0001104659-19-032621.txt : 20190530 0001104659-19-032621.hdr.sgml : 20190530 20190530121704 ACCESSION NUMBER: 0001104659-19-032621 CONFORMED SUBMISSION TYPE: N-CSRS PUBLIC DOCUMENT COUNT: 43 CONFORMED PERIOD OF REPORT: 20190331 FILED AS OF DATE: 20190530 DATE AS OF CHANGE: 20190530 EFFECTIVENESS DATE: 20190530 FILER: COMPANY DATA: COMPANY CONFORMED NAME: HARRIS ASSOCIATES INVESTMENT TRUST CENTRAL INDEX KEY: 0000872323 IRS NUMBER: 000000000 STATE OF INCORPORATION: MA FISCAL YEAR END: 0930 FILING VALUES: FORM TYPE: N-CSRS SEC ACT: 1940 Act SEC FILE NUMBER: 811-06279 FILM NUMBER: 19865472 BUSINESS ADDRESS: STREET 1: HARRIS ASSOCIATES LP STREET 2: 111 S. WACKER DRIVE, SUITE 4600 CITY: CHICAGO STATE: IL ZIP: 60606 BUSINESS PHONE: 8004769625 MAIL ADDRESS: STREET 1: HARRIS ASSOCIATES LP STREET 2: 111 S. WACKER DRIVE, SUITE 4600 CITY: CHICAGO STATE: IL ZIP: 60606 0000872323 S000002758 Oakmark Fund C000007554 Investor Class OAKMX C000007555 Service Class OARMX C000174795 Advisor Class OAYMX C000174796 Institutional Class OANMX 0000872323 S000002759 Oakmark Select Fund C000007556 Investor Class OAKLX C000007557 Service Class OARLX C000174797 Advisor Class OAYLX C000174798 Institutional Class OANLX 0000872323 S000002760 Oakmark Equity and Income Fund C000007558 Investor Class OAKBX C000007559 Service Class OARBX C000174799 Advisor Class OAYBX C000174800 Institutional Class OANBX 0000872323 S000002761 Oakmark Global Fund C000007560 Investor Class OAKGX C000007561 Service Class OARGX C000174801 Advisor Class OAYGX C000174802 Institutional Class OANGX 0000872323 S000002762 Oakmark International Fund C000007562 Investor Class OAKIX C000007563 Service Class OARIX C000174803 Institutional Class OANIX C000174804 Advisor Class OAYIX 0000872323 S000002763 Oakmark International Small Cap Fund C000007564 Investor Class OAKEX C000007565 Service Class OAREX C000174805 Advisor Class OAYEX C000174806 Institutional Class OANEX 0000872323 S000013607 Oakmark Global Select Fund C000036890 Investor Class OAKWX C000036891 Service Class OARWX C000174807 Advisor Class OAYWX C000174808 Institutional Class OANWX N-CSRS 1 a19-5996_2ncsrs.htm N-CSRS

 

UNITED STATES

SECURITIES AND EXCHANGE COMMISSION

Washington, D.C. 20549

 

FORM N-CSR

 

CERTIFIED SHAREHOLDER REPORT OF REGISTERED
MANAGEMENT INVESTMENT COMPANIES

 

Investment Company Act file number

811-06279

 

Harris Associates Investment Trust

(Exact name of registrant as specified in charter)

 

111 South Wacker Drive, Suite 4600

Chicago, Illinois

 

60606-4319

(Address of principal executive offices)

 

(Zip code)

 

Kristi L. Rowsell

Harris Associates L.P.

111 South Wacker Drive, Suite 4600

Chicago, Illinois 60606-4319

Ndenisarya M. Bregasi, Esq.

K&L Gates LLP

1601 K Street, N.W.

Washington, D.C. 20006-1600

(Name and address of agent for service)

 

Registrant’s telephone number, including area code:

(312) 646-3600

 

 

Date of fiscal year end:

09/30/19

 

 

Date of reporting period:

03/31/19

 

 


 

Item 1. Reports to Shareholders.

 


OAKMARK FUNDS

SEMI-ANNUAL REPORT | MARCH 31, 2019

OAKMARK FUND

OAKMARK SELECT FUND

OAKMARK EQUITY AND INCOME FUND

OAKMARK GLOBAL FUND

OAKMARK GLOBAL SELECT FUND

OAKMARK INTERNATIONAL FUND

OAKMARK INTERNATIONAL SMALL CAP FUND



Oakmark Funds

2019 Semi-Annual Report

TABLE OF CONTENTS

Fund Expenses

   

1

   

Commentary on Oakmark and Oakmark Select Funds

   

2

   

Oakmark Fund

 

Summary Information

   

4

   

Portfolio Manager Commentary

   

5

   

Schedule of Investments

   

6

   

Oakmark Select Fund

 

Summary Information

   

10

   

Portfolio Manager Commentary

   

11

   

Schedule of Investments

   

12

   

Oakmark Equity and Income Fund

 

Summary Information

   

14

   

Portfolio Manager Commentary

   

15

   

Schedule of Investments

   

17

   

Oakmark Global Fund

 

Summary Information

   

24

   

Portfolio Manager Commentary

   

25

   

Schedule of Investments

   

26

   

Oakmark Global Select Fund

 

Summary Information

   

30

   

Portfolio Manager Commentary

   

31

   

Schedule of Investments

   

32

   

Oakmark International Fund

 

Summary Information

   

34

   

Portfolio Manager Commentary

   

35

   

Schedule of Investments

   

36

   

Oakmark International Small Cap Fund

 

Summary Information

   

40

   

Portfolio Manager Commentary

   

41

   

Schedule of Investments

   

42

   

Financial Statements

 

Statements of Assets and Liabilities

   

46

   

Statements of Operations

   

48

   

Statements of Changes in Net Assets

   

50

   

Notes to Financial Statements

   

63

   

Financial Highlights

   

72

   
Disclosure Regarding Investment Advisory
Agreements Approval
   

80

   

Disclosures and Endnotes

   

84

   

Trustees and Officers

   

89

   

Beginning on January 1, 2021, as permitted by regulations adopted by the U.S. Securities and Exchange Commission, paper copies of the Oakmark Funds' annual and semi-annual shareholder reports will no longer be sent by mail, unless you specifically request paper copies of the reports. Instead, the reports will be made available on Oakmark.com, and you will be notified by mail each time a report is posted and provided with a website link to access the report. If you already elected to receive shareholder reports electronically, you will not be affected by this change and you need not take any action. You may elect to receive shareholder reports and other communications from the Funds electronically anytime by contacting your financial intermediary (such as a broker-dealer or bank) or, if you hold your shares directly with the Funds, by calling 1-800-OAKMARK (625-6275) or visiting Oakmark.com.

 

You may elect to receive all future reports in paper free of charge. If you invest through a financial intermediary, you can contact your financial intermediary to request that you continue to receive paper copies of your shareholder reports. If you hold your shares directly with the Funds, you can call 1-800-OAKMARK (625-6275) to let the Funds know you wish to continue receiving paper copies of your shareholder reports. Your election to receive reports in paper will apply to all Funds you hold directly or all Funds you hold through your financial intermediary, as applicable.

FORWARD-LOOKING STATEMENT DISCLOSURE

One of our most important responsibilities as mutual fund managers is to communicate with shareholders in an open and direct manner. Some of our comments in our letters to shareholders are based on current management expectations and are considered "forward-looking statements." Actual future results, however, may prove to be different from our expectations. You can identify forward-looking statements by words such as "estimate", "may", "will", "expect", "believe",

"plan" and other similar terms. We cannot promise future returns. Our opinions are a reflection of our best judgment at the time this report is compiled, and we disclaim any obligation to update or alter forward-looking statements as a result of new information, future events, or otherwise.

OAKMARK FUNDS



Fund Expenses (Unaudited)

A shareholder of each Fund incurs ongoing costs, including investment advisory fees, transfer agent fees and other Fund expenses. The examples below are intended to help shareholders understand the ongoing costs (in dollars) of investing in each Fund and to compare these costs with the ongoing costs of investing in other funds.

The following table provides information about actual account values and actual Fund expenses as well as hypothetical account values and hypothetical fund expenses for shares of each Fund.

ACTUAL EXPENSES

The following table shows the expenses a shareholder would have paid on a $1,000 investment in each Fund from October 1, 2018 to March 31, 2019, as well as how much a $1,000 investment would be worth at the close of the period, assuming actual Fund returns and expenses. A shareholder can estimate expenses incurred for the period by dividing the account value at March 31, 2019, by $1,000 and multiplying the result by the number in the "Actual—Expenses Paid During Period" column shown below.

Prior to December 3, 2018, shares of Oakmark International Small Cap Fund, invested for 90 days or less, may have been charged a 2% redemption fee upon redemption.

HYPOTHETICAL EXAMPLE FOR COMPARISON PURPOSES

The following table provides information about hypothetical account values and hypothetical expenses for shares of each Fund based on actual expense ratios and an assumed rate of return of 5% per year before expenses, which are not the Funds' actual returns. The hypothetical account values and expenses may not be used to estimate the actual ending account balances or actual expenses shareholders paid for the period. Shareholders may use this information to compare the ongoing costs of investing in a Fund and other funds. To do so, compare this 5% hypothetical example with the 5% hypothetical examples that appear in the shareholder reports of the other funds.

Please note that the expenses shown in the table are meant to highlight your ongoing costs only and do not reflect any transaction costs, such as redemption fees. Therefore, the "Hypothetical—Expenses Paid During Period" column of the table is useful in comparing ongoing costs only and will not help you determine the relative total costs of owning different funds. If these transaction costs were included, the total costs would have been higher.

      ACTUAL   HYPOTHETICAL
(5% annual return
before expenses)
 

 

  Beginning
Account Value
(10/1/18)
  Ending
Account Value
(3/31/19)
  Expenses
Paid During
Period*
  Ending
Account Value
(3/31/19)
  Expenses
Paid During
Period*
  Annualized
Expense
Ratio
 

Oakmark Fund

 

Investor Class

 

$

1,000.00

   

$

933.10

   

$

4.39

   

$

1,020.39

   

$

4.58

     

0.91

%

 

Advisor Class

 

$

1,000.00

   

$

933.70

   

$

3.71

   

$

1,021.09

   

$

3.88

     

0.77

%

 

Institutional Class

 

$

1,000.00

   

$

934.00

   

$

3.47

   

$

1,021.34

   

$

3.63

     

0.72

%

 

Service Class

 

$

1,000.00

   

$

931.80

   

$

5.73

   

$

1,019.00

   

$

5.99

     

1.19

%

 

Oakmark Select Fund

 

Investor Class

 

$

1,000.00

   

$

888.10

   

$

4.94

   

$

1,019.70

   

$

5.29

     

1.05

%

 

Advisor Class

 

$

1,000.00

   

$

888.70

   

$

4.14

   

$

1,020.54

   

$

4.43

     

0.88

%

 

Institutional Class

 

$

1,000.00

   

$

889.10

   

$

3.96

   

$

1,020.74

   

$

4.23

     

0.84

%

 

Service Class

 

$

1,000.00

   

$

886.70

   

$

6.30

   

$

1,018.25

   

$

6.74

     

1.34

%

 

Oakmark Equity and Income Fund

 

Investor Class

 

$

1,000.00

   

$

987.10

   

$

4.11

   

$

1,020.79

   

$

4.18

     

0.83

%

 

Advisor Class

 

$

1,000.00

   

$

988.30

   

$

3.37

   

$

1,021.54

   

$

3.43

     

0.68

%

 

Institutional Class

 

$

1,000.00

   

$

988.50

   

$

3.12

   

$

1,021.79

   

$

3.18

     

0.63

%

 

Service Class

 

$

1,000.00

   

$

985.90

   

$

5.55

   

$

1,019.35

   

$

5.64

     

1.12

%

 

Oakmark Global Fund

 

Investor Class

 

$

1,000.00

   

$

938.40

   

$

5.90

   

$

1,018.85

   

$

6.14

     

1.22

%

 

Advisor Class

 

$

1,000.00

   

$

939.30

   

$

5.27

   

$

1,019.50

   

$

5.49

     

1.09

%

 

Institutional Class

 

$

1,000.00

   

$

939.40

   

$

4.93

   

$

1,019.85

   

$

5.14

     

1.02

%

 

Service Class

 

$

1,000.00

   

$

937.10

   

$

7.15

   

$

1,017.55

   

$

7.44

     

1.48

%

 

Oakmark Global Select Fund

 

Investor Class

 

$

1,000.00

   

$

922.70

   

$

5.90

   

$

1,018.80

   

$

6.19

     

1.23

%

 

Advisor Class

 

$

1,000.00

   

$

923.20

   

$

5.13

   

$

1,019.60

   

$

5.39

     

1.07

%

 

Institutional Class

 

$

1,000.00

   

$

923.20

   

$

4.84

   

$

1,019.90

   

$

5.09

     

1.01

%

 

Oakmark International Fund

 

Investor Class

 

$

1,000.00

   

$

912.60

   

$

4.91

   

$

1,019.80

   

$

5.19

     

1.03

%

 

Advisor Class

 

$

1,000.00

   

$

913.30

   

$

4.20

   

$

1,020.54

   

$

4.43

     

0.88

%

 

Institutional Class

 

$

1,000.00

   

$

913.20

   

$

3.91

   

$

1,020.84

   

$

4.13

     

0.82

%

 

Service Class

 

$

1,000.00

   

$

911.10

   

$

6.15

   

$

1,018.50

   

$

6.49

     

1.29

%

 

Oakmark International Small Cap Fund

 

Investor Class

 

$

1,000.00

   

$

935.70

   

$

7.24

   

$

1,017.45

   

$

7.54

     

1.50

%

 

Advisor Class

 

$

1,000.00

   

$

936.30

   

$

6.81

   

$

1,017.90

   

$

7.09

     

1.41

%

 

Institutional Class

 

$

1,000.00

   

$

936.50

   

$

6.13

   

$

1,018.60

   

$

6.39

     

1.27

%

 

Service Class

 

$

1,000.00

   

$

934.80

   

$

7.96

   

$

1,016.70

   

$

8.30

     

1.65

%

 

*  Expenses are calculated using the Annualized Expense Ratio, multiplied by the average account value over the period, multiplied by 182 and divided by 365 (to reflect one-half year period)

Oakmark.com 1



Oakmark and Oakmark Select Funds  March 31, 2019

Portfolio Manager Commentary

William C. Nygren, CFA

Portfolio Manager

oakmx@oakmark.com
oaklx@oakmark.com
oakwx@oakmark.com

At Oakmark, we are long-term investors. We attempt to identify growing businesses that are managed to benefit their shareholders. We will purchase stock in those businesses only when priced substantially below our estimate of intrinsic value. After purchase, we patiently wait for the gap between stock price and intrinsic value to close.

