Harbor Capital Logo

Harbor Ares Systematic Multi-Sector Income ETF (SIFI)

A scientific approach to active fixed income investing

NAV as of 9/14/2026
$42.73
NAV Daily Change
-$0.06
NAV YTD Return
0.80%
Net Expense Ratio (%)
0.50
Total Net Assets (million) as of 9/15/2026
$23.501
Benchmark
The Bloomberg U.S. Aggregate Bond Index

Scientifically Driven. Powered by an investment process that is evidence based, data‑driven, economically intuitive, and grounded in the scientific method.

Total Return + Income Focused. Actively managed to target total return and income through proprietary quantitative investment insights applied to asset allocation, security selection, and duration management.

Portfolio Optimized. Seeks to maximize total return while minimizing risk and transaction costs.

Diversifying Potential. May offer the benefits of a complementary return stream with low correlations to traditionally managed active total return fixed income strategies.

Investment Team

Ares Systematic Credit logo
Benjamin Brodsky
Michael Harper
Garth Flannery
Benoy Thomas

Learn More

As of 9/14/2026

$42.73

Price (NAV)

-$0.06

NAV Daily Change ($)

-0.14%

NAV Daily Change (%)

0.80%

NAV YTD Return

$42.62

Market Price

-$0.07

Market Daily Change ($)

-0.16%

Market Daily Change (%)

0.45%

Market YTD Return

5.24%

Current 30-Day Sub. SEC Yield

5.24%

Current 30-Day Unsub. SEC Yield

5.37%

Effective 30-Day Sub. Yield

5.37%

Effective 30-Day Unsub. Yield

As of 9/14/2026

9/14/2021

Inception Date

0.50

Expense Ratio (%)

$23.501

Total Net Assets (million)

550,000

Shares Outstanding
(As of 9/15/2026)

SIFI

Ticker

41151J208

Cusip

NYSE Arca

Exchange

US41151J2087

ISIN

Foreside Fund Services, LLC

Distributor

Monthly

Dividend Frequency

Multi-Sector Bond

Morningstar Category

The Bloomberg U.S. Aggregate Bond Index

Benchmark

Investment Objective:

The Fund seeks total return

Morningstar Medalist Rating™

Morningstar Silver
Analyst-Driven %
10
Data Coverage %
80
As of 6/30/2026
The Morningstar Medalist Rating™ is the summary expression of Morningstar’s forward-looking analysis of investment strategies as offered via specific vehicles using a rating scale of Gold, Silver, Bronze, Neutral, and Negative. The Medalist Ratings indicate which investments Morningstar believes are likely to outperform a relevant index or peer group average on a risk-adjusted basis over time.

Source: Morningstar

As of 9/14/2026

$42.63

Bid/Ask Mid Price

$42.62

Closing Market Price

-$0.10

Premium/Discount ($)

-0.24%

Premium/Discount (%)
2025
Q1 2026
Q2 2026
Q3 2026
YTD
Days Traded at a Premium
245
47
58
48
153
Days Traded at a Discount
5
14
4
4
22

0.09%

30-Day Median Bid/Ask Spread

13

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.
3 Yr.
Since Fund Inception
Net Expense Ratio
Gross Expense Ratio
Ares Systematic Multi-Sector Income ETF - at NAV
2.15%
1.50%
5.55%
7.48%
2.36%
0.50%
0.50%
Market Price
2.17%
1.66%
5.54%
7.40%
2.40%
--
--
Bloomberg US Aggregate Bond Index
0.67%
0.62%
3.79%
4.16%
-0.18%
--
--

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 Bloomberg US Aggregate Bond Index is an unmanaged index of investment‑grade fixed‑rate debt issues with maturities of at least one year. This unmanaged index does not reflect fees and expenses and is not available for direct investment.

