HSVRX
Harbor Small Cap Value 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
DAKTRONICS INC 0 162,219 162,219 0.17% $3.76M

No positions in this category.

Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
BENCHMARK ELECTRONICS INC 156,459 651,261 494,802 1.53% $27.10M
WOLVERINE WORLD WIDE INC 1,110,819 1,325,572 214,753 1.06% -$1.73M
TRINET GROUP INC 224,377 383,046 158,669 1.06% $10.00M
CONMED CORP 362,897 401,905 39,008 0.70% -$538.34K
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
FLOWSERVE CORP 990,444 937,916 -52,528 3.31% $5.70M
MOOG INC-CLASS A 234,113 221,697 -12,416 3.06% $19.74M
FORMFACTOR INC 1,133,832 943,494 -190,338 3.00% $4.20M
ADV ENERGY INDS 338,114 256,670 -81,444 2.96% -$3.00M
AMKOR TECHNOLOGY INC 1,537,444 1,295,126 -242,318 2.83% $12.96M
HOULIHAN LOKEY I 411,579 365,863 -45,716 2.78% -$12.12M
ENERSYS INC 340,327 322,278 -18,049 2.62% $15.14M
FIRSTCASH HOLDINGS INC 338,114 320,183 -17,931 2.46% $1.00M
AAR CORP 537,265 508,772 -28,493 2.43% $8.64M
SPX TECHNOLOGIES INC 258,454 244,747 -13,707 2.30% -$6.86M
PLEXUS CORP 262,880 248,938 -13,942 2.24% $12.84M
GATX CORP 287,220 271,988 -15,232 2.23% $4.43M
HEXCEL CORPORATION 625,334 592,170 -33,164 2.21% $4.39M
DARLING INGREDIENTS INC 1,091,347 1,033,468 -57,879 2.13% $12.21M
SOUTHSTATE BANK CORP 478,847 453,452 -25,395 2.09% $3.95M
CHEESECAKE FACTORY INC 832,008 787,883 -44,125 2.06% $4.23M
PARSONS CORP 684,637 648,328 -36,309 2.05% -$11.50M
UNITED COMMUNITY BANKS GA 1,354,226 1,282,406 -71,820 1.99% $4.61M
CASELLA WASTE SYS INC CL A 452,294 428,307 -23,987 1.95% $3.15M
STIFEL FINANCIAL CORP 396,974 347,842 -49,132 1.94% -$4.12M
OCEANEERING INTL 1,499,827 1,420,285 -79,542 1.93% $7.82M
SCOTTS MIRACLE GRO CO 700,126 662,996 -37,130 1.92% $5.11M
UMB FINANCIAL CORP 353,161 334,432 -18,729 1.92% $4.77M
UNITED BANKSHS 1,055,942 999,941 -56,001 1.91% $4.54M
RYDER SYSTEM INC 229,688 217,506 -12,182 1.88% $2.73M
TRUSTMARK CORP 1,021,423 967,253 -54,170 1.86% $3.11M
LITTELFUSE INC 130,997 124,050 -6,947 1.81% $8.29M
REINSURANCE GROUP OF AMERICA 205,347 194,457 -10,890 1.78% $1.96M
FRANKLIN ELECTRIC CO. INC. 411,136 389,332 -21,804 1.75% -$178.10K
FRANK'S INTERNATIONAL NV 2,551,343 2,416,035 -135,308 1.75% $4.03M
ATLANTIC UNION B 955,924 905,228 -50,696 1.59% $4.07M
ONE GAS INC 465,128 440,461 -24,667 1.58% -$2.26M
CTS CORP 691,717 655,033 -36,684 1.52% $4.96M
FIRST MERCHANTS CORP 891,311 844,041 -47,270 1.52% $1.94M
INTEGER HOLDINGS CORP 402,728 381,369 -21,359 1.50% $7.12M
MERITAGE HOMES CORP 493,452 467,282 -26,170 1.47% -$856.85K
EVERUS CONSTRUCTION GROUP INC 387,238 366,701 -20,537 1.47% -$2.75M
STAG INDUSTRIAL INC CL A 903,260 855,356 -47,904 1.45% -$2.48M
ENTERPRISE FINL SVCS CORP 582,848 551,938 -30,910 1.43% $1.13M
CABOT CORP 459,817 435,432 -24,385 1.42% $405.38K
NORTHEAST BANK 258,011 244,328 -13,683 1.27% $5.89M
BOX INC- CLASS A 1,162,598 1,100,941 -61,657 1.26% -$9.40M
TIMKEN CO 308,463 292,104 -16,359 1.23% $3.00M
ARCHROCK INC 904,588 856,614 -47,974 1.14% $2.49M
HELMERICH & PAYN 783,327 741,784 -41,543 1.13% $4.56M
DIODES INC 404,055 382,627 -21,428 1.02% $1.09M
CORE LABORATORIES INC 1,223,229 1,158,356 -64,873 1.02% $3.14M
FOUR CORNERS PRO 961,677 910,676 -51,001 1.01% -$285.88K
CORPORATE OFFICE PROPERTIES TR 645,249 611,029 -34,220 0.85% $649.14K
ALBANY INTL CORP 351,834 333,174 -18,660 0.83% -$1.42M
HORACE MANN EDUCATORS CORP 417,332 395,199 -22,133 0.80% -$950.05K
ENTEGRIS INC 155,781 147,519 -8,262 0.79% $3.15M
SABRE CORP 9,918,151 9,392,152 -525,999 0.55% -$8.07M
PEBBLEBROOK HOTEL TRUST 942,647 892,655 -49,992 0.46% $334.03K

No positions in this category.

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