Harding Loevner
Harding Loevner is a private, US-based global equity investment manager founded in 1989, applying a quality-growth philosophy to active portfolios across global, international, and emerging markets. It serves individual, institutional, intermediary, and non-US investors through mutual funds, UCITS, SMAs, and CITs.
- Company typePrivate
- Founded1989
- HeadquartersBridgewater, United States
- Headcount101–250
- GTM typeB2B
- OfferingServices
What Harding Loevner does
Harding Loevner is a US-based, privately-held global equity investment manager founded in 1989 and headquartered in Bridgewater, New Jersey, with a UK affiliate (Harding Loevner (UK) Limited) and an Ireland-domiciled UCITS fund umbrella (Harding Loevner Funds plc). The firm operates as an affiliate of Affiliated Managers Group, Inc. (AMG), a publicly traded multi-affiliate asset management platform. Harding Loevner manages active equity portfolios applying a quality-growth philosophy built on a four-criteria framework: competitive advantages, management quality, financial strength, and industry structure. Its product line spans Global, International, International Developed Markets, Global and International Small Companies, Emerging Markets, Frontier Emerging Markets, and Carbon Transition (Global and International) equity strategies. The firm's core 'technology' is fundamentally human-driven — a research-intensive, long-holding-period approach to identifying durable growth businesses rather than quantitative or algorithmic systems.
Harding Loevner distributes its strategies through multiple channels and wrappers to serve distinct investor pools: US mutual funds (Harding, Loevner Funds, Inc.) for individual and institutional US investors, Ireland-domiciled UCITS funds (with USD, GBP, and EUR share classes) for non-US investors, separately managed accounts for high-net-worth and institutional clients, collective investment trusts with Global Trust Company as trustee, and — as of December 2025 — the Parametric Custom Active tax-managed platform within Morgan Stanley Investment Management. Revenue is generated through investment management fees on AUM across these vehicles, with fund expense ratios capped at 0.90%–1.15% depending on share class. Marketing and investor relations rely on a content-heavy approach — quarterly commentaries, monthly reports, webcasts, and archived research insights dating back to 1990.
The firm's customer base includes US individual investors, US institutional investors (pension funds, endowments, foundations), financial intermediaries (banks, brokers, advisors), and non-US investors accessing UCITS structures. Leadership comprises CFA-credentialed portfolio managers with regional specialization, supported by a Co-CIO and Co-Deputy Directors of Research. A December 2025 reorganization consolidated the Emerging Markets Portfolio (HLEMX) into the Institutional Emerging Markets Portfolio (HLMEX), indicating active management of the fund complex alongside ongoing distribution build-out.
Harding Loevner firmographics
Firmographics- Name
- Harding Loevner
- Legal name
- Harding Loevner LP
- Website
- https://hardingloevner.com
- Company type
- Private
- Founded year
- 1989
- Operating status
- Operating
- Headcount range
- 101–250 employees
- Short description
- Harding Loevner is a private, US-based global equity investment manager founded in 1989, applying a quality-growth philosophy to active portfolios across global, international, and emerging markets. It serves individual, institutional, intermediary, and non-US investors through mutual funds, UCITS, SMAs, and CITs.
- Ownership category
- akta.pro rank
Harding Loevner industry classification
Industry- Product category
- Active Equity Asset Management
- NAICS
- Portfolio Management and Investment Advice (523940)
- SIC
- Investment Advice (6282)
- akta.pro primary industry
- Portfolio Management–Led RIAs (Discretionary/Model-Based) (FSAAACAC)
- akta.pro secondary industry
- Comprehensive/Full-Service RIAs & Independent Wealth Managers (FSAAACAA)
Keywords
Where Harding Loevner is headquartered
LocationHeadquarters
- HQ city
- Bridgewater
- HQ country
- United States
- HQ region
- North America
Offices1 record
Markets served
Harding Loevner business model
Business model- GTM type
- B2B
- Offering type
- Services
- Cost components
- Personnel, Operations, Technology or R&D, Marketing or Sales
Revenue model
- Investment Management Fees: Harding Loevner generates revenue through investment management fees charged on assets under management across its various fund vehicles including US mutual funds, UCITS funds, and separately managed accounts. Fee structures include expense ratio caps on fund share classes.
Pricing tiers
| Model | Billing | Price |
|---|---|---|
| Subscription | Annual | Emerging Markets Equity Fund - Class I shares |
| Subscription | Annual | Emerging Markets Equity Fund - Class R shares |
| Subscription | Annual | International Equity Fund - Class I shares |
| Subscription | Annual | International Equity Fund - Class R shares |
Go-to-market motion2 records
Distribution channels6 records
Marketing channels6 records
Harding Loevner product offering
Product offeringCore offering
Harding Loevner is a global quality-growth equity investment manager that actively manages portfolios of high-quality, growing companies across global, international, and emerging markets. It distributes its strategies through US mutual funds, Ireland-domiciled UCITS funds, separately managed accounts, and collective investment trusts, applying a four-key-criteria research framework (competitive advantage, management quality, financial strength, and industry structure) to identify durable growth businesses.
