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Harbor International Fund (HAINX)

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Class

Welcome

Broad Exposure. The fund’s diversified all-cap approaches means it can serve as a stand-alone fund for gaining exposure to international stocks.

Fundamentally Driven. Marathon’s capital cycle approach is grounded in enduring investment principles. Fundamental research drives investment decisions, which aims to create a portfolio with meaningful active positions relative to the benchmark.

Distinctive Team Structure. Each PM at Marathon is an experienced regional specialist and manages his sleeve independently. This reduces key man risk, guards against group think, and allows diverse investment opinions to be expressed across the portfolio.

Related Funds to Consider

Overview

Investment Team
Marathon London

Current Price

As of 9/25/2023

$42.05

Price (NAV)

-$0.25

NAV Daily Change ($)

-0.59%

NAV Daily Change (%)

6.83%

NAV YTD Return

Fund Facts

As of 8/31/2023

12/29/1987

Inception Date

0.77

Net Expense Ratio
disclaimer

0.89

Gross Expense Ratio

$2,535.77

Total Net Assets (million)
As of 8/31/2023

HAINX

Ticker

2011

Fund Number

Institutional Class

Share Class

Top Ten Holdings

As of 6/30/2023

Company Name [Ticker]

% of Net Assets

Novo Nordisk A/S Class B[NOVO.B]

2.6

BP p.l.c.[BP]

2.2

Roche Holding Ltd Dividend Right Cert.[ROG]

1.8

Flutter Entertainment Plc[FLTR]

1.5

3i Group plc[III]

1.3

UniCredit S.p.A.[UCG]

1.3

Nippon Telegraph and Telephone Corporation[9432]

1.2

Compagnie Financiere Richemont SA[CFR]

1.2

Compass Group PLC[CPG]

1.2

Glencore plc[GLEN]

1.1

% of Total Holdings:

15.4%

Morningstar Medalist Rating™

Morningstar Silver
Analyst-Driven %
100
Data Coverage %
100
As of 11/14/2022

“Too much competition, not too little growth, is what turns investments sour.”

Neil Ostrer. Founder and European Equity Portfolio Manager

Marathon Asset Management LLP

Performance

Total Returns

Month-End

Fund Name

3 Mo.

YTD Return

1 Yr.

3 Yr.

5 Yr.

10 Yr.

Since Inception

Net Expense Ratio

Gross Expense Ratio

International Fund

2.96%

9.71%

18.75%

6.47%

3.82%

3.61%

9.46%

0.77%disclaimer

0.89%

MSCI EAFE (ND) Index

3.80%

10.87%

17.92%

6.05%

4.14%

4.93%

5.20%

--

--

Performance data shown represents past performance and is no guarantee of future results. Past performance is net of management fees and expenses and reflects reinvested dividends and distributions. Past performance reflects the beneficial effect of any expense waivers or reimbursements, without which returns would have been lower. Investment returns and principal value will fluctuate and when redeemed may be worth more or less than their original cost. Returns for periods less than one year are not annualized. Current performance may be higher or lower and is available through the most recent month end at harborcapital.com or by calling 800-422-1050.

The MSCI EAFE (ND) Index is an unmanaged index generally representative of major overseas stock markets. This unmanaged index does not reflect fees and expenses and is not available for direct investment.

