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Harbor International Equity ETF (EPIN)

Access a high-conviction, active approach to international equity investing

NAV as of 10/5/2026
$28.45
NAV Daily Change
$0.36 ↑
NAV YTD Return
24.45% ↑
Net Expense Ratio (%)
0.80
Total Net Assets (million) as of 10/6/2026
$7.824
Benchmark
MSCI All Country World Ex. US (ND) Index

EPIN: Access an active international equity ETF from a manager with 25+ years of experience

  • The Harbor International Equity ETF (EPIN) offers investors access to a disciplined, bottom-up approach to international equity investing that leverages in-depth fundamental research to seek to identify and invest in high-quality companies based outside the U.S., delivered in a convenient active ETF package.
  • EPIN taps into the expertise of EARNEST Partners, an employee-owned investment firm with more than 25 years of expertise in security selection using an internally developed security-screening process and deep fundamental research, including “boots on the ground” in China to gain additional insights and access to non-U.S.-based companies.
  • Featuring a veteran management team, deep industry knowledge, and a rigorous approach to identifying distinguished companies, EPIN offers an opportunity to tap into quality companies based in developed markets outside the U.S.

Investment Team

Earnest Partners

Learn More

As of 10/5/2026

$28.45

Price (NAV)

$0.36

NAV Daily Change ($)

1.28%

NAV Daily Change (%)

24.45%

NAV YTD Return

$28.66

Market Price

$0.26

Market Daily Change ($)

0.92%

Market Daily Change (%)

25.76%

Market YTD Return

As of 10/5/2026

6/4/2025

Inception Date

0.80

Expense Ratio (%)

$7.824

Total Net Assets (million)

275,000

Shares Outstanding
(As of 10/6/2026)

EPIN

Ticker

41151J687

Cusip

NYSE Arca

Exchange

US41151J6872

ISIN

Foreside Fund Services, LLC.

Distributor

Annual

Dividend Frequency

Foreign Large Blend

Morningstar Category

MSCI All Country World Ex. US (ND) Index

Benchmark

7,245,020

Implied Liquidity™ (Shares)

$203,501,077.73

Implied Liquidity

Investment Objective:

The Fund seeks long-term total return.

As of 10/5/2026

$28.68

Bid/Ask Mid Price

$28.66

Closing Market Price

$0.22

Premium/Discount ($)

0.79%

Premium/Discount (%)
2025
Q1 2026
Q2 2026
Q3 2026
Q4 2026
YTD
Days Traded at a Premium
121
35
39
51
3
128
Days Traded at a Discount
24
26
23
13
--
62

0.35%

30-Day Median Bid/Ask Spread

10

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
International Equity ETF - at NAV
-0.21%
22.88%
29.53%
29.98%
0.80%
0.80%
Market Price
-0.71%
23.56%
29.44%
30.22%
--
--
MSCI All Country World Ex. US (ND) Index
0.48%
14.22%
20.00%
22.67%
--
--

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 All Country World Ex. US (ND) Index is a free float‑adjusted market capitalization weighted index that is designed to measure equity market performance in the global developed and emerging markets, excluding the U.S. 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
0.18013
--
--
0.18013

Holdings

As of 9/30/2026

61

Number of Holdings

237152.7

Wtd Avg Market Cap ($Mil)

2.93

Price/Book Ratio

21.4

Adjusted Trailing P/E Ratio

4.7

% EPS Growth - Past 3 Yr

13.67

Return on Equity (%)

16.4

Forecasted P/E Ratio

As of 10/5/2026

Company Name [Ticker]
% of Net Assets
TAIWAN SEMICONDUCTOR MANUFAC[2330]
5.2
ASML HOLDING NV[ASML]
3.6
SAMSUNG ELECTRONICS CO LTD[005930]
3.4
ASE TECHNOLOGY HOLDING CO LT[3711]
3.3
ERSTE GROUP BANK AG[EBS]
3.0
PRYSMIAN SPA[PRY]
2.7
BARCLAYS PLC[BARC]
2.6
MURATA MANUFACTURING CO LTD[6981]
2.4
DBS GROUP HOLDINGS LTD[DBS]
2.3
HITACHI LTD[6501]
2.3
% of Total Holdings:
30.8%

