ETF Components for INFO - Harbor PanAgora Dynamic Large Cap Core ETF


Below is a list of stocks held by this ETF. We only list holdings in the same market. If this is a global ETF, there may be additional components other than those listed here.

Holdings

Symbol Grade Price % Change Allocation
NVDA B 0.53 7.25
AAPL C -0.21 6.96
MSFT D -0.43 6.10
AMZN C -2.22 4.08
GOOGL C -6.03 3.86
META D -0.43 3.01
JPM A 1.65 1.87
MA B 1.10 1.61
CRM B 4.17 1.54
TSLA B -0.70 1.38
AVGO D 0.42 1.22
WMT A 1.47 1.22
NOW A 2.29 1.20
XOM B 1.34 1.16
V A 0.82 1.13
NFLX A 1.54 1.13
MRK D 2.48 1.12
WFC A 1.70 1.12
GE D 0.40 1.10
TJX A 0.03 1.04
GM C 1.48 1.02
SYF B 1.15 1.01
BRK.A B 0.56 0.99
BKR A 1.29 0.97
TT A 1.03 0.95
MSI B 0.45 0.95
LMT D 1.36 0.94
JNJ C 1.56 0.94
MCK A 1.15 0.94
AMAT F 3.33 0.93
LLY F -1.66 0.91
QCOM F 0.77 0.89
COST A 2.97 0.89
CI D 2.07 0.88
LRCX F 4.40 0.87
SPG A 0.49 0.86
CMCSA B 1.19 0.86
ETR B 0.56 0.85
ALL A 3.14 0.83
MSCI C -0.11 0.82
ANET C 6.09 0.82
INTU B 4.32 0.81
MMC B 1.11 0.81
HIG B 1.21 0.79
LDOS C 1.57 0.78
EXC C 1.50 0.76
EQR C 1.53 0.76
CTVA C 3.40 0.76
PEP F 1.01 0.76
NRG B 2.51 0.74
CBOE C 1.19 0.73
A D 2.71 0.73
HOLX D 0.87 0.73
MAS D 1.71 0.72
SPGI C 1.64 0.69
EQIX A 0.51 0.69
TGT F -0.11 0.68
NTAP C 2.62 0.68
FTV C 1.58 0.64
BMY B 0.60 0.64
MDLZ F 0.57 0.62
VRSK A 1.18 0.61
MPC D -0.06 0.61
ECL D 0.68 0.57
AXP A 1.84 0.56
INVH D 0.36 0.56
CL D 0.36 0.55
KR B 1.68 0.52
MTD F 2.56 0.48
BK A 1.30 0.48
AVY F 0.99 0.46
GDDY A 1.52 0.43
PYPL B 0.15 0.43
DD C 1.10 0.42
WDAY B 3.33 0.42
CNC D 2.12 0.41
ROST D 2.61 0.41
DASH B 0.75 0.40
SSNC B 2.36 0.37
MELI C 0.05 0.36
NEE C 0.70 0.36
INGR C 1.41 0.35
FTI A 3.52 0.35
VEEV C 1.86 0.35
PG C 1.09 0.35
RPM A 1.39 0.34
UNH B -0.50 0.34
UBER F 0.06 0.34
ALNY D 0.44 0.30
ILMN C 4.03 0.30
ATR B 0.68 0.30
WAB B 1.85 0.27
CBSH B 1.18 0.25
UNM A 3.87 0.25
EBAY C 1.46 0.25
MU D 4.46 0.23
DHI F -0.77 0.22
SNOW B 31.64 0.22
AXS A 1.79 0.20
MKC C 1.06 0.20
AMD F -0.08 0.19
QRVO F 3.37 0.19
NOV C 0.86 0.19
DTE C 1.47 0.18
NXPI D 1.92 0.17
EOG A -0.54 0.16
DUK C 0.98 0.13
MTG C 0.97 0.13
PH A 1.77 0.13
NOC D 0.90 0.10
THC D -2.58 0.09
AMT C 0.96 0.08
HD B 2.61 0.08
EQH C 0.15 0.07
TOL B 0.30 0.06
HLT A 0.68 0.05

Recent News for Harbor PanAgora Dynamic Large Cap Core ETF & its Holdings

Date Stock Title
Nov 21 GE S&P 500 Gains and Losses Today: Stocks Rise After Nvidia Earnings; Alphabet Falls
Nov 21 LLY Eli Lilly Stock: Unexpected Developments (Rating Downgrade)
Nov 21 AAPL Apple working on more conversation Siri, may launch in 2026: report
Nov 21 LLY Hims & Hers closes up 10% as Lilly tirzepatide compounding dispute resolution delayed
Nov 21 SNOW MongoDB, Other Data Software Stocks Rally On Strong Snowflake Results
Nov 21 MU Micron Technology to Report Fiscal First Quarter Results on December 18, 2024
Nov 21 AAPL Apple Readies More Conversational Siri in Bid to Catch Up in AI
Nov 21 AAPL US leads AI global power rankings by wide margin, China ranks second
Nov 21 GOOGL Analysis-Legal hurdles ahead for Google's forced sale of Chrome
Nov 21 NVDA Nvidia's Slowing Growth Puts It At More Than Double Fair Value
Nov 21 AAPL WhatsApp rolls out voice message transcripts
Nov 21 NVDA Nvidia Shares Dip as Q3 Results Beat Expectations, but Guidance Disappoints
Nov 21 NVDA Nvidia says next-gen Blackwell chip sales will top prior forecasts, calming delay worries
Nov 21 GOOGL Nvidia says next-gen Blackwell chip sales will top prior forecasts, calming delay worries
Nov 21 SNOW Nasdaq Edges Higher; Baidu Shares Fall After Q3 Results
Nov 21 AAPL The DOJ-Google Fight Comes Into Focus. Why It’s Finally Hitting Alphabet’s Stock.
Nov 21 WMT Target's earnings miss isn't about the U.S. port strike. Here's what happened
Nov 21 NVDA The bar is too high for Nvidia, turn to value stocks: Expert
Nov 21 AAPL Could Another Magnificent 7 Stock Beat Nvidia In 2025? Poll Says Not Likely, 27% Pick This Potential Winner
Nov 21 GOOGL Could Another Magnificent 7 Stock Beat Nvidia In 2025? Poll Says Not Likely, 27% Pick This Potential Winner
INFO aims to generate alpha consistently within the large-cap US market. Portfolio construction utilizes a bottom-up investment strategy integrating fundamental analysis with quantitative techniques and risk management tools. The subadvisor employs a proprietary alpha modeling framework to identify companies with strong financial and operational health, aiming for above-market returns relative to the S&P 500 Index. The strategy incorporates uncorrelated alpha factors, such as value, momentum, and quality. Additionally, ESG attributes are also evaluated to enhance the overall alpha scores. Security weighting is determined using a proprietary optimization technique, balancing alpha generation with risk metrics like tracking err, market risk, and concentration risk.
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