Harbor Real Return Fund Institutional Class (HARRX)

Portfolio Characteristics (As of Quarter-Ended 12/31/2011)

 Harbor Real Return FundBarclays Capital U.S. TIPS Index
Number of Holdings150-
Average Market Coupon (%)2.161.75
Yield to Maturity (%)2.951.69
Weighted Avg. Maturity (yrs)10.499.31
Weighted Avg. Duration (yrs)7.074.23
Turnover (unannualized % since 10/31)69-

For definitions of the portfolio characteristics, visit our Financial Glossary.

Top Ten Holdings (As of Quarter-Ended 12/31/2011)

Issuer NameMaturity DateCoupon Rate (%)Market Value ($000's)% of Net Assets
U.S. Treasury Inflation Indexed Bonds01/15/20252.429,3026.7
U.S. Treasury Inflation Indexed Bonds07/15/20123.028,2986.5
U.S. Treasury Inflation Indexed Bonds07/15/20210.628,1666.4
U.S. Treasury Inflation Indexed Bonds04/15/20293.924,1865.5
U.S. Treasury Inflation Indexed Bonds01/15/20292.523,1195.3
U.S. Treasury Inflation Indexed Bonds01/15/20272.422,5495.2
U.S. Treasury Inflation Indexed Bonds01/15/20262.020,3534.7
U.S. Treasury Inflation Indexed Bonds02/15/20412.119,5894.5
U.S. Treasury Inflation Indexed Bonds01/15/20142.015,3233.5
U.S. Treasury Inflation Indexed Bonds07/15/20172.614,7043.4
% of Total Holdings:225,58951.7

Full Holdings (As of Quarter-Ended 12/31/2011)