Price History

Chart

Record Date

Reinvest Date

Payable Date

Return of Capital Non Taxable Dist

Ordinary Income

Total Capital Gains

Short Term Capital Gains

Mid Term Capital Gains

Long Term Capital Gains

Total Distribution

Foreign Tax Credit

Reinvest Price

12/16/2022

12/19/2022

12/19/2022

0.00000

1.30783

0.00000

--

0.00000

--

1.30783

0.00000

38.68

12/17/2021

12/20/2021

12/20/2021

0.00000

1.01357

0.00000

--

0.00000

--

1.01357

0.07776

45.46

12/16/2020

12/17/2020

12/17/2020

0.00000

0.46148

0.00000

0.00000

0.00000

0.00000

0.46148

0.07883

43.88

12/13/2019

12/16/2019

12/16/2019

0.00000

1.24858

0.00000

0.00000

0.00000

0.00000

1.24858

0.12363

40.14

12/14/2018

12/17/2018

12/17/2018

0.00000

0.82960

20.86815

0.00000

0.00000

20.86815

21.69775

0.22951

33.78

12/15/2017

12/18/2017

12/18/2017

0.00000

1.24034

2.99764

0.00000

0.00000

2.99764

4.23798

0.11794

67.12

12/16/2016

12/19/2016

12/19/2016

0.00000

1.16303

0.00000

0.00000

0.00000

0.00000

1.16303

0.09833

58.20

12/16/2015

12/17/2015

12/17/2015

0.00000

1.08101

1.77257

0.00000

0.00000

1.77257

2.85358

0.08429

58.99

12/17/2014

12/18/2014

12/18/2014

0.00000

1.41848

0.00000

0.00000

0.00000

0.00000

1.41848

0.07359

65.81

12/16/2013

12/17/2013

12/17/2013

0.00000

1.49528

0.00000

0.00000

0.00000

0.00000

1.49528

0.08165

67.62

12/14/2012

12/17/2012

12/17/2012

0.00000

1.25643

0.00000

0.00000

0.00000

0.00000

1.25643

0.14974

61.27

12/15/2011

12/16/2011

12/16/2011

0.00000

1.31560

0.00000

0.00000

0.00000

0.00000

1.31560

0.17522

50.66

12/16/2010

12/17/2010

12/17/2010

0.00000

0.87167

0.00000

0.00000

0.00000

0.00000

0.87167

0.13258

59.15

12/17/2009

12/18/2009

12/18/2009

0.00000

0.70484

0.00000

0.00000

0.00000

0.00000

0.70484

0.11336

53.48

12/18/2008

12/19/2008

12/19/2008

0.00000

0.77735

0.00000

0.00000

0.00000

0.00000

0.77735

0.19041

39.05

12/18/2007

12/19/2007

12/19/2007

0.00000

1.05527

3.02183

0.34462

0.00000

2.67721

4.07710

0.14071

69.04

12/18/2006

12/19/2006

12/19/2006

0.00000

1.46093

1.88471

0.00000

0.00000

1.88471

3.34564

0.10523

61.04

12/19/2005

12/20/2005

12/20/2005

0.00000

1.03063

1.22051

0.00000

0.00000

1.22051

2.25114

0.07827

48.73

12/29/2004

12/30/2004

12/30/2004

0.00000

0.55524

0.14616

0.00000

0.00000

0.14616

0.70140

0.09876

42.76

12/29/2003

12/30/2003

12/30/2003

0.00000

0.50578

0.55692

0.03901

0.00000

0.51791

1.06270

0.07268

36.54

12/27/2002

12/30/2002

12/30/2002

0.00000

0.33594

0.53886

0.04311

0.00000

0.49575

0.87480

0.06104

26.69

12/26/2001

12/27/2001

12/28/2001

0.00000

0.26688

0.88186

0.00000

0.00000

0.88186

1.14874

0.11084

29.33

12/20/2000

12/21/2000

12/22/2000

0.00000

0.70766

3.79229

0.03436

0.00000

3.75793

4.49995

0.13765

33.66

12/21/1999

12/22/1999

12/23/1999

0.00000

0.64848

2.86003

0.21616

0.00000

2.64387

3.50851

0.12059

40.44

12/28/1998

12/29/1998

12/31/1998

0.00000

0.57892

2.30081

0.39990

0.00000

1.90091

2.87973

0.09880

37.02

12/24/1997

12/26/1997

12/31/1997

0.00000

0.40207

0.89753

0.00620

0.57590

0.31543

1.29960

0.08812

35.10

12/24/1996

12/26/1996

12/31/1996

0.00000

0.41813

0.79650

0.16255

0.00000

0.63395

1.21463

0.08353

31.51

12/22/1995

12/26/1995

12/29/1995

0.00000

0.40631

0.12780

0.01756

0.00000

0.11024

0.53411

0.07427

27.68

12/23/1994

12/27/1994

12/30/1994

0.00000

0.24677

0.93678

0.19100

0.00000

0.74578

1.18355

0.06892

24.31

12/23/1993

12/27/1993

12/31/1993

0.00000

0.21245

0.00000

0.00000

0.00000

0.00000

0.21245

0.04211

24.34

12/24/1992

12/28/1992

12/31/1992

0.00000

0.21765

0.17891

0.07245

0.00000

0.10646

0.39656

0.03544

16.93

12/26/1991

12/27/1991

12/31/1991

0.00000

0.21119

0.00000

0.00000

0.00000

0.00000

0.21119

0.03169

17.00

12/24/1990

12/26/1990

12/31/1990

0.00000

0.33859

0.34342

0.00369

0.00000

0.33973

0.68201

0.00000

14.33

12/21/1989

12/22/1989

12/30/1989

0.00000

0.16964

0.72455

0.35871

0.00000

0.36584

0.89419

0.00000

16.37

12/23/1988

12/27/1988

12/30/1988

0.00000

0.10276

0.75981

0.62003

0.00000

0.13978

0.86257

0.00000

12.78

Holdings

Portfolio Characteristics

As of 6/30/2023

334

Number of Holdings

49924.4

Wtd Avg Market Cap ($Mil)

2.05

Price/Book Ratio

16.4

Adjusted Trailing P/E Ratio

19.6

% EPS Growth - Past 3 Yr

13.94

Return on Equity (%)

15.6

Forecasted P/E Ratio

Top Ten Holdings

As of 6/30/2023

Company Name [Ticker]

% of Net Assets

Novo Nordisk A/S Class B[NOVO.B]

2.6

BP p.l.c.[BP]

2.2

Roche Holding Ltd Dividend Right Cert.[ROG]

1.8

Flutter Entertainment Plc[FLTR]

1.5

3i Group plc[III]

1.3

UniCredit S.p.A.[UCG]

1.3

Nippon Telegraph and Telephone Corporation[9432]

1.2

Compagnie Financiere Richemont SA[CFR]

1.2

Compass Group PLC[CPG]

1.2

Glencore plc[GLEN]

1.1

% of Total Holdings:

15.4%

This information should not be considered as a recommendation to purchase or sell a particular security. The weightings, holdings, industry, sector, countries mentioned may change at any time and may not represent current or future investments.