Select an option

Ex-Date
Record Date
Payable Date
Ordinary Income
Short Term Capital Gains
Long Term Capital Gains
Total Distribution
8/31/2026
8/31/2026
9/3/2026
0.19283
--
--
0.19283
8/2/2026
8/2/2026
8/5/2026
0.21361
--
--
0.21361
6/30/2026
6/30/2026
7/6/2026
0.16735
--
--
0.16735
5/31/2026
5/31/2026
6/3/2026
0.18389
--
--
0.18389
4/30/2026
4/30/2026
5/5/2026
0.17258
--
--
0.17258
3/31/2026
3/31/2026
4/6/2026
0.18925
--
--
0.18925
3/1/2026
3/1/2026
3/4/2026
0.16020
--
--
0.16020
2/1/2026
2/1/2026
2/4/2026
0.16504
--
--
0.16504
12/18/2025
12/18/2025
12/23/2025
0.72797
--
--
0.72797
12/1/2025
12/1/2025
12/4/2025
0.20072
--
--
0.20072
11/3/2025
11/3/2025
11/6/2025
0.22003
--
--
0.22003
9/30/2025
9/30/2025
10/5/2025
0.17450
--
--
0.17450
9/1/2025
9/1/2025
9/4/2025
0.21786
--
--
0.21786
7/31/2025
7/31/2025
8/5/2025
0.19318
--
--
0.19318
6/30/2025
6/30/2025
7/6/2025
0.19964
--
--
0.19964
6/1/2025
6/1/2025
6/4/2025
0.20684
--
--
0.20684
4/30/2025
4/30/2025
5/5/2025
0.19334
--
--
0.19334
3/31/2025
3/31/2025
4/3/2025
0.20806
--
--
0.20806
3/2/2025
3/2/2025
3/5/2025
0.20889
--
--
0.20889
2/2/2025
2/2/2025
2/5/2025
0.13257
--
--
0.13257
12/19/2024
12/19/2024
12/25/2024
0.49512
--
--
0.49512
12/1/2024
12/1/2024
12/4/2024
0.21188
--
--
0.21188
11/3/2024
11/3/2024
11/6/2024
0.21810
--
--
0.21810
9/30/2024
9/30/2024
10/3/2024
0.15742
--
--
0.15742
9/2/2024
9/2/2024
9/5/2024
0.19575
--
--
0.19575
7/31/2024
7/31/2024
8/5/2024
0.18354
--
--
0.18354
6/30/2024
6/30/2024
7/4/2024
0.15541
--
--
0.15541
6/2/2024
6/2/2024
6/5/2024
0.23322
--
--
0.23322
4/30/2024
5/1/2024
5/5/2024
0.18181
--
--
0.18181
3/31/2024
4/1/2024
4/3/2024
0.19359
--
--
0.19359
2/29/2024
3/3/2024
3/5/2024
0.17245
--
--
0.17245
1/31/2024
2/1/2024
2/5/2024
0.12766
--
--
0.12766
12/20/2023
12/21/2023
12/26/2023
0.59707
--
--
0.59707
11/30/2023
12/3/2023
12/5/2023
0.19643
--
--
0.19643
10/31/2023
11/1/2023
11/5/2023
0.19062
--
--
0.19062
10/1/2023
10/2/2023
10/4/2023
0.12386
--
--
0.12386
8/31/2023
9/4/2023
9/6/2023
0.12150
--
--
0.12150
7/31/2023
8/1/2023
8/3/2023
0.11609
--
--
0.11609
7/2/2023
7/4/2023
7/6/2023
0.19366
--
--
0.19366
5/31/2023
6/1/2023
6/5/2023
0.20715
--
--
0.20715
4/30/2023
5/1/2023
5/3/2023
0.17794
--
--
0.17794
4/2/2023
4/3/2023
4/5/2023
0.22967
--
--
0.22967
2/28/2023
3/1/2023
3/5/2023
0.17110
--
--
0.17110
1/31/2023
2/1/2023
2/5/2023
0.15264
--
--
0.15264
12/20/2022
12/21/2022
12/26/2022
0.38393
--
--
0.38393
11/30/2022
12/1/2022
12/5/2022
0.14908
--
--
0.14908
10/31/2022
11/1/2022
11/3/2022
0.12950
--
--
0.12950
10/2/2022
10/3/2022
10/5/2022
0.12893
--
--
0.12893
8/31/2022
9/1/2022
9/6/2022
0.11214
--
--
0.11214
7/31/2022
8/1/2022
8/3/2022
0.12651
--
--
0.12651
6/30/2022
7/4/2022
7/6/2022
0.11025
--
--
0.11025
5/31/2022
6/1/2022
6/5/2022
0.11493
--
--
0.11493
5/1/2022
5/2/2022
5/4/2022
0.11201
--
--
0.11201
3/31/2022
4/3/2022
4/5/2022
0.12177
--
--
0.12177
2/28/2022
3/1/2022
3/3/2022
0.09451
--
--
0.09451
1/31/2022
2/1/2022
2/3/2022
0.05914
--
--
0.05914
12/21/2021
12/22/2021
12/27/2021
0.13939
--
--
0.13939
11/30/2021
12/1/2021
12/5/2021
0.13642
--
--
0.13642
10/31/2021
11/1/2021
11/3/2021
0.14607
--
--
0.14607

Holdings

As of 9/14/2026

180

Number of Bonds

4.88

Avg. Market Coupon (%)

3.62

Wtd. Avg. Maturity (yrs)

3.46

Wtd. Avg. Duration (yrs)

As of 9/14/2026

Name
Maturity Date
Coupon Rate (%)
Value ($000's)
% of Net Assets
EIDP INC
5/14/2033
4.8
284
1.2
PROSUS NV
7/12/2031
3.1
267
1.1
HOME DEPOT INC
4/14/2032
3.3
242
1.0
ENQUEST PLC
4/29/2031
9.9
211
0.9
PARK-OHIO INDUSTRIES INC
7/31/2030
8.5
209
0.9
KEYSPAN GAS EAST CORP
3/5/2033
6.0
203
0.9
OPEN TEXT CORP
11/30/2027
6.9
202
0.9
XPO INC
5/31/2028
6.3
201
0.9
NORDSON CORP
9/14/2033
5.8
201
0.9
CENTENE CORP
2/28/2031
2.5
201
0.9
% of Total Holdings:
--
--
--
9.4

