Harbor Capital Logo

Harbor Emerging Markets Select ETF (EMES)

A steadfast, selective approach to emerging markets with EMES

NAV as of 9/8/2026
$28.82
NAV Daily Change
$0.35
NAV YTD Return
28.43%
Net Expense Ratio (%)
0.65
Total Net Assets (million) as of 9/9/2026
$12.248
Benchmark
MSCI Emerging Markets (ND) Index

EMES: Opportunity-driven, all-cap focus in emerging markets

  • The Harbor Emerging Markets Select ETF (EMES) seeks to provide investors with exposure to equities from countries and industries believed to be high-quality while simultaneously leveraging CWW’s concentrated and long-term investment approach.
  • EMES is a distinct offering with an active, concentrated and long-term investing approach to what we believe are the exciting areas of structural growth across emerging markets (EM).

Investment Team

CWorldWide Logo
Aman S. Kalsi
Abhinav Rathee
Allan Christensen
Mogens Akselsen

Learn More

As of 9/8/2026

$28.82

Price (NAV)

$0.35

NAV Daily Change ($)

1.23%

NAV Daily Change (%)

28.43%

NAV YTD Return

$28.91

Market Price

-$0.04

Market Daily Change ($)

-0.14%

Market Daily Change (%)

28.72%

Market YTD Return

As of 9/8/2026

5/14/2025

Inception Date

0.65

Expense Ratio (%)

$12.248

Total Net Assets (million)

425,000

Shares Outstanding
(As of 9/9/2026)

EMES

Ticker

41151J711

Cusip

NYSE Arca

Exchange

US41151J7110

ISIN

Foreside Fund Services, LLC.

Distributor

Annual

Dividend Frequency

Emerging Markets

Morningstar Category

MSCI Emerging Markets (ND) Index

Benchmark

853,909

Implied Liquidity™ (Shares)

$24,306,849.29

Implied Liquidity

Investment Objective:

The Fund seeks long-term growth of capital.

As of 9/8/2026

$28.93

Bid/Ask Mid Price

$28.91

Closing Market Price

$0.11

Premium/Discount ($)

0.37%

Premium/Discount (%)
2025
Q1 2026
Q2 2026
Q3 2026
YTD
Days Traded at a Premium
119
38
44
29
111
Days Traded at a Discount
40
23
18
19
60

0.25%

30-Day Median Bid/Ask Spread

9

Exchange Volume (Shares)

USD

Trading Currency

Historical Premium Discount to NAV

No Data Available

Performance

Select an option

Loading Performance Data...

3 Mo.
YTD Return
1 Yr.
Since Fund Inception
Net Expense Ratio
Gross Expense Ratio
Emerging Markets Select ETF - at NAV
27.19%
26.74%
38.95%
37.16%
0.65%
0.65%
Market Price
24.49%
28.54%
40.16%
38.98%
--
--
MSCI Emerging Markets (ND) Index
24.05%
23.85%
43.51%
43.32%
--
--

Performance data shown represents past performance and is no guarantee of future results. Fund 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 MSCI Emerging Markets (ND) Index is a market capitalization weighted index of equity securities in more than 20 emerging market economies. This unmanaged index does not reflect fees and expenses and is not available for direct investment. Benchmark returns are adjusted for withholding taxes.

Select an option

Ex-Date
Record Date
Payable Date
Ordinary Income
Short Term Capital Gains
Long Term Capital Gains
Total Distribution
12/18/2025
12/18/2025
12/23/2025
0.11991
--
--
0.11991

Holdings

As of 8/31/2026

50

Number of Holdings

465208.9

Wtd Avg Market Cap ($Mil)

5.74

Price/Book Ratio

27.4

Adjusted Trailing P/E Ratio

30.1

% EPS Growth - Past 3 Yr

24.72

Return on Equity (%)

22.3

Forecasted P/E Ratio

As of 9/8/2026

Company Name [Ticker]
% of Net Assets
SAMSUNG ELECTRONICS-PREF[005935]
12.8
TAIWAN SEMICONDUCTOR MANUFAC[2330]
12.2
SK HYNIX INC[000660]
6.3
TENCENT HOLDINGS LTD[700]
3.7
MEDIATEK INC[2454]
3.7
ALIBABA GROUP HOLDING LTD[9988]
2.7
HONG KONG EXCHANGES & CLEAR[388]
2.5
NU HOLDINGS LTD/CAYMAN ISL-A[NU]
2.4
HDFC BANK LTD-ADR[HDB]
2.4
CHROMA ATE INC[2360]
2.3
% of Total Holdings:
51.0%

