HIINX
Harbor International Fund
HARBOR FUNDS

Portfolio moves

Net position changes between two of this fund's N-PORT snapshots. These are differences between point-in-time reports — not a trade log — and share counts can be affected by splits and other corporate actions.

Oct 31, 2025 → Jan 31, 2026

Expand a category to see the positions behind it, ranked by weight.

Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
KOMATSU LTD 0 306,200 306,200 0.30% $11.72M
SCOUT24 SE 0 78,134 78,134 0.20% $7.78M
NINTENDO CO LTD 0 97,300 97,300 0.16% $6.03M
ALCON INC 0 23,678 23,678 0.05% $1.92M
IBERDROLA SA - INT (JAN 2026) 0 16,136 16,136 0.01% $361.97K
OSAKA TITANIUM 0 22,900 22,900 0.01% $341.01K
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
AMRIZE LTD 190,979 0 -190,979 0.00% -$9.88M
M3 INC COMMON STOCK 542,200 0 -542,200 0.00% -$7.60M
GERRESHEIMER AG 105,586 0 -105,586 0.00% -$3.36M
BID CORP LTD 111,261 0 -111,261 0.00% -$2.75M
ADVANTECH 257,557 0 -257,557 0.00% -$2.62M
JOHNSON ELECTRIC HOLDINGS LTD 460,507 0 -460,507 0.00% -$2.16M
GRUMA SAB-B 108,124 0 -108,124 0.00% -$1.83M
ZHONGSHENG GROUP 1,052,000 0 -1,052,000 0.00% -$1.66M
MEDIPAL HD 41,400 0 -41,400 0.00% -$673.59K
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
3I GROUP PLC 1,770,500 1,849,129 78,629 2.19% -$17.51M
Bridgestone Corporation 803,200 1,541,000 737,800 0.90% -$369.32K
BHP GROUP LTD 909,241 932,512 23,271 0.83% $6.20M
WIENERBERGER AG 776,741 847,421 70,680 0.72% $4.95M
CSL LTD COMMON STOCK 156,334 191,368 35,034 0.62% $5.90M
ADIDAS AG 96,508 122,284 25,776 0.56% $3.43M
HOLCIM LTD 190,979 208,873 17,894 0.56% $4.55M
ZOZO INC 1,984,000 2,185,000 201,000 0.47% $896.20K
JAPAN POST HOLDI 1,293,100 1,471,700 178,600 0.46% $5.59M
DOWA HOLDINGS CO 274,900 280,800 5,900 0.43% $6.66M
IHI CORP 672,400 683,700 11,300 0.41% $1.90M
TAIHEIYO CEMENT 526,600 534,800 8,200 0.38% $408.51K
SHISEIDO CO LTD 529,300 846,200 316,900 0.37% $5.54M
AUTOTRADER GROUP 1,294,367 1,675,892 381,525 0.32% -$925.20K
ABC-MART INC 704,400 716,300 11,900 0.30% -$592.51K
CK HUTCHISON HOLDINGS LTD COMMON STOCK HKD1.0 1,147,000 1,341,000 194,000 0.28% $3.21M
TSUMURA & CO 366,000 371,600 5,600 0.25% $1.33M
HKEX 116,600 171,300 54,700 0.24% $3.09M
CAPITEC BANK HOLDINGS LTD COMMON STOCK 31,246 33,386 2,140 0.23% $2.05M
SECOM CO LTD 227,100 241,700 14,600 0.23% $1.18M
SHINHAN FINANCIA 147,553 151,196 3,643 0.23% $1.26M
Nikon Corp. 646,200 697,900 51,700 0.23% $1.25M
NATL BANK GREECE 437,999 455,686 17,687 0.21% $1.61M
HENDERSON LAND D 1,579,879 2,016,879 437,000 0.21% $2.46M
B3 SA 2,033,600 2,503,100 469,500 0.20% $2.90M
AMPLIFON SPA 285,961 419,429 133,468 0.17% $1.88M
VALTERRA PLATINU 66,846 69,350 2,504 0.16% $2.10M
SANY HEAVY IND-A 1,770,000 1,972,500 202,500 0.16% $714.77K
