Quarterly Portfolios of Investments
HARBOR ETF TRUST
July 31, 2026 
 
Harbor Active Commodity ETF (Consolidated)
Harbor Active Small Cap ETF
Harbor Active Small Cap Growth ETF
Harbor AI Inflection Strategy ETF
Harbor Alpha Layering ETF (Consolidated)
Harbor AlphaEdge™ Large Cap Value ETF
Harbor AlphaEdge™ Small Cap Earners ETF (currently, Harbor Small Cap Earners ETF)
Harbor Ares Systematic High Yield ETF
Harbor Ares Systematic Multi-Sector Income ETF
Harbor Commodity All-Weather Strategy ETF  (Consolidated)
Harbor Disciplined Bond ETF
Harbor Dividend Growth Leaders ETF
Harbor Emerging Markets Equity ETF
Harbor Emerging Markets Select ETF
Harbor Health Care ETF
Harbor Human Capital Factor US Large Cap ETF
Harbor Human Capital Factor US Small Cap ETF
Harbor International Compounders ETF
Harbor International Equity ETF
Harbor Long-Short Equity ETF
Harbor Long-Term Growers ETF
Harbor Mid Cap Core ETF
Harbor Mid Cap Value ETF
Harbor Multi-Asset Explorer ETF (Consolidated) (currently, Harbor Multi-Asset Total Return ETF)
Harbor Osmosis Emerging Markets Resource Efficient ETF
Harbor Osmosis International Resource Efficient ETF
Harbor PanAgora Dynamic Large Cap Core ETF
Harbor SMID Cap Core ETF
Harbor SMID Cap Value ETF
Harbor Transformative Technologies ETF
  

 

Table of Contents

 
Harbor Active Commodity ETF (CONSOLIDATED)
1
Harbor Active Small Cap ETF
3
Harbor Active Small Cap Growth ETF
5
Harbor AI Inflection Strategy ETF
8
Harbor Alpha Layering ETF (CONSOLIDATED)
9
Harbor AlphaEdge™ Large Cap Value ETF
10
Harbor AlphaEdge™ Small Cap Earners ETF (currently, Harbor Small
Cap Earners ETF)
12
Harbor Ares Systematic High Yield ETF
19
Harbor Ares Systematic Multi-Sector Income ETF
24
Harbor Commodity All-Weather Strategy ETF (CONSOLIDATED)
30
Harbor Disciplined Bond ETF
31
Harbor Dividend Growth Leaders ETF
38
Harbor Emerging Markets Equity ETF
40
Harbor Emerging Markets Select ETF
42
Harbor Health Care ETF
44
Harbor Human Capital Factor US Large Cap ETF
45
Harbor Human Capital Factor US Small Cap ETF
48
Harbor International Compounders ETF
52
Harbor International Equity ETF
53
Harbor Long-Short Equity ETF
55
Harbor Long-Term Growers ETF
58
Harbor Mid Cap Core ETF
60
Harbor Mid Cap Value ETF
62
Harbor Multi-Asset Explorer ETF (Consolidated) (currently, Harbor
Multi-Asset Total Return ETF)
64
Harbor Osmosis Emerging Markets Resource Efficient ETF
65
Harbor Osmosis International Resource Efficient ETF
68
Harbor PanAgora Dynamic Large Cap Core ETF
70
Harbor SMID Cap Core ETF
73
Harbor SMID Cap Value ETF
75
Harbor Transformative Technologies ETF
77
Notes to Portfolios of Investments
78
 

Harbor Active Commodity ETF
CONSOLIDATED PORTFOLIO OF INVESTMENTS—July 31, 2026 (Unaudited)
Principal Amount, Value, and Cost in Thousands
 
 
 
Short-Term Investments—83.0%
Principal
Amount
 
Value
U.S. TREASURY BILLS—83.0%
U.S. Treasury Bills
$1,007
3.520%—09/17/2026†
$1,002
803
3.536%—08/11/2026†
802
1,025
3.596%—10/13/2026†
1,018
1,013
3.674%—11/12/2026†
1,002
1,028
3.710%—12/17/2026†
1,014
132
3.769%—01/21/2027†
130
TOTAL SHORT-TERM INVESTMENTS
(Cost $4,967)
4,968
TOTAL INVESTMENTS—83.0%
(Cost $4,967)
4,968
CASH AND OTHER ASSETS, LESS LIABILITIES—17.0%
1,015
TOTAL NET ASSETS—100%
$5,983
  
FUTURES CONTRACTS
LONG FUTURES CONTRACTS
Description
Number of
Contracts
Expiration
Month
Current
Notional
Value
(000s)
Unrealized
Appreciation/
(Depreciation)
(000s)
Brent Crude Futures
8
09/26
$677
$54
Cocoa Futures
5
12/26
277
(28
)
Coffee C Futures
2
12/26
236
2
Copper Futures
1
12/26
164
2
Corn Futures
6
12/26
139
1
Cotton No. 2 Futures
4
12/26
163
4
Gas Oil Low Sulphur Futures
6
11/26
655
94
Gold 100 OZ Futures
3
12/26
1,232
(99
)
KC Hard Red Wheat Futures
3
12/26
108
8
Lean Hogs Futures
3
10/26
102
4
LME Aluminum Futures
1
09/26
80
(6
)
LME Aluminum Futures
1
11/26
79
1
LME Nickel Futures
1
09/26
103
(5
)
LME Nickel Futures
1
11/26
104
3
LME Zinc Futures
1
09/26
92
2
LME Zinc Futures
1
11/26
91
1
NY Harbor ULSD Futures
3
10/26
479
48
RBOB Gasoline Futures
5
10/26
562
38
Soybean Futures
2
11/26
119
4
Soybean Meal Futures
3
12/26
96
4
Soybean Oil Futures
3
12/26
120
—
Sugar No. 11 Futures
11
09/26
181
1
Wheat Futures
3
12/26
99
3
WTI Crude Oil Futures
3
10/26
236
17
Total Long Futures Contracts
$153
 

⬤
1

Harbor Active Commodity ETF
CONSOLIDATED PORTFOLIO OF INVESTMENTS—Continued
FUTURES CONTRACTS—Continued
SHORT FUTURES CONTRACTS
Description
Number of
Contracts
Expiration
Month
Current
Notional
Value
(000s)
Unrealized
Appreciation/
(Depreciation)
(000s)
LME Aluminum Futures
1
09/26
$80
$(1
)
LME Nickel Futures
1
09/26
103
(3
)
LME Zinc Futures
1
09/26
91
(1
)
Total Short Futures Contracts
$(5
)
Total Futures Contracts
$ 148
FAIR VALUE MEASUREMENTS
As of July 31, 2026, the investments in futures contracts (as disclosed in the preceding Futures Contracts schedule) 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
The accompanying notes are an integral part of the Portfolios of Investments.

⬤
2

Harbor Active Small Cap ETF
PORTFOLIO OF INVESTMENTS—July 31, 2026 (Unaudited)
Value and Cost in Thousands
 
 
 
COMMON STOCKS—95.5%
Shares
 
Value
AEROSPACE & DEFENSE—4.0%
1,602
Arxis, Inc. Class A*
$87
1,951
Loar Holdings, Inc. *
133
11,562
StandardAero, Inc. *
339
 
 
559
AUTOMOBILE COMPONENTS—1.0%
1,352
LCI Industries
138
BANKS—8.2%
7,380
Northpointe Bancshares, Inc.
129
9,432
United Bankshares, Inc.
457
3,477
Wintrust Financial Corp.
555
 
 
1,141
BEVERAGES—0.9%
657
Boston Beer Co., Inc. Class A*
120
BUILDING PRODUCTS—5.0%
2,787
Fortune Brands Innovations, Inc.
137
12,088
Hayward Holdings, Inc. *
183
74,620
Janus International Group, Inc. *
383
 
 
703
CAPITAL MARKETS—11.7%
9,431
Artisan Partners Asset Management, Inc. Class A
370
1,348
FactSet Research Systems, Inc.
355
2,561
Moelis & Co. Class A
172
3,219
Morningstar, Inc.
620
12,443
Wealthfront Corp. *
118
 
 
1,635
CONSTRUCTION & ENGINEERING—4.1%
23,540
WillScot Holdings Corp.
572
CONSUMER FINANCE—0.7%
3,869
Figure Technology Solutions, Inc. Class A*
96
CONSUMER STAPLES DISTRIBUTION & RETAIL—1.4%
4,259
Maplebear, Inc. *
190
CONTAINERS & PACKAGING—2.3%
2,432
AptarGroup, Inc.
326
DISTRIBUTORS—5.0%
3,753
Pool Corp.
697
ENERGY EQUIPMENT & SERVICES—2.0%
15,331
Liberty Energy, Inc.
287
FINANCIAL SERVICES—4.5%
14,435
Remitly Global, Inc. *
329
5,777
Shift4 Payments, Inc. Class A*
306
 
 
635
GROUND TRANSPORTATION—1.0%
8,643
Lyft, Inc. Class A*
137
HEALTH CARE PROVIDERS & SERVICES—2.0%
3,480
U.S. Physical Therapy, Inc.
275
HEALTH CARE TECHNOLOGY—1.3%
9,053
Doximity, Inc. Class A*
189
 
COMMON STOCKS—Continued
Shares
 
Value
HOTEL & RESORT REITS—3.0%
34,116
RLJ Lodging Trust
$418
HOTELS, RESTAURANTS & LEISURE—0.9%
1,050
Monarch Casino & Resort, Inc.
129
INSURANCE—1.7%
6,380
Accelerant Holdings Class A (Cayman Islands)*
76
468
Kinsale Capital Group, Inc.
167
 
 
243
MACHINERY—12.0%
11,267
Douglas Dynamics, Inc.
497
39,119
Hillman Solutions Corp. *
308
2,167
Middleby Corp. *
289
2,167
Midera Food Processing, Inc. *
104
301
RBC Bearings, Inc. *
166
3,386
Toro Co.
311
 
 
1,675
METALS & MINING—2.2%
764
Reliance, Inc.
310
MULTI-UTILITIES—1.4%
2,779
CMS Energy Corp.
200
OIL, GAS & CONSUMABLE FUELS—2.6%
988
DT Midstream, Inc.
137
5,738
Range Resources Corp.
230
 
 
367
PROFESSIONAL SERVICES—8.7%
6,177
Andersen Group, Inc. Class A*
293
3,381
Paylocity Holding Corp. *
466
5,893
SS&C Technologies Holdings, Inc.
454
 
 
1,213
REAL ESTATE MANAGEMENT & DEVELOPMENT—2.4%
11,456
CoStar Group, Inc. *
329
RETAIL REITS—1.7%
5,660
Phillips Edison & Co., Inc.
241
SOFTWARE—2.5%
18,060
Freshworks, Inc. Class A*
205
2,432
Q2 Holdings, Inc. *
148
 
 
353
TRADING COMPANIES & DISTRIBUTORS—1.3%
3,296
Core & Main, Inc. Class A*
145
2,082
EquipmentShare.com, Inc. Class A*
39
 
 
184
TOTAL COMMON STOCKS
(Cost $13,943)
13,362
TOTAL INVESTMENTS—95.5%
(Cost $13,943)
13,362
CASH AND OTHER ASSETS, LESS LIABILITIES—4.5%
623
TOTAL NET ASSETS—100%
$13,985
 

⬤
3

Harbor Active Small Cap ETF
PORTFOLIO OF INVESTMENTS—Continued
FAIR VALUE MEASUREMENTS
All investments as of July 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.

⬤
4

Harbor Active Small Cap Growth ETF
PORTFOLIO OF INVESTMENTS—July 31, 2026 (Unaudited)
Value and Cost in Thousands
 
 
 
COMMON STOCKS—97.6%
Shares
 
Value
AEROSPACE & DEFENSE—4.0%
529
AeroVironment, Inc. *
$79
3,391
Arxis, Inc. Class A*
184
2,112
Beta Technologies, Inc. Class A*
40
1,322
BWX Technologies, Inc.
223
1,937
FTAI Aviation Ltd.
399
2,330
Karman Holdings, Inc. *
112
1,626
York Space Systems, Inc. *
24
 
 
1,061
BANKS—1.6%
4,354
Texas Capital Bancshares, Inc.
430
BEVERAGES—0.7%
2,619
Vita Coco Co., Inc. *
173
BIOTECHNOLOGY—15.9%
1,758
AnaptysBio, Inc. *
94
12,274
BridgeBio Oncology Therapeutics, Inc. (Cayman
Islands)*
99
2,200
Bridgebio Pharma, Inc. *
176
3,563
Celcuity, Inc. *
308
970
Cytokinetics, Inc. *
75
8,094
Dyne Therapeutics, Inc. *
204
3,157
First Tracks Biotherapeutics, Inc. *
139
3,346
GRAIL, Inc. *
229
8,493
Immunome, Inc. *
193
4,793
Immunovant, Inc. *
185
3,204
Kiniksa Pharmaceuticals International PLC *
238
4,489
MoonLake Immunotherapeutics *
83
1,870
Oruka Therapeutics, Inc. *
181
1,101
Protagonist Therapeutics, Inc. *
150
2,024
Rhythm Pharmaceuticals, Inc. *
201
3,915
Scholar Rock Holding Corp. *
185
1,979
Spyre Therapeutics, Inc. *
195
10,207
Stoke Therapeutics, Inc. *
295
11,085
Syndax Pharmaceuticals, Inc. *
211
2,719
Tango Therapeutics, Inc. *
74
30,625
Taysha Gene Therapies, Inc. *
180
1,851
Twist Bioscience Corp. *
169
2,302
Viking Therapeutics, Inc. *
73
2,550
Xenon Pharmaceuticals, Inc. (Canada)*
160
7,612
Zymeworks, Inc. *
167
 
 
4,264
BROADLINE RETAIL—0.5%
2,510
Global-e Online Ltd. (Israel)*
99
470
Ollie’s Bargain Outlet Holdings, Inc. *
34
 
 
133
BUILDING PRODUCTS—0.5%
613
Modine Manufacturing Co. *
123
CAPITAL MARKETS—0.8%
3,124
Marex Group Ltd. (Bermuda)
203
COMMERCIAL SERVICES & SUPPLIES—2.4%
6,376
Casella Waste Systems, Inc. Class A*
572
2,949
Onterris, Inc. *
62
 
 
634
COMMUNICATIONS EQUIPMENT—0.3%
702
Silicom Ltd. (Israel)*
28
 
COMMON STOCKS—Continued
Shares
 
Value
COMMUNICATIONS EQUIPMENT—Continued
1,542
Viavi Solutions, Inc. *
$57
 
 
85
CONSTRUCTION & ENGINEERING—0.7%
8,054
WillScot Holdings Corp.
196
CONSUMER FINANCE—1.5%
619
Dave, Inc. *
231
7,261
Figure Technology Solutions, Inc. Class A*
181
 
 
412
CONSUMER STAPLES DISTRIBUTION & RETAIL—0.9%
2,153
Chefs' Warehouse, Inc. *
248
DIVERSIFIED TELECOMMUNICATION SERVICES—0.3%
6,204
Cogent Communications Holdings, Inc.
84
ELECTRICAL EQUIPMENT—1.8%
1,932
Forgent Power Solutions, Inc. Class A*
64
1,012
Generac Holdings, Inc. *
200
2,549
Nextpower, Inc. Class A*
229
 
 
493
ELECTRONIC EQUIPMENT, INSTRUMENTS & COMPONENTS—3.5%
14,344
908 Devices, Inc. *
115
354
Advanced Energy Industries, Inc.
102
16,150
Arlo Technologies, Inc. *
238
5,369
Evolv Technologies Holdings, Inc. *
30
14,038
LightPath Technologies, Inc. Class A*
145
835
nLight, Inc. *
57
311
TTM Technologies, Inc. *
36
10,431
Unusual Machines, Inc. (Puerto Rico)*
221
 
 
944
FINANCIAL SERVICES—2.3%
10,248
Chime Financial, Inc. Class A*
236
3,124
Shift4 Payments, Inc. Class A*
166
6,332
Toast, Inc. Class A*
204
 
 
606
FOOD PRODUCTS—0.7%
877
Freshpet, Inc. *
52
6,819
Mama’s Creations, Inc. *
126
 
 
178
GROUND TRANSPORTATION—0.8%
6,955
Neutron Holdings, Inc. *
205
HEALTH CARE EQUIPMENT & SUPPLIES—5.1%
7,262
Beta Bionics, Inc. *
93
1,496
iRadimed Corp.
136
1,057
IRhythm Holdings, Inc. *
124
18,262
OrthoPediatrics Corp. *
369
22,616
Owlet, Inc. *
116
29,518
SI-BONE, Inc. *
524
 
 
1,362
HEALTH CARE PROVIDERS & SERVICES—3.2%
8,305
Alignment Healthcare, Inc. *
123
2,377
CorVel Corp. *
143
3,688
HealthEquity, Inc. *
371
3,784
Lumexa Imaging Holdings, Inc. *
39

⬤
5

Harbor Active Small Cap Growth ETF
PORTFOLIO OF INVESTMENTS—Continued
Value and Cost in Thousands 
COMMON STOCKS—Continued
Shares
 
Value
HEALTH CARE PROVIDERS & SERVICES—Continued
2,245
RadNet, Inc. *
$143
7,263
Strata Critical Medical, Inc. *
37
 
 
856
HOTELS, RESTAURANTS & LEISURE—2.6%
748
Cava Group, Inc. *
49
2,291
First Watch Restaurant Group, Inc. *
29
24,026
Genius Sports Ltd. (United Kingdom)*
167
2,551
Kura Sushi USA, Inc. Class A*
118
5,148
Life Time Group Holdings, Inc. *
232
1,939
Lindblad Expeditions Holdings, Inc. *
57
8,273
Sweetgreen, Inc. Class A*
53
 
 
705
HOUSEHOLD DURABLES—1.7%
2,418
Green Brick Partners, Inc. *
171
1,807
SharkNinja, Inc. *
292
 
 
463
INSURANCE—0.6%
453
Kinsale Capital Group, Inc.
162
INTERACTIVE MEDIA & SERVICES—0.1%
6,291
Trivago NV ADR (Germany)*,1
33
IT SERVICES—1.4%
1,800
DigitalOcean Holdings, Inc. *
211
1,013
Okta, Inc. *
144
575
Quantinuum, Inc. Class A*
30
 
 
385
LEISURE PRODUCTS—0.5%
7,876
Callaway Golf Co. *
145
LIFE SCIENCES TOOLS & SERVICES—2.4%
5,855
CryoPort, Inc. *
88
3,913
Repligen Corp. *
552
 
 
640
MACHINERY—5.7%
4,680
Capstone Energy+, Inc. *
36
2,587
CECO Environmental Corp. *
171
20,062
Gates Industrial Corp. Ltd. *
561
1,581
JBT Marel Corp.
219
5,148
Kornit Digital Ltd. (Israel)*
79
833
RBC Bearings, Inc. *
459
 
 
1,525
MEDIA—2.1%
28,572
Magnite, Inc. *
551
METALS & MINING—1.8%
2,685
Almonty Industries, Inc. (Canada)*
30
1,289
Materion Corp.
272
4,044
MP Materials Corp. *
167
2,331
U.S. Antimony Corp. *
12
 
 
481
OIL, GAS & CONSUMABLE FUELS—0.2%
220
Centrus Energy Corp. Class A*
39
  
COMMON STOCKS—Continued
Shares
 
Value
PHARMACEUTICALS—2.6%
4,621
Edgewise Therapeutics, Inc. *
$178
3,257
EyePoint, Inc. *
40
1,103
Ligand Pharmaceuticals, Inc. *
317
21,079
Xeris Biopharma Holdings, Inc. *
170
 
 
705
PROFESSIONAL SERVICES—0.5%
3,695
ExlService Holdings, Inc. *
125
1,363
Spire Global, Inc. *
16
 
 
141
REAL ESTATE MANAGEMENT & DEVELOPMENT—0.1%
2,244
Compass, Inc. Class A*
26
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT—8.9%
5,246
Allegro MicroSystems, Inc. (Japan)*
218
124,605
indie Semiconductor, Inc. Class A (China)*
402
1,222
Lattice Semiconductor Corp. *
152
1,066
Onto Innovation, Inc. *
276
1,625
Rambus, Inc. *
148
9,281
Rigetti Computing, Inc. *
139
3,211
Silicon Motion Technology Corp. ADR (Taiwan)1
814
4,749
Veeco Instruments, Inc. *
237
 
 
2,386
SOFTWARE—17.6%
2,286
Agilysys, Inc. *
240
14,828
Alkami Technology, Inc. *
269
2,816
Arteris, Inc. *
84
21,831
Cellebrite DI Ltd. (Israel)*
322
6,820
Core Scientific, Inc. *
141
6,911
Descartes Systems Group, Inc. (Canada)*
520
50,249
Digital Turbine, Inc. *
405
3,521
Guidewire Software, Inc. *
535
5,273
JFrog Ltd. (Israel)*
421
14,215
Netskope, Inc. Class A*
179
6,778
Nutanix, Inc. Class A*
400
69,289
Porch Group, Inc. *
1,001
8,739
Zeta Global Holdings Corp. Class A*
189
 
 
4,706
SPECIALTY RETAIL—0.5%
130
Boot Barn Holdings, Inc. *
19
4,003
Warby Parker, Inc. Class A*
107
 
 
126
TRADING COMPANIES & DISTRIBUTORS—0.8%
15,667
QXO, Inc. *
208
TOTAL COMMON STOCKS
(Cost $25,461)
26,117
TOTAL INVESTMENTS—97.6%
(Cost $25,461)
26,117
CASH AND OTHER ASSETS, LESS LIABILITIES—2.4%
647
TOTAL NET ASSETS—100%
$26,764
 

⬤
6

Harbor Active Small Cap Growth ETF
PORTFOLIO OF INVESTMENTS—Continued
FAIR VALUE MEASUREMENTS
All investments as of July 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.

⬤
7

Harbor AI Inflection Strategy ETF
PORTFOLIO OF INVESTMENTS—July 31, 2026 (Unaudited)
Value and Cost in Thousands
 
 
 
COMMON STOCKS—99.1%
Shares
 
Value
AIR FREIGHT & LOGISTICS—1.7%
693
CH Robinson Worldwide, Inc.
$102
BUILDING PRODUCTS—2.4%
977
Johnson Controls International PLC
143
CONSTRUCTION & ENGINEERING—8.5%
208
EMCOR Group, Inc.
166
1,411
Everus Construction Group, Inc. *
177
583
MasTec, Inc. *
153
 
 
496
ELECTRICAL EQUIPMENT—10.9%
1,654
Atkore, Inc.
121
396
Eaton Corp. PLC
164
142
GE Vernova, Inc.
141
871
Vertiv Holdings Co. Class A
210
 
 
636
ELECTRONIC EQUIPMENT, INSTRUMENTS & COMPONENTS—14.0%
988
Amphenol Corp. Class A
159
1,173
Corning, Inc.
162
1,756
Flex Ltd. *
200
679
Sanmina Corp. *
126
672
TD SYNNEX Corp.
172
 
 
819
GAS UTILITIES—2.0%
674
Atmos Energy Corp.
117
IT SERVICES—2.9%
851
Twilio, Inc. Class A*
168
LIFE SCIENCES TOOLS & SERVICES—6.5%
746
Agilent Technologies, Inc.
103
590
Charles River Laboratories International, Inc. *
137
581
IQVIA Holdings, Inc. *
137
 
 
377
MACHINERY—3.8%
1,433
Flowserve Corp.
109
518
SPX Technologies, Inc. *
114
 
 
223
 
COMMON STOCKS—Continued
Shares
 
Value
OIL, GAS & CONSUMABLE FUELS—2.4%
6,451
Antero Midstream Corp.
$142
PROFESSIONAL SERVICES—1.9%
221
CACI International, Inc. Class A*
110
REAL ESTATE MANAGEMENT & DEVELOPMENT—2.7%
738
CBRE Group, Inc. Class A*
108
1,668
CoStar Group, Inc. *
48
 
 
156
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT—35.0%
2,817
Amkor Technology, Inc.
140
558
Applied Materials, Inc.
283
132
ASML Holding NV New York Registry Shares
(Netherlands)
215
1,468
Entegris, Inc.
175
1,763
FormFactor, Inc. *
187
760
Lam Research Corp.
223
138
Monolithic Power Systems, Inc.
197
567
NXP Semiconductors NV (Netherlands)
130
549
Taiwan Semiconductor Manufacturing Co. Ltd. ADR
(Taiwan)1
222
742
Teradyne, Inc.
273
 
 
2,045
SOFTWARE—2.0%
306
Synopsys, Inc. *
119
SPECIALIZED REITS—2.4%
744
Digital Realty Trust, Inc.
140
TOTAL COMMON STOCKS
(Cost $4,791)
5,793
TOTAL INVESTMENTS—99.1%
(Cost $4,791)
5,793
CASH AND OTHER ASSETS, LESS LIABILITIES—0.9%
52
TOTAL NET ASSETS—100%
$5,845
 
FAIR VALUE MEASUREMENTS
All investments as of July 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.

⬤
8

Harbor Alpha Layering ETF
CONSOLIDATED PORTFOLIO OF INVESTMENTS—July 31, 2026 (Unaudited) 
Value and Cost in Thousands
 
 
 
EXCHANGE-TRADED FUNDS—39.0%
Shares
 
Value
(Cost $2,942)
EQUITY FUNDS—39.0%
4,171
iShares Core S&P 500 ETF
$3,130
TOTAL INVESTMENTS—39.0%
(Cost $2,942)
3,130
CASH AND OTHER ASSETS, LESS LIABILITIES—61.0%
4,901
TOTAL NET ASSETS—100%
$8,031
  
FUTURES CONTRACTS
LONG FUTURES CONTRACTS
Description
Number of
Contracts
Expiration
Month
Current
Notional
Value
(000s)
Unrealized
Appreciation/
(Depreciation)
(000s)
ICE U.S. MSCI Emerging Markets Index Futures
13
09/26
$1,067
$(41
)
Micro E-mini NASDAQ-100 Futures
14
09/26
795
(15
)
Micro E-mini Russell 2000 Futures
55
09/26
808
15
Micro WTI Crude Oil Futures
82
08/26
694
46
Total Long Futures Contracts
$5
 
 
SHORT FUTURES CONTRACTS
Description
Number of
Contracts
Expiration
Month
Current
Notional
Value
(000s)
Unrealized
Appreciation/
(Depreciation)
(000s)
CME Australian Dollar Currency Futures
10
09/26
$703
$(7
)
CME British Pound Currency Futures
11
09/26
927
(12
)
CME Canadian Dollar Currency Futures
13
09/26
929
(7
)
CME E-Micro Australian Dollar Currency Futures
14
09/26
98
—
CME E-Micro British Pound Currency Futures
16
09/26
135
(2
)
CME E-Micro Canadian Dollar Currency Futures
37
09/26
264
2
CME E-Micro Euro Foreign Exchange Currency Futures
11
09/26
159
(1
)
CME Euro Foreign Exchange Currency Futures
6
09/26
866
(3
)
CME Japanese Yen Currency Futures
14
09/26
1,105
(12
)
COMEX E-Micro Gold Futures
38
12/26
1,561
12
U.S. Treasury Long Bond Futures
14
09/26
1,516
35
U.S. Treasury Note Futures 10 Year
23
09/26
2,484
24
U.S. Treasury Note Futures 2 Year
46
09/26
9,458
24
U.S. Treasury Note Futures 5 Year
35
09/26
3,709
25
Total Short Futures Contracts
$78
Total Futures Contracts
$83
FAIR VALUE MEASUREMENTS
All investments as of July 31, 2026 (as disclosed in the preceding Portfolio of Investments and Futures Contracts schedule) 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.
The accompanying notes are an integral part of the Portfolios of Investments.

⬤
9

Harbor AlphaEdge™ Large Cap Value ETF
PORTFOLIO OF INVESTMENTS—July 31, 2026 (Unaudited)
Value and Cost in Thousands
 
 
 
COMMON STOCKS—99.3%
Shares
 
Value
AEROSPACE & DEFENSE—2.8%
336
General Dynamics Corp.
$129
AIR FREIGHT & LOGISTICS—0.5%
139
Expeditors International of Washington, Inc.
23
AUTOMOBILE COMPONENTS—1.3%
1,354
Gentex Corp.
32
232
Lear Corp.
30
 
 
62
BANKS—7.7%
3,037
Bank of America Corp.
188
1,058
Citigroup, Inc.
140
76
JPMorgan Chase & Co.
27
 
 
355
BEVERAGES—1.0%
262
Coca-Cola Co.
23
240
Monster Beverage Corp. *
23
 
 
46
BIOTECHNOLOGY—5.1%
89
AbbVie, Inc.
22
1,028
Exelixis, Inc. *
55
189
Incyte Corp. *
23
32
Regeneron Pharmaceuticals, Inc.
24
215
United Therapeutics Corp. *
111
 
 
235
BROADLINE RETAIL—3.4%
584
Amazon.com, Inc. *
159
BUILDING PRODUCTS—0.5%
172
Johnson Controls International PLC
25
CAPITAL MARKETS—8.5%
978
Bank of New York Mellon Corp.
153
1,365
SEI Investments Co.
140
910
T. Rowe Price Group, Inc.
102
 
 
395
CHEMICALS—0.5%
46
Linde PLC
22
COMMUNICATIONS EQUIPMENT—0.8%
326
Cisco Systems, Inc.
38
CONSUMER FINANCE—2.9%
1,738
Synchrony Financial
132
CONSUMER STAPLES DISTRIBUTION & RETAIL—1.5%
24
Costco Wholesale Corp.
23
166
Target Corp.
24
209
Walmart, Inc.
23
 
 
70
DIVERSIFIED TELECOMMUNICATION SERVICES—1.8%
997
AT&T, Inc.
23
1,252
Verizon Communications, Inc.
59
 
 
82
ELECTRIC UTILITIES—0.5%
183
Duke Energy Corp.
23
 
COMMON STOCKS—Continued
Shares
 
Value
ELECTRONIC EQUIPMENT, INSTRUMENTS & COMPONENTS—0.5%
112
TE Connectivity PLC (Switzerland)
$23
ENERGY EQUIPMENT & SERVICES—0.6%
866
Halliburton Co.
28
FINANCIAL SERVICES—4.1%
40
Mastercard, Inc. Class A
23
920
MGIC Investment Corp.
28
381
Visa, Inc. Class A
139
 
 
190
FOOD PRODUCTS—0.5%
286
Archer-Daniels-Midland Co.
23
GROUND TRANSPORTATION—1.9%
463
CSX Corp.
23
219
Union Pacific Corp.
64
 
 
87
HEALTH CARE EQUIPMENT & SUPPLIES—0.5%
283
Medtronic PLC
24
HEALTH CARE PROVIDERS & SERVICES—0.5%
43
Chemed Corp.
23
HOTELS, RESTAURANTS & LEISURE—0.6%
533
Yum China Holdings, Inc. (China)
26
HOUSEHOLD DURABLES—0.5%
179
PulteGroup, Inc.
23
HOUSEHOLD PRODUCTS—0.5%
163
Procter & Gamble Co.
24
INSURANCE—5.2%
97
Allstate Corp.
26
67
Chubb Ltd.
24
172
Hartford Insurance Group, Inc.
24
1,244
Principal Financial Group, Inc.
141
73
Travelers Cos., Inc.
27
 
 
242
INTERACTIVE MEDIA & SERVICES—3.2%
418
Alphabet, Inc. Class A
149
IT SERVICES—0.6%
476
Cognizant Technology Solutions Corp. Class A
26
LIFE SCIENCES TOOLS & SERVICES—0.5%
69
West Pharmaceutical Services, Inc.
24
MACHINERY—3.5%
2,105
Mueller Industries, Inc.
140
59
Snap-on, Inc.
24
 
 
164
METALS & MINING—2.4%
423
Nucor Corp.
109
OIL, GAS & CONSUMABLE FUELS—3.3%
234
Chevron Corp.
46
175
EOG Resources, Inc.
26
200
ExxonMobil Holdings Corp.
31
74
Marathon Petroleum Corp.
23

⬤
10

Harbor AlphaEdge™ Large Cap Value ETF
PORTFOLIO OF INVESTMENTS—Continued
Value and Cost in Thousands 
COMMON STOCKS—Continued
Shares
 
Value
OIL, GAS & CONSUMABLE FUELS—Continued
88
Valero Energy Corp.
$28
 
 
154
PHARMACEUTICALS—7.5%
1,284
Bristol-Myers Squibb Co.
84
851
Johnson & Johnson
218
179
Merck & Co., Inc.
23
403
Royalty Pharma PLC Class A
24
 
 
349
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT—5.1%
285
Cirrus Logic, Inc. *
37
143
Micron Technology, Inc.
117
418
NVIDIA Corp.
84
 
 
238
SOFTWARE—3.5%
459
Adobe, Inc. *
115
100
Microsoft Corp.
46
 
 
161
SPECIALTY RETAIL—3.7%
334
Ross Stores, Inc.
84
558
TJX Cos., Inc.
88
 
 
172
TECHNOLOGY HARDWARE, STORAGE & PERIPHERALS—8.1%
973
Apple, Inc.
300
  
COMMON STOCKS—Continued
Shares
 
Value
TECHNOLOGY HARDWARE, STORAGE & PERIPHERALS—Continued
110
Dell Technologies, Inc. Class C
$45
181
NetApp, Inc.
32
 
 
377
TOBACCO—2.6%
1,778
Altria Group, Inc.
121
TRADING COMPANIES & DISTRIBUTORS—1.1%
76
Applied Industrial Technologies, Inc.
26
17
WW Grainger, Inc.
24
 
 
50
TOTAL COMMON STOCKS
(Cost $4,193)
4,603
 
MASTER LIMITED PARTNERSHIPS—0.5%
 
 
 
(Cost $23)
OIL, GAS & CONSUMABLE FUELS—0.5%
646
Enterprise Products Partners LP
24
TOTAL INVESTMENTS—99.8%
(Cost $4,216)
4,627
CASH AND OTHER ASSETS, LESS LIABILITIES—0.2%
8
TOTAL NET ASSETS—100%
$4,635
 
FAIR VALUE MEASUREMENTS
All investments as of July 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.

