JPMorgan U.S. Dynamic Plus Fund Schedule of Portfolio Investments as of September 30, 2016 (Unaudited)

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1 Schedule of Portfolio Investments as of September 30, 2016 (Unaudited) THE UNAUDITED CERTIFIED MUTUAL FUNDS HOLDINGS LIST ( the List ) IS TO BE USED FOR REPORTING PURPOSES ONLY. IT IS NOT TO BE REPRODUCED FOR USE AS ADVERTISING OR SALES LITERATURE WITH THE GENERAL PUBLIC. The list is submitted for the general information of the shareholders of the Fund. It is not authorized for distribution to prospective investors in the Fund unless preceded or accompanied by a prospectus. The list has been created from the books and records of the Fund. Certified holdings are available 60 days after the fund s fiscal quarter, using a trade date accounting convention, by contacting the appropriate service center. The list is subject to change without notice. The list is for informational purposes only and is not intended as an offer or solicitation with respect to the purchase or sale of any security. JPMorgan Asset Management is the marketing name for the asset management business of J.P. Morgan Chase & Co. JPMorgan Distribution Services, Inc. J.P. Morgan Chase & Co., 2016.

2 AS OF SEPTEMBER 30, 2016 (Unaudited) (Amounts in thousands) SHARES SECURITY DESCRIPTION VALUE($) Long Positions 124.2% Common Stocks 123.6% Consumer Discretionary 15.8% Automobiles 0.5% 46 General Motors Co. 1,474 Hotels, Restaurants & Leisure 3.1% 39 McDonald s Corp. (j) 4, Restaurant Brands International, Inc., (Canada) 4, Yum! Brands, Inc. 1,553 10,007 Household Durables 0.7% 75 D.R. Horton, Inc. 2,274 Internet & Direct Marketing Retail 1.1% 1 Amazon.com, Inc. (a) 1, Expedia, Inc. (j) 2,591 3,596 Leisure Products 0.2% 9 Hasbro, Inc. 690 Media 3.5% 41 CBS Corp. (Non-Voting), Class B 2, Comcast Corp., Class A (j) 4, DISH Network Corp., Class A (a) (j) 1, Twenty-First Century Fox, Inc., Class A 3,335 11,132 Multiline Retail 1.7% 29 Kohl s Corp. 1, Target Corp. 4,189 5,445 Specialty Retail 3.3% 50 Home Depot, Inc. (The) 6, Lowe s Cos., Inc. 3, Urban Outfitters, Inc. (a) 1,270 10,741 Textiles, Apparel & Luxury Goods 1.7% 62 Coach, Inc. 2, PVH Corp. 3,050 5,313 Total Consumer Discretionary 50,672 Consumer Staples 12.6% Beverages 1.0% 6 Molson Coors Brewing Co., Class B PepsiCo, Inc. 2,556 3,215 Food & Staples Retailing 3.8% 60 Walgreens Boots Alliance, Inc. (j) 4, Wal-Mart Stores, Inc. (j) 7,248 12,125 Food Products 4.5% 36 General Mills, Inc. (j) 2, Ingredion, Inc. 4, Pilgrim s Pride Corp. (j) 1, Tyson Foods, Inc., Class A 5,914 14,515

3 Household Products 0.7% 46 Energizer Holdings, Inc. 2,284 Personal Products 1.1% 23 Edgewell Personal Care Co. (a) 1, Herbalife Ltd. (a) 1,828 3,627 Tobacco 1.5% 99 Reynolds American, Inc. (j) 4,649 Total Consumer Staples 40,415 Energy 7.2% Energy Equipment & Services 3.3% 19 Baker Hughes, Inc Ensco plc, (United Kingdom), Class A 1, FMC Technologies, Inc. (a) 2, Frank s International N.V., (Netherlands) National Oilwell Varco, Inc. (j) 2, Noble Corp. plc, (United Kingdom) (j) 1, Seadrill Ltd., (United Kingdom) (a) Superior Energy Services, Inc. 1,044 10,436 Oil, Gas & Consumable Fuels 3.9% 42 Apache Corp. 2, Denbury Resources, Inc. (a) Devon Energy Corp. 2,572 7 Exxon Mobil Corp Marathon Oil Corp. (j) 1, Valero Energy Corp. (j) 4,197 12,601 Total Energy 23,037