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

As of 9/14/2026

Company Name
Category Name
Cusip
Shares
Maturity Date
Coupon Rate (%)
Market Value ($000's)
% of Net Assets
EIDP INC
FIXED INCOME
263534CR8
300,000
5/15/2033
4.8
284
1.2
PROSUS NV
FIXED INCOME
74365PAF5
300,000
7/13/2031
3.1
267
1.1
HOME DEPOT INC
FIXED INCOME
437076CP5
267,000
4/15/2032
3.3
242
1.0
ENQUEST PLC
FIXED INCOME
29357JAF3
200,000
4/30/2031
9.9
211
0.9
PARK-OHIO INDUSTRIES INC
FIXED INCOME
700677AS6
200,000
8/1/2030
8.5
209
0.9
KEYSPAN GAS EAST CORP
FIXED INCOME
49338CAD5
200,000
3/6/2033
6.0
203
0.9
OPEN TEXT CORP
FIXED INCOME
683715AF3
200,000
12/1/2027
6.9
202
0.9
XPO INC
FIXED INCOME
98379KAA0
200,000
6/1/2028
6.3
201
0.9
NORDSON CORP
FIXED INCOME
655663AB8
200,000
9/15/2033
5.8
201
0.9
CENTENE CORP
FIXED INCOME
15135BAX9
233,000
3/1/2031
2.5
201
0.9
IMPERIAL BRANDS FIN PLC
FIXED INCOME
45262BAG8
200,000
2/1/2030
5.5
201
0.9
BAE SYSTEMS PLC
FIXED INCOME
05523RAJ6
200,000
3/26/2029
5.1
200
0.9
CALIFORNIA RESOURCES CRP
FIXED INCOME
13057QAM9
200,000
1/15/2035
7.3
200
0.8
IAMGOLD CORP
FIXED INCOME
450913AF5
200,000
10/15/2028
5.8
200
0.8
VICI PROPERTIES / NOTE
FIXED INCOME
92564RAD7
200,000
2/15/2027
3.8
199
0.8
HCA INC
FIXED INCOME
404119CH0
200,000
3/15/2027
3.1
199
0.8
ALLEGIANT TRAVEL CO
FIXED INCOME
01748XAE2
199,000
7/1/2031
7.1
199
0.8
ALTRIA GROUP INC
FIXED INCOME
02209SBD4
200,000
2/14/2029
4.8
198
0.8
APPLOVIN CORP
FIXED INCOME
03831WAB4
200,000
12/1/2029
5.1
198
0.8
HUMANA INC
FIXED INCOME
444859CE0
200,000
9/15/2056
6.6
197
0.8
FERGUSON FINANCE PLC
FIXED INCOME
314890AA2
200,000
10/24/2028
4.5
197
0.8
DELEK LOG PART/FINANCE
FIXED INCOME
24665FAG7
197,000
6/1/2034
6.9
196
0.8
AMAZON.COM INC
FIXED INCOME
023135ED4
200,000
7/9/2033
5.1
195
0.8
ONEMAIN FINANCE CORP
FIXED INCOME
682691AN0
200,000
9/15/2033
6.8
194
0.8
PROG HOLDINGS INC
FIXED INCOME
74319RAA9
200,000
11/15/2029
6.0
194
0.8
ANTERO MIDSTREAM PART/FI
FIXED INCOME
03690AAM8
200,000
10/15/2033
5.8
194
0.8
BP CAPITAL MARKETS PLC
FIXED INCOME
05565QDV7
200,000
12/31/2099
4.9
194
0.8
WSP GLOBAL INC
FIXED INCOME
92938WAG8
200,000
9/18/2031
5.0
194
0.8
SUNCOKE ENERGY INC
FIXED INCOME
86722AAD5
200,000
6/30/2029
4.9
192
0.8
IBM CORP
FIXED INCOME
459200KA8
200,000
5/15/2029
3.5
192
0.8
NEWS CORP
FIXED INCOME
65249BAA7
200,000
5/15/2029
3.9
192
0.8
NOVELIS CORP
FIXED INCOME
670001AE6
200,000
1/30/2030
4.8
191
0.8
TRINET GROUP INC
FIXED INCOME
896288AA5
200,000
3/1/2029
3.5
189
0.8
BELLRING BRANDS INC
FIXED INCOME
07831CAA1
189,000
3/15/2030
7.0
184
0.8
TALOS PRODUCTION INC
FIXED INCOME
87485LAF1
177,000
7/15/2034
8.0
183
0.8
DAVITA INC
FIXED INCOME
23918KAS7
190,000
6/1/2030
4.6
181
0.8
VIATRIS INC
FIXED INCOME
92556VAD8
200,000
6/22/2030
2.7
180
0.8
CALUMET SPECIALTY PROD
FIXED INCOME
131477BA8
165,000
2/15/2031
9.8
178
0.8
STERIS PLC
FIXED INCOME
85917PAA5
200,000
3/15/2031
2.7
178
0.8
EBAY INC
FIXED INCOME
278642AY9
200,000
5/10/2031
2.6
177
0.8
STARZ CAPITAL HOLDINGS
FIXED INCOME
53627NAE1
200,000
4/15/2029
5.5
176
0.7
BROADCOM INC
FIXED INCOME
11135FCU3
200,000
4/15/2033
3.4
174
0.7
PAR PETROLEUM LLC
FIXED INCOME
70178JAB3
167,000
6/1/2034
7.4
171
0.7
SALESFORCE INC
FIXED INCOME
79466LAJ3
200,000
7/15/2031
1.9
171
0.7
VERMILION ENERGY INC
FIXED INCOME
923725AE5
166,000