⬤
11

Harbor AlphaEdge™ Small Cap Earners ETF (currently, Harbor Small Cap Earners ETF)
PORTFOLIO OF INVESTMENTS—July 31, 2026 (Unaudited)
Value and Cost in Thousands
 
 
 
COMMON STOCKS—100.0%
Shares
 
Value
AEROSPACE & DEFENSE—0.5%
112
AAR Corp. *
$16
91
Moog, Inc. Class A
36
43
Park Aerospace Corp.
1
7
VSE Corp.
1
 
 
54
AUTOMOBILE COMPONENTS—1.7%
1,035
Adient PLC *
22
3,277
Dauch Corp. *
19
157
Dorman Products, Inc. *
21
1,482
Garrett Motion, Inc. (Switzerland)
46
4,335
Goodyear Tire & Rubber Co. *
30
4,688
Holley, Inc. *
13
635
Motorcar Parts of America, Inc. *
8
484
Phinia, Inc.
36
327
Standard Motor Products, Inc.
12
 
 
207
BANKS—12.9%
332
Amalgamated Financial Corp.
16
444
Ameris Bancorp
39
736
Atlantic Union Bankshares Corp.
31
433
Axos Financial, Inc. *
44
305
Bancorp, Inc. *
20
78
Bank First Corp.
12
233
Bank7 Corp.
12
575
BankUnited, Inc.
27
169
BayCom Corp.
5
342
Beacon Financial Corp.
11
85
Burke & Herbert Financial Services Corp.
6
662
Byline Bancorp, Inc.
26
284
California BanCorp
6
311
Camden National Corp.
18
266
Capital Bancorp, Inc.
10
319
Carter Bankshares, Inc.
11
674
Cathay General Bancorp
43
151
ChoiceOne Financial Services, Inc.
5
142
City Holding Co.
21
370
CNB Financial Corp.
13
197
Coastal Financial Corp. *
8
433
Colony Bankcorp, Inc.
9
343
Community West Bancshares
9
509
ConnectOne Bancorp, Inc.
17
344
Dime Commercial Bancshares, Inc.
14
465
Eastern Bankshares, Inc.
11
1,390
First BanCorp (Puerto Rico)
40
341
First Bank
6
1,050
First Financial Bancorp
36
716
First Financial Bankshares, Inc.
25
811
First Interstate BancSystem, Inc. Class A
31
167
First Western Financial, Inc. *
5
1,579
Fulton Financial Corp.
38
250
FVCBankcorp, Inc.
5
233
Greene County Bancorp, Inc.
8
652
Hancock Whitney Corp.
50
395
HBT Financial, Inc.
14
181
Home Bancorp, Inc.
13
1,352
Home BancShares, Inc.
42
550
International Bancshares Corp.
42
127
John Marshall Bancorp, Inc.
3
164
Lakeland Financial Corp.
10
256
Live Oak Bancshares, Inc.
11
 
COMMON STOCKS—Continued
Shares
 
Value
BANKS—Continued
395
Metrocity Bankshares, Inc.
$14
125
Metropolitan Bank Holding Corp.
12
408
Midland States Bancorp, Inc.
14
533
National Bank Holdings Corp. Class A
23
104
National Bankshares, Inc.
4
539
NBT Bancorp, Inc.
28
121
Nicolet Bankshares, Inc.
21
101
Norwood Financial Corp.
3
306
Oak Valley Bancorp
10
652
OceanFirst Financial Corp.
13
2,312
Old National Bancorp
62
207
Orange County Bancorp, Inc.
8
116
Park National Corp.
24
302
PCB Bancorp
8
465
Peoples Bancorp, Inc.
19
156
Peoples Financial Services Corp.
11
170
Preferred Bank
18
146
QCR Holdings, Inc.
15
340
RBB Bancorp
9
71
Red River Bancshares, Inc.
7
248
ServisFirst Bancshares, Inc.
22
244
SmartFinancial, Inc.
13
636
Southside Bancshares, Inc.
21
264
Stock Yards Bancorp, Inc.
22
617
Towne Bank
23
90
Triumph Financial, Inc. *
7
280
TrustCo Bank Corp.
16
326
UMB Financial Corp.
48
928
United Bankshares, Inc.
45
888
United Community Banks, Inc.
31
166
Unity Bancorp, Inc.
10
535
Univest Financial Corp.
24
3,653
Valley National Bancorp
52
130
Virginia National Bankshares Corp.
6
359
Westamerica BanCorp
22
454
WSFS Financial Corp.
36
 
 
1,544
BEVERAGES—0.1%
524
National Beverage Corp.
17
BIOTECHNOLOGY—0.4%
617
ADMA Biologics, Inc. *
5
750
Alkermes PLC *
37
 
 
42
BROADLINE RETAIL—0.4%
1,996
Kohl’s Corp.
38
823
Savers Value Village, Inc. *
9
 
 
47
BUILDING PRODUCTS—1.5%
260
Apogee Enterprises, Inc.
10
222
AZZ, Inc.
32
48
CSW Industrials, Inc.
15
268
Gibraltar Industries, Inc. *
11
302
Griffon Corp.
26
181
Insteel Industries, Inc.
6
3,483
Masterbrand, Inc. *
29
413
UFP Industries, Inc.
36

⬤
12

Harbor AlphaEdge™ Small Cap Earners ETF (currently, Harbor Small Cap Earners ETF)
PORTFOLIO OF INVESTMENTS—Continued
Value and Cost in Thousands 
COMMON STOCKS—Continued
Shares
 
Value
BUILDING PRODUCTS—Continued
367
Zurn Elkay Water Solutions Corp. Class C
$19
 
 
184
CAPITAL MARKETS—3.4%
671
Artisan Partners Asset Management, Inc. Class A
26
261
Cohen & Steers, Inc.
22
701
DigitalBridge Group, Inc.
11
153
Donnelley Financial Solutions, Inc. *
7
1,262
Marex Group Ltd. (Bermuda)
82
325
MarketWise, Inc.
6
586
Moelis & Co. Class A
39
435
Silvercrest Asset Management Group, Inc. Class A
5
1,780
StoneX Group, Inc. *
136
154
Value Line, Inc.
5
403
Victory Capital Holdings, Inc. Class A
40
141
Virtus Investment Partners, Inc.
23
 
 
402
CHEMICALS—1.7%
388
AdvanSix, Inc.
8
69
Balchem Corp.
11
535
Cabot Corp.
47
716
Ecovyst, Inc. *
9
358
HB Fuller Co.
20
102
Innospec, Inc.
9
384
Koppers Holdings, Inc.
19
659
LSB Industries, Inc. *
7
633
Orion SA (Germany)
4
258
Quaker Chemical Corp.
41
127
Sensient Technologies Corp.
16
106
Stepan Co.
7
611
Valhi, Inc.
8
 
 
206
COMMERCIAL SERVICES & SUPPLIES—1.8%
499
ABM Industries, Inc.
24
1,456
ACCO Brands Corp.
6
869
BrightView Holdings, Inc. *
11
361
Brink’s Co.
43
216
Cimpress PLC (Ireland)*
21
162
CompX International, Inc.
5
399
Ennis, Inc.
9
1,062
GEO Group, Inc. *
33
126
Liquidity Services, Inc. *
5
946
MillerKnoll, Inc.
21
370
NLI Holdings, Inc.
2
666
Quad/Graphics, Inc.
7
62
UniFirst Corp.
18
953
Vestis Corp. *
14
 
 
219
COMMUNICATIONS EQUIPMENT—0.0%
80
Aviat Networks, Inc. *
2
CONSTRUCTION & ENGINEERING—0.7%
314
Arcosa, Inc.
46
1,387
Concrete Pumping Holdings, Inc. *
13
489
Fluor Corp. *
24
17
MYR Group, Inc. *
6
 
 
89
  
COMMON STOCKS—Continued
Shares
 
Value
CONSTRUCTION MATERIALS—0.2%
365
Knife River Corp. *
$27
CONSUMER FINANCE—4.1%
376
Atlanticus Holdings Corp. *
40
753
Bread Financial Holdings, Inc.
81
1,333
Consumer Portfolio Services, Inc. *
12
180
Enova International, Inc. *
46
160
FirstCash Holdings, Inc.
33
966
Happen, Inc. *
18
681
Medallion Financial Corp.
7
17,719
Navient Corp.
149
413
Nelnet, Inc. Class A
56
2,302
OppFi, Inc. *
21
1,258
PRA Group, Inc. *
22
 
 
485
CONSUMER STAPLES DISTRIBUTION & RETAIL—0.6%
173
Chefs' Warehouse, Inc. *
20
165
Natural Grocers by Vitamin Cottage, Inc. Class C
5
135
PriceSmart, Inc.
26
200
Village Super Market, Inc. Class A
9
155
Weis Markets, Inc.
12
 
 
72
CONTAINERS & PACKAGING—0.9%
341
Greif, Inc. Class A
30
883
Myers Industries, Inc.
30
5,470
O-I Glass, Inc. *
39
227
TriMas Corp.
9
 
 
108
DISTRIBUTORS—0.1%
286
GigaCloud Technology, Inc. Class A (Hong Kong)*
13
DIVERSIFIED CONSUMER SERVICES—1.3%
164
Carriage Services, Inc.
7
323
Frontdoor, Inc. *
23
32
Graham Holdings Co. Class B
38
592
Laureate Education, Inc. *
23
282
OneSpaWorld Holdings Ltd. (Bahamas)
7
427
Perdoceo Education Corp.
14
92
Strategic Education, Inc.
8
398
Stride, Inc. *
32
 
 
152
DIVERSIFIED REITS—0.8%
271
Alpine Income Property Trust, Inc.
6
538
American Assets Trust, Inc.
13
1,188
Broadstone Net Lease, Inc.
25
339
CTO Realty Growth, Inc.
7
748
Essential Properties Realty Trust, Inc.
23
478
Gladstone Commercial Corp.
6
1,208
Global Net Lease, Inc.
11
 
 
91
DIVERSIFIED TELECOMMUNICATION SERVICES—1.0%
1,960
Cogent Communications Holdings, Inc.
26
106
IDT Corp. Class B
7
1,459
Liberty Latin America Ltd. Class C (Puerto Rico)*
12

⬤
13

Harbor AlphaEdge™ Small Cap Earners ETF (currently, Harbor Small Cap Earners ETF)
PORTFOLIO OF INVESTMENTS—Continued
Value and Cost in Thousands 
COMMON STOCKS—Continued
Shares
 
Value
DIVERSIFIED TELECOMMUNICATION SERVICES—Continued
8,179
Uniti Group, Inc.
$80
 
 
125
ELECTRIC UTILITIES—0.8%
159
MGE Energy, Inc.
12
318
Otter Tail Corp.
28
662
Portland General Electric Co.
33
378
TXNM Energy, Inc.
22
 
 
95
ELECTRICAL EQUIPMENT—0.6%
305
Atkore, Inc.
22
177
EnerSys
33
317
LSI Industries, Inc.
7
68
Power Solutions International, Inc. *
2
22
Preformed Line Products Co.
8
135
Shoals Technologies Group, Inc. Class A*
1
 
 
73
ELECTRONIC EQUIPMENT, INSTRUMENTS & COMPONENTS—1.5%
188
Badger Meter, Inc.
25
304
Climb Global Solutions, Inc.
8
356
ePlus, Inc.
33
240
Insight Enterprises, Inc. *
31
59
OSI Systems, Inc. *
13
163
PC Connection, Inc.
14
118
Plexus Corp. *
30
18
Rogers Corp. *
2
425
ScanSource, Inc. *
24
81
Vishay Intertechnology, Inc.
3
14
Vishay Precision Group, Inc. *
1
 
 
184
ENERGY EQUIPMENT & SERVICES—2.9%
1,054
Archrock, Inc.
38
117
Atlas Energy Solutions, Inc.
1
4,997
Borr Drilling Ltd. (Mexico)*
20
278
Bristow Group, Inc.
13
543
Core Laboratories, Inc.
6
749
Expro Ltd. *
12
311
Flowco Holdings, Inc. Class A
6
736
Helmerich & Payne, Inc.
25
1,759
Liberty Energy, Inc.
33
374
Nabors Industries Ltd. *
32
1,025
Noble Corp. PLC
43
664
Ranger Energy Services, Inc. Class A
11
2,997
RPC, Inc.
17
408
Seadrill Ltd. (Norway)*
18
172
Solaris Energy Infrastructure, Inc.
9
412
Tidewater, Inc. *
31
456
Valaris Ltd. *
36
 
 
351
ENTERTAINMENT—0.4%
785
Cinemark Holdings, Inc.
29
5,504
Playtika Holding Corp.
22
 
 
51
FINANCIAL SERVICES—6.6%
833
Acacia Research Corp. *
4
  
COMMON STOCKS—Continued
Shares
 
Value
FINANCIAL SERVICES—Continued
332
Bladex, Inc. (Panama)
$19
78
Cass Information Systems, Inc.
4
1,217
Enact Holdings, Inc.
58
702
Essent Group Ltd.
46
391
EVERTEC, Inc. (Puerto Rico)
12
242
Federal Agricultural Mortgage Corp. Class C
55
864
HA Sustainable Infrastructure Capital, Inc.
33
312
Jackson Financial, Inc. Class A
38
466
Merchants Bancorp
26
695
NMI Holdings, Inc. *
31
444
Onity Group, Inc. *
16
10,032
Pagseguro Digital Ltd. Class A (Brazil)
97
2,334
Paysafe Ltd. *
19
1,405
PennyMac Financial Services, Inc.
106
2,755
Priority Technology Holdings, Inc. *
18
1,343
Radian Group, Inc.
52
62
Sezzle, Inc. *
10
7,257
StoneCo Ltd. Class A (Brazil)
82
1,027
Velocity Financial, Inc. *
18
874
Walker & Dunlop, Inc.
43
 
 
787
FOOD PRODUCTS—1.0%
685
Cal-Maine Foods, Inc.
60
122
J&J Snack Foods Corp.
9
125
John B Sanfilippo & Son, Inc.
11
456
Mission Produce, Inc. *
6
718
Simply Good Foods Co. *
7
493
Utz Brands, Inc.
7
1,335
Vital Farms, Inc. *
17
 
 
117
GAS UTILITIES—1.2%
138
Chesapeake Utilities Corp.
18
594
New Jersey Resources Corp.
34
265
Northwest Natural Holding Co.
13
317
ONE Gas, Inc.
25
293
Southwest Gas Holdings, Inc.
26
363
Spire, Inc.
29
 
 
145
GROUND TRANSPORTATION—0.3%
98
ArcBest Corp.
14
398
Covenant Logistics Group, Inc.
14
539
Universal Logistics Holdings, Inc.
7
 
 
35
HEALTH CARE EQUIPMENT & SUPPLIES—1.3%
1,133
Artivion, Inc. *
31
178
CONMED Corp.
8
6,428
Embecta Corp.
23
154
Haemonetics Corp. *
13
125
Integer Holdings Corp. *
15
64
iRadimed Corp.
6
266
Lantheus Holdings, Inc. *
27
69
LeMaitre Vascular, Inc.
7
128
Merit Medical Systems, Inc. *
11
29
UFP Technologies, Inc. *
7
52
Utah Medical Products, Inc.
4

⬤
14

Harbor AlphaEdge™ Small Cap Earners ETF (currently, Harbor Small Cap Earners ETF)
PORTFOLIO OF INVESTMENTS—Continued
Value and Cost in Thousands 
COMMON STOCKS—Continued
Shares
 
Value
HEALTH CARE EQUIPMENT & SUPPLIES—Continued
283
Varex Imaging Corp. *
$3
 
 
155
HEALTH CARE PROVIDERS & SERVICES—2.3%
345
AMN Healthcare Services, Inc. *
12
1,605
Ardent Health, Inc. *
17
624
Astrana Health, Inc. *
22
19,210
Community Health Systems, Inc. *
54
772
Concentra Group Holdings Parent, Inc.
24
120
HealthEquity, Inc. *
12
77
National HealthCare Corp.
17
685
Option Care Health, Inc. *
16
589
PACS Group, Inc. *
27
174
Pennant Group, Inc. *
7
198
Progyny, Inc. *
6
1,485
Surgery Partners, Inc. *
23
428
U.S. Physical Therapy, Inc.
34
 
 
271
HEALTH CARE REITS—0.4%
186
Chiron Real Estate, Inc.
7
1,496
Sabra Health Care REIT, Inc.
32
384
Strawberry Fields REIT, Inc.
5
150
Universal Health Realty Income Trust
6
 
 
50
HEALTH CARE TECHNOLOGY—0.0%
100
HealthStream, Inc.
3
HOTEL & RESORT REITS—1.5%
1,895
Apple Hospitality REIT, Inc.
31
1,407
Pebblebrook Hotel Trust
27
2,220
RLJ Lodging Trust
27
320
Ryman Hospitality Properties, Inc.
43
1,443
Service Properties Trust
11
1,185
Sunstone Hotel Investors, Inc.
14
1,012
Xenia Hotels & Resorts, Inc.
21
 
 
174
HOTELS, RESTAURANTS & LEISURE—3.8%
1,048
Bloomin' Brands, Inc.
9
2,674
Brightstar Lottery PLC
27
208
Brinker International, Inc. *
44
149
Cracker Barrel Old Country Store, Inc.
8
1,104
Dave & Buster’s Entertainment, Inc. *
12
597
Dine Brands Global, Inc.
21
397
El Pollo Loco Holdings, Inc. *
7
910
First Watch Restaurant Group, Inc. *
12
1,372
Hilton Grand Vacations, Inc. *
63
561
Inspired Entertainment, Inc. *
4
377
Jack in the Box, Inc. *
6
1,051
Life Time Group Holdings, Inc. *
47
234
Marriott Vacations Worldwide Corp.
23
94
Monarch Casino & Resort, Inc.
12
44
Nathan’s Famous, Inc.
4
192
Papa John’s International, Inc.
6
2,887
Portillo’s, Inc. Class A*
13
496
Pursuit Attractions & Hospitality, Inc. *
25
149
RCI Hospitality Holdings, Inc.
4
572
Red Rock Resorts, Inc. Class A
37
5,452
Sabre Corp. *
10
  
COMMON STOCKS—Continued
Shares
 
Value
HOTELS, RESTAURANTS & LEISURE—Continued
1,108
Super Group SGHC Ltd. (Guernsey)
$16
567
Target Hospitality Corp. *
9
872
United Parks & Resorts, Inc. *
39
 
 
458
HOUSEHOLD DURABLES—2.7%
391
Century Communities, Inc.
26
1,316
Cricut, Inc. Class A
6
3,269
Dream Finders Homes, Inc. Class A*
42
484
Green Brick Partners, Inc. *
34
145
Hovnanian Enterprises, Inc. Class A*
18
141
Installed Building Products, Inc.
32
764
KB Home
42
355
La-Z-Boy, Inc.
14
285
Legacy Housing Corp. *
8
295
M/I Homes, Inc. *
43
899
Meritage Homes Corp.
63
 
 
328
HOUSEHOLD PRODUCTS—0.5%
412
Central Garden & Pet Co. *
18
1,010
Energizer Holdings, Inc.
21
77
WD-40 Co.
17
 
 
56
INDUSTRIAL REITS—0.4%
317
Innovative Industrial Properties, Inc.
19
205
One Liberty Properties, Inc.
5
302
Terreno Realty Corp.
21
 
 
45
INSURANCE—3.1%
767
CNO Financial Group, Inc.
42
657
F&G Annuities & Life, Inc.
19
3,778
Genworth Financial, Inc. *
37
933
Greenlight Capital Re Ltd. Class A*
15
962
Hamilton Insurance Group Ltd. Class B (Bermuda)
35
85
HCI Group, Inc.
15
274
Heritage Insurance Holdings, Inc. *
8
178
Horace Mann Educators Corp.
9
21
Investors Title Co.
6
763
James River Group Holdings, Inc.
3
437
Mercury General Corp.
47
4,044
Octave Specialty Group, Inc. *
22
97
Palomar Holdings, Inc. *
13
337
Selective Insurance Group, Inc.
32
1,092
SiriusPoint Ltd. (Sweden)*
26
265
Skyward Specialty Insurance Group, Inc. *
16
130
Stewart Information Services Corp.
9
1,003
Tiptree, Inc.
18
 
 
372
INTERACTIVE MEDIA & SERVICES—1.0%
828
Cargurus, Inc. *
30
575
Cars.com, Inc. *
7
1,591
Shutterstock, Inc.
9
1,042
TripAdvisor, Inc. *
15
1,504
Yelp, Inc. *
40
310
Ziff Davis, Inc. *
16

⬤
15

Harbor AlphaEdge™ Small Cap Earners ETF (currently, Harbor Small Cap Earners ETF)
PORTFOLIO OF INVESTMENTS—Continued
Value and Cost in Thousands 
COMMON STOCKS—Continued
Shares
 
Value
INTERACTIVE MEDIA & SERVICES—Continued
1,095
ZipRecruiter, Inc. Class A*
$4
 
 
121
IT SERVICES—0.4%
751
Everforth, Inc. *
21
5,788
Information Services Group, Inc.
24
 
 
45
LEISURE PRODUCTS—0.6%
299
Acushnet Holdings Corp.
30
188
Escalade, Inc.
4
435
MasterCraft Boat Holdings, Inc. *
10
268
Polaris, Inc.
18
399
Smith & Wesson Brands, Inc.
6
 
 
68
MACHINERY—3.2%
494
Aebi Schmidt Holding AG (Switzerland)
6
84
Alamo Group, Inc.
13
377
Albany International Corp. Class A
28
203
Blue Bird Corp. *
15
39
CECO Environmental Corp. *
2
355
Douglas Dynamics, Inc.
16
116
Enpro, Inc.
36
195
Gencor Industries, Inc. *
3
388
Greenbrier Cos., Inc.
19
228
Helios Technologies, Inc.
18
888
Hillman Solutions Corp. *
7
384
Hyster-Yale, Inc.
13
194
JBT Marel Corp.
27
99
Kadant, Inc.
30
55
Lindsay Corp.
6
374
Luxfer Holdings PLC (United Kingdom)
6
132
Miller Industries, Inc.
7
703
Mueller Water Products, Inc. Class A
18
103
Omega Flex, Inc.
3
165
Tennant Co.
14
789
Terex Corp.
50
1,754
Titan International, Inc. *
13
946
Trinity Industries, Inc.
29
446
Wabash National Corp.
6
 
 
385
MARINE TRANSPORTATION—0.8%
2,105
Costamare, Inc. (Monaco)
33
291
Matson, Inc.
59
648
Pangaea Logistics Solutions Ltd.
5
 
 
97
MEDIA—1.4%
988
AMC Global Media, Inc. *
11
467
Cable One, Inc. *
19
10,677
Gray Media, Inc.
43
222
Ibotta, Inc. Class A*
5
697
John Wiley & Sons, Inc. Class A
36
12,563
Optimum Communications, Inc. Class A*
10
142
Scholastic Corp.
6
901
Sinclair, Inc.
12
2,467
Stagwell, Inc. *
21
  
COMMON STOCKS—Continued
Shares
 
Value
MEDIA—Continued
970
USA TODAY Co., Inc. *
$9
 
 
172
METALS & MINING—1.3%
88
Alpha Metallurgical Resources, Inc. *
12
345
Caledonia Mining Corp. PLC (South Africa)
6
214
Century Aluminum Co. *
10
506
Commercial Metals Co.
35
1,010
Constellium SE *
28
77
Kaiser Aluminum Corp.
12
27
Materion Corp.
6
173
Metallus, Inc. *
4
119
Ramaco Resources, Inc. Class A*
1
293
Ryerson Holding Corp.
8
999
SunCoke Energy, Inc.
8
225
Warrior Met Coal, Inc.
18
206
Worthington Steel, Inc.
7
 
 
155
MORTGAGE REAL ESTATE INVESTMENT TRUSTS (REITS)—0.7%
425
Blackstone Mortgage Trust, Inc. Class A
6
345
Chicago Atlantic Real Estate Finance, Inc.
3
1,091
Chimera Investment Corp.
14
911
Ellington Financial, Inc.
12
1,180
Franklin BSP Realty Trust, Inc.
9
1,301
Ladder Capital Corp.
12
1,382
MFA Financial, Inc.
13
222
Nexpoint Real Estate Finance, Inc.
4
1,058
PennyMac Mortgage Investment Trust
10
 
 
83
MULTI-UTILITIES—0.7%
569
Avista Corp.
23
442
Black Hills Corp.
31
363
Northwestern Energy Group, Inc.
25
 
 
79
OFFICE REITS—1.0%
3,233
Brandywine Realty Trust
10
704
COPT Defense Properties
27
1,938
Douglas Emmett, Inc.
23
281
Easterly Government Properties, Inc.
7
2,310
Empire State Realty Trust, Inc. Class A
11
331
Postal Realty Trust, Inc. Class A
7
637
SL Green Realty Corp.
34
 
 
119
OIL, GAS & CONSUMABLE FUELS—7.2%
819
Ardmore Shipping Corp. (Ireland)
14
854
California Resources Corp.
45
8
Centrus Energy Corp. Class A*
1
2,125
CNX Resources Corp. *
76
978
Comstock Resources, Inc. *
13
222
Core Natural Resources, Inc.
18
2,011
Crescent Energy Co. Class A
23
1,205
CVR Energy, Inc.
43
932
Evolution Petroleum Corp.
3
603
Excelerate Energy, Inc. Class A
24
310
Golar LNG Ltd. (Cameroon)
15
1,625
Granite Ridge Resources, Inc.
8

⬤
16

Harbor AlphaEdge™ Small Cap Earners ETF (currently, Harbor Small Cap Earners ETF)
PORTFOLIO OF INVESTMENTS—Continued
Value and Cost in Thousands 
COMMON STOCKS—Continued
Shares
 
Value
OIL, GAS & CONSUMABLE FUELS—Continued
151
Gulfport Energy Corp. *
$24
4,797
HighPeak Energy, Inc.
34
602
International Seaways, Inc.
58
742
Kinetik Holdings, Inc.
38
466
Kosmos Energy Ltd. (Ghana)*
1
1,221
Magnolia Oil & Gas Corp. Class A
31
1,472
Murphy Oil Corp.
59
1,983
Northern Oil & Gas, Inc.
42
313
Par Pacific Holdings, Inc. *
27
535
PBF Energy, Inc. Class A
39
1,080
Peabody Energy Corp.
23
7
PrimeEnergy Resources Corp. *
1
292
REX American Resources Corp. *
13
366
Riley Exploration Permian, Inc.
13
785
Scorpio Tankers, Inc. (Monaco)
61
864
SM Energy Co.
28
3,154
Teekay Corp. Ltd. (Bermuda)
37
502
Teekay Tankers Ltd. Class A (Canada)
40
2,261
VAALCO Energy, Inc.
12
219
Vitesse Energy, Inc.
3
 
 
867
PAPER & FOREST PRODUCTS—0.1%
452
Sylvamo Corp.
17
PASSENGER AIRLINES—0.3%
98
Allegiant Travel Co. *
10
216
SkyWest, Inc. *
23
 
 
33
PERSONAL CARE PRODUCTS—0.5%
557
Edgewell Personal Care Co.
15
2,490
Herbalife Ltd. *
31
240
Nature’s Sunshine Products, Inc. *
5
424
Nu Skin Enterprises, Inc. Class A
2
367
USANA Health Sciences, Inc. *
8
 
 
61
PHARMACEUTICALS—0.9%
1,227
Amneal Pharmaceuticals, Inc. *
22
366
Amphastar Pharmaceuticals, Inc. *
7
249
Collegium Pharmaceutical, Inc. *
9
455
Innoviva, Inc. *
10
106
Pacira BioSciences, Inc. *
3
801
Phibro Animal Health Corp. Class A
29
258
Prestige Consumer Healthcare, Inc. *
13
2,710
SIGA Technologies, Inc.
9
 
 
102
PROFESSIONAL SERVICES—1.9%
186
Barrett Business Services, Inc.
7
258
CBIZ, Inc. *
14
40
CRA International, Inc.
7
195
Exponent, Inc.
13
344
First Advantage Corp. *
7
153
HireQuest, Inc.
2
243
Huron Consulting Group, Inc. *
37
121
ICF International, Inc.
10
278
Insperity, Inc.
14
165
Kforce, Inc.
9
464
Maximus, Inc.
28
  
COMMON STOCKS—Continued
Shares
 
Value
PROFESSIONAL SERVICES—Continued
781
Mistras Group, Inc. *
$12
419
RCM Technologies, Inc. *
12
342
TriNet Group, Inc.
23
5,492
Verra Mobility Corp. *
29
 
 
224
REAL ESTATE MANAGEMENT & DEVELOPMENT—0.4%
1,368
Cushman & Wakefield Ltd. *
18
71
FRP Holdings, Inc. *
2
1,426
RE/MAX Holdings, Inc. Class A*
13
200
St. Joe Co.
12
 
 
45
RESIDENTIAL REITS—0.1%
422
BRT Apartments Corp.
6
153
Centerspace
9
 
 
15
RETAIL REITS—2.0%
729
Acadia Realty Trust
16
404
Curbline Properties Corp.
12
331
Getty Realty Corp.
11
541
InvenTrust Properties Corp.
19
1,335
Kite Realty Group Trust
38
1,450
Macerich Co.
38
464
NETSTREIT Corp.
10
621
Phillips Edison & Co., Inc.
27
275
Saul Centers, Inc.
9
3,459
SITE Centers Corp.
15
633
Tanger, Inc.
26
792
Urban Edge Properties
18
 
 
239
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT—0.3%
97
Axcelis Technologies, Inc. *
13
132
Kulicke & Soffa Industries, Inc. (Singapore)
12
70
NVE Corp.
8
25
Veeco Instruments, Inc. *
1
 
 
34
SOFTWARE—1.7%
887
A10 Networks, Inc.
26
374
Adeia, Inc.
10
79
Commvault Systems, Inc. *
9
498
Consensus Cloud Solutions, Inc. *
18
19
Daily Journal Corp. *
11
511
eGain Corp. *
4
733
I3 Verticals, Inc. Class A*
15
115
InterDigital, Inc.
35
338
Mitek Systems, Inc. *
6
489
Progress Software Corp. *
20
236
Qualys, Inc. *
34
137
Red Violet, Inc. *
10
1,332
Rimini Street, Inc. *
6
 
 
204
SPECIALIZED REITS—0.1%
232
Farmland Partners, Inc.
2
556
Four Corners Property Trust, Inc.
14
 
 
16

⬤
17

Harbor AlphaEdge™ Small Cap Earners ETF (currently, Harbor Small Cap Earners ETF)
PORTFOLIO OF INVESTMENTS—Continued
Value and Cost in Thousands 
COMMON STOCKS—Continued
Shares
 
Value
SPECIALTY RETAIL—4.0%
538
Abercrombie & Fitch Co. Class A*
$54
717
Academy Sports & Outdoors, Inc.
34
1,578
American Eagle Outfitters, Inc.
27
1,986
Arhaus, Inc.
15
1,635
Arko Corp.
13
223
Asbury Automotive Group, Inc. *
52
211
Boot Barn Holdings, Inc. *
31
411
Build-A-Bear Workshop, Inc.
14
467
Caleres, Inc.
6
2,402
Camping World Holdings, Inc. Class A
15
571
Designer Brands, Inc. Class A
4
147
Group 1 Automotive, Inc.
42
202
Haverty Furniture Cos., Inc.
5
336
J Jill, Inc.
6
406
MarineMax, Inc. *
14
270
Monro, Inc.
3
532
Revolve Group, Inc. *
13
1,298
Sally Beauty Holdings, Inc. *
19
333
Shoe Station Group, Inc.
5
363
Signet Jewelers Ltd.
34
297
Sonic Automotive, Inc. Class A
27
2,521
Torrid Holdings, Inc. *
6
344
Urban Outfitters, Inc. *
26
221
Victoria’s Secret & Co. *
20
 
 
485
TECHNOLOGY HARDWARE, STORAGE & PERIPHERALS—0.7%
368
CPI Card Group, Inc. *
8
924
Diebold Nixdorf, Inc. *
68
702
Eastman Kodak Co. *
6
801
Immersion Corp.
6
 
 
88
TEXTILES, APPAREL & LUXURY GOODS—0.7%
471
Figs, Inc. Class A*
5
472
Kontoor Brands, Inc.
39
410
Movado Group, Inc.
16
259
Oxford Industries, Inc.
10
288
Rocky Brands, Inc.
14
 
 
84
  
COMMON STOCKS—Continued
Shares
 
Value
TRADING COMPANIES & DISTRIBUTORS—2.0%
66
BlueLinx Holdings, Inc. *
$4
437
Boise Cascade Co.
33
1,990
Custom Truck One Source, Inc. *
20
96
DXP Enterprises, Inc. *
15
196
GATX Corp.
35
264
Global Industrial Co.
9
276
Herc Holdings, Inc.
42
1,754
Hudson Technologies, Inc. *
11
207
Karat Packaging, Inc.
8
491
Rush Enterprises, Inc. Class A
39
394
Titan Machinery, Inc. *
7
295
Willis Lease Finance Corp.
21
 
 
244
WATER UTILITIES—0.4%
348
California Water Service Group
17
282
Global Water Resources, Inc.
2
281
H2O America
17
253
Pure Cycle Corp. *
3
198
York Water Co.
6
 
 
45
WIRELESS TELECOMMUNICATION SERVICES—0.2%
3,500
Gogo, Inc. *
15
217
Telephone & Data Systems, Inc.
7
 
 
22
TOTAL COMMON STOCKS
(Cost $11,044)
11,985
TOTAL INVESTMENTS—100.0%
(Cost $11,044)
11,985
CASH AND OTHER ASSETS, LESS LIABILITIES—(0.0)%
(4
)
TOTAL NET ASSETS—100%
$11,981
 
FAIR VALUE MEASUREMENTS
All investments as of July 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.