As of 6/30/2023

Company Name [Ticker]

Country

Shares (000's)

Current Price ($)

Market Value ($000's)

% of Net Assets

Novo Nordisk A/S Class B [NOVO.B]

549

161.09

88,501

2.6

BP p.l.c. [BP]

13,057

5.83

76,083

2.2

Roche Holding Ltd Dividend Right Cert. [ROG]

205

305.71

62,591

1.8

Flutter Entertainment Plc [FLTR]

263

201.02

52,838

1.5

3i Group plc [III]

1,842

24.77

45,629

1.3

UniCredit S.p.A. [UCG]

1,906

23.20

44,211

1.3

Nippon Telegraph and Telephone Corporation [9432]

36,443

1.18

42,989

1.2

Compagnie Financiere Richemont SA [CFR]

240

169.51

40,654

1.2

Compass Group PLC [CPG]

1,448

28.00

40,548

1.2

Glencore plc [GLEN]

6,822

5.65

38,553

1.1

Vestas Wind Systems A/S [VWS]

1,444

26.59

38,402

1.1

BNP Paribas S.A. Class A [BNP]

602

62.97

37,922

1.1

Barclays PLC [BARC]

19,084

1.95

37,215

1.1

ASML Holding NV [ASML]

50

723.33

36,251

1.1

Diageo plc [DGE]

835

42.96

35,886

1.0

RELX PLC [REL]

1,038

33.32

34,593

1.0

Edenred SA [EDEN]

499

66.92

33,377

1.0

ABB Ltd. [ABBN]

810

39.32

31,858

0.9

HitachiLtd. [6501]

508

61.55

31,242

0.9

Reckitt Benckiser Group plc [RKT]

413

75.16

31,041

0.9

Coloplast A/S Class B [COLO.B]

246

125.01

30,706

0.9

Kirin Holdings Co. Ltd. [2503]

2,101

14.54

30,542

0.9

BASF SE [BAS]

605

48.52

29,335

0.9

Equinor ASA [EQNR]

1,012

29.13

29,486

0.9

Bank of Ireland Group Plc [BIRG]

3,043

9.53

29,014

0.8

Lloyds Banking Group plc [LLOY]

51,282

0.55

28,419

0.8

Resona Holdings Inc. [8308]

5,963

4.78

28,481

0.8

CaixaBank SA [CABK]

6,819

4.13

28,173

0.8

Heineken NV [HEIA]

273

102.75

28,098

0.8

CNH Industrial NV [CNHI]

1,915

14.41

27,591

0.8

ASSA ABLOY AB Class B [ASSA.B]

1,132

23.98

27,148

0.8

Intertek Group plc [ITRK]

495

54.22

26,819

0.8

Schneider Electric SE [SU]

146

181.61

26,582

0.8

BAE Systems plc [BA]

2,199

11.79

25,914

0.8

AIA Group Limited [1299]

2,506

10.09

25,293

0.7

EssilorLuxottica SA [EL]

135

188.31

25,431

0.7

Entain PLC [ENT]

1,523

16.17

24,636

0.7

Sampo Oyj Class A [SAMPO]

521

44.86

23,390

0.7

Koninklijke Ahold Delhaize N.V. [AD]

676

34.10

23,046

0.7

Legrand SA [LR]

233

99.06

23,103

0.7

Fresenius Medical Care AG & Co. KGaA [FME]

475

47.75

22,676

0.7

Rio Tinto plc [RIO]

360

63.38

22,828

0.7

Tokio Marine Holdings Inc. [8766]

1,000

22.94

22,940

0.7

ArcelorMittal SA [MT]

811

27.20

22,046

0.6

Daiwa House Industry Co. Ltd. [1925]

848

26.24

22,245

0.6

SSP Group Plc [SSPG]

6,984

3.19

22,270

0.6

Sumitomo Mitsui Trust Holdings Inc. [8309]

631

35.38

22,318

0.6

Brenntag Societas Europaea [BNR]

279

77.90

21,766

0.6

Mitsubishi Heavy Industries Ltd. [7011]

469

46.43

21,781

0.6

Bayerische Motoren Werke AG [BMW]

174

122.76

21,358

0.6

Holcim Ltd [HOLN]

316

67.29

21,284

0.6

Dai-ichi Life HoldingsInc. [8750]

1,095

18.94

20,736

0.6

Rightmove plc [RMV]

3,117

6.65

20,733

0.6

Bridgestone Corporation [5108]

497

40.77

20,252

0.6

Experian PLC [EXPN]

523

38.37

20,048

0.6

Royal KPN NV [KPN]

5,666

3.57

20,207

0.6

NEC Corp. [6701]

412

48.19

19,873

0.6

BHP Group Ltd [BHP]

638

29.95

19,103

0.5

Davide Campari-Milano N.V. [CPR]

1,358

13.84

18,798

0.5

Renesas Electronics Corporation [6723]

1,007

18.69

18,827

0.5

Geberit AG [GEBN]

35

523.22

18,188

0.5

Bunzl plc [BNZL]

475

38.13

18,104

0.5

Carlsberg AS Class B [CARL.B]

110

159.78

17,590

0.5

DNB Bank ASA [DNB]

933

18.73

17,472

0.5

Fluidra S.A. [FDR]

870

19.45

16,917

0.5

Mitsubishi Electric Corp. [6503]

1,219

14.02

17,094

0.5

Obayashi Corporation [1802]

1,949

8.61

16,771

0.5

adidas AG [ADS]

84

193.96

16,281

0.5

Inchcape plc [INCH]

1,636

9.88

16,174

0.5

Svenska Handelsbanken AB Class A [SHB.A]

1,934

8.36

16,179

0.5

Wienerberger AG [WIE]