Product overview
Harding Loevner is a fundamental quality-growth equity investment manager offering multiple fund vehicles across global, international, and emerging market equities. The firm manages both US mutual funds and Ireland-domiciled UCITS funds, along with separately managed accounts and collective investment trusts. The product lineup includes core equity strategies (Global Equity, International Equity, Emerging Markets Equity), specialized strategies (Global Carbon Transition Equity, International Carbon Transition Equity), and market cap-focused variants (Small Companies, Frontier Emerging Markets). All strategies share a common investment philosophy focused on high-quality, competitively advantaged companies with durable growth characteristics.
Differentiator
Problem solved
Functional benefit
Products and services
- Global Equity Portfolio Actively managed equity portfolio investing in high-quality, growing companies across global markets, focusing on developed and emerging markets with strong competitive advantages and durable growth characteristics. Distributed via separately managed accounts and other vehicles.
- Global Developed Markets Equity Portfolio Equity portfolio focused on high-quality, growing companies in developed markets outside the United States, targeting businesses with sustainable competitive advantages and disciplined capital allocation. Distributed via separately managed accounts and other vehicles.
- Global Small Companies Equity Portfolio Portfolio investing in high-quality, growing small-capitalization companies on a global scale, seeking long-term capital appreciation through ownership of businesses with durable competitive advantages.
- Global Carbon Transition Equity Portfolio Portfolio focused on companies positioned to benefit from the global transition to lower-carbon energy systems, targeting businesses involved in renewable energy, energy efficiency, and decarbonization technologies.
- International Equity Portfolio Actively managed international equity portfolio investing outside the United States in high-quality, growing companies with strong competitive advantages and proven management teams.
- International Developed Markets Equity Portfolio Equity portfolio targeting high-quality, growing companies in developed markets excluding the US, focusing on sustainable competitive advantages and long-term value creation.
- International Small Companies Portfolio Portfolio investing in small-capitalization companies across international developed and emerging markets, seeking quality-growth opportunities in the smaller-company universe.
- International Carbon Transition Equity Portfolio International equity strategy focused on companies benefiting from the energy transition, including renewable energy, clean technology, and sustainability-related infrastructure.
- Emerging Markets Portfolio Equity portfolio investing in high-quality, growing companies with substantial revenues or assets in emerging markets countries, targeting long-term capital appreciation through ownership of competitively advantaged businesses.
- Frontier Emerging Markets Portfolio Portfolio investing in frontier markets and smaller emerging markets, targeting high-quality, growing companies with significant exposure to frontier and smaller emerging market economies.
- Global Equity Fund (UCITS) UCITS-compliant version of the Global Equity strategy, available for international investors through the Ireland-domiciled fund structure under Harding Loevner Funds plc.
- International Equity Fund (UCITS) UCITS-compliant International Equity Fund registered in Ireland, providing non-US equity exposure through a regulated fund structure. Class I total expense ratio capped at 0.90% and Class R capped at 1.10% based on fiscal year-to-date weighted average net assets.
- Emerging Markets Equity Fund (UCITS) UCITS-compliant Emerging Markets Equity Fund domiciled in Ireland, offering international investors access to high-quality emerging market companies. Class I total expense ratio capped at 0.95% and Class R capped at 1.15% based on fiscal year-to-date weighted average net assets.
- Frontier Emerging Markets Equity Fund (UCITS) UCITS fund investing in frontier emerging markets, offering exposure to smaller, less-developed market economies through a regulated Ireland-domiciled structure.
- US Mutual Funds (Harding, Loevner Funds, Inc.) Family of mutual funds for US individual investors, including International Equity and Emerging Markets Equity share classes with capped expense ratios.
- Separately Managed Accounts Customized portfolio management for institutional and high-net-worth investors across Harding Loevner's quality-growth equity strategies.
- Collective Investment Trusts Collective investment trusts advised by Harding Loevner, with Global Trust Company, a Maine Chartered Non-depository Trust Bank, acting as Trustee, providing a vehicle for qualified plan investors.
Companies that use Harding Loevner
Customer profileSegments4 records
Ideal customer profiles4 records
Harding Loevner technology and API
TechnologyTechnology focussed No
API detail
- Has API
- No
- API docs
- API detail
Core technology
AI maturity
App detail
Harding Loevner partnerships and signals
Strategic signalPartnerships
One partnership is on record.