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 10/5/2026

Company Name [Ticker]
Category Name
Country
Cusip
Shares
Current Price ($)
Market Value ($)
% of Net Assets
TAIWAN SEMICONDUCTOR MANUFAC [2330]
EQUITY
688910900
5,000
81.081
405,403.28
5.2
ASML HOLDING NV [ASML]
EQUITY
ACI02GTQ9
150
1,858.174
278,726.14
3.6
SAMSUNG ELECTRONICS CO LTD [005930]
EQUITY
677172009
1,314
205.296
269,759.00
3.4
ASE TECHNOLOGY HOLDING CO LT [3711]
EQUITY
ACI126S98
11,000
23.364
257,002.06
3.3
ERSTE GROUP BANK AG [EBS]
EQUITY
528983901
1,807
128.912
232,944.17
3.0
PRYSMIAN SPA [PRY]
EQUITY
B1W4V6907
1,486
143.666
213,487.30
2.7
BARCLAYS PLC [BARC]
EQUITY
313486904
34,422
5.906
203,313.12
2.6
MURATA MANUFACTURING CO LTD [6981]
EQUITY
661040006
3,400
55.357
188,213.32
2.4
DBS GROUP HOLDINGS LTD [DBS]
EQUITY
617520903
3,000
60.831
182,492.48
2.3
HITACHI LTD [6501]
EQUITY
642910004
5,100
35.715
182,144.01
2.3
SAFRAN SA [SAF]
EQUITY
B058TZ909
467
370.019
172,798.99
2.2
MEDIATEK INC [2454]
EQUITY
637248907
1,000
162.634
162,633.63
2.1
SUMCO CORP [3436]
EQUITY
B0M0C8905
6,800
23.086
156,984.33
2.0
SYENSQO SA [SYENS]
EQUITY
BPSLYH904
1,680
88.915
149,376.48
1.9
MTU AERO ENGINES AG [MTX]
EQUITY
B09DHL908
356
415.458
147,903.13
1.9
GRUPO CIBEST SA-ADR [CIB]
EQUITY
40090E106
1,537
96.06
147,644.22
1.9
BAE SYSTEMS PLC [BA/]
EQUITY
026349902
5,736
25.572
146,682.73
1.9
LEONARDO SPA [LDO]
EQUITY
B0DJNG904
2,689
54.19
145,717.46
1.9
LONZA GROUP AG-REG [LONN]
EQUITY
733337901
201
692.03
139,098.00
1.8
ICON PLC [ICLR]
EQUITY
G4705A100
810
168.33
136,347.30
1.7
SHELL PLC [SHELL]
EQUITY
BP6MXT901
2,783
48.092
133,841.17
1.7
TRELLEBORG AB-B SHS [TRELB]
EQUITY
490238003
2,795
44.739
125,044.35
1.6
CANADIAN NATL RAILWAY CO [CNR]
EQUITY
136375102
1,021
119.53
122,040.29
1.6
PETROLEO BRASILEIRO-SPON ADR [PBR]
EQUITY
71654V408
4,922
24.14
118,817.08
1.5
RIO TINTO PLC-SPON ADR [RIO]
EQUITY
767204100
1,224
95.65
117,075.60
1.5
DNB BANK ASA [DNB]
EQUITY
ACI1YWP65
3,625
32.178
116,644.78
1.5
AMADEUS IT GROUP SA [AMS]
EQUITY
B3MSM2900
1,851
59.553
110,232.84
1.4
RELX PLC [REN]
EQUITY
ACI11TN03
3,228
33.591
108,432.38
1.4
MELROSE INDUSTRIES PLC [MRO]
EQUITY
BNGDN8902
17,074
6.282
107,258.98
1.4
CAE INC [CAE]
EQUITY
124765108
4,490
23.745
106,613.88
1.4
JULIUS BAER GROUP LTD [BAER]
EQUITY
B4R2R5908
1,185
88.707
105,117.75
1.3
GRUPO FINANCIERO BANORTE-O [GFNORTEO]
EQUITY
242104909
9,900
10.349
102,450.40
1.3
QUIMICA Y MINERA CHIL-SP ADR [SQM]
EQUITY
833635105
1,528
65.83
100,588.24
1.3
SIEMENS HEALTHINEERS AG [SHL]
EQUITY
BD594Y909
2,347
42.017
98,614.00
1.3
