and (b) futures contracts on securities and indexes of securities. |
1-27 |
Options and Futures
Transactions |
Preferred Stock: A class of stock that generally pays a dividend at a specified rate and has preference over common stock in the payment of dividends and in liquidation. |
1-27 |
Equity Securities,
Warrants and Rights |
Private Placements, Restricted Securities and Other
Unregistered Securities: Securities not registered under the Securities Act of 1933, such as privately placed commercial paper and Rule 144A securities. |
1-27 |
Miscellaneous
Investment
Strategies
and Risks |
Instrument |
Fund Code |
Part II
Section Reference |
Real Estate Investment Trusts (“REITs”):
Pooled investment vehicles which invest primarily in income producing real estate or real estate related loans or interest. |
1-27 |
Real Estate
Investment Trusts |
Repurchase Agreements: The purchase of a security and the simultaneous commitment to return the security to the seller at an agreed upon price on an agreed upon date. This is treated as a loan. |
1-3, 5-27 |
Repurchase
Agreements |
Reverse Repurchase Agreements: The sale of a security and the simultaneous commitment to buy the security back at an agreed upon price on an agreed upon date. This is treated as a borrowing by a Fund. |
1-3, 5-27 |
Reverse Repurchase
Agreements |
Securities Issued in Connection with Reorganizations
and Corporate Restructurings: In connection with
reorganizing or restructuring of an issuer, an issuer may
issue common stock or other securities to holders of its
debt securities. |
1-3, 5-27 |
Miscellaneous
Investment
Strategies
and Risks |
Securities Lending: The lending of up to 33 1∕3% of a Fund’s total assets. In return, a Fund will receive cash, other securities and/or letters of credit as collateral. |
1-27 |
Securities Lending |
Short Selling: A Fund sells a security it does not own in anticipation of a decline in the market value of the security. To complete the transaction, a Fund must borrow the security to make delivery to the buyer. A Fund is obligated to replace the security borrowed by purchasing it subsequently at the market price at the time of replacement. |
1, 5, 11,
13-15, 19, 21-22,
25-27 |
Short Selling |
Short-Term Funding Agreements: Agreements issued by banks and highly rated U.S. insurance companies such as Guaranteed Investment Contracts (“GICs”) and Bank Investment Contracts (“BICs”). |
1-3, 5-27 |
Short-Term Funding
Agreements |
Sovereign Obligations: Investments in debt obligations issued or guaranteed by a foreign sovereign government, or its agencies, authorities or political subdivisions. |
1-2, 5,
11-22, 25-27 |
Foreign Investments
(including Foreign
Currencies) |
Stripped Mortgage-Backed Securities: Derivative multi- class mortgage securities which are usually structured with two classes of shares that receive different proportions of the interest and principal from a pool of mortgage assets. These include Interest Only (“IO”) and Principal-Only (“PO”)
securities issued outside a Real Estate Mortgage Investment
Conduit (“REMIC”) or CMO structure. |
1-2, 5, 11-27 |
Mortgage-Related
Securities |
Structured Investments: A security having a return tied to an underlying index or other security or asset class. Structured investments generally are individually negotiated agreements and may be traded over-the-counter. Structured investments are organized and operated to restructure the investment characteristics of the underlying index, commodity, currency or financial instrument. |
1-2, 4-5,
9-19, 21, 25, 27 |
Structured
Investments |
Swaps and Related Swap Products: Swaps involve an exchange of obligations by two parties. Caps and floors entitle a purchaser to a principal amount from the seller of the cap or floor to the extent that a specified index exceeds or falls below a predetermined interest rate or amount. A Fund may enter into these transactions to manage its exposure to changing interest rates and other factors. |
1-3, 5, 9-27 |
Swaps and Related Swap Products |
Instrument |
Fund Code |
Part II
Section Reference |
Synthetic Variable Rate Instruments: Instruments that generally involve the deposit of a long-term tax exempt bond in a custody or trust arrangement and the creation of a mechanism to adjust the long-term interest rate on the bond to a variable short-term rate and a right (subject to certain conditions) on the part of the purchaser to tender it periodically to a third party at par. |
2, 5, 11-19,
21, 25-27 |
Swaps and Related
Swap Products |
Temporary Defensive Positions: To respond to unusual circumstances, a Fund may invest a portion of its total assets in cash and cash equivalents for temporary defensive purposes. |
1-27 |
Miscellaneous
Investment
Strategies
and Risks |
Treasury Receipts: A Fund may purchase interests in separately traded interest and principal component parts of U.S. Treasury obligations that are issued by banks or brokerage firms and that are created by depositing U.S. Treasury notes and U.S. Treasury bonds into a special account at a custodian bank. Receipts include Treasury Receipts (“TRs”), Treasury Investment Growth Receipts (“TIGRs”), and Certificates of Accrual on Treasury Securities (“CATS”). |
1-3, 5-27 |
Treasury Receipts |
Trust Preferreds: Securities with characteristics of both subordinated debt and preferred stock. Trust preferreds are generally long term securities that make periodic fixed or variable interest payments. |
1-3, 5, 9, 11-23, 25-27 |
Trust Preferred
Securities |
U.S. Government Agency Securities: Securities issued by agencies and instrumentalities of the U.S. government. These include all types of securities issued by the Government National Mortgage Association (“Ginnie Mae”), the Federal National Mortgage Association (“Fannie
Mae”) and the Federal Home Loan Mortgage Corporation
(“Freddie Mac”), including funding notes, subordinated
benchmark notes, CMOs and REMICs. |
1-3, 5-27 |
Mortgage-Related
Securities |
U.S. Government Obligations: May include direct obligations of the U.S. Treasury, including Treasury bills, notes and bonds, all of which are backed as to principal and interest payments by the full faith and credit of the United States, and separately traded principal and interest component parts of such obligations that are transferable through the Federal book-entry system known as Separate Trading of Registered Interest and Principal of Securities (“STRIPS”) and Coupons Under Book-Entry-Safekeeping (“CUBES”). |
1-3, 5-27 |
U.S. Government
Obligations |
Variable and Floating Rate Instruments: Obligations with interest rates which are reset daily, weekly, quarterly or some other frequency and which may be payable to a Fund on demand or at the expiration of a specified term. |
1-2, 5, 9-19, 21, 23,
25-27 |
Debt Instruments |
When-Issued Securities, Delayed Delivery Securities and
Forward Commitments: Purchase or contract to purchase securities at a fixed price for delivery at a future date. |
1-3, 5-27 |
When-Issued
Securities, Delayed
Delivery Securities
and Forward
Commitments |
Instrument |
Fund Code |
Part II
Section Reference |
Zero-Coupon, Pay-in-Kind and Deferred Payment
Securities: Zero-coupon securities are securities that are sold at a discount to par value and on which interest payments are not made during the life of the security. Pay- in-kind securities are securities that have interest payable by delivery of additional securities. Deferred payment securities are zero-coupon debt securities which convert on a specified date to interest bearing debt securities. |
1-2, 5, 9,
11-19, 21, 25-27 |
Debt Instruments |
|
Fiscal
Year Ended June 30, | |
Fund |
2023 |
2024 |
U.S. Large Cap Core Plus Fund |
99% |
109% |
|
Fiscal
Year Ended June 30, | |
Fund |
2023 |
2024 |
Diversified Fund |
94% |
63% |
Equity Income Fund |
8% |
20% |
Equity Index Fund |
15% |
5% |
Equity Premium Income Fund |
189% |
176% |
Growth Advantage Fund |
38% |
28% |
Hedged Equity Fund |
27% |
37% |
Hedged Equity 2 Fund |
35% |
42% |
Hedged Equity 3 Fund |
48% |
56% |
Large Cap Growth Fund |
42% |
32% |
Large Cap Value Fund |
143% |
167% |
Mid Cap Equity Fund |
40% |
38% |
Mid Cap Growth Fund |
45% |
55% |
Mid Cap Value Fund |
12% |
13% |
Small Cap Blend Fund |
37% |
39% |
Small Cap Equity Fund |
22% |
19% |
Small Cap Growth Fund |
33% |
43% |
Small Cap Value Fund |
79% |
61% |
SMID Cap Equity Fund |
32% |
39% |
U.S. Applied Data Science Value Fund |
17% |
22% |
U.S. Equity Fund |
47% |
53% |
U.S. GARP Equity Fund |
45% |
46% |
U.S. Large Cap Core Plus Fund |
66% |
62% |
U.S. Research Enhanced Equity Fund |
32% |
39% |
U.S. Small Company Fund |
83% |
61% |
U.S. Sustainable Leaders Fund |
39% |
25% |
U.S. Value Fund |
12% |
18% |
Value Advantage Fund |
24% |
17% |
Committee |
Fiscal
Year Ended June 30, 2024 |
Audit and Valuation Committee |
4 |
Compliance Committee |
4 |
Governance Committee |
7 |
Equity Committee |
6 |
ETF Committee |
4 |
Fixed Income Committee |
5 |
Money Market and Alternative Products Committee |
6 |
Name of Trustee |
Dollar Range of Equity
Securities in Diversified
Fund |
Dollar Range of Equity
Securities in Equity
Income Fund |
Dollar Range of Equity
Securities in Equity
Index Fund |
Dollar Range of Equity
Securities in Equity
Premium Income
Fund |
Dollar Range of Equity
Securities in Growth
Advantage Fund |
Independent Trustees |
|
|
|
|
|
John F. Finn |
None |
Over
$100,000 |
None |
None |
None |
Stephen P. Fisher |
None |
None |
None |
None |
None |
Gary L. French |
None |
None |
None |
$50,001– $100,000 |
None |
Kathleen M. Gallagher |
None |
None |
Over
$100,000 |
None |
None |
Robert J. Grassi |
None |
None |
None |
None |
None |
Frankie D. Hughes |
None |
None |
None |
None |
None |
Raymond Kanner |
None |
None |
None |
None |
None |
Thomas P. Lemke |
None |
None |
Over
$100,000 |
None |
None |
Lawrence R. Maffia |
None |
None |
None |
None |
None |
Mary E. Martinez |
None |
None |
None |
None |
None |
Marilyn McCoy |
None |
None |
None |
None |
None |
Dr. Robert A. Oden, Jr. |
None |
None |
None |
None |
None |
Marian U. Pardo |
None |
None |
None |
None |
None |
Emily A. Youssouf |
None |
$50,001– $100,000 |
None |
None |
None |
Interested Trustees |
|
|
|
|
|
Robert Deutsch |
None |
None |
None |
None |
None |
Nina O. Shenker |
None |
None |
None |
None |
None |
Name of Trustee |
Dollar Range of Equity
Securities in Hedged
Equity Fund |
Dollar Range of Equity
Securities in Hedged Equity
2 Fund |
Dollar Range of Equity
Securities in Hedged Equity
3 Fund |
Dollar Range of Equity
Securities in Large Cap
Growth Fund |
Dollar Range of Equity
Securities in Large Cap
Value Fund |
Independent Trustees |
|
|
|
|
|
John F. Finn |
None |
None |
None |
Over
$100,000 |
None |
Stephen P. Fisher |
None |
None |
None |
None |
None |
Gary L. French |
None |
None |
None |
$50,001– $100,000 |
None |
Kathleen M. Gallagher |
None |
None |
None |
None |
None |
Robert J. Grassi |
None |
None |
None |
None |
None |
Frankie D. Hughes |
None |
None |
None |
None |
None |
Raymond Kanner |
Over
$100,000 |
Over
$100,000 |
Over
$100,000 |
None |
None |
Thomas P. Lemke |
None |
None |
None |
None |
$50,001–
$100,000 |
Lawrence R. Maffia |
None |
None |
None |
None |
None |
Mary E. Martinez |
None |
None |
None |
None |
None |
Marilyn McCoy |
None |
None |
None |
None |
None |
Dr. Robert A. Oden, Jr. |
None |
None |
None |
None |
None |
Marian U. Pardo |
None |
None |
None |
None |
None |
Emily A. Youssouf |
None |
None |
None |
$50,001– $100,000 |
None |
Interested Trustees |
|
|
|
|
|
Name of Trustee |
Dollar Range of Equity
Securities in Hedged
Equity Fund |
Dollar Range of Equity
Securities in Hedged Equity
2 Fund |
Dollar Range of Equity
Securities in Hedged Equity
3 Fund |
Dollar Range of Equity
Securities in Large Cap
Growth Fund |
Dollar Range of Equity
Securities in Large Cap
Value Fund |
Robert Deutsch |
None |
None |
None |
None |
None |
Nina O. Shenker |
None |
None |
None |
Over
$100,000 |
None |
Name of Trustee |
Dollar Range of Equity
Securities in Mid Cap
Equity Fund |
Dollar Range of Equity
Securities in Mid Cap
Growth Fund |
Dollar Range of Equity
Securities in Mid Cap
Value Fund |
Dollar Range of Equity
Securities in Small Cap Blend
Fund |
Dollar Range of Equity
Securities in Small Cap
Equity Fund |
Independent Trustees |
|
|
|
|
|
John F. Finn |
Over
$100,000 |
None |
None |
None |
None |
Stephen P. Fisher |
None |
None |
None |
None |
None |
Gary L. French |
None |
None |
None |
None |
None |
Kathleen M. Gallagher |
None |
None |
None |
None |
None |
Robert J. Grassi |
None |
None |
None |
None |
None |
Frankie D. Hughes |
None |
None |
None |
None |
None |
Raymond Kanner |
None |
None |
None |
None |
Over $100,000
|
Thomas P. Lemke |
None |
None |
None |
None |
None |
Lawrence R. Maffia |
None |
None |
None |
None |
None |
Mary E. Martinez |
None |
None |
None |
None |
None |
Marilyn McCoy |
None |
None |
None |
None |
None |
Dr. Robert A. Oden, Jr. |
None |
None |
None |
None |
None |
Marian U. Pardo |
None |
Over
$100,000 |
None |
None |
None |
Emily A. Youssouf |
None |
None |
None |
None |
None |
Interested Trustees |
|
|
|
|
|
Robert Deutsch |
None |
None |
None |
None |
None |
Nina O. Shenker |
None |
None |
None |
None |
None |
Name of Trustee |
Dollar Range of Equity
Securities in Small Cap
Growth Fund |
Dollar Range of Equity
Securities in Small Cap Value
Fund |
Dollar Range of Equity
Securities in SMID Cap Equity
Fund |
Dollar Range of Equity
Securities in U.S. Applied
Data Science Value Fund |
Dollar Range of Equity
Securities in U.S.
Equity Fund |
Independent Trustees |
|
|
|
|
|
John F. Finn |
None |
None |
None |
None |
None |
Stephen P. Fisher |
None |
None |
None |
None |
None |
Gary L. French |
None |
None |
None |
None |
None |
Kathleen M. Gallagher |
None |
None |
None |
None |
None |
Robert J. Grassi |
None |
None |
None |
None |
None |
Frankie D. Hughes |
None |
None |
None |
None |
None |
Raymond Kanner |
None |
None |
None |
None |
None |
Thomas P. Lemke |
None |
None |
$50,001– $100,000 |
None |
None |
Lawrence R. Maffia |
None |
None |
None |
None |
None |
Mary E. Martinez |
None |
None |
None |
None |
None |
Marilyn McCoy |
None |
None |
None |
None |
None |
Dr. Robert A. Oden, Jr. |
None |
None |
None |
None |
None |
Marian U. Pardo |
None |
None |
None |
None |
None |
Emily A. Youssouf |
$50,001– $100,000 |
None |
None |
None |
None |
Interested Trustees |
|
|
|
|
|
Robert Deutsch |
None |
None |
None |
None |
None |
Nina O. Shenker |
None |
None |
None |
None |
None |
Name of Trustee |
Dollar Range of Equity
Securities in U.S.
GARP Equity
Fund |
Dollar Range of Equity
Securities in U.S. Large
Cap Core Plus Fund |
Dollar Range of Equity
Securities in U.S.
Research Enhanced Equity
Fund |
Dollar Range of Equity
Securities in U.S.
Small Company
Fund |
Dollar
Range of Equity Securities in
U.S. Sustainable
Leaders Fund |
Independent Trustees |
|
|
|
|
|
John F. Finn |
None |
None |
None |
None |
None |
Stephen P. Fisher |
None |
None |
None |
None |
None |
Gary L. French |
None |
None |
None |
None |
None |
Kathleen M. Gallagher |
None |
None |
None |
None |
None |
Robert J. Grassi |
None |
None |
None |
None |
None |
Frankie D. Hughes |
None |
None |
None |
None |
None |
Raymond Kanner |
None |
None |
None |
None |
None |
Thomas P. Lemke |
None |
None |
None |
None |
None |
Lawrence R. Maffia |
None |
None |
None |
None |
None |
Mary E. Martinez |
None |
None |
None |
None |
None |
Marilyn McCoy |
None |
None |
None |
None |
None |
Dr. Robert A. Oden, Jr. |
None |
None |
None |
None |
None |
Marian U. Pardo |
None |
None |
None |
None |
None |
Emily A. Youssouf |
None |
None |
None |
None |
None |
Interested Trustees |
|
|
|
|
|
Robert Deutsch |
None |
None |
None |
None |
None |
Nina O. Shenker |
None |
None |
None |
None |
None |
Name of Trustee |
Dollar Range of Equity
Securities in U.S.
Value Fund |
Dollar Range of Equity
Securities in Value
Advantage Fund |
Aggregate Dollar Range of
Equity Securities in All
Registered Investment
Companies Overseen by the
Trustee in Family of
Investment Companies1,2
|
Independent Trustees |
|
|
|
John F. Finn |
None |
None |
Over $100,000 |
Stephen P. Fisher |
None |
None |
Over $100,000 |
Gary L. French |
None |
None |
Over $100,000 |
Kathleen M. Gallagher |
None |
None |
Over $100,000 |
Robert J. Grassi |
None |
None |
Over $100,000 |
Frankie D. Hughes |
None |
None |
Over $100,000 |
Raymond Kanner |
None |
None |
Over $100,000 |
Thomas P. Lemke |
None |
None |
Over $100,000 |
Lawrence R. Maffia |
None |
None |
Over $100,000 |
Mary E. Martinez |
None |
None |
Over $100,000 |
Marilyn McCoy |
None |
None |
Over $100,000 |
Dr. Robert A. Oden, Jr. |
None |
None |
Over $100,000 |
Marian U. Pardo |
None |
None |
Over $100,000 |
Emily A. Youssouf |
None |
None |
Over $100,000 |
Interested Trustees |
|
|
|
Robert Deutsch |
Over $100,000 |
None |
Over $100,000 |
Nina O. Shenker |
Over $100,000 |
None |
Over $100,000 |
Name of Trustee |
Diversified Fund |
Equity Income Fund |
Equity Index Fund |
Equity Premium Income Fund |
Growth Advantage Fund |
Independent Trustees |
|
|
|
|
|
John F. Finn |
$1,749 |
$19,189 |
$4,395 |
$3,572 |
$6,901 |
Stephen P. Fisher |
1,668 |
11,526 |
3,164 |
2,698 |
4,579 |
Gary L. French |
1,638 |
8,680 |
2,706 |
2,374 |
3,717 |
Kathleen M. Gallagher |
1,668 |
11,526 |
3,164 |
2,698 |
4,579 |
Robert J. Grassi |
1,638 |
8,680 |
2,706 |
2,374 |
3,717 |
Frankie D. Hughes |
1,638 |
8,680 |
2,706 |
2,374 |
3,717 |
Raymond Kanner |
1,668 |
11,526 |
3,164 |
2,698 |
4,579 |
Thomas P. Lemke |
1,638 |
8,680 |
2,706 |
2,374 |
3,717 |
Lawrence R. Maffia |
1,638 |
8,680 |
2,706 |
2,374 |
3,717 |
Mary E. Martinez |
1,703 |
14,810 |
3,692 |
3,073 |
5,574 |
Marilyn McCoy |
1,638 |
8,680 |
2,706 |
2,374 |
3,717 |
Dr. Robert A. Oden, Jr. |
1,668 |
11,526 |
3,164 |
2,698 |
4,579 |
Marian U. Pardo |
1,668 |
11,526 |
3,164 |
2,698 |
4,579 |
Emily A. Youssouf |
1,638 |
8,680 |
2,706 |
2,374 |
3,717 |
Interested Trustees |
|
|
|
|
|
Robert Deutsch |
1,668 |
11,526 |
3,164 |
2,698 |
4,579 |
Nina O. Shenker8
|
1,638 |
8,680 |
2,706 |
2,374 |
3,717 |
Name of Trustee |
Hedged Equity Fund |
Hedged Equity 2 Fund |
Hedged Equity 3 Fund |
Large
Cap Growth Fund |
Large
Cap Value Fund |
Independent Trustees |
|
|
|
|
|
John F. Finn |
$7,277 |
$3,227 |
$2,487 |
$20,939 |
$2,865 |
Stephen P. Fisher |
4,792 |
2,504 |
2,085 |
12,511 |
2,299 |
Gary L. French |
3,869 |
2,235 |
1,936 |
9,381 |
2,089 |
Kathleen M. Gallagher |
4,792 |
2,504 |
2,085 |
12,511 |
2,299 |
Robert J. Grassi |
3,869 |
2,235 |
1,936 |
9,381 |
2,089 |
Frankie D. Hughes |
3,869 |
2,235 |
1,936 |
9,381 |
2,089 |
Raymond Kanner |
4,792 |
2,504 |
2,085 |
12,511 |
2,299 |
Thomas P. Lemke |
3,869 |
2,235 |
1,936 |
9,381 |
2,089 |
Lawrence R. Maffia |
3,869 |
2,235 |
1,936 |
9,381 |
2,089 |
Mary E. Martinez |
5,857 |
2,814 |
2,258 |
16,123 |
2,542 |
Marilyn McCoy |
3,869 |
2,235 |
1,936 |
9,381 |
2,089 |
Dr. Robert A. Oden, Jr. |
4,792 |
2,504 |
2,085 |
12,511 |
2,299 |
Marian U. Pardo |
4,792 |
2,504 |
2,085 |
12,511 |
2,299 |
Emily A. Youssouf |
3,869 |
2,235 |
1,936 |
9,381 |
2,089 |
Interested Trustees |
|
|
|
|
|
Robert Deutsch |
4,792 |
2,504 |
2,085 |
12,511 |
2,299 |
Nina O. Shenker8
|
3,869 |
2,235 |
1,936 |
9,381 |
2,089 |
Name of Trustee |
Mid
Cap Equity Fund |
Mid
Cap Growth Fund |
Mid
Cap Value Fund |
Small Cap Blend Fund |
Small
Cap Equity Fund |
Independent Trustees |
|
|
|
|
|
John F. Finn |
$2,819 |
$4,779 |
$6,502 |
$2,025 |
$3,658 |
Stephen P. Fisher |
2,273 |
3,380 |
4,354 |
1,824 |
2,747 |
Gary L. French |
2,070 |
2,861 |
3,557 |
1,749 |
2,409 |
Kathleen M. Gallagher |
2,273 |
3,380 |
4,354 |
1,824 |
2,747 |
Robert J. Grassi |
2,070 |
2,861 |
3,557 |
1,749 |
2,409 |
Frankie D. Hughes |
2,070 |
2,861 |
3,557 |
1,749 |
2,409 |
Raymond Kanner |
2,273 |
3,380 |
4,354 |
1,824 |
2,747 |
Thomas P. Lemke |
2,070 |
2,861 |
3,557 |
1,749 |
2,409 |
Lawrence R. Maffia |
2,070 |
2,861 |
3,557 |
1,749 |
2,409 |
Mary E. Martinez |
2,507 |
3,980 |
5,275 |
1,910 |
3,138 |
Marilyn McCoy |
2,070 |
2,861 |
3,557 |
1,749 |
2,409 |
Dr. Robert A. Oden, Jr. |
2,273 |
3,380 |
4,354 |
1,824 |
2,747 |
Marian U. Pardo |
2,273 |
3,380 |
4,354 |
1,824 |
2,747 |
Emily A. Youssouf |
2,070 |
2,861 |
3,557 |
1,749 |
2,409 |
Interested Trustees |
|
|
|
|
|
Robert Deutsch |
2,273 |
3,380 |
4,354 |
1,824 |
2,747 |
Nina O. Shenker8
|
2,070 |
2,861 |
3,557 |
1,749 |
2,409 |
Name of Trustee |
Small
Cap Growth Fund |
Small Cap Value Fund |
SMID
Cap Equity Fund |
U.S.
Applied Data Science Value Fund |
U.S.
Equity Fund |
Independent Trustees |
|
|
|
|
|
John F. Finn |
$2,974 |
$2,059 |
$1,678 |
$1,629 |
$9,546 |
Stephen P. Fisher |
2,360 |
1,843 |
1,628 |
1,600 |
6,074 |
Gary L. French |
2,132 |
1,763 |
1,609 |
1,589 |
4,785 |
Kathleen M. Gallagher |
2,360 |
1,843 |
1,628 |
1,600 |
6,074 |
Robert J. Grassi |
2,132 |
1,763 |
1,609 |
1,589 |
4,785 |
Frankie D. Hughes |
2,132 |
1,763 |
1,609 |
1,589 |
4,785 |
Raymond Kanner |
2,360 |
1,843 |
1,628 |
1,600 |
6,074 |
Thomas P. Lemke |
2,132 |
1,763 |
1,609 |
1,589 |
4,785 |
Lawrence R. Maffia |
2,132 |
1,763 |
1,609 |
1,589 |
4,785 |
Mary E. Martinez |
2,623 |
1,936 |
1,649 |
1,612 |
7,562 |
Marilyn McCoy |
2,132 |
1,763 |
1,609 |
1,589 |
4,785 |
Dr. Robert A. Oden, Jr. |
2,360 |
1,843 |
1,628 |
1,600 |
6,074 |
Marian U. Pardo |
2,360 |
1,843 |
1,628 |
1,600 |
6,074 |
Emily A. Youssouf |
2,132 |
1,763 |
1,609 |
1,589 |
4,785 |
Interested Trustees |
|
|
|
|
|
Robert Deutsch |
2,360 |
1,843 |
1,628 |
1,600 |
6,074 |
Nina O. Shenker8
|
2,132 |
1,763 |
1,609 |
1,589 |
4,785 |
Name of Trustee |
U.S.
GARP Equity Fund |
U.S.
Large Cap Core Plus Fund |
U.S.