- Parametric Portfolio Associates LLCcoreParametric Portfolio Associates LLC, part of Morgan Stanley Investment Management, partnered with Harding Loevner to expand its Custom Active platform. The partnership added Harding Loevner strategies to Parametric's tax-managed, actively managed equity platform, which comprises 65 strategies representing more than $12.5 billion in assets under management as of December 1, 2025. The platform is designed to meet investor demand for tax efficiency and customization.
Scale indicators5 records
Recent moves4 records
Expansion highlights4 records
Harding Loevner competitors and assessment
Company assessmentBroad incumbents
- Dimensional Fund Advisors: Large, systematic global and EM equity manager distributed through financial advisors and institutions; competes with Harding Loevner in the same intermediary and institutional channels despite a different investment approach.
- T. Rowe Price: Large public active asset manager with global, international, and EM equity strategies across mutual funds, UCITS, and SMAs; overlaps Harding Loevner's distribution architecture and product breadth.
Direct peers
- Capital Group: Large private active asset manager offering global, international, and EM equity funds (including American Funds), serving retail, intermediary, and institutional clients through multi-channel distribution — a structurally similar model to Harding Loevner.
- Artisan Partners: Public, multi-boutique active manager with global and emerging markets equity teams; comparable in fundamental, quality-growth style and multi-channel distribution.
- Dodge & Cox: Employee-owned, research-driven active global and international equity manager with comparable mutual fund and institutional distribution; similar in independent, fundamental, long-term philosophy (though more value-tilted).
- WCM Investment Management: Independent, quality-growth oriented active equity manager offering global, international, and emerging markets strategies; closely aligned with Harding Loevner's quality-growth philosophy and fundamental research approach.
- MFS Investment Management: Long-standing private active manager with global, international, and emerging markets equity strategies distributed via mutual funds, UCITS, and SMAs; direct functional analogue to Harding Loevner.
- Baillie Gifford: Long-term growth-oriented global and EM equity manager; comparable in fundamental, high-conviction active equity philosophy and multi-strategy global lineup.
- Causeway Capital Management: Fundamental active global, international, and emerging markets equity manager with a strong intermediary channel; closely comparable product mix and institutional client focus.
- Lazard Asset Management: Fundamental global, international, and emerging markets equity manager with institutional and intermediary distribution; comparable in research-driven active equity product set.
Market position
Strengths4 records
Weaknesses4 records
Competitive moat4 records
Key risks6 records
Key highlights6 records
Customer concentration
Harding Loevner social profiles
Digital presenceHarding Loevner financial estimates
Financial estimateRevenue estimate
Valuation estimate
Harding Loevner leadership team
Management profileNumber of profiles
Profiles12 records
Harding Loevner subsidiaries and ownership
Company hierarchySubsidiaries2 records
Harding Loevner funding detail
Funding detailFunding overview
Funding rounds
Investors
Funding detail is available on the Subscription and Enterprise plan.Contact sales →
Harding Loevner M&A and investment
M&A and investmentM&A
Investments
M&A and investment is available on the Subscription and Enterprise plan.Contact sales →
Frequently asked questions about Harding Loevner
What does Harding Loevner do?
Harding Loevner is a global quality-growth equity investment manager that actively manages portfolios of high-quality, growing companies across global, international, and emerging markets. It distributes its strategies through US mutual funds, Ireland-domiciled UCITS funds, separately managed accounts, and collective investment trusts, applying a four-key-criteria research framework (competitive advantage, management quality, financial strength, and industry structure) to identify durable growth businesses.
Is Harding Loevner a public or private company?
Harding Loevner is a private company. It is classified as corporate owned and is currently operating.
When was Harding Loevner founded?
Harding Loevner was founded in 1989. It employs 101 to 250 people.
Where is Harding Loevner based?
Harding Loevner is headquartered in Bridgewater, United States, in the North America region.
How does Harding Loevner make money?
One revenue line is on record: investment Management Fees.
Who are Harding Loevner's main competitors?
Broad incumbents on record are Dimensional Fund Advisors and T. Rowe Price. Direct peers are Capital Group, Artisan Partners, Dodge & Cox, WCM Investment Management, MFS Investment Management, Baillie Gifford, Causeway Capital Management and Lazard Asset Management.
Does Harding Loevner have an API?
No public API is recorded for Harding Loevner.
What industry is Harding Loevner in?
Harding Loevner's product category is Active Equity Asset Management. Its primary akta.pro industry code is FSAAACAC, Portfolio Management–Led RIAs (Discretionary/Model-Based), with a secondary code of FSAAACAA, Comprehensive/Full-Service RIAs & Independent Wealth Managers. Its NAICS code is 523940 and its SIC code is 6282.