⬤
18

Harbor Ares Systematic High Yield ETF
PORTFOLIO OF INVESTMENTS—July 31, 2026 (Unaudited)
Principal Amount, Value, and Cost in Thousands
 
 
 
Corporate Bonds & Notes—96.4%
Principal
Amount
 
Value
AEROSPACE & DEFENSE—1.8%
$1,082
Bombardier, Inc.
7.450%—05/01/20341
$1,183
TransDigm, Inc.
475
6.375%—03/01/20291
481
633
6.625%—03/01/20321
645
300
6.750%—01/31/20341
305
 
 
1,431
 
 
2,614
AIR FREIGHT & LOGISTICS—0.2%
300
Clue Opco LLC
9.500%—10/15/20311
293
AUTOMOBILE COMPONENTS—1.8%
854
Cooper-Standard Automotive, Inc.
9.250%—03/01/20311
870
900
Garrett Motion Holdings, Inc./Garrett LX I SARL
7.750%—05/31/20321
936
800
Phinia, Inc.
6.750%—04/15/20291
814
 
 
2,620
AUTOMOBILES—1.2%
416
Allison Transmission, Inc.
3.750%—01/30/20311
386
700
Aston Martin Capital Holdings Ltd.
10.000%—03/31/20291
394
1,048
Wabash National Corp.
4.500%—10/15/20281
979
 
 
1,759
BANKS—0.5%
800
Intesa Sanpaolo SpA
4.950%—06/01/20421,2
681
100
UniCredit SpA
5.459%—06/30/20351,2
100
 
 
781
CAPITAL MARKETS—1.0%
Icahn Enterprises LP/Icahn Enterprises Finance
Corp.
200
4.375%—02/01/2029
174
1,000
9.000%—06/15/2030
952
400
9.750%—01/15/2029
399
 
 
1,525
CHEMICALS—0.4%
400
Chemours Co.
7.875%—03/15/20341
390
162
SK Invictus Intermediate II SARL
5.000%—10/30/20291
158
200
Tronox, Inc.
4.625%—03/15/20291
123
 
 
671
COMMERCIAL SERVICES & SUPPLIES—5.1%
400
AMN Healthcare, Inc.
6.500%—01/15/20311
400
206
APi Group DE, Inc.
4.125%—07/15/20291
198
 
Corporate Bonds & Notes—Continued
Principal
Amount
 
Value
COMMERCIAL SERVICES & SUPPLIES—Continued
$1,000
Cimpress PLC
7.375%—09/15/20321
$1,004
500
GEO Group, Inc.
10.250%—04/15/2031
540
634
HNI Corp.
5.125%—01/18/20291
624
1,700
Pitney Bowes, Inc.
7.250%—03/15/20291
1,717
1,850
PROG Holdings, Inc.
6.000%—11/15/20291
1,810
Sabre GLBL, Inc.
353
10.750%—11/15/2029-03/15/20301
339
200
11.125%—07/15/20301
193
 
 
532
900
ZipRecruiter, Inc.
5.000%—01/15/20301
699
 
 
7,524
COMMUNICATIONS EQUIPMENT—1.2%
1,825
Ciena Corp.
4.000%—01/31/20301
1,733
CONSTRUCTION & ENGINEERING—2.7%
500
Arcosa, Inc.
4.375%—04/15/20291
490
1,003
Brundage-Bone Concrete Pumping Holdings, Inc.
7.500%—02/01/20321
1,029
750
Dycom Industries, Inc.
4.500%—04/15/20291
729
972
Tutor Perini Corp.
6.625%—07/15/20331
976
906
VM Consolidated, Inc.
5.500%—04/15/20291
848
 
 
4,072
CONSUMER FINANCE—1.1%
OneMain Finance Corp.
600
6.500%—03/15/2033
586
1,100
6.750%—09/15/2033
1,084
 
 
1,670
CONTAINERS & PACKAGING—0.5%
500
Cascades, Inc./Cascades USA, Inc.
5.375%—01/15/20281
499
200
Clearwater Paper Corp.
4.750%—08/15/20281
176
 
 
675
DIVERSIFIED FINANCIAL SERVICES—2.7%
643
Atlanticus Holdings Corp.
9.750%—09/01/20301
651
900
Credit Acceptance Corp.
6.625%—03/15/20301
901
302
Encore Capital Group, Inc.
6.625%—04/15/20311
303
200
LD Holdings Group LLC
8.750%—11/01/20271
181
Navient Corp.
652
9.375%—10/15/2031
652
800
11.500%—03/15/2031
847
 
 
1,499

⬤
19

Harbor Ares Systematic High Yield ETF
PORTFOLIO OF INVESTMENTS—Continued
Principal Amount, Value, and Cost in Thousands 
Corporate Bonds & Notes—Continued
Principal
Amount
 
Value
DIVERSIFIED FINANCIAL SERVICES—Continued
$400
VFH Parent LLC/Valor Co-Issuer, Inc.
7.500%—06/15/20311
$415
 
 
3,950
DIVERSIFIED TELECOMMUNICATION SERVICES—1.1%
1,199
Core Scientific Finance I LLC
7.750%—05/15/20311
1,175
500
Viavi Solutions, Inc.
3.750%—10/01/20291
474
 
 
1,649
ELECTRIC UTILITIES—2.3%
Edison International
618
7.875%—06/15/20542
638
1,100
8.125%—06/15/20532
1,130
 
 
1,768
200
Emera U.S. Finance LLC
6.650%—10/01/20562
201
EUSHI Finance, Inc.
750
6.250%—04/01/20562
741
675
7.625%—12/15/20542
702
 
 
1,443
 
 
3,412
ELECTRICAL EQUIPMENT—0.5%
EnerSys
400
4.375%—12/15/20271
395
366
6.625%—01/15/20321
371
 
 
766
ELECTRONIC EQUIPMENT, INSTRUMENTS & COMPONENTS—1.1%
1,773
TTM Technologies, Inc.
4.000%—03/01/20291
1,705
ENTERTAINMENT—1.3%
81
Muvico LLC
15.000%—02/19/20291
89
Resorts World Las Vegas LLC/RWLV Capital, Inc.
800
4.625%—04/16/2029-04/06/20311
685
350
8.450%—07/27/20301
346
 
 
1,031
900
Starz Capital Holdings LLC
5.500%—04/15/20291
814
 
 
1,934
EQUITY REAL ESTATE INVESTMENT TRUSTS (REITS)—5.5%
700
CTR Partnership LP/CareTrust Capital Corp.
3.875%—06/30/20281
682
Diversified Healthcare Trust
1,100
4.375%—03/01/2031
1,007
800
4.750%—02/15/2028
785
 
 
1,792
1,085
Iron Mountain Information Management Services,
Inc.
5.000%—07/15/20321
1,032
Iron Mountain, Inc.
675
4.500%—02/15/20311
639
  
Corporate Bonds & Notes—Continued
Principal
Amount
 
Value
EQUITY REAL ESTATE INVESTMENT TRUSTS (REITS)—Continued
$200
5.250%—07/15/20301
$196
400
6.250%—01/15/20331
402
 
 
1,237
MPT Operating Partnership LP/MPT Finance Corp.
1,021
3.500%—03/15/2031
698
900
4.625%—08/01/2029
722
300
5.000%—10/15/2027
291
 
 
1,711
RHP Hotel Properties LP/RHP Finance Corp.
900
4.500%—02/15/20291
882
900
5.750%—03/15/20341
882
 
 
1,764
 
 
8,218
FINANCIAL SERVICES—0.1%
147
EZCORP, Inc.
7.375%—04/01/20321
154
FOOD & STAPLES RETAILING—0.1%
210
United Natural Foods, Inc.
6.750%—10/15/20281
211
FOOD PRODUCTS—0.3%
U.S. Foods, Inc.
400
4.750%—02/15/20291
394
100
5.750%—04/15/20331
99
 
 
493
HEALTH CARE PROVIDERS & SERVICES—4.5%
Centene Corp.
2,100
2.500%—03/01/2031
1,827
247
4.625%—12/15/2029
240
 
 
2,067
DaVita, Inc.
1,846
3.750%—02/15/20311
1,704
300
4.625%—06/01/20301
289
289
6.750%—07/15/20331
297
 
 
2,290
69
Embecta Corp.
5.000%—02/15/20301
53
700
Encompass Health Corp.
4.625%—04/01/2031
674
900
Humana, Inc.
6.625%—09/15/20562
886
100
IQVIA, Inc.
5.000%—05/15/20271
100
743
Molina Healthcare, Inc.
3.875%—05/15/20321
665
 
 
6,735
HOTELS, RESTAURANTS & LEISURE—1.8%
871
Carnival Corp. Ltd.
5.875%—06/15/20311
872
Hilton Domestic Operating Co., Inc.
500
3.625%—02/15/20321
453
1,200
4.000%—05/01/20311
1,127
 
 
1,580

⬤
20

Harbor Ares Systematic High Yield ETF
PORTFOLIO OF INVESTMENTS—Continued
Principal Amount, Value, and Cost in Thousands 
Corporate Bonds & Notes—Continued
Principal
Amount
 
Value
HOTELS, RESTAURANTS & LEISURE—Continued
$271
New Red Finance, Inc.
3.875%—01/15/20281
$265
 
 
2,717
HOUSEHOLD DURABLES—1.2%
200
K Hovnanian Enterprises, Inc.
8.375%—10/01/20331
204
600
M/I Homes, Inc.
4.950%—02/01/2028
595
Whirlpool Corp.
500
2.400%—05/15/2031
368
300
4.700%—05/14/2032
234
530
5.500%—03/01/2033
413
 
 
1,015
 
 
1,814
INSURANCE—0.0%
50
Assurant, Inc.
7.000%—03/27/20482
51
INTERACTIVE MEDIA & SERVICES—0.5%
750
Go Daddy Operating Co. LLC/GD Finance Co., Inc.
3.500%—03/01/20291
702
INTERNET & CATALOG RETAIL—2.5%
1,050
Gen Digital, Inc.
6.250%—04/01/20331
1,034
100
Getty Images, Inc.
11.250%—02/21/20301
79
Match Group Holdings II LLC
900
3.625%—10/01/20311
804
1,156
6.125%—09/15/20331
1,127
 
 
1,931
100
Rakuten Group, Inc.
11.250%—02/15/20271
103
200
Snap, Inc.
6.875%—03/01/20331
195
400
Ziff Davis, Inc.
4.625%—10/15/20301
374
 
 
3,716
IT SERVICES—2.0%
500
Everforth, Inc.
4.625%—05/15/20281
478
Seagate Data Storage Technology Pte. Ltd.
247
4.091%—06/01/2029
240
333
5.750%—12/01/2034
330
1,000
9.625%—12/01/2032
1,097
 
 
1,667
Twilio, Inc.
400
3.625%—03/15/2029
384
150
3.875%—03/15/2031
140
 
 
524
298
Unisys Corp.
10.625%—01/15/20311
280
 
 
2,949
LEISURE PRODUCTS—0.2%
300
Life Time, Inc.
6.000%—11/15/20311
303
  
Corporate Bonds & Notes—Continued
Principal
Amount
 
Value
LIFE SCIENCES TOOLS & SERVICES—0.2%
$300
Charles River Laboratories International, Inc.
3.750%—03/15/20291
$287
MACHINERY—1.3%
1,300
BWX Technologies, Inc.
4.125%—06/30/2028-04/15/20291
1,259
138
GrafTech Global Enterprises, Inc.
9.875%—12/23/20291
97
600
Mueller Water Products, Inc.
4.000%—06/15/20291
575
 
 
1,931
MEDIA—1.9%
150
Advantage Sales & Marketing, Inc.
9.000%—11/15/20301
132
300
CSC Holdings LLC
5.500%—04/15/20271
186
600
Discovery Communications LLC
6.350%—06/01/2040
472
Discovery Global Holdings, Inc.
213
4.279%—03/15/2032
189
300
5.050%—03/15/2042
209
600
5.141%—03/15/2052
383
 
 
781
600
DISH DBS Corp.
7.375%—07/01/2028
575
300
Outfront Media Capital LLC/Outfront Media Capital
Corp.
4.625%—03/15/20301
290
104
Sinclair Television Group, Inc.
4.375%—12/31/20321
79
300
Univision Communications, Inc.
8.875%—04/15/20331
291
 
 
2,806
METALS & MINING—6.5%
352
Algoma Steel, Inc.
9.125%—04/15/20291
332
750
Eldorado Gold Corp.
6.250%—09/01/20291
750
1,067
Hudbay Minerals, Inc.
6.125%—04/01/20291
1,075
1,683
IAMGOLD Corp.
5.750%—10/15/20281
1,680
Novelis Corp.
400
3.875%—08/15/20311
363
2,000
4.750%—01/30/20301
1,924
 
 
2,287
1,566
Park-Ohio Industries, Inc.
8.500%—08/01/20301
1,637
388
PLS Group Ltd.
6.875%—05/01/20311
394
1,532
Skeena Resources Ltd.
8.500%—04/01/20311
1,600
 
 
9,755
OIL, GAS & CONSUMABLE FUELS—18.5%
1,700
Alliance Resource Operating Partners LP/Alliance
Resource Finance Corp.
8.625%—06/15/20291
1,775

⬤
21

Harbor Ares Systematic High Yield ETF
PORTFOLIO OF INVESTMENTS—Continued
Principal Amount, Value, and Cost in Thousands 
Corporate Bonds & Notes—Continued
Principal
Amount
 
Value
OIL, GAS & CONSUMABLE FUELS—Continued
AmeriGas Partners LP/AmeriGas Finance Corp.
$500
6.875%—06/01/20311
$508
288
9.375%—06/01/20281
295
 
 
803
Antero Midstream Partners LP/Antero Midstream
Finance Corp.
1,400
5.750%—10/15/20331
1,376
500
6.625%—02/01/20321
509
 
 
1,885
California Resources Corp.
1,292
7.000%—01/15/20341
1,266
500
7.250%—01/15/20351
494
 
 
1,760
1,569
Calumet Specialty Products Partners LP/Calumet
Finance Corp.
9.750%—02/15/20311
1,679
400
Comstock Resources, Inc.
6.750%—03/01/20291
393
CVR Energy, Inc.
998
7.500%—02/15/20311
1,012
528
7.875%—02/15/20341
537
 
 
1,549
Delek Logistics Partners LP/Delek Logistics Finance
Corp.
900
6.875%—06/01/20341
905
200
7.375%—06/30/20331
205
654
8.625%—03/15/20291
679
 
 
1,789
742
Enerflex, Inc.
6.875%—01/15/20311
755
Energy Transfer LP
900
7.125%—10/01/20542
920
1,100
8.000%—05/15/20542
1,155
 
 
2,075
950
EnQuest PLC
9.875%—04/30/20311
988
Genesis Energy LP/Genesis Energy Finance Corp.
700
8.000%—05/15/2033
729
200
8.250%—01/15/2029
206
 
 
935
400
Helix Energy Solutions Group, Inc.
9.750%—03/01/20291
421
345
Kodiak Gas Services LLC
6.500%—10/01/20331
345
500
Nabors Industries, Inc.
8.875%—08/15/20311
515
200
NGL Energy Operating LLC/NGL Energy Finance
Corp.
8.125%—02/15/20291
205
1,652
Par Petroleum LLC
7.375%—06/01/20341
1,710
PBF Holding Co. LLC/PBF Finance Corp.
1,805
7.250%—06/01/20341
1,834
200
7.875%—09/15/20301
208
 
 
2,042
PG&E Corp.
1,000
5.000%—07/01/2028
991
  
Corporate Bonds & Notes—Continued
Principal
Amount
 
Value
OIL, GAS & CONSUMABLE FUELS—Continued
$220
6.850%—09/15/20562
$218
371
7.375%—03/15/20552
377
 
 
1,586
850
SunCoke Energy, Inc.
4.875%—06/30/20291
811
Talos Production, Inc.
1,667
8.000%—07/15/20341
1,684
122
9.375%—02/01/20311
129
 
 
1,813
1,698
Vermilion Energy, Inc.
7.250%—02/15/20331
1,680
 
 
27,514
PAPER & FOREST PRODUCTS—0.1%
200
Mercer International, Inc.
12.875%—10/01/20281
99
PASSENGER AIRLINES—2.5%
1,051
Alaska Airlines, Inc.
6.500%—06/01/20311
1,045
1,692
Allegiant Travel Co.
7.125%—07/01/20311
1,717
1,118
JetBlue Airways Corp./JetBlue Loyalty LP
9.875%—09/20/20311
974
 
 
3,736
PHARMACEUTICALS—1.8%
550
Amneal Pharmaceuticals LLC
6.875%—08/01/20321
566
Bausch Health Cos., Inc.
400
5.250%—02/15/20311
244
100
6.250%—02/15/20291
79
200
7.250%—05/30/20291
157
600
14.000%—10/15/20301
550
 
 
1,030
561
BellRing Brands, Inc.
7.000%—03/15/20301
555
600
Jazz Securities DAC
4.375%—01/15/20291
588
 
 
2,739
PROFESSIONAL SERVICES—0.5%
TriNet Group, Inc.
500
3.500%—03/01/20291
472
200
7.125%—08/15/20311
203
 
 
675
REAL ESTATE MANAGEMENT & DEVELOPMENT—0.3%
500
Five Point Operating Co. LP
8.000%—10/01/20301
513
ROAD & RAIL—0.1%
200
XPO CNW, Inc.
6.700%—05/01/2034
207
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT—0.3%
400
ON Semiconductor Corp.
3.875%—09/01/20281
386

⬤
22

Harbor Ares Systematic High Yield ETF
PORTFOLIO OF INVESTMENTS—Continued
Principal Amount, Value, and Cost in Thousands 
Corporate Bonds & Notes—Continued
Principal
Amount
 
Value
SOFTWARE—5.2%
CoreWeave, Inc.
$730
9.000%—02/01/20311
$660
500
9.250%—06/01/20301
468
500
9.625%—07/15/20321
448
500
9.750%—10/01/20311
454
 
 
2,030
900
Elastic NV
4.125%—07/15/20291
858
Fair Isaac Corp.
800
4.000%—06/15/20281
774
1,137
6.250%—09/15/20341
1,099
 
 
1,873
900
Open Text Holdings, Inc.
4.125%—02/15/20301
831
200
Pagaya U.S. Holdings Co. LLC
8.875%—08/01/20301
179
700
PTC, Inc.
4.000%—02/15/20281
685
618
RingCentral, Inc.
8.500%—08/15/20301
645
700
ZoomInfo Technologies LLC/ZoomInfo Finance Corp.
3.875%—02/01/20291
582
 
 
7,683
SPECIALTY RETAIL—9.8%
1,392
Arko Corp.
5.125%—11/15/20291
1,302
900
Bath & Body Works, Inc.
6.950%—03/01/2033
901
1,824
Carvana Co.
9.000%—06/01/20311
2,007
FirstCash, Inc.
600
4.625%—09/01/20281
589
200
5.625%—01/01/20301
197
400
6.125%—05/01/20341
395
500
6.875%—03/01/20321
508
 
 
1,689
700
FTAI Aviation Investors LLC
7.000%—05/01/2031-06/15/20321
718
Kohl’s Corp.
1,100
5.125%—05/01/2031
987
300
5.550%—07/17/2045
207
 
 
1,194
Macy’s Retail Holdings LLC
600
4.300%—02/15/2043
431
  
Corporate Bonds & Notes—Continued
Principal
Amount
 
Value
SPECIALTY RETAIL—Continued
$74
5.125%—01/15/2042
$60
500
6.125%—03/15/20321
502
800
7.375%—08/01/20331
834
 
 
1,827
1,200
Petco Health & Wellness Co., Inc.
8.250%—02/01/20311
1,205
1,400
Suburban Propane Partners LP/Suburban Energy
Finance Corp.
5.000%—06/01/20311
1,320
1,610
Victoria’s Secret & Co.
4.625%—07/15/20291
1,565
Yum! Brands, Inc.
500
4.625%—01/31/2032
475
335
6.875%—11/15/2037
355
 
 
830
 
 
14,558
TEXTILES, APPAREL & LUXURY GOODS—1.1%
Crocs, Inc.
500
4.125%—08/15/20311
460
100
4.250%—03/15/20291
96
 
 
556
200
Under Armour, Inc.
7.250%—07/15/20301
204
875
William Carter Co.
7.375%—02/15/20311
899
 
 
1,659
TOBACCO—1.0%
1,472
Turning Point Brands, Inc.
7.625%—03/15/20321
1,499
TRADING COMPANIES & DISTRIBUTORS—0.1%
181
Resideo Funding II LLC
6.500%—07/15/20321
181
Total Corporate Bonds & Notes
(Cost $144,412)
143,644
TOTAL INVESTMENTS—96.4%
(Cost $144,412)
143,644
CASH AND OTHER ASSETS, LESS LIABILITIES—3.6%
5,293
TOTAL NET ASSETS—100.0%
$148,937
 
FAIR VALUE MEASUREMENTS
All investments as of July 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.

 
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 July 31, 2026, the aggregate value of these securities was $113,969 or 77% of net assets.
2
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.
The accompanying notes are an integral part of the Portfolios of Investments.

⬤
23

Harbor Ares Systematic Multi-Sector Income ETF
PORTFOLIO OF INVESTMENTS—July 31, 2026 (Unaudited)
Principal Amount, Value, and Cost in Thousands
 
 
 
Corporate Bonds & Notes—93.5%
Principal
Amount
 
Value
AEROSPACE & DEFENSE—2.1%
$200
BAE Systems PLC
5.125%—03/26/20291
$202
100
Bombardier, Inc.
7.450%—05/01/20341
109
200
Howmet Aerospace, Inc.
3.000%—01/15/2029
192
200
TransDigm, Inc.
6.375%—03/01/20291
203
 
 
706
AUTOMOBILE COMPONENTS—0.6%
210
Cooper-Standard Automotive, Inc.
9.250%—03/01/20311
214
AUTOMOBILES—2.1%
100
Allison Transmission, Inc.
3.750%—01/30/20311
93
100
Ford Motor Co.
6.100%—08/19/2032
101
300
Ford Motor Credit Co. LLC
5.113%—05/03/2029
297
100
General Motors Financial Co., Inc.
5.850%—04/06/2030
103
137
Wabash National Corp.
4.500%—10/15/20281
128
 
 
722
BANKS—0.6%
200
Intesa Sanpaolo SpA
4.198%—06/01/20321,2
188
BIOTECHNOLOGY—0.3%
100
Genmab AS/Genmab Finance LLC
6.250%—12/15/20321
101
BROADLINE RETAIL—0.8%
300
Prosus NV
3.061%—07/13/20311
269
BUILDING PRODUCTS—1.7%
200
Carlisle Cos., Inc.
3.750%—12/01/2027
198
200
Lennox International, Inc.
5.500%—09/15/2028
203
200
NVR, Inc.
3.000%—05/15/2030
186
 
 
587
CAPITAL MARKETS—0.8%
Icahn Enterprises LP/Icahn Enterprises Finance
Corp.
100
4.375%—02/01/2029
87
200
9.000%—06/15/2030
191
 
 
278
CHEMICALS—1.7%
300
EIDP, Inc.
4.800%—05/15/2033
291
100
Rain Carbon, Inc.
12.250%—09/01/20291
107
 
Corporate Bonds & Notes—Continued
Principal
Amount
 
Value
CHEMICALS—Continued
$200
Yara International ASA
3.148%—06/04/20301
$186
 
 
584
COMMERCIAL SERVICES & SUPPLIES—2.6%
100
GEO Group, Inc.
8.625%—04/15/2029
104
190
HNI Corp.
5.125%—01/18/20291
187
200
Pitney Bowes, Inc.
7.250%—03/15/20291
202
300
PROG Holdings, Inc.
6.000%—11/15/20291
293
100
ZipRecruiter, Inc.
5.000%—01/15/20301
78
 
 
864
COMMUNICATIONS EQUIPMENT—2.0%
200
Ciena Corp.
4.000%—01/31/20301
190
100
Cisco Systems, Inc.
4.950%—02/26/2031
101
Motorola Solutions, Inc.
200
2.300%—11/15/2030
179
100
4.600%—02/23/2028
100
 
 
279
105
Sprint Spectrum Co. LLC/Sprint Spectrum Co. II
LLC/Sprint Spectrum Co. III LLC
5.152%—09/20/20291
105
 
 
675
CONSTRUCTION & ENGINEERING—3.0%
200
Arcosa, Inc.
4.375%—04/15/20291
196
104
Dycom Industries, Inc.
4.500%—04/15/20291
101
114
Tutor Perini Corp.
6.625%—07/15/20331
114
317
VM Consolidated, Inc.
5.500%—04/15/20291
297
300
WSP Global, Inc.
5.039%—09/18/20311
296
 
 
1,004
CONSUMER FINANCE—0.9%
300
OneMain Finance Corp.
6.750%—09/15/2033
295
CONTAINERS & PACKAGING—0.3%
100
CCL Industries, Inc.
3.050%—06/01/20301
93
DIVERSIFIED FINANCIAL SERVICES—1.5%
100
Atlanticus Holdings Corp.
9.750%—09/01/20301
101
100
Credit Acceptance Corp.
9.250%—12/15/20281
104
200
Enova International, Inc.
9.125%—08/01/20291
209

⬤
24

Harbor Ares Systematic Multi-Sector Income ETF
PORTFOLIO OF INVESTMENTS—Continued
Principal Amount, Value, and Cost in Thousands 
Corporate Bonds & Notes—Continued
Principal
Amount
 
Value
DIVERSIFIED FINANCIAL SERVICES—Continued
$100
Navient Corp.
11.500%—03/15/2031
$106
 
 
520
DIVERSIFIED REITS—0.3%
100
Omega Healthcare Investors, Inc.
4.750%—01/15/2028
100
DIVERSIFIED TELECOMMUNICATION SERVICES—0.4%
126
Core Scientific Finance I LLC
7.750%—05/15/20311
123
ELECTRIC UTILITIES—1.6%
100
Alexander Funding Trust II
7.467%—07/31/20281
104
200
American Electric Power Co., Inc.
5.800%—03/15/20562
197
100
Edison International
7.875%—06/15/20542
103
35
EUSHI Finance, Inc.
7.625%—12/15/20542
36
100
Pacific Gas & Electric Co.
3.300%—12/01/2027
98
 
 
538
ELECTRICAL EQUIPMENT—0.3%
100
EnerSys
4.375%—12/15/20271
99
ELECTRONIC EQUIPMENT, INSTRUMENTS & COMPONENTS—0.9%
314
TTM Technologies, Inc.
4.000%—03/01/20291
302
ENTERTAINMENT—1.6%
100
Flutter Treasury DAC
5.875%—06/04/20311
99
200
Resorts World Las Vegas LLC/RWLV Capital, Inc.
4.625%—04/16/20291
180
300
Starz Capital Holdings LLC
5.500%—04/15/20291
271
 
 
550
EQUITY REAL ESTATE INVESTMENT TRUSTS (REITS)—4.6%
200
CTR Partnership LP/CareTrust Capital Corp.
3.875%—06/30/20281
195
Diversified Healthcare Trust
200
4.375%—03/01/2031
183
100
4.750%—02/15/2028
98
 
 
281
100
Equinix Europe 2 Financing Corp. LLC
4.700%—03/15/2033
95
Iron Mountain, Inc.
200
4.875%—09/15/20291
195
180
6.250%—01/15/20331
181
 
 
376
MPT Operating Partnership LP/MPT Finance Corp.
93
3.500%—03/15/2031
64
300
4.625%—08/01/2029
241
 
 
305
100
RHP Hotel Properties LP/RHP Finance Corp.
4.500%—02/15/20291
98
  
Corporate Bonds & Notes—Continued
Principal
Amount
 
Value
EQUITY REAL ESTATE INVESTMENT TRUSTS (REITS)—Continued
$200
VICI Properties LP/VICI Note Co., Inc.
3.750%—02/15/20271
$199
 
 
1,549
FOOD & STAPLES RETAILING—0.6%
200
CDW LLC/CDW Finance Corp.
3.250%—02/15/2029
191
GROUND TRANSPORTATION—0.9%
300
XPO, Inc.
6.250%—06/01/20281
303
HEALTH CARE PROVIDERS & SERVICES—4.4%
300
Centene Corp.
2.500%—03/01/2031
261
DaVita, Inc.
153
3.750%—02/15/20311
141
285
4.625%—06/01/20301
275
 
 
416
300
HCA, Inc.
3.125%—03/15/2027
297
200
Humana, Inc.
6.625%—09/15/20562
197
12
Pediatrix Medical Group, Inc.
5.375%—02/15/20301
12
200
STERIS Irish FinCo UnLtd Co.
2.700%—03/15/2031
180
100
Tenet Healthcare Corp.
5.125%—11/01/2027
100
 
 
1,463
HOTELS, RESTAURANTS & LEISURE—3.6%
200
1011778 BC ULC/New Red Finance, Inc.
3.500%—02/15/20291
192
Carnival Corp. Ltd.
100
4.000%—08/01/20281
98
216
5.875%—06/15/20311
216
 
 
314
300
Hilton Domestic Operating Co., Inc.
5.500%—03/31/20341
294
100
Las Vegas Sands Corp.
6.000%—06/14/2030
102
213
New Red Finance, Inc.
3.875%—01/15/20281
209
100
O’Reilly Automotive, Inc.
4.200%—04/01/2030
97
 
 
1,208
INTERNET & CATALOG RETAIL—2.0%
300
Amazon.com, Inc.
5.100%—07/09/2033
297
300
eBay, Inc.
2.600%—05/10/2031
268
100
Match Group Holdings II LLC
6.125%—09/15/20331
98
 
 
663
IT SERVICES—3.0%
300
International Business Machines Corp.
3.500%—05/15/2029
290

⬤
25

Harbor Ares Systematic Multi-Sector Income ETF
PORTFOLIO OF INVESTMENTS—Continued
Principal Amount, Value, and Cost in Thousands 
Corporate Bonds & Notes—Continued
Principal
Amount
 
Value
IT SERVICES—Continued
$100
Kyndryl Holdings, Inc.
3.150%—10/15/2031
$83
100
Leidos, Inc.
4.375%—05/15/2030
97
Seagate Data Storage Technology Pte. Ltd.
133
5.750%—12/01/2034
132
100
9.625%—12/01/2032
110
 
 
242
VeriSign, Inc.
200
2.700%—06/15/2031
179
100
5.250%—06/01/2032
100
 
 
279
 
 
991
MACHINERY—1.8%
200
BWX Technologies, Inc.
4.125%—06/30/20281
195
100
IDEX Corp.
3.000%—05/01/2030
93
300
Nordson Corp.
5.800%—09/15/2033
308
 
 
596
MEDIA—1.1%
100
DISH DBS Corp.
7.375%—07/01/2028
96
300
News Corp.
3.875%—05/15/20291
289
 
 
385
METALS & MINING—5.2%
150
Eldorado Gold Corp.
6.250%—09/01/20291
150
100
Glencore Funding LLC
5.200%—07/01/20331
99
200
Hudbay Minerals, Inc.
6.125%—04/01/20291
201
300
IAMGOLD Corp.
5.750%—10/15/20281
299
400
Novelis Corp.
4.750%—01/30/20301
385
300
Park-Ohio Industries, Inc.
8.500%—08/01/20301
314
44
PLS Group Ltd.
6.875%—05/01/20311
45
227
Skeena Resources Ltd.
8.500%—04/01/20311
237
 
 
1,730
OIL, GAS & CONSUMABLE FUELS—13.9%
200
Alliance Resource Operating Partners LP/Alliance
Resource Finance Corp.
8.625%—06/15/20291
209
200
Antero Midstream Partners LP/Antero Midstream
Finance Corp.
5.750%—10/15/20331
197
200
BP Capital Markets PLC
4.875%—03/22/20302
195
300
California Resources Corp.
7.250%—01/15/20351
297
  
Corporate Bonds & Notes—Continued
Principal
Amount
 
Value
OIL, GAS & CONSUMABLE FUELS—Continued
$247
Calumet Specialty Products Partners LP/Calumet
Finance Corp.
9.750%—02/15/20311
$264
100
Delek Logistics Partners LP/Delek Logistics Finance
Corp.
6.875%—06/01/20341
100
200
Enbridge, Inc.
6.000%—01/15/20772
200
200
Energy Transfer LP
6.500%—02/15/20562
200
200
EnQuest PLC
9.875%—04/30/20311
208
100
Enterprise Products Operating LLC
5.250%—08/16/20772
100
100
Genesis Energy LP/Genesis Energy Finance Corp.
6.750%—03/15/2034
100
HF Sinclair Corp.
100
5.500%—09/01/2032
100
200
5.750%—01/15/2031
203
 
 
303
200
KeySpan Gas East Corp.
5.994%—03/06/20331
206
100
Kinder Morgan, Inc.
5.000%—02/01/2029
101
200
MPLX LP
2.650%—08/15/2030
183
250
Par Petroleum LLC
7.375%—06/01/20341
259
PBF Holding Co. LLC/PBF Finance Corp.
100
7.250%—06/01/20341
102
200
7.875%—09/15/20301
208
 
 
310
200
PG&E Corp.
5.000%—07/01/2028
198
200
SunCoke Energy, Inc.
4.875%—06/30/20291
191
100
Suncor Energy, Inc.
7.150%—02/01/2032
109
Talos Production, Inc.
177
8.000%—07/15/20341
179
100
9.375%—02/01/20311
105
 
 
284
100
Targa Resources Partners LP/Targa Resources
Partners Finance Corp.
4.000%—01/15/2032
94
100
TC PipeLines LP
3.900%—05/25/2027
100
249
Vermilion Energy, Inc.
7.250%—02/15/20331
246
 
 
4,654
PASSENGER AIRLINES—2.5%
171
Alaska Airlines Pass-Through Trust
4.800%—02/15/20291
171
299
Allegiant Travel Co.
7.125%—07/01/20311
303
225
Delta Air Lines, Inc./SkyMiles IP Ltd.
4.750%—10/20/20281
225
100
JetBlue Airways Corp./JetBlue Loyalty LP
9.875%—09/20/20311
87

⬤
26

Harbor Ares Systematic Multi-Sector Income ETF
PORTFOLIO OF INVESTMENTS—Continued
Principal Amount, Value, and Cost in Thousands 
Corporate Bonds & Notes—Continued
Principal
Amount
 
Value
PASSENGER AIRLINES—Continued
$59
United Airlines Pass-Through Trust
5.875%—04/15/2029
$60
 
 
846
PHARMACEUTICALS—1.5%
34
BellRing Brands, Inc.
7.000%—03/15/20301
34
200
Cencora, Inc.
2.700%—03/15/2031
181
300
Viatris, Inc.
2.700%—06/22/2030
273
 
 
488
PROFESSIONAL SERVICES—1.1%
100
Gartner, Inc.
3.750%—10/01/20301
91
300
TriNet Group, Inc.
3.500%—03/01/20291
283
 
 
374
REAL ESTATE MANAGEMENT & DEVELOPMENT—0.9%
200
Anywhere Real Estate Group LLC/Realogy Co-Issuer
Corp.
9.750%—04/15/20301
214
100
Five Point Operating Co. LP
8.000%—10/01/20301
103
 
 
317
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT—2.5%
Broadcom, Inc.
100
2.600%—02/15/2033
84
200
3.419%—04/15/2033
177
100
4.000%—04/15/2029
98
 