Research Enhanced Equity Fund |
U.S. Small Company
Fund |
U.S. Sustainable
Leaders Fund |
Independent Trustees |
|
|
|
|
|
John F. Finn |
$1,958 |
$2,065 |
$4,178 |
$1,893 |
$1,627 |
Stephen P. Fisher |
1,786 |
1,847 |
3,041 |
1,749 |
1,599 |
Gary L. French |
1,722 |
1,766 |
2,618 |
1,696 |
1,588 |
Kathleen M. Gallagher |
1,786 |
1,847 |
3,041 |
1,749 |
1,599 |
Robert J. Grassi |
1,722 |
1,765 |
2,618 |
1,696 |
1,588 |
Frankie D. Hughes |
1,722 |
1,765 |
2,618 |
1,696 |
1,588 |
Raymond Kanner |
1,786 |
1,847 |
3,041 |
1,749 |
1,599 |
Thomas P. Lemke |
1,722 |
1,766 |
2,618 |
1,696 |
1,588 |
Lawrence R. Maffia |
1,722 |
1,765 |
2,618 |
1,696 |
1,588 |
Mary E. Martinez |
1,859 |
1,940 |
3,528 |
1,811 |
1,611 |
Marilyn McCoy |
1,722 |
1,765 |
2,618 |
1,696 |
1,588 |
Dr. Robert A. Oden, Jr. |
1,786 |
1,847 |
3,041 |
1,749 |
1,599 |
Marian U. Pardo |
1,786 |
1,847 |
3,041 |
1,749 |
1,599 |
Emily A. Youssouf |
1,722 |
1,766 |
2,618 |
1,696 |
1,588 |
Interested Trustees |
|
|
|
|
|
Robert Deutsch |
1,786 |
1,847 |
3,041 |
1,749 |
1,599 |
Nina O. Shenker8
|
1,722 |
1,765 |
2,618 |
1,696 |
1,588 |
Name of Trustee |
U.S. Value Fund |
Value
Advantage Fund |
Total Compensation
Paid From Fund
Complex1 |
Independent Trustees |
|
|
|
John F. Finn |
$3,210 |
$4,853 |
$660,000 |
Stephen P. Fisher |
2,494 |
3,422 |
485,000 |
Gary L. French |
2,228 |
2,891 |
420,0002
|
Kathleen M. Gallagher |
2,494 |
3,422 |
485,0003
|
Robert J. Grassi |
2,228 |
2,891 |
420,000 |
Frankie D. Hughes |
2,228 |
2,891 |
420,000 |
Raymond Kanner |
2,494 |
3,422 |
485,0004
|
Thomas P. Lemke |
2,228 |
2,891 |
420,0005
|
Lawrence R. Maffia |
2,228 |
2,891 |
420,000 |
Mary E. Martinez |
2,801 |
4,035 |
560,000 |
Marilyn McCoy |
2,228 |
2,891 |
420,0006
|
Dr. Robert A. Oden, Jr. |
2,494 |
3,422 |
485,000 |
Marian U. Pardo |
2,494 |
3,422 |
485,000 |
Emily A. Youssouf |
2,228 |
2,891 |
420,0002
|
Interested Trustees |
|
|
|
Robert Deutsch |
2,494 |
3,422 |
485,0007
|
Nina O. Shenker8
|
2,228 |
2,891 |
420,0006
|
|
Fiscal
Year Ended | |||||
|
June
30, 2022 |
June
30, 2023 |
June 30,
2024 | |||
Fund |
Paid |
Waived |
Paid |
Waived |
Paid |
Waived |
Diversified Fund |
$3,841 |
$(591) |
$2,475 |
$(480) |
$1,862 |
$(329) |
Equity Income Fund |
195,472 |
(1,074) |
190,701 |
(1,589) |
183,109 |
(504) |
Equity Index Fund |
168 |
(2,924) |
— |
(2,939) |
— |
(3,555) |
Equity Premium Income Fund |
5,091 |
(340) |
11,695 |
(190) |
14,847 |
(116) |
Growth Advantage Fund |
77,580 |
(5,135) |
65,662 |
(7,169) |
86,999 |
(8,557) |
Hedged Equity Fund |
46,463 |
(201) |
38,060 |
(316) |
42,497 |
(715) |
Hedged Equity 2 Fund |
8,754 |
(485) |
12,265 |
(246) |
11,553 |
(116) |
Hedged Equity 3 Fund |
4,610 |
(357) |
6,339 |
(216) |
6,581 |
(87) |
Large Cap Growth Fund |
152,229 |
(16,154) |
165,810 |
(18,874) |
313,336 |
(23,703) |
Large Cap Value Fund |
12,293 |
(1,243) |
12,393 |
(1,307) |
13,336 |
(1,338) |
Mid Cap Equity Fund |
17,044 |
(2,129) |
18,190 |
(2,286) |
22,957 |
(2,771) |
Mid Cap Growth Fund |
54,917 |
(1,820) |
49,200 |
(2,519) |
63,270 |
(2,821) |
Mid Cap Value Fund |
102,822 |
(5,096) |
83,047 |
(7,664) |
78,137 |
(6,934) |
Small Cap Blend Fund |
7,565 |
(213) |
7,514 |
(252) |
8,666 |
(256) |
Small Cap Equity Fund |
48,518 |
(198) |
37,878 |
(256) |
33,087 |
(182) |
Small Cap Growth Fund |
35,939 |
(374) |
25,285 |
(333) |
23,961 |
(185) |
Small Cap Value Fund |
9,491 |
(38) |
8,542 |
(151) |
8,703 |
(181) |
SMID Cap Equity Fund |
1,986 |
(130) |
1,526 |
(199) |
1,707 |
(248) |
|
Fiscal
Year Ended | |||||
|
June
30, 2022 |
June
30, 2023 |
June 30,
2024 | |||
Fund |
Paid |
Waived |
Paid |
Waived |
Paid |
Waived |
U.S. Applied Data Science Value Fund |
$532 |
$(180) |
$401 |
$(170) |
$333 |
$(179) |
U.S. Equity Fund |
79,635 |
(4,153) |
76,154 |
(4,326) |
97,901 |
(4,193) |
U.S. GARP Equity Fund |
3,248 |
(465) |
2,659 |
(406) |
3,326 |
(452) |
U.S. Large Cap Core Plus Fund |
15,186 |
(595) |
8,789 |
(746) |
10,107 |
(1,085) |
U.S. Research Enhanced Equity Fund |
11,729 |
(3,218) |
13,718 |
(3,598) |
15,922 |
(4,317) |
U.S. Small Company Fund |
6,365 |
(21) |
5,434 |
(22) |
5,507 |
(23) |
U.S. Sustainable Leaders Fund |
339 |
(197) |
369 |
(162) |
402 |
(169) |
U.S. Value Fund |
7,855 |
(943) |
13,753 |
(1,400) |
19,122 |
(1,876) |
Value Advantage Fund |
55,283 |
(3,777) |
45,906 |
(5,201) |
43,331 |
(4,874) |
|
Non-Performance Based Fee Advisory Accounts | |||||
|
Registered Investment
Companies |
Other
Pooled Investment Vehicles |
Other
Accounts | |||
|
Number
of
Accounts |
Total
Assets ($thousands) |
Number
of
Accounts |
Total
Assets ($thousands) |
Number
of
Accounts |
Total
Assets ($thousands) |
Diversified Fund |
|
|
|
|
|
|
Gary Herbert |
9 |
$18,947,811 |
12 |
$27,283,266 |
4 |
$2,991,598 |
Morgan Moriarty |
9 |
10,358,375 |
4 |
1,832,093 |
48 |
10,724,883 |
Charles Fishman |
0 |
0 |
4 |
559,899 |
9 |
1,311,236 |
Equity Income Fund |
|
|
|
|
|
|
David Silberman |
8 |
10,179,030 |
8 |
8,372,804 |
16 |
4,240,484 |
Andrew Brandon |
8 |
10,179,030 |
8 |
8,372,804 |
16 |
4,240,484 |
Equity Index Fund |
|
|
|
|
|
|
Michael Loeffler |
19 |
61,916,570 |
9 |
35,080,790 |
3 |
528,362 |
Nicholas D’Eramo |
19 |
61,916,570 |
9 |
35,080,790 |
3 |
528,362 |
Alex Hamilton |
12 |
42,715,695 |
9 |
35,080,790 |
871 |
13,201599 |
Equity Premium Income Fund |
|
|
|
|
|
|
Hamilton Reiner |
9 |
78,685,658 |
6 |
946,074 |
0 |
0 |
Raffaele Zingone |
14 |
79,627,369 |
15 |
22,569,853 |
14 |
15,725,292 |
Matthew Bensen |
0 |
0 |
1 |
133,434 |
0 |
0 |
Judy Jansen |
0 |
0 |
1 |
133,434 |
0 |
0 |
Growth Advantage Fund |
|
|
|
|
|
|
Felise Agranoff |
17 |
23,748,746 |
7 |
13,750,645 |
34 |
4,408,071 |
Larry H. Lee |
17 |
99,768,315 |
7 |
16,707,137 |
23 |
13,361,067 |
Hedged Equity Fund |
|
|
|
|
|
|
Hamilton Reiner |
9 |
65,221,149 |
6 |
946,074 |
0 |
0 |
Raffaele Zingone |
14 |
66,162,860 |
15 |
22,569,853 |
14 |
15,725,292 |
Matthew Bensen |
0 |
0 |
1 |
133,434 |
0 |
0 |
Judy Jansen |
0 |
0 |
1 |
133,434 |
0 |
0 |
Hedged Equity 2 Fund |
|
|
|
|
|
|
Hamilton Reiner |
9 |
80,165,131 |
6 |
946,074 |
0 |
0 |
Raffaele Zingone |
14 |
81,106,841 |
15 |
22,569,853 |
14 |
15,725,292 |
Matthew Bensen |
0 |
0 |
1 |
133,434 |
0 |
0 |
Judy Jansen |
0 |
0 |
1 |
133,434 |
0 |
0 |
Hedged Equity 3 Fund |
|
|
|
|
|
|
|
Non-Performance Based Fee Advisory Accounts | |||||
|
Registered Investment Companies |
Other
Pooled Investment Vehicles |
Other
Accounts | |||
|
Number of
Accounts |
Total
Assets ($thousands) |
Number of
Accounts |
Total
Assets ($thousands) |
Number of
Accounts |
Total
Assets ($thousands) |
Hamilton Reiner |
9 |
$81,993,574 |
6 |
$946,074 |
0 |
$0 |
Raffaele Zingone |
14 |
82,935,284 |
15 |
22,569,853 |
14 |
15,725,292 |
Matthew Bensen |
0 |
0 |
1 |
133,434 |
0 |
0 |
Judy Jansen |
0 |
0 |
1 |
133,434 |
0 |
0 |
Large Cap Growth Fund |
|
|
|
|
|
|
Giri Devulapally |
11 |
10,095,767 |
7 |
14,998,230 |
186 |
11,368,496 |
Holly Morris |
8 |
4,837,904 |
6 |
14,983,049 |
15 |
10,520,616 |
Larry Lee |
17 |
25,958,086 |
7 |
16,707,137 |
23 |
13,361,067 |
Joseph Wilson |
10 |
5,391,508 |
7 |
22,735,536 |
134 |
11,004,842 |
Robert Maloney |
8 |
4,837,904 |
6 |
14,983,049 |
15 |
10,520,616 |
Large Cap Value Fund |
|
|
|
|
|
|
Scott Blasdell |
6 |
11,519,685 |
6 |
4,000,247 |
18 |
892,943 |
John Piccard |
0 |
0 |
1 |
126,437 |
2 |
140,409 |
Mid Cap Equity Fund |
|
|
|
|
|
|
Jonathan Simon** |
16 |
25,048,265 |
6 |
13,461,504 |
103 |
1,330,842 |
Felise Agranoff |
17 |
39,524,814 |
7 |
13,750,645 |
34 |
4,408,071 |
Lawrence Playford |
16 |
17,102,477 |
2 |
183,790 |
8 |
244,994 |
Daniel Bloomgarden |
6 |
15,649,356 |
1 |
114,850 |
4 |
656,537 |
Ryan Jones |
3 |
13,132,091 |
1 |
114,850 |
0 |
0 |
Jeremy Miller |
3 |
13,132,091 |
1 |
114,850 |
1 |
10,637 |
Mid Cap Growth Fund |
|
|
|
|
|
|
Felise Agranoff |
17 |
33,227,866 |
7 |
13,750,645 |
34 |
4,408,071 |
Daniel Bloomgarden |
6 |
9,352,408 |
1 |
114,850 |
4 |
656,537 |
Mid Cap Value Fund |
|
|
|
|
|
|
Jonathan Simon** |
16 |
16,682,428 |
6 |
13,461,504 |
103 |
1,330,842 |
Lawrence Playford |
16 |
8,736,640 |
2 |
183,790 |
8 |
244,994 |
Ryan Jones |
3 |
4,766,254 |
1 |
114,850 |
0 |
0 |
Jeremy Miller |
3 |
4,766,254 |
1 |
114,850 |
1 |
10,637 |
Small Cap Blend Fund |
|
|
|
|
|
|
Eytan Shapiro |
3 |
4,522,771 |
4 |
3,336,180 |
1 |
344,620 |
Lawrence Playford |
16 |
20,179,606 |
2 |
183,790 |
8 |
244,994 |
Small Cap Equity Fund |
|
|
|
|
|
|
Don San Jose |
6 |
1,732,418 |
2 |
791,156 |
3 |
541,943 |
Daniel J. Percella |
5 |
1,822,678 |
2 |
463,976 |
4 |
880,716 |
Small Cap Growth Fund |
|
|
|
|
|
|
Eytan Shapiro |
3 |
2,350,611 |
4 |
3,336,180 |
1 |
344,620 |
Matthew Cohen*** |
1 |
739,444 |
3 |
693,762 |
1 |
344,620 |
Philip D. Hart |
16 |
7,001,679 |
4 |
1,181,265 |
3 |
870,422 |
Michael Stein |
0 |
0 |
3 |
693,762 |
0 |
0 |
Small Cap Value Fund |
|
|
|
|
|
|
Phillip Hart |
16 |
9,356,062 |
4 |
1,181,265 |
3 |
870,422 |
Wonseok Choi |
15 |
5,999,129 |
1 |
179,253 |
4 |
1,012,566 |
Akash Gupta |
12 |
4,093,847 |
2 |
320,446 |
3 |
870,422 |
Robert Ippolito |
12 |
4,093,847 |
2 |
320,446 |
3 |
870,422 |
SMID Cap Equity Fund |
|
|
|
|
|
|
Don San Jose |
6 |
5,913,515 |
2 |
791,156 |
3 |
541,943 |
Daniel J. Percella |
5 |
6,003,775 |
2 |
463,976 |
4 |
880,716 |
U.S. Applied Data Science Value Fund |
|
|
|
|
|
|
Eric Moreau |
1 |
15,248,707 |
2 |
22,848 |
0 |
0 |
Andrew Stern |
4 |
17,520,670 |
0 |
0 |
1 |
142,144 |
U.S. Equity Fund |
|
|
|
|
|
|
Scott Davis |
24 |
7,591,696 |
6 |
16,857,678 |
34 |
21,586,053 |
|
Non-Performance Based Fee Advisory Accounts | |||||
|
Registered Investment Companies |
Other
Pooled Investment Vehicles |
Other
Accounts | |||
|
Number of
Accounts |
Total
Assets ($thousands) |
Number of
Accounts |
Total
Assets ($thousands) |
Number of
Accounts |
Total
Assets ($thousands) |
Shilpee Raina |
24 |
$7,591,696 |
7 |
$22,352,668 |
28 |
$21,504,797 |
David Small |
13 |
17,991,898 |
5 |
11,124,993 |
18 |
8,215,699 |
U.S. GARP Equity Fund |
|
|
|
|
|
|
Wonseok Choi |
15 |
5,755,647 |
1 |
179,253 |
4 |
1,012,566 |
Andrew Stern |
4 |
16,172,055 |
0 |
0 |
1 |
142,144 |
Lei (Grace) Liu |
1 |
217,616 |
0 |
0 |
0 |
0 |
Ellen Sun |
0 |
0 |
0 |
0 |
0 |
0 |
U.S. Large Cap Core Plus Fund |
|
|
|
|
|
|
Susan Bao |
0 |
0 |
5 |
17,310,224 |
463 |
1,515,665 |
Steven Lee |
1 |
266,519 |
5 |
17,373,095 |
2 |
1,442,175 |
U.S. Research Enhanced Equity Fund |
|
|
|
|
|
|
Raffaele Zingone |
14 |
76,483,062 |
15 |
22,569,853 |
14 |
15,725,292 |
Tim Snyder |
7 |
26,066,953 |
5 |
3,832,976 |
12 |
15,186,629 |
U.S. Small Company Fund |
|
|
|
|
|
|
Phillip Hart |
16 |
9,670,430 |
4 |
1,181,265 |
3 |
870,422 |
Wonseok Choi |
15 |
6,313,497 |
1 |
179,253 |
4 |
1,012,566 |
Akash Gupta |
12 |
4,408,215 |
2 |
320,446 |
3 |
870,422 |
Robert Ippolito |
12 |
4,408,215 |
2 |
320,446 |
3 |
870,422 |
U.S. Sustainable Leaders Fund |
|
|
|
|
|
|
Andrew Stern |
4 |
17,472,580 |
0 |
0 |
1 |
142,144 |
Wonseok Choi |
15 |
7,056,172 |
1 |
179,253 |
4 |
1,012,566 |
Lei (Grace) Liu |
1 |
1,518,141 |
0 |
0 |
0 |
0 |
U.S. Value Fund |
|
|
|
|
|
|
Andrew Brandon |
8 |
49,068,179 |
8 |
8,372,804 |
16 |
4,240,484 |
David Silberman |
8 |
49,068,179 |
8 |
8,372,804 |
16 |
4,240,484 |
Value Advantage Fund |
|
|
|
|
|
|
Jonathan Simon** |
16 |
20,832,195 |
6 |
13,461,504 |
103 |
1,330,842 |
Scott Blasdell |
6 |
7,011,733 |
6 |
4,000,247 |
18 |
892,943 |
Graham Spence |
9 |
1,567,403 |
1 |
1,489,989 |
1 |
12,632 |
|
Performance Based Fee Advisory Accounts | |||||
|
Registered Investment
Companies |
Other
Pooled Investment Vehicles |
Other
Accounts | |||
|
Number
of
Accounts |
Total
Assets ($thousands) |
Number
of
Accounts |
Total
Assets ($thousands) |
Number
of
Accounts |
Total
Assets ($thousands) |
Diversified Fund |
|
|
|
|
|
|
Gary Herbert |
0 |
$0 |
0 |
$0 |
1 |
$2,831,933 |
Morgan Moriarty |
0 |
0 |
0 |
0 |
2 |
3,105,083 |
Charles Fishman |
0 |
0 |
0 |
0 |
3 |
4,329,661 |
Equity Income Fund |
|
|
|
|
|
|
David Silberman |
0 |
0 |
0 |
0 |
0 |
0 |
Andrew Brandon |
0 |
0 |
0 |
0 |
0 |
0 |
Equity Index Fund |
|
|
|
|
|
|
Michael Loeffler |
0 |
0 |
0 |
0 |
0 |
0 |
Nicholas D’Eramo |
0 |
0 |
0 |
0 |
0 |
0 |
Alex Hamilton |
0 |
0 |
0 |
0 |
0 |
0 |
Equity Premium Income Fund |
|
|
|
|
|
|
Hamilton Reiner |
0 |
0 |
0 |
0 |
0 |
0 |
Raffaele Zingone |
0 |
0 |
0 |
0 |
6 |
3,036,625 |
|
Performance Based Fee Advisory Accounts | |||||
|
Registered Investment Companies |
Other
Pooled Investment Vehicles |
Other
Accounts | |||
|
Number of
Accounts |
Total
Assets ($thousands) |
Number of
Accounts |
Total
Assets ($thousands) |
Number of
Accounts |
Total
Assets ($thousands) |
Matthew Bensen |
0 |
$0 |
0 |
$0 |
0 |
$0 |
Judy Jansen |
0 |
0 |
0 |
0 |
0 |
0 |
Growth Advantage Fund |
|
|
|
|
|
|
Felise Agranoff |
0 |
0 |
0 |
0 |
1 |
132,293 |
Larry H. Lee |
0 |
0 |
0 |
0 |
1 |
132,293 |
Hedged Equity Fund |
|
|
|
|
|
|
Hamilton Reiner |
0 |
0 |
0 |
0 |
0 |
0 |
Raffaele Zingone |
0 |
0 |
0 |
0 |
6 |
3,036,625 |
Matthew Bensen |
0 |
0 |
0 |
0 |
0 |
0 |
Judy Jansen |
0 |
0 |
0 |
0 |
0 |
0 |
Hedged Equity 2 Fund |
|
|
|
|
|
|
Hamilton Reiner |
0 |
0 |
0 |
0 |
0 |
0 |
Raffaele Zingone |
0 |
0 |
0 |
0 |
6 |
3,036,625 |
Matthew Bensen |
0 |
0 |
0 |
0 |
0 |
0 |
Judy Jansen |
0 |
0 |
0 |
0 |
0 |
0 |
Hedged Equity 3 Fund |
|
|
|
|
|
|
Hamilton Reiner |
0 |
0 |
0 |
0 |
0 |
0 |
Raffaele Zingone |
0 |
0 |
0 |
0 |
6 |
3,036,625 |
Matthew Bensen |
0 |
0 |
0 |
0 |
0 |
0 |
Judy Jansen |
0 |
0 |
0 |
0 |
0 |
0 |
Large Cap Growth Fund |
|
|
|
|
|
|
Giri Devulapally |
0 |
0 |
0 |
0 |
0 |
0 |
Holly Morris |
0 |
0 |
0 |
0 |
0 |
0 |
Larry Lee |
0 |
0 |
0 |
0 |
1 |
132,293 |
Joseph Wilson |
0 |
0 |
0 |
0 |
0 |
0 |
Robert Maloney |
0 |
0 |
0 |
0 |
0 |
0 |
Large Cap Value Fund |
|
|
|
|
|
|
Scott Blasdell |
0 |
0 |
0 |
0 |
0 |
0 |
John Piccard |
0 |
0 |
0 |
0 |
0 |
0 |
Mid Cap Equity Fund |
|
|
|
|
|
|
Jonathan Simon** |
0 |
0 |
0 |
0 |
1 |
120,738 |
Felise Agranoff |
0 |
0 |
0 |
0 |
1 |
132,293 |
Lawrence Playford |
0 |
0 |
0 |
0 |
1 |
120,738 |
Daniel Bloomgarden |
0 |
0 |
0 |
0 |
0 |
0 |
Ryan Jones |
0 |
0 |
0 |
0 |
0 |
0 |
Jeremy Miller |
0 |
0 |
0 |
0 |
0 |
0 |
Mid Cap Growth Fund |
|
|
|
|
|
|
Felise Agranoff |
0 |
0 |
0 |
0 |
1 |
132,293 |
Daniel Bloomgarden |
0 |
0 |
0 |
0 |
0 |
0 |
Mid Cap Value Fund |
|
|
|
|
|
|
Jonathan Simon** |
0 |
0 |
0 |
0 |
1 |
120,738 |
Lawrence Playford |
0 |
0 |
0 |
0 |
1 |
120,738 |
Ryan Jones |
0 |
0 |
0 |
0 |
0 |
0 |
Jeremy Miller |
0 |
0 |
0 |
0 |
0 |
0 |
Small Cap Blend Fund |
|
|
|
|
|
|
Eytan Shapiro |
0 |
0 |
0 |
0 |
0 |
0 |
Lawrence Playford |
0 |
0 |
0 |
0 |
1 |
120,738 |
Small Cap Equity Fund |
|
|
|
|
|
|
Don San Jose |
0 |
0 |
1 |
915,547 |
1 |
127,337 |
Daniel J. Percella |
0 |
0 |
1 |
915,547 |
1 |
127,337 |
Small Cap Growth Fund |
|
|
|
|
|
|
|
Performance Based Fee Advisory Accounts | |||||
|
Registered Investment Companies |
Other
Pooled Investment Vehicles |
Other
Accounts | |||
|
Number of
Accounts |
Total
Assets ($thousands) |
Number of
Accounts |
Total
Assets ($thousands) |
Number of
Accounts |
Total
Assets ($thousands) |
Eytan Shapiro |
0 |
$0 |
0 |
$0 |
0 |
$0 |
Matthew Cohen*** |
0 |
0 |
0 |
0 |
0 |
0 |
Philip D. Hart |
0 |
0 |
0 |
0 |
0 |
0 |
Michael Stein |
0 |
0 |
0 |
0 |
0 |
0 |
Small Cap Value Fund |
|
|
|
|
|
|
Phillip Hart |
0 |
0 |
0 |
0 |
0 |
0 |
Wonseok Choi |
0 |
0 |
0 |
0 |
0 |
0 |
Akash Gupta |
0 |
0 |
0 |
0 |
0 |
0 |
Robert Ippolito |
0 |
0 |
0 |
0 |
0 |
0 |
SMID Cap Equity Fund |
|
|
|
|
|
|
Don San Jose |
0 |
0 |
1 |
915,547 |
1 |
127,337 |
Daniel J. Percella |
0 |
0 |
1 |
915,547 |
1 |
127,337 |
U.S. Applied Data Science Value Fund |
|
|
|
|
|
|
Eric Moreau |
0 |
0 |
0 |
0 |
0 |
0 |
Andrew Stern |
0 |
0 |
0 |
0 |
0 |
0 |
U.S. Equity Fund |
|
|
|
|
|
|
Scott Davis |
0 |
0 |
0 |
0 |
3 |
570,524 |
Shilpee Raina |
0 |
0 |
0 |
0 |
3 |
570,524 |
David Small |
0 |
0 |
0 |
0 |
4 |
1,548,802 |
U.S. GARP Equity Fund |
|
|
|
|
|
|
Wonseok Choi |
0 |
0 |
0 |
0 |
0 |
0 |
Andrew Stern |
0 |
0 |
0 |
0 |
0 |
0 |
Lei (Grace) Liu |
0 |
0 |
0 |
0 |
0 |
0 |
Ellen Sun |
0 |
0 |
0 |
0 |
0 |
0 |
U.S. Large Cap Core Plus Fund |
|
|
|
|
|
|
Susan Bao |
0 |
0 |
0 |
0 |
0 |
0 |
Steven Lee |
0 |
0 |
0 |
0 |
0 |
0 |
U.S. Research Enhanced Equity Fund |
|
|
|
|
|
|
Raffaele Zingone |
0 |
0 |
0 |
0 |
6 |
3,036,625 |
Tim Snyder |
0 |
0 |
0 |
0 |
5 |
2,265,077 |
U.S. Small Company Fund |
|
|
|
|
|
|
Phillip Hart |
0 |
0 |
0 |
0 |
0 |
0 |
Wonseok Choi |
0 |
0 |
0 |
0 |
0 |
0 |
Akash Gupta |
0 |
0 |
0 |
0 |
0 |
0 |
Robert Ippolito |
0 |
0 |
0 |
0 |
0 |
0 |
U.S. Sustainable Leaders Fund |
|
|
|
|
|
|
Andrew Stern |
0 |
0 |
0 |
0 |
0 |
0 |
Wonseok Choi |
0 |
0 |
0 |
0 |
0 |
0 |
Lei (Grace) Liu |
0 |
0 |
0 |
0 |
0 |
0 |
U.S. Value Fund |
|
|
|
|
|
|
Andrew Brandon |
0 |
0 |
0 |
0 |
0 |
0 |
David Silberman |
0 |
0 |
0 |
0 |
0 |
0 |
Value Advantage Fund |
|
|
|
|
|
|
Jonathan Simon** |
0 |
0 |
0 |
0 |
1 |
120,738 |
Scott Blasdell |
0 |
0 |
0 |
0 |
0 |
0 |
Graham Spence |
0 |
0 |
0 |
0 |
1 |
120,738 |
|
Aggregate Dollar Range of Securities in the Fund | ||||||
|
None |
$1-$10,000 |
$10,001- $50,000 |
$50,001- $100,000 |
$100,001- $500,000 |
$500,001- $1,000,000 |
Over
$1,000,000 |
Diversified Fund |
|
|
|
|
|
|
|
Gary Herbert |
|
|
|
|
|
|
X |
Morgan Moriarty |
|
|
|
|
X |
|
|
Charles Fishman |
|
|
|
X |
|
|
|
Equity Income Fund |
|
|
|
|
|
|
|
David Silberman |
|
|
|
|
|
|
X |
Andrew Brandon |
|
|
|
|
|
|
X |
Equity Index Fund |
|
|
|
|
|
|
|
Michael Loeffler |
|
|
X |
|
|
|
|
Nicholas D’Eramo |
|
|
X |
|
|
|
|
Alex Hamilton |
X |
|
|
|
|
|
|
Equity Premium Income Fund |
|
|
|
|
|
|
|
Hamilton Reiner |
|
|
|
|
|
|
X |
Raffaele Zingone |
|
|
|
|
|
X |
|
Matthew Bensen |
X |
|
|
|
|
|
|
Judy Jansen |
X |
|
|
|
|
|
|
Growth Advantage Fund |
|
|
|
|
|
|
|
Felise Agranoff |
|
|
|
|
|
|
X |
Larry H. Lee |
|
|
|
|
X |
|
|
Hedged Equity Fund |
|
|
|
|
|
|
|
Hamilton Reiner |
|
|
|
|
|
|
X |
Raffaele Zingone |
|
|
|
|
|
|
X |
Matthew Bensen |
|
|
|
X |
|
|
|
Judy Jansen |
|
|
X |
|
|
|
|
Hedged Equity 2 Fund |
|
|
|
|
|
|
|
Hamilton Reiner |
|
|
|
|
|
|
X |
Raffaele Zingone |
|
|
|
|
X |
|
|
Matthew Bensen |
|
|
X |
|
|
|
|
Judy Jansen |
X |
|
|
|
|
|
|
Hedged Equity 3 Fund |
|
|
|
|
|
|
|
Hamilton Reiner |
|
|
|
|
|
|
X |
Raffaele Zingone |
|
|
|
|
X |
|
|
Matthew Bensen |
|
|
X |
|
|
|
|
Judy Jansen |
X |
|
|
|
|
|
|
Large Cap Growth Fund |
|
|
|
|
|
|
|
Giri Devulapally |
|
|
|
|
|
|
X |
Holly Morris |
|
|
|
|
|
|
X |
Larry Lee |
|
|
|
|
|
|
X |
Joseph Wilson |
|
|
|
|
|
|
X |
Robert Maloney |
|
|
|
|
|
X |
|
Large Cap Value Fund |
|
|
|
|
|
|
|
Scott Blasdell |
|
|
|
|
|
|
X |
John Piccard |
|
|
|
|
|
X |
|
|
Aggregate Dollar Range of Securities in the Fund | ||||||
|
None |
$1-$10,000 |
$10,001- $50,000 |
$50,001- $100,000 |
$100,001- $500,000 |
$500,001- $1,000,000 |
Over
$1,000,000 |
Mid Cap Equity Fund |
|
|
|
|
|
|
|
Jonathan Simon* |
|
|
|
|
X |
|
|
Felise Agranoff |
|
|
|
|
X |
|
|
Daniel Bloomgarden |
|
|
|
|
X |
|
|
Lawrence Playford |
X |
|
|
|
|
|
|
Ryan Jones |
X |
|
|
|
|
|
|
Jeremy Miller |
X |
|
|
|
|
|
|
Mid Cap Growth Fund |
|
|
|
|
|
|
|
Felise Agranoff |
|
|
|
|
|
|
X |
Daniel Bloomgarden |
|
|
|
|
X |
|
|
Mid Cap Value Fund |
|
|
|
|
|
|
|
Jonathan Simon* |
|
|
|
|
|
|
X |
Lawrence Playford |
|
|
|
|
|
|
X |
Ryan Jones |
|
|
|
X |
|
|
|
Jeremy Miller |
|
|
|
X |
|
|
|
Small Cap Blend Fund |
|
|
|
|
|
|
|
Eytan Shapiro |
|
|
|
|
X |
|
|
Lawrence Playford |
|
|
|
|
|
|
X |
Small Cap Equity Fund |
|
|
|
|
|
|
|
Don San Jose |
|
|
|
|
|
|
X |
Daniel J. Percella |
|
|
|
|
|
X |
|
Small Cap Growth Fund |
|
|
|
|
|
|
|
Eytan Shapiro |
|
|
|
|
|
|
X |
Matthew Cohen** |
|
|
|
|
X |
|
|
Philip D. Hart |
|
|
X |
|
|
|
|
Michael Stein |
|
|
|
|
X |
|
|
Small Cap Value Fund |
|
|
|
|
|
|
|
Phillip Hart |
|
|
|
|
X |
|
|
Wonseok Choi |
|
|
|
X |
|
|
|
Akash Gupta |
|
|
X |
|
|
|
|
Robert Ippolito |
|
|
X |
|
|
|
|
SMID Cap Equity Fund |
|
|
|
|
|
|
|
Don San Jose |
|
|
|
|
X |
|
|
Daniel J. Percella |
|
|
|
|
|
X |
|
U.S. Applied Data Science Value Fund |
|
|
|
|
|
|
|
Eric Moreau |
|
|
|
|
X |
|
|
Andrew Stern |
|
|
|
X |
|
|
|
U.S. Equity Fund |
|
|
|
|
|
|
|
Scott Davis |
|
|
|
|
|
|
X |
Shilpee Raina |
|
|
|
|
|
|
X |
U.S. GARP Equity Fund |
|
|
|
|
|
|
|
Andrew Stern |
|
|
|
|
X |
|
|
Wonseok Choi |
|
|
|
|
X |
|
|
Lei (Grace) Liu |
|
|
X |
|
|
|
|
Ellen Sun |
|
|
X |
|
|
|
|
U.S. Large Cap Core Plus Fund |
|
|
|
|
|
|
|
Susan Bao |
|
|
|
|
|
|
X |
Steven Lee |
|
|
|
|
|
|
X |
U.S. Research Enhanced Equity Fund |
|
|
|
|
|
|
|
Raffaele Zingone |
|
|
|
|
|
|
X |
Tim Snyder |
|
|
|
|
X |
|
|
U.S. Small Company Fund |
|
|
|
|
|
|
|
Phillip Hart |
|
|
|
|
|
X |
|
Wonseok Choi |
|
|
|
X |
|
|
|
Akash Gupta |
|
|
|
X |
|
|
|
|
Aggregate Dollar Range of Securities in the Fund | ||||||
|
None |
$1-$10,000 |
$10,001- $50,000 |
$50,001- $100,000 |
$100,001- $500,000 |
$500,001- $1,000,000 |
Over
$1,000,000 |
Robert Ippolito |
|
|
X |
|
|
|
|
U.S. Sustainable Leaders Fund |
|
|
|
|
|
|
|
Andrew Stern |
|
|
|
|
X |
|
|
Wonseok Choi |
|
|
|
X |
|
|
|
Lei (Grace) Liu |
|
|
X |
|
|
|
|
U.S. Value Fund |
|
|
|
|
|
|
|
Andrew Brandon |
|
|
|
|
|
|
X |
David Silberman |
|
|
|
|
|
|
X |
Value Advantage Fund |
|
|
|
|
|
|
|
Jonathan Simon* |
|
|
|
|
|
|
X |
Scott Blasdell |
X |
|
|
|
|
|
|
Graham Spence |
|
|
|
|
X |
|
|
Name of Fund |
Benchmark |
Diversified Fund |
Diversified Composite Benchmark1 |
Equity Income Fund |
Russell 1000 Value Index |
Equity Index Fund |
S&P 500 Index |
Equity Premium Income Fund |
S&P 500 Total Return Index |
Growth Advantage Fund |
Russell 3000 Growth Index |
Hedged Equity Fund |
S&P 500 Total Return Index |
Hedged Equity 2 Fund |
S&P 500 Total Return Index |
Hedged Equity 3 Fund |
S&P 500 Total Return Index |
Large Cap Growth Fund |
Russell 1000 Growth Index |
Large Cap Value Fund |
Russell 1000 Value Index |
Mid Cap Equity Fund |
Russell MidCap Index |
Mid Cap Growth Fund |
Russell Mid Cap Growth Index |
Mid Cap Value Fund |
Russell Midcap Value Index |
Small Cap Blend Fund |
Russell 2000 Index |
Small Cap Equity Fund |
Russell 2000 Index |
Small Cap Growth Fund |
Russell 2000 Growth Index |
Small Cap Value Fund |
Russell 2000 Value Index |
SMID Cap Equity Fund |
Russell 2500® Index |
U.S. Applied Data Science Value Fund |
Russell 1000 Value Index |
U.S. Equity Fund |
S&P 500 Index |
U.S. GARP Equity Fund |
Russell 1000 Growth Index |
U.S. Large Cap Core Plus Fund |
S&P 500 Index |
U.S. Research Enhanced Equity Fund |
S&P 500 Total Return Index |
U.S. Small Company Fund |
Russell 2000 Index |
U.S. Sustainable Leaders Fund |
S&P 500 Total Return Index |
U.S. Value Fund |
Russell 1000 Value Index |
Value Advantage Fund |
Russell 3000 Value Index |
|
Fiscal
Year Ended | |||||
|
June
30, 2022 |
June
30, 2023 |
June 30,
2024 | |||
Fund |
Paid |
Waived |
Paid |
Waived |
Paid |
Waived |
Diversified Fund |
$350 |
$(343) |
$197 |
$(265) |
$138 |
$(204) |
Equity Income Fund |
16,182 |
— |
16,033 |
— |
15,806 |
— |
Equity Index Fund |
2,430 |
(3,367) |
2,309 |
(3,202) |
3,172 |
(3,486) |
Equity Premium Income Fund |
1,432 |
(197) |
3,504 |
(61) |
4,450 |
(33) |
Growth Advantage Fund |
6,710 |
(3,283) |
4,558 |
(4,607) |
5,686 |
(5,504) |
Hedged Equity Fund |
11,819 |
— |
10,158 |
— |
11,137 |
— |
Hedged Equity 2 Fund |
2,484 |
(288) |
3,648 |
(105) |
3,487 |
(9) |
Hedged Equity 3 Fund |
1,268 |
(222) |
1,854 |
(113) |
1,977 |
(21) |
Large Cap Growth Fund |
5,293 |
(9,579) |
5,314 |
(10,735) |
5,009 |
(13,780) |
Large Cap Value Fund |
1,761 |
(777) |
1,790 |
(779) |
1,921 |
(826) |
Mid Cap Equity Fund |
846 |
(1,366) |
927 |
(1,436) |
1,198 |
(1,767) |
Mid Cap Growth Fund |
5,480 |
(1,066) |
4,483 |
(1,485) |
5,808 |
(1,764) |
Mid Cap Value Fund |
7,508 |
(3,250) |
4,658 |
(4,782) |
4,576 |
(4,450) |
Small Cap Blend Fund |
771 |
(126) |
757 |
(139) |
883 |
(145) |
Small Cap Equity Fund |
5,621 |
— |
4,400 |
— |
3,833 |
— |
Small Cap Growth Fund |
3,984 |
(206) |
2,776 |
(180) |
2,696 |
(86) |
Small Cap Value Fund |
1,100 |
— |
932 |
(71) |
927 |
(97) |
SMID Cap Equity Fund |
207 |
(81) |
109 |
(126) |
109 |
(157) |
U.S. Applied Data Science Value Fund |
61 |
(117) |
33 |
(110) |
10 |
(118) |
U.S. Equity Fund |
10,166 |
(2,562) |
9,914 |
(2,611) |
11,253 |
(2,572) |
U.S. GARP Equity Fund |
634 |
(294) |
516 |
(250) |
654 |
(289) |
U.S. Large Cap Core Plus Fund |
1,439 |
(382) |
625 |
(475) |
604 |
(686) |
U.S. Research Enhanced Equity Fund |
2,392 |
(2,092) |
2,875 |
(2,320) |
3,255 |
(2,809) |
U.S. Small Company Fund |
798 |
— |
682 |
— |
690 |
— |
U.S. Sustainable Leaders Fund |
16 |
(118) |
28 |
(105) |
32 |
(110) |
U.S. Value Fund |
1,059 |
(591) |
2,007 |
(834) |
2,769 |
(1,163) |
Value Advantage Fund |
5,486 |
(2,350) |
3,663 |
(3,301) |
3,448 |
(3,116) |
|
Fiscal
Year Ended | ||
Fund |
June
30, 2022 |
June
30, 2023 |
June
30, 2024 |
Diversified Fund |
$23 |
$20 |
$20 |
Equity Income Fund |
1,224 |
1,236 |
1,148 |
Equity Index Fund |
194 |
189 |
224 |
Equity Premium Income Fund |
57 |
124 |
150 |
Growth Advantage Fund |
374 |
344 |
438 |
Hedged Equity Fund |
464 |
393 |
435 |
Hedged Equity 2 Fund |
97 |
128 |
117 |
Hedged Equity 3 Fund |
52 |
67 |
67 |
Large Cap Growth Fund |
929 |
1,085 |
1,898 |
Large Cap Value Fund |
83 |
88 |
93 |
Mid Cap Equity Fund |
73 |
82 |
100 |
Mid Cap Growth Fund |
216 |
207 |
256 |
Mid Cap Value Fund |
409 |
359 |
327 |
|
Fiscal
Year Ended | ||
Fund |
June
30, 2022 |
June
30, 2023 |
June
30, 2024 |
Small Cap Blend Fund |
$30 |
$31 |
$35 |
Small Cap Equity Fund |
184 |
151 |
127 |
Small Cap Growth Fund |
137 |
101 |
93 |
Small Cap Value Fund |
36 |
35 |
34 |
SMID Cap Equity Fund |
20 |
20 |
20 |
U.S. Applied Data Science Value Fund |
20 |
20 |
20 |
U.S. Equity Fund |
522 |
521 |
645 |
U.S. GARP Equity Fund |
31 |
26 |
32 |
U.S. Large Cap Core Plus Fund |
59 |
37 |
44 |
U.S. Research Enhanced Equity Fund |
149 |
179 |
204 |
U.S. Small Company Fund |
26 |
23 |
23 |
U.S. Sustainable Leaders Fund |
20 |
20 |
20 |
U.S. Value Fund |
56 |
99 |
132 |
Value Advantage Fund |
266 |
238 |
220 |
|
Equity Income Fund |
Equity Index Fund |
Equity Premium Income Fund |
Growth Advantage Fund |
Large
Cap Growth Fund |
Gross Income from Securities Lending Activities1
|
$1,583,545 |
$5,756,114 |
$1,389,334 |
$2,825,830 |
$5,278,716 |
Fees and/or Compensation for Securities Lending Activities |
|
|
|
|
|
Revenue Split2
|
125,861 |
24,384 |
6,952 |
7,807 |
11,900 |
Cash Collateral Management Fees3
|
7,615 |
77,227 |
24,386 |
40,112 |
86,266 |
Administrative Fees |
— |
— |
— |
— |
— |
Indemnification Fees |
— |
— |
— |
— |
— |
Rebates to Borrowers |
1,071 |
5,369,575 |
1,275,046 |
2,683,128 |
5,029,695 |
Others Fees |
— |
— |
— |
— |
— |
Aggregate Fees/Compensation for Securities Lending Activities |
134,547 |
5,471,186 |
1,306,385 |
2,731,046 |
5,127,861 |
Net Income from the Securities Lending Activities |
1,448,998 |
284,929 |
82,949 |
94,784 |
150,855 |
|
Large
Cap Value Fund |
Mid
Cap Equity Fund |
Mid
Cap Growth Fund |
Mid
Cap Value Fund |
Small
Cap Blend Fund |
Gross Income from Securities Lending Activities1
|
$1,395,737 |
$2,398,870 |
$12,053,865 |
$6,228,506 |
$4,014,963 |
Fees and/or Compensation for Securities Lending Activities |
|
|
|
|
|
Revenue Split2
|
24,207 |
6,878 |
35,933 |
15,752 |
29,080 |
Cash Collateral Management Fees3
|
18,288 |
36,249 |
157,942 |
82,174 |
49,604 |
Administrative Fees |
— |
— |
— |
— |
— |
Indemnification Fees |
— |
— |
— |
— |
— |
Rebates to Borrowers |
1,074,355 |
2,271,642 |
11,428,761 |
5,943,438 |
3,598,356 |
Others Fees |
— |
— |
— |
— |
— |
Aggregate Fees/Compensation for Securities Lending Activities |
1,116,851 |
2,314,770 |
11,622,636 |
6,041,364 |
3,677,040 |
Net Income from the Securities Lending Activities |
278,886 |
84,100 |
431,229 |
187,142 |
337,924 |
|
Small
Cap Equity Fund |
Small
Cap Growth Fund |
Small
Cap Value Fund |
SMID
Cap Equity Fund |
U.S.