"I see trees of green, red roses too, I see them bloom for me and you, and I think to myself what a wonderful world."

-Bob Thiele and George David Weiss, sung by Louis Armstrong

"It's gonna be cold, it's gonna be grey and it's gonna last you for the rest of your life."

-Weatherman Phil Connors played by Bill Murray in "Groundhog Day"

Turn on the TV today, and on one news channel, a Democratic spokesperson is saying how stupid the Republicans are, and on the other, a Republican is saying the same about Democrats. The political division is as stark as I've ever seen. And it's affecting investor outlooks for the economy and the stock market. A decade ago, it seemed like 40 percent of the population was reluctant to believe that President Obama could lead the country out of the Great Recession, and today, it seems like 40 percent don't want to believe that the economy has grown even faster under President Trump. At Oakmark, we take the view that economic forces are stronger than political ones, which gives us the luxury of largely ignoring politics when making long-term forecasts for the businesses we own.

For those who believe political forces trump those that are economic (pardon the pun), political beliefs form the foundation for expectations regarding the economy and the stock market. So, like the news channels, a typical CNBC panel has one investor projecting a strong stock market due to the benefits of lower corporate taxes and another projecting a weak market because of tariffs that will reduce global trade. We've heard the partisan talking points so many times that we could finish their sentences.

In the past two quarterly commentaries, I've focused on the reasons our portfolios underperformed in 2018 and why we were, and still are, excited about the values in our portfolios in 2019. But as we discussed those commentaries with shareholders, we learned that they were struggling with a more basic question: "Why should we even invest in stocks?"

After a recent CNBC interview where I outlined our positive long-term case for equities, an investor protested, "Of course you're bullish; you've always been bullish on the stock market." And that's largely true. Our position at Oakmark, consistent with historical returns by asset class, is that stocks will produce the highest long-term returns. Therefore, the only market timing that investors can reliably benefit from is periodic rebalancing—moving portfolios back to their target asset allocations after the market has moved them away. But the investor's comment implied that we deserve no credit for being positive on the long-term outlook for stocks unless we are also sometimes negative.

Standard and Poor's has performance data going back to 1926—first, as the S&P Composite of 90 stocks, and, since 1957, the S&P 5001, which has become the standard measure of stock market performance. Since 1926, stocks have produced a positive return in nearly three-quarters of years—73%, to be exact.

Consider a gambling analogy: A roulette wheel has 18 black and 18 red numbers, so after enough spins, each color comes up equally. If an "investment advisor" was always suggesting to invest in black, it would be fair to be dismissive of that advice. But what if a roulette wheel had 26 black numbers and only 10 red, and the payout was the same on both colors?

The roulette ball randomly landing on red one-quarter of the time wouldn't mean the advisor should suggest investing in red one-quarter of the time. The right advice would be to invest in black as often as the casino would allow. Yet despite the stock market performing like the lopsided roulette wheel, investors, advisors and the media still create a constant flow of bearish advice, saying that now is the time to bet red because the market is going to decline.

Let's go deeper into the 93 years of S&P return data and take the perspective of a truly long-term investor. Ignore politics, next week's Fed meeting and first quarter's slowing earnings growth, and instead look at investing for real world, long-term personal financial needs. Consider a young couple who is thinking of having children and saving for college, or imagine a 40-year old worker saving for retirement. These are goals that require a 25-year timeframe. So let's look past the short-term noise and examine stock market performance over that period.

If we consider an investment at the beginning of each year, 93 years of data creates 69 twenty-five year periods to examine. Investors in January of 1929 fared the worst, immediately enduring four consecutive down years (an event which, thankfully, has not been repeated), resulting in their initial capital declining by nearly two-thirds. But by the end of 1953, those investors not only recouped their losses, but amassed more than four times their initial investment. And remember, that was the worst 25-year period. The median result of buying and holding for 25 years was a 12-fold increase in capital, the mean was almost 16-fold and the best, with an initial investment in 1975, ended with more than 53 times the original capital.

Despite those amazing numbers, market timers consistently try to guess when to sell equities. To us, that's a losing battle given the market had a positive return about three-quarters of the time. One of the arguments we hear for selling stocks today is that it has been "too good" since the market bottom in 2009. According to that version of history, investors who enjoyed a decade-long rally without having to endure a bear market have become oblivious to the risks of owning equities and are ill-prepared for an inevitable downturn. This thinking doesn't influence our

See accompanying Disclosures and Endnotes on page 84.

2 OAKMARK FUNDS



Oakmark and Oakmark Select Funds  March 31, 2019

Portfolio Manager Commentary (continued)

investment decisions, but it's something we hear so often, I think it is worth addressing.

Market historians generally define a "correction" as a 10% decline in the S&P 500 and a "bear market" as 20%. Using those definitions, a correction occurs about once every two years and a bear market every five years. A 10-year run without a bear market is nearly unprecedented, so they believe we are due.

But have investors really enjoyed 10 consecutive years of smooth sailing? In 2011, the S&P 500 lost 19.4% from its close on April 29 to its close on October 3. The decline was just a fraction of a percent short of meeting the standard definition of a bear market. But from the intraday2 high in May to the intraday low in October, the loss was 21.2%. Additionally, over 50% of the stocks in the S&P 500 declined by over 20%, and small-cap stocks performed even worse. To most investors, it seemed like a bear market.

Last year, the S&P 500 lost 19.8% from September 20 through Christmas Eve, and measured from September's highest intraday peak to December's lowest intraday trough, it lost 20.2%. As in 2011, more than half of the stocks in the S&P 500 lost over 20% of their value, and again, small caps performed even worse.

When the historians go to the replay booth, they might decide we had two bear markets over this decade, which would be consistent with history. But whatever labels they use doesn't really matter. I've been in the investment business for 38 years, and those steep declines felt like bear markets to me. Further, mutual fund investors behaved as they typically behave in bear markets: Instead of rebalancing—buying stocks to restore their equity allocation—they sold stocks that had already declined, further reducing their exposure to equities. Granted, it wasn't as bleak as the bear market of 2008-09, and investors didn't redeem their funds as aggressively. But just as a normal recession isn't as deep as the Great Recession, a normal bear market isn't as severe as was 2008-09. Have times been "too good" for the past decade? We sure don't think so.

Spring is a great time to be in Chicago. Trees turn green, baseball returns to Wrigley Field and unlike Bill Murray in "Groundhog Day," we realize the long grey winter isn't going to last forever. At Oakmark, we don't have an opinion about how equities will perform this year, if a recession will start or if the political parties will produce pro-growth candidates for 2020. As long-term investors, we don't think it matters. P/E ratios3 look to be in a normal range and GDP doesn't look extended relative to its trend line. That makes it hard to argue that equities are crazily priced, and gives us confidence that returns in the future should rhyme with the past. We fully expect that investors who buy equities in 2019 and hold them for 25 years will look back and be pleased with their decision.

See accompanying Disclosures and Endnotes on page 84.

Oakmark.com 3



Oakmark Fund  March 31, 2019

Summary Information

VALUE OF A $10,000 INVESTMENT

Since Inception - 08/05/91 (Unaudited)

PERFORMANCE

   

 

Average Annual Total Returns (as of 03/31/19)

 

 
(Unaudited)   Total Return
Last 3 Months
 

1-year

 

3-year

 

5-year

 

10-year

  Since
Inception
  Inception
Date
 

Oakmark Fund (Investor Class)

   

12.83

%

   

-0.66

%

   

12.41

%

   

8.13

%

   

16.47

%

   

12.36

%

 

08/05/91

 

S&P 500 Index

   

13.65

%

   

9.50

%

   

13.51

%

   

10.91

%

   

15.92

%

   

9.71

%

 

 

Dow Jones Industrial Average4

   

11.81

%

   

10.09

%

   

16.37

%

   

12.21

%

   

15.97

%

   

10.73

%

 

 

Lipper Large Cap Value Fund Index5

   

11.61

%

   

5.63

%

   

11.38

%

   

7.81

%

   

13.67

%

   

8.76

%

 

 

Oakmark Fund (Advisor Class)

   

12.85

%

   

-0.54

%

   

N/A

     

N/A

     

N/A

     

8.73

%

 

11/30/16

 

Oakmark Fund (Institutional Class)

   

12.88

%

   

-0.48

%

   

N/A

     

N/A

     

N/A

     

8.77

%

 

11/30/16

 

Oakmark Fund (Service Class)

   

12.74

%

   

-0.93

%

   

12.10

%

   

7.80

%

   

16.12

%

   

7.94

%

 

04/05/01

 

The graph and table above do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or the redemption of Fund shares.

Past performance is no guarantee of future results. The performance data quoted represents past performance. Current performance may be lower or higher than the performance data quoted. Total return includes change in share prices and, in each case, includes reinvestment of dividends and capital gain distributions. The investment return and principal value vary so that an investor's shares, when redeemed, may be worth more or less than the original cost. To obtain the most recent month-end performance, please visit Oakmark.com.

TOP TEN EQUITY HOLDINGS6

 

% of Net Assets

 

Alphabet, Inc., Class C

 

3.6

   

Citigroup, Inc.

 

3.3

   

Netflix, Inc.

 

3.2

   

Apple, Inc.

 

2.9

   

Bank of America Corp.

 

2.9

   

General Electric Co.

 

2.8

   

Regeneron Pharmaceuticals, Inc.

 

2.6

   

Ally Financial, Inc.

 

2.6

   

Capital One Financial Corp.

 

2.5

   

Comcast Corp., Class A

 

2.5

   

FUND STATISTICS

 

Ticker*

 

OAKMX

 

Number of Equity Holdings

 

53

 

Net Assets

 

$18.2 billion

 

Weighted Average Market Cap

 

$144.2 billion

 

Median Market Cap

 

$44.8 billion

 

Gross Expense Ratio - Investor Class (as of 09/30/18)*

 

0.89%

 

Net Expense Ratio - Investor Class (as of 09/30/18)*†

 

0.85%

 

*  This information is related to the Investor Class. Please visit Oakmark.com for information related to the Advisor, Institutional and Service Classes.

†  The net expense ratio reflects a contractual advisory fee waiver agreement through January 27, 2020.

SECTOR ALLOCATION

  % of Net Assets  

Financials

   

25.2

   

Information Technology

   

16.8

   

Communication Services

   

15.0

   

Consumer Discretionary

   

12.5

   

Industrials

   

10.5

   

Health Care

   

6.6

   

Energy

   

6.1

   

Consumer Staples

   

1.3

   

Short-Term Investments and Other

   

6.0

   

See accompanying Disclosures and Endnotes on page 84.

4 OAKMARK FUNDS



Oakmark Fund  March 31, 2019

Portfolio Manager Commentary

William C. Nygren, CFA

Portfolio Manager

oakmx@oakmark.com

Kevin Grant, CFA

Portfolio Manager

oakmx@oakmark.com

After a very difficult 2018 for the Oakmark Fund and the S&P 5001, the market shrugged off many of the uncertainties surrounding interest rates, a trade war and slowing global growth during the first quarter of 2019. For the first quarter, the Oakmark Fund was up 13%, which trailed the S&P 500's 14% gain. Despite this near-term bounce back, we continue to believe that our portfolio of stocks remains attractively valued, following a period in 2018 in which stock prices underperformed business fundamentals. As always, our investment process focuses on long-term business value and is not influenced by short-term volatility in share prices.

During the quarter, we added two new names to the portfolio (see below) and we eliminated positions in Aon, Bristol-Myers Squibb, Diageo, Flex Ltd. and Unilever. We generally sell stocks when they appreciate toward our estimate of intrinsic value or when new information proves our investment thesis to be incorrect. This quarter, we had some of each. Diageo outperformed the S&P 500 in 2018 and year to date in 2019, and we sold our position when the share price approached our estimate of intrinsic value. Aon and Unilever were also sold as they approached our estimate of intrinsic value. We sold Flex after the company announced disappointing progress in its consumer electronics segment and the termination of its partnership with Nike. These developments lowered our estimate of intrinsic value, making the stock's return potential less competitive with the rest of the portfolio and other potential additions. Bristol-Myers was sold after the company announced an acquisition that we believe was sub-optimal, signaling a reduction in the value of their core business.

Our best contributing sectors during the first quarter were financials and information technology, which were the two largest sectors in our portfolio. General Electric and Netflix were our best individual contributors for the quarter with total returns of 39% and 33%, respectively. After a long period of disappointing results at General Electric, we were pleased to see the new management team take steps to improve the company's balance sheet and remove additional layers of uncertainty. Our lowest contributing sectors for the quarter were health care and consumer staples, and our worst contributing individual securities were CVS Health and Qurate Retail with returns of –17% and –18%, respectively.

