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Harbor High-Yield Bond Fund (HYFAX)

Please note: The Boards of Trustees of Harbor Funds and Harbor ETF Trust have approved the reorganization (the “Reorganization”) of the Harbor High-Yield Bond Fund, a series of Harbor Funds, into the Harbor Scientific Alpha High-Yield ETF, a series of Harbor ETF Trust that operates as an exchange-traded fund (“ETF”). The Reorganization is expected to occur on or about the close of business on February 24, 2023. Please see "High-Yield Bond Information Statement/Prospectus" in the Documents section of this page for more information.

Harbor High-Yield Bond Fund (HYFAX)

Please note: The Boards of Trustees of Harbor Funds and Harbor ETF Trust have approved the reorganization (the “Reorganization”) of the Harbor High-Yield Bond Fund, a series of Harbor Funds, into the Harbor Scientific Alpha High-Yield ETF, a series of Harbor ETF Trust that operates as an exchange-traded fund (“ETF”). The Reorganization is expected to occur on or about the close of business on February 24, 2023. Please see "High-Yield Bond Information Statement/Prospectus" in the Documents section of this page for more information.

Class
Overview
Performance
Holdings
Investment Team
Documents
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Overview

Investment Team

Current Price

As of 2/24/2023

$8.59

Price (NAV)

-$0.03

NAV Daily Change ($)

-0.35%

NAV Daily Change (%)

1.12%

NAV YTD Return

5.71%

Current 30-Day Sub. SEC Yield
disclaimer

5.62%

Current 30-Day Unsub. SEC Yield
disclaimer

5.86%

Effective 30-Day Sub. SEC Yield
disclaimer

5.77%

Effective 30-Day Unsub. SEC Yield
disclaimer

Fund Facts

As of 1/31/2023

12/1/2002

Inception Date

0.65

Net Expense Ratio
disclaimer

0.74

Gross Expense Ratio

$195.227

Total Fund Net Assets (million)
As of 1/31/2023

$158.301

Total Share Class Net Assets (million)
As of 1/31/2023

HYFAX

Ticker

2024

Fund Number

Share Class:

Institutional Class

Top Ten Holdings

"The compounding of interest income is one of the most underestimated drivers of long term performance."

Mark Shenkman

President, Shenkman Capital Management, Inc.

Performance

Total Returns

Month-End

Net Expense Ratio

Gross Expense Ratio

High-Yield Bond Fund
0.65%disclaimer
0.74%
ICE BofA US Non-Distressed High Yield Index
--
--
ICE BofA US High Yield Index (H0A0)
--
--

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

The ICE BofA US Non-Distressed High Yield Index is a subset of the ICE BofA US High Yield Index (H0A0) including all securities with an option-adjusted spread less than 1,000 basis points. The ICE BofA US High Yield Index (H0A0) is an unmanaged index that tracks the performance of below investment grade U.S. Dollar-denominated corporate bonds publicly issued in the U.S. domestic market. All bonds are U.S. Dollar-denominated and rated Split BBB and below. These unmanaged indices do not reflect fees and expenses and are not available for direct investment.

The ICE BofA US High Yield Index (H0A0) Index is an unmanaged index that tracks the performance of below investment grade U.S. Dollar-denominated corporate bonds publicly issued in the U.S. domestic market. All bonds are U.S. dollar denominated and rated Split BBB and below. This unmanaged index does not reflect fees and expenses and is not available for direct investment.