526

30.59

16,106

0.5

ConvaTec Group Plc [CTEC]

6,054

2.61

15,793

0.5

Demant A/S [DEMANT]

353

42.27

14,921

0.4

Taiheiyo Cement Corporation [5233]

748

19.65

14,687

0.4

Airbus SE [AIR]

98

144.40

14,098

0.4

CSL Limited [CSL]

76

184.64

14,069

0.4

Air Water Inc. [4088]

1,007

13.79

13,892

0.4

Prudential plc [PRU]

984

14.09

13,874

0.4

Sega Sammy Holdings Inc. [6460]

648

21.25

13,781

0.4

Volkswagen AG Pref [VOW3]

102

134.13

13,701

0.4

Eurofins Scientific SE [ERF]

205

63.45

13,002

0.4

Itochu Corporation [8001]

338

39.35

13,303

0.4

Sonova Holding AG [SOON]

50

266.25

13,301

0.4

Standard Chartered PLC [STAN]

1,513

8.68

13,139

0.4

DCC Plc [DCC]

220

55.91

12,319

0.4

Hannover Rueck SE [HNR1]

59

212.04

12,546

0.4

Toyo Suisan Kaisha Ltd. [2875]

274

44.99

12,305

0.4

Rolls-Royce Holdings plc [RR]

6,313

1.92

12,123

0.4

Sandvik AB [SAND]

617

19.46

12,008

0.4

TDK Corporation [6762]

312

38.52

12,029

0.4

WPP Plc [WPP]

1,160

10.47

12,142

0.4

Inpex Corporation [1605]

1,077

11.06

11,909

0.3

Serco Group plc [SRP]

5,874

1.98

11,627

0.3

Coca-Cola Europacific Partners plc [CCEP]

178

64.43

11,477

0.3

Toyo Seikan Group Holdings Ltd. [5901]

780

14.65

11,422

0.3

ZOZO Inc. [3092]

551

20.56

11,320

0.3

Hiscox Ltd [HSX]

790

13.87

10,954

0.3

Nomura Holdings Inc. [8604]

2,894

3.79

10,956

0.3

Samsung Electronics Co. Ltd. [005930]

204

54.79

11,176

0.3

Amplifon S.p.A. [AMP]

284

36.65

10,395

0.3

DBS Group Holdings Ltd [D05]

447

23.28

10,418

0.3

easyJet plc [EZJ]

1,693

6.14

10,387

0.3

Fuji Media Holdings Inc. [4676]

992

10.43

10,349

0.3

Sony Group Corporation [6758]

115

89.70

10,343

0.3

Alten SA [ATE]

64

157.43

10,019

0.3

Asahi Group HoldingsLtd. [2502]

262

38.57

10,116

0.3

QBE Insurance Group Limited [QBE]

971

10.43

10,124

0.3

Randstad NV [RAND]

192

52.71

10,116

0.3

Sumitomo Metal Mining Co. Ltd. [5713]

311

32.04

9,974

0.3

Auto Trader Group PLC [AUTO]

1,248

7.76

9,682

0.3

ITV PLC [ITV]

11,021

0.87

9,570

0.3

Orsted [ORSTED]

104

94.48

9,809

0.3

Toyota Industries Corp. [6201]

136

70.95

9,642

0.3

Admiral Group plc [ADM]

355

26.47

9,388

0.3

CRH public limited company [CRG]

169

55.10

9,315

0.3

HelloFresh SE [HFG]

373

24.66

9,198

0.3

Oji Holdings Corp. [3861]

2,523

3.72

9,385

0.3

PageGroup PLC [PAGE]

1,807

5.11

9,226

0.3

Viscofan S.A. [VIS]

133

69.06

9,209

0.3

WH Smith PLC [SMWH]

469

19.68

9,239

0.3

Hays plc [HAS]

6,865

1.30

8,920

0.3

INFRONEER Holdings Inc. [5076]

954

9.37

8,945

0.3

InterContinental Hotels Group PLC [IHG]

128

69.09

8,845

0.3

ANDRITZ AG [ANDR]

158

55.70

8,806

0.3

Gerresheimer AG [GXI]

78

112.48

8,813

0.3

HDFC Bank Limited Sponsored ADR [HDB]

122

69.70

8,530

0.3

SCSK Corporation [9719]

559

15.63

8,743

0.3

Medipal Holdings Corporation [7459]

501

16.27

8,152

0.2

Santos Limited [STO]

1,682

5.01

8,420

0.2

Taiwan Semiconductor Manufacturing Co. Ltd. [2330]

454

18.49

8,396

0.2

TUI AG [TUI1]

1,168

7.10

8,300

0.2

Daifuku Co. Ltd. [6383]

385

20.36

7,846

0.2

East Japan Railway Company [9020]

142

55.26

7,830

0.2

JCDecaux SE [DEC]

397

19.92

7,905

0.2

TBS HOLDINGS INC. [9401]

443

18.14

8,035

0.2

Macquarie Group Ltd. [MQG]

64

118.23

7,526

0.2

Marui Group Co. Ltd. [8252]

434

17.35

7,526

0.2

Nissan Chemical Corporation [4021]

181

42.68

7,734

0.2

Oracle Corporation Japan [4716]

101

73.96

7,448

0.2

Pets At Home Group Plc [PETS]

1,580

4.79

7,564

0.2

Seven & I Holdings Co. Ltd. [3382]

178

42.93

7,637

0.2

ANZ Group Holdings Limited [ANZ]

