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Embark Small Cap Equity Fund (ESCWX)

Embark Small Cap Equity Fund is currently available through preferred partners only.

Embark Small Cap Equity Fund (ESCWX)

Embark Small Cap Equity Fund is currently available through preferred partners only.

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Overview
Performance
Holdings
Investment Team
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Overview

Investment Team
Harbor Capital Advisors, Inc. dark blue logo on white background
Spenser Lerner
Jason M. Alonzo
Justin Menne
Jake Schurmeier

Current Price

As of 5/15/2024

$10.68

Price (NAV)

$0.07

NAV Daily Change ($)

0.66%

NAV Daily Change (%)

6.80%

NAV YTD Return

Fund Facts

As of 4/30/2024

1/30/2024

Inception Date

0.69

Net Expense Ratio
disclaimer

0.85

Gross Expense Ratio

$702.184

Total Net Assets (million)
As of 4/30/2024

ESCWX

Ticker

2047

Fund Number

Institutional Class

Share Class

Top Ten Holdings

As of 3/31/2024

Company Name [Ticker]

% of Net Assets

Topgolf Callaway Brands Corp.[MODG]
1.6
Ecovyst Inc[ECVT]
1.3
RadNet Inc.[RDNT]
1.3
Sensata Technologies Holding PLC[ST]
1.2
StoneX Group Inc.[SNEX]
1.2
Sprouts Farmers Market Inc.[SFM]
1.1
Graphic Packaging Holding Company[GPK]
1.1
Mohawk Industries Inc.[MHK]
1.0
Axalta Coating Systems Ltd.[AXTA]
1.0
Infinera Corporation[INFN]
1.0
% of Total Holdings:
11.8%

Performance

Total Returns

Month-End

3 Mo.

Since Inception

Net Expense Ratio

Gross Expense Ratio

Embark Small Cap Equity Fund
2.66%
0.50%
0.69%disclaimer
0.85%
Russell 2000® Index
1.73%
-0.76%
--
--

Performance data shown represents past performance and is no guarantee of future results. Past 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 Russell 2000® Index measures the performance of the small-cap segment of the US equity universe. It is a subset of the Russell 3000® and includes approximately 2000 of the smallest securities based on a combination of their market cap and current index membership. The Russell 2000® Index and Russell® are trademarks of Frank Russell Company. Indices listed are unmanaged and do not reflect fees and expenses and are not available for direct investment.

Chart

Sorry, there is no data available for this fund

Holdings

Portfolio Characteristics

As of 4/30/2024

335

Number of Holdings

4680.3

Wtd Avg Market Cap ($Mil)

2.44

Price/Book Ratio

21.9

Adjusted Trailing P/E Ratio

21.9

% EPS Growth - Past 3 Yr

9.88

Return on Equity (%)

16.1

Forecasted P/E Ratio

Top Ten Holdings

As of 4/30/2024

Company Name [Ticker]

% of Net Assets

Topgolf Callaway Brands Corp.[MODG]
1.7
Sensata Technologies Holding PLC[ST]
1.4
RadNet Inc.[RDNT]
1.3
StoneX Group Inc.[SNEX]
1.2
Ecovyst Inc[ECVT]
1.2
Lions Gate Entertainment Corp Class A[LGF.A]
1.1
Sprouts Farmers Market Inc.[SFM]
1.0
Axalta Coating Systems Ltd.[AXTA]
1.0
Graphic Packaging Holding Company[GPK]
1.0
Madison Square Garden Sports Corp. Class A[MSGS]
1.0
% of Total Holdings:
11.9%

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

As of 4/30/2024

Company Name [Ticker]

Country

Shares (000's)

Current Price ($)

Market Value ($000's)