Chart

Record Date

Reinvest Date

Payable Date

Return of Capital Non Taxable Dist

Ordinary Income

Total Capital Gains

Short Term Capital Gains

Mid Term Capital Gains

Long Term Capital Gains

Total Distribution

Foreign Tax Credit

Reinvest Price

2/16/2023
2/17/2023
2/17/2023
0.00293
0.03966
0.00000
--
0.00000
--
0.04259
0.00000
8.61
1/30/2023
1/31/2023
1/31/2023
0.00164
0.02228
0.00000
--
0.00000
--
0.02392
0.00000
8.75
12/16/2022
12/19/2022
12/19/2022
0.00000
0.08142
0.00000
--
0.00000
--
0.08142
0.00000
8.62
11/28/2022
11/29/2022
11/29/2022
0.00000
0.03825
0.00000
--
0.00000
--
0.03825
0.00000
8.63
10/27/2022
10/28/2022
10/28/2022
0.00000
0.03728
0.00000
--
0.00000
--
0.03728
0.00000
8.60
9/28/2022
9/29/2022
9/29/2022
0.00000
0.03794
0.00000
--
0.00000
--
0.03794
0.00000
8.37
8/29/2022
8/30/2022
8/30/2022
0.00000
0.04199
0.00000
--
0.00000
--
0.04199
0.00000
8.76
7/27/2022
7/28/2022
7/28/2022
0.00000
0.03875
0.00000
--
0.00000
--
0.03875
0.00000
8.86
6/28/2022
6/29/2022
6/29/2022
0.00000
0.04118
0.00000
--
0.00000
--
0.04118
0.00000
8.54
5/25/2022
5/26/2022
5/26/2022
0.00000
0.03462
0.00000
--
0.00000
--
0.03462
0.00000
9.03
4/27/2022
4/28/2022
4/28/2022
0.00000
0.03315
0.00000
--
0.00000
--
0.03315
0.00000
9.17
3/29/2022
3/30/2022
3/30/2022
0.00000
0.04074
0.00000
--
0.00000
--
0.04074
0.00000
9.44
2/24/2022
2/25/2022
2/25/2022
0.00000
0.03217
0.00000
--
0.00000
--
0.03217
0.00000
9.52
1/27/2022
1/28/2022
1/28/2022
0.00000
0.03026
0.00000
--
0.00000
--
0.03026
0.00000
9.64
12/29/2021
12/30/2021
12/30/2021
0.00000
0.05692
0.00000
--
0.00000
--
0.05692
0.00000
9.91
11/26/2021
11/29/2021
11/29/2021
0.00000
0.03289
0.00000
--
0.00000
--
0.03289
0.00000
9.82
10/27/2021
10/28/2021
10/28/2021
0.00000
0.03436
0.00000
--
0.00000
--
0.03436
0.00000
9.95
9/28/2021
9/29/2021
9/29/2021
0.00000
0.03398
0.00000
0.00000
0.00000
0.00000
0.03398
0.00000
10.00
8/27/2021
8/30/2021
8/30/2021
0.00000
0.03597
0.00000
0.00000
0.00000
0.00000
0.03597
0.00000
10.01
7/28/2021
7/29/2021
7/29/2021
0.00000
0.03590
0.00000
0.00000
0.00000
0.00000
0.03590
0.00000
10.02
6/28/2021
6/29/2021
6/29/2021
0.00000
0.03823
0.00000
0.00000
0.00000
0.00000
0.03823
0.00000
10.02
5/26/2021
5/27/2021
5/27/2021
0.00000
0.03622
0.00000
0.00000
0.00000
0.00000
0.03622
0.00000
9.93
4/28/2021
4/29/2021
4/29/2021
0.00000
0.03479
0.00000
0.00000
0.00000
0.00000
0.03479
0.00000
9.94
3/29/2021
3/30/2021
3/30/2021
0.00000
0.10815
0.00000
0.00000
0.00000
0.00000
0.10815
0.00000
9.87
12/16/2020
12/17/2020
12/17/2020
0.00000
0.14262
0.00000
0.00000
0.00000
0.00000
0.14262
0.00000
9.88
9/28/2020
9/29/2020
9/29/2020
0.00000
0.11416
0.00000
0.00000
0.00000
0.00000
0.11416
0.00000
9.51
6/26/2020
6/29/2020
6/29/2020
0.00000
0.11830
0.00000
0.00000
0.00000
0.00000
0.11830
0.00000
9.27
3/27/2020
3/30/2020
3/30/2020
0.00000
0.12953
0.00000
0.00000
0.00000
0.00000
0.12953
0.00000
8.55
12/13/2019
12/16/2019
12/16/2019
0.00000
0.14938
0.00000
0.00000
0.00000
0.00000
0.14938
0.00000
9.88
9/25/2019
9/26/2019
9/26/2019
0.00000
0.12631
0.00000
0.00000
0.00000
0.00000
0.12631
0.00000
9.87
6/26/2019
6/27/2019
6/27/2019
0.00000
0.12851
0.00000
0.00000
0.00000
0.00000
0.12851
0.00000
9.81
3/27/2019
3/28/2019
3/28/2019
0.00000
0.14445
0.00000
0.00000
0.00000
0.00000
0.14445
0.00000