452

15.78

7,134

0.2

Koninklijke Philips N.V. [PHIA]

339

21.61

7,325

0.2

NH Foods Limited [2282]

270

26.99

7,277

0.2

Penta-Ocean Construction Co. Ltd. [1893]

1,354

5.34

7,235

0.2

PT Bank Central Asia Tbk [BBCA]

11,872

0.61

7,245

0.2

Stabilus SE [STM]

122

60.06

7,353

0.2

Baidu Inc Sponsored ADR Class A [BIDU]

50

136.91

6,830

0.2

Elis SA [ELIS]

364

19.42

7,074

0.2

GN Store Nord A/S [GN]

276

24.94

6,891

0.2

JAPAN POST HOLDINGS Co. Ltd. [6178]

968

7.17

6,940

0.2

Jardine Matheson Holdings Limited [J36]

139

50.65

7,050

0.2

Kyocera Corporation [6971]

126

53.90

6,781

0.2

Rexel SA [RXL]

287

24.67

7,087

0.2

Sumitomo Mitsui Financial Group Inc. [8316]

165

42.61

7,040

0.2

GEA Group Aktiengesellschaft [G1A]

157

41.80

6,543

0.2

Mitsubishi Logistics Corporation [9301]

270

24.55

6,637

0.2

Nisshinbo Holdings Inc. [3105]

810

8.23

6,667

0.2

St. James's Place Plc [STJ]

483

13.83

6,679

0.2

Technip Energies NV [TE]

292

23.03

6,724

0.2

Woodside Energy Group Ltd [WDS]

292

22.92

6,693

0.2

DS Smith Plc [SMDS]

1,780

3.46

6,149

0.2

Nippon Television Holdings Inc. [9404]

670

9.47

6,349

0.2

Tsumura & Co. [4540]

334

18.42

6,151

0.2

ABC-MART INC. [2670]

110

54.01

5,942

0.2

Alfa Laval AB [ALFA]

165

36.38

5,987

0.2

CTS Eventim AG & Co. KGaA [EVD]

91

63.11

5,764

0.2

Dowa Holdings Co. Ltd. [5714]

185

31.45

5,819

0.2

Gestamp Automocion S.A. [GEST]

1,282

4.70

6,030

0.2

Getlink SE [GET]

342

17.00

5,819

0.2

Irish Continental Group PLC Units Cons.of 1 Sh (CH24411198)and up to 10 Red Shs (Nil Issued) [IR5B]

1,132

5.09

5,768

0.2

Naspers Limited Class N [NPN]

32

179.92

5,713

0.2

Smith & Nephew plc [SN]

372

16.12

6,001

0.2

Sumitomo Bakelite Co. Ltd. [4203]

139

41.28

5,734

0.2

USS Co. Ltd. [4732]

357

16.45

5,877

0.2

Zalando SE [ZAL]

210

28.76

6,027

0.2

Fukuoka Financial Group Inc. [8354]

273

20.57

5,618

0.2

Net One Systems Co. Ltd. [7518]

253

21.79

5,514

0.2

NS Solutions Corp [2327]

199

27.74

5,527

0.2

Playtech plc [PTEC]

747

7.50

5,606

0.2

Rotork plc [ROR]

1,388

3.88

5,380

0.2

Wartsila Oyj Abp [WRT1V]

503

11.25

5,663

0.2

Acerinox SA [ACX]

484

10.61

5,133

0.2

B3 SA - Brasil Bolsa Balcao [B3SA3]

1,686

3.03

5,106

0.2

Befesa SA [BFSA]

138

38.18

5,260

0.2

Galaxy Entertainment Group Limited [27]

842

6.34

5,340

0.2

Iveco Group NV [IVG]

575

9.00

5,180

0.2

Kubota Corporation [6326]

360

14.52

5,227

0.2

Logitech International S.A. [LOGN]

88

59.51

5,223

0.2

Osterreichische Post AG [POST]

142

35.68

5,067

0.2

Secom Co. Ltd. [9735]

80

67.38

5,364

0.2

Swire Pacific Limited Class A [19]

659

7.66

5,050

0.2

Techtronic Industries Co. Ltd. [669]

470

10.87

5,107

0.2

Teleperformance SA [TEP]

31

167.41

5,247

0.2

United Overseas Bank Limited [U11]

250

20.69

5,170

0.2

Barratt Developments PLC [BDEV]

940

5.26

4,939

0.1

Future plc [FUTR]

558

8.58

4,786

0.1

KDDI Corporation [9433]

156

30.79

4,794

0.1

Localiza Rent A Car SA [RENT3]

345

14.20

4,900

0.1

Miura Co. Ltd. [6005]

190

25.88

4,927

0.1

Rathbones Group PLC [RAT]

205

23.65

4,839

0.1

Sekisui Chemical Co. Ltd. [4204]

326

14.34

4,676

0.1

Southern Copper Corporation [SCCO]

69

71.74

4,934

0.1

Yum China Holdings Inc. [YUMC]

84

56.50

4,745

0.1

Advantech Co. Ltd. [2395]

381

11.95

4,549

0.1

CK Hutchison Holdings Ltd [1]

717

6.11

4,375

0.1

Close Brothers Group plc [CBG]

404

11.21

4,530

0.1

Grupo Financiero Banorte SAB de CV Class O [GFNORTEO]

560

8.23

4,614

0.1

IG Group Holdings plc [IGG]

