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Harbor International Fund Institutional Class (HAINX)

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46.53 +0.41    +0.89%
03/05 - Closed. Currency in USD ( Disclaimer )
  • Morningstar Rating:
  • Total Assets: 2.6B
Type:  Fund
Market:  United States
Issuer:  Harbor
Underlying:  MSCI EAFE Net
Asset Class:  Equity
Harbor International Institutional 46.53 +0.41 +0.89%

HAINX Overview

 
On this page you'll find an in-depth profile of Harbor International Fund Institutional Class. Learn about the key management, total assets, investment strategy and contact information of HAINX among other information.
Category

Foreign Large Blend

Total Assets

2.6B

Expenses

0.77%

Inception Date

Dec 29, 1987

Investment Strategy

The investment seeks long-term total return, principally from growth of capital. The fund invests primarily (no less than 65% of its total assets under normal market conditions) in common and preferred stocks of foreign companies located principally in developed markets across Europe, Japan and Asia Pacific ex Japan. The Subadvisor's investment strategy focuses on identifying attractive long-term investment opportunities that can arise as a result of certain capital cycle, or supply-side, conditions.

Contact Information

Address 111 S. Wacker Drive, 34th Floor
Chicago,IL 60606
United States
Phone +1 8004221050

Top Executives

Name Title Since Until
Toma Kobayashi Portfolio Manager 2022 Now
Biography "Toma manages Japanese equities across Marathon's International and Japanese equity portfolios and is a member of Marathon’s Partners Group. He joined Marathon in August 2018, initially as a Japan equity Analyst before assuming portfolio management responsibilities in July 2022. Toma joined from Orbis Investments where, from 2014, he worked as a generalist in the Japanese equity team. Toma holds a BEng from University College London and holds an MPhil from the University of Cambridge. He is also a CFA charterholder."
Alex Duffy Portfolio Manager 2021 Now
Biography "Alex joined Marathon in 2021 as an Emerging Markets equity Portfolio Manager. He is responsible for Global Emerging Markets investments within Global and International strategies as well as in standalone Emerging Markets funds and accounts. He is a member of Marathon’s Partners Group. Alex joined Marathon from Fidelity International, where he began his career in 2004 as an equity Analyst before being appointed a Portfolio Manager in 2008, initially for Latin American equities and, from 2013 for Global Emerging Markets. Alex holds an M.A. from the University of Nottingham."
Justin Hill Portfolio Manager 2021 Now
Biography "Justin joined Marathon in 2021 to manage Asia Pacific ex-Japan equities, and he is also a member of Marathon’s Partners Group. Justin started his career at Arthur Andersen as a tax specialist before moving into investment management in 1996 at Friends Ivory & Sime where he was responsible for UK Smaller Companies. In 2001 he moved to Pictet Asset Management where he covered Asian equities. Prior to joining Marathon he spent two years at BP Investment Management, covering Developed Asia. Justin holds an M.A. from the University of Oxford, is ASIP Qualified (CFA UK member) and holds the ACA Chartered Accountancy designation"
William J. Arah Co-Founder 2018 Now
Biography William (Bill) is a co-founder of Marathon and has been a Portfolio Manager of Marathon's Japanese equities since 1987. Bill is a Director of the company and sits on the Board. He is also a member of Marathon’s Partners Group. He has worked in the investment management industry since 1982. Bill holds an M.A. from Oxford University.
Nick Longhurst Portfolio Manager 2018 Now
Biography "Nick manages European equities across Marathon's International and European equity portfolios and is a member of Marathon’s Partners Group. He joined Marathon in 2003 as a European equity Analyst and assumed portfolio management responsibilities for European equities in 2010. Nick has worked in the investment management industry since 1994. Previous roles included that of Investment Analyst at American Express Asset Management and Schroders. Nick holds an M.A. from the University of Cambridge."
Charles Carter Portfolio Manager 2018 Now
Biography "Charles manages European equities across Marathon's Global, International and European equity portfolios. He joined Marathon as a European equity Analyst in 1998 and assumed portfolio management responsibilities of European equities in 2007. In 2018 Charles joined the firm's Board of Directors and was appointed Managing Director of the business in 2019. He is also a member of Marathon’s Partners Group. Prior to joining Marathon, Charles was part of Olivetti's internal M&A team in Italy involved in the disposal programme to restructure Olivetti's business. Prior to that, Charles worked for Lazard Brothers initially in the Corporate Strategy group and latterly in the Corporate Finance division. Charles holds an M.A. from the University of Oxford and an MBA from INSEAD."
Simon Somerville Portfolio Manager 2018 2024
Biography "Simon manages Japanese equities across Marathon's Global, International and Japanese equity portfolios and is a member of Marathon’s Partners Group. He joined Marathon in 2016 from Jupiter Asset Management where he was Head of Japan equities and manager of the Jupiter Japan Income Fund. He began his investment career at Cazenove Fund Management, where he managed Japanese equities and was also a Director, Partner and Head of Global equities. Simon holds a B.A. from Durham University."
Neil M. Ostrer Co-Founder 2018 2024
Biography Neil is a co-founder of Marathon and has been a Portfolio Manager of Marathon's European equities since inception of the firm in 1986. Neil is also a Director of Marathon and sits on the Board. He is also a member of Marathon’s Partners Group. He has worked in the investment management industry since 1981 and holds an M.A. from Cambridge University.
Michael Nickson Portfolio Manager 2018 2021
Biography Michael works alongside the other multi-counsellors at Marathon as a portfolio manager on the global equity strategy. He joined Marathon in 2012. Prior to joining Marathon, Michael worked at Majedie Asset Management and was responsible for co-managing the global equity strategy. Michael has also worked at MFS Investment Management and Goldman Sachs. He holds a M.A. from Cambridge University and is a CFA Charterholder.
David Cull Portfolio Manager 2018 2021
Biography David Cull joined Marathon in 2013 as an Asia Pacific ex-Japan and Emerging Markets equity analyst and in 2015 assumed portfolio management responsibilities. Prior to joining Marathon, David was a member of the Global Equity team at M&G Investments since 2006. He holds an M.Sc. in Finance from London Business School and is a CFA Charterholder.
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