Applied Data Science Value Equity
Fund |
Gross Income from Securities Lending Activities1
|
$12,621,698 |
$12,561,686 |
$3,702,756 |
$20,422 |
$- |
Fees and/or Compensation for Securities Lending Activities |
|
|
|
|
|
Revenue Split2
|
35,968 |
76,096 |
29,182 |
146 |
— |
Cash Collateral Management Fees3 |
176,967 |
161,919 |
46,869 |
513 |
— |
Administrative Fees |
— |
— |
— |
— |
— |
Indemnification Fees |
— |
— |
— |
— |
— |
Rebates to Borrowers |
11,964,111 |
11,442,545 |
3,283,082 |
17,787 |
— |
Others Fees |
— |
— |
— |
— |
— |
Aggregate Fees/Compensation for Securities Lending Activities |
12,177,045 |
11,680,560 |
3,359,133 |
18,446 |
— |
Net Income from the Securities Lending Activities |
444,653 |
881,127 |
343,624 |
1,976 |
— |
|
U.S.
Equity Fund |
U.S. GARP Equity
Fund |
U.S.
Small Company Fund |
U.S.
Sustainable Leaders Fund |
U.S.Value Fund |
Gross Income from Securities Lending Activities1 |
$215,019 |
$246,640 |
$3,200,763 |
$- |
$340,622 |
Fees and/or Compensation for Securities Lending Activities |
|
|
|
|
|
Revenue Split2
|
678 |
473 |
33,375 |
— |
656 |
Cash Collateral Management Fees3
|
15,499 |
3,368 |
39,725 |
— |
4,832 |
Administrative Fees |
— |
— |
— |
— |
— |
Indemnification Fees |
— |
— |
— |
— |
— |
Rebates to Borrowers |
190,041 |
236,865 |
2,740,868 |
— |
326,088 |
Others Fees |
— |
— |
— |
— |
— |
Aggregate Fees/Compensation for Securities Lending Activities |
206,219 |
240,705 |
2,813,968 |
— |
331,576 |
Net Income from the Securities Lending Activities |
8,800 |
5,935 |
386,795 |
— |
9,047 |
|
Value
Advantage Fund |
Gross Income from Securities Lending Activities1 |
$4,130,693 |
Fees and/or Compensation for Securities Lending Activities |
|
Revenue Split2
|
45,428 |
Cash Collateral Management Fees3
|
55,227 |
Administrative Fees |
— |
Indemnification Fees |
— |
Rebates to Borrowers |
3,498,113 |
Others Fees |
— |
Aggregate Fees/Compensation for Securities Lending Activities |
3,598,767 |
Net Income from the Securities Lending Activities |
531,925 |
1 Gross income includes income from the reinvestment of cash collateral, premium income (i.e.
rebates paid by borrowers to the Fund), management fees from a pooled cash collateral
reinvestment vehicle that are deducted from the vehicle's assets before income
is distributed, and any other income. |
|
2 Revenue split represents the share of revenue generated by securities lending program and paid to
Citibank, N.A. |
|
3 Cash collateral is reinvested in certain JPMorgan money market funds that are advised by JPMIM
(“money market funds”). Cash collateral management fees include the fees and
expenses deducted from the money market funds. The contractual management fees
are derived using the Total Annual Fund Operating Expenses after Fee Waivers
and/or Expense Reimbursements from the money market funds’ most recently
available prospectus. Actual fees incurred by the money market funds may differ
due to other expenses, fee waivers and expense reimbursements. |
|
Fund |
Total Underwriting
Discounts and Commissions |
Compensation on Redemptions and
Repurchases |
Brokerage Commissions |
Other Compensation* |
Diversified Fund |
$3,483 |
$1,103 |
$— |
$297,657 |
Equity Income Fund |
140,128 |
23,459 |
146 |
18,438,738 |
Equity Index Fund |
66,754 |
7,472 |
60 |
2,750,873 |
Equity Premium Income Fund |
727,030 |
242,419 |
— |
3,159,804 |
Growth Advantage Fund |
533,649 |
90,067 |
48 |
14,156,729 |
Hedged Equity Fund |
146,895 |
46,610 |
— |
6,684,732 |
Hedged Equity 2 Fund |
24,076 |
43,349 |
— |
2,318,221 |
Hedged Equity 3 Fund |
14,708 |
13,044 |
— |
1,148,851 |
Large Cap Growth Fund |
871,991 |
157,739 |
57 |
21,407,645 |
Large Cap Value Fund |
29,084 |
13,437 |
— |
1,452,574 |
Mid Cap Equity Fund |
91,971 |
7,868 |
— |
1,866,671 |
Mid Cap Growth Fund |
99,432 |
15,214 |
623 |
4,023,056 |
Mid Cap Value Fund |
32,211 |
8,521 |
51 |
3,708,704 |
Small Cap Blend Fund |
56,949 |
8,944 |
— |
1,007,260 |
Small Cap Equity Fund |
28,056 |
6,603 |
— |
1,401,732 |
Small Cap Growth Fund |
9,253 |
1,239 |
— |
1,158,320 |
Small Cap Value Fund |
2,654 |
1,191 |
— |
523,424 |
SMID Cap Equity Fund |
2,641 |
1,781 |
— |
398,011 |
U.S. Applied Data Science Value Fund |
1,036 |
164 |
— |
143,278 |
U.S. Equity Fund |
304,471 |
95,763 |
103 |
10,499,891 |
U.S. GARP Equity Fund |
13,908 |
1,476 |
— |
631,169 |
U.S. Large Cap Core Plus Fund |
38,881 |
30,164 |
— |
998,866 |
U.S. Research Enhanced Equity Fund |
99 |
— |
— |
439,562 |
U.S. Small Company Fund |
3,670 |
986 |
— |
604,854 |
U.S. Sustainable Leaders Fund |
3,530 |
130 |
— |
156,712 |
U.S. Value Fund |
142,214 |
57,140 |
— |
3,720,779 |
Value Advantage Fund |
92,300 |
38,731 |
— |
4,656,758 |
|
Fiscal
Year Ended | ||
Fund |
June
30, 2022 |
June
30, 2023 |
June
30, 2024 |
Diversified Fund |
$4,300 |
$5,760 |
$3,483 |
Equity Income Fund |
348,160 |
119,383 |
140,128 |
Equity Index Fund |
40,170 |
43,395 |
66,754 |
Equity Premium Income Fund |
668,074 |
476,561 |
727,030 |
Growth Advantage Fund |
520,723 |
324,399 |
533,649 |
Hedged Equity Fund |
49,273 |
51,392 |
146,895 |
Hedged Equity 2 Fund |
191,402 |
79,879 |
24,076 |
Hedged Equity 3 Fund |
77,112 |
23,024 |
14,708 |
Large Cap Growth Fund |
539,836 |
506,012 |
871,991 |
Large Cap Value Fund |
56,779 |
65,745 |
29,084 |
Mid Cap Equity Fund |
95,552 |
97,066 |
91,971 |
Mid Cap Growth Fund |
104,433 |
70,277 |
99,432 |
Mid Cap Value Fund |
74,432 |
48,577 |
32,211 |
Small Cap Blend Fund |
68,684 |
53,949 |
56,949 |
Small Cap Equity Fund |
2,372 |
16,358 |
28,056 |
Small Cap Growth Fund |
25,850 |
11,212 |
9,253 |
Small Cap Value Fund |
11,094 |
4,592 |
2,654 |
SMID Cap Equity Fund |
3,880 |
2,652 |
2,641 |
|
Fiscal
Year Ended | ||
Fund |
June
30, 2022 |
June
30, 2023 |
June
30, 2024 |
U.S Small Company Fund |
$11,352 |
$5,519 |
$3,670 |
U.S. Applied Data Science Value Fund |
847 |
787 |
1,036 |
U.S. Equity Fund |
249,376 |
241,967 |
304,471 |
U.S. GARP Equity Fund |
4,592 |
2,294 |
13,908 |
U.S. Large Cap Core Plus Fund |
10,496 |
10,510 |
38,881 |
U.S. Research Enhanced Equity Fund |
287 |
268 |
99 |
U.S. Sustainable Leaders Fund |
11,305 |
4,639 |
3,530 |
U.S. Value Fund |
179,624 |
219,524 |
142,214 |
Value Advantage Fund |
183,716 |
144,711 |
92,300 |
|
Fiscal
Year Ended | |||||
|
June
30, 2022 |
June
30, 2023 |
June 30,
2024 | |||
Fund |
Paid |
Waived |
Paid |
Waived |
Paid |
Waived |
Diversified Fund | ||||||
Class A Shares |
$311 |
$— |
$260 |
$— |
$263 |
$— |
Class C Shares |
81 |
— |
52 |
— |
35 |
— |
Equity Income Fund | ||||||
Class A Shares |
12,276 |
— |
11,429 |
— |
10,948 |
— |
Class C Shares |
10,728 |
— |
8,467 |
— |
6,480 |
— |
Class R2 Shares |
452 |
— |
527 |
— |
500 |
— |
Class R3 Shares |
673 |
— |
586 |
— |
511 |
— |
Equity Index Fund | ||||||
Class A Shares |
1,909 |
— |
1,735 |
— |
2,083 |
— |
Class C Shares |
802 |
— |
659 |
— |
668 |
— |
Equity Premium Income Fund | ||||||
Class A Shares |
1,328 |
— |
1,280 |
— |
1,163 |
— |
Class C Shares |
3,447 |
— |
2,873 |
— |
1,997 |
— |
Growth Advantage Fund | ||||||
Class A Shares |
7,533 |
— |
6,297 |
— |
8,471 |
— |
Class C Shares |
8,438 |
— |
5,795 |
— |
5,569 |
— |
Class R2 Shares |
5 |
— |
27 |
— |
46 |
— |
Class R3 Shares |
19 |
— |
40 |
— |
71 |
— |
Hedged Equity Fund | ||||||
Class A Shares |
4,541 |
— |
3,414 |
— |
3,269 |
— |
Class C Shares |
3,691 |
— |
3,112 |
— |
3,416 |
— |
Hedged Equity 2 Fund1 | ||||||
Class A Shares |
522 |
— |
797 |
— |
643 |
— |
Class C Shares |
1,292 |
— |
1,795 |
— |
1,675 |
— |
Hedged Equity 3 Fund1 | ||||||
Class A Shares |
204 |
— |
300 |
— |
316 |
— |
Class C Shares |
511 |
— |
799 |
— |
833 |
— |
Large Cap Growth Fund | ||||||
Class A Shares |
12,017 |
— |
10,117 |
— |
13,649 |
— |
Class C Shares |
5,602 |
— |
4,268 |
— |
5,392 |
— |
Class R2 Shares |
622 |
— |
517 |
— |
936 |
— |
Class R3 Shares |
650 |
— |
647 |
— |
1,431 |
— |
Large Cap Value Fund | ||||||
Class A Shares |
556 |
— |
682 |
— |
722 |
— |
Class C Shares |
512 |
— |
671 |
— |
629 |
— |
Class R2 Shares |
59 |
— |
67 |
— |
71 |
— |
Class R3 Shares |
8 |
— |
19 |
— |
30 |
— |
|
Fiscal
Year Ended | |||||
|
June
30, 2022 |
June
30, 2023 |
June 30,
2024 | |||
Fund |
Paid |
Waived |
Paid |
Waived |
Paid |
Waived |
Mid Cap Equity Fund | ||||||
Class A Shares |
$1,511 |
$— |
$1,452 |
$— |
$1,746 |
$— |
Class C Shares |
138 |
— |
108 |
— |
111 |
— |
Class R2 Shares |
3 |
— |
4 |
— |
10 |
— |
Mid Cap Growth Fund | ||||||
Class A Shares |
3,774 |
— |
2,948 |
— |
3,223 |
— |
Class C Shares |
727 |
— |
477 |
— |
407 |
— |
Class R2 Shares |
265 |
— |
219 |
— |
251 |
— |
Class R3 Shares |
145 |
— |
114 |
— |
142 |
— |
Mid Cap Value Fund | ||||||
Class A Shares |
3,996 |
— |
3,063 |
— |
2,906 |
— |
Class C Shares |
554 |
— |
398 |
— |
306 |
— |
Class R2 Shares |
355 |
— |
312 |
— |
317 |
— |
Class R3 Shares |
210 |
— |
177 |
— |
180 |
— |
Small Cap Blend Fund | ||||||
Class A Shares |
730 |
— |
762 |
— |
891 |
— |
Class C Shares |
104 |
— |
103 |
— |
117 |
— |
Small Cap Equity Fund | ||||||
Class A Shares |
1,845 |
— |
1,296 |
— |
1,114 |
— |
Class C Shares |
563 |
— |
354 |
— |
235 |
— |
Class R2 Shares |
36 |
— |
29 |
— |
26 |
— |
Class R3 Shares |
13 |
— |
11 |
— |
27 |
— |
Small Cap Growth Fund | ||||||
Class A Shares |
1,476 |
— |
939 |
— |
842 |
— |
Class C Shares |
512 |
— |
293 |
— |
229 |
— |
Class R2 Shares |
119 |
— |
84 |
— |
75 |
— |
Class R3 Shares |
20 |
— |
13 |
— |
12 |
— |
Small Cap Value Fund | ||||||
Class A Shares |
466 |
— |
379 |
— |
330 |
— |
Class C Shares |
54 |
— |
40 |
— |
29 |
— |
Class R2 Shares |
157 |
— |
128 |
— |
123 |
— |
Class R3 Shares |
43 |
— |
39 |
— |
41 |
— |
SMID Cap Equity Fund | ||||||
Class A Shares |
412 |
— |
334 |
— |
321 |
— |
Class C Shares |
149 |
— |
111 |
— |
75 |
— |
Class R3 Shares |
5 |
— |
3 |
— |
2 |
— |
U.S. Applied Data Science Value Fund | ||||||
Class A Shares |
146 |
— |
119 |
— |
107 |
— |
Class C Shares |
74 |
— |
44 |
— |
24 |
— |
Class R2 Shares |
15 |
— |
13 |
— |
12 |
— |
U.S. Equity Fund | ||||||
Class A Shares |
4,432 |
— |
4,334 |
— |
5,478 |
— |
Class C Shares |
2,994 |
— |
2,757 |
— |
3,154 |
— |
Class R2 Shares |
1,324 |
— |
1,180 |
— |
1,352 |
— |
Class R3 Shares |
450 |
— |
425 |
— |
516 |
— |
U.S. GARP Equity Fund | ||||||
Class A Shares |
294 |
— |
245 |
— |
335 |
— |
Class C Shares |
210 |
— |
120 |
— |
88 |
— |
Class R2 Shares |
217 |
— |
163 |
— |
208 |
— |
U.S. Large Cap Core Plus Fund | ||||||
Class A Shares |
803 |
— |
575 |
— |
657 |
— |
Class C Shares |
269 |
— |
211 |
— |
310 |
— |
Class R2 Shares |
29 |
— |
24 |
— |
32 |
— |
U.S. Research Enhanced Equity Fund | ||||||
Class A Shares |
419 |
— |
403 |
— |
440 |
— |
|
Fiscal
Year Ended | |||||
|
June
30, 2022 |
June
30, 2023 |
June 30,
2024 | |||
Fund |
Paid |
Waived |
Paid |
Waived |
Paid |
Waived |
U.S. Small Company Fund | ||||||
Class A Shares |
$313 |
$— |
$272 |
$— |
$272 |
$— |
Class C Shares |
137 |
— |
79 |
— |
48 |
— |
Class R2 Shares |
204 |
— |
186 |
— |
195 |
— |
Class R3 Shares |
88 |
— |
80 |
— |
90 |
— |
U.S. Sustainable Leaders Fund | ||||||
Class A Shares |
86 |
— |
100 |
— |
125 |
— |
Class C Shares |
36 |
— |
33 |
— |
32 |
— |
U.S. Value Fund | ||||||
Class A Shares |
1,558 |
— |
2,277 |
— |
2,848 |
— |
Class C Shares |
402 |
— |
698 |
— |
819 |
— |
Class R2 Shares |
15 |
— |
21 |
— |
28 |
— |
Class R3 Shares |
18 |
— |
22 |
— |
26 |
— |
Value Advantage Fund | ||||||
Class A Shares |
2,797 |
— |
3,107 |
— |
3,215 |
— |
Class C Shares |
2,481 |
— |
1,936 |
— |
1,433 |
— |
Class R2 Shares |
1 |
— |
2 |
— |
2 |
— |
Class R3 Shares |
7 |
— |
6 |
— |
6 |
— |
Class A, Class C, Class I, Class R2, Class R3 and Class R4 |
Up to 0.25% |
Class L and Class R5 |
Up to 0.10% |
Class R6 |
None |
|
Fiscal
Year Ended | |||||
|
June
30, 2022 |
June
30, 2023 |
June 30,
2024 | |||
Fund |
Paid |
Waived |
Paid |
Waived |
Paid |
Waived |
Diversified Fund | ||||||
Class A Shares |
$120 |
$(191) |
$90 |
$(170) |
$84 |
$(179) |
Class C Shares |
13 |
(14) |
8 |
(9) |
5 |
(7) |
Class I Shares |
62 |
(66) |
41 |
(45) |
35 |
(44) |
Class L Shares |
124 |
(55) |
104 |
(45) |
76 |
(34) |
Equity Income Fund | ||||||
Class A Shares |
12,276 |
— |
11,429 |
— |
10,948 |
— |
Class C Shares |
3,576 |
— |
2,822 |
— |
2,160 |
— |
Class I Shares |
47,301 |
— |
46,327 |
— |
42,641 |
— |
Class R2 Shares |
226 |
— |
264 |
— |
250 |
— |
Class R3 Shares |
673 |
— |
586 |
— |
511 |
— |
Class R4 Shares |
579 |
— |
597 |
— |
547 |
— |
Class R5 Shares |
1,578 |
— |
1,318 |
— |
1,131 |
— |
Equity Index Fund | ||||||
Class A Shares |
1,039 |
(870) |
924 |
(811) |
1,103 |
(980) |
Class C Shares |
268 |
— |
220 |
— |
223 |
— |
Class I Shares |
2,064 |
(1,330) |
1,452 |
(956) |
1,640 |
(1,082) |
|
Fiscal
Year Ended | |||||
|
June
30, 2022 |
June
30, 2023 |
June 30,
2024 | |||
Fund |
Paid |
Waived |
Paid |
Waived |
Paid |
Waived |
Equity Premium Income Fund | ||||||
Class A Shares |
$1,323 |
$(5) |
$1,273 |
$(7) |
$1,158 |
$(5) |
Class C Shares |
1,146 |
(3) |
953 |
(5) |
663 |
(3) |
Class I Shares |
2,748 |
(35) |
6,832 |
(53) |
9,616 |
(17) |
Class R5 Shares |
—* |
—* |
—* |
—* |
—* |
—* |
Growth Advantage Fund | ||||||
Class A Shares |
7,285 |
(248) |
5,971 |
(326) |
8,034 |
(437) |
Class C Shares |
2,717 |
(96) |
1,821 |
(111) |
1,741 |
(115) |
Class I Shares |
10,892 |
(305) |
8,893 |
(408) |
11,955 |
(530) |
Class R2 Shares |
—* |
(2) |
10 |
(3) |
20 |
(3) |
Class R3 Shares |
18 |
(1) |
38 |
(2) |
69 |
(2) |
Class R4 Shares |
50 |
—* |
53 |
—* |
76 |
—* |
Class R5 Shares |
135 |
(1) |
91 |
(2) |
108 |
(2) |
Hedged Equity Fund | ||||||
Class A Shares |
4,541 |
— |
3,414 |
— |
3,269 |
— |
Class C Shares |
1,230 |
— |
1,037 |
— |
1,139 |
— |
Class I Shares |
36,231 |
— |
29,992 |
— |
34,376 |
— |
Class R5 Shares |
6 |
— |
6 |
— |
6 |
— |
Hedged Equity 2 Fund1 | ||||||
Class A Shares |
517 |
(5) |
791 |
(6) |
641 |
(2) |
Class C Shares |
427 |
(3) |
595 |
(3) |
558 |
(1) |
Class I Shares |
7,289 |
(26) |
9,470 |
(24) |
9,282 |
(1) |
Class R5 Shares |
1 |
—* |
1 |
—* |
1 |
—* |
Hedged Equity 3 Fund1 | ||||||
Class A Shares |
202 |
(2) |
297 |
(3) |
315 |
(1) |
Class C Shares |
169 |
(1) |
264 |
(2) |
277 |
(1) |
Class I Shares |
3,853 |
(14) |
5,476 |
(20) |
5,331 |
— |
Class R5 Shares |
—* |
—* |
—* |
—* |
—* |
—* |
Large Cap Growth Fund | ||||||
Class A Shares |
11,751 |
(266) |
9,848 |
(269) |
13,320 |
(329) |
Class C Shares |
1,852 |
(15) |
1,411 |
(12) |
1,780 |
(17) |
Class I Shares |
27,133 |
(11) |
29,461 |
(31) |
46,071 |
(8) |
Class R2 Shares |
303 |
(8) |
248 |
(10) |
438 |
(30) |
Class R3 Shares |
648 |
(2) |
643 |
(4) |
1,422 |
(9) |
Class R4 Shares |
502 |
(1) |
623 |
(1) |
1,493 |
(1) |
Class R5 Shares |
858 |
(4) |
720 |
(4) |
898 |
(4) |
Large Cap Value Fund | ||||||
Class A Shares |
502 |
(54) |
619 |
(63) |
645 |
(77) |
Class C Shares |
168 |
(3) |
221 |
(3) |
205 |
(5) |
Class I Shares |
3,005 |
(257) |
3,289 |
(137) |
3,373 |
(157) |
Class R2 Shares |
27 |
(2) |
31 |
(3) |
32 |
(3) |
Class R3 Shares |
8 |
—* |
19 |
—* |
29 |
(1) |
Class R4 Shares |
1 |
—* |
2 |
—* |
3 |
(1) |
Class R5 Shares |
23 |
(2) |
24 |
(2) |
30 |
(2) |
Mid Cap Equity Fund | ||||||
Class A Shares |
1,509 |
(2) |
1,440 |
(12) |
1,733 |
(13) |
Class C Shares |
45 |
(1) |
33 |
(3) |
35 |
(2) |
Class I Shares |
2,336 |
(21) |
2,282 |
(4) |
2,548 |
(3) |
Class R2 Shares |
1 |
(1) |
1 |
(1) |
2 |
(3) |
Class R5 Shares |
—* |
—* |
5 |
—* |
11 |
—* |
Mid Cap Growth Fund | ||||||
Class A Shares |
3,011 |
(763) |
2,060 |
(888) |
2,219 |
(1,004) |
Class C Shares |
203 |
(39) |
117 |
(42) |
97 |
(39) |
Class I Shares |
3,448 |
(1,105) |
3,219 |
(1,125) |
4,718 |
(1,472) |
Class R2 Shares |
113 |
(20) |
86 |
(23) |
100 |
(26) |
Class R3 Shares |
144 |
(1) |
112 |
(2) |
138 |
(4) |
Class R4 Shares |
58 |
—* |
52 |
—* |
81 |
—* |
Class R5 Shares |
488 |
(162) |
428 |
(42) |
469 |
(48) |
|
Fiscal
Year Ended | |||||
|
June
30, 2022 |
June
30, 2023 |
June 30,
2024 | |||
Fund |
Paid |
Waived |
Paid |
Waived |
Paid |
Waived |
Mid Cap Value Fund | ||||||
Class A Shares |
$3,843 |
$(153) |
$2,883 |
$(180) |
$2,720 |
$(186) |
Class C Shares |
178 |
(7) |
124 |
(9) |
95 |
(7) |
Class I Shares |
6,885 |
(203) |
5,065 |
(221) |
4,277 |
(191) |
Class L Shares |
5,600 |
(2,110) |
6,477 |
(3) |
5,713 |
(3) |
Class R2 Shares |
175 |
(3) |
151 |
(5) |
145 |
(13) |
Class R3 Shares |
209 |
(1) |
176 |
(1) |
179 |
(1) |
Class R4 Shares |
66 |
—* |
50 |
—* |
67 |
(1) |
Class R5 Shares |
81 |
(1) |
49 |
— |
48 |
(1) |
Small Cap Blend Fund | ||||||
Class A Shares |
710 |
(20) |
741 |
(21) |
865 |
(26) |
Class C Shares |
33 |
(2) |
31 |
(3) |
35 |
(4) |
Class I Shares |
873 |
(5) |
908 |
(5) |
1,017 |
(5) |
Small Cap Equity Fund | ||||||
Class A Shares |
1,845 |
— |
1,296 |
— |
1,114 |
— |
Class C Shares |
188 |
— |
118 |
— |
78 |
— |
Class I Shares |
8,711 |
(32) |
5,951 |
(239) |
4,942 |
(295) |
Class R2 Shares |
17 |
(1) |
12 |
(2) |
11 |
(2) |
Class R3 Shares |
13 |
— |
11 |
— |
27 |
— |
Class R4 Shares |
2 |
—* |
2 |
—* |
2 |
—* |
Class R5 Shares |
644 |
(424) |
494 |
(366) |
382 |
(316) |
Small Cap Growth Fund | ||||||
Class A Shares |
1,433 |
(43) |
900 |
(39) |
800 |
(42) |
Class C Shares |
166 |
(5) |
95 |
(3) |
73 |
(3) |
Class I Shares |
2,084 |
(18) |
1,210 |
(15) |
1,305 |
(18) |
Class L Shares |
826 |
— |
567 |
— |
549 |
— |
Class R2 Shares |
56 |
(4) |
38 |
(4) |
33 |
(5) |
Class R3 Shares |
18 |
(2) |
11 |
(2) |
11 |
(1) |
Class R4 Shares |
14 |
—* |
13 |
—* |
10 |
(1) |
Class R5 Shares |
31 |
(1) |
19 |
(1) |
15 |
(1) |
Small Cap Value Fund | ||||||
Class A Shares |
466 |
— |
314 |
(65) |
234 |
(96) |
Class C Shares |
16 |
(2) |
10 |
(3) |
6 |
(4) |
Class I Shares |
562 |
(40) |
451 |
(90) |
370 |
(100) |
Class R2 Shares |
55 |
(24) |
42 |
(22) |
38 |
(24) |
Class R3 Shares |
37 |
(6) |
33 |
(6) |
35 |
(6) |
Class R4 Shares |
64 |
(3) |
55 |
(1) |
51 |
— |
Class R5 Shares |
51 |
— |
59 |
(2) |
92 |
(1) |
SMID Cap Equity Fund | ||||||
Class A Shares |
386 |
(26) |
310 |
(24) |
293 |
(28) |
Class C Shares |
49 |
(1) |
36 |
(1) |
23 |
(2) |
Class I Shares |
346 |
(9) |
275 |
(8) |
238 |
(7) |
Class R3 Shares |
5 |
—* |
3 |
—* |
2 |
—* |
Class R4 Shares |
2 |
—* |
1 |
—* |
1 |
—* |
U.S. Applied Data Science Value Fund | ||||||
Class A Shares |
81 |
(65) |
66 |
(53) |
61 |
(46) |
Class C Shares |
13 |
(12) |
7 |
(7) |
3 |
(5) |
Class I Shares |
177 |
(123) |
133 |
(94) |
121 |
(81) |
Class R2 Shares |
3 |
(4) |
5 |
(2) |
4 |
(2) |
Class R5 Shares |
4 |
—* |
4 |
—* |
4 |
—* |
|
Fiscal
Year Ended | |||||
|
June
30, 2022 |
June
30, 2023 |
June 30,
2024 | |||
Fund |
Paid |
Waived |
Paid |
Waived |
Paid |
Waived |
U.S. Equity Fund | ||||||
Class A Shares |
$4,345 |
$(87) |
$4,249 |
$(85) |
$5,367 |
$(111) |
Class C Shares |
985 |
(13) |
907 |
(12) |
1,037 |
(15) |
Class I Shares |
4,852 |
(71) |
5,551 |
(245) |
10,062 |
(276) |
Class L Shares |
1,899 |
— |
1,728 |
— |
2,334 |
— |
Class R2 Shares |
655 |
(7) |
582 |
(8) |
667 |
(9) |
Class R3 Shares |
446 |
(4) |
420 |
(5) |
509 |
(7) |
Class R4 Shares |
145 |
(1) |
151 |
(1) |
206 |
(1) |
Class R5 Shares |
1,071 |
(10) |
975 |
(11) |
1,151 |
(13) |
U.S. GARP Equity Fund | ||||||
Class A Shares |
283 |
(11) |
237 |
(8) |
325 |
(10) |
Class C Shares |
68 |
(2) |
39 |
(1) |
27 |
(2) |
Class I Shares |
352 |
(3) |
220 |
(4) |
324 |
(5) |
Class R2 Shares |
87 |
(22) |
60 |
(22) |
84 |
(20) |
Class R5 Shares |
143 |
—* |
106 |
(1) |
134 |
(1) |
U.S. Large Cap Core Plus Fund | ||||||
Class A Shares |
475 |
(328) |
186 |
(389) |
118 |
(539) |
Class C Shares |
51 |
(39) |
22 |
(48) |
18 |
(85) |
Class I Shares |
2,260 |
(1,573) |
751 |
(1,418) |
505 |
(2,076) |
Class R2 Shares |
13 |
(1) |
11 |
(1) |
15 |
(1) |
Class R5 Shares |
34 |
—* |
28 |
—* |
35 |
(1) |
U.S. Research Enhanced Equity Fund | ||||||
Class A Shares |
158 |
(261) |
153 |
(250) |
167 |
(273) |
Class I Shares |
711 |
(1,083) |
659 |
(1,002) |
750 |
(1,142) |
U.S. Small Company Fund | ||||||
Class A Shares |
313 |
— |
245 |
(27) |
232 |
(40) |
Class C Shares |
46 |
— |
22 |
(4) |
12 |
(4) |
Class I Shares |
516 |
— |
383 |
(38) |
360 |
(54) |
Class L Shares |
288 |
— |
224 |
— |
221 |
— |
Class R2 Shares |
102 |
— |
93 |
— |
98 |
— |
Class R3 Shares |
88 |
— |
80 |
— |
90 |
— |
Class R4 Shares |
27 |
— |
20 |
— |
14 |
— |
Class R5 Shares |
8 |
— |
12 |
— |
19 |
— |
U.S. Sustainable Leaders Fund | ||||||
Class A Shares |
14 |
(72) |
18 |
(82) |
22 |
(103) |
Class C Shares |
2 |
(10) |
1 |
(10) |
2 |
(9) |
Class I Shares |
50 |
(207) |
42 |
(168) |
38 |
(157) |
U.S. Value Fund | ||||||
Class A Shares |
1,445 |
(113) |
2,161 |
(116) |
2,693 |
(155) |
Class C Shares |
130 |
(4) |
229 |
(4) |
267 |
(6) |
Class I Shares |
2,765 |
(13) |
4,620 |
(23) |
5,846 |
(29) |
Class R2 Shares |
7 |
—* |
10 |
—* |
14 |
—* |
Class R3 Shares |
18 |
—* |
22 |
—* |
25 |
(1) |
Class R4 Shares |
1 |
—* |
5 |
—* |
8 |
(1) |
Class R5 Shares |
2 |
—* |
7 |
—* |
10 |
—* |
Value Advantage Fund | ||||||
Class A Shares |
2,687 |
(110) |
2,926 |
(181) |
3,016 |
(199) |
Class C Shares |
784 |
(43) |
596 |
(49) |
432 |
(46) |
Class I Shares |
5,715 |
(185) |
4,697 |
(251) |
4,051 |
(223) |
Class L Shares |
1,870 |
— |
1,528 |
—* |
1,334 |
—* |
Class R2 Shares |
—* |
—* |
1 |
—* |
— |
(1) |
Class R3 Shares |
6 |
(1) |
5 |
(1) |
5 |
(1) |
Class R4 Shares |
3 |
—* |
—* |
—* |
1 |
—* |
Class R5 Shares |
1 |
—* |
10 |
—* |
19 |
—* |
|
Fiscal
Year Ended | ||
Fund |
June
30, 2022 |
June
30, 2023 |
June
30, 2024 |
Diversified Fund | |||
Total Brokerage Commissions |
$193,500 |
$187,765 |
$132,123 |
Brokerage Commissions to Affiliated Broker/Dealers |
— |
— |
762 |
Equity Income Fund | |||
Total Brokerage Commissions |
3,617,942 |
1,735,993 |
5,813,277 |
Brokerage Commissions to Affiliated Broker/Dealers |
— |
— |
87,363 |
Equity Index Fund | |||
Total Brokerage Commissions |
148,501 |
161,772 |
53,213 |
Brokerage Commissions to Affiliated Broker/Dealers |
— |
— |
— |
Equity Premium Income Fund | |||
Total Brokerage Commissions |
473,464 |
734,115 |
583,748 |
Brokerage Commissions to Affiliated Broker/Dealers |
— |
— |
13,869 |
Growth Advantage Fund | |||
Total Brokerage Commissions |
1,792,809 |
2,096,870 |
1,335,641 |
Brokerage Commissions to Affiliated Broker/Dealers |
— |
— |
46,983 |
Hedged Equity Fund | |||
Total Brokerage Commissions |
5,522,944 |
6,154,080 |
4,279,089 |
Brokerage Commissions to Affiliated Broker/Dealers |
— |
— |
139,406 |
Hedged Equity 2 Fund | |||
Total Brokerage Commissions |
1,871,175 |
2,078,199 |
1,620,090 |
Brokerage Commissions to Affiliated Broker/Dealers |
— |
— |
64,766 |
Hedged Equity 3 Fund | |||
Total Brokerage Commissions |
1,002,509 |
1,082,338 |
984,070 |
Brokerage Commissions to Affiliated Broker/Dealers |
— |
— |
56,869 |
Large Cap Growth Fund | |||
Total Brokerage Commissions |
4,416,930 |
8,276,860 |
6,631,139 |
Brokerage Commissions to Affiliated Broker/Dealers |
— |
— |
— |
Large Cap Value Fund | |||
Total Brokerage Commissions |
2,548,963 |
2,542,827 |
3,584,349 |
Brokerage Commissions to Affiliated Broker/Dealers |
— |
— |
65,226 |
Mid Cap Equity Fund | |||
Total Brokerage Commissions |
584,213 |
719,739 |
890,821 |
Brokerage Commissions to Affiliated Broker/Dealers |
— |
— |
47,369 |
Mid Cap Growth Fund | |||
Total Brokerage Commissions |
1,718,005 |
1,697,426 |
2,503,491 |
Brokerage Commissions to Affiliated Broker/Dealers |
— |
— |
2,424 |
Mid Cap Value Fund | |||
Total Brokerage Commissions |
2,590,278 |
1,502,002 |
1,855,901 |
Brokerage Commissions to Affiliated Broker/Dealers |
— |
— |
8,189 |
Small Cap Blend Fund | |||
Total Brokerage Commissions |
718,009 |
578,400 |
558,170 |
Brokerage Commissions to Affiliated Broker/Dealers |
— |
— |
26,582 |
Small Cap Equity Fund | |||
Total Brokerage Commissions |
1,610,696 |
1,354,580 |
1,481,007 |
Brokerage Commissions to Affiliated Broker/Dealers |
— |
— |
11,772 |
Small Cap Growth Fund | |||
Total Brokerage Commissions |
2,060,676 |
1,529,499 |
1,702,019 |
Brokerage Commissions to Affiliated Broker/Dealers |
— |
— |
157,584 |
|
Fiscal
Year Ended | ||
Fund |
June
30, 2022 |
June
30, 2023 |
June
30, 2024 |
Small Cap Value Fund | |||
Total Brokerage Commissions |
$1,129,527 |
$1,658,309 |
$1,579,140 |
Brokerage Commissions to Affiliated Broker/Dealers |