4 AS OF SEPTEMBER 30, 2016 (Unaudited) (continued) (Amounts in thousands) SHARES SECURITY DESCRIPTION VALUE($) Long Positions continued Common Stocks continued Financials 13.6% Banks 8.1% 196 Bank of America Corp. (j) 3, Citigroup, Inc. 8, Comerica, Inc PNC Financial Services Group, Inc. (The) (j) 4, Popular, Inc., (Puerto Rico) Wells Fargo & Co. (j) 8,381 26,063 Capital Markets 0.3% 17 Morgan Stanley MSCI, Inc Consumer Finance 1.6% 24 Capital One Financial Corp. 1, Discover Financial Services 3,526 5,236 Insurance 3.6% 39 Allstate Corp. (The) (j) 2, American International Group, Inc. 4, Hartford Financial Services Group, Inc. (The) 2, Travelers Cos., Inc. (The) 1,512 11,429 Total Financials 43,665 Health Care 18.9% Biotechnology 6.6% 39 Amgen, Inc. 6,452 4 Biogen, Inc. (a) 1, Celgene Corp. (a) 1, Gilead Sciences, Inc. 8, Neurocrine Biosciences, Inc. (a) (j) 1, Vertex Pharmaceuticals, Inc. (a) (j) 2,253 21,036 Health Care Equipment & Supplies 2.3% 27 Baxter International, Inc. 1, C.R. Bard, Inc. (j) 3, Hologic, Inc. (a) 2,780 7,537 Health Care Providers & Services 6.5% 14 Aetna, Inc. (j) 1, AmerisourceBergen Corp. 2, Anthem, Inc. (j) 3,634 Health Care Providers & Services continued 40 Cigna Corp. 5, Express Scripts Holding Co. (a) Humana, Inc. (j) 3, McKesson Corp. (j) 3,285 5 WellCare Health Plans, Inc. (a) ,994

5 Pharmaceuticals 3.5% 45 Merck & Co., Inc. 2, Pfizer, Inc. (j) 8,268 11,102 Total Health Care 60,669 Industrials 12.5% Aerospace & Defense 4.1% 19 Huntington Ingalls Industries, Inc. 2, Northrop Grumman Corp. 8, Raytheon Co. 2,013 13,211 Airlines 2.4% 93 Delta Air Lines, Inc. 3, Southwest Airlines Co United Continental Holdings, Inc. (a) 3,458 7,690 Building Products 0.3% 33 Masco Corp. 1,142 Commercial Services & Supplies 0.4% 74 R.R. Donnelley & Sons Co. 1,165 Construction & Engineering 1.0% 38 AECOM (a) (j) 1,121 3 Fluor Corp Jacobs Engineering Group, Inc. (a) 2,053 3,308 Electrical Equipment 0.2% 5 Rockwell Automation, Inc. 636 Machinery 3.7% 47 Allison Transmission Holdings, Inc. (j) 1, Illinois Tool Works, Inc. (j) 6, PACCAR, Inc. 1, Parker-Hannifin Corp. 2,636 11,788