9.70
12/14/2018
12/17/2018
12/17/2018
0.00000
0.16625
0.00000
0.00000
0.00000
0.00000
0.16625
0.00000
9.42
9/26/2018
9/27/2018
9/27/2018
0.00000
0.13218
0.00000
0.00000
0.00000
0.00000
0.13218
0.00000
9.83
6/27/2018
6/28/2018
6/28/2018
0.00000
0.14097
0.00000
0.00000
0.00000
0.00000
0.14097
0.00000
9.75
3/27/2018
3/28/2018
3/28/2018
0.00000
0.14207
0.00000
0.00000
0.00000
0.00000
0.14207
0.00000
9.83
12/15/2017
12/18/2017
12/18/2017
0.00000
0.15920
0.00000
0.00000
0.00000
0.00000
0.15920
0.00000
10.03
9/27/2017
9/28/2017
9/28/2017
0.00000
0.13852
0.00000
0.00000
0.00000
0.00000
0.13852
0.00000
10.16
6/28/2017
6/29/2017
6/29/2017
0.00000
0.14236
0.00000
0.00000
0.00000
0.00000
0.14236
0.00000
10.12
3/29/2017
3/30/2017
3/30/2017
0.00000
0.13248
0.00000
0.00000
0.00000
0.00000
0.13248
0.00000
10.07
12/16/2016
12/19/2016
12/19/2016
0.00000
0.16150
0.00000
0.00000
0.00000
0.00000
0.16150
0.00000
9.95
9/28/2016
9/29/2016
9/29/2016
0.00000
0.12721
0.00000
0.00000
0.00000
0.00000
0.12721
0.00000
9.97
6/28/2016
6/29/2016
6/29/2016
0.00000
0.12700
0.00000
0.00000
0.00000
0.00000
0.12700
0.00000
9.65
3/29/2016
3/30/2016
3/30/2016
0.00000
0.11153
0.00000
0.00000
0.00000
0.00000
0.11153
0.00000
9.49
12/16/2015
12/17/2015
12/17/2015
0.00000
0.15736
0.00000
0.00000
0.00000
0.00000
0.15736
0.00000
9.35
9/23/2015
9/24/2015
9/24/2015
0.00000
0.12789
0.00000
0.00000
0.00000
0.00000
0.12789
0.00000
9.86
6/26/2015
6/29/2015
6/29/2015
0.00000
0.13329
0.00000
0.00000
0.00000
0.00000
0.13329
0.00000
10.34
3/27/2015
3/30/2015
3/30/2015
0.00000
0.13707
0.00000
0.00000
0.00000
0.00000
0.13707
0.00000
10.46
12/17/2014
12/18/2014
12/18/2014
0.00000
0.14025
0.22079
0.05131
0.00000
0.16948
0.36104
0.00000
10.15
9/24/2014
9/25/2014
9/25/2014
0.00000
0.13316
0.00000
0.00000
0.00000
0.00000
0.13316
0.00000
10.75
6/25/2014
6/26/2014
6/26/2014
0.00000
0.15229
0.00000
0.00000
0.00000
0.00000
0.15229
0.00000
11.08
3/26/2014
3/27/2014
3/27/2014
0.00000
0.12430
0.00000
0.00000
0.00000
0.00000
0.12430
0.00000
10.99
12/16/2013
12/17/2013
12/17/2013
0.00000
0.21014
0.26720
0.01610
0.00000
0.25110
0.47734
0.00000
10.77
9/25/2013
9/26/2013
9/26/2013
0.00000
0.14402
0.00000
0.00000
0.00000
0.00000
0.14402
0.00000
10.95
6/26/2013
6/27/2013
6/27/2013
0.00000
0.14892
0.00000
0.00000
0.00000
0.00000
0.14892
0.00000
10.80
3/27/2013
3/28/2013
3/28/2013
0.00000
0.12251
0.00000
0.00000
0.00000
0.00000
0.12251
0.00000
11.18
12/14/2012
12/17/2012
12/17/2012
0.00000
0.22506
0.02406
0.00000
0.00000
0.02406
0.24912
0.00000
11.10
9/26/2012
9/27/2012
9/27/2012
0.00000
0.14178
0.00000
0.00000
0.00000
0.00000
0.14178
0.00000
11.10
6/27/2012
6/28/2012
6/28/2012
0.00000
0.14881
0.00000
0.00000
0.00000
0.00000
0.14881
0.00000
10.84
3/28/2012
3/29/2012
3/29/2012
0.00000
0.13555
0.00000
0.00000
0.00000
0.00000
0.13555
0.00000
10.87
12/15/2011
12/16/2011
12/16/2011
0.00000
0.21544
0.12406
0.00000
0.00000
0.12406
0.33950
0.00000
10.47
9/28/2011
9/29/2011
9/29/2011
0.00000
0.16582
0.00000
0.00000
0.00000
0.00000
0.16582
0.00000
10.38
6/28/2011
6/29/2011
6/29/2011
0.00000
0.15677
0.00000
0.00000
0.00000
0.00000
0.15677
0.00000
10.93
3/29/2011
3/30/2011
3/30/2011
0.00000
0.15684
0.00000
0.00000
0.00000
0.00000
0.15684
0.00000
11.08
12/16/2010
12/17/2010
12/17/2010
0.00000
0.20183