— |
— |
35,711 |
SMID Cap Equity Fund | |||
Total Brokerage Commissions |
67,195 |
67,665 |
101,715 |
Brokerage Commissions to Affiliated Broker/Dealers |
— |
— |
5,496 |
U.S. Applied Data Science Value Fund | |||
Total Brokerage Commissions |
59,345 |
18,781 |
16,328 |
Brokerage Commissions to Affiliated Broker/Dealers |
— |
— |
717 |
U.S. Equity Fund | |||
Total Brokerage Commissions |
3,244,514 |
3,986,928 |
4,637,356 |
Brokerage Commissions to Affiliated Broker/Dealers |
— |
— |
71,640 |
U.S. GARP Equity Fund | |||
Total Brokerage Commissions |
167,313 |
142,944 |
155,240 |
Brokerage Commissions to Affiliated Broker/Dealers |
— |
— |
786 |
U.S. Large Cap Core Plus Fund | |||
Total Brokerage Commissions |
1,238,112 |
961,206 |
1,116,266 |
Brokerage Commissions to Affiliated Broker/Dealers |
— |
— |
— |
U.S. Research Enhanced Equity Fund |
|||
Total Brokerage Commissions |
853,597 |
940,629 |
960,611 |
Brokerage Commissions to Affiliated Broker/Dealers |
— |
— |
7,897 |
U.S. Small Company Fund | |||
Total Brokerage Commissions |
912,903 |
940,784 |
814,376 |
Brokerage Commissions to Affiliated Broker/Dealers |
— |
— |
26,791 |
U.S. Sustainable Leaders Fund |
|||
Total Brokerage Commissions |
33,916 |
30,219 |
14,445 |
Brokerage Commissions to Affiliated Broker/Dealers |
— |
— |
635 |
U.S. Value Fund | |||
Total Brokerage Commissions |
383,750 |
499,001 |
425,382 |
Brokerage Commissions to Affiliated Broker/Dealers |
— |
— |
12,110 |
Value Advantage Fund | |||
Total Brokerage Commissions |
1,629,633 |
1,813,936 |
988,621 |
Brokerage Commissions to Affiliated Broker/Dealers |
— |
— |
1 |
Fund Name |
Amount |
Diversified Fund |
$8,391 |
Equity Income Fund |
2,116,110 |
Equity Index Fund |
3,931 |
Equity Premium Income Fund |
289,605 |
Growth Advantage Fund |
552,802 |
Hedged Equity 2 Fund |
345,880 |
Hedged Equity 3 Fund |
219,848 |
Hedged Equity Fund |
1,040,790 |
Large Cap Growth Fun |
2,692,922 |
Large Cap Value Fund |
1,570,073 |
Mid Cap Equity Fund |
371,837 |
Mid Cap Growth Fund |
931,178 |
Mid Cap Value Fun |
653,270 |
Small Cap Blend Fund |
213,609 |
Small Cap Equity Fund |
595,528 |
Fund Name |
Amount |
Small Cap Growth Fund |
$697,154 |
Small Cap Value Fund |
805,821 |
SMID Cap Equity Fund |
52,007 |
U.S. Applied Data Science Value Fund |
9,062 |
U.S. Equity Fund |
1,887,804 |
U.S. GARP Equity Fund |
82,558 |
U.S. Large Cap Core Plus Fund |
572,213 |
U.S. Research Enhanced Equity Fund |
481,072 |
U.S. Small Company Fund |
413,768 |
U.S. Sustainable Leaders Fund |
7,503 |
U.S. Value Fund |
192,163 |
Value Advantage Fund |
425,095 |
Fund |
Name of
Broker-Dealer |
Value of
Securities Owned (000's) |
Diversified Fund |
Ameriprise Financial, Inc. |
$436 |
|
Bank of America Corp. |
3,344 |
|
Barclays plc |
414 |
|
BNP Paribas SA |
252 |
|
Citigroup, Inc. |
867 |
|
Goldman Sachs Group, Inc. (The) |
1,037 |
|
KeyCorp |
121 |
|
Morgan Stanley |
1,664 |
|
Nomura Holdings, Inc. |
231 |
|
UBS Group AG |
1,360 |
|
Wells Fargo & Co. |
2,888 |
Equity Income Fund |
Bank of America Corp. |
1,157,394 |
|
Charles Schwab Corp. (The) |
905,174 |
|
Morgan Stanley |
928,260 |
|
Wells Fargo & Co. |
1,351,435 |
Equity Index Fund |
American International Group, Inc. |
11,073 |
|
Bank of America Corp. |
60,811 |
|
Broadridge Financial Solutions |
5,232 |
|
Charles Schwab Corp. (The) |
24,724 |
|
Citigroup, Inc. |
27,204 |
|
Fidelity National Information Services, Inc. |
9,421 |
|
Goldman Sachs Group, Inc. (The) |
32,780 |
|
JPMorgan Chase & Co. |
130,535 |
|
Morgan Stanley |
35,911 |
|
Raymond James Financial, Inc. |
5,182 |
Equity Premium Income Fund |
Ameriprise Financial, Inc. |
28,519 |
Growth Advantage Fund |
Morgan Stanley |
155,111 |
Hedged Equity 2 Fund |
Ameriprise Financial, Inc. |
5,855 |
|
Bank of America Corp. |
55,524 |
|
Charles Schwab Corp. (The) |
18,991 |
|
Citigroup, Inc. |
5,818 |
|
Fidelity National Information Services, Inc. |
14,768 |
|
Goldman Sachs Group, Inc. (The) |
29,048 |
|
Wells Fargo & Co. |
42,971 |
Fund |
Name of
Broker-Dealer |
Value of
Securities Owned (000's) |
Hedged Equity 3 Fund |
Ameriprise Financial, Inc. |
$3,530 |
|
Bank of America Corp. |
33,477 |
|
Charles Schwab Corp. (The) |
11,447 |
|
Citigroup, Inc. |
3,703 |
|
Fidelity National Information Services, Inc. |
8,902 |
|
Goldman Sachs Group, Inc. (The) |
17,509 |
|
Wells Fargo & Co. |
25,902 |
Hedged Equity Fund |
Ameriprise Financial, Inc. |
23,216 |
|
Bank of America Corp. |
220,206 |
|
Charles Schwab Corp. (The) |
75,300 |
|
Citigroup, Inc. |
24,361 |
|
Fidelity National Information Services, Inc. |
58,554 |
|
Goldman Sachs Group, Inc. (The) |
115,175 |
|
Wells Fargo & Co. |
170,379 |
Large Cap Value Fund |
Bank of America Corp. |
102,189 |
|
Citigroup, Inc. |
108,383 |
|
Fidelity National Information Services, Inc. |
44,104 |
|
Jefferies |
8,997 |
|
Wells Fargo & Co. |
73,481 |
Mid Cap Equity Fund |
Ameriprise Financial, Inc. |
64,484 |
|
Fidelity National Information Services, Inc. |
32,160 |
|
LPL Holdings, Inc. |
15,574 |
|
Morgan Stanley |
15,126 |
Mid Cap Growth Fund |
Morgan Stanley |
103,657 |
|
Raymond James Financial, Inc. |
76,154 |
Mid Cap Value Fund |
Fidelity National Information Services, Inc. |
142,352 |
Small Cap Blend Fund |
EVERCORE GROUP INC |
7,791 |
|
LPL Holdings, Inc. |
6,565 |
Small Cap Growth Fund |
EVERCORE GROUP INC |
38,412 |
Small Cap Value Fund |
Piper Sandler & Co. |
614 |
SMID Cap Equity Fund |
LPL Holdings, Inc. |
3,800 |
U.S. Applied Data Science Value Fund |
Bank of America Corp. |
3,483 |
|
Charles Schwab Corp. (The) |
1,545 |
|
Citigroup, Inc. |
1,918 |
|
Fidelity National Information Services, Inc. |
800 |
|
Morgan Stanley |
2,132 |
|
Wells Fargo & Co. |
3,649 |
U.S. Equity Fund |
Ameriprise Financial, Inc. |
388,956 |
|
Morgan Stanley |
469,065 |
|
Wells Fargo & Co. |
749,129 |
U.S. Large Cap Core Plus Fund |
Ameriprise Financial, Inc. |
4,509 |
|
Bank of America Corp. |
8,989 |
|
Fidelity National Information Services, Inc. |
10,219 |
|
Goldman Sachs Group, Inc. (The) |
32,972 |
|
Raymond James Financial, Inc. |
2,173 |
|
Wells Fargo & Co. |
39,757 |
Fund |
Name of
Broker-Dealer |
Value of
Securities Owned (000's) |
U.S. Research Enhanced Equity Fund |
Ameriprise Financial, Inc. |
$11,209 |
|
Bank of America Corp. |
106,323 |
|
Charles Schwab Corp. (The) |
36,357 |
|
Citigroup, Inc. |
11,762 |
|
Fidelity National Information Services, Inc. |
28,273 |
|
Goldman Sachs Group, Inc. (The) |
55,611 |
|
Principal Financial Group, Inc. |
18,108 |
U.S. Small Company Fund |
Piper Sandler & Co. |
2,497 |
U.S. Sustainable Leaders Fund |
Bank of America Corp. |
3,826 |
|
Charles Schwab Corp. (The) |
2,418 |
|
Morgan Stanley |
2,500 |
U.S. Value Fund |
Bank of America Corp. |
134,529 |
|
Charles Schwab Corp. (The) |
105,484 |
|
Goldman Sachs Group, Inc. (The) |
41,183 |
|
Morgan Stanley |
106,461 |
Value Advantage Fund |
Bank of America Corp. |
208,329 |
|
Morgan Stanley |
64,465 |
|
Wells Fargo & Co. |
246,124 |
Amount of
Purchases |
Finders’ Fee |
$1,000,000 – $3,999,999* |
1.00% |
$4,000,000 – $9,999,999 |
0.75% |
$10,000,000 – $49,999,999 |
0.50% |
$50,000,000 or more |
0.25% |
|
Capital
Loss Carryforward Character | |
Fund |
Short-Term |
Long-Term |
Diversified Fund |
$2,962 |
$— |
Equity Index Fund |
32,119 |
65,772 |
Equity Premium Income Fund |
654,909 |
155,528 |
Hedged Equity Fund |
656,369 |
313,128 |
Hedged Equity 2 Fund |
322,683 |
326,026 |
Hedged Equity 3 Fund |
103,020 |
157,524 |
Large Cap Growth Fund |
542,578 |
— |
Small Cap Blend Fund |
6,539 |
22,964 |
Small Cap Growth Fund |
— |
241,783 |
SMID Cap Equity Fund |
— |
4,867 |
U.S. Sustainable Leaders Fund |
11,932 |
1,004 |
All Funds |
|
| |
JPMorgan Chase & Co. |
Monthly |
30 days after month end | |
Morningstar Inc. |
Monthly |
30 days after month end | |
All Funds excluding JPMorgan Hedged Equity 2 Fund and JPMorgan Hedged Equity 3 Fund |
|
| |
Bloomberg LP |
Monthly |
30 days after month end | |
Lipper, Inc. |
Monthly |
30 days after month end | |
All Funds excluding JPMorgan Hedged Equity 2 Fund and JPMorgan Hedged Equity 3 Fund |
|
| |
The McGraw-Hill Companies, Inc. — Standard & Poor’s |
Monthly |
30 days after month end | |
JPMorgan U.S. Large Cap Core Plus Fund |
|
| |
Aris Corporation |
Quarterly |
30 days after quarter end | |
JPMorgan Mid Cap Value Fund |
|
| |
Callan Associates |
Monthly |
30 days after month end | |
JPMorgan Mid Cap Value Fund |
|
| |
JPMorgan U.S. Research Enhanced Equity Fund |
|
| |
Concord Advisory |
Monthly |
30 days after month end | |
JPMorgan Mid Cap Growth Fund |
|
| |
JPMorgan Small Cap Blend Fund |
|
| |
Hartland & Co. |
Monthly |
30 days after month end | |
JPMorgan Mid Cap Value Fund |
|
| |
JPMorgan Small Cap Growth Fund |
|
| |
JPMorgan U.S. GARP Equity Fund |
|
| |
Informa Investment Solutions (PSN) |
Quarterly |
30 days after quarter end |
JPMorgan Small Cap Equity Fund |
|
| |
JPMorgan Small Cap Growth Fund |
|
| |
Jeffrey Slocum & Associates, Inc. |
Quarterly |
30 days after quarter end | |
JPMorgan Equity Income Fund |
|
| |
JPMorgan Large Cap Growth Fund |
|
| |
JPMorgan U.S. Equity Fund |
|
| |
Lockwood Advisors |
Quarterly |
30 days after quarter end | |
JPMorgan Small Cap Value Fund |
|
| |
Marco Consulting |
Quarterly |
30 days after quarter end | |
JPMorgan Equity Index Fund |
|
| |
JPMorgan Small Cap Value Fund |
|
| |
Mellon Analytical Solutions |
Quarterly |
30 days after quarter end | |
JPMorgan U.S. Large Cap Core Plus Fund |
|
| |
Morgan Stanley Smith Barney |
Quarterly |
30 days after quarter end | |
JPMorgan U.S. Research Enhanced Equity Fund |
|
| |
New England Pension Consultants |
Quarterly |
30 days after quarter end | |
JPMorgan U.S. Large Cap Core Plus Fund |
|
| |
Oppenheimer |
Quarterly |
30 days after quarter end | |
JPMorgan Mid Cap Value Fund |
|
| |
JPMorgan Small Cap Growth Fund |
|
| |
PSN & Morningstar |
Quarterly |
30 days after quarter end | |
JPMorgan Equity Income Fund |
|
| |
JPMorgan Large Cap Growth Fund |
|
| |
JPMorgan Mid Cap Value Fund |
|
| |
JPMorgan U.S. Equity Fund |
|
| |
JPMorgan U.S. GARP Equity Fund |
|
| |
JPMorgan U.S. Large Cap Core Plus Fund |
|
| |
Prime, Buchholz & Associates, Inc. |
Quarterly |
30 days after quarter end | |
JPMorgan Mid Cap Value Fund |
|
| |
JPMorgan Small Cap Growth Fund |
|
| |
JPMorgan U.S. Large Cap Core Plus Fund |
|
| |
JPMorgan Value Advantage Fund |
|
| |
Raymond James |
Quarterly |
30 days after quarter end | |
JPMorgan Small Cap Equity Fund |
|
| |
Rochester Area Community Foundation |
Quarterly |
30 days after quarter end | |
JPMorgan U.S. Equity Fund |
|
| |
JPMorgan U.S. Research Enhanced Equity Fund |
|
| |
Roger Casey |
Quarterly |
30 days after quarter end | |
JPMorgan Large Cap Growth Fund |
|
| |
JPMorgan Mid Cap Value Fund |
|
| |
JPMorgan U.S. Large Cap Core Plus Fund |
|
| |
RV Kuhns |
Quarterly |
30 days after quarter end | |
JPMorgan SMID Cap Equity Fund |
|
| |
Strategic Advisors, Inc. |
Quarterly |
30 days after quarter end | |
JPMorgan Diversified Fund |
|
| |
JPMorgan Equity Income Fund |
|
| |
JPMorgan Mid Cap Value Fund |
|
| |
JPMorgan Small Cap Blend Fund |
|
| |
JPMorgan Small Cap Equity Fund |
|
| |
JPMorgan Small Cap Growth Fund |
|
| |
JPMorgan SMID Cap Equity Fund |
|
|
JPMorgan U.S. Applied Data Science Value Fund |
|
| |
JPMorgan U.S. Equity Fund |
|
| |
JPMorgan U.S. GARP Equity Fund |
|
| |
JPMorgan U.S. Research Enhanced Equity Fund |
|
| |
JPMorgan U.S. Small Company Fund |
|
| |
JPMorgan U.S. Sustainable Leaders Fund |
|
| |
Vestek |
Monthly |
30 days after month end | |
JPMorgan Mid Cap Value Fund |
|
| |
JPMorgan U.S. Equity Fund |
|
| |
Watson Wyatt Worldwide |
Quarterly |
30 days after quarter end | |
JPMorgan Equity Index Fund |
|
| |
JPMorgan Small Cap Equity Fund |
|
| |
JPMorgan U.S. GARP Equity Fund |
|
| |
Watson Wyatt Worldwide |
Monthly |
30 days after month end | |
JPMorgan Equity Income Fund |
|
| |
JPMorgan Hedged Equity Fund |
|
| |
JPMorgan Large Cap Growth Fund |
|
| |
JPMorgan Mid Cap Equity Fund |
|
| |
JPMorgan Mid Cap Growth Fund |
|
| |
JPMorgan Mid Cap Value Fund |
|
| |
JPMorgan Small Cap Equity Fund |
|
| |
JPMorgan U.S. Applied Data Science Value Fund |
|
| |
JPMorgan U.S. Equity Fund |
|
| |
JPMorgan U.S. GARP Equity Fund |
|
| |
JPMorgan U.S. Large Cap Core Plus Fund |
|
| |
Wells Fargo |
Quarterly |
30 days after quarter end | |
JPMorgan Mid Cap Value Fund |
|
| |
JPMorgan U.S. Large Cap Core Plus Fund |
|
| |
Wells Fargo |
Monthly |
30 days after month end | |
JPMorgan Equity Index Fund |
|
| |
JPMorgan U.S. Value Fund |
|
| |
Wilshire |
Quarterly |
30 days after quarter end |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
JPMORGAN DIVERSIFIED FUND | ||
CLASS A SHARES |
J. P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
45.22% |
|
|
|
|
EDWARD D JONES & CO FOR THE BENEFIT OF CUSTOMERS 12555 MANCHESTER RD SAINT LOUIS MO 63131-3710 |
6.49% |
|
|
|
CLASS C SHARES |
J. P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
23.12% |
|
|
|
|
AMERICAN ENTERPRISE INVESTMENT SVC 707 2ND AVE S MINNEAPOLIS MN 55402-2405 |
18.75% |
|
|
|
|
WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET STREET ST LOUIS MO 63103-2523 |
11.74% |
|
|
|
|
PERSHING LLC P.O. BOX 2052 JERSEY CITY NJ 07303-2052 |
10.01% |
|
|
|
|
LPL FINANCIAL OMNIBUS CUSTOMER ACCOUNT ATTN MUTUAL FUND TRADING 4707 EXECUTIVE DR SAN DIEGO CA 92121-3091 |
9.25% |
|
|
|
|
ASCENSUS TRUST COMPANY FBO IAIA 401K PO BOX 10758 FARGO ND 58106-0758 |
7.69% |
|
|
|
CLASS I SHARES |
J. P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
49.77% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
|
EMPOWER TRUST FBO MICHIGAN CORPORATE SERVICES LLC 401 8515 E ORCHARD RD 2T2 GREENWOOD VILLAGE CO 80111-5002 |
9.48% |
|
|
|
CLASS L SHARES |
EMPOWER TRUST FBO FBO CERTAIN RETIREMENT PLANS 8515 E ORCHARD ROAD 2T2 GREENWOOD VILLAGE CO 80111-5002 |
25.60% |
|
|
|
|
THE GRACO FOUNDATION PO BOX 1441 MINNEAPOLIS MN 55440-1441 |
22.16% |
|
|
|
|
EMPOWER TRUST FBO DISCOUNT TIRE AMERICAS TIRE RETIREM PLAN 8515 E ORCHARD RD 2T2 GREENWOOD VILLAGE CO 80111-5002 |
21.05% |
|
|
|
|
RELIANCE TRUST COMPANY FBO MALVERN PO BOX 28004 ATLANTA GA 30358-0004 |
8.37% |
|
|
|
|
CHARLES SCHWAB & CO INC SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS ATTN MUTUAL FUNDS 211 MAIN ST SAN FRANCISCO CA 94105-1901 |
7.21% |
|
|
|
|
J. P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
6.54% |
|
|
|
CLASS R6 SHARES |
NATIONAL FINANCIAL SERVICES LLC J P MORGAN CHASE BANK N A PALOMA RHEEM INVESTMENTS 4 CHASE METROTECH CTR FL 3RD BROOKLYN NY 11245-0003 |
35.07% |
|
|
|
|
JPMIM AS AGENT FOR* BAE SYSTEMS SUPPLEMENTAL RETIREMENT TRUST ATTN CLIENT SERVICES 1111 POLARIS PKWY # OH1-0084 COLUMBUS OH 43240-2031 |
31.48% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
|
JPMIM AS AGENT FOR* MARTIN SPROCKET AND GEAR INC. ATTN: CLIENT SERVICES 1111 POLARIS PKWY OH1-0084 COLUMBUS OH 43240-2031 |
16.27% |
|
|
|
|
NATIONAL FINANCIAL SERVICES LLC KEYBANK NATIONAL ASSOCIATION KEYBANK NATIONAL ASSOCIATION PO BOX 94871 CLEVELAND OH 44101-4871 |
6.05% |
|
|
|
|
JPMIM AS AGENT FOR* STATE BOARD OF EDUCATION MICHIGAN SCHOOL FOR THE BLIND ATTN CLIENT SERVICES 1111 POLARIS PKWY # OH1-0084 COLUMBUS OH 43240-2031 |
6.04% |
JPMORGAN HEDGED 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 07310-1995 |
43.99% |
|
|
|
|
CHARLES SCHWAB & CO INC SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS ATTN: MUTUAL FUNDS 211 MAIN ST SAN FRANCISCO CA 94105-1901 |
15.31% |
|
|
|
|
J. P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
11.62% |
|
|
|
|
MORGAN STANLEY SMITH BARNEY LLC FOR THE EXCLUSIVE BENE OF ITS CUST 1 NEW YORK PLZ FL 12 NEW YORK NY 10004-1965 |
5.41% |
|
|
|
CLASS C SHARES |
J. P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
22.88% |
|
|
|
|
WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET STREET ST LOUIS MO 63103-2523 |
15.65% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
|
AMERICAN ENTERPRISE INVESTMENT SVC 707 2ND AVE S MINNEAPOLIS MN 55402-2405 |
10.45% |
|
|
|
|
MORGAN STANLEY SMITH BARNEY LLC FOR THE EXCLUSIVE BENE OF ITS CUST 1 NEW YORK PLZ FL 12 NEW YORK NY 10004-1965 |
10.34% |
|
|
|
|
RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS ATTN COURTNEY WALLER 880 CARILLON PKWY ST PETERSBURG FL 33716-1100 |
8.05% |
|
|
|
|
NATIONAL FINANCIAL SERVICES LLC FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS 499 WASHINGTON BLVD ATTN MUTUAL FUNDS DEPT 4TH FLOOR JERSEY CITY NJ 07310-1995 |
8.01% |
|
|
|
|
LPL FINANCIAL OMNIBUS CUSTOMER ACCOUNT ATTN MUTUAL FUND TRADING 4707 EXECUTIVE DR SAN DIEGO CA 92121-3091 |
7.99% |
|
|
|
|
PERSHING LLC P.O. BOX 2052 JERSEY CITY NJ 07303-2052 |
7.85% |
|
|
|
CLASS I SHARES |
CHARLES SCHWAB & CO INC SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS ATTN: MUTUAL FUNDS 211 MAIN ST SAN FRANCISCO CA 94105-1901 |
21.58% |
|
|
|
|
NATIONAL FINANCIAL SERVICES LLC FOR THE EXCLUSIVE BENEFIT OF OUR CUSTOMERS ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY CITY NJ 07310-1995 |
21.46% |
|
|
|
|
PERSHING LLC P.O. BOX 2052 JERSEY CITY NJ 07303-2052 |
10.09% |
|
|
|
|
MORGAN STANLEY SMITH BARNEY LLC FOR THE EXCLUSIVE BENE OF ITS CUST 1 NEW YORK PLZ FL 12 NEW YORK NY 10004-1965 |
8.77% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
|
LPL FINANCIAL OMNIBUS CUSTOMER ACCOUNT ATTN MUTUAL FUND TRADING 4707 EXECUTIVE DR SAN DIEGO CA 92121-3091 |
7.60% |
|
|
|
|
AMERICAN ENTERPRISE INVESTMENT SVC 707 2ND AVE S MINNEAPOLIS MN 55402-2405 |
7.34% |
|
|
|
|
WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET STREET ST LOUIS MO 63103-2523 |
6.05% |
|
|
|
|
RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS ATTN COURTNEY WALLER 880 CARILLON PKWY ST PETERSBURG FL 33716-1100 |
5.94% |
|
|
|
CLASS R5 SHARES |
ASCENSUS TRUST COMPANY FBO R G JOHNSON COMPANY INC PO BOX 10758 FARGO ND 58106-0758 |
41.27% |
|
|
|
|
FIDELITY INVESTMENT INST OPERATIONS CUST FBO AMERICAN TANK & VESSEL, INC. 100 MAGELLAN WAY #KWIC COVINGTON KY 41015-1999 |
29.74% |
|
|
|
|
NATIONAL FINANCIAL SERVICES LLC 499 WASHINGTON BLVD JERSEY CITY NJ 07310-1995 |
13.86% |
|
|
|
CLASS R6 SHARES |
J. P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
29.92% |
|
|
|
|
SEI PRIVATE TRUST COMPANY C/O REGIONS BANK ONE FREEDOM VALLEY DRIVE OAKS PA 19456-9989 |
12.12% |
|
|
|
|
MORI & CO 922 WALNUT ST MAILSTOP TBTS 2 KANSAS CITY MO 64106-1802 |
11.32% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
|
NATIONAL FINANCIAL SERVICES LLC MARIL & CO AS NOMINEE AGENT FOR RELIANCE TRUST COMPANY 201 17TH ST NW STE 1000 ATLANTA GA 30363-1195 |
10.36% |
JPMORGAN MID CAP EQUITY FUND | ||
CLASS A SHARES |
EDWARD D JONES & CO FOR THE BENEFIT OF CUSTOMERS 12555 MANCHESTER RD SAINT LOUIS MO 63131-3710 |
88.93% |
|
|
|
CLASS C SHARES |
J. P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
16.87% |
|
|
|
|
EDWARD D JONES & CO FOR THE BENEFIT OF CUSTOMERS 12555 MANCHESTER RD SAINT LOUIS MO 63131-3710 |
16.80% |
|
|
|
|
WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET STREET ST LOUIS MO 63103-2523 |
15.39% |
|
|
|
|
RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS ATTN COURTNEY WALLER 880 CARILLON PKWY ST PETERSBURG FL 33716-1100 |
12.82% |
|
|
|
|
PERSHING LLC P.O. BOX 2052 JERSEY CITY NJ 07303-2052 |
9.52% |
|
|
|
|
AMERICAN ENTERPRISE INVESTMENT SVC 707 2ND AVE S MINNEAPOLIS MN 55402-2405 |
9.26% |
|
|
|
|
NATIONAL FINANCIAL SERVICES LLC FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS 499 WASHINGTON BLVD ATTN MUTUAL FUNDS DEPT 4TH FLOOR JERSEY CITY NJ 07310-1995 |
5.96% |
|
|
|
CLASS I SHARES |
AMERICAN ENTERPRISE INVESTMENT SVC 707 2ND AVE S MINNEAPOLIS MN 55402-2405 |
52.81% |
Name of Fund |
Name and Address of Shareholder |
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 07310-1995 |
16.47% |
|
|
|
|
J. P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
8.25% |
|
|
|
|
LPL FINANCIAL OMNIBUS CUSTOMER ACCOUNT ATTN MUTUAL FUND TRADING 4707 EXECUTIVE DR SAN DIEGO CA 92121-3091 |
5.95% |
|
|
|
CLASS R2 SHARES |
EMPOWER TRUST FBO EMPOWER BENEFIT PLANS 8515 E ORCHARD RD # 2T2 GREENWOOD VLG CO 80111-5002 |
12.21% |
|
|
|
|
MATRIX TRUST COMPANY AS AGENT FOR ADVISOR TRUST INC PEEKSKILL CITY SCHOOL DISTRICT 717 17TH ST STE 1300 DENVER CO 80202-3304 |
9.33% |
|
|
|
|
FIDELITY INVESTMENTS INST OPERATIONS CO INC AS AGENT FOR FBO VEHICLE SOURCE PRODUCTS, INC. 401(K) PLAN 100 MAGELLAN WAY #KWIC COVINGTON KY 41015-1999 |
5.50% |
|
|
|
CLASS R5 SHARES |
FIRST STATE TRUST COMPANY 1 DELAWARE CORPORATE CENTER I 1 RIGHTER PKWY STE 120 WILMINGTON DE 19803-1533 |
87.92% |
|
|
|
|
MATRIX TRUST COMPANY AS AGENT FOR ADVISOR TRUST INC CHURCH AND CLERGY 403(B) PLAN 717 17TH ST STE 1300 DENVER CO 80202-3304 |
6.38% |
|
|
|
CLASS R6 SHARES |
EDWARD D JONES & CO FOR THE BENEFIT OF CUSTOMERS 12555 MANCHESTER RD SAINT LOUIS MO 63131-3710 |
59.19% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
|
J. P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
14.97% |
|
|
|
|
MAC & CO ATTN MUTUAL FUND OPS PO BOX 3198 525 WILLIAM PENN PLACE PITTSBURGH PA 15230-3198 |
8.09% |
|
|
|
|
NATIONAL FINANCIAL SERVICES LLC 499 WASHINGTON BLVD JERSEY CITY NJ 07310-1995 |
5.03% |
JPMORGAN SMALL CAP BLEND FUND | ||
CLASS A SHARES |
EDWARD D JONES & CO FOR THE BENEFIT OF CUSTOMERS 12555 MANCHESTER RD SAINT LOUIS MO 63131-3710 |
70.38% |
|
|
|
|
J. P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
5.52% |
|
|
|
CLASS C SHARES |
MORGAN STANLEY SMITH BARNEY LLC FOR THE EXCLUSIVE BENE OF ITS CUST 1 NEW YORK PLZ FL 12 NEW YORK NY 10004-1965 |
24.11% |
|
|
|
|
PERSHING LLC P.O. BOX 2052 JERSEY CITY NJ 07303-2052 |
16.75% |
|
|
|
|
WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET STREET ST LOUIS MO 63103-2523 |
13.57% |
|
|
|
|
J. P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
13.14% |
|
|
|
CLASS I SHARES |
MORGAN STANLEY SMITH BARNEY LLC FOR THE EXCLUSIVE BENE OF ITS CUST 1 NEW YORK PLZ FL 12 NEW YORK NY 10004-1965 |
23.65% |
Name of Fund |
Name and Address of Shareholder |
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 07310-1995 |
17.84% |
|
|
|
|
PERSHING LLC P.O. BOX 2052 JERSEY CITY NJ 07303-2052 |
12.08% |
|
|
|
|
RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS ATTN COURTNEY WALLER 880 CARILLON PKWY ST PETERSBURG FL 33716-1100 |
9.93% |
|
|
|
|
CHARLES SCHWAB & CO INC SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS ATTN: MUTUAL FUNDS 211 MAIN ST SAN FRANCISCO CA 94105-1901 |
9.80% |
|
|
|
|
LPL FINANCIAL OMNIBUS CUSTOMER ACCOUNT ATTN MUTUAL FUND TRADING 4707 EXECUTIVE DR SAN DIEGO CA 92121-3091 |
9.26% |
|
|
|
|
AMERICAN ENTERPRISE INVESTMENT SVC 707 2ND AVE S MINNEAPOLIS MN 55402-2405 |
6.53% |
|
|
|
CLASS R6 SHARES |
EDWARD D JONES & CO FOR THE BENEFIT OF CUSTOMERS 12555 MANCHESTER RD SAINT LOUIS MO 63131-3710 |
96.62% |
JPMORGAN SMALL CAP EQUITY FUND | ||
CLASS A SHARES |
CHARLES SCHWAB & CO INC REINVEST ACCOUNT ATTN: MUTUAL FUNDS DEPT 211 MAIN ST SAN FRANCISCO CA 94105-1901 |
13.68% |
|
|
|
|
EDWARD D JONES & CO FOR THE BENEFIT OF CUSTOMERS 12555 MANCHESTER RD SAINT LOUIS MO 63131-3710 |
10.58% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
|
NATIONAL FINANCIAL SERVICES LLC FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS 499 WASHINGTON BLVD ATTN MUTUAL FUNDS DEPT 4TH FLOOR JERSEY CITY NJ 07310-1995 |
10.08% |
|
|
|
|
J. P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
9.64% |
|
|
|
CLASS C SHARES |
WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET STREET ST LOUIS MO 63103-2523 |
19.76% |
|
|
|
|
LPL FINANCIAL OMNIBUS CUSTOMER ACCOUNT ATTN MUTUAL FUND TRADING 4707 EXECUTIVE DR SAN DIEGO CA 92121-3091 |
12.68% |
|
|
|
|
PERSHING LLC P.O. BOX 2052 JERSEY CITY NJ 07303-2052 |
12.08% |
|
|
|
|
RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS ATTN COURTNEY WALLER 880 CARILLON PKWY ST PETERSBURG FL 33716-1100 |
10.24% |
|
|
|
|
J. P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
8.01% |
|
|
|
|
NATIONAL FINANCIAL SERVICES LLC FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS 499 WASHINGTON BLVD ATTN MUTUAL FUNDS DEPT 4TH FLOOR JERSEY CITY NJ 07310-1995 |
7.71% |
|
|
|
|
MORGAN STANLEY SMITH BARNEY LLC FOR THE EXCLUSIVE BENE OF ITS CUST 1 NEW YORK PLZ FL 12 NEW YORK NY 10004-1965 |
