International Growth Fund Portfolio Holdings

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International Growth Fund Portfolio Holdings PORTFOLIO HOLDINGS Harbor International Growth Fund As of 06/30/2021 Subadviser: Baillie Gifford Overseas Limited - Since 05/21/2013 Portfolio Managers: Gerard Callahan, Iain Campbell, Joe Faraday, CFA, Moritz Sitte, CFA, Sophie Earnshaw, CFA Shares/Par/ Current Base Base Market Value % of Total Net SEDOL Asset Description Contracts Price $ $ Assets Taiwan Semiconductor Manufacturing Co., Ltd. Sponsored ADR 261,592 120.16 31,432,895 3.61 ASML Holding NV 37,863 687.11 26,016,066 2.99 Zalando SE 206,510 120.90 24,967,577 2.87 Shopify, Inc. Class A 14,463 1,460.98 21,130,154 2.43 Li Ning Company Limited 1,498,900 12.21 18,297,511 2.10 Alibaba Group Holding Ltd. Sponsored ADR 79,825 226.78 18,102,714 2.08 Sartorius AG Pref 34,106 520.61 17,755,930 2.04 NIBE Industrier AB Class B 1,619,792 10.53 17,049,944 1.96 Mettler-Toledo International Inc. 12,201 1,385.34 16,902,533 1.94 Asian Paints Ltd. 415,272 40.26 16,719,824 1.92 Meituan Class B 384,340 41.26 15,856,929 1.82 Sysmex Corporation 131,640 118.93 15,655,898 1.80 Rightmove plc 1,605,353 8.97 14,401,842 1.66 Nidec Corporation 124,080 116.00 14,393,460 1.65 Bechtle AG 75,626 185.77 14,049,136 1.62 Compagnie Financiere Richemont SA 114,969 121.11 13,924,139 1.60 Techtronic Industries Co., Ltd. 792,800 17.46 13,843,132 1.59 Cochlear Limited 72,685 188.94 13,733,195 1.58 Tsingtao Brewery Co., Ltd. Class H 1,246,000 10.77 13,413,290 1.54 AIA Group Limited 1,070,960 12.43 13,307,962 1.53 MercadoLibre, Inc. 8,396 1,557.79 13,079,205 1.50 Olympus Corp. 648,080 19.89 12,892,700 1.48 Naspers Limited Class N 61,257 209.98 12,862,478 1.48 SMC Corporation 21,480 591.49 12,705,307 1.46 Remy Cointreau SA 61,288 206.47 12,653,840 1.45 Xero Limited 122,353 102.93 12,593,529 1.45 Spotify Technology SA 44,092 275.59 12,151,314 1.40 Auto Trader Group PLC 1,393,907 8.75 12,196,833 1.40 PORTFOLIO HOLDINGS Harbor International Growth Fund As of 06/30/2021 Shares/Par/ Current Base Base Market Value % of Total Net SEDOL Asset Description Contracts Price $ $ Assets Shiseido Company,Limited 162,120 73.62 11,935,153 1.37 Murata Manufacturing Co., Ltd. 156,460 76.42 11,956,877 1.37 Housing Development Finance Corporation Limited 348,984 33.30 11,621,453 1.34 Atlas Copco AB Class A 186,835 61.27 11,447,594 1.32 Hargreaves Lansdown plc 517,848 21.95 11,367,407 1.31 adidas AG 30,057 372.25 11,188,839 1.29 Industria de Diseno Textil, S.A. 318,423 35.23 11,219,026 1.29 LVMH Moet Hennessy Louis Vuitton SE 13,666 784.24 10,717,365 1.23 Shimano Inc. 42,880 237.41 10,180,089 1.17 Investor AB Class B 434,360 23.06 10,018,243 1.15 Kone Oyj Class B 121,481 81.59 9,911,626 1.14 Kering SA 11,388 874.01 9,953,207 1.14 Seek Limited 391,979 24.88 9,752,380 1.12 Games Workshop Group PLC 61,216 157.49 9,640,620 1.11 NAVER Corp. 25,730 370.73 9,538,937 1.10 United Overseas Bank Ltd. (Singapore) 500,007 19.21 9,604,359 1.10 IMCD N.V. 57,135 159.03 9,086,133 1.04 Keyence Corporation 17,840 505.18 9,012,424 1.04 Epiroc AB Class B 456,365 19.64 8,962,249 1.03 Recruit Holdings Co., Ltd. 177,700 49.28 8,757,717 1.01 BHQPSY7 Contemporary Amperex Technology Co., Ltd. Class A 104,756 82.78 8,671,229 1.00 Raia Drogasil S.A. 1,723,880 4.92 8,489,109 0.98 SoftBank Group Corp. 115,280 70.05 8,075,521 0.93 RATIONAL AG 8,878 906.03 8,043,713 0.92 Intertek Group plc 99,319 