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JPMorgan U.S. Equity Fund (JUEAX) is an MF managed by JPMorgan. Its largest position is NVIDIA CORP (NVDA), representing 8.88% of fund assets.

JPMorgan U.S. Equity Fund Portfolio Holdings

Source: SEC Form N-PORT institutional portfolio disclosures

Ticker:
JUEAX
Type:
MF
Manager:
JPMorgan
Total Assets:
—
Report Date:
Mar 31, 2026
Filing Date:
May 29, 2026
Showing 50 out of 56 holdings
Holding Weight Market Value Shares
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NVIDIA CORP
8.88% $2,804,274,217.60 16,079,554
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Apple Inc.
7.02% $2,217,047,769.03 8,735,757
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AMAZON COM INC
5.30% $1,674,416,864.15 8,039,645
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Alphabet Inc.
4.84% $1,528,840,920.88 5,316,598
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MICROSOFT CORP
3.87% $1,222,342,428.87 3,302,111
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Broadcom Inc.
3.40% $1,071,874,913.85 3,463,135
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Meta Platforms, Inc.
3.38% $1,068,500,261.79 1,867,583
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WELLS FARGO & COMPANY/MN
3.16% $996,111,129.07 12,512,387
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Mastercard Inc
2.96% $933,556,249.78 1,868,383
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LOWES COMPANIES INC
2.49% $786,184,604.04 3,327,343
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NEXTERA ENERGY INC
2.47% $779,869,149.12 8,396,524
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AMERICAN EXPRESS CO
2.40% $758,431,092.48 2,507,376
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MCDONALDS CORP
2.35% $742,062,716.14 2,387,666
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Walmart Inc.
2.05% $646,420,919.56 5,201,327
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Walt Disney Co
1.92% $606,128,808.24 6,288,948
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Baker Hughes Co
1.80% $568,492,960.20 9,311,924
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ELI LILLY & Co
1.79% $564,809,602.29 614,077
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NORTHROP GRUMMAN CORP /DE/
1.77% $558,135,086.08 818,092
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Eaton Corp plc
1.72% $543,713,123.51 1,520,153
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MORGAN STANLEY
1.69% $533,993,115.46 3,244,778
-
Arthur J. Gallagher & Co.
1.69% $532,928,443.32 2,460,654
-
AbbVie Inc.
1.68% $531,279,787.22 2,442,778
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INTUIT INC.
1.68% $530,787,958.48 1,227,596
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APPLIED MATERIALS INC /DE
1.62% $512,591,154.96 2,603,836
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Trane Technologies plc
1.54% $486,062,615.30 1,166,345
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STRYKER CORP
1.51% $477,063,720.09 1,451,851
-
ORACLE CORP
1.47% $463,148,325.43 3,148,313
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Tesla, Inc.
1.30% $409,387,085.25 1,101,243
-
Medtronic plc
1.22% $383,592,444.70 4,426,918
-
Howmet Aerospace Inc.
1.21% $381,241,911.90 1,654,265
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CONOCOPHILLIPS
1.17% $368,329,236.00 2,790,373
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ENTERGY CORP /DE/
1.09% $345,517,786.56 3,075,096
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Vulcan Materials CO
1.05% $331,694,348.30 1,218,121
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Blackstone Inc.
1.02% $321,636,344.19 2,797,081
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SOUTHERN CO
1.02% $321,534,759.52 3,331,276
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AUTOZONE INC
1.00% $316,798,608.42 93,789
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ASML HOLDING NV
0.96% $302,994,439.51 229,397
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AMPHENOL CORP /DE/
0.95% $299,264,018.20 2,368,532
-
Edwards Lifesciences Corp
0.95% $298,335,957.92 3,725,474
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PROGRESSIVE CORP/OH/
0.92% $291,372,160.80 1,469,795
-
UNITED RENTALS, INC.
0.88% $278,521,202.40 382,290
-
Prologis, Inc.
0.83% $261,919,296.30 1,981,535
-
REGENERON PHARMACEUTICALS, INC.
0.82% $259,996,450.56 336,504
-
WESTERN DIGITAL CORP
0.81% $256,281,701.28 947,472
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VERTEX PHARMACEUTICALS INC / MA
0.76% $240,475,186.20 538,530
-
DEERE & CO
0.75% $236,757,243.20 420,304
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Mondelez International, Inc.
0.73% $231,041,409.28 4,008,352
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MICRON TECHNOLOGY INC
0.69% $217,692,609.44 644,366
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JPMORGAN PRIME MONEY MARKET FUND
0.55% $172,977,536.06 172,960,240
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BOSTON SCIENTIFIC CORP
0.46% $145,366,587.25 2,316,599
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