6 AS OF SEPTEMBER 30, 2016 (Unaudited) (continued) (Amounts in thousands) SHARES SECURITY DESCRIPTION VALUE($) Long Positions continued Common Stocks continued Trading Companies & Distributors 0.4% 19 WESCO International, Inc. (a) 1,144 Total Industrials 40,084 Information Technology 32.9% Communications Equipment 2.4% 163 Cisco Systems, Inc. (j) 5, Motorola Solutions, Inc. 2,395 7,565 Electronic Equipment, Instruments & Components 0.4% 13 SYNNEX Corp. 1,449 Internet Software & Services 2.3% 3 Alphabet, Inc., Class C (a) (j) 2, ebay, Inc. (a) 1, VeriSign, Inc. (a) 3,278 7,474 IT Services 4.7% 97 Computer Sciences Corp. (j) 5, Leidos Holdings, Inc. (j) 2, MasterCard, Inc. (j) 2, Vantiv, Inc., Class A (a) 1, Visa, Inc., Class A 3,300 14,951 Semiconductors & Semiconductor Equipment 6.2% 52 Lam Research Corp. (j) 4, Marvell Technology Group Ltd., (Bermuda) 2, Maxim Integrated Products, Inc. (j) 5, Micron Technology, Inc. (a) QUALCOMM, Inc. (j) 6,275 19,713 Software 8.2% 41 Activision Blizzard, Inc. (j) 1, Microsoft Corp. 13, Nuance Communications, Inc. (a) 1, Oracle Corp. (j) 6, Take-Two Interactive Software, Inc. (a) 1, TiVo Corp. (a) 2,603 26,335 Technology Hardware, Storage & Peripherals 8.7% 146 Apple, Inc. (j) 16, Hewlett Packard Enterprise Co. (j) 4, HP, Inc. 2, NCR Corp. (a) 1, Western Digital Corp. 1,953 27,926 Total Information Technology 105,413 Materials 2.1% Chemicals 1.3% 50 LyondellBasell Industries N.V., Class A 4,033 Metals & Mining 0.8%

7 16 Nucor Corp Steel Dynamics, Inc. 1,869 2,651 Total Materials 6,684 Real Estate 1.4% Equity Real Estate Investment Trusts (REITs) 1.4% 27 American Tower Corp. 3, Equity Commonwealth (a) Simon Property Group, Inc. 973 Total Real Estate 4,550 Telecommunication Services 2.1% Diversified Telecommunication Services 2.1% 57 AT&T, Inc. (j) 2, Verizon Communications, Inc. (j) 4,379 Total Telecommunication Services 6,688 Utilities 4.5% Electric Utilities 2.4% 64 Edison International (j) 4, NextEra Energy, Inc. 2,887 7,540 Gas Utilities 1.9% 135 UGI Corp. (j) 6,102 Multi-Utilities 0.2% 11 SCANA Corp. 767 Total Utilities 14,409 Total Common Stocks (Cost $310,923) 396,286

8 AS OF SEPTEMBER 30, 2016 (Unaudited) (continued) (Amounts in thousands) SHARES SECURITY DESCRIPTION Short-Term Investment 0.6% VALUE($) Investment Company 0.6% 1,773 JPMorgan U.S. Government Money Market Fund, Institutional Class Shares, 0.350% (b) (l) (Cost $1,773) 1,773 Total Investments 124.2% (Cost $312,696) 398,059 Liabilities in Excess of Other Assets (24.2)% (77,666) NET ASSETS 100.0% $320,393 Short Positions 25.7% Common Stocks 25.7% Consumer Discretionary 3.9% Auto Components 0.6% 52 BorgWarner, Inc. 1,843 Hotels, Restaurants & Leisure 0.9% 28 Marriott International, Inc., Class A 1, Norwegian Cruise Line Holdings Ltd. (a) Wynn Resorts Ltd ,949 Leisure Products 0.5% 19 Polaris Industries, Inc. 1,464 Media 0.6% 25 AMC Networks, Inc., Class A (a) 1,286 9 Walt Disney Co. (The) 808 2,094 Specialty Retail 0.8% 51 CarMax, Inc. (a) 2,732 Textiles, Apparel & Luxury Goods 0.5% 43 Under Armour, Inc., Class A (a) 1,663 Total Consumer Discretionary 12,745 Consumer Staples 2.4% Beverages 0.6% 40 Brown-Forman Corp., Class B 1,902 Food Products 0.7% 23 McCormick & Co., Inc. (Non-Voting) 2,318 Household Products 1.1% 7 Clorox Co. (The) Colgate-Palmolive Co. 2,647 3,461 Total Consumer Staples 7,681 Financials 0.1% Consumer Finance 0.1% 48 SLM Corp. (a) 359 Health Care 4.8% Biotechnology 0.3% 12 Bluebird Bio, Inc. (a) 834 Health Care Equipment & Supplies 0.9% 33 DexCom, Inc. (a) 2,884 Health Care Providers & Services 1.3% 10 Acadia Healthcare Co., Inc. (a) 481