% of Net Assets

Topgolf Callaway Brands Corp. [MODG]
United States Flag
738
16.02
11,821
1.7
Sensata Technologies Holding PLC [ST]
United States Flag
248
38.31
9,490
1.4
RadNet Inc. [RDNT]
United States Flag
193
48.50
9,346
1.3
StoneX Group Inc. [SNEX]
United States Flag
120
72.60
8,720
1.2
Ecovyst Inc [ECVT]
United States Flag
882
9.43
8,317
1.2
Lions Gate Entertainment Corp Class A [LGF.A]
United States Flag
761
10.09
7,679
1.1
Sprouts Farmers Market Inc. [SFM]
United States Flag
111
66.03
7,298
1.0
Axalta Coating Systems Ltd. [AXTA]
United States Flag
230
31.44
7,220
1.0
Graphic Packaging Holding Company [GPK]
United States Flag
278
25.85
7,184
1.0
Madison Square Garden Sports Corp. Class A [MSGS]
United States Flag
38
185.92
7,008
1.0
Mohawk Industries Inc. [MHK]
United States Flag
59
115.32
6,813
1.0
BWX Technologies Inc. [BWXT]
United States Flag
69
95.77
6,589
0.9
Hillman Solutions Corp. [HLMN]
United States Flag
674
9.56
6,439
0.9
PENN Entertainment Inc. [PENN]
United States Flag
389
16.54
6,436
0.9
Ultra Clean Holdings Inc. [UCTT]
United States Flag
154
41.83
6,443
0.9
Atlanta Braves Holdings Inc Class C [BATRK]
United States Flag
172
37.43
6,433
0.9
TreeHouse Foods Inc. [THS]
United States Flag
170
37.55
6,366
0.9
iShares Russell 2000 Value ETF [IWN]
United States Flag
41
149.04
6,119
0.9
Shift4 Payments Inc. Class A [FOUR]
United States Flag
104
57.86
6,044
0.9
Par Pacific Holdings Inc [PARR]
United States Flag
189
30.80
5,824
0.8
BlueLinx Holdings Inc. [BXC]
United States Flag
52
109.67
5,733
0.8
Arcosa Inc. [ACA]
United States Flag
74
76.02
5,644
0.8
Elanco Animal Health Inc. [ELAN]
United States Flag
421
13.16
5,535
0.8
Ingredion Incorporated [INGR]
United States Flag
48
114.59
5,516
0.8
Verra Mobility Corp. Class A [VRRM]
United States Flag
232
23.58
5,481
0.8
Infinera Corporation [INFN]
United States Flag
1,118
4.82
5,388
0.8
Lantheus Holdings Inc [LNTH]
United States Flag
81
66.54
5,358
0.8
Enstar Group Limited [ESGR]
United States Flag
18
290.37
5,289
0.8
Dun & Bradstreet Holdings Inc [DNB]
United States Flag
575
9.10
5,236
0.7
Green Brick Partners Inc. [GRBK]
United States Flag
96
54.13
5,209
0.7
F5 Inc. [FFIV]
United States Flag
31
165.31
5,107
0.7
Ascendis Pharma A/S Sponsored ADR [ASND]
Denmark Flag
37
138.44
5,072
0.7
Euronet Worldwide Inc. [EEFT]
United States Flag
49
102.68
4,982
0.7
Global Ship Lease Inc. Class A [GSL]
United States Flag
217
22.76
4,940
0.7
Gentherm Incorporated [THRM]
United States Flag
96
50.57
4,858
0.7
Modine Manufacturing Company [MOD]
United States Flag
52
92.63
4,852
0.7
indie Semiconductor Inc. Class A [INDI]
United States Flag
853
5.62
4,795
0.7
Array Technologies Inc [ARRY]
United States Flag
376
12.34
4,636
0.7
U-Haul Holding Company Series N Non-Voting [UHAL.B]
United States Flag
73
61.32
4,500
0.6
Chart Industries Inc. [GTLS]
United States Flag
31
144.06
4,463
0.6
Silicon Motion Technology Corporation Sponsored ADR [SIMO]
Hong Kong Flag
60
73.81
4,431
0.6
Magnite Inc. [MGNI]
United States Flag
482
8.83
4,255
0.6
Civitas Resources Inc. [CIVI]
United States Flag
57
71.96
4,069
0.6
First Hawaiian Inc. [FHB]
United States Flag
192
21.09
4,058
0.6
Carpenter Technology Corporation [CRS]
United States Flag
47
85.70
4,026
0.6
HealthStream Inc. [HSTM]
United States Flag
155
25.77
3,990
0.6
Select Water Solutions Inc. Class A [WTTR]
United States Flag
433
9.24
4,002
0.6
Evolent Health Inc Class A [EVH]
United States Flag
141
27.74
3,915
0.6
Wingstop Inc. [WING]
United States Flag
10
384.79
3,936
0.6
Capital Southwest Corporation [CSWC]
United States Flag
151
25.82
3,889
0.5
Viking Therapeutics Inc. [VKTX]
United States Flag
48
79.58
3,850
0.5
Wintrust Financial Corporation [WTFC]
United States Flag
40
96.64
3,892
0.5
Arrow Electronics Inc. [ARW]
United States Flag