ORACLE CORP JPN 40,500 89,900 49,400 0.16% $2.35M
PRIO SA 487,620 604,224 116,604 0.15% $2.59M
RELIANCE WORLDWIDE CORP 1,950,474 2,220,954 270,480 0.15% $482.52K
COPA HOLDINGS SA CL A 40,047 41,348 1,301 0.15% $625.58K
MILLICOM INTL CELL SA 80,812 86,649 5,837 0.14% $1.48M
MARICO LTD 591,530 627,542 36,012 0.13% $181.42K
AVI LTD 622,050 710,446 88,396 0.12% $1.24M
MEGMILK SNOW 195,300 211,400 16,100 0.12% $1.02M
LAUREATE EDUCATION INC CL A 124,692 127,474 2,782 0.11% $752.55K
TREASURY WINE ES 1,038,568 1,162,815 124,247 0.11% $265.13K
CHINA RES LAND 979,992 1,094,492 114,500 0.11% $745.58K
GRUPO F BANORT-O 376,700 379,000 2,300 0.11% $736.39K
ENTEL 528,283 697,380 169,097 0.10% $1.23M
BOC AVIATION LTD 247,200 321,600 74,400 0.09% $1.16M
SYSMEX CORPORATION 259,000 320,400 61,400 0.08% $144.49K
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
ASML Holding NV 66,125 63,998 -2,127 2.37% $21.85M
UNICREDIT SPA 1,007,469 974,832 -32,637 2.19% $10.35M
ROLLS-ROYCE HOLDINGS PLC 5,131,419 4,965,139 -166,280 2.14% $4.04M
BARCLAYS PLC 12,250,971 11,854,084 -396,887 2.04% $13.41M
CAIXABANK SA 6,055,272 5,859,151 -196,121 2.00% $13.34M
AIA Group Ltd 6,151,000 5,857,400 -293,600 1.74% $7.73M
STANDARD CHARTER 2,664,040 2,433,131 -230,909 1.61% $7.57M
BP PLC 9,621,502 9,309,657 -311,845 1.52% $2.66M
NOVO NORDISK-B 1,020,132 987,072 -33,060 1.51% $8.39M
GLENCORE PLC 8,541,705 8,265,610 -276,095 1.45% $15.43M
SCHNEIDER ELECTR 195,063 188,739 -6,324 1.40% -$1.47M
NTT INC 47,491,500 47,301,800 -189,700 1.23% -$1.35M
BAE SYSTEMS PLC 1,791,671 1,733,661 -58,010 1.22% $2.93M
SUMITOMO MET MIN 861,500 829,800 -31,700 1.21% $18.71M
CIE FINANCI-REG 243,162 235,283 -7,879 1.18% -$2.43M
BANK OF IRELAND GROUP PLC 2,159,267 2,089,278 -69,989 1.10% $7.10M
ARCELORMITTAL 796,602 774,946 -21,656 1.09% $11.67M
LLOYDS BANKING 25,482,605 24,650,774 -831,831 0.95% $6.93M
DNB BANK ASA 1,313,037 1,270,509 -42,528 0.94% $2.91M
Prudential Public Limited Company 2,285,406 2,212,012 -73,394 0.94% $4.55M
RELX PLC 1,058,844 1,024,517 -34,327 0.94% -$10.48M
ASSA ABLOY AB SER B 925,732 895,756 -29,976 0.94% $1.33M
SUMITOMO MITSUI 1,096,600 1,065,300 -31,300 0.92% $5.46M
VESTAS WIND SYST 1,184,003 1,145,637 -38,366 0.90% $10.51M
TOKIO MARINE HOLDINGS INC COMMON STOCK 932,900 931,500 -1,400 0.90% -$71.43K
Compass Group PLC 1,194,002 1,155,315 -38,687 0.89% -$4.88M
RECKITT BENCKISE 429,135 415,230 -13,905 0.89% $1.82M
GEBERIT INTERNATINAL AG 45,695 44,215 -1,480 0.87% $358.01K
RESONA HOLDINGS 2,850,400 2,741,600 -108,800 0.83% $4.49M
JAPAN POST BANK 1,979,600 1,769,000 -210,600 0.81% $9.25M
CARLSBERG-B 236,723 229,059 -7,664 0.80% $3.31M
DIAGEO PLC 1,379,609 1,334,985 -44,624 0.79% -$1.02M
OLYMPUS CORP 2,607,500 2,499,800 -107,700 0.77% -$2.23M