Issuer NameMaturity DateCoupon Rate (%)Market Value ($000's)% of Net Assets
U.S. Treasury Inflation Indexed Bonds01/15/20252.429,3026.7
U.S. Treasury Inflation Indexed Bonds07/15/20123.028,2986.5
U.S. Treasury Inflation Indexed Bonds07/15/20210.628,1666.4
U.S. Treasury Inflation Indexed Bonds04/15/20293.924,1865.5
U.S. Treasury Inflation Indexed Bonds01/15/20292.523,1195.3
U.S. Treasury Inflation Indexed Bonds01/15/20272.422,5495.2
U.S. Treasury Inflation Indexed Bonds01/15/20262.020,3534.7
U.S. Treasury Inflation Indexed Bonds02/15/20412.119,5894.5
U.S. Treasury Inflation Indexed Bonds01/15/20142.015,3233.5
U.S. Treasury Inflation Indexed Bonds07/15/20172.614,7043.4
U.S. Treasury Inflation Indexed Bonds07/15/20191.914,5073.3
U.S. Treasury Inflation Indexed Bonds01/15/20151.612,2852.8
U.S. Treasury Inflation Indexed Bonds04/15/20141.211,8922.7
U.S. Treasury Inflation Indexed Bonds04/15/20150.511,2672.6
U.S. Treasury Inflation Indexed Bonds01/15/20281.810,9692.5
U.S. Treasury Inflation Indexed Bonds04/15/20160.110,9152.5
U.S. Treasury Inflation Indexed Bonds07/15/20201.210,8132.5
U.S. Treasury Inflation Indexed Bonds07/15/20151.99,2492.1
Toronto-Dominion Bank09/14/20161.68,3981.9
U.S. Treasury Inflation Indexed Bonds04/15/20283.68,3341.9
U.S. Treasury Inflation Indexed Bonds01/15/20192.18,2811.9
U.S. Treasury Inflation Indexed Bonds07/15/20142.06,9931.6
Dexia Credit Local New York03/05/20130.96,1551.4
U.S. Treasury Inflation Indexed Bonds01/15/20162.06,1241.4
U.S. Treasury Inflation Indexed Bonds04/15/20130.65,5591.3
U.S. Treasury Inflation Indexed Bonds01/15/20211.15,4301.2
Australia Government Bond09/20/20253.05,1421.2
Canadian Government Bond12/01/20214.25,1071.2
Australia Government Bond08/20/20204.04,1811.0
U.S. Treasury Notes01/15/20201.44,0570.9
U.S. Treasury Inflation Indexed Bonds04/15/20323.43,9370.9
ING Bank NV06/09/20141.93,7380.9
Federal Home Loan Mortgage Corp. REMIC12/15/20370.93,6300.8
HBOS plc MTN09/06/20170.73,5400.8
Wachovia Corp.05/25/20124.83,2600.7
SLM Student Loan Trust12/15/20231.73,1620.7
Nordea Eiendomskreditt AS04/07/20141.03,0070.7
Commonwealth Bank of Australia09/17/20140.83,0020.7
DBUBS Mortgage Trust07/10/20443.42,9130.7
MetLife Institutional Funding II04/04/20141.52,8950.7
Instituto de Credito Oficial MTN03/25/20143.22,8120.6
Volkswagen International Finance NV10/01/20121.02,7980.6
Canada Housing Trust No 112/15/20152.42,7560.6
United Kingdom Gilt12/07/20404.22,6830.6
Merrill Lynch & Co. Inc. MTN05/30/20141.82,5780.6
TDC A/S MTN02/23/20153.52,4100.6
FCE Bank plc MTN01/16/20127.12,3460.5
Italy Buoni Poliennali Del Tesoro09/15/20162.12,3350.5
Banco Santander Brazil SA MTN03/18/20142.72,2880.5
Ally Financial Inc.02/12/20158.32,2210.5
Stone Street Trust12/15/20155.92,2070.5
Holmes Master Issuer plc10/15/20542.92,1950.5
U.S. Treasury Inflation Indexed Bonds02/15/20402.12,1130.5
United Kingdom Gilt Inflation Linked11/22/20221.92,0700.5
Canadian Government Bond09/01/20162.81,8850.4
Arran Residential Mortgages Funding plc11/19/20472.71,8500.4
ING Bank NV10/18/20131.71,7490.4
SLM Student Loan Trust09/15/20211.71,7040.4
Danske Bank A/S MTN04/14/20141.51,6400.4
JP Morgan Chase & Co. MTN10/12/20152.01,5790.4
Springleaf Financial Corporation05/10/20175.51,5710.4
Italy Buoni Poliennali Del Tesoro09/15/20212.11,5260.3
Societe Generale MTN04/11/20141.61,4990.3
Merrill Lynch & Co. Inc. MTN06/05/20120.81,4720.3
Hillmark Funding05/21/20210.71,4710.3
ABN Amro Bank NV MTN01/30/20142.21,4640.3
Morgan Stanley05/14/20133.01,4410.3
RBSSP Resecuritization Trust07/26/20452.21,3940.3
Australia Government Bond01/21/20185.51,3680.3
Banc of America Large Loan Inc.11/15/20152.01,2980.3
Driver One GmbH02/21/20171.81,2940.3
Federal National Mortgage Association REMIC02/25/20411.01,2120.3
United Kingdom Gilt12/07/20304.81,2090.3
SLM Corporation MTN08/27/20125.11,2060.3
EOG Resources Inc.02/03/20141.21,1040.3
GATX Financial Corp.03/01/20165.81,0570.2
Goldman Sachs Group Inc. MTN01/30/20171.91,0510.2
Starwood Hotels & Resorts Worldwide Inc.02/15/20136.21,0380.2
International Lease Finance Corporation03/17/20156.81,0050.2
HCA Inc.09/15/20207.29540.2
Federal National Mortgage Association REMIC07/25/20370.69470.2
Bank of America Corporation MTN06/11/20121.19170.2
U.S. Treasury Inflation Indexed Bonds01/15/20172.49130.2
Arran Residential Mortgages Funding plc11/19/20472.99030.2
Morgan Stanley01/24/20142.08290.2
Federal National Mortgage Association REMIC07/25/20370.78270.2
Citigroup Inc.08/13/20132.57860.2
BBVA Bancomer SA03/10/20216.57750.2
U.S. Treasury Inflation Indexed Bonds07/15/20131.97740.2
Credit Agricole Home Loan SFH07/21/20141.27690.2
Citigroup Inc.05/15/20186.17460.2
U.S. Treasury Inflation Indexed Bonds01/15/20181.67390.2
Transocean Inc.11/15/20155.07150.2
DCP Midstream Operating LP10/01/20153.27070.2
Intelsat Jackson Holdings SA04/02/20185.26930.2
Federal National Mortgage Association REMIC05/25/20360.76770.2
Royal Bank of Scotland plc03/16/20154.96700.2
Ford Auto Securitization Trust06/15/20131.96420.1
SLM Corporation MTN05/03/20195.86250.1
American Express Bank FSB06/12/20120.45990.1
Royal Bank of Scotland plc08/23/20132.95770.1
Ally Financial Inc.02/11/20143.65700.1
Citigroup Inc.11/05/20140.75470.1
Petrobras International Finance Company01/27/20163.95180.1
Pricoa Global Funding I MTN01/30/20120.55000.1
American Express Bank FSB05/29/20120.45000.1
New South Wales Treasury Corporation11/20/20252.84860.1
Katonah Ltd.09/20/20160.94850.1
Banco Santander Brasil SA01/14/20164.24780.1
ICICI Bank Ltd. MTN02/24/20142.34750.1
JP Morgan Mortgage Trust06/25/20355.24600.1
Citigroup Mortgage Loan Trust Inc.08/25/20351.14440.1
Park Place Securities Inc.12/25/20341.04310.1
Ares CLO Funds03/12/20180.84010.1
Banco Santander Chile04/20/20121.74000.1
Race Point CLO05/15/20151.03680.1
Magi Funding plc04/11/20212.03310.1
International Lease Finance Corporation09/01/20187.13120.1
American Money Management Corporation08/08/20170.82850.1
Wood Street CLO BV03/29/20212.02590.1
Permanent Master Issuer plc07/15/20422.92580.1
Australia Government Bond09/20/20302.52470.1
Morgan Stanley MTN03/01/20131.82460.1
HBOS plc MTN05/21/20186.82410.1
Harvest CLO SA03/29/20172.22400.1
Petroleos Mexicanos01/21/20215.52180.0
New York Life Global Funding05/09/20134.62100.0
International Lease Finance Corporation09/01/20146.52060.0
LeasePlan Corporation NV05/07/20123.02020.0
Turkiye Garanti Bankasi AS04/20/20162.91820.0
SLM Student Loan Trust08/15/20162.21710.0
Granite Master Issuer plc12/20/20540.31700.0
Saxon Asset Securities Trust06/25/20334.01550.0
Citigroup Inc. MTN06/16/20147.41380.0
Ford Motor Credit Co. LLC06/01/20148.01090.0
Countrywide Home Loan Mortgage Pass Through Trust04/20/20352.71070.0
Metropolitan Life Global Funding I MTN04/10/20135.11040.0
International Lease Finance Corporation09/01/20166.81030.0
Ford Motor Credit Co. LLC06/01/20127.81020.0
Washington Mutual Mortgage Pass Through Certificates09/25/20332.6670.0
U.S. Treasury Inflation Indexed Bonds01/15/20123.4630.0
Residential Accredit Loans Inc.06/25/20460.5490.0
Structured Asset Mortgage Investments Inc.05/25/20460.5460.0
Residential Asset Securitization Trust01/25/20460.7430.0
Interest Rate Swap Option 30 year09/24/20120.0390.0
Lehman Brothers Holdings Inc. MTN05/02/20186.9270.0
Bear Stearns Adjustable Rate Mortgage Trust03/25/20352.7150.0
Bear Stearns Adjustable Rate Mortgage Trust08/25/20352.2140.0
Bear Stearns Adjustable Rate Mortgage Trust08/25/20352.280.0
Bear Stearns Adjustable Rate Mortgage Trust03/25/20353.050.0
Total522,049119.0
Cash and Other Assets Less Liabilities-19.0
Total Net Assets100%