 
359
200
NVIDIA Corp.
2.850%—04/01/2030
188
100
Qorvo, Inc.
3.375%—04/01/20311
91
200
Texas Instruments, Inc.
2.250%—09/04/2029
186
 
 
824
SOFTWARE—6.5%
300
AppLovin Corp.
5.125%—12/01/2029
300
200
Autodesk, Inc.
2.400%—12/15/2031
174
200
Broadridge Financial Solutions, Inc.
2.900%—12/01/2029
187
CoreWeave, Inc.
100
9.000%—02/01/20311
90
200
9.250%—06/01/20301
187
100
9.750%—10/01/20311
91
 
 
368
200
Fair Isaac Corp.
6.000%—05/15/20331
194
300
Open Text Corp.
6.900%—12/01/20271
306
  
Corporate Bonds & Notes—Continued
Principal
Amount
 
Value
SOFTWARE—Continued
Oracle Corp.
$100
6.150%—11/09/2029
$101
200
6.250%—11/09/2032
198
 
 
299
Salesforce, Inc.
300
1.950%—07/15/2031
259
100
5.200%—03/15/2033
99
 
 
358
 
 
2,186
SPECIALTY RETAIL—5.9%
200
Arko Corp.
5.125%—11/15/20291
187
314
Carvana Co.
9.000%—06/01/2030-06/01/20311
332
200
FirstCash, Inc.
6.125%—05/01/20341
197
400
Home Depot, Inc.
3.250%—04/15/2032
369
222
Kohl’s Corp.
5.125%—05/01/2031
199
Macy’s Retail Holdings LLC
100
4.300%—02/15/2043
72
100
7.375%—08/01/20331
104
 
 
176
100
Ross Stores, Inc.
1.875%—04/15/2031
88
167
Victoria’s Secret & Co.
4.625%—07/15/20291
162
300
Yum! Brands, Inc.
5.350%—11/01/2043
277
 
 
1,987
TEXTILES, APPAREL & LUXURY GOODS—0.3%
100
Tapestry, Inc.
5.100%—03/11/2030
100
TOBACCO—3.9%
Altria Group, Inc.
100
2.450%—02/04/2032
87
300
4.800%—02/14/2029
300
 
 
387
200
Imperial Brands Finance PLC
5.500%—02/01/20301
203
300
Japan Tobacco, Inc.
5.250%—06/15/20301
303
300
Philip Morris International, Inc.
5.125%—02/15/2030-02/13/2031
303
100
Turning Point Brands, Inc.
7.625%—03/15/20321
102
 
 
1,298
TRADING COMPANIES & DISTRIBUTORS—0.6%
200
Ferguson Finance PLC
4.500%—10/24/20281
199

⬤
27

Harbor Ares Systematic Multi-Sector Income ETF
PORTFOLIO OF INVESTMENTS—Continued
Principal Amount, Value, and Cost in Thousands 
Corporate Bonds & Notes—Continued
Principal
Amount
 
Value
WIRELESS TELECOMMUNICATION SERVICES—0.6%
$200
T-Mobile USA, Inc.
2.625%—02/15/2029
$189
Total Corporate Bonds & Notes
(Cost $31,274)
31,353
TOTAL INVESTMENTS—93.5%
(Cost $31,274)
31,353
CASH AND OTHER ASSETS, LESS LIABILITIES—6.5%
2,196
TOTAL NET ASSETS—100.0%
$33,549
  
FUTURES CONTRACTS
LONG FUTURES CONTRACTS
Description
Number of
Contracts
Expiration
Month
Current
Notional
Value
(000s)
Unrealized
Appreciation/
(Depreciation)
(000s)
U.S. Treasury Note Futures 10 Year
18
09/26
$1,944
$(25
)
U.S. Treasury Note Futures 2 Year
26
09/26
5,346
(15
)
U.S. Treasury Note Futures 5 Year
22
09/26
2,331
(20
)
Total Long Futures Contracts
$(60
)
 
CREDIT DEFAULT SWAP AGREEMENTS
CENTRALLY CLEARED SWAP AGREEMENTS
Counterparty/Exchange
Reference Entity
Buy/
Sell3,4
Pay/Receive
Fixed Rate
Expiration
Date
Implied
Credit
Spread5
Payment
Frequency
Notional
Amount6
(000s)
Value7
(000s)
Upfront
Premiums
(Received)/Paid
(000s)
Unrealized
Appreciation/
(Depreciation)
(000s)
ICE Clear Credit LLC
Markit CDX North American
High Yield Index Series 46
Sell
5.000
%
06/20/2031
3.115%
Quarterly
$1,881
$153
$120
$33
ICE Clear Credit LLC
Markit CDX North American
Investment Grade Index
Series 46
Sell
1.000
%
06/20/2031
0.529%
Quarterly
5,800
126
114
12
Total Centrally Cleared Credit Default Swaps
$45

⬤
28

Harbor Ares Systematic Multi-Sector Income ETF
PORTFOLIO OF INVESTMENTS—Continued
FAIR VALUE MEASUREMENTS
As of July 31, 2026, the investments in futures contracts (as disclosed in the preceding Futures Contracts schedule) 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
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 July 31, 2026, the aggregate value of these securities was $17,494 or 52% of net assets.
2
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.
3
If the Fund is a buyer of protection and a credit event occurs, as defined under the terms of that particular swap agreement, the Fund will either (i) receive from the seller of protection an amount equal to the notional amount of the swap and deliver the referenced obligation or underlying securities comprising the referenced index or (ii) receive a net settlement amount in the form of cash or securities equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying securities comprising the referenced index.
4
If the Fund is a seller of protection and a credit event occurs, as defined under the terms of that particular swap agreement, the Fund will either (i) pay to the buyer of protection an amount equal to the notional amount of the swap and take delivery of the referenced obligation or underlying securities comprising the referenced index or (ii) pay a net settlement amount in the form of cash or securities equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying securities comprising the referenced index.
5
Implied credit spreads, represented in absolute terms, utilized in determining the value of credit default swap agreements on corporate issues or sovereign issues of an emerging country as of period end serve as an indicator of the current status of the payment/performance risk and represent the likelihood or risk of default for the credit derivative. The implied credit spread of a particular referenced entity reflects the cost of buying/selling protection and may include upfront payments required to be made to enter into the agreement. Wider credit spreads represent a deterioration of the referenced entity’s credit soundness and a greater likelihood or risk of default or other credit event occurring as defined under the terms of the agreement. A credit spread identified as “Defaulted” indicates a credit event has occurred for the referenced entity or obligation.
6
The maximum potential amount the Fund could be required to make as a seller of credit protection or receive as a buyer of credit protection if a credit event occurs as defined under the terms of that particular swap agreement. As of July 31, 2026, the maximum exposure to loss of the notional value as the seller of credit default swaps outstanding was $7,681.
7
The quoted market prices and resulting values for credit default swap agreements on asset-backed securities and credit indices serve as an indicator of the current status of the payment/performance risk and represent the likelihood of an expected liability (or profit) for the credit derivative should the notional amount of the swap agreement be closed/sold as of the period end. Increasing values, in absolute terms when compared to the notional amount of the swap, represent a deterioration of the referenced entity’s credit soundness and a greater likelihood or risk of default or other credit event occurring as defined under the terms of the agreement.
The accompanying notes are an integral part of the Portfolios of Investments.

⬤
29

Harbor Commodity All-Weather Strategy ETF
CONSOLIDATED PORTFOLIO OF INVESTMENTS—July 31, 2026 (Unaudited)
Principal Amount, Value, and Cost in Thousands
 
 
 
Short-Term Investments—88.1%
Principal
Amount
 
Value
U.S. TREASURY BILLS—88.1%
U.S. Treasury Bills
$100,000
3.497%—08/20/2026†
$99,830
253,564
3.551%—08/13/2026†
253,310
636,208
3.564%—09/10/2026†
633,774
632,553
3.593%—10/08/2026†
628,296
570,587
3.604%—11/05/2026†
565,075
498,404
3.678%—12/03/2026†
492,067
577,659
3.753%—01/07/2027†
568,159
TOTAL SHORT-TERM INVESTMENTS
(Cost $3,240,304)
3,240,511
TOTAL INVESTMENTS—88.1%
(Cost $3,240,304)
3,240,511
CASH AND OTHER ASSETS, LESS LIABILITIES—11.9%
439,405
TOTAL NET ASSETS—100%
$3,679,916
  
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
0.120%
Pay
Quantix Commodity Index
08/28/2026
Monthly
$1,486,289
$—
$—
$—
JP Morgan Chase Bank NA
0.120%
Pay
Quantix Commodity Index
08/28/2026
Monthly
98,258
—
—
—
Goldman Sachs International
0.120%
Pay
Quantix Commodity Index
08/28/2026
Monthly
1,197,062
—
—
—
Citibank NA
0.120%
Pay
Quantix Commodity Index
08/28/2026
Monthly
897,445
—
—
—
Total Over-the-Counter Excess Return Swaps
$—
$—
$—
FAIR VALUE MEASUREMENTS
All investments as of July 31, 2026 (as disclosed in the preceding Portfolio of Investments and Swap Agreements schedule) 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
The accompanying notes are an integral part of the Portfolios of Investments.

⬤
30

Harbor Disciplined Bond ETF
PORTFOLIO OF INVESTMENTS—July 31, 2026 (Unaudited)
Principal Amount, Value, and Cost in Thousands
 
 
 
Asset-Backed Securities—10.8%
Principal
Amount
 
Value
$250
AIMCO CLO
Series 2018-BA Cl. AR3
4.993% (3 Month USD Term SOFR + 1.200%)
04/16/20371,2
$250
125
Avis Budget Rental Car Funding AESOP LLC
Series 2024-3A Cl. A
5.230%—12/20/20301
126
250
Carlyle U.S. CLO Ltd.
Series 2022-1A Cl. A1R
4.733% (3 Month USD Term SOFR + 0.980%)
04/15/20351,2
250
250
CIFC Funding Ltd.
Series 2024-3A Cl. A1
5.214% (3 Month USD Term SOFR + 1.480%)
07/21/20371,2
250
88
Compass Datacenters Issuer III LLC
Series 2025-3A Cl. A2
5.286%—07/25/20501
86
143
DB Master Finance LLC
Series 2021-1A Cl. A2II
2.493%—11/20/20511
135
149
Domino’s Pizza Master Issuer LLC
Series 2021-1A Cl. A2I
2.662%—04/25/20511
141
203
Elmwood CLO I Ltd.
Series 2019-1A Cl. A1R3
4.849% (3 Month USD Term SOFR + 1.120%)
04/20/20371,2
203
83
Jersey Mike’s Funding LLC
Series 2024-1A Cl. A2
5.636%—02/15/20551
83
115
Jimmy Johns Funding LLC
Series 2026-1A Cl. A2
5.685%—04/30/20561
115
x
70
Kinetic ABS Issuer LLC
Series 2026-1A Cl. A2
5.219%—02/25/20561
69
101
MetroNet Infrastructure Issuer LLC
Series 2025-4A Cl. A2
5.163%—12/20/20551
98
250
OCP CLO Ltd.
Series 2020-18AR Cl. A1R3
4.950% (3 Month USD Term SOFR + 1.220%)
07/21/20391,2
250
234
Planet Fitness Master Issuer LLC
Series 2019-1A Cl. A2
3.858%—12/05/20491
222
99
Progress Residential Trust
Series 2024-SFR3 Cl. A
3.000%—06/17/20411
94
122
QTS Issuer ABS I LLC
Series 2025-1A Cl. A2
5.439%—05/25/20551
121
146
Sabey Data Center Issuer LLC
Series 2025-2 Cl. A2
5.966%—04/20/20501
144
102
SBA Small Business Investment Cos.
Series 2023-10A Cl. 1
5.168%—03/10/2033
102
 
Asset-Backed Securities—Continued
Principal
Amount
 
Value
Subway Funding LLC
$163
Series 2024-1A Cl. A2I
6.028%—07/30/20541
$163
73
Series 2024-1A Cl. A2II
6.268%—07/30/20541
73
 
 
236
147
Taco Bell Funding LLC
Series 2021-1A Cl. A2II
2.294%—08/25/20511
137
Tricon Residential Trust
99
Series 2024-SFR2 Cl. A
4.750%—06/17/20401
99
144
Series 2023-SFR2 Cl. A
5.000%—12/17/20401
142
 
 
241
U.S. Small Business Administration
102
Series 2017-20I Cl. 1
2.590%—09/01/2037
93
55
Series 2010-20G Cl. 1
3.800%—07/01/2030
53
109
Series 2024-25E Cl. 1
5.240%—05/01/2049
110
117
Series 2024-25D Cl. 1
5.380%—04/01/2049
118
 
 
374
Uniti Fiber ABS Issuer LLC
84
Series 2025-2A Cl. A2
5.177%—01/20/20561
82
25
Series 2025-1A Cl. A2
5.877%—04/20/20551
25
 
 
107
187
VB-S1 Issuer LLC
Series 2022-1A Cl. C2I
3.156%—02/15/20521
184
Wendy’s Funding LLC
120
Series 2019-1A Cl. A2II
4.080%—06/15/20491
115
80
Series 2025-1A Cl. A2I
5.422%—12/15/20551
77
 
 
192
Total Asset-Backed Securities
(Cost $4,170)
4,210
 
Collateralized Mortgage Obligations—14.4%
 
 
 
Bank
165
Series 2020-BN30 Cl. A4
1.925%—12/15/2053
145
90
Series 2021-BN33 Cl. A3
2.021%—05/15/2064
85
 
 
230
137
Barclays Commercial Mortgage Trust
Series 2019-C3 Cl. A3
3.319%—05/15/2052
132

⬤
31

Harbor Disciplined Bond ETF
PORTFOLIO OF INVESTMENTS—Continued
Principal Amount, Value, and Cost in Thousands 
Collateralized Mortgage Obligations—Continued
Principal
Amount
 
Value
BBCMS Mortgage Trust
$99
Series 2022-C15 Cl. A5
3.662%—04/15/20552
$90
191
Series 2024-5C29 Cl. A3
5.208%—09/15/2057
192
 
 
282
Benchmark Mortgage Trust
107
Series 2021-B28 Cl. A3
2.073%—08/15/2054
98
169
Series 2021-B28 Cl. A5
2.224%—08/15/2054
147
122
Series 2019-B15 Cl. A5
2.928%—12/15/2072
113
157
Series 2019-B10 Cl. A4
3.717%—03/15/2062
152
126
Series 2025-V14 Cl. A4
5.660%—04/15/2057
128
 
 
638
110
BFLD Commercial Mortgage Trust
Series 2025-5MW Cl. A
4.674%—10/10/20421,2
108
100
BFLD Trust
Series 2025-FPM Cl. A
5.011%—10/10/20401,2
99
106
BSTN Commercial Mortgage Trust
Series 2025-1C Cl. A
5.369%—06/15/20441,2
106
BX Commercial Mortgage Trust
69
Series 2024-XL5 Cl. A
5.068% (1 Month USD Term SOFR + 1.392%)
03/15/20411,2
69
74
Series 2024-XL4 Cl. A
5.118% (1 Month USD Term SOFR + 1.442%)
02/15/20391,2
74
 
 
143
125
BX Trust
Series 2024-BIO Cl. A
5.318% (1 Month USD Term SOFR + 1.642%)
02/15/20411,2
125
100
CENT Trust
Series 2025-CITY Cl. A
4.920%—07/10/20401,2
99
Chase Home Lending Mortgage Trust
188
Series 2026-4 Cl. A4A
5.000%—02/25/20571,2
185
51
Series 2025-9 Cl. A4A
5.500%—06/25/20561,2
51
 
 
236
Citigroup Mortgage Loan Trust, Inc.
71
Series 2025-1 Cl. A8
5.500%—01/25/20551,2
70
53
Series 2025-3 Cl. A11
5.500%—06/25/20551,2
53
 
 
123
115
CONE Commercial Mortgage Trust
Series 2026-ACD6 Cl. A
6.063%—07/15/20431,2
114
204
Cross Mortgage Trust
Series 2026-NQM9 Cl. A1
5.726%—08/25/20711,2
205
  
Collateralized Mortgage Obligations—Continued
Principal
Amount
 
Value
$48
EQT Trust
Series 2024-EXTR Cl. A
5.331%—07/05/20411
$49
100
Fashion Show Mall LLC
Series 2024-SHOW Cl. A
5.104%—10/10/20411,2
100
27
GS Mortgage-Backed Securities Trust
Series 2024-PJ5 Cl. A15
6.000%—09/25/20541,2
28
100
JP Morgan Chase Commercial Mortgage Securities
Trust
Series 2024-OMNI Cl. A
5.797%—10/05/20391,2
101
JP Morgan Mortgage Trust
152
Series 2024-3 Cl. A6
3.000%—05/25/20541,2
141
99
Series 2021-6 Cl. A12
5.000%—10/25/20511,2
95
111
Series 2025-7MPR Cl. A1D
5.324%—02/25/20561,3
111
67
Series 2023-4 Cl. 1A4A
5.500%—11/25/20531,2
67
56
Series 2025-5MPR Cl. A1D
5.500%—11/25/20551,3
56
132
Series 2025-8 Cl. A4A
5.500%—02/25/20561,2
131
151
Series 2025-11 Cl. A4
5.500%—05/25/20561,2
151
28
Series 2024-5 Cl. A4
6.000%—11/25/20541,2
28
 
 
780
132
KIND Commercial Mortgage Trust
Series 2024-1 Cl. A
5.566% (1 Month USD Term SOFR + 1.890%)
08/15/20411,2
132
116
MAD Commercial Mortgage Trust
Series 2025-11MD Cl. A
4.754%—10/15/20421,2
114
Morgan Stanley Residential Mortgage Loan Trust
181
Series 2026-1 Cl. A4
5.000%—04/25/20561,2
178
124
Series 2026-NQM5 Cl. A1
5.488%—04/27/20711,2
124
122
Series 2026-NQM8 Cl. A1
5.508%—06/25/20711,2
122
 
 
424
NYC Commercial Mortgage Trust
100
Series 2025-28L Cl. A
4.668%—11/05/20381,2
99
116
Series 2026-9W57 Cl. A
4.890%—06/06/20401,2
114
 
 
213
OBX Trust
98
Series 2026-NQM7 Cl. A1
5.220%—04/25/20661,2
97
192
Series 2026-NQM9 Cl. A1
5.470%—04/25/20661,2
192
 
 
289
Sequoia Mortgage Trust
187
Series 2026-4 Cl. A5
5.000%—03/25/20561,2
184

⬤
32

Harbor Disciplined Bond ETF
PORTFOLIO OF INVESTMENTS—Continued
Principal Amount, Value, and Cost in Thousands 
Collateralized Mortgage Obligations—Continued
Principal
Amount
 
Value
$85
Series 2025-5 Cl. A5
5.500%—06/25/20551,2
$84
73
Series 2025-7 Cl. A11
5.500%—08/25/20551,2
73
30
Series 2024-5 Cl. A5
6.000%—06/25/20541,2
30
38
Series 2024-6 Cl. A5
6.000%—07/27/20541,2
38
 
 
409
100
SWCH Commercial Mortgage Trust
Series 2025-DATA Cl. A
5.119% (1 Month USD Term SOFR + 1.443%)
02/15/20421,2
99
59
Towd Point Mortgage Trust
Series 2018-3 Cl. A1
3.750%—05/25/20581,2
58
118
Wells Fargo Commercial Mortgage Trust
Series 2026-1250B Cl. A
4.677%—03/10/20411,2
116
104
WHARF Commercial Mortgage Trust
Series 2025-DC Cl. A
5.349%—07/15/20401,2
105
Total Collateralized Mortgage Obligations
(Cost $5,667)
5,657
 
Corporate Bonds & Notes—29.2%
 
 
 
AEROSPACE & DEFENSE—0.3%
Embraer Netherlands Finance BV
28
5.400%—01/09/2038
26
83
5.980%—02/11/2035
85
 
 
111
AUTO COMPONENTS—0.3%
139
Aptiv Swiss Holdings Ltd.
4.150%—05/01/2052
99
AUTOMOBILE COMPONENTS—0.2%
68
Cyprium Corp./Cyprium Holdings Luxembourg SARL
6.125%—04/15/20311
68
AUTOMOBILES—0.5%
200
Ford Motor Credit Co. LLC
6.125%—03/08/2034
199
BANKS—2.3%
115
Bank of America Corp.
5.744%—02/12/20364
115
200
Barclays PLC
5.586%—06/26/20374
195
200
ING Groep NV
6.114%—09/11/20344
208
200
Lloyds Banking Group PLC
6.068%—06/13/20364
202
200
Macquarie Bank Ltd.
5.819%—06/10/20371,4
196
 
 
916
BUILDING PRODUCTS—0.3%
112
Standard Building Solutions, Inc.
5.875%—03/15/20341
108
  
Corporate Bonds & Notes—Continued
Principal
Amount
 
Value
CAPITAL MARKETS—3.9%
$134
Blackstone Holdings Finance Co. LLC
6.200%—04/22/20331
$140
67
Blue Owl Capital Corp.
2.875%—06/11/2028
64
100
Blue Owl Credit Income Corp.
6.600%—09/15/2029
100
86
Blue Owl Technology Finance Corp.
6.500%—10/15/2029
85
165
Brookfield Finance, Inc.
6.300%—01/15/20554
160
107
Golub Capital BDC, Inc.
7.050%—12/05/2028
110
101
Golub Capital Private Credit Fund
5.800%—09/12/2029
100
84
Hercules Capital, Inc.
6.000%—06/16/2030
83
152
KKR Group Finance Co. VI LLC
3.750%—07/01/20291
146
65
Main Street Capital Corp.
6.950%—03/01/2029
67
45
Oaktree Specialty Lending Corp.
2.700%—01/15/2027
45
Sixth Street Lending Partners
50
5.750%—01/15/2030
49
86
6.500%—03/11/2029
87
 
 
136
100
Trinity Capital, Inc.
7.000%—05/21/2031
100
200
UBS Group AG
2.746%—02/11/20331,4
176
 
 
1,512
COMMERCIAL SERVICES & SUPPLIES—1.2%
118
ADT Security Corp.
5.875%—10/15/20331
115
101
GFL Environmental Holdings U.S., Inc.
5.625%—07/01/20311
98
115
Rollins, Inc.
5.250%—02/24/2035
112
184
Triton Container International Ltd./TAL International
Container Corp.
3.250%—03/15/2032
163
 
 
488
CONSTRUCTION MATERIALS—0.2%
75
Standard Industries, Inc.
4.375%—07/15/20301
71
DIVERSIFIED FINANCIAL SERVICES—3.2%
77
Aircastle Ltd.
5.950%—02/15/20291
79
250
Atlas Warehouse Lending Co. LP
6.050%—01/15/20281
253
137
Capital One Financial Corp.
5.884%—07/26/20354
138
149
Charles Schwab Corp.
6.100%—06/01/20314
147
147
GGAM Finance Ltd.
5.875%—03/15/20301
146

⬤
33

Harbor Disciplined Bond ETF
PORTFOLIO OF INVESTMENTS—Continued
Principal Amount, Value, and Cost in Thousands 
Corporate Bonds & Notes—Continued
Principal
Amount
 
Value
DIVERSIFIED FINANCIAL SERVICES—Continued
Macquarie Airfinance Holdings Ltd.
$88
5.150%—03/17/20301
$87
62
6.400%—03/26/20291
64
 
 
151
113
Marex U.K. Holdings Ltd.
6.404%—11/04/2029
115
105
SLM Corp.
6.495%—05/15/20324
105
107
Sumisho Air Lease Corp.
1.875%—08/15/2026
107
 
 
1,241
DIVERSIFIED TELECOMMUNICATION SERVICES—0.8%
76
Black Pearl Compute LLC
6.125%—02/15/20311
76
117
HUT 8 DC LLC
6.192%—11/15/20421
114
113
Verizon Communications, Inc.
6.050%—05/14/20584
111
 
 
301
ELECTRIC UTILITIES—2.5%
105
Berkshire Hathaway Energy Co.
6.125%—04/01/2036
110
158
CMS Energy Corp.
3.750%—12/01/20504
146
58
Dominion Energy, Inc.
6.875%—02/01/20554
59
119
Eversource Energy
6.100%—08/15/20564
118
182
Exelon Corp.
4.450%—04/15/2046
145
79
National Rural Utilities Cooperative Finance Corp.
7.125%—09/15/20534
82
125
New England Power Co.
5.936%—11/25/20521
121
83
NextEra Energy Capital Holdings, Inc.
6.375%—08/15/20554
83
118
NRG Energy, Inc.
6.000%—01/15/20361
115
 
 
979
EQUITY REAL ESTATE INVESTMENT TRUSTS (REITS)—1.2%
83
COPT Defense Properties LP
2.900%—12/01/2033
70
110
EPR Properties
4.750%—11/15/2030
107
73
GLP Capital LP/GLP Financing II, Inc.
4.000%—01/15/2030
70
141
Ladder Capital Finance Holdings LLLP/Ladder
Capital Finance Corp.
5.500%—08/01/2030
141
99
VICI Properties LP
5.750%—04/01/2034
98
 
 
486
FOOD PRODUCTS—0.5%
220
JBS NV/JBS USA Foods Group Holdings, Inc./JBS
USA Food Co. Holdings
3.625%—01/15/2032
202
  
Corporate Bonds & Notes—Continued
Principal
Amount
 
Value
HEALTH CARE PROVIDERS & SERVICES—0.9%
$129
CVS Pass-Through Trust
5.926%—01/10/20341
$130
121
DaVita, Inc.
3.750%—02/15/20311
112
117
Pediatrix Medical Group, Inc.
5.375%—02/15/20301
114
 
 
356
INDUSTRIAL CONGLOMERATES—0.5%
200
Ashtead Capital, Inc.
5.550%—05/30/20331
200
INSURANCE—2.5%
152
Athene Global Funding
5.133%—06/01/20291
152
175
Brown & Brown, Inc.
5.250%—06/23/2032
173
53
Corebridge Financial, Inc.
6.875%—12/01/20304
54
94
Fortitude Global Funding
5.500%—06/12/20311
94
95
Fortitude Group Holdings LLC
6.250%—04/01/20301
97
Global Atlantic Fin Co.
170
3.125%—06/15/20311
151
82
7.950%—06/15/20331
89
 
 
240
211
SBL Holdings, Inc.
5.000%—02/18/20311
188
 
 
998
INTERNET & CATALOG RETAIL—0.5%
184
Beignet Investor LLC
6.581%—05/30/20491
178
26
Sopaipilla Investor LLC
7.534%—11/30/20481
27
 
 
205
IT SERVICES—0.5%
65
Booz Allen Hamilton, Inc.
3.875%—09/01/20281
64
140
Genpact U.K. Finco PLC/Genpact USA, Inc.
4.950%—11/18/2030
137
 
 
201
MEDIA—1.3%
118
Charter Communications Operating LLC/Charter
Communications Operating Capital
6.384%—10/23/2035
115
179
Nexstar Media, Inc.
6.500%—09/15/20331
178
108
Sirius XM Radio LLC
5.875%—04/15/20321
106
116
Space Exploration Technologies Corp.
5.650%—07/15/20331
111
 
 
510
MULTI-UTILITIES—0.2%
91
WEC Energy Group, Inc.
5.625%—05/15/20564
90

⬤
34

Harbor Disciplined Bond ETF
PORTFOLIO OF INVESTMENTS—Continued
Principal Amount, Value, and Cost in Thousands 
Corporate Bonds & Notes—Continued
Principal
Amount
 
Value
OIL, GAS & CONSUMABLE FUELS—1.1%
$23
Columbia Pipelines Operating Co. LLC
5.962%—02/15/20551
$22
ConocoPhillips Co.
17
5.500%—01/15/2055
15
44
5.550%—03/15/2054
41
 
 
56
68
Enbridge, Inc.
5.750%—07/15/20804
68
88
Florida Gas Transmission Co. LLC
5.750%—07/15/20351
89
58
Gulfstream Natural Gas System LLC
5.600%—07/23/20351
58
154
Rio Grande LNG LLC
5.750%—06/30/20361
149
 
 
442
PASSENGER AIRLINES—0.7%
35
Delta Air Lines Pass-Through Trust
2.000%—12/10/2029
33
117
Latam Airlines Group SA
7.625%—01/07/20311
120
136
United Airlines Pass-Through Trust
2.700%—11/01/2033
124
 
 
277
PERSONAL CARE PRODUCTS—0.6%
230
Coty, Inc./HFC Prestige Products, Inc./HFC Prestige
International U.S. LLC
5.600%—01/15/20311
226
PHARMACEUTICALS—0.1%
30
Teva Pharmaceutical Finance Netherlands III BV
3.150%—10/01/2026
30
PROFESSIONAL SERVICES—0.5%
121
KBR, Inc.
4.750%—09/30/20281
119
83
Verisk Analytics, Inc.
5.250%—03/15/2035
81
 
 
200
ROAD & RAIL—0.1%
71
Norfolk Southern Corp.
4.050%—08/15/2052
52
SOFTWARE—0.5%
110
AppLovin Corp.
5.375%—12/01/2031
110
145
Oracle Corp.
3.600%—04/01/2040
101
 
 
211
SPECIALTY RETAIL—1.1%
115
Academy Ltd.
5.875%—05/15/20311
114
39
Group 1 Automotive, Inc.
4.000%—08/15/20281
38
133
Lithia Motors, Inc.
3.875%—06/01/20291
128
34
Macy’s Retail Holdings LLC
7.375%—08/01/20331
35
  
Corporate Bonds & Notes—Continued
Principal
Amount
 
Value
SPECIALTY RETAIL—Continued
Wayfair LLC
$54
7.125%—05/31/20341
$55
40
7.250%—10/31/20291
41
 
 
96
 
 
411
TRADING COMPANIES & DISTRIBUTORS—0.5%
200
Ferguson Finance PLC
4.650%—04/20/20321
194
WIRELESS TELECOMMUNICATION SERVICES—0.2%
58
Rogers Communications, Inc.
7.500%—08/15/2038
64
Total Corporate Bonds & Notes
(Cost $11,523)
11,448
 
Mortgage Pass-Through—27.1%
 
 
 
Federal Home Loan Mortgage Corp.
254

2.000%—12/01/2051
199
1,006

2.500%—02/01/2035-04/01/2052
842
666

3.000%—12/01/2046-07/01/2051
582
260

3.500%—05/01/2033-05/01/2035
252
336

4.000%—06/01/2048-09/01/2050
314
792

4.500%—01/01/2049-05/01/2053
755
417

5.000%—05/01/2054-01/01/2055
408
1,193

5.500%—09/01/2039-10/01/2055
1,202
 
 
4,554
Federal Home Loan Mortgage Corp. REMICS
200
Series 5035 Cl. IJ
2.000%—02/25/2050
23
282
Series 5462
2.000%—05/25/2037
18
263
Series 4997
2.500%—06/25/2046
31
498
Series 5116 Cl. AI
2.500%—08/25/2035
34
250
Series 5347 Cl. AS
2.914% (30 Day USD Average SOFR + 6.530%)
10/25/20532
17
280
Series 5013 Cl. ID
3.000%—09/25/2050
36
232
Series 5158 Cl. BI
3.000%—05/25/2035
17
157
Series 4648 Cl. KI
4.500%—08/15/2044
28
123
Series 4733 Cl. EI
5.000%—07/15/2041
17
185
Series 5530 Cl. CI
5.500%—04/25/2055
39
 
 
260
Federal Home Loan Mortgage Corp. STRIPS
374
Series 414 Cl. C1
1.500%—03/25/2037
19
277
Series 400 Cl. C14
2.000%—07/25/2037
18

⬤
35

Harbor Disciplined Bond ETF
PORTFOLIO OF INVESTMENTS—Continued
Principal Amount, Value, and Cost in Thousands 
Mortgage Pass-Through—Continued
Principal
Amount
 
Value
$428
Series 414 Cl. C2
2.000%—04/25/2037
$25
231
Series 414 Cl. C6
4.000%—04/25/2039
32
 
 
94
Federal National Mortgage Association
296

2.000%—04/01/2051
233
1,526

2.500%—08/01/2035-04/01/2052
1,298
651

3.500%—10/01/2047-04/01/2050
587
600

4.000%—12/01/2047-08/01/2051
555
365

4.500%—07/01/2048-03/01/2050
349
826

5.000%—07/01/2052-09/01/2052
812
407

5.500%—05/01/2055-10/01/2055
408
214

6.000%—05/01/2054-01/01/2056
218
 
 
4,460
Federal National Mortgage Association Interest
STRIPS
399
Series 427 Cl. C55
1.500%—02/25/2037
21
421
Series 429 Cl. C11
1.500%—03/25/2038
19
422
Series 433 Cl. C3
2.000%—08/25/2037
29
337
Series 444 Cl. C2
2.000%—10/25/2037
18
175
Series 435 Cl. C4
3.000%—10/25/2037
12
98
Series 435 Cl. C20
5.000%—05/25/2053
18
 
 
117
Federal National Mortgage Association REMICS
735
Series 2021-67 Cl. AI
1.245%—10/25/20512
53
385
Series 2020-81 Cl. AI
1.500%—11/25/2035
19
 
 
72
Government National Mortgage Association
138

2.000%—02/20/2052
111
467

2.500%—09/20/2051
390
  
Mortgage Pass-Through—Continued
Principal
Amount
 
Value
$120

4.500%—08/20/2048
$115
184

5.000%—10/20/2053
179
155

5.500%—05/20/2053
155
 
 
950
Government National Mortgage Association
REMICS
378
Series 2019-35 Cl. SE
2.330% (1 Month USD Term SOFR + 6.036%)
01/16/20442
14
159
Series 2021-137 Cl. NI
3.000%—08/20/2051
21
190
Series 2018-72 Cl. IC
4.000%—05/20/2045
30
107
Series 2020-146 Cl. IG
5.500%—09/20/2046
17
31
Series 2024-107
6.500%—06/20/2054
5
 
 
87
Total Mortgage Pass-Through
(Cost $10,726)
10,594
 
U.S. Government Obligations—17.0%
 
 
 
U.S. Treasury Bonds
5,423
4.625%—02/15/2046-02/15/2055
4,957
569
4.750%—08/15/2055-02/15/2056
526
79

4.875%—08/15/2045
75
 
 
5,558
197
U.S. Treasury Inflation-Indexed Notes5
1.875%—07/15/2035
190
952
4.125%—05/31/2031-02/15/2036
911
Total U.S. Government Obligations
(Cost $6,920)
6,659
TOTAL INVESTMENTS—98.5%
(Cost $39,006)
38,568
CASH AND OTHER ASSETS, LESS LIABILITIES—1.5%
585
TOTAL NET ASSETS—100.0%
$39,153
 

⬤
36

Harbor Disciplined Bond ETF
PORTFOLIO OF INVESTMENTS—Continued
FAIR VALUE MEASUREMENTS
As of July 31, 2026, the investment in Jimmy Johns Funding LLC (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 July 31, 2026, the aggregate value of these securities was $13,661 or 35% of net assets.
2
Variable or floating rate security; the stated rate represents the rate in effect as of July 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.
3
Step coupon security; the stated rate represents the rate in effect as of July 31, 2026.
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
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
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.