DBS GROUP HLDGS 706,417 621,217 -85,200 0.75% -$371.80K
SONY GROUP CORP 1,230,300 1,230,000 -300 0.70% -$7.14M
EUROFINS SCIENTIFIC SE (BEARER) 338,455 327,407 -11,048 0.68% $2.61M
MITSUBISHI UFJ F 1,537,600 1,455,200 -82,400 0.68% $3.13M
NOMURA HOLDINGS 2,930,300 2,895,000 -35,300 0.68% $5.32M
IBERDROLA SA 1,201,428 1,161,355 -40,073 0.67% $1.76M
SAMPO OYJ-A SHS 2,402,818 2,324,798 -78,020 0.67% -$855.75K
SAMSONITE INTL 10,063,200 9,751,800 -311,400 0.64% $3.73M
DAVIDE CAMPARI-M 3,477,956 3,365,273 -112,683 0.62% -$228.11K
DAIWA HOUSE INDU 725,500 703,500 -22,000 0.62% -$643.69K
INTERTEK GROUP PLC COMMON STOCK GBP.01 397,383 384,520 -12,863 0.61% -$2.88M
ESSILORLUXOTTICA 78,451 75,890 -2,561 0.60% -$5.53M
SANDVIK AB 606,870 587,060 -19,810 0.60% $4.83M
TSMC 451,000 406,993 -44,007 0.58% $694.84K
KONINKLIJKE AHOL 594,052 574,784 -19,268 0.58% -$1.83M
SERCO GROUP 5,595,311 5,414,352 -180,959 0.57% $3.56M
Bunzl Public Limited Company 818,439 791,943 -26,496 0.57% -$2.67M
INTERCONTINENTAL HOTELS GROUP PLC 165,769 160,436 -5,333 0.56% $1.68M
MITSUB ELEC CORP 737,700 677,600 -60,100 0.55% $237.85K
ASAHI GROUP HOLDINGS LTD COMMON STOCK 2,082,400 2,019,200 -63,200 0.55% -$1.31M
SVENSKA HAN-A 1,383,113 1,337,964 -45,149 0.54% $3.04M
HANNOVER RUECK S 76,942 74,467 -2,475 0.54% -$909.77K
FLUIDRA SA 738,919 714,971 -23,948 0.54% -$590.27K
WARTSILA OYJ CLASS B 525,664 508,505 -17,159 0.53% $3.42M
COLOPLAST-B COMMON STOCK 249,864 241,784 -8,080 0.53% -$1.99M
CNH INDUSTRIAL NV 1,951,303 1,899,123 -52,180 0.53% -$34.60K
ENTAIN PLC 2,542,281 2,460,016 -82,265 0.53% -$6.07M
HISCOX LTD (NE HISCOX BERMUDA) 1,014,723 982,083 -32,640 0.52% $1.63M
OBAYASHI CORP 1,017,900 874,500 -143,400 0.51% $2.52M
TECHNIP ENERGIES 494,715 478,802 -15,913 0.48% -$1.34M
JARDINE MATHESON 291,000 253,400 -37,600 0.48% $1.38M
USS Company, Ltd. 1,753,400 1,666,200 -87,200 0.48% -$943.42K
LEGRAND SA COMMON STOCK 118,619 114,747 -3,872 0.47% -$2.16M
BRENNTAG SE COMMON STOCK 309,591 299,569 -10,022 0.47% $1.03M
ALFA LAVAL AB COMMON STOCK 320,946 310,293 -10,653 0.46% $2.72M
SALMAR ASA 311,660 301,563 -10,097 0.46% $463.26K
EXPERIAN PLC COMMON STOCK USD.1 489,557 473,576 -15,981 0.46% -$4.90M
GEA GROUP AG 259,166 250,829 -8,337 0.46% -$602.54K
ANDRITZ AG 208,582 201,873 -6,709 0.45% $1.70M
SANTOS LTD 3,654,909 3,540,988 -113,921 0.45% $2.17M
CONVATEC GROUP P 5,650,433 5,467,217 -183,216 0.45% -$901.49K
DEMANT A/S 503,000 486,713 -16,287 0.44% $301.73K
DCC PLC 272,211 263,397 -8,814 0.43% -$1.24M
IG GROUP HOLDING 900,625 871,417 -29,208 0.42% $2.98M
EDENRED 791,230 765,631 -25,599 0.41% -$6.71M
QBE INSURANCE 1,163,864 1,126,423 -37,441 0.40% $337.86K
SSP GROUP PLC 6,307,992 6,103,612 -204,380 0.39% $2.53M
REXEL SA 365,295 353,078 -12,217 0.38% $2.13M