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

As of 9/8/2026

Company Name [Ticker]
Category Name
Country
Cusip
Shares
Current Price ($)
Market Value ($)
% of Net Assets
SAMSUNG ELECTRONICS-PREF [005935]
EQUITY
677381907
10,608
147.526
1,564,953.12
12.8
TAIWAN SEMICONDUCTOR MANUFAC [2330]
EQUITY
688910900
19,000
78.331
1,488,282.12
12.2
SK HYNIX INC [000660]
EQUITY
645026907
583
1,333.234
777,275.53
6.3
TENCENT HOLDINGS LTD [700]
EQUITY
BMMV2K903
8,100
55.527
449,764.71
3.7
MEDIATEK INC [2454]
EQUITY
637248907
3,000
149.367
448,101.99
3.7
ALIBABA GROUP HOLDING LTD [9988]
EQUITY
BK6YZP902
24,100
13.965
336,544.96
2.7
HONG KONG EXCHANGES & CLEAR [388]
EQUITY
626735906
6,000
51.267
307,602.06
2.5
NU HOLDINGS LTD/CAYMAN ISL-A [NU]
EQUITY
G6683N103
19,084
15.33
292,557.72
2.4
HDFC BANK LTD-ADR [HDB]
EQUITY
40415F101
12,984
22.48
291,880.32
2.4
CHROMA ATE INC [2360]
EQUITY
621210905
4,000
71.83
287,318.05
2.3
CONTEMPORARY AMPEREX TECHN-A [300750]
EQUITY
BHQPSY905
5,200
49.993
259,963.19
2.1
AIRTAC INTERNATIONAL GROUP [1590]
EQUITY
ACI00D6U4
6,000
42.337
254,019.60
2.1
INTL CONTAINER TERM SVCS INC [ICT]
EQUITY
645581000
16,190
15.281
247,406.47
2.0
ICICI BANK LTD-SPON ADR [IBN]
EQUITY
45104G104
8,313
29.53
245,482.89
2.0
MERCADOLIBRE INC [MELI]
EQUITY
58733R102
109
1,926.25
209,961.25
1.7
TITAN CO LTD [TTAN]
EQUITY
613934900
3,719
52.59
195,580.49
1.6
NATIONAL BANK OF GREECE [ETE]
EQUITY
ACI14S0Q0
9,159
20.456
187,360.92
1.5
ACCTON TECHNOLOGY CORP [2345]
EQUITY
600521900
3,000
61.999
185,995.62
1.5
CREDICORP LTD [BAP]
EQUITY
G2519Y108
489
377.24
184,470.36
1.5
APAR INDUSTRIES LTD [APR]
EQUITY
B01WBY902
961
186.199
178,937.05
1.5
AMBER ENTERPRISES INDIA LTD [AMBER]
EQUITY
ACI0ZHY02
2,310
77.065
178,020.70
1.5
JENTECH PRECISION INDUSTRIAL [3653]
EQUITY
B3FJBY900
1,000
176.006
176,006.09
1.4
PHOENIX MILLS LTD [PHNX]
EQUITY
B0SXY9901
8,852
19.878
175,959.51
1.4
EMBRAER SA-SPON ADR [EMBJ]
EQUITY
29082A107
2,318
73.91
171,323.38
1.4
PRICESMART INC [PSMT]
EQUITY
741511109
987
172.97
170,721.39
1.4
CURY CONSTRUTORA E INCORPORA [CURY3]
EQUITY
ACI1RNFW7
25,300
6.583
166,543.23
1.4
COMPUTER AGE MANAGEMENT SERV [CAMS]
EQUITY
ACI1RNXV9
21,454
7.693
165,041.65
1.3
WEG SA [WEGE3]
EQUITY
294542907
15,900
10.349
164,545.80
1.3
ASELSAN ELEKTRONIK SANAYI [ASELS]
EQUITY
B03MP4903
19,488
8.049
156,863.68
1.3
BANCO BTG PACTUAL SA-UNIT [BPAC11]
EQUITY
BZBZVC903
13,100
11.898
155,859.50
1.3
VISTA ENERGY SAB DE CV [VIST]
EQUITY
92837L109
1,930
75.86
146,409.80
1.2
AIA ENGINEERING LTD [AIAE]
EQUITY
B0QDXM909
3,076
44.965
138,313.16
1.1
MAP AKTIF ADIPERKASA PT [MAPA]
EQUITY
BG20RW903
3,125,800
0.04
124,110.04
1.0
HD HYUNDAI ELECTRIC CO LTD [267260]
EQUITY
ACI0TCSN7
228
541.324
123,421.94
1.0
MULTI COMMODITY EXCH INDIA [MCX]
EQUITY
BNBWQ8902
3,437
35.242
121,128.39
1.0
ENTERO HEALTHCARE SOLUTIONS [ENTERO]
EQUITY
ACI2MVZ83
6,112
19.614
119,882.63
1.0
APT MEDICAL INC-A [688617]
EQUITY
BNHPNT908
3,222
35.704
115,037.99
0.9
GENPACT LTD [G]
EQUITY
G3922B107
3,241
35.35
114,569.35
0.9
ASIA VITAL COMPONENTS [3017]
EQUITY
654489905
1,000
104.177
104,176.58
0.9
HD HYUNDAI MARINE SOLUTION C [443060]
EQUITY
ACI2NW8G2
633
158.01
100,020.45
0.8
THEON INTERNATIONAL PLC [THEON]
EQUITY
BQ7WV8904
2,395
38.356
91,862.39
0.8
LEENO INDUSTRIAL INC [058470]
EQUITY
643013907
1,763
51.232
90,322.86
0.7
RATNAMANI METALS & TUBES LTD [RMT]
EQUITY
631362902
3,033
29.685
90,034.88
0.7
YUAN RENMINBI OFFSHORE
CASH
--
--
594,559.04
0.149
88,648.20
0.7
SIEYUAN ELECTRIC CO LTD-A [002028]
EQUITY
BD5C7M905
4,100
20.78
85,198.38
0.7
GRAVITA INDIA LTD [GRAV]
EQUITY
B8F4NZ906
4,778
17.822
85,151.60
0.7
MAKEMYTRIP LTD [MMYT]
EQUITY
V5633W109
1,514
53.90
81,604.60
0.7
WUS PRINTED CIRCUIT KUNSHA-A [002463]
EQUITY
BD5C7Z906
4,300
18.612
80,031.29
0.7
NAURA TECHNOLOGY GROUP CO-A [002371]
EQUITY
BD5LYF900
800
96.542
77,233.69
0.6
HESAI GROUP [HSAI]
EQUITY
428050108
3,690
18.59
68,597.10
0.6
ZHONGJI INNOLIGHT CO LTD-A [300308]
EQUITY
BFFJRM902
500
134.466
67,233.17
0.5
HONG KONG DOLLAR
CASH
--
--
424,520.31
0.128
54,139.02
0.4
EURO CURRENCY
CASH
--
--
17,257.87
1.162
20,058.82
0.2
BRAZILIAN REAL
CASH
--
--
14,044.26
0.197
2,760.52
0.0
POLISH ZLOTY
CASH
--
--
99.96
0.269
26.93
0.0
TURKISH LIRA
CASH
--
--
395.75
0.021
8.17
0.0
MEXICAN PESO (NEW)
CASH
--
--
67.04
0.059
3.96
0.0
PHILIPPINE PESO
CASH
--
--
85.69
0.016
1.37
0.0
SOUTH KOREAN WON
CASH
--
--
168
0.001
0.12
0.0
YUAN RENMINBI
CASH
--
--
-594,559.04
0.149
-88,598.00
-0.7
Total
--
--
--
--
--
12,175,732.75
99.3
Cash and Other Assets Less Liabilities
--
--
--
--
--
--
0.7
Total Net Assets
--
--
--
--
--
--
100.0