9 42 Patterson Cos., Inc. 1, Team Health Holdings, Inc. (a) 1,621 4,045 Health Care Technology 1.6% 16 athenahealth, Inc. (a) 1, Cerner Corp. (a) 3,260 5,253 Pharmaceuticals 0.7% 2 Allergan plc (a) Catalent, Inc. (a) 1,279 7 Perrigo Co. plc, (Ireland) 646 2,363 Total Health Care 15,379 Industrials 3.6% Aerospace & Defense 1.3% 93 Hexcel Corp. 4,133 Commercial Services & Supplies 0.5% 62 Covanta Holding Corp Stericycle, Inc. (a) 713 1,672 Electrical Equipment 0.3% 3 Acuity Brands, Inc. 900 Professional Services 0.3% 13 Verisk Analytics, Inc. (a) 1,024 Road & Rail 0.2% 10 Ryder System, Inc. 660 Trading Companies & Distributors 1.0% 33 Fastenal Co. 1,359

10 AS OF SEPTEMBER 30, 2016 (Unaudited) (continued) (Amounts in thousands) SHARES SECURITY DESCRIPTION VALUE($) Short Positions continued Common Stocks continued Trading Companies & Distributors continued 8 W.W. Grainger, Inc. 1,731 3,090 Total Industrials 11,479 Information Technology 7.2% Communications Equipment 0.9% 4 Arista Networks, Inc. (a) Juniper Networks, Inc ViaSat, Inc. (a) 2,090 2,838 Electronic Equipment, Instruments & Components 3.6% 31 Amphenol Corp., Class A 2, CDW Corp. 1, Fitbit, Inc., Class A (a) IPG Photonics Corp. (a) 1, Jabil Circuit, Inc. 1, Keysight Technologies, Inc. (a) National Instruments Corp. 2, Zebra Technologies Corp., Class A (a) 1,900 11,627 IT Services 1.1% 65 Booz Allen Hamilton Holding Corp. 2, Paychex, Inc. 1,308 3,375 Semiconductors & Semiconductor Equipment 0.6% 13 Microchip Technology, Inc Skyworks Solutions, Inc. 1,066 1,868 Software 1.0% 12 ServiceNow, Inc. (a) Splunk, Inc. (a) SS&C Technologies Holdings, Inc Tableau Software, Inc., Class A (a) Ultimate Software Group, Inc. (The) (a) 797 3,334 Total Information Technology 23,042 Materials 1.5% Metals & Mining 1.5% 265 Alcoa, Inc. 2,690 Metals & Mining continued 28 Compass Minerals International, Inc. 2,064 Total Materials 4,754 Telecommunication Services 0.8% Diversified Telecommunication Services 0.2% 128 Frontier Communications Corp. 534 Wireless Telecommunication Services 0.6% 310 Sprint Corp. (a) 2,056 Total Telecommunication Services 2,590 Utilities 1.4% Multi-Utilities 0.9%

11 40 Dominion Resources, Inc. 2,941 Water Utilities 0.5% 50 Aqua America, Inc. 1,536 Total Utilities 4,477 Total Securities Sold Short (Proceeds $79,466) $ 82,506 Percentages indicated are based on net assets.