513

8.61

4,416

0.1

Komatsu Ltd. [6301]

163

26.85

4,371

0.1

MatsukiyoCocokara & Co. [3088]

79

55.88

4,398

0.1

Newcrest Mining Limited [NCM]

248

17.59

4,365

0.1

Taisei Corporation [1801]

132

34.74

4,571

0.1

Cleanaway Waste Management Ltd. [CWY]

2,435

1.72

4,199

0.1

Delta Electronics Inc. [2308]

387

11.06

4,281

0.1

Hakuhodo Dy Holdings Incorporated [2433]

400

10.46

4,182

0.1

MEGMILK SNOW BRAND Co. Ltd. [2270]

295

13.51

3,985

0.1

Mobico Group PLC [MCG]

3,453

1.24

4,269

0.1

Ship Healthcare Holdings Inc. [3360]

249

16.47

4,099

0.1

Tata Consultancy Services Limited [532540]

103

40.25

4,144

0.1

Aristocrat Leisure Limited [ALL]

152

25.73

3,915

0.1

Compagnie Financiere Richemont SA [CFR]

22

169.68

3,761

0.1

Copa Holdings S.A. Class A [CPA]

34

110.58

3,743

0.1

Daiei Kankyo Co. Ltd. [9336]

215

17.51

3,761

0.1

Melrose Industries PLC [MRO]

573

6.44

3,689

0.1

NTT DATA GROUP CORPORATION [9613]

265

13.89

3,678

0.1

OMRON Corporation [6645]

62

60.66

3,755

0.1

PERSOL HOLDINGS CO. LTD. [2181]

213

17.91

3,810

0.1

Qantas Airways Limited [QAN]

927

4.13

3,825

0.1

SENKO Group Holdings Co.Ltd. [9069]

554

7.16

3,964

0.1

Softcat Plc [SCT]

205

18.00

3,682

0.1

Bid Corporation Limited [BID]

161

21.88

3,524

0.1

Brambles Limited [BXB]

345

9.59

3,307

0.1

Getinge AB Class B [GETI.B]

208

17.49

3,630

0.1

Grupo Aeroportuario del Pacifico SAB de CV Class B [GAPB]

194

17.91

3,473

0.1

Hana Financial Group Inc. [086790]

111

29.75

3,304

0.1

NSK Ltd. [6471]

526

6.35

3,336

0.1

Taylor Wimpey plc [TW]

2,625

1.31

3,429

0.1

Tesco PLC [TSCO]

1,146

3.16

3,620

0.1

Vipshop Holdings Ltd Sponsored ADR [VIPS]

214

16.50

3,527

0.1

Bluescope Steel Limited [BSL]

239

13.68

3,268

0.1

Fletcher Building Limited [FBU]

936

3.32

3,107

0.1

Jupiter Fund Management plc [JUP]

2,350

1.37

3,215

0.1

Shinhan Financial Group Co. Ltd. [055550]

117

25.80

3,009

0.1

Thai Beverage Public Co. Ltd. [Y92]

6,962

0.43

2,984

0.1

Zhongsheng Group Holdings Ltd. [881]

859

3.82

3,281

0.1

ALS Ltd. [ALQ]

359

7.43

2,670

0.1

Arca Continental SAB de CV [AC]

259

10.26

2,659

0.1

BOC Aviation Limited [2588]

321

8.08

2,597

0.1

Capita plc [CPI]

8,313

0.35

2,900

0.1

Capitec Bank Holdings Limited [CPI]

32

82.99

2,641

0.1

Chailease Holding Co. Ltd. [5871]

403

6.55

2,637

0.1

Great Eastern Holdings Limited [G07]

205

13.05

2,671

0.1

HSBC Holdings Plc [5]

372

7.78

2,895

0.1

Infosys Limited Sponsored ADR [INFY]

178

16.07

2,861

0.1

Vanquis Banking Group PLC [VANQ]

1,174

2.42

2,840

0.1

Weichai Power Co. Ltd. Class H [2338]

1,810

1.46

2,652

0.1

African Rainbow Minerals Limited [ARI]

225

10.53

2,375

0.1

ASMPT Limited [522]

247

9.84

2,428

0.1

Evolution Mining Limited [EVN]

1,070

2.14

2,294

0.1

First Quantum Minerals Ltd. [FM]

105

23.68

2,484

0.1

International Personal Finance plc [IPF]

1,690

1.43

2,417

0.1

John Wood Group PLC [WG]

1,464

1.72

2,519

0.1

Mips AB [MIPS]

47

49.46

2,346

0.1

Ping An Insurance (Group) Company of China Ltd. Class H [2318]

362

6.36

2,303

0.1

Reply S.p.A. [REY]

22

113.57

2,511

0.1

Samsonite International S.A. [1910]

894

2.82

2,521

0.1

Shenzhou International Group Holdings Limited [2313]

265

9.54

2,531

0.1

TechnoPro Holdings Inc. [6028]

118

21.47

2,535

0.1

Tingyi (Cayman Islands) Holding Corp. [322]

1,488

1.55

2,313

0.1

Topcon Corp. [7732]

176

14.58

2,568

0.1

Axis Bank Limited [532215]

158

12.04

1,907

0.1

Beach Energy Limited [BPT]

2,307

0.90

2,073

0.1

Carsales.Com Limited [CAR]

130

15.86

2,064

0.1

Dabur India Limited [500096]