HALMA PLC [HLMA]
EQUITY
040520009
2,029
46.649
94,650.73
1.2
NIPPON SANSO HOLDINGS CORP [4091]
EQUITY
664054004
2,700
35.018
94,549.14
1.2
EUROFINS SCIENTIFIC [ERF]
EQUITY
BNDPYV905
1,100
84.752
93,227.35
1.2
AMBEV SA [ABEV3]
EQUITY
BG7ZWY901
27,800
3.299
91,702.40
1.2
CARNIVAL CORP LTD [CCL]
EQUITY
143658300
3,513
25.56
89,792.28
1.1
HDFC BANK LTD-ADR [HDB]
EQUITY
40415F101
4,058
22.11
89,722.38
1.1
EQUINOR ASA-SPON ADR [EQNR]
EQUITY
29446M102
2,116
42.35
89,612.60
1.1
DIAGEO PLC [DGE]
EQUITY
023740905
4,293
20.832
89,431.95
1.1
ICICI BANK LTD-SPON ADR [IBN]
EQUITY
45104G104
3,197
27.75
88,716.75
1.1
NOVARTIS AG-SPONSORED ADR [NVS]
EQUITY
66987V109
627
140.93
88,363.11
1.1
CHECK POINT SOFTWARE TECH [CHKP]
EQUITY
M22465104
679
129.58
87,984.82
1.1
AUMOVIO SE [AMV0]
EQUITY
ACI30B2B8
2,235
39.10
87,388.44
1.1
CAPGEMINI SE [CAP]
EQUITY
416343002
711
121.619
86,471.41
1.1
ROCHE HOLDING AG [ROP]
EQUITY
ACI38LVK6
198
420.058
83,171.44
1.1
HEINEKEN NV [HEIA]
EQUITY
779255900
1,024
78.492
80,375.45
1.0
YUM CHINA HOLDINGS INC [9987]
EQUITY
98850P109
2,000
39.99
79,979.61
1.0
HON HAI PRECISION INDUSTRY [2317]
EQUITY
643856909
10,000
7.998
79,978.59
1.0
NORSK HYDRO ASA [NHY]
EQUITY
B11HK3901
8,834
8.454
74,679.07
1.0
MERCK KGAA [MRK]
EQUITY
474184900
457
152.641
69,757.10
0.9
ENTAIN PLC [ENT]
EQUITY
B5VQMV905
12,301
5.608
68,979.82
0.9
EVEREST GROUP LTD [EG]
EQUITY
G3223R108
187
366.81
68,593.47
0.9
BANCO BRADESCO-ADR [BBD]
EQUITY
059460303
14,784
4.33
64,014.72
0.8
DENSO CORP [6902]
EQUITY
664038007
5,100
11.66
59,466.37
0.8
BAIDU INC - SPON ADR [BIDU]
EQUITY
056752108
673
86.99
58,544.27
0.7
BYD CO LTD-H [1211]
EQUITY
653665901
5,500
9.443
51,937.05
0.7
CHINA LIFE INSURANCE CO-H [2628]
EQUITY
671897908
12,000
3.512
42,146.04
0.5
TRAVELSKY TECHNOLOGY LTD-H [696]
EQUITY
632195905
36,000
1.13
40,693.26
0.5
POUND STERLING
CASH
--
--
5,033.5
1.322
6,655.54
0.1
NEW TAIWAN DOLLAR
CASH
--
--
197,254
0.031
6,211.06
0.1
EURO CURRENCY
CASH
--
--
5,004.41
1.122
5,614.70
0.1
SINGAPORE DOLLAR
CASH
--
--
4,725
0.782
3,692.99
0.0
MEXICAN PESO (NEW)
CASH
--
--
62,287.03
0.055
3,443.08
0.0
JAPANESE YEN
CASH
--
--
496,038
0.006
3,139.98
0.0
HONG KONG DOLLAR
CASH
--
--
22,078.86
0.127
2,813.67
0.0
CANADIAN DOLLAR [@CASHCAD]
CASH
--
--
1,156.46
0.701
810.98
0.0
SOUTH KOREAN WON
CASH
--
--
1,073,571
0.001
798.55
0.0
BRAZILIAN REAL
CASH
--
--
2,642.98
0.20
528.38
0.0
NORWEGIAN KRONE
CASH
--
--
26.21
0.104
2.73
0.0
Total
--
--
--
--
--
7,619,084.17
97.1
Cash and Other Assets Less Liabilities
--
--
--
--
--
--
2.9
Total Net Assets
--
--
--
--
--
--
100.0