2/15/2033
7.3
166
0.7
VICTORIA'S SECRET & CO
FIXED INCOME
926400AA0
167,000
7/15/2029
4.6
161
0.7
ALASKA AIRLINES 2020 TR
FIXED INCOME
01166VAA7
158,901.1
2/15/2029
4.8
159
0.7
SKEENA RESOURCES LIMITED
FIXED INCOME
83056PAA1
151,000
4/1/2031
8.5
158
0.7
JAPAN TOBACCO INC
FIXED INCOME
471105AD8
150,000
6/15/2030
5.3
150
0.6
DELTA AIR LINES/SKYMILES
FIXED INCOME
830867AB3
150,000
10/20/2028
4.8
149
0.6
ANYWHERE RE GRP/REALOGY
FIXED INCOME
75606DAV3
133,000
4/15/2030
9.8
142
0.6
COOPER-STANDARD AUTOMOTI
FIXED INCOME
216762AK0
140,000
3/1/2031
9.3
140
0.6
MPT OPER PARTNERSP/FINL
FIXED INCOME
55342UAJ3
200,000
8/1/2029
4.6
140
0.6
1011778 BC / NEW RED FIN
FIXED INCOME
68245XAH2
142,000
1/15/2028
3.9
140
0.6
ENOVA INTERNATIONAL INC
FIXED INCOME
29357KAK9
133,000
8/1/2029
9.1
139
0.6
ALLIANCE RES OP/FINANCE
FIXED INCOME
01879NAC9
133,000
6/15/2029
8.6
139
0.6
PBF HOLDING CO LLC
FIXED INCOME
69318FAL2
133,000
9/15/2030
7.9
138
0.6
TRANSDIGM INC
FIXED INCOME
893647BU0
133,000
3/1/2029
6.4
134
0.6
LENNOX INTERNATIONAL INC
FIXED INCOME
526107AG2
133,000
9/15/2028
5.5
134
0.6
HF SINCLAIR CORP
FIXED INCOME
403949AR1
133,000
1/15/2031
5.8
134
0.6
ENBRIDGE INC
FIXED INCOME
29250NAN5
133,000
1/15/2077
6.0
134
0.6
HUDBAY MINERALS INC
FIXED INCOME
443628AH5
133,000
4/1/2029
6.1
134
0.6
PITNEY BOWES INC
FIXED INCOME
724479AQ3
133,000
3/15/2029
7.3
134
0.6
PHILIP MORRIS INTL INC
FIXED INCOME
718172DA4
133,000
2/15/2030
5.1
132
0.6
ENERGY TRANSFER LP
FIXED INCOME
29273VBG4
133,000
2/15/2056
6.5
132
0.6
KOHL'S CORPORATION
FIXED INCOME
500255AX2
148,000
5/1/2031
5.1
131
0.6
CARLISLE COS INC
FIXED INCOME
142339AH3
133,000
12/1/2027
3.8
131
0.6
ORACLE CORP
FIXED INCOME
68389XCJ2
133,000
11/9/2032
6.3
131
0.6
PG&E CORP
FIXED INCOME
69331CAH1
133,000
7/1/2028
5.0
131
0.6
ARCOSA INC
FIXED INCOME
039653AA8
133,000
4/15/2029
4.4
130
0.6
FIRSTCASH INC
FIXED INCOME
33767DAF2
133,000
5/1/2034
6.1
130
0.6
CTR PARTNERSHIP/CARETRST
FIXED INCOME
126458AE8
133,000
6/30/2028
3.9
129
0.6
AMERICAN ELECTRIC POWER
FIXED INCOME
02557TAE9
133,000
3/15/2056
5.8
129
0.5
IRON MOUNTAIN INC
FIXED INCOME
46284VAF8
133,000
9/15/2029
4.9
129
0.5
WABASH NATIONAL CORP
FIXED INCOME
929566AL1
137,000
10/15/2028
4.5
129
0.5
1011778 BC / NEW RED FIN
FIXED INCOME
68245XAP4
133,000
2/15/2029
3.5
127
0.5
HOWMET AEROSPACE INC
FIXED INCOME
443201AB4
133,000
1/15/2029
3.0
127
0.5
CDW LLC/CDW FINANCE
FIXED INCOME
12513GBF5
133,000
2/15/2029
3.3
126
0.5
T-MOBILE USA INC
FIXED INCOME
87264ABS3
133,000
2/15/2029
2.6
125
0.5
COREWEAVE INC
FIXED INCOME
21873SAB4
133,000
6/1/2030
9.3
124
0.5
INTESA SANPAOLO SPA
FIXED INCOME
46115HBQ9
133,000
6/1/2032
4.2
123
0.5
BROADRIDGE FINANCIAL SOL
FIXED INCOME
11133TAD5
133,000
12/1/2029
2.9
123
0.5
TEXAS INSTRUMENTS INC
FIXED INCOME
882508BG8
133,000
9/4/2029
2.3
123
0.5
NVIDIA CORP
FIXED INCOME
67066GAF1
133,000
4/1/2030
2.9
123
0.5
NVR INC
FIXED INCOME
62944TAF2
133,000
5/15/2030
3.0
123
0.5
YARA INTERNATIONAL ASA
FIXED INCOME
984851AG0
133,000
6/4/2030
3.1
122
0.5
ICAHN ENTERPRISES/FIN
FIXED INCOME
451102CJ4
133,000
6/15/2030
9.0
121
0.5
MPLX LP
FIXED INCOME
55336VBQ2
133,000
8/15/2030
2.6
120
0.5
DIVERSIFIED HEALTHCARE T
FIXED INCOME
25525PAB3
133,000
3/1/2031
4.4
120
0.5
IRON MOUNTAIN INC
FIXED INCOME
46284VAQ4
120,000
1/15/2033
6.3
119
0.5
