INFO Holdings — Harbor PanAgora Dynamic Large Cap Core ETF

All 130 reported holdings of Harbor PanAgora Dynamic Large Cap Core ETF (INFO) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
NVIDIA Corp8.15%$62.88M
Alphabet Inc7.28%$56.21M
Apple Inc7.08%$54.66M
Microsoft Corp4.77%$36.84M
Broadcom Inc3.66%$28.27M
Amazon.com Inc3.58%$27.66M
Meta Platforms Inc2.44%$18.86M
Eli Lilly & Co1.62%$12.50M
Costco Wholesale Corp1.34%$10.34M
Tesla Inc1.26%$9.74M
Johnson & Johnson1.24%$9.54M
AbbVie Inc1.16%$8.92M
Philip Morris International Inc1.15%$8.84M
General Electric Co1.11%$8.56M
Lam Research Corp1.11%$8.56M
Micron Technology Inc1.10%$8.48M
Walmart Inc1.09%$8.43M
Johnson Controls International plc0.93%$7.21M
State Street Corp0.92%$7.12M
Bank of New York Mellon Corp/The0.91%$7.05M
Northern Trust Corp0.89%$6.91M
Altria Group Inc0.89%$6.88M
Bristol-Myers Squibb Co0.89%$6.87M
General Motors Co0.86%$6.64M
Devon Energy Corp0.84%$6.49M
Cummins Inc0.84%$6.46M
NextEra Energy Inc0.83%$6.38M
eBay Inc0.83%$6.37M
Analog Devices Inc0.78%$6.00M
M&T Bank Corp0.78%$5.99M
Garmin Ltd0.76%$5.86M
Incyte Corp0.75%$5.82M
Arista Networks Inc0.74%$5.74M
Consolidated Edison Inc0.74%$5.68M
Hartford Insurance Group Inc/The0.73%$5.66M
NRG Energy Inc0.73%$5.60M
FedEx Corp0.71%$5.51M
Berkshire Hathaway Inc0.71%$5.47M
Exxon Mobil Corp0.71%$5.46M
Baker Hughes Co0.69%$5.35M
Ross Stores Inc0.68%$5.24M
Advanced Micro Devices Inc0.66%$5.12M
Citigroup Inc0.66%$5.08M
Mastercard Inc0.65%$5.02M
HEICO Corp0.65%$4.99M
Westinghouse Air Brake Technologies Corp0.64%$4.96M
Host Hotels & Resorts Inc0.64%$4.91M
Centene Corp0.63%$4.88M
McKesson Corp0.61%$4.72M
JPMorgan Chase & Co0.61%$4.71M
Marathon Petroleum Corp0.59%$4.59M
DuPont de Nemours Inc0.59%$4.52M
Applied Materials Inc0.57%$4.38M
Newmont Corp0.55%$4.25M
Zoom Communications Inc0.54%$4.17M
RTX Corp0.54%$4.16M
UnitedHealth Group Inc0.53%$4.09M
American Express Co0.53%$4.08M
Intuit Inc0.52%$3.99M
Booking Holdings Inc0.51%$3.95M
Chevron Corp0.50%$3.87M
Graco Inc0.50%$3.86M
Wells Fargo & Co0.50%$3.86M
Keysight Technologies Inc0.49%$3.78M
TD SYNNEX Corp0.49%$3.75M
Palantir Technologies Inc0.49%$3.74M
Oshkosh Corp0.48%$3.70M
Synchrony Financial0.45%$3.46M
Parker-Hannifin Corp0.44%$3.39M
QUALCOMM Inc0.43%$3.32M
EOG Resources Inc0.43%$3.31M
Exelon Corp0.43%$3.30M
Boston Scientific Corp0.43%$3.29M
Allstate Corp/The0.41%$3.18M
BorgWarner Inc0.41%$3.14M
Autodesk Inc0.41%$3.14M
Popular Inc0.40%$3.12M
AMETEK Inc0.39%$3.04M
RenaissanceRe Holdings Ltd0.39%$3.02M
Comfort Systems USA Inc0.39%$3.01M
Bank of America Corp0.38%$2.97M
RingCentral Inc0.37%$2.89M
ServiceNow Inc0.37%$2.87M
Reliance Inc0.37%$2.85M
Ciena Corp0.36%$2.77M
Ventas Inc0.34%$2.66M
Netflix Inc0.34%$2.59M
Crown Holdings Inc0.33%$2.56M
Ameriprise Financial Inc0.33%$2.54M
GE Vernova Inc0.32%$2.44M
Stifel Financial Corp0.31%$2.40M
Amphenol Corp0.29%$2.23M
Gilead Sciences Inc0.29%$2.21M
Caterpillar Inc0.27%$2.10M
Royal Caribbean Cruises Ltd0.27%$2.09M
Jones Lang LaSalle Inc0.26%$2.04M
Monster Beverage Corp0.26%$2.04M
Comcast Corp0.26%$1.99M
National Fuel Gas Co0.25%$1.96M
Kimco Realty Corp0.24%$1.88M
KeyCorp0.24%$1.87M
Dell Technologies Inc0.24%$1.87M
DTE Energy Co0.24%$1.86M
Ball Corp0.24%$1.84M
Allegion plc0.24%$1.83M
Expedia Group Inc0.23%$1.81M
Tyson Foods Inc0.23%$1.75M
Gap Inc/The0.22%$1.74M
Crh PLC0.22%$1.69M
Vertiv Holdings Co0.22%$1.66M
Flex Ltd0.22%$1.66M
Lamar Advertising Co0.20%$1.55M
MetLife Inc0.19%$1.48M
Iridium Communications Inc0.19%$1.43M
Primo Brands Corp0.19%$1.43M
Genpact Ltd0.18%$1.38M
Fortinet Inc0.16%$1.27M
Evercore Inc0.16%$1.23M
MKS Inc0.15%$1.18M
Block Inc0.15%$1.17M
Maplebear Inc0.15%$1.16M
Axis Capital Holdings Ltd0.15%$1.16M
Visa Inc0.15%$1.15M
Alcoa Corp0.15%$1.14M
Kroger Co/The0.15%$1.14M
Freeport-McMoRan Inc0.14%$1.05M
Avery Dennison Corp0.11%$884.73K
Delta Air Lines Inc0.04%$327.51K
Versigent PLC0.00%$245
Commerce Bancshares Inc/MO0.00%$104

INFO overview: performance, fees, allocation and SEC filings