Quarterly Portfolios of Investments
HARBOR FUNDS AND HARBOR FUNDS II
January 31, 2026
 
Embark Commodity Strategy Fund (Consolidated)
Embark Small Cap Equity Fund
Harbor Capital Appreciation Fund
Harbor Convertible Securities Fund (currently, Harbor Ares Systematic Convertible Securities Fund)
Harbor Core Bond Fund
Harbor Core Plus Fund
Harbor Diversified International All Cap Fund
Harbor International Fund
Harbor International Compounders Fund
Harbor International Core Fund
Harbor International Small Cap Fund
Harbor Large Cap Value Fund
Harbor Mid Cap Fund
Harbor Mid Cap Value Fund
Harbor Small Cap Growth Fund
Harbor Small Cap Value Fund


Table of Contents

Portfolios of Investments
Embark Commodity Strategy Fund (CONSOLIDATED)
1
Embark Small Cap Equity Fund
9
Harbor Capital Appreciation Fund
13
Harbor Convertible Securities Fund (currently, Harbor Ares
Systematic Convertible Securities Fund)
14
Harbor Core Bond Fund
18
Harbor Core Plus Fund
27
Harbor Diversified International All Cap Fund
35
Harbor International Fund
40
Harbor International Compounders Fund
44
Harbor International Core Fund
46
Harbor International Small Cap Fund
54
Harbor Large Cap Value Fund
56
Harbor Mid Cap Fund
58
Harbor Mid Cap Value Fund
60
Harbor Small Cap Growth Fund
63
Harbor Small Cap Value Fund
65
Notes to Portfolios of Investments
67

Embark Commodity Strategy Fund
CONSOLIDATED PORTFOLIO OF INVESTMENTS—January 31, 2026 (Unaudited)
Principal Amount, Value and Cost in Thousands
Corporate Bonds & Notes11.6%
Principal
Amount
 
Value
AEROSPACE & DEFENSE0.5%
$7,440
Boeing Co.
2.196%—02/04/2026
$7,439
9,835
General Electric Co. MTN
4.542% (3 Month USD Term SOFR + 0.642%)
05/05/20261
9,845
 
 
17,284
AUTOMOBILES0.4%
5,190
General Motors Financial Co., Inc.
5.400%—04/06/2026
5,204
6,545
Toyota Motor Credit Corp.
4.580% (SOFR + 0.770%) 08/07/20261
6,564
 
 
11,768
BANKS3.2%
13,245
Bank of America Corp.
5.033% (SOFR + 1.350%) 09/15/20271
13,316
8,485
Citibank NA
4.483% (SOFR + 0.712%) 11/19/20271
8,503
4,735
Citigroup, Inc.
4.945% (SOFR + 1.143%) 05/07/20281
4,766
6,590
Fifth Third Bank NA
4.476% (SOFR + 0.810%) 01/28/20281
6,604
JPMorgan Chase & Co.
6,635
4.586% (SOFR + 0.920%) 04/22/20281
6,674
5,495
4.866% (SOFR + 1.200%) 01/23/20281
5,533
 
 
12,207
Morgan Stanley Bank NA
3,020
4.351% (SOFR + 0.685%) 10/15/20271
3,026
11,680
4.607% (SOFR + 0.865%) 05/26/20281
11,726
 
 
14,752
7,725
PNC Bank NA
4.396% (SOFR + 0.730%) 07/21/20281
7,746
State Street Corp.
7,200
4.306% (SOFR + 0.640%) 10/22/20271
7,237
1,810
4.664% (SOFR + 0.845%) 08/03/20261
1,814
 
 
9,051
11,100
Truist Bank
4.436% (SOFR + 0.770%) 07/24/20281
11,138
U.S. Bank NA
1,170
4.356% (SOFR + 0.690%) 10/22/20271
1,171
10,000
4.696% (SOFR + 0.910%) 05/15/20281
10,052
 
 
11,223
 
 
99,306
BEVERAGES0.2%
5,089
PepsiCo, Inc.
4.194% (SOFR + 0.400%) 02/13/20261
5,090
CAPITAL MARKETS0.8%
Bank of New York Mellon Corp.
1,720
4.376% (SOFR + 0.710%) 04/20/20271
1,722
10,908
4.383% (SOFR + 0.680%) 06/09/20281
10,943
 
 
12,665
Corporate Bonds & Notes—Continued
Principal
Amount
 
Value
CAPITAL MARKETS—Continued
Goldman Sachs Group, Inc.
$2,774
4.956% (SOFR + 1.290%) 04/23/20281
$2,798
9,490
5.534% (SOFR + 1.850%) 03/15/20281
9,615
 
 
12,413
 
 
25,078
COMMERCIAL SERVICES & SUPPLIES0.2%
5,795
PayPal Holdings, Inc.
4.376% (SOFR + 0.670%) 03/06/20281
5,814
DIVERSIFIED FINANCIAL SERVICES0.1%
3,020
Mastercard, Inc.
4.124% (SOFR + 0.440%) 03/15/20281
3,027
DIVERSIFIED TELECOMMUNICATION SERVICES0.4%
13,140
AT&T, Inc.
1.700%—03/25/2026
13,101
ELECTRIC UTILITIES0.5%
1,575
Constellation Energy Generation LLC
4.266% (SOFR + 0.600%) 01/08/20281
1,578
5,375
Georgia Power Co.
3.964% (SOFR + 0.280%) 09/15/20261
5,376
7,968
NextEra Energy Capital Holdings, Inc.
4.635% (SOFR + 0.800%) 02/04/20281
8,017
 
 
14,971
ELECTRONIC EQUIPMENT, INSTRUMENTS & COMPONENTS0.1%
4,115
Amphenol Corp.
4.330% (SOFR + 0.530%) 11/15/20271
4,126
FINANCIAL SERVICES0.5%
13,240
American Express Co.
4.786% (SOFR + 1.000%) 02/16/20281
13,280
2,345
PNC Financial Services Group, Inc.
4.287% (SOFR + 0.620%) 01/26/20291
2,349
 
 
15,629
HEALTH CARE EQUIPMENT & SUPPLIES0.3%
9,130
UnitedHealth Group, Inc.
4.166% (SOFR + 0.500%) 07/15/20261
9,145
INSURANCE0.9%
Athene Global Funding
4,590
4.496% (SOFR + 0.830%) 01/07/20271,2
4,599
3,340
4.682% (SOFR + 1.000%) 09/18/20281,2
3,350
 
 
7,949
6,335
Corebridge Global Funding
4.980% (SOFR + 1.300%) 09/25/20261,2
6,377
5,100
Marsh & McLennan Cos., Inc.
4.509% (SOFR + 0.700%) 11/08/20271
5,125
5,605
New York Life Global Funding
4.229% (SOFR + 0.410%) 02/05/20271,2
5,613
4,820
Principal Life Global Funding II
4.592% (SOFR + 0.810%) 08/18/20281,2
4,827
 
 
29,891
INTERNET & CATALOG RETAIL0.2%
6,285
Alphabet, Inc.
4.324% (SOFR + 0.520%) 11/15/20281
6,337

1

Embark Commodity Strategy Fund
CONSOLIDATED PORTFOLIO OF INVESTMENTS—Continued
Principal Amount, Value and Cost in Thousands
Corporate Bonds & Notes—Continued
Principal
Amount
 
Value
MACHINERY0.7%
$2,265
Caterpillar Financial Services Corp.
4.369% (SOFR + 0.580%) 11/14/20281
$2,276
8,930
Caterpillar Financial Services Corp. MTN
4.309% (SOFR + 0.520%) 05/14/20271
8,977
John Deere Capital Corp. MTN
8,315
4.159% (SOFR + 0.440%) 03/06/20261
8,318
3,232
4.306% (SOFR + 0.600%) 06/11/20271
3,247
 
 
11,565
 
 
22,818
MEDIA0.2%
5,280
TCI Communications, Inc.
7.875%—02/15/2026
5,287
MULTI-UTILITIES0.2%
5,415
Consolidated Edison Co. of New York, Inc.
4.302% (SOFR + 0.520%) 11/18/20271
5,428
OIL, GAS & CONSUMABLE FUELS0.5%
5,960
BP Capital Markets America, Inc.
3.017%—01/16/2027
5,922
Chevron USA, Inc.
6,265
4.109% (SOFR + 0.360%) 02/26/20271
6,282
4,580
4.364% (SOFR + 0.570%) 08/13/20281
4,614
 
 
10,896
 
 
16,818
PHARMACEUTICALS0.6%
6,830
Bristol-Myers Squibb Co.
4.257% (SOFR + 0.490%) 02/20/20261
6,831
2,730
CVS Health Corp.
5.000%—02/20/2026
2,731
3,230
Eli Lilly & Co.
4.196% (SOFR + 0.530%) 10/15/20281
3,253
5,665
Novartis Capital Corp.
4.339% (SOFR + 0.520%) 11/05/20281
5,697
 
 
18,512
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT0.2%
7,208
Intel Corp.
4.875%—02/10/2026
7,209
SOFTWARE0.4%
Oracle Corp.
9,221
1.650%—03/25/2026
9,189
2,420
4.602% (SOFR + 0.760%) 08/03/20281
2,381
 
 
11,570
TOBACCO0.3%
9,645
Philip Morris International, Inc.
4.513% (SOFR + 0.830%) 04/28/20281
9,707
WIRELESS TELECOMMUNICATION SERVICES0.2%
T-Mobile USA, Inc.
1,120
2.250%—02/15/2026
1,119
6,775
2.625%—04/15/2026
6,757
 
 
7,876
Total Corporate Bonds & Notes
(Cost $365,182)
365,792
Short-Term Investments70.3%
Principal
Amount
 
Value
U.S. TREASURY BILLS70.3%
U.S. Treasury Bills
$8,000
3.470%—07/09/2026
$7,877
749
3.475%—07/09/2026
738
101,784
3.484%—07/16/2026
100,150
122,600
3.490%—07/16/2026
120,631
118,045
3.491%—03/26/2026-06/18/2026
116,726
15,905
3.500%—07/02/2026
15,670
175,000
3.504%—03/03/2026
174,490
23,000
3.520%—07/23/2026
22,615
27,602
3.525%—07/30/2026
27,122
34,000
3.529%—03/12/2026
33,870
21,420
3.535%—04/02/2026
21,293
30,150
3.560%—04/09/2026
29,952
6,240
3.570%—04/16/2026†,3
6,195
2,240
3.571%—04/23/2026
2,222
17,760
3.573%—04/09/2026
17,644
36,590
3.575%—04/23/2026
36,300
21,900
3.577%—04/16/2026†,3
21,741
96,367
3.580%—05/28/2026-06/11/2026†,3
95,253
97,000
3.585%—04/30/2026†,3
96,162
29,710
3.627%—03/05/2026
29,618
17,195
3.640%—04/30/2026†,3
17,046
71,101
3.647%—05/21/2026
70,341
86,186
3.660%—04/16/2026-04/23/2026†,3
85,549
77,880
3.664%—04/16/2026†,3
77,315
156,748
3.679%—03/19/2026
156,039
5,935
3.690%—05/14/2026
5,876
6,820
3.695%—04/09/2026
6,775
40,235
3.701%—05/07/2026
39,861
38,981
3.715%—04/02/2026
38,751
21,460
3.720%—02/19/2026
21,424
60,600
3.730%—03/12/2026-03/24/2026†,3
60,331
50,000
3.734%—03/26/2026
49,738
44,600
3.735%—02/24/2026
44,501
26,750
3.764%—02/12/2026
26,723
135,582
3.775%—02/12/2026
135,447
273,184
3.867%—02/19/2026
272,720
27,326
3.915%—02/26/2026
27,260
94,701
3.980%—02/05/2026
94,673
Total Short-Term Investments
(Cost $2,206,329)
2,206,639
TOTAL INVESTMENTS—81.9%
(Cost $2,571,511)
2,572,431
CASH AND OTHER ASSETS, LESS LIABILITIES—18.1%
566,846
TOTAL NET ASSETS—100.0%
$3,139,277

2

Embark Commodity Strategy Fund
CONSOLIDATED PORTFOLIO OF INVESTMENTS—Continued
FUTURES CONTRACTS
LONG FUTURES CONTRACTS
Description
Number of
Contracts
Expiration
Month
Current
Notional
Value
(000s)
Unrealized
Appreciation/
(Depreciation)
(000s)
Aluminum Futures
44
02/26
$3,431
$268
Brent Crude Futures
510
02/26
35,353
2,820
Brent Crude Futures
2,730
03/26
187,305
12,510
Brent Crude Futures
10
05/26
676
78
Canola Futures
316
03/26
3,008
(10
)
Cattle Feeder Futures
96
03/26
17,293
1,105
Cattle Feeder Futures
19
04/26
3,404
(1
)
Cattle Feeder Futures
6
08/26
1,062
5
Cocoa Futures
183
03/26
7,484
(2,050
)
Cocoa Futures
141
05/26
5,959
(429
)
Cocoa Futures
44
07/26
1,880
(618
)
Coffee C Futures
277
03/26
34,512
(3,782
)
Coffee C Futures
257
05/26
30,392
(1,071
)
Coffee C Futures
29
07/26
3,360
(304
)
Copper Futures
16
02/26
5,228
930
Copper Futures
154
03/26
22,807
2,491
Copper Futures
319
07/26
48,137
(119
)
Copper Futures
65
09/26
9,887
247
Corn Futures
1,567
03/26
33,553
(688
)
Corn Futures
2,801
05/26
61,027
(559
)
Corn Futures
425
07/26
9,393
(29
)
Corn Futures
804
09/26
17,738
(29
)
Cotton No. 2 Futures
217
03/26
6,854
(202
)
Cotton No. 2 Futures
255
05/26
8,279
(140
)
Cotton No. 2 Futures
84
07/26
2,795
(31
)
Cotton No. 2 Futures
130
12/26
4,469
Dutch TTF Natural Gas Futures
120
02/26
4,152
202
Dutch TTF Natural Gas Futures
170
11/26
4,787
493
ECX Emissions Futures
422
12/26
40,648
(1,478
)
FCOJ-A Futures
41
03/26
1,298
78
FCOJ-A Futures
8
07/26
253
(2
)
Gas Oil Low Sulphur Futures
892
03/26
65,071
6,111
Gas Oil Low Sulphur Futures
374
04/26
26,545
1,838
Gas Oil Low Sulphur Futures
97
07/26
6,540
666
Gold 100 OZ Futures
773
04/26
366,796
11,651
Gold 100 OZ Futures
22
06/26
10,518
1,012
Iodex (Iron Ore) Futures
1,229
03/26
12,756
37
KC Hard Red Wheat Futures
525
03/26
14,300
377
KC Hard Red Wheat Futures
207
05/26
5,744
202
KC Hard Red Wheat Futures
555
07/26
15,748
46
Lead Futures
3
02/26
147
(5
)
Lean Hogs Futures
687
04/26
26,147
658
Lean Hogs Futures
52
06/26
2,245
155
Live Cattle Futures
506
04/26
47,928
(34
)
Live Cattle Futures
34
06/26
3,151
68
LME Aluminum Futures
74
02/26
5,789
1,189
LME Aluminum Futures
2,187
03/26
171,565
16,545

3

Embark Commodity Strategy Fund
CONSOLIDATED PORTFOLIO OF INVESTMENTS—Continued
FUTURES CONTRACTS—Continued
LONG FUTURES CONTRACTS — Continued
Description
Number of
Contracts
Expiration
Month
Current
Notional
Value
(000s)
Unrealized
Appreciation/
(Depreciation)
(000s)
LME Aluminum Futures
532
05/26
$41,842
$1,321
LME Aluminum Futures
927
06/26
72,968
(249
)
LME Aluminum Futures
114
07/26
8,963
142
LME Aluminum Futures
226
09/26
17,742
(36
)
LME Copper Futures
85
02/26
27,821
5,889
LME Copper Futures
583
03/26
191,229
32,011
LME Copper Futures
282
06/26
93,035
1,157
LME Copper Futures
10
07/26
3,303
59
LME Lead Futures
598
03/26
29,767
(715
)
LME Lead Futures
168
05/26
8,490
(112
)
LME Lead Futures
310
06/26
15,759
(250
)
LME Lead Futures
63
07/26
3,221
(63
)
LME Nickel Futures
556
03/26
59,551
7,128
LME Nickel Futures
6
04/26
645
89
LME Nickel Futures
169
05/26
18,244
735
LME Nickel Futures
225
06/26
24,372
236
LME Nickel Futures
41
07/26
4,454
70
LME Tin Futures
38
03/26
9,857
2,447
LME Zinc Futures
902
03/26
76,938
7,718
LME Zinc Futures
1
04/26
85
16
LME Zinc Futures
310
05/26
26,368
1,578
LME Zinc Futures
233
06/26
19,763
845
LME Zinc Futures
55
07/26
4,653
259
LME Zinc Futures
71
09/26
5,985
552
Miax Red Wheat Futures
89
03/26
2,573
(13
)
Milling Wheat Futures
1,827
03/26
21,034
131
Natural Gas Futures
1,652
02/26
71,928
13,634
Natural Gas Futures
759
03/26
30,565
9,381
Natural Gas Futures
50
05/26
2,077
537
Natural Gas Futures
1,672
06/26
72,448
10,042
Nickel Futures
34
02/26
3,620
533
NY Harbor ULSD Futures
445
02/26
47,342
4,443
NY Harbor ULSD Futures
13
05/26
1,264
113
NY Harbor ULSD Futures
69
06/26
6,647
565
Palladium Futures
14
03/26
2,384
311
Palladium Futures
8
06/26
1,384
(153
)
Phelix DE Base Futures
12
12/26
10,621
(14
)
Platinum Futures
45
04/26
4,774
(381
)
Platinum Futures
13
07/26
1,392
(123
)
Platinum Futures
24
12/26
906
49
Rapeseed Futures
314
04/26
8,798
(18
)
RBOB Gasoline Futures
89
02/26
7,260
459
RBOB Gasoline Futures
14
05/26
1,274
80
RBOB Gasoline Futures
385
06/26
34,719
2,396
Robusta Coffee 10-T Futures
215
03/26
8,843
522
Robusta Coffee 10-T Futures
27
07/26
1,063
24
Silver Futures
100
03/26
39,266
8,791

4

Embark Commodity Strategy Fund
CONSOLIDATED PORTFOLIO OF INVESTMENTS—Continued
FUTURES CONTRACTS—Continued
LONG FUTURES CONTRACTS — Continued
Description
Number of
Contracts
Expiration
Month
Current
Notional
Value
(000s)
Unrealized
Appreciation/
(Depreciation)
(000s)
Silver Futures
78
05/26
$30,865
$(1,205
)
Silver Futures
15
07/26
5,983
(49
)
Silver Futures
26
09/26
10,441
964
Soybean Futures
1,644
03/26
87,481
(677
)
Soybean Futures
573
07/26
31,243
Soybean Futures
136
08/26
7,400
(22
)
Soybean Meal Futures
1,192
03/26
34,997
(2,891
)
Soybean Meal Futures
1,153
05/26
34,302
(256
)
Soybean Meal Futures
74
07/26
2,239
(42
)
Soybean Meal Futures
23
09/26
702
(4
)
Soybean Oil Futures
808
03/26
25,942
756
Soybean Oil Futures
96
05/26
3,114
(30
)
Soybean Oil Futures
1,040
07/26
33,939
1,929
Soybean Oil Futures
44
09/26
1,423
(15
)
Sugar No. 11 Futures
4,221
02/26
67,462
(6,241
)
Sugar No. 11 Futures
1,093
04/26
16,942
(286
)
Sugar No. 11 Futures
158
06/26
2,451
(113
)
UK Natural Gas Futures
455
02/26
18,374
3,724
Wheat Futures
823
03/26
22,139
585
Wheat Futures
217
05/26
5,924
85
Wheat Futures
335
07/26
9,309
61
White Sugar Futures
432
04/26
8,843
(289
)
White Sugar Futures
48
07/26
972
(37
)
WTI Crude Oil Futures
1,359
02/26
88,620
9,554
WTI Crude Oil Futures
429
03/26
27,773
2,222
WTI Crude Oil Futures
91
05/26
5,818
458
WTI Crude Oil Futures
15
06/26
953
71
Zinc Futures
23
02/26
1,952
184
Total Long Futures Contracts
$ 170,773
 
SHORT FUTURES CONTRACTS
Description
Number of
Contracts
Expiration
Month
Current
Notional
Value
(000s)
Unrealized
Appreciation/
(Depreciation)
(000s)
Aluminum Futures
44
02/26
$3,431
$(273
)
Brent Crude Futures
11
03/26
755
(34
)
Cocoa Futures
85
03/26
3,421
1,051
Coffee C Futures
80
05/26
9,460
413
Copper Futures
16
02/26
5,228
(944
)
Copper Futures
5
03/26
740
(18
)
Copper Futures
5
05/26
748
6
Cotton No. 2 Futures
85
03/26
2,685
41
ECX Emissions Futures
76
12/26
7,320
507
Gas Oil Low Sulphur Futures
10
03/26
729
(78
)
KC Hard Red Wheat Futures
98
03/26
2,669
(99
)
Lead Futures
3
02/26
147
4

5

Embark Commodity Strategy Fund
CONSOLIDATED PORTFOLIO OF INVESTMENTS—Continued
FUTURES CONTRACTS—Continued
SHORT FUTURES CONTRACTS — Continued
Description
Number of
Contracts
Expiration
Month
Current
Notional
Value
(000s)
Unrealized
Appreciation/
(Depreciation)
(000s)
LME Aluminum Futures
74
02/26
$5,789
$(1,037
)
LME Aluminum Futures
1,919
03/26
150,541
(5,611
)
LME Aluminum Futures
130
05/26
10,225
(300
)
LME Aluminum Futures
72
06/26
5,667
(148
)
LME Aluminum Futures
56
07/26
4,403
3
LME Aluminum Futures
8
09/26
628
22
LME Copper Futures
85
02/26
27,821
(4,812
)
LME Copper Futures
564
03/26
184,997
(10,451
)
LME Copper Futures
68
06/26
22,434
127
LME Lead Futures
597
03/26
29,717
339
LME Lead Futures
214
05/26
10,815
12
LME Lead Futures
7
07/26
358
4
LME Nickel Futures
533
03/26
57,087
(3,485
)
LME Nickel Futures
6
04/26
645
(87
)
LME Nickel Futures
28
05/26
3,023
(120
)
LME Nickel Futures
14
06/26
1,517
(46
)
LME Nickel Futures
6
07/26
652
(4
)
LME Tin Futures
30
03/26
7,782
LME Zinc Futures
810
03/26
69,091
(5,591
)
LME Zinc Futures
1
04/26
85
(16
)
LME Zinc Futures
56
05/26
4,763
(228
)
LME Zinc Futures
30
06/26
2,545
(80
)
LME Zinc Futures
7
07/26
592
(10
)
LME Zinc Futures
71
09/26
5,985
(238
)
Milling Wheat Futures
201
03/26
2,314
(22
)
Nickel Futures
34
02/26
3,620
(533
)
NY Harbor ULSD Futures
31
02/26
3,298
(281
)
NY Harbor ULSD Futures
130
03/26
13,211
(414
)
Palladium Futures
8
03/26
1,362
180
RBOB Gasoline Futures
53
02/26
4,323
(159
)
RBOB Gasoline Futures
168
03/26
15,312
(757
)
Soybean Futures
15
03/26
798
(19
)
Soybean Futures
220
05/26
11,847
(175
)
Soybean Meal Futures
20
03/26
587
5
Wheat Futures
17
03/26
457
(24
)
WTI Crude Oil Futures
7
02/26
456
(20
)
WTI Crude Oil Futures
82
03/26
5,309
(368
)
Zinc Futures
23
02/26
1,952
(187
)
Total Short Futures Contracts
$(33,955
)
Total Futures Contracts
$ 136,818

6

Embark Commodity Strategy Fund
CONSOLIDATED PORTFOLIO OF INVESTMENTS—Continued
PURCHASED OPTIONS
CALL PURCHASED OPTIONS
Description
Exercise
Price
Expiration
Date
Number of
Contracts
Notional
Amount
(000s)
Cost
(000s)
Value
(000s)
Corn Futures Option
$440.00
02/20/2026
3535
$75,693
$406
$354
Corn Futures Option
500.00
06/26/2026
885
19,559
229
216
Crude Oil Futures Option
70.00
04/16/2026
144
9,262
287
503
Crude Oil Futures Option
80.00
04/16/2026
304
19,553
285
544
Crude Oil Futures Option
90.00
04/16/2026
518
33,318
280
549
Crude Oil Futures Option
70.00
06/16/2026
130
8,262
308
517
Crude Oil Futures Option
80.00
11/17/2026
430
26,664
778
959
Crude Oil Futures Option
90.00
11/17/2026
743
46,073
785
1,018
HG Copper Futures Option
675.00
06/25/2026
46
6,941
380
4
Soybean Futures Option
1,200.00
06/26/2026
470
25,627
219
220
Soybean Oil Futures Option
60.00
06/26/2026
191
6,233
238
206
Sugar Futures Option
16.00
06/15/2026
965
14,969
253
205
Wheat Futures Option
600.00
06/26/2026
262
7,280
228
260
Total Call Purchased Options
$4,676
$5,555
 
PUT PURCHASED OPTIONS
Description
Exercise
Price
Expiration
Date
Number of
Contracts
Notional
Amount
(000s)
Cost
(000s)
Value
(000s)
Silver Futures Option
$60.00
05/26/2026
13
$5,185
$153
$291
Total Purchased Options
$4,829
$5,846
SWAP AGREEMENTS
OVER-THE-COUNTER (OTC) EXCESS RETURN SWAPS
Counterparty
Fixed
Rate
Pay/Receive
Fixed Rate
Reference Index
Expiration
Date
Payment
Frequency
Notional
Amount
(000s)
Value
(000s)
Upfront
Premiums
(Received)/
Paid
(000s)
Unrealized
Appreciation/
(Depreciation)
(000s)
Macquarie Bank Limited
0.137%
Pay
Macquarie MQCP338E Index4
02/27/2026
Monthly
$556,492
$2
$
$2
SWAP AGREEMENTSSWAP AGREEMENTS
OVER-THE-COUNTER (OTC) TOTAL RETURN SWAPS
Counterparty
Fixed
Rate
Pay/Receive
Fixed Rate
Reference Index
Expiration
Date
Payment
Frequency
Notional
Amount
(000s)
Value
(000s)
Upfront
Premiums
(Received)/
Paid
(000s)
Unrealized
Appreciation/
(Depreciation)
(000s)
Citigroup Global Markets
0.110%
Pay
Bloomberg Commodity 3-Month
Forward Total Return Index
10/30/2026
Monthly
$149,441
$
$
$
Citigroup Global Markets
0.240%
Pay
FTSE/Core Commodity CRB
3-Month Forward Total Return
Index
02/27/2026
Monthly
54,980
RBC Dominion Securities
0.120%
Pay
Bloomberg Commodity 3-Month
Forward Total Return Index
10/30/2026
Monthly
180,722
RBC Dominion Securities
0.290%
Pay
FTSE/Core Commodity CRB
3-Month Forward Total Return
Index
02/27/2026
Monthly
24,762
Total Over-the-Counter Total Return Swaps
$
$
$
Total Swaps
$2
$
$2

7

Embark Commodity Strategy Fund
CONSOLIDATED PORTFOLIO OF INVESTMENTS—Continued
FAIR VALUE MEASUREMENTS
As of January 31, 2026 the investments in futures contracts and options (as disclosed in the preceding Futures Contracts and Purchased Options schedules) were classified as Level 1 and all other investments were classified as Level 2.
For more information on valuation inputs and their aggregation into the levels identified above, please refer to the Fair Value Measurements and Disclosures in Note 2 of the accompanying Notes to Portfolios of Investments.

Coupon represents yield to maturity
1
Variable or floating rate security; the stated rate represents the rate in effect as of January 31, 2026.  The variable rate for such securities may
be based on the indicated reference rate and spread or on an underlying asset or pool of assets rather than a reference rate and may be
determined by current interest rates, prepayments or other financial indicators.
2
Securities purchased in a transaction exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold
in transactions exempt from registration, normally to qualified institutional buyers. The Fund has no right to demand registration of these
securities. As of January 31, 2026, the aggregate value of these securities was $24,766 or 1% of net assets.
3
As of January 31, 2026, all or a portion of this security was pledged or restricted as collateral for futures contracts or OTC swaps. The pledged
or restricted securities had an aggregate value of $50,748.
4
The index is comprised of publicly traded futures contracts on physical commodities. The table below represents the reference index components
as of January 31, 2026.
Commodity
Weight
Gold
45.3%
RBOB Gasoline
7.8
GasOil
7.6
Soybeans
6.5
Heating Oil
5.9
Copper
4.1
Aluminum
4.0
Nickel
4.0
Brent Crude Oil
2.6
Lean Hogs
1.8
Soybean Oil
1.8
Zinc
1.8
Comex Copper
1.7
Cotton
1.7
KC Wheat
1.7
Sugar
1.7
MTN
Medium Term Note
The accompanying notes are an integral part of the Portfolios of Investments.

8

Embark Small Cap Equity Fund
PORTFOLIO OF INVESTMENTS—January 31, 2026 (Unaudited)
Value and Cost in Thousands
COMMON STOCKS98.7%
Shares
 
Value
AEROSPACE & DEFENSE2.7%
8,253
BWX Technologies, Inc.
$1,696
47,570
Cadre Holdings, Inc.
1,903
11,130
Carpenter Technology Corp.
3,538
7,463
Hexcel Corp.
618
17,219
Karman Holdings, Inc. *
1,787
15,652
Kratos Defense & Security Solutions, Inc. *
1,612
45,296
Red Cat Holdings, Inc. *
612
58,758
Redwire Corp. *
690
31,326
V2X, Inc. *
2,156
 
 
14,612
AUTOMOBILE COMPONENTS0.8%
57,927
Adient PLC *
1,205
8,068
Dorman Products, Inc. *
1,002
15,065
Lear Corp.
1,764
2,216
Patrick Industries, Inc.
279
 
 
4,250
BANKS5.1%
13,110
Ameris Bancorp
1,057
31,050
Associated Banc-Corp.
846
34,523
Bank of NT Butterfield & Son Ltd. (Bermuda)
1,788
13,797
East West Bancorp, Inc.
1,579
1,591
First Citizens BancShares, Inc. Class A
3,293
156,258
First Hawaiian, Inc.
4,149
109,623
First Interstate BancSystem, Inc. Class A
3,888
20,610
Home BancShares, Inc.
596
12,476
Independent Bank Corp.
1,008
16,401
International Bancshares Corp.
1,142
33,919
Pinnacle Financial Partners, Inc.
3,225
11,796
Popular, Inc. (Puerto Rico)
1,575
7,349
Prosperity Bancshares, Inc.
507
3,546
WaFd, Inc.
116
19,752
Wintrust Financial Corp.
2,913
8,138
Zions Bancorp NA
488
 
 
28,170
BEVERAGES0.2%
18,394
Vita Coco Co., Inc. *
981
BIOTECHNOLOGY3.0%
10,953
Abivax SA ADR (France)*,1
1,217
65,787
ADMA Biologics, Inc. *
1,138
20,690
Ascendis Pharma AS ADR (Denmark)*,1
4,678
40,802
Bicycle Therapeutics PLC ADR (United Kingdom)*,1
262
5,044
Celcuity, Inc. *
552
19,759
Immunome, Inc. *
486
21,435
Kiniksa Pharmaceuticals International PLC *
941
29,817
Legend Biotech Corp. ADR*,1
522
306,213
MiMedx Group, Inc. *
1,565
10,113
Revolution Medicines, Inc. *
980
12,855
Rhythm Pharmaceuticals, Inc. *
1,318
30,887
Vaxcyte, Inc. *
1,655
16,686
Viking Therapeutics, Inc. *
485
10,463
Xenon Pharmaceuticals, Inc. (Canada)*
429
 
 
16,228
BROADLINE RETAIL0.0%
20,974
Pattern Group, Inc. Class A*
290
BUILDING PRODUCTS2.2%
7,141
AAON, Inc.
650
4,269
AZZ, Inc.
531
1,498
Carlisle Cos., Inc.
511
8,002
CSW Industrials, Inc.
2,160
42,261
Modine Manufacturing Co. *
7,804
40,255
Tecogen, Inc. *
151
COMMON STOCKS—Continued
Shares
 
Value
BUILDING PRODUCTS—Continued
3,849
UFP Industries, Inc.
$397
 
 
12,204
CAPITAL MARKETS4.2%
67,301
Artisan Partners Asset Management, Inc. Class A
2,996
6,588
Cohen & Steers, Inc.
423
50,813
Donnelley Financial Solutions, Inc. *
2,630
1,705
FactSet Research Systems, Inc.
434
10,803
Hamilton Lane, Inc. Class A
1,526
9,370
Houlihan Lokey, Inc.
1,577
2,486
Morningstar, Inc.
503
13,798
StepStone Group, Inc. Class A
975
15,923
Stifel Financial Corp.
1,963
85,608
StoneX Group, Inc. *
9,610
72,677
SuRo Capital Corp.
679
 
 
23,316
CHEMICALS3.5%
53,528
Ashland, Inc.
3,274
26,547
Avient Corp.
960
91,414
Axalta Coating Systems Ltd. *
3,070
575,303
Ecovyst, Inc. *
6,104
25,248
Element Solutions, Inc.
735
124,116
Neo Performance Materials, Inc. (Canada)
1,746
139,515
Olin Corp.
2,903
1,576
Quaker Chemical Corp.
242
 
 
19,034
COMMERCIAL SERVICES & SUPPLIES1.9%
173,280
BrightView Holdings, Inc. *
2,315
8,354
Brink’s Co.
1,061
15,573
Casella Waste Systems, Inc. Class A*
1,571
11,860
GFL Environmental, Inc.
509
90,420
Liquidity Services, Inc. *
2,894
7,225
MillerKnoll, Inc.
145
33,145
Montrose Environmental Group, Inc. *
739
28,557
Quad/Graphics, Inc.
175
13,781
Tetra Tech, Inc.
519
2,554
UniFirst Corp.
549
 
 
10,477
COMMUNICATIONS EQUIPMENT1.0%
29,379
Calix, Inc. *
1,312
15,671
F5, Inc. *
4,319
 
 
5,631
CONSTRUCTION & ENGINEERING3.6%
61,913
Ameresco, Inc. Class A*
1,940
27,494
API Group Corp. *
1,143
53,167
Arcosa, Inc.
6,086
2,651
Comfort Systems USA, Inc.
3,028
53,658
Fluor Corp. *
2,479
27,977
Legence Corp. Class A*
1,312
12,615
Primoris Services Corp.
1,870
3,224
Sterling Infrastructure, Inc. *
1,154
1,734
Valmont Industries, Inc.
773
 
 
19,785
CONSUMER FINANCE2.5%
2,719
Dave, Inc. *
445
23,738
Enova International, Inc. *
3,921
8,821
FirstCash Holdings, Inc.
1,504
92,962
Jefferson Capital, Inc.
1,986
51,833
LendingTree, Inc. *
2,937
100,996
SLM Corp.
2,742
 
 
13,535

9

Embark Small Cap Equity Fund
PORTFOLIO OF INVESTMENTS—Continued
Value and Cost in Thousands
COMMON STOCKS—Continued
Shares
 
Value
CONSUMER STAPLES DISTRIBUTION & RETAIL1.2%
981
Casey’s General Stores, Inc.
$595
28,714
PriceSmart, Inc.
4,083
27,739
Sprouts Farmers Market, Inc. *
1,967
 
 
6,645
CONTAINERS & PACKAGING0.6%
2,889
AptarGroup, Inc.
361
200,130
Graphic Packaging Holding Co.
2,932
 
 
3,293
DISTRIBUTORS0.1%
1,502
Pool Corp.
382
DIVERSIFIED CONSUMER SERVICES2.7%
35,945
Frontdoor, Inc. *
2,125
11,649
Grand Canyon Education, Inc. *
2,025
175,859
Laureate Education, Inc. *
6,032
51,383
OneSpaWorld Holdings Ltd. (Bahamas)
1,009
12,363
Perdoceo Education Corp.
396
120,686
Universal Technical Institute, Inc. *
3,359
 
 
14,946
ELECTRIC UTILITIES0.4%
47,058
OGE Energy Corp.
2,055
ELECTRICAL EQUIPMENT2.2%
31,681
Amprius Technologies, Inc. *
394
52,863
Array Technologies, Inc. *
599
11,361
Bloom Energy Corp. Class A*
1,720
42,798
Electrovaya, Inc. (Canada)*
463
1,846
Generac Holdings, Inc. *
310
47,500
Nextpower, Inc. Class A*
5,562
5,689
nVent Electric PLC
639
7,143
Regal Rexnord Corp.
1,153
107,505
Shoals Technologies Group, Inc. Class A*
1,015
 
 
11,855
ELECTRONIC EQUIPMENT, INSTRUMENTS & COMPONENTS1.9%
77,006
Arlo Technologies, Inc. *
977
1,772
Arrow Electronics, Inc. *
235
60,618
Avnet, Inc.
3,782
12,021
Cognex Corp.
465
3,413
Fabrinet (Thailand)*
1,670
61,911
LightPath Technologies, Inc. Class A*
645
2,677
Littelfuse, Inc.
867
6,345
Plexus Corp. *
1,265
45,105
Unusual Machines, Inc. (Puerto Rico)*
625
 
 
10,531
ENERGY EQUIPMENT & SERVICES1.9%
33,695
Expro Group Holdings NV *
539
161,942
NOV, Inc.
2,972
236,679
Select Water Solutions, Inc.
2,861
14,235
TechnipFMC PLC (United Kingdom)
793
46,945
Tidewater, Inc. *
2,934
3,613
Weatherford International PLC
340
 
 
10,439
ENTERTAINMENT2.4%
64,896
Atlanta Braves Holdings, Inc. Class C*
2,591
40,893
IMAX Corp. *
1,428
414,764
Lionsgate Studios Corp. *
3,915
17,861
Madison Square Garden Sports Corp. *
5,065
23,059
Starz Entertainment Corp. *
230
 
