JPMorgan Short Duration Bond Fund - Charts and Resources

Data discoverability for JPMorgan Short Duration Bond Fund updated as of 2025-10-29.
2025-10-29

Quick Answer

What is JPMorgan Short Duration Bond Fund? A US commercial mortgage-backed security.

Identifiers: .

Unique value: Dealcharts provides computed pool metrics, time-series performance analysis, and cross-deal comparisons not available in raw SEC EDGAR filings.

Sources: SEC EDGAR public filings.

Fund Overview

Fund NameJPMorgan Short Duration Bond Fund
Fund FIGISearch FIGI
Fund ID
S000003490

Fund Metrics

Key metrics and portfolio distribution for the fund's structured product holdings. Note: These metrics only reflect the holdings we track and may not represent the fund's complete portfolio.

Portfolio Summary

Total Value
$372,905,477
Number of Holdings
49
Asset Types
2
Average Position Size
$7,610,316

Asset Distribution

CMBS
7.3%
AUTO
92.7%
Filing Date
Oct 29, 2025
Report Date
Feb 28, 2026

CMBS Holdings

Explore a list of CMBS deals held by this fund, sourced directly from the most recent NPORT-P filings on EDGAR SEC.gov.
DealFiling DateTranchesTotal ValueReporting PeriodDistress Signals
JPMBB 2015-C302025-10-29C$6,977,6302026-02-28
MSBAM 2016-C312025-10-29B$3,923,6962026-02-28
JPMCC 2017-JP62025-10-29A-3$3,814,3682026-02-28
3
MSC 2021-L62025-10-29A-2$3,013,2762026-02-28
1
COMM 2014-UBS32025-10-29B$2,610,0602026-02-28
JPMBB 2015-C312025-10-29C$2,154,9282026-02-28
COMM 2015-CCRE262025-10-29B$1,961,2472026-02-28
WFCM 2017-C412025-10-29A-2$1,413,5622026-02-28
3
WFCM 2015-C292025-10-29C$1,211,3882026-02-28
DBJPM 2017-C62025-10-29A-3$187,0792026-02-28
1
DealTranchesTotal Value
JPMBB 2015-C30
2026-02-28
C$6,977,630
MSBAM 2016-C31
2026-02-28
B$3,923,696
JPMCC 2017-JP6
2026-02-28
A-3$3,814,368
MSC 2021-L6
2026-02-28
A-2$3,013,276
COMM 2014-UBS3
2026-02-28
B$2,610,060
JPMBB 2015-C31
2026-02-28
C$2,154,928
COMM 2015-CCRE26
2026-02-28
B$1,961,247
WFCM 2017-C41
2026-02-28
A-2$1,413,562
WFCM 2015-C29
2026-02-28
C$1,211,388
DBJPM 2017-C6
2026-02-28
A-3$187,079
* This table is not yet exhaustive. It is a new feature and contains only the funds we have found so far based on the tranche identifiers we know about. We are still working on it!
* Reporting Period represents the reporting period end date from the NPORT-P filing.
* For full disclosures, please visit our disclosures page.

