Harbor International Compounders Fund trails benchmark in Q4 2025

The Harbor International Compounders Fund (HSICX) returned 3.19% in the fourth quarter of 2025, underperforming its benchmark, the MSCI All Country World ex-US Index, which gained 5.05%. Key holdings like AstraZeneca and SSE contributed positively to performance. The fund made several portfolio adjustments, including new purchases and sales of positions.

In its Q4 2025 commentary, the Harbor International Compounders Fund detailed its performance amid a global market environment. The fund achieved a 3.19% return for the quarter, lagging behind the MSCI All Country World ex-US Index's 5.05% gain. This underperformance occurred as Europe experienced low growth rather than outright contraction, according to the report from C Worldwide Asset Management.

Positive influences included AstraZeneca, bolstered by oncology momentum from its results, and SSE, where strategic guidance alleviated funding concerns. The fund's managers adjusted holdings by purchasing shares in Contemporary AmpereX Technology, Mercado Libre, Rheinmetall, and Tesco. They also increased their stake in Prosus.

On the sell side, the fund exited positions in Novo Nordisk, citing weakening confidence in its pricing power and rising competition. Other sales included Atlas Copco, SMC, Ferguson, and Diageo.

Looking ahead to 2026, the commentary anticipates a market shift toward fundamentals, diversification, and recognition of earnings and quality beyond the U.S. With the U.S. now accounting for about 65% of global equity indexes, the report draws on historical parallels to urge caution.

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Jakarta Stock Exchange traders monitoring sideways IHSG consolidation amid OJK capital market reforms.
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IHSG projected to consolidate amid capital market reforms

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The Composite Stock Price Index (IHSG) is projected to move sideways on trading Wednesday, February 4, 2026, as market participants focus on Indonesia's capital market reforms. The Financial Services Authority (OJK) plans to expand investor data into 27 sub-types to boost transparency, as requested by MSCI. Despite a strong rebound the previous day, forecasts indicate potential correction if key levels are not breached.

The Hartford Emerging Markets Equity Fund recorded positive absolute returns in the fourth quarter of 2025 but underperformed its benchmark, the MSCI Emerging Markets Index. Security selection in certain sectors contributed to the relative underperformance. Emerging markets equities overall advanced during the period, driven by gains in Latin America.

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The John Hancock Global Shareholder Yield Fund achieved a positive return in the fourth quarter of 2025, surpassing its benchmark, the MSCI World Index. Stock selections in the information technology and financials sectors drove the fund's strong performance. The fund aims to provide a high level of income alongside some capital appreciation.

The Composite Stock Price Index (IHSG) opened up 76 points or 0.93 percent at 8,308 on Friday, January 30, 2026, following a sharp drop the previous day due to concerns over the MSCI announcement. Analysts predict ongoing fluctuations though the index holds above key support levels. Financial authorities responded with new policies to enhance market transparency.

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The Composite Stock Price Index (IHSG) opened higher on Tuesday (February 24, 2026) amid solid January tax receipt data. Analysts predict limited upside potential to 8,450, though correction risks persist. Strong domestic consumption supports positive sentiment.

The Composite Stock Price Index (IHSG) opened sharply lower by 597 points or 6.66% to 8,382 on Wednesday, January 28, 2026, despite analysts' predictions of gains. The drop came amid strength in most Asian markets and anticipation of the US Federal Reserve's interest rate decision.

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The Composite Stock Price Index (IHSG) opened slightly higher on Monday (February 9, 2026) amid pressure from Moody’s downgrade of Indonesia’s credit outlook to negative. Despite solid domestic economic fundamentals, market players are watching for further consolidation risks. Global sentiment is also influencing stock market movements.

 

 

 

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