 
13,229
COMMON STOCKS—Continued
Shares
 
Value
FINANCIAL SERVICES1.3%
35,082
Chime Financial, Inc. Class A*
$892
35,449
Euronet Worldwide, Inc. *
2,569
15,050
HA Sustainable Infrastructure Capital, Inc.
518
3,196
Jack Henry & Associates, Inc.
573
9,789
Shift4 Payments, Inc. Class A*
578
11,713
WEX, Inc. *
1,802
 
 
6,932
FOOD PRODUCTS0.9%
127,194
Simply Good Foods Co. *
2,387
471,147
SunOpta, Inc. (Canada)*
2,158
12,859
Vital Farms, Inc. *
366
 
 
4,911
GAS UTILITIES0.3%
11,271
Brookfield Infrastructure Corp. Class A (Canada)
539
4,276
Chesapeake Utilities Corp.
550
30,052
MDU Resources Group, Inc.
617
 
 
1,706
GROUND TRANSPORTATION1.6%
17,287
Landstar System, Inc.
2,582
3,642
Saia, Inc. *
1,220
96,803
U-Haul Holding Co.
4,967
 
 
8,769
HEALTH CARE EQUIPMENT & SUPPLIES2.7%
5,696
IRhythm Holdings, Inc. *
880
31,629
Lantheus Holdings, Inc. *
2,117
6,239
LeMaitre Vascular, Inc.
530
29,356
LivaNova PLC *
1,929
9,486
Masimo Corp. *
1,303
86,536
Neogen Corp. *
884
91,065
OrthoPediatrics Corp. *
1,590
121,137
Owlet, Inc. *
1,462
124,665
SI-BONE, Inc. *
2,067
15,192
Solventum Corp. *
1,169
2,473
STERIS PLC
650
 
 
14,581
HEALTH CARE PROVIDERS & SERVICES4.0%
161,982
AdaptHealth Corp. *
1,628
29,250
Addus HomeCare Corp. *
3,027
21,719
Centene Corp. *
941
1,129
Chemed Corp.
482
13,134
Encompass Health Corp.
1,242
4,622
Ensign Group, Inc.
793
18,781
GeneDx Holdings Corp. *
1,808
9,786
Guardant Health, Inc. *
1,116
12,522
HealthEquity, Inc. *
1,073
20,713
Option Care Health, Inc. *
704
3,023
Quest Diagnostics, Inc.
565
109,030
RadNet, Inc. *
7,643
123,283
Talkspace, Inc. *
498
6,145
U.S. Physical Therapy, Inc.
515
 
 
22,035
HEALTH CARE REITS1.0%
19,846
Alexandria Real Estate Equities, Inc.
1,084
16,141
CareTrust REIT, Inc.
603
156,924
Sila Realty Trust, Inc.
3,821
 
 
5,508
HEALTH CARE TECHNOLOGY0.0%
24,754
OptimizeRx Corp. *
266

10

Embark Small Cap Equity Fund
PORTFOLIO OF INVESTMENTS—Continued
Value and Cost in Thousands
COMMON STOCKS—Continued
Shares
 
Value
HOTEL & RESORT REITS0.4%
20,999
Ryman Hospitality Properties, Inc.
$1,989
HOTELS, RESTAURANTS & LEISURE2.4%
4,825
Churchill Downs, Inc.
475
1,195
Domino’s Pizza, Inc.
490
15,612
Dutch Bros, Inc. Class A*
849
459,330
Genius Sports Ltd. (United Kingdom)*
3,996
34,268
Life Time Group Holdings, Inc. *
1,000
77,851
Lindblad Expeditions Holdings, Inc. *
1,298
28,022
Marriott Vacations Worldwide Corp.
1,522
154,335
Penn Entertainment, Inc. *
1,982
10,290
Travel & Leisure Co.
715
2,374
Wingstop, Inc.
630
 
 
12,957
HOUSEHOLD DURABLES2.1%
6,223
Cavco Industries, Inc. *
3,062
56,723
Green Brick Partners, Inc. *
3,936
22,071
SharkNinja, Inc. *
2,608
4,480
TopBuild Corp. *
2,097
 
 
11,703
INDUSTRIAL REITS0.1%
8,930
Terreno Realty Corp.
550
INSURANCE3.1%
27,879
Assured Guaranty Ltd.
2,366
33,020
First American Financial Corp.
2,086
23,692
Global Indemnity Group LLC Class A
685
12,625
Horace Mann Educators Corp.
566
927
Kinsale Capital Group, Inc.
367
11,761
Palomar Holdings, Inc. *
1,454
1,837
Primerica, Inc.
483
220,581
SiriusPoint Ltd. (Sweden)*
4,502
64,346
Skyward Specialty Insurance Group, Inc. *
2,871
862
White Mountains Insurance Group Ltd.
1,763
 
 
17,143
IT SERVICES0.7%
9,632
Applied Digital Corp. *
327
42,740
ASGN, Inc. *
2,226
68,992
Hackett Group, Inc.
1,259
 
 
3,812
LEISURE PRODUCTS1.2%
7,364
Brunswick Corp.
591
221,281
Callaway Golf Co. *
3,175
63,216
YETI Holdings, Inc. *
2,890
 
 
6,656
LIFE SCIENCES TOOLS & SERVICES0.3%
33,839
Adaptive Biotechnologies Corp. *
626
2,746
Bio-Rad Laboratories, Inc. Class A*
807
36,516
CryoPort, Inc. *
347
 
 
1,780
MACHINERY3.4%
12,625
Alamo Group, Inc.
2,466
96,195
Douglas Dynamics, Inc.
3,625
7,627
Greenbrier Cos., Inc.
385
540,667
Hillman Solutions Corp. *
5,066
10,279
ITT, Inc.
1,874
14,368
Miller Industries, Inc.
589
2,298
Nordson Corp.
631
2,656
SPX Technologies, Inc. *
553
2,168
Standex International Corp.
520
11,105
Stanley Black & Decker, Inc.
873
COMMON STOCKS—Continued
Shares
 
Value
MACHINERY—Continued
23,629
Timken Co.
$2,202
 
 
18,784
MARINE TRANSPORTATION0.8%
112,122
Global Ship Lease, Inc. Class A (United Kingdom)
4,209
MEDIA1.8%
250,749
Magnite, Inc. *
3,628
136,068
National CineMedia, Inc.
491
8,604
New York Times Co. Class A
631
3,019
Nexstar Media Group, Inc.
641
26,896
NIQ Global Intelligence PLC *
457
651,689
Stagwell, Inc. *
3,917
 
 
9,765
METALS & MINING0.4%
22,203
Coeur Mining, Inc. *
454
1,905
Reliance, Inc.
628
2,671
Royal Gold, Inc.
703
89,788
U.S. Antimony Corp. *
658
 
 
2,443
MULTI-UTILITIES0.2%
21,216
Avista Corp.
876
6,514
Black Hills Corp.
475
 
 
1,351
OFFICE REITS0.1%
79,928
Piedmont Realty Trust, Inc.
673
OIL, GAS & CONSUMABLE FUELS3.5%
59,666
APA Corp.
1,576
24,003
California Resources Corp.
1,284
13,898
Crescent Energy Co. Class A
136
4,934
DT Midstream, Inc.
622
231,098
Kosmos Energy Ltd. (Ghana)*
365
54,983
Matador Resources Co.
2,487
57,748
Murphy Oil Corp.
1,738
23,372
NextDecade Corp. *
124
10,112
Ovintiv, Inc.
440
92,550
Par Pacific Holdings, Inc. *
3,493
46,590
Permian Resources Corp.
751
9,411
Range Resources Corp.
356
226,980
Secure Waste Infrastructure Corp. (Canada)
2,939
143,411
Vitesse Energy, Inc.
3,006
 
 
19,317
PERSONAL CARE PRODUCTS0.7%
73,714
BellRing Brands, Inc. *
1,833
13,467
elf Beauty, Inc. *
1,145
14,092
Herbalife Ltd. *
243
23,150
Oddity Tech Ltd. Class A (Israel)*
760
 
 
3,981
PHARMACEUTICALS0.5%
104,632
Elanco Animal Health, Inc. *
2,519
23,803
LENZ Therapeutics, Inc. *
377
 
 
2,896
PROFESSIONAL SERVICES3.1%
5,032
Booz Allen Hamilton Holding Corp.
445
9,489
Concentrix Corp.
354
66,234
Franklin Covey Co. *
1,349
59,735
Insperity, Inc.
2,553
11,118
KBR, Inc.
476
389,150
Legalzoom.com, Inc. *
3,460
18,546
ManpowerGroup, Inc.
674

11

Embark Small Cap Equity Fund
PORTFOLIO OF INVESTMENTS—Continued
Value and Cost in Thousands
COMMON STOCKS—Continued
Shares
 
Value
PROFESSIONAL SERVICES—Continued
16,350
Maximus, Inc.
$1,544
16,302
Paycom Software, Inc.
2,197
7,116
TransUnion
562
166,433
Verra Mobility Corp. *
3,212
 
 
16,826
REAL ESTATE MANAGEMENT & DEVELOPMENT0.2%
2,686
FirstService Corp. (Canada)
417
911
Jones Lang LaSalle, Inc. *
326
13,140
RMR Group, Inc. Class A
199
93,928
Seritage Growth Properties Class A*
310
 
 
1,252
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT5.1%
33,062
Axcelis Technologies, Inc. *
2,912
10,013
Credo Technology Group Holding Ltd. *
1,254
39,257
FormFactor, Inc. *
2,767
864,874
indie Semiconductor, Inc. Class A (China)*
3,546
12,815
Kulicke & Soffa Industries, Inc. (Singapore)
735
12,342
Lattice Semiconductor Corp. *
994
17,006
MKS, Inc.
4,003
6,061
Onto Innovation, Inc. *
1,225
11,329
Power Integrations, Inc.
520
3,290
Rambus, Inc. *
374
17,593
Semtech Corp. *
1,403
62,819
Silicon Motion Technology Corp. ADR (Taiwan)1
7,471
3,256
Tower Semiconductor Ltd. (Israel)*
439
4,368
Universal Display Corp.
502
 
 
28,145
SOFTWARE7.5%
216,934
A10 Networks, Inc.
3,783
24,150
ACI Worldwide, Inc. *
1,047
14,025
Bentley Systems, Inc. Class B
493
41,974
Blackbaud, Inc. *
2,254
56,465
Braze, Inc. Class A*
1,176
105,063
Cellebrite DI Ltd. (Israel)*
1,545
19,510
Clear Secure, Inc. Class A
636
13,084
Commvault Systems, Inc. *
1,121
8,065
Descartes Systems Group, Inc. (Canada)*
603
713,189
Digital Turbine, Inc. *
3,723
32,007
Dynatrace, Inc. *
1,219
116,205
I3 Verticals, Inc. Class A*
2,581
9,857
InterDigital, Inc.
3,218
324,308
NCR Voyix Corp. *
3,217
29,173
PAR Technology Corp. *
765
466,431
Porch Group, Inc. *
3,680
12,830
Procore Technologies, Inc. *
725
29,233
Rapid7, Inc. *
348
28,068
Riot Platforms, Inc. *
434
COMMON STOCKS—Continued
Shares
 
Value
SOFTWARE—Continued
22,284
SentinelOne, Inc. Class A*
$312
135,209
Tenable Holdings, Inc. *
2,983
106,784
Viant Technology, Inc. Class A*
1,262
75,899
Weave Communications, Inc. *
493
40,066
Workiva, Inc. *
3,086
18,705
Zeta Global Holdings Corp. Class A*
348
 
 
41,052
SPECIALTY RETAIL1.3%
173,723
Arhaus, Inc. *
1,768
6,038
Boot Barn Holdings, Inc. *
1,078
2,664
Dick’s Sporting Goods, Inc.
538
7,518
Lithia Motors, Inc.
2,432
2,084
Murphy USA, Inc.
880
7,148
Sonic Automotive, Inc. Class A
429
 
 
7,125
TECHNOLOGY HARDWARE, STORAGE & PERIPHERALS0.1%
9,507
IonQ, Inc. *
380
TEXTILES, APPAREL & LUXURY GOODS0.6%
28,606
Birkenstock Holding PLC (Germany)*
1,080
52,721
Steven Madden Ltd.
2,314
 
 
3,394
TRADING COMPANIES & DISTRIBUTORS3.2%
5,018
Applied Industrial Technologies, Inc.
1,307
37,429
BlueLinx Holdings, Inc. *
2,603
29,025
FTAI Aviation Ltd.
7,904
217,932
NPK International, Inc. *
3,010
27,798
Rush Enterprises, Inc. Class A
1,784
3,226
WESCO International, Inc.
934
 
 
17,542
TOTAL COMMON STOCKS
(Cost $428,588)
542,321
EXCHANGE-TRADED FUNDS0.3%
 
 
 
(Cost $1,822)
CAPITAL MARKETS0.3%
9,983
iShares Russell 2000 Value ETF
1,935
TOTAL INVESTMENTS—99.0%
(Cost $430,410)
544,256
CASH AND OTHER ASSETS, LESS LIABILITIES—1.0%
5,244
TOTAL NET ASSETS—100%
$549,500
FAIR VALUE MEASUREMENTS
All investments as of January 31, 2026 (as disclosed in the preceding Portfolio of Investments) were classified as Level 1.
For more information on valuation inputs and their aggregation into the levels identified above, please refer to the Fair Value Measurements and Disclosures in Note 2 of the accompanying Notes to Portfolios of Investments.

*
Non-income producing security
1
Depositary receipts such as American Depositary Receipts (ADRs), Global Depositary Receipts (GDRs) and other country specific depositary receipts are certificates evidencing ownership of shares of a foreign issuer. These certificates are issued by depositary banks and generally trade on an established market in the U.S. or elsewhere.
The accompanying notes are an integral part of the Portfolios of Investments.

12

Harbor Capital Appreciation Fund
PORTFOLIO OF INVESTMENTS—January 31, 2026 (Unaudited)
Value and Cost in Thousands
COMMON STOCKS99.8%
Shares
 
Value
AEROSPACE & DEFENSE4.7%
217,865
Axon Enterprise, Inc. *
$105,355
2,472,968
Boeing Co. *
577,982
1,773,399
General Electric Co.
544,061
 
 
1,227,398
AUTOMOBILES3.6%
2,175,431
Tesla, Inc. *
936,327
BIOTECHNOLOGY1.3%
697,220
Vertex Pharmaceuticals, Inc. *
327,624
BROADLINE RETAIL8.2%
8,297,160
Amazon.com, Inc. *
1,985,510
66,652
MercadoLibre, Inc. (Brazil)*
143,155
 
 
2,128,665
CAPITAL MARKETS1.2%
326,982
Goldman Sachs Group, Inc.
305,862
CONSUMER STAPLES DISTRIBUTION & RETAIL3.5%
462,269
Costco Wholesale Corp.
434,649
4,040,762
Walmart, Inc.
481,416
 
 
916,065
ELECTRIC UTILITIES1.4%
1,252,050
Constellation Energy Corp.
351,425
ELECTRONIC EQUIPMENT, INSTRUMENTS & COMPONENTS1.2%
2,219,459
Amphenol Corp. Class A
319,780
ENTERTAINMENT3.9%
5,189,054
Netflix, Inc. *
433,234
413,838
Spotify Technology SA *
207,064
3,358,270
Walt Disney Co.
378,813
 
 
1,019,111
FINANCIAL SERVICES4.2%
960,624
Mastercard, Inc. Class A
517,575
2,320,053
Toast, Inc. Class A*
72,177
1,545,789
Visa, Inc. Class A
497,481
 
 
1,087,233
GROUND TRANSPORTATION0.3%
1,004,018
Uber Technologies, Inc. *
80,372
HEALTH CARE EQUIPMENT & SUPPLIES2.6%
1,520,771
Dexcom, Inc. *
111,077
3,277,322
Edwards Lifesciences Corp. *
266,643
600,231
Intuitive Surgical, Inc. *
302,648
 
 
680,368
HOTELS, RESTAURANTS & LEISURE1.0%
836,028
Hilton Worldwide Holdings, Inc.
249,563
COMMON STOCKS—Continued
Shares
 
Value
INTERACTIVE MEDIA & SERVICES12.0%
2,942,838
Alphabet, Inc. Class A
$994,679
3,117,691
Alphabet, Inc. Class C
1,055,432
1,485,032
Meta Platforms, Inc. Class A
1,064,026
 
 
3,114,137
IT SERVICES3.1%
421,426
Cloudflare, Inc. Class A*
74,740
2,392,105
Shopify, Inc. Class A (Canada)*
313,916
2,097,847
Snowflake, Inc. *
404,255
 
 
792,911
PHARMACEUTICALS4.9%
1,012,509
Eli Lilly & Co.
1,050,124
2,020,767
Merck & Co., Inc.
222,830
 
 
1,272,954
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT21.0%
1,724,414
Advanced Micro Devices, Inc. *
408,221
5,189,682
Broadcom, Inc.
1,719,342
14,780,618
NVIDIA Corp.
2,825,019
1,432,591
Taiwan Semiconductor Manufacturing Co. Ltd. ADR (Taiwan)1
473,557
 
 
5,426,139
SOFTWARE13.6%
450,335
AppLovin Corp. Class A*
213,058
1,515,043
Cadence Design Systems, Inc. *
448,998
928,420
Crowdstrike Holdings, Inc. Class A*
409,809
1,540,428
Datadog, Inc. Class A*
199,208
3,849,698
Microsoft Corp.
1,656,487
1,661,704
Oracle Corp.
273,483
799,087
Palantir Technologies, Inc. Class A*
117,138
1,792,634
ServiceNow, Inc. *
209,756
 
 
3,527,937
SPECIALTY RETAIL2.0%
2,542,216
Industria de Diseno Textil SA (Spain)
165,422
2,472,939
O’Reilly Automotive, Inc. *
243,362
776,386
TJX Cos., Inc.
116,310
 
 
525,094
TECHNOLOGY HARDWARE, STORAGE & PERIPHERALS6.1%
6,113,161
Apple, Inc.
1,586,243
TOTAL COMMON STOCKS
(Cost $8,960,445)
25,875,208
TOTAL INVESTMENTS—99.8%
(Cost $8,960,445)
25,875,208
CASH AND OTHER ASSETS, LESS LIABILITIES—0.2%
42,246
TOTAL NET ASSETS—100%
$25,917,454
FAIR VALUE MEASUREMENTS
As of January 31, 2026, the investment in Industria de Diseno Textil SA (as disclosed in the preceding Portfolio of Investments) was classified as Level 2 and all other investments were classified as Level 1.
For more information on valuation inputs and their aggregation into the levels identified above, please refer to the Fair Value Measurements and Disclosures in Note 2 of the accompanying Notes to Portfolios of Investments.

*
Non-income producing security
1
Depositary receipts such as American Depositary Receipts (ADRs), Global Depositary Receipts (GDRs) and other country specific depositary receipts are certificates evidencing ownership of shares of a foreign issuer. These certificates are issued by depositary banks and generally trade on an established market in the U.S. or elsewhere.
The accompanying notes are an integral part of the Portfolios of Investments.

13

Harbor Convertible Securities Fund (currently, Harbor Ares Systematic Convertible Securities Fund)
PORTFOLIO OF INVESTMENTS—January 31, 2026 (Unaudited)
Principal Amount, Value and Cost in Thousands
Convertible Bonds84.2%
Principal
Amount
 
Value
AEROSPACE & DEFENSE2.0%
$100
AeroVironment, Inc.
0.000%—07/15/20301
$118
200
Astronics Corp.
0.000%—01/15/20311,2
306
25
Rocket Lab USA, Inc.
4.250%—02/01/20292
390
 
 
814
AUTOMOBILES1.4%
300
Lucid Group, Inc.
5.000%—04/01/20302
175
400
Rivian Automotive, Inc.
3.625%—10/15/2030
379
 
 
554
BIOTECHNOLOGY7.9%
400
Alnylam Pharmaceuticals, Inc.
0.000%—09/15/20281,2
374
100
ANI Pharmaceuticals, Inc.
2.250%—09/01/2029
130
Bridgebio Pharma, Inc.
300
0.750%—02/01/20332
307
300
2.250%—02/01/2029
342
 
 
649
200
Cogent Biosciences, Inc.
1.625%—11/15/2031
241
Guardant Health, Inc.
400
0.000%—11/15/20271
447
300
0.000%—05/15/20331,2
357
 
 
804
Halozyme Therapeutics, Inc.
200
0.250%—03/01/2027
222
100
0.875%—11/15/20322
105
 
 
327
Ionis Pharmaceuticals, Inc.
100
0.000%—12/01/20301,2
111
200
1.750%—06/15/2028
329
 
 
440
100
Ligand Pharmaceuticals, Inc.
0.750%—10/01/20302
120
100
Sarepta Therapeutics, Inc.
4.875%—09/01/20302
80
 
 
3,165
CAPITAL MARKETS4.1%
300
Cipher Mining, Inc.
0.000%—10/01/20311,2
382
200
Cleanspark, Inc.
0.000%—02/15/20321,2
168
200
Hercules Capital, Inc.
4.750%—09/01/20282
201
300
MARA Holdings, Inc.
0.000%—03/01/20301
252
100
Riot Platforms, Inc.
0.750%—01/15/2030
132
400
Terawulf, Inc.
1.000%—09/01/20312
525
 
 
1,660
Convertible Bonds—Continued
Principal
Amount
 
Value
COMMERCIAL SERVICES & SUPPLIES1.8%
$400
Alarm.com Holdings, Inc.
2.250%—06/01/2029
$380
300
Block, Inc.
0.250%—11/01/2027
279
100
Hertz Corp.
5.500%—10/01/20302
76
 
 
735
COMMUNICATIONS EQUIPMENT3.1%
Lumentum Holdings, Inc.
300
0.375%—03/15/20322
681
100
1.500%—12/15/2029
565
 
 
1,246
CONSTRUCTION & ENGINEERING0.7%
100
Granite Construction, Inc.
3.750%—05/15/2028
266
DIVERSIFIED FINANCIAL SERVICES1.8%
100
Coinbase Global, Inc.
0.250%—04/01/2030
98
250
Galaxy Digital Holdings LP
3.000%—12/15/20262
289
300
WisdomTree, Inc.
4.625%—08/15/20302
350
 
 
737
DIVERSIFIED REITS1.0%
200
Welltower OP LLC
2.750%—05/15/20282
398
DIVERSIFIED TELECOMMUNICATION SERVICES2.2%
100
A10 Networks, Inc.
2.750%—04/01/20302
104
100
Applied Digital Corp.
2.750%—06/01/2030
363
300
AST SpaceMobile, Inc.
2.000%—01/15/20362
410
 
 
877
ELECTRIC UTILITIES5.2%
300
CenterPoint Energy, Inc.
4.250%—08/15/2026
335
200
Evergy, Inc.
4.500%—12/15/2027
254
100
Exelon Corp.
3.250%—03/15/20292
100
500
FirstEnergy Corp.
3.625%—01/15/20292
546
200
PPL Capital Funding, Inc.
2.875%—03/15/2028
225
Southern Co.
300
3.250%—06/15/20282
301
300
4.500%—06/15/2027
323
 
 
624
 
 
2,084
ELECTRICAL EQUIPMENT0.4%
100
Array Technologies, Inc.
2.875%—07/01/20312
170

14

Harbor Convertible Securities Fund (currently, Harbor Ares Systematic Convertible Securities Fund)
PORTFOLIO OF INVESTMENTS—Continued
Principal Amount, Value and Cost in Thousands
Convertible Bonds—Continued
Principal
Amount
 
Value
ELECTRONIC EQUIPMENT, INSTRUMENTS & COMPONENTS1.8%
$100
Advanced Energy Industries, Inc.
2.500%—09/15/2028
$195
100
Mirion Technologies, Inc.
0.250%—06/01/20302
129
200
OSI Systems, Inc.
0.500%—02/01/20312
199
200
Vishay Intertechnology, Inc.
2.250%—09/15/2030
202
 
 
725
ENERGY EQUIPMENT & SERVICES2.0%
Eos Energy Enterprises, Inc.
200
1.750%—12/01/20312
237
100
6.750%—06/15/20302
308
 
 
545
100
Green Plains, Inc.
5.250%—11/01/2030
114
100
Sunrun, Inc.
4.000%—03/01/2030
145
 
 
804
ENTERTAINMENT1.4%
400
DraftKings Holdings, Inc.
0.000%—03/15/20281
363
200
Live Nation Entertainment, Inc.
2.875%—10/15/20312
200
 
 
563
EQUITY REAL ESTATE INVESTMENT TRUSTS (REITS)2.5%
200
Blackstone Mortgage Trust, Inc.
5.500%—03/15/2027
198
100
Kite Realty Group LP
0.750%—04/01/20272
105
100
Pebblebrook Hotel Trust
1.625%—01/15/20302
98
100
PennyMac Corp.
8.500%—06/01/2029
105
200
Realty Income Corp.
3.500%—01/15/20292
204
100
Starwood Property Trust, Inc.
6.750%—07/15/2027
104
200
Tanger Properties LP
2.375%—01/15/20312
198
 
 
1,012
FINANCIAL SERVICES2.0%
100
EZCORP, Inc.
3.750%—12/15/20292
202
SoFi Technologies, Inc.
300
0.000%—10/15/20261,2
357
100
1.250%—03/15/20292
250
 
 
607
 
 
809
GROUND TRANSPORTATION1.0%
300
Uber Technologies, Inc.
0.875%—12/01/2028
385
Convertible Bonds—Continued
Principal
Amount
 
Value
HEALTH CARE PROVIDERS & SERVICES3.7%
$200
Alphatec Holdings, Inc.
0.750%—03/15/20302
$245
100
CONMED Corp.
2.250%—06/15/2027
97
300
Envista Holdings Corp.
1.750%—08/15/2028
292
300
Haemonetics Corp.
2.500%—06/01/2029
297
100
IRhythm Holdings, Inc.
1.500%—09/01/2029
128
100
LeMaitre Vascular, Inc.
2.500%—02/01/2030
102
100
Omnicell, Inc.
1.000%—12/01/2029
112
100
Oscar Health, Inc.
2.250%—09/01/20302
99
100
Tandem Diabetes Care, Inc.
1.500%—03/15/2029
102
 
 
1,474
HOUSEHOLD DURABLES1.1%
100
LCI Industries
3.000%—03/01/20302
136
300
Winnebago Industries, Inc.
3.250%—01/15/2030
292
 
 
428
INTERACTIVE MEDIA & SERVICES0.7%
200
Snap, Inc.
0.125%—03/01/2028
183
100
Upwork, Inc.
0.250%—08/15/2026
98
 
 
281
INTERNET & CATALOG RETAIL3.3%
200
DoorDash, Inc.
0.000%—05/15/20301,2
201
Etsy, Inc.
300
0.125%—10/01/2026
299
400
0.125%—09/01/2027
373
 
 
672
100
Groupon, Inc.
6.250%—03/15/20272
97
400
Match Group Financeco 3, Inc.
2.000%—01/15/20302
362
 
 
1,332
IT SERVICES5.8%
500
Akamai Technologies, Inc.
1.125%—02/15/2029
526
300
Rubrik, Inc.
0.000%—06/15/20301,2
270
100
Seagate HDD Cayman
3.500%—06/01/2028
497
300
Snowflake, Inc.
0.000%—10/01/20271
407
500
Super Micro Computer, Inc.
3.500%—03/01/2029
458

15

Harbor Convertible Securities Fund (currently, Harbor Ares Systematic Convertible Securities Fund)
PORTFOLIO OF INVESTMENTS—Continued
Principal Amount, Value and Cost in Thousands
Convertible Bonds—Continued
Principal
Amount
 
Value
IT SERVICES—Continued
$200
Zscaler, Inc.
0.000%—07/15/20281,2
$186
 
 
2,344
LEISURE PRODUCTS0.5%
NCL Corp. Ltd.
100
0.750%—09/15/20302
98
100
1.125%—02/15/2027
100
 
 
198
MACHINERY3.0%
500
Bloom Energy Corp.
0.000%—11/15/20301,2
567
300
BWX Technologies, Inc.
0.000%—11/01/20301,2
310
300
JBT Marel Corp.
0.375%—09/15/20302
323
 
 
1,200
MEDIA1.4%
100
Liberty Live Holdings, Inc.
2.375%—09/30/20532
147
400
Sirius XM Holdings, Inc.
3.750%—03/15/2028
407
 
 
554
METALS & MINING0.7%
100
MP Materials Corp.
3.000%—03/01/20302
285
MULTI-UTILITIES0.8%
WEC Energy Group, Inc.
100
3.375%—06/01/20282
103
200
4.375%—06/01/2027
233
 
 
336
OIL, GAS & CONSUMABLE FUELS1.4%
200
Centrus Energy Corp.
0.000%—08/15/20321,2
290
100
Solaris Energy Infrastructure, Inc.
0.250%—10/01/2031
123
100
UGI Corp.
5.000%—06/01/2028
151
 
 
564
PASSENGER AIRLINES0.2%
100
JetBlue Airways Corp.
2.500%—09/01/2029
102
PHARMACEUTICALS2.1%
100
Amphastar Pharmaceuticals, Inc.
2.000%—03/15/2029
94
100
Dexcom, Inc.
0.375%—05/15/2028
94
100
Jazz Investments I Ltd.
3.125%—09/15/2030
131
100
Mirum Pharmaceuticals, Inc.
4.000%—05/01/2029
331
Convertible Bonds—Continued
Principal
Amount
 
Value
PHARMACEUTICALS—Continued
$200
Pacira BioSciences, Inc.
2.125%—05/15/2029
$190
 
 
840
PROFESSIONAL SERVICES0.6%
100
Planet Labs PBC
0.500%—10/15/20302
228
ROAD & RAIL0.2%
100
CryoPort, Inc.
0.750%—12/01/20262
96
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT1.0%
100
MACOM Technology Solutions Holdings, Inc.
0.000%—12/15/20291
144
100
MKS, Inc.
1.250%—06/01/2030
168
100
ON Semiconductor Corp.
0.500%—03/01/2029
98
 
 
410
SOFTWARE9.3%
300
Akamai Technologies, Inc.
0.375%—09/01/2027
319
100
Alignment Healthcare, Inc.
4.250%—11/15/2029
167
100
Bandwidth, Inc.
0.500%—04/01/2028
88
100
Bentley Systems, Inc.
0.375%—07/01/2027
96
100
Cerence, Inc.
1.500%—07/01/2028
91
200
Cloudflare, Inc.
0.000%—06/15/20301,2
211
100
Confluent, Inc.
0.000%—01/15/20271
98
200
CoreWeave, Inc.
1.750%—12/01/20312
231
100
CyberArk Software Ltd.
0.000%—06/15/20301,2
106
100
Datadog, Inc.
0.000%—12/01/20291
99
DigitalOcean Holdings, Inc.
200
0.000%—12/01/20261
194
100
0.000%—08/15/20301,2
158
 
 
352
200
Dropbox, Inc.
0.000%—03/01/20281
198
100
Fastly, Inc.
0.000%—12/15/20301,2
95
100
Porch Group, Inc.
6.750%—10/01/20282
101
Strategy, Inc.
300
0.000%—12/01/20291
254
200
2.250%—06/15/2032
224
 
 
478
Unity Software, Inc.
400
0.000%—11/15/20261
387
200
0.000%—03/15/20301,2
225
 
 
612

16

Harbor Convertible Securities Fund (currently, Harbor Ares Systematic Convertible Securities Fund)
PORTFOLIO OF INVESTMENTS—Continued
Principal Amount, Value and Cost in Thousands
Convertible Bonds—Continued
Principal
Amount
 
Value
SOFTWARE—Continued
$400
Workiva, Inc.
1.250%—08/15/2028
$388
 
 
3,730
SPECIALTY RETAIL1.8%
300
GameStop Corp.
0.000%—04/01/20301,2
325
Wayfair, Inc.
100
3.250%—09/15/2027
171
100
3.500%—11/15/2028
236
 
 
407
 
 
732
TECHNOLOGY HARDWARE, STORAGE & PERIPHERALS3.3%
200
Western Digital Corp.
3.000%—11/15/2028
1,329
WIRELESS TELECOMMUNICATION SERVICES1.0%
100
InterDigital, Inc.
3.500%—06/01/2027
423
Total Convertible Bonds
(Cost $29,826)
33,890
Convertible Preferred Stocks12.7%
Shares
 
 
AEROSPACE & DEFENSE2.4%
13,142
Boeing Co.—6.000%
982
BANKS3.0%
408
Bank of America Corp.—7.250%
508
550
Wells Fargo & Co.—7.500%
679
 
 
1,187
CAPITAL MARKETS0.7%
5,861
KKR & Co., Inc.—6.250%
287
Convertible Preferred Stocks—Continued
Shares
 
Value
CHEMICALS1.1%
6,198
Albemarle Corp.—7.250%
$430
ELECTRIC UTILITIES2.0%
774
NextEra Energy, Inc.—7.234%
40
11,035
NextEra Energy, Inc.—7.299%
612
4,180
PG&E Corp.—6.000%
167
 
 
819
FINANCIAL SERVICES0.9%
3,483
Apollo Global Management, Inc.—6.750%
242
1,591
Shift4 Payments, Inc.—6.000%
119
 
 
361
HEALTH CARE PROVIDERS & SERVICES0.5%
1,498
BrightSpring Health Services, Inc.—6.750%
200
OIL, GAS & CONSUMABLE FUELS0.9%
7,200
El Paso Energy Capital Trust I—4.750%
360
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT0.4%
2,453
Microchip Technology, Inc.—7.500%
164
TECHNOLOGY HARDWARE, STORAGE & PERIPHERALS0.6%
4,022
Hewlett Packard Enterprise Co.—7.625%
243
TRADING COMPANIES & DISTRIBUTORS0.2%
1,265
QXO, Inc.—5.500%
80
Total Convertible Preferred Stocks
(Cost $4,821)
5,113
TOTAL INVESTMENTS—96.9%
(Cost $34,647)
39,003
CASH AND OTHER ASSETS, LESS LIABILITIES—3.1%
1,242
TOTAL NET ASSETS—100.0%
$40,245
FAIR VALUE MEASUREMENTS
As of January 31, 2026, the investments in Convertible Preferred Stocks (as disclosed in the preceding Portfolio of Investments) were classified as Level 1 and all other investments were classified as Level 2.
For more information on valuation inputs and their aggregation into the levels identified above, please refer to the Fair Value Measurements and Disclosures in Note 2 of the accompanying Notes to Portfolios of Investments.

1
Zero coupon bond
2
Securities purchased in a transaction exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions exempt from registration, normally to qualified institutional buyers. The Fund has no right to demand registration of these securities. As of January 31, 2026, the aggregate value of these securities was $15,008 or 37% of net assets.
The accompanying notes are an integral part of the Portfolios of Investments.