ADMIRAL GROUP PLC 384,988 372,155 -12,833 0.36% -$2.57M
BAKKAFROST P/F 296,836 287,219 -9,617 0.36% $244.68K
KIRIN HOLDINGS CO LTD 880,600 878,600 -2,000 0.35% $1.28M
EAST JAPAN RAIL 559,600 538,300 -21,300 0.35% -$154.61K
EQUINOR ASA 511,743 495,038 -16,705 0.34% $1.05M
ELIS SA 466,376 451,375 -15,001 0.34% $117.25K
RIGHTMOVE PLC COMMON STOCK GBP.001 1,995,639 1,930,495 -65,144 0.34% -$4.45M
FRESENIUS MEDICAL CARE AG COMMON STOCK 298,070 288,420 -9,650 0.34% -$3.02M
EASYJET PLC 2,036,588 1,970,551 -66,037 0.33% -$73.28K
COCA-COLA EUROPA 143,981 139,350 -4,631 0.33% -$11.44K
TAISEI CORP 208,674 124,574 -84,100 0.32% -$2.76M
NH FOODS LTD 281,000 272,000 -9,000 0.32% $1.97M
NIPPON TV HDS 513,900 512,900 -1,000 0.32% -$141.53K
HITACHI LTD 365,600 354,200 -11,400 0.32% -$197.74K
TBS HOLDINGS INC 324,700 314,200 -10,500 0.31% $971.35K
IDEMITSU KOSAN C 1,464,500 1,417,700 -46,800 0.31% $1.85M
TOYO SEIKAN GRP 490,800 474,900 -15,900 0.31% $896.59K
ALTEN 125,214 121,156 -4,058 0.31% $1.56M
Toyo Suisan Kaisha Ltd. 170,100 164,100 -6,000 0.30% -$613.52K
Techtronic Industries Company Limited 876,500 848,000 -28,500 0.30% $1.35M
MITSUBISHI CORP 441,700 427,600 -14,100 0.29% $753.38K
West Japan Railway Company 646,400 555,100 -91,300 0.29% -$1.94M
SAMSUNG ELECTRONICS CO LTD 104,330 101,189 -3,141 0.29% $3.33M
Common Stock 105,713 102,262 -3,451 0.27% $673.78K
ROTORK PLC COMMON STOCK 2,224,163 2,152,620 -71,543 0.27% $433.27K
MURATA MFG CO 525,000 508,700 -16,300 0.27% -$984.96K
GALAXY ENTERTAIN 2,101,000 2,034,000 -67,000 0.27% -$133.60K
SEVEN I HOLDINGS COMPANY 743,200 719,100 -24,100 0.27% $844.59K
Newmont Corporation 101,018 89,013 -12,005 0.26% $1.84M
BIOMERIEUX 86,846 84,052 -2,794 0.25% -$1.42M
NEC CORP 320,400 283,100 -37,300 0.25% -$2.04M
ALS LTD 562,884 545,069 -17,815 0.24% $1.31M
WH SMITH PLC COMMON STOCK 1,036,844 1,003,228 -33,616 0.24% $55.88K
NASPERS NPV 154,920 150,793 -4,127 0.24% -$1.65M
INPEX CORP 561,200 402,200 -159,000 0.23% -$1.34M
BARRATT REDROW P 1,743,731 1,686,500 -57,231 0.23% $351.35K
SEGA SAMMY HOLDINGS INC 585,200 566,900 -18,300 0.23% -$1.94M
KINDEN CORP 310,800 200,900 -109,900 0.23% -$3.56M
ORORA LTD 6,267,782 6,077,372 -190,410 0.22% $385.14K
Southern Copper Corporation COM USD0.01 51,052 44,393 -6,659 0.22% $1.36M
IPH LTD 3,353,787 3,251,109 -102,678 0.22% $349.35K
QANTAS AIRWAYS 1,244,028 1,204,062 -39,966 0.22% $130.47K
ARISTOCRAT LEISURE LTD COMMON STOCK 233,957 226,474 -7,483 0.22% -$1.27M
SHIP HEALTHCARE 495,200 480,100 -15,100 0.20% $505.99K
MITSUB LOGISTICS 950,600 914,300 -36,300 0.20% $917.08K
KUBOTA CORP 609,000 509,500 -99,500 0.20% -$78.43K
INCHCAPE PLC 718,674 695,214 -23,460 0.20% $562.38K
MITSUBISHI MOTOR 3,760,000 3,090,000 -670,000 0.20% -$1.57M
RATHBONES GROUP PLC 257,490 249,207 -8,283 0.19% $1.51M
