HARBOR INTERNATIONAL INS - EQUITY FUNDS Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2014 to Q4 2025

Type / Class
Equity / EQUITY FUNDS
Price per share
$54.86
All holders as of 31 Dec 2025
Q4 2025
Total 13F shares
4,732
Total reported value
$259,603
Share change
-150
Value change
-$8,344
Number of holders
1
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 31 Dec 2025, 1 institutional investors reported holding 4,732 shares of HARBOR INTERNATIONAL INS - EQUITY FUNDS.

Institutional Holders of HARBOR INTERNATIONAL INS - EQUITY FUNDS across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 4,732 $259,603 -$8,344 $54.86 1
2025 Q3 4,882 $269,462 $55.40 2
2025 Q2 4,882 $258,987 $53.02 2
2025 Q1 4,882 $234,054 $47.65 2
2024 Q4 4,882 $216,066 $44.21 2
2024 Q3 4,732 $238,309 -$2,241,770 $50.36 1
2024 Q2 53,093 $2,459,261 +$2,122,749 $46.32 2
2024 Q1 7,253 $340,544 +$49,099 $46.91 2
2023 Q4 6,205 $255,084 -$21,500 $41.11 1
2023 Q3 6,728 $280,480 -$19,343 $41.69 1
2023 Q2 7,192 $313,553 $43.60 1
2023 Q1 7,192 $304,276 $42.31 1
2022 Q4 7,192 $283,061 $39.36 1
2022 Q3 7,192 $245,000 -$59,853 $34.07 1
2022 Q2 8,949 $341,000 -$1,677 $38.10 1
2022 Q1 8,993 $392,000 $43.59 1
2021 Q4 8,993 $424,000 -$19,755 $47.15 1
2021 Q3 9,412 $451,000 $47.92 1
2021 Q2 9,412 $454,000 -$1,206 $48.24 1
2021 Q1 9,437 $436,000 -$50,405 $46.20 1
2020 Q4 10,528 $464,000 $44.07 1
2020 Q3 10,528 $396,000 -$13,616 $37.61 1
2020 Q2 10,890 $377,000 -$30,465 $34.62 1
2020 Q1 11,770 $355,000 -$18,039 $30.16 1
2019 Q4 12,316 $493,000 -$126,906 $39.47 2
2019 Q3 15,485 $584,000 -$24,392 $38.29 2
2019 Q2 23,973 $913,000 -$524,057 $38.13 3
2019 Q1 37,897 $1,403,000 -$344,560 $37.09 5
2018 Q4 47,179 $1,591,000 -$5,847,721 $33.71 4
2018 Q3 220,626 $14,138,000 -$13,012,730 $64.07 4
2018 Q2 423,369 $28,210,000 -$2,209,037 $66.64 5
2018 Q1 456,357 $30,635,186 -$6,198,401 $67.14 8
2017 Q4 548,254 $37,019,000 -$1,710,450 $67.52 9
2017 Q3 573,248 $40,271,000 -$1,123,209 $70.26 10
2017 Q2 824,587 $55,913,236 -$689,259 $67.80 9
2017 Q1 838,416 $53,240,771 -$14,522,411 $63.50 10
2016 Q4 1,068,461 $62,408,000 -$3,819,364 $58.41 11
2016 Q3 1,133,254 $70,544,000 -$1,870,341 $62.25 10
2016 Q2 1,165,250 $68,457,368 +$816,931 $58.73 11
2016 Q1 1,150,332 $68,710,000 +$1,077,733 $59.73 9
2015 Q4 1,133,318 $67,352,502 +$1,162,845 $59.43 13
2015 Q3 1,113,722 $67,458,000 -$27,814,220 $60.57 10
2015 Q2 1,496,534 $105,046,052 -$2,654,219 $69.61 11
2015 Q1 1,534,173 $105,122,000 -$4,494,528 $68.52 11
2014 Q4 1,600,242 $103,665,547 -$14,117,104 $64.78 11
2014 Q3 1,811,336 $124,925,824 -$1,312,224 $68.97 13
2014 Q2 1,828,234 $135,582,833 -$41,403,911 $74.17 16
2014 Q1 2,404,738 $172,517,052 +$1,682,378 $71.74 17