Constellation Brands, Inc. (STZ-$175.33)

Constellation Brands is the top imported beer company in the U.S. and one of the world's leading wine producers. We believe that the company's valuation is compelling due to its robust long-term growth outlook of its strong brands within both beer and wine. Over the past five years, Constellation's beer segment—which includes brands such as Corona, Modelo and Pacifico, among others—has grown its sales volume and revenue at a 10% and 12% CAGR7, respectively. The company was

able to accomplish this impressive growth during a period when industry volume growth remained relatively flat. Despite a market-leading medium-term growth outlook that calls for high single-digit revenue growth within its beer segment and low-to-mid single-digit growth within its wine and spirits portfolio, Constellation trades at a meaningful discount to other consumer packaged goods companies that are experiencing slow to no growth. In addition to its portfolio of brands within beer, wine and spirits, the company has established a strategic partnership and large ownership stake in the world's largest publicly traded cannabis company, Canopy Growth Group. We believe this partnership positions Constellation to potentially become one of the bigger beneficiaries in a category that some project could exceed $200 billion in global demand over the next 10 to 15 years. On our one-year forward earnings estimate, Constellation trades in line with the earnings multiple for the overall market without giving the company any value for its significant stake in Canopy. We believe this presents an opportunity to invest in an above-average business at just an average price.

S&P Global, Inc. (SPGI-$210.55)

S&P Global is a collection of businesses that provides ratings and benchmarks that are essential to financial markets around the world. Bonds that are issued with an S&P rating pay meaningfully less in interest per year, which generates savings for debt issuers far in excess of the cost of the rating. Also, ETFs and mutual funds tied to S&P Global's indexes, especially the S&P 500, are gaining market share in the fast-growing passive investing market. And S&P Global's data and analytics services provide unique insights that help customers make critical decisions across their businesses. Each of S&P Global's segments share the common characteristic of providing value for customers that is much greater than the prices they charge. As a result, S&P Global is able to raise prices and generate above-average earnings growth. Indeed, over the past five years, S&P Global has grown its earnings per share by over 20% annually, while returning over 100% of free cash flow to shareholders. We believe S&P Global is an exceptional company with a long runway for growth, trading at a price that is below our estimate of intrinsic value.

See accompanying Disclosures and Endnotes on page 84.

Oakmark.com 5



Oakmark Fund  March 31, 2019 (Unaudited)

Schedule of Investments (in thousands)

   

Shares

 

Value

 

COMMON STOCKS - 94.0%

 

FINANCIALS - 25.2%

 

DIVERSIFIED FINANCIALS - 15.2%

 

Ally Financial, Inc.

   

16,905

   

$

464,718

   

Capital One Financial Corp.

   

5,663

     

462,594

   

The Charles Schwab Corp.

   

9,600

     

410,496

   

State Street Corp.

   

6,200

     

408,022

   

The Bank of New York Mellon Corp.

   

6,920

     

348,957

   

Moody's Corp.

   

1,506

     

272,807

   

The Goldman Sachs Group, Inc.

   

1,105

     

212,149

   

S&P Global, Inc.

   

862

     

181,427

   
         

2,761,170

   

BANKS - 8.2%

 

Citigroup, Inc.

   

9,530

     

592,957

   

Bank of America Corp.

   

19,000

     

524,210

   

Wells Fargo & Co.

   

7,910

     

382,211

   
         

1,499,378

   

INSURANCE - 1.8%

 

American International Group, Inc.

   

7,655

     

329,638

   
         

4,590,186

   

INFORMATION TECHNOLOGY - 16.8%

 

SOFTWARE & SERVICES - 8.1%

 

Mastercard, Inc., Class A

   

1,520

     

357,884

   

Visa, Inc., Class A

   

1,935

     

302,227

   

Automatic Data Processing, Inc.

   

1,870

     

298,714

   

Gartner, Inc. (a)

   

1,800

     

273,024

   

DXC Technology Co.

   

3,900

     

250,809

   
         

1,482,658

   

TECHNOLOGY HARDWARE & EQUIPMENT - 5.1%

 

Apple, Inc.

   

2,787

     

529,391

   

TE Connectivity, Ltd.

   

4,936

     

398,553

   
         

927,944

   

SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT - 3.6%

 

Intel Corp.

   

6,755

     

362,744

   

Texas Instruments, Inc.

   

2,720

     

288,510

   
         

651,254

   
         

3,061,856

   

COMMUNICATION SERVICES - 15.0%

 

MEDIA & ENTERTAINMENT - 15.0%

 

Alphabet, Inc., Class C (a)

   

558

     

655,007

   

Netflix, Inc. (a) (b)

   

1,624

     

579,053

   

Comcast Corp., Class A

   

11,438

     

457,307

   

Charter Communications, Inc., Class A (a)

   

1,200

     

416,292

   

Facebook, Inc., Class A (a)

   

2,113

     

352,266

   

News Corp., Class A

   

16,121

     

200,547

   

Alphabet, Inc., Class A (a)

   

53

     

62,485

   
         

2,722,957

   
   

Shares

 

Value

 

CONSUMER DISCRETIONARY - 12.5%

 

AUTOMOBILES & COMPONENTS - 5.6%

 

Fiat Chrysler Automobiles N.V. (a)

   

28,160

   

$

418,178

   

General Motors Co.

   

9,650

     

358,015

   

Aptiv PLC

   

2,200

     

174,878

   

Delphi Technologies PLC

   

3,733

     

71,903

   
         

1,022,974

   

RETAILING - 4.3%

 

Booking Holdings, Inc. (a)

   

195

     

340,258

   

eBay, Inc.

   

6,500

     

241,410

   

Qurate Retail, Inc. (a)

   

12,115

     

193,604

   
         

775,272

   

CONSUMER SERVICES - 2.6%

 

MGM Resorts International

   

9,400

     

241,204

   

Hilton Worldwide Holdings, Inc.

   

2,779

     

230,971

   
         

472,175

   
         

2,270,421

   

INDUSTRIALS - 10.5%

 

CAPITAL GOODS - 7.9%

 

General Electric Co.

   

51,460

     

514,085

   

Parker-Hannifin Corp.

   

2,439

     

418,626

   

Cummins, Inc.

   

1,720

     

271,536

   

Caterpillar, Inc.

   

1,750

     

237,108

   
         

1,441,355

   

TRANSPORTATION - 2.6%

 

American Airlines Group, Inc.

   

8,278

     

262,903

   

FedEx Corp.

   

1,130

     

204,993

   
         

467,896

   
         

1,909,251

   

HEALTH CARE - 6.6%

 

HEALTH CARE EQUIPMENT & SERVICES - 4.0%

 

CVS Health Corp.

   

6,094

     

328,648

   

HCA Healthcare, Inc.

   

1,494

     

194,826

   

Baxter International, Inc.

   

2,350

     

191,078

   
         

714,552

   

PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES - 2.6%

 

Regeneron Pharmaceuticals, Inc. (a)

   

1,162

     

477,057

   
         

1,191,609

   

ENERGY - 6.1%

 

Apache Corp.

   

10,640

     

368,775

   

Anadarko Petroleum Corp.

   

6,361

     

289,285

   

Halliburton Co.

   

5,800

     

169,940

   

National Oilwell Varco, Inc.

   

5,929

     

157,946

   

Chesapeake Energy Corp. (a)

   

40,000

     

124,000

   
         

1,109,946

   

See accompanying Notes to Financial Statements.

6 OAKMARK FUNDS



Oakmark Fund  March 31, 2019 (Unaudited)

Schedule of Investments (in thousands) (continued)

   

Shares

 

Value

 

COMMON STOCKS - 94.0% (continued)

 

CONSUMER STAPLES - 1.3%

 

FOOD, BEVERAGE & TOBACCO - 1.3%

 

Constellation Brands, Inc., Class A

   

1,350

   

$

236,696

   
TOTAL COMMON STOCKS - 94.0%
(COST $11,586,400)
       

17,092,922

   
   

Par Value

 

Value

 

SHORT-TERM INVESTMENTS - 7.9%

 

GOVERNMENT AND AGENCY SECURITIES - 4.8%

 
Federal National Mortgage Association,
2.31%, due 04/01/19 (c)
 

$

800,000

     

800,000

   
Federal Home Loan Bank,
2.28%, due 04/01/19 (c)
   

75,000

     

75,000

   
Total Government and Agency
Securities - 4.8%
(Cost $875,000)
       

875,000

   

U.S. GOVERNMENT BILLS - 2.8%

 
United States Treasury Bill,
2.41%, due 04/02/19 (c)
(Cost $499,967)
   

500,000

     

499,967

   

REPURCHASE AGREEMENT - 0.3%

 
Fixed Income Clearing Corp. Repurchase
Agreement, 1.50% dated 03/29/19
due 04/01/19, repurchase price
$62,557, collateralized by a
United States Treasury Note,
2.500% due 02/15/22, value
plus accrued interest of $63,802
(Cost: $62,549)
   

62,549

     

62,549

   
TOTAL SHORT-TERM INVESTMENTS - 7.9%
(COST $1,437,516)
       

1,437,516

   
TOTAL INVESTMENTS - 101.9%
(COST $13,023,916)
       

18,530,438

   

Foreign Currencies (Cost $0) - 0.0% (d)

       

0

(e)

 

Liabilities In Excess of Other Assets - (1.9)%

       

(349,141

)

 

TOTAL NET ASSETS - 100.0%

     

$

18,181,297

   

(a)  Non-income producing security

(b)  All or a portion of this investment is held in connection with one or more holdings with the Fund.

(c)  The rate shown represents the annualized yield at the time of purchase; not a coupon rate.

(d)  Amount rounds to less than 0.1%.

(e)  Amount rounds to less than $1,000.

See accompanying Notes to Financial Statements.

Oakmark.com 7



Oakmark Fund  March 31, 2019 (Unaudited)

Schedule of Investments (in thousands) (continued)

WRITTEN OPTIONS

Description   Exercise
Price
  Expiration
Date
  Number of
Contracts
  Notional
Amount
  Market
Value
  Premiums
(Received)
by Fund
  Unrealized
Gain/(Loss)
 

CALLS

 

Netflix, Inc.

 

$

390.00

   

09/20/2019

   

(800

)

 

$

(28,525

)

 

$

(2,026

)

 

$

(2,569

)

 

$

543

   

Netflix, Inc.

   

385.00

   

06/21/2019

   

(1,200

)

   

(42,787

)

   

(1,758

)

   

(3,565

)

   

1,807

   

Netflix, Inc.

   

370.00

   

06/21/2019

   

(800

)

   

(28,525

)

   

(1,634

)

   

(2,227

)

   

593

   

Netflix, Inc.

   

400.00

   

09/20/2019

   

(500

)

   

(17,828

)

   

(1,108

)

   

(1,558

)

   

450

   
               

$

(117,665

)

 

$

(6,526

)

 

$

(9,919

)

 

$

3,393

   

See accompanying Notes to Financial Statements.

8 OAKMARK FUNDS



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Oakmark.com 9



Oakmark Select Fund  March 31, 2019

Summary Information

VALUE OF A $10,000 INVESTMENT

Since Inception - 11/01/96 (Unaudited)

PERFORMANCE

   

 

Average Annual Total Returns (as of 03/31/19)

 

 
(Unaudited)   Total Return
Last 3 Months
 

1-year

 

3-year

 

5-year

 

10-year

  Since
Inception
  Inception
Date
 

Oakmark Select Fund (Investor Class)

   

13.47

%

   

-11.30

%

   

6.40

%

   

3.84

%

   

14.75

%

   

11.39

%

 

11/01/96

 

S&P 500 Index

   

13.65

%

   

9.50

%

   

13.51

%

   

10.91

%

   

15.92

%

   

8.44

%

 

 

Lipper Multi-Cap Value Fund Index8

   

12.13

%

   

0.83

%

   

8.74

%

   

5.88

%

   

12.97

%

   

7.34

%

 

 

Oakmark Select Fund (Advisor Class)

   

13.48

%

   

-11.17

%

   

N/A

     

N/A

     

N/A

     

0.69

%

 

11/30/16

 

Oakmark Select Fund (Institutional Class)

   

13.50

%

   

-11.13

%

   

N/A

     

N/A

     

N/A

     

0.72

%

 

11/30/16

 

Oakmark Select Fund (Service Class)

   

13.35

%

   

-11.51

%

   

6.10

%

   

3.53

%

   

14.41

%

   

8.14

%

 

12/31/99

 

The graph and table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or the redemption of Fund shares.

Past performance is no guarantee of future results. The performance data quoted represents past performance. Current performance may be lower or higher than the performance data quoted. Total return includes change in share prices and, in each case, includes reinvestment of dividends and capital gain distributions. The investment return and principal value vary so that an investor's shares, when redeemed, may be worth more or less than the original cost. To obtain the most recent month-end performance, please visit Oakmark.com.

TOP TEN EQUITY HOLDINGS6

 

% of Net Assets

 

Alphabet, Inc., Class C

 

10.4

   

CBRE Group, Inc., Class A

 

8.8

   

Ally Financial, Inc.

 

6.5

   

Citigroup, Inc.

 

6.4

   

TE Connectivity, Ltd.

 

6.2

   

Fiat Chrysler Automobiles N.V.

 

5.5

   

Bank of America Corp.

 

4.7

   

General Electric Co.

 

4.5

   

Netflix, Inc.