30
127.67
3,791
0.5
Air Lease Corporation Class A [AL]
United States Flag
74
50.24
3,737
0.5
Columbus McKinnon Corporation [CMCO]
United States Flag
89
41.27
3,664
0.5
Comfort Systems USA Inc. [FIX]
United States Flag
12
309.41
3,675
0.5
Insperity Inc. [NSP]
United States Flag
35
102.93
3,652
0.5
Vivid Seats Inc. Class A [SEAT]
United States Flag
689
5.26
3,623
0.5
Arcadium Lithium Plc [ALTM]
United States Flag
823
4.40
3,621
0.5
Franklin Covey Co. [FC]
United States Flag
92
38.94
3,602
0.5
Tidewater Inc [TDW]
United States Flag
39
91.85
3,558
0.5
Vita Coco Company Inc. [COCO]
United States Flag
148
24.24
3,585
0.5
A10 Networks Inc. [ATEN]
United States Flag
267
13.06
3,483
0.5
Alamo Group Inc. [ALG]
United States Flag
18
194.38
3,427
0.5
First Citizens BancShares Inc. Class A [FCNCA]
United States Flag
2
1,686.76
3,476
0.5
Northern Oil and Gas Inc. [NOG]
United States Flag
85
40.79
3,461
0.5
CSW Industrials Inc. [CSWI]
United States Flag
14
237.62
3,275
0.5
ACI Worldwide Inc. [ACIW]
United States Flag
94
34.10
3,221
0.5
Ellington Financial Inc. [EFC]
United States Flag
283
11.44
3,233
0.5
Envista Holdings Corp. [NVST]
United States Flag
164
19.68
3,236
0.5
Digi International Inc. [DGII]
United States Flag
103
30.66
3,160
0.5
Stagwell Inc. Class A [STGW]
United States Flag
533
5.95
3,172
0.5
Carter's Incorporated [CRI]
United States Flag
46
68.41
3,125
0.4
Chefs' Warehouse Inc. [CHEF]
United States Flag
94
33.08
3,120
0.4
Assured Guaranty Ltd. [AGO]
United States Flag
40
76.70
3,031
0.4
Douglas Dynamics Inc. [PLOW]
United States Flag
134
22.64
3,042
0.4
Oaktree Specialty Lending Corporation [OCSL]
United States Flag
158
19.16
3,024
0.4
Frontdoor Inc. [FTDR]
United States Flag
96
30.69
2,962
0.4
Encompass Health Corporation [EHC]
United States Flag
35
83.38
2,914
0.4
Pure Storage Inc. Class A [PSTG]
United States Flag
58
50.40
2,905
0.4
SunOpta Inc. [STKL]
United States Flag
439
6.55
2,872
0.4
NOV Inc. [NOV]
United States Flag
154
18.49
2,848
0.4
Popular Inc. [BPOP]
United States Flag
33
84.99
2,835
0.4
ASGN Incorporated [ASGN]
United States Flag
28
96.45
2,736
0.4
BrightView Holdings Inc. [BV]
United States Flag
242
11.25
2,722
0.4
B. Riley Financial Inc. [RILY]
United States Flag
79
34.40
2,725
0.4
Casella Waste Systems Inc. Class A [CWST]
United States Flag
30
90.40
2,751
0.4
Churchill Downs Incorporated [CHDN]
United States Flag
21
129.00
2,773
0.4
ITT Inc. [ITT]
United States Flag
21
129.34
2,771
0.4
Option Care Health Inc [OPCH]
United States Flag
92
29.89
2,762
0.4
Avid Bioservices Inc. [CDMO]
United States Flag
355
7.63
2,707
0.4
Barings BDC Inc. [BBDC]
United States Flag
286
9.28
2,650
0.4
Insight Enterprises Inc. [NSIT]
United States Flag
15
182.57
2,660
0.4
SI-BONE Inc. [SIBN]
United States Flag
185
14.26
2,638
0.4
WEX Inc. [WEX]
United States Flag
13
211.26
2,653
0.4
Addus HomeCare Corporation [ADUS]
United States Flag
27
96.15
2,603
0.4
Fluor Corporation [FLR]
United States Flag
64
40.33
2,570
0.4
Varex Imaging Corporation [VREX]
United States Flag
160
16.25
2,602
0.4
Samsara Inc. Class A [IOT]
United States Flag
73
34.93
2,560
0.4
AZEK Co. Inc. Class A [AZEK]
United States Flag
54
45.64
2,443
0.4
Castle Biosciences Inc. [CSTL]
United States Flag
115
21.09
2,422
0.3
Haemonetics Corporation [HAE]
United States Flag
25
91.95
2,325
0.3
Adient plc [ADNT]
United States Flag
76
29.87
2,275
0.3
Kinsale Capital Group Inc. [KNSL]
United States Flag
6
363.25
2,174
0.3
First American Financial Corporation [FAF]
United States Flag
39
53.57
2,076
0.3
Hackett Group Inc. [HCKT]
United States Flag
96
21.69
2,090
0.3
Jones Lang LaSalle Incorporated [JLL]
United States Flag
12
180.70
2,128
0.3
Laureate Education Inc. [LAUR]
United States Flag
147
14.50
2,126
0.3
Meritage Homes Corporation [MTH]