316

6.98

2,210

0.1

Havells India Limited [517354]

138

15.64

2,155

0.1

L'Occitane International S.A. [973]

852

2.40

2,049

0.1

Marico Limited [531642]

344

6.47

2,224

0.1

Metcash Limited [MTS]

871

2.50

2,180

0.1

Viaplay Group AB Class B [VPLAY.B]

347

5.72

1,986

0.1

AMP Limited [AMP]

2,336

0.75

1,757

0.1

HANKOOK TIRE & TECHNOLOGY Co. Ltd. [161390]

72

26.11

1,881

0.1

IPH Ltd. [IPH]

304

5.21

1,583

0.1

James Hardie Industries PLC Chess Units of Foreign Securities [JHX]

61

26.46

1,607

0.1

MediaTek Inc [2454]

84

22.09

1,856

0.1

Pilbara Minerals Limited [PLS]

569

3.26

1,853

0.1

RWS Holdings plc [RWS]

592

2.99

1,771

0.1

SAWAI GROUP HOLDINGS Co. Ltd. [4887]

65

25.08

1,638

0.1

Schibsted Asa Class A [SCHA]

89

17.57

1,563

0.1

Hyundai Motor Company [005380]

8

156.72

1,301

0.0

LG Corp [003550]

21

66.79

1,387

0.0

Li Ning Company Limited [2331]

276

5.38

1,484

0.0

Quadient SA [QDT]

71

20.58

1,471

0.0

Challenger Limited [CGF]

215

4.31

928

0.0

Dowlais Group PLC [DWL]

573

1.61

925

0.0

Johnson Electric Holdings Limited [179]

871

1.28

1,114

0.0

Kasikornbank Public Co. Ltd.(Alien Mkt) [KBANK.F]

296

3.67

1,084

0.0

Modern Times Group MTG AB Class B [MTG.B]

177

6.36

1,124

0.0

NOMURA Co. Ltd. [9716]

148

6.81

1,007

0.0

AEON Delight Co. Ltd. [9787]

38

21.24

797

0.0

China Mengniu Dairy Co. Ltd. [2319]

194

3.76

730

0.0

First Pacific Co. Ltd. [142]

2,438

0.35

843

0.0

Prudential plc [2378]

54

13.67

737

0.0

Schibsted ASA Class B [SCHB]

40

16.60

669

0.0

Stella International Holdings Limited [1836]

910

0.94

859

0.0

Yakult Honsha Co. Ltd. [2267]

13

63.00

832

0.0

Ajisen (China) Holdings Limited [538]

2,515

0.11

289

0.0

AmorePacific Group Inc. [002790]

21

20.00

415

0.0

Esprit Holdings Limited [330]

3,987

0.08

305

0.0

GWA Group Limited [GWA]

349

1.16

407

0.0

AMOREPACIFIC Group Cum Pfd Registered [00279K]

9

15.13

133

0.0

Severstal PAO Sponsored GDR RegS [SVJTY]

217

0.00

0

0.0

Total

--

--

--

3,424,481

100.9

Cash and Other Assets Less Liabilities

--

--

--

--

-0.9

Total Net Assets

--

--

--

--

100%

As of 6/30/2023

Economic Sector

International Fund %

MSCI EAFE (ND) Index %

Utilities

Economic sector icon

11.0

4.0

Real Estate

Economic sector icon

10.4

-2.0

Information Technology

Economic sector icon

9.6

5.9

Financials

Economic sector icon

6.2

4.7

Industrials

Economic sector icon

4.2

6.2

Consumer Discretionary

Economic sector icon

4.0

5.2

Health Care

Economic sector icon

2.9

2.0

Consumer Staples

Economic sector icon

-0.7

-0.6

Materials

Economic sector icon

-0.8

-1.7

Energy

Economic sector icon

-2.0

0.0

Communication Services

Economic sector icon

-4.9

-2.6

As of 6/30/2023

International Fund (HIINX)