⬤
37

Harbor Dividend Growth Leaders ETF
PORTFOLIO OF INVESTMENTS—July 31, 2026 (Unaudited)
Value and Cost in Thousands
 
 
 
COMMON STOCKS—95.8%
Shares
 
Value
AEROSPACE & DEFENSE—1.3%
8,231
General Electric Co.
$2,964
AIR FREIGHT & LOGISTICS—0.9%
7,012
FedEx Corp.
2,156
BANKS—14.4%
146,299
Banco Bilbao Vizcaya Argentaria SA ADR (Spain)1
4,089
104,535
Bank of America Corp.
6,476
24,206
Citigroup, Inc.
3,206
27,589
East West Bancorp, Inc.
3,614
168,492
KeyCorp
3,806
280,038
Mitsubishi UFJ Financial Group, Inc. ADR (Japan)1
6,287
248,760
Sumitomo Mitsui Financial Group, Inc. ADR (Japan)1
6,438
 
 
33,916
BEVERAGES—2.7%
72,769
Coca-Cola Co.
6,374
BIOTECHNOLOGY—3.6%
9,268
Amgen, Inc.
3,570
37,619
Gilead Sciences, Inc.
4,898
 
 
8,468
BUILDING PRODUCTS—1.5%
7,683
Trane Technologies PLC
3,495
CAPITAL MARKETS—2.8%
3,842
Goldman Sachs Group, Inc.
3,913
46,643
Virtu Financial, Inc. Class A
2,739
 
 
6,652
COMMERCIAL SERVICES & SUPPLIES—2.4%
71,580
Rollins, Inc.
2,718
12,774
Waste Management, Inc.
2,894
 
 
5,612
CONSUMER FINANCE—1.7%
19,877
FirstCash Holdings, Inc.
4,055
CONSUMER STAPLES DISTRIBUTION & RETAIL—2.3%
48,533
Walmart, Inc.
5,397
ELECTRIC UTILITIES—2.4%
65,483
NextEra Energy, Inc.
5,692
ELECTRICAL EQUIPMENT—3.8%
21,126
Regal Rexnord Corp.
4,336
9,572
Rockwell Automation, Inc.
4,595
 
 
8,931
FOOD PRODUCTS—1.2%
25,487
Bunge Global SA
2,707
GROUND TRANSPORTATION—1.6%
73,134
CSX Corp.
3,686
HEALTH CARE PROVIDERS & SERVICES—1.6%
4,330
McKesson Corp.
3,707
HOUSEHOLD DURABLES—1.5%
11,829
Garmin Ltd.
3,475
INDUSTRIAL REITS—1.0%
53,155
Lineage, Inc.
2,252
 
COMMON STOCKS—Continued
Shares
 
Value
INSURANCE—1.1%
10,030
Arthur J Gallagher & Co.
$2,502
IT SERVICES—0.9%
7,683
VeriSign, Inc.
2,228
MACHINERY—8.6%
8,384
Cummins, Inc.
5,317
10,762
ITT, Inc.
2,109
137,062
Mueller Industries, Inc.
9,103
3,872
Parker-Hannifin Corp.
3,781
 
 
20,310
METALS & MINING—1.4%
18,283
Southern Copper Corp. (Peru)
3,340
MULTI-UTILITIES—1.2%
39,967
Dominion Energy, Inc.
2,765
OIL, GAS & CONSUMABLE FUELS—5.6%
100,511
Antero Midstream Corp.
2,208
14,145
Cheniere Energy, Inc.
3,728
101,211
Williams Cos., Inc.
7,241
 
 
13,177
PHARMACEUTICALS—10.1%
8,445
Eli Lilly & Co.
9,702
26,950
Johnson & Johnson
6,908
31,919
Merck & Co., Inc.
4,156
122,064
Pfizer, Inc.
3,053
 
 
23,819
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT—2.8%
16,828
Broadcom, Inc.
6,551
SOFTWARE—4.5%
14,298
Microsoft Corp.
6,645
21,462
Salesforce, Inc.
3,949
 
 
10,594
SPECIALIZED REITS—1.1%
2,619
Equinix, Inc.
2,670
SPECIALTY RETAIL—3.0%
26,431
TJX Cos., Inc.
4,159
12,774
Williams-Sonoma, Inc.
2,921
 
 
7,080
TECHNOLOGY HARDWARE, STORAGE & PERIPHERALS—5.2%
39,510
Apple, Inc.
12,205
TEXTILES, APPAREL & LUXURY GOODS—2.9%
45,271
Tapestry, Inc.
6,898
TRADING COMPANIES & DISTRIBUTORS—0.7%
5,336
Watsco, Inc.
1,650
TOTAL COMMON STOCKS
(Cost $170,328)
225,328
TOTAL INVESTMENTS—95.8%
(Cost $170,328)
225,328
CASH AND OTHER ASSETS, LESS LIABILITIES—4.2%
9,963
TOTAL NET ASSETS—100%
$235,291

⬤
38

Harbor Dividend Growth Leaders ETF
PORTFOLIO OF INVESTMENTS—Continued
 
FAIR VALUE MEASUREMENTS
All investments as of July 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.

 
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.

⬤
39

Harbor Emerging Markets Equity ETF
PORTFOLIO OF INVESTMENTS—July 31, 2026 (Unaudited)
Value and Cost in Thousands
 
 
 
COMMON STOCKS—96.1%
Shares
 
Value
AUTOMOBILES—2.2%
15,000
BYD Co. Ltd. Class H (China)
$180
BANKS—18.9%
29,233
Banco Bradesco SA ADR (Brazil)1
105
481,500
Bank Rakyat Indonesia Persero Tbk. PT (Indonesia)
81
3,830
Grupo Cibest SA ADR (Colombia)1
354
13,000
Grupo Financiero Banorte SAB de CV Class O
(Mexico)
150
6,980
HDFC Bank Ltd. ADR (India)1
167
6,158
ICICI Bank Ltd. ADR (India)1
185
69,000
Industrial & Commercial Bank of China Ltd. Class H
(China)
66
13,790
Itau Unibanco Holding SA ADR (Brazil)1
117
16,500
Kasikornbank PCL (Thailand)
121
3,649
Komercni Banka AS (Czech Republic)
182
 
 
1,528
BEVERAGES—2.0%
50,300
Ambev SA (Brazil)
159
CAPITAL MARKETS—3.1%
27,348
Ninety One Ltd. (South Africa)
75
10,496
XP, Inc. Class A (Brazil)
179
 
 
254
CHEMICALS—2.4%
29,000
PTT Global Chemical PCL (Thailand)
32
2,475
Sociedad Quimica y Minera de Chile SA ADR
(Chile)1
166
 
 
198
ELECTRONIC EQUIPMENT, INSTRUMENTS & COMPONENTS—3.6%
37,000
Hon Hai Precision Industry Co. Ltd. (Taiwan)
287
FINANCIAL SERVICES—2.1%
28,943
FirstRand Ltd. (South Africa)
173
FOOD PRODUCTS—1.9%
186,000
Indofood Sukses Makmur Tbk. PT (Indonesia)
72
37,000
Uni-President Enterprises Corp. (Taiwan)
85
 
 
157
HEALTH CARE PROVIDERS & SERVICES—1.0%
36,800
Sinopharm Group Co. Ltd. Class H (China)
82
HOTELS, RESTAURANTS & LEISURE—3.7%
98,000
TravelSky Technology Ltd. Class H (China)
108
3,881
Yum China Holdings, Inc. (China)
187
 
 
295
INDUSTRIAL CONGLOMERATES—0.6%
499
CJ Corp. (South Korea)
45
INTERACTIVE MEDIA & SERVICES—5.2%
1,518
Baidu, Inc. ADR (China)*,1
169
 
COMMON STOCKS—Continued
Shares
 
Value
INTERACTIVE MEDIA & SERVICES—Continued
4,200
Tencent Holdings Ltd. (China)
$254
 
 
423
MACHINERY—2.3%
45,000
Weichai Power Co. Ltd. Class H (China)
189
METALS & MINING—2.8%
50,000
Jiangxi Copper Co. Ltd. Class H (China)
224
OIL, GAS & CONSUMABLE FUELS—3.3%
88,565
Ecopetrol SA (Colombia)
75
4,523
Petroleo Brasileiro SA - Petrobras ADR (Brazil)1
88
23,300
PTT Exploration & Production PCL (Thailand)
104
 
 
267
PERSONAL CARE PRODUCTS—2.3%
1,415
Cosmax, Inc. (South Korea)
183
PHARMACEUTICALS—0.7%
27,000
Shanghai Fosun Pharmaceutical Group Co. Ltd.
Class H (China)
56
REAL ESTATE MANAGEMENT & DEVELOPMENT—1.1%
23,600
Poly Property Services Co. Ltd. Class H (China)
85
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT—21.3%
18,000
ASE Technology Holding Co. Ltd. (Taiwan)
309
2,613
MediaTek, Inc. (Taiwan)
287
15,000
Taiwan Semiconductor Manufacturing Co. Ltd.
(Taiwan)
1,126
 
 
1,722
TECHNOLOGY HARDWARE, STORAGE & PERIPHERALS—10.9%
60,000
Micro-Star International Co. Ltd. (Taiwan)
264
3,342
Samsung Electronics Co. Ltd. (South Korea)
615
 
 
879
TEXTILES, APPAREL & LUXURY GOODS—2.9%
36,000
Feng TAY Enterprise Co. Ltd. (Taiwan)
76
27,700
Shenzhou International Group Holdings Ltd. (China)
158
 
 
234
TRADING COMPANIES & DISTRIBUTORS—1.8%
14,500
BOC Aviation Ltd. (China)2
143
TOTAL COMMON STOCKS
(Cost $5,688)
7,763
TOTAL INVESTMENTS—96.1%
(Cost $5,688)
7,763
CASH AND OTHER ASSETS, LESS LIABILITIES—3.9%
315
TOTAL NET ASSETS—100%
$8,078
 

⬤
40

Harbor Emerging Markets Equity ETF
PORTFOLIO OF INVESTMENTS—Continued
FAIR VALUE MEASUREMENTS
All investments as of July 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.
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 July 31, 2026, the aggregate value of these securities was $143 or 2% of net assets.
The accompanying notes are an integral part of the Portfolios of Investments.

⬤
41

Harbor Emerging Markets Select ETF
PORTFOLIO OF INVESTMENTS—July 31, 2026 (Unaudited)
Value and Cost in Thousands
 
 
 
COMMON STOCKS—83.1%
Shares
 
Value
AEROSPACE & DEFENSE—3.3%
19,488
Aselsan Elektronik Sanayi Ve Ticaret AS (Turkey)
$140
2,318
Embraer SA ADR (Brazil)1
158
2,395
Theon International PLC (Cyprus)
92
 
 
390
AUTOMOBILE COMPONENTS—1.2%
3,690
Hesai Group ADR (China)*,1
63
1,808
Schaeffler India Ltd. (India)
77
 
 
140
BANKS—10.2%
489
Credicorp Ltd. (Peru)
196
12,984
HDFC Bank Ltd. ADR (India)1
311
8,313
ICICI Bank Ltd. ADR (India)1
249
9,159
National Bank of Greece SA (Greece)
170
19,084
NU Holdings Ltd. Class A (Brazil)*
273
 
 
1,199
BEVERAGES—1.5%
8,950
Eastroc Beverage Group Co. Ltd. Class A (China)
180
BROADLINE RETAIL—4.8%
24,100
Alibaba Group Holding Ltd. (China)
359
109
MercadoLibre, Inc. (Brazil)*
205
 
 
564
CAPITAL MARKETS—4.8%
13,100
Banco BTG Pactual SA (Brazil)
147
4,900
Hong Kong Exchanges & Clearing Ltd. (Hong Kong)
255
5,562
Multi Commodity Exchange of India Ltd. (India)
157
 
 
559
COMMERCIAL SERVICES & SUPPLIES—0.7%
633
HD Hyundai Marine Solution Co. Ltd. Class C (South
Korea)
82
COMMUNICATIONS EQUIPMENT—2.3%
3,000
Accton Technology Corp. (Taiwan)
197
500
Zhongji Innolight Co. Ltd. Class A (China)
67
 
 
264
CONSUMER STAPLES DISTRIBUTION & RETAIL—1.6%
987
PriceSmart, Inc. (United States)
191
ELECTRICAL EQUIPMENT—5.6%
5,200
Contemporary Amperex Technology Co. Ltd. Class A
(China)
305
228
HD Hyundai Electric Co. Ltd. (South Korea)
109
4,100
Sieyuan Electric Co. Ltd. Class A (China)
95
15,900
WEG SA (Brazil)
148
 
 
657
ELECTRONIC EQUIPMENT, INSTRUMENTS & COMPONENTS—2.8%
4,000
Chroma ATE, Inc. (Taiwan)
260
4,300
WUS Printed Circuit Kunshan Co. Ltd. Class A
(China)
66
 
 
326
GROUND TRANSPORTATION—0.6%
7,400
Full Truck Alliance Co. Ltd. ADR (China)1
70
 
COMMON STOCKS—Continued
Shares
 
Value
HEALTH CARE EQUIPMENT & SUPPLIES—0.9%
3,222
APT Medical, Inc. Class A (China)
$109
HOTELS, RESTAURANTS & LEISURE—1.7%
1,514
MakeMyTrip Ltd. (India)*
86
2,500
Trip.com Group Ltd. (China)*
117
 
 
203
HOUSEHOLD DURABLES—2.8%
2,310
Amber Enterprises India Ltd. (India)*
180
25,300
Cury Construtora e Incorporadora SA (Brazil)
150
 
 
330
INDUSTRIAL CONGLOMERATES—1.2%
961
Apar Industries Ltd. (India)*
145
INTERACTIVE MEDIA & SERVICES—4.2%
8,100
Tencent Holdings Ltd. (China)
491
MACHINERY—3.3%
3,076
AIA Engineering Ltd. (India)
147
6,000
Airtac International Group (China)
246
 
 
393
METALS & MINING—1.3%
4,778
Gravita India Ltd. (India)*
81
3,033
Ratnamani Metals & Tubes Ltd. (India)
75
 
 
156
PROFESSIONAL SERVICES—1.5%
21,454
Computer Age Management Services Ltd. (India)
179
REAL ESTATE MANAGEMENT & DEVELOPMENT—1.5%
8,852
Phoenix Mills Ltd. (India)
176
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT—20.5%
1,000
Jentech Precision Industrial Co. Ltd. (Taiwan)
107
1,763
LEENO Industrial, Inc. (South Korea)
79
2,000
MediaTek, Inc. (Taiwan)
220
800
NAURA Technology Group Co. Ltd. Class A (China)
81
536
SK Hynix, Inc. (South Korea)
646
17,000
Taiwan Semiconductor Manufacturing Co. Ltd.
(Taiwan)
1,276
 
 
2,409
SPECIALTY RETAIL—1.0%
3,125,800
Map Aktif Adiperkasa PT (Indonesia)
113
TEXTILES, APPAREL & LUXURY GOODS—1.6%
3,719
Titan Co. Ltd. (India)
190
TRANSPORTATION INFRASTRUCTURE—2.2%
16,190
International Container Terminal Services, Inc.
(Philippines)
255
TOTAL COMMON STOCKS
(Cost $8,016)
9,771
 

⬤
42

Harbor Emerging Markets Select ETF
PORTFOLIO OF INVESTMENTS—Continued
Value and Cost in Thousands 
PREFERRED STOCKS—12.1%
Shares
 
Value
(Cost $609)
TECHNOLOGY HARDWARE, STORAGE & PERIPHERALS—12.1%
10,608
Samsung Electronics Co. Ltd. (South Korea)
$1,421
TOTAL INVESTMENTS—95.2%
(Cost $8,625)
11,192
CASH AND OTHER ASSETS, LESS LIABILITIES—4.8%
561
TOTAL NET ASSETS—100%
$11,753
 
FAIR VALUE MEASUREMENTS
All investments as of July 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.

⬤
43

Harbor Health Care ETF
PORTFOLIO OF INVESTMENTS—July 31, 2026 (Unaudited)
Value and Cost in Thousands
 
 
 
COMMON STOCKS—99.8%
Shares
 
Value
BIOTECHNOLOGY—49.9%
5,079
AbbVie, Inc.
$1,275
7,139
Abivax SA ADR (France)*,1
892
2,430
Alnylam Pharmaceuticals, Inc. *
499
1,001
Argenx SE ADR (Netherlands)*,1
855
23,328
Ascendis Pharma AS (Denmark)*
5,690
16,135
Gilead Sciences, Inc.
2,101
10,513
Insmed, Inc. *
1,037
33,996
Inventiva SACA ADR (France)*,1
152
1,631
Ionis Pharmaceuticals, Inc. *
84
42,415
Legend Biotech Corp. ADR*,1
787
817
Madrigal Pharmaceuticals, Inc. *
382
3,475
Natera, Inc. *
930
7,656
Newamsterdam Pharma Co. NV (Netherlands)*
213
2,546
Oruka Therapeutics, Inc. *
246
1,221
Praxis Precision Medicines, Inc. *
376
7,913
PTC Therapeutics, Inc. *
538
14,039
Relay Therapeutics, Inc. *
264
5,583
Revolution Medicines, Inc. *
1,047
16,680
Rhythm Pharmaceuticals, Inc. *
1,655
15,695
Vaxcyte, Inc. *
849
1,053
Vertex Pharmaceuticals, Inc. *
502
3,362
Xenon Pharmaceuticals, Inc. (Canada)*
211
 
 
20,585
HEALTH CARE EQUIPMENT & SUPPLIES—10.9%
21,166
Boston Scientific Corp. *
989
3,979
Dexcom, Inc. *
332
1,034
IDEXX Laboratories, Inc. *
578
5,226
Insulet Corp. *
864
3,300
Intuitive Surgical, Inc. *
1,166
2,025
IRhythm Holdings, Inc. *
238
987
Penumbra, Inc. *
317
 
 
4,484
 
COMMON STOCKS—Continued
Shares
 
Value
HEALTH CARE PROVIDERS & SERVICES—8.5%
3,634
Cencora, Inc.
$1,131
3,925
Guardant Health, Inc. *
636
974
McKesson Corp.
834
5,146
RadNet, Inc. *
328
1,382
UnitedHealth Group, Inc.
573
 
 
3,502
HEALTH CARE TECHNOLOGY—0.3%
24,267
Sophia Genetics SA (Switzerland)*
137
LIFE SCIENCES TOOLS & SERVICES—3.9%
17,855
Adaptive Biotechnologies Corp. *
403
3,647
Danaher Corp.
711
835
Thermo Fisher Scientific, Inc.
480
 
 
1,594
PHARMACEUTICALS—26.3%
929
Axsome Therapeutics, Inc. *
202
7,455
Eli Lilly & Co.
8,565
5,144
Indivior Pharmaceuticals, Inc. *
206
7,807
Merck & Co., Inc.
1,016
12,780
Novo Nordisk AS ADR (Denmark)1
602
13,424
Viatris, Inc.
236
 
 
10,827
TOTAL COMMON STOCKS
(Cost $34,947)
41,129
TOTAL INVESTMENTS—99.8%
(Cost $34,947)
41,129
CASH AND OTHER ASSETS, LESS LIABILITIES—0.2%
79
TOTAL NET ASSETS—100%
$41,208
 
FAIR VALUE MEASUREMENTS
All investments as of July 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.

⬤
44

Harbor Human Capital Factor US Large Cap ETF
PORTFOLIO OF INVESTMENTS—July 31, 2026 (Unaudited)
Value and Cost in Thousands
 
 
 
COMMON STOCKS—99.5%
Shares
 
Value
AEROSPACE & DEFENSE—2.4%
1,412
Axon Enterprise, Inc. *
$745
17,462
General Electric Co.
6,288
1,297
HEICO Corp. Class A
334
5,079
Honeywell Aerospace, Inc. *
1,050
3,853
Lockheed Martin Corp.
2,245
2,390
Northrop Grumman Corp.
1,296
 
 
11,958
AUTOMOBILE COMPONENTS—0.0%
3,272
Aptiv PLC (Jersey)*
185
1,090
Versigent PLC *
45
 
 
230
AUTOMOBILES—0.2%
79,600
Ford Motor Co.
1,169
BANKS—4.6%
105,477
Bank of America Corp.
6,534
44,967
JPMorgan Chase & Co.
15,819
 
 
22,353
BEVERAGES—0.3%
14,273
Monster Beverage Corp. *
1,376
BIOTECHNOLOGY—1.9%
20,723
AbbVie, Inc.
5,200
1,710
Alnylam Pharmaceuticals, Inc. *
352
6,055
Amgen, Inc.
2,332
1,975
Incyte Corp. *
236
1,778
Natera, Inc. *
476
1,128
Regeneron Pharmaceuticals, Inc.
860
 
 
9,456
BROADLINE RETAIL—6.8%
112,166
Amazon.com, Inc. *
30,462
9,786
eBay, Inc.
1,116
985
MercadoLibre, Inc. (Brazil)*
1,850
 
 
33,428
BUILDING PRODUCTS—0.4%
2,093
Builders FirstSource, Inc. *
139
462
Lennox International, Inc.
192
3,408
Trane Technologies PLC
1,551
 
 
1,882
CAPITAL MARKETS—3.2%
13,046
Blackstone, Inc.
1,667
1,629
Cboe Global Markets, Inc.
505
30,824
Charles Schwab Corp.
3,244
5,555
CME Group, Inc.
1,488
21,158
Morgan Stanley
4,452
1,407
MSCI, Inc.
805
8,475
Nasdaq, Inc.
798
6,409
S&P Global, Inc.
2,640
1,717
Tradeweb Markets, Inc. Class A
173
 
 
15,772
CHEMICALS—0.3%
11,184
Corteva, Inc.
880
4,570
DuPont de Nemours, Inc.
626
 
 
1,506
 
COMMON STOCKS—Continued
Shares
 
Value
COMMUNICATIONS EQUIPMENT—5.3%
35,369
Arista Networks, Inc. *
$6,379
3,975
Ciena Corp. *
1,499
138,076
Cisco Systems, Inc.
16,015
4,962
Motorola Solutions, Inc.
2,162
 
 
26,055
CONSTRUCTION & ENGINEERING—0.3%
2,266
Quanta Services, Inc.
1,512
CONSUMER FINANCE—0.8%
9,260
American Express Co.
3,114
22,305
SoFi Technologies, Inc. *
364
6,130
Synchrony Financial
464
 
 
3,942
CONSUMER STAPLES DISTRIBUTION & RETAIL—1.6%
7,923
Costco Wholesale Corp.
7,542
3,953
Dollar General Corp.
502
 
 
8,044
DIVERSIFIED TELECOMMUNICATION SERVICES—1.0%
107,153
Verizon Communications, Inc.
5,016
ELECTRIC UTILITIES—1.0%
11,394
Constellation Energy Corp.
2,994
12,585
Edison International
923
69,921
PG&E Corp.
1,215
 
 
5,132
ELECTRICAL EQUIPMENT—1.9%
5,937
Eaton Corp. PLC
2,465
19,067
Emerson Electric Co.
2,857
4,174
GE Vernova, Inc.
4,133
 
 
9,455
ELECTRONIC EQUIPMENT, INSTRUMENTS & COMPONENTS—0.4%
5,437
Keysight Technologies, Inc. *
1,735
ENERGY EQUIPMENT & SERVICES—0.2%
24,296
SLB Ltd.
1,205
ENTERTAINMENT—3.6%
154,369
Netflix, Inc. *
11,070
5,818
Spotify Technology SA *
2,908
37,291
Walt Disney Co.
3,587
 
 
17,565
FINANCIAL SERVICES—1.6%
13,533
Mastercard, Inc. Class A
7,756
FOOD PRODUCTS—0.4%
10,574
General Mills, Inc.
378
25,073
Mondelez International, Inc. Class A
1,562
 
 
1,940
GROUND TRANSPORTATION—0.3%
29,189
CSX Corp.
1,471
HEALTH CARE EQUIPMENT & SUPPLIES—1.2%
22,549
Boston Scientific Corp. *
1,054
7,541
Edwards Lifesciences Corp. *
649
5,466
GE HealthCare Technologies, Inc.
372

⬤
45

Harbor Human Capital Factor US Large Cap ETF
PORTFOLIO OF INVESTMENTS—Continued
Value and Cost in Thousands 
COMMON STOCKS—Continued
Shares
 
Value
HEALTH CARE EQUIPMENT & SUPPLIES—Continued
896
Insulet Corp. *
$148
4,509
Intuitive Surgical, Inc. *
1,593
1,796
ResMed, Inc.
379
1,266
STERIS PLC
289
4,231
Stryker Corp.
1,378
 
 
5,862
HOTELS, RESTAURANTS & LEISURE—2.1%
8,552
Airbnb, Inc. Class A*
1,296
18,833
Booking Holdings, Inc.
3,633
11,734
DraftKings, Inc. Class A*
275
2,843
Expedia Group, Inc.
838
4,246
Hilton Worldwide Holdings, Inc.
1,361
4,085
Marriott International, Inc. Class A
1,523
4,944
Royal Caribbean Cruises Ltd.
1,574
 
 
10,500
HOUSEHOLD DURABLES—0.2%
4,853
Dr. Horton, Inc.
695
3,560
PulteGroup, Inc.
450
 
 
1,145
HOUSEHOLD PRODUCTS—1.8%
15,667
Colgate-Palmolive Co.
1,430
6,276
Kimberly-Clark Corp.
686
46,078
Procter & Gamble Co.
6,658
 
 
8,774
INDUSTRIAL CONGLOMERATES—0.5%
8,043
3M Co.
1,418
5,079
Honeywell International, Inc.
1,234
 
 
2,652
INDUSTRIAL REITS—0.9%
28,839
Prologis, Inc.
4,170
INSURANCE—2.3%
3,426
Aon PLC Class A
1,235
5,663
Arch Capital Group Ltd. *
569
4,890
Brown & Brown, Inc.
344
2,463
Cincinnati Financial Corp.
438
4,345
Hartford Insurance Group, Inc.
617
2,693
Loews Corp.
312
201
Markel Group, Inc. *
378
8,609
Marsh & McLennan Cos., Inc.
1,633
9,212
MetLife, Inc.
886
3,783
Principal Financial Group, Inc.
430
9,647
Progressive Corp.
2,040
6,059
Prudential Financial, Inc.
740
2,139
Ryan Specialty Holdings, Inc.
94
3,518
Travelers Cos., Inc.
1,317
 
 
11,033
INTERACTIVE MEDIA & SERVICES—9.6%
72,936
Alphabet, Inc. Class A
25,975
34,853
Meta Platforms, Inc. Class A
19,403
29,386
Pinterest, Inc. Class A*
705
5,557
Reddit, Inc. Class A*
782
 
 
46,865
LIFE SCIENCES TOOLS & SERVICES—0.1%
2,834
IQVIA Holdings, Inc. *
666
  
COMMON STOCKS—Continued
Shares
 
Value
MACHINERY—2.3%
6,747
Caterpillar, Inc.
$5,498
2,247
Cummins, Inc.
1,425
3,672
Deere & Co.
2,176
2,016
Parker-Hannifin Corp.
1,969
 
 
11,068
MEDIA—0.1%
17,788
Trade Desk, Inc. Class A*
321
METALS & MINING—1.1%
51,442
Freeport-McMoRan, Inc.
3,222
8,335
Nucor Corp.
2,144
 
 
5,366
MULTI-UTILITIES—0.7%
12,677
Consolidated Edison, Inc.
1,380
22,461
Sempra
1,989
 
 
3,369
OIL, GAS & CONSUMABLE FUELS—3.1%
49,436
Chevron Corp.
9,730
20,310
Occidental Petroleum Corp.
1,159
15,469
ONEOK, Inc.
1,405
738
Texas Pacific Land Corp.
297
7,503
Valero Energy Corp.
2,348
 
 
14,939
PASSENGER AIRLINES—0.2%
10,556
Delta Air Lines, Inc.
923
PHARMACEUTICALS—5.0%
10,281
Eli Lilly & Co.
11,811
27,365
Johnson & Johnson
7,015
27,633
Merck & Co., Inc.
3,598
66,415
Pfizer, Inc.
1,661
5,320
Zoetis, Inc.
411
 
 
24,496
PROFESSIONAL SERVICES—1.1%
16,135
Automatic Data Processing, Inc.
4,299
2,081
Equifax, Inc.
359
4,132
Jacobs Solutions, Inc.
558
6,409
Mobility Global, Inc. *
131
 
 
5,347
RESIDENTIAL REITS—0.3%
11,140
Equity Residential
740
18,803
Invitation Homes, Inc.
559
 
 
1,299
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT—9.6%
5,145
Credo Technology Group Holding Ltd. *
1,065
44,076
KLA Corp.
8,058
21,181
Lam Research Corp.
6,206
29,553
Marvell Technology, Inc.
5,543
121,977
NVIDIA Corp.
24,487
4,174
Teradyne, Inc.
1,535
 
 
46,894
SOFTWARE—9.9%
7,975
Autodesk, Inc. *
1,868
9,210
Cadence Design Systems, Inc. *
3,132

⬤
46

Harbor Human Capital Factor US Large Cap ETF
PORTFOLIO OF INVESTMENTS—Continued
Value and Cost in Thousands 
COMMON STOCKS—Continued
Shares
 
Value
SOFTWARE—Continued
11,615
Intuit, Inc.
$3,671
55,561
Microsoft Corp.
25,820
35,436
Salesforce, Inc.
6,521
38,878
ServiceNow, Inc. *
4,324
6,735
Synopsys, Inc. *
2,618
8,282
Trimble, Inc. *
469
 
 
48,423
SPECIALIZED REITS—0.4%
10,370
Digital Realty Trust, Inc.
1,955
TECHNOLOGY HARDWARE, STORAGE & PERIPHERALS—6.1%
87,178
Apple, Inc.
26,930
42,739
Hewlett Packard Enterprise Co.
2,047
32,278
HP, Inc.
881
 
 
29,858
TEXTILES, APPAREL & LUXURY GOODS—0.3%
2,743
Amer Sports, Inc. (Finland)*
97
2,124
Lululemon Athletica, Inc. *
252
23,846
NIKE, Inc. Class B
995
 
 
1,344
TOBACCO—1.7%
32,135
Altria Group, Inc.
2,196
  
COMMON STOCKS—Continued
Shares
 
Value
TOBACCO—Continued
30,898
Philip Morris International, Inc.
$5,896
 
 
8,092
TRADING COMPANIES & DISTRIBUTORS—0.4%
935
United Rentals, Inc.
1,009
800
WW Grainger, Inc.
1,106
 
 
2,115
TOTAL COMMON STOCKS
(Cost $352,704)
487,434
 
EXCHANGE-TRADED FUNDS—0.5%
 
 
 
CAPITAL MARKETS—0.5%
29,603
State Street Materials Select Sector SPDR ETF
1,493
23,924
State Street Utilities Select Sector SPDR ETF
1,061
TOTAL EXCHANGE-TRADED FUNDS
(Cost $2,691)
2,554
TOTAL INVESTMENTS—100.0%
(Cost $355,395)
489,988
CASH AND OTHER ASSETS, LESS LIABILITIES—0.0%
216
TOTAL NET ASSETS—100%
$490,204
 
FAIR VALUE MEASUREMENTS
All investments as of July 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.