5.69% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
|
UBS WM USA OMNI ACCOUNT M/F SPEC CDY A/C EBOC UBSFSI 1000 HARBOR BLVD WEEHAWKEN NJ 07086-6761 |
5.20% |
|
|
|
|
RBC CAPITAL MARKETS LLC MUTUAL FUND OMNIBUS PROCESSING OMNIBUS ATTN MUTUAL FUND OPS MANAGER 250 NICOLLET MALL SUITE 1400 MINNEAPOLIS MN 55401-7582 |
5.07% |
|
|
|
CLASS I SHARES |
NATIONAL FINANCIAL SERVICES LLC FOR THE EXCLUSIVE BENEFIT OF OUR CUSTOMERS ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY CITY NJ 07310-1995 |
17.57% |
|
|
|
|
CHARLES SCHWAB & CO INC SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS ATTN: MUTUAL FUNDS 211 MAIN ST SAN FRANCISCO CA 94105-1901 |
15.62% |
|
|
|
|
RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS ATTN COURTNEY WALLER 880 CARILLON PKWY ST PETERSBURG FL 33716-1100 |
12.71% |
|
|
|
|
WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET STREET ST LOUIS MO 63103-2523 |
11.05% |
|
|
|
|
J. P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
8.16% |
|
|
|
|
LPL FINANCIAL OMNIBUS CUSTOMER ACCOUNT ATTN MUTUAL FUND TRADING 4707 EXECUTIVE DR SAN DIEGO CA 92121-3091 |
5.43% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
CLASS R2 SHARES |
DCGT TRUSTEE & OR CUSTODIAN FBO PLIC VARIOUS RETIREMENT PLANS OMNIBUS ATTN NPIO TRADE DESK 711 HIGH ST DES MOINES IA 50392-0001 |
16.16% |
|
|
|
|
NATIONAL FINANCIAL SERVICES LLC FIIOC AS AGENT FOR QUALIFIED EMPLOYEE BENEFIT PLANS (401K) FINOPS-IC FUNDS 100 MAGELLAN WAY # KW1C COVINGTON KY 41015-1987 |
11.07% |
|
|
|
|
MATRIX TRUST COMPANY CUST FBO DOMINION CARTON CORPORATION 717 17TH ST STE 1300 DENVER CO 80202-3304 |
10.33% |
|
|
|
|
MID ATLANTIC TRUST COMPANY FBO AK ASSOCIATES 401(K) PROFIT SHARING 1251 WATERFRONT PLACE, SUITE 525 PITTSBURGH PA 15222-4228 |
7.38% |
|
|
|
|
EQUITABLE LIFE FOR SEPARATE ACCT 65 ON BEHALF OF VARIOUS 401 K PLANS EQUITABLE LIFE 525 WASHINGTON BLVD JERSEY CITY NJ 07310-1606 |
6.19% |
|
|
|
CLASS R3 SHARES |
MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS ATTN FUND ADMINISTRATION 4800 DEER LAKE DR E FL 3 JACKSONVILLE FL 32246-6484 |
59.01% |
|
|
|
|
EMPOWER TRUST COMPANY LLC TTEE F EMPLOYEE BENEFITS CLIENTS 401K 8515 E ORCHARD RD # 2T2 GREENWOOD VLG CO 80111-5002 |
22.11% |
|
|
|
|
NATIONWIDE TRUST COMPANY FSB C/O IPO PORTFOLIO ACCOUNTING PO BOX 182029 COLUMBUS OH 43218-2029 |
16.10% |
|
|
|
CLASS R4 SHARES |
EMPOWER TRUST COMPANY LLC TTEE F EMPLOYEE BENEFITS CLIENTS 401K 8515 E ORCHARD RD # 2T2 GREENWOOD VLG CO 80111-5002 |
99.30% |
|
|
|
CLASS R5 SHARES |
NATIONAL FINANCIAL SERVICES LLC 499 WASHINGTON BLVD JERSEY CITY NJ 07310-1995 |
18.64% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
|
DCGT TRUSTEE & OR CUSTODIAN FBO PLIC VARIOUS RETIREMENT PLANS OMNIBUS ATTN NPIO TRADE DESK 711 HIGH ST DES MOINES IA 50392-0001 |
16.64% |
|
|
|
|
RELIANCE TRUST COMPANY FBO T ROWE PRICE RETIREMENT PLAN CLIENTS PO BOX 78446 ATLANTA GEORGIA 30357 |
9.68% |
|
|
|
|
EMPOWER TRUST FBO VIASAT INC 401K PROFIT SHARING PLAN 8515 E ORCHARD RD 2T2 GREENWOOD VILLAGE CO 80111-5002 |
7.10% |
|
|
|
|
MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS ATTN FUND ADMINISTRATION 4800 DEER LAKE DR E FL 3 JACKSONVILLE FL 32246-6484 |
6.31% |
|
|
|
|
EMPOWER TRUST FBO EMPLOYEE BENEFIT CLIENTS 401K 8515 E ORCHARD RD # 2T2 GREENWOOD VLG CO 80111-5002 |
5.71% |
|
|
|
CLASS R6 SHARES |
NATIONAL FINANCIAL SERVICES LLC 499 WASHINGTON BLVD JERSEY CITY NJ 07310-1995 |
15.84% |
|
|
|
|
MAC & CO ATTN MUTUAL FUND OPS PO BOX 3198 525 WILLIAM PENN PLACE PITTSBURGH PA 15230-3198 |
13.86% |
|
|
|
|
EDWARD D JONES & CO FOR THE BENEFIT OF CUSTOMERS 12555 MANCHESTER RD SAINT LOUIS MO 63131-3710 |
9.91% |
|
|
|
|
J. P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
9.50% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
|
DCGT AS TTEE AND/OR CUST FBO PLIC VARIOUS RETIREMENT PLANS OMNIBUS ATTN NPIO TRADE DESK 711 HIGH ST DES MOINES IA 50392-0001 |
8.46% |
JPMORGAN U.S. APPLIED DATA SCIENCE VALUE FUND | ||
CLASS A SHARES |
J. P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
15.52% |
|
|
|
|
WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET STREET ST LOUIS MO 63103-2523 |
15.40% |
|
|
|
|
LPL FINANCIAL OMNIBUS CUSTOMER ACCOUNT ATTN MUTUAL FUND TRADING 4707 EXECUTIVE DR SAN DIEGO CA 92121-3091 |
10.18% |
|
|
|
|
NATIONAL FINANCIAL SERVICES LLC FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS 499 WASHINGTON BLVD ATTN MUTUAL FUNDS DEPT 4TH FLOOR JERSEY CITY NJ 07310-1995 |
7.79% |
|
|
|
|
PERSHING LLC P.O. BOX 2052 JERSEY CITY NJ 07303-2052 |
5.45% |
|
|
|
|
MORGAN STANLEY SMITH BARNEY LLC FOR THE EXCLUSIVE BENE OF ITS CUST 1 NEW YORK PLZ FL 12 NEW YORK NY 10004-1965 |
5.11% |
|
|
|
CLASS C SHARES |
WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET STREET ST LOUIS MO 63103-2523 |
37.10% |
|
|
|
|
LPL FINANCIAL OMNIBUS CUSTOMER ACCOUNT ATTN MUTUAL FUND TRADING 4707 EXECUTIVE DR SAN DIEGO CA 92121-3091 |
31.70% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
|
STIFEL NICOLAUS & CO INC EXCLUSIVE BENEFIT OF CUSTOMERS 501 N BROADWAY SAINT LOUIS MO 63102-2188 |
7.63% |
|
|
|
|
RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS ATTN COURTNEY WALLER 880 CARILLON PKWY ST PETERSBURG FL 33716-1100 |
5.09% |
|
|
|
CLASS I SHARES |
WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET STREET ST LOUIS MO 63103-2523 |
17.42% |
|
|
|
|
PERSHING LLC P.O. BOX 2052 JERSEY CITY NJ 07303-2052 |
14.88% |
|
|
|
|
LPL FINANCIAL OMNIBUS CUSTOMER ACCOUNT ATTN MUTUAL FUND TRADING 4707 EXECUTIVE DR SAN DIEGO CA 92121-3091 |
13.31% |
|
|
|
|
EMPOWER TRUST FBO FBO CERTAIN RETIREMENT PLANS 8515 E ORCHARD ROAD 2T2 GREENWOOD VILLAGE CO 80111-5002 |
10.96% |
|
|
|
|
CHARLES SCHWAB & CO INC SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS ATTN: MUTUAL FUNDS 211 MAIN ST SAN FRANCISCO CA 94105-1901 |
10.48% |
|
|
|
|
RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS ATTN COURTNEY WALLER 880 CARILLON PKWY ST PETERSBURG FL 33716-1100 |
9.25% |
|
|
|
|
NATIONAL FINANCIAL SERVICES LLC FOR THE EXCLUSIVE BENEFIT OF OUR CUSTOMERS ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY CITY NJ 07310-1995 |
6.72% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
CLASS R2 SHARES |
ASCENSUS TRUST COMPANY FBO THREE WAY CHEVROLET CO. 401(K) PLAN P.O. BOX 10758 FARGO ND 58106-0758 |
40.04% |
|
|
|
|
FIIOC AS AGENT FOR FBO ROBINSON GREEN BERETTA CORPORATION 100 MAGELLAN WAY #KWIC COVINGTON KY 41015-1987 |
9.44% |
|
|
|
|
MID ATLANTIC TRUST COMPANY FBO SFA INTERIORS INC. 401(K) PSP & TRU 1251 WATERFRONT PLACE, SUITE 525 PITTSBURGH PA 15222-4228 |
7.31% |
|
|
|
|
MID ATLANTIC TRUST COMPANY FBO SELECT DOOR AND WINDOW INC 401(K) P 1251 WATERFRONT PLACE, SUITE 525 PITTSBURGH PA 15222-4228 |
6.90% |
|
|
|
|
FIDELITY INVESTMENTS INST OPERATIONS CUST FBO CLARKSON WALSH TERRELL & COULTER, PA 401(K) PROFIT SHARING PLAN 100 MAGELLAN WAY #KWIC COVINGTON KY 41015-1999 |
6.79% |
|
|
|
|
MID ATLANTIC TRUST COMPANY FBO BARRON VETERINARY CLINIC 401(K) PRO 1251 WATERFRONT PLACE, SUITE 525 PITTSBURGH PA 15222-4228 |
5.62% |
|
|
|
CLASS R5 SHARES |
EMPOWER TRUST FBO RESCAR COMPANIES PSP & 401K 8515 E ORCHARD RD 2T2 GREENWOOD VILLAGE CO 80111-5002 |
41.42% |
|
|
|
|
NATIONWIDE TRUST COMPANY FSB C/O IPO PORTFOLIO ACCOUNTING PO BOX 182029 COLUMBUS OH 43218-2029 |
24.61% |
|
|
|
|
MID ATLANTIC TRUST COMPANY FBO AQUA PHARMACEUTICALS LLC 401(K) PRO 1251 WATERFRONT PLACE, SUITE 525 PITTSBURGH PA 15222-4228 |
10.51% |
|
|
|
|
CHARLES SCHWAB & CO INC SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS ATTN MUTUAL FUNDS 211 MAIN ST SAN FRANCISCO CA 94105-1901 |
5.89% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
|
MID ATLANTIC TRUST COMPANY FBO HERBERT E MACCOMBIE INC 401(K) PROF 1251 WATERFRONT PLACE, SUITE 525 PITTSBURGH PA 15222-4228 |
5.77% |
|
|
|
|
MATRIX TRUST COMPANY TRUSTEE FRONT PORCH MARKETING LLC 717 17TH ST STE 1300 DENVER CO 80202-3304 |
5.40% |
|
|
|
CLASS R6 SHARES |
NATIONAL FINANCIAL SERVICES LLC 499 WASHINGTON BLVD JERSEY CITY NJ 07310-1995 |
29.58% |
|
|
|
|
DCGT AS TTEE AND/OR CUST FBO PLIC VARIOUS RETIREMENT PLANS OMNIBUS ATTN NPIO TRADE DESK 711 HIGH ST DES MOINES IA 50392-0001 |
28.33% |
|
|
|
|
EMPOWER TRUST FBO EMPOWER BENEFIT PLANS 8515 E ORCHARD RD 2T2 GREENWOOD VILLAGE CO 80111-5002 |
6.36% |
JPMORGAN U.S. EQUITY FUND | ||
CLASS A SHARES |
EDWARD D JONES & CO FOR THE BENEFIT OF CUSTOMERS 12555 MANCHESTER RD SAINT LOUIS MO 63131-3710 |
28.03% |
|
|
|
|
J. P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
19.43% |
|
|
|
|
CHARLES SCHWAB & CO INC REINVEST ACCOUNT ATTN: MUTUAL FUNDS DEPT 211 MAIN ST SAN FRANCISCO CA 94105-1901 |
6.38% |
|
|
|
|
STATE STREET BANK & TRUST AS TRUSTEE AND/OR CUSTODIAN FBO ADP ACCESS PRODUCT PO BOX 5501 BOSTON MA 02206-5501 |
5.64% |
|
|
|
CLASS C SHARES |
J. P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
31.82% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
|
WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET STREET ST LOUIS MO 63103-2523 |
17.59% |
|
|
|
|
AMERICAN ENTERPRISE INVESTMENT SVC 707 2ND AVE S MINNEAPOLIS MN 55402-2405 |
9.83% |
|
|
|
|
MORGAN STANLEY SMITH BARNEY LLC FOR THE EXCLUSIVE BENE OF ITS CUST 1 NEW YORK PLZ FL 12 NEW YORK NY 10004-1965 |
9.56% |
|
|
|
|
PERSHING LLC P.O. BOX 2052 JERSEY CITY NJ 07303-2052 |
7.30% |
|
|
|
|
RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS ATTN COURTNEY WALLER 880 CARILLON PKWY ST PETERSBURG FL 33716-1100 |
6.55% |
|
|
|
|
STIFEL NICOLAUS & CO INC EXCLUSIVE BENEFIT OF CUSTOMERS 501 N BROADWAY SAINT LOUIS MO 63102-2188 |
5.12% |
|
|
|
CLASS I SHARES |
NATIONAL FINANCIAL SERVICES LLC FOR THE EXCLUSIVE BENEFIT OF OUR CUSTOMERS ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY CITY NJ 07310-1995 |
33.74% |
|
|
|
|
AMERICAN ENTERPRISE INVESTMENT SVC 707 2ND AVE S MINNEAPOLIS MN 55402-2405 |
11.04% |
|
|
|
|
LPL FINANCIAL OMNIBUS CUSTOMER ACCOUNT ATTN MUTUAL FUND TRADING 4707 EXECUTIVE DR SAN DIEGO CA 92121-3091 |
10.11% |
|
|
|
|
PERSHING LLC P.O. BOX 2052 JERSEY CITY NJ 07303-2052 |
8.88% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
|
MORGAN STANLEY SMITH BARNEY LLC FOR THE EXCLUSIVE BENE OF ITS CUST 1 NEW YORK PLZ FL 12 NEW YORK NY 10004-1965 |
6.82% |
|
|
|
|
J. P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
5.95% |
|
|
|
CLASS L SHARES |
NATIONAL FINANCIAL SERVICES LLC FOR THE EXCLUSIVE BENEFIT OF OUR CUSTOMERS ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY CITY NJ 07310-1995 |
36.89% |
|
|
|
|
WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET STREET ST LOUIS MO 63103-2523 |
31.04% |
|
|
|
|
RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS ATTN COURTNEY WALLER 880 CARILLON PKWY ST PETERSBURG FL 33716-1100 |
7.23% |
|
|
|
|
CHARLES SCHWAB & CO INC SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS ATTN MUTUAL FUNDS 211 MAIN ST SAN FRANCISCO CA 94105-1901 |
6.78% |
|
|
|
|
STIFEL NICOLAUS & CO INC EXCLUSIVE BENEFIT OF CUSTOMERS 501 N BROADWAY SAINT LOUIS MO 63102-2188 |
5.32% |
|
|
|
CLASS R2 SHARES |
STATE STREET BANK & TRUST AS TRUSTEE AND/OR CUSTODIAN FBO ADP ACCESS PRODUCT PO BOX 5501 BOSTON MA 02206-5501 |
51.18% |
|
|
|
|
HARTFORD LIFE INSURANCE COMPANY SEPARATE ACCOUNT ATTN UIT OPERATIONS PO BOX 2999 HARTFORD CT 06104-2999 |
16.24% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
|
MASSACHUSETTS MUTUAL LIFE INSURANCE 1295 STATE STREET MIP M200-INVST SPRINGFIELD MA 01111-0001 |
10.14% |
|
|
|
CLASS R3 SHARES |
STATE STREET BANK & TRUST AS TRUSTEE AND/OR CUSTODIAN FBO ADP ACCESS PRODUCT PO BOX 5501 BOSTON MA 02206-5501 |
47.25% |
|
|
|
|
THE HARTFORD 1 HARTFORD PLZ HARTFORD CT 06155-0001 |
13.40% |
|
|
|
|
MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS ATTN FUND ADMINISTRATION 4800 DEER LAKE DR E FL 3 JACKSONVILLE FL 32246-6484 |
8.47% |
|
|
|
|
NATIONAL FINANCIAL SERVICES LLC 499 WASHINGTON BLVD JERSEY CITY NJ 07310-1995 |
6.45% |
|
|
|
CLASS R4 SHARES |
NATIONAL FINANCIAL SERVICES LLC 499 WASHINGTON BLVD JERSEY CITY NJ 07310-1995 |
14.77% |
|
|
|
|
EMPOWER TRUST COMPANY LLC TTEE F EMPLOYEE BENEFITS CLIENTS 401K 8515 E ORCHARD RD # 2T2 GREENWOOD VLG CO 80111-5002 |
12.03% |
|
|
|
|
MASSACHUSETTS MUTUAL LIFE INSURANCE 1295 STATE STREET MIP M200-INVST SPRINGFIELD MA 01111-0001 |
11.89% |
|
|
|
|
EMPOWER TRUST FBO EMPOWER BENEFIT PLANS 8515 E ORCHARD RD 2T2 GREENWOOD VILLAGE CO 80111-5002 |
10.40% |
|
|
|
|
STATE STREET BANK & TRUST AS TRUSTEE AND/OR CUSTODIAN FBO ADP ACCESS PRODUCT PO BOX 5501 BOSTON MA 02206-5501 |
8.63% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
|
EMPOWER TRUST FBO RECORDKEEPING FOR EMPLOYEE BENEFITS 8515 E ORCHARD RD 2T2 GREENWOOD VILLAGE CO 80111-5002 |
8.20% |
|
|
|
|
EMPOWER TRUST FBO EMPLOYEE BENEFIT CLIENTS 401K 8515 E ORCHARD RD # 2T2 GREENWOOD VLG CO 80111-5002 |
7.25% |
|
|
|
|
MATRIX TRUST COMPANY AS AGENT FOR NEWPORT TRUST COMPANY KINDERCARE EDUCATION LLC NONQUALIFE 35 IRON POINT CIR STE 300 FOLSOM CA 95630-8589 |
5.02% |
|
|
|
CLASS R5 SHARES |
JOHN HANCOCK LIFE INS CO (USA) ATTN JHRPS TRADING OPS ST6 200 BERKELEY STREET BOSTON MA 02116-5022 |
48.34% |
|
|
|
|
NATIONAL FINANCIAL SERVICES LLC 499 WASHINGTON BLVD JERSEY CITY NJ 07310-1995 |
6.47% |
|
|
|
CLASS R6 SHARES |
EDWARD D JONES & CO FOR THE BENEFIT OF CUSTOMERS 12555 MANCHESTER RD SAINT LOUIS MO 63131-3710 |
13.33% |
|
|
|
|
J. P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
10.46% |
|
|
|
|
NATIONAL FINANCIAL SERVICES LLC 499 WASHINGTON BLVD JERSEY CITY NJ 07310-1995 |
10.21% |
JPMORGAN U.S. GARP EQUITY FUND | ||
CLASS 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 |
23.69% |
|
|
|
|
NATIONAL FINANCIAL SERVICES LLC FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS 499 WASHINGTON BLVD ATTN MUTUAL FUNDS DEPT 4TH FLOOR JERSEY CITY NJ 07310-1995 |
13.28% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
|
J. P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
13.17% |
|
|
|
|
WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET STREET ST LOUIS MO 63103-2523 |
9.16% |
|
|
|
|
EDWARD D JONES & CO FOR THE BENEFIT OF CUSTOMERS 12555 MANCHESTER RD SAINT LOUIS MO 63131-3710 |
6.29% |
|
|
|
CLASS C SHARES |
WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET STREET ST LOUIS MO 63103-2523 |
27.59% |
|
|
|
|
PERSHING LLC P.O. BOX 2052 JERSEY CITY NJ 07303-2052 |
10.94% |
|
|
|
|
RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS ATTN COURTNEY WALLER 880 CARILLON PKWY ST PETERSBURG FL 33716-1100 |
7.84% |
|
|
|
|
MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS ATTN FUND ADMINISTRATION 4800 DEER LAKE DR E FL 3 JACKSONVILLE FL 32246-6484 |
6.82% |
|
|
|
|
NATIONAL FINANCIAL SERVICES LLC FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS 499 WASHINGTON BLVD ATTN MUTUAL FUNDS DEPT 4TH FLOOR JERSEY CITY NJ 07310-1995 |
6.71% |
|
|
|
|
J. P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
6.33% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
|
LPL FINANCIAL OMNIBUS CUSTOMER ACCOUNT ATTN MUTUAL FUND TRADING 4707 EXECUTIVE DR SAN DIEGO CA 92121-3091 |
5.79% |
|
|
|
CLASS I SHARES |
PERSHING LLC P.O. BOX 2052 JERSEY CITY NJ 07303-2052 |
19.64% |
|
|
|
|
MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS ATTN FUND ADMINISTRATION 4800 DEER LAKE DR E FL 3 JACKSONVILLE FL 32246-6484 |
15.57% |
|
|
|
|
LPL FINANCIAL OMNIBUS CUSTOMER ACCOUNT ATTN MUTUAL FUND TRADING 4707 EXECUTIVE DR SAN DIEGO CA 92121-3091 |
12.83% |
|
|
|
|
NATIONAL FINANCIAL SERVICES LLC FOR THE EXCLUSIVE BENEFIT OF OUR CUSTOMERS ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY CITY NJ 07310-1995 |
10.80% |
|
|
|
|
J. P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
8.31% |
|
|
|
|
CHARLES SCHWAB & CO INC SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS ATTN: MUTUAL FUNDS 211 MAIN ST SAN FRANCISCO CA 94105-1901 |
6.39% |
|
|
|
|
WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET STREET ST LOUIS MO 63103-2523 |
6.25% |
|
|
|
CLASS R2 SHARES |
STATE STREET BANK & TRUST AS TRUSTEE AND/OR CUSTODIAN FBO ADP ACCESS PRODUCT PO BOX 5501 BOSTON MA 02206-5501 |
7.79% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
CLASS R5 SHARES |
EMPOWER TRUST FBO PEARSON RETIREMENT PLAN 401K 8525 E ORCHARD RD GREENWOOD VLG CO 80111-5002 |
82.22% |
|
|
|
|
NATIONWIDE TRUST COMPANY FSB C/O IPO PORTFOLIO ACCOUNTING PO BOX 182029 COLUMBUS OH 43218-2029 |
7.67% |
|
|
|
CLASS R6 SHARES |
JPMIM AS AGENT FOR* JPMORGAN INVESTOR GROWTH FUND ATTN CLIENT SERVICES 500 STANTON CHRISTIANA RD DE3-3650 NEWARK DE 19713-2105 |
29.85% |
|
|
|
|
JPMIM AS AGENT FOR* JPMORGAN INVESTOR BALANCED FUND ATTN CLIENT SERVICES 500 STANTON CHRISTIANA RD DE3-3650 NEWARK DE 19713-2105 |
22.10% |
|
|
|
|
JPMIM AS AGENT FOR* JPMORGAN INVESTOR GROWTH AND INCOME ATTN CLIENT SERVICES 500 STANTON CHRISTIANA RD DE3-3650 NEWARK DE 19713-2105 |
17.57% |
|
|
|
|
JPMIM AS AGENT FOR* JPMORGAN INVESTOR CONSERVATIVE GROWTH FUND ATTN CLIENT SERVICES 500 STANTON CHRISTIANA RD DE3-3650 NEWARK DE 19713-2105 |
9.87% |
|
|
|
|
NATIONAL FINANCIAL SERVICES LLC 499 WASHINGTON BLVD JERSEY CITY NJ 07310-1995 |
6.72% |
JPMORGAN U.S. LARGE CAP CORE PLUS FUND | ||
CLASS A SHARES |
J. P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
24.35% |
|
|
|
|
PERSHING LLC P.O. BOX 2052 JERSEY CITY NJ 07303-2052 |
10.61% |
|
|
|
|
MORGAN STANLEY SMITH BARNEY LLC FOR THE EXCLUSIVE BENE OF ITS CUST 1 NEW YORK PLZ FL 12 NEW YORK NY 10004-1965 |
9.52% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
|
WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET STREET ST LOUIS MO 63103-2523 |
7.74% |
|
|
|
|
NATIONAL FINANCIAL SERVICES LLC FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS 499 WASHINGTON BLVD ATTN MUTUAL FUNDS DEPT 4TH FLOOR JERSEY CITY NJ 07310-1995 |
7.19% |
|
|
|
|
CHARLES SCHWAB & CO INC SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS ATTN: MUTUAL FUNDS 211 MAIN ST SAN FRANCISCO CA 94105-1901 |
6.14% |
|
|
|
|
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% |
|
|
|
CLASS C SHARES |
RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS ATTN COURTNEY WALLER 880 CARILLON PKWY ST PETERSBURG FL 33716-1100 |
26.61% |
|
|
|
|
PERSHING LLC P.O. BOX 2052 JERSEY CITY NJ 07303-2052 |
15.53% |
|
|
|
|
WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET STREET ST LOUIS MO 63103-2523 |
14.54% |
|
|
|
|
J. P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
12.34% |
|
|
|
|
MORGAN STANLEY SMITH BARNEY LLC FOR THE EXCLUSIVE BENE OF ITS CUST 1 NEW YORK PLZ FL 12 NEW YORK NY 10004-1965 |
8.87% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
|
AMERICAN ENTERPRISE INVESTMENT SVC 707 2ND AVE S MINNEAPOLIS MN 55402-2405 |
5.53% |
|
|
|
CLASS I SHARES |
J. P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
12.03% |
|
|
|
|
NATIONAL FINANCIAL SERVICES LLC FOR THE EXCLUSIVE BENEFIT OF OUR CUSTOMERS ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY CITY NJ 07310-1995 |
10.97% |
|
|
|
|
MORGAN STANLEY SMITH BARNEY LLC FOR THE EXCLUSIVE BENE OF ITS CUST 1 NEW YORK PLZ FL 12 NEW YORK NY 10004-1965 |
10.44% |
|
|
|
|
LPL FINANCIAL OMNIBUS CUSTOMER ACCOUNT ATTN MUTUAL FUND TRADING 4707 EXECUTIVE DR SAN DIEGO CA 92121-3091 |
9.93% |
|
|
|
|
RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS ATTN COURTNEY WALLER 880 CARILLON PKWY ST PETERSBURG FL 33716-1100 |
9.73% |
|
|
|
|
AMERICAN ENTERPRISE INVESTMENT SVC 707 2ND AVE S MINNEAPOLIS MN 55402-2405 |
9.60% |
|
|
|
|
PERSHING LLC P.O. BOX 2052 JERSEY CITY NJ 07303-2052 |
7.47% |
|
|
|
|
WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET STREET ST LOUIS MO 63103-2523 |
6.51% |
|
|
|
|
UBS WM USA OMNI ACCOUNT M/F SPEC CDY A/C EBOC UBSFSI 1000 HARBOR BLVD WEEHAWKEN NJ 07086-6761 |
6.19% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
CLASS R2 SHARES |
LINCOLN RETIREMENT SERVICES FBO ARMSTRONG AMBULANCE SERVICE PO BOX 7876 FORT WAYNE IN 46801-7876 |
49.38% |
|
|
|
|
STATE STREET BANK & TRUST AS TRUSTEE AND/OR CUSTODIAN FBO ADP ACCESS PRODUCT PO BOX 5501 BOSTON MA 02206-5501 |
22.03% |
|
|
|
|
MID ATLANTIC TRUST COMPANY FBO KAYAL MEDICAL GROUP LLC 401(K) PROF 1251 WATERFRONT PLACE, SUITE 525 PITTSBURGH PA 15222-4228 |
12.22% |
|
|
|
CLASS R5 SHARES |
EMPOWER TRUST FBO EMPLOYEE BENEFITS CLIENTS 401K 8515 E ORCHARD RD 2T2 GREENWOOD VILLAGE CO 80111-5002 |
31.47% |
|
|
|
|
NATIONAL FINANCIAL SERVICES LLC 499 WASHINGTON BLVD JERSEY CITY NJ 07310-1995 |
23.03% |
|
|
|
|
NATIONWIDE TRUST COMPANY FSB C/O IPO PORTFOLIO ACCOUNTING PO BOX 182029 COLUMBUS OH 43218-2029 |
15.37% |
|
|
|
|
CHARLES SCHWAB & CO INC SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS ATTN MUTUAL FUNDS 211 MAIN ST SAN FRANCISCO CA 94105-1901 |
5.73% |
|
|
|
CLASS R6 SHARES |
J. P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
72.78% |
|
|
|
|
MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS ATTN FUND ADMINISTRATION 4800 DEER LAKE DR E FL 3 JACKSONVILLE FL 32246-6484 |
19.69% |
JPMORGAN U.S. RESEARCH ENHANCED EQUITY FUND | ||
CLASS A SHARES |
EMPOWER ANNUITY INSURANCE FBO FUTURE FUNDS II 8515 E ORCHARD RD 2T2 GREENWOOD VILLAGE CO 80111-5002 |
24.44% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
|
EMPOWER LIFE & ANNUITY FBO FUTURE FUNDS II 8515 E ORCHARD RD # 2T2 GREENWOOD VLG CO 80111-5002 |
14.19% |
|
|
|
|
EMPOWER TRUST FBO EMPLOYEE BENEFITS CLIENTS 401K 8515 E ORCHARD RD 2T2 GREENWOOD VILLAGE CO 80111-5002 |
10.84% |
|
|
|
|
NATIONAL FINANCIAL SERVICES LLC FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS 499 WASHINGTON BLVD ATTN MUTUAL FUNDS DEPT 4TH FLOOR JERSEY CITY NJ 07310-1995 |
5.80% |
|
|
|
CLASS I SHARES |
NATIONAL FINANCIAL SERVICES LLC FOR THE EXCLUSIVE BENEFIT OF OUR CUSTOMERS ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY CITY NJ 07310-1995 |
18.98% |
|
|
|
|
MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS ATTN FUND ADMINISTRATION 4800 DEER LAKE DR E FL 3 JACKSONVILLE FL 32246-6484 |
13.28% |
|
|
|
|
CHARLES SCHWAB & CO INC SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS ATTN MUTUAL FUNDS 211 MAIN ST SAN FRANCISCO CA 94105-1901 |
7.32% |
|
|
|
|
LPL FINANCIAL OMNIBUS CUSTOMER ACCOUNT ATTN MUTUAL FUND TRADING 4707 EXECUTIVE DR SAN DIEGO CA 92121-3091 |
6.96% |
|
|
|
|
PERSHING LLC P.O. BOX 2052 JERSEY CITY NJ 07303-2052 |
6.81% |
|
|
|
|
PRINCIPAL TRUST CO FBO CITY OF HOUSTON DEFERRED COMPENSATION TRUST C/O FASCORE LLC 8515 E ORCHARD RD # 2T2 GREENWOOD VLG CO 80111-5002 |
5.63% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
|
KANSAS POSTSECONDARY EDUCATION SAVINGS PROGRAM ATTN SSB&T CUST 694 AGGRESSIVE 4500 MAIN STREET KANSAS CITY MO 64111-1816 |
5.56% |
|
|
|
CLASS R6 SHARES |
CHARLES SCHWAB & CO INC SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS ATTN: MUTUAL FUNDS 211 MAIN ST SAN FRANCISCO CA 94105-1901 |
24.35% |
|
|
|
|
NATIONAL FINANCIAL SERVICES LLC 499 WASHINGTON BLVD JERSEY CITY NJ 07310-1995 |
10.96% |
|
|
|
|
JPMIM AS AGENT FOR* JPMORGAN SMARTRETIREMENT 2030 FUND ATTN CLIENT SERVICES 500 STANTON CHRISTIANA RD DE3-3650 NEWARK DE 19713-2105 |
6.35% |
JPMORGAN U.S. SMALL COMPANY FUND | ||
CLASS A SHARES |
STATE STREET BANK & TRUST AS TRUSTEE AND/OR CUSTODIAN FBO ADP ACCESS PRODUCT PO BOX 5501 BOSTON MA 02206-5501 |
27.14% |
|
|
|
|
EDWARD D JONES & CO FOR THE BENEFIT OF CUSTOMERS 12555 MANCHESTER RD SAINT LOUIS MO 63131-3710 |
19.18% |
|
|
|
|
MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS ATTN FUND ADMINISTRATION 4800 DEER LAKE DR EAST 2ND FL JACKSONVILLE FL 32246-6484 |
11.34% |
|
|
|
|
NATIONAL FINANCIAL SERVICES LLC FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS 499 WASHINGTON BLVD ATTN MUTUAL FUNDS DEPT 4TH FLOOR JERSEY CITY NJ 07310-1995 |
5.79% |
|
|
|
CLASS C SHARES |
RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS ATTN COURTNEY WALLER 880 CARILLON PKWY ST PETERSBURG FL 33716-1100 |
17.16% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
|
PERSHING LLC P.O. BOX 2052 JERSEY CITY NJ 07303-2052 |
15.90% |
|
|
|
|
WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET STREET ST LOUIS MO 63103-2523 |
13.70% |
|
|
|
|
NATIONAL FINANCIAL SERVICES LLC FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS 499 WASHINGTON BLVD ATTN MUTUAL FUNDS DEPT 4TH FLOOR JERSEY CITY NJ 07310-1995 |
13.42% |
|
|
|
|
LPL FINANCIAL OMNIBUS CUSTOMER ACCOUNT ATTN MUTUAL FUND TRADING 4707 EXECUTIVE DR SAN DIEGO CA 92121-3091 |
11.86% |
|
|
|
|