WHITBREAD PLC COMMON STOCK 205,190 198,492 -6,698 0.19% -$402.24K
ITV PLC 6,792,306 6,570,585 -221,721 0.19% $1.11M
NITORI HOLDINGS CO LTD COMMON STOCK 429,600 415,900 -13,700 0.18% $148.92K
HDFC BANK LTD 803,124 692,255 -110,869 0.18% -$1.94M
Dassault Systemes SE 256,379 248,010 -8,369 0.18% -$474.50K
PETS AT HOME 2,458,951 2,379,856 -79,095 0.17% -$261.51K
VISCOFAN SA COMMON STOCK 97,157 96,651 -506 0.17% $448.19K
IRISH CONTL GRP PLC UNITS 862,151 839,874 -22,277 0.16% $650.52K
SWIRE PACIFIC-A 680,000 658,500 -21,500 0.16% $738.11K
AIR WATER INC 420,700 407,200 -13,500 0.16% $305.82K
MEDIATEK 105,000 101,000 -4,000 0.14% $1.15M
DAIEI KANKYO CO 227,500 210,500 -17,000 0.14% $492.53K
PAGEGROUP PLC 2,698,084 1,921,877 -776,207 0.14% -$2.94M
TOYOTA INDUSTRIE 50,100 41,100 -9,000 0.14% -$186.98K
ASMPT LTD 406,800 393,600 -13,200 0.14% $967.15K
RANDSTAD NV 247,550 142,889 -104,661 0.13% -$4.59M
Midea Group Company, Ltd. 454,600 441,900 -12,700 0.13% $52.16K
BEFESA SA 137,180 132,702 -4,478 0.13% $317.17K
JUPITER FUND 1,901,693 1,848,290 -53,403 0.12% $944.45K
CEMEX SAB-SP ADR 406,678 366,914 -39,764 0.12% $451.31K
DETERRA ROYALTIE 1,614,861 1,565,803 -49,058 0.12% $266.83K
ARCA CONTINENTAL 397,200 386,800 -10,400 0.11% $513.31K
Embotelladora Andina SA PREFERRED STOCK 853,850 827,615 -26,235 0.11% $506.74K
ACERINOX 299,737 289,953 -9,784 0.11% $447.18K
DELTA ELEC 131,000 112,000 -19,000 0.11% $60.71K
HAKUHODO DY HOLDINGS INC 620,800 538,700 -82,100 0.10% -$468.42K
VISHOP HOLDINGS LTD ADR 236,606 229,424 -7,182 0.10% -$212.79K
BANK CENTRAL ASI 9,071,600 8,828,900 -242,700 0.10% -$743.54K
SERIA CO LTD 156,700 151,700 -5,000 0.09% $620.64K
CLOSE BROS GRP 528,387 511,391 -16,996 0.09% $635.35K
DOMINOS PIZZA ENTERPRISES LTD 231,153 223,760 -7,393 0.09% $776.19K
GN STORE NORDIC LTD 201,130 194,564 -6,566 0.09% -$106.56K
FIRST QUANTUM 124,685 120,624 -4,061 0.09% $820.97K
SHENZHOU INTL GP 412,618 400,218 -12,400 0.08% -$378.56K
Tencent Music Entertainment Group SPON ADS EA REP 2 ORD SHS 217,635 179,985 -37,650 0.08% -$1.84M
STABILUS SE 111,948 108,294 -3,654 0.06% -$324.32K
WPP PLC 619,631 597,655 -21,976 0.06% $137.83K
FUTURE PLC 485,476 313,795 -171,681 0.06% -$1.59M
HAVELLS INDIA 164,663 159,478 -5,185 0.06% -$539.43K
LI NING CO LTD 594,500 577,000 -17,500 0.04% $216.27K
JOHN WOOD GROUP PLC 3,006,233 2,745,506 -260,727 0.03% $976.07K
CAPITA PLC 424,447 150,237 -274,210 0.02% -$972.28K
MITSUBISHI HEAVY INDS LTD 225,100 15,700 -209,400 0.01% -$6.33M
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
Severstal Public Joint Stock Company SP GDR S OCT 06 217,215 217,215 0 0.00% $0
X 5 RETAIL GROUP NV-REGS GDR /RUB/ REG S 0.00000000 95,013 95,013 0 0.00% -$1

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