 

4.4

   

Charter Communications, Inc., Class A

 

4.2

   

FUND STATISTICS

 

Ticker*

 

OAKLX

 

Number of Equity Holdings

  22  

Net Assets

  $4.7 billion  

Weighted Average Market Cap

  $145.5 billion  

Median Market Cap

  $28.0 billion  

Gross Expense Ratio - Investor Class (as of 09/30/18)*

  1.04%  

Net Expense Ratio - Investor Class (as of 09/30/18)*†

  0.97%  

*  This information is related to the Investor Class. Please visit Oakmark.com for information related to the Advisor, Institutional and Service Classes.

†  The net expense ratio reflects a contractual advisory fee waiver agreement through January 27, 2020.

SECTOR ALLOCATION

  % of Net Assets  

Financials

   

25.3

   

Communication Services

   

18.9

   

Consumer Discretionary

   

15.7

   

Information Technology

   

9.0

   

Real Estate

   

8.8

   

Industrials

   

8.1

   

Energy

   

7.0

   

Health Care

   

3.8

   

Short-Term Investments and Other

   

3.4

   

See accompanying Disclosures and Endnotes on page 84.

10 OAKMARK FUNDS



Oakmark Select Fund  March 31, 2019

Portfolio Manager Commentary

William C. Nygren, CFA

Portfolio Manager

oaklx@oakmark.com

Anthony P. Coniaris, CFA

Portfolio Manager

oaklx@oakmark.com

Win Murray

Portfolio Manager

oaklx@oakmark.com

The Oakmark Select Fund was up 13.5% for the quarter, very modestly trailing the S&P 5001 Index's 13.7% return. After a punishing December 2018, our portfolio reversed sharply in January (and was, in fact, up almost 15% that month alone, compared to 8% for the S&P 500). February and March felt like a continuation of December in our industrial and consumer discretionary investments, while our energy stocks continued to do well.

Our best performer in the quarter, up 36%, was Apache. The company reported great results during the quarter and it is growing production more than expected, despite spending less on capital expenditures than had been forecasted. This is a great combination of factors for a company in the energy sector, which is notorious for capital inefficiency, and we believe it should lead to excellent cash flows over time. Despite the stock's rally, we still believe it remains quite inexpensive.

Our largest contributor to performance was CBRE Group, up 23% (one of nine stocks in the Fund up 20% or more this quarter). The company is performing exceptionally well due to strong revenue growth across business lines and geographies, margin expansion, and a new share repurchase program. We believe CBRE will continue to benefit from positive trends within the real estate sector and also from its widening competitive moat. Yet its stock is still trading for only 13x 2019 earnings per share (EPS) estimates.

Our worst performer and largest detractor in the quarter, down 18%, was Qurate Retail. The stock dropped sharply on its earnings report in late February as the HSN acquisition has, thus far, produced disappointing results while various international QVC assets underperformed. We believe the stock looks very inexpensive at the current $16 price as share repurchases and expected HSN synergies alone should drive EPS (plus amortization) comfortably above $2 in 2019.

Our only other portfolio holding to decline in the quarter was American Airlines, which dropped 3% on continued concerns about a possible economic slowdown. With the stock trading at 5x 2019 EPS estimates and with the industry consolidation having produced what appears to be a more rational capacity and pricing backdrop, we believe such concerns are currently over discounted.

We did not initiate or eliminate any positions during the quarter, other than receiving a small amount of Wabtec shares as a spin-off from GE, which we subsequently sold.

Thank you, our fellow shareholders, for your continued investment in our Fund.

See accompanying Disclosures and Endnotes on page 84.

Oakmark.com 11



Oakmark Select Fund  March 31, 2019 (Unaudited)

Schedule of Investments (in thousands)

   

Shares

 

Value

 

COMMON STOCKS - 96.6%

 

FINANCIALS - 25.3%

 

BANKS - 11.1%

 

Citigroup, Inc.

   

4,812

   

$

299,403

   

Bank of America Corp.

   

8,001

     

220,736

   
         

520,139

   

DIVERSIFIED FINANCIALS - 10.5%

 

Ally Financial, Inc.

   

11,130

     

305,964

   

Capital One Financial Corp.

   

2,285

     

186,653

   
         

492,617

   

INSURANCE - 3.7%

 

American International Group, Inc.

   

3,995

     

172,034

   
         

1,184,790

   

COMMUNICATION SERVICES - 18.9%

 

MEDIA & ENTERTAINMENT - 18.9%

 

Alphabet, Inc., Class C (a)

   

414

     

485,340

   

Netflix, Inc. (a) (b)

   

576

     

205,450

   

Charter Communications, Inc., Class A (a)

   

564

     

195,657

   
         

886,447

   

CONSUMER DISCRETIONARY - 15.7%

 

AUTOMOBILES & COMPONENTS - 7.8%

 

Fiat Chrysler Automobiles N.V. (a)

   

17,434

     

258,896

   

Lear Corp.

   

800

     

108,568

   
         

367,464

   

CONSUMER SERVICES - 4.9%

 

MGM Resorts International

   

5,147

     

132,072

   

Hilton Worldwide Holdings, Inc.

   

1,166

     

96,946

   
         

229,018

   

RETAILING - 3.0%

 

Qurate Retail, Inc. (a)

   

8,689

     

138,853

   
         

735,335

   

INFORMATION TECHNOLOGY - 9.0%

 

TECHNOLOGY HARDWARE & EQUIPMENT - 6.2%

 

TE Connectivity, Ltd.

   

3,573

     

288,514

   

SOFTWARE & SERVICES - 2.8%

 

Mastercard, Inc., Class A

   

564

     

132,794

   
         

421,308

   

REAL ESTATE - 8.8%

 

CBRE Group, Inc., Class A (a)

   

8,348

     

412,784

   

INDUSTRIALS - 8.1%

 

CAPITAL GOODS - 4.5%

 

General Electric Co.

   

21,200

     

211,788

   

TRANSPORTATION - 3.6%

 

American Airlines Group, Inc.

   

5,240

     

166,422

   
         

378,210

   
   

Shares

 

Value

 

ENERGY - 7.0%

 

Apache Corp.

   

5,149

   

$

178,456

   

Anadarko Petroleum Corp.

   

2,312

     

105,141

   

Weatherford International PLC (a) (c)

   

67,000

     

46,766

   
         

330,363

   

HEALTH CARE - 3.8%

 

PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES - 3.8%

 

Regeneron Pharmaceuticals, Inc. (a)

   

430

     

176,567

   
TOTAL COMMON STOCKS - 96.6%
(COST $2,898,314)
       

4,525,804

   
   

Par Value

 

Value

 

SHORT-TERM INVESTMENTS - 3.5%

 

GOVERNMENT AND AGENCY SECURITIES - 2.3%

 
Federal Home Loan Bank,
2.28%, due 04/01/19 (d)
(Cost $110,000)
 

$

110,000

     

110,000

   

REPURCHASE AGREEMENT - 1.2%

 
Fixed Income Clearing Corp. Repurchase
Agreement, 1.50% dated 03/29/19 due
04/01/19, repurchase price $54,188,
collateralized by a United States
Treasury Note, 2.500% due 02/15/22,
value plus accrued interest of $55,265
(Cost: $54,181)
   

54,181

     

54,181

   
TOTAL SHORT-TERM INVESTMENTS - 3.5%
(COST $164,181)
       

164,181

   
TOTAL INVESTMENTS - 100.1%
(COST $3,062,495)
       

4,689,985

   

Liabilities In Excess of Other Assets - (0.1)%

       

(3,121

)

 

TOTAL NET ASSETS - 100.0%

     

$

4,686,864

   

(a)  Non-income producing security

(b)  All or a portion of this investment is held in connection with one or more holdings within the Fund.

(c)  See Note 5 in the Notes to Financial Statements regarding investments in affiliated issuers.

(d)  The rate shown represents the annualized yield at the time of purchase; not a coupon rate.

See accompanying Notes to Financial Statements.

12 OAKMARK FUNDS



Oakmark Select Fund  March 31, 2019 (Unaudited)

Schedule of Investments (in thousands) (continued)

WRITTEN OPTIONS

Description

  Exercise
Price
  Expiration
Date
  Number of
Contracts
  Notional
Amount
  Market
Value
  Premiums
(Received)
by Fund
  Unrealized
Gain/(Loss)
 

CALLS

 

Netflix, Inc.

 

$

370.00

   

06/21/2019

   

(75

)

 

$

(2,674

)

 

$

(153

)

 

$

(222

)

 

$

69

   

Netflix, Inc.

   

385.00

   

06/21/2019

   

(225

)

   

(8,023

)

   

(330

)

   

(668

)

   

338

   
               

$

(10,697

)

 

$

(483

)

 

$

(890

)

 

$

407

   

SCHEDULE OF TRANSACTIONS WITH AFFILIATED ISSUERS

Purchase and sale transactions and dividend and interest income earned during the period on these securities are set forth below (in thousands). The industry for the below affiliate can be found in the Schedule of Investments.

Affiliates

  Shares
Held
  Purchases
(Cost)
  Sales
(Proceeds)
  Realized
Gain/(Loss)
  Change in
Unrealized
  Dividend
Income
  Value
September 30,
2018
  Value
March 31,
2019
  Percent of
Net Assets
 
Weatherford
International PLC
   

67,000

   

$

36,850

   

$

37,733

   

$

(178,678

)

 

$

50,067

   

$

0

   

$

182,601

   

$

46,766

     

1.0

%

 

TOTAL

   

67,000

   

$

36,850

   

$

37,733

   

$

(178,678

)

 

$

50,067

   

$

0

   

$

182,601

   

$

46,766

     

1.0

%

 

See accompanying Notes to Financial Statements.

Oakmark.com 13



Oakmark Equity and Income Fund  March 31, 2019

Summary Information

VALUE OF A $10,000 INVESTMENT

Since Inception - 11/01/95 (Unaudited)

PERFORMANCE

   

 

Average Annual Total Returns (as of 3/31/19)

 

 

(Unaudited)

  Total Return
Last 3 Months
 

1-year

 

3-year

 

5-year

 

10-year

  Since
Inception
  Inception
Date
 

Oakmark Equity and Income Fund (Investor Class)

   

8.78

%

   

1.36

%

   

7.92

%

   

4.89

%

   

9.42

%

   

9.79

%

 

11/01/95

 

Lipper Balanced Fund Index

   

8.50

%

   

4.44

%

   

7.69

%

   

5.81

%

   

10.02

%

   

6.80

%

 

 

S&P 500 Index

   

13.65

%

   

9.50

%

   

13.51

%

   

10.91

%

   

15.92

%

   

9.03

%

 

 

Barclays U.S. Govt./Credit Index

   

3.26

%

   

4.48

%

   

2.12

%

   

2.78

%

   

3.92

%

   

5.09

%

 

 

Oakmark Equity and Income Fund (Advisor Class)

   

8.86

%

   

1.54

%

   

N/A

     

N/A

     

N/A

     

6.70

%

 

11/30/16

 

Oakmark Equity and Income Fund (Institutional Class)

   

8.86

%

   

1.56

%

   

N/A

     

N/A

     

N/A

     

6.73

%

 

11/30/16

 

Oakmark Equity and Income Fund (Service Class)

   

8.71

%

   

1.10

%

   

7.63

%

   

4.58

%

   

9.09

%

   

8.13

%

 

07/12/00

 

The graph and table above do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or the redemption of Fund shares.

Past performance is no guarantee of future results. The performance data quoted represents past performance. Current performance may be lower or higher than the performance data quoted. Total return includes change in share prices and, in each case, includes reinvestment of dividends and capital gain distributions. The investment return and principal value vary so that an investor's shares, when redeemed, may be worth more or less than the original cost. To obtain the most recent month-end performance, please visit Oakmark.com.

TOP TEN EQUITY HOLDINGS6

 

% of Net Assets

 

General Motors Co.

 

5.1

   

Bank of America Corp.

 

5.1

   

TE Connectivity, Ltd.

 

3.9

   

Mastercard, Inc., Class A

 

3.5

   

Nestlé SA

 

3.4

   

Philip Morris International, Inc.

 

2.6

   

Alphabet, Inc., Class C

 

2.5

   

Diageo PLC

 

2.3

   

Citigroup, Inc.

 

2.1

   

CVS Health Corp.

 

2.1

   

FUND STATISTICS

 

Ticker*

  OAKBX  

Number of Equity Holdings

  41  

Net Assets

  $12.8 billion  

Weighted Average Market Cap

  $130.8 billion  

Median Market Cap

  $27.4 billion  

Gross Expense Ratio - Investor Class (as of 09/30/18)*

  0.88%  

Net Expense Ratio - Investor Class (as of 09/30/18)*†

  0.78%  

*  This information is related to the Investor Class. Please visit Oakmark.com for information related to the Advisor, Institutional and Service Classes.

†  The net expense ratio reflects a contractual advisory fee waiver agreement through January 27, 2020.

SECTOR ALLOCATION

  % of Net Assets  

Equity Investments

 

Financials

   

11.6

   

Consumer Discretionary

   

11.6

   

Information Technology

   

8.9

   

Consumer Staples

   

8.3

   

Health Care

   

6.0

   

Communication Services

   

5.2

   

Industrials

   

3.9

   

Energy

   

3.3

   

Materials

   

1.1

   

Real Estate

   

1.0

   

Total Equity Investments

   

60.9

   

Preferred Stocks

   

0.1

   

Fixed Income Investments

 

Corporate Bonds

   

17.6

   

Government and Agency Securities

   

11.8

   

Convertible Bonds

   

0.1

   

Total Fixed Income Investments

   

29.5

   

Short-Term Investments and Other

   

9.5

   

See accompanying Disclosures and Endnotes on page 84.