As of 8/31/2026

Sector Breakdown

Information Technology

EMES

40.8%

Benchmark

41.6%

Industrials

EMES

19.0%

Benchmark

6.5%

Financials

EMES

14.9%

Benchmark

19.7%

Consumer Discretionary

EMES

12.1%

Benchmark

8.0%

Communication Services

EMES

3.9%

Benchmark

6.1%

Consumer Staples

EMES

2.7%

Benchmark

2.7%

Cash

EMES

2.7%

Benchmark

0.0%

Real Estate

EMES

1.5%

Benchmark

1.0%

Materials

EMES

1.5%

Benchmark

6.3%

Health Care

EMES

1.0%

Benchmark

2.7%

Energy

EMES

0.0%

Benchmark

3.4%

Utilities

EMES

0.0%

Benchmark

1.9%

EMES: Emerging Markets Select ETF

Benchmark: MSCI Emerging Markets (ND) Index

As of 8/31/2026

Economic Sector
Emerging Markets Select ETF %
MSCI Emerging Markets (ND) Index %

Health Care

20.0
14.4

Financials

8.3
9.8

Materials

7.7
4.4

Real Estate

7.1
-1.8

Communication Services

6.0
0.7

Consumer Discretionary

4.6
-4.6

Industrials

0.7
-5.8

Utilities

--
-3.8

Energy

--
3.1

[Unassigned]