United States Flag
13
165.74
2,109
0.3
Avient Corporation [AVNT]
United States Flag
49
42.42
2,070
0.3
Avista Corporation [AVA]
United States Flag
58
35.98
2,071
0.3
SLM Corp [SLM]
United States Flag
95
21.19
2,007
0.3
Stifel Financial Corp [SF]
United States Flag
25
79.92
2,024
0.3
Vaxcyte Inc. [PCVX]
United States Flag
33
60.55
2,023
0.3
Ameresco Inc. Class A [AMRC]
United States Flag
95
20.93
1,980
0.3
Cavco Industries Inc. [CVCO]
United States Flag
5
364.21
1,945
0.3
ChampionX Corporation [CHX]
United States Flag
59
33.57
1,964
0.3
iRhythm Technologies Inc. [IRTC]
United States Flag
18
109.58
1,988
0.3
Kosmos Energy Ltd. [KOS]
United States Flag
352
5.67
1,993
0.3
Marcus & Millichap Inc. [MMI]
United States Flag
62
31.67
1,965
0.3
Marriott Vacations Worldwide Corporation [VAC]
United States Flag
21
96.11
1,991
0.3
SPX Technologies Inc. [SPXC]
United States Flag
16
121.81
2,003
0.3
White Mountains Insurance Group Ltd [WTM]
United States Flag
1
1,778.14
1,993
0.3
Arhaus Inc. Class A [ARHS]
United States Flag
147
12.66
1,866
0.3
Olin Corporation [OLN]
United States Flag
37
52.28
1,913
0.3
OrthoPediatrics Corp. [KIDS]
United States Flag
64
29.63
1,911
0.3
Steven Madden Ltd. [SHOO]
United States Flag
47
40.41
1,891
0.3
TripAdvisor Inc. [TRIP]
United States Flag
73
26.33
1,928
0.3
GMS Inc. [GMS]
United States Flag
20
92.52
1,852
0.3
Model N Inc. [MODN]
United States Flag
61
29.65
1,818
0.3
Ryman Hospitality Properties Inc. [RHP]
United States Flag
18
105.48
1,858
0.3
Texas Roadhouse Inc. [TXRH]
United States Flag
11
160.78
1,830
0.3
Universal Display Corporation [OLED]
United States Flag
12
157.98
1,819
0.3
AdaptHealth Corp. [AHCO]
United States Flag
179
9.85
1,765
0.3
Alexander & Baldwin Inc. [ALEX]
United States Flag
107
16.47
1,770
0.3
Axcelis Technologies Inc. [ACLS]
United States Flag
17
103.52
1,761
0.3
Berry Corporation [BRY]
United States Flag
206
8.49
1,745
0.3
Grand Canyon Education Inc. [LOPE]
United States Flag
13
130.02
1,750
0.3
Impinj Inc. [PI]
United States Flag
11
159.38
1,757
0.3
ODP Corporation [ODP]
United States Flag
35
50.91
1,775
0.3
Porch Group Inc. [PRCH]
United States Flag
562
3.19
1,792
0.3
Urban Outfitters Inc. [URBN]
United States Flag
45
38.96
1,762
0.3
WillScot Mobile Mini Holdings Corp. Class A [WSC]
United States Flag
47
36.96
1,738
0.3
M/I Homes Inc. [MHO]
United States Flag
14
116.22
1,668
0.2
Skyline Champion Corp. [SKY]
United States Flag
23
74.99
1,704
0.2
Smartsheet Inc. Class A [SMAR]
United States Flag
44
37.83
1,681
0.2
TechTarget Inc. [TTGT]
United States Flag
61
27.50
1,673
0.2
Arcturus Therapeutics Holdings Inc. [ARCT]
United States Flag
63
25.57
1,615
0.2
Flywire Corp. [FLYW]
United States Flag
78
20.50
1,606
0.2
Primerica Inc. [PRI]
United States Flag
8
211.86
1,617
0.2
Gitlab Inc. Class A [GTLB]
United States Flag
30
52.47
1,574
0.2
Kennedy-Wilson Holdings Inc. [KW]
United States Flag
181
8.59
1,556
0.2
ManpowerGroup Inc. [MAN]
United States Flag
21
75.45
1,578
0.2
MiMedx Group Inc. [MDXG]
United States Flag
246
6.16
1,517
0.2
PAR Technology Corporation [PAR]
United States Flag
37
42.28
1,571
0.2
Patterson-UTI Energy Inc. [PTEN]
United States Flag
140
10.82
1,513
0.2
Vitesse Energy Inc. [VTS]
United States Flag
70
22.19
1,548
0.2
Inspire Medical Systems Inc. [INSP]
United States Flag
6
241.66
1,477
0.2
Installed Building Products Inc. [IBP]
United States Flag
6
235.73
1,473
0.2
International Bancshares Corporation [IBOC]
United States Flag
27
55.65
1,480
0.2
Lincoln Electric Holdings Inc. [LECO]
United States Flag
7
219.53
1,483
0.2
Nextracker Inc. Class A [NXT]
United States Flag
34
42.79
1,464
0.2
Rocket Pharmaceuticals Inc. [RCKT]
United States Flag
67
21.52
1,443
0.2
Semtech Corporation [SMTC]
United States Flag
39
37.62
1,474
0.2
Bank of N.T. Butterfield & Son Limited (The) [NTB]