14 OAKMARK FUNDS



Oakmark Equity and Income Fund  March 31, 2019

Portfolio Manager Commentary

Clyde S. McGregor, CFA

Portfolio Manager

oakbx@oakmark.com

M. Colin Hudson, CFA

Portfolio Manager

oakbx@oakmark.com

Edward J. Wojciechowski, CFA

Portfolio Manager

oakbx@oakmark.com

Is Value Investing Dead?

Historically, value stocks—i.e., those stocks with the lowest price to book11 and lowest trailing sales growth rates—have outperformed their growth brethren. However, in 2007, this trend started to reverse, and growth stocks have outperformed ever since. The reversal has been so sharp that the media and some investors have started to ask if value investing is dead. If one defines value investing as blindly buying a basket of low price to book and low growth stocks, we, too, are skeptical that such an approach will serve investors well over the long term.

We believe that the shift in growth stocks is the result of broader economic changes that have occurred over the past several decades. Companies' budgets used to be heavily weighted toward buying and maintaining plants and equipment. Today, however, research and development (R&D) and marketing are more important. According to Empirical Research Partners, in the 1990s, publicly traded companies spent less than 40 cents of R&D for every dollar they invested in capital expenditures. Now, that number is 63 cents. Companies are maintaining fewer physical assets and focusing more on intangible assets. Because these intangible assets tend not to be captured on a balance sheet at fair value, earnings and book value are less correlated now than ever before.

This shift away from physical assets has implications not only for the balance sheets, but the income statements. That's because accounting practices treat most physical assets as if they depreciate over many years, while marketing and R&D spending are expensed immediately even though, if done efficiently, they will create benefits that last years. In effect, this means that current earnings are often understated for companies that spend wisely on R&D and marketing. The changes to the economy do not mean that book value is now meaningless. It is still a very relevant metric in certain industries—it just isn't as good of an indicator of earnings power as it used to be.

It may appear odd that, for most of history, stocks with lower trailing sales growth rates outperformed. Yet past growth rates were traditionally not very predicative of future growth rates and there was a strong tendency for reversion to the mean. This reversion to the mean was especially problematic for some of the fastest growing companies as investors would often extrapolate high growth rates and push stock valuations to extreme levels, only for the business fundamentals to disappoint. So what has changed? Revenue and earnings growth persistence have improved, especially among some of the largest technology companies whose earnings streams are protected by brand value, patents, technological leadership and network effect—all of which are much more durable advantages than simply having more fixed assets. On the flip side, several industries

(media and retail) have been hurt by the "new economy" and have experienced large value declines. As a result, over the past decade, the returns of the growth and value indexes have been nearly identical on an equal-weighted basis. Large technology stocks have clearly shifted the dynamics for growth investments.

Has this change caused us to drastically overhaul our approach to value investing? Not really. Oakmark has never solely used statistical factors to define value. Instead, we have always done extensive due diligence on each company to estimate intrinsic value. Our analysis has always tried to account for the value of both physical and intangible assets. We also strive to produce earnings and cash flow forecasts that best reflect economic reality, not GAAP accounting. This could mean adding back amortization of intangible assets, adjusting for abnormally high R&D or marketing spending, or valuing a money-losing or an under-earning asset separately. Once we are comfortable that we have estimated intrinsic value to the best of our abilities, we purchase only those securities trading substantially below that estimate. The result is that our analysts find value in a wide range of industries and companies, and the Equity and Income portfolio reflects this.

Quarter and Fiscal Year-to-Date Review

Against a strong market backdrop, the Fund gained 8.8% in the quarter, a modest outperformance, compared to 8.5% for the Lipper Balanced Fund Index9. This strong gain nearly offset a very weak first quarter of the Fund's fiscal year. As a result, the Fund's –1.3% return for the first six months of the fiscal year still trails the Lipper Index's 0.2% mark. But, since inception, Equity and Income's compounded annual rate of return stands at 9.8% versus the Index's 6.8%.

The biggest positive contributors this quarter were Mastercard, Philip Morris International, Bank of America, General Motors and Nestlé, while the biggest detractors were CVS Health, Qurate Retail and Qorvo. On both ends of the spectrum, company-specific factors, rather than any industry or macro themes, drove stock outcomes. For the past six months, General Motors, Nestlé, Diageo, Foot Locker and Philip Morris led, primarily due to healthy consumer trends. Laggards were CVS Health, National Oilwell Varco, Bank of America, Anadarko and Citigroup. The common denominator among these stocks was exposure to the energy and financial industries, which performed poorly at the end of calendar 2018.

See accompanying Disclosures and Endnotes on page 84.

Oakmark.com 15



Oakmark Equity and Income Fund  March 31, 2019

Portfolio Manager Commentary (continued)

Transaction Activity and Asset Allocation

The sole new addition to the portfolio was Booking Holdings, whereas the subtractions were Dover Corporation, Flex Ltd. and Qorvo.

Booking Holdings (formerly known as Priceline) is a pioneer and global leader in the online travel industry. We believe that Booking's strong brands, significant investment expenditures and scale advantages have given it a formidable network effect. Add to that the company's geographic exposures, revenue mix and superior online traffic conversion, and it is clear that Booking has one of the best operating models in the industry. Yet share prices fell after the company issued weaker than expected quarterly guidance due to rising macroeconomic pressures in Europe and the company's increased investment expenditures. Unlike investors focusing on the very short term, we believe Booking's investment spending will enable the company to exceed average market growth rates for the long term. Factoring in the company's net cash and investments, Booking's stock trades at a discount to the market's P/E ratio3, despite the company's superior growth outlook, above-average margin profile and high returns on incremental capital. Therefore, we find Booking stock an attractive investment opportunity.

Dover Corporation is a diversified manufacturer of industrial products. The Fund has owned Dover since 2011, and in that time, the business and the stock have performed reasonably well. The one area that has been disappointing is operating margin progression, which has trailed peers. To address this issue, the board hired respected industry veteran Richard Tobin as CEO. Tobin quickly initiated a significant cost-savings program that produced good early results and further long-term potential. As a result, the stock appreciated to near our estimate of fair value, so we sold our position.

Both Flex Ltd. and Qorvo were small positions for the Fund and their fundamentals fell short of our expectations. Although we still believe both companies are undervalued, we decided to recognize a tax loss and move the proceeds into Booking, which we believe is even more undervalued.

The Fund ended the quarter with an asset allocation of 61% invested in equities and 39% invested in fixed income. The fixed income portion of the Fund consists of 18% corporate bonds, 12% treasuries and treasury inflation protected securities, and 9% discount notes and commercial paper. We have increased the allocation to corporate bonds as they have become more attractive over the past several years due to rising interest rates and periodic spread widening versus treasuries. The duration of the Fund's fixed income securities has increased slightly, but is only a little more than two years. We still do not see enough reward potential in long dated fixed income securities.

As always, we thank our fellow shareholders for investing in the Equity and Income Fund, and we welcome your questions or comments.

See accompanying Disclosures and Endnotes on page 84.

16 OAKMARK FUNDS



Oakmark Equity and Income Fund  March 31, 2019 (Unaudited)

Schedule of Investments (in thousands)

   

Shares

 

Value

 

COMMON STOCKS - 60.9%

 

FINANCIALS - 11.6%

 

BANKS - 7.2%

 

Bank of America Corp.

   

23,855

   

$

658,157

   

Citigroup, Inc.

   

4,360

     

271,260

   
         

929,417

   

DIVERSIFIED FINANCIALS - 3.4%

 

Ally Financial, Inc.

   

8,256

     

226,960

   

The Bank of New York Mellon Corp.

   

2,071

     

104,459

   

State Street Corp.

   

1,551

     

102,084

   
         

433,503

   

INSURANCE - 1.0%

 

American International Group, Inc.

   

3,013

     

129,760

   
         

1,492,680

   

CONSUMER DISCRETIONARY - 11.6%

 

AUTOMOBILES & COMPONENTS - 8.2%

 

General Motors Co.

   

17,782

     

659,722

   

BorgWarner, Inc.

   

5,652

     

217,078

   

Lear Corp.

   

1,316

     

178,653

   
         

1,055,453

   

RETAILING - 2.4%

 

Foot Locker, Inc.

   

3,520

     

213,288

   

Booking Holdings, Inc. (a)

   

38

     

65,783

   

Qurate Retail, Inc. (a)

   

1,705

     

27,253

   
         

306,324

   

CONSUMER DURABLES & APPAREL - 0.5%

 

Carter's, Inc.

   

664

     

66,955

   

CONSUMER SERVICES - 0.5%

 

MGM Resorts International

   

2,351

     

60,332

   
         

1,489,064

   

INFORMATION TECHNOLOGY - 8.9%

 

SOFTWARE & SERVICES - 4.9%

 

Mastercard, Inc., Class A

   

1,920

     

452,064

   

Oracle Corp.

   

2,409

     

129,387

   

CoreLogic, Inc. (a)

   

1,293

     

48,177

   
         

629,628

   

TECHNOLOGY HARDWARE & EQUIPMENT - 4.0%

 

TE Connectivity, Ltd.

   

6,264

     

505,794

   
         

1,135,422

   

CONSUMER STAPLES - 8.3%

 

FOOD, BEVERAGE & TOBACCO - 8.3%

 

Nestlé SA (b)

   

4,522

     

431,066

   

Philip Morris International, Inc.

   

3,802

     

336,023

   

Diageo PLC (b)

   

1,834

     

300,126

   
         

1,067,215

   
   

Shares

 

Value

 

HEALTH CARE - 6.0%

 

HEALTH CARE EQUIPMENT & SERVICES - 5.1%

 

CVS Health Corp.

   

4,911

   

$

264,869

   

UnitedHealth Group, Inc.

   

787

     

194,653

   

HCA Healthcare, Inc.

   

970

     

126,469

   

LivaNova PLC (a)

   

734

     

71,399

   
         

657,390

   

PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES - 0.9%

 

Regeneron Pharmaceuticals, Inc. (a)

   

271

     

111,319

   
         

768,709

   

COMMUNICATION SERVICES - 5.2%

 

MEDIA & ENTERTAINMENT - 5.2%

 

Alphabet, Inc., Class C (a)

   

275

     

322,074

   

Charter Communications, Inc., Class A (a)

   

732

     

254,042

   

Comcast Corp., Class A

   

2,120

     

84,758

   
         

660,874

   

INDUSTRIALS - 3.9%

 

CAPITAL GOODS - 3.0%

 

Johnson Controls International plc

   

3,895

     

143,870

   

Arconic, Inc.

   

6,123

     

117,015

   

Carlisle Cos., Inc.

   

718

     

88,066

   

WESCO International, Inc. (a)

   

682

     

36,131

   
         

385,082

   

TRANSPORTATION - 0.9%

 

American Airlines Group, Inc.

   

3,565

     

113,229

   
         

498,311

   

ENERGY - 3.3%

 

National Oilwell Varco, Inc.

   

6,352

     

169,204

   

Anadarko Petroleum Corp.

   

2,603

     

118,398

   

Apergy Corp. (a)

   

1,772

     

72,769

   

PDC Energy, Inc. (a)

   

1,531

     

62,289

   
         

422,660

   

MATERIALS - 1.1%

 

Glencore PLC

   

35,440

     

146,762

   

REAL ESTATE - 1.0%

 

Gaming and Leisure Properties, Inc. REIT

   

1,833

     

70,684

   

The Howard Hughes Corp. (a)

   

576

     

63,354

   
         

134,038

   
TOTAL COMMON STOCKS - 60.9%
(COST $4,687,712)
       

7,815,735

   

PREFERRED STOCKS - 0.1%

 

FINANCIALS - 0.1%

 
GMAC Capital Trust I (c), 8.47%
(3 mo. USD LIBOR + 5.785%),
   

498

     

12,955

   
TOTAL PREFERRED STOCKS - 0.1%
(COST $13,007)
       

12,955

   

See accompanying Notes to Financial Statements.