0.16397
0.11450
0.00000
0.04947
0.36580
0.00000
10.82
9/28/2010
9/29/2010
9/29/2010
0.00000
0.13385
0.00000
0.00000
0.00000
0.00000
0.13385
0.00000
10.97
6/28/2010
6/29/2010
6/29/2010
0.00000
0.17447
0.00000
0.00000
0.00000
0.00000
0.17447
0.00000
10.50
3/29/2010
3/30/2010
3/30/2010
0.00000
0.17140
0.00000
0.00000
0.00000
0.00000
0.17140
0.00000
10.66
12/17/2009
12/18/2009
12/18/2009
0.00000
0.21984
0.04587
0.04587
0.00000
0.00000
0.26571
0.00000
10.42
9/28/2009
9/29/2009
9/29/2009
0.00000
0.15259
0.00000
0.00000
0.00000
0.00000
0.15259
0.00000
10.27
6/26/2009
6/29/2009
6/29/2009
0.00000
0.11630
0.00000
0.00000
0.00000
0.00000
0.11630
0.00000
9.49
3/27/2009
3/30/2009
3/30/2009
0.00000
0.11158
0.00000
0.00000
0.00000
0.00000
0.11158
0.00000
8.94
12/18/2008
12/19/2008
12/19/2008
0.00000
0.11610
0.00000
0.00000
0.00000
0.00000
0.11610
0.00000
8.36
9/26/2008
9/29/2008
9/29/2008
0.00000
0.16539
0.00000
0.00000
0.00000
0.00000
0.16539
0.00000
9.67
6/26/2008
6/27/2008
6/27/2008
0.00000
0.15282
0.00000
0.00000
0.00000
0.00000
0.15282
0.00000
10.18
3/27/2008
3/28/2008
3/28/2008
0.00000
0.19414
0.00000
0.00000
0.00000
0.00000
0.19414
0.00000
10.10
12/18/2007
12/19/2007
12/19/2007
0.00000
0.18401
0.00000
0.00000
0.00000
0.00000
0.18401
0.00000
10.54
9/26/2007
9/27/2007
9/27/2007
0.00000
0.19931
0.00000
0.00000
0.00000
0.00000
0.19931
0.00000
10.83
6/27/2007
6/28/2007
6/28/2007
0.00000
0.16686
0.00000
0.00000
0.00000
0.00000
0.16686
0.00000
11.00
3/28/2007
3/29/2007
3/29/2007
0.00000
0.18490
0.00000
0.00000
0.00000
0.00000
0.18490
0.00000
11.12
12/18/2006
12/19/2006
12/19/2006
0.00000
0.15791
0.06928
0.00000
0.00000
0.06928
0.22719
0.00000
10.96
9/27/2006
9/28/2006
9/28/2006
0.00000
0.19851
0.00000
0.00000
0.00000
0.00000
0.19851
0.00000
10.84
6/28/2006
6/29/2006
6/29/2006
0.00000
0.18897
0.00000
0.00000
0.00000
0.00000
0.18897
0.00000
10.68
3/29/2006
3/30/2006
3/30/2006
0.00000
0.19903
0.00000
0.00000
0.00000
0.00000
0.19903
0.00000
10.92
12/19/2005
12/20/2005
12/20/2005
0.00000
0.20543
0.03550
0.00000
0.00000
0.03550
0.24093
0.00000
10.83
9/28/2005
9/29/2005
9/29/2005
0.00000
0.18929
0.00000
0.00000
0.00000
0.00000
0.18929
0.00000
10.97
6/28/2005
6/29/2005
6/29/2005
0.00000
0.18105
0.00000
0.00000
0.00000
0.00000
0.18105
0.00000
10.96
3/29/2005
3/30/2005
3/30/2005
0.00000
0.18389
0.00000
0.00000
0.00000
0.00000
0.18389
0.00000
11.04
12/29/2004
12/30/2004
12/30/2004
0.00000
0.12772
0.14849
0.04908
0.00000
0.09941
0.27621
0.00000
11.34
9/28/2004
9/29/2004
9/29/2004
0.00000
0.25641
0.00000
0.00000
0.00000
0.00000
0.25641
0.00000
11.18
6/28/2004
6/29/2004
6/29/2004
0.00000
0.17833
0.00000
0.00000
0.00000
0.00000
0.17833
0.00000
10.89
3/29/2004
3/30/2004
3/30/2004
0.00000
0.18023
0.00000
0.00000
0.00000
0.00000
0.18023
0.00000
11.16
12/29/2003
12/30/2003
12/30/2003
0.00000
0.20599
0.06375
0.06375
0.00000
0.00000
0.26974
0.00000
11.18
9/26/2003
9/29/2003
9/29/2003
0.00000
0.17879
0.00000
0.00000
0.00000
0.00000
0.17879
0.00000
10.86
6/26/2003
6/27/2003
6/27/2003
0.00000
0.15962
0.00000
0.00000
0.00000
0.00000
0.15962
0.00000
10.74
3/27/2003
3/28/2003
3/28/2003
0.00000
0.13934
0.00000
0.00000
0.00000
0.00000
0.13934
0.00000
10.28
12/27/2002
12/30/2002
12/30/2002
0.00000
0.00854
0.00000
0.00000
0.00000
0.00000
0.00854
0.00000
10.01

