Harding, Loevner Emerging Markets Portfolio

Quarterly Returns (%)
Years Q1 Q2 Q3 Q4 Annual
1998 0 -100 -100 1.6 0
1999 3.25 27.26 -0.3 31.06 71.7
2000 6.37 -2.91 -10.84 -15.09 -23.13
2001 -0.22 5.01 -19.58 22.62 2.02
2002 14.14 -6.88 -16.1 5.54 -6.52
2003 -3.13 18.2 15.47 18.02 56.03
2004 8.94 -9.04 9.63 16.5 26.57
2005 0.08 6.66 21.75 6.23 38.06
2006 10.72 -7.19 8.5 15.25 28.73
2007 1.25 12.18 11.01 3.28 35.8
2008 -9.9 -0.17 -26.39 -28 -52.33
2009 -3.87 32.85 20.07 6.59 63.45
2010 3.63 -7.74 19.93 5.65 21.13
2011 -1.7 -0.96 -20.42 6.46 -17.53
2012 15.88 -7.46 6.49 5.09 21.85
2013 -0.64 -5.46 5.51 4.61 4.17
2014 0.72 6.64 -4.75 -3.92 -1.71
2015 1.49 0.28 -17.18 2.62 -13.5
2016 6.53 3.54 7.86 -4.96 13.07
2017 11.84 6.8 7.24 5.28 35.38
2018 3.56 -6.47 -4.3 -10.2 -18.72
2019 14.54 -0.07 -3.64 10.78 24.04
2020 -27.9 17.53 8.83 12.9 13.09
2021 10.49 4.89 -14.89 -2.1 -11.11
2022 -17.63 -11.06 -10.9 1.93 -33.46
2023 3.36 2.39 -5.18 3.33 3.46
2024 -0.29 -4.87 0 0 -12.43