MORGAN STANLEY SMITH BARNEY LLC FOR THE EXCLUSIVE BENE OF ITS CUST 1 NEW YORK PLZ FL 12 NEW YORK NY 10004-1965 |
5.59% |
|
|
|
CLASS I SHARES |
PERSHING LLC P.O. BOX 2052 JERSEY CITY NJ 07303-2052 |
25.08% |
|
|
|
|
EMPOWER TRUST FBO EMPOWER IRA ADVANTAGE C/O FASCORE LLC 8515 E ORCHARD RD 2T2 GREENWOOD VILLAGE CO 80111-5002 |
14.94% |
|
|
|
|
WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET STREET ST LOUIS MO 63103-2523 |
7.30% |
|
|
|
|
AMERICAN ENTERPRISE INVESTMENT SVC 707 2ND AVE S MINNEAPOLIS MN 55402-2405 |
6.37% |
|
|
|
CLASS L SHARES |
CHARLES SCHWAB & CO INC SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS ATTN MUTUAL FUNDS 211 MAIN ST SAN FRANCISCO CA 94105-1901 |
61.48% |
Name of Fund |
Name and Address of Shareholder |
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 07310-1995 |
11.48% |
|
|
|
|
RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS ATTN COURTNEY WALLER 880 CARILLON PKWY ST PETERSBURG FL 33716-1100 |
11.13% |
|
|
|
CLASS R2 SHARES |
STATE STREET BANK & TRUST AS TRUSTEE AND/OR CUSTODIAN FBO ADP ACCESS PRODUCT PO BOX 5501 BOSTON MA 02206-5501 |
80.76% |
|
|
|
CLASS R3 SHARES |
STATE STREET BANK & TRUST AS TRUSTEE AND/OR CUSTODIAN FBO ADP ACCESS PRODUCT PO BOX 5501 BOSTON MA 02206-5501 |
79.90% |
|
|
|
|
UMB BANK - CUSTODIAN SECURITY FINANCIAL RESOURCES 1 SW SECURITY BENEFIT PL TOPEKA KS 66636-1000 |
11.80% |
|
|
|
|
MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS ATTN FUND ADMINISTRATION 4800 DEER LAKE DR E FL 3 JACKSONVILLE FL 32246-6484 |
5.11% |
|
|
|
CLASS R4 SHARES |
NATIONAL FINANCIAL SERVICES LLC 499 WASHINGTON BLVD JERSEY CITY NJ 07310-1995 |
81.60% |
|
|
|
|
EMPOWER TRUST COMPANY LLC TTEE F EMPLOYEE BENEFITS CLIENTS 401K 8515 E ORCHARD RD # 2T2 GREENWOOD VLG CO 80111-5002 |
7.01% |
|
|
|
CLASS R5 SHARES |
SEI PRIVATE TRUST COMPANY ATTN MUTUAL FUNDS 1 FREEDOM VALLEY DR OAKS PA 19456-9989 |
77.48% |
|
|
|
|
THE TRUST COMPANY OF TENNESSEE RPS 4823 OLD KINGSTON PIKE STE 100 KNOXVILLE TN 37919-6499 |
14.50% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
CLASS R6 SHARES |
NATIONAL FINANCIAL SERVICES LLC 499 WASHINGTON BLVD JERSEY CITY NJ 07310-1995 |
29.16% |
|
|
|
|
EDWARD D JONES & CO FOR THE BENEFIT OF CUSTOMERS 12555 MANCHESTER RD SAINT LOUIS MO 63131-3710 |
9.36% |
|
|
|
|
STATE STREET BANK & TRUST AS TRUSTEE AND/OR CUSTODIAN FBO ADP ACCESS PRODUCT PO BOX 5501 BOSTON MA 02206-5501 |
6.29% |
JPMORGAN U.S. SUSTAINABLE LEADERS FUND | ||
CLASS A SHARES |
EDWARD D JONES & CO FOR THE BENEFIT OF CUSTOMERS 12555 MANCHESTER RD SAINT LOUIS MO 63131-3710 |
22.00% |
|
|
|
|
VOYA INSTITUTIONAL TRUST COMPANY CUST VOYA INSTITUTIONAL TRUST 1 ORANGE WAY # B3N WINDSOR CT 06095-4773 |
20.63% |
|
|
|
|
CHARLES SCHWAB & CO INC SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS ATTN MUTUAL FUNDS 211 MAIN ST SAN FRANCISCO CA 94105-1901 |
16.13% |
|
|
|
|
NATIONAL FINANCIAL SERVICES LLC FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS 499 WASHINGTON BLVD ATTN MUTUAL FUNDS DEPT 4TH FLOOR JERSEY CITY NJ 07310-1995 |
7.53% |
|
|
|
|
WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET STREET ST LOUIS MO 63103-2523 |
7.33% |
|
|
|
|
J. P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
6.83% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
CLASS C SHARES |
WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET STREET ST LOUIS MO 63103-2523 |
24.04% |
|
|
|
|
AMERICAN ENTERPRISE INVESTMENT SVC 707 2ND AVE S MINNEAPOLIS MN 55402-2405 |
15.29% |
|
|
|
|
PERSHING LLC P.O. BOX 2052 JERSEY CITY NJ 07303-2052 |
14.95% |
|
|
|
|
NATIONAL FINANCIAL SERVICES LLC FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS 499 WASHINGTON BLVD ATTN MUTUAL FUNDS DEPT 4TH FLOOR JERSEY CITY NJ 07310-1995 |
10.68% |
|
|
|
|
RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS ATTN COURTNEY WALLER 880 CARILLON PKWY ST PETERSBURG FL 33716-1100 |
7.38% |
|
|
|
|
UBS WM USA OMNI ACCOUNT M/F SPEC CDY A/C EBOC UBSFSI 1000 HARBOR BLVD WEEHAWKEN NJ 07086-6761 |
6.78% |
|
|
|
CLASS I SHARES |
NATIONAL FINANCIAL SERVICES LLC FOR THE EXCLUSIVE BENEFIT OF OUR CUSTOMERS ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY CITY NJ 07310-1995 |
20.84% |
|
|
|
|
LPL FINANCIAL OMNIBUS CUSTOMER ACCOUNT ATTN MUTUAL FUND TRADING 4707 EXECUTIVE DR SAN DIEGO CA 92121-3091 |
17.55% |
|
|
|
|
WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET STREET ST LOUIS MO 63103-2523 |
11.86% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
|
AMERICAN ENTERPRISE INVESTMENT SVC 707 2ND AVE S MINNEAPOLIS MN 55402-2405 |
10.48% |
|
|
|
|
J. P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
9.31% |
|
|
|
|
CHARLES SCHWAB & CO INC SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS ATTN: MUTUAL FUNDS 211 MAIN ST SAN FRANCISCO CA 94105-1901 |
8.20% |
|
|
|
|
PERSHING LLC P.O. BOX 2052 JERSEY CITY NJ 07303-2052 |
6.46% |
|
|
|
CLASS R6 SHARES |
EDWARD D JONES & CO FOR THE BENEFIT OF CUSTOMERS 12555 MANCHESTER RD SAINT LOUIS MO 63131-3710 |
52.01% |
|
|
|
|
NORTHERN TR CO CUST FBO ASUF SRIP PO BOX 92956 CHICAGO IL 60675-2956 |
26.60% |
|
|
|
|
MAC & CO ATTN MUTUAL FUND OPERATIONS 500 GRANT ST RM 151-1010 PITTSBURGH PA 15219-2502 |
7.42% |
JPMORGAN U.S. VALUE FUND | ||
CLASS A SHARES |
EDWARD D JONES & CO FOR THE BENEFIT OF CUSTOMERS 12555 MANCHESTER RD SAINT LOUIS MO 63131-3710 |
42.08% |
|
|
|
|
J. P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
10.46% |
|
|
|
|
NATIONAL FINANCIAL SERVICES LLC FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS 499 WASHINGTON BLVD ATTN MUTUAL FUNDS DEPT 4TH FLOOR JERSEY CITY NJ 07310-1995 |
5.11% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
CLASS C SHARES |
J. P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
20.55% |
|
|
|
|
MORGAN STANLEY SMITH BARNEY LLC FOR THE EXCLUSIVE BENE OF ITS CUST 1 NEW YORK PLZ FL 12 NEW YORK NY 10004-1965 |
13.66% |
|
|
|
|
WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET STREET ST LOUIS MO 63103-2523 |
12.19% |
|
|
|
|
PERSHING LLC P.O. BOX 2052 JERSEY CITY NJ 07303-2052 |
10.59% |
|
|
|
|
MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS ATTN FUND ADMINISTRATION 4800 DEER LAKE DR EAST 2ND FL JACKSONVILLE FL 32246-6484 |
7.18% |
|
|
|
|
NATIONAL FINANCIAL SERVICES LLC FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS 499 WASHINGTON BLVD ATTN MUTUAL FUNDS DEPT 4TH FLOOR JERSEY CITY NJ 07310-1995 |
6.50% |
|
|
|
|
AMERICAN ENTERPRISE INVESTMENT SVC 707 2ND AVE S MINNEAPOLIS MN 55402-2405 |
6.19% |
|
|
|
|
LPL FINANCIAL OMNIBUS CUSTOMER ACCOUNT ATTN MUTUAL FUND TRADING 4707 EXECUTIVE DR SAN DIEGO CA 92121-3091 |
5.81% |
|
|
|
CLASS I SHARES |
NATIONAL FINANCIAL SERVICES LLC FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY CITY NJ 07310-1995 |
37.40% |
|
|
|
|
PERSHING LLC P.O. BOX 2052 JERSEY CITY NJ 07303-2052 |
15.49% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
|
LPL FINANCIAL OMNIBUS CUSTOMER ACCOUNT ATTN MUTUAL FUND TRADING 4707 EXECUTIVE DR SAN DIEGO CA 92121-3091 |
9.84% |
|
|
|
|
AMERICAN ENTERPRISE INVESTMENT SVC 707 2ND AVE S MINNEAPOLIS MN 55402-2405 |
8.18% |
|
|
|
|
CHARLES SCHWAB & CO INC SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS ATTN: MUTUAL FUNDS 211 MAIN ST SAN FRANCISCO CA 94105-1901 |
6.61% |
|
|
|
CLASS R2 SHARES |
STATE STREET BANK & TRUST AS TRUSTEE AND/OR CUSTODIAN FBO ADP ACCESS PRODUCT PO BOX 5501 BOSTON MA 02206-5501 |
57.23% |
|
|
|
|
ASCENSUS TRUST COMPANY FBO TOTAL MECHANICAL SERVICES INC 401 PO BOX 10758 FARGO ND 58106-0758 |
16.53% |
|
|
|
|
ASCENSUS TRUST COMPANY FBO MAJOR GLOVE 401(K) P/S PLAN PO BOX 10758 FARGO ND 58106-0758 |
7.59% |
|
|
|
|
EMPOWER TRUST FBO EMPOWER BENEFIT PLANS 8515 E ORCHARD RD # 2T2 GREENWOOD VLG CO 80111-5002 |
6.54% |
|
|
|
CLASS R3 SHARES |
MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS ATTN FUND ADMINISTRATION 4800 DEER LAKE DR E FL 3 JACKSONVILLE FL 32246-6484 |
62.93% |
|
|
|
|
EMPOWER TRUST COMPANY LLC TTEE F EMPLOYEE BENEFITS CLIENTS 401K 8515 E ORCHARD RD # 2T2 GREENWOOD VLG CO 80111-5002 |
13.35% |
|
|
|
|
STATE STREET BANK CUST FBO ADP ACCESS LARGE MARKET 401K 1 LINCOLN ST BOSTON MA 02111-2901 |
9.50% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
CLASS R4 SHARES |
EMPOWER TRUST FBO EMPLOYEE BENEFITS CLIENTS 401K 8515 E ORCHARD RD 2T2 GREENWOOD VILLAGE CO 80111-5002 |
57.46% |
|
|
|
|
MATRIX TRUST COMPANY AS AGENT FOR ADVISOR TRUST INC CHURCH AND CLERGY 403(B) PLAN 717 17TH ST STE 1300 DENVER CO 80202-3304 |
33.27% |
|
|
|
CLASS R5 SHARES |
NATIONAL FINANCIAL SERVICES LLC FIIOC AS AGENT FOR QUALIFIED EMPLOYEE BENEFIT PLANS (401K) FINOPS-IC FUNDS 100 MAGELLAN WAY # KW1C COVINGTON KY 41015-1987 |
60.72% |
|
|
|
|
STATE STREET BANK & TRUST AS TRUSTEE AND/OR CUSTODIAN FBO ADP ACCESS PRODUCT PO BOX 5501 BOSTON MA 02206-5501 |
8.11% |
|
|
|
|
MLPF&S FOR THE BENEFIT OF ITS CUSTOMERS ATTN FUND ADMINISTRATION 4800 DEER LAKE DR E FL 3 JACKSONVILLE FL 32246-6484 |
6.17% |
|
|
|
|
FIIOC AS AGENT FOR FBO BANYAN AIR SERVICES, INC 401(K) PLAN 100 MAGELLAN WAY #KWIC COVINGTON KY 41015-1987 |
5.77% |
|
|
|
|
EMPOWER TRUST FBO EMPLOYEE BENEFITS CLIENTS 401K 8515 E ORCHARD RD 2T2 GREENWOOD VILLAGE CO 80111-5002 |
5.45% |
|
|
|
CLASS R6 SHARES |
NATIONAL FINANCIAL SERVICES LLC 499 WASHINGTON BLVD JERSEY CITY NJ 07310-1995 |
24.35% |
|
|
|
|
EDWARD D JONES & CO FOR THE BENEFIT OF CUSTOMERS 12555 MANCHESTER RD SAINT LOUIS MO 63131-3710 |
17.77% |
|
|
|
|
EMPOWER TRUST FBO EMPLOYEE BENEFIT CLIENTS 401K 8515 E ORCHARD RD # 2T2 GREENWOOD VLG CO 80111-5002 |
5.87% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
|
DCGT AS TTEE AND/OR CUST FBO PLIC VARIOUS RETIREMENT PLANS ATTN NPIO TRADE DESK OMNIBUS 711 HIGH ST DES MOINES IA 50392-0001 |
5.68% |
JPMORGAN VALUE ADVANTAGE FUND | ||
CLASS A SHARES |
EDWARD D JONES & CO FOR THE BENEFIT OF CUSTOMERS 12555 MANCHESTER RD SAINT LOUIS MO 63131-3710 |
37.57% |
|
|
|
|
J. P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
11.55% |
|
|
|
|
NATIONAL FINANCIAL SERVICES LLC FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS 499 WASHINGTON BLVD ATTN MUTUAL FUNDS DEPT 4TH FLOOR JERSEY CITY NJ 07310-1995 |
9.91% |
|
|
|
|
MORGAN STANLEY SMITH BARNEY LLC FOR THE EXCLUSIVE BENE OF ITS CUST 1 NEW YORK PLZ FL 12 NEW YORK NY 10004-1965 |
6.60% |
|
|
|
CLASS C SHARES |
J. P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
26.51% |
|
|
|
|
RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS ATTN COURTNEY WALLER 880 CARILLON PKWY ST PETERSBURG FL 33716-1100 |
15.30% |
|
|
|
|
WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET STREET ST LOUIS MO 63103-2523 |
10.25% |
|
|
|
|
AMERICAN ENTERPRISE INVESTMENT SVC 707 2ND AVE S MINNEAPOLIS MN 55402-2405 |
9.77% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
|
LPL FINANCIAL OMNIBUS CUSTOMER ACCOUNT ATTN MUTUAL FUND TRADING 4707 EXECUTIVE DR SAN DIEGO CA 92121-3091 |
7.94% |
|
|
|
|
PERSHING LLC P.O. BOX 2052 JERSEY CITY NJ 07303-2052 |
6.44% |
|
|
|
|
MORGAN STANLEY SMITH BARNEY LLC FOR THE EXCLUSIVE BENE OF ITS CUST 1 NEW YORK PLZ FL 12 NEW YORK NY 10004-1965 |
5.88% |
|
|
|
CLASS I SHARES |
MORGAN STANLEY SMITH BARNEY LLC FOR THE EXCLUSIVE BENE OF ITS CUST 1 NEW YORK PLZ FL 12 NEW YORK NY 10004-1965 |
35.32% |
|
|
|
|
NATIONAL FINANCIAL SERVICES LLC FOR THE EXCLUSIVE BENEFIT OF OUR CUSTOMERS ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY CITY NJ 07310-1995 |
14.13% |
|
|
|
|
LPL FINANCIAL OMNIBUS CUSTOMER ACCOUNT ATTN MUTUAL FUND TRADING 4707 EXECUTIVE DR SAN DIEGO CA 92121-3091 |
9.68% |
|
|
|
|
J. P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
9.32% |
|
|
|
|
AMERICAN ENTERPRISE INVESTMENT SVC 707 2ND AVE S MINNEAPOLIS MN 55402-2405 |
7.86% |
|
|
|
|
MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS ATTN FUND ADMINISTRATION 4800 DEER LAKE DR EAST 2ND FL JACKSONVILLE FL 32246-6484 |
6.57% |
|
|
|
CLASS L SHARES |
NATIONAL FINANCIAL SERVICES LLC FOR THE EXCLUSIVE BENEFIT OF OUR CUSTOMERS ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY CITY NJ 07310-1995 |
27.50% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
|
RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS ATTN COURTNEY WALLER 880 CARILLON PKWY ST PETERSBURG FL 33716-1100 |
16.28% |
|
|
|
|
WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET STREET ST LOUIS MO 63103-2523 |
13.35% |
|
|
|
|
CHARLES SCHWAB & CO INC SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS ATTN MUTUAL FUNDS 211 MAIN ST SAN FRANCISCO CA 94105-1901 |
13.24% |
|
|
|
|
J. P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
6.58% |
|
|
|
|
FIRST COMMUNITY TRUST NA 3385 HILLCREST RD STE 100 DUBUQUE IA 52002-3900 |
5.31% |
|
|
|
CLASS R2 SHARES |
RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS ATTN COURTNEY WALLER 880 CARILLON PKWY ST PETERSBURG FL 33716-1100 |
18.91% |
|
|
|
|
MATRIX TRUST COMPANY AS AGENT FOR ADVISOR TRUST, INC. UMC HEALTH SYSTEM 403(B) PLAN 717 17TH ST STE 1300 DENVER CO 80202-3304 |
17.74% |
|
|
|
|
MATRIX TRUST COMPANY AS AGENT FOR ADVISOR TRUST INC YAKIMA SCHOOL DISTRICT (WA) 403(B) 717 17TH ST STE 1300 DENVER CO 80202-3304 |
13.25% |
|
|
|
|
MATRIX TRUST COMPANY AS AGENT FOR ADVISOR TRUST, INC. KENSTON LOCAL SCHOOL DISTRICT (OH) 717 17TH ST STE 1300 DENVER CO 80202-3304 |
9.77% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
|
MATRIX TRUST COMPANY AS AGENT FOR ADVISOR TRUST, INC. GRAND BLANC COMM SCH (MI) 403B PLAN 717 17TH ST STE 1300 DENVER CO 80202-3304 |
9.41% |
|
|
|
|
MATRIX TRUST COMPANY AS AGENT FOR ADVISOR TRUST, INC. MONROE-WOODBURY CENTRAL SCHOOL 403B 717 17TH ST STE 1300 DENVER CO 80202-3304 |
6.94% |
|
|
|
|
MATRIX TRUST COMPANY AS AGENT FOR ADVISOR TRUST INC NEVIS PUBLIC SCHOOL ISD #308 403(B) 717 17TH ST STE 1300 DENVER CO 80202-3304 |
5.44% |
|
|
|
CLASS R3 SHARES |
MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS ATTN FUND ADMINISTRATION 4800 DEER LAKE DR E FL 3 JACKSONVILLE FL 32246-6484 |
24.68% |
|
|
|
|
EMPOWER TRUST COMPANY LLC TTEE F EMPLOYEE BENEFITS CLIENTS 401K 8515 E ORCHARD RD # 2T2 GREENWOOD VLG CO 80111-5002 |
17.97% |
|
|
|
|
RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS ATTN COURTNEY WALLER 880 CARILLON PKWY ST PETERSBURG FL 33716-1100 |
6.51% |
|
|
|
|
ASCENSUS TRUST COMPANY FBO SPECTRUM 401(K) PLAN PO BOX 10758 FARGO ND 58106-0758 |
6.49% |
|
|
|
|
STATE STREET BANK & TRUST AS TRUSTEE AND/OR CUSTODIAN FBO ADP ACCESS PRODUCT PO BOX 5501 BOSTON MA 02206-5501 |
6.16% |
|
|
|
|
MATRIX TRUST COMPANY AS AGENT FOR ADVISOR TRUST, INC. AUBURN SCHOOL DISTRICT 403(B) PLAN 717 17TH ST STE 1300 DENVER CO 80202-3304 |
5.16% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
CLASS R4 SHARES |
AMERICAN UNITED LIFE INSURANCE CO GROUP RETIREMENT ACCOUNT PO BOX 368 INDIANAPOLIS IN 46206-0368 |
42.30% |
|
|
|
|
ASCENSUS TRUST COMPANY FBO GOLDSENTINEL 401K PLAN PO BOX 10758 FARGO ND 58106-0758 |
38.61% |
|
|
|
|
EMPOWER TRUST FBO EMPLOYEE BENEFITS CLIENTS 401K 8515 E ORCHARD RD # 2T2 GREENWOOD VLG CO 80111-5002 |
10.87% |
|
|
|
|
NATIONAL FINANCIAL SERVICES LLC 499 WASHINGTON BLVD JERSEY CITY NJ 07310-1995 |
8.23% |
|
|
|
CLASS R5 SHARES |
VOYA INSTITUTIONAL TRUST CO TTEE FBO CORE MARKET 3 RETIREMENT PLANS 30 BRAINTREE HILL OFFICE PARK BRAINTREE MA 02184-8747 |
86.62% |
|
|
|
|
STATE STREET BANK & TRUST AS TRUSTEE AND/OR CUSTODIAN FBO ADP ACCESS PRODUCT PO BOX 5501 BOSTON MA 02206-5501 |
5.55% |
|
|
|
CLASS R6 SHARES |
EDWARD D JONES & CO FOR THE BENEFIT OF CUSTOMERS 12555 MANCHESTER RD SAINT LOUIS MO 63131-3710 |
22.56% |
|
|
|
|
J. P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
9.71% |
|
|
|
|
MAC & CO ATTN MUTUAL FUND OPS PO BOX 3198 525 WILLIAM PENN PLACE PITTSBURGH PA 15230-3198 |
9.10% |
|
|
|
|
JPMIM AS AGENT FOR* JPMORGAN SMARTRETIREMENT 2040 FUND ATTN CLIENT SERVICES 500 STANTON CHRISTIANA RD DE3-3650 NEWARK DE 19713-2105 |
8.42% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
|
JPMIM AS AGENT FOR* JPMORGAN SMARTRETIREMENT 2035 FUND ATTN CLIENT SERVICES 500 STANTON CHRISTIANA RD DE3-3650 NEWARK DE 19713-2105 |
7.19% |
|
|
|
|
JPMIM AS AGENT FOR* JPMORGAN SMARTRETIREMENT 2045 FUND ATTN CLIENT SERVICES 500 STANTON CHRISTIANA RD DE3-3650 NEWARK DE 19713-2105 |
7.08% |
|
|
|
|
JPMIM AS AGENT FOR* JPMORGAN SMARTRETIREMENT 2050 FUND ATTN CLIENT SERVICES 500 STANTON CHRISTIANA RD DE3-3650 NEWARK DE 19713-2105 |
6.83% |
JPMORGAN EQUITY INCOME FUND | ||
CLASS A SHARES |
EDWARD D JONES & CO FOR THE BENEFIT OF CUSTOMERS 12555 MANCHESTER RD SAINT LOUIS MO 63131-3710 |
33.72% |
|
|
|
|
J. P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
14.97% |
|
|
|
|
CHARLES SCHWAB & CO INC REINVEST ACCOUNT ATTN: MUTUAL FUNDS DEPT 211 MAIN ST SAN FRANCISCO CA 94105-1901 |
7.02% |
|
|
|
|
MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS ATTN FUND ADMINISTRATION 4800 DEER LAKE DR EAST 2ND FLR JACKSONVILLE FL 32246-6484 |
7.00% |
|
|
|
|
MORGAN STANLEY SMITH BARNEY LLC FOR THE EXCLUSIVE BENE OF ITS CUST 1 NEW YORK PLZ FL 12 NEW YORK NY 10004-1965 |
5.79% |
|
|
|
|
NATIONAL FINANCIAL SERVICES LLC FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS 499 WASHINGTON BLVD ATTN MUTUAL FUNDS DEPT 4TH FLOOR JERSEY CITY NJ 07310-1995 |
5.73% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
CLASS C SHARES |
J. P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
19.24% |
|
|
|
|
WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET STREET ST LOUIS MO 63103-2523 |
16.30% |
|
|
|
|
MORGAN STANLEY SMITH BARNEY LLC FOR THE EXCLUSIVE BENE OF ITS CUST 1 NEW YORK PLZ FL 12 NEW YORK NY 10004-1965 |
13.62% |
|
|
|
|
RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS ATTN COURTNEY WALLER 880 CARILLON PKWY ST PETERSBURG FL 33716-1100 |
7.27% |
|
|
|
|
PERSHING LLC P.O. BOX 2052 JERSEY CITY NJ 07303-2052 |
6.16% |
|
|
|
|
MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS ATTN FUND ADMINISTRATION 4800 DEER LAKE DR EAST 2ND FL JACKSONVILLE FL 32246-6484 |
6.05% |
|
|
|
|
AMERICAN ENTERPRISE INVESTMENT SVC 707 2ND AVE S MINNEAPOLIS MN 55402-2405 |
5.77% |
|
|
|
|
LPL FINANCIAL OMNIBUS CUSTOMER ACCOUNT ATTN MUTUAL FUND TRADING 4707 EXECUTIVE DR SAN DIEGO CA 92121-3091 |
5.44% |
|
|
|
|
STIFEL NICOLAUS & CO INC EXCLUSIVE BENEFIT OF CUSTOMERS 501 N BROADWAY SAINT LOUIS MO 63102-2188 |
5.17% |
|
|
|
|
NATIONAL FINANCIAL SERVICES LLC FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS 499 WASHINGTON BLVD ATTN MUTUAL FUNDS DEPT 4TH FLOOR JERSEY CITY NJ 07310-1995 |
5.04% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
CLASS I SHARES |
NATIONAL FINANCIAL SERVICES LLC FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY CITY NJ 07310-1995 |
13.66% |
|
|
|
|
J. P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
12.73% |
|
|
|
|
MORGAN STANLEY SMITH BARNEY LLC FOR THE EXCLUSIVE BENE OF ITS CUST 1 NEW YORK PLZ FL 12 NEW YORK NY 10004-1965 |
10.09% |
|
|
|
|
AMERICAN ENTERPRISE INVESTMENT SVC 707 2ND AVE S MINNEAPOLIS MN 55402-2405 |
9.72% |
|
|
|
|
MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS ATTN FUND ADMINISTRATION 4800 DEER LAKE DR EAST 2ND FL JACKSONVILLE FL 32246-6484 |
8.75% |
|
|
|
|
LPL FINANCIAL OMNIBUS CUSTOMER ACCOUNT ATTN MUTUAL FUND TRADING 4707 EXECUTIVE DR SAN DIEGO CA 92121-3091 |
8.57% |
|
|
|
|
CHARLES SCHWAB & CO INC SPECIAL CUSTODY ACCOUNT FOR THE BENEFIT OF CUSTOMERS ATTN: MUTUAL FUNDS 211 MAIN ST SAN FRANCISCO CA 94105-1901 |
7.68% |
|
|
|
|
RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS ATTN COURTNEY WALLER 880 CARILLON PKWY ST PETERSBURG FL 33716-1100 |
6.11% |
|
|
|
|
PERSHING LLC P.O. BOX 2052 JERSEY CITY NJ 07303-2052 |
5.73% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
|
WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET STREET ST LOUIS MO 63103-2523 |
5.20% |
|
|
|
CLASS R2 SHARES |
STATE STREET BANK & TRUST AS TRUSTEE AND/OR CUSTODIAN FBO ADP ACCESS PRODUCT PO BOX 5501 BOSTON MA 02206-5501 |
56.04% |
|
|
|
|
DCGT TRUSTEE & OR CUSTODIAN FBO PLIC VARIOUS RETIREMENT PLANS OMNIBUS ATTN NPIO TRADE DESK 711 HIGH ST DES MOINES IA 50392-0001 |
6.73% |
|
|
|
|
EMPOWER TRUST FBO EMPLOYEE BENEFIT CLIENTS 401K 8515 E ORCHARD RD # 2T2 GREENWOOD VLG CO 80111-5002 |
5.89% |
|
|
|
CLASS R3 SHARES |
STATE STREET BANK & TRUST AS TRUSTEE AND/OR CUSTODIAN FBO ADP ACCESS PRODUCT PO BOX 5501 BOSTON MA 02206-5501 |
28.93% |
|
|
|
|
MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS ATTN FUND ADMINISTRATION 4800 DEER LAKE DR E FL 3 JACKSONVILLE FL 32246-6484 |
19.36% |
|
|
|
|
NATIONAL FINANCIAL SERVICES LLC 499 WASHINGTON BLVD JERSEY CITY NJ 07310-1995 |
18.23% |
|
|
|
|
NATIONWIDE TRUST COMPANY FSB C/O IPO PORTFOLIO ACCOUNTING PO BOX 182029 COLUMBUS OH 43218-2029 |
6.12% |
|
|
|
|
CHARLES SCHWAB & CO INC SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS ATTN: MUTUAL FUNDS 211 MAIN ST SAN FRANCISCO CA 94105-1901 |
5.95% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
CLASS R4 SHARES |
TIAA TRUST, N.A. AS CUST/TTEE OF RETIREMENT PLANS RECORDKEPT BY TIAA ATTN: FUND OPERATIONS 8500 ANDREW CARNEGIE BLVD CHARLOTTE NC 28262-8500 |
18.09% |
|
|
|
|
NATIONAL FINANCIAL SERVICES LLC 499 WASHINGTON BLVD JERSEY CITY NJ 07310-1995 |
17.23% |
|
|
|
|
EMPOWER TRUST FBO EMPOWER BENEFIT PLANS 8515 E ORCHARD RD 2T2 GREENWOOD VILLAGE CO 80111-5002 |
11.33% |
|
|
|
|
MINNESOTA LIFE INSURANCE COMPANY 400 ROBERT STREET NORTH SAINT PAUL MN 55101-2037 |
7.46% |
|
|
|
|
JOHN HANCOCK TRUST COMPANY LLC 200 BERKELEY ST STE 7 BOSTON MA 02116-5038 |
5.59% |
|
|
|
CLASS R5 SHARES |
NATIONAL FINANCIAL SERVICES LLC 499 WASHINGTON BLVD JERSEY CITY NJ 07310-1995 |
22.01% |
|
|
|
|
NATIONWIDE TRUST COMPANY FSB C/O IPO PORTFOLIO ACCOUNTING PO BOX 182029 COLUMBUS OH 43218-2029 |
19.26% |
|
|
|
|
JOHN HANCOCK LIFE INS CO (USA) ATTN JHRPS TRADING OPS ST6 200 BERKELEY STREET BOSTON MA 02116-5022 |
8.58% |
|
|
|
|
EMPOWER TRUST FBO EMPLOYEE BENEFIT CLIENTS 401K 8515 E ORCHARD RD # 2T2 GREENWOOD VLG CO 80111-5002 |
8.02% |
|
|
|
|
WELLS FARGO BANK NA TRUSTEE C/O FASCORE LLC FBO NEW JERSEY TRANSIT PLANS 8515 E ORCHARD RD # 2T2 GREENWOOD VLG CO 80111-5002 |
7.51% |
|
|
|
CLASS R6 SHARES |
EDWARD D JONES & CO FOR THE BENEFIT OF CUSTOMERS 12555 MANCHESTER RD SAINT LOUIS MO 63131-3710 |
27.45% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
|
NATIONAL FINANCIAL SERVICES LLC 499 WASHINGTON BLVD JERSEY CITY NJ 07310-1995 |
16.68% |
|
|
|
|
J. P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
9.33% |
JPMORGAN EQUITY INDEX FUND | ||
CLASS A SHARES |
J. P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
37.23% |
|
|
|
|
EDWARD D JONES & CO FOR THE BENEFIT OF CUSTOMERS 12555 MANCHESTER RD SAINT LOUIS MO 63131-3710 |
9.38% |
|
|
|
|
NATIONAL FINANCIAL SERVICES LLC FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS 499 WASHINGTON BLVD ATTN MUTUAL FUNDS DEPT 4TH FLOOR JERSEY CITY NJ 07310-1995 |
5.58% |
|
|
|
CLASS C SHARES |
J. P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
20.67% |
|
|
|
|
WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET STREET ST LOUIS MO 63103-2523 |
18.71% |
|
|
|
|
RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS ATTN COURTNEY WALLER 880 CARILLON PKWY ST PETERSBURG FL 33716-1100 |
13.67% |
|
|
|
|
PERSHING LLC P.O. BOX 2052 JERSEY CITY NJ 07303-2052 |
13.29% |
|
|
|
|
NATIONAL FINANCIAL SERVICES LLC FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS 499 WASHINGTON BLVD ATTN MUTUAL FUNDS DEPT 4TH FLOOR JERSEY CITY NJ 07310-1995 |
7.97% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
|
MERRILL LYNCH PIERCE FENNER & SMITH INC FOR THE SOLE BENEFIT OF CUSTOMERS 4800 DEER LAKE DR EAST JACKSONVILLE FL 32246-6484 |
6.92% |
|
|
|
CLASS I SHARES |
NATIONAL FINANCIAL SERVICES LLC FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY CITY NJ 07310-1995 |
32.72% |
|
|
|
|
J. P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
11.58% |
|
|
|
|
PERSHING LLC P.O. BOX 2052 JERSEY CITY NJ 07303-2052 |
10.08% |
|
|
|
|
EMPOWER TRUST FBO ADVANTAGECARE PHYSICIANS P C 401K 8515 E ORCHARD RD 2T2 GREENWOOD VILLAGE CO 80111-5002 |
6.24% |
|
|
|
|
LPL FINANCIAL OMNIBUS CUSTOMER ACCOUNT ATTN MUTUAL FUND TRADING 4707 EXECUTIVE DR SAN DIEGO CA 92121-3091 |
5.38% |
|
|
|
|
VRSCO FBO VTC CUST TTEE FBO STATE UNIV SYSTEM OF FLORIDA 403B 2929 ALLEN PKWY STE A6-20 HOUSTON TX 77019-7100 |
5.22% |
|
|
|
CLASS R6 SHARES |
JPMIM AS AGENT FOR* JPMORGAN SMARTRETIREMENT BLEND 2040 ATTN CLIENT SERVICES 500 STANTON CHRISTIANA RD DE3-3650 NEWARK DE 19713-2105 |