17

Harbor Core Bond Fund
PORTFOLIO OF INVESTMENTS—January 31, 2026 (Unaudited)
Principal Amount, Value and Cost in Thousands
Asset-Backed Securities12.5%
Principal
Amount
 
Value
$385
Aligned Data Centers Issuer LLC
Series 2021-1A Cl. A2
1.937%—08/15/20461
$380
AMSR Trust
782
Series 2022-SFR3 Cl. A
4.000%—10/17/20391
778
7,154
Series 2024-SFR1 Cl. A
4.290%—07/17/20411,2
7,111
 
 
7,889
1,120
Apidos CLO XLVII Ltd.
Series 2024-47A Cl. A1
5.168% (3 Month USD Term SOFR + 1.500%)
04/26/20371,3
1,123
4,782
Apidos CLO XXXIX Ltd.
Series 2022-39A Cl. A1R
4.900% (3 Month USD Term SOFR + 1.230%)
10/21/20381,3
4,793
Avis Budget Rental Car Funding AESOP LLC
2,500
Series 2024-3A Cl. A
5.230%—12/20/20301
2,573
1,513
Series 2024-1A Cl. A
5.360%—06/20/20301
1,564
 
 
4,137
CIFC Funding Ltd.
5,816
Series 2014-4RA Cl. A1A2
4.658% (3 Month USD Term SOFR + 0.990%)
01/17/20351,3
5,820
1,630
Series 2022-1A Cl. A
4.988% (3 Month USD Term SOFR + 1.320%)
04/17/20351,3
1,633
1,548
Series 2024-3A Cl. A1
5.150% (3 Month USD Term SOFR + 1.480%)
07/21/20371,3
1,554
497
Series 2023-3A Cl. A
5.268% (3 Month USD Term SOFR + 1.600%)
01/20/20371,3
497
 
 
9,504
862
Citizens Auto Receivables Trust
Series 2024-1 Cl. A3
5.110%—04/17/20281
866
4,344
Compass Datacenters Issuer III LLC
Series 2025-3A Cl. A2
5.286%—07/25/20501
4,366
DB Master Finance LLC
2,275
Series 2021-1A Cl. A2I
2.045%—11/20/20511
2,238
1,845
Series 2017-1A Cl. A2II
4.030%—11/20/20471
1,835
6,600
Series 2019-1A Cl. A23
4.352%—05/20/20491
6,534
 
 
10,607
5,091
Domino’s Pizza Master Issuer LLC
Series 2021-1A Cl. A2I
2.662%—04/25/20511
4,854
2,976
Elmwood CLO 30 Ltd.
Series 2024-6A Cl. A
5.098% (3 Month USD Term SOFR + 1.430%)
07/17/20371,3
2,989
Asset-Backed Securities—Continued
Principal
Amount
 
Value
$3,172
Elmwood CLO 31 Ltd.
Series 2024-7A Cl. A1
5.018% (3 Month USD Term SOFR + 1.350%)
07/17/20371,3
$3,175
4,199
Elmwood CLO 39 Ltd.
Series 2025-2A Cl. A1
4.808% (3 Month USD Term SOFR + 1.140%)
04/17/20381,3
4,204
768
Enterprise Fleet Financing LLC
Series 2024-1 Cl. A2
5.230%—03/20/20301
773
320
FirstKey Homes Trust
Series 2021-SFR1 Cl. A
1.538%—08/17/20381
316
1,000
Ford Credit Auto Owner Trust
Series 2023-2 Cl. A
5.280%—02/15/20361
1,033
846
GM Financial Automobile Leasing Trust
Series 2024-1 Cl. A3
5.090%—03/22/2027
848
GM Financial Consumer Automobile Receivables
Trust
259
Series 2022-3 Cl. A4
3.710%—12/16/2027
259
923
Series 2024-1 Cl. A3
4.850%—12/18/2028
929
 
 
1,188
GMF Floorplan Owner Revolving Trust
3,710
Series 2024-2A Cl. A
5.060%—03/15/20311
3,826
2,081
Series 2023-2 Cl. A
5.340%—06/15/20301
2,148
 
 
5,974
5,324
Golub Capital Partners CLO 62B Ltd.
Series 2022-62A Cl. AR
5.042% (3 Month USD Term SOFR + 1.370%)
10/15/20371,3
5,341
Home Partners of America Trust
215
Series 2020-2 Cl. A
1.532%—01/17/20411
198
128
Series 2022-1 Cl. A
3.930%—04/17/20391
128
 
 
326
2,000
Kubota Credit Owner Trust
Series 2024-1A Cl. A3
5.190%—07/17/20281
2,024
362
Mercedes-Benz Auto Receivables Trust
Series 2022-1 Cl. A4
5.250%—02/15/2029
365
Navient Private Education Refi Loan Trust
67
Series 2021-A Cl. A
0.840%—05/15/20691
62
157
Series 2021-BA Cl. A
0.940%—07/15/20691
144
 
 
206
NextGear Floorplan Master Owner Trust
3,147
Series 2024-1A Cl. A2
5.120%—03/15/20291
3,194
1,087
Series 2023-1A Cl. A2
5.740%—03/15/20281
1,089
 
 
4,283

18

Harbor Core Bond Fund
PORTFOLIO OF INVESTMENTS—Continued
Principal Amount, Value and Cost in Thousands
Asset-Backed Securities—Continued
Principal
Amount
 
Value
Palmer Square CLO Ltd.
$7,611
Series 2021-4A Cl. A1R
4.992% (3 Month USD Term SOFR + 1.320%)
07/15/20381,3
$7,660
3,427
Series 2022-4A Cl. A1R
5.018% (3 Month USD Term SOFR + 1.350%)
10/20/20371,3
3,440
1,105
Series 2024-1A Cl. A
5.172% (3 Month USD Term SOFR + 1.500%)
04/15/20371,3
1,108
 
 
12,208
PFS Financing Corp.
2,129
Series 2024-B Cl. A
4.950%—02/15/20291
2,153
2,833
Series 2024-D Cl. A
5.340%—04/15/20291
2,881
522
Series 2023-A Cl. A
5.800%—03/15/20281
523
 
 
5,557
3,041
Planet Fitness Master Issuer LLC
Series 2024-1A Cl. A2I
5.765%—06/05/20541
3,094
Progress Residential Trust
1,058
Series 2022-SFR2 Cl. A
2.950%—04/17/20271
1,042
6,654
Series 2024-SFR3 Cl. A
3.000%—06/17/20411
6,355
 
 
7,397
SBA Small Business Investment Cos.
4,200
Series 2025-10A Cl. 1
4.963%—03/10/2035
4,277
3,965
Series 2024-10A Cl. 1
5.035%—03/10/2034
4,004
1,347
Series 2023-10A Cl. 1
5.168%—03/10/2033
1,373
5,773
Series 2023-10B Cl. 1
5.688%—09/10/2033
6,006
 
 
15,660
3,568
SBNA Auto Lease Trust
Series 2024-B Cl. A3
5.560%—11/22/20271
3,586
3,234
Servpro Master Issuer LLC
Series 2024-1A Cl. A2
6.174%—01/25/20541
3,348
884
SFS Auto Receivables Securitization Trust
Series 2024-1A Cl. A3
4.950%—05/21/20291
889
161
Store Master Funding I-VII & XIV
Series 2019-1 Cl. A1
2.820%—11/20/20491
159
6,700
STORE Master Funding LLC
Series 2025-1A Cl. A2
4.980%—10/20/20551
6,639
Subway Funding LLC
3,950
Series 2024-1A Cl. A2I
6.028%—07/30/20541
4,005
2,076
Series 2024-1A Cl. A2II
6.268%—07/30/20541
2,120
 
 
6,125
Asset-Backed Securities—Continued
Principal
Amount
 
Value
Taco Bell Funding LLC
$2,555
Series 2021-1A Cl. A2I
1.946%—08/25/20511
$2,496
614
Series 2021-1A Cl. A2II
2.294%—08/25/20511
572
 
 
3,068
Tricon Residential Trust
3,052
Series 2024-SFR3 Cl. A
4.500%—08/17/20411
3,037
5,184
Series 2024-SFR2 Cl. A
4.750%—06/17/20401
5,195
5,719
Series 2023-SFR2 Cl. A
5.000%—12/17/20401
5,731
 
 
13,963
U.S. Small Business Administration
42
Series 2012-20C Cl. 1
2.510%—03/01/2032
40
76
Series 2017-20H Cl. 1
2.750%—08/01/2037
70
124
Series 2014-20K Cl. 1
2.800%—11/01/2034
117
122
Series 2015-20H Cl. 1
2.820%—08/01/2035
117
144
Series 2018-20B Cl. 1
3.220%—02/01/2038
136
258
Series 2023-25B Cl. 1
4.610%—02/01/2048
255
7,598
Series 2025-25K Cl. 1
4.730%—11/01/2050
7,636
926
Series 2023-25A Cl. 1
4.910%—01/01/2048
929
2,920
Series 2024-25C Cl. 1
4.970%—03/01/2049
2,971
6,018
Series 2024-25K Cl. 1
5.010%—11/01/2049
6,080
1,139
Series 2024-25A Cl. 1
5.050%—01/01/2049
1,147
3,704
Series 2024-25B Cl. 1
5.070%—02/01/2049
3,746
950
Series 2022-25K Cl. 1
5.130%—11/01/2047
973
2,325
Series 2023-25H Cl. 1
5.150%—08/01/2048
2,363
1,662
Series 2023-25L Cl. 1
5.280%—12/01/2048
1,698
4,153
Series 2024-25D Cl. 1
5.380%—04/01/2049
4,266
475
Series 2023-25I Cl. 1
5.410%—09/01/2048
494
1,058
Series 2023-25K Cl. 1
5.710%—11/01/2048
1,117
 
 
34,155
Wendy’s Funding LLC
195
Series 2021-1A Cl. A2I
2.370%—06/15/20511
182

19

Harbor Core Bond Fund
PORTFOLIO OF INVESTMENTS—Continued
Principal Amount, Value and Cost in Thousands
Asset-Backed Securities—Continued
Principal
Amount
 
Value
$955
Series 2021-1A Cl. A2II
2.775%—06/15/20511
$858
3,171
Series 2019-1A Cl. A2II
4.080%—06/15/20491
3,106
 
 
4,146
Total Asset-Backed Securities
(Cost $198,940)
$201,558
Collateralized Mortgage Obligations8.1%
 
 
 
4,092
ARES Commercial Mortgage Trust
Series 2025-IND3 Cl. A
5.180% (1 Month USD Term SOFR + 1.500%)
04/15/20421,3
4,103
Bank
7,490
Series 2021-BN35 Cl. A4
2.031%—06/15/2064
6,671
709
Series 2017-BNK6 Cl. A5
3.518%—07/15/2060
703
 
 
7,374
Bank5
6,513
Series 2023-5YR1 Cl. A3
6.260%—04/15/20563
6,755
5,563
Series 2023-5YR3 Cl. A3
6.724%—09/15/20563
5,878
 
 
12,633
BBCMS Mortgage Trust
4,623
Series 2024-C26 Cl. A5
5.829%—05/15/2057
4,955
3,466
Series 2024-5C25 Cl. A3
5.946%—03/15/2057
3,624
6,382
Series 2024-5C27 Cl. A3
6.014%—07/15/2057
6,707
 
 
15,286
Benchmark Mortgage Trust
387
Series 2021-B26 Cl. A3
2.391%—06/15/2054
367
2,440
Series 2024-V5 Cl. A3
5.805%—01/10/2057
2,541
700
Series 2023-V2 Cl. A3
5.812%—05/15/20553
723
5,913
Series 2024-V6 Cl. A3
5.926%—03/15/2057
6,185
4,000
Series 2023-V4 Cl. A3
6.841%—11/15/20563
4,237
 
 
14,053
BMO Mortgage Trust
4,600
Series 2026-C14 Cl. A5
5.317%—02/15/2059
4,734
549
Series 2023-C7 Cl. A5
6.160%—12/15/2056
588
 
 
5,322
Collateralized Mortgage Obligations—Continued
Principal
Amount
 
Value
BX Commercial Mortgage Trust
$2,040
Series 2024-XL5 Cl. A
5.072% (1 Month USD Term SOFR + 1.392%)
03/15/20411,3
$2,044
112
Series 2023-XL3 Cl. A
5.442% (1 Month USD Term SOFR + 1.761%)
12/09/20401,3
112
 
 
2,156
BX Trust
4,125
Series 2025-VLT6 Cl. A
5.123% (1 Month USD Term SOFR + 1.443%)
03/15/20421,3
4,136
8,189
Series 2025-VOLT Cl. A
5.380% (1 Month USD Term SOFR + 1.700%)
12/15/20441,3
8,241
2,699
Series 2022-CLS Cl. A
5.760%—10/13/20271
2,716
 
 
15,093
4,371
Chase Home Lending Mortgage Trust
Series 2024-9 Cl. A4
5.500%—09/25/20551,3
4,383
1,349
Citigroup Commercial Mortgage Trust
Series 2016-C2 Cl. A3
2.575%—08/10/2049
1,345
2,795
Citigroup Mortgage Loan Trust, Inc.
Series 2025-1 Cl. A8
5.500%—01/25/20551,3
2,818
358
COMM Mortgage Trust
Series 2016-COR1 Cl. A3
2.826%—10/10/2049
356
126
Federal Home Loan Mortgage Corp. Seasoned
Credit Risk Transfer Trust
Series 2019-2 Cl. MA
3.500%—08/26/2058
123
3,160
FIVE Mortgage Trust
Series 2023-V1 Cl. A3
5.668%—02/10/20563
3,241
550
GS Mortgage Securities Trust
Series 2016-GS3 Cl. A4
2.850%—10/10/2049
545
85
GS Mortgage-Backed Securities Corp. Trust
Series 2020-PJ4 Cl. A2
3.000%—01/25/20511,3
75
GS Mortgage-Backed Securities Trust
6,657
Series 2025-PJ9 Cl. A6
5.000%—03/25/20561,3
6,667
3,585
Series 2025-PJ7 Cl. A5
5.500%—12/25/20551,3
3,601
 
 
10,268
JP Morgan Mortgage Trust
2,528
Series 2025-2 Cl. A4A
5.500%—07/25/20551,3
2,548
3,296
Series 2025-4 Cl. A4A
5.500%—11/25/20551,3
3,329
923
Series 2024-4 Cl. A4A
6.000%—10/25/20541,3
928
1,225
Series 2024-5 Cl. A4
6.000%—11/25/20541,3
1,238
 
 
8,043
330
Morgan Stanley Bank of America Merrill Lynch Trust
Series 2015-C22 Cl. A4
3.306%—04/15/2048
326

20

Harbor Core Bond Fund
PORTFOLIO OF INVESTMENTS—Continued
Principal Amount, Value and Cost in Thousands
Collateralized Mortgage Obligations—Continued
Principal
Amount
 
Value
Morgan Stanley Capital I Trust
$2,564
Series 2016-UB11 Cl. A4
2.782%—08/15/2049
$2,541
5
Series 2016-UBS9 Cl. A4
3.594%—03/15/2049
6
 
 
2,547
36
PSMC Trust
Series 2020-2 Cl. A2
3.000%—05/25/20501,3
32
Sequoia Mortgage Trust
6,663
Series 2026-INV1 Cl. A4
5.000%—01/25/20561,3
6,702
2,498
Series 2025-6 Cl. A11
5.500%—07/25/20551,3
2,511
1,184
Series 2024-5 Cl. A5
6.000%—06/25/20541,3
1,193
 
 
10,406
332
Tricon American Homes Trust
Series 2020-SFR1 Cl. A
1.499%—07/17/20381
327
302
UBS Commercial Mortgage Trust
Series 2018-C13 Cl. ASB
4.241%—10/15/2051
302
Wells Fargo Commercial Mortgage Trust
2,167
Series 2021-C60 Cl. A4
2.342%—08/15/2054
1,938
4,092
Series 2018-C45 Cl. A4
4.184%—06/15/2051
4,089
 
 
6,027
3,300
WHARF Commercial Mortgage Trust
Series 2025-DC Cl. A
5.528%—07/15/20401,3
3,404
Total Collateralized Mortgage Obligations
(Cost $129,318)
130,588
Corporate Bonds & Notes30.2%
 
 
 
AEROSPACE & DEFENSE0.5%
5,475
BAE Systems PLC
3.400%—04/15/20301
5,299
2,100
L3Harris Technologies, Inc.
5.500%—08/15/2054
2,064
1,558
Northrop Grumman Corp.
5.250%—05/01/2050
1,486
 
 
8,849
AUTOMOBILES1.6%
635
BMW U.S. Capital LLC
3.450%—04/01/20271
632
2,929
Cummins, Inc.
5.300%—05/09/2035
3,028
6,100
Daimler Truck Finance North America LLC
4.650%—10/12/20301
6,148
General Motors Financial Co., Inc.
1,157
2.400%—10/15/2028
1,107
971
4.300%—04/06/2029
972
2,750
5.750%—02/08/2031
2,891
 
 
4,970
Corporate Bonds & Notes—Continued
Principal
Amount
 
Value
AUTOMOBILES—Continued
Hyundai Capital America
$4,231
4.550%—09/26/20291
$4,266
1,203
5.300%—06/24/20291
1,242
 
 
5,508
Volkswagen Group of America Finance LLC
2,795
4.600%—06/08/20291
2,804
3,338
4.750%—11/13/20281
3,377
 
 
6,181
 
 
26,467
BANKS4.4%
Bank of America Corp.
8,962
2.572%—10/20/20324
8,088
2,322
3.311%—04/22/20424
1,819
 
 
9,907
Barclays PLC
2,100
5.690%—03/12/20304
2,187
2,335
6.490%—09/13/20294
2,467
 
 
4,654
6,563
BNP Paribas SA
4.400%—08/14/20281
6,596
Citigroup, Inc.
2,359
3.520%—10/27/20284
2,340
3,329
4.412%—03/31/20314
3,329
3,874
4.542%—09/19/20304
3,907
 
 
9,576
8,509
HSBC Holdings PLC
5.130%—03/03/20314
8,723
ING Groep NV
2,460
5.335%—03/19/20304
2,540
3,000
6.114%—09/11/20344
3,238
 
 
5,778
JPMorgan Chase & Co.
6,340
4.203%—07/23/20294
6,366
250
4.493%—03/24/20314
252
3,130
5.336%—01/23/20354
3,225
 
 
9,843
1,145
Lloyds Banking Group PLC
5.679%—01/05/20354
1,200
418
National Securities Clearing Corp.
5.000%—05/30/20281
428
3,899
Truist Financial Corp.
4.597%—01/27/20324
3,910
5,216
Truist Financial Corp. MTN
5.711%—01/24/20354
5,465
U.S. Bancorp
3,315
4.839%—02/01/20344
3,329
1,544
5.678%—01/23/20354
1,620
 
 
4,949
 
 
71,029
BUILDING PRODUCTS0.2%
2,908
Carlisle Cos., Inc.
5.550%—09/15/2040
2,956

21

Harbor Core Bond Fund
PORTFOLIO OF INVESTMENTS—Continued
Principal Amount, Value and Cost in Thousands
Corporate Bonds & Notes—Continued
Principal
Amount
 
Value
CAPITAL MARKETS3.6%
$300
Bank of New York Mellon Corp. MTN
5.802%—10/25/20284
$310
Blackstone Holdings Finance Co. LLC
495
2.550%—03/30/20321
439
173
2.800%—09/30/20501
107
856
3.500%—09/10/20491
613
2,515
6.200%—04/22/20331
2,715
 
 
3,874
5,784
Blackstone Reg Finance Co. LLC
5.000%—12/06/2034
5,785
Brookfield Finance, Inc.
326
2.724%—04/15/2031
300
1,490
3.900%—01/25/2028
1,488
 
 
1,788
Goldman Sachs Group, Inc.
5,176
3.800%—03/15/2030
5,100
2,729
5.218%—04/23/20314
2,812
 
 
7,912
4,320
Golub Capital BDC, Inc.
7.050%—12/05/2028
4,548
6,183
KKR & Co., Inc.
5.100%—08/07/2035
6,125
54
KKR Group Finance Co. II LLC
5.500%—02/01/20431
53
170
KKR Group Finance Co. III LLC
5.125%—06/01/20441
158
3,640
KKR Group Finance Co. VI LLC
3.750%—07/01/20291
3,575
Macquarie Group Ltd.
2,861
5.033%—01/15/20301,4
2,918
1,695
6.255%—12/07/20341,4
1,842
 
 
4,760
Morgan Stanley
3,710
2.943%—01/21/20334
3,382
6,213
5.073%—01/30/20374
6,191
 
 
9,573
6,666
Morgan Stanley MTN
3.622%—04/01/20314
6,474
3,698
UBS Group AG
4.844%—11/06/20331,4
3,701
 
 
58,636
COMMERCIAL SERVICES & SUPPLIES1.0%
3,438
Ashtead Capital, Inc.
5.800%—04/15/20341
3,606
300
Moody’s Corp.
3.250%—05/20/2050
203
5,540
Rentokil Terminix Funding LLC
5.000%—04/28/20301
5,645
7,316
Triton Container International Ltd./TAL International
Container Corp.
5.150%—02/15/2033
7,287
 
 
16,741
COMMUNICATIONS EQUIPMENT0.1%
1,914
Sprint Spectrum Co. LLC/Sprint Spectrum Co. II
LLC/Sprint Spectrum Co. III LLC
5.152%—09/20/20291
1,929
Corporate Bonds & Notes—Continued
Principal
Amount
 
Value
CONTAINERS & PACKAGING0.2%
$3,807
Sonoco Products Co.
5.000%—09/01/2034
$3,783
DIVERSIFIED FINANCIAL SERVICES2.2%
AerCap Ireland Capital DAC/AerCap Global Aviation
Trust
906
3.000%—10/29/2028
879
1,662
5.100%—01/19/2029
1,701
6,300
6.450%—04/15/2027
6,466
 
 
9,046
4,887
Atlas Warehouse Lending Co. LP
4.625%—11/15/20281
4,910
Aviation Capital Group LLC
4,948
4.800%—10/24/20301
4,962
2,235
6.375%—07/15/20301
2,388
 
 
7,350
7,384
Brookfield Asset Management Ltd.
4.653%—11/15/2030
7,452
1,921
Brookfield Finance I U.K. PLC/Brookfield Finance,
Inc.
2.340%—01/30/2032
1,685
Capital One Financial Corp.
435
4.927%—05/10/20284
440
813
5.468%—02/01/20294
833
4,397
6.051%—02/01/20354
4,620
 
 
5,893
 
 
36,336
DIVERSIFIED REITS0.6%
514
American Tower Trust I
5.490%—03/15/20531
523
SBA Tower Trust
500
1.631%—05/15/20511
491
705
2.593%—10/15/20561
633
6,531
4.831%—10/15/20291
6,565
1,578
6.599%—11/15/20521
1,614
 
 
9,303
 
 
9,826
DIVERSIFIED TELECOMMUNICATION SERVICES0.8%
AT&T, Inc.
1,302
3.650%—09/15/2059
860
7,136
4.750%—04/30/2033
7,126
 
 
7,986
Verizon Communications, Inc.
5,240
2.355%—03/15/2032
4,621
162
4.500%—08/10/2033
159
 
 
4,780
 
 
12,766
ELECTRIC UTILITIES3.0%
Berkshire Hathaway Energy Co.
7,190
4.450%—01/15/2049
5,992
275
6.125%—04/01/2036
298
 
 
6,290
2,730
Consumers Securitization Funding LLC
5.210%—09/01/2031
2,815

22

Harbor Core Bond Fund
PORTFOLIO OF INVESTMENTS—Continued
Principal Amount, Value and Cost in Thousands
Corporate Bonds & Notes—Continued
Principal
Amount
 
Value
ELECTRIC UTILITIES—Continued
Dominion Energy, Inc.
$785
3.375%—04/01/2030
$758
1,150
5.250%—08/01/2033
1,176
 
 
1,934
DTE Energy Co.
2,306
4.875%—06/01/2028
2,346
2,769
5.850%—06/01/2034
2,946
 
 
5,292
2,785
Duke Energy Florida LLC
3.800%—07/15/2028
2,786
Eversource Energy
1,080
2.900%—03/01/2027
1,067
5,295
5.450%—03/01/2028
5,436
 
 
6,503
Exelon Corp.
5,615
4.450%—04/15/2046
4,723
62
4.700%—04/15/2050
53
243
5.100%—06/15/2045
224
 
 
5,000
1,670
Florida Power & Light Co.
2.450%—02/03/2032
1,506
5,857
Niagara Mohawk Power Corp.
5.996%—07/03/20551
5,908
Northern States Power Co.
158
4.500%—06/01/2052
135
4,085
6.250%—06/01/2036
4,502
 
 
4,637
308
Southern Co.
4.250%—07/01/2036
288
5,397
Virginia Power Fuel Securitization LLC
4.877%—05/01/2033
5,524
 
 
48,483
ELECTRONIC EQUIPMENT, INSTRUMENTS & COMPONENTS0.3%
4,397
Amphenol Corp.
5.300%—11/15/2055
4,197
EQUITY REAL ESTATE INVESTMENT TRUSTS (REITS)0.3%
1,879
Agree LP
4.800%—10/01/2032
1,895
2,645
Simon Property Group LP
5.500%—03/08/2033
2,778
 
 
4,673
FINANCIAL SERVICES0.7%
American Express Co.
4,168
5.016%—04/25/20314
4,279
322
5.043%—05/01/20344
328
 
 
4,607
198
Berkshire Hathaway Finance Corp.
3.850%—03/15/2052
151
PNC Financial Services Group, Inc.
1,160
5.068%—01/24/20344
1,183
2,571
5.354%—12/02/20284
2,636
Corporate Bonds & Notes—Continued
Principal
Amount
 
Value
FINANCIAL SERVICES—Continued
$3,095
5.676%—01/22/20354
$3,248
163
6.875%—10/20/20344
183
 
 
7,250
 
 
12,008
HEALTH CARE PROVIDERS & SERVICES0.6%
853
Cigna Group
3.400%—03/01/2027
849
CVS Pass-Through Trust
133
5.773%—01/10/20331
136
38
5.880%—01/10/2028
38
676
8.353%—07/10/20311
731
 
 
905
425
Elevance Health, Inc.
4.750%—02/15/2033
425
Health Care Service Corp. A Mutual Legal Reserve
Co.
2,700
2.200%—06/01/20301
2,455
4,642
5.200%—06/15/20291
4,763
 
 
7,218
 
 
9,397
INDUSTRIAL CONGLOMERATES0.2%
2,631
Ashtead Capital, Inc.
5.500%—08/11/20321
2,728
INSURANCE2.2%
AIA Group Ltd.
419
3.600%—04/09/20291
414
3,680
5.375%—04/05/20341
3,800
 
 
4,214
4,555
Brown & Brown, Inc.
5.250%—06/23/2032
4,648
6,550
Corebridge Global Funding
5.200%—01/12/20291
6,730
GA Global Funding Trust
2,490
5.200%—12/09/20311
2,522
5,786
5.500%—01/08/2029-04/01/20321
5,936
 
 
8,458
530
Liberty Mutual Group, Inc.
4.569%—02/01/20291
533
Massachusetts Mutual Life Insurance Co.
1,143
3.375%—04/15/20501
782
160
5.672%—12/01/20521
155
 
 
937
Metropolitan Life Global Funding I
2,827
3.300%—03/21/20291
2,760
3,495
4.850%—01/08/20291
3,569
 
 
6,329
3,605
Peachtree Corners Funding Trust II
6.012%—05/15/20351
3,797
 
 
35,646
INTERACTIVE MEDIA & SERVICES0.2%
3,060
Meta Platforms, Inc.
4.600%—11/15/2032
3,069

23

Harbor Core Bond Fund
PORTFOLIO OF INVESTMENTS—Continued
Principal Amount, Value and Cost in Thousands
Corporate Bonds & Notes—Continued
Principal
Amount
 
Value
INTERNET & CATALOG RETAIL0.1%
$2,423
Amazon.com, Inc.
4.100%—04/13/2062
$1,850
IT SERVICES0.2%
2,466
Genpact Luxembourg SARL/Genpact USA, Inc.
6.000%—06/04/2029
2,587
MACHINERY0.4%
6,004
Nordson Corp.
4.500%—12/15/2029
6,053
MEDIA0.4%
1,883
Charter Communications Operating LLC/Charter
Communications Operating Capital
6.384%—10/23/2035
1,947
360
Comcast Corp.
2.350%—01/15/2027
355
Cox Communications, Inc.
400
1.800%—10/01/20301
351
3,795
5.700%—06/15/20331
3,831
 
 
4,182
 
 
6,484
MULTI-UTILITIES0.0%
PG&E Wildfire Recovery Funding LLC
354
3.594%—06/01/2032
349
222
4.022%—06/01/2033
222
183
4.722%—06/01/2039
180
 
 
751
OIL, GAS & CONSUMABLE FUELS1.7%
7,835
Columbia Pipelines Operating Co. LLC
6.036%—11/15/20331
8,368
ConocoPhillips Co.
878
5.500%—01/15/2055
846
961
5.550%—03/15/2054
933
 
 
1,779
Diamondback Energy, Inc.
2,346
5.550%—04/01/2035
2,416
1,543
6.250%—03/15/2033
1,666
 
 
4,082
Energy Transfer LP
1,450
5.550%—05/15/2034
1,493
2,688
5.750%—02/15/2033
2,820
 
 
4,313
1,259
Kinder Morgan, Inc.
5.850%—06/01/2035
1,333
1,787
Northern Natural Gas Co.
5.625%—02/01/20541
1,720
474
Occidental Petroleum Corp.
0.000%—10/10/20365
286
Southern Co. Gas Capital Corp.
230
1.750%—01/15/2031
203
4,779
4.950%—09/15/2034
4,788
 
 
4,991
 
 
26,872
PASSENGER AIRLINES0.1%
210
Air Canada Pass-Through Trust
3.600%—09/15/20281
208
Corporate Bonds & Notes—Continued
Principal
Amount
 
Value
PASSENGER AIRLINES—Continued
$266
Delta Air Lines Pass-Through Trust
3.625%—01/30/2029
$263
United Airlines Pass-Through Trust
163
3.100%—01/07/2030
160
628
4.000%—10/11/2027
628
 
 
788
 
 
1,259
PROFESSIONAL SERVICES0.4%
Verisk Analytics, Inc.
741
3.625%—05/15/2050
535
4,100
5.250%—06/05/2034
4,190
1,100
5.750%—04/01/2033
1,163
 
 
5,888
REAL ESTATE MANAGEMENT & DEVELOPMENT0.1%
808
CBRE Services, Inc.
4.800%—06/15/2030
820
ROAD & RAIL0.5%
Canadian Pacific Railway Co.
1,429
4.200%—11/15/2069
1,067
190
6.125%—09/15/2115
193
 
 
1,260
2,430
JB Hunt Transport Services, Inc.
4.900%—03/15/2030
2,486
155
Norfolk Southern Corp.
4.837%—10/01/2041
146
4,716
Ryder System, Inc. MTN
5.250%—06/01/2028
4,848
 
 
8,740
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT0.7%
3,574
Broadcom, Inc.
4.000%—04/15/20291
3,565
NXP BV/NXP Funding LLC/NXP USA, Inc.
4,140
2.500%—05/11/2031
3,747
1,230
3.150%—05/01/2027
1,217
3,185
4.300%—06/18/2029
3,196
 
 
8,160
 
 
11,725
SOFTWARE0.9%
4,534
AppLovin Corp.
5.125%—12/01/2029
4,652
1,199
Constellation Software, Inc.
5.461%—02/16/20341
1,206
Oracle Corp.
2,681
3.950%—03/25/2051
1,760
3,700
4.800%—09/26/2032
3,583
3,317
5.250%—02/03/2032
3,314
 
 
8,657
 
 
14,515
SPECIALTY RETAIL0.8%
Lowe’s Cos., Inc.
3,997
3.000%—10/15/2050
2,564
77
3.700%—04/15/2046
59

24

Harbor Core Bond Fund
PORTFOLIO OF INVESTMENTS—Continued
Principal Amount, Value and Cost in Thousands
Corporate Bonds & Notes—Continued
Principal
Amount
 
Value
SPECIALTY RETAIL—Continued
$199
5.000%—04/15/2040
$193
697
5.625%—04/15/2053
679
 
 
3,495
9,192
Penske Truck Leasing Co. LP/PTL Finance Corp.
5.550%—05/01/20281
9,450
 
 
12,945
TRADING COMPANIES & DISTRIBUTORS0.6%
Ferguson Finance PLC
4,590
3.250%—06/02/20301
4,382
4,751
4.650%—04/20/20321
4,736
 
 
9,118
WIRELESS TELECOMMUNICATION SERVICES0.6%
T-Mobile USA, Inc.
3,131
5.050%—07/15/2033
3,182
3,238
5.150%—04/15/2034
3,294
2,745
5.875%—11/15/2055
2,729
 
 
9,205
Total Corporate Bonds & Notes
(Cost $480,175)
488,331
Mortgage Pass-Through23.7%
 
 
 
Federal Home Loan Mortgage Corp.
7,404

2.000%—06/01/2050-01/01/2051
6,074
55,367

2.500%—08/01/2035-01/01/2054
48,472
23,105

3.000%—01/01/2033-08/01/2050
21,163
15,099

3.500%—09/01/2033-04/01/2050
14,433
19,393

4.000%—12/01/2037-07/01/2049
18,890
22,286

4.500%—10/01/2048-05/01/2053
22,191
13,527

5.000%—11/01/2049-01/01/2055
13,702
22,379

5.500%—12/01/2052-03/01/2054
23,073
71

6.329% (USD IBOR Consumer Cash Fallback
12-month + 1.592%) 06/01/20473
74
 
 
168,072
Federal National Mortgage Association
17,540

2.000%—08/01/2050-02/01/2052
14,423
46,808

2.500%—01/01/2032-04/01/2052
40,997
17,759

3.000%—02/01/2034-12/01/2051
16,636
16,835

3.500%—05/01/2035-05/01/2052
15,949
24,583

4.000%—03/01/2038-02/01/2055
23,777
20,494

4.500%—05/01/2046-08/01/2052
20,366
30,593

5.000%—05/01/2050-11/01/2054
31,067
4,409

5.500%—11/01/2052-08/01/2053
4,549
92

6.345% (Fed 12 Month Treasury Average Constant
Maturity Treasury + 2.320%) 12/01/20363
96
 
 
167,860
1,171
Federal National Mortgage Association REMICS
Series 2024-20 Cl. CA
5.500%—01/25/2047
1,174
Government National Mortgage Association
7,226

2.000%—02/20/2052
6,019
17,158

2.500%—01/20/2051-09/20/2051
14,879
6,930

4.000%—09/20/2041-08/20/2052
6,617
645

4.500%—01/15/2042-08/20/2047
641
Mortgage Pass-Through—Continued
Principal
Amount
 
Value
$7,548

5.000%—10/20/2053
$7,580
6,428

5.500%—04/20/2053
6,560
 
 
42,296
Government National Mortgage Association
REMICS
2,351
Series 2012-140 Cl. JD
1.750%—01/20/2041
2,283
1,752
Series 2013-70 Cl. AE
1.750%—11/20/2040
1,691
 
 
3,974
Total Mortgage Pass-Through
(Cost $377,430)
383,376
Municipal Bonds0.5%
 
 
 
1,380
City of New York
5.935%—02/01/2055
1,453
435
Empire State Development Corp.
5.770%—03/15/2039
447
145
Metropolitan Water Reclamation District of Greater
Chicago
5.720%—12/01/2038
150
2,515
New Hampshire Health & Education Facilities
Authority Act
5.040%—11/01/2034
2,531
495
Sales Tax Securitization Corp.
4.637%—01/01/2040
482
300
State of California
7.500%—04/01/2034
348
1,952
Texas Natural Gas Securitization Finance Corp.
5.102%—04/01/2035
2,015
Total Municipal Bonds
(Cost $7,340)
7,426
U.S. Government Obligations23.0%
 
 
 
U.S. Treasury Bonds
72,738
4.250%—02/15/2054-08/15/2054
65,451
24,410

4.375%—08/15/2043
23,243
69,828

4.500%—02/15/2044
67,332
42,772
4.625%—05/15/2044-02/15/2055
41,620
9,785

4.750%—08/15/2055
9,573
13,550

4.875%—08/15/2045
13,631
 
 
220,850
7,997
U.S. Treasury Inflation-Indexed Notes
1.875%—07/15/20356
8,025
U.S. Treasury Notes
79,932

3.500%—11/30/2030
78,914
44,826

3.625%—08/31/2030
44,546
19,905
4.000%—05/31/2030-11/15/2035
19,885
 
 
143,345
Total U.S. Government Obligations
(Cost $380,276)
372,220

25

Harbor Core Bond Fund
PORTFOLIO OF INVESTMENTS—Continued
Principal Amount, Value and Cost in Thousands
Short-Term Investments0.4%
Principal
Amount
 
Value
(Cost $5,966)
U.S. TREASURY BILLS0.4%
$5,993
U.S. Treasury Bills
3.532%—03/19/2026
$5,966
TOTAL INVESTMENTS—98.4%
(Cost $1,579,445)
1,589,465
CASH AND OTHER ASSETS, LESS LIABILITIES—1.6%
26,468
TOTAL NET ASSETS—100.0%
$1,615,933
FAIR VALUE MEASUREMENTS
All investments as of January 31, 2026 (as disclosed in the preceding Portfolio of Investments) were classified as Level 2.
For more information on valuation inputs and their aggregation into the levels identified above, please refer to the Fair Value Measurements and Disclosures in Note 2 of the accompanying Notes to Portfolios of Investments.

Coupon represents yield to maturity
1
Securities purchased in a transaction exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions exempt from registration, normally to qualified institutional buyers. The Fund has no right to demand registration of these securities. As of January 31, 2026, the aggregate value of these securities was $376,165 or 23% of net assets.
2
Step coupon security; the stated rate represents the rate in effect as of January 31, 2026.
3
Variable or floating rate security; the stated rate represents the rate in effect as of January 31, 2026.  The variable rate for such securities may be based on the indicated reference rate and spread or on an underlying asset or pool of assets rather than a reference rate and may be determined by current interest rates, prepayments or other financial indicators.
4
Rate changes from fixed to variable rate at a specified date prior to its final maturity. Stated rate is fixed rate currently in effect and stated date is the final maturity date.
5
Zero coupon bond
6
Inflation-protected securities are securities in which the principal amount is adjusted for inflation and interest payments are applied to the inflation-adjusted principal.
CLO
Collateralized Loan Obligation
MTN
Medium Term Note
REMICS
Real Estate Mortgage Investment Conduits
The accompanying notes are an integral part of the Portfolios of Investments.