CENCORA INC
FIXED INCOME
03073EAT2
133,000
3/15/2031
2.7
119
0.5
ELASTIC NV
FIXED INCOME
28415LAA1
124,000
7/15/2029
4.1
119
0.5
MOTOROLA SOLUTIONS INC
FIXED INCOME
620076BT5
133,000
11/15/2030
2.3
118
0.5
VERISIGN INC
FIXED INCOME
92343EAM4
133,000
6/15/2031
2.7
117
0.5
AUTODESK INC
FIXED INCOME
052769AH9
133,000
12/15/2031
2.4
114
0.5
SUNCOR ENERGY INC
FIXED INCOME
867229AC0
100,000
2/1/2032
7.2
107
0.5
SPRINT SPECTRUM / SPEC I
FIXED INCOME
85208NAE0
105,000
3/20/2028
5.2
105
0.4
ALEXANDER FUND TRUST II
FIXED INCOME
014916AA8
100,000
7/31/2028
7.5
103
0.4
CVR ENERGY INC
FIXED INCOME
12662PAJ7
100,000
2/15/2034
7.9
102
0.4
ATLANTICUS HOLDINGS CORP
FIXED INCOME
04914AAA2
100,000
9/1/2030
9.8
101
0.4
GENMAB A/S/GENMAB FIN
FIXED INCOME
37230JAA0
100,000
12/15/2032
6.3
100
0.4
TC PIPELINES LP
FIXED INCOME
87233QAC2
100,000
5/25/2027
3.9
99
0.4
CARNIVAL CORP LTD
FIXED INCOME
143658BZ4
100,000
6/15/2031
5.9
99
0.4
HF SINCLAIR CORP
FIXED INCOME
403949AT7
100,000
9/1/2032
5.5
98
0.4
FLUTTER TREASURY DAC
FIXED INCOME
344045AB5
100,000
6/4/2031
5.9
97
0.4
HNI CORP
FIXED INCOME
404251AA8
95,000
1/18/2029
5.1
94
0.4
DAVITA INC
FIXED INCOME
23918KAT5
102,000
2/15/2031
3.8
93
0.4
VM CONSOLIDATED INC
FIXED INCOME
91835HAA0
100,000
4/15/2029
5.5
93
0.4
CCL INDUSTRIES INC
FIXED INCOME
124900AD3
100,000
6/1/2030
3.0
92
0.4
IDEX CORP
FIXED INCOME
45167RAG9
100,000
5/1/2030
3.0
92
0.4
GARTNER INC
FIXED INCOME
366651AE7
100,000
10/1/2030
3.8
91
0.4
QORVO INC
FIXED INCOME
74736KAJ0
100,000
4/1/2031
3.4
91
0.4
ZI TECH LLC/ZI FIN CORP
FIXED INCOME
98981BAA0
100,000
2/1/2029
3.9
88
0.4
SEAGATE DATA STOR
FIXED INCOME
81180LBB0
89,000
12/1/2034
5.8
87
0.4
ROSS STORES INC
FIXED INCOME
778296AG8
100,000
4/15/2031
1.9
86
0.4
ZIPRECRUITER INC
FIXED INCOME
98980BAA1
100,000
1/15/2030
5.0
85
0.4
CARVANA CO
FIXED INCOME
146869AM4
76,490
6/1/2031
9.0
84
0.4
JETBLUE AIRWAYS/LOYALTY
FIXED INCOME
476920AA1
100,000
9/20/2031
9.9
83
0.4
KYNDRYL HOLDINGS INC
FIXED INCOME
50155QAL4
100,000
10/15/2031
3.1
83
0.4
CORE SCIENTIFIC FINANCE
FIXED INCOME
21874LAA0
84,000
5/15/2031
7.8
82
0.3
WHIRLPOOL CORP
FIXED INCOME
963320BA3
100,000
3/1/2033
5.5
76
0.3
TUTOR PERINI CORP
FIXED INCOME
901109AH1
76,000
7/15/2033
6.6
76
0.3
SATURN OIL & GAS INC
FIXED INCOME
80412LAE7
72,000
7/30/2031
8.5
75
0.3
SEAGATE DATA STOR
FIXED INCOME
81180LBA2
67,000
12/1/2032
9.6
73
0.3
TTM TECHNOLOGIES INC
FIXED INCOME
87305RAK5
76,000
3/1/2029
4.0
73
0.3
BAUSCH HEALTH COS INC
FIXED INCOME
071734AQ0
67,000
9/30/2028
11.0
70
0.3
GEO GROUP INC/THE
FIXED INCOME
36162JAG1
67,000
4/15/2029
8.6
70
0.3
MACY'S RETAIL HLDGS LLC
FIXED INCOME
55617LAS1
67,000
8/1/2033
7.4
69
0.3
PBF HOLDING CO LLC
FIXED INCOME
69318FAN8
67,000
6/1/2034
7.3
68
0.3
TURNING POINT BRANDS INC
FIXED INCOME
90041LAG0
67,000
3/15/2032
7.6
68
0.3
FIVE POINT OPERATING CO
FIXED INCOME
33834YAC2
67,000
10/1/2030
8.0
68
0.3
GENERAL MOTORS FINL CO
FIXED INCOME
37045XEG7
67,000
4/6/2030
5.8
68
0.3
LAS VEGAS SANDS CORP
FIXED INCOME
517834AN7
67,000
6/14/2030
6.0
68
0.3
ORACLE CORP
FIXED INCOME
68389XCH6
67,000
11/9/2029
6.2
68
0.3
TENET HEALTHCARE CORP
FIXED INCOME
88033GDB3
67,000
11/1/2027
5.1
67
0.3
EDISON INTERNATIONAL
FIXED INCOME
281020AZ0
67,000
6/15/2054
7.9
67
0.3
KINDER MORGAN INC
FIXED INCOME
494553AD2
67,000
2/1/2029