Sector Allocation (As of Quarter-Ended 12/31/2011)

As of Quarter-Ended 12/31/2011
Economic SectorHarbor Real Return Fund %
U.S. GOVERNMENT OBLIGATIONS84.8
CORPORATE BONDS & NOTES19.0
FOREIGN GOVERNMENT OBLIGATIONS7.8
COLLATERALIZED MORTGAGE OBLIGATIONS2.8
ASSET-BACKED SECURITIES2.6
MORTGAGE PASS-THROUGH1.7
BANK LOAN OBLIGATIONS0.7
OPTIONS0.0

Maturity Profile (As of Quarter-Ended 12/31/2011)

As of Quarter-Ended 12/31/2011
MaturityHarbor Real Return Fund %
0-1 yr0.0
1-3 yr14.0
3-5 yr21.0
5-10 yr24.0
10-20 yr34.0
20-30 yr6.5
Over 30 yr0.6

Duration (As of Quarter-Ended 12/31/2011)

As of Quarter-Ended 12/31/2011
DurationHarbor Real Return Fund %
0-1 yr4.6
1-3 yr5.3
3-5 yr11.7
5-10 yr42.0
10-20 yr36.5
20-30 yr0.0
Over 30 yr0.0

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

The Barclays Capital U.S. TIPS Index is an unmanaged market index comprised of all U.S. Treasury Inflation Protected Securities rated investment grade (Baa3 or better), have at least one year to final maturity, and at least $250 million par amount outstanding.# This unmanaged index does not reflect fees and expenses and is not available for direct investment.