MSCI EAFE (ND) Index

-

Industrials

HIINX: 23.5%

Benchmark: 16.2%

-

Financials

HIINX: 19.7%

Benchmark: 18.2%

-

Consumer Discretionary

HIINX: 12.7%

Benchmark: 12.6%

-

Health Care

HIINX: 10.3%

Benchmark: 13.2%

-

Materials

HIINX: 8.4%

Benchmark: 7.4%

-

Consumer Staples

HIINX: 8.3%

Benchmark: 10.1%

-

Information Technology

HIINX: 5.6%

Benchmark: 8.2%

-

Communication Services

HIINX: 5.3%

Benchmark: 4.2%

-

Energy

HIINX: 4.1%

Benchmark: 4.2%

-

Real Estate

HIINX: 0.8%

Benchmark: 2.3%

-

Utilities

HIINX: 0.3%

Benchmark: 3.4%

HIINX: International Fund

Benchmark: MSCI EAFE (ND) Index

As of 6/30/2023

Country

International Fund %

MSCI EAFE (ND) Index %

United Kingdom

24.5

14.7

Japan

22.7

22.5

France

7.1

12.4

Denmark

6.0

3.1

Switzerland

5.7

10.0

Germany

5.4

8.7

Netherlands

3.9

4.6

Australia

3.3

7.3

Italy

3.1

2.5

Ireland

2.8

0.8

Other

15.5

13.4

Investment Team


Marathon London

Marathon Asset Management LLP (Marathon-London) is an independent investment management firm with a 30+ year track record of managing regional, international and global equity strategies on behalf of institutional clients. Marathon-London’s distinctive investment philosophy, referred to as the capital cycle approach to investing, focuses on understanding the supply-side longer-term dynamics within a competitive ecosystem, management behavior in driving an attractive capital cycle dynamic, and how the evolution of supply-side forces impact the economics of the businesses within a particular industry. Marathon-London operates a multi-counselor model in which portfolio managers are generalists focused on specific regions (Europe, Japan, Asia ex-Japan and the Emerging Markets, and North America) and are independently accountable for their own buy/sell decisions. Each portfolio is then aggregated up for broader international and global equity mandates. There are no committee-based decision-making structures which, in turn, allows the portfolio managers the independence and flexibility to execute their skills as stock pickers and aligns their incentives with that of Marathon-London’s clients.

Documents

Name

Date

From time to time, certain fees and/or expenses have been voluntarily or contractually waived or reimbursed, which has resulted in higher returns. Without these waivers or reimbursements, the returns would have been lower. Voluntary waivers or reimbursements may be applied or discontinued at any time without notice. Only the Board of Trustees may modify or terminate contractual fee waivers or expense reimbursements.

As a result of changing market conditions, total net asset levels, expenses and other factors may change at any time during the current fiscal period and may differ from those shown.

There is no guarantee that the investment objective of the Fund will be achieved. Stock markets are volatile and equity values can decline significantly in response to adverse issuer, political, regulatory, market and economic conditions. Investing in international and emerging markets poses special risks, including potentially greater price volatility due to social, political and economic factors, as well as currency exchange rate fluctuations. These risks are more severe for securities of issuers in emerging market regions. Stocks of small and mid cap companies pose special risks, including possible illiquidity and greater price volatility than stocks of larger, more established companies. Marathon-London's assessment of the capital cycle for a particular industry or company may be incorrect. Investing in companies at inopportune phases of the capital cycle can result in the Fund purchasing company stock at pricing levels that are higher than the market dynamics would support and therefore subject the Fund to greater risk that the stock price would decline rather than increase over time.

Weighted Average Market Capitalization: The average size of the companies in a portfolio or index as measured by the market value of outstanding shares.

Price/Book: The price-to-book (P/B) ratio evaluates a firm's market value relative to its book value.

Adjusted Trailing P/E Ratio: The Adjusted Trailing P/E (Price/Earnings) Ratio is the closing stock price divided by the sum of the last 12 months actual EPS.

% EPS Growth – Past 3 year: Earnings per share refers to the bottom-line measure of a company’s profitability defined as net income divided by the number of outstanding shares.

Return on Equity: Return on equity (ROE) is a measure of financial performance calculated by dividing net income by shareholders' equity.

Forecasted P/E Ratio: a measure of the P/E (price-to-earnings) ratio using forecasted earnings for the P/E calculation.

The Morningstar Medalist Ratings are shown for funds that have received a rating of Gold, Silver, or Bronze The funds shown without Medalist Ratings may not have received a Medalist Rating or may have received lower ratings.

The Morningstar Medalist Rating™ is the summary expression of Morningstar’s forward-looking analysis of investment strategies as offered via specific vehicles using a rating scale of Gold, Silver, Bronze, Neutral, and Negative. The Medalist Ratings indicate which investments Morningstar believes are likely to outperform a relevant index or peer group average on a risk-adjusted basis over time. Investment products are evaluated on three key pillars (People, Parent, and Process) which, when coupled with a fee assessment, forms the basis for Morningstar’s conviction in those products’ investment merits and determines the Medalist Rating they’re assigned. Pillar ratings take the form of Low, Below Average, Average, Above Average, and High. Pillars may be evaluated via an analyst’s qualitative assessment (either directly to a vehicle the analyst covers or indirectly when the pillar ratings of a covered vehicle are mapped to a related uncovered vehicle) or using algorithmic techniques. Vehicles are sorted by their expected performance into rating groups defined by their Morningstar Category and their active or passive status. When analysts directly cover a vehicle, they assign the three pillar ratings based on their qualitative assessment, subject to the oversight of the Analyst Rating Committee, and monitor and reevaluate them at least every 14 months. When the vehicles are covered either indirectly by analysts or by algorithm, the ratings are assigned monthly. For more detailed information about these ratings, including their methodology, please go to global.morningstar.com/managerdisclosures/.

The Morningstar Medalist Ratings are not statements of fact, nor are they credit or risk ratings. The Morningstar Medalist Rating (i) should not be used as the sole basis in evaluating an investment product, (ii) involves unknown risks and uncertainties which may cause expectations not to occur or to differ significantly from what was expected, (iii) are not guaranteed to be based on complete or accurate assumptions or models when determined algorithmically, (iv) involve the risk that the return target will not be met due to such things as unforeseen changes in management, technology, economic development, interest rate development, operating and/or material costs, competitive pressure, supervisory law, exchange rate, tax rates, exchange rate changes, and/or changes in political and social conditions, and (v) should not be considered an offer or solicitation to buy or sell the investment product. A change in the fundamental factors underlying the Morningstar Medalist Rating can mean that the rating is subsequently no longer accurate.

©2023 Morningstar, Inc. All rights reserved. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) may not be copied or distributed; and (3) is not warranted to be accurate, complete, or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use of this information. Past performance is no guarantee of future results.

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