⬤
47

Harbor Human Capital Factor US Small Cap ETF
PORTFOLIO OF INVESTMENTS—July 31, 2026 (Unaudited)
Value and Cost in Thousands
 
 
 
COMMON STOCKS—98.4%
Shares
 
Value
AUTOMOBILE COMPONENTS—0.3%
25,031
Adient PLC *
$527
BANKS—9.2%
45,642
Atlantic Union Bankshares Corp.
1,937
41,467
Banc of California, Inc.
794
3,117
Bank First Corp.
476
12,750
Bank of Hawaii Corp.
1,019
11,121
Banner Corp.
783
25,783
First Busey Corp.
796
2,457
First Business Financial Services, Inc.
172
32,405
First Financial Bancorp
1,096
19,986
First Merchants Corp.
862
26,780
Hancock Whitney Corp.
2,062
13,536
Hilltop Holdings, Inc.
534
15,227
Independent Bank Corp.
1,276
16,718
International Bancshares Corp.
1,280
5,257
Mercantile Bank Corp.
316
18,192
OceanFirst Financial Corp.
351
8,963
Origin Bancorp, Inc.
491
11,359
Peoples Bancorp, Inc.
473
28,115
Towne Bank
1,066
 
 
15,784
BEVERAGES—0.6%
5,534
Boston Beer Co., Inc. Class A*
1,014
BIOTECHNOLOGY—8.8%
38,309
Abeona Therapeutics, Inc. *
246
46,575
Agios Pharmaceuticals, Inc. *
1,398
33,369
Entrada Therapeutics, Inc. *
227
57,808
Kura Oncology, Inc. *
521
36,388
Kymera Therapeutics, Inc. *
3,762
97,428
Myriad Genetics, Inc. *
279
33,948
REGENXBIO, Inc. *
329
92,720
Sarepta Therapeutics, Inc. *
1,378
53,311
Twist Bioscience Corp. *
4,881
72,355
Ultragenyx Pharmaceutical, Inc. *
1,802
51,449
Vanda Pharmaceuticals, Inc. *
262
 
 
15,085
BUILDING PRODUCTS—2.2%
118,637
Masterbrand, Inc. *
979
79,183
Resideo Technologies, Inc. *
2,716
 
 
3,695
CAPITAL MARKETS—2.7%
23,254
Moelis & Co. Class A
1,560
23,299
Piper Sandler Cos.
1,766
23,177
Virtu Financial, Inc. Class A
1,361
 
 
4,687
CHEMICALS—3.9%
123,685
Chemours Co.
2,055
18,374
HB Fuller Co.
1,016
15,568
Koppers Holdings, Inc.
763
22,400
Sensient Technologies Corp.
2,770
 
 
6,604
COMMERCIAL SERVICES & SUPPLIES—2.9%
5,316
Cimpress PLC (Ireland)*
524
36,872
GEO Group, Inc. *
1,139
27,632
HNI Corp.
1,244
 
COMMON STOCKS—Continued
Shares
 
Value
COMMERCIAL SERVICES & SUPPLIES—Continued
19,024
Interface, Inc.
$652
24,595
MillerKnoll, Inc.
554
43,496
Pitney Bowes, Inc.
762
 
 
4,875
COMMUNICATIONS EQUIPMENT—2.7%
17,528
Calix, Inc. *
629
34,508
Extreme Networks, Inc. *
1,040
16,183
NetScout Systems, Inc. *
658
30,317
Viasat, Inc. *
2,333
 
 
4,660
CONSTRUCTION & ENGINEERING—1.0%
13,880
Granite Construction, Inc.
1,679
CONSUMER FINANCE—1.4%
14,361
Bread Financial Holdings, Inc.
1,552
7,076
Encore Capital Group, Inc. *
666
4,789
LendingTree, Inc. *
153
13,256
Oportun Financial Corp. *
73
 
 
2,444
DIVERSIFIED CONSUMER SERVICES—2.1%
7,479
American Public Education, Inc. *
363
43,894
Coursera, Inc. *
233
9,612
Grand Canyon Education, Inc. *
1,397
39,609
Laureate Education, Inc. *
1,517
 
 
3,510
DIVERSIFIED TELECOMMUNICATION SERVICES—0.7%
5,304
Bandwidth, Inc. Class A*
208
20,490
Iridium Communications, Inc.
970
 
 
1,178
ELECTRIC UTILITIES—0.2%
32,844
Hawaiian Electric Industries, Inc. *
424
ELECTRICAL EQUIPMENT—1.1%
8,775
Powell Industries, Inc.
1,831
ELECTRONIC EQUIPMENT, INSTRUMENTS & COMPONENTS—3.4%
30,242
Arlo Technologies, Inc. *
445
30,539
Avnet, Inc.
2,713
12,685
Daktronics, Inc. *
251
12,591
Itron, Inc. *
1,255
7,724
ScanSource, Inc. *
437
22,916
Vishay Intertechnology, Inc.
784
 
 
5,885
ENERGY EQUIPMENT & SERVICES—3.4%
60,228
Archrock, Inc.
2,154
19,688
Kodiak Gas Services, Inc.
1,156
31,619
Oceaneering International, Inc. *
1,542
19,420
Seadrill Ltd. (Norway)*
871
 
 
5,723
ENTERTAINMENT—0.0%
20,046
Playtika Holding Corp.
80
FINANCIAL SERVICES—2.5%
34,712
Marqeta, Inc. Class A*
603
5,688
Merchants Bancorp
314

⬤
48

Harbor Human Capital Factor US Small Cap ETF
PORTFOLIO OF INVESTMENTS—Continued
Value and Cost in Thousands 
COMMON STOCKS—Continued
Shares
 
Value
FINANCIAL SERVICES—Continued
40,916
Radian Group, Inc.
$1,595
48,252
Remitly Global, Inc. *
1,099
83,612
UWM Holdings Corp.
152
9,486
Walker & Dunlop, Inc.
471
 
 
4,234
GAS UTILITIES—0.3%
3,911
Chesapeake Utilities Corp.
519
GROUND TRANSPORTATION—0.8%
8,519
ArcBest Corp.
1,230
42,581
Hertz Global Holdings, Inc. *
67
 
 
1,297
HEALTH CARE EQUIPMENT & SUPPLIES—2.3%
42,408
AtriCure, Inc. *
1,601
28,108
Bioventus, Inc. Class A*
370
26,439
CONMED Corp.
1,224
15,657
Kestra Medical Technologies Ltd. *
358
11,542
Omnicell, Inc. *
408
 
 
3,961
HEALTH CARE PROVIDERS & SERVICES—1.3%
55,457
Aveanna Healthcare Holdings, Inc. *
521
31,765
Castle Biosciences, Inc. *
889
33,671
Privia Health Group, Inc. *
797
 
 
2,207
HEALTH CARE TECHNOLOGY—0.4%
32,306
Evolent Health, Inc. Class A*
100
68,239
GoodRx Holdings, Inc. Class A*
209
16,049
Schrodinger, Inc. *
243
4,691
Simulations Plus, Inc. *
86
 
 
638
HOTEL & RESORT REITS—1.5%
153,684
Apple Hospitality REIT, Inc.
2,537
HOTELS, RESTAURANTS & LEISURE—2.0%
25,751
First Watch Restaurant Group, Inc. *
331
54,707
Genius Sports Ltd. (United Kingdom)*
379
57,183
Global Business Travel Group I *
540
112,881
Sabre Corp. *
209
25,354
Travel & Leisure Co.
1,927
 
 
3,386
HOUSEHOLD DURABLES—0.6%
13,552
Beazer Homes USA, Inc. *
435
11,949
LGI Homes, Inc. *
652
 
 
1,087
HOUSEHOLD PRODUCTS—0.5%
39,001
Energizer Holdings, Inc.
818
INDEPENDENT POWER PRODUCERS & ENERGY TRADERS—0.4%
15,134
Clearway Energy, Inc. Class C
480
13,983
XPLR Infrastructure LP *
167
 
 
647
INSURANCE—2.6%
2,785
American Integrity Insurance Group, Inc.
57
27,340
Baldwin Insurance Group, Inc. *
758
  
COMMON STOCKS—Continued
Shares
 
Value
INSURANCE—Continued
28,029
CNO Financial Group, Inc.
$1,544
11,542
F&G Annuities & Life, Inc.
330
117,344
Genworth Financial, Inc. *
1,153
20,497
Kemper Corp.
582
 
 
4,424
INTERACTIVE MEDIA & SERVICES—1.4%
23,552
Cargurus, Inc. *
854
22,672
Taboola.com Ltd. (Israel)*
114
50,069
TripAdvisor, Inc. *
709
11,742
Ziff Davis, Inc. *
623
12,511
ZipRecruiter, Inc. Class A*
49
 
 
2,349
IT SERVICES—0.4%
14,734
Globant SA *
539
15,798
Grid Dynamics Holdings, Inc. *
109
11,338
Hackett Group, Inc.
122
 
 
770
LEISURE PRODUCTS—1.6%
76,381
Callaway Golf Co. *
1,410
26,559
YETI Holdings, Inc. *
1,300
 
 
2,710
MACHINERY—0.4%
4,130
Hyster-Yale, Inc.
138
10,311
Worthington Enterprises, Inc.
580
 
 
718
MEDIA—1.2%
6,956
AMC Global Media, Inc. *
78
45,231
DoubleVerify Holdings, Inc. *
509
16,284
John Wiley & Sons, Inc. Class A
850
35,633
Magnite, Inc. *
687
 
 
2,124
METALS & MINING—1.2%
40,492
Ryerson Holding Corp.
1,125
26,655
Worthington Steel, Inc.
960
 
 
2,085
MORTGAGE REAL ESTATE INVESTMENT TRUSTS (REITS)—0.5%
170,307
Arbor Realty Trust, Inc.
853
MULTI-UTILITIES—1.0%
12,947
Black Hills Corp.
922
10,526
Northwestern Energy Group, Inc.
724
 
 
1,646
OIL, GAS & CONSUMABLE FUELS—2.8%
408,997
Kosmos Energy Ltd. (Ghana)*
1,100
108,933
Magnolia Oil & Gas Corp. Class A
2,801
20,836
World Kinect Corp.
830
 
 
4,731
PAPER & FOREST PRODUCTS—0.3%
12,380
Sylvamo Corp.
463
PASSENGER AIRLINES—1.5%
5,203
Allegiant Travel Co. *
510
10,031
Copa Holdings SA Class A (Panama)
1,417

⬤
49

Harbor Human Capital Factor US Small Cap ETF
PORTFOLIO OF INVESTMENTS—Continued
Value and Cost in Thousands 
COMMON STOCKS—Continued
Shares
 
Value
PASSENGER AIRLINES—Continued
97,237
JetBlue Airways Corp. *
$586
 
 
2,513
PHARMACEUTICALS—3.8%
24,561
Collegium Pharmaceutical, Inc. *
869
16,293
LENZ Therapeutics, Inc. *
86
214,756
Organon & Co.
2,910
25,203
Phibro Animal Health Corp. Class A
916
29,628
Tarsus Pharmaceuticals, Inc. *
1,749
 
 
6,530
PROFESSIONAL SERVICES—3.6%
11,082
Concentrix Corp.
273
17,651
First Advantage Corp. *
350
7,103
Huron Consulting Group, Inc. *
1,078
3,790
Innodata, Inc. *
238
14,442
Insperity, Inc.
731
6,528
Kforce, Inc.
370
37,359
Legalzoom.com, Inc. *
294
17,430
ManpowerGroup, Inc.
914
35,215
Robert Half, Inc.
1,331
6,434
TaskUS, Inc. Class A (Philippines)
39
49,996
Upwork, Inc. *
458
 
 
6,076
REAL ESTATE MANAGEMENT & DEVELOPMENT—0.1%
34,852
AGNT, Inc.
141
6,015
RE/MAX Holdings, Inc. Class A*
55
 
 
196
RESIDENTIAL REITS—0.4%
11,741
Centerspace
644
RETAIL REITS—3.2%
57,239
InvenTrust Properties Corp.
2,027
79,125
Phillips Edison & Co., Inc.
3,362
 
 
5,389
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT—1.6%
8,807
Silicon Laboratories, Inc. *
1,915
7,450
Synaptics, Inc. *
800
 
 
2,715
SOFTWARE—7.5%
17,322
Alkami Technology, Inc. *
315
26,530
Amplitude, Inc. Class A*
236
29,238
Asana, Inc. Class A*
243
12,105
Blackbaud, Inc. *
518
38,354
Box, Inc. Class A*
1,210
26,390
Braze, Inc. Class A*
658
19,412
Dolby Laboratories, Inc. Class A
1,142
  
COMMON STOCKS—Continued
Shares
 
Value
SOFTWARE—Continued
5,982
EverCommerce, Inc. *
$74
19,678
JFrog Ltd. (Israel)*
1,570
25,504
N-able, Inc. *
119
27,110
nCino, Inc. *
500
9,250
OneSpan, Inc.
143
23,714
PagerDuty, Inc. *
251
24,647
Porch Group, Inc. *
356
11,889
Progress Software Corp. *
483
20,150
RingCentral, Inc. Class A
1,121
11,452
SPS Commerce, Inc. *
841
32,421
Tenable Holdings, Inc. *
1,058
20,244
Teradata Corp. *
627
18,590
Vertex, Inc. Class A*
240
16,897
Workiva, Inc. *
1,010
29,465
Yext, Inc. *
161
 
 
12,876
SPECIALTY RETAIL—1.1%
8,019
Asbury Automotive Group, Inc. *
1,858
TEXTILES, APPAREL & LUXURY GOODS—0.8%
55,385
Levi Strauss & Co. Class A
1,358
TRADING COMPANIES & DISTRIBUTORS—1.8%
5,820
DXP Enterprises, Inc. *
914
12,488
GATX Corp.
2,234
 
 
3,148
WATER UTILITIES—0.4%
6,313
American States Water Co.
540
2,980
Middlesex Water Co.
171
 
 
711
TOTAL COMMON STOCKS
(Cost $142,394)
167,903
 
EXCHANGE-TRADED FUNDS—1.6%
 
 
 
CAPITAL MARKETS—1.6%
23,629
Invesco S&P SmallCap Energy ETF
1,363
7,659
Invesco S&P SmallCap Financials ETF
513
10,008
Invesco S&P SmallCap Health Care ETF
534
3,567
Invesco S&P SmallCap Materials ETF
343
TOTAL EXCHANGE-TRADED FUNDS
(Cost $2,459)
2,753
TOTAL INVESTMENTS—100.0%
(Cost $144,853)
170,656
CASH AND OTHER ASSETS, LESS LIABILITIES—(0.0)%
(35
)
TOTAL NET ASSETS—100%
$170,621
  

⬤
50

Harbor Human Capital Factor US Small Cap ETF
PORTFOLIO OF INVESTMENTS—Continued
AFFILIATED TRANSACTIONS
Certain of the Fund’s investments are considered to be affiliates because the Fund owned more than 5% of the outstanding voting shares of the company during the
period November 1, 2025 through July 31, 2026. Transactions during the period in securities of these companies were as follows:
Security Name
Beginning
Balance
as of
11/01/2025
(000s)
Purchases
(000s)
Sales
(000s)
Net
Realized
Gain/(Loss)
(000s)
Change in
Unrealized
Appreciation/
(Depreciation)
(000s)
Net
Dividend
Income
(000s)
Ending
Balance
as of
07/31/2026
(000s)
Invesco S&P SmallCap Energy ETF
$4,774
$2,895
$(7,232)
$565
$361
$41
$1,363
Invesco S&P SmallCap Financials ETF
1,722
1,151
(2,591)
101
130
15
513
Invesco S&P SmallCap Materials ETF
—
1,914
(1,572)
24
(23)
5
343
Invesco S&P SmallCap Utilities & Communication Services ETF
982
523
(1,499)
52
(58)
3
—
Total
$7,478
$6,483
$(12,894)
$742
$410
$64
$2,219
FAIR VALUE MEASUREMENTS
All investments as of July 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.

⬤
51

Harbor International Compounders ETF
PORTFOLIO OF INVESTMENTS—July 31, 2026 (Unaudited)
Value and Cost in Thousands
 
 
 
COMMON STOCKS—98.8%
Shares
 
Value
AEROSPACE & DEFENSE—2.6%
9,406
Rheinmetall AG (Germany)
$12,365
BANKS—7.4%
19,985,000
Bank Central Asia Tbk. PT (Indonesia)
7,025
722,331
HDFC Bank Ltd. ADR (India)1
17,285
783,824
NU Holdings Ltd. Class A (Brazil)*
11,232
 
 
35,542
BROADLINE RETAIL—7.9%
577,400
Alibaba Group Holding Ltd. (China)
8,614
7,140
MercadoLibre, Inc. (Brazil)*
13,409
348,918
Prosus NV (China)
16,080
 
 
38,103
BUILDING PRODUCTS—3.4%
447,757
Assa Abloy AB Class B (Sweden)
16,604
CAPITAL MARKETS—3.8%
60,746
Deutsche Boerse AG (Germany)
18,374
CHEMICALS—3.1%
31,681
Linde PLC (United States)
15,156
CONSTRUCTION & ENGINEERING—2.4%
82,703
Vinci SA (France)
11,687
CONSTRUCTION MATERIALS—1.7%
43,755
Heidelberg Materials AG (Germany)
8,123
CONSUMER STAPLES DISTRIBUTION & RETAIL—3.4%
2,465,630
Tesco PLC (United Kingdom)
16,266
ELECTRIC UTILITIES—3.3%
499,101
SSE PLC (United Kingdom)
15,781
ELECTRICAL EQUIPMENT—8.0%
234,500
Contemporary Amperex Technology Co. Ltd. Class H
(China)
18,614
59,630
Schneider Electric SE (France)
19,913
 
 
38,527
ELECTRONIC EQUIPMENT, INSTRUMENTS & COMPONENTS—3.0%
28,900
Keyence Corp. (Japan)
14,740
FOOD PRODUCTS—3.3%
158,425
Nestle SA (United States)
15,875
 
COMMON STOCKS—Continued
Shares
 
Value
HEALTH CARE EQUIPMENT & SUPPLIES—4.2%
131,800
Hoya Corp. (Japan)
$20,440
HOTELS, RESTAURANTS & LEISURE—2.8%
434,463
Compass Group PLC (United Kingdom)
13,777
INDUSTRIAL CONGLOMERATES—4.8%
70,901
Siemens AG (Germany)
23,109
INSURANCE—3.9%
1,868,800
AIA Group Ltd. (Hong Kong)
18,885
PERSONAL CARE PRODUCTS—2.9%
31,086
L’Oreal SA (France)
13,871
PHARMACEUTICALS—7.2%
113,104
AstraZeneca PLC (United Kingdom)
19,256
71,943
Galderma Group AG (Switzerland)
15,640
 
 
34,896
PROFESSIONAL SERVICES—2.8%
382,138
RELX PLC (United Kingdom)
13,427
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT—12.1%
16,308
ASML Holding NV (Netherlands)
26,971
78,265
Taiwan Semiconductor Manufacturing Co. Ltd. ADR
(Taiwan)1
31,639
 
 
58,610
SOFTWARE—3.4%
91,741
SAP SE (Germany)
16,681
TECHNOLOGY HARDWARE, STORAGE & PERIPHERALS—1.4%
1,864,800
Xiaomi Corp. Class B (China)*,2
6,843
TOTAL COMMON STOCKS
(Cost $435,649)
477,682
TOTAL INVESTMENTS—98.8%
(Cost $435,649)
477,682
CASH AND OTHER ASSETS, LESS LIABILITIES—1.2%
5,673
TOTAL NET ASSETS—100%
$483,355
 
FAIR VALUE MEASUREMENTS
All investments as of July 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.
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 July 31, 2026, the aggregate value of these securities was $6,843 or 1% of net assets.
The accompanying notes are an integral part of the Portfolios of Investments.

⬤
52

Harbor International Equity ETF
PORTFOLIO OF INVESTMENTS—July 31, 2026 (Unaudited)
Value and Cost in Thousands
 
 
 
COMMON STOCKS—96.4%
Shares
 
Value
AEROSPACE & DEFENSE—11.5%
5,736
BAE Systems PLC (United Kingdom)
$162
4,490
CAE, Inc. (Canada)*
116
2,689
Leonardo SpA (Italy)
171
17,074
Melrose Industries PLC (United Kingdom)
105
356
MTU Aero Engines AG (Germany)
148
467
Safran SA (France)
182
 
 
884
AUTOMOBILE COMPONENTS—2.5%
1,224
Aumovio SE (Germany)*
56
852
Continental AG (Germany)
71
5,100
Denso Corp. (Japan)
63
 
 
190
AUTOMOBILES—0.9%
5,500
BYD Co. Ltd. Class H (China)
66
BANKS—16.0%
14,784
Banco Bradesco SA ADR (Brazil)1
53
34,422
Barclays PLC (United Kingdom)
236
3,000
DBS Group Holdings Ltd. (Singapore)
173
3,625
DNB Bank ASA (Norway)
117
1,807
Erste Group Bank AG (Austria)
235
1,793
Grupo Cibest SA ADR (Colombia)1
166
9,900
Grupo Financiero Banorte SAB de CV Class O
(Mexico)
114
2,024
HDFC Bank Ltd. ADR (India)1
48
3,197
ICICI Bank Ltd. ADR (India)1
96
 
 
1,238
BEVERAGES—3.6%
27,800
Ambev SA (Brazil)
88
4,293
Diageo PLC (United Kingdom)
94
1,024
Heineken NV (Netherlands)
93
 
 
275
CAPITAL MARKETS—1.3%
1,185
Julius Baer Group Ltd. (Switzerland)
104
CHEMICALS—4.5%
2,700
Nippon Sanso Holdings Corp. (Japan)
98
1,528
Sociedad Quimica y Minera de Chile SA ADR
(Chile)1
102
1,680
Syensqo SA (Belgium)
149
 
 
349
ELECTRICAL EQUIPMENT—2.7%
1,486
Prysmian SpA (Italy)
206
ELECTRONIC EQUIPMENT, INSTRUMENTS & COMPONENTS—3.8%
1,291
Halma PLC (United Kingdom)
61
10,000
Hon Hai Precision Industry Co. Ltd. (Taiwan)
78
3,400
Murata Manufacturing Co. Ltd. (Japan)
158
 
 
297
GROUND TRANSPORTATION—1.7%
1,021
Canadian National Railway Co. (Canada)
130
HEALTH CARE EQUIPMENT & SUPPLIES—0.9%
1,565
Siemens Healthineers AG (Germany)2
66
 
COMMON STOCKS—Continued
Shares
 
Value
HOTELS, RESTAURANTS & LEISURE—5.6%
1,851
Amadeus IT Group SA (Spain)
$114
3,513
Carnival Corp. Ltd. (United States)
98
12,301
Entain PLC (United Kingdom)
90
36,000
TravelSky Technology Ltd. Class H (China)
39
2,000
Yum China Holdings, Inc. (China)
95
 
 
436
INDUSTRIAL CONGLOMERATES—2.2%
5,100
Hitachi Ltd. (Japan)
169
INSURANCE—1.5%
12,000
China Life Insurance Co. Ltd. Class H (China)
45
187
Everest Group Ltd. (United States)
70
 
 
115
INTERACTIVE MEDIA & SERVICES—1.0%
673
Baidu, Inc. ADR (China)*,1
75
IT SERVICES—0.7%
483
Capgemini SE (France)
57
LIFE SCIENCES TOOLS & SERVICES—4.6%
1,100
Eurofins Scientific SE (France)
86
810
ICON PLC (United States)*
133
201
Lonza Group AG (Switzerland)
140
 
 
359
METALS & MINING—2.5%
11,160
Norsk Hydro ASA (Norway)
102
937
Rio Tinto PLC ADR (Australia)1
91
 
 
193
OIL, GAS & CONSUMABLE FUELS—4.4%
2,771
Equinor ASA ADR (Norway)1
114
4,922
Petroleo Brasileiro SA - Petrobras ADR (Brazil)1
96
2,783
Shell PLC (United States)
127
 
 
337
PHARMACEUTICALS—3.4%
457
Merck KGaA (Germany)
75
627
Novartis AG ADR (United States)1
98
198
Roche Holding AG (United States)
87
 
 
260
PROFESSIONAL SERVICES—1.5%
3,228
RELX PLC (United Kingdom)
114
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT—15.7%
13,000
ASE Technology Holding Co. Ltd. (Taiwan)
223
150
ASML Holding NV (Netherlands)
248
2,000
MediaTek, Inc. (Taiwan)
220
6,800
SUMCO Corp. (Japan)
144
5,000
Taiwan Semiconductor Manufacturing Co. Ltd.
(Taiwan)
375
 
 
1,210
SOFTWARE—0.8%
508
Check Point Software Technologies Ltd. (Israel)*
65

⬤
53

Harbor International Equity ETF
PORTFOLIO OF INVESTMENTS—Continued
Value and Cost in Thousands 
COMMON STOCKS—Continued
Shares
 
Value
TECHNOLOGY HARDWARE, STORAGE & PERIPHERALS—3.1%
1,314
Samsung Electronics Co. Ltd. (South Korea)
$242
TOTAL COMMON STOCKS
(Cost $5,762)
7,437
TOTAL INVESTMENTS—96.4%
(Cost $5,762)
7,437
CASH AND OTHER ASSETS, LESS LIABILITIES—3.6%
276
TOTAL NET ASSETS—100%
$7,713
 
FAIR VALUE MEASUREMENTS
All investments as of July 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.
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 July 31, 2026, the aggregate value of these securities was $66 or 1% of net assets.
The accompanying notes are an integral part of the Portfolios of Investments.

⬤
54

Harbor Long-Short Equity ETF
PORTFOLIO OF INVESTMENTS—July 31, 2026 (Unaudited)
Value and Cost in Thousands
 
 
 
COMMON STOCKS—121.0%
Shares
 
Value
AEROSPACE & DEFENSE—2.1%
848
ATI, Inc. *,1
$159
307
Carpenter Technology Corp. 1
160
 
 
319
AIR FREIGHT & LOGISTICS—0.7%
680
Expeditors International of Washington, Inc. 1
114
BIOTECHNOLOGY—3.8%
2,087
Exelixis, Inc. *
111
1,431
Halozyme Therapeutics, Inc. *
118
992
Incyte Corp. *,1
119
460
Natera, Inc. *,1
123
661
Neurocrine Biosciences, Inc. *,1
110
 
 
581
BROADLINE RETAIL—2.7%
175
Dillard’s, Inc. Class A1
103
1,659
eBay, Inc. 1
189
1,456
Etsy, Inc. *,1
119
 
 
411
CAPITAL MARKETS—0.8%
465
FactSet Research Systems, Inc. 1
122
CHEMICALS—1.7%
1,441
Corteva, Inc. 1
113
15,571
Huntsman Corp.
152
 
 
265
CONSUMER STAPLES DISTRIBUTION & RETAIL—5.4%
233
Casey’s General Stores, Inc. 1
203
932
Dollar General Corp. 1
118
1,064
Performance Food Group Co. *,1
122
983
Target Corp. 1
142
2,463
U.S. Foods Holding Corp. *,1
248
 
 
833
CONTAINERS & PACKAGING—0.8%
1,034
Crown Holdings, Inc. 1
122
DIVERSIFIED TELECOMMUNICATION SERVICES—5.3%
1,302
Globalstar, Inc. *,1
108
4,386
Iridium Communications, Inc. 1
208
37,271
Liberty Global Ltd. Class A (Belgium)*,1
395
2,149
Verizon Communications, Inc. 1
101
 
 
812
ELECTRIC UTILITIES—4.6%
1,542
Edison International 1
113
1,302
Evergy, Inc. 1
108
21,890
PG&E Corp. 1
380
1,065
Pinnacle West Capital Corp. 1
108
 
 
709
ELECTRONIC EQUIPMENT, INSTRUMENTS & COMPONENTS—2.3%
576
Arrow Electronics, Inc. *,1
125
325
Jabil, Inc. 1
102
479
TD SYNNEX Corp. 1
123
 
 
350
ENERGY EQUIPMENT & SERVICES—1.5%
3,272
TechnipFMC PLC (United Kingdom)1
235
 
COMMON STOCKS—Continued
Shares
 
Value
ENTERTAINMENT—1.1%
1,137
Roku, Inc. *,1
$165
GAS UTILITIES—1.9%
4,883
MDU Resources Group, Inc. 1
97
5,387
UGI Corp. 1
195
 
 
292
GROUND TRANSPORTATION—3.2%
2,393
CSX Corp. 1
121
467
JB Hunt Transport Services, Inc. 1
127
1,687
Knight-Swift Transportation Holdings, Inc. 1
117
3,598
Schneider National, Inc. Class B1
128
 
 
493
HEALTH CARE EQUIPMENT & SUPPLIES—0.8%
4,578
Envista Holdings Corp. *,1
125
HEALTH CARE PROVIDERS & SERVICES—7.0%
468
Cardinal Health, Inc. 1
108
1,827
Centene Corp. *,1
114
1,171
CVS Health Corp. 1
122
760
DaVita, Inc. *,1
182
838
Guardant Health, Inc. *,1
136
128
McKesson Corp. 1
110
637
Quest Diagnostics, Inc. 1
148
573
Tenet Healthcare Corp. *,1
146
 
 
1,066
HEALTH CARE TECHNOLOGY—2.9%
14,749
Doximity, Inc. Class A*
308
650
Veeva Systems, Inc. Class A*,1
133
 
 
441
HOTELS, RESTAURANTS & LEISURE—7.7%
2,044
Aramark 1
116
480
Expedia Group, Inc. 1
141
536
Hilton Worldwide Holdings, Inc. 1
172
587
Hyatt Hotels Corp. Class A1
102
480
Marriott International, Inc. Class A1
179
1,136
Starbucks Corp.
120
1,594
Travel & Leisure Co. 1
121
2,153
Viking Holdings Ltd. *,1
225
 
 
1,176
INTERACTIVE MEDIA & SERVICES—0.8%
5,356
Pinterest, Inc. Class A*,1
129
IT SERVICES—0.8%
588
Twilio, Inc. Class A*,1
116
LIFE SCIENCES TOOLS & SERVICES—7.2%
6,914
10X Genomics, Inc. Class A*
327
27,960
Avantor, Inc. *
385
614
Charles River Laboratories International, Inc. *
143
612
Illumina, Inc. *,1
125
340
West Pharmaceutical Services, Inc. 1
116
 
 
1,096
MEDIA—1.5%
1,571
New York Times Co. Class A1
118
3,655
Sirius XM Holdings, Inc. 1
108
 
 
226

⬤
55

Harbor Long-Short Equity ETF
PORTFOLIO OF INVESTMENTS—Continued
Value and Cost in Thousands 
COMMON STOCKS—Continued
Shares
 
Value
METALS & MINING—16.1%
3,650
Anglogold Ashanti PLC (United Kingdom)1
$289
4,017
Aura Minerals, Inc.
219
20,068
First Majestic Silver Corp. (Canada)
302
5,598
Freeport-McMoRan, Inc. 1
350
26,413
Hecla Mining Co.
373
3,232
Newmont Corp. 1
303
483
Nucor Corp. 1
124
290
Reliance, Inc. 1
118
1,400
Southern Copper Corp. (Peru)
256
540
Steel Dynamics, Inc. 1
136
 
 
2,470
OIL, GAS & CONSUMABLE FUELS—7.8%
14,561
Antero Midstream Corp. 1
320
1,333
HF Sinclair Corp.
122
690
Marathon Petroleum Corp. 1
218
627
Phillips 66 1
133
459
Targa Resources Corp. 1
124
879
Valero Energy Corp. 1
275
 
 
1,192
PASSENGER AIRLINES—0.9%
1,535
Delta Air Lines, Inc. 1
134
PHARMACEUTICALS—8.9%
2,007
Bristol-Myers Squibb Co. 1
131
5,649
Elanco Animal Health, Inc. *
149
92
Eli Lilly & Co. 1
106
637
Jazz Pharmaceuticals PLC *,1
161
1,018
Johnson & Johnson 1
261
2,944
Royalty Pharma PLC Class A1
172
21,853
Viatris, Inc.
384
 
 
1,364
SOFTWARE—9.2%
699
Appfolio, Inc. Class A*
126
2,717
Bill Holdings, Inc. *,1
123
637
Crowdstrike Holdings, Inc. Class A*,1
121
  
COMMON STOCKS—Continued
Shares
 
Value
SOFTWARE—Continued
479
Datadog, Inc. Class A*,1
$128
2,463
Docusign, Inc. *,1
135
4,171
Dropbox, Inc. Class A*,1
136
1,896
Elastic NV *,1
125
845
Fortinet, Inc. *,1
137
382
Palo Alto Networks, Inc. *,1
127
681
Salesforce, Inc. 1
125
3,944
Unity Software, Inc. *,1
125
 
 
1,408
SPECIALTY RETAIL—8.1%
5,398
Bath & Body Works, Inc. 1
109
331
Burlington Stores, Inc. *,1
122
2,102
CarMax, Inc. *,1
120
15,341
Gap, Inc. 1
308
199
Murphy USA, Inc. 1
121
744
Ross Stores, Inc. 1
187
760
TJX Cos., Inc. 1
119
642
Williams-Sonoma, Inc. 1
147
 
 
1,233
TECHNOLOGY HARDWARE, STORAGE & PERIPHERALS—2.4%
279
Dell Technologies, Inc. Class C1
113
2,548
Hewlett Packard Enterprise Co. 1
122
705
NetApp, Inc. 1
126
 
 
361
WIRELESS TELECOMMUNICATION SERVICES—1.0%
1,677
Millicom International Cellular SA (Sweden)
160
TOTAL COMMON STOCKS
(Cost $16,167)
18,520
TOTAL INVESTMENTS—121.0%
(Cost $16,167)
18,520
CASH AND OTHER ASSETS, LESS LIABILITIES—(21.0)%
(3,216
)
TOTAL NET ASSETS—100%
$15,304
 
INVESTMENTS SOLD SHORT
 
COMMON STOCKS—(73.2)%
Shares
 
Value
BIOTECHNOLOGY—(2.1)%
(1,592
)
Alnylam Pharmaceuticals, Inc. *
$(327
)
BROADLINE RETAIL—(4.0)%
(1,366
)
Amazon.com, Inc. *
(371
)
(3,352
)
Ollie’s Bargain Outlet Holdings, Inc. *
(246
)
 
 
(617
)
CHEMICALS—(2.1)%
(14,328
)
Mosaic Co.
(317
)
COMMUNICATIONS EQUIPMENT—(4.5)%
(3,650
)
Applied Optoelectronics, Inc. *
(344
)
(475
)
Lumentum Holdings, Inc. *
(339
)
 
 
(683
)
 
COMMON STOCKS—Continued
Shares
 
Value
DIVERSIFIED TELECOMMUNICATION SERVICES—(3.7)%
(5,721
)
AST SpaceMobile, Inc. *
$(338
)
(2,134
)
Space Exploration Technologies Corp. Class A*
(231
)
 
 
(569
)
ELECTRIC UTILITIES—(1.6)%
(960
)
Constellation Energy Corp.
(252
)
ELECTRONIC EQUIPMENT, INSTRUMENTS & COMPONENTS—(8.8)%
(1,203
)
Advanced Energy Industries, Inc.
(348
)
(1,319
)
Coherent Corp. *
(347
)
(2,420
)
Corning, Inc.
(334
)
(746
)
Fabrinet (Thailand)*
(325
)
 
 
(1,354
)

⬤
56

Harbor Long-Short Equity ETF
PORTFOLIO OF INVESTMENTS—Continued
Value and Cost in Thousands 
COMMON STOCKS—Continued
Shares
 
Value
ENTERTAINMENT—(1.1)%
(4,787
)
ROBLOX Corp. Class A*
$(170
)
HEALTH CARE EQUIPMENT & SUPPLIES—(3.2)%
(5,429
)
Inspire Medical Systems, Inc. *
(273
)
(612
)
Intuitive Surgical, Inc. *
(216
)
 
 
(489
)
HOTELS, RESTAURANTS & LEISURE—(4.5)%
(1,712
)
DoorDash, Inc. Class A*
(336
)
(18,720
)
Norwegian Cruise Line Holdings Ltd. *
(347
)
 
 
(683
)
INTERACTIVE MEDIA & SERVICES—(1.6)%
(450
)
Meta Platforms, Inc. Class A
(251
)
IT SERVICES—(4.5)%
(13,325
)
Applied Digital Corp. *
(365
)
(4,412
)
CoreWeave, Inc. Class A*
(317
)
 
 
(682
)
LIFE SCIENCES TOOLS & SERVICES—(2.1)%
(853
)
Waters Corp. *
(322
)
MEDIA—(3.3)%
(1,757
)
Charter Communications, Inc. Class A*
(255
)
(13,506
)
Trade Desk, Inc. Class A*
(243
)
 
 
(498
)
METALS & MINING—(2.1)%
(7,904
)
MP Materials Corp. *
(327
)
  
COMMON STOCKS—Continued
Shares
 
Value
OIL, GAS & CONSUMABLE FUELS—(3.5)%
(8,617
)
Antero Resources Corp. *
$(311
)
(2,409
)
Expand Energy Corp.
(227
)
 
 
(538
)
PASSENGER AIRLINES—(2.8)%
(28,190
)
American Airlines Group, Inc. *
(431
)
SOFTWARE—(14.4)%
(18,146
)
BitMine Immersion Technologies, Inc.
(314
)
(213
)
Fair Isaac Corp. *
(239
)
(10,047
)
IREN Ltd. (Australia)*
(370
)
(525
)
Microsoft Corp.
(244
)
(2,568
)
Oracle Corp.
(333
)
(2,196
)
Palantir Technologies, Inc. Class A*
(270
)
(24,276
)
Terawulf, Inc. *
(429
)
 
 
(2,199
)
SPECIALTY RETAIL—(3.3)%
(75
)
AutoZone, Inc. *
(226
)
(1,660
)
RH *
(275
)
 
 
(501
)
TOTAL COMMON STOCKS SOLD SHORT
(Proceeds $12,653)
(11,210
)
TOTAL INVESTMENTS SOLD SHORT (PROCEEDS $12,653)
$(11,210
)
 
FAIR VALUE MEASUREMENTS
All investments as of July 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
As of July 31, 2026, all or a portion of this security was pledged as collateral for investments sold short. The securities pledged had an aggregate value of $14,765.
The accompanying notes are an integral part of the Portfolios of Investments.