United States Flag
41
34.00
1,402
0.2
Revolve Group Inc Class A [RVLV]
United States Flag
70
19.91
1,399
0.2
Saia Inc. [SAIA]
United States Flag
4
396.83
1,432
0.2
Seritage Growth Properties Class A [SRG]
United States Flag
147
9.34
1,377
0.2
Thor Industries Inc. [THO]
United States Flag
14
99.42
1,391
0.2
Gentex Corporation [GNTX]
United States Flag
39
34.30
1,341
0.2
MoonLake Immunotherapeutics Class A [MLTX]
United States Flag
33
40.91
1,333
0.2
Neogen Corp [NEOG]
United States Flag
110
12.33
1,361
0.2
Nova Ltd. [NVMI]
United States Flag
8
169.90
1,334
0.2
Sonic Automotive Inc. Class A [SAH]
United States Flag
24
57.84
1,366
0.2
Tenable Holdings Inc. [TENB]
United States Flag
30
44.97
1,330
0.2
Allison Transmission Holdings Inc. [ALSN]
United States Flag
18
73.55
1,288
0.2
DocGo Inc. [DCGO]
United States Flag
380
3.38
1,283
0.2
Innoviva Inc. [INVA]
United States Flag
85
15.11
1,282
0.2
Telefonaktiebolaget LM Ericsson Sponsored ADR Class B [ERIC]
Sweden Flag
256
5.02
1,284
0.2
CCC Intelligent Solutions Holdings Inc [CCCS]
United States Flag
109
11.22
1,218
0.2
Dynatrace Inc. [DT]
United States Flag
27
45.31
1,214
0.2
Element Solutions Inc [ESI]
United States Flag
50
23.13
1,162
0.2
Equity Commonwealth [EQC]
United States Flag
63
18.72
1,174
0.2
Etsy Inc. [ETSY]
United States Flag
17
68.67
1,177
0.2
Fabrinet [FN]
United States Flag
7
173.07
1,173
0.2
Kornit Digital Ltd. [KRNT]
Israel Flag
77
15.41
1,193
0.2
Lightspeed Commerce Inc [LSPD]
Canada Flag
90
13.08
1,177
0.2
Palomar Holdings Inc. [PLMR]
United States Flag
15
78.67
1,199
0.2
WNS (Holdings) Limited [WNS]
India Flag
29
41.91
1,199
0.2
Alkermes Public Limited Company [ALKS]
United States Flag
46
24.54
1,136
0.2
Atmus Filtration Technologies Inc. [ATMU]
United States Flag
36
30.29
1,097
0.2
Belden Inc. [BDC]
United States Flag
14
81.27
1,154
0.2
Ensign Group Inc. [ENSG]
United States Flag
9
118.36
1,096
0.2
GXO Logistics Inc [GXO]
United States Flag
22
49.66
1,091
0.2
STAG Industrial Inc. [STAG]
United States Flag
32
34.39
1,115
0.2
Super Micro Computer Inc. [SMCI]
United States Flag
1
858.80
1,146
0.2
Bicycle Therapeutics Plc Sponsored ADR [BCYC]
United Kingdom Flag
45
23.45
1,057
0.2
Brink's Company [BCO]
United States Flag
12
87.46
1,066
0.2
Coherent Corp. [COHR]
United States Flag
20
54.63
1,073
0.2
Easterly Government Properties Inc [DEA]
United States Flag
88
11.69
1,025
0.2
Knife River Corporation [KNF]
United States Flag
14
78.19
1,081
0.2
Montrose Environmental Group Inc [MEG]
United States Flag
24
43.42
1,026
0.2
Real Brokerage Inc. [REAX]
United States Flag
277
3.86
1,069
0.2
Timken Company [TKR]
United States Flag
12
89.22
1,079
0.2
Carlisle Companies Incorporated [CSL]
United States Flag
3
388.25
973
0.1
Casey's General Stores Inc. [CASY]
United States Flag
3
319.58
987
0.1
Dick's Sporting Goods Inc. [DKS]
United States Flag
5
200.94
964
0.1
Domino's Pizza Inc. [DPZ]
United States Flag
2
529.27
964
0.1
Greenbrier Companies Inc. [GBX]
United States Flag
20
49.39
995
0.1
Korn Ferry [KFY]
United States Flag
16
60.72
966
0.1
LPL Financial Holdings Inc. [LPLA]
United States Flag
4
269.13
1,014
0.1
Portland General Electric Company [POR]
United States Flag
23
43.23
991
0.1
Quanterix Corporation [QTRX]
United States Flag
59
16.12
957
0.1
Reliance Inc. [RS]
United States Flag
3
284.72
975
0.1
Toast Inc. Class A [TOST]
United States Flag
43
23.63
1,012
0.1
APA Corporation [APA]
United States Flag
29
31.44
918
0.1
Bio-Rad Laboratories Inc. Class A [BIO]
United States Flag
4
269.75
948
0.1
Booz Allen Hamilton Holding Corporation Class A [BAH]
United States Flag
6
147.67
922
0.1
Envestnet Inc. [ENV]
United States Flag
14
62.07
883
0.1
FormFactor Inc. [FORM]
United States Flag
21
44.59
929
0.1
Global Indemnity Group LLC Class A [GBLI]