Auto ABS Holdings

Explore a list of Auto ABS deals held by this fund, sourced directly from the most recent NPORT-P filings on EDGAR SEC.gov.
DealFiling DateTranchesTotal ValueReporting PeriodDistress Signals
DRIVE 2024-22025-10-29$30,953,6572026-02-28
SDART 2023-42025-10-29$22,745,6952026-02-28
SDART 2022-42025-10-29$20,859,2492026-02-28
EART 2024-22025-10-29$16,563,9082026-02-28
SDART 2025-12025-10-29$15,976,7332026-02-28
HDMOT 2024-A2025-10-29$15,701,9532026-02-28
CRVNA 2024-P42025-10-29$13,717,0282026-02-28
CRVNA 2024-P32025-10-29$13,557,0862026-02-28
BLAST 2024-12025-10-29$13,389,2992026-02-28
SDART 2025-22025-10-29$12,830,4762026-02-28
BLAST 2024-22025-10-29$11,656,7772026-02-28
SDART 2022-32025-10-29$11,612,2362026-02-28
CARMX 2025-12025-10-29$11,165,8472026-02-28
DRIVE 2024-12025-10-29$11,014,7142026-02-28
BLAST 2024-32025-10-29$10,566,9072026-02-28
BLAST 2024-42025-10-29$10,472,5942026-02-28
HDMOT 2024-B2025-10-29$8,886,8222026-02-28
WOLS 2025-A2025-10-29$8,100,7542026-02-28
CRVNA 2024-P22025-10-29$7,789,5222026-02-28
ALLYA 2024-12025-10-29$7,244,4802026-02-28
DRIVE AUTO RECEIVABLES TRUST 2025-12025-10-29$7,089,1052026-02-28
SDART 2023-52025-10-29$7,028,4472026-02-28
CARMX 2025-22025-10-29$6,958,3682026-02-28
BLAST 2025-12025-10-29$6,877,4452026-02-28
EART 2023-32025-10-29$6,451,2472026-02-28
CARMX 2024-22025-10-29$5,196,9402026-02-28
SDART 2024-22025-10-29$4,879,6702026-02-28
CRVNA 2022-P22025-10-29$4,210,9642026-02-28
SDART 2023-32025-10-29$4,078,6282026-02-28
EART 2025-42025-10-29$3,438,3432026-02-28
EART 2025-12025-10-29$3,190,7742026-02-28
SDART 2023-62025-10-29$2,541,0122026-02-28
SDART 2024-52025-10-29$2,267,1492026-02-28
BLAST 2023-12025-10-29$1,558,3632026-02-28
CRVNA 2021-N42025-10-29$1,323,6732026-02-28
NALT 2023-C2025-10-29$1,275,3292026-02-28
NALT 2024-A2025-10-29$1,275,3292026-02-28
SDART 2024-42025-10-29$825,3232026-02-28
SDART 2021-32025-10-29$366,3972026-02-28
DealTranchesTotal Value
DRIVE 2024-2
2026-02-28
$30,953,657
SDART 2023-4
2026-02-28
$22,745,695
SDART 2022-4
2026-02-28
$20,859,249
EART 2024-2
2026-02-28
$16,563,908
SDART 2025-1
2026-02-28
$15,976,733
HDMOT 2024-A
2026-02-28
$15,701,953
CRVNA 2024-P4
2026-02-28
$13,717,028
CRVNA 2024-P3
2026-02-28
$13,557,086
BLAST 2024-1
2026-02-28
$13,389,299
SDART 2025-2
2026-02-28
$12,830,476
BLAST 2024-2
2026-02-28
$11,656,777
SDART 2022-3
2026-02-28
$11,612,236
CARMX 2025-1
2026-02-28
$11,165,847
DRIVE 2024-1
2026-02-28
$11,014,714
BLAST 2024-3
2026-02-28
$10,566,907
BLAST 2024-4
2026-02-28
$10,472,594
HDMOT 2024-B
2026-02-28
$8,886,822
WOLS 2025-A
2026-02-28
$8,100,754
CRVNA 2024-P2
2026-02-28
$7,789,522
ALLYA 2024-1
2026-02-28
$7,244,480
DRIVE AUTO RECEIVABLES TRUST 2025-1
2026-02-28
$7,089,105
SDART 2023-5
2026-02-28
$7,028,447
CARMX 2025-2
2026-02-28
$6,958,368
BLAST 2025-1
2026-02-28
$6,877,445
EART 2023-3
2026-02-28
$6,451,247
CARMX 2024-2
2026-02-28
$5,196,940
SDART 2024-2
2026-02-28
$4,879,670
CRVNA 2022-P2
2026-02-28
$4,210,964
SDART 2023-3
2026-02-28
$4,078,628
EART 2025-4
2026-02-28
$3,438,343
EART 2025-1
2026-02-28
$3,190,774
SDART 2023-6
2026-02-28
$2,541,012
SDART 2024-5
2026-02-28
$2,267,149
BLAST 2023-1
2026-02-28
$1,558,363
CRVNA 2021-N4
2026-02-28
$1,323,673
NALT 2023-C
2026-02-28
$1,275,329
NALT 2024-A
2026-02-28
$1,275,329
SDART 2024-4
2026-02-28
$825,323
SDART 2021-3
2026-02-28
$366,397
* This table is not yet exhaustive. It is a new feature and contains only the funds we have found so far based on the tranche identifiers we know about. We are still working on it!
* Reporting Period represents the reporting period end date from the NPORT-P filing.
* For full disclosures, please visit our disclosures page.

Context & Commentary#

Expert analysis, research, and commentary from verified entities and contributors.

Entity Statements

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External Analysis

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Datasets & API#

Access the raw data behind this fund page through multiple channels: REST API or direct downloads.
REST APIProgrammatic access to fund holdings, positions, and metadata.
GET /api/funds/F9RLRLTOX821HGOUUJ26
Structured Facts (JSON-LD)Machine-readable facts for LLMs, research, and automation.
{
  "fund_name": "JPMorgan Short Duration Bond Fund",
  "fund_lei": "F9RLRLTOX821HGOUUJ26",
  "total_holdings": 49,
  "total_value": 372905477.12999994,
  "asset_types": [
    "CMBS",
    "AUTO"
  ],
  "filing_date": "2025-10-29"
}
Data StewardshipAll data on this page is sourced from public SEC NPORT-P filings and transformed into structured, analyzable datasets. We verify accuracy through automated checks and community feedback.Found an issue? Report it and help us improve data quality for everyone.