26

Harbor Core Plus Fund
PORTFOLIO OF INVESTMENTS—January 31, 2026 (Unaudited)
Principal Amount, Value and Cost in Thousands
Asset-Backed Securities11.8%
Principal
Amount
 
Value
$1,603
Aligned Data Centers Issuer LLC
Series 2021-1A Cl. A2
1.937%—08/15/20461
$1,580
5,305
AMSR Trust
Series 2024-SFR1 Cl. A
4.290%—07/17/20411,2
5,273
2,944
Apidos CLO XLVIII Ltd.
Series 2024-48A Cl. A1
5.108% (3 Month USD Term SOFR + 1.440%)
07/25/20371,3
2,957
370
Applebee’s Funding LLC/IHOP Funding LLC
Series 2025-1A Cl. A2
6.720%—06/07/20551
374
3,702
Avis Budget Rental Car Funding AESOP LLC
Series 2024-1A Cl. A
5.360%—06/20/20301
3,827
5,940
Carlyle Global Market Strategies CLO Ltd.
Series 2016-1A Cl. A1R3
4.758% (3 Month USD Term SOFR + 1.090%)
04/20/20341,3
5,947
CIFC Funding Ltd.
6,333
Series 2023-3A Cl. A1R
4.863% (3 Month USD Term SOFR + 1.200%)
01/20/20391,3
6,333
x
5,976
Series 2023-3A Cl. A
5.268% (3 Month USD Term SOFR + 1.600%)
01/20/20371,3
5,976
 
 
12,309
DB Master Finance LLC
2,194
Series 2021-1A Cl. A2II
2.493%—11/20/20511
2,079
3,727
Series 2025-1A Cl. A2I
4.891%—08/20/20551
3,728
 
 
5,807
3,740
Domino’s Pizza Master Issuer LLC
Series 2021-1A Cl. A2I
2.662%—04/25/20511
3,566
6,318
FirstKey Homes Trust
Series 2021-SFR1 Cl. A
1.538%—08/17/20381
6,226
3,425
Flatiron CLO 26 Ltd.
Series 2024-4A Cl. A
5.002% (3 Month USD Term SOFR + 1.330%)
01/15/20381,3
3,441
2,882
GoldenTree Loan Management U.S. CLO 20 Ltd.
Series 2024-20A Cl. A
5.118% (3 Month USD Term SOFR + 1.450%)
07/20/20371,3
2,891
4,909
Golub Capital Partners CLO 62B Ltd.
Series 2022-62A Cl. AR
5.042% (3 Month USD Term SOFR + 1.370%)
10/15/20371,3
4,925
2,992
Golub Capital Partners CLO 64B-R Ltd.
Series 2022-64A Cl. AR
5.028% (3 Month USD Term SOFR + 1.360%)
10/25/20371,3
3,004
760
Home Partners of America Trust
Series 2022-1 Cl. A
3.930%—04/17/20391
758
3,546
Jersey Mike’s Funding LLC
Series 2025-1A Cl. A2
5.610%—08/16/20551
3,623
Asset-Backed Securities—Continued
Principal
Amount
 
Value
$556
JP Morgan Mortgage Acquisition Trust
Series 2007-HE1 Cl. AF3
4.143%—05/25/20352
$364
2,542
Kinetic ABS Issuer LLC
Series 2026-1A Cl. A2
5.219%—02/25/20561
2,551
2,376
Morgan Stanley ABS Capital I, Inc. Trust
Series 2007-HE6 Cl. A3
3.967% (1 Month USD Term SOFR + 0.474%)
05/25/20373
2,179
2,300
Palmer Square CLO Ltd.
Series 2022-4A Cl. A1R
5.018% (3 Month USD Term SOFR + 1.350%)
10/20/20371,3
2,308
4,300
Palmer Square Loan Funding Ltd.
Series 2025-3A Cl. A1
4.660% (3 Month USD Term SOFR + 0.950%)
01/15/20341,3
4,300
Planet Fitness Master Issuer LLC
788
Series 2019-1A Cl. A2
3.858%—12/05/20491
758
1,953
Series 2024-1A Cl. A2I
5.765%—06/05/20541
1,987
 
 
2,745
3,205
Sabey Data Center Issuer LLC
Series 2025-1 Cl. A2
5.733%—02/21/20501
3,269
3,825
SBA Small Business Investment Cos.
Series 2025-10A Cl. 1
4.963%—03/10/2035
3,895
4,593
Servpro Master Issuer LLC
Series 2021-1A Cl. A2
2.394%—04/25/20511
4,375
7,000
Stack Infrastructure Issuer LLC
Series 2021-1A Cl. A2
1.877%—03/26/20461
6,965
2,554
Store Master Funding LLC
Series 2024-1A Cl. A1
5.690%—05/20/20541
2,587
Subway Funding LLC
3,587
Series 2024-3A Cl. A2II
5.566%—07/30/20541
3,578
2,876
Series 2024-1A Cl. A2I
6.028%—07/30/20541
2,916
 
 
6,494
6,878
Taco Bell Funding LLC
Series 2021-1A Cl. A2I
1.946%—08/25/20511
6,720
Tricon Residential Trust
5,156
Series 2023-SFR1 Cl. A
5.100%—07/17/20401
5,181
3,523
Series 2025-SFR2 Cl. A
5.200%—08/17/20441
3,555
 
 
8,736
U.S. Small Business Administration
4,546
Series 2024-25B Cl. 1
5.070%—02/01/2049
4,597
2,556
Series 2023-25K Cl. 1
5.710%—11/01/2048
2,700
278
Series 2009-20A Cl. 1
5.720%—01/01/2029
281

27

Harbor Core Plus Fund
PORTFOLIO OF INVESTMENTS—Continued
Principal Amount, Value and Cost in Thousands
Asset-Backed Securities—Continued
Principal
Amount
 
Value
$1,743
Series 2023-25J Cl. 1
5.820%—10/01/2048
$1,850
402
Series 2008-20H Cl. 1
6.020%—08/01/2028
409
 
 
9,837
Uniti Fiber ABS Issuer LLC
1,357
Series 2025-2A Cl. A2
5.177%—01/20/20561
1,364
1,194
Series 2025-1A Cl. A2
5.877%—04/20/20551
1,224
 
 
2,588
6,810
VB-S1 Issuer LLC
Series 2022-1A Cl. C2I
3.156%—02/15/20521
6,651
6,679
Wendy’s Funding LLC
Series 2021-1A Cl. A2I
2.370%—06/15/20511
6,259
Total Asset-Backed Securities
(Cost $147,716)
149,331
Collateralized Mortgage Obligations12.2%
 
 
 
2,655
Angel Oak Mortgage Trust
Series 2022-1 Cl. A1
3.881%—12/25/20661,2
2,534
175
Argent Securities, Inc. Asset-Backed Pass-Through
Certificates
Series 2004-W11 Cl. M3
4.912% (1 Month USD Term SOFR + 1.239%)
11/25/20343
178
3,200
Bank
Series 2024-BNK48 Cl. A5
5.053%—10/15/2057
3,259
4,948
Bank5
Series 2023-5YR2 Cl. A3
6.656%—07/15/20563
5,200
5,383
BBCMS Mortgage Trust
Series 2024-5C27 Cl. A3
6.014%—07/15/2057
5,657
60
BCAP LLC Trust
Series 2011-RR5 Cl. 12A1
4.441%—03/26/20371,2
60
Bear Stearns ARM Trust
5
Series 2000-2 Cl. A1
4.791%—11/25/20303
5
106
Series 2004-1 Cl. 12A5
5.228%—04/25/20343
95
 
 
100
Benchmark Mortgage Trust
3,238
Series 2022-B35 Cl. A5
4.442%—05/15/20553
3,177
3,600
Series 2023-V4 Cl. A3
6.841%—11/15/20563
3,813
 
 
6,990
3,803
BFLD Commercial Mortgage Trust
Series 2025-5MW Cl. A
4.674%—10/10/20421,3
3,820
2,070
BFLD Trust
Series 2025-FPM Cl. A
5.178%—10/10/20401,3
2,102
Collateralized Mortgage Obligations—Continued
Principal
Amount
 
Value
$4,698
BMO Mortgage Trust
Series 2023-C7 Cl. A5
6.160%—12/15/2056
$5,029
2,402
BSTN Commercial Mortgage Trust
Series 2025-1C Cl. A
5.548%—06/15/20441,3
2,470
609
BX Commercial Mortgage Trust
Series 2022-LP2 Cl. A
4.693% (1 Month USD Term SOFR + 1.013%)
02/15/20391,3
609
BX Trust
4,536
Series 2024-VLT4 Cl. A
5.172% (1 Month USD Term SOFR + 1.491%)
06/15/20411,3
4,547
5,219
Series 2024-BIO Cl. A
5.322% (1 Month USD Term SOFR + 1.642%)
02/15/20411,3
5,225
 
 
9,772
3,317
CENT
Series 2025-CITY Cl. A
4.920%—07/10/20401,3
3,368
3,828
Citigroup Commercial Mortgage Trust
Series 2019-GC43 Cl. A4
3.038%—11/10/2052
3,622
3,963
Citigroup Mortgage Loan Trust, Inc.
Series 2025-1 Cl. A8
5.500%—01/25/20551,3
3,994
Countrywide Alternative Loan Trust
1,328
Series 2006-6CB Cl. 1A2
4.187% (1 Month USD Term SOFR + 0.514%)
05/25/20363
1,023
1,078
Series 2005-20CB Cl. 2A5
5.500%—07/25/2035
685
 
 
1,708
175
CSFB Mortgage-Backed Pass-Through Certificates
Series 2005-10 Cl. 9A1
6.000%—11/25/2035
120
90
DBJPM Mortgage Trust
Series 2020-C9 Cl. A2
1.900%—08/15/2053
90
2,109
Deutsche Alt-A Securities, Inc. Mortgage Loan Trust
Series 2007-AR2 Cl. A1
4.087% (1 Month USD Term SOFR + 0.414%)
03/25/20373
2,022
600
DSLA Mortgage Loan Trust
Series 2006-AR1 Cl. 1A1A
4.588% (Fed 12 Month Treasury Average Constant
Maturity Treasury + 0.920%) 03/19/20463
520
1,731
EQT Trust
Series 2024-EXTR Cl. A
5.331%—07/05/20411,3
1,769
3,144
Fashion Show Mall LLC
Series 2024-SHOW Cl. A
5.274%—10/10/20411,3
3,203
98
First Horizon Asset Securities, Inc.
Series 2005-AR6 Cl. 4A1
5.188%—02/25/20363
95
FNT Mortgage-Backed Pass-Through Trust
Series 2001-3 Cl. 1A1
6.750%—08/21/2031

28

Harbor Core Plus Fund
PORTFOLIO OF INVESTMENTS—Continued
Principal Amount, Value and Cost in Thousands
Collateralized Mortgage Obligations—Continued
Principal
Amount
 
Value
GS Mortgage-Backed Securities Trust
$6,158
Series 2025-PJ11 Cl. A4
5.500%—05/25/20561,3
$6,237
2,064
Series 2024-PJ5 Cl. A15
6.000%—09/25/20541,3
2,089
 
 
8,326
2,262
GSMPS Mortgage Loan Trust
Series 2006-RP2 Cl. 1AF1
4.187% (1 Month USD Term SOFR + 0.514%)
04/25/20361,3
1,970
152
GSR Mortgage Loan Trust
Series 2005-AR3 Cl. 3A1
6.436%—05/25/20353
113
IndyMac ARM Trust
Series 2001-H2 Cl. A2
5.653%—01/25/20323
2,126
INT Commercial Mortgage Trust
Series 2025-PLAZA Cl. A
5.041%—11/05/20371,3
2,151
3,551
JP Morgan Chase Commercial Mortgage Securities
Trust
Series 2024-OMNI Cl. A
5.797%—10/05/20391,3
3,620
JP Morgan Mortgage Trust
2,115
Series 2024-3 Cl. A6
3.000%—05/25/20541,3
1,999
5,368
Series 2022-3 Cl. A6
3.000%—08/25/20521,3
5,090
770
Series 2006-A6 Cl. 1A4L
4.260%—10/25/20363
545
3,050
Series 2025-12MPR Cl. A1D
5.055%—06/25/20561,2
3,042
2,356
Series 2025-7MPR Cl. A1D
5.324%—02/25/20561,2
2,366
5
Series 2006-S1 Cl. 3A1
5.500%—04/25/2036
4
2,673
Series 2023-4 Cl. 1A4A
5.500%—11/25/20531,3
2,691
2,981
Series 2025-5MPR Cl. A1D
5.500%—11/25/20551,2
2,991
5,598
Series 2025-8 Cl. A4A
5.500%—02/25/20561,3
5,619
 
 
24,347
4,718
KIND Commercial Mortgage Trust
Series 2024-1 Cl. A
5.570% (1 Month USD Term SOFR + 1.890%)
08/15/20411,3
4,731
413
Merrill Lynch Alternative Note Asset Trust
Series 2007-F1 Cl. 2A6
6.000%—03/25/2037
129
1,465
MetLife Securitization Trust
Series 2018-1A Cl. A
3.750%—03/25/20571,3
1,434
2,447
NYC Commercial Mortgage Trust
Series 2025-28L Cl. A
4.668%—11/05/20381,3
2,461
1,188
OBX Trust
Series 2018-1 Cl. A2
4.437% (1 Month USD Term SOFR + 0.764%)
06/25/20571,3
1,178
Collateralized Mortgage Obligations—Continued
Principal
Amount
 
Value
$415
Saxon Asset Securities Trust
Series 2006-3 Cl. A3
4.127% (1 Month USD Term SOFR + 0.454%)
10/25/20463
$410
Sequoia Mortgage Trust
3,525
Series 2023-1 Cl. A4
5.000%—01/25/20531,3
3,523
3,101
Series 2023-2 Cl. A4
5.000%—03/25/20531,3
3,100
4,164
Series 2025-7 Cl. A11
5.500%—08/25/20551,3
4,183
 
 
10,806
154
STARM Mortgage Loan Trust
Series 2007-S1 Cl. 1A
6.628%—01/25/20373
88
4,870
SWCH Commercial Mortgage Trust
Series 2025-DATA Cl. A
5.123% (1 Month USD Term SOFR + 1.443%)
02/15/20421,3
4,842
Towd Point Mortgage Trust
2,947
Series 2019-1 Cl. A1
3.750%—03/25/20581,3
2,881
3,100
Series 2018-6 Cl. A1B
3.750%—03/25/20581,3
3,033
 
 
5,914
2,302
Tricon American Homes Trust
Series 2020-SFR1 Cl. A
1.499%—07/17/20381
2,272
WaMu Mortgage Pass-Through Certificates Trust
46
Series 2005-AR13 Cl. A1A1
4.367% (1 Month USD Term SOFR + 0.694%)
10/25/20453
45
1,102
Series 2006-AR8 Cl. 1A4
4.473%—08/25/20463
1,041
 
 
1,086
7,117
Wells Fargo Commercial Mortgage Trust
Series 2018-C48 Cl. A5
4.302%—01/15/2052
7,136
3,591
WHARF Commercial Mortgage Trust
Series 2025-DC Cl. A
5.528%—07/15/20401,3
3,704
Total Collateralized Mortgage Obligations
(Cost $155,036)
155,009
Corporate Bonds & Notes30.2%
 
 
 
AEROSPACE & DEFENSE0.5%
1,798
Embraer Netherlands Finance BV
5.980%—02/11/2035
1,904
3,995
Hexcel Corp.
5.875%—02/26/2035
4,195
 
 
6,099
AUTOMOBILE COMPONENTS0.2%
2,392
American Axle & Manufacturing, Inc.
6.375%—10/15/20321
2,442
AUTOMOBILES0.5%
3,800
Ford Motor Credit Co. LLC
6.125%—03/08/2034
3,889

29

Harbor Core Plus Fund
PORTFOLIO OF INVESTMENTS—Continued
Principal Amount, Value and Cost in Thousands
Corporate Bonds & Notes—Continued
Principal
Amount
 
Value
AUTOMOBILES—Continued
$2,352
General Motors Financial Co., Inc.
5.800%—06/23/2028
$2,437
 
 
6,326
BANKS1.7%
2,751
Bank of America Corp.
5.744%—02/12/20364
2,845
5,703
Barclays PLC
5.690%—03/12/20304
5,940
4,700
Citigroup, Inc.
2.572%—06/03/20314
4,359
1,995
ING Groep NV
6.114%—09/11/20344
2,153
2,981
Lloyds Banking Group PLC
6.068%—06/13/20364
3,126
3,001
Truist Financial Corp. MTN
6.123%—10/28/20334
3,235
 
 
21,658
BEVERAGES0.4%
4,635
Diageo Investment Corp.
5.625%—04/15/2035
4,880
BUILDING PRODUCTS0.3%
3,758
Standard Building Solutions, Inc.
5.875%—03/15/20341
3,757
CAPITAL MARKETS3.7%
3,101
Antares Holdings LP
6.350%—10/23/20291
3,176
6,000
Blackstone Holdings Finance Co. LLC
3.200%—01/30/20521
4,027
5,700
Blue Owl Capital Corp.
2.875%—06/11/2028
5,404
490
Blue Owl Credit Income Corp.
6.600%—09/15/2029
504
6,096
Brookfield Capital Finance LLC
6.087%—06/14/2033
6,517
6,962
Brookfield Finance, Inc.
6.300%—01/15/20554
6,919
3,098
Golub Capital Private Credit Fund
5.800%—09/12/2029
3,144
3,652
Hercules Capital, Inc.
6.000%—06/16/2030
3,695
5,850
KKR Group Finance Co. VII LLC
3.625%—02/25/20501
4,213
1,883
Main Street Capital Corp.
6.950%—03/01/2029
1,968
1,709
Oaktree Specialty Lending Corp.
2.700%—01/15/2027
1,675
Sixth Street Lending Partners
2,001
5.750%—01/15/2030
2,024
3,000
6.500%—03/11/2029
3,116
 
 
5,140
 
 
46,382
COMMERCIAL SERVICES & SUPPLIES0.6%
2,898
ADT Security Corp.
5.875%—10/15/20331
2,940
3,902
Rentokil Terminix Funding LLC
5.625%—04/28/20351
4,024
Corporate Bonds & Notes—Continued
Principal
Amount
 
Value
COMMERCIAL SERVICES & SUPPLIES—Continued
$1,350
Triton Container International Ltd.
3.150%—06/15/20311
$1,235
 
 
8,199
CONSTRUCTION MATERIALS0.1%
1,603
Standard Industries, Inc.
4.375%—07/15/20301
1,547
CONTAINERS & PACKAGING0.5%
6,255
Sonoco Products Co.
4.600%—09/01/2029
6,312
DIVERSIFIED FINANCIAL SERVICES3.8%
3,205
AerCap Ireland Capital DAC/AerCap Global Aviation
Trust
5.100%—01/19/2029
3,281
6,200
Aircastle Ltd.
2.850%—01/26/20281
6,036
661
Aircastle Ltd./Aircastle Ireland DAC
5.750%—10/01/20311
690
3,762
Atlas Warehouse Lending Co. LP
6.050%—01/15/20281
3,879
5,940
Aviation Capital Group LLC
4.800%—10/24/20301
5,957
3,527
Blue Owl Finance LLC
6.250%—04/18/2034
3,636
4,836
Capital One Financial Corp.
5.884%—07/26/20354
5,046
8,750
Depository Trust & Clearing Corp.
3.375%—06/20/20261,4
8,688
4,899
GGAM Finance Ltd.
5.875%—03/15/20301
4,986
3,664
Macquarie Airfinance Holdings Ltd.
5.150%—03/17/20301
3,714
2,254
Voya Financial, Inc.
5.000%—09/20/2034
2,248
 
 
48,161
DIVERSIFIED REITS0.2%
3,034
SBA Tower Trust
6.599%—11/15/20521
3,103
DIVERSIFIED TELECOMMUNICATION SERVICES0.2%
2,915
Verizon Communications, Inc.
3.700%—03/22/2061
1,966
ELECTRIC UTILITIES2.0%
CMS Energy Corp.
4,171
3.750%—12/01/20504
3,850
1,647
4.750%—06/01/20504
1,628
 
 
5,478
4,223
Dominion Energy, Inc.
6.875%—02/01/20554
4,400
Exelon Corp.
5,000
4.050%—04/15/2030
4,956
1,500
5.625%—06/15/2035
1,566
 
 
6,522
2,877
New England Power Co.
5.936%—11/25/20521
2,907
2,234
NextEra Energy Capital Holdings, Inc.
6.375%—08/15/20554
2,308

30

Harbor Core Plus Fund
PORTFOLIO OF INVESTMENTS—Continued
Principal Amount, Value and Cost in Thousands
Corporate Bonds & Notes—Continued
Principal
Amount
 
Value
ELECTRIC UTILITIES—Continued
$4,075
NRG Energy, Inc.
6.000%—01/15/20361
$4,119
 
 
25,734
ELECTRONIC EQUIPMENT, INSTRUMENTS & COMPONENTS0.0%
570
TD SYNNEX Corp.
2.650%—08/09/2031
514
ENTERTAINMENT0.3%
3,372
Allwyn Entertainment Financing U.K. PLC
7.875%—04/30/20291
3,513
EQUITY REAL ESTATE INVESTMENT TRUSTS (REITS)2.4%
1,400
Agree LP
2.900%—10/01/2030
1,311
2,100
Alexandria Real Estate Equities, Inc.
2.750%—12/15/2029
1,982
5,922
COPT Defense Properties LP
2.000%—01/15/2029
5,569
7,548
EPR Properties
4.750%—11/15/2030
7,488
4,500
GLP Capital LP/GLP Financing II, Inc.
4.000%—01/15/2030
4,388
3,398
Ladder Capital Finance Holdings LLLP/Ladder
Capital Finance Corp.
5.500%—08/01/2030
3,495
4,700
Realty Income Corp.
3.400%—01/15/2030
4,566
1,947
VICI Properties LP
5.750%—04/01/2034
2,010
 
 
30,809
FINANCIAL SERVICES1.0%
3,249
Charles Schwab Corp.
5.643%—05/19/20294
3,373
982
Macquarie Airfinance Holdings Ltd.
6.400%—03/26/20291
1,032
4,875
Navient Corp.
4.875%—03/15/2028
4,781
2,846
PNC Financial Services Group, Inc.
6.875%—10/20/20344
3,199
 
 
12,385
HEALTH CARE PROVIDERS & SERVICES1.0%
CVS Pass-Through Trust
247
6.943%—01/10/2030
257
3,314
7.507%—01/10/20321
3,524
 
 
3,781
3,585
DaVita, Inc.
6.750%—07/15/20331
3,682
4,817
Pediatrix Medical Group, Inc.
5.375%—02/15/20301
4,835
 
 
12,298
INDUSTRIAL CONGLOMERATES1.2%
Ashtead Capital, Inc.
8,565
2.450%—08/12/20311
7,661
4,540
5.550%—05/30/20331
4,694
 
 
12,355
Corporate Bonds & Notes—Continued
Principal
Amount
 
Value
INDUSTRIAL CONGLOMERATES—Continued
$3,800
Textron, Inc.
2.450%—03/15/2031
$3,448
 
 
15,803
INSURANCE1.9%
1,774
Aspen Insurance Holdings Ltd.
5.750%—07/01/2030
1,854
4,786
Brown & Brown, Inc.
5.250%—06/23/2032
4,884
1,781
Corebridge Financial, Inc.
6.875%—12/01/20304
1,852
2,150
Fortitude Group Holdings LLC
6.250%—04/01/20301
2,231
6,198
Global Atlantic Fin Co.
7.950%—06/15/20331
7,068
6,128
SBL Holdings, Inc.
5.000%—02/18/20311
5,707
 
 
23,596
INTERNET & CATALOG RETAIL0.5%
6,255
Beignet Investor LLC
6.581%—05/30/20491
6,517
IT SERVICES0.7%
3,866
Booz Allen Hamilton, Inc.
3.875%—09/01/20281
3,804
2,383
Genpact Luxembourg SARL/Genpact USA, Inc.
6.000%—06/04/2029
2,500
2,510
Genpact U.K. Finco PLC/Genpact USA, Inc.
4.950%—11/18/2030
2,516
 
 
8,820
MACHINERY0.2%
2,358
Terex Corp.
6.250%—10/15/20321
2,416
MEDIA0.4%
5,320
Charter Communications Operating LLC/Charter
Communications Operating Capital
6.384%—10/23/2035
5,501
MULTI-UTILITIES0.2%
3,109
WEC Energy Group, Inc.
5.625%—05/15/20564
3,127
OIL, GAS & CONSUMABLE FUELS2.0%
Columbia Pipelines Operating Co. LLC
2,560
5.439%—02/15/20351
2,620
995
5.962%—02/15/20551
989
3,209
6.036%—11/15/20331
3,428
 
 
7,037
ConocoPhillips Co.
741
5.500%—01/15/2055
714
812
5.550%—03/15/2054
788
 
 
1,502
3,145
Enbridge, Inc.
5.750%—07/15/20804
3,186
3,434
Florida Gas Transmission Co. LLC
5.750%—07/15/20351
3,558
3,720
Gulfstream Natural Gas System LLC
5.600%—07/23/20351
3,807

31

Harbor Core Plus Fund
PORTFOLIO OF INVESTMENTS—Continued
Principal Amount, Value and Cost in Thousands
Corporate Bonds & Notes—Continued
Principal
Amount
 
Value
OIL, GAS & CONSUMABLE FUELS—Continued
$1,061
Kinder Morgan, Inc.
5.850%—06/01/2035
$1,123
7,629
Occidental Petroleum Corp.
0.000%—10/10/20365
4,597
 
 
24,810
PASSENGER AIRLINES0.3%
2,587
Air Canada Pass-Through Trust
3.300%—07/15/20311
2,470
1,149
American Airlines Pass-Through Trust
3.600%—03/22/2029
1,138
951
United Airlines Pass-Through Trust
2.700%—11/01/2033
885
 
 
4,493
PERSONAL CARE PRODUCTS0.3%
3,748
Coty, Inc./HFC Prestige Products, Inc./HFC Prestige
International U.S. LLC
5.600%—01/15/20311
3,797
PROFESSIONAL SERVICES0.6%
3,712
KBR, Inc.
4.750%—09/30/20281
3,679
3,566
Verisk Analytics, Inc.
5.250%—03/15/2035
3,620
 
 
7,299
ROAD & RAIL0.2%
3,800
Norfolk Southern Corp.
4.050%—08/15/2052
2,961
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT0.6%
1,230
KLA Corp.
5.650%—11/01/2034
1,305
6,500
NXP BV/NXP Funding LLC/NXP USA, Inc.
2.500%—05/11/2031
5,883
 
 
7,188
SOFTWARE0.4%
2,202
Constellation Software, Inc.
5.461%—02/16/20341
2,216
3,500
Oracle Corp.
3.600%—04/01/2040
2,587
 
 
4,803
SPECIALTY RETAIL0.9%
2,059
Ferguson Enterprises, Inc.
5.000%—10/03/2034
2,072
2,900
Group 1 Automotive, Inc.
4.000%—08/15/20281
2,838
2,956
Lithia Motors, Inc.
3.875%—06/01/20291
2,861
1,320
Macy’s Retail Holdings LLC
7.375%—08/01/20331
1,396
1,778
Wayfair LLC
7.250%—10/31/20291
1,860
 
 
11,027
Corporate Bonds & Notes—Continued
Principal
Amount
 
Value
TRADING COMPANIES & DISTRIBUTORS0.4%
$4,800
Ferguson Finance PLC
4.650%—04/20/20321
$4,785
Total Corporate Bonds & Notes
(Cost $380,013)
$383,028
Mortgage Pass-Through25.3%
 
 
 
Federal Home Loan Mortgage Corp.
4,503

2.000%—12/01/2051
3,671
42,996

2.500%—07/01/2050-01/01/2054
37,013
13,211

3.000%—02/01/2033-12/01/2046
12,593
4,910

3.500%—07/01/2034-06/01/2048
4,635
9,574

4.000%—04/01/2034-11/01/2048
9,339
10,486

4.500%—12/01/2040-05/01/2053
10,447
15,523

5.000%—08/01/2052-05/01/2054
15,759
7,663

5.500%—02/01/2038-07/01/2054
7,902
665

6.000%—01/01/2029-05/01/2040
700
2

6.154% (U.S. Treasury Yield Curve Rate T Note 1
Year Constant Maturity Treasury + 2.250%)
08/01/20353
2
 
 
102,061
Federal Home Loan Mortgage Corp. REMICS
7,225
Series 5462
2.000%—05/25/2037
485
2,538
Series 4628 Cl. CI
3.000%—05/15/2035
176
10,223
Series 5158 Cl. BI
3.000%—05/25/2035
786
3,248
Series 4118
4.000%—10/15/2042
482
Series 2266 Cl. F
4.272% (30 Day USD Average SOFR + 0.564%)
11/15/20303
848
Series 4989 Cl. FA
4.489% (30 Day USD Average SOFR + 0.464%)
08/15/20403
836
775
Series 4989 Cl. FB
4.489% (30 Day USD Average SOFR + 0.464%)
10/15/20403
764
 
 
3,529
Federal Home Loan Mortgage Corp. STRIPS
9,086
Series 414 Cl. C1
1.500%—03/25/2037
488
12,721
Series 400 Cl. C14
2.000%—07/25/2037
874
1,341
Series 304 Cl. C45
3.000%—12/15/2027
20
 
 
1,382
Federal Home Loan Mortgage Corp. Structured
Pass-Through Certificates
4
Series E3 Cl. A
4.572%—08/15/20323
4
31
Series T-63 Cl. 1A1
4.868% (Fed 12 Month Treasury Average Constant
Maturity Treasury + 1.200%) 02/25/20453
30
 
 
34
Federal National Mortgage Association
10,240

2.000%—02/01/2051-04/01/2051
8,377
36,411

2.500%—04/01/2035-04/01/2052
32,477

32

Harbor Core Plus Fund
PORTFOLIO OF INVESTMENTS—Continued
Principal Amount, Value and Cost in Thousands
Mortgage Pass-Through—Continued
Principal
Amount
 
Value
$25,074

3.000%—06/01/2035-12/01/2050
$22,874
19,646

3.500%—12/01/2033-01/01/2051
18,441
29,824

4.000%—03/01/2026-02/01/2055
29,067
23,320

4.500%—03/01/2026-12/01/2050
23,246
23,419

5.000%—10/01/2031-05/01/2054
23,792
26

5.428% (Fed 12 Month Treasury Average Constant
Maturity Treasury + 1.400%) 10/01/20403
26
6,758

5.500%—03/01/2027-09/01/2041
7,011
1,160

6.000%—06/01/2027-06/01/2040
1,221
210

6.349% (USD IBOR Consumer Cash Fallback
12-month + 1.693%) 08/01/20353
215
135

6.405% (USD IBOR Consumer Cash Fallback
12-month + 1.715%) 06/01/20353
139
12

6.460% (USD IBOR Consumer Cash Fallback
12-month + 1.710%) 05/01/20353
12
 
 
166,898
Federal National Mortgage Association Interest
STRIPS
13,189
Series 435 Cl. C1
1.500%—03/25/2037
691
10,385
Series 427 Cl. C56
2.000%—03/25/2036
608
4,037
Series 407 Cl. 7
5.000%—03/25/2041
833
3,429
Series 435 Cl. C20
5.000%—05/25/2053
613
 
 
2,745
Federal National Mortgage Association REMICS
3,565
Series 2021-67 Cl. AI
0.845%—10/25/20513
210
14,811
Series 2020-81 Cl. AI
1.500%—11/25/2035
775
5,842
Series 2017-70 Cl. AS
1.792%—09/25/20573
378
3,626
Series 2011-98 Cl. ZL
3.500%—10/25/2041
3,468
1,893
Series 2016-102 Cl. JI
3.500%—02/25/2046
69
4,334
Series 2020-27 Cl. IM
3.500%—05/25/2035
326
5,300
Series 2020-44 Cl. AI
4.000%—07/25/2050
1,074
2,419
Series 2020-91 Cl. KI
4.000%—11/25/2043
326
905
Series 2015-38 Cl. DF
4.449% (30 Day USD Average SOFR + 0.424%)
06/25/20553
897
108
Series 2003-25 Cl. KP
5.000%—04/25/2033
108
1,603
Series 2015-30 Cl. EI
5.000%—05/25/2045
210
1,089
Series 2016-33 Cl. NI
5.000%—07/25/2034
143
2,814
Series 2018-36
5.000%—06/25/2048
398
5,631
Series 2019-49 Cl. IA
5.000%—05/25/2047
785
1,317
Series 2011-59 Cl. YI
6.000%—07/25/2041
193
11
Series 2006-5 Cl. 3A2
6.309%—05/25/20353
12
 
 
9,372
Mortgage Pass-Through—Continued
Principal
Amount
 
Value
$65
Federal National Mortgage Association REMICS
Trust
Series 2003-W1 Cl. 1A1
4.686%—12/25/20423
$66
Government National Mortgage Association
6,132

2.000%—02/20/2052
5,107
6,007

2.500%—09/20/2051
5,210
432

3.000%—11/15/2049
391
6,588

4.000%—09/15/2049-08/20/2052
6,308
907

4.500%—02/20/2049
901
12

4.750% (U.S. Treasury Yield Curve Rate T Note 1
Year Constant Maturity Treasury + 1.500%)
12/20/2026-11/20/20293
12
13,315

5.000%—08/15/2033-06/15/2050
13,452
3

5.375% (U.S. Treasury Yield Curve Rate T Note 1
Year Constant Maturity Treasury + 1.500%)
07/20/20273
3
58

5.625% (U.S. Treasury Yield Curve Rate T Note 1
Year Constant Maturity Treasury + 1.500%)
02/20/20323
59
 
 
31,443
Government National Mortgage Association
REMICS
10,937
Series 2018-148 Cl. GS
2.308% (1 Month USD Term SOFR + 5.986%)
02/16/20463
1,046
2,218
Series 2010-47 Cl. SK
2.810% (1 Month USD Term SOFR + 6.486%)
07/20/20373
55
2,356
Series 2007-41 Cl. SM
2.910% (1 Month USD Term SOFR + 6.586%)
07/20/20373
214
3,576
Series 2020-4 Cl. DI
4.000%—03/20/2041
444
3,158
Series 2014-2 Cl. IC
5.000%—01/16/2044
553
422
Series 2015-180 Cl. CI
5.000%—12/16/2045
57
449
Series 2017-163 Cl. IE
5.500%—02/20/2039
71
2,958
Series 2020-146 Cl. IG
5.500%—09/20/2046
491
195
Series 2016-136 Cl. IA
6.000%—10/20/2038
22
1,065
Series 2024-107
6.500%—06/20/2054
181
 
 
3,134
Total Mortgage Pass-Through
(Cost $333,769)
320,664
U.S. Government Obligations19.2%
 
 
 
U.S. Treasury Bonds
39,017

1.750%—08/15/2041
26,256
20,777

2.000%—08/15/2051
11,869
9,447

2.250%—02/15/2052
5,711
4,198

2.375%—02/15/2042
3,081
7,428

3.000%—08/15/2052
5,299
13,873

3.375%—08/15/2042
11,693
16,561

3.625%—05/15/2053
13,336
13,772

3.875%—05/15/2043
12,317
8,726

4.125%—08/15/2053
7,690

33

Harbor Core Plus Fund
PORTFOLIO OF INVESTMENTS—Continued
Principal Amount, Value and Cost in Thousands
U.S. Government Obligations—Continued
Principal
Amount
 
Value
$24,440
4.250%—02/15/2054-08/15/2054
$21,990
12,678

4.500%—02/15/2044
12,225
42,157
4.625%—05/15/2044-02/15/2055
41,074
9,313

4.750%—08/15/2055
9,111
13,664

4.875%—08/15/2045
13,745
 
 
195,397
U.S. Treasury Notes
34,509

3.500%—11/30/2030
34,070
5,902

3.625%—08/31/2030
5,865
9,116

4.000%—11/15/2035
8,930
 
 
48,865
Total U.S. Government Obligations
(Cost $275,351)
244,262
TOTAL INVESTMENTS—98.7%
(Cost $1,291,885)
1,252,294
CASH AND OTHER ASSETS, LESS LIABILITIES—1.3%
16,280
TOTAL NET ASSETS—100.0%
$1,268,574
FAIR VALUE MEASUREMENTS
As of January 31, 2026, the investment in CIFC Funding Ltd. (as disclosed in the preceding Portfolio of Investments) was classified as Level 3 and all other investments were classified as Level 2.
For more information on valuation inputs and their aggregation into the levels identified above, please refer to the Fair Value Measurements and Disclosures in Note 2 of the accompanying Notes to Portfolios of Investments.

x
Fair valued in accordance with the fair value pricing procedures applicable to the Funds.
1
Securities purchased in a transaction exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions exempt from registration, normally to qualified institutional buyers. The Fund has no right to demand registration of these securities. As of January 31, 2026, the aggregate value of these securities was $412,392 or 33% of net assets.
2
Step coupon security; the stated rate represents the rate in effect as of January 31, 2026.
3
Variable or floating rate security; the stated rate represents the rate in effect as of January 31, 2026.  The variable rate for such securities may be based on the indicated reference rate and spread or on an underlying asset or pool of assets rather than a reference rate and may be determined by current interest rates, prepayments or other financial indicators.
4
Rate changes from fixed to variable rate at a specified date prior to its final maturity. Stated rate is fixed rate currently in effect and stated date is the final maturity date.
5
Zero coupon bond
CLO
Collateralized Loan Obligation
MTN
Medium Term Note
REMICS
Real Estate Mortgage Investment Conduits
STRIPS
Separate Trading of Registered Interest and Principal of Securities
The accompanying notes are an integral part of the Portfolios of Investments.