United States Flag
29
31.86
914
0.1
Hamilton Lane Incorporated Class A [HLNE]
United States Flag
8
111.72
888
0.1
MAXIMUS Inc. [MMS]
United States Flag
11
80.28
910
0.1
Selective Insurance Group Inc. [SIGI]
United States Flag
9
101.65
898
0.1
Shoals Technologies Group Inc. Class A [SHLS]
United States Flag
108
8.45
910
0.1
Tetra Tech Inc. [TTEK]
United States Flag
5
194.72
902
0.1
TriNet Group Inc. [TNET]
United States Flag
9
100.37
917
0.1
Broadridge Financial Solutions Inc. [BR]
United States Flag
4
193.41
860
0.1
Cohen & Steers Inc. [CNS]
United States Flag
12
68.78
813
0.1
Cytokinetics Incorporated [CYTK]
United States Flag
14
61.32
872
0.1
National CineMedia Inc. [NCMI]
United States Flag
200
4.28
856
0.1
Standex International Corporation [SXI]
United States Flag
5
172.88
871
0.1
Viad Corp [VVI]
United States Flag
25
34.48
847
0.1
Bank OZK [OZK]
United States Flag
18
44.65
795
0.1
Cantaloupe Inc. [CTLP]
United States Flag
134
5.79
774
0.1
Cognex Corporation [CGNX]
United States Flag
18
41.54
747
0.1
Home BancShares Inc. [HOMB]
United States Flag
31
23.68
740
0.1
Horace Mann Educators Corporation [HMN]
United States Flag
21
36.86
788
0.1
LeMaitre Vascular Inc. [LMAT]
United States Flag
12
64.80
798
0.1
Matador Resources Company [MTDR]
United States Flag
13
62.30
782
0.1
MicroStrategy Incorporated Class A [MSTR]
United States Flag
1
1,065.03
741
0.1
Portillo's Inc. Class A [PTLO]
United States Flag
66
12.26
808
0.1
STERIS plc [STE]
United States Flag
4
204.56
771
0.1
U.S. Physical Therapy Inc. [USPH]
United States Flag
7
101.51
749
0.1
WESCO International Inc. [WCC]
United States Flag
5
152.75
749
0.1
1st Source Corporation [SRCE]
United States Flag
14
49.60
672
0.1
89bio Inc [ETNB]
United States Flag
81
8.51
686
0.1
BioLife Solutions Inc. [BLFS]
United States Flag
38
17.54
675
0.1
Brunswick Corporation [BC]
United States Flag
9
80.64
720
0.1
Chemed Corporation [CHE]
United States Flag
1
568.00
686
0.1
GFL Environmental Inc [GFL]
Canada Flag
22
31.90
711
0.1
Hexcel Corporation [HXL]
United States Flag
11
64.21
713
0.1
Morningstar Inc. [MORN]
United States Flag
3
282.65
724
0.1
Natera Inc. [NTRA]
United States Flag
8
92.88
719
0.1
Nordson Corporation [NDSN]
United States Flag
3
258.19
736
0.1
Plexus Corp. [PLXS]
United States Flag
7
101.01
704
0.1
Power Integrations Inc. [POWI]
United States Flag
10
66.72
668
0.1
Prosperity Bancshares Inc.(R) [PB]
United States Flag
11
61.97
687
0.1
Shutterstock Inc. [SSTK]
United States Flag
16
42.71
673
0.1
Skechers U.S.A. Inc. Class A [SKX]
United States Flag
10
66.05
691
0.1
Stoneridge Inc. [SRI]
United States Flag
48
14.98
714
0.1
Travel + Leisure Co. [TNL]
United States Flag
16
43.54
682
0.1
Valmont Industries Inc. [VMI]
United States Flag
3
204.80
670
0.1
Veracyte Inc [VCYT]
United States Flag
35
19.57
689
0.1
Baytex Energy Corp. [BTE]
Canada Flag
170
3.71
632
0.1
Blue Bird Corporation [BLBD]
United States Flag
20
32.96
654
0.1
Brookfield Infrastructure Corp. (New York) Class A [BIPC]
Canada Flag
21
30.47
635
0.1
Chord Energy Corporation [CHRD]
United States Flag
4
176.98
634
0.1
Cogent Communications Holdings Inc [CCOI]
United States Flag
10
64.18
626
0.1
FactSet Research Systems Inc. [FDS]
United States Flag
2
416.89
641
0.1
First Horizon Corporation [FHN]
United States Flag
45
14.92
666
0.1
Jack Henry & Associates Inc. [JKHY]
United States Flag
4
162.69
667
0.1
Kulicke & Soffa Industries Inc. [KLIC]
United States Flag
13
46.28
611
0.1
Lyft Inc. Class A [LYFT]
United States Flag
39
15.64
611
0.1
Marqeta Inc. Class A [MQ]
United States Flag
115
5.55
640
0.1
Perrigo Co. Plc [PRGO]
United States Flag
20
32.66
658
0.1
Pool Corporation [POOL]
United States Flag
2
362.53
631
0.1
Quaker Houghton [KWR]
United States Flag
3
186.53
627
0.1
Quest Diagnostics Incorporated [DGX]