Holdings

Portfolio Characteristics

As of 12/31/2022

309

Number of Bonds

0.06

Avg. Market Coupon (%)

2.45

Duration to Worst (yrs)

4.86

Wtd. Avg. Maturity (yrs)

Top 10 Holdings

Sorry, there is no data available for this section

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

Sorry, there is no data available for this section

As of 12/31/2022

High-Yield Bond Fund (HNHYX)

-

CONSUMER DISCRETIONARY

HNHYX: 12.8%

-

COMMUNICATION SERVICES

HNHYX: 12.0%

-

ENERGY

HNHYX: 8.2%

-

HEALTH CARE

HNHYX: 7.8%

-

INDUSTRIALS

HNHYX: 6.7%

-

INFORMATION TECHNOLOGY

HNHYX: 5.2%

-

MATERIALS

HNHYX: 3.6%

-

REAL ESTATE

HNHYX: 3.3%

-

FINANCIALS

HNHYX: 2.8%

-

UTILITIES

HNHYX: 2.4%

-

CONSUMER STAPLES

HNHYX: 2.0%

HNHYX: High-Yield Bond Fund

As of 12/31/2022

Maturity

High-Yield Bond Fund %

ICE BofA US Non-Distressed High Yield Index %

0-1 yr
0.5
--
1-3 yr
18.4
--
3-5 yr
22.3
0.2
5-7 yr
14.4
29.9
7-10 yr
9.0
55.3
10-20 yr
1.6
14.6
20-30 yr
0.7
--
Over 30 yr
0.0
--

As of 12/31/2022

Duration

High-Yield Bond Fund %

ICE BofA US Non-Distressed High Yield Index %

0-1 yr
1.8
0.4
1-3 yr
26.1
24.9
3-5 yr
23.5
40.7
5-7 yr
12.4
28.7
7-10 yr
2.1
3.5
10-20 yr
0.9
1.7
20-30 yr
0.0
--
Over 30 yr
0.0
--

Investment Team


Shenkman Capital Management, Inc. is an independently owned traditional and alternative credit manager. Over the past 30+ years, Shenkman has focused on the leveraged finance market as an early practitioner of credit research analytics. They seek to be a world leader in the research and management of leveraged finance investments for institutional and high net worth investors. Shenkman’s philosophy for seeking high risk-adjusted returns is to preserve capital under all market conditions and to maximize compound interest income through a disciplined and rigorous process predicated on comprehensive, fundamental analysis.

Documents

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

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

There is no guarantee that the investment objective of the Fund will be achieved. Fixed income investments are affected by interest rate changes and the creditworthiness of the issues held by the Fund. As interest rates rise, the values of fixed income securities held by the Fund are likely to decrease and reduce the value of the Fund's portfolio. High-yield investing poses additional credit risk related to lower-rated bonds.

Wtd. Avg. Market Coupon (%): the weighted average coupon rate of the underlying bonds in the Fund.

Wtd. Avg. Maturity (yrs): the weighted average length of time to the repayment of principal for the securities in the Fund. This metric considers the likelihood that bonds will be called or prepaid before the scheduled maturity date.

Wtd. Avg. Duration (yrs): the weight average duration of the underlying bonds or derivative market exposures in the Fund. Duration is a time measure of a bond's interest-rate sensitivity. The longer a fund's duration, the more sensitive the fund is to shifts in interest rates

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

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

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

©2024 Morningstar, Inc. All rights reserved. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) may not be copied or distributed; and (3) is not warranted to be accurate, complete, or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use of this information. Past performance is no guarantee of future results.

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