34

Harbor Diversified International All Cap Fund
PORTFOLIO OF INVESTMENTS—January 31, 2026 (Unaudited)
Value and Cost in Thousands
COMMON STOCKS97.3%
Shares
 
Value
AEROSPACE & DEFENSE2.1%
226,878
BAE Systems PLC (United Kingdom)
$6,159
651,553
Rolls-Royce Holdings PLC (United Kingdom)
10,892
 
 
17,051
AUTOMOBILE COMPONENTS0.6%
205,200
Bridgestone Corp. (Japan)
4,620
AUTOMOBILES0.3%
13,751
Bayerische Motoren Werke AG (Germany)
1,416
425,000
Mitsubishi Motors Corp. (Japan)
1,045
 
 
2,461
BANKS16.1%
10,071,400
Bank Central Asia Tbk. PT (Indonesia)
4,450
274,415
Bank of Ireland Group PLC (Ireland)
5,575
60,131
Bank of Nova Scotia (Canada)
4,496
1,554,293
Barclays PLC (United Kingdom)
10,373
767,625
CaixaBank SA (Spain)
10,133
38,085
Capitec Bank Holdings Ltd. (South Africa)
10,226
65,455
Close Brothers Group PLC (United Kingdom)*
454
78,761
DBS Group Holdings Ltd. (Singapore)
3,661
166,457
DNB Bank ASA (Norway)
4,773
432,300
Grupo Financiero Banorte SAB de CV Class O (Mexico)
4,874
789,489
HDFC Bank Ltd. (India)
7,981
242,600
Japan Post Bank Co. Ltd. (Japan)
4,310
3,314,686
Lloyds Banking Group PLC (United Kingdom)
4,950
184,000
Mitsubishi UFJ Financial Group, Inc. (Japan)
3,332
476,071
National Bank of Greece SA (Greece)
8,405
376,000
Resona Holdings, Inc. (Japan)
4,384
172,433
Shinhan Financial Group Co. Ltd. (South Korea)
10,078
309,880
Standard Chartered PLC (United Kingdom)
7,929
141,600
Sumitomo Mitsui Trust Group, Inc. (Japan)
4,729
179,910
Svenska Handelsbanken AB Class A (Sweden)
2,836
127,813
UniCredit SpA (Italy)
11,138
 
 
129,087
BEVERAGES2.9%
441,200
Arca Continental SAB de CV (Mexico)
4,970
274,400
Asahi Group Holdings Ltd. (Japan)
2,873
29,963
Carlsberg AS Class B (Denmark)
4,073
17,836
Coca-Cola Europacific Partners PLC (Netherlands)
1,636
441,365
Davide Campari-Milano NV (Italy)
3,146
174,109
Diageo PLC (United Kingdom)
4,006
120,500
Kirin Holdings Co. Ltd. (Japan)
1,873
158,874
Treasury Wine Estates Ltd. (Australia)
592
 
 
23,169
BIOTECHNOLOGY0.4%
24,812
CSL Ltd. (Australia)
3,127
BROADLINE RETAIL1.9%
172,014
Naspers Ltd. Class N (South Africa)
10,531
19,400
Seria Co. Ltd. (Japan)
461
261,711
Vipshop Holdings Ltd. ADR (China)1
4,478
 
 
15,470
BUILDING PRODUCTS1.2%
117,269
Assa Abloy AB Class B (Sweden)
4,742
5,793
Geberit AG (Switzerland)
4,423
303,446
Reliance Worldwide Corp. Ltd. (Australia)
789
 
 
9,954
CAPITAL MARKETS4.3%
241,656
3i Group PLC (United Kingdom)
11,101
2,861,700
B3 SA - Brasil Bolsa Balcao (Brazil)
8,782
17,890
Brookfield Asset Management Ltd. Class A (Canada)
889
107,754
Brookfield Corp. (Canada)
4,912
COMMON STOCKS—Continued
Shares
 
Value
CAPITAL MARKETS—Continued
21,644
Hong Kong Exchanges & Clearing Ltd. (Hong Kong)
$1,193
114,676
IG Group Holdings PLC (United Kingdom)
2,128
245,452
Jupiter Fund Management PLC (United Kingdom)
631
397,000
Nomura Holdings, Inc. (Japan)
3,598
31,897
Rathbones Group PLC (United Kingdom)
965
 
 
34,199
CHEMICALS0.1%
56,100
Air Water, Inc. (Japan)
852
COMMERCIAL SERVICES & SUPPLIES0.9%
17,844
Befesa SA (Germany)2
654
28,700
Daiei Kankyo Co. Ltd. (Japan)
757
57,773
Elis SA (France)
1,677
30,600
Secom Co. Ltd. (Japan)
1,121
705,875
Serco Group PLC (United Kingdom)
2,898
 
 
7,107
CONSTRUCTION & ENGINEERING1.2%
60,590
AtkinsRealis Group, Inc. (Canada)
4,252
25,400
Kinden Corp. (Japan)
1,124
120,300
Obayashi Corp. (Japan)
2,716
16,455
Taisei Corp. (Japan)
1,641
 
 
9,733
CONSTRUCTION MATERIALS1.7%
419,721
Cemex SAB de CV ADR (Mexico)1
5,238
28,086
Holcim AG (Switzerland)
2,895
73,300
Taiheiyo Cement Corp. (Japan)
2,014
110,984
Wienerberger AG (Austria)
3,669
 
 
13,816
CONSUMER STAPLES DISTRIBUTION & RETAIL1.3%
43,411
Alimentation Couche-Tard, Inc. (Canada)
2,259
75,677
Koninklijke Ahold Delhaize NV (Netherlands)
2,959
82,326
Loblaw Cos. Ltd. (Canada)
3,704
91,000
Seven & i Holdings Co. Ltd. (Japan)
1,303
140,921
X5 Retail Group NV GDR (Russia)*,1
x
 
 
10,225
CONTAINERS & PACKAGING0.4%
825,991
Orora Ltd. (Australia)
1,173
65,100
Toyo Seikan Group Holdings Ltd. (Japan)
1,633
 
 
2,806
DISTRIBUTORS0.1%
93,482
Inchcape PLC (United Kingdom)
1,045
DIVERSIFIED CONSUMER SERVICES0.6%
145,413
Laureate Education, Inc. (United States)*
4,988
DIVERSIFIED TELECOMMUNICATION SERVICES0.8%
6,383,400
NTT, Inc. (Japan)
6,415
ELECTRIC UTILITIES0.4%
156,163
Iberdrola SA (Spain)
3,511
2,156
Iberdrola SA (Spain)*
48
x
 
 
3,559
ELECTRICAL EQUIPMENT2.4%
181,922
Havells India Ltd. (India)
2,539
15,430
Legrand SA (France)
2,464
86,000
Mitsubishi Electric Corp. (Japan)
2,689
24,811
Schneider Electric SE (France)
7,113
150,322
Vestas Wind Systems AS (Denmark)
4,556
 
 
19,361

35

Harbor Diversified International All Cap Fund
PORTFOLIO OF INVESTMENTS—Continued
Value and Cost in Thousands
COMMON STOCKS—Continued
Shares
 
Value
ELECTRONIC EQUIPMENT, INSTRUMENTS & COMPONENTS0.8%
127,315
Delta Electronics, Inc. (Taiwan)
$4,859
64,300
Murata Manufacturing Co. Ltd. (Japan)
1,306
 
 
6,165
ENERGY EQUIPMENT & SERVICES0.3%
369,177
John Wood Group PLC (United Kingdom)*
131
61,284
Technip Energies NV (France)
2,402
 
 
2,533
ENTERTAINMENT0.5%
13,500
Nintendo Co. Ltd. (Japan)
836
205,315
Tencent Music Entertainment Group ADR (China)1
3,445
 
 
4,281
FINANCIAL SERVICES0.3%
99,951
Edenred SE (France)
2,094
FOOD PRODUCTS2.5%
809,840
AVI Ltd. (South Africa)
5,353
37,661
Bakkafrost P (Norway)
1,819
715,856
Marico Ltd. (India)
5,692
29,000
Megmilk Snow Brand Co. Ltd. (Japan)
632
37,300
NH Foods Ltd. (Japan)
1,694
39,548
Salmar ASA (Norway)
2,356
21,800
Toyo Suisan Kaisha Ltd. (Japan)
1,557
12,996
Viscofan SA (Spain)
872
 
 
19,975
GROUND TRANSPORTATION0.7%
29,052
Canadian Pacific Kansas City Ltd. (Canada)
2,159
73,800
East Japan Railway Co. (Japan)
1,853
76,400
West Japan Railway Co. (Japan)
1,561
 
 
5,573
HEALTH CARE EQUIPMENT & SUPPLIES2.1%
7,617
Alcon AG (Switzerland)
616
10,758
BioMerieux (France)
1,249
31,512
Coloplast AS Class B (Denmark)
2,686
719,005
Convatec Group PLC (United Kingdom)2
2,268
63,700
Demant AS (Denmark)*
2,230
10,205
EssilorLuxottica SA (France)
3,120
331,500
Olympus Corp. (Japan)
3,960
40,800
Sysmex Corp. (Japan)
386
 
 
16,515
HEALTH CARE PROVIDERS & SERVICES0.5%
56,584
Amplifon SpA (Italy)
912
37,738
Fresenius Medical Care AG (Germany)
1,699
65,200
Ship Healthcare Holdings, Inc. (Japan)
1,075
 
 
3,686
HOTELS, RESTAURANTS & LEISURE2.0%
28,646
Aristocrat Leisure Ltd. (Australia)
1,064
151,549
Compass Group PLC (United Kingdom)
4,544
28,531
Domino’s Pizza Enterprises Ltd. (Australia)
452
321,304
Entain PLC (United Kingdom)
2,666
257,000
Galaxy Entertainment Group Ltd. (Hong Kong)
1,306
20,535
InterContinental Hotels Group PLC (United Kingdom)
2,774
800,615
SSP Group PLC (United Kingdom)
2,005
26,690
Whitbread PLC (United Kingdom)
996
 
 
15,807
HOUSEHOLD DURABLES1.5%
215,861
Barratt Redrow PLC (United Kingdom)
1,149
26,162
GN Store Nord AS (Denmark)*
459
504,115
Midea Group Co. Ltd. Class A (China)
5,630
COMMON STOCKS—Continued
Shares
 
Value
HOUSEHOLD DURABLES—Continued
95,700
Nikon Corp. (Japan)
$1,205
162,000
Sony Group Corp. (Japan)
3,572
 
 
12,015
HOUSEHOLD PRODUCTS0.6%
54,472
Reckitt Benckiser Group PLC (United Kingdom)
4,545
INDUSTRIAL CONGLOMERATES1.0%
169,500
CK Hutchison Holdings Ltd. (Hong Kong)
1,367
34,473
DCC PLC (United Kingdom)
2,185
44,800
Hitachi Ltd. (Japan)
1,554
33,100
Jardine Matheson Holdings Ltd. (Hong Kong)
2,412
84,000
Swire Pacific Ltd. Class A (Hong Kong)
811
 
 
8,329
INSURANCE5.8%
50,042
Admiral Group PLC (United Kingdom)
1,883
1,475,000
AIA Group Ltd. (Hong Kong)
17,018
3,073
Fairfax Financial Holdings Ltd. (Canada)
5,071
9,531
Hannover Rueck SE (Germany)
2,695
125,701
Hiscox Ltd. (United Kingdom)
2,557
186,500
Japan Post Holdings Co. Ltd. (Japan)
2,244
282,183
Prudential PLC (United Kingdom)
4,635
142,478
QBE Insurance Group Ltd. (Australia)
1,953
307,147
Sampo OYJ Class A (Finland)
3,425
123,300
Tokio Marine Holdings, Inc. (Japan)
4,596
 
 
46,077
INTERACTIVE MEDIA & SERVICES0.6%
225,350
Autotrader Group PLC (United Kingdom)2
1,661
259,586
Rightmove PLC (United Kingdom)
1,757
10,537
Scout24 SE (Germany)2
1,049
 
 
4,467
IT SERVICES0.4%
15,906
Alten SA (France)
1,559
38,900
NEC Corp. (Japan)
1,319
 
 
2,878
LEISURE PRODUCTS0.3%
77,700
Sega Sammy Holdings, Inc. (Japan)
1,219
60,781
Spin Master Corp. (Canada)2
830
 
 
2,049
LIFE SCIENCES TOOLS & SERVICES0.4%
44,025
Eurofins Scientific SE (France)
3,561
MACHINERY4.9%
41,724
Alfa Laval AB (Sweden)
2,417
25,838
ANDRITZ AG (Austria)
2,236
60,383
ATS Corp. (Canada)*
1,716
251,279
CNH Industrial NV (United States)
2,704
93,887
Fluidra SA (Spain)
2,731
32,105
GEA Group AG (Germany)
2,296
93,700
IHI Corp. (Japan)
2,168
43,900
Komatsu Ltd. (Japan)
1,680
69,500
Kubota Corp. (Japan)
1,065
275,522
Rotork PLC (United Kingdom)
1,337
78,940
Sandvik AB (Sweden)
3,117
2,248,412
Sany Heavy Industry Co. Ltd. Class A (China)
7,093
14,562
Stabilus SE (Germany)
334
354,000
Techtronic Industries Co. Ltd. (Hong Kong)
4,833
5,200
Toyota Industries Corp. (Japan)
665
68,377
Wartsila OYJ Abp (Finland)
2,772
 
 
39,164

36

Harbor Diversified International All Cap Fund
PORTFOLIO OF INVESTMENTS—Continued
Value and Cost in Thousands
COMMON STOCKS—Continued
Shares
 
Value
MARINE TRANSPORTATION0.1%
110,851
Irish Continental Group PLC (Ireland)
$839
MEDIA0.7%
40,826
Future PLC (United Kingdom)
302
74,300
Hakuhodo DY Holdings, Inc. (Japan)
555
883,519
ITV PLC (United Kingdom)
985
70,320
Nippon Television Holdings, Inc. (Japan)
1,690
43,100
TBS Holdings, Inc. (Japan)
1,671
76,496
WPP PLC (United Kingdom)
318
 
 
5,521
METALS & MINING7.2%
38,989
Acerinox SA (Spain)
579
101,755
ArcelorMittal SA (France)
5,526
127,946
Barrick Mining Corp. (Canada)
5,848
117,945
BHP Group Ltd. (Australia)
4,062
212,812
Deterra Royalties Ltd. (Australia)
621
38,500
Dowa Holdings Co. Ltd. (Japan)
2,280
137,600
First Quantum Minerals Ltd. (Canada)*
3,890
15,857
Franco-Nevada Corp. (Canada)
3,712
1,075,574
Glencore PLC (United Kingdom)*
7,333
11,259
Newmont Corp. CDI (Australia)1
1,271
4,400
OSAKA Titanium Technologies Co. Ltd. (Japan)
66
320,373
Severstal PAO GDR (Russia)*,1
x
47,293
Southern Copper Corp. (Peru)
9,001
109,800
Sumitomo Metal Mining Co. Ltd. (Japan)
6,205
79,053
Valterra Platinum Ltd. (South Africa)
7,103
 
 
57,497
OIL, GAS & CONSUMABLE FUELS3.7%
1,222,546
BP PLC (United Kingdom)
7,752
89,436
Canadian Natural Resources Ltd. (Canada)
3,325
66,566
Equinor ASA (Norway)
1,789
179,300
Idemitsu Kosan Co. Ltd. (Japan)
1,521
55,300
Inpex Corp. (Japan)
1,239
87,968
PrairieSky Royalty Ltd. (Canada)
1,915
690,809
PRIO SA (Brazil)*
6,693
464,842
Santos Ltd. (Australia)
2,267
249,905
Secure Waste Infrastructure Corp. (Canada)
3,225
 
 
29,726
PAPER & FOREST PRODUCTS0.2%
22,844
Stella-Jones, Inc. (Canada)
1,532
PASSENGER AIRLINES1.5%
47,166
Copa Holdings SA Class A (Panama)
6,433
259,147
easyJet PLC (United Kingdom)
1,696
40,245
Exchange Income Corp. (Canada)
2,808
152,298
Qantas Airways Ltd. (Australia)
1,065
 
 
12,002
PERSONAL CARE PRODUCTS0.2%
113,200
Shiseido Co. Ltd. (Japan)
1,933
PHARMACEUTICALS1.1%
129,567
Novo Nordisk AS Class B (Denmark)
7,693
51,100
Tsumura & Co. (Japan)
1,351
 
 
9,044
PROFESSIONAL SERVICES1.7%
68,944
ALS Ltd. (Australia)
1,176
63,680
Experian PLC (United Kingdom)
2,412
50,286
Intertek Group PLC (United Kingdom)
3,085
434,108
IPH Ltd. (Australia)
1,126
242,077
Pagegroup PLC (United Kingdom)
684
18,289
Randstad NV (Netherlands)
654
COMMON STOCKS—Continued
Shares
 
Value
PROFESSIONAL SERVICES—Continued
134,659
RELX PLC (United Kingdom)
$4,774
 
 
13,911
REAL ESTATE MANAGEMENT & DEVELOPMENT1.2%
1,247,554
China Resources Land Ltd. (China)
4,886
95,600
Daiwa House Industry Co. Ltd. (Japan)
3,257
255,972
Henderson Land Development Co. Ltd. (Hong Kong)
1,018
 
 
9,161
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT5.6%
8,191
ASML Holding NV (Netherlands)
11,745
50,200
ASMPT Ltd. (Hong Kong)
669
116,000
MediaTek, Inc. (Taiwan)
6,435
465,084
Taiwan Semiconductor Manufacturing Co. Ltd. (Taiwan)
25,717
 
 
44,566
SOFTWARE0.5%
1,101
Constellation Software, Inc. (Canada)
2,032
33,349
Dassault Systemes SE (France)
917
5,818
Lumine Group, Inc. (Canada)*
96
12,700
Oracle Corp. (Japan)
859
 
 
3,904
SPECIALTY RETAIL1.2%
97,400
ABC-Mart, Inc. (Japan)
1,561
52,600
Nitori Holdings Co. Ltd. (Japan)
899
304,607
Pets at Home Group PLC (United Kingdom)
853
227,100
USS Co. Ltd. (Japan)
2,509
131,885
WH Smith PLC (United Kingdom)
1,218
287,500
ZOZO, Inc. (Japan)
2,375
 
 
9,415
TECHNOLOGY HARDWARE, STORAGE & PERIPHERALS1.6%
115,430
Samsung Electronics Co. Ltd. (South Korea)
12,752
TEXTILES, APPAREL & LUXURY GOODS2.5%
15,945
adidas AG (Germany)
2,827
30,868
Cie Financiere Richemont SA Class A (Switzerland)
5,992
40,895
Gildan Activewear, Inc. (Canada)
2,657
658,000
Li Ning Co. Ltd. (China)
1,721
1,291,200
Samsonite Group SA (Hong Kong)2
3,280
456,500
Shenzhou International Group Holdings Ltd. (China)
3,631
 
 
20,108
TRADING COMPANIES & DISTRIBUTORS2.0%
366,800
BOC Aviation Ltd. (China)2
3,800
39,171
Brenntag SE (Germany)
2,383
103,590
Bunzl PLC (United Kingdom)
2,905
37,799
Finning International, Inc. (Canada)
2,370
54,100
Mitsubishi Corp. (Japan)
1,437
47,477
Rexel SA (France)
1,990
45,888
Richelieu Hardware Ltd. (Canada)
1,372
 
 
16,257
TRANSPORTATION INFRASTRUCTURE0.1%
125,400
Mitsubishi Logistics Corp. (Japan)
1,071
WIRELESS TELECOMMUNICATION SERVICES1.3%
764,898
Empresa Nacional de Telecomunicaciones SA (Chile)
4,107
98,842
Millicom International Cellular SA (Sweden)
6,032
 
 
10,139
TOTAL COMMON STOCKS
(Cost $459,171)
778,137

37

Harbor Diversified International All Cap Fund
PORTFOLIO OF INVESTMENTS—Continued
Value and Cost in Thousands
PREFERRED STOCKS0.6%
Shares
 
Value
(Cost $2,423)
BEVERAGES0.6%
944,086
Embotelladora Andina SA (Chile)
$4,959
TOTAL INVESTMENTS—97.9%
(Cost $461,594)
783,096
CASH AND OTHER ASSETS, LESS LIABILITIES—2.1%
16,701
TOTAL NET ASSETS—100%
$799,797
RIGHTS/WARRANTS
Description
Shares
Strike Price
Expiration Date
Cost
(000s)
Value
(000s)
Constellation Software, Inc. (Canada)*
3,982
CAD 0.00
03/31/2040
$
$x
FAIR VALUE MEASUREMENTS
The following table summarizes the Fund’s investments as of January 31, 2026 based on the inputs used to value them.
Asset Category
Quoted Prices
Level 1
(000s)
Other Significant
Observable Inputs
Level 2
(000s)
Significant
Unobservable
Inputs
Level 3
(000s)
Total
(000s)
Common Stocks
 
 
 
 
Africa
$
$33,213
$
$33,213
Europe
7,668
318,787
326,455
Latin America
45,991
4,107
50,098
Middle East/Central Asia
39,042
39,042
North America
72,762
72,762
Pacific Basin
7,923
248,644
256,567
Preferred Stocks
Latin America
4,959
4,959
Total Investments in Securities
$134,344
$648,752
$
$783,096
Financial Derivative Instruments - Assets
Rights/Warrants
$
$
$
$
Total Investments
$134,344
$648,752
$
$783,096
For more information on valuation inputs and their aggregation into the levels identified above, please refer to the Fair Value Measurements and Disclosures in Note 2 of the accompanying Notes to Portfolio of Investments.
The following is a rollforward of the Fund’s Level 3 investments during the period ended January 31, 2026. Transfers into or out of Level 3, if any, are recognized as of the last day in the fiscal quarter of the period in which the event or change in circumstances that caused the reclassification occurred.
Valuation
Description
Beginning
Balance
as of
11/01/2025
(000s)
Purchases
(000s)
Sales
(000s)
Discount/
(Premium)
(000s)
Total
Realized
Gain/(Loss)
(000s)
Change in
Unrealized
Appreciation/
(Depreciation)
(000s)
Transfers
Into
Level 3
(000s)
Transfers
Out of
Level 3h
(000s)
Ending
Balance
as of
01/31/2026
(000s)
Unrealized
Gain/(Loss)
as of
01/31/2026
(000s)
Common Stock
$
$
$(35)
$
$(196)
$362
$
$(131)
$
$(11,174)

38

Harbor Diversified International All Cap Fund
PORTFOLIO OF INVESTMENTS—Continued
FAIR VALUE MEASUREMENTS—Continued
The following is a summary of significant unobservable inputs used in the fair valuations of assets and liabilities categorized within Level 3 of the fair value hierarchy.
Valuation Descriptions
Ending Balance
as of 01/31/2026
(000s)
Valuation
Technique
Unobservable
Input(s)
Input
Value(s)
Investments in Securities
 
 
 
Common Stocks
 
 
 
Severstal PAO GDR (Russia)*
$
Market Approach
Estimated Recovery Value
$0.00
X5 Retail Group NV GDR (Russia)*
Market Approach
Estimated Recovery Value
$0.00
 
$
 
 
 

*
Non-income producing security
x
Fair valued in accordance with the fair value pricing procedures applicable to the Funds.
h
Transferred into Level 3 due to the unavailability of observable market data for pricing or transferred out of Level 3 due to availability of observable market data for pricing.
1
Depositary receipts such as American Depositary Receipts (ADRs), Global Depositary Receipts (GDRs) and other country specific depositary receipts are certificates evidencing ownership of shares of a foreign issuer. These certificates are issued by depositary banks and generally trade on an established market in the U.S. or elsewhere.
2
Securities purchased in a transaction exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions exempt from registration, normally to qualified institutional buyers. The Fund has no right to demand registration of these securities. As of January 31, 2026, the aggregate value of these securities was $13,542 or 2% of net assets.
CAD
Canadian Dollar
The accompanying notes are an integral part of the Portfolios of Investments.

39

Harbor International Fund
PORTFOLIO OF INVESTMENTS—January 31, 2026 (Unaudited)
Value and Cost in Thousands
COMMON STOCKS98.6%
Shares
 
Value
AEROSPACE & DEFENSE3.3%
1,733,661
BAE Systems PLC (United Kingdom)
$47,064
4,965,139
Rolls-Royce Holdings PLC (United Kingdom)
83,002
 
 
130,066
AUTOMOBILE COMPONENTS0.9%
1,541,000
Bridgestone Corp. (Japan)
34,694
AUTOMOBILES0.5%
102,262
Bayerische Motoren Werke AG (Germany)
10,531
3,090,000
Mitsubishi Motors Corp. (Japan)
7,596
 
 
18,127
BANKS16.3%
8,828,900
Bank Central Asia Tbk. PT (Indonesia)
3,901
2,089,278
Bank of Ireland Group PLC (Ireland)
42,449
11,854,084
Barclays PLC (United Kingdom)
79,115
5,859,151
CaixaBank SA (Spain)
77,342
33,386
Capitec Bank Holdings Ltd. (South Africa)
8,964
511,391
Close Brothers Group PLC (United Kingdom)*
3,550
621,217
DBS Group Holdings Ltd. (Singapore)
28,876
1,270,509
DNB Bank ASA (Norway)
36,430
379,000
Grupo Financiero Banorte SAB de CV Class O (Mexico)
4,273
692,255
HDFC Bank Ltd. (India)
6,998
1,769,000
Japan Post Bank Co. Ltd. (Japan)
31,430
24,650,774
Lloyds Banking Group PLC (United Kingdom)
36,809
1,455,200
Mitsubishi UFJ Financial Group, Inc. (Japan)
26,354
416,175
National Bank of Greece SA (Greece)
7,347
2,741,600
Resona Holdings, Inc. (Japan)
31,967
151,196
Shinhan Financial Group Co. Ltd. (South Korea)
8,836
2,433,131
Standard Chartered PLC (United Kingdom)
62,255
1,065,300
Sumitomo Mitsui Trust Group, Inc. (Japan)
35,580
1,337,964
Svenska Handelsbanken AB Class A (Sweden)
21,093
974,832
UniCredit SpA (Italy)
84,953
 
 
638,522
BEVERAGES3.6%
386,800
Arca Continental SAB de CV (Mexico)
4,357
2,019,200
Asahi Group Holdings Ltd. (Japan)
21,139
229,059
Carlsberg AS Class B (Denmark)
31,140
139,350
Coca-Cola Europacific Partners PLC (Netherlands)
12,778
3,365,273
Davide Campari-Milano NV (Italy)
23,985
1,334,985
Diageo PLC (United Kingdom)
30,719
878,600
Kirin Holdings Co. Ltd. (Japan)
13,660
1,162,815
Treasury Wine Estates Ltd. (Australia)
4,333
 
 
142,111
BIOTECHNOLOGY0.6%
191,368
CSL Ltd. (Australia)
24,114
BROADLINE RETAIL0.4%
150,793
Naspers Ltd. Class N (South Africa)
9,232
151,700
Seria Co. Ltd. (Japan)
3,605
229,424
Vipshop Holdings Ltd. ADR (China)1
3,925
 
 
16,762
BUILDING PRODUCTS1.9%
895,756
Assa Abloy AB Class B (Sweden)
36,219
44,215
Geberit AG (Switzerland)
33,762
2,220,954
Reliance Worldwide Corp. Ltd. (Australia)
5,771
 
 
75,752
CAPITAL MARKETS4.0%
1,849,129
3i Group PLC (United Kingdom)
84,947
2,503,100
B3 SA - Brasil Bolsa Balcao (Brazil)
7,681
171,300
Hong Kong Exchanges & Clearing Ltd. (Hong Kong)
9,444
871,417
IG Group Holdings PLC (United Kingdom)
16,167
1,848,290
Jupiter Fund Management PLC (United Kingdom)
4,751
COMMON STOCKS—Continued
Shares
 
Value
CAPITAL MARKETS—Continued
2,895,000
Nomura Holdings, Inc. (Japan)
$26,236
249,207
Rathbones Group PLC (United Kingdom)
7,543
 
 
156,769
CHEMICALS0.2%
407,200
Air Water, Inc. (Japan)
6,181
COMMERCIAL SERVICES & SUPPLIES1.4%
132,702
Befesa SA (Germany)2
4,860
210,500
Daiei Kankyo Co. Ltd. (Japan)
5,552
451,375
Elis SA (France)
13,106
241,700
Secom Co. Ltd. (Japan)
8,854
5,414,352
Serco Group PLC (United Kingdom)
22,231
 
 
54,603
CONSTRUCTION & ENGINEERING1.0%
200,900
Kinden Corp. (Japan)
8,890
874,500
Obayashi Corp. (Japan)
19,740
119,774
Taisei Corp. (Japan)
11,947
 
 
40,577
CONSTRUCTION MATERIALS1.8%
366,914
Cemex SAB de CV ADR (Mexico)1
4,579
208,873
Holcim AG (Switzerland)
21,528
534,800
Taiheiyo Cement Corp. (Japan)
14,696
847,421
Wienerberger AG (Austria)
28,011
 
 
68,814
CONSUMER STAPLES DISTRIBUTION & RETAIL0.8%
574,784
Koninklijke Ahold Delhaize NV (Netherlands)
22,474
719,100
Seven & i Holdings Co. Ltd. (Japan)
10,298
95,013
X5 Retail Group NV GDR (Russia)*,1
x
 
 
32,772
CONTAINERS & PACKAGING0.5%
6,077,372
Orora Ltd. (Australia)
8,630
474,900
Toyo Seikan Group Holdings Ltd. (Japan)
11,915
 
 
20,545
DISTRIBUTORS0.2%
695,214
Inchcape PLC (United Kingdom)
7,774
DIVERSIFIED CONSUMER SERVICES0.1%
127,474
Laureate Education, Inc. (United States)*
4,372
DIVERSIFIED TELECOMMUNICATION SERVICES1.2%
47,301,800
NTT, Inc. (Japan)
47,533
ELECTRIC UTILITIES0.7%
1,161,355
Iberdrola SA (Spain)
26,110
16,136
Iberdrola SA (Spain)*
362
x
 
 
26,472
ELECTRICAL EQUIPMENT3.3%
159,478
Havells India Ltd. (India)
2,226
114,747
Legrand SA (France)
18,320
677,600
Mitsubishi Electric Corp. (Japan)
21,183
188,739
Schneider Electric SE (France)
54,112
1,145,637
Vestas Wind Systems AS (Denmark)
34,726
 
 
130,567
ELECTRONIC EQUIPMENT, INSTRUMENTS & COMPONENTS0.4%
112,000
Delta Electronics, Inc. (Taiwan)
4,274
508,700
Murata Manufacturing Co. Ltd. (Japan)
10,335
 
 
14,609

40

Harbor International Fund
PORTFOLIO OF INVESTMENTS—Continued
Value and Cost in Thousands
COMMON STOCKS—Continued
Shares
 
Value
ENERGY EQUIPMENT & SERVICES0.5%
2,745,506
John Wood Group PLC (United Kingdom)*
$976
478,802
Technip Energies NV (France)
18,764
 
 
19,740
ENTERTAINMENT0.2%
106,200
Nintendo Co. Ltd. (Japan)
6,577
179,985
Tencent Music Entertainment Group ADR (China)1
3,020
 
 
9,597
FINANCIAL SERVICES0.4%
765,631
Edenred SE (France)
16,037
FOOD PRODUCTS2.0%
710,446
AVI Ltd. (South Africa)
4,696
287,219
Bakkafrost P (Norway)
13,875
627,542
Marico Ltd. (India)
4,990
211,400
Megmilk Snow Brand Co. Ltd. (Japan)
4,604
272,000
NH Foods Ltd. (Japan)
12,349
301,563
Salmar ASA (Norway)
17,964
164,100
Toyo Suisan Kaisha Ltd. (Japan)
11,716
96,651
Viscofan SA (Spain)
6,487
 
 
76,681
GROUND TRANSPORTATION0.6%
538,300
East Japan Railway Co. (Japan)
13,514
555,100
West Japan Railway Co. (Japan)
11,343
 
 
24,857
HEALTH CARE EQUIPMENT & SUPPLIES3.2%
59,327
Alcon AG (Switzerland)
4,802
84,052
BioMerieux (France)
9,761
241,784
Coloplast AS Class B (Denmark)
20,611
5,467,217
Convatec Group PLC (United Kingdom)2
17,245
486,713
Demant AS (Denmark)*
17,036
75,890
EssilorLuxottica SA (France)
23,199
2,499,800
Olympus Corp. (Japan)
29,859
320,400
Sysmex Corp. (Japan)
3,032
 
 
125,545
HEALTH CARE PROVIDERS & SERVICES0.7%
419,429
Amplifon SpA (Italy)
6,762
288,420
Fresenius Medical Care AG (Germany)
12,985
480,100
Ship Healthcare Holdings, Inc. (Japan)
7,914
 
 
27,661
HOTELS, RESTAURANTS & LEISURE3.1%
226,474
Aristocrat Leisure Ltd. (Australia)
8,413
1,155,315
Compass Group PLC (United Kingdom)
34,643
223,760
Domino’s Pizza Enterprises Ltd. (Australia)
3,544
2,460,016
Entain PLC (United Kingdom)
20,409
2,034,000
Galaxy Entertainment Group Ltd. (Hong Kong)
10,334
160,436
InterContinental Hotels Group PLC (United Kingdom)
21,675
6,103,612
SSP Group PLC (United Kingdom)
15,283
198,492
Whitbread PLC (United Kingdom)
7,409
 
 
121,710
HOUSEHOLD DURABLES1.4%
1,686,500
Barratt Redrow PLC (United Kingdom)
8,980
194,564
GN Store Nord AS (Denmark)*
3,415
441,900
Midea Group Co. Ltd. Class A (China)
4,936
697,900
Nikon Corp. (Japan)
8,784
1,230,000
Sony Group Corp. (Japan)
27,119
 
 
53,234
HOUSEHOLD PRODUCTS0.9%
415,230
Reckitt Benckiser Group PLC (United Kingdom)
34,642
COMMON STOCKS—Continued
Shares
 
Value
INDUSTRIAL CONGLOMERATES1.6%
1,341,000
CK Hutchison Holdings Ltd. (Hong Kong)
$10,813
263,397
DCC PLC (United Kingdom)
16,697
354,200
Hitachi Ltd. (Japan)
12,291
253,400
Jardine Matheson Holdings Ltd. (Hong Kong)
18,467
658,500
Swire Pacific Ltd. Class A (Hong Kong)
6,354
 
 
64,622
INSURANCE6.4%
372,155
Admiral Group PLC (United Kingdom)
14,006
5,857,400
AIA Group Ltd. (Hong Kong)
67,580
74,467
Hannover Rueck SE (Germany)
21,055
982,083
Hiscox Ltd. (United Kingdom)
19,975
1,471,700
Japan Post Holdings Co. Ltd. (Japan)
17,709
2,212,012
Prudential PLC (United Kingdom)
36,333
1,126,423
QBE Insurance Group Ltd. (Australia)
15,438
2,324,798
Sampo OYJ Class A (Finland)
25,927
931,500
Tokio Marine Holdings, Inc. (Japan)
34,719
 
 
252,742
INTERACTIVE MEDIA & SERVICES0.8%
1,675,892
Autotrader Group PLC (United Kingdom)2
12,354
1,930,495
Rightmove PLC (United Kingdom)
13,068
78,134
Scout24 SE (Germany)2
7,779
 
 
33,201
IT SERVICES0.6%
121,156
Alten SA (France)
11,877
283,100
NEC Corp. (Japan)
9,597
 
 
21,474
LEISURE PRODUCTS0.2%
566,900
Sega Sammy Holdings, Inc. (Japan)
8,892
LIFE SCIENCES TOOLS & SERVICES0.7%
327,407
Eurofins Scientific SE (France)
26,485
MACHINERY5.4%
310,293
Alfa Laval AB (Sweden)
17,973
201,873
ANDRITZ AG (Austria)
17,467
1,899,123
CNH Industrial NV (United States)
20,435
714,971
Fluidra SA (Spain)
20,797
250,829
GEA Group AG (Germany)
17,935
683,700
IHI Corp. (Japan)
15,818
319,300
Komatsu Ltd. (Japan)
12,221
509,500
Kubota Corp. (Japan)
7,806
2,152,620
Rotork PLC (United Kingdom)
10,446
587,060
Sandvik AB (Sweden)
23,181
1,972,500
Sany Heavy Industry Co. Ltd. Class A (China)
6,223
108,294
Stabilus SE (Germany)
2,486
848,000
Techtronic Industries Co. Ltd. (Hong Kong)
11,577
41,100
Toyota Industries Corp. (Japan)
5,259
508,505
Wartsila OYJ Abp (Finland)
20,615
 
 
210,239
MARINE TRANSPORTATION0.2%
839,874
Irish Continental Group PLC (Ireland)
6,355
MEDIA1.0%
313,795
Future PLC (United Kingdom)
2,323
538,700
Hakuhodo DY Holdings, Inc. (Japan)
4,025
6,570,585
ITV PLC (United Kingdom)
7,326
512,900
Nippon Television Holdings, Inc. (Japan)
12,327
314,200
TBS Holdings, Inc. (Japan)
12,182
597,655
WPP PLC (United Kingdom)
2,479
 
 
40,662

41

Harbor International Fund
PORTFOLIO OF INVESTMENTS—Continued
Value and Cost in Thousands
COMMON STOCKS—Continued
Shares
 
Value
METALS & MINING5.9%
289,953
Acerinox SA (Spain)
$4,307
774,946
ArcelorMittal SA (France)
42,086
932,512
BHP Group Ltd. (Australia)
32,118
1,565,803
Deterra Royalties Ltd. (Australia)
4,572
280,800
Dowa Holdings Co. Ltd. (Japan)
16,631
120,624
First Quantum Minerals Ltd. (Canada)*
3,410
8,265,610
Glencore PLC (United Kingdom)*
56,350
89,013
Newmont Corp. CDI (Australia)1
10,051
32,200
OSAKA Titanium Technologies Co. Ltd. (Japan)
479
217,215
Severstal PAO GDR (Russia)*,1
x
41,342
Southern Copper Corp. (Peru)
7,868
815,100
Sumitomo Metal Mining Co. Ltd. (Japan)
46,060
69,350
Valterra Platinum Ltd. (South Africa)
6,231
 
 
230,163
OIL, GAS & CONSUMABLE FUELS3.0%
9,309,657
BP PLC (United Kingdom)
59,028
495,038
Equinor ASA (Norway)
13,306
1,417,700
Idemitsu Kosan Co. Ltd. (Japan)
12,030
402,200
Inpex Corp. (Japan)
9,011
604,224
PRIO SA (Brazil)*
5,854
3,540,988
Santos Ltd. (Australia)
17,269
 
 
116,498
PASSENGER AIRLINES0.7%
41,348
Copa Holdings SA Class A (Panama)
5,640
1,970,551
easyJet PLC (United Kingdom)
12,893
1,204,062
Qantas Airways Ltd. (Australia)
8,418
 
 
26,951
PERSONAL CARE PRODUCTS0.4%
846,200
Shiseido Co. Ltd. (Japan)
14,453
PHARMACEUTICALS1.7%
987,072
Novo Nordisk AS Class B (Denmark)
58,612
371,600
Tsumura & Co. (Japan)
9,823
 
 
68,435
PROFESSIONAL SERVICES2.7%
545,069
ALS Ltd. (Australia)
9,294
110,367
Capita PLC (United Kingdom)*
571
473,576
Experian PLC (United Kingdom)
17,937
384,520
Intertek Group PLC (United Kingdom)
23,589
3,251,109
IPH Ltd. (Australia)
8,436
1,891,321
Pagegroup PLC (United Kingdom)
5,344
142,889
Randstad NV (Netherlands)
5,114
1,024,517
RELX PLC (United Kingdom)
36,321
 
 
106,606
REAL ESTATE MANAGEMENT & DEVELOPMENT0.9%
1,094,492
China Resources Land Ltd. (China)
4,286
703,500
Daiwa House Industry Co. Ltd. (Japan)
23,971
2,016,879
Henderson Land Development Co. Ltd. (Hong Kong)
8,023
 
 
36,280
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT3.2%
63,998
ASML Holding NV (Netherlands)
91,767
393,600
ASMPT Ltd. (Hong Kong)
5,249
101,000
MediaTek, Inc. (Taiwan)
5,603
COMMON STOCKS—Continued
Shares
 
Value
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT—Continued
406,993
Taiwan Semiconductor Manufacturing Co. Ltd. (Taiwan)
$22,505
 
 
125,124
SOFTWARE0.3%
248,010
Dassault Systemes SE (France)
6,822
92,900
Oracle Corp. (Japan)
6,286
 
 
13,108
SPECIALTY RETAIL1.8%
716,300
ABC-Mart, Inc. (Japan)
11,475
415,900
Nitori Holdings Co. Ltd. (Japan)
7,109
2,379,856
Pets at Home Group PLC (United Kingdom)
6,665
1,666,200
USS Co. Ltd. (Japan)
18,411
1,003,228
WH Smith PLC (United Kingdom)
9,266
2,185,000
ZOZO, Inc. (Japan)
18,047
 
 
70,973
TECHNOLOGY HARDWARE, STORAGE & PERIPHERALS0.3%
101,189
Samsung Electronics Co. Ltd. (South Korea)
11,179
TEXTILES, APPAREL & LUXURY GOODS2.5%
122,284
adidas AG (Germany)
21,681
235,283
Cie Financiere Richemont SA Class A (Switzerland)
45,671
577,000
Li Ning Co. Ltd. (China)
1,509
9,751,800
Samsonite Group SA (Hong Kong)2
24,776
400,218
Shenzhou International Group Holdings Ltd. (China)
3,183
 
 
96,820
TRADING COMPANIES & DISTRIBUTORS1.8%
321,600
BOC Aviation Ltd. (China)2
3,332
299,569
Brenntag SE (Germany)
18,226
791,943
Bunzl PLC (United Kingdom)
22,208
427,600
Mitsubishi Corp. (Japan)
11,360
353,078
Rexel SA (France)
14,796
 
 
69,922
TRANSPORTATION INFRASTRUCTURE0.2%
914,300
Mitsubishi Logistics Corp. (Japan)
7,810
WIRELESS TELECOMMUNICATION SERVICES0.2%
697,380
Empresa Nacional de Telecomunicaciones SA (Chile)
3,744
86,649
Millicom International Cellular SA (Sweden)
5,288
 
 
9,032
TOTAL COMMON STOCKS
(Cost $2,419,318)
3,869,466
PREFERRED STOCKS0.1%
 
 
 
(Cost $2,104)
BEVERAGES0.1%
827,615
Embotelladora Andina SA (Chile)
4,348
TOTAL INVESTMENTS—98.7%
(Cost $2,421,422)
3,873,814
CASH AND OTHER ASSETS, LESS LIABILITIES—1.3%
52,767
TOTAL NET ASSETS—100%
$3,926,581

42

Harbor International Fund
PORTFOLIO OF INVESTMENTS—Continued
FAIR VALUE MEASUREMENTS
The following table summarizes the Fund’s investments as of January 31, 2026 based on the inputs used to value them.
Asset Category
Quoted Prices
Level 1
(000s)
Other Significant
Observable Inputs
Level 2
(000s)
Significant
Unobservable
Inputs
Level 3
(000s)
Total
(000s)
Common Stocks
 
 
 
 
Africa
$
$29,123
$
$29,123
Europe
18,066
2,375,246
2,393,312
Latin America
40,252
3,744
43,996
Middle East/Central Asia
34,229
34,229
North America
28,217
28,217
Pacific Basin
6,945
1,333,644
1,340,589
Preferred Stocks
Latin America
4,348
4,348
Total Investments in Securities
$93,480
$3,780,334
$
$3,873,814
For more information on valuation inputs and their aggregation into the levels identified above, please refer to the Fair Value Measurements and Disclosures in Note 2 of the accompanying Notes to Portfolio of Investments.
The following is a rollforward of the Fund’s Level 3 investments during the period ended January 31, 2026. Transfers into or out of Level 3, if any, are recognized as of the last day in the fiscal quarter of the period in which the event or change in circumstances that caused the reclassification occurred.
Valuation
Description
Beginning
Balance
as of
11/01/2025
(000s)
Purchases
(000s)
Sales
(000s)
Discount/
(Premium)
(000s)
Total
Realized
Gain/(Loss)
(000s)
Change in
Unrealized
Appreciation/
(Depreciation)
(000s)
Transfers
Into
Level 3
(000s)
Transfers
Out of
Level 3h
(000s)
Ending
Balance
as of
01/31/2026
(000s)
Unrealized
Gain/(Loss)
as of
01/31/2026
(000s)
Common Stock
$
$
$(89)
$
$(1,003)
$2,068
$
$(976)
$
$(7,678)
The following is a summary of significant unobservable inputs used in the fair valuations of assets and liabilities categorized within Level 3 of the fair value hierarchy.
Valuation Descriptions
Ending Balance
as of 01/31/2026
(000s)
Valuation
Technique
Unobservable
Input(s)
Input
Value(s)
Investments in Securities
 
 
 
Common Stocks
 
 
 
Severstal PAO GDR (Russia)*
$
Market Approach
Estimated Recovery Value
$0.00
X5 Retail Group NV GDR (Russia)*
Market Approach
Estimated Recovery Value
$0.00
 
$
 
 
 

*
Non-income producing security
x
Fair valued in accordance with the fair value pricing procedures applicable to the Funds.
h
Transferred into Level 3 due to the unavailability of observable market data for pricing or transferred out of Level 3 due to availability of observable market data for pricing.
1
Depositary receipts such as American Depositary Receipts (ADRs), Global Depositary Receipts (GDRs) and other country specific depositary receipts are certificates evidencing ownership of shares of a foreign issuer. These certificates are issued by depositary banks and generally trade on an established market in the U.S. or elsewhere.
2
Securities purchased in a transaction exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions exempt from registration, normally to qualified institutional buyers. The Fund has no right to demand registration of these securities. As of January 31, 2026, the aggregate value of these securities was $70,346 or 2% of net assets.
The accompanying notes are an integral part of the Portfolios of Investments.