United States Flag
5
138.18
633
0.1
Rambus Inc. [RMBS]
United States Flag
11
54.82
627
0.1
Terreno Realty Corporation [TRNO]
United States Flag
11
54.35
616
0.1
UFP Industries Inc. [UFPI]
United States Flag
6
112.70
643
0.1
Xenon Pharmaceuticals Inc. [XENE]
United States Flag
16
40.65
666
0.1
Chesapeake Utilities Corporation [CPK]
United States Flag
5
105.87
569
0.1
Concentrix Corporation [CNXC]
United States Flag
10
54.67
532
0.1
Credo Technology Group Holding Ltd. [CRDO]
United States Flag
30
17.87
528
0.1
CubeSmart [CUBE]
United States Flag
14
40.44
568
0.1
FARO Technologies Inc. [FARO]
United States Flag
29
18.75
542
0.1
Huntington Ingalls Industries Inc. [HII]
United States Flag
2
276.93
543
0.1
Inter Parfums Inc. [IPAR]
United States Flag
5
116.38
595
0.1
Kiniksa Pharmaceuticals Ltd. Class A [KNSA]
United States Flag
29
18.72
546
0.1
Landstar System Inc. [LSTR]
United States Flag
3
174.41
589
0.1
Littelfuse Inc. [LFUS]
United States Flag
2
230.64
570
0.1
Nexstar Media Group Inc. [NXST]
United States Flag
4
160.06
581
0.1
Synovus Financial Corp. [SNV]
United States Flag
17
35.79
594
0.1
TransMedics Group Inc. [TMDX]
United States Flag
6
94.13
547
0.1
TransUnion [TRU]
United States Flag
8
73.00
596
0.1
Cellebrite DI Ltd. [CLBT]
Israel Flag
47
10.81
506
0.1
Five9 Inc. [FIVN]
United States Flag
9
57.57
514
0.1
Grocery Outlet Holding Corp. [GO]
United States Flag
20
25.97
525
0.1
Ichor Holdings Ltd. [ICHR]
United States Flag
12
38.78
474
0.1
Riskified Ltd. Class A [RSKD]
Israel Flag
98
5.15
505
0.1
UniFirst Corporation [UNF]
United States Flag
3
160.13
493
0.1
Varonis Systems Inc. [VRNS]
United States Flag
12
43.75
506
0.1
Wix.com Ltd. [WIX]
Israel Flag
4
118.87
505
0.1
eXp World Holdings Inc. [EXPI]
United States Flag
39
9.96
388
0.1
International Game Technology PLC [IGT]
United States Flag
23
19.74
455
0.1
Miller Industries Inc. [MLR]
United States Flag
9
48.71
445
0.1
Murphy Oil Corporation [MUR]
United States Flag
10
44.64
453
0.1
N-able Inc. [NABL]
United States Flag
36
12.26
437
0.1
Perella Weinberg Partners Class A [PWP]
United States Flag
28
14.92
412
0.1
Stevanato Group SpA [STVN]
United States Flag
16
28.04
450
0.1
908 Devices Inc. [MASS]
United States Flag
66
5.70
378
0.1
bluebird bio Inc. [BLUE]
United States Flag
379
0.89
337
0.1
CNO Financial Group Inc. [CNO]
United States Flag
13
26.33
350
0.1
Evercore Inc. Class A [EVR]
United States Flag
2
181.50
370
0.1
Expro Group Holdings N.V. [XPRO]
United States Flag
21
18.76
386
0.1
RMR Group Inc. Class A [RMR]
United States Flag
14
23.72
337
0.1
Rush Enterprises Inc. Class A [RUSHA]
United States Flag
8
43.92
367
0.1
Sweetgreen Inc. Class A [SG]
United States Flag
15
22.47
343
0.1
Flowserve Corporation [FLS]
United States Flag
6
47.16
284
0.0
Honest Company Inc. [HNST]
United States Flag
95
3.01
286
0.0
Hudson Technologies Inc. [HDSN]
United States Flag
28
9.92
273
0.0
Itron Inc. [ITRI]
United States Flag
3
92.12
264
0.0
Pliant Therapeutics Inc. [PLRX]
United States Flag
27
11.82
313
0.0
Range Resources Corporation [RRC]
United States Flag
8
35.91
295
0.0
Thermon Group Holdings Inc. [THR]
United States Flag
10
31.93
308
0.0
MillerKnoll Inc. [MLKN]
United States Flag
8
25.43
199
0.0
Mural Oncology Plc [MURA]
United States Flag
53
3.70
196
0.0
NextDecade Corp. [NEXT]
United States Flag
38
6.42
242
0.0
Crescent Energy Company Class A [CRGY]
United States Flag
15
10.64
160
0.0
Herbalife Ltd. [HLF]
United States Flag
15
8.65
132
0.0
Kinetik Holdings Inc. Class A [KNTK]
United States Flag
4
38.34
143
0.0
Quad/Graphics Inc. Class A [QUAD]
United States Flag
31
4.49
138
0.0
WaFd Inc. [WAFD]
United States Flag
4
27.09
104
0.0
Total
--
--
--
693,915
100.3
Cash and Other Assets Less Liabilities
--
--
--
--
-0.3
Total Net Assets
--
--
--
--
100%