As of 9/30/2026

Sector Breakdown

Information Technology

EPIN

25.6%

Benchmark

21.9%

Industrials

EPIN

20.5%

Benchmark

13.9%

Financials

EPIN

18.8%

Benchmark

25.1%

Health Care

EPIN

9.2%

Benchmark

6.8%

Consumer Discretionary

EPIN

7.7%

Benchmark

7.4%

Materials

EPIN

6.9%

Benchmark

6.7%

Energy

EPIN

4.2%

Benchmark

4.8%

Consumer Staples

EPIN

3.3%

Benchmark

4.9%

Cash

EPIN

3.0%

Benchmark

0.0%

Communication Services

EPIN

0.8%

Benchmark

4.3%

Real Estate

EPIN

0.0%

Benchmark

1.2%

Utilities

EPIN

0.0%

Benchmark

3.0%

EPIN: International Equity ETF

Benchmark: MSCI All Country World Ex. US (ND) Index

As of 9/30/2026

Economic Sector
International Equity ETF %
MSCI All Country World Ex. US (ND) Index %

Energy

29.6
12.3

Financials

4.3
4.8

Materials

0.9
4.9

Industrials

0.8
-0.6

Utilities

--
-3.9

Real Estate

--
-2.9

Health Care

-0.2
-0.9

Consumer Staples

-1.2
-3.5

Information Technology

-3.6
-5.1

Consumer Discretionary

-4.2
-0.3

Communication Services

-24.0
2.4

As of 10/5/2026

Country
International Equity ETF %
UNITED KINGDOM
12.8
TAIWAN
11.6
JAPAN
8.7
SWITZERLAND
5.3
GERMANY
5.2
ITALY
4.6
NETHERLANDS
4.6
NORWAY
3.6
BRAZIL
3.5
KOREA, SOUTH
3.4
Other
36.7

Investment Team

Earnest Partners

EARNEST Partners LLC manages assets for clients around the world, including corporate pension plans, state and municipal pension plans, jointly‑trusteed plans, foundations and endowments. They also manage portfolios for high net worth individuals through the platforms of some of the largest broker dealers in the world. EARNEST Partners is a fundamental, bottom‑up investor; their investment decisions focus on the merits of individual securities. The firm believes the best investment decisions are thoughtfully distilled from a pool of expertise, and they are pleased to offer a team with the experience and the network to assess the relevant geopolitical issues, demographic trends and cultural considerations impacting their investments. They believe that identifying the most attractive investment opportunities takes a global focus.

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. The Fund's investments in foreign securities 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.

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.