76.39 7,587,395 0.87 Baidu Inc Sponsored ADR Class A 36,836 203.90 7,510,860 0.86 Jeronimo Martins, SGPS S.A. 410,708 18.24 7,490,962 0.86 Kakaku.com, Inc. 240,640 30.23 7,274,054 0.84 Suzuki Motor Corp. 165,760 42.36 7,020,793 0.81 Johnson Matthey Plc 163,893 42.45 6,957,579 0.80 PORTFOLIO HOLDINGS Harbor International Growth Fund As of 06/30/2021 Shares/Par/ Current Base Base Market Value % of Total Net SEDOL Asset Description Contracts Price $ $ Assets BeiGene, Ltd. Sponsored ADR 19,775 343.19 6,786,582 0.78 Burberry Group plc 228,911 28.54 6,533,293 0.75 DENSO CORPORATION 95,140 68.29 6,496,677 0.75 Ubisoft Entertainment SA 89,214 70.02 6,246,366 0.72 Ping An Insurance (Group) Company of China, Ltd. Class H 615,600 9.79 6,028,494 0.69 Nemetschek SE 75,746 76.51 5,795,650 0.67 Prosus N.V. Class N 59,038 97.80 5,773,986 0.66 ASOS plc 80,251 68.52 5,498,792 0.63 Trainline Plc 1,297,447 4.06 5,262,364 0.60 Weir Group PLC 202,406 25.57 5,175,651 0.59 Atlas Copco AB Class B 94,144 52.62 4,953,702 0.57 Burning Rock Biotech Ltd. Sponsored ADR Class A 165,704 29.46 4,881,640 0.56 Kao Corp. 77,740 61.58 4,787,395 0.55 Fairfax Financial Holdings Limited 10,856 438.99 4,765,664 0.55 Trip.com Group Ltd. Sponsored ADR 134,536 35.46 4,770,647 0.55 Coupang, Inc. Class A 109,904 41.82 4,596,185 0.53 HomeServe plc 345,202 13.20 4,556,582 0.52 AUTO1 Group SE 100,294 43.94 4,406,678 0.51 ICICI Lombard General Insurance Co. Ltd. 211,083 21.08 4,449,981 0.51 Sugi Holdings Co., Ltd. 59,220 72.98 4,321,849 0.50 Yatsen Holding Ltd. ADR Class A 421,107 9.37 3,945,773 0.45 United Spirits Limited 434,926 8.90 3,871,503 0.45 Wal-Mart de Mexico SAB de CV 1,155,089 3.27 3,774,975 0.43 Pigeon Corporation 128,640 28.20 3,627,743 0.42 MakeMyTrip Ltd. 100,258 30.05 3,012,753 0.35 Thai Beverage Public Co., Ltd. 5,233,740 0.50 2,628,162 0.30 John Wood Group PLC 641,808 3.04 1,947,917 0.22 Total 31,450,033 863,979,256 99.30 Cash and Other Assets Less Liabilities 0.70 Total Net Assets 100.00 Harbor International Growth Fund DISCLOSURES This information should not be considered as a recommendation to purchase or sell a particular security. The holdings mentioned may change at any time and may not represent current or future investments. There is no guarantee that the investment objective of the Fund will be achieved. Stock markets are volatile and equity values can decline significantly in response to adverse issuer, political, regulatory, market and economic conditions. Investing in international and emerging markets poses special risks, including potentially greater price volatility due to social, political and economic factors, as well as currency exchange rate fluctuations. These risks are more severe for securities of issuers in emerging market regions. All holdings-related data is provided by FactSet. Because FactSet relies on external sources for its data, that data may differ slightly from actual values maintained by Harbor Funds. Investors should carefully consider the investment objectives, risks, charges and expenses of a Harbor fund before investing. To obtain a summary prospectus or prospectus for this and other information, visit harborfunds.com or call 800-422-1050. Read it carefully before investing. Baillie Gifford Overseas Limited is an independent subadviser to the Harbor International Growth Fund. Distributed by Harbor Funds Distributors, Inc. 1713777-20210715.
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