As of 4/30/2024

Embark Small Cap Equity Fund (ESCWX)

Russell 2000® Index

-

Industrials

ESCWX: 20.9%

Benchmark: 17.5%

-

Financials

ESCWX: 14.1%

Benchmark: 16.2%

-

Health Care

ESCWX: 13.7%

Benchmark: 14.9%

-

Consumer Discretionary

ESCWX: 13.2%

Benchmark: 10.5%

-

Information Technology

ESCWX: 13.1%

Benchmark: 14.9%

-

Communication Services

ESCWX: 5.5%

Benchmark: 2.2%

-

Materials

ESCWX: 5.4%

Benchmark: 4.8%

-

Energy

ESCWX: 5.3%

Benchmark: 7.6%

-

Consumer Staples

ESCWX: 4.4%

Benchmark: 3.3%

-

Real Estate

ESCWX: 2.4%

Benchmark: 5.7%

-

Cash

ESCWX: 1.4%

Benchmark: NaN%

-

Utilities

ESCWX: 0.6%

Benchmark: 2.7%

ESCWX: Embark Small Cap Equity Fund

Benchmark: Russell 2000® Index

Sorry, there is no data available for this fund

Investment Team


Harbor Capital Advisors, Inc. dark blue logo on white background

Harbor's Multi-Asset Solutions Team ("MAST") delivers actionable investment insights and builds multi-asset portfolios and client solutions. MAST's investment platform combines proprietary quantitative and qualitative signals with inputs from Harbor's Investment Research Team, subadvisory network, and other sources to guide investment decisions across asset allocation, portfolio management, and risk oversight. With a focus on insights including asset allocation viewpoints, long-term capital market assumptions, and an extensive investment and product network, MAST centers on long-term portfolio construction that aims to help clients evaluate and implement more comprehensive solutions.

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Important Information

As a result of changing market conditions, total net asset levels, expenses and other factors may change at any time during the current fiscal period and may differ from those shown.

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

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 performance may be more volatile because it invests primarily in issuers that are smaller companies. The Fund may invest in foreign securities which may be more volatile and less liquid due to currency fluctuation, political instability, government sanctions, social and economic risks. Because the Fund is managed pursuant to model portfolios provided by non-discretionary Subadvisors, the Advisor may effect trades less frequently than if the Fund employed discretionary subadvisors that effected trades for the portfolio directly. As a result, a trade may be less advantageous for the Fund than it would have been if it were implemented at the time the Subadvisor included it in its model portfolio, and that could cause the Fund’s return to be lower. The Subadvisors’ investment styles and security recommendations may not always be complementary, which could affect performance.

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.

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Investors should carefully consider the investment objectives, risks, charges and expenses of a fund before investing. To obtain a summary prospectus or prospectus for this and other information, click here or call 800-422-1050. Read it carefully before investing.

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