5.0
67
0.3
ENTERPRISE PRODUCTS OPER
FIXED INCOME
29379VBN2
67,000
8/16/2077
5.3
67
0.3
GENESIS ENERGY LP/FIN
FIXED INCOME
37185LAS1
67,000
3/15/2034
6.8
67
0.3
MOTOROLA SOLUTIONS INC
FIXED INCOME
620076BL2
67,000
2/23/2028
4.6
67
0.3
OMEGA HLTHCARE INVESTORS
FIXED INCOME
681936BK5
67,000
1/15/2028
4.8
67
0.3
FORD MOTOR COMPANY
FIXED INCOME
345370DB3
67,000
8/19/2032
6.1
67
0.3
PHILIP MORRIS INTL INC
FIXED INCOME
718172DH9
67,000
2/13/2031
5.1
66
0.3
CISCO SYSTEMS INC
FIXED INCOME
17275RBS0
67,000
2/26/2031
5.0
66
0.3
TAPESTRY INC
FIXED INCOME
876030AK3
67,000
3/11/2030
5.1
66
0.3
ENERSYS
FIXED INCOME
29275YAC6
67,000
12/15/2027
4.4
66
0.3
VERISIGN INC
FIXED INCOME
92343EAQ5
67,000
6/1/2032
5.3
66
0.3
RHP HOTEL PPTY/RHP FINAN
FIXED INCOME
749571AG0
67,000
2/15/2029
4.5
65
0.3
DISH DBS CORP
FIXED INCOME
25470XBB0
67,000
7/1/2028
7.4
65
0.3
CARNIVAL CORP LTD
FIXED INCOME
143658BQ4
67,000
8/1/2028
4.0
65
0.3
MATCH GROUP HLD II LLC
FIXED INCOME
57667JAC6
67,000
9/15/2033
6.1
65
0.3
DIVERSIFIED HEALTHCARE T
FIXED INCOME
81721MAM1
67,000
2/15/2028
4.8
65
0.3
SALESFORCE INC
FIXED INCOME
79466LAT1
67,000
3/15/2033
5.2
65
0.3
GLENCORE FUNDING LLC
FIXED INCOME
378272CD8
67,000
7/1/2033
5.2
65
0.3
LEIDOS INC
FIXED INCOME
52532XAF2
67,000
5/15/2030
4.4
65
0.3
O'REILLY AUTOMOTIVE INC
FIXED INCOME
67103HAJ6
67,000
4/1/2030
4.2
65
0.3
BAUSCH HEALTH COS INC
FIXED INCOME
071734AN7
67,000
6/1/2028
4.9
64
0.3
EQUINIX EU 2 FINANCING C
FIXED INCOME
29390XAH7
67,000
3/15/2033
4.7
63
0.3
TARGA RESOURCES PARTNERS
FIXED INCOME
87612BBU5
67,000
1/15/2032
4.0
62
0.3
ALLISON TRANSMISSION INC
FIXED INCOME
019736AG2
67,000
1/30/2031
3.8
61
0.3
CLEARWATER PAPER CORP
FIXED INCOME
18538RAJ2
67,000
8/15/2028
4.8
60
0.3
COREWEAVE INC
FIXED INCOME
21873SAC2
67,000
2/1/2031
9.0
60
0.3
COREWEAVE INC
FIXED INCOME
21873SAG3
67,000
10/1/2031
9.8
60
0.3
UNITED AIR 2020-1 A PTT
FIXED INCOME
90931GAA7
59,340.42
4/15/2029
5.9
60
0.3
ALTRIA GROUP INC
FIXED INCOME
02209SBL6
67,000
2/4/2032
2.5
57
0.2
ICAHN ENTERPRISES/FIN
FIXED INCOME
451102CC9
67,000
2/1/2029
4.4
57
0.2
BROADCOM INC
FIXED INCOME
11135FCR0
67,000
2/15/2033
2.6
55
0.2
CIENA CORP
FIXED INCOME
171779AL5
57,000
1/31/2030
4.0
54
0.2
MACY'S RETAIL HLDGS LLC
FIXED INCOME
55616XAJ6
67,000
2/15/2043
4.3
47
0.2
WHIRLPOOL CORP
FIXED INCOME
963320BG0
39,000
7/1/2034
7.9
37
0.2
MPT OPER PARTNERSP/FINL
FIXED INCOME
55342UAM6
62,000
3/15/2031
3.5
36
0.2
EUSHI FINANCE INC
FIXED INCOME
29882DAB9
35,000
12/15/2054
7.6
36
0.2
S85599589 CDS USD R F 5 P85599589FEE CCPCDX
SWAP
99S2DTYI5
1,029,000
--
5.0
1,104
0.1
PEDIATRIX MEDICAL GROUP
FIXED INCOME
58502BAE6
12,000
2/15/2030
5.4
12
0.1
S90149847 CDS USD R F 1 P90149847FEE CCPCDX
SWAP
99S2DNWI0
3,150,000
--
1.0
3,214
0.0
EURO CURRENCY
CASH
--
1,525.89
--
--
2
0.0
S85599589 CDS USD P V 03MEVENT P85599589PRO CCPCDX
SWAP
99S2DTYJ3
-1,029,000
--
1.0
-1,029
0.0
S90149847 CDS USD P V 03MEVENT P90149847PRO CCPCDX
SWAP
99S2DNWJ8
-3,150,000
--
1.0
-3,150
0.0
US 2YR NOTE (CBT) Dec26
FUTURE
TUZ6
2,600,000
--
--
2,654
-0.1
US 10YR NOTE (CBT)Dec26
FUTURE
TYZ6
900,000
--
--
956
-0.1
US 5YR NOTE (CBT) Dec26
FUTURE
FVZ6
1,200,000
--
--
1,254
-0.1
Total
--
--
--
--
--
26,060
90.0
Cash and Other Assets Less Liabilities
--
--
--
--
--
--
10.0
Total Net Assets
--
--
--
--
--
--
100.0

