HARBOR FDS INTL FD INSTL - COM

Historical Portfolio Holders from Q1 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM
Shares, excl. options Q2 2024
53.1K
Holdings value Q2 2024
$2.46M
Value change Q2 2024
+$2.12M
Grand Portfolio weight change Q2 2024
+0%
Number of holders
2
Number of buys Q2 2024
0
Number of sells Q2 2024
0
Average buys Q2 2024 %
0
Average sells Q2 2024 %
0
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q2 53.1K $2.46M +$2.12M $46.32 2
2024 Q1 7.25K $341K +$49.1K $46.91 2
2023 Q4 6.21K $255K -$21.5K $41.11 1
2023 Q3 6.73K $280K -$19.3K $41.69 1
2023 Q2 7.19K $314K $0 $43.60 1
2023 Q1 7.19K $304K $0 $42.31 1
2022 Q4 7.19K $283K $0 $39.36 1
2022 Q3 7.19K $245K -$59.9K $34.07 1
2022 Q2 8.95K $341K -$1.68K $38.10 1
2022 Q1 8.99K $392K $0 $43.59 1
2021 Q4 8.99K $424K -$19.8K $47.15 1
2021 Q3 9.41K $451K $0 $47.92 1
2021 Q2 9.41K $454K -$1.21K $48.24 1
2021 Q1 9.44K $436K -$50.4K $46.20 1
2020 Q4 10.5K $464K $0 $44.07 1
2020 Q3 10.5K $396K -$13.6K $37.61 1
2020 Q2 10.9K $377K -$30.5K $34.62 1
2020 Q1 11.8K $355K -$18K $30.16 1
2019 Q4 12.3K $493K -$127K $39.47 2
2019 Q3 15.5K $584K -$24.4K $38.29 2
2019 Q2 24K $913K -$524K $38.13 3
2019 Q1 37.9K $1.4M -$345K $37.09 5
2018 Q4 47.2K $1.59M -$5.85M $33.71 4
2018 Q3 221K $14.1M -$13M $64.07 4
2018 Q2 423K $28.2M -$2.21M $66.64 5
2018 Q1 456K $30.6M -$6.2M $67.14 8
2017 Q4 548K $37M -$1.71M $67.52 9
2017 Q3 573K $40.3M -$1.12M $70.26 10
2017 Q2 825K $55.9M -$689K $67.80 9
2017 Q1 838K $53.2M -$14.5M $63.50 10
2016 Q4 1.07M $62.4M -$3.82M $58.41 11
2016 Q3 1.13M $70.5M -$1.87M $62.25 10
2016 Q2 1.17M $68.5M +$817K $58.73 11
2016 Q1 1.15M $68.7M +$1.08M $59.73 9
2015 Q4 1.13M $67.4M +$1.1M $59.43 13
2015 Q3 1.11M $67.5M -$27.8M $60.57 10
2015 Q2 1.5M $105M -$2.65M $69.61 11
2015 Q1 1.53M $105M -$4.49M $68.52 11
2014 Q4 1.6M $104M -$14.1M $64.78 11
2014 Q3 1.81M $125M -$1.31M $68.97 13
2014 Q2 1.83M $136M -$41.4M $74.17 16
2014 Q1 2.4M $173M +$1.68M $71.74 17