--
28.4

Information Technology

-4.7
-6.5

Consumer Staples

-8.4
0.2

As of 9/8/2026

Country
Emerging Markets Select ETF %
TAIWAN
22.0
KOREA, SOUTH
21.7
INDIA
16.2
CAYMAN ISLANDS
11.4
CHINA
5.6
BRAZIL
5.4
UNITED STATES
3.1
HONG KONG
2.5
BERMUDA
2.4
PHILIPPINES
2.0
Other
7.7

Investment Team

CWorldWide Logo

C WorldWide Asset Management is a focused and independent asset manager that has been investing in global equity markets since 1986. Their objective is to deliver consistent, long term asset growth for clients through active investments in listed equities on global stock exchanges. They refer to their investment approach as trend‑based stock picking. It is a trend/theme influenced top‑down framework combined with a bottom‑up stock picking approach. The approach drives the stock selection process by focusing on and identifying specific companies that align with and thus potentially benefit from exposure to selected global themes within the portfolio.

Sustainability and specifically environmental, social, and governance (ESG) factors are an integral part of the C WorldWide investment process and are implemented in the ongoing research of the companies they invest in. This process does not begin or end with the investment but is an ongoing engagement process that is supported by dialogue and monitoring of the company in question.

Aman S. Kalsi

Aman S. Kalsi

Portfolio Manager

Abhinav Rathee

Abhinav Rathee

Portfolio Manager

Allan Christensen

Allan Christensen

Portfolio Manager

Mogens Akselsen

Mogens Akselsen

Portfolio Manager

Important Information

Investing involves risk, principal loss is possible. Unlike mutual funds, ETFs may trade at a premium or discount to their net asset value.

Shares are bought and sold at market price not net asset value (NAV). Market price returns are based upon the closing composite market price and do not represent the returns you would receive if you traded shares at other times.

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. Large cap stocks may underperform compared to small or mid cap stocks, which may lead the Fund to lag behind funds focused on smaller caps, while mid cap stocks carry added risks like illiquidity and higher volatility than those of large companies. The Fund's investments in foreign securities, particularly emerging markets, expose it to higher risks than funds investing only in the U.S., including currency risk, which may negatively impact its value if foreign currencies fluctuate against the U.S. dollar. Depositary receipts carry risks like political instability, currency fluctuations, higher costs, and weaker investor protections. A non‑diversified Fund may invest a greater percentage of its assets in securities of a single issuer, and/or invest in a relatively small number of issuers, it is more susceptible to risks associated with a single economic, political or regulatory occurrence than a more diversified portfolio.

The Subadvisor considers certain ESG factors in evaluating company quality which may result in the selection or exclusion of securities for reasons other than performance and the Fund may underperform relative to other funds that do not consider ESG factors.

Diversification does not assure a profit or protect against loss in a declining market.

The views expressed herein may not be reflective of current opinions, are subject to change without prior notice, and should not be considered investment advice.

Bid/Ask Mid Price: the midpoint between the highest bid and the lowest offer, as of the time that the Fund’s NAV is calculated, typically 4 p.m. Eastern Time.

Premium/Discount ($): the difference between the Fund’s market price and NAV, expressed as a percentage of NAV. A premium is the amount that the Fund is trading above the reported NAV. A discount is the amount that the Fund is trading below the reported NAV.

30‑Day Median Bid/Ask Spread: calculated by identifying national best bid and national best offer ("NBBO") for each fund as of the end of each 10 second interval during each trading day of the last 30 calendar days and dividing the difference between each such bid and offer by the midpoint of the NBBO. The median of those values is identified and that value is expressed as a percentage (rounded to the nearest hundredth).

Weighted Average Market Capitalization: The average size of the companies in a portfolio or index as measured by the market value of outstanding shares.

Price/Book: The price‑to‑book (P/B) ratio evaluates a firm's market value relative to its book value.

Adjusted Trailing P/E Ratio: The Adjusted Trailing P/E (Price/Earnings) Ratio is the closing stock price divided by the sum of the last 12 months actual EPS.

% EPS Growth – Past 3 year: Earnings per share refers to the bottom‑line measure of a company’s profitability defined as net income divided by the number of outstanding shares.

Return on Equity: Return on equity (ROE) is a measure of financial performance calculated by dividing net income by shareholders' equity.

Forecasted P/E Ratio: a measure of the P/E (price‑to‑earnings) ratio using forecasted earnings for the P/E calculation.