⬤
57

Harbor Long-Term Growers ETF
PORTFOLIO OF INVESTMENTS—July 31, 2026 (Unaudited)
Value and Cost in Thousands
 
 
 
COMMON STOCKS—99.3%
Shares
 
Value
AEROSPACE & DEFENSE—4.2%
7,687
Axon Enterprise, Inc. *
$4,057
83,945
Boeing Co. *
18,144
57,676
General Electric Co.
20,767
3,814
TransDigm Group, Inc.
4,784
 
 
47,752
AUTOMOBILES—2.1%
77,532
Tesla, Inc. *
24,129
BANKS—0.7%
20,976
JPMorgan Chase & Co.
7,379
BEVERAGES—0.6%
78,729
Coca-Cola Co.
6,896
BIOTECHNOLOGY—0.7%
40,917
Insmed, Inc. *
4,034
8,807
Vertex Pharmaceuticals, Inc. *
4,202
 
 
8,236
BROADLINE RETAIL—5.8%
231,212
Amazon.com, Inc. *
62,793
1,349
MercadoLibre, Inc. (Brazil)*
2,533
 
 
65,326
CAPITAL MARKETS—1.0%
4,197
Goldman Sachs Group, Inc.
4,274
7,377
LPL Financial Holdings, Inc.
2,609
46,997
Robinhood Markets, Inc. Class A*
4,068
 
 
10,951
COMMUNICATIONS EQUIPMENT—1.0%
62,537
Arista Networks, Inc. *
11,279
CONSTRUCTION & ENGINEERING—1.0%
6,408
Comfort Systems USA, Inc.
11,084
CONSUMER STAPLES DISTRIBUTION & RETAIL—1.5%
6,056
Costco Wholesale Corp.
5,764
102,741
Walmart, Inc.
11,425
 
 
17,189
DIVERSIFIED TELECOMMUNICATION SERVICES—0.5%
54,199
Space Exploration Technologies Corp. Class A*
5,874
ELECTRIC UTILITIES—0.4%
16,767
Constellation Energy Corp.
4,406
ELECTRICAL EQUIPMENT—1.0%
7,806
GE Vernova, Inc.
7,730
13,444
Vertiv Holdings Co. Class A
3,248
 
 
10,978
ELECTRONIC EQUIPMENT, INSTRUMENTS & COMPONENTS—1.8%
95,561
Amphenol Corp. Class A
15,357
17,147
Keysight Technologies, Inc. *
5,471
 
 
20,828
ENTERTAINMENT—2.8%
255,352
Netflix, Inc. *
18,311
22,160
Spotify Technology SA *
11,079
 
COMMON STOCKS—Continued
Shares
 
Value
ENTERTAINMENT—Continued
25,866
Walt Disney Co.
$2,488
 
 
31,878
FINANCIAL SERVICES—4.3%
58,150
Mastercard, Inc. Class A
33,326
108,216
Toast, Inc. Class A*
3,492
30,661
Visa, Inc. Class A
11,226
 
 
48,044
GROUND TRANSPORTATION—0.2%
34,223
Uber Technologies, Inc. *
2,408
HEALTH CARE EQUIPMENT & SUPPLIES—0.4%
31,833
Edwards Lifesciences Corp. *
2,740
5,237
Intuitive Surgical, Inc. *
1,850
 
 
4,590
HOTELS, RESTAURANTS & LEISURE—2.0%
20,507
Airbnb, Inc. Class A*
3,107
27,907
DoorDash, Inc. Class A*
5,474
35,768
Hilton Worldwide Holdings, Inc.
11,463
27,104
Starbucks Corp.
2,853
 
 
22,897
INTERACTIVE MEDIA & SERVICES—11.8%
272,861
Alphabet, Inc. Class A
97,174
64,538
Meta Platforms, Inc. Class A
35,929
 
 
133,103
IT SERVICES—3.2%
31,319
Cloudflare, Inc. Class A*
8,737
58,775
Shopify, Inc. Class A (Canada)*
6,885
68,101
Snowflake, Inc. *
19,973
 
 
35,595
LIFE SCIENCES TOOLS & SERVICES—1.9%
42,001
Agilent Technologies, Inc.
5,812
46,812
Danaher Corp.
9,127
11,840
Thermo Fisher Scientific, Inc.
6,800
 
 
21,739
PHARMACEUTICALS—4.8%
22,418
AstraZeneca PLC (United Kingdom)
3,803
40,899
Eli Lilly & Co.
46,987
26,485
Merck & Co., Inc.
3,448
 
 
54,238
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT—23.4%
61,039
Advanced Micro Devices, Inc. *
29,064
27,686
Analog Devices, Inc.
10,172
1,972
ASML Holding NV New York Registry Shares
(Netherlands)
3,212
183,699
Broadcom, Inc.
71,510
12,302
Credo Technology Group Holding Ltd. *
2,547
14,300
KLA Corp.
2,614
25,486
Lam Research Corp.
7,468
8,538
Micron Technology, Inc.
7,027
606,331
NVIDIA Corp.
121,721
14,531
Taiwan Semiconductor Manufacturing Co. Ltd. ADR
(Taiwan)1
5,874

⬤
58

Harbor Long-Term Growers ETF
PORTFOLIO OF INVESTMENTS—Continued
Value and Cost in Thousands 
COMMON STOCKS—Continued
Shares
 
Value
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT—Continued
9,010
Texas Instruments, Inc.
$2,485
 
 
263,694
SOFTWARE—12.1%
39,540
Cadence Design Systems, Inc. *
13,444
93,562
Crowdstrike Holdings, Inc. Class A*
17,857
47,651
Datadog, Inc. Class A*
12,769
144,956
Microsoft Corp.
67,364
17,807
Oracle Corp.
2,313
91,072
Palantir Technologies, Inc. Class A*
11,207
29,281
Palo Alto Networks, Inc. *
9,716
18,030
ServiceNow, Inc. *
2,006
 
 
136,676
SPECIALIZED REITS—0.4%
26,552
American Tower Corp.
4,603
SPECIALTY RETAIL—1.6%
335,715
Industria de Diseno Textil SA ADR (Spain)1
5,486
  
COMMON STOCKS—Continued
Shares
 
Value
SPECIALTY RETAIL—Continued
35,359
O’Reilly Automotive, Inc. *
$3,159
57,821
TJX Cos., Inc.
9,097
 
 
17,742
TECHNOLOGY HARDWARE, STORAGE & PERIPHERALS—8.1%
271,604
Apple, Inc.
83,901
6,533
Sandisk Corp. *
7,937
 
 
91,838
TOTAL COMMON STOCKS
(Cost $850,253)
1,121,352
TOTAL INVESTMENTS—99.3%
(Cost $850,253)
1,121,352
CASH AND OTHER ASSETS, LESS LIABILITIES—0.7%
7,608
TOTAL NET ASSETS—100%
$1,128,960
 
FAIR VALUE MEASUREMENTS
All investments as of July 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.

⬤
59

Harbor Mid Cap Core ETF
PORTFOLIO OF INVESTMENTS—July 31, 2026 (Unaudited)
Value and Cost in Thousands
 
 
 
COMMON STOCKS—96.5%
Shares
 
Value
AEROSPACE & DEFENSE—7.1%
181
General Dynamics Corp.
$69
1,099
Hexcel Corp.
113
396
Woodward, Inc.
143
 
 
325
AIR FREIGHT & LOGISTICS—1.4%
429
CH Robinson Worldwide, Inc.
63
BANKS—3.4%
588
East West Bancorp, Inc.
77
488
Wintrust Financial Corp.
78
 
 
155
BUILDING PRODUCTS—1.9%
1,234
Masco Corp.
88
CAPITAL MARKETS—6.2%
355
Houlihan Lokey, Inc.
45
434
Intercontinental Exchange, Inc.
66
490
Raymond James Financial, Inc.
86
1,026
Stifel Financial Corp.
85
 
 
282
CHEMICALS—3.8%
552
Albemarle Corp.
65
547
Eastman Chemical Co.
38
1,082
Scotts Miracle-Gro Co.
71
 
 
174
COMMERCIAL SERVICES & SUPPLIES—1.9%
404
Republic Services, Inc.
85
CONSTRUCTION & ENGINEERING—1.7%
98
EMCOR Group, Inc.
78
CONSUMER STAPLES DISTRIBUTION & RETAIL—1.2%
635
Sysco Corp.
54
CONTAINERS & PACKAGING—1.4%
259
Packaging Corp. of America
64
ELECTRICAL EQUIPMENT—3.1%
1,471
Sensata Technologies Holding PLC
68
301
Vertiv Holdings Co. Class A
73
 
 
141
ELECTRONIC EQUIPMENT, INSTRUMENTS & COMPONENTS—5.4%
471
Arrow Electronics, Inc. *
102
452
Keysight Technologies, Inc. *
144
 
 
246
ENERGY EQUIPMENT & SERVICES—1.6%
900
Helmerich & Payne, Inc.
31
841
SLB Ltd.
42
 
 
73
FINANCIAL SERVICES—1.0%
529
Global Payments, Inc.
45
GROUND TRANSPORTATION—1.9%
1,738
CSX Corp.
88
 
COMMON STOCKS—Continued
Shares
 
Value
HEALTH CARE PROVIDERS & SERVICES—5.0%
228
Cencora, Inc.
$71
1,264
Centene Corp. *
79
250
Labcorp Holdings, Inc.
77
 
 
227
HOTELS, RESTAURANTS & LEISURE—1.7%
377
Darden Restaurants, Inc.
77
HOUSEHOLD DURABLES—1.4%
445
Dr. Horton, Inc.
64
INDUSTRIAL REITS—0.8%
2,489
Americold Realty Trust, Inc.
35
INSURANCE—5.0%
190
Progressive Corp.
40
420
Reinsurance Group of America, Inc.
99
274
RenaissanceRe Holdings Ltd. (Bermuda)
88
 
 
227
IT SERVICES—4.2%
670
Akamai Technologies, Inc. *
77
578
Twilio, Inc. Class A*
114
 
 
191
LIFE SCIENCES TOOLS & SERVICES—6.2%
461
Agilent Technologies, Inc.
64
168
Bio-Rad Laboratories, Inc. Class A*
54
447
IQVIA Holdings, Inc. *
105
1,470
Qiagen NV
61
 
 
284
MACHINERY—6.4%
192
Cummins, Inc.
122
385
Dover Corp.
79
218
Snap-on, Inc.
89
 
 
290
MULTI-UTILITIES—1.5%
644
WEC Energy Group, Inc.
70
OFFICE REITS—1.2%
793
BXP, Inc.
56
OIL, GAS & CONSUMABLE FUELS—2.1%
1,460
Devon Energy Corp.
66
749
Murphy Oil Corp.
30
 
 
96
PROFESSIONAL SERVICES—0.8%
234
Broadridge Financial Solutions, Inc.
36
REAL ESTATE MANAGEMENT & DEVELOPMENT—2.3%
723
CBRE Group, Inc. Class A*
106
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT—6.0%
213
Applied Materials, Inc.
108
942
Entegris, Inc.
112
878
Skyworks Solutions, Inc.
55
 
 
275
SOFTWARE—1.4%
167
Synopsys, Inc. *
65

⬤
60

Harbor Mid Cap Core ETF
PORTFOLIO OF INVESTMENTS—Continued
Value and Cost in Thousands 
COMMON STOCKS—Continued
Shares
 
Value
SPECIALIZED REITS—0.9%
217
SBA Communications Corp.
$39
SPECIALTY RETAIL—5.2%
417
Ross Stores, Inc.
105
388
TJX Cos., Inc.
61
140
Ulta Beauty, Inc. *
72
 
 
238
TRADING COMPANIES & DISTRIBUTORS—1.4%
368
GATX Corp.
66
TOTAL COMMON STOCKS
(Cost $3,412)
4,403
TOTAL INVESTMENTS—96.5%
(Cost $3,412)
4,403
CASH AND OTHER ASSETS, LESS LIABILITIES—3.5%
160
TOTAL NET ASSETS—100%
$4,563
 
FAIR VALUE MEASUREMENTS
All investments as of July 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.

⬤
61

Harbor Mid Cap Value ETF
PORTFOLIO OF INVESTMENTS—July 31, 2026 (Unaudited)
Value and Cost in Thousands
 
 
 
COMMON STOCKS—98.5%
Shares
 
Value
AEROSPACE & DEFENSE—3.6%
301
Huntington Ingalls Industries, Inc.
$98
2,357
StandardAero, Inc. *
69
 
 
167
AUTOMOBILE COMPONENTS—1.5%
1,125
BorgWarner, Inc.
72
BANKS—5.2%
1,203
Bank OZK
62
761
Pinnacle Financial Partners, Inc.
80
577
Popular, Inc. (Puerto Rico)
101
 
 
243
BUILDING PRODUCTS—1.2%
775
Masco Corp.
55
CAPITAL MARKETS—8.4%
247
FactSet Research Systems, Inc.
65
704
Intercontinental Exchange, Inc.
107
639
Raymond James Financial, Inc.
112
1,333
Stifel Financial Corp.
111
 
 
395
CHEMICALS—4.5%
405
Albemarle Corp.
48
557
CF Industries Holdings, Inc.
70
661
Eastman Chemical Co.
46
740
Scotts Miracle-Gro Co.
48
 
 
212
CONSTRUCTION MATERIALS—1.1%
246
Eagle Materials, Inc.
51
CONSUMER STAPLES DISTRIBUTION & RETAIL—1.5%
846
Sysco Corp.
72
CONTAINERS & PACKAGING—0.7%
623
Sonoco Products Co.
35
DISTRIBUTORS—0.6%
1,321
LKQ Corp.
30
ELECTRICAL EQUIPMENT—3.0%
697
Nextpower, Inc. Class A*
63
379
Regal Rexnord Corp.
78
 
 
141
ELECTRONIC EQUIPMENT, INSTRUMENTS & COMPONENTS—5.7%
1,154
Avnet, Inc.
102
1,439
Flex Ltd. *
164
 
 
266
ENERGY EQUIPMENT & SERVICES—1.5%
3,607
NOV, Inc.
70
FINANCIAL SERVICES—1.5%
832
Global Payments, Inc.
70
GAS UTILITIES—1.4%
384
Atmos Energy Corp.
66
GROUND TRANSPORTATION—3.5%
1,973
CSX Corp.
100
 
COMMON STOCKS—Continued
Shares
 
Value
GROUND TRANSPORTATION—Continued
1,740
Schneider National, Inc. Class B
$62
 
 
162
HEALTH CARE PROVIDERS & SERVICES—5.0%
1,157
Centene Corp. *
72
225
Humana, Inc.
82
255
Labcorp Holdings, Inc.
79
 
 
233
HEALTH CARE REITS—0.9%
783
Alexandria Real Estate Equities, Inc.
40
HOTELS, RESTAURANTS & LEISURE—4.2%
483
Darden Restaurants, Inc.
98
307
Royal Caribbean Cruises Ltd.
98
 
 
196
HOUSEHOLD DURABLES—1.3%
412
Dr. Horton, Inc.
59
INSURANCE—5.2%
373
Progressive Corp.
79
374
Reinsurance Group of America, Inc.
89
242
RenaissanceRe Holdings Ltd. (Bermuda)
77
 
 
245
IT SERVICES—1.4%
592
Akamai Technologies, Inc. *
68
LIFE SCIENCES TOOLS & SERVICES—3.8%
291
Charles River Laboratories International, Inc. *
68
465
IQVIA Holdings, Inc. *
109
 
 
177
MACHINERY—6.5%
243
Cummins, Inc.
154
910
Flowserve Corp.
69
202
Snap-on, Inc.
83
 
 
306
MULTI-UTILITIES—1.2%
503
WEC Energy Group, Inc.
55
OFFICE REITS—2.9%
708
BXP, Inc.
49
2,176
Vornado Realty Trust
86
 
 
135
OIL, GAS & CONSUMABLE FUELS—3.3%
1,704
Murphy Oil Corp.
68
938
ONEOK, Inc.
85
 
 
153
PROFESSIONAL SERVICES—2.6%
378
Broadridge Financial Solutions, Inc.
58
464
Jacobs Solutions, Inc.
63
 
 
121
REAL ESTATE MANAGEMENT & DEVELOPMENT—2.0%
634
CBRE Group, Inc. Class A*
93

⬤
62

Harbor Mid Cap Value ETF
PORTFOLIO OF INVESTMENTS—Continued
Value and Cost in Thousands 
COMMON STOCKS—Continued
Shares
 
Value
RESIDENTIAL REITS—1.2%
195
Essex Property Trust, Inc.
$55
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT—4.8%
203
Applied Materials, Inc.
103
1,496
ON Semiconductor Corp. *
122
 
 
225
SOFTWARE—2.1%
257
Synopsys, Inc. *
100
SPECIALTY RETAIL—3.7%
1,240
Bath & Body Works, Inc.
25
298
Ross Stores, Inc.
75
462
TJX Cos., Inc.
73
 
 
173
  
COMMON STOCKS—Continued
Shares
 
Value
TRADING COMPANIES & DISTRIBUTORS—1.5%
392
GATX Corp.
$70
TOTAL COMMON STOCKS
(Cost $3,626)
4,611
TOTAL INVESTMENTS—98.5%
(Cost $3,626)
4,611
CASH AND OTHER ASSETS, LESS LIABILITIES—1.5%
72
TOTAL NET ASSETS—100%
$4,683
 
FAIR VALUE MEASUREMENTS
All investments as of July 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.

⬤
63

Harbor Multi-Asset Explorer ETF (Consolidated) (currently, Harbor Multi-Asset Total Return ETF)
CONSOLIDATED PORTFOLIO OF INVESTMENTS—July 31, 2026 (Unaudited)
Value and Cost in Thousands
 
 
 
EXCHANGE-TRADED FUNDS—99.8%
Shares
 
Value
ALTERNATIVE FUNDS—6.4%
11,446
iMGP DBi Managed Futures Strategy ETF
$354
10,665
iShares Systematic Alternatives Active ETF
306
 
 
660
COMMODITY FUNDS—5.1%
6,338
Harbor Commodity All-Weather Strategy ETF
203
3,926
SPDR Gold MiniShares Trust *
315
 
 
518
EQUITY FUNDS—67.2%
19,459
Franklin FTSE Japan ETF
766
1,096
Invesco KBW Bank ETF
105
1,677
Invesco Nasdaq 100 ETF
475
15,481
iShares Core MSCI Emerging Markets ETF
1,202
1,633
iShares Core S&P 500 ETF
1,225
1,161
iShares Expanded Tech-Software Sector ETF
110
980
iShares MSCI USA Momentum Factor ETF
294
876
iShares Russell 2000 ETF
255
385
iShares Semiconductor ETF
194
1,062
iShares U.S. Home Construction ETF
100
3,510
State Street Communication Services Select Sector
SPDR ETF
380
2,735
State Street SPDR S&P Regional Banking ETF
208
 
EXCHANGE-TRADED FUNDS—Continued
Shares
 
Value
EQUITY FUNDS—Continued
3,363
State Street Technology Select Sector SPDR ETF
$590
1,011
VanEck Gold Miners ETF
75
9,688
Vanguard FTSE Europe ETF
878
 
 
6,857
FIXED INCOME FUNDS—21.1%
3,389
Invesco Senior Loan ETF
69
9,054
iShares Broad USD Investment Grade Corporate
Bond ETF
455
1,362
State Street SPDR Bloomberg 1-3 Month T-Bills ETF
125
39,808
State Street SPDR Portfolio High Yield Bond ETF
926
2,355
Vanguard Emerging Markets Government Bond ETF
155
7,226
Vanguard Intermediate-Term Treasury ETF
422
 
 
2,152
TOTAL EXCHANGE-TRADED FUNDS
(Cost $9,838)
10,187
TOTAL INVESTMENTS—99.8%
(Cost $9,838)
10,187
CASH AND OTHER ASSETS, LESS LIABILITIES—0.2%
17
TOTAL NET ASSETS—100%
$10,204
  
AFFILIATED TRANSACTIONS
The following is a summary of the Fund’s transactions with affiliates during the period November 1, 2025 through July 31, 2026.
Security Name
Beginning
Balance
as of
11/01/2025
(000s)
Purchases
(000s)
Sales
(000s)
Net
Realized
Gain/(Loss)
(000s)
Change in
Unrealized
Appreciation/
(Depreciation)
(000s)
Net
Dividend
Income
(000s)
Ending
Balance
as of
07/31/2026
(000s)
Harbor Commodity All-Weather Strategy ETF
$—
$597
$(364)
$(26)
$(4)
$—
$203
FAIR VALUE MEASUREMENTS
All investments as of July 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.

⬤
64

Harbor Osmosis Emerging Markets Resource Efficient ETF
PORTFOLIO OF INVESTMENTS—July 31, 2026 (Unaudited)
Value and Cost in Thousands
 
 
 
COMMON STOCKS—99.1%
Shares
 
Value
AIR FREIGHT & LOGISTICS—1.1%
3,856
Hyundai Glovis Co. Ltd. (South Korea)
$541
491,600
JD Logistics, Inc. (China)*,1
942
 
 
1,483
AUTOMOBILE COMPONENTS—0.6%
2,516
Hyundai Mobis Co. Ltd. (South Korea)
840
AUTOMOBILES—5.5%
54,348
Kia Corp. (South Korea)
5,028
198,090
NIO, Inc. Class A (China)*
981
421,942
Tata Motors Passenger Vehicles Ltd. (India)
1,504
 
 
7,513
BANKS—10.8%
60,062
Al Rajhi Bank (Saudi Arabia)
1,000
979
Banco de Credito e Inversiones SA (Chile)
70
379,800
Banco do Brasil SA (Brazil)
1,600
73,873
Bank Millennium SA (Poland)*
409
925,000
China CITIC Bank Corp. Ltd. Class H (China)
912
1,581,656
China Construction Bank Corp. Class H (China)
1,858
61,790
Commercial International Bank - Egypt (CIB) (Egypt)
170
436
Credicorp Ltd. (Peru)
175
10,802
Eurobank SA (Greece)
55
130,797
Grupo Financiero Banorte SAB de CV Class O
(Mexico)
1,508
38,728
Industrial Bank of Korea (South Korea)
561
35,807
KakaoBank Corp. (South Korea)
555
1,657
Komercni Banka AS (Czech Republic)
83
325,473
Kuwait Finance House KSCP (Kuwait)
826
538,046
Malayan Banking Bhd. (Malaysia)
1,435
31,406
National Bank of Greece SA (Greece)
583
54,842
Nedbank Group Ltd. (South Africa)
928
3,543
OTP Bank Nyrt (Hungary)
524
20,733
Powszechna Kasa Oszczednosci Bank Polski SA
(Poland)
621
156,418
Qatar National Bank QPSC (Qatar)
712
 
 
14,585
BEVERAGES—0.0%
2,300
Arca Continental SAB de CV (Mexico)
26
BIOTECHNOLOGY—1.6%
358,500
3SBio, Inc. (China)1
765
10,601
Celltrion, Inc. (South Korea)
1,388
 
 
2,153
CAPITAL MARKETS—2.0%
59,028
HDFC Asset Management Co. Ltd. (India)1
1,620
1,271
Korea Investment Holdings Co. Ltd. (South Korea)
184
30,237
Multi Commodity Exchange of India Ltd. (India)
853
 
 
2,657
CHEMICALS—1.0%
31,554
Asian Paints Ltd. (India)
905
2,313
LG Chem Ltd. (South Korea)
419
 
 
1,324
COMMUNICATIONS EQUIPMENT—5.7%
64,799
Accton Technology Corp. (Taiwan)
4,261
26,200
Zhongji Innolight Co. Ltd. Class A (China)
3,502
 
 
7,763
 
COMMON STOCKS—Continued
Shares
 
Value
CONSTRUCTION & ENGINEERING—1.2%
25,184
Hyundai Engineering & Construction Co. Ltd. (South
Korea)
$1,671
DIVERSIFIED TELECOMMUNICATION SERVICES—0.7%
174,732
Emirates Telecommunications Group Co. PJSC
(United Arab Emirates)
969
ELECTRICAL EQUIPMENT—0.1%
269
HD Hyundai Electric Co. Ltd. (South Korea)
129
ELECTRONIC EQUIPMENT, INSTRUMENTS & COMPONENTS—5.3%
293,300
Delta Electronics Thailand PCL (Thailand)
2,442
467,900
Foxconn Industrial Internet Co. Ltd. Class A (China)
3,932
249,500
GoerTek, Inc. Class A (China)
854
 
 
7,228
ENTERTAINMENT—0.7%
31,864
International Games System Co. Ltd. Class C
(Taiwan)
765
1,415
Krafton, Inc. (South Korea)
241
 
 
1,006
FOOD PRODUCTS—1.6%
4,655
Gruma SAB de CV Class B (Mexico)
70
217,409
Marico Ltd. (India)
1,980
98
Samyang Foods Co. Ltd. (South Korea)
80
 
 
2,130
GAS UTILITIES—1.0%
1,498,000
Kunlun Energy Co. Ltd. (China)
1,383
HOUSEHOLD DURABLES—2.7%
32,062
LG Electronics, Inc. (South Korea)
3,645
INDUSTRIAL CONGLOMERATES—2.7%
14,995
Samsung C&T Corp. (South Korea)
3,697
INSURANCE—7.1%
405,400
BB Seguridade Participacoes SA (Brazil)
3,300
5,242
Bupa Arabia for Cooperative Insurance Co. (Saudi
Arabia)
219
158,656
China Life Insurance Co. Ltd. Class H (China)
591
11,610
Co. for Cooperative Insurance (Saudi Arabia)
379
3,429
DB Insurance Co. Ltd. (South Korea)
377
2,926,900
People’s Insurance Co. Group of China Ltd. Class A
(China)
3,197
743,904
PICC Property & Casualty Co. Ltd. Class H (China)
1,556
 
 
9,619
INTERACTIVE MEDIA & SERVICES—1.6%
14,563
NAVER Corp. (South Korea)
2,125
IT SERVICES—0.7%
982
Elm Co. (Saudi Arabia)
177
13,755
Persistent Systems Ltd. (India)
798
 
 
975
MACHINERY—0.5%
3,509
Hyundai Rotem Co. Ltd. (South Korea)
329
77,205
Tata Motors Ltd. (India)
352
 
 
681

⬤
65

Harbor Osmosis Emerging Markets Resource Efficient ETF
PORTFOLIO OF INVESTMENTS—Continued
Value and Cost in Thousands 
COMMON STOCKS—Continued
Shares
 
Value
MARINE TRANSPORTATION—0.7%
64,808
HMM Co. Ltd. (South Korea)
$952
METALS & MINING—4.5%
1,415,700
CMOC Group Ltd. Class A (China)
4,096
62,344
Gold Fields Ltd. (South Africa)
2,029
 
 
6,125
OIL, GAS & CONSUMABLE FUELS—4.3%
477,517
Bharat Petroleum Corp. Ltd. (India)
1,602
864,856
Oil & Natural Gas Corp. Ltd. (India)
2,196
289,966
Saudi Arabian Oil Co. (Saudi Arabia)1
2,045
 
 
5,843
PASSENGER AIRLINES—1.5%
1,027,986
Eva Airways Corp. (Taiwan)
1,377
90,656
Turk Hava Yollari AO (Turkey)
599
 
 
1,976
PERSONAL CARE PRODUCTS—0.3%
5,145
Amorepacific Corp. (South Korea)
469
PHARMACEUTICALS—0.2%
4,775
Yuhan Corp. (South Korea)
246
REAL ESTATE MANAGEMENT & DEVELOPMENT—1.3%
249,964
Emaar Development PJSC (United Arab Emirates)
882
129,252
Emaar Properties PJSC (United Arab Emirates)
387
120,896
Plaza SA (Chile)
490
 
 
1,759
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT—9.2%
34,807
Alchip Technologies Ltd. (Taiwan)
3,296
2,481
SK Hynix, Inc. (South Korea)
2,990
65,907
Taiwan Semiconductor Manufacturing Co. Ltd.
(Taiwan)
4,945
316,882
United Microelectronics Corp. (Taiwan)
1,186
 
 
12,417
SOFTWARE—0.3%
3,147
Oracle Financial Services Software Ltd. (India)
369
  
COMMON STOCKS—Continued
Shares
 
Value
TECHNOLOGY HARDWARE, STORAGE & PERIPHERALS—18.2%
302,715
Gigabyte Technology Co. Ltd. (Taiwan)*
$3,152
14,393
King Slide Works Co. Ltd. (Taiwan)
3,496
1,542,047
Lenovo Group Ltd. (China)
4,691
426,029
Quanta Computer, Inc. (Taiwan)
3,842
863,550
Wistron Corp. (Taiwan)
4,703
28,505
Wiwynn Corp. (Taiwan)
4,754
 
 
24,638
WIRELESS TELECOMMUNICATION SERVICES—4.4%
188,607
Bharti Airtel Ltd. (India)
3,890
155,100
TIM SA (Brazil)
595
154,775
Vodacom Group Ltd. (South Africa)
1,499
 
 
5,984
TOTAL COMMON STOCKS
(Cost $119,402)
134,380
 
PREFERRED STOCKS—0.2%
 
 
 
BANKS—0.2%
6,454
Grupo Cibest SA (Colombia)
152
47,200
Itausa SA (Brazil)
129
 
 
281
CONTAINERS & PACKAGING—0.0%
1
Klabin SA (Brazil)
—
TOTAL PREFERRED STOCKS
(Cost $242)
281
TOTAL INVESTMENTS—99.3%
(Cost $119,644)
134,661
CASH AND OTHER ASSETS, LESS LIABILITIES—0.7%
952
TOTAL NET ASSETS—100%
$135,613
 

⬤
66

Harbor Osmosis Emerging Markets Resource Efficient ETF
PORTFOLIO OF INVESTMENTS—Continued
FAIR VALUE MEASUREMENTS
All investments as of July 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.
The following is a rollforward of the Fund’s Level 3 investments during the period ended July 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
07/31/2026
(000s)
Common Stock
$1,491
$4,287
$(5,684)
$—
$403
$(145)
$—
$(352)
$—

 
*
Non-income producing security
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
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 July 31, 2026, the aggregate value of these securities was $5,372 or 4% of net assets.
The accompanying notes are an integral part of the Portfolios of Investments.