Oakmark.com 17



Oakmark Equity and Income Fund  March 31, 2019 (Unaudited)

Schedule of Investments (in thousands) (continued)

   

Par Value

 

Value

 

FIXED INCOME - 29.5%

 

CORPORATE BONDS - 17.6%

 

FINANCIALS - 4.5%

 
Ally Financial, Inc.
3.75%, due 11/18/19
 

$

23,340

   

$

23,398

   
American Express Credit Corp.
2.60%, due 09/14/20
   

2,945

     

2,940

   
American International Group, Inc.
3.30%, due 03/01/21
   

14,665

     

14,757

   
Aon Corp.
5.00%, due 09/30/20
   

14,745

     

15,247

   
Bank of America Corp.
2.151%, due 11/09/20
   

6,970

     

6,902

   

4.45%, due 03/03/26

   

5,000

     

5,211

   
Capital One NA
1.85%, due 09/13/19
   

39,255

     

39,077

   
Citigroup, Inc.
2.45%, due 01/10/20
   

19,910

     

19,866

   

3.40%, due 05/01/26

   

15,000

     

14,911

   

4.05%, due 07/30/22

   

13,338

     

13,736

   
CNO Financial Group, Inc.
4.50%, due 05/30/20
   

9,830

     

9,879

   

5.25%, due 05/30/25

   

5,895

     

6,101

   
Credit Suisse Group AG, 144A
7.50%(USD 5 Year Swap
rate + 4.598%) (c) (d) (e)
   

30,000

     

31,723

   
6.25%(USD 5 Year Swap
rate + 3.455%) (c) (d) (e)
   

7,000

     

6,979

   
Credit Suisse Group Funding Guernsey, Ltd.
3.125%, due 12/10/20
   

25,000

     

25,064

   

3.80%, due 06/09/23

   

14,750

     

14,980

   
E*TRADE Financial Corp.
2.95%, due 08/24/22
   

6,965

     

6,949

   

3.80%, due 08/24/27

   

4,975

     

4,830

   
JPMorgan Chase & Co.
2.972%, due 01/15/23
   

29,765

     

29,753

   
3.514%(3 mo. USD LIBOR + 0.61%),
due 06/18/22 (c)
   

24,870

     

25,217

   
4.009%(3 mo. USD LIBOR + 1.230%),
due 10/24/23 (c)
   

19,910

     

20,209

   
Moody's Corp.
4.50%, due 09/01/22
   

13,040

     

13,709

   

2.625%, due 01/15/23

   

12,201

     

12,023

   

5.50%, due 09/01/20

   

3,780

     

3,922

   
MSCI, Inc., 144A
5.25%, due 11/15/24 (d)
   

24,830

     

25,694

   

5.375%, due 05/15/27 (d)

   

6,965

     

7,365

   

4.75%, due 08/01/26 (d)

   

5,925

     

6,088

   

5.75%, due 08/15/25 (d)

   

2,950

     

3,097

   
Principal Life Global Funding II, 144A
2.15%, due 01/10/20 (d)
   

19,910

     

19,816

   

2.375%, due 11/21/21 (d)

   

6,970

     

6,902

   
Reinsurance Group of America, Inc.
3.95%, due 09/15/26
   

4,905

     

4,937

   
S&P Global, Inc.
4.00%, due 06/15/25
   

17,150

     

18,047

   

2.95%, due 01/22/27

   

9,810

     

9,561

   

4.40%, due 02/15/26

   

1,970

     

2,118

   

3.30%, due 08/14/20

   

1,970

     

1,987

   
   

Par Value

 

Value

 
The Charles Schwab Corp.
3.25%, due 05/21/21
 

$

19,895

   

$

20,145

   
The Goldman Sachs Group, Inc.
2.35%, due 11/15/21
   

14,616

     

14,390

   

3.20%, due 02/23/23

   

7,000

     

7,011

   

2.30%, due 12/13/19

   

6,970

     

6,947

   
4.515%(3 mo. USD LIBOR + 1.750%),
due 10/28/27 (c)
   

2,975

     

3,005

   

2.625%, due 04/25/21

   

2,000

     

1,992

   

2.875%, due 02/25/21

   

1,000

     

1,000

   

2.55%, due 10/23/19

   

980

     

979

   
Wells Fargo & Co.
3.069%, due 01/24/23
   

14,930

     

14,950

   
3.974%(3 mo. USD LIBOR + 1.230%),
due 10/31/23 (c)
   

8,603

     

8,741

   
Wells Fargo Bank NA
3.625%, due 10/22/21
   

10,000

     

10,187

   

2.15%, due 12/06/19

   

9,900

     

9,866

   
         

572,208

   

CONSUMER DISCRETIONARY - 3.7%

 
Amazon.com, Inc.
3.15%, due 08/22/27
   

9,950

     

10,017

   
Booking Holdings, Inc.
3.60%, due 06/01/26
   

14,730

     

14,969

   

3.55%, due 03/15/28

   

9,950

     

9,903

   

2.75%, due 03/15/23

   

6,965

     

6,930

   
BorgWarner, Inc.
4.625%, due 09/15/20
   

10,810

     

11,045

   
Boyd Gaming Corp.
6.00%, due 08/15/26
   

4,975

     

5,099

   
Caesars Resort Collection LLC / CRC
Finco, Inc., 144A
5.25%, due 10/15/25 (d)
   

25,870

     

24,916

   
CCO Holdings LLC / CCO Holdings
Capital Corp., 144A
5.125%, due 05/01/27 (d)
   

250

     

252

   
Charter Communications Operating
LLC / Charter Communications
Operating Capital
3.579%, due 07/23/20
   

29,148

     

29,360

   

4.20%, due 03/15/28

   

9,950

     

9,873

   

4.50%, due 02/01/24

   

2,985

     

3,105

   
Dana, Inc.
6.00%, due 09/15/23
   

3,925

     

4,023

   
Delphi Technologies PLC, 144A
5.00%, due 10/01/25 (d)
   

7,901

     

6,957

   
Dollar Tree, Inc.
3.473% (3 mo. USD LIBOR + 0.700%),
due 04/17/20 (c)
   

6,965

     

6,967

   
EMI Music Publishing Group North
America Holdings, Inc., 144A
7.625%, due 06/15/24 (d)
   

4,910

     

5,205

   
Expedia Group, Inc.
5.00%, due 02/15/26
   

28,360

     

30,025

   
Foot Locker, Inc.
8.50%, due 01/15/22
   

4,340

     

4,774

   
General Motors Co.
4.875%, due 10/02/23
   

41,400

     

43,054

   
General Motors Financial Co., Inc.
3.50%, due 07/10/19
   

4,975

     

4,984

   

See accompanying Notes to Financial Statements.

18 OAKMARK FUNDS



Oakmark Equity and Income Fund  March 31, 2019 (Unaudited)

Schedule of Investments (in thousands) (continued)

   

Par Value

 

Value

 

FIXED INCOME - 29.5% (continued)

 

CORPORATE BONDS - 17.6% (continued)

 
Hyatt Hotels Corp.
4.375%, due 09/15/28
 

$

7,960

   

$

8,138

   

International Game Technology PLC, 144A

 

6.50%, due 02/15/25 (d)

   

19,600

     

20,384

   

6.25%, due 02/15/22 (d)

   

14,800

     

15,373

   

6.25%, due 01/15/27 (d)

   

200

     

205

   
KFC Holding Co/Pizza Hut Holdings
LLC/Taco Bell of America LLC, 144A
 

5.00%, due 06/01/24 (d)

   

1,000

     

1,020

   

5.25%, due 06/01/26 (d)

   

1,000

     

1,009

   
Lear Corp.
5.375%, due 03/15/24
   

20,457

     

21,023

   

5.25%, due 01/15/25

   

11,060

     

11,502

   
Lithia Motors, Inc., 144A
5.25%, due 08/01/25 (d)
   

1,990

     

2,000

   
Marriott International, Inc.
3.60%, due 04/15/24
   

6,960

     

7,020

   

4.00%, due 04/15/28

   

4,975

     

5,036

   
MGM Resorts International
5.75%, due 06/15/25
   

2,985

     

3,089

   
Penn National Gaming, Inc., 144A
5.625%, due 01/15/27 (d)
   

9,950

     

9,676

   
Penske Automotive Group, Inc.
5.50%, due 05/15/26
   

11,343

     

11,173

   

5.375%, due 12/01/24

   

3,580

     

3,562

   
Sands China, Ltd.
5.40%, due 08/08/28
   

5,000

     

5,238

   

5.125%, due 08/08/25

   

3,000

     

3,127

   

4.60%, due 08/08/23

   

2,000

     

2,062

   
Scientific Games International, Inc., 144A
5.00%, due 10/15/25 (d)
   

19,910

     

19,512

   
Starbucks Corp.
3.80%, due 08/15/25
   

9,950

     

10,254

   

4.00%, due 11/15/28

   

2,985

     

3,119

   
Station Casinos LLC, 144A
5.00%, due 10/01/25 (d)
   

1,990

     

1,950

   
Tapestry, Inc.
3.00%, due 07/15/22
   

12,145

     

11,951

   

4.125%, due 07/15/27

   

4,975

     

4,753

   
Tempur Sealy International, Inc.
5.50%, due 06/15/26
   

3,125

     

3,127

   
The Gap, Inc.
5.95%, due 04/12/21
   

1,965

     

2,044

   
The William Carter Co., 144A
5.625%, due 03/15/27 (d)
   

1,750

     

1,809

   
Uber Technologies, Inc., 144A
8.00%, due 11/01/26 (d)
   

11,430

     

12,159

   

7.50%, due 11/01/23 (d)

   

10,000

     

10,425

   
Under Armour, Inc.
3.25%, due 06/15/26
   

12,565

     

11,465

   
Wolverine World Wide, Inc., 144A
5.00%, due 09/01/26 (d)
   

12,140

     

11,776

   
Yum! Brands, Inc.
3.875%, due 11/01/23
   

6,329

     

6,297

   
         

472,736

   
   

Par Value

 

Value

 

HEALTH CARE - 2.3%

 
Abbott Laboratories
2.90%, due 11/30/21
 

$

16,625

   

$

16,695

   
AbbVie, Inc.
3.75%, due 11/14/23
   

6,965

     

7,150

   
Becton Dickinson and Co.
2.675%, due 12/15/19
   

22,756

     

22,683

   

2.133%, due 06/06/19

   

11,828

     

11,812

   

3.30%, due 03/01/23

   

11,204

     

11,093

   
3.476%(3 mo. USD LIBOR + 0.875%),
due 12/29/20 (c)
   

7,463

     

7,464

   

3.363%, due 06/06/24

   

2,985

     

2,985

   

2.894%, due 06/06/22

   

2,985

     

2,971

   
Centene Corp.
4.75%, due 05/15/22
   

20,084

     

20,435

   
CVS Health Corp.
4.00%, due 12/05/23
   

18,198

     

18,700

   

5.00%, due 12/01/24

   

6,880

     

7,331

   

4.75%, due 12/01/22

   

6,880

     

7,236

   

2.25%, due 08/12/19

   

2,884

     

2,877

   
Edwards Lifesciences Corp.
4.30%, due 06/15/28
   

6,965

     

7,305

   
Express Scripts Holding Co.
3.30%, due 02/25/21
   

4,915

     

4,948

   
HCA, Inc.
6.50%, due 02/15/20
   

9,895

     

10,183

   

5.00%, due 03/15/24

   

7,465

     

7,914

   

5.625%, due 09/01/28

   

2,985

     

3,157

   

4.25%, due 10/15/19

   

1,990

     

2,000

   

5.375%, due 09/01/26

   

500

     

527

   
IQVIA, Inc., 144A
5.00%, due 10/15/26 (d)
   

7,800

     

7,980

   
Johnson & Johnson
2.90%, due 01/15/28
   

9,955

     

9,900

   
McKesson Corp.
3.65%, due 11/30/20
   

19,890

     

20,130

   

3.95%, due 02/16/28

   

2,985

     

2,985

   
Quest Diagnostics, Inc.
4.70%, due 04/01/21
   

5,128

     

5,287

   
Thermo Fisher Scientific, Inc.
3.00%, due 04/15/23
   

1,970

     

1,970

   
Universal Health Services, Inc., 144A
4.75%, due 08/01/22 (d)
   

32,695

     

32,981

   

5.00%, due 06/01/26 (d)

   

12,805

     

13,013

   
Zimmer Biomet Holdings, Inc.
4.625%, due 11/30/19
   

10,345

     

10,456

   
3.375%(3 mo. USD LIBOR + 0.750%),
due 03/19/21 (c)
   

4,975

     

4,958

   

3.15%, due 04/01/22

   

3,810

     

3,820

   

3.70%, due 03/19/23

   

2,985

     

3,012

   
         

291,958

   

COMMUNICATION SERVICES - 1.8%

 
Comcast Corp.
3.45%, due 10/01/21
   

9,950

     

10,146

   

3.30%, due 10/01/20

   

9,950

     

10,044

   

3.95%, due 10/15/25

   

4,975

     

5,203

   
Discovery Communications LLC, 144A
2.80%, due 06/15/20 (d)
   

3,930

     

3,913

   

See accompanying Notes to Financial Statements.

Oakmark.com 19



Oakmark Equity and Income Fund  March 31, 2019 (Unaudited)

Schedule of Investments (in thousands) (continued)

   

Par Value

 

Value

 

FIXED INCOME - 29.5% (continued)

 

CORPORATE BONDS - 17.6% (continued)

 
DISH DBS Corp.
5.00%, due 03/15/23
 

$

9,940

   

$

8,946

   
Electronic Arts, Inc.
4.80%, due 03/01/26
   

19,655

     

21,110

   

3.70%, due 03/01/21

   

14,740

     

14,979

   
Intelsat Jackson Holdings SA, 144A
8.00%, due 02/15/24 (d)
   

26,069

     

27,177

   
Live Nation Entertainment, Inc., 144A
4.875%, due 11/01/24 (d)
   

14,935

     

15,028

   

5.375%, due 06/15/22 (d)

   

6,975

     

7,062

   

5.625%, due 03/15/26 (d)

   

4,975

     

5,137

   
Netflix, Inc.
4.875%, due 04/15/28
   

31,840

     

31,522

   

5.875%, due 02/15/25

   

11,940

     

12,903

   

5.375%, due 02/01/21

   

1,990

     

2,066

   
Netflix, Inc., 144A
5.875%, due 11/15/28 (d)
   

6,965

     

7,357

   

6.375%, due 05/15/29 (d)

   

2,985

     

3,227

   

Omnicom Group, Inc. / Omnicom Capital, Inc.