As of 9/14/2026

Sector Breakdown

Derivatives

SIFI

39.2%

Software/Services

SIFI

6.9%

Support-Services

SIFI

6.0%

REITs

SIFI

4.8%

Metals/Mining Excluding Steel

SIFI

4.7%

Specialty Retail

SIFI

4.2%

Gas Distribution

SIFI

4.0%

Oil Refining & Marketing

SIFI

3.9%

Machinery

SIFI

3.8%

Tobacco

SIFI

3.7%

Energy - Exploration & Production

SIFI

3.6%

Cons/Comm/Lease Financing

SIFI

3.3%

Air Transportation

SIFI

2.8%

Electronics

SIFI

2.7%

Chemicals

SIFI

2.5%

Aerospace/Defense

SIFI

2.3%

Tech Hardware & Equipment

SIFI

2.0%

Investments & Misc Financial Services

SIFI

1.9%

Pharmaceuticals

SIFI

1.8%

Health Services

SIFI

1.7%

Managed Care

SIFI

1.7%

Electric-Integrated

SIFI

1.6%

Telecom - Wireline Integrated & Services

SIFI

1.4%

Integrated Energy

SIFI

1.3%

Restaurants

SIFI

1.1%

Health Facilities

SIFI

1.1%

Department Stores

SIFI

1.1%

Telecom - Wireless

SIFI

1.0%

RealEstate Dev & Mgt

SIFI

0.9%

Auto Parts & Equipment

SIFI

0.9%

Transport Infrastructure/Services

SIFI

0.9%

Non-Electric Utilities

SIFI

0.9%

Building & Construction

SIFI

0.9%

Diversified Capital Goods

SIFI

0.8%

Media - Diversified

SIFI

0.8%

Food - Wholesale

SIFI

0.8%

Media Content

SIFI

0.8%

Medical Products

SIFI

0.8%

Gaming

SIFI

0.7%

Recreation & Travel

SIFI

0.7%

Banking

SIFI

0.5%

Personal & Household Products

SIFI

0.5%

Electric-Generation

SIFI

0.4%

Packaging

SIFI

0.4%

Discount Stores

SIFI

0.4%

Auto Loans

SIFI

0.3%

Automakers

SIFI

0.3%

Cable & Satellite TV

SIFI

0.3%

Advertising

SIFI

0.3%

Forestry/Paper

SIFI

0.3%

SIFI: Ares Systematic Multi-Sector Income ETF

As of 9/14/2026

Maturity
Ares Systematic Multi-Sector Income ETF %
0-1 yr
3.7
1-3 yr
28.1
3-5 yr
35.8
5-7 yr
14.7
7-10 yr
8.2
10-20 yr
0.2
20-30 yr
0.0
Over 30 yr
0.0

As of 9/14/2026

Duration
Ares Systematic Multi-Sector Income ETF %
0-1 yr
9.4
1-3 yr
35.8
3-5 yr
33.4
5-7 yr
11.8
7-10 yr
0.0
10-20 yr
0.2
20-30 yr
0.0
Over 30 yr
0.0

Investment Team

Ares Systematic Credit logo

Launched through the acquisition of BlueCove in 2025, Ares Systematic Credit Limited offers systematic fixed income strategies that harness the power of data and technology to deliver differentiated solutions to investors. Ares Systematic Credit leverages proprietary technology to support an evidence‑based, data‑driven investment process across high‑yield, corporate investment grade, convertible bonds, and other liquid credit instruments in a variety of portfolio constructions. The strategies seek to systematically select, access, analyze and deploy information to capitalize on market inefficiencies and seek to generate high‑quality alpha. Ares Systematic Credit is comprised of a highly experienced team across investment, engineering, and business infrastructure professionals specializing in systematic portfolio management.

