$20.06
Closed
-(-)

At close

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About

HBIL was created on 2026-08-12 by Harbor. The fund's investment portfolio concentrates primarily on investment grade fixed income. HBIL is an actively managed fund that provides exposure to 3-month US Treasury bills.
Company

Harbor

Asset class

Fixed Income

Inception date

2026

Investment segment

Investment Grade

ISIN

US41151J5700

Key stats

Open

$20.06

Volume

10.00

AUM

$5.52M

Prev. close

$20.06

Expense ratio

0.10%

P/E

0.00

$20.06

Day’s Range

$20.06

$20.00

52W Range

$20.07

What’s in the fund

0
Total countries

Returns

Performance
_
Difference
_
Harbor Short Term Treasury ETF

Sep

4

Dividends

The last payment date was Sep 4, 2026

Div. per Share

$0.02

Div. Yield

0.08%

Div. Growth YoY

-

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