43

Harbor International Compounders Fund
PORTFOLIO OF INVESTMENTS—January 31, 2026 (Unaudited)
Value and Cost in Thousands
COMMON STOCKS98.9%
Shares
 
Value
AEROSPACE & DEFENSE2.5%
601
Rheinmetall AG (Germany)
$1,273
BANKS6.6%
2,154,400
Bank Central Asia Tbk. PT (Indonesia)
952
77,050
HDFC Bank Ltd. ADR (India)1
2,495
 
 
3,447
BROADLINE RETAIL7.3%
771
MercadoLibre, Inc. (Brazil)*
1,656
37,576
Prosus NV (China)
2,161
 
 
3,817
BUILDING PRODUCTS3.7%
48,093
Assa Abloy AB Class B (Sweden)
1,945
CAPITAL MARKETS3.1%
6,414
Deutsche Boerse AG (Germany)
1,624
CHEMICALS3.0%
3,413
Linde PLC (United States)
1,560
CONSTRUCTION & ENGINEERING2.5%
8,882
Vinci SA (France)
1,277
CONSTRUCTION MATERIALS2.5%
4,646
Heidelberg Materials AG (Germany)
1,272
CONSUMER STAPLES DISTRIBUTION & RETAIL3.0%
265,593
Tesco PLC (United Kingdom)
1,545
ELECTRIC UTILITIES3.4%
53,679
SSE PLC (United Kingdom)
1,784
ELECTRICAL EQUIPMENT6.5%
24,800
Contemporary Amperex Technology Co. Ltd. Class H (China)
1,547
6,301
Schneider Electric SE (France)
1,807
 
 
3,354
ELECTRONIC EQUIPMENT, INSTRUMENTS & COMPONENTS2.1%
3,000
Keyence Corp. (Japan)
1,101
FOOD PRODUCTS3.1%
16,803
Nestle SA (United States)
1,603
HEALTH CARE EQUIPMENT & SUPPLIES4.5%
14,000
Hoya Corp. (Japan)
2,349
COMMON STOCKS—Continued
Shares
 
Value
HOTELS, RESTAURANTS & LEISURE2.7%
46,600
Compass Group PLC (United Kingdom)
$1,397
HOUSEHOLD DURABLES3.1%
73,900
Sony Group Corp. (Japan)
1,629
INDUSTRIAL CONGLOMERATES4.4%
7,592
Siemens AG (Germany)
2,295
INSURANCE4.4%
200,000
AIA Group Ltd. (Hong Kong)
2,307
PERSONAL CARE PRODUCTS3.0%
3,349
L’Oreal SA (France)
1,539
PHARMACEUTICALS7.1%
12,054
AstraZeneca PLC (United Kingdom)
2,246
7,713
Galderma Group AG (Switzerland)
1,438
 
 
3,684
PROFESSIONAL SERVICES2.8%
41,255
RELX PLC (United Kingdom)
1,463
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT12.2%
1,748
ASML Holding NV (Netherlands)
2,507
11,611
Taiwan Semiconductor Manufacturing Co. Ltd. ADR (Taiwan)1
3,838
 
 
6,345
SOFTWARE2.9%
7,513
SAP SE (Germany)
1,501
TEXTILES, APPAREL & LUXURY GOODS2.5%
1,999
LVMH Moet Hennessy Louis Vuitton SE (France)
1,290
TOTAL COMMON STOCKS
(Cost $44,679)
51,401
TOTAL INVESTMENTS—98.9%
(Cost $44,679)
51,401
CASH AND OTHER ASSETS, LESS LIABILITIES—1.1%
548
TOTAL NET ASSETS—100%
$51,949
FAIR VALUE MEASUREMENTS
The following table summarizes the Fund’s investments as of January 31, 2026 based on the inputs used to value them.
Asset Category
Quoted Prices
Level 1
(000s)
Other Significant
Observable Inputs
Level 2
(000s)
Significant
Unobservable
Inputs
Level 3
(000s)
Total
(000s)
Common Stocks
 
 
 
 
Europe
$
$28,203
$
$28,203
Latin America
1,656
1,656
Middle East/Central Asia
2,495
2,495
North America
1,560
1,603
3,163
Pacific Basin
3,838
12,046
15,884
Total Investments in Securities
$9,549
$41,852
$
$51,401

44

Harbor International Compounders Fund
PORTFOLIO OF INVESTMENTS—Continued
FAIR VALUE MEASUREMENTS—Continued
For more information on valuation inputs and their aggregation into the levels identified above, please refer to the Fair Value Measurements and Disclosures in Note 2 of the accompanying Notes to Portfolio of Investments.

*
Non-income producing security
1
Depositary receipts such as American Depositary Receipts (ADRs), Global Depositary Receipts (GDRs) and other country specific depositary receipts are certificates evidencing ownership of shares of a foreign issuer. These certificates are issued by depositary banks and generally trade on an established market in the U.S. or elsewhere.
The accompanying notes are an integral part of the Portfolios of Investments.

45

Harbor International Core Fund
PORTFOLIO OF INVESTMENTS—January 31, 2026 (Unaudited)
Value and Cost in Thousands
COMMON STOCKS95.9%
Shares
 
Value
AEROSPACE & DEFENSE2.7%
39,019
Airbus SE (France)
$8,933
1,335
Dassault Aviation SA (France)
508
144,992
Leonardo SpA (Italy)
9,689
52,137
Safran SA (France)
18,628
161,700
Singapore Technologies Engineering Ltd. (Singapore)
1,243
 
 
39,001
AIR FREIGHT & LOGISTICS0.0%
46,000
KLN Logistics Group Ltd. (China)
42
AUTOMOBILE COMPONENTS1.0%
1,943
AB Dynamics PLC (United Kingdom)
34
26,400
Aisin Corp. (Japan)
473
24,101
Aumovio SE (Germany)*
1,157
26,873
Continental AG (Germany)
2,115
593,000
Denso Corp. (Japan)
8,228
8,218
Forvia SE (France)*
134
8,700
Ichikoh Industries Ltd. (Japan)
29
4,700
Imasen Electric Industrial (Japan)
27
170,500
Johnson Electric Holdings Ltd. (Hong Kong)
587
10,100
Linamar Corp. (Canada)
640
17,800
Mitsuba Corp. (Japan)
150
14,817
Myoung Shin Industrial Co. Ltd. (South Korea)
94
8,788
Nexen Tire Corp. (South Korea)
49
111,600
Somboon Advance Technology PCL NVDR (Thailand)1
53
5,700
Taiho Kogyo Co. Ltd. (Japan)
31
4,800
Unipres Corp. (Japan)
43
 
 
13,844
AUTOMOBILES0.8%
1,326,500
BAIC Motor Corp. Ltd. Class H (China)*,2
314
72,700
Chery Automobile Co. Ltd. Class H (China)*
264
156,500
DRB-Hicom Bhd. (Malaysia)
43
277,300
Honda Motor Co. Ltd. (Japan)
2,789
24,500
Luyuan Group Holding Cayman Ltd. (China)
38
276,500
Mazda Motor Corp. (Japan)
2,128
1,898,700
Nissan Motor Co. Ltd. (Japan)*
4,628
23,300
Subaru Corp. (Japan)
500
167,750
Volvo Car AB Class B (Sweden)*
560
 
 
11,264
BANKS22.3%
362,071
ABN AMRO Bank NV CVA (Netherlands)1,2
13,340
217,714
Abu Dhabi Commercial Bank PJSC (United Arab Emirates)
903
452,888
ANZ Group Holdings Ltd. (Australia)
11,522
5,700
Awa Bank Ltd. (Japan)
192
972,400
Banco Bilbao Vizcaya Argentaria SA (Spain)
24,683
1,186,138
Banco Santander SA (Spain)
15,145
164,300
Bangkok Bank PCL NVDR (Thailand)1
824
741,065
Bank Danamon Indonesia Tbk. PT (Indonesia)
113
115,410
Bank Hapoalim BM (Israel)
2,853
9,577
Bank Leumi Le-Israel BM (Israel)
230
8,947
Bank Polska Kasa Opieki SA (Poland)
544
158,717
Bankinter SA (Spain)
2,709
669,617
Barclays PLC ADR (United Kingdom)1
17,912
260,921
BNP Paribas SA (France)
28,214
1,066
Caisse Regionale de Credit Agricole Mutuel Nord de France
(France)
35
2,064,559
CaixaBank SA (Spain)
27,253
150,000
China Merchants Bank Co. Ltd. Class H (China)
916
444,000
China Minsheng Banking Corp. Ltd. Class H (China)
221
32,260
Commercial Bank of Dubai PSC (United Arab Emirates)
86
168,958
Commerzbank AG (Germany)
6,945
106,800
Dah Sing Banking Group Ltd. (Hong Kong)
152
81,659
Danske Bank AS (Denmark)
4,160
55,555
Erste Group Bank AG (Austria)
7,223
39,135
Faisal Islamic Bank of Egypt (Egypt)
38
COMMON STOCKS—Continued
Shares
 
Value
BANKS—Continued
19,879
Hana Financial Group, Inc. (South Korea)
$1,381
1,009,659
ING Groep NV (Netherlands)
29,776
90,988
Israel Discount Bank Ltd. Class A (Israel)
1,072
516,600
Japan Post Bank Co. Ltd. (Japan)
9,179
6,768
KB Financial Group, Inc. (South Korea)
633
83,407
KBC Group NV (Belgium)
11,753
15,640
Komercni Banka AS (Czech Republic)
948
1,627,800
Krung Thai Bank PCL NVDR (Thailand)1
1,461
753,000
Mitsubishi UFJ Financial Group, Inc. (Japan)
13,637
338,700
Mizuho Financial Group, Inc. (Japan)
14,706
29,127
National Bank of Greece SA (Greece)
514
1,301,591
NatWest Group PLC (United Kingdom)
11,864
280,932
Nordea Bank Abp (Finland)
5,428
2,329,000
Postal Savings Bank of China Co. Ltd. Class H (China)2
1,518
53,219
Raiffeisen Bank International AG (Austria)
2,682
113,700
SCB X PCL NVDR (Thailand)1
489
484,616
Sharjah Islamic Bank (United Arab Emirates)
471
6,473
Shinhan Financial Group Co. Ltd. (South Korea)
378
433,257
Skandinaviska Enskilda Banken AB Class A (Sweden)
9,313
117,911
Societe Generale SA (France)
10,332
191,851
Standard Chartered PLC (United Kingdom)
4,909
461,400
Sumitomo Mitsui Financial Group, Inc. (Japan)
16,237
16,700
Sumitomo Mitsui Trust Group, Inc. (Japan)
558
43,347,000
TMBThanachart Bank PCL NVDR (Thailand)1
2,779
11,100
Towa Bank Ltd. (Japan)
83
13,700
Yokohama Financial Group, Inc. (Japan)
125
 
 
318,439
BEVERAGES0.0%
14,638
Ginebra San Miguel, Inc. (Philippines)
72
BIOTECHNOLOGY0.6%
799
Argenx SE ADR (Netherlands)*,1
671
106,889
Bavarian Nordic AS (Denmark)*
3,257
6,102
Bicycle Therapeutics PLC ADR (United Kingdom)*,1
39
14,592
Genmab AS (Denmark)*
4,754
717
Philogen SpA (Italy)*,2
18
 
 
8,739
BROADLINE RETAIL0.5%
175,337
Falabella SA (Chile)
1,361
56,400
JD.com, Inc. Class A (China)
804
17,134
Kt alpha Co. Ltd. (South Korea)
57
22,269
Next PLC (United Kingdom)
4,043
75,639
Vipshop Holdings Ltd. ADR (China)1
1,294
 
 
7,559
BUILDING PRODUCTS0.5%
300
BRC Asia Ltd. (Singapore)
1
55,200
Daikin Industries Ltd. (Japan)
6,615
14,664
Eurocell PLC (United Kingdom)
25
366,700
SCG Decor PCL NVDR (Thailand)1
57
 
 
6,698
CAPITAL MARKETS5.5%
10,035
Banca Generali SpA (Italy)
676
14,400
Canaccord Genuity Group, Inc. (Canada)
125
566,521
Deutsche Bank AG (Germany)
22,356
22,318
Euronext NV (Netherlands)2
3,126
9,426
Futu Holdings Ltd. ADR (Hong Kong)*,1
1,532
1,763
HUB24 Ltd. (Australia)
123
62,600
iFAST Corp. Ltd. (Singapore)
519
205,232
Investec PLC (United Kingdom)
1,682
249,900
Japan Exchange Group, Inc. (Japan)
2,727
290,000
Nomura Holdings, Inc. (Japan)
2,628
506,700
Singapore Exchange Ltd. (Singapore)
7,021
735,790
UBS Group AG (Switzerland)
34,814

46

Harbor International Core Fund
PORTFOLIO OF INVESTMENTS—Continued
Value and Cost in Thousands
COMMON STOCKS—Continued
Shares
 
Value
CAPITAL MARKETS—Continued
190,000
Value Partners Group Ltd. (Hong Kong)
$59
3,119
VIEL & Cie SA (France)
67
309
VP Bank AG Class A (Liechtenstein)
34
7,791
XTB SA (Poland)2
186
 
 
77,675
CHEMICALS0.4%
3,300
Achilles Corp. (Japan)
31
814,000
D&L Industries, Inc. (Philippines)
55
177,004
Dyno Nobel Ltd. (Australia)
431
13,446
Grupa Azoty SA (Poland)*
67
2,000
Hodogaya Chemical Co. Ltd. (Japan)
30
1,937
Kukdo Chemical Co. Ltd. (South Korea)
49
2,200
Nippon Carbide Industries Co., Inc. (Japan)
39
7,100
Riken Technos Corp. (Japan)
77
265,890
Sasol Ltd. (South Africa)*
1,878
5,600
Sekisui Kasei Co. Ltd. (Japan)*
15
4,216
Songwon Industrial Co. Ltd. (South Korea)
27
3,200
Tayca Corp. (Japan)
29
55,027
Yara International ASA (Brazil)
2,529
11,200
Zacros Corp. (Japan)
84
 
 
5,341
COMMERCIAL SERVICES & SUPPLIES0.0%
800
Ajis Co. Ltd. (Japan)
16
4,000
Azienda Bresciana Petroli Nocivelli SpA (Italy)
33
1,074
Cewe Stiftung & Co. KGaA (Germany)
129
264
Hargreaves Services PLC (United Kingdom)
3
8,961
Mears Group PLC (United Kingdom)
45
7,282
NICE Infra Co. Ltd. (South Korea)
21
1,900
Sato Corp. (Japan)
28
900
Takara & Co. Ltd. (Japan)
25
 
 
300
COMMUNICATIONS EQUIPMENT1.5%
781,900
Addvalue Technologies Ltd. (Singapore)*
44
1,712
EVS Broadcast Equipment SA (Belgium)
74
797
Ituran Location & Control Ltd. (Israel)
35
4,882
Nokia OYJ (Finland)
31
340,864
Nokia OYJ ADR (Finland)1
2,192
1,328,577
Telefonaktiebolaget LM Ericsson ADR (Sweden)1
14,349
428,355
Telefonaktiebolaget LM Ericsson Class B (Sweden)
4,639
2,784
Ubiquoss Holdings, Inc. (South Korea)*
21
 
 
21,385
CONSTRUCTION & ENGINEERING0.6%
4,157
AF Gruppen ASA (Norway)
80
251,270
Analogue Holdings Ltd. (Hong Kong)
32
13,188
Boustead Singapore Ltd. (Singapore)
20
39,920
Bouygues SA (France)
2,158
5,000
Dai-Ichi Cutter Kogyo KK (Japan)
44
11,595
Eiffage SA (France)
1,720
19,918
GenusPlus Group Ltd. (Australia)
103
7,440
HOCHTIEF AG (Germany)
3,120
258
Per Aarsleff Holding AS (Denmark)
37
44,380
Service Stream Ltd. (Australia)
70
15,568
Symal Group Ltd. (Australia)
35
1,500
Ueki Corp. (Japan)
28
811,700
Wee Hur Holdings Ltd. (Singapore)
568
 
 
8,015
CONSTRUCTION MATERIALS0.2%
151,097
Cemex SAB de CV (Mexico)
188
99,257
Cemex SAB de CV ADR (Mexico)1
1,239
642,000
China National Building Material Co. Ltd. Class H (China)
462
COMMON STOCKS—Continued
Shares
 
Value
CONSTRUCTION MATERIALS—Continued
3,447
Titan SA (United States)
$232
 
 
2,121
CONSUMER FINANCE0.0%
15,000
Hong Leong Finance Ltd. (Singapore)
32
103,468
LexinFintech Holdings Ltd. ADR (China)1
295
102,000
Sun Hung Kai & Co. Ltd. (Hong Kong)
56
 
 
383
CONSUMER STAPLES DISTRIBUTION & RETAIL1.8%
128,403
Jeronimo Martins SGPS SA (Portugal)
3,028
549,014
Koninklijke Ahold Delhaize NV (Netherlands)
21,467
7,200
Medical System Network Co. Ltd. (Japan)
24
3,600
Orsero SpA (Italy)
83
6,600
Robinsons Retail Holdings, Inc. (Philippines)
4
95,540
Tesco PLC (United Kingdom)
556
 
 
25,162
CONTAINERS & PACKAGING0.0%
9,900
Thantawan Industry PCL NVDR (Thailand)1
7
DISTRIBUTORS0.0%
52,861
Smiths News PLC (United Kingdom)
49
DIVERSIFIED CONSUMER SERVICES0.1%
2,300
Aucnet, Inc. (Japan)
31
820,000
China Education Group Holdings Ltd. (China)
319
202,000
China New Higher Education Group Ltd. (China)*,2
23
1,494,000
China Yuhua Education Corp. Ltd. (China)*,2
107
12,858
D2L, Inc. (Canada)*
103
132,000
Edvantage Group Holdings Ltd. (China)
25
834,500
Fenbi Ltd. (Hong Kong)*
232
4,376
MegaStudyEdu Co. Ltd. (South Korea)*
141
99,500
SISB PCL NVDR (Thailand)1
33
 
 
1,014
DIVERSIFIED TELECOMMUNICATION SERVICES0.7%
389,699
Emirates Telecommunications Group Co. PJSC (United Arab
Emirates)
2,090
106,096
Hellenic Telecommunications Organization SA (Greece)
1,990
28,585
KT Corp. ADR (South Korea)1
598
11,830
LG Uplus Corp. (South Korea)
131
2,300
Quebecor, Inc. Class B (Canada)
84
1,151,300
Singapore Telecommunications Ltd. (Singapore)
4,155
188,290
Telia Co. AB (Sweden)
860
 
 
9,908
ELECTRIC UTILITIES0.3%
1,357
CEZ AS (Czech Republic)
78
481
Electricite de Strasbourg SA (France)
124
98,917
Endesa SA (Spain)
3,652
171,278
PGE Polska Grupa Energetyczna SA (Poland)*
483
 
 
4,337
ELECTRICAL EQUIPMENT2.8%
434,835
ABB Ltd. (Switzerland)
37,438
94,299
China High Speed Transmission Equipment Group Co. Ltd. (Hong
Kong)*
22
5,600
Chiyoda Integre Co. Ltd. (Japan)
120
124,300
ISDN Holdings Ltd. (China)
39
1,654
Korea Electric Terminal Co. Ltd. (South Korea)
86
1,986
Siemens Energy AG (Germany)*
338
62,708
Vestas Wind Systems AS (Denmark)
1,901
51,000
Xingye Alloy Materials Group Ltd. (China)*
7
 
 
39,951

47

Harbor International Core Fund
PORTFOLIO OF INVESTMENTS—Continued
Value and Cost in Thousands
COMMON STOCKS—Continued
Shares
 
Value
ELECTRONIC EQUIPMENT, INSTRUMENTS & COMPONENTS1.0%
2,500
A&D HOLON Holdings Co. Ltd. (Japan)
$37
44,700
Allied Tecnologia SA (Brazil)
71
70,000
Aztech Global Ltd. (Singapore)
36
11,637
Barco NV (Belgium)
160
2,031
Berner Industrier AB (Sweden)
22
117,000
BOE Varitronix Ltd. (China)
73
27,545
Codan Ltd. (Australia)
725
4,600
Daitron Co. Ltd. (Japan)
75
77,905
DataTec Ltd. (South Africa)
369
2,474
Detection Technology OYJ (Finland)
31
1,000
Enplas Corp. (Japan)
59
6,765
Hon Hai Precision Industry Co. Ltd. GDR (Taiwan)1
94
6,899
Interflex Co. Ltd. (South Korea)*
59
14,482
LG Innotek Co. Ltd. (South Korea)
2,459
144,700
Murata Manufacturing Co. Ltd. (Japan)
2,940
20,541
Namuga Co. Ltd. (South Korea)*
356
2,700
Nihon Denkei Co. Ltd. (Japan)
41
10,900
Nissha Co. Ltd. (Japan)
88
4,200
Ohara, Inc. (Japan)
29
6,300
Omron Corp. (Japan)
161
104,000
PAX Global Technology Ltd. (Hong Kong)
66
1,700
SEMITEC Corp. (Japan)
26
6,100
Shinko Shoji Co. Ltd. (Japan)
43
2,700
SMK Corp. (Japan)
49
218,800
TDK Corp. (Japan)
2,823
25,633
Tovis Co. Ltd. (South Korea)
277
186,000
Truly International Holdings Ltd. (Hong Kong)
24
157,500
Venture Corp. Ltd. (Singapore)
2,023
20,692
WiSoL Co. Ltd. (South Korea)
88
11,500
Yokogawa Electric Corp. (Japan)
383
 
 
13,687
ENERGY EQUIPMENT & SERVICES0.2%
48,342
Deep Value Driller AS (Norway)
109
34,656
Enerflex Ltd. (Canada)
636
32,400
Pason Systems, Inc. (Canada)
287
23,013
PHX Energy Services Corp. (Canada)
142
8,400
Source Energy Services Ltd. (Canada)*
107
9,418
Technip Energies NV (France)
369
21,133
Tenaris SA (United States)
469
146,600
Wasco Bhd. (Malaysia)
34
 
 
2,153
ENTERTAINMENT1.3%
122,000
Archosaur Games, Inc. (China)*,2
26
7,588
Borussia Dortmund GmbH & Co. KGaA (Germany)
29
22,046
CD Projekt SA (Poland)
1,609
3,049
Devsisters Co. Ltd. (South Korea)*
81
2,051
DoubleDown Interactive Co. Ltd. ADR (South Korea)*,1
17
23,961
Gaming Realms PLC (United Kingdom)*
13
22,879
IGG, Inc. (Singapore)
11
164,400
Major Cineplex Group PCL NVDR (Thailand)1
35
4,353
NCSoft Corp. (South Korea)
708
4,859
Neowiz (South Korea)*
103
126,100
NetEase, Inc. (China)
3,270
86,700
Nexon Co. Ltd. (Japan)
2,074
18,614
Spotify Technology SA (United States)*
9,314
2,718
TEN Square Games SA (Poland)
88
128,600
XD, Inc. (China)
1,412
 
 
18,790
FINANCIAL SERVICES0.2%
69,250
Banca Mediolanum SpA (Italy)
1,624
2,105
Generalfinance SpA (Italy)
61
332,000
Haitong UniTrust International Leasing Co. Ltd. Class H (China)2
34
2,561
HAL Trust (Netherlands)
473
114,913
M&G PLC (United Kingdom)
487
COMMON STOCKS—Continued
Shares
 
Value
FINANCIAL SERVICES—Continued
95,700
Pacific Century Regional Developments Ltd. (Singapore)
$37
 
 
2,716
FOOD PRODUCTS0.1%
29,736
Astral Foods Ltd. (South Africa)
505
228,100
CAB Cakaran Corp. Bhd. (Malaysia)
34
78,000
CCK Consolidated Holdings Bhd. (Malaysia)
27
1,500,000
China Starch Holdings Ltd. (China)
35
9,063
Easy Holdings Co. Ltd. (South Korea)*
33
24,300
First Resources Ltd. (Indonesia)
41
370,300
Hap Seng Plantations Holdings Bhd. (Malaysia)
214
58,700
Kawan Food Bhd. (Malaysia)
14
1,600
Kenko Mayonnaise Co. Ltd. (Japan)
21
561
Maeil Holdings Co. Ltd. (South Korea)*
4
528,800
Malindo Feedmill Tbk. PT (Indonesia)
24
191,200
MKH Oil Palm East Kalimantan Bhd. (Malaysia)
30
811,600
Salim Ivomas Pratama Tbk. PT (Indonesia)
27
98,600
Sarawak Plantation Bhd. (Malaysia)
87
210,100
SD Guthrie Bhd. (Malaysia)
311
417
Societe LDC SADIR (France)
47
690,500
Ultrajaya Milk Industry & Trading Co. Tbk. PT (Indonesia)
62
 
 
1,516
GAS UTILITIES0.0%
16,415
Naturgy Energy Group SA (Spain)
515
644,700
Perusahaan Gas Negara Tbk. PT (Indonesia)
82
 
 
597
GROUND TRANSPORTATION0.0%
341,700
BTS Rail Mass Transit Growth Infrastructure Fund Class F
(Thailand)
28
14,200
SBS Transit Ltd. (Singapore)
37
 
 
65
HEALTH CARE EQUIPMENT & SUPPLIES1.0%
91,250
Beijing Chunlizhengda Medical Instruments Co. Ltd. Class H
(China)
166
4,941
El.En. SpA (Italy)
81
136,956
Fisher & Paykel Healthcare Corp. Ltd. (New Zealand)
3,199
1,500
Fukuda Denshi Co. Ltd. (Japan)
82
14,700
Hoya Corp. (Japan)
2,466
4,608
Ion Beam Applications (Belgium)
83
27,906
Koninklijke Philips NV (Netherlands)
802
7,500
Shofu, Inc. (Japan)
89
765,200
Sysmex Corp. (Japan)
7,241
37,700
Terumo Corp. (Japan)
493
4,030
Vieworks Co. Ltd. (South Korea)*
79
 
 
14,781
HEALTH CARE PROVIDERS & SERVICES0.6%
7,814
Fresenius Medical Care AG (Germany)
352
117,094
Fresenius SE & Co. KGaA (Germany)
6,550
3,687
Galenica AG (Switzerland)2
461
19,831
Humana AB (Sweden)
106
4,800
Japan Medical Dynamic Marketing, Inc. (Japan)
15
47,000
Ladprao General Hospital PCL NVDR (Thailand)1
6
2,424
Oriola OYJ Class B (Finland)
3
76,178
Regis Healthcare Ltd. (Australia)
357
 
 
7,850
HEALTH CARE TECHNOLOGY0.3%
21,561
Ascom Holding AG (Switzerland)
150
26,821
Pro Medicus Ltd. (Australia)
3,429
 
 
3,579
HOTELS, RESTAURANTS & LEISURE1.4%
28,800
Airtrip Corp. (Japan)
138

48

Harbor International Core Fund
PORTFOLIO OF INVESTMENTS—Continued
Value and Cost in Thousands
COMMON STOCKS—Continued
Shares
 
Value
HOTELS, RESTAURANTS & LEISURE—Continued
350,065
Aristocrat Leisure Ltd. (Australia)
$13,005
172,614
Carnival PLC ADR (United States)*,1
5,142
400,400
Champ Resto Indonesia Tbk. PT (Indonesia)*
13
9,128
Fuller Smith & Turner PLC Class A (United Kingdom)
84
944
Ibersol SGPS SA (Portugal)
12
83,100
Jaya Bersama Indo Tbk. PT (Indonesia)*
x
1,580
Lastminute.com NV (Switzerland)
29
608,200
Minor International PCL NVDR (Thailand)1
441
3,707
Modetour Network, Inc. (South Korea)*
29
1,727
Nordrest Holding AB (Sweden)
49
93,184
SATS ASA (Norway)
388
50,649
Tabcorp Holdings Ltd. (Australia)
31
237,500
Xiabuxiabu Catering Management China Holdings Co. Ltd.
(China)*,2
23
1,400
Yossix Holdings Co. Ltd. (Japan)
29
55,600
Zen Corp. Group PCL NVDR (Thailand)1
11
 
 
19,424
HOUSEHOLD DURABLES1.1%
107,600
Chervon Holdings Ltd. (China)
333
5
Dom Development SA (Poland)
94,044
LG Electronics, Inc. (South Korea)
6,448
843
Nihon Trim Co. Ltd. (Japan)
26
415,400
Sony Group Corp. (Japan)
9,159
15,712
Viomi Technology Co. Ltd. ADR (China)1
21
3,608
Zinus, Inc. (South Korea)
31
 
 
16,018
HOUSEHOLD PRODUCTS0.0%
247,700
Unilever Indonesia Tbk. PT (Indonesia)
29
INDEPENDENT POWER AND RENEWABLE ELECTRICITY PRODUCERS0.0%
8,700
Polaris Renewable Energy, Inc. (Canada)
78
INDUSTRIAL CONGLOMERATES0.0%
1,248
AntarChile SA (Chile)
12
4,301
Bonheur ASA (Norway)
113
1,941
LG Corp. (South Korea)
123
530,900
LT Group, Inc. (Philippines)
144
 
 
392
INSURANCE2.6%
11,000
Allianz Malaysia Bhd. (Malaysia)
64
148,800
Bangkok Life Assurance PCL NVDR (Thailand)1
101
446,900
Dai-ichi Life Holdings, Inc. (Japan)
3,930
35,836
Doha Insurance Co. QSC (Qatar)
27
5,540
Hyundai Marine & Fire Insurance Co. Ltd. (South Korea)*
108
6,300
iA Financial Corp., Inc. (Canada)
774
1,062,900
Japan Post Holdings Co. Ltd. (Japan)
12,790
2,500
Japan Post Insurance Co. Ltd. (Japan)
77
60,900
MS&AD Insurance Group Holdings, Inc. (Japan)
1,552
133,434
NN Group NV (Netherlands)
10,577
35,300
Sompo Holdings, Inc. (Japan)
1,217
443,500
Sunshine Insurance Group Co. Ltd. Class H (China)
241
152,600
Tokio Marine Holdings, Inc. (Japan)
5,688
 
 
37,146
INTERACTIVE MEDIA & SERVICES0.8%
29,120
Bilibili, Inc. Class Z (China)*
998
2,833
JOYY, Inc. ADR (China)1
182
740,100
Kuaishou Technology (China)2
7,562
81,100
LIFULL Co. Ltd. (Japan)
92
372,700
LY Corp. (Japan)
954
2,000
MarkLines Co. Ltd. (Japan)
20
87,718
Rightmove PLC (United Kingdom)
594
6,945
Scout24 SE (Germany)2
692
7,100
Sharingtechnology, Inc. (Japan)
53
83,431
Yalla Group Ltd. ADR (United Arab Emirates)*,1
588
COMMON STOCKS—Continued
Shares
 
Value
INTERACTIVE MEDIA & SERVICES—Continued
31,054
Zhihu, Inc. ADR (China)*,1
$117
11,700
ZIGExN Co. Ltd. (Japan)
36
 
 
11,888
IT SERVICES1.4%
31,828
Atea ASA (Sweden)
509
4,700
Avant Group Corp. (Japan)
50
1,400
Base Co. Ltd. (Japan)
28
8,000
CAC Holdings Corp. (Japan)
104
22,500
Comture Corp. (Japan)
236
4,200
Core Corp. (Japan)
62
6,800
Digital Hearts Holdings Co. Ltd. (Japan)
40
185,700
Fujitsu Ltd. (Japan)
5,160
3,800
GMO GlobalSign Holdings KK (Japan)
55
6,700
Hennge KK (Japan)
50
2,600
ID Holdings Corp. (Japan)
34
418,000
Mastersystem Infotama PT (Indonesia)
34
35,100
NEC Corp. (Japan)
1,190
867
Neurones (France)
41
65,900
Obic Co. Ltd. (Japan)
1,832
5,500
Oro Co. Ltd. (Japan)
75
220,200
Otsuka Corp. (Japan)
4,366
2,500
SERAKU Co. Ltd. (Japan)
27
1,900
Serverworks Co. Ltd. (Japan)*
25
9,200
Sun*, Inc. (Japan)*
27
44,100
TIS, Inc. (Japan)
1,283
1,794
Trifork Group AG (Denmark)*
27
4,200
Ubicom Holdings, Inc. (Japan)
28
60,561
Wix.com Ltd. (Israel)*
5,259
700
Zuken, Inc. (Japan)
22
 