Benjamin Brodsky

Benjamin Brodsky

CFA, Chief Investment Officer

Michael Harper

Michael Harper

CFA, Head of Portfolio Management

Garth Flannery

Garth Flannery

CFA, Head of Asset Allocation

Benoy Thomas

Benoy Thomas

CFA, Partner, Deputy CIO

Important Information

Effective February 3, 2026, the name of the fund’s subadvisor changed from BlueCove Limited to Ares Systematic Credit Limited. Effective March 1, 2026, the name of Harbor Scientific Alpha Income ETF changed to Harbor Ares Systematic Multi‑Sector Income ETF. These changes do not affect the fund’s investment objective, strategies, risks, fees, or portfolio management. Please see the Fund's Prospectus for additional 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.

All investments involve risk including the possible loss of principal. Fixed income securities fluctuate in price in response to various factors, including changes in interest rates, changes in market conditions and issuer‑specific events, and the value of your investment in the Fund may go down. There is a greater risk that the Fund will lose money because they invest in below‑ investment grade fixed income securities and unrated securities of similar credit quality (commonly referred to as “high‑yield securities” or “junk bonds”). These securities are considered speculative because they have a higher risk of issuer default, are subject to greater price volatility and may be illiquid. Because the Fund may invest in securities of foreign issuers, an investment in the Fund is subject to special risks in addition to those of U.S. securities. These risks include heightened political and economic risks, greater volatility, currency fluctuations, higher transaction costs, delayed settlement, possible foreign controls on investment, possible sanctions by government bodies of other countries and less stringent investor protection and disclosure standards of foreign markets.

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).

Duration is a commonly used measure of the sensitivity of the price of a debt security, or aggregate market value of a portfolio of debt securities, to change in interest rates. Modified Duration measures the change in the value of a security in response to the change in interest rates. Securities with a longer duration are more sensitive to changes in interest rates and generally have more volatile prices than securities of comparable quality with a shorter duration.

Correlation: A statistic that measures the degree to which two variables move in relation to each other.

Wtd. Avg. Market Coupon (%): the weighted average coupon rate of the underlying bonds in the Fund.

Wtd. Avg. Maturity (yrs): the weighted average length of time to the repayment of principal for the securities in the Fund. This metric considers the likelihood that bonds will be called or prepaid before the scheduled maturity date.

Wtd. Avg. Duration (yrs): the weight average duration of the underlying bonds or derivative market exposures in the Fund. Duration is a time measure of a bond's interest‑rate sensitivity. The longer a fund's duration, the more sensitive the fund is to shifts in interest rates

The Morningstar Medalist Ratings are shown for funds that have received a rating of Gold, Silver, or Bronze. The funds shown without Medalist Ratings may not have received a Medalist Rating or may have received lower ratings.

The Morningstar Medalist Rating™ is the summary expression of Morningstar’s forward‑looking analysis of investment strategies as offered via specific vehicles using a rating scale of Gold, Silver, Bronze, Neutral, and Negative. The Medalist Ratings indicate which investments Morningstar believes are likely to outperform a relevant index or peer group average on a risk‑adjusted basis over time. Investment products are evaluated on three key pillars (People, Parent, and Process) which, when coupled with a fee assessment, forms the basis for Morningstar’s conviction in those products’ investment merits and determines the Medalist Rating they’re assigned. Pillar ratings take the form of Low, Below Average, Average, Above Average, and High. Pillars may be evaluated via an analyst’s qualitative assessment (either directly to a vehicle the analyst covers or indirectly when the pillar ratings of a covered vehicle are mapped to a related uncovered vehicle) or using algorithmic techniques. Vehicles are sorted by their expected performance into rating groups defined by their Morningstar Category and their active or passive status. When analysts directly cover a vehicle, they assign the three pillar ratings based on their qualitative assessment, subject to the oversight of the Analyst Rating Committee, and monitor and reevaluate them at least every 14 months. When the vehicles are covered either indirectly by analysts or by algorithm, the ratings are assigned monthly. For more detailed information about these ratings, including their methodology, please go to global.morningstar.com/managerdisclosures/.

The Morningstar Medalist Ratings are not statements of fact, nor are they credit or risk ratings. The Morningstar Medalist Rating (i) should not be used as the sole basis in evaluating an investment product, (ii) involves unknown risks and uncertainties which may cause expectations not to occur or to differ significantly from what was expected, (iii) are not guaranteed to be based on complete or accurate assumptions or models when determined algorithmically, (iv) involve the risk that the return target will not be met due to such things as unforeseen changes in management, technology, economic development, interest rate development, operating and/or material costs, competitive pressure, supervisory law, exchange rate, tax rates, exchange rate changes, and/or changes in political and social conditions, and (v) should not be considered an offer or solicitation to buy or sell the investment product. A change in the fundamental factors underlying the Morningstar Medalist Rating can mean that the rating is subsequently no longer accurate.

©2026 Morningstar, Inc. All rights reserved. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) may not be copied or distributed; and (3) is not warranted to be accurate, complete, or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use of this information. Past performance is no guarantee of future results. Harbor Capital provides compensation in connection with obtaining or using third‑party ratings and rankings.