 

3.625%, due 05/01/22

   

30,425

     

30,970

   

6.25%, due 07/15/19

   

2,950

     

2,977

   
Tribune Media Co.
5.875%, due 07/15/22
   

1,000

     

1,021

   
Zayo Group LLC / Zayo Capital, Inc.
6.00%, due 04/01/23
   

14,745

     

14,929

   
         

235,717

   

INDUSTRIALS - 1.6%

 
Bacardi, Ltd., 144A
4.45%, due 05/15/25 (d)
   

14,900

     

15,021

   
BAT Capital Corp.
2.297%, due 08/14/20
   

19,900

     

19,696

   

3.557%, due 08/15/27

   

6,965

     

6,594

   
Delta Air Lines, Inc.
3.40%, due 04/19/21
   

11,590

     

11,637

   

3.80%, due 04/19/23

   

9,425

     

9,524

   
Fortune Brands Home & Security, Inc.
4.00%, due 06/15/25
   

13,430

     

13,714

   

4.00%, due 09/21/23

   

9,945

     

10,219

   
General Electric Co.
5.00% (3 mo. USD LIBOR +
3.330%) (c) (e)
   

12,430

     

11,610

   
Hilton Domestic Operating Co., Inc., 144A
5.125%, due 05/01/26 (d)
   

16,915

     

17,199

   
Southwest Airlines Co.
2.65%, due 11/05/20
   

12,148

     

12,129

   
Stanley Black & Decker, Inc.
4.25%, due 11/15/28
   

6,965

     

7,482

   
Union Pacific Corp.
3.75%, due 07/15/25
   

9,950

     

10,346

   

3.50%, due 06/08/23

   

6,965

     

7,140

   

3.20%, due 06/08/21

   

6,965

     

7,035

   
United Technologies Corp.
3.65%, due 08/16/23
   

4,975

     

5,107

   

3.95%, due 08/16/25

   

1,990

     

2,067

   

3.35%, due 08/16/21

   

1,990

     

2,017

   
   

Par Value

 

Value

 
USG Corp., 144A
4.875%, due 06/01/27 (d)
 

$

6,965

   

$

7,039

   
Wabtec Corp.
3.911% (3 mo. USD LIBOR + 1.300%),
due 09/15/21 (c)
   

4,975

     

4,969

   
Welbilt, Inc.
9.50%, due 02/15/24
   

4,915

     

5,302

   
WESCO Distribution, Inc.
5.375%, due 06/15/24
   

13,675

     

13,846

   

5.375%, due 12/15/21

   

5,305

     

5,358

   
         

205,051

   

INFORMATION TECHNOLOGY - 1.6%

 
Avnet, Inc.
4.875%, due 12/01/22
   

8,275

     

8,649

   

3.75%, due 12/01/21

   

4,710

     

4,756

   
Broadcom Corp. / Broadcom
Cayman Finance, Ltd.
3.00%, due 01/15/22
   

14,930

     

14,858

   

3.625%, due 01/15/24

   

9,955

     

9,929

   

2.375%, due 01/15/20

   

9,955

     

9,902

   

3.50%, due 01/15/28

   

4,975

     

4,571

   
CDW LLC / CDW Finance Corp.
5.00%, due 09/01/23
   

19,243

     

19,652

   

5.00%, due 09/01/25

   

9,955

     

10,204

   
CommScope Finance LLC, 144A
6.00%, due 03/01/26 (d)
   

3,480

     

3,600

   

5.50%, due 03/01/24 (d)

   

3,480

     

3,559

   
CommScope, Inc., 144A
5.50%, due 06/15/24 (d)
   

23,854

     

23,355

   

5.00%, due 06/15/21 (d)

   

995

     

994

   
Dell International LLC / EMC Corp., 144A
5.45%, due 06/15/23 (d)
   

14,725

     

15,696

   

4.42%, due 06/15/21 (d)

   

2,940

     

3,016

   
Itron, Inc., 144A
5.00%, due 01/15/26 (d)
   

11,035

     

10,856

   
Lam Research Corp.
2.75%, due 03/15/20
   

19,660

     

19,643

   

2.80%, due 06/15/21

   

4,910

     

4,911

   
Motorola Solutions, Inc.
3.75%, due 05/15/22
   

9,950

     

10,122

   

4.60%, due 02/23/28

   

2,985

     

3,009

   
Qorvo, Inc., 144A
5.50%, due 07/15/26 (d)
   

4,975

     

5,137

   
Symantec Corp., 144A
5.00%, due 04/15/25 (d)
   

1,000

     

1,002

   
Tyco Electronics Group SA
3.70%, due 02/15/26
   

9,830

     

9,936

   

2.35%, due 08/01/19

   

1,812

     

1,809

   
         

199,166

   

REAL ESTATE - 1.1%

 
CBRE Services, Inc.
5.25%, due 03/15/25
   

24,930

     

26,735

   

4.875%, due 03/01/26

   

19,665

     

20,681

   

See accompanying Notes to Financial Statements.

20 OAKMARK FUNDS



Oakmark Equity and Income Fund  March 31, 2019 (Unaudited)

Schedule of Investments (in thousands) (continued)

   

Par Value

 

Value

 

FIXED INCOME - 29.5% (continued)

 

CORPORATE BONDS - 17.6% (continued)

 
GLP Capital, LP / GLP Financing II, Inc. REIT
4.875%, due 11/01/20
 

$

14,975

   

$

15,260

   

5.375%, due 11/01/23

   

12,000

     

12,632

   

5.75%, due 06/01/28

   

4,975

     

5,342

   

5.25%, due 06/01/25

   

4,975

     

5,211

   

5.375%, due 04/15/26

   

3,925

     

4,101

   

4.375%, due 04/15/21

   

1,965

     

1,993

   
MGM Growth Properties Operating
Partnership, LP / MGP
Finance Co-Issuer, Inc. REIT
5.625%, due 05/01/24
   

2,945

     

3,063

   
Omega Healthcare Investors, Inc. REIT
4.375%, due 08/01/23
   

15,046

     

15,351

   

5.25%, due 01/15/26

   

9,835

     

10,291

   
The Howard Hughes Corp., 144A
5.375%, due 03/15/25 (d)
   

12,440

     

12,424

   
Ventas Realty, LP REIT
3.125%, due 06/15/23
   

2,490

     

2,500

   

3.50%, due 02/01/25

   

900

     

900

   
         

136,484

   

CONSUMER STAPLES - 0.6%

 
Diageo Capital PLC
3.875%, due 05/18/28
   

5,000

     

5,283

   

3.00%, due 05/18/20

   

5,000

     

5,021

   

3.50%, due 09/18/23

   

4,800

     

4,972

   
Kraft Heinz Foods Co., 144A
4.875%, due 02/15/25 (d)
   

6,260

     

6,401

   
Mead Johnson Nutrition Co.
4.125%, due 11/15/25
   

13,955

     

14,807

   

3.00%, due 11/15/20

   

6,885

     

6,909

   
Mondelez International Holdings
Netherlands BV, 144A
2.00%, due 10/28/21 (d)
   

8,585

     

8,368

   

1.625%, due 10/28/19 (d)

   

7,764

     

7,707

   
Post Holdings, Inc., 144A
5.00%, due 08/15/26 (d)
   

2,000

     

1,945

   

5.50%, due 03/01/25 (d)

   

500

     

506

   

5.75%, due 03/01/27 (d)

   

500

     

502

   
Smithfield Foods, Inc., 144A
2.70%, due 01/31/20 (d)
   

6,420

     

6,375

   

3.35%, due 02/01/22 (d)

   

4,975

     

4,867

   

2.65%, due 10/03/21 (d)

   

3,980

     

3,826

   

4.25%, due 02/01/27 (d)

   

995

     

947

   
         

78,436

   

ENERGY - 0.3%

 
Apergy Corp.
6.375%, due 05/01/26
   

16,119

     

16,321

   
Cenovus Energy, Inc.
5.70%, due 10/15/19
   

3,642

     

3,694

   
Oceaneering International, Inc.
4.65%, due 11/15/24
   

8,485

     

7,827

   
Schlumberger Holdings Corp., 144A
4.00%, due 12/21/25 (d)
   

9,830

     

10,134

   
Weatherford International LLC,
9.875%, due 03/01/25
   

9,950

     

7,040

   
         

45,016

   
   

Par Value

 

Value

 

MATERIALS - 0.1%

 
Glencore Funding LLC, 144A
3.00%, due 10/27/22 (d)
 

$

9,950

   

$

9,797

   

3.875%, due 10/27/27 (d)

   

9,950

     

9,502

   
         

19,299

   
Total Corporate Bonds
(Cost $2,223,551)
       

2,256,071

   

GOVERNMENT AND AGENCY SECURITIES - 11.8%

 

U.S. GOVERNMENT NOTES - 11.7%

 
United States Treasury Bonds (TIPS)
1.25%, due 07/15/20 (f)
   

484,505

     

491,624

   
United States Treasury Notes
1.75%, due 10/31/20
   

223,550

     

221,454

   

2.375%, due 12/31/20

   

198,945

     

199,108

   

1.625%, due 04/30/19

   

99,000

     

98,934

   

1.375%, due 12/15/19

   

99,500

     

98,762

   

1.625%, due 07/31/20

   

99,485

     

98,486

   

2.00%, due 11/30/22

   

74,625

     

74,013

   

1.75%, due 03/31/22

   

74,645

     

73,589

   

2.125%, due 12/31/22

   

49,745

     

49,541

   

1.875%, due 11/30/21

   

49,785

     

49,297

   

1.50%, due 11/30/19

   

24,875

     

24,720

   

2.125%, due 01/31/21

   

24,570

     

24,487

   
         

1,504,015

   

U.S. GOVERNMENT AGENCIES - 0.1%

 
Federal Farm Credit Bank,
1.68%, due 08/16/21
   

17,165

     

16,904

   
Total Government and Agency Securities
(Cost $1,514,752)
       

1,520,919

   

CONVERTIBLE BOND - 0.1%

 
Chesapeake Energy Corp.,
5.50%, due 09/15/26
(Cost $14,521)
   

14,915

     

13,820

   
TOTAL FIXED INCOME - 29.5%
(COST $3,752,824)
       

3,790,810

   

SHORT-TERM INVESTMENTS - 8.9%

 

GOVERNMENT AND AGENCY SECURITIES - 4.1%

 
Federal Home Loan Bank,
2.28%, due 04/01/19 (g)
   

125,000

     

125,000

   
Federal National Mortgage Association,
2.31%, due 04/01/19 (g)
   

400,000

     

400,000

   
Total Government and Agency Securities
(Cost $525,000)
       

525,000

   

COMMERCIAL PAPER - 3.8%

 
Walgreens Boots,
2.67% - 3.29%,
due 04/08/19 - 08/05/19 (g)
   

145,750

     

144,903

   
General Mills, Inc., 144A,
2.64% - 2.73%,
due 04/01/19 - 04/23/19 (d) (g)
   

143,950

     

143,842

   

See accompanying Notes to Financial Statements.

Oakmark.com 21



Oakmark Equity and Income Fund  March 31, 2019 (Unaudited)

Schedule of Investments (in thousands) (continued)

   

Par Value

 

Value

 

SHORT-TERM INVESTMENTS - 8.9% (continued)

 

COMMERCIAL PAPER - 3.8% (continued)

 
Campbell Soup Co., 144A,
3.01% - 3.15%,
due 04/01/19 - 07/18/19 (d) (g)
 

$

102,750

   

$

102,554

   
Kellogg Co., 144A,
2.64% - 2.68%,
due 04/01/19 - 04/15/19 (d) (g)
   

95,950

     

95,902

   
Total Commercial Paper
(Cost $487,200)
       

487,201

   

REPURCHASE AGREEMENT - 0.9%

 
Fixed Income Clearing Corp. Repurchase
Agreement, 1.50% dated 03/29/19 due
04/01/19, repurchase price $112,834,
collateralized by a United States Treasury
Note, 2.500% due 02/15/22, value plus
accrued interest of $115,077
(Cost: $112,820)
   

112,820

     

112,820

   

CORPORATE BONDS - 0.1%

 

FINANCIALS - 0.1%

 
Reinsurance Group of America, Inc.,
6.45%, due 11/15/19
(Cost $10,467)
   

10,257

     

10,474

   
TOTAL SHORT-TERM INVESTMENTS - 8.9%
(COST $1,135,487)
       

1,135,495

   
TOTAL INVESTMENTS - 99.4%
(COST $9,589,030)
       

12,754,995

   

Foreign Currencies - 0.0%(h)

       

0

(i)

 

Other Assets In Excess of Liabilities - 0.6%

       

71,034

   

NET ASSETS - 100.0%

     

$

12,826,029

   

(a)  Non-income producing security

(b)  Sponsored American Depositary Receipt

(c)  Floating Rate Note. Rate shown is as of March 31, 2019.

(d)  Security exempt from registration under Rule 144A of the Securities Act of 1933, as amended. These Securities may be resold, normally only to qualified institutional buyers.

(e)  Security is perpetual and has no stated maturity date.

(f)  Interest rate for this security is a stated rate. Interest payments are determined based on an inflation-adjusted principal amount.

(g)  The rate shown represents the annualized yield at the time of purchase; not a coupon rate.

(h)  Amount rounds to less than 0.1%.

(i)  Amount rounds to less than $1,000.

Abbreviations:

  REIT: Real Estate Investment Trust

See accompanying Notes to Financial Statements.

22 OAKMARK FUNDS



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Oakmark.com 23



Oakmark Global Fund  March 31, 2019

Summary Information

VALUE OF A $10,000 INVESTMENT

Since Inception - 08/04/99 (Unaudited)

PERFORMANCE

 

 

Average Annual Total Returns (as of 03/31/19)

 

 
(Unaudited)   Total Return
Last 3 Months
 

1-year

 

3-year

 

5-year

 

10-year

  Since
Inception
  Inception
Date
 

Oakmark Global Fund (Investor Class)

   

12.59

%

   

-6.37

%

   

9.37

%

   

3.42

%

   

12.41

%

   

9.55

%

 

08/04/99

 

MSCI World Index

   

12.48

%

   

4.01

%

   

10.68

%

   

6.78

%

   

12.38

%

   

4.73

%

     

Lipper Global Fund Index13

   

11.51

%

   

0.57

%

   

9.91

%

   

5.81

%

   

11.29

%

   

5.26

%

     

Oakmark Global Fund (Advisor Class)

   

12.63

%

   

-6.24

%

   

N/A

     

N/A

     

N/A

     

8.08

%

 

11/30/16

 

Oakmark Global Fund (Institutional Class)

   

12.63

%

   

-6.20

%

   

N/A

     

N/A

     

N/A

     

8.15

%

 

11/30/16

 

Oakmark Global Fund (Service Class)

   

12.52

%

   

-6.64

%

   

9.07

%

   

3.08

%

   

12.03

%

   

9.55

%

 

10/10/01

 

The graph and table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or the redemption of Fund shares.