13.80% |
|
|
|
|
JPMIM AS AGENT FOR* JPMORGAN SMARTRETIREMENT BLEND 2035 ATTN CLIENT SERVICES 500 STANTON CHRISTIANA RD DE3-3650 NEWARK DE 19713-2105 |
13.52% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
|
JPMIM AS AGENT FOR* JPMORGAN SMARTRETIREMENT BLEND 2045 ATTN CLIENT SERVICES 500 STANTON CHRISTIANA RD DE3-3650 NEWARK DE 19713-2105 |
13.05% |
|
|
|
|
JPMIM AS AGENT FOR* JPMORGAN SMARTRETIREMENT BLEND 2050 ATTN CLIENT SERVICES 500 STANTON CHRISTIANA RD DE3-3650 NEWARK DE 19713-2105 |
11.01% |
|
|
|
|
JPMIM AS AGENT FOR* JPMORGAN SMARTRETIREMENT BLEND 2030 ATTN CLIENT SERVICES 500 STANTON CHRISTIANA RD DE3-3650 NEWARK DE 19713-2105 |
10.29% |
|
|
|
|
ATTN MUTUAL FUND OPERATIONS MAC & CO 500 GRANT ST RM 151-1010 PITTSBURGH PA 15219-2502 |
9.15% |
|
|
|
|
JPMIM AS AGENT FOR* JPMORGAN SMARTRETIREMENT BLEND 2055 ATTN CLIENT SERVICES 500 STANTON CHRISTIANA RD DE3-3650 NEWARK DE 19713-2105 |
6.72% |
|
|
|
|
JPMIM AS AGENT FOR* JPMORGAN SMARTRETIREMENT BLEND 2025 ATTN CLIENT SERVICES 500 STANTON CHRISTIANA RD DE3-3650 NEWARK DE 19713-2105 |
5.93% |
JPMORGAN LARGE CAP GROWTH FUND | ||
CLASS A SHARES |
EDWARD D JONES & CO FOR THE BENEFIT OF CUSTOMERS 12555 MANCHESTER RD SAINT LOUIS MO 63131-3710 |
31.60% |
|
|
|
|
J. P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
9.74% |
|
|
|
|
JOHN HANCOCK LIFE INS CO (USA) ATTN JHRPS TRADING OPS ST6 200 BERKELEY STREET BOSTON MA 02116-5022 |
8.03% |
Name of Fund |
Name and Address of Shareholder |
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 |
6.60% |
|
|
|
|
CHARLES SCHWAB & CO INC SPECIAL CUSTODY ACCOUNT FOR THE BENEFIT OF CUSTOMERS ATTN: MUTUAL FUNDS 211 MAIN ST SAN FRANCISCO CA 94105-1901 |
6.57% |
|
|
|
|
NATIONAL FINANCIAL SERVICES LLC FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS 499 WASHINGTON BLVD ATTN MUTUAL FUNDS DEPT 4TH FLOOR JERSEY CITY NJ 07310-1995 |
6.54% |
|
|
|
CLASS C SHARES |
J. P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
25.94% |
|
|
|
|
WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET STREET ST LOUIS MO 63103-2523 |
16.59% |
|
|
|
|
MORGAN STANLEY SMITH BARNEY LLC FOR THE EXCLUSIVE BENE OF ITS CUST 1 NEW YORK PLZ FL 12 NEW YORK NY 10004-1965 |
11.30% |
|
|
|
|
AMERICAN ENTERPRISE INVESTMENT SVC 707 2ND AVE S MINNEAPOLIS MN 55402-2405 |
8.48% |
|
|
|
|
RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS ATTN COURTNEY WALLER 880 CARILLON PKWY ST PETERSBURG FL 33716-1100 |
7.02% |
|
|
|
|
MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS ATTN FUND ADMINISTRATION 4800 DEER LAKE DR EAST 2ND FL JACKSONVILLE FL 32246-6484 |
6.12% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
|
STIFEL NICOLAUS & CO INC EXCLUSIVE BENEFIT OF CUSTOMERS 501 N BROADWAY SAINT LOUIS MO 63102-2188 |
5.07% |
|
|
|
|
PERSHING LLC P.O. BOX 2052 JERSEY CITY NJ 07303-2052 |
5.03% |
|
|
|
CLASS I SHARES |
NATIONAL FINANCIAL SERVICES LLC FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY CITY NJ 07310-1995 |
18.29% |
|
|
|
|
AMERICAN ENTERPRISE INVESTMENT SVC 707 2ND AVE S MINNEAPOLIS MN 55402-2405 |
10.28% |
|
|
|
|
MORGAN STANLEY SMITH BARNEY LLC FOR THE EXCLUSIVE BENE OF ITS CUST 1 NEW YORK PLZ FL 12 NEW YORK NY 10004-1965 |
8.27% |
|
|
|
|
MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS ATTN FUND ADMINISTRATION 4800 DEER LAKE DR E FL 3 JACKSONVILLE FL 32246-6484 |
8.26% |
|
|
|
|
PERSHING LLC P.O. BOX 2052 JERSEY CITY NJ 07303-2052 |
8.24% |
|
|
|
|
CHARLES SCHWAB & CO INC SPECIAL CUSTODY ACCOUNT FOR THE BENEFIT OF CUSTOMERS ATTN: MUTUAL FUNDS 211 MAIN ST SAN FRANCISCO CA 94105-1901 |
7.41% |
|
|
|
|
LPL FINANCIAL OMNIBUS CUSTOMER ACCOUNT ATTN MUTUAL FUND TRADING 4707 EXECUTIVE DR SAN DIEGO CA 92121-3091 |
7.07% |
|
|
|
|
UBS WM USA OMNI ACCOUNT M/F SPEC CDY A/C EBOC UBSFSI 1000 HARBOR BLVD WEEHAWKEN NJ 07086-6761 |
6.03% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
|
RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS ATTN COURTNEY WALLER 880 CARILLON PKWY ST PETERSBURG FL 33716-1100 |
5.53% |
|
|
|
|
WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET STREET ST LOUIS MO 63103-2523 |
5.51% |
|
|
|
|
J. P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
5.03% |
|
|
|
CLASS R2 SHARES |
HARTFORD LIFE INSURANCE COMPANY SEPARATE ACCOUNT ATTN UIT OPERATIONS PO BOX 2999 HARTFORD CT 06104-2999 |
12.31% |
|
|
|
|
MASSACHUSETTS MUTUAL LIFE INSURANCE 1295 STATE STREET MIP M200-INVST SPRINGFIELD MA 01111-0001 |
9.16% |
|
|
|
|
DCGT TRUSTEE & OR CUSTODIAN FBO PLIC VARIOUS RETIREMENT PLANS OMNIBUS ATTN NPIO TRADE DESK 711 HIGH ST DES MOINES IA 50392-0001 |
7.29% |
|
|
|
CLASS R3 SHARES |
MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS ATTN FUND ADMINISTRATION 4800 DEER LAKE DR E FL 3 JACKSONVILLE FL 32246-6484 |
19.83% |
|
|
|
|
NATIONAL FINANCIAL SERVICES LLC AMERITAS LIFE INSURANCE CORP FBO SEPARATE ACCOUNT G ATTN SEPARATE ACCOUNT UNIT 5900 O ST LINCOLN NE 68510-2234 |
15.13% |
|
|
|
|
EMPOWER TRUST COMPANY LLC TTEE F EMPLOYEE BENEFITS CLIENTS 401K 8515 E ORCHARD RD # 2T2 GREENWOOD VLG CO 80111-5002 |
7.61% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
|
NATIONAL FINANCIAL SERVICES LLC AMERITAS LIFE INSURANCE CORP FBO SEPARATE ACCOUNT G-2 ATTN SEPARATE ACCOUNT UNIT 5900 O ST LINCOLN NE 68510-2234 |
5.03% |
|
|
|
CLASS R4 SHARES |
CHARLES SCHWAB & CO INC SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS ATTN: MUTUAL FUNDS 211 MAIN ST SAN FRANCISCO CA 94105-1901 |
11.82% |
|
|
|
|
JOHN HANCOCK TRUST COMPANY LLC 200 BERKELEY ST STE 7 BOSTON MA 02116-5038 |
10.75% |
|
|
|
|
MASSACHUSETTS MUTUAL LIFE INSURANCE 1295 STATE STREET MIP M200-INVST SPRINGFIELD MA 01111-0001 |
8.22% |
|
|
|
|
NATIONAL FINANCIAL SERVICES LLC FIIOC AS AGENT FOR QUALIFIED EMPLOYEE BENEFIT PLANS (401K) FINOPS-IC FUNDS 100 MAGELLAN WAY # KW1C COVINGTON KY 41015-1987 |
6.98% |
|
|
|
|
VOYA INSTITUTIONAL TRUST COMPANY AS TRUSTEE OR CUSTODIAN FOR CORE MARKE T RETIREMENT PLANS 30 BRAINTREE HILL OFFICE PARK BRAINTREE MA 02184-8747 |
6.27% |
|
|
|
|
EMPOWER TRUST FBO EMPOWER BENEFIT PLANS 8515 E ORCHARD RD 2T2 GREENWOOD VILLAGE CO 80111-5002 |
5.68% |
|
|
|
|
CITY OF ARLINGTON (K) C/O MISSIONSQUARE RETIREMENT 101 S. MESQUITE ST SUITE 790 ARLINGTON TX 76010-1117 |
5.05% |
|
|
|
CLASS R5 SHARES |
NATIONAL FINANCIAL SERVICES LLC 499 WASHINGTON BLVD JERSEY CITY NJ 07310-1995 |
19.59% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
|
EMPOWER TRUST FBO DISCOUNT TIRE AMERICAS TIRE RETIREM PLAN 8515 E ORCHARD RD 2T2 GREENWOOD VILLAGE CO 80111-5002 |
17.96% |
|
|
|
|
AIG RETPLAN SERVICES COMPANY FBO VTC CUST TTEE FBO CENTRAL GA RETIRE SAV 2929 ALLEN PKWY STE A6-20 HOUSTON TX 77019-2155 |
6.64% |
|
|
|
|
NATIONAL FINANCIAL SERVICES LLC AAAA BENEFITS INC 307 W TREMONT AVE STE 200 CHARLOTTE NC 28203-4902 |
5.50% |
|
|
|
CLASS R6 SHARES |
NATIONAL FINANCIAL SERVICES LLC 499 WASHINGTON BLVD JERSEY CITY NJ 07310-1995 |
21.61% |
|
|
|
|
EDWARD D JONES & CO FOR THE BENEFIT OF CUSTOMERS 12555 MANCHESTER RD SAINT LOUIS MO 63131-3710 |
8.98% |
|
|
|
|
CHARLES SCHWAB & CO INC SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS ATTN MUTUAL FUNDS 211 MAIN ST SAN FRANCISCO CA 94105-1901 |
6.35% |
|
|
|
|
DCGT TRUSTEE & OR CUSTODIAN FBO PLIC VARIOUS RETIREMENT PLANS OMNIBUS ATTN NPIO TRADE DESK 711 HIGH ST DES MOINES IA 50392-0001 |
5.91% |
JPMORGAN LARGE CAP VALUE FUND | ||
CLASS A SHARES |
EDWARD D JONES & CO FOR THE BENEFIT OF CUSTOMERS 12555 MANCHESTER RD SAINT LOUIS MO 63131-3710 |
21.06% |
|
|
|
|
J. P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
18.33% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
|
CHARLES SCHWAB & CO INC SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS ATTN: MUTUAL FUNDS 211 MAIN ST SAN FRANCISCO CA 94105-1901 |
7.54% |
|
|
|
|
NATIONAL FINANCIAL SERVICES LLC FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS 499 WASHINGTON BLVD ATTN MUTUAL FUNDS DEPT 4TH FLOOR JERSEY CITY NJ 07310-1995 |
7.12% |
|
|
|
|
PERSHING LLC P.O. BOX 2052 JERSEY CITY NJ 07303-2052 |
6.92% |
|
|
|
|
WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET STREET ST LOUIS MO 63103-2523 |
6.41% |
|
|
|
CLASS C SHARES |
J. P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
25.10% |
|
|
|
|
WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET STREET ST LOUIS MO 63103-2523 |
24.12% |
|
|
|
|
PERSHING LLC P.O. BOX 2052 JERSEY CITY NJ 07303-2052 |
11.26% |
|
|
|
|
MORGAN STANLEY SMITH BARNEY LLC FOR THE EXCLUSIVE BENE OF ITS CUST 1 NEW YORK PLZ FL 12 NEW YORK NY 10004-1965 |
9.45% |
|
|
|
|
RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS ATTN COURTNEY WALLER 880 CARILLON PKWY ST PETERSBURG FL 33716-1100 |
8.31% |
|
|
|
|
AMERICAN ENTERPRISE INVESTMENT SVC 707 2ND AVE S MINNEAPOLIS MN 55402-2405 |
5.78% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
CLASS I SHARES |
AMERICAN ENTERPRISE INVESTMENT SVC 707 2ND AVE S MINNEAPOLIS MN 55402-2405 |
32.19% |
|
|
|
|
NATIONAL FINANCIAL SERVICES LLC FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY CITY NJ 07310-1995 |
21.24% |
|
|
|
|
LPL FINANCIAL OMNIBUS CUSTOMER ACCOUNT ATTN MUTUAL FUND TRADING 4707 EXECUTIVE DR SAN DIEGO CA 92121-3091 |
8.78% |
|
|
|
|
PERSHING LLC P.O. BOX 2052 JERSEY CITY NJ 07303-2052 |
8.24% |
|
|
|
|
MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS ATTN FUND ADMINISTRATION 4800 DEER LAKE DR EAST 2ND FL JACKSONVILLE FL 32246-6484 |
7.55% |
|
|
|
CLASS R2 SHARES |
STATE STREET BANK & TRUST AS TRUSTEE AND/OR CUSTODIAN FBO ADP ACCESS PRODUCT PO BOX 5501 BOSTON MA 02206-5501 |
43.75% |
|
|
|
|
ASCENSUS TRUST COMPANY FBO NATIONAL SLOVAK SOCIETY 401(K) PLAN PO BOX 10758 FARGO ND 58106-0758 |
10.95% |
|
|
|
|
ASCENSUS TRUST COMPANY FBO VECOPLAN LLC 401(K) PLAN PO BOX 10758 FARGO ND 58106-0758 |
5.07% |
|
|
|
CLASS R3 SHARES |
NATIONAL FINANCIAL SERVICES LLC STATE STREET BANK TRUST CO TTEE VARIOUS RETIREMENT PLANS 440 MAMARONECK AVE HARRISON NY 10528-2418 |
48.20% |
|
|
|
|
STATE STREET BANK & TRUST AS TRUSTEE AND/OR CUSTODIAN FBO ADP ACCESS PRODUCT PO BOX 5501 BOSTON MA 02206-5501 |
18.85% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
|
MATRIX TRUST COMPANY AS AGENT FOR NEWPORT TRUST COMPANY HERITAGE CHRISTIAN SERVICES INC R 35 IRON POINT CIR STE 300 FOLSOM CA 95630-8589 |
15.12% |
|
|
|
|
MID ATLANTIC TRUST COMPANY FBO ROBERT MCCABE COMPANY INC 401(K) PR 1251 WATERFRONT PL STE 525 PITTSBURGH PA 15222-4228 |
6.27% |
|
|
|
CLASS R4 SHARES |
STATE STREET BANK & TRUST AS TRUSTEE AND/OR CUSTODIAN FBO ADP ACCESS PRODUCT PO BOX 5501 BOSTON MA 02206-5501 |
49.62% |
|
|
|
|
EMPOWER TRUST FBO EMPLOYEE BENEFITS CLIENTS 401K 8515 E ORCHARD RD # 2T2 GREENWOOD VLG CO 80111-5002 |
34.56% |
|
|
|
|
EMPOWER TRUST FBO EMPOWER BENEFIT PLANS 8515 E ORCHARD RD # 2T2 GREENWOOD VLG CO 80111-5002 |
7.27% |
|
|
|
|
ASCENSUS TRUST COMPANY FBO BORG EQUIPMENT & SUPPLY CO INC 4 PO BOX 10758 FARGO ND 58106-0758 |
7.02% |
|
|
|
CLASS R5 SHARES |
NATIONWIDE TRUST CO FSB C/O IPO PORTFOLIO ACCOUNTING PO BOX 182029 COLUMBUS OH 43218-2029 |
29.20% |
|
|
|
|
CHARLES SCHWAB & CO INC SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS ATTN MUTUAL FUNDS 211 MAIN ST SAN FRANCISCO CA 94105-1901 |
15.87% |
|
|
|
|
JOHN HANCOCK TRUST COMPANY LLC 200 BERKELEY ST STE 7 BOSTON MA 02116-5038 |
9.49% |
|
|
|
|
NATIONAL FINANCIAL SERVICES LLC 499 WASHINGTON BLVD JERSEY CITY NJ 07310-1995 |
7.78% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
|
FIIOC AS AGENT FOR FBO HOLLINGSWORTH MANAGEMENT SERVICES, L.LC. 401(K) PLAN 100 MAGELLAN WAY #KWIC COVINGTON KY 41015-1987 |
7.44% |
|
|
|
|
FIDELITY INVESTMENTS INST OPERATIONS CO INC AS AGENT FOR FBO MOLAM SAVINGS AND RETIREMENT PLAN 100 MAGELLAN WAY #KWIC COVINGTON KY 41015-1999 |
6.40% |
|
|
|
|
MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS ATTN FUND ADMINISTRATION 4800 DEER LAKE DR EAST 2ND FL JACKSONVILLE FL 32246-6484 |
6.33% |
|
|
|
CLASS R6 SHARES |
JPMIM AS AGENT FOR* JPMORGAN INVESTOR GROWTH FUND ATTN CLIENT SERVICES 500 STANTON CHRISTIANA RD DE3-3650 NEWARK DE 19713-2105 |
24.63% |
|
|
|
|
JPMIM AS AGENT FOR* JPMORGAN INVESTOR GROWTH AND INCOME ATTN CLIENT SERVICES 500 STANTON CHRISTIANA RD DE3-3650 NEWARK DE 19713-2105 |
14.21% |
|
|
|
|
JPMIM AS AGENT FOR* JPMORGAN INVESTOR BALANCED FUND ATTN CLIENT SERVICES 500 STANTON CHRISTIANA RD DE3-3650 NEWARK DE 19713-2105 |
9.18% |
|
|
|
|
J. P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
8.95% |
|
|
|
|
EDWARD D JONES & CO FOR THE BENEFIT OF CUSTOMERS 12555 MANCHESTER RD SAINT LOUIS MO 63131-3710 |
5.47% |
JPMORGAN MID CAP GROWTH FUND | ||
CLASS A SHARES |
EDWARD D JONES & CO FOR THE BENEFIT OF CUSTOMERS 12555 MANCHESTER RD SAINT LOUIS MO 63131-3710 |
27.69% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
|
J. P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
14.32% |
|
|
|
|
CHARLES SCHWAB & CO INC SPECIAL CUSTODY ACCOUNT FOR THE BENEFIT OF CUSTOMERS ATTN: MUTUAL FUNDS 211 MAIN ST SAN FRANCISCO CA 94105-1901 |
6.46% |
|
|
|
|
NATIONAL FINANCIAL SERVICES LLC FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS 499 WASHINGTON BLVD ATTN MUTUAL FUNDS DEPT 4TH FLOOR JERSEY CITY NJ 07310-1995 |
6.28% |
|
|
|
CLASS C SHARES |
WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET STREET ST LOUIS MO 63103-2523 |
24.54% |
|
|
|
|
RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS ATTN COURTNEY WALLER 880 CARILLON PKWY ST PETERSBURG FL 33716-1100 |
12.87% |
|
|
|
|
PERSHING LLC P.O. BOX 2052 JERSEY CITY NJ 07303-2052 |
12.15% |
|
|
|
|
J. P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
10.37% |
|
|
|
|
RBC CAPITAL MARKETS LLC MUTUAL FUND OMNIBUS PROCESSING OMNIBUS ATTN MUTUAL FUND OPS MANAGER 250 NICOLLET MALL SUITE 1400 MINNEAPOLIS MN 55401-7582 |
6.18% |
|
|
|
|
NATIONAL FINANCIAL SERVICES LLC FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS 499 WASHINGTON BLVD ATTN MUTUAL FUNDS DEPT 4TH FLOOR JERSEY CITY NJ 07310-1995 |
6.05% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
CLASS I SHARES |
NATIONAL FINANCIAL SERVICES LLC FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY CITY NJ 07310-1995 |
24.56% |
|
|
|
|
AMERICAN ENTERPRISE INVESTMENT SVC 707 2ND AVE S MINNEAPOLIS MN 55402-2405 |
11.01% |
|
|
|
|
PERSHING LLC P.O. BOX 2052 JERSEY CITY NJ 07303-2052 |
10.24% |
|
|
|
|
CHARLES SCHWAB & CO INC SPECIAL CUSTODY ACCOUNT FOR THE BENEFIT OF CUSTOMERS ATTN: MUTUAL FUNDS 211 MAIN ST SAN FRANCISCO CA 94105-1901 |
7.12% |
|
|
|
|
LPL FINANCIAL OMNIBUS CUSTOMER ACCOUNT ATTN MUTUAL FUND TRADING 4707 EXECUTIVE DR SAN DIEGO CA 92121-3091 |
6.81% |
|
|
|
|
WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET STREET ST LOUIS MO 63103-2523 |
6.18% |
|
|
|
CLASS R2 SHARES |
MASSACHUSETTS MUTUAL LIFE INSURANCE 1295 STATE STREET MIP M200-INVST SPRINGFIELD MA 01111-0001 |
23.41% |
|
|
|
|
THE HARTFORD 1 HARTFORD PLZ HARTFORD CT 06155-0001 |
20.98% |
|
|
|
|
STATE STREET BANK & TRUST AS TRUSTEE AND/OR CUSTODIAN FBO ADP ACCESS PRODUCT PO BOX 5501 BOSTON MA 02206-5501 |
9.45% |
|
|
|
CLASS R3 SHARES |
UMB BANK - CUSTODIAN SECURITY FINANCIAL RESOURCES 1 SW SECURITY BENEFIT PL TOPEKA KS 66636-1000 |
24.13% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
|
THE HARTFORD 1 HARTFORD PLZ HARTFORD CT 06155-0001 |
16.78% |
|
|
|
|
STATE STREET BANK & TRUST AS TRUSTEE AND/OR CUSTODIAN FBO ADP ACCESS PRODUCT PO BOX 5501 BOSTON MA 02206-5501 |
8.39% |
|
|
|
|
MASSACHUSETTS MUTUAL LIFE INSURANCE 1295 STATE STREET MIP M200-INVST SPRINGFIELD MA 01111-0001 |
5.64% |
|
|
|
CLASS R4 SHARES |
CHARLES SCHWAB TRUST BANK TRUST COLSA CORPORATION 401(K) PROFIT SHA ARING PLAN 106135 2423 E LINCOLN DR PHOENIX AZ 85016-1215 |
22.67% |
|
|
|
|
MASSACHUSETTS MUTUAL LIFE INSURANCE 1295 STATE STREET MIP M200-INVST SPRINGFIELD MA 01111-0001 |
12.54% |
|
|
|
|
NATIONAL FINANCIAL SERVICES LLC 499 WASHINGTON BLVD JERSEY CITY NJ 07310-1995 |
12.00% |
|
|
|
|
AMERICAN UNITED LIFE INSURANCE CO UNIT INVESTMENT TRUST PO BOX 368 INDIANAPOLIS IN 46206-0368 |
9.75% |
|
|
|
|
EMPOWER TRUST FBO EMPOWER BENEFIT PLANS 8515 E ORCHARD RD 2T2 GREENWOOD VILLAGE CO 80111-5002 |
9.67% |
|
|
|
|
STATE STREET BANK & TRUST AS TRUSTEE AND/OR CUSTODIAN FBO ADP ACCESS PRODUCT PO BOX 5501 BOSTON MA 02206-5501 |
7.36% |
|
|
|
|
ASCENSUS TRUST COMPANY FBO THE AAGARD GROUP LLC 401(K) PS PL PO BOX 10758 FARGO ND 58106-0758 |
5.24% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
CLASS R5 SHARES |
WELLS FARGO BANK NA TRUSTEE C/O FASCORE LLC FBO NEW JERSEY TRANSIT PLANS 8515 E ORCHARD RD # 2T2 GREENWOOD VLG CO 80111-5002 |
25.45% |
|
|
|
|
NATIONAL FINANCIAL SERVICES LLC 499 WASHINGTON BLVD JERSEY CITY NJ 07310-1995 |
18.36% |
|
|
|
|
STANDARD INSURANCE COMPANY SEPARATE ACCOUNT A P11D 1100 SW 6TH AVE PORTLAND OR 97204-1093 |
14.10% |
|
|
|
|
MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS ATTN FUND ADMINISTRATION 4800 DEER LAKE DR E FL 3 JACKSONVILLE FL 32246-6484 |
6.95% |
|
|
|
CLASS R6 SHARES |
NATIONAL FINANCIAL SERVICES LLC 499 WASHINGTON BLVD JERSEY CITY NJ 07310-1995 |
18.10% |
|
|
|
|
EDWARD D JONES & CO FOR THE BENEFIT OF CUSTOMERS 12555 MANCHESTER RD SAINT LOUIS MO 63131-3710 |
14.64% |
|
|
|
|
J. P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
6.80% |
|
|
|
|
DCGT AS TTEE AND/OR CUST FBO PLIC VARIOUS RETIREMENT PLANS OMNIBUS ATTN NPIO TRADE DESK 711 HIGH ST DES MOINES IA 50392-0001 |
6.64% |
JPMORGAN SMALL CAP GROWTH FUND | ||
CLASS A SHARES |
EDWARD D JONES & CO FOR THE BENEFIT OF CUSTOMERS 12555 MANCHESTER RD SAINT LOUIS MO 63131-3710 |
36.28% |
|
|
|
|
J. P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
8.43% |
Name of Fund |
Name and Address of Shareholder |
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 |
7.63% |
|
|
|
|
RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS ATTN COURTNEY WALLER 880 CARILLON PKWY ST PETERSBURG FL 33716-1100 |
5.83% |
|
|
|
|
CHARLES SCHWAB & CO INC SPECIAL CUSTODY ACCT FBO CUSTOMERS ATTN MUTUAL FUNDS 211 MAIN ST SAN FRANCISCO CA 94105-1901 |
5.30% |
|
|
|
CLASS C SHARES |
RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS ATTN COURTNEY WALLER 880 CARILLON PKWY ST PETERSBURG FL 33716-1100 |
29.01% |
|
|
|
|
WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET STREET ST LOUIS MO 63103-2523 |
16.53% |
|
|
|
|
PERSHING LLC P.O. BOX 2052 JERSEY CITY NJ 07303-2052 |
11.06% |
|
|
|
|
J. P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
7.49% |
|
|
|
|
NATIONAL FINANCIAL SERVICES LLC FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS 499 WASHINGTON BLVD ATTN MUTUAL FUNDS DEPT 4TH FLOOR JERSEY CITY NJ 07310-1995 |
6.04% |
|
|
|
|
AMERICAN ENTERPRISE INVESTMENT SVC 707 2ND AVE S MINNEAPOLIS MN 55402-2405 |
5.94% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
CLASS I SHARES |
MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS ATTN FUND ADMINISTRATION 4800 DEER LAKE DR E FL 3 JACKSONVILLE FL 32246-6484 |
71.25% |
|
|
|
|
PERSHING LLC P.O. BOX 2052 JERSEY CITY NJ 07303-2052 |
7.68% |
|
|
|
CLASS L SHARES |
EMPOWER TRUST FBO TRINET 401K PLAN 8515 E ORCHARD RD 2T2 GREENWOOD VILLAGE CO 80111-5002 |
22.88% |
|
|
|
|
RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS ATTN COURTNEY WALLER 880 CARILLON PKWY ST PETERSBURG FL 33716-1100 |
15.33% |
|
|
|
|
NATIONAL FINANCIAL SERVICES LLC FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY CITY NJ 07310-1995 |
13.89% |
|
|
|
|
EMPOWER TRUST FBO EMPOWER BENEFIT PLANS 8515 E ORCHARD RD # 2T2 GREENWOOD VLG CO 80111-5002 |
12.33% |
|
|
|
|
CHARLES SCHWAB & CO INC SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS ATTN: MUTUAL FUNDS 211 MAIN ST SAN FRANCISCO CA 94105-1901 |
10.23% |
|
|
|
|
PERSHING LLC P.O. BOX 2052 JERSEY CITY NJ 07303-2052 |
8.95% |
|
|
|
|
WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET STREET ST LOUIS MO 63103-2523 |
8.15% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
CLASS R2 SHARES |
HARTFORD LIFE INSURANCE COMPANY SEPARATE ACCOUNT ATTN UIT OPERATIONS PO BOX 2999 HARTFORD CT 06104-2999 |
58.45% |
|
|
|
|
STATE STREET BANK & TRUST AS TRUSTEE AND/OR CUSTODIAN FBO ADP ACCESS PRODUCT PO BOX 5501 BOSTON MA 02206-5501 |
18.04% |
|
|
|
CLASS R3 SHARES |
EMPOWER TRUST FBO EMPOWER BENEFIT GRAND FATHERED PLAN 8515 E ORCHARD RD 2T2 GREENWOOD VILLAGE CO 80111-5002 |
31.17% |
|
|
|
|
EMPOWER TRUST FBO RECORDKEEPING FOR VARIOUS BENEFIT P 8525 E ORCHARD RD C/O MUTUAL FUND TRADING GREENWOOD VILLAGE CO 80111-5002 |
11.84% |
|
|
|
|
STATE STREET BANK & TRUST AS TRUSTEE AND/OR CUSTODIAN FBO ADP ACCESS PRODUCT PO BOX 5501 BOSTON MA 02206-5501 |
11.18% |
|
|
|
|
LINCOLN RETIREMENT SERVICES COMPANY FBO LOGIX COMM LP 401K PLAN PO BOX 7876 FORT WAYNE IN 46801-7876 |
8.37% |
|
|
|
|
MATRIX TRUST COMPANY CUST FBO NORTHWEST PLAN SERVICES INC PO BOX 52129 PHOENIX AZ 85072-2129 |
7.34% |
|
|
|
|
FIDELITY INVESTMENTS INST OPERATIONS CO INC AS AGENT FOR FBO IERUS TECHNOLOGIES, INC. RETIREMENT PLAN 100 MAGELLAN WAY #KWIC COVINGTON KY 41015-1999 |
7.17% |
|
|
|
CLASS R4 SHARES |
STATE STREET BANK & TRUST AS TRUSTEE AND/OR CUSTODIAN FBO ADP ACCESS PRODUCT PO BOX 5501 BOSTON MA 02206-5501 |
80.68% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
|
NATIONAL FINANCIAL SERVICES LLC FIIOC AS AGENT FOR QUALIFIED EMPLOYEE BENEFIT PLANS (401K) FINOPS-IC FUNDS 100 MAGELLAN WAY # KW1C COVINGTON KY 41015-1987 |
6.74% |
|
|
|
CLASS R5 SHARES |
JOHN HANCOCK TRUST COMPANY LLC 200 BERKELEY ST STE 7 BOSTON MA 02116-5038 |
26.42% |
|
|
|
|
MATRIX TRUST COMPANY TRUSTEE FBO VANIR GROUP OF COMPANIES INC. 717 17TH ST STE 1300 DENVER CO 80202-3304 |
20.16% |
|
|
|
|
EMPOWER TRUST COMPANY LLC TTEE F EMPLOYEE BENEFITS CLIENTS 401K - FG 8515 E ORCHARD RD # 2T2 GREENWOOD VLG CO 80111-5002 |
8.82% |
|
|
|
|
NATIONAL FINANCIAL SERVICES LLC FIIOC AS AGENT FOR QUALIFIED EMPLOYEE BENEFIT PLANS (401K) FINOPS-IC FUNDS 100 MAGELLAN WAY # KW1C COVINGTON KY 41015-1987 |
8.62% |
|
|
|
|
VANGUARD FIDUCIARY TRUST CO JP MORGAN FUNDS ATTN INVESTMENT SERVICES PO BOX 2600 VALLEY FORGE PA 19482-2600 |
5.90% |
|
|
|
CLASS R6 SHARES |
EDWARD D JONES & CO FOR THE BENEFIT OF CUSTOMERS 12555 MANCHESTER RD SAINT LOUIS MO 63131-3710 |
19.89% |
|
|
|
|
CHARLES SCHWAB & CO INC SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS ATTN MUTUAL FUNDS 211 MAIN ST SAN FRANCISCO CA 94105-1901 |
10.93% |
|
|
|
|
NATIONAL FINANCIAL SERVICES LLC 499 WASHINGTON BLVD JERSEY CITY NJ 07310-1995 |
7.91% |
|
|
|
|
J. P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
7.91% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
JPMORGAN SMALL CAP VALUE FUND | ||
CLASS A SHARES |
J. P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
30.30% |
|
|
|
|
NATIONAL FINANCIAL SERVICES LLC FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS 499 WASHINGTON BLVD ATTN MUTUAL FUNDS DEPT 4TH FLOOR JERSEY CITY NJ 07310-1995 |
7.28% |
|
|
|
|
EDWARD D JONES & CO FOR THE BENEFIT OF CUSTOMERS 12555 MANCHESTER RD SAINT LOUIS MO 63131-3710 |
6.00% |
|
|
|
CLASS C SHARES |
PERSHING LLC P.O. BOX 2052 JERSEY CITY NJ 07303-2052 |
18.17% |
|
|
|
|
WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET STREET ST LOUIS MO 63103-2523 |
16.14% |
|
|
|
|
AMERICAN ENTERPRISE INVESTMENT SVC 707 2ND AVE S MINNEAPOLIS MN 55402-2405 |
13.44% |
|
|
|
|
LPL FINANCIAL OMNIBUS CUSTOMER ACCOUNT ATTN MUTUAL FUND TRADING 4707 EXECUTIVE DR SAN DIEGO CA 92121-3091 |
10.74% |
|
|
|
|
RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS ATTN COURTNEY WALLER 880 CARILLON PKWY ST PETERSBURG FL 33716-1100 |
8.84% |
|
|
|
|
STIFEL NICOLAUS & CO INC EXCLUSIVE BENEFIT OF CUSTOMERS 501 N BROADWAY SAINT LOUIS MO 63102-2188 |
6.52% |
|
|
|
|
J. P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
5.50% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
CLASS I SHARES |
C/O ICMA RETIREMENT CORPORATION VANTAGETRUST - UNITIZED 777 N CAPITOL ST NE WASHINGTON DC 20002-4239 |
17.87% |
|
|
|
|
NATIONAL FINANCIAL SERVICES LLC FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY CITY NJ 07310-1995 |
16.78% |
|
|
|
|
CHARLES SCHWAB & CO INC SPECIAL CUSTODY A/C FBO CUSTOMERS ATTN MUTUAL FUNDS 211 MAIN STREET SAN FRANCISCO CA 94105-1901 |
9.11% |
|
|
|
|
LPL FINANCIAL OMNIBUS CUSTOMER ACCOUNT ATTN MUTUAL FUND TRADING 4707 EXECUTIVE DR SAN DIEGO CA 92121-3091 |
7.57% |
|
|
|
|
CHARLES SCHWAB & CO INC SPECIAL CUSTODY ACCOUNT FOR EXCLUSIVE BENEFIT OF CUSTOMERS ATTN MUTUAL FUNDS 211 MAIN ST SAN FRANCISCO CA 94105-1901 |