 
20,564
LEISURE PRODUCTS0.0%
206,000
Goodbaby International Holdings Ltd. (China)
28
3,000
Sankyo Co. Ltd. (Japan)
47
 
 
75
LIFE SCIENCES TOOLS & SERVICES0.0%
4,273
Fine Foods & Pharmaceuticals NTM (Italy)
51
MACHINERY3.2%
6,302
China Yuchai International Ltd. (China)
286
92,000
CIMC Enric Holdings Ltd. (China)
130
2,101
Construcciones y Auxiliar de Ferrocarriles SA (Spain)
140
8,382
Daechang Forging Co. Ltd. (South Korea)*
39
931
Danieli & C Officine Meccaniche SpA (Italy)
69
2,156
Duerr AG (Germany)
57
10,390
DY POWER Corp. (South Korea)
94
41,882
GEA Group AG (Germany)
2,995
74,439
Heidelberger Druckmaschinen AG (Germany)*
162
185,900
Hong Leong Asia Ltd. (Singapore)
502
5,008
Knorr-Bremse AG (Germany)
583
144,141
Kone OYJ Class B (Finland)
10,359
61,989
Metso OYJ (Finland)
1,212
2,200
Nitto Kohki Co. Ltd. (Japan)
27
371
Palfinger AG (Austria)
16
2,500
Rheon Automatic Machinery Co. Ltd. (Japan)
25
35,447
Sandvik AB (Sweden)
1,400
76,000
Sany Heavy Equipment International Holdings Co. Ltd. (China)
117
26,741
Schindler Holding AG (Switzerland)
10,318
3,700
Shima Seiki Manufacturing Ltd. (Japan)
24
12,052
SIMPAC, Inc. (South Korea)*
41
5,800
SMC Corp. (Japan)
2,255
4,700
Sodick Co. Ltd. (Japan)
32
59,000
Techtronic Industries Co. Ltd. (Hong Kong)
805
191,134
Tesmec SpA (Italy)*
37
252,204
Wartsila OYJ Abp (Finland)
10,224

49

Harbor International Core Fund
PORTFOLIO OF INVESTMENTS—Continued
Value and Cost in Thousands
COMMON STOCKS—Continued
Shares
 
Value
MACHINERY—Continued
808,000
Weichai Power Co. Ltd. Class H (China)
$2,739
52,300
Yangzijiang Shipbuilding Holdings Ltd. (China)
137
 
 
44,825
MARINE TRANSPORTATION0.7%
3,092
AP Moller - Maersk AS Class B (Denmark)
7,646
70,874
Costamare, Inc. (Monaco)
1,189
3,617
Danaos Corp. (Greece)
374
1,762
Euroseas Ltd. (Greece)
101
674,000
Marco Polo Marine Ltd. (Singapore)
80
341,700
Samudera Shipping Line Ltd. (Singapore)
298
236,000
SITC International Holdings Co. Ltd. (China)
881
 
 
10,569
MEDIA0.1%
9,526
Alter Ego Media SA (Greece)
70
28,607
Arnoldo Mondadori Editore SpA (Italy)
72
6,846
Criteo SA ADR (France)*,1
131
741
KT Millie Seojae Co. Ltd. (South Korea)*
7
4,447
Lagardere SA (France)
100
27,388
LG HelloVision Co. Ltd. (South Korea)*
44
3,200
Members Co. Ltd. (Japan)
29
588
NZME Ltd. (New Zealand)
1
222,443
Pico Far East Holdings Ltd. (Hong Kong)
80
33,805
PRT Co. Ltd. (Australia)*
x
41,048
Woongjin Thinkbig Co. Ltd. (South Korea)
34
85,000
Xiamen Jihong Technology Co. Ltd. Class H (China)
171
12,700
Zenrin Co. Ltd. (Japan)
86
 
 
825
METALS & MINING4.9%
136,000
Aluminum Corp. of China Ltd. Class H (China)
238
40,700
Amerigo Resources Ltd. (Canada)
166
18,085
Anglogold Ashanti PLC (United Kingdom)
1,680
262,300
B2Gold Corp. (Canada)
1,277
41,570
BHP Group Ltd. (Australia)
1,432
93,042
BlueScope Steel Ltd. (Australia)
1,942
306,265
Boliden AB (Sweden)*
21,447
17,930
Capital Ltd. (Mauritius)
32
226,426
Capricorn Metals Ltd. (Australia)*
2,121
86,400
Capstone Copper Corp. (Canada)*
958
11,720
Centerra Gold, Inc. (Canada)
196
102,695
Central Asia Metals PLC (United Kingdom)
314
152,983
CMOC Group Ltd. Class H (China)
430
10,951
Dongkuk Holdings Co. Ltd. (South Korea)
58
19,678
Dynacor Group, Inc. (Canada)
88
29,478
ElvalHalcor SA (Greece)
162
33,645
Endeavour Mining PLC (Ivory Coast)
1,915
198,804
Evolution Mining Ltd. (Australia)
1,909
400,979
Fortuna Mining Corp. (Canada)*
3,923
28,883
Fresnillo PLC (Mexico)
1,422
171,248
Genesis Minerals Ltd. (Australia)*
846
587,250
Grange Resources Ltd. (Australia)*
105
96,409
Harmony Gold Mining Co. Ltd. ADR (South Africa)1
2,057
198,900
Hudbay Minerals, Inc. (Canada)
4,711
22,809
KG Chemical Corp. (South Korea)*
94
12,032
KG Dongbusteel (South Korea)
47
15,931
KG Eco Solution Co. Ltd. (South Korea)*
73
57,068
KGHM Polska Miedz SA (Poland)*
5,295
67,898
Kumba Iron Ore Ltd. (South Africa)
1,506
177,871
Macmahon Holdings Ltd. (Australia)
80
3,000
Mitsubishi Steel Manufacturing Co. Ltd. (Japan)
36
21,800
Nakayama Steel Works Ltd. (Japan)
89
3,053
Nexa Resources SA (Brazil)
39
1,314,000
Nickel Asia Corp. (Philippines)
120
683,483
Norsk Hydro ASA (Norway)
6,068
397,400
OceanaGold Philippines, Inc. (Philippines)
244
COMMON STOCKS—Continued
Shares
 
Value
METALS & MINING—Continued
35,973
Perenti Ltd. (Australia)
$69
100,081
Perseus Mining Ltd. (Australia)
385
301,262
Sibanye Stillwater Ltd. (South Africa)*
1,311
7,738
Sibanye Stillwater Ltd. ADR (South Africa)*,1
131
1,459,029
South32 Ltd. (Australia)
4,622
44,413
Thor Explorations Ltd. (Canada)
51
88
Tree Island Steel Ltd. (Canada)
123,409
Vault Minerals Ltd. (Australia)*
472
46,000
Volcan Cia Minera SAA Class B (Peru)*
11
 
 
70,172
MULTI-UTILITIES0.6%
131,343
A2A SpA (Italy)
396
1,354,218
Centrica PLC (United Kingdom)
3,546
24,682
Engie SA (France)
737
904,363
Hera SpA (Italy)
4,476
 
 
9,155
OFFICE REITS0.0%
16,075
Helical PLC (United Kingdom)
42
OIL, GAS & CONSUMABLE FUELS4.3%
2,358,400
Alamtri Resources Indonesia Tbk. PT (Indonesia)
310
87,000
Bangchak Corp. PCL NVDR (Thailand)1
84
270,500
Baramulti Suksessarana Tbk. PT (Indonesia)
63
12,500
Bonterra Energy Corp. (Canada)*
46
534,661
BP PLC ADR (United States)1
20,253
853,800
ENEOS Holdings, Inc. (Japan)
7,216
48,534
Eni SpA (Italy)
992
4,096
Gaztransport Et Technigaz SA (France)
882
41,848
Hafnia Ltd. (Singapore)
257
30,585
HELLENiQ ENERGY Holdings SA (Greece)
329
130,700
Hibiscus Petroleum Bhd. (Malaysia)
52
507,155
Horizon Oil Ltd. (Australia)
79
368,400
Idemitsu Kosan Co. Ltd. (Japan)
3,126
49,300
Journey Energy, Inc. (Canada)*
126
31,176
Motor Oil Hellas Corinth Refineries SA (Greece)
1,255
41,949
Navigator Holdings Ltd. (United States)
777
19,320
OKEA ASA (Norway)*
47
337,631
ORLEN SA (Poland)
10,261
512,000
Petron Corp. (Philippines)
23
718,500
PTT Exploration & Production PCL NVDR (Thailand)1
2,809
200,640
Shell PLC (United States)
7,713
2,847,700
Star Petroleum Refining PCL NVDR (Thailand)1
613
574,100
Thai Oil PCL NVDR (Thailand)1
781
154,795
Viva Energy Group Ltd. (Australia)2
194
458,684
Whitehaven Coal Ltd. (Australia)
2,802
 
 
61,090
PASSENGER AIRLINES1.0%
421,451
Deutsche Lufthansa AG (Germany)
4,342
1,176,052
International Consolidated Airlines Group SA Class DI (United
Kingdom)
6,756
349,649
Qantas Airways Ltd. (Australia)
2,445
8,362
Virgin Australia Holdings Ltd. (Australia)*
18
 
 
13,561
PERSONAL CARE PRODUCTS0.0%
54,810
Applied Nutrition PLC (United Kingdom)*
174
6,614,819
Industri Jamu Dan Farmasi Sido Muncul Tbk. PT (Indonesia)
207
 
 
381
PHARMACEUTICALS12.7%
5,868
ALK-Abello AS (Denmark)*
194
482,600
Astellas Pharma, Inc. (Japan)
6,713
231,981
AstraZeneca PLC ADR (United Kingdom)1
21,521
239,944
Bausch Health Cos., Inc. (Canada)*
1,376

50

Harbor International Core Fund
PORTFOLIO OF INVESTMENTS—Continued
Value and Cost in Thousands
COMMON STOCKS—Continued
Shares
 
Value
PHARMACEUTICALS—Continued
83,500
Daiichi Sankyo Co. Ltd. (Japan)
$1,530
227,900
Eisai Co. Ltd. (Japan)
6,354
32,167
Galderma Group AG (Switzerland)
5,996
447,637
GSK PLC ADR (United States)1
23,098
726
Ipsen SA (France)
119
15,100
Knight Therapeutics, Inc. (Canada)*
64
70,800
Mega Lifesciences PCL NVDR (Thailand)1
81
31,700
Nippon Shinyaku Co. Ltd. (Japan)
1,058
334,260
Novartis AG (United States)
49,594
163,400
Ono Pharmaceutical Co. Ltd. (Japan)
2,434
79
Orion OYJ Class A (Finland)
7
10,471
Orion OYJ Class B (Finland)
866
4,105
PhotoCure ASA (Norway)*
29
8,492
Richter Gedeon Nyrt (Hungary)
284
104,448
Roche Holding AG (United States)
47,497
65,394
Sandoz Group AG (Switzerland)
5,181
33,900
Sanofi SA (United States)
3,198
5,600
Seikagaku Corp. (Japan)
25
13,856
UCB SA (Belgium)
4,222
383
Vetoquinol SA (France)
39
 
 
181,480
PROFESSIONAL SERVICES1.9%
1,600
Career Design Center Co. Ltd. (Japan)
25
8,722
Computershare Ltd. (Australia)
198
10,276
Fiverr International Ltd. (United States)*
172
4,400
JAC Recruitment Co. Ltd. (Japan)
28
38,823
Kanzhun Ltd. ADR (China)1
719
300,100
Recruit Holdings Co. Ltd. (Japan)
15,808
4,200
Space Co. Ltd. (Japan)
42
110,229
Wolters Kluwer NV (Netherlands)
10,351
 
 
27,343
REAL ESTATE MANAGEMENT & DEVELOPMENT0.3%
206,558
Aldar Properties PJSC (United Arab Emirates)
540
717
Allreal Holding AG (Switzerland)
210
664,600
Amata Corp. PCL NVDR (Thailand)1
330
320,582
Emaar Development PJSC (United Arab Emirates)
1,503
432,356
Emaar Properties PJSC (United Arab Emirates)
1,769
116,681
Ever Reach Group Holdings Co. Ltd. (China)*
3
688,400
LBS Bina Group Bhd. (Malaysia)
71
978,000
Megaworld Corp. (Philippines)
36
1,077
Melcor Developments Ltd. (Canada)
13
460,000
Midland Holdings Ltd. (Hong Kong)*
179
12,963
Modern Land China Co. Ltd. (China)*
2,400
Propnex Ltd. (Singapore)
4
8,276
Servcorp Ltd. (Australia)
44
 
 
4,702
RETAIL REITS0.3%
116,822
Klepierre SA (France)
4,500
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT7.5%
56,200
Advantest Corp. (Japan)
9,295
2,484
Anapass, Inc. (South Korea)*
31
6,653
ARM Holdings PLC ADR (United States)*,1
701
691,033
ASE Technology Holding Co. Ltd. ADR (Taiwan)1
13,116
20,896
ASML Holding NV New York Registry Shares (Netherlands)
29,735
3,500
Aval Data Corp. (Japan)
67
5,723
ChipMOS Technologies, Inc. ADR (Taiwan)1
212
1,400
Disco Corp. (Japan)
597
6,393
Hansol Technics Co. Ltd. (South Korea)
26
246,258
Himax Technologies, Inc. ADR (Taiwan)1
2,002
30,251
JinkoSolar Holding Co. Ltd. ADR (China)1
775
931
KoMiCo Ltd. (South Korea)*
81
2,300
Lasertec Corp. (Japan)
528
4,900
LEENO Industrial, Inc. (South Korea)*
357
COMMON STOCKS—Continued
Shares
 
Value
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT—Continued
11,504
LOT Vacuum Co. Ltd. (South Korea)*
$110
2,038
LX Semicon Co. Ltd. (South Korea)
77
6,543
NEPES Corp. (South Korea)*
86
25,798
Power Logics Co. Ltd. (South Korea)*
102
2,555
Protec Co. Ltd. (South Korea)*
90
15,800
SCREEN Holdings Co. Ltd. (Japan)
2,012
18,455
Silicon Motion Technology Corp. ADR (Taiwan)1
2,195
24,164
SK Hynix, Inc. (South Korea)
15,087
8,200
Socionext, Inc. (Japan)
110
64,178
STMicroelectronics NV NY Registry Shares (Singapore)1
1,790
1,500
Taiwan Semiconductor Manufacturing Co. Ltd. BDR (Taiwan)1
62
73,400
Tokyo Electron Ltd. (Japan)
19,558
7,250
Toptec Co. Ltd. (South Korea)
24
219,000
UMS Integration Ltd. (Singapore)
231
662,107
United Microelectronics Corp. ADR (Taiwan)1
6,740
12,809
WONIK IPS Co. Ltd. (South Korea)*
1,008
4,164
Zeus Co. Ltd. (South Korea)
57
 
 
106,862
SOFTWARE1.8%
9,600
Access Co. Ltd. (Japan)*
39
41,683
Accesso Technology Group PLC (United Kingdom)*
161
1,007
Alpha Systems, Inc. (Japan)
25
1,360,000
BII Railway Transportation Technology Holdings Co. Ltd. (China)
58
51,226
Check Point Software Technologies Ltd. (Israel)*
9,196
46,950
Docebo, Inc. (Canada)*
918
43,770
dotdigital group PLC (United Kingdom)
44
7,600
Ebase Co. Ltd. (Japan)
21
114,700
Enghouse Systems Ltd. (Canada)
1,576
41,853
Exem Co. Ltd. (South Korea)*
65
1,995
Fabasoft AG (Austria)
36
21,928
F-Secure OYJ (Finland)
49
8,500
I’ll, Inc. (Japan)
136
1,200
Innoscripta SE (Germany)*
128
5,400
ISB Corp. (Japan)
63
1,700
Kinaxis, Inc. (Canada)*
172
28,286
Nice Ltd. ADR (Israel)*,1
3,010
4,100
PCA Corp. (Japan)
52
18,705
RADCOM Ltd. (Israel)*
235
28,630
Sage Group PLC (United Kingdom)
375
3,100
Sansan, Inc. (Japan)*
30
1,800
Soliton Systems KK (Japan)
23
1,907
TECSYS, Inc. (Canada)
37
24,400
Temenos AG (Switzerland)
2,156
5,737
Text SA (Poland)
68
171,900
Trend Micro, Inc. (Japan)
6,743
1,400
WingArc1st, Inc. (Japan)
30
 
 
25,446
SPECIALTY RETAIL0.3%
1,715,260
Abu Dhabi National Oil Co. for Distribution PJSC (United Arab
Emirates)
1,915
645,300
Bermaz Auto Bhd. (Malaysia)
136
972
Delta Israel Brands Ltd. (Israel)
46
14,567
DFS Furniture PLC (United Kingdom)*
39
616,000
Dohome PCL (Thailand)
69
254,500
EEKA Fashion Holdings Ltd. (China)
231
3,000
Fast Retailing Co. Ltd. (Japan)
1,145
6,562
Hallenstein Glasson Holdings Ltd. (New Zealand)
39
67,356
Kingfisher PLC (United Kingdom)
310
4,420
LOTTE Himart Co. Ltd. (South Korea)
22
24,100
Maruzen CHI Holdings Co. Ltd. (Japan)
52
6,986
Naturhouse Health SAU (Spain)
22
39,900
Petronas Dagangan Bhd. (Malaysia)
215
4,189
Rvrc Holding AB (Sweden)
32
113,982
Super Group Ltd. (South Africa)
122
 
 
4,395

51

Harbor International Core Fund
PORTFOLIO OF INVESTMENTS—Continued
Value and Cost in Thousands
COMMON STOCKS—Continued
Shares
 
Value
TECHNOLOGY HARDWARE, STORAGE & PERIPHERALS1.5%
3,717
Austriacard Holdings AG (Austria)
$33
33,300
Brother Industries Ltd. (Japan)
679
21,900
FUJIFILM Holdings Corp. (Japan)
438
900,000
Lenovo Group Ltd. (China)
1,014
81,100
Logitech International SA (Switzerland)
6,987
457,400
Ricoh Co. Ltd. (Japan)
4,047
6,700
Riso Kagaku Corp. (Japan)
53
53,959
Samsung Electronics Co. Ltd. (South Korea)
5,961
182,500
Seiko Epson Corp. (Japan)
2,348
6,200
Toshiba TEC Corp. (Japan)
104
 
 
21,664
TEXTILES, APPAREL & LUXURY GOODS0.3%
31,447
Canada Goose Holdings, Inc. (Canada)*
382
32,000
Chow Sang Sang Holdings International Ltd. (Hong Kong)
60
156,100
Guararapes Confeccoes SA (Brazil)
291
985,500
Li Ning Co. Ltd. (China)
2,577
214,000
Nameson Holdings Ltd. (Hong Kong)
29
6,452
Nature Holdings Co. Ltd. (South Korea)
36
153,842
OVS SpA (Italy)2
870
121,200
Poh Kong Holdings Bhd. (Malaysia)
38
13,581
Safilo Group SpA (Italy)*
34
19,885
TK Chemical Corp. (South Korea)*
25
8,338
Xexymix Corp. (South Korea)
30
646,500
Xtep International Holdings Ltd. (China)
425
 
 
4,797
TRADING COMPANIES & DISTRIBUTORS0.1%
1,600
Nanyo Corp. (Japan)
15
152,987
New Times Corp. Ltd. (Hong Kong)*
1
900
Nice Corp. (Japan)
11
2,700
Onoken Co. Ltd. (Japan)
25
2,300
Parker Corp. (Japan)
22
34,700
Russel Metals, Inc. (Canada)
1,230
8,200
Speedy Hire PLC (United Kingdom)
3
6,400
Wajax Corp. (Canada)
133
 
 
1,440
TRANSPORTATION INFRASTRUCTURE0.1%
2,322
Aeroporto Guglielmo Marconi Di Bologna SpA (Italy)
30
619,700
Airports of Thailand PCL NVDR (Thailand)1
989
COMMON STOCKS—Continued
Shares
 
Value
TRANSPORTATION INFRASTRUCTURE—Continued
46,000
Qilu Expressway Co. Ltd. Class H (China)
$11
 
 
1,030
TOTAL COMMON STOCKS
(Cost $1,116,862)
$1,366,984
EXCHANGE-TRADED FUNDS0.9%
 
 
 
(Cost $12,411)
CAPITAL MARKETS0.9%
129,218
iShares MSCI EAFE ETF (United States)
13,018
PREFERRED STOCKS1.4%
 
 
 
BANKS0.0%
2,200
Banco Mercantil do Brasil SA (Brazil)
32
CHEMICALS0.0%
1,146
FUCHS SE (Germany)
50
HOUSEHOLD DURABLES0.0%
107
Einhell Germany AG (Germany)
11
HOUSEHOLD PRODUCTS1.3%
215,876
Henkel AG & Co. KGaA (Germany)
18,965
MACHINERY0.0%
454
KSB SE & Co. KGaA (Germany)
577
METALS & MINING0.1%
495,300
Usinas Siderurgicas de Minas Gerais SA Usiminas (Brazil)*
593
TOTAL PREFERRED STOCKS
(Cost $18,869)
20,228
TOTAL INVESTMENTS—98.2%
(Cost $1,148,142)
1,400,230
CASH AND OTHER ASSETS, LESS LIABILITIES—1.8%
26,250
TOTAL NET ASSETS—100%
$1,426,480

52

Harbor International Core Fund
PORTFOLIO OF INVESTMENTS—Continued
FAIR VALUE MEASUREMENTS
The following table summarizes the Fund’s investments as of January 31, 2026 based on the inputs used to value them.
Asset Category
Quoted Prices
Level 1
(000s)
Other Significant
Observable Inputs
Level 2
(000s)
Significant
Unobservable
Inputs
Level 3
(000s)
Total
(000s)
Common Stocks
 
 
 
 
Africa
$2,188
$7,676
$
$9,864
Europe
89,894
602,496
692,390
Latin America
1,839
5,324
7,163
Middle East/Central Asia
18,938
51,365
70,303
North America
79,876
108,703
188,579
Pacific Basin
31,338
367,347
398,685
Exchange-Traded Funds
North America
13,018
13,018
Preferred Stocks
Europe
19,603
19,603
Latin America
625
625
Total Investments in Securities
$237,716
$1,162,514
$
$1,400,230
For more information on valuation inputs and their aggregation into the levels identified above, please refer to the Fair Value Measurements and Disclosures in Note 2 of the accompanying Notes to Portfolio of Investments.

*
Non-income producing security
x
Fair valued in accordance with the fair value pricing procedures applicable to the Funds.
1
Depositary receipts such as American Depositary Receipts (ADRs), Global Depositary Receipts (GDRs) and other country specific depositary receipts are certificates evidencing ownership of shares of a foreign issuer. These certificates are issued by depositary banks and generally trade on an established market in the U.S. or elsewhere.
2
Securities purchased in a transaction exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions exempt from registration, normally to qualified institutional buyers. The Fund has no right to demand registration of these securities. As of January 31, 2026, the aggregate value of these securities was $28,494 or 2% of net assets.
The accompanying notes are an integral part of the Portfolios of Investments.

53

Harbor International Small Cap Fund
PORTFOLIO OF INVESTMENTS—January 31, 2026 (Unaudited)
Value and Cost in Thousands
COMMON STOCKS97.6%
Shares
 
Value
AIR FREIGHT & LOGISTICS1.2%
98,490
Nippon Express Holdings, Inc. (Japan)
$2,237
BANKS1.6%
396,382
Kyushu Financial Group, Inc. (Japan)
2,971
BEVERAGES1.0%
1,274,823
C&C Group PLC (Ireland)
1,907
BUILDING PRODUCTS1.5%
615,509
Genuit Group PLC (United Kingdom)
2,802
CAPITAL MARKETS1.8%
936,199
TP ICAP Group PLC (United Kingdom)
3,266
CHEMICALS6.6%
142,811
Corbion NV (Netherlands)
3,430
192,046
Kansai Paint Co. Ltd. (Japan)
3,065
181,676
Tosoh Corp. (Japan)
2,965
291,950
Victrex PLC (United Kingdom)
2,624
 
 
12,084
COMMERCIAL SERVICES & SUPPLIES1.8%
16,522
Daiseki Co. Ltd. (Japan)
371
76,743
ISS AS (Denmark)
2,911
 
 
3,282
CONSTRUCTION & ENGINEERING1.7%
135,497
Raito Kogyo Co. Ltd. (Japan)
3,064
CONSTRUCTION MATERIALS1.6%
89,026
Wienerberger AG (Austria)
2,943
CONSUMER FINANCE3.2%
288,900
AEON Financial Service Co. Ltd. (Japan)
3,154
21,740
Cembra Money Bank AG (Switzerland)
2,779
 
 
5,933
CONSUMER STAPLES DISTRIBUTION & RETAIL1.8%
171,175
San-A Co. Ltd. (Japan)
3,263
CONTAINERS & PACKAGING5.4%
136,311
Fuji Seal International, Inc. (Japan)
2,819
92,896
Huhtamaki OYJ (Finland)
3,260
245,777
SIG Group AG (Switzerland)
3,803
 
 
9,882
DISTRIBUTORS3.6%
291,034
Inchcape PLC (United Kingdom)
3,255
104,301
PALTAC Corp. (Japan)
3,264
 
 
6,519
ELECTRONIC EQUIPMENT, INSTRUMENTS & COMPONENTS7.6%
187,309
Anritsu Corp. (Japan)
2,596
231,503
Hamamatsu Photonics KK (Japan)
2,587
45,767
Landis & Gyr Group AG (Switzerland)
3,215
157,803
Optex Group Co. Ltd. (Japan)
2,450
245,178
Venture Corp. Ltd. (Singapore)
3,148
 
 
13,996
FOOD PRODUCTS6.8%
77,636
Ariake Japan Co. Ltd. (Japan)
2,814
43,540
Aryzta AG (Switzerland)*
3,086
180,615
Glanbia PLC (Ireland)
3,481
588,509
Tate & Lyle PLC (United Kingdom)
3,045
 
 
12,426
COMMON STOCKS—Continued
Shares
 
Value
GAS UTILITIES1.4%
62,660
Rubis SCA (France)
$2,537
GROUND TRANSPORTATION1.8%
620,742
Zigup PLC (United Kingdom)
3,238
HEALTH CARE EQUIPMENT & SUPPLIES6.6%
129,135
Ansell Ltd. (Australia)
2,928
899,016
Arjo AB Class B (Sweden)
2,695
245,105
Nakanishi, Inc. (Japan)
3,437
279,498
Nihon Kohden Corp. (Japan)
3,098
 
 
12,158
HEALTH CARE PROVIDERS & SERVICES3.5%
116,790
Fagron (Belgium)
3,071
212,365
Sonic Healthcare Ltd. (Australia)
3,396
 
 
6,467
INSURANCE2.7%
31,251
ASR Nederland NV (Netherlands)
2,270
145,330
Coface SA (France)
2,658
 
 
4,928
IT SERVICES1.7%
146,224
TietoEVRY OYJ (Finland)
3,174
LEISURE PRODUCTS1.2%
162,891
Spin Master Corp. (Canada)1
2,226
MACHINERY9.2%
84,356
Aalberts NV (Netherlands)
3,239
40,472
Construcciones y Auxiliar de Ferrocarriles SA (Spain)
2,698
83,601
Hoshizaki Corp. (Japan)
2,756
119,186
METAWATER Co. Ltd. (Japan)
2,553
960,071
Morgan Advanced Materials PLC (United Kingdom)
3,007
157,788
Norma Group SE (Germany)
2,746
 
 
16,999
MARINE TRANSPORTATION1.9%
61,830
Clarkson PLC (United Kingdom)
3,550
MEDIA3.0%
165,435
JCDecaux SE (France)
3,263
53,173
RTL Group SA (Luxembourg)
2,318
 
 
5,581
METALS & MINING3.5%
79,559
Aperam SA (Luxembourg)
3,423
61,583
Bekaert SA (Belgium)
3,021
 
 
6,444
PERSONAL CARE PRODUCTS0.1%
43,438
Ontex Group NV (Belgium)*
253
PROFESSIONAL SERVICES1.3%
3,634,154
Hays PLC (United Kingdom)
2,363
REAL ESTATE MANAGEMENT & DEVELOPMENT1.5%
164,303
TAG Immobilien AG (Germany)
2,788
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT2.2%
216,930
ASMPT Ltd. (Hong Kong)
2,893
36,479
SOITEC (France)*
1,136
 
 
4,029
SOFTWARE3.1%
195,906
Computer Engineering & Consulting Ltd. (Japan)
2,793

54

Harbor International Small Cap Fund
PORTFOLIO OF INVESTMENTS—Continued
Value and Cost in Thousands
COMMON STOCKS—Continued
Shares
 
Value
SOFTWARE—Continued
382,498
TomTom NV (Netherlands)*
$2,874
 
 
5,667
TEXTILES, APPAREL & LUXURY GOODS1.9%
2,952,710
Coats Group PLC (United Kingdom)
3,436
TRADING COMPANIES & DISTRIBUTORS3.8%
322,508
BOC Aviation Ltd. (China)1
3,341
403,302
RS Group PLC (United Kingdom)
3,703
 
 
7,044
TOTAL COMMON STOCKS
(Cost $153,855)
179,457
TOTAL INVESTMENTS—97.6%
(Cost $153,855)
179,457
CASH AND OTHER ASSETS, LESS LIABILITIES—2.4%
4,410
TOTAL NET ASSETS—100%
$183,867
FAIR VALUE MEASUREMENTS
The following table summarizes the Fund’s investments as of January 31, 2026 based on the inputs used to value them.
Asset Category
Quoted Prices
Level 1
(000s)
Other Significant
Observable Inputs
Level 2
(000s)
Significant
Unobservable
Inputs
Level 3
(000s)
Total
(000s)
Common Stocks
 
 
 
 
Europe
$
$109,267
$
$109,267
North America
2,226
2,226
Pacific Basin
67,964
67,964
Total Investments in Securities
$2,226
$177,231
$
$179,457
For more information on valuation inputs and their aggregation into the levels identified above, please refer to the Fair Value Measurements and Disclosures in Note 2 of the accompanying Notes to Financial Statements.

*
Non-income producing security
1
Securities purchased in a transaction exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions exempt from registration, normally to qualified institutional buyers. The Fund has no right to demand registration of these securities. As of January 31, 2026, the aggregate value of these securities was $5,567 or 3% of net assets.
The accompanying notes are an integral part of the Portfolios of Investments.

55

Harbor Large Cap Value Fund
PORTFOLIO OF INVESTMENTS—January 31, 2026 (Unaudited)
Value and Cost in Thousands
COMMON STOCKS98.0%
Shares
 
Value
AEROSPACE & DEFENSE2.2%
72,850
General Dynamics Corp.
$25,577
BANKS11.1%
129,200
Cullen/Frost Bankers, Inc.
17,806
1,582,900
Mitsubishi UFJ Financial Group, Inc. ADR (Japan)1
28,571
112,900
PNC Financial Services Group, Inc.
25,211
515,700
U.S. Bancorp
28,936
291,300
Wells Fargo & Co.
26,360
 
 
126,884
BEVERAGES2.2%
334,000
Coca-Cola Co.
24,986
BIOTECHNOLOGY2.5%
82,700
Amgen, Inc.
28,273
CAPITAL MARKETS4.5%
59,800
Ameriprise Financial, Inc.
31,526
142,500
Blackstone, Inc.
20,295
 
 
51,821
CHEMICALS9.5%
75,000
Air Products & Chemicals, Inc.
20,438
518,300
Corteva, Inc.
37,732
101,400
Ecolab, Inc.
28,594
198,300
RPM International, Inc.
21,210
 
 
107,974
COMMUNICATIONS EQUIPMENT0.9%
24,725
Motorola Solutions, Inc.
9,953
CONSTRUCTION MATERIALS2.9%
51,500
Martin Marietta Materials, Inc.
33,575
CONSUMER FINANCE3.5%
181,700
Capital One Financial Corp.
39,780
DIVERSIFIED TELECOMMUNICATION SERVICES2.1%
543,700
Verizon Communications, Inc.
24,205
ELECTRIC UTILITIES2.1%
312,900
Xcel Energy, Inc.
23,799
ELECTRONIC EQUIPMENT, INSTRUMENTS & COMPONENTS2.4%
43,400
Teledyne Technologies, Inc. *
26,921
FOOD PRODUCTS1.9%
346,100
McCormick & Co., Inc.
21,399
GAS UTILITIES2.0%
134,300
Atmos Energy Corp.
22,339
GROUND TRANSPORTATION2.0%
280,600
Uber Technologies, Inc. *
22,462
HEALTH CARE EQUIPMENT & SUPPLIES3.3%
239,700
Alcon AG
19,411
177,400
Medtronic PLC
18,265
 
 
37,676
COMMON STOCKS—Continued
Shares
 
Value
HOUSEHOLD DURABLES4.6%
227,300
Lennar Corp. Class A
$24,855
7,126
Lennar Corp. Class B
722
1,212,000
Sony Group Corp. ADR (Japan)1
26,785
 
 
52,362
HOUSEHOLD PRODUCTS1.7%
127,700
Procter & Gamble Co.
19,381
INSURANCE1.9%
293,400
American International Group, Inc.
21,970
INTERACTIVE MEDIA & SERVICES4.1%
137,000
Alphabet, Inc. Class C
46,379
LIFE SCIENCES TOOLS & SERVICES1.8%
94,100
Danaher Corp.
20,598
MACHINERY6.5%
134,200
Oshkosh Corp.
19,300
58,125
Parker-Hannifin Corp.
54,396
 
 
73,696
OIL, GAS & CONSUMABLE FUELS4.0%
762,500
Coterra Energy, Inc.
21,998
320,300
TotalEnergies SE (France)
23,190
 
 
45,188
PHARMACEUTICALS1.8%
185,100
Merck & Co., Inc.
20,411
RESIDENTIAL REITS1.3%
237,100
Equity LifeStyle Properties, Inc.
14,978
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT4.3%
312,400
Microchip Technology, Inc.
23,718
163,100
QUALCOMM, Inc.
24,724
 
 
48,442
SOFTWARE7.1%
59,100
Adobe, Inc. *
17,331
92,500
Microsoft Corp.
39,802
50,900
Synopsys, Inc. *
23,674
 
 
80,807
SPECIALTY RETAIL2.0%
86,200
Lowe’s Cos., Inc.
23,021
WATER UTILITIES1.8%
162,200
American Water Works Co., Inc.
20,945
TOTAL COMMON STOCKS
(Cost $624,812)
1,115,802
TOTAL INVESTMENTS—98.0%
(Cost $624,812)
1,115,802
CASH AND OTHER ASSETS, LESS LIABILITIES—2.0%
23,113
TOTAL NET ASSETS—100%
$1,138,915

56

Harbor Large Cap Value Fund
PORTFOLIO OF INVESTMENTS—Continued
FAIR VALUE MEASUREMENTS
All investments as of January 31, 2026 (as disclosed in the preceding Portfolio of Investments) were classified as Level 1.
For more information on valuation inputs and their aggregation into the levels identified above, please refer to the Fair Value Measurements and Disclosures in Note 2 of the accompanying Notes to Portfolios of Investments.

*
Non-income producing security
1
Depositary receipts such as American Depositary Receipts (ADRs), Global Depositary Receipts (GDRs) and other country specific depositary receipts are certificates evidencing ownership of shares of a foreign issuer. These certificates are issued by depositary banks and generally trade on an established market in the U.S. or elsewhere.
The accompanying notes are an integral part of the Portfolios of Investments.