Past performance is no guarantee of future results. The performance data quoted represents past performance. Current performance may be lower or higher than the performance data quoted. Total return includes change in share prices and, in each case, includes reinvestment of dividends and capital gain distributions. The investment return and principal value vary so that an investor's shares, when redeemed, may be worth more or less than the original cost. To obtain the most recent month-end performance, please visit Oakmark.com.

TOP TEN EQUITY HOLDINGS6

 

% of Net Assets

 

Mastercard, Inc., Class A

 

4.8

   

Daimler AG

 

4.6

   

Alphabet, Inc., Class C

 

4.5

   

Bank of America Corp.

 

4.4

   

Credit Suisse Group AG

 

4.3

   

General Motors Co.

 

4.2

   

TE Connectivity, Ltd.

 

4.0

   

CNH Industrial N.V.

 

3.9

   

Bayer AG

 

3.7

   

Lloyds Banking Group PLC

 

3.7

   

FUND STATISTICS

 

Ticker*

 

OAKGX

 

Number of Equity Holdings

 

43

 

Net Assets

 

$1.8 billion

 

Weighted Average Market Cap

 

$103.7 billion

 

Median Market Cap

 

$29.8 billion

 

Gross Expense Ratio - Investor Class (as of 09/30/18)*

 

1.21%

 

Net Expense Ratio - Investor Class (as of 09/30/18)*†

 

1.15%

 

*  This information is related to the Investor Class. Please visit Oakmark.com for information related to the Advisor, Institutional and Service Classes.

†  The net expense ratio reflects a contractual advisory fee waiver agreement through January 27, 2020.

SECTOR ALLOCATION

  % of Net Assets  

Financials

   

22.3

   

Consumer Discretionary

   

18.7

   

Information Technology

   

15.6

   

Communication Services

   

15.0

   

Industrials

   

13.8

   

Health Care

   

5.7

   

Materials

   

3.7

   

Energy

   

1.6

   

Consumer Staples

   

1.1

   

Short-Term Investments and Other

   

2.5

   

GEOGRAPHIC ALLOCATION

 
   

% of Equity

 

North America

   

46.0

   

United States

   

46.0

   

Europe

   

42.2

   

United Kingdom

   

14.7

   

Germany*

   

14.1

   

Switzerland

   

10.9

   

Ireland*

   

2.5

   

Asia

   

5.4

   

Japan

   

3.7

   
   

% of Equity

 

Asia (cont'd)

   

5.4

   

Taiwan

   

1.2

   

India

   

0.5

   

Africa

   

2.8

   

South Africa

   

2.8

   

Australasia

   

2.0

   

Australia

   

2.0

   

Latin America

   

1.6

   

Mexico

   

1.6

   

*  Euro currency countries comprise 16.6% of equity investments.

See accompanying Disclosures and Endnotes on page 84.

24 OAKMARK FUNDS



Oakmark Global Fund  March 31, 2019

Portfolio Manager Commentary

David G. Herro, CFA

Portfolio Manager

oakgx@oakmark.com

Clyde S. McGregor, CFA

Portfolio Manager

oakgx@oakmark.com

Anthony P. Coniaris, CFA

Portfolio Manager

oakgx@oakmark.com

Jason E. Long, CFA

Portfolio Manager

oakgx@oakmark.com

From (Near) Worst to (Near) First in 90 days

In the prior quarter's letter, we discussed how the fundamental performance of the companies in the Global Fund was inconsistent with the decline in share prices. These sorts of opportunities don't tend to last long, but one never knows exactly when stock prices will begin to more accurately reflect business value. With virtually no change in the headlines, political climate or underlying business fundamentals, global stocks have recovered significantly from last quarter's decline. Over the last two quarters, we've seen a bottom fifth percentile return (Q4 2018) for the MSCI World Index12, followed by a top tenth percentile return (Q1 2019)14. Yet not much has changed fundamentally. Although such short-term, schizophrenic behavior is not unusual for stocks, it is quite difficult to predict. So we stay fully invested in stocks, focusing on quality businesses that sell for significant discounts to intrinsic value and are run by capable managers. Bill Nygren's letter explains the benefits of owning equities for decades (not quarters) and how maintaining an asset allocation profile that fits one's risk tolerance and rebalancing in a disciplined way greatly increases one's odds for success. We manage your global equity portfolio similarly. However, instead of rebalancing between different asset classes, we rebalance into the companies that present the best risk-adjusted values and we rebalance out of the companies where that valuation is less attractive, all while staying fully invested with the goal of maximizing long-term, after-tax returns.

Performance Discussion

The Global Fund gained 12.6% in the first calendar quarter of 2019, which roughly matched the MSCI World Index gain of 12.5%. Since inception, the Fund has returned 9.6% annually, compared to 4.7% for the MSCI World Index.

For the quarter, our holdings in the U.K., U.S. and South Africa contributed the most to returns, while Mexico and Australia detracted the most. Individually, Mastercard (U.S.), Lloyds Banking Group (U.K.) and Travis Perkins (U.K.) were the largest contributors to performance. After our in-depth discussion of Lloyds in last quarter's letter, we were gratified but not surprised that it was a significant contributor this quarter. The largest detractors were Bayer (Germany), Grupo Televisa (Mexico) and Incitec Pivot (Australia). While we are disappointed with the recent legal judgements related to the herbicide Roundup, Bayer's share price fell well in excess of our estimated liability, and given that the company had already been trading at an attractive price, we added to our Bayer holdings during the quarter.

Portfolio Activity

We initiated one new position in the quarter, Booking Holdings (U.S.), and sold Multichoice Group (South Africa), which was spun out of Naspers, to pursue more attractive opportunities.

Booking Holdings (formerly known as Priceline) is a pioneer and global leader in the online travel industry. The company's strong brands, significant investment expenditures and scale advantages have given it a formidable network effect. Add to that the company's geographic exposures, revenue mix and superior online traffic conversion, and it is clear that Booking has one of the best operating models in the industry. Yet the share price fell after the company issued weaker than expected quarterly guidance due to rising macroeconomic pressures in Europe and the company's increased investment expenditures. Booking has been investing heavily in alternative accommodations, payments, business travel and other ancillary businesses, and we believe this approach will further enhance the company's competitive position and allow it to exceed market growth rates over the long term. The company's highly regarded management team also has a long history of growing per share business value. We expect Booking to repurchase nearly 10% of its total share base over the two-year period, ending at the close of 2019, and that it will grow earnings at above-average rates while maintaining its pristine balance sheet. On our one-year forward estimate, Booking trades at a discount to the market's P/E ratio3 (excluding its net cash and investments), despite a superior growth outlook and well above-average return profile, which should earn it a premium valuation.

Currency Hedges

We defensively hedge a portion of the Fund's exposure to currencies that we believe to be overvalued versus the U.S. dollar. As of quarter end, we found only the Swiss franc to be overvalued and have hedged approximately 18% of the Fund's franc exposure.

Thank you for being our partners in the Oakmark Global Fund. Please feel free to contact us with your questions or comments.

See accompanying Disclosures and Endnotes on page 84.

Oakmark.com 25



Oakmark Global Fund  March 31, 2019 (Unaudited)

Schedule of Investments (in thousands)

   

Shares

 

Value

 

COMMON STOCKS - 97.5%

 

FINANCIALS - 22.3%

 

BANKS - 11.9%

 

Bank of America Corp. (United States)

   

2,936

   

$

81,010

   

Lloyds Banking Group PLC (United Kingdom)

   

83,833

     

67,849

   

Citigroup, Inc. (United States)

   

986

     

61,318

   

Axis Bank, Ltd. (India) (a)

   

775

     

8,699

   
         

218,876

   

DIVERSIFIED FINANCIALS - 7.4%

 

Credit Suisse Group AG (Switzerland)

   

6,750

     

78,669

   

Julius Baer Group, Ltd. (Switzerland)

   

1,448

     

58,494

   
         

137,163

   

INSURANCE - 3.0%

 

Allianz SE (Germany)

   

250

     

55,633

   
         

411,672

   

CONSUMER DISCRETIONARY - 18.7%

 

AUTOMOBILES & COMPONENTS - 13.0%

 

Daimler AG (Germany)

   

1,455

     

85,297

   

General Motors Co. (United States)

   

2,098

     

77,847

   

Continental AG (Germany)

   

290

     

43,626

   

Toyota Motor Corp. (Japan)

   

586

     

34,294

   
         

241,064

   

RETAILING - 3.4%

 

Naspers, Ltd. (South Africa)

   

215

     

49,731

   

Booking Holdings, Inc. (United States) (a)

   

7

     

12,851

   
         

62,582

   

CONSUMER DURABLES & APPAREL - 2.3%

 

Cie Financiere Richemont SA (Switzerland)

   

373

     

27,173

   

Under Armour, Inc., Class C (United States) (a)

   

825

     

15,577

   
         

42,750

   
         

346,396

   

INFORMATION TECHNOLOGY - 15.6%

 

SOFTWARE & SERVICES - 8.6%

 

Mastercard, Inc., Class A (United States)

   

378

     

89,000

   

Oracle Corp. (United States)

   

946

     

50,783

   

CoreLogic, Inc. (United States) (a)

   

524

     

19,517

   
         

159,300

   

TECHNOLOGY HARDWARE & EQUIPMENT - 5.8%

 

TE Connectivity, Ltd. (United States)

   

921

     

74,371

   

Hirose Electric Co., Ltd. (Japan)

   

316

     

33,170

   
         

107,541

   

SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT - 1.2%

 
Taiwan Semiconductor
Manufacturing Co., Ltd. (Taiwan)
   

2,644

     

21,061

   
         

287,902

   
   

Shares

 

Value

 

COMMUNICATION SERVICES - 15.0%

 

MEDIA & ENTERTAINMENT - 15.0%

 

Alphabet, Inc., Class C (United States) (a)

   

71

   

$

83,732

   
The Interpublic Group of Cos., Inc.
(United States)
   

1,772

     

37,225

   
Liberty Broadband Corp., Class C
(United States) (a)
   

344

     

31,595

   
Liberty Global PLC, Class A
(United Kingdom) (a)
   

1,229

     

30,634

   

Grupo Televisa SAB (Mexico) (b)

   

2,657

     

29,384

   
Liberty Global PLC, Class C
(United Kingdom) (a)
   

1,196

     

28,962

   
Live Nation Entertainment, Inc.
(United States) (a)
   

376

     

23,893

   
Charter Communications, Inc., Class A
(United States) (a)
   

35

     

12,073

   
         

277,498

   

INDUSTRIALS - 13.8%

 

CAPITAL GOODS - 10.1%

 

CNH Industrial N.V. (United Kingdom)

   

7,037

     

71,553

   

Travis Perkins PLC (United Kingdom)

   

2,571

     

45,916

   

Arconic, Inc. (United States)

   

1,746

     

33,360

   
Johnson Controls International plc
(United States)
   

567

     

20,930

   

USG Corp. (United States)

   

340

     

14,706

   
         

186,465

   

TRANSPORTATION - 3.7%

 

Ryanair Holdings PLC (Ireland) (a) (b)

   

595

     

44,552

   

Southwest Airlines Co. (United States)

   

463

     

24,044

   
         

68,596

   
         

255,061

   

HEALTH CARE - 5.7%

 

PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES - 3.8%

 

Bayer AG (Germany)

   

1,072

     

69,258

   

HEALTH CARE EQUIPMENT & SERVICES - 1.9%

 

Tenet Healthcare Corp. (United States) (a)

   

1,218

     

35,134

   
         

104,392

   

MATERIALS - 3.7%

 

Incitec Pivot, Ltd. (Australia)

   

16,104

     

35,677

   

LafargeHolcim, Ltd. (Switzerland)

   

650

     

32,112

   
         

67,789

   

ENERGY - 1.6%

 

National Oilwell Varco, Inc. (United States)

   

1,129

     

30,079

   

See accompanying Notes to Financial Statements.

26 OAKMARK FUNDS



Oakmark Global Fund  March 31, 2019 (Unaudited)

Schedule of Investments (in thousands) (continued)

   

Shares

 

Value

 

COMMON STOCKS - 97.5% (continued)

 

CONSUMER STAPLES - 1.1%

 

HOUSEHOLD & PERSONAL PRODUCTS - 0.6%

 

Reckitt Benckiser Group PLC (United Kingdom)

   

139

   

$

11,554

   

FOOD, BEVERAGE & TOBACCO - 0.5%

 

Diageo PLC (United Kingdom)

   

234

     

9,568

   
         

21,122

   
TOTAL COMMON STOCKS - 97.5%
(COST $1,518,660)
       

1,801,911

   
   

Par Value

 

Value

 

SHORT-TERM INVESTMENT - 1.3%

 

REPURCHASE AGREEMENT - 1.3%

 
Fixed Income Clearing Corp. Repurchase
Agreement, 1.50% dated 03/29/19 due
04/01/19, repurchase price $24,423,
collateralized by a United States
Treasury Note, 2.500% due 02/15/22,
value plus accrued interest of $24,909
(Cost: $24,420)
 

$

24,420

     

24,420

   
TOTAL SHORT-TERM INVESTMENTS - 1.3%
(COST $24,420)
       

24,420

   
TOTAL INVESTMENTS - 98.8%
(COST $1,543,080)
       

1,826,331

   

Foreign Currencies (Cost $0) - 0.0% (c)

       

0

(d)

 

Other