6.16% |
|
|
|
|
EMPOWER TRUST FBO GREAT WEST IRA ADVANTAGE C/O FASCORE LLC 8515 E ORCHARD RD # 2T2 GREENWOOD VLG CO 80111-5002 |
5.87% |
|
|
|
|
AMERICAN ENTERPRISE INVESTMENT SVC 707 2ND AVE S MINNEAPOLIS MN 55402-2405 |
5.44% |
|
|
|
|
EMPOWER TRUST FBO EMPLOYEE BENEFIT CLIENTS 401K 8515 E ORCHARD RD # 2T2 GREENWOOD VLG CO 80111-5002 |
5.16% |
|
|
|
CLASS R2 SHARES |
HARTFORD LIFE INSURANCE COMPANY SEPARATE ACCOUNT ATTN UIT OPERATIONS PO BOX 2999 HARTFORD CT 06104-2999 |
19.42% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
|
STATE STREET BANK & TRUST AS TRUSTEE AND/OR CUSTODIAN FBO ADP ACCESS PRODUCT PO BOX 5501 BOSTON MA 02206-5501 |
16.54% |
|
|
|
|
DCGT TRUSTEE & OR CUSTODIAN FBO PLIC VARIOUS RETIREMENT PLANS OMNIBUS ATTN NPIO TRADE DESK 711 HIGH ST DES MOINES IA 50392-0001 |
9.82% |
|
|
|
|
MASSACHUSETTS MUTUAL LIFE INSURANCE 1295 STATE STREET MIP M200-INVST SPRINGFIELD MA 01111-0001 |
8.79% |
|
|
|
CLASS R3 SHARES |
STATE STREET BANK & TRUST AS TRUSTEE AND/OR CUSTODIAN FBO ADP ACCESS PRODUCT PO BOX 5501 BOSTON MA 02206-5501 |
66.82% |
|
|
|
|
UMB BANK - CUSTODIAN SECURITY FINANCIAL RESOURCES 1 SW SECURITY BENEFIT PL TOPEKA KS 66636-1000 |
6.75% |
|
|
|
CLASS R4 SHARES |
RELIANCE TRUST CO FBO MASSMUTUAL VARIOUS NON QUALIFIED R PO BOX 570788 ATLANTA GA 30357-3114 |
51.69% |
|
|
|
|
PRINCIPAL TRUST COMPANY ATTN PLAN TRUSTEE FBO ACA GROUP DEF COMP PLAN 1013 CENTRE RD WILMINGTON DE 19805-1265 |
43.16% |
|
|
|
CLASS R5 SHARES |
NATIONAL FINANCIAL SERVICES LLC 499 WASHINGTON BLVD JERSEY CITY NJ 07310-1995 |
49.20% |
|
|
|
|
VANGUARD FIDUCIARY TRUST CO JP MORGAN FUNDS ATTN INVESTMENT SERVICES PO BOX 2600 VALLEY FORGE PA 19482-2600 |
17.11% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
|
NATIONWIDE LIFE INSURANCE CO NACO C/O IPO PORTFOLIO ACCOUNTING PO BOX 182029 COLUMBUS OH 43218-2029 |
6.89% |
|
|
|
CLASS R6 SHARES |
EMPOWER TRUST FBO RECORDKEEPING FOR EMPLOYEE BENEFITS 8515 E ORCHARD RD # 2T2 GREENWOOD VLG CO 80111-5002 |
11.23% |
|
|
|
|
NATIONAL FINANCIAL SERVICES LLC 499 WASHINGTON BLVD JERSEY CITY NJ 07310-1995 |
8.12% |
|
|
|
|
JPMIM AS AGENT FOR* JPMORGAN INVESTOR GROWTH FUND ATTN CLIENT SERVICES 500 STANTON CHRISTIANA RD DE3-3650 NEWARK DE 19713-2105 |
7.99% |
|
|
|
|
TIAA TRUST, N.A. AS CUST/TTEE OF RETIREMENT PLANS RECORDKEPT BY TIAA ATTN: FUND OPERATIONS 8500 ANDREW CARNEGIE BLVD CHARLOTTE NC 28262-8500 |
5.06% |
JPMORGAN SMID CAP EQUITY FUND | ||
CLASS A SHARES |
J. P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
52.33% |
|
|
|
CLASS C SHARES |
WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET STREET ST LOUIS MO 63103-2523 |
40.77% |
|
|
|
|
J. P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
19.98% |
|
|
|
|
PERSHING LLC P.O. BOX 2052 JERSEY CITY NJ 07303-2052 |
11.15% |
|
|
|
|
RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS ATTN COURTNEY WALLER 880 CARILLON PKWY ST PETERSBURG FL 33716-1100 |
5.15% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
CLASS I SHARES |
JOHN HANCOCK LIFE INS CO (USA) ATTN JHRPS TRADING OPS ST6 200 BERKELEY STREET BOSTON MA 02116-5022 |
26.67% |
|
|
|
|
J. P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
19.49% |
|
|
|
|
NATIONAL FINANCIAL SERVICES LLC FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY CITY NJ 07310-1995 |
9.30% |
|
|
|
|
EMPOWER TRUST FBO EMPOWER IRA ADVANTAGE C/O FASCORE LLC 8515 E ORCHARD RD 2T2 GREENWOOD VILLAGE CO 80111-5002 |
6.86% |
|
|
|
|
LPL FINANCIAL OMNIBUS CUSTOMER ACCOUNT ATTN MUTUAL FUND TRADING 4707 EXECUTIVE DR SAN DIEGO CA 92121-3091 |
6.00% |
|
|
|
CLASS R3 SHARES |
STATE STREET BANK & TRUST AS TRUSTEE AND/OR CUSTODIAN FBO ADP ACCESS PRODUCT PO BOX 5501 BOSTON MA 02206-5501 |
34.56% |
|
|
|
|
MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS ATTN FUND ADMINISTRATION 4800 DEER LAKE DR E FL 3 JACKSONVILLE FL 32246-6484 |
13.75% |
|
|
|
|
NATIONWIDE TRUST COMPANY FSB C/O IPO PORTFOLIO ACCOUNTING PO BOX 182029 COLUMBUS OH 43218-2029 |
13.36% |
|
|
|
|
MATRIX TRUST COMPANY AS AGENT FOR ADVISOR TRUST INC NORTH AMERICAN BAPTIST CONF 403(B) 717 17TH ST STE 1300 DENVER CO 80202-3304 |
10.32% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
|
NFS LLC FEBO FIIOC AS AGENT FOR QUALIFIED EMPLOYEE BENEFIT PLANS (401K) FINOPS-IC FUNDS 100 MAGELLAN WAY # KW1C COVINGTON KY 41015-1987 |
6.31% |
|
|
|
|
MATRIX TRUST COMPANY AS AGENT FOR ADVISOR TRUST INC PLYMOUTH-CANTON COMM SCHOOLS 403(B) 717 17TH ST STE 1300 DENVER CO 80202-3304 |
5.97% |
|
|
|
CLASS R4 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% |
|
|
|
CLASS R6 SHARES |
MONTANA PUBLIC EES RTMT BOARD TTEE FBO STATE OF MONTANA DCP C/O FASCORE LLC 8515 E ORCHARD RD # 2T2 GREENWOOD VLG CO 80111-5002 |
26.20% |
|
|
|
|
NATIONAL FINANCIAL SERVICES LLC 499 WASHINGTON BLVD JERSEY CITY NJ 07310-1995 |
22.26% |
|
|
|
|
MONTANA PUBLIC RET BOARD TTEE FBO STATE OF MONTANA PUBLIC EMP DCP C/O FASCORE LLC 8515 E ORCHARD RD # 2T2 GREENWOOD VLG CO 80111-5002 |
16.09% |
|
|
|
|
J. P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
12.14% |
|
|
|
|
JPMIM AS AGENT FOR* THE TRUSTEES OF COLUMBIA UNIVERSITY IN THE CITY OF NEW YORK ATTN CLIENT SERVICES 1111 POLARIS PKWY OHI-0084 COLUMBUS OH 43240-2031 |
8.06% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
JPMORGAN EQUITY PREMIUM INCOME FUND | ||
CLASS A SHARES |
RBC CAPITAL MARKETS LLC MUTUAL FUND OMNIBUS PROCESSING OMNIBUS ATTN MUTUAL FUND OPS MANAGER 250 NICOLLET MALL SUITE 1400 MINNEAPOLIS MN 55401-7582 |
26.27% |
|
|
|
|
LPL FINANCIAL OMNIBUS CUSTOMER ACCOUNT ATTN MUTUAL FUND TRADING 4707 EXECUTIVE DR SAN DIEGO CA 92121-3091 |
11.46% |
|
|
|
|
AMERICAN ENTERPRISE INVESTMENT SVC 707 2ND AVE S MINNEAPOLIS MN 55402-2405 |
10.89% |
|
|
|
|
RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS ATTN COURTNEY WALLER 880 CARILLON PKWY ST PETERSBURG FL 33716-1100 |
9.77% |
|
|
|
|
PERSHING LLC P.O. BOX 2052 JERSEY CITY NJ 07303-2052 |
9.56% |
|
|
|
|
NATIONAL FINANCIAL SERVICES LLC FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS 499 WASHINGTON BLVD ATTN MUTUAL FUNDS DEPT 4TH FLOOR JERSEY CITY NJ 07310-1995 |
7.76% |
|
|
|
|
CHARLES SCHWAB & CO INC SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS ATTN: MUTUAL FUNDS 211 MAIN ST SAN FRANCISCO CA 94105-1901 |
5.55% |
|
|
|
CLASS C SHARES |
AMERICAN ENTERPRISE INVESTMENT SVC 707 2ND AVE S MINNEAPOLIS MN 55402-2405 |
18.47% |
|
|
|
|
RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS ATTN COURTNEY WALLER 880 CARILLON PKWY ST PETERSBURG FL 33716-1100 |
17.54% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
|
LPL FINANCIAL OMNIBUS CUSTOMER ACCOUNT ATTN MUTUAL FUND TRADING 4707 EXECUTIVE DR SAN DIEGO CA 92121-3091 |
15.93% |
|
|
|
|
STIFEL NICOLAUS & CO INC EXCLUSIVE BENEFIT OF CUSTOMERS 501 N BROADWAY SAINT LOUIS MO 63102-2188 |
12.98% |
|
|
|
|
PERSHING LLC P.O. BOX 2052 JERSEY CITY NJ 07303-2052 |
12.72% |
|
|
|
|
NATIONAL FINANCIAL SERVICES LLC FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS 499 WASHINGTON BLVD ATTN MUTUAL FUNDS DEPT 4TH FLOOR JERSEY CITY NJ 07310-1995 |
7.49% |
|
|
|
|
RBC CAPITAL MARKETS LLC MUTUAL FUND OMNIBUS PROCESSING OMNIBUS ATTN MUTUAL FUND OPS MANAGER 250 NICOLLET MALL SUITE 1400 MINNEAPOLIS MN 55401-7582 |
6.31% |
|
|
|
CLASS I SHARES |
LPL FINANCIAL OMNIBUS CUSTOMER ACCOUNT ATTN MUTUAL FUND TRADING 4707 EXECUTIVE DR SAN DIEGO CA 92121-3091 |
35.54% |
|
|
|
|
AMERICAN ENTERPRISE INVESTMENT SVC 707 2ND AVE S MINNEAPOLIS MN 55402-2405 |
29.63% |
|
|
|
|
NATIONAL FINANCIAL SERVICES LLC FOR THE EXCLUSIVE BENEFIT OF OUR CUSTOMERS ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY CITY NJ 07310-1995 |
11.71% |
|
|
|
|
RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS ATTN COURTNEY WALLER 880 CARILLON PKWY ST PETERSBURG FL 33716-1100 |
7.44% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
|
CHARLES SCHWAB & CO INC SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS ATTN: MUTUAL FUNDS 211 MAIN ST SAN FRANCISCO CA 94105-1901 |
5.36% |
|
|
|
CLASS R5 SHARES |
RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS ATTN COURTNEY WALLER 880 CARILLON PKWY ST PETERSBURG FL 33716-1100 |
27.57% |
|
|
|
|
MATRIX TRUST COMPANY CUST FBO M3 INVESTMENT SERVICES 717 17TH ST STE 1300 DENVER CO 80202-3304 |
26.35% |
|
|
|
|
MATRIX TRUST COMPANY AS AGENT FOR ADVISOR TRUST INC GROSSE POINTE (MI) 457 717 17TH ST STE 1300 DENVER CO 80202-3304 |
24.09% |
|
|
|
|
MATRIX TRUST COMPANY AS AGENT FOR ADVISOR TRUST INC ROMEO COMMUNITY SCHOOLS 457 PLAN 717 17TH ST STE 1300 DENVER CO 80202-3304 |
13.47% |
|
|
|
|
MATRIX TRUST COMPANY AS AGENT FOR ADVISOR TRUST INC GROSSE POINTE PUB SCH (MI) 717 17TH ST STE 1300 DENVER CO 80202-3304 |
7.96% |
|
|
|
CLASS R6 SHARES |
J. P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
89.13% |
JPMORGAN HEDGED EQUITY 2 FUND | ||
CLASS A SHARES |
J. P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
34.01% |
|
|
|
|
CHARLES SCHWAB & CO INC SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS ATTN: MUTUAL FUNDS 211 MAIN ST SAN FRANCISCO CA 94105-1901 |
20.44% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
|
NATIONAL FINANCIAL SERVICES LLC FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS 499 WASHINGTON BLVD ATTN MUTUAL FUNDS DEPT 4TH FLOOR JERSEY CITY NJ 07310-1995 |
8.74% |
|
|
|
|
PERSHING LLC P.O. BOX 2052 JERSEY CITY NJ 07303-2052 |
8.68% |
|
|
|
|
WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET STREET ST LOUIS MO 63103-2523 |
6.04% |
|
|
|
|
MORGAN STANLEY SMITH BARNEY LLC FOR THE EXCLUSIVE BENE OF ITS CUST 1 NEW YORK PLZ FL 12 NEW YORK NY 10004-1965 |
5.78% |
|
|
|
|
LPL FINANCIAL OMNIBUS CUSTOMER ACCOUNT ATTN MUTUAL FUND TRADING 4707 EXECUTIVE DR SAN DIEGO CA 92121-3091 |
5.05% |
|
|
|
CLASS C SHARES |
J. P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
43.02% |
|
|
|
|
MORGAN STANLEY SMITH BARNEY LLC FOR THE EXCLUSIVE BENE OF ITS CUST 1 NEW YORK PLZ FL 12 NEW YORK NY 10004-1965 |
10.93% |
|
|
|
|
LPL FINANCIAL OMNIBUS CUSTOMER ACCOUNT ATTN MUTUAL FUND TRADING 4707 EXECUTIVE DR SAN DIEGO CA 92121-3091 |
9.45% |
|
|
|
|
WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET STREET ST LOUIS MO 63103-2523 |
7.41% |
|
|
|
|
AMERICAN ENTERPRISE INVESTMENT SVC 707 2ND AVE S MINNEAPOLIS MN 55402-2405 |
7.01% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
|
RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS ATTN COURTNEY WALLER 880 CARILLON PKWY ST PETERSBURG FL 33716-1100 |
5.90% |
|
|
|
|
PERSHING LLC P.O. BOX 2052 JERSEY CITY NJ 07303-2052 |
5.79% |
|
|
|
CLASS I SHARES |
NATIONAL FINANCIAL SERVICES LLC FOR THE EXCLUSIVE BENEFIT OF OUR CUSTOMERS ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY CITY NJ 07310-1995 |
20.24% |
|
|
|
|
LPL FINANCIAL OMNIBUS CUSTOMER ACCOUNT ATTN MUTUAL FUND TRADING 4707 EXECUTIVE DR SAN DIEGO CA 92121-3091 |
14.81% |
|
|
|
|
PERSHING LLC P.O. BOX 2052 JERSEY CITY NJ 07303-2052 |
14.49% |
|
|
|
|
AMERICAN ENTERPRISE INVESTMENT SVC 707 2ND AVE S MINNEAPOLIS MN 55402-2405 |
10.82% |
|
|
|
|
MORGAN STANLEY SMITH BARNEY LLC FOR THE EXCLUSIVE BENE OF ITS CUST 1 NEW YORK PLZ FL 12 NEW YORK NY 10004-1965 |
9.66% |
|
|
|
|
CHARLES SCHWAB & CO INC SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS ATTN: MUTUAL FUNDS 211 MAIN ST SAN FRANCISCO CA 94105-1901 |
8.40% |
|
|
|
|
RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS ATTN COURTNEY WALLER 880 CARILLON PKWY ST PETERSBURG FL 33716-1100 |
5.43% |
|
|
|
CLASS R5 SHARES |
RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS ATTN COURTNEY WALLER 880 CARILLON PKWY ST PETERSBURG FL 33716-1100 |
33.87% |
Name of Fund |
Name and Address of Shareholder |
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 07310-1995 |
30.64% |
|
|
|
|
D A DAVIDSON & CO SUSAN LYON TTEE 8 3RD ST N GREAT FALLS MT 59401-3155 |
20.80% |
|
|
|
|
MATRIX TRUST COMPANY TRUSTEE FBO MOORE FINANCIAL ADVISORS, LTD 401( 717 17TH ST STE 1300 DENVER CO 80202-3304 |
5.28% |
|
|
|
|
D A DAVIDSON & CO MARK DICKEY 8 3RD ST N GREAT FALLS MT 59401-3155 |
5.26% |
|
|
|
CLASS R6 SHARES |
J.P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
85.11% |
JPMORGAN HEDGED EQUITY 3 FUND | ||
CLASS A SHARES |
J. P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
33.09% |
|
|
|
|
MORGAN STANLEY SMITH BARNEY LLC FOR THE EXCLUSIVE BENE OF ITS CUST 1 NEW YORK PLZ FL 12 NEW YORK NY 10004-1965 |
13.48% |
|
|
|
|
WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET STREET ST LOUIS MO 63103-2523 |
10.80% |
|
|
|
|
CHARLES SCHWAB & CO INC SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS ATTN: MUTUAL FUNDS 211 MAIN ST SAN FRANCISCO CA 94105-1901 |
8.46% |
|
|
|
|
PERSHING LLC P.O. BOX 2052 JERSEY CITY NJ 07303-2052 |
7.93% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
|
LPL FINANCIAL OMNIBUS CUSTOMER ACCOUNT ATTN MUTUAL FUND TRADING 4707 EXECUTIVE DR SAN DIEGO CA 92121-3091 |
5.59% |
|
|
|
CLASS C SHARES |
J. P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
37.58% |
|
|
|
|
WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET STREET ST LOUIS MO 63103-2523 |
12.11% |
|
|
|
|
MORGAN STANLEY SMITH BARNEY LLC FOR THE EXCLUSIVE BENE OF ITS CUST 1 NEW YORK PLZ FL 12 NEW YORK NY 10004-1965 |
10.76% |
|
|
|
|
AMERICAN ENTERPRISE INVESTMENT SVC 707 2ND AVE S MINNEAPOLIS MN 55402-2405 |
10.54% |
|
|
|
|
RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS ATTN COURTNEY WALLER 880 CARILLON PKWY ST PETERSBURG FL 33716-1100 |
8.57% |
|
|
|
|
LPL FINANCIAL OMNIBUS CUSTOMER ACCOUNT ATTN MUTUAL FUND TRADING 4707 EXECUTIVE DR SAN DIEGO CA 92121-3091 |
5.52% |
|
|
|
|
PERSHING LLC P.O. BOX 2052 JERSEY CITY NJ 07303-2052 |
5.51% |
|
|
|
CLASS I SHARES |
CHARLES SCHWAB & CO INC SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS ATTN: MUTUAL FUNDS 211 MAIN ST SAN FRANCISCO CA 94105-1901 |
18.45% |
Name of Fund |
Name and Address of Shareholder |
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 07310-1995 |
14.94% |
|
|
|
|
MORGAN STANLEY SMITH BARNEY LLC FOR THE EXCLUSIVE BENE OF ITS CUST 1 NEW YORK PLZ FL 12 NEW YORK NY 10004-1965 |
14.91% |
|
|
|
|
LPL FINANCIAL OMNIBUS CUSTOMER ACCOUNT ATTN MUTUAL FUND TRADING 4707 EXECUTIVE DR SAN DIEGO CA 92121-3091 |
11.72% |
|
|
|
|
AMERICAN ENTERPRISE INVESTMENT SVC 707 2ND AVE S MINNEAPOLIS MN 55402-2405 |
11.04% |
|
|
|
|
PERSHING LLC P.O. BOX 2052 JERSEY CITY NJ 07303-2052 |
10.00% |
|
|
|
CLASS R5 SHARES |
JP MORGAN INVESTMENT MGMT* ATTN LOREN STRIFE OH1-0185 1111 POLARIS PKWY COLUMBUS OH 43240-2031 |
94.76% |
|
|
|
|
RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS ATTN COURTNEY WALLER 880 CARILLON PKWY ST PETERSBURG FL 33716-1100 |
5.24% |
|
|
|
CLASS R6 SHARES |
J.P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
72.90% |
|
|
|
|
C/O GWP US ADVISORS SEI PRIVATE TRUST COMPANY 1 FREEDOM VALLEY DR OAKS PA 19456-9989 |
14.77% |
|
|
|
|
MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS ATTN FUND ADMINISTRATION 4800 DEER LAKE DR E FL 3 JACKSONVILLE FL 32246-6484 |
6.16% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
JPMORGAN GROWTH ADVANTAGE FUND | ||
CLASS A SHARES |
EDWARD D JONES & CO FOR THE BENEFIT OF CUSTOMERS 12555 MANCHESTER RD SAINT LOUIS MO 63131-3710 |
36.16% |
|
|
|
|
J. P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
18.95% |
|
|
|
CLASS C SHARES |
J. P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
27.16% |
|
|
|
|
WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET STREET ST LOUIS MO 63103-2523 |
14.35% |
|
|
|
|
AMERICAN ENTERPRISE INVESTMENT SVC 707 2ND AVE S MINNEAPOLIS MN 55402-2405 |
11.35% |
|
|
|
|
PERSHING LLC P.O. BOX 2052 JERSEY CITY NJ 07303-2052 |
7.14% |
|
|
|
|
MORGAN STANLEY SMITH BARNEY LLC FOR THE EXCLUSIVE BENE OF ITS CUST 1 NEW YORK PLZ FL 12 NEW YORK NY 10004-1965 |
6.70% |
|
|
|
|
LPL FINANCIAL OMNIBUS CUSTOMER ACCOUNT ATTN MUTUAL FUND TRADING 4707 EXECUTIVE DR SAN DIEGO CA 92121-3091 |
6.48% |
|
|
|
|
STIFEL NICOLAUS & CO INC EXCLUSIVE BENEFIT OF CUSTOMERS 501 N BROADWAY SAINT LOUIS MO 63102-2188 |
5.10% |
|
|
|
CLASS I SHARES |
LPL FINANCIAL OMNIBUS CUSTOMER ACCOUNT ATTN MUTUAL FUND TRADING 4707 EXECUTIVE DR SAN DIEGO CA 92121-3091 |
14.33% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
|
AMERICAN ENTERPRISE INVESTMENT SVC 707 2ND AVE S MINNEAPOLIS MN 55402-2405 |
12.43% |
|
|
|
|
NATIONAL FINANCIAL SERVICES LLC FOR THE EXCLUSIVE BENEFIT OF OUR CUSTOMERS ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY CITY NJ 07310-1995 |
11.54% |
|
|
|
|
MORGAN STANLEY SMITH BARNEY LLC FOR THE EXCLUSIVE BENE OF ITS CUST 1 NEW YORK PLZ FL 12 NEW YORK NY 10004-1965 |
8.56% |
|
|
|
|
J. P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
7.62% |
|
|
|
|
RAYMOND JAMES OMNIBUS FOR MUTUAL FUNDS ATTN COURTNEY WALLER 880 CARILLON PKWY ST PETERSBURG FL 33716-1100 |
6.63% |
|
|
|
|
PERSHING LLC P.O. BOX 2052 JERSEY CITY NJ 07303-2052 |
6.53% |
|
|
|
|
WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET STREET ST LOUIS MO 63103-2523 |
6.19% |
|
|
|
CLASS R2 SHARES |
MEETA SHAH & SUBHASH SHAH TTEE FBO NEUROLOGY CENTER OF WICHITA 401K PS C/O FASCORE LLC 8515 E ORCHARD RD # 2T2 GREENWOOD VLG CO 80111-5002 |
13.82% |
|
|
|
|
CAPITAL BANK & TRUST COMPANY TTEE F MCHALE LANDSCAPE DESIGN 401K 8515 E ORCHARD RD # 2T2 GREENWOOD VLG CO 80111-5002 |
10.69% |
|
|
|
|
ASCENSUS TRUST COMPANY FBO ACE HARDWARE OF CHATTANOOGA 401(K) PO BOX 10758 FARGO ND 58106-0758 |
9.68% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
|
CAPITAL BANK & TRUST CO TRUSTEE FBO VESTIL MANUFACTURING CORP RETIREMNT C/O FASCORE LLC 8515 E ORCHARD RD # 2T2 GREENWOOD VLG CO 80111-5002 |
7.91% |
|
|
|
CLASS R3 SHARES |
STATE STREET BANK & TRUST AS TRUSTEE AND/OR CUSTODIAN FBO ADP ACCESS PRODUCT PO BOX 5501 BOSTON MA 02206-5501 |
31.60% |
|
|
|
|
MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS ATTN FUND ADMINISTRATION 4800 DEER LAKE DR E FL 3 JACKSONVILLE FL 32246-6484 |
29.75% |
|
|
|
|
STATE STREET BANK CUST FBO ADP ACCESS LARGE MARKET 401K 1 LINCOLN ST BOSTON MA 02111-2901 |
7.70% |
|
|
|
|
NATIONAL FINANCIAL SERVICES LLC FIIOC AS AGENT FOR QUALIFIED EMPLOYEE BENEFIT PLANS (401K) FINOPS-IC FUNDS 100 MAGELLAN WAY # KW1C COVINGTON KY 41015-1987 |
6.65% |
|
|
|
|
PEPSI OF WORCESTER & WINDHAM TTEE F PEPSI OF WORCESTER & PEPSI WINDHAM C/O FASCORE LLC 8515 E ORCHARD RD # 2T2 GREENWOOD VLG CO 80111-5002 |
6.30% |
|
|
|
CLASS R4 SHARES |
DCGT AS TTEE AND/OR CUST FBO PLIC VARIOUS RETIREMENT PLANS ATTN NPIO TRADE DESK OMNIBUS 711 HIGH ST DES MOINES IA 50392-0001 |
68.48% |
|
|
|
|
EMPOWER TRUST COMPANY LLC TTEE F EMPLOYEE BENEFITS CLIENTS 401K 8515 E ORCHARD RD # 2T2 GREENWOOD VLG CO 80111-5002 |
20.80% |
|
|
|
|
EMPOWER TRUST FBO EMPOWER BENEFIT PLANS 8515 E ORCHARD RD # 2T2 GREENWOOD VLG CO 80111-5002 |
6.48% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
CLASS R5 SHARES |
NATIONWIDE TRUST COMPANY FSB C/O IPO PORTFOLIO ACCOUNTING PO BOX 182029 COLUMBUS OH 43218-2029 |
28.66% |
|
|
|
|
MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS ATTN FUND ADMINISTRATION 4800 DEER LAKE DR E FL 3 JACKSONVILLE FL 32246-6484 |
24.76% |
|
|
|
|
EMPOWER TRUST COMPANY LLC TTEE F RECORDKEEPING FOR LARGE BENEFIT PL 8525 E ORCHARD RD GREENWOOD VLG CO 80111-5002 |
7.30% |
|
|
|
CLASS R6 SHARES |
EDWARD D JONES & CO FOR THE BENEFIT OF CUSTOMERS 12555 MANCHESTER RD SAINT LOUIS MO 63131-3710 |
37.25% |
|
|
|
|
J. P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
16.28% |
|
|
|
|
MAC & CO ATTN MUTUAL FUND OPS PO BOX 3198 525 WILLIAM PENN PLACE PITTSBURGH PA 15230-3198 |
7.70% |
JPMORGAN MID CAP VALUE FUND | ||
CLASS A SHARES |
EDWARD D JONES & CO FOR THE BENEFIT OF CUSTOMERS 12555 MANCHESTER RD SAINT LOUIS MO 63131-3710 |
19.26% |
|
|
|
|
MORGAN STANLEY SMITH BARNEY LLC FOR THE EXCLUSIVE BENE OF ITS CUST 1 NEW YORK PLZ FL 12 NEW YORK NY 10004-1965 |
11.37% |
|
|
|
|
CHARLES SCHWAB & CO INC SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS ATTN: MUTUAL FUNDS 211 MAIN ST SAN FRANCISCO CA 94105-1901 |
8.91% |
|
|
|
|
J. P. MORGAN SECURITIES LLC* FOR EXCLUSIVE BENEFIT OF CUSTOMERS 4 CHASE METROTECH CTR BROOKLYN NY 11245-0003 |
7.00% |
Name of Fund |
Name and Address of Shareholder |
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 |
6.80% |
|
|
|
|
NATIONAL FINANCIAL SERVICES LLC FOR EXCLUSIVE BENEFIT OF OUR CUSTOMERS 499 WASHINGTON BLVD ATTN MUTUAL FUNDS DEPT 4TH FLOOR JERSEY CITY NJ 07310-1995 |
5.80% |
|
|
|
|
WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET STREET ST LOUIS MO 63103-2523 |
5.39% |
|
|
|
CLASS C SHARES |
MORGAN STANLEY SMITH BARNEY LLC FOR THE EXCLUSIVE BENE OF ITS CUST 1 NEW YORK PLZ FL 12 NEW YORK NY 10004-1965 |
25.20% |
|
|
|
|
WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET STREET ST LOUIS MO 63103-2523 |
18.24% |
|
|
|
|
PERSHING LLC P.O. BOX 2052 JERSEY CITY NJ 07303-2052 |
16.89% |
|
|
|
|
UBS WM USA OMNI ACCOUNT M/F SPEC CDY A/C EBOC UBSFSI 1000 HARBOR BLVD WEEHAWKEN NJ 07086-6761 |
8.56% |
|
|
|
CLASS I SHARES |
MORGAN STANLEY SMITH BARNEY LLC FOR THE EXCLUSIVE BENE OF ITS CUST 1 NEW YORK PLZ FL 12 NEW YORK NY 10004-1965 |
24.20% |
|
|
|
|
UBS WM USA OMNI ACCOUNT M/F SPEC CDY A/C EBOC UBSFSI 1000 HARBOR BLVD WEEHAWKEN NJ 07086-6761 |
19.32% |
Name of Fund |
Name and Address of Shareholder |
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 07310-1995 |
16.11% |
|
|
|
|
LPL FINANCIAL OMNIBUS CUSTOMER ACCOUNT ATTN MUTUAL FUND TRADING 4707 EXECUTIVE DR SAN DIEGO CA 92121-3091 |
6.81% |
|
|
|
|
PERSHING LLC P.O. BOX 2052 JERSEY CITY NJ 07303-2052 |
5.50% |
|
|
|
|
MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS ATTN FUND ADMINISTRATION 4800 DEER LAKE DR EAST 2ND FL JACKSONVILLE FL 32246-6484 |
5.42% |
|
|
|
CLASS L SHARES |
NATIONAL FINANCIAL SERVICES LLC FOR THE EXCLUSIVE BENEFIT OF OUR CUSTOMERS ATTN MUTUAL FUNDS DEPT 4TH FL 499 WASHINGTON BLVD JERSEY CITY NJ 07310-1995 |
32.49% |
|
|
|
|
CHARLES SCHWAB & CO INC SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS ATTN: MUTUAL FUNDS 211 MAIN ST SAN FRANCISCO CA 94105-1901 |
15.58% |
|
|
|
|
WELLS FARGO CLEARING SERVICES LLC SPECIAL CUSTODY ACCT FOR THE EXCLUSIVE BENEFIT OF CUSTOMER 2801 MARKET STREET ST LOUIS MO 63103-2523 |
5.72% |
|
|
|
|
DCGT TRUSTEE & OR CUSTODIAN FBO PLIC VARIOUS RETIREMENT PLANS OMNIBUS ATTN NPIO TRADE DESK 711 HIGH ST DES MOINES IA 50392-0001 |
5.35% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
CLASS R2 SHARES |
STATE STREET BANK & TRUST AS TRUSTEE AND/OR CUSTODIAN FBO ADP ACCESS PRODUCT PO BOX 5501 BOSTON MA 02206-5501 |
71.10% |
|
|
|
CLASS R3 SHARES |
STATE STREET BANK & TRUST AS TRUSTEE AND/OR CUSTODIAN FBO ADP ACCESS PRODUCT PO BOX 5501 BOSTON MA 02206-5501 |
65.85% |
|
|
|
|
EMPOWER TRUST COMPANY LLC TTEE F EMBLEMHEALTH SERVICES COMPANY LLC 4 8515 E ORCHARD RD # 2T2 GREENWOOD VLG CO 80111-5002 |
16.58% |
|
|
|
CLASS R4 SHARES |
TIAA TRUST, N.A. AS CUST/TTEE OF RETIREMENT PLANS RECORDKEPT BY TIAA ATTN: FUND OPERATIONS 8500 ANDREW CARNEGIE BLVD CHARLOTTE NC 28262-8500 |
42.20% |
|
|
|
|
JOHN HANCOCK TRUST COMPANY LLC 200 BERKELEY ST STE 7 BOSTON MA 02116-5038 |
15.32% |
|
|
|
|
NATIONAL FINANCIAL SERVICES LLC 499 WASHINGTON BLVD JERSEY CITY NJ 07310-1995 |
12.78% |
|
|
|
|
VOYA INSTITUTIONAL TRUST COMPANY CUST VOYA INSTITUTIONAL TRUST 1 ORANGE WAY # B3N WINDSOR CT 06095-4773 |
7.82% |
|
|
|
CLASS R5 SHARES |
NATIONAL FINANCIAL SERVICES LLC AAAA BENEFITS INC 307 W TREMONT AVE STE 200 CHARLOTTE NC 28203-4902 |
40.13% |
|
|
|
|
JOHN HANCOCK TRUST COMPANY LLC 200 BERKELEY ST STE 7 BOSTON MA 02116-5038 |
16.04% |
|
|
|
|
NATIONAL FINANCIAL SERVICES LLC 499 WASHINGTON BLVD JERSEY CITY NJ 07310-1995 |
14.02% |
Name of Fund |
Name and Address of Shareholder |
Percentage Held |
|
|
|
|
MATRIX TRUST COMPANY CUST FBO NORTHWEST PLAN SERVICES INC PO BOX 52129 PHOENIX AZ 85072-2129 |
13.60% |
|
|
|
CLASS R6 SHARES |
EDWARD D JONES & CO FOR THE BENEFIT OF CUSTOMERS 12555 MANCHESTER RD SAINT LOUIS MO 63131-3710 |
29.07% |
|
|
|
|
NATIONAL FINANCIAL SERVICES LLC 499 WASHINGTON BLVD JERSEY CITY NJ 07310-1995 |
13.78% |
|
|
|
|
MLPF&S FOR THE SOLE BENEFIT OF ITS CUSTOMERS ATTN FUND ADMINISTRATION 4800 DEER LAKE DR E FL 3 JACKSONVILLE FL 32246-6484 |
7.06% |
|
|
|
|
CHARLES SCHWAB & CO INC SPECIAL CUSTODY ACCOUNT FOR BENEFIT OF CUSTOMERS ATTN MUTUAL FUNDS 211 MAIN ST SAN FRANCISCO CA 94105-1901 |
5.41% |