⬤
67

Harbor Osmosis International Resource Efficient ETF
PORTFOLIO OF INVESTMENTS—July 31, 2026 (Unaudited)
Value and Cost in Thousands
 
 
 
COMMON STOCKS—98.0%
Shares
 
Value
AEROSPACE & DEFENSE—1.6%
10,343
Airbus SE (France)
$2,412
AUTOMOBILE COMPONENTS—3.1%
378,572
Denso Corp. (Japan)
4,682
AUTOMOBILES—3.3%
90,714
Mercedes-Benz Group AG (Germany)
4,888
BANKS—16.3%
34,426
Banco Bilbao Vizcaya Argentaria SA (Spain)
961
57,430
Banco BPM SpA (Italy)
1,045
311,433
Banco Comercial Portugues SA Class R (Portugal)
382
87,834
Banco de Sabadell SA (Spain)
337
270,694
Banco Santander SA (Spain)
3,845
479,806
Barclays PLC (United Kingdom)
3,290
15,736
HSBC Holdings PLC (United Kingdom)
334
94,307
Intesa Sanpaolo SpA (Italy)
711
2,486
KBC Group NV (Belgium)
357
221,200
Lloyds Banking Group PLC (United Kingdom)
342
145,832
NatWest Group PLC (United Kingdom)
1,387
10,987
Royal Bank of Canada (Canada)
2,300
24,552
Societe Generale SA (France)
2,302
24,159
Toronto-Dominion Bank (Canada)
2,896
40,654
UniCredit SpA (Italy)
3,826
 
 
24,315
BEVERAGES—1.4%
1,968
Anheuser-Busch InBev SA (Belgium)
171
84,634
Diageo PLC (United Kingdom)
1,864
 
 
2,035
BIOTECHNOLOGY—3.3%
98,943
Swedish Orphan Biovitrum AB (Sweden)*
4,890
BUILDING PRODUCTS—1.6%
2,245
Belimo Holding AG (Switzerland)
2,333
CAPITAL MARKETS—3.6%
20,740
3i Group PLC (United Kingdom)
800
19,000
Hong Kong Exchanges & Clearing Ltd. (Hong Kong)
990
192,200
Singapore Exchange Ltd. (Singapore)
3,666
 
 
5,456
CHEMICALS—2.0%
41,840
Akzo Nobel NV (Netherlands)
2,930
16
Nitto Denko Corp. (Japan)
—
 
 
2,930
CONSUMER STAPLES DISTRIBUTION & RETAIL—0.8%
50,424
Kesko OYJ Class B (Finland)
1,255
DIVERSIFIED TELECOMMUNICATION SERVICES—1.2%
2,310
Swisscom AG (Switzerland)
1,777
ELECTRICAL EQUIPMENT—2.7%
3,167
ABB Ltd. (Switzerland)
312
136,248
Vestas Wind Systems AS (Denmark)
3,669
 
 
3,981
ELECTRONIC EQUIPMENT, INSTRUMENTS & COMPONENTS—4.1%
2,347
Celestica, Inc. (Canada)*
777
 
COMMON STOCKS—Continued
Shares
 
Value
ELECTRONIC EQUIPMENT, INSTRUMENTS & COMPONENTS—Continued
10,400
Keyence Corp. (Japan)
$5,304
 
 
6,081
FINANCIAL SERVICES—0.8%
11,584
Industrivarden AB Class C (Sweden)
662
13,296
Investor AB Class B (Sweden)
574
 
 
1,236
GAS UTILITIES—1.4%
54,400
Tokyo Gas Co. Ltd. (Japan)
2,126
HEALTH CARE EQUIPMENT & SUPPLIES—3.7%
15,427
Koninklijke Philips NV (Netherlands)
404
19,016
Sonova Holding AG (Switzerland)
5,175
 
 
5,579
INDEPENDENT POWER AND RENEWABLE ELECTRICITY PRODUCERS—0.2%
13,698
Orsted AS (Denmark)*,1
306
INDUSTRIAL CONGLOMERATES—0.1%
2,960
Smiths Group PLC (United Kingdom)
105
INSURANCE—7.0%
253
Fairfax Financial Holdings Ltd. (Canada)
424
69,205
Manulife Financial Corp. (Canada)
3,074
1,022,861
Medibank Pvt Ltd. (Australia)
3,721
69,963
QBE Insurance Group Ltd. (Australia)
1,217
155,704
Sampo OYJ Class A (Finland)
1,728
1,955
Swiss Re AG (United States)
326
 
 
10,490
IT SERVICES—2.8%
146,700
Obic Co. Ltd. (Japan)
4,172
MACHINERY—1.2%
47,600
Daifuku Co. Ltd. (Japan)
1,790
MARINE TRANSPORTATION—0.5%
19,200
Kawasaki Kisen Kaisha Ltd. (Japan)
344
1,721
Kuehne & Nagel International AG (Switzerland)
438
 
 
782
MEDIA—1.0%
14,494
Publicis Groupe SA (France)
1,548
METALS & MINING—5.8%
625,729
Glencore PLC (United Kingdom)*
4,579
73,676
Lundin Gold, Inc. (Canada)
4,125
 
 
8,704
MULTI-UTILITIES—2.1%
632,779
Centrica PLC (United Kingdom)
1,322
81,788
E.ON SE (Germany)
1,765
 
 
3,087
OFFICE REITS—1.9%
32,712
Gecina SA (France)
2,827
OIL, GAS & CONSUMABLE FUELS—5.3%
58,114
Enbridge, Inc. (Canada)
3,162
56,370
Equinor ASA (Norway)
2,298

⬤
68

Harbor Osmosis International Resource Efficient ETF
PORTFOLIO OF INVESTMENTS—Continued
Value and Cost in Thousands 
COMMON STOCKS—Continued
Shares
 
Value
OIL, GAS & CONSUMABLE FUELS—Continued
103,333
Woodside Energy Group Ltd. (Australia)
$2,396
 
 
7,856
PERSONAL CARE PRODUCTS—3.5%
11,592
L’Oreal SA (France)
5,173
PHARMACEUTICALS—3.0%
18,851
AstraZeneca PLC (United Kingdom)
3,209
3,065
Roche Holding AG (United States)
1,341
 
 
4,550
PROFESSIONAL SERVICES—3.6%
64,808
Recruit Holdings Co. Ltd. (Japan)
5,112
7,713
RELX PLC (United Kingdom)
271
 
 
5,383
REAL ESTATE MANAGEMENT & DEVELOPMENT—0.0%
20
Daito Trust Construction Co. Ltd. (Japan)
—
2,704
Hulic Co. Ltd. (Japan)
30
 
 
30
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT—1.6%
1,250
ASML Holding NV (Netherlands)
2,067
4,751
Infineon Technologies AG (Germany)
338
 
 
2,405
SOFTWARE—1.3%
13,082
Check Point Software Technologies Ltd. (Israel)*
1,663
26,264
Sage Group PLC (United Kingdom)
345
 
 
2,008
  
COMMON STOCKS—Continued
Shares
 
Value
SPECIALTY RETAIL—0.2%
9,055
Zalando SE (Germany)*,1
$295
TEXTILES, APPAREL & LUXURY GOODS—0.0%
232
Moncler SpA (Italy)
13
TRADING COMPANIES & DISTRIBUTORS—5.7%
22,945
AerCap Holdings NV (Ireland)
3,462
119,258
Toyota Tsusho Corp. (Japan)
5,039
 
 
8,501
WIRELESS TELECOMMUNICATION SERVICES—0.3%
268,153
Vodafone Group PLC (United Kingdom)
426
TOTAL COMMON STOCKS
(Cost $121,610)
146,427
 
PREFERRED STOCKS—1.8%
 
 
 
(Cost $2,833)
AUTOMOBILES—1.8%
55,982
Dr. Ing hc F Porsche AG (Germany)
2,740
TOTAL INVESTMENTS—99.8%
(Cost $124,443)
149,167
CASH AND OTHER ASSETS, LESS LIABILITIES—0.2%
286
TOTAL NET ASSETS—100%
$149,453
 
FAIR VALUE MEASUREMENTS
All investments as of July 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
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 July 31, 2026, the aggregate value of these securities was $601 or less than 1% of net assets.
The accompanying notes are an integral part of the Portfolios of Investments.

⬤
69

Harbor PanAgora Dynamic Large Cap Core ETF
PORTFOLIO OF INVESTMENTS—July 31, 2026 (Unaudited)
Value and Cost in Thousands
 
 
 
COMMON STOCKS—99.8%
Shares
 
Value
AEROSPACE & DEFENSE—2.4%
20,859
General Electric Co.
$7,511
12,192
HEICO Corp.
4,345
8,834
Howmet Aerospace, Inc.
2,493
25,551
RTX Corp.
5,499
 
 
19,848
AIR FREIGHT & LOGISTICS—0.4%
9,989
FedEx Corp.
3,071
AUTOMOBILE COMPONENTS—0.4%
57,544
BorgWarner, Inc.
3,668
7
Versigent PLC *
—
 
 
3,668
AUTOMOBILES—1.9%
86,755
General Motors Co.
7,709
26,639
Tesla, Inc. *
8,290
 
 
15,999
BANKS—4.2%
128,247
Bank of America Corp.
7,945
13,664
Central BanCo, Inc.
448
40,384
Citigroup, Inc.
5,349
15,263
JPMorgan Chase & Co.
5,369
58,097
KeyCorp
1,313
28,034
M&T Bank Corp.
6,905
23,191
Popular, Inc. (Puerto Rico)
4,063
29,368
Wells Fargo & Co.
2,539
9,303
Wintrust Financial Corp.
1,484
 
 
35,415
BEVERAGES—0.3%
27,811
Monster Beverage Corp. *
2,680
BIOTECHNOLOGY—2.6%
43,209
AbbVie, Inc.
10,843
35,285
Gilead Sciences, Inc.
4,595
57,450
Incyte Corp. *
6,866
 
 
22,304
BROADLINE RETAIL—4.2%
107,438
Amazon.com, Inc. *
29,178
57,174
eBay, Inc.
6,518
 
 
35,696
BUILDING PRODUCTS—1.1%
12,395
Allegion PLC
1,951
48,887
Johnson Controls International PLC
7,170
 
 
9,121
CAPITAL MARKETS—4.2%
10,116
Ameriprise Financial, Inc.
5,522
51,815
Bank of New York Mellon Corp.
8,100
4,235
Evercore, Inc. Class A
1,358
39,112
Interactive Brokers Group, Inc. Class A
3,441
38,093
Northern Trust Corp.
6,940
40,142
State Street Corp.
7,392
33,948
Stifel Financial Corp.
2,815
 
 
35,568
 
COMMON STOCKS—Continued
Shares
 
Value
CHEMICALS—0.6%
36,895
DuPont de Nemours, Inc.
$5,055
COMMUNICATIONS EQUIPMENT—0.5%
14,830
Arista Networks, Inc. *
2,675
4,891
Ciena Corp. *
1,844
 
 
4,519
CONSTRUCTION & ENGINEERING—0.7%
2,697
Comfort Systems USA, Inc.
4,665
1,849
Quanta Services, Inc.
1,234
 
 
5,899
CONSTRUCTION MATERIALS—0.2%
15,938
CRH PLC
1,514
CONSUMER FINANCE—0.9%
10,843
Ally Financial, Inc.
470
2,772
American Express Co.
932
86,845
Synchrony Financial
6,582
 
 
7,984
CONSUMER STAPLES DISTRIBUTION & RETAIL—2.8%
6,795
Casey’s General Stores, Inc.
5,918
4,425
Costco Wholesale Corp.
4,212
41,265
Kroger Co.
2,383
73,267
Maplebear, Inc. *
3,268
68,523
Walmart, Inc.
7,620
 
 
23,401
CONTAINERS & PACKAGING—0.8%
6,077
Avery Dennison Corp.
1,031
33,686
Ball Corp.
2,186
27,625
Crown Holdings, Inc.
3,256
 
 
6,473
DIVERSIFIED TELECOMMUNICATION SERVICES—0.4%
75,528
Comcast Corp. Class A
1,810
31,888
Iridium Communications, Inc.
1,509
 
 
3,319
ELECTRIC UTILITIES—1.3%
98,307
NextEra Energy, Inc.
8,545
19,397
NRG Energy, Inc.
2,605
 
 
11,150
ELECTRICAL EQUIPMENT—0.8%
13,710
AMETEK, Inc.
3,314
3,856
Rockwell Automation, Inc.
1,851
6,215
Vertiv Holdings Co. Class A
1,501
 
 
6,666
ELECTRONIC EQUIPMENT, INSTRUMENTS & COMPONENTS—1.5%
15,534
Amphenol Corp. Class A
2,496
17,720
Flex Ltd. *
2,016
11,097
Keysight Technologies, Inc. *
3,541
16,338
TD SYNNEX Corp.
4,177
75
Zebra Technologies Corp. Class A*
22
 
 
12,252
ENERGY EQUIPMENT & SERVICES—0.0%
3,262
Baker Hughes Co.
197

⬤
70

Harbor PanAgora Dynamic Large Cap Core ETF
PORTFOLIO OF INVESTMENTS—Continued
Value and Cost in Thousands 
COMMON STOCKS—Continued
Shares
 
Value
ENTERTAINMENT—0.2%
28,560
Netflix, Inc. *
$2,048
FINANCIAL SERVICES—1.9%
12,078
Berkshire Hathaway, Inc. Class B*
6,178
18,473
Block, Inc. *
1,501
6,029
Jack Henry & Associates, Inc.
929
10,525
Mastercard, Inc. Class A
6,032
3,907
Visa, Inc. Class A
1,430
 
 
16,070
FOOD PRODUCTS—0.2%
30,498
Tyson Foods, Inc. Class A
1,768
GROUND TRANSPORTATION—0.0%
5
Fedex Freight Holding Co., Inc. *
1
HEALTH CARE EQUIPMENT & SUPPLIES—0.2%
10,730
Dexcom, Inc. *
896
10,513
Globus Medical, Inc. Class A*
828
 
 
1,724
HEALTH CARE PROVIDERS & SERVICES—1.7%
20,500
Centene Corp. *
1,275
20,350
CVS Health Corp.
2,125
6,247
McKesson Corp.
5,349
13,747
UnitedHealth Group, Inc.
5,697
 
 
14,446
HEALTH CARE REITS—0.4%
33,744
Ventas, Inc.
3,155
HOTEL & RESORT REITS—0.5%
166,133
Host Hotels & Resorts, Inc.
4,175
HOTELS, RESTAURANTS & LEISURE—1.2%
25,278
Booking Holdings, Inc.
4,876
8,104
Expedia Group, Inc.
2,388
8,365
Royal Caribbean Cruises Ltd.
2,663
 
 
9,927
HOUSEHOLD DURABLES—0.5%
8,658
Garmin Ltd.
2,543
242
NVR, Inc. *
1,488
 
 
4,031
INSURANCE—2.3%
11,188
Allstate Corp.
2,955
10
Axis Capital Holdings Ltd.
1
43,107
Hartford Insurance Group, Inc.
6,117
67,001
MetLife, Inc.
6,441
11,002
RenaissanceRe Holdings Ltd. (Bermuda)
3,520
 
 
19,034
INTERACTIVE MEDIA & SERVICES—8.5%
150,118
Alphabet, Inc. Class A
53,462
32,053
Meta Platforms, Inc. Class A
17,844
 
 
71,306
IT SERVICES—0.1%
8,741
GoDaddy, Inc. Class A*
723
MACHINERY—2.6%
2,394
Caterpillar, Inc.
1,950
  
COMMON STOCKS—Continued
Shares
 
Value
MACHINERY—Continued
10,017
Cummins, Inc.
$6,353
33,649
Graco, Inc.
2,671
11,644
Oshkosh Corp.
1,658
3,970
Parker-Hannifin Corp.
3,877
19,899
Westinghouse Air Brake Technologies Corp.
5,788
 
 
22,297
METALS & MINING—0.9%
42,681
Newmont Corp.
4,000
8,803
Reliance, Inc.
3,575
 
 
7,575
MULTI-UTILITIES—0.9%
55,425
Consolidated Edison, Inc.
6,033
13,682
DTE Energy Co.
1,941
 
 
7,974
OIL, GAS & CONSUMABLE FUELS—2.9%
19,664
Chevron Corp.
3,871
6,886
Devon Energy Corp.
311
55,485
EOG Resources, Inc.
8,250
37,746
ExxonMobil Holdings Corp.
5,867
20,024
Marathon Petroleum Corp.
6,337
 
 
24,636
PASSENGER AIRLINES—0.0%
285
Delta Air Lines, Inc.
25
PHARMACEUTICALS—3.7%
43,716
Bristol-Myers Squibb Co.
2,855
13,459
Eli Lilly & Co.
15,462
49,264
Johnson & Johnson
12,629
 
 
30,946
PROFESSIONAL SERVICES—0.0%
34
Genpact Ltd.
1
REAL ESTATE MANAGEMENT & DEVELOPMENT—0.1%
2,856
Jones Lang LaSalle, Inc. *
1,014
RETAIL REITS—0.0%
1,004
Kimco Realty Corp.
26
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT—17.2%
19,347
Advanced Micro Devices, Inc. *
9,212
21,631
Analog Devices, Inc.
7,948
11,359
Applied Materials, Inc.
5,767
66,878
Broadcom, Inc.
26,034
28,571
Intel Corp. *
2,577
27,620
Lam Research Corp.
8,093
16,654
Micron Technology, Inc.
13,707
4
MKS, Inc.
1
335,493
NVIDIA Corp.
67,350
13,798
QUALCOMM, Inc.
2,037
8,103
Texas Instruments, Inc.
2,234
 
 
144,960
SOFTWARE—9.0%
8,654
Autodesk, Inc. *
2,027
4,356
Crowdstrike Holdings, Inc. Class A*
831
50,652
Elastic NV *
3,332
42,732
Fortinet, Inc. *
6,921

⬤
71

Harbor PanAgora Dynamic Large Cap Core ETF
PORTFOLIO OF INVESTMENTS—Continued
Value and Cost in Thousands 
COMMON STOCKS—Continued
Shares
 
Value
SOFTWARE—Continued
13,398
Intuit, Inc.
$4,235
96,902
Microsoft Corp.
45,032
14,723
Palantir Technologies, Inc. Class A*
1,812
70,981
RingCentral, Inc. Class A
3,948
34,557
ServiceNow, Inc. *
3,844
35,933
Zoom Communications, Inc. *
3,452
 
 
75,434
SPECIALIZED REITS—0.6%
1,195
Equinix, Inc.
1,218
9,860
Iron Mountain, Inc.
1,206
18,436
Lamar Advertising Co. Class A
2,949
 
 
5,373
SPECIALTY RETAIL—0.9%
78,808
Gap, Inc.
1,583
23,075
Ross Stores, Inc.
5,794
 
 
7,377
TECHNOLOGY HARDWARE, STORAGE & PERIPHERALS—8.8%
207,676
Apple, Inc.
64,153
  
COMMON STOCKS—Continued
Shares
 
Value
TECHNOLOGY HARDWARE, STORAGE & PERIPHERALS—Continued
13,191
Dell Technologies, Inc. Class C
$5,347
8,063
Western Digital Corp.
4,393
 
 
73,893
TEXTILES, APPAREL & LUXURY GOODS—0.2%
11,342
Tapestry, Inc.
1,728
TOBACCO—2.1%
100,050
Altria Group, Inc.
6,836
55,600
Philip Morris International, Inc.
10,610
 
 
17,446
TOTAL COMMON STOCKS
(Cost $708,351)
840,912
TOTAL INVESTMENTS—99.8%
(Cost $708,351)
840,912
CASH AND OTHER ASSETS, LESS LIABILITIES—0.2%
1,796
TOTAL NET ASSETS—100%
$842,708
 
FAIR VALUE MEASUREMENTS
All investments as of July 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.

⬤
72

Harbor SMID Cap Core ETF
PORTFOLIO OF INVESTMENTS—July 31, 2026 (Unaudited)
Value and Cost in Thousands
 
 
 
COMMON STOCKS—98.8%
Shares
 
Value
AEROSPACE & DEFENSE—12.5%
1,007
Hexcel Corp.
$104
314
Huntington Ingalls Industries, Inc.
103
424
Moog, Inc. Class A
165
2,537
StandardAero, Inc. *
74
425
Woodward, Inc.
153
 
 
599
AUTOMOBILE COMPONENTS—2.2%
1,610
BorgWarner, Inc.
103
BANKS—5.3%
594
East West Bancorp, Inc.
78
1,233
Webster Financial Corp.
95
506
Wintrust Financial Corp.
81
 
 
254
BUILDING PRODUCTS—1.4%
1,121
A.O. Smith Corp.
67
CAPITAL MARKETS—3.6%
507
Houlihan Lokey, Inc.
64
615
Raymond James Financial, Inc.
108
 
 
172
CHEMICALS—5.9%
442
Albemarle Corp.
52
852
Cabot Corp.
75
838
CF Industries Holdings, Inc.
105
682
Eastman Chemical Co.
48
 
 
280
COMMERCIAL SERVICES & SUPPLIES—1.4%
327
Republic Services, Inc.
69
CONSTRUCTION & ENGINEERING—3.7%
90
EMCOR Group, Inc.
72
215
Valmont Industries, Inc.
103
 
 
175
CONSUMER FINANCE—2.0%
481
FirstCash Holdings, Inc.
98
CONTAINERS & PACKAGING—1.3%
1,086
Sonoco Products Co.
61
ELECTRONIC EQUIPMENT, INSTRUMENTS & COMPONENTS—5.0%
516
Arrow Electronics, Inc. *
112
191
Teledyne Technologies, Inc. *
125
 
 
237
ENERGY EQUIPMENT & SERVICES—2.9%
3,834
Archrock, Inc.
137
FINANCIAL SERVICES—1.4%
349
WEX, Inc. *
65
GAS UTILITIES—1.5%
3,722
MDU Resources Group, Inc.
74
GROUND TRANSPORTATION—2.8%
520
Ryder System, Inc.
133
 
COMMON STOCKS—Continued
Shares
 
Value
HEALTH CARE EQUIPMENT & SUPPLIES—0.8%
838
CONMED Corp.
$39
HEALTH CARE PROVIDERS & SERVICES—1.3%
1,011
Centene Corp. *
63
HOTELS, RESTAURANTS & LEISURE—3.9%
382
Darden Restaurants, Inc.
78
1,561
Papa John’s International, Inc.
47
2,950
Penn Entertainment, Inc. *
60
 
 
185
HOUSEHOLD DURABLES—1.0%
352
Dr. Horton, Inc.
50
INSURANCE—2.4%
495
Reinsurance Group of America, Inc.
117
IT SERVICES—1.5%
641
Akamai Technologies, Inc. *
74
LIFE SCIENCES TOOLS & SERVICES—7.0%
6,133
Avantor, Inc. *
85
219
Bio-Rad Laboratories, Inc. Class A*
71
443
Charles River Laboratories International, Inc. *
103
1,887
Qiagen NV
78
 
 
337
MACHINERY—5.0%
469
Albany International Corp. Class A
35
503
Middleby Corp. *
67
503
Midera Food Processing, Inc. *
24
275
Snap-on, Inc.
113
 
 
239
MULTI-UTILITIES—1.1%
464
WEC Energy Group, Inc.
51
OFFICE REITS—2.6%
897
BXP, Inc.
63
1,573
COPT Defense Properties
60
 
 
123
PROFESSIONAL SERVICES—3.4%
165
CACI International, Inc. Class A*
82
1,626
Insperity, Inc.
83
 
 
165
REAL ESTATE MANAGEMENT & DEVELOPMENT—2.2%
706
CBRE Group, Inc. Class A*
104
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT—8.0%
654
Cirrus Logic, Inc. *
85
1,067
FormFactor, Inc. *
113
73
Monolithic Power Systems, Inc.
104
1,005
ON Semiconductor Corp. *
82
 
 
384
SOFTWARE—2.4%
2,461
Box, Inc. Class A*
77
97
Synopsys, Inc. *
38
 
 
115

⬤
73

Harbor SMID Cap Core ETF
PORTFOLIO OF INVESTMENTS—Continued
Value and Cost in Thousands 
COMMON STOCKS—Continued
Shares
 
Value
SPECIALIZED REITS—1.2%
315
SBA Communications Corp.
$57
TRADING COMPANIES & DISTRIBUTORS—2.1%
570
GATX Corp.
102
TOTAL COMMON STOCKS
(Cost $3,640)
4,729
TOTAL INVESTMENTS—98.8%
(Cost $3,640)
4,729
CASH AND OTHER ASSETS, LESS LIABILITIES—1.2%
57
TOTAL NET ASSETS—100%
$4,786
  
RIGHTS/WARRANTS
Description
Shares
Strike Price
Expiration Date
Cost
(000s)
Value
(000s)
Hologic, Inc.*
1,003
$0.00
02/07/2028
$—
$—x
FAIR VALUE MEASUREMENTS
As of July 31, 2026, the investment in Hologic, Inc. (as disclosed in the preceding Rights/Warrants schedule) was classified as Level 3 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
x
Fair valued in accordance with the fair value pricing procedures applicable to the Funds.
The accompanying notes are an integral part of the Portfolios of Investments.

⬤
74

Harbor SMID Cap Value ETF
PORTFOLIO OF INVESTMENTS—July 31, 2026 (Unaudited)
Value and Cost in Thousands
 
 
 
COMMON STOCKS—98.2%
Shares
 
Value
AEROSPACE & DEFENSE—4.4%
287
Huntington Ingalls Industries, Inc.
$94
447
Moog, Inc. Class A
174
 
 
268
AUTOMOBILE COMPONENTS—1.2%
1,198
BorgWarner, Inc.
76
BANKS—10.3%
938
Pathward Financial, Inc.
83
838
Pinnacle Financial Partners, Inc.
88
857
Popular, Inc. (Puerto Rico)
150
659
UMB Financial Corp.
96
2,363
United Bankshares, Inc.
114
2,244
WesBanco, Inc.
93
 
 
624
BUILDING PRODUCTS—1.5%
1,240
Masco Corp.
89
CAPITAL MARKETS—3.2%
393
Raymond James Financial, Inc.
69
1,484
Stifel Financial Corp.
123
 
 
192
CHEMICALS—3.8%
1,011
Cabot Corp.
89
889
Eastman Chemical Co.
62
1,204
Scotts Miracle-Gro Co.
79
 
 
230
COMMUNICATIONS EQUIPMENT—2.9%
2,553
Digi International, Inc. *
178
CONSTRUCTION MATERIALS—1.5%
436
Eagle Materials, Inc.
89
CONSUMER FINANCE—1.5%
440
FirstCash Holdings, Inc.
90
CONSUMER STAPLES DISTRIBUTION & RETAIL—2.3%
1,245
Performance Food Group Co. *
142
CONTAINERS & PACKAGING—1.2%
1,321
Sonoco Products Co.
74
DISTRIBUTORS—1.0%
2,803
LKQ Corp.
63
ELECTRICAL EQUIPMENT—7.1%
349
Acuity, Inc.
115
1,274
Atkore, Inc.
93
1,395
Nextpower, Inc. Class A*
125
466
Regal Rexnord Corp.
96
 
 
429
ELECTRONIC EQUIPMENT, INSTRUMENTS & COMPONENTS—10.2%
539
Advanced Energy Industries, Inc.
156
1,810
Avnet, Inc.
161
1,086
Flex Ltd. *
123
965
Sanmina Corp. *
179
 
 
619
 
COMMON STOCKS—Continued
Shares
 
Value
ENERGY EQUIPMENT & SERVICES—1.2%
3,891
NOV, Inc.
$76
FINANCIAL SERVICES—1.3%
413
WEX, Inc. *
77
FOOD PRODUCTS—1.8%
1,854
Darling Ingredients, Inc. *
112
GAS UTILITIES—3.3%
554
Atmos Energy Corp.
96
5,105
MDU Resources Group, Inc.
102
 
 
198
GROUND TRANSPORTATION—1.6%
2,668
Schneider National, Inc. Class B
95
HEALTH CARE PROVIDERS & SERVICES—1.4%
283
Labcorp Holdings, Inc.
88
HEALTH CARE REITS—0.9%
1,087
Alexandria Real Estate Equities, Inc.
56
HOTEL & RESORT REITS—0.9%
2,911
Pebblebrook Hotel Trust
56
HOTELS, RESTAURANTS & LEISURE—1.1%
340
Darden Restaurants, Inc.
69
HOUSEHOLD DURABLES—1.0%
438
Dr. Horton, Inc.
63
INDUSTRIAL REITS—2.7%
429
EastGroup Properties, Inc.
90
1,941
STAG Industrial, Inc.
74
 
 
164
INSURANCE—3.9%
575
Reinsurance Group of America, Inc.
136
317
RenaissanceRe Holdings Ltd. (Bermuda)
102
 
 
238
LIFE SCIENCES TOOLS & SERVICES—1.6%
415
Charles River Laboratories International, Inc. *
97
MACHINERY—8.7%
930
Albany International Corp. Class A
69
1,270
Flowserve Corp.
97
606
Middleby Corp. *
81
1,801
Midera Food Processing, Inc. *
86
263
Snap-on, Inc.
108
661
Timken Co.
91
 
 
532
OFFICE REITS—2.1%
3,180
Vornado Realty Trust
125
OIL, GAS & CONSUMABLE FUELS—2.9%
286
Diamondback Energy, Inc.
58
2,980
Murphy Oil Corp.
118
 
 
176
PROFESSIONAL SERVICES—3.3%
854
Jacobs Solutions, Inc.
115

⬤
75

Harbor SMID Cap Value ETF
PORTFOLIO OF INVESTMENTS—Continued
Value and Cost in Thousands 
COMMON STOCKS—Continued
Shares
 
Value
PROFESSIONAL SERVICES—Continued
1,283
TriNet Group, Inc.
$85
 
 
200
REAL ESTATE MANAGEMENT & DEVELOPMENT—1.8%
740
CBRE Group, Inc. Class A*
109
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT—1.5%
767
Entegris, Inc.
91
SOFTWARE—1.2%
184
Synopsys, Inc. *
72
  
COMMON STOCKS—Continued
Shares
 
Value
TRADING COMPANIES & DISTRIBUTORS—1.9%
659
GATX Corp.
$118
TOTAL COMMON STOCKS
(Cost $4,607)
5,975
TOTAL INVESTMENTS—98.2%
(Cost $4,607)
5,975
CASH AND OTHER ASSETS, LESS LIABILITIES—1.8%
111
TOTAL NET ASSETS—100%
$6,086
 
FAIR VALUE MEASUREMENTS
All investments as of July 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.

⬤
76

Harbor Transformative Technologies ETF
PORTFOLIO OF INVESTMENTS—July 31, 2026 (Unaudited) 
Value and Cost in Thousands
 
 
 
COMMON STOCKS—96.1%
Shares
 
Value
AUTOMOBILES—2.2%
440
Tesla, Inc. *
$137
BIOTECHNOLOGY—1.6%
2,169
Roivant Sciences Ltd. *
73
56
Vertex Pharmaceuticals, Inc. *
27
 
 
100
BROADLINE RETAIL—6.0%
1,409
Amazon.com, Inc. *
383
COMMUNICATIONS EQUIPMENT—2.7%
945
Arista Networks, Inc. *
170
DIVERSIFIED TELECOMMUNICATION SERVICES—0.5%
313
Space Exploration Technologies Corp. Class A*
34
ELECTRIC UTILITIES—1.2%
281
Constellation Energy Corp.
74
ELECTRICAL EQUIPMENT—0.7%
187
Vertiv Holdings Co. Class A
45
ELECTRONIC EQUIPMENT, INSTRUMENTS & COMPONENTS—1.4%
275
Keysight Technologies, Inc. *
88
ENTERTAINMENT—1.1%
1,009
Netflix, Inc. *
72
FINANCIAL SERVICES—1.1%
117
Mastercard, Inc. Class A
67
HEALTH CARE EQUIPMENT & SUPPLIES—1.1%
204
Intuitive Surgical, Inc. *
72
HOTELS, RESTAURANTS & LEISURE—1.0%
428
Airbnb, Inc. Class A*
65
INTERACTIVE MEDIA & SERVICES—9.1%
1,140
Alphabet, Inc. Class A
406
308
Meta Platforms, Inc. Class A
171
 
 
577
IT SERVICES—5.8%
237
Cloudflare, Inc. Class A*
66
352
Quantinuum, Inc. Class A*
18
684
Shopify, Inc. Class A (Canada)*
80
710
Snowflake, Inc. *
208
 
 
372
 
COMMON STOCKS—Continued
Shares
 
Value
PHARMACEUTICALS—0.8%
310
AstraZeneca PLC (United Kingdom)
$53
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT—34.8%
588
Advanced Micro Devices, Inc. *
280
283
Analog Devices, Inc.
104
230
ARM Holdings PLC ADR*,1
55
76
ASML Holding NV New York Registry Shares
(Netherlands)
124
861
Broadcom, Inc.
335
90
Cerebras Systems, Inc. Class A*
18
412
Credo Technology Group Holding Ltd. *
85
896
Lam Research Corp.
262
939
Lattice Semiconductor Corp. *
117
72
Micron Technology, Inc.
59
2,085
NVIDIA Corp.
419
517
Onto Innovation, Inc. *
134
536
Taiwan Semiconductor Manufacturing Co. Ltd. ADR
(Taiwan)1
217
 
 
2,209
SOFTWARE—16.8%
243
Cadence Design Systems, Inc. *
83
700
Crowdstrike Holdings, Inc. Class A*
134
659
Datadog, Inc. Class A*
176
733
Microsoft Corp.
341
485
Oracle Corp.
63
441
Palantir Technologies, Inc. Class A*
54
317
Palo Alto Networks, Inc. *
105
1,767
Samsara, Inc. Class A*
66
424
ServiceNow, Inc. *
47
 
 
1,069
TECHNOLOGY HARDWARE, STORAGE & PERIPHERALS—8.2%
1,689
Apple, Inc.
522
TOTAL COMMON STOCKS
(Cost $4,589)
6,109
TOTAL INVESTMENTS—96.1%
(Cost $4,589)
6,109
CASH AND OTHER ASSETS, LESS LIABILITIES—3.9%
247
TOTAL NET ASSETS—100%
$6,356
 
FAIR VALUE MEASUREMENTS
All investments as of July 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.

⬤
77

Harbor ETF Trust
Notes to Portfolios of Investments—July 31, 2026 (Unaudited)

NOTE 1—ORGANIZATIONAL MATTERS
Harbor ETF Trust (the “Trust”) is registered under the Investment Company Act of 1940, as amended (the “Investment Company Act”), as an open-end management investment company. As of July 31, 2026, the Trust consists of the following separate portfolios (individually or collectively referred to as a “Fund” or the “Funds”, respectively).  The shares of each Fund are listed and traded on NYSE Arca, Inc. with the exception of shares of Harbor Commodity All-Weather Strategy ETF, Harbor Dividend Growth Leaders ETF, Harbor Long-Term Growers ETF, and Harbor PanAgora Dynamic Large Cap Core ETF which are listed and traded on NYSE. Harbor Capital Advisors, Inc. (the “Advisor” or “Harbor Capital”) is the investment adviser for the Funds. 
Harbor Active Commodity ETF (Consolidated)
Harbor Active Small Cap ETF
Harbor Active Small Cap Growth ETF
Harbor AI Inflection Strategy ETF
Harbor Alpha Layering ETF (Consolidated)
Harbor AlphaEdge™ Large Cap Value ETF
Harbor AlphaEdge™ Small Cap Earners ETF (currently,
Harbor Small Cap Earners ETF)
Harbor Ares Systematic High Yield ETF
Harbor Ares Systematic Multi-Sector Income ETF
Harbor Commodity All-Weather Strategy ETF
(Consolidated)
Harbor Disciplined Bond ETF
Harbor Dividend Growth Leaders ETF
Harbor Emerging Markets Equity ETF
Harbor Emerging Markets Select ETF
Harbor Health Care ETF
Harbor Human Capital Factor US Large Cap ETF
Harbor Human Capital Factor US Small Cap ETF
Harbor International Compounders ETF
Harbor International Equity ETF
Harbor Long-Short Equity ETF
Harbor Long-Term Growers ETF
Harbor Mid Cap Core ETF
Harbor Mid Cap Value ETF
Harbor Multi-Asset Explorer ETF (Consolidated) (currently,
Harbor Multi-Asset Total Return ETF)
Harbor Osmosis Emerging Markets Resource Efficient ETF
Harbor Osmosis International Resource Efficient ETF
Harbor PanAgora Dynamic Large Cap Core ETF
Harbor SMID Cap Core ETF
Harbor SMID Cap Value ETF
Harbor Transformative Technologies ETF
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 swaps 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

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Harbor ETF Trust
Notes to Portfolios of Investments—Continued

NOTE 2—SIGNIFICANT ACCOUNTING POLICIES—Continued 
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 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.
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.
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 Harbor Capital’s website at harborcapital.com for more information regarding each Fund’s significant accounting policies, investments, and related transactions.

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