57

Harbor Mid Cap Fund
PORTFOLIO OF INVESTMENTS—January 31, 2026 (Unaudited)
Value and Cost in Thousands
COMMON STOCKS96.6%
Shares
 
Value
AEROSPACE & DEFENSE6.6%
8,211
General Dynamics Corp.
$2,883
50,099
Hexcel Corp.
4,149
18,045
Woodward, Inc.
5,735
 
 
12,767
AIR FREIGHT & LOGISTICS2.0%
19,529
CH Robinson Worldwide, Inc.
3,807
BANKS3.3%
26,774
East West Bancorp, Inc.
3,064
22,254
Wintrust Financial Corp.
3,282
 
 
6,346
BUILDING PRODUCTS1.9%
56,241
Masco Corp.
3,717
CAPITAL MARKETS7.1%
16,147
Houlihan Lokey, Inc.
2,718
19,770
Intercontinental Exchange, Inc.
3,436
22,323
Raymond James Financial, Inc.
3,702
31,156
Stifel Financial Corp.
3,842
 
 
13,698
CHEMICALS4.8%
25,153
Albemarle Corp.
4,292
24,911
Eastman Chemical Co.
1,727
49,340
Scotts Miracle-Gro Co.
3,168
 
 
9,187
COMMERCIAL SERVICES & SUPPLIES2.0%
18,390
Republic Services, Inc.
3,956
CONSTRUCTION & ENGINEERING1.7%
4,450
EMCOR Group, Inc.
3,207
CONSUMER STAPLES DISTRIBUTION & RETAIL1.3%
28,914
Sysco Corp.
2,424
CONTAINERS & PACKAGING1.4%
11,800
Packaging Corp. of America
2,626
ELECTRICAL EQUIPMENT2.5%
67,075
Sensata Technologies Holding PLC
2,320
13,697
Vertiv Holdings Co. Class A
2,550
 
 
4,870
ELECTRONIC EQUIPMENT, INSTRUMENTS & COMPONENTS3.8%
21,461
Arrow Electronics, Inc. *
2,843
20,598
Keysight Technologies, Inc. *
4,456
 
 
7,299
ENERGY EQUIPMENT & SERVICES1.7%
41,024
Helmerich & Payne, Inc.
1,390
38,333
SLB Ltd.
1,854
 
 
3,244
FINANCIAL SERVICES0.9%
24,083
Global Payments, Inc.
1,728
GROUND TRANSPORTATION1.5%
79,255
CSX Corp.
2,993
HEALTH CARE PROVIDERS & SERVICES4.8%
10,385
Cencora, Inc.
3,730
57,621
Centene Corp. *
2,496
11,386
Labcorp Holdings, Inc.
3,092
 
 
9,318
COMMON STOCKS—Continued
Shares
 
Value
HOTELS, RESTAURANTS & LEISURE1.8%
17,182
Darden Restaurants, Inc.
$3,425
HOUSEHOLD DURABLES1.6%
20,288
DR Horton, Inc.
3,020
INDUSTRIAL REITS0.7%
113,482
Americold Realty Trust, Inc.
1,408
INSURANCE4.8%
8,660
Progressive Corp.
1,801
19,149
Reinsurance Group of America, Inc. Class A
3,883
12,490
RenaissanceRe Holdings Ltd. (Bermuda)
3,518
 
 
9,202
IT SERVICES3.2%
30,535
Akamai Technologies, Inc. *
2,967
26,326
Twilio, Inc. Class A*
3,171
 
 
6,138
LIFE SCIENCES TOOLS & SERVICES6.9%
20,978
Agilent Technologies, Inc.
2,808
7,625
Bio-Rad Laboratories, Inc. Class A*
2,240
20,357
IQVIA Holdings, Inc. *
4,685
67,006
Qiagen NV
3,596
 
 
13,329
MACHINERY6.3%
8,729
Cummins, Inc.
5,053
17,527
Dover Corp.
3,531
9,937
Snap-on, Inc.
3,638
 
 
12,222
MULTI-UTILITIES1.7%
29,362
WEC Energy Group, Inc.
3,250
OFFICE REITS1.2%
36,159
BXP, Inc.
2,338
OIL, GAS & CONSUMABLE FUELS2.0%
95,161
Coterra Energy, Inc.
2,745
34,124
Murphy Oil Corp.
1,027
 
 
3,772
PROFESSIONAL SERVICES1.1%
10,627
Broadridge Financial Solutions, Inc.
2,095
REAL ESTATE MANAGEMENT & DEVELOPMENT2.9%
32,951
CBRE Group, Inc. Class A*
5,613
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT5.4%
9,695
Applied Materials, Inc.
3,125
42,957
Entegris, Inc.
5,072
40,024
Skyworks Solutions, Inc.
2,232
 
 
10,429
SOFTWARE1.8%
7,590
Synopsys, Inc. *
3,530
SPECIALIZED REITS0.9%
9,868
SBA Communications Corp.
1,817
SPECIALTY RETAIL5.4%
19,011
Ross Stores, Inc.
3,587
17,665
TJX Cos., Inc.
2,646
6,383
Ulta Beauty, Inc. *
4,132
 
 
10,365

58

Harbor Mid Cap Fund
PORTFOLIO OF INVESTMENTS—Continued
Value and Cost in Thousands
COMMON STOCKS—Continued
Shares
 
Value
TRADING COMPANIES & DISTRIBUTORS1.6%
16,768
GATX Corp.
$3,050
TOTAL COMMON STOCKS
(Cost $139,957)
186,190
TOTAL INVESTMENTS—96.6%
(Cost $139,957)
186,190
CASH AND OTHER ASSETS, LESS LIABILITIES—3.4%
6,502
TOTAL NET ASSETS—100%
$192,692
FAIR VALUE MEASUREMENTS
All investments as of January 31, 2026 (as disclosed in the preceding Portfolio of Investments) were classified as Level 1.
For more information on valuation inputs and their aggregation into the levels identified above, please refer to the Fair Value Measurements and Disclosures in Note 2 of the accompanying Notes to Portfolios of Investments.

*
Non-income producing security
The accompanying notes are an integral part of the Portfolios of Investments.

59

Harbor Mid Cap Value Fund
PORTFOLIO OF INVESTMENTS—January 31, 2026 (Unaudited)
Value and Cost in Thousands
COMMON STOCKS98.7%
Shares
 
Value
AEROSPACE & DEFENSE2.3%
9,300
Huntington Ingalls Industries, Inc.
$3,911
61,100
Textron, Inc.
5,380
 
 
9,291
AIR FREIGHT & LOGISTICS0.6%
7,800
FedEx Corp.
2,514
AUTOMOBILE COMPONENTS1.9%
49,100
BorgWarner, Inc.
2,328
103,600
Garrett Motion, Inc. (Switzerland)
1,869
68,900
Goodyear Tire & Rubber Co. *
648
13,700
Lear Corp.
1,604
15,700
Phinia, Inc.
1,118
 
 
7,567
AUTOMOBILES1.6%
60,400
General Motors Co.
5,074
78,300
Harley-Davidson, Inc.
1,550
 
 
6,624
BANKS4.7%
36,462
Bank of NT Butterfield & Son Ltd. (Bermuda)
1,888
83,200
Citizens Financial Group, Inc.
5,240
175,900
First Horizon Corp.
4,308
15,900
Popular, Inc. (Puerto Rico)
2,123
86,800
Regions Financial Corp.
2,474
45,500
Zions Bancorp NA
2,726
 
 
18,759
BEVERAGES0.9%
73,000
Molson Coors Beverage Co. Class B
3,507
BIOTECHNOLOGY4.1%
8,200
Biogen, Inc. *
1,475
21,400
BioMarin Pharmaceutical, Inc. *
1,210
78,000
Exelixis, Inc. *
3,226
32,500
Halozyme Therapeutics, Inc. *
2,330
44,400
Incyte Corp. *
4,443
2,500
Regeneron Pharmaceuticals, Inc.
1,854
4,300
United Therapeutics Corp. *
2,019
 
 
16,557
BROADLINE RETAIL1.5%
49,900
eBay, Inc.
4,552
82,300
Macy’s, Inc.
1,648
 
 
6,200
BUILDING PRODUCTS0.4%
13,500
Owens Corning
1,618
CAPITAL MARKETS4.7%
5,300
Affiliated Managers Group, Inc.
1,659
2,300
Ameriprise Financial, Inc.
1,213
44,900
Bank of New York Mellon Corp.
5,384
69,300
Federated Hermes, Inc.
3,692
54,560
State Street Corp.
7,140
 
 
19,088
CHEMICALS2.1%
28,000
CF Industries Holdings, Inc.
2,610
19,500
Eastman Chemical Co.
1,352
43,600
Koppers Holdings, Inc.
1,285
4,200
NewMarket Corp.
2,817
43,200
Orion SA (Germany)
267
 
 
8,331
COMMON STOCKS—Continued
Shares
 
Value
COMMERCIAL SERVICES & SUPPLIES1.2%
33,500
ABM Industries, Inc.
$1,542
18,200
Brink’s Co.
2,312
112,600
Pitney Bowes, Inc.
1,175
 
 
5,029
COMMUNICATIONS EQUIPMENT0.3%
46,907
NetScout Systems, Inc. *
1,304
CONSUMER FINANCE2.2%
88,200
Ally Financial, Inc.
3,729
103,400
Navient Corp.
1,015
29,200
PROG Holdings, Inc.
947
46,400
Synchrony Financial
3,370
 
 
9,061
CONSUMER STAPLES DISTRIBUTION & RETAIL1.6%
95,300
Albertsons Cos., Inc. Class A
1,587
79,200
Kroger Co.
4,977
 
 
6,564
CONTAINERS & PACKAGING1.4%
27,600
Crown Holdings, Inc.
2,889
54,200
Sonoco Products Co.
2,602
 
 
5,491
DIVERSIFIED CONSUMER SERVICES0.9%
285,800
ADT, Inc.
2,286
29,400
H&R Block, Inc.
1,160
 
 
3,446
DIVERSIFIED REITS0.6%
62,318
American Assets Trust, Inc.
1,125
77,200
Broadstone Net Lease, Inc.
1,429
 
 
2,554
ELECTRIC UTILITIES1.6%
35,300
Edison International
2,198
31,600
Eversource Energy
2,185
23,100
Otter Tail Corp.
2,060
 
 
6,443
ELECTRICAL EQUIPMENT1.3%
30,050
Atkore, Inc.
2,087
17,400
EnerSys
3,135
 
 
5,222
ELECTRONIC EQUIPMENT, INSTRUMENTS & COMPONENTS2.9%
23,300
Arrow Electronics, Inc. *
3,087
24,200
Avnet, Inc.
1,510
29,800
Flex Ltd. *
1,879
8,900
Jabil, Inc.
2,111
19,300
TD SYNNEX Corp.
3,062
 
 
11,649
ENERGY EQUIPMENT & SERVICES0.8%
99,400
Halliburton Co.
3,332
FINANCIAL SERVICES3.0%
51,588
Banco Latinoamericano de Comercio Exterior SA (Panama)
2,500
79,000
Corebridge Financial, Inc.
2,436
105,300
MGIC Investment Corp.
2,835
77,000
Radian Group, Inc.
2,533
169,700
Western Union Co.
1,590
 
 
11,894

60

Harbor Mid Cap Value Fund
PORTFOLIO OF INVESTMENTS—Continued
Value and Cost in Thousands
COMMON STOCKS—Continued
Shares
 
Value
FOOD PRODUCTS3.9%
37,700
Archer-Daniels-Midland Co.
$2,538
25,000
Campbell’s Co.
700
89,500
Conagra Brands, Inc.
1,657
36,900
Fresh Del Monte Produce, Inc.
1,463
53,900
General Mills, Inc.
2,493
23,800
Ingredion, Inc.
2,811
17,100
J.M. Smucker Co.
1,793
84,600
Kraft Heinz Co.
2,008
22,800
Simply Good Foods Co. *
428
 
 
15,891
GAS UTILITIES1.6%
33,400
National Fuel Gas Co.
2,797
92,700
UGI Corp.
3,718
 
 
6,515
GROUND TRANSPORTATION1.0%
20,000
Ryder System, Inc.
3,826
HEALTH CARE EQUIPMENT & SUPPLIES0.6%
8,800
Align Technology, Inc. *
1,435
51,500
Baxter International, Inc.
1,033
 
 
2,468
HEALTH CARE PROVIDERS & SERVICES1.7%
24,900
Centene Corp. *
1,079
17,000
DaVita, Inc. *
1,859
9,800
Tenet Healthcare Corp. *
1,855
10,800
Universal Health Services, Inc. Class B
2,173
 
 
6,966
HEALTH CARE REITS1.0%
75,000
Healthpeak Properties, Inc.
1,293
30,000
Omega Healthcare Investors, Inc.
1,317
72,300
Sabra Health Care REIT, Inc.
1,354
 
 
3,964
HOTEL & RESORT REITS0.7%
121,000
Host Hotels & Resorts, Inc.
2,242
65,800
Park Hotels & Resorts, Inc.
719
 
 
2,961
HOTELS, RESTAURANTS & LEISURE1.1%
77,800
Bloomin' Brands, Inc.
467
11,500
Expedia Group, Inc.
3,046
31,100
MGM Resorts International *
1,043
 
 
4,556
HOUSEHOLD DURABLES3.0%
16,100
KB Home
926
41,100
PulteGroup, Inc.
5,141
34,500
Toll Brothers, Inc.
4,985
13,300
Whirlpool Corp.
1,064
 
 
12,116
HOUSEHOLD PRODUCTS0.5%
30,800
Central Garden & Pet Co. Class A*
945
40,600
Energizer Holdings, Inc.
886
 
 
1,831
INDUSTRIAL REITS0.2%
13,100
Innovative Industrial Properties, Inc.
633
INSURANCE5.0%
8,300
Allstate Corp.
1,652
45,280
American International Group, Inc.
3,391
COMMON STOCKS—Continued
Shares
 
Value
INSURANCE—Continued
45,100
CNO Financial Group, Inc.
$1,896
90,900
Fidelis Insurance Holdings Ltd. (United Kingdom)
1,731
29,500
Hartford Insurance Group, Inc.
3,984
25,800
Lincoln National Corp.
1,073
93,100
Old Republic International Corp.
3,647
37,000
Unum Group
2,811
 
 
20,185
INTERACTIVE MEDIA & SERVICES1.3%
158,300
Angi, Inc. *
2,055
50,000
Match Group, Inc.
1,557
55,100
Yelp, Inc. *
1,509
 
 
5,121
IT SERVICES0.7%
23,200
Amdocs Ltd.
1,901
73,300
DXC Technology Co. *
1,058
 
 
2,959
LEISURE PRODUCTS0.3%
64,100
Mattel, Inc. *
1,339
MACHINERY5.0%
10,200
AGCO Corp.
1,157
41,900
Allison Transmission Holdings, Inc.
4,555
239,900
CNH Industrial NV
2,581
7,000
Cummins, Inc.
4,052
65,235
Gates Industrial Corp. PLC *
1,502
22,200
Mueller Industries, Inc.
3,022
22,600
Oshkosh Corp.
3,250
 
 
20,119
MEDIA2.7%
76,800
Fox Corp. Class A
5,590
13,100
Nexstar Media Group, Inc.
2,782
42,600
Sirius XM Holdings, Inc.
867
78,300
TEGNA, Inc.
1,500
 
 
10,739
METALS & MINING0.4%
22,600
Commercial Metals Co.
1,737
MORTGAGE REAL ESTATE INVESTMENT TRUSTS (REITS)0.3%
53,000
Annaly Capital Management, Inc.
1,220
OFFICE REITS1.2%
99,400
Brandywine Realty Trust
281
78,500
Cousins Properties, Inc.
1,981
57,700
Highwoods Properties, Inc.
1,492
138,248
Piedmont Realty Trust, Inc.
1,164
 
 
4,918
OIL, GAS & CONSUMABLE FUELS6.0%
91,300
APA Corp.
2,411
5,700
Chord Energy Corp.
571
65,000
Devon Energy Corp.
2,614
132,800
DHT Holdings, Inc.
1,903
51,000
HF Sinclair Corp.
2,651
14,100
Marathon Petroleum Corp.
2,484
79,900
Matador Resources Co.
3,615
111,600
Navigator Holdings Ltd.
2,068
8,300
Phillips 66
1,192
25,900
Scorpio Tankers, Inc. (Monaco)
1,648
10,700
Valero Energy Corp.
1,941
35,900
World Kinect Corp.
966
 
 
24,064

61

Harbor Mid Cap Value Fund
PORTFOLIO OF INVESTMENTS—Continued
Value and Cost in Thousands
COMMON STOCKS—Continued
Shares
 
Value
PAPER & FOREST PRODUCTS0.3%
20,900
Sylvamo Corp.
$1,023
PASSENGER AIRLINES1.5%
43,300
Delta Air Lines, Inc.
2,853
31,500
United Airlines Holdings, Inc. *
3,223
 
 
6,076
PERSONAL CARE PRODUCTS0.5%
115,300
Herbalife Ltd. *
1,988
PHARMACEUTICALS2.4%
53,300
Harmony Biosciences Holdings, Inc. *
1,947
29,400
Jazz Pharmaceuticals PLC *
4,836
104,900
Organon & Co.
896
142,800
Viatris, Inc.
1,869
 
 
9,548
PROFESSIONAL SERVICES2.3%
26,400
CSG Systems International, Inc.
2,105
29,900
Genpact Ltd.
1,319
27,500
ManpowerGroup, Inc.
999
14,760
Science Applications International Corp.
1,502
22,400
SS&C Technologies Holdings, Inc.
1,834
65,200
Upwork, Inc. *
1,306
 
 
9,065
RETAIL REITS0.8%
39,100
Brixmor Property Group, Inc.
1,047
99,100
Kite Realty Group Trust
2,328
 
 
3,375
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT1.7%
28,900
Amkor Technology, Inc.
1,397
24,000
Cirrus Logic, Inc. *
3,128
62,100
Photronics, Inc. *
2,147
 
 
6,672
SOFTWARE2.1%
108,800
Dropbox, Inc. Class A*
2,772
81,100
Gen Digital, Inc.
1,945
COMMON STOCKS—Continued
Shares
 
Value
SOFTWARE—Continued
52,000
RingCentral, Inc. Class A*
$1,346
27,000
Zoom Communications, Inc. *
2,487
 
 
8,550
SPECIALIZED REITS0.6%
42,800
EPR Properties
2,321
SPECIALTY RETAIL2.1%
7,200
AutoNation, Inc. *
1,476
16,400
Best Buy Co., Inc.
1,068
75,800
Gap, Inc.
2,121
2,600
Group 1 Automotive, Inc.
921
11,200
Penske Automotive Group, Inc.
1,756
13,900
Signet Jewelers Ltd.
1,282
 
 
8,624
TECHNOLOGY HARDWARE, STORAGE & PERIPHERALS3.2%
147,900
HP, Inc.
2,875
12,500
Sandisk Corp. *
7,203
11,500
Western Digital Corp.
2,878
 
 
12,956
TEXTILES, APPAREL & LUXURY GOODS0.4%
28,100
G-III Apparel Group Ltd.
825
12,350
PVH Corp.
770
 
 
1,595
TOTAL COMMON STOCKS
(Cost $310,588)
397,966
TOTAL INVESTMENTS—98.7%
(Cost $310,588)
397,966
CASH AND OTHER ASSETS, LESS LIABILITIES—1.3%
5,408
TOTAL NET ASSETS—100%
$403,374
FAIR VALUE MEASUREMENTS
All investments as of January 31, 2026 (as disclosed in the preceding Portfolio of Investments) were classified as Level 1.
For more information on valuation inputs and their aggregation into the levels identified above, please refer to the Fair Value Measurements and Disclosures in Note 2 of the accompanying Notes to Portfolios of Investments.

*
Non-income producing security
The accompanying notes are an integral part of the Portfolios of Investments.

62

Harbor Small Cap Growth Fund
PORTFOLIO OF INVESTMENTS—January 31, 2026 (Unaudited)
Value and Cost in Thousands
COMMON STOCKS96.6%
Shares
 
Value
AEROSPACE & DEFENSE3.8%
443,303
Karman Holdings, Inc. *
$46,015
395,463
Kratos Defense & Security Solutions, Inc. *
40,737
 
 
86,752
AUTOMOBILE COMPONENTS1.1%
204,027
Dorman Products, Inc. *
25,340
BANKS3.1%
353,415
East West Bancorp, Inc.
40,445
214,455
Wintrust Financial Corp.
31,630
 
 
72,075
BEVERAGES1.1%
474,328
Vita Coco Co., Inc. *
25,305
BIOTECHNOLOGY13.5%
276,950
Abivax SA ADR (France)*,1
30,783
1,676,832
ADMA Biologics, Inc. *
29,009
522,213
Ascendis Pharma AS ADR (Denmark)*,1
118,072
965,187
Bicycle Therapeutics PLC ADR (United Kingdom)*,1
6,196
760,321
Legend Biotech Corp. ADR*,1
13,306
252,214
Revolution Medicines, Inc. *
24,452
329,190
Rhythm Pharmaceuticals, Inc. *
33,749
792,805
Vaxcyte, Inc. *
42,471
271,074
Xenon Pharmaceuticals, Inc. (Canada)*
11,117
 
 
309,155
BROADLINE RETAIL0.3%
520,965
Pattern Group, Inc. Class A*
7,200
CAPITAL MARKETS3.8%
161,166
Hamilton Lane, Inc. Class A
22,763
240,465
Houlihan Lokey, Inc.
40,475
347,543
StepStone Group, Inc. Class A
24,568
 
 
87,806
CHEMICALS1.1%
694,311
Avient Corp.
25,099
COMMERCIAL SERVICES & SUPPLIES1.8%
404,720
Casella Waste Systems, Inc. Class A*
40,828
COMMUNICATIONS EQUIPMENT1.5%
759,639
Calix, Inc. *
33,933
CONSTRUCTION & ENGINEERING8.2%
703,820
API Group Corp. *
29,258
67,639
Comfort Systems USA, Inc.
77,250
713,255
Legence Corp. Class A*
33,459
320,279
Primoris Services Corp.
47,481
 
 
187,448
CONSUMER FINANCE1.7%
225,211
FirstCash Holdings, Inc.
38,398
ELECTRICAL EQUIPMENT5.7%
289,762
Bloom Energy Corp. Class A*
43,861
497,225
Nextpower, Inc. Class A*
58,220
182,262
Regal Rexnord Corp.
29,436
 
 
131,517
ELECTRONIC EQUIPMENT, INSTRUMENTS & COMPONENTS3.3%
87,955
Fabrinet (Thailand)*
43,049
166,970
Plexus Corp. *
33,282
 
 
76,331
COMMON STOCKS—Continued
Shares
 
Value
ENERGY EQUIPMENT & SERVICES0.9%
365,200
TechnipFMC PLC (United Kingdom)
$20,349
ENTERTAINMENT1.6%
1,045,882
IMAX Corp. *
36,512
GROUND TRANSPORTATION1.4%
94,383
Saia, Inc. *
31,606
HEALTH CARE EQUIPMENT & SUPPLIES1.9%
66,263
IRhythm Holdings, Inc. *
10,238
244,578
Masimo Corp. *
33,588
 
 
43,826
HEALTH CARE PROVIDERS & SERVICES5.1%
293,193
GeneDx Holdings Corp. *
28,223
248,100
Guardant Health, Inc. *
28,293
314,877
HealthEquity, Inc. *
26,975
528,084
Option Care Health, Inc. *
17,955
232,323
RadNet, Inc. *
16,286
 
 
117,732
HOTELS, RESTAURANTS & LEISURE3.4%
407,210
Dutch Bros, Inc. Class A*
22,148
3,261,173
Genius Sports Ltd. (United Kingdom)*
28,372
971,467
Life Time Group Holdings, Inc. *
28,338
 
 
78,858
HOUSEHOLD DURABLES2.4%
115,988
TopBuild Corp. *
54,288
INSURANCE1.7%
305,274
Palomar Holdings, Inc. *
37,729
IT SERVICES0.4%
240,890
Applied Digital Corp. *
8,161
LIFE SCIENCES TOOLS & SERVICES1.6%
895,000
Adaptive Biotechnologies Corp. *
16,558
71,758
Bio-Rad Laboratories, Inc. Class A*
21,075
 
 
37,633
MACHINERY2.7%
262,154
ITT, Inc.
47,791
66,010
SPX Technologies, Inc. *
13,757
 
 
61,548
MEDIA0.5%
691,819
NIQ Global Intelligence PLC *
11,754
METALS & MINING0.5%
583,810
Coeur Mining, Inc. *
11,933
OIL, GAS & CONSUMABLE FUELS0.8%
1,184,760
Permian Resources Corp.
19,110
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT7.2%
255,902
Credo Technology Group Holding Ltd. *
32,059
313,424
Lattice Semiconductor Corp. *
25,237
164,598
MKS, Inc.
38,748
155,167
Onto Innovation, Inc. *
31,352
79,584
Rambus, Inc. *
9,059
359,201
Semtech Corp. *
28,646
 
 
165,101
SOFTWARE5.6%
1,462,426
Braze, Inc. Class A*
30,448
254,265
Commvault Systems, Inc. *
21,790
210,362
Descartes Systems Group, Inc. (Canada)*
15,727

63

Harbor Small Cap Growth Fund
PORTFOLIO OF INVESTMENTS—Continued
Value and Cost in Thousands
COMMON STOCKS—Continued
Shares
 
Value
SOFTWARE—Continued
816,554
Dynatrace, Inc. *
$31,103
318,258
Procore Technologies, Inc. *
17,978
738,120
Riot Platforms, Inc. *
11,419
 
 
128,465
SPECIALTY RETAIL1.0%
54,006
Murphy USA, Inc.
22,818
TECHNOLOGY HARDWARE, STORAGE & PERIPHERALS0.4%
235,748
IonQ, Inc. *
9,425
TEXTILES, APPAREL & LUXURY GOODS1.2%
729,544
Birkenstock Holding PLC (Germany)*
27,548
COMMON STOCKS—Continued
Shares
 
Value
TRADING COMPANIES & DISTRIBUTORS6.3%
127,907
Applied Industrial Technologies, Inc.
$33,308
409,095
FTAI Aviation Ltd.
111,405
 
 
144,713
TOTAL COMMON STOCKS
(Cost $1,752,463)
2,216,296
TOTAL INVESTMENTS—96.6%
(Cost $1,752,463)
2,216,296
CASH AND OTHER ASSETS, LESS LIABILITIES—3.4%
77,038
TOTAL NET ASSETS—100%
$2,293,334
FAIR VALUE MEASUREMENTS
All investments as of January 31, 2026 (as disclosed in the preceding Portfolio of Investments) were classified as Level 1.
For more information on valuation inputs and their aggregation into the levels identified above, please refer to the Fair Value Measurements and Disclosures in Note 2 of the accompanying Notes to Portfolios of Investments.

*
Non-income producing security
1
Depositary receipts such as American Depositary Receipts (ADRs), Global Depositary Receipts (GDRs) and other country specific depositary receipts are certificates evidencing ownership of shares of a foreign issuer. These certificates are issued by depositary banks and generally trade on an established market in the U.S. or elsewhere.
The accompanying notes are an integral part of the Portfolios of Investments.

64

Harbor Small Cap Value Fund
PORTFOLIO OF INVESTMENTS—January 31, 2026 (Unaudited)
Value and Cost in Thousands
COMMON STOCKS98.0%
Shares
 
Value
AEROSPACE & DEFENSE7.6%
508,772
AAR Corp. *
$53,884
592,170
Hexcel Corp.
49,038
221,697
Moog, Inc. Class A
67,695
 
 
170,617
BANKS15.3%
905,228
Atlantic Union Bankshares Corp.
35,159
551,938
Enterprise Financial Services Corp.
31,654
844,041
First Merchants Corp.
33,559
244,328
Northeast Bank
28,154
453,452
Southstate Bank Corp.
46,402
967,253
Trustmark Corp.
41,128
334,432
UMB Financial Corp.
42,520
999,941
United Bankshares, Inc.
42,327
1,282,406
United Community Banks, Inc.
44,153
 
 
345,056
CAPITAL MARKETS4.6%
365,863
Houlihan Lokey, Inc.
61,582
347,842
Stifel Financial Corp.
42,889
 
 
104,471
CHEMICALS3.3%
435,432
Cabot Corp.
31,434
662,996
Scotts Miracle-Gro Co.
42,578
 
 
74,012
COMMERCIAL SERVICES & SUPPLIES1.9%
428,307
Casella Waste Systems, Inc. Class A*
43,208
CONSTRUCTION & ENGINEERING1.4%
366,701
Everus Construction Group, Inc. *
32,449
CONSUMER FINANCE2.4%
320,183
FirstCash Holdings, Inc.
54,591
ELECTRICAL EQUIPMENT2.6%
322,278
EnerSys
58,071
ELECTRONIC EQUIPMENT, INSTRUMENTS & COMPONENTS10.1%
256,670
Advanced Energy Industries, Inc.
65,543
651,261
Benchmark Electronics, Inc.
33,957
655,033
CTS Corp.
33,675
184,574
Daktronics, Inc. *
4,273
124,050
Littelfuse, Inc.
40,162
248,938
Plexus Corp. *
49,621
 
 
227,231
ENERGY EQUIPMENT & SERVICES6.8%
856,614
Archrock, Inc.
25,347
1,158,356
Core Laboratories, Inc.
22,634
2,416,035
Expro Group Holdings NV *
38,681
741,784
Helmerich & Payne, Inc.
25,132
1,420,285
Oceaneering International, Inc. *
42,750
 
 
154,544
FOOD PRODUCTS2.1%
1,033,468
Darling Ingredients, Inc. *
47,188
GAS UTILITIES1.6%
440,461
ONE Gas, Inc.
35,043
GROUND TRANSPORTATION1.8%
217,506
Ryder System, Inc.
41,605
HEALTH CARE EQUIPMENT & SUPPLIES2.2%
401,905
CONMED Corp.
15,429
COMMON STOCKS—Continued
Shares
 
Value
HEALTH CARE EQUIPMENT & SUPPLIES—Continued
381,369
Integer Holdings Corp. *
$33,126
 
 
48,555
HOTEL & RESORT REITS0.5%
892,655
Pebblebrook Hotel Trust
10,194
HOTELS, RESTAURANTS & LEISURE2.6%
787,883
Cheesecake Factory, Inc.
45,666
9,392,152
Sabre Corp. *
12,210
 
 
57,876
HOUSEHOLD DURABLES1.4%
467,282
Meritage Homes Corp.
32,481
INDUSTRIAL REITS1.4%
855,356
STAG Industrial, Inc.
32,084
INSURANCE2.5%
395,199
Horace Mann Educators Corp.
17,709
194,457
Reinsurance Group of America, Inc. Class A
39,426
 
 
57,135
MACHINERY9.3%
333,174
Albany International Corp. Class A
18,488
937,916
Flowserve Corp.
73,298
389,332
Franklin Electric Co., Inc.
38,785
244,747
SPX Technologies, Inc. *
51,008
292,104
Timken Co.
27,221
 
 
208,800
OFFICE REITS0.8%
611,029
COPT Defense Properties
18,826
PROFESSIONAL SERVICES3.1%
648,328
Parsons Corp. *
45,422
383,046
TriNet Group, Inc.
23,458
 
 
68,880
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT7.3%
1,295,126
Amkor Technology, Inc.
62,593
382,627
Diodes, Inc. *
22,648
147,519
Entegris, Inc.
17,417
895,072
FormFactor, Inc. *
63,094
 
 
165,752
SOFTWARE1.2%
1,100,941
Box, Inc. Class A*
27,909
SPECIALIZED REITS1.0%
910,676
Four Corners Property Trust, Inc.
22,448
TEXTILES, APPAREL & LUXURY GOODS1.0%
1,325,572
Wolverine World Wide, Inc.
23,489
TRADING COMPANIES & DISTRIBUTORS2.2%
271,988
GATX Corp.
49,477
TOTAL COMMON STOCKS
(Cost $1,163,033)
2,211,992
TOTAL INVESTMENTS—98.0%
(Cost $1,163,033)
2,211,992
CASH AND OTHER ASSETS, LESS LIABILITIES—2.0%
45,343
TOTAL NET ASSETS—100%
$2,257,335

65

Harbor Small Cap Value Fund
PORTFOLIO OF INVESTMENTS—Continued
FAIR VALUE MEASUREMENTS
All investments as of January 31, 2026 (as disclosed in the preceding Portfolio of Investments) were classified as Level 1.
For more information on valuation inputs and their aggregation into the levels identified above, please refer to the Fair Value Measurements and Disclosures in Note 2 of the accompanying Notes to Portfolios of Investments.

*
Non-income producing security
The accompanying notes are an integral part of the Portfolios of Investments.

66

Notes to Portfolios of Investments—January 31, 2026 (Unaudited)

NOTE 1—ORGANIZATIONAL MATTERS
Harbor Funds and Harbor Funds II (each a “Trust” and collectively, the “Trusts”) are registered under the Investment Company Act of 1940, as amended (the “Investment Company Act”), as open-end management investment companies. As of January 31, 2026, each Trust consists of the following separate portfolios (individually or collectively referred to as a “Fund” or the “Funds,” respectively). Harbor Capital Advisors, Inc. (the “Advisor” or “Harbor Capital”) is the investment adviser for the Funds.
Harbor Funds
Harbor Capital Appreciation Fund
Harbor Convertible Securities Fund (currently, Harbor Ares
Systematic Convertible Securities Fund)
Harbor Core Bond Fund
Harbor Core Plus Fund
Harbor Diversified International All Cap Fund
Harbor International Fund
Harbor International Compounders Fund
Harbor International Core Fund
Harbor International Small Cap Fund
Harbor Large Cap Value Fund
Harbor Mid Cap Fund
Harbor Mid Cap Value Fund
Harbor Small Cap Growth Fund
Harbor Small Cap Value Fund
Harbor Funds II
Embark Commodity Strategy Fund (Consolidated)
Embark Small Cap Equity Fund
NOTE 2—SIGNIFICANT ACCOUNTING POLICIES
Security Valuation
Investments are valued pursuant to valuation procedures approved by the Board of Trustees. The valuation procedures permit the Advisor to use a variety of valuation methodologies, consider a number of subjective factors, analyze applicable facts and circumstances and, in general, exercise judgment, when valuing Fund investments. The methodology used for a specific type of investment may vary based on the circumstances and relevant considerations, including available market data.
Equity securities (including common stock, preferred stock, and convertible preferred stock), exchange-traded funds and financial derivative instruments (such as futures contracts, options, rights and warrants, and centrally cleared swap agreements) that are traded on a national securities exchange or system (except securities listed on the National Association of Securities Dealers Automated Quotation (“NASDAQ”) system and United Kingdom London Stock Exchange securities) are valued at the last sale price on a national exchange or system on which they are principally traded as of the valuation date. Securities listed on the NASDAQ system or a United Kingdom exchange are valued at the official closing price of those securities. Shares of open-end registered investment companies that are held by a Fund are valued at net asset value. To the extent these securities are actively traded and fair valuation adjustments are not applied, they are normally categorized as Level 1 in the fair value hierarchy. Equity securities traded on inactive markets or valued by reference to similar instruments are normally categorized as Level 2 in the fair value hierarchy. For more information on the fair value hierarchy, please refer to the Fair Value Measurements and Disclosures section.
Debt securities (including corporate bonds, municipal bonds and notes, U.S. government agencies, U.S. treasury obligations, mortgage-backed and asset-backed securities, foreign government obligations, convertible securities, other than short-term securities, with a remaining maturity of less than 60 days at the time of acquisition) are valued using evaluated prices furnished by a pricing vendor. An evaluated price represents an assessment by the pricing vendor using various market inputs of what the pricing vendor believes is the fair value of a security at a particular point in time. The pricing vendor determines evaluated prices for debt securities that would be transacted at institutional-size quantities using inputs including, but not limited to, (i) recent transaction prices and dealer quotes, (ii) transaction prices for what the pricing vendor believes are securities with similar characteristics, (iii) the pricing vendor’s assessment of the risk inherent in the security taking into account criteria such as credit quality, payment history, liquidity and market conditions, and (iv) various correlations and relationships between security price movements and other factors, such as interest rate changes, which are recognized by institutional traders. In the case of asset-backed and mortgage-backed securities, the inputs used by the pricing vendor may also include information about cash flows, prepayment rates, default rates, delinquency and loss assumption, collateral characteristics, credit enhancements and other specific information about the particular offering. Because many debt securities trade infrequently, the pricing vendor

67

Notes to Portfolios of Investments—Continued

NOTE 2—SIGNIFICANT ACCOUNTING POLICIES—Continued
will often not have current transaction price information available as an input in determining an evaluated price for a particular security. When current transaction price information is available, it is one input into the pricing vendor’s evaluation process, which means that the evaluated price supplied by the pricing vendor will frequently differ from that transaction price. Securities that use similar valuation techniques and inputs as described above are normally categorized as Level 2 in the fair value hierarchy.
Short-term debt securities with a remaining maturity of less than 60 days at the time of acquisition that are held by a Fund are valued at amortized cost to the extent amortized cost represents fair value. Such securities are normally categorized as Level 2 in the fair value hierarchy.
Over-the-counter (“OTC”) swap agreements value is generally determined by a pricing vendor using a series of techniques, including simulation pricing models, or by the counterparties to the OTC swap agreements, typically using its own proprietary models. The pricing models may use inputs such as underlying asset prices, indices, exchange rates, interest rates, yield curves, and credit spreads, that are observed from actively quoted markets. OTC swap agreements are normally categorized as Level 2 in the fair value hierarchy.
A Fund may also use fair value pricing if the value of some or all of the Fund’s securities have been materially affected by events occurring before the Fund’s pricing time but after the close of the primary markets or exchanges on which the security is traded. This most commonly occurs with foreign securities, but may occur with other securities as well. In such cases, the Fund may apply a fair value factor supplied by the pricing vendor to a foreign security’s market close value to reflect changes in value that may have occurred between the close of the primary market or exchange on which the security is traded and the Fund’s pricing time. That factor may be derived using observable inputs such as a comparison of the trading patterns of a foreign security to intraday trading in the U.S. markets that are highly correlated to the foreign security or other information that becomes available after the close of the foreign market on which the security principally traded. When fair value pricing is employed, the prices of securities used by a Fund to calculate its net asset value may differ from market quotations, official closing prices or evaluated prices for the same securities, which means that the Fund may value those securities higher or lower than another given fund that uses market quotations, official closing prices or evaluated prices supplied by a pricing vendor in its calculation of net asset value. Securities valued using observable inputs, such as those described above, are normally categorized as Level 2 of the fair value hierarchy.
When reliable market quotations or evaluated prices supplied by a pricing vendor are not readily available or are not believed to accurately reflect fair value, securities fair value determinations are made by the Advisor as designated by the Board of Trustees pursuant to the Investment Company Act. Fair value determinations for investments which incorporate significant unobservable inputs are normally categorized as Level 3 in the fair value hierarchy.
Fair Value Measurements and Disclosures
Various inputs may be used to determine the value of each Fund’s investments, which are summarized in three broad categories defined as Level 1, Level 2, and Level 3. The inputs or methodologies used for valuing investments are not necessarily indicative of the risk associated with investing in those investments. The assignment of an investment to Levels 1, 2, or 3 is based on the lowest level of significant inputs used to determine its fair value.
Level 1–Quoted prices in active markets for identical securities.
Level 2–Other significant observable inputs (including quoted prices for similar securities, interest rates, prepayment speeds, credit risk, etc.).
Level 3–Significant unobservable inputs are used in situations where quoted prices or other observable inputs are not available or are deemed unreliable. Significant unobservable inputs may include each Fund’s own assumptions.
The categorization of investments into Levels 1, 2, or 3, and a summary of significant unobservable inputs used for Level 3 investments, when applicable, can be found at the end of each Fund’s Portfolio of Investments schedule.
Each Fund used observable inputs in its valuation methodologies whenever they were available and deemed reliable.

68

Notes to Portfolios of Investments—Continued

NOTE 2—SIGNIFICANT ACCOUNTING POLICIES—Continued
Securities Transactions
Securities transactions are accounted for on the trade date (the date the order to buy or sell is executed).
Please refer to the most recent annual or semi-annual financial statements on the Harbor Capital’s website at harborcapital.com for more information regarding each Fund’s significant accounting policies, investments, and related transactions.

69