12 AS OF SEPTEMBER 30, 2016 (Unaudited) (continued) (Amounts in thousands, except number of Futures contracts) Futures Contracts NUMBER OF CONTRACTS DESCRIPTION NOTES TO : As of September 30, 2016, the gross unrealized appreciation (depreciation) of investments based on the aggregate cost of investments for federal income tax purposes was as follows: A. Valuation of Investments The valuation of investments is in accordance with U.S. generally accepted accounting principles ( GAAP ) and the Fund s valuation policies set forth by and under the supervision and responsibility of the Board of Trustees (the Board ), which established the following approach to valuation, as described more fully below: (i) investments for which market quotations are readily available shall be valued at such unadjusted quoted prices and (ii) all other investments for which market quotations are not readily available shall be valued at their fair value as determined in good faith by the Board. JPMorgan Investment Management, Inc. (the Administrator ) has established the J.P. Morgan Asset Management Americas Valuation Committee ( AVC ) to assist the Board with the oversight and monitoring of the valuation of the Fund s investments. The Administrator implements the valuation policies of the Fund s investments, as directed by the Board. The AVC oversees and carries out the policies for the valuation of investments held in the Fund. This includes monitoring the appropriateness of fair values based on results of ongoing valuation oversight, including but not limited to consideration of macro or security specific events, market events and pricing vendor and broker due diligence. The Administrator is responsible for discussing and assessing the potential impacts to the fair values on an ongoing basis, and at least on a quarterly basis with the AVC and the Board. Equities and other exchange-traded instruments are valued at the last sale price or official market closing price on the primary exchange on which the instrument is traded before the net asset values ( NAV ) of the Fund are calculated on a valuation date. Investments in open-end investment companies (the Underlying Funds ) are valued at each Underlying Fund s NAV per share as of the report date. Futures are generally valued on the basis of available market quotations. EXPIRATION DATE TRADING CURRENCY NOTIONAL VALUE AT SEPTEMBER 30, 2016 NET UNREALIZED APPRECIATION (DEPRECIATION) Long Futures Outstanding 51 E-mini S&P /16/16 USD 5, USD United States Dollar (a) Non-income producing security. (b) Investment in affiliate. Money market fund is registered under the Investment Company Act of 1940, as amended, and advised by J.P. Morgan Investment Management Inc. (j) All or a portion of the security is segregated for short sales. (l) The rate shown is the current yield as of September 30, Aggregate gross unrealized appreciation $ 88,810 Aggregate gross unrealized depreciation (3,447) Net unrealized appreciation/depreciation $ 85,363 Federal income tax cost of investments $312,696 Valuations reflected in this report are as of the report date. As a result, changes in valuation due to market events and/or issuer related events after the report date and prior to issuance of the report are not reflected herein. The various inputs that are used in determining the valuation of the Fund s investments are summarized into the three broad levels listed below. Level 1 Unadjusted inputs using quoted prices in active markets for identical investments. Level 2 Other significant observable inputs including, but not limited to, quoted prices for similar investments, inputs other than quoted prices that are observable for investments (such as interest rates, prepayment speeds, credit risk, etc.) or other market corroborated inputs. Level 3 Significant inputs based on the best information available in the circumstances, to the extent observable inputs are not available (including the Fund s assumptions in determining the fair value of investments). A financial instrument s level within the fair value hierarchy is based on the lowest level of any input, both individually and in the aggregate, that is significant to the fair value measurement. The inputs or methodology used for valuing instruments are not necessarily an indication of the risk associated with investing in those instruments.

13 AS OF SEPTEMBER 30, 2016 (Unaudited) (continued) (Amounts in thousands, except number of Futures contracts) The following table represents each valuation input as presented on the Schedule of Portfolio Investments ( SOI ) (amounts in thousands): Level 1 Quoted prices Level 2 Other significant observable inputs Level 3 Significant unobservable inputs Total Total Investments in Securities (a) $ 398,059 $ $ $398,059 Total Liabilities for Securities Sold Short (a) $ (82,506) $ $ $ (82,506) Appreciation in Other Financial Instruments Futures Contracts $ 35 $ $ $ 35 (a) All portfolio holdings designated as level 1 are disclosed individually on the SOI. Please refer to the SOI for industry specifics of portfolio holdings. There were no transfers among any levels during the period ended September 30, Futures title can t be erased repair at printer

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