Mutual Funds Institutional



Global Equity Portfolio Institutional Class HLMVX - Portfolio Managers

Global Equity Portfolio Managers
Ferrill Roll, CFA (left)
Co-Lead Portfolio Manager
Stanford University, BA, 1980
Harding Loevner since 1996
Alexander Walsh, CFA (center)
McGill University, BA, 1978
Harding Loevner since 1994
Peter Baughan, CFA (right)
Co-Lead Portfolio Manager
University of North Carolina, BA 1983
Harding Loevner since 1997

The Portfolio invests in foreign securities, which will involve greater volatility and political, economic, and currency risks and differences in accounting methods. It also invests in emerging markets, which involve unique risks, such as exposure to economies less diverse and mature than the U.S. or other more established foreign markets. Economic and political instability may cause larger price changes in emerging markets securities than other foreign securities. Investments in debt securities typically decrease in value when interest rates rise. This risk is usually greater for longer-term debt securities. Investment by the Portfolio in lower-rated and non-rated securities presents a greater risk of loss to principal and interest than higher-rated securities.

The Harding Loevner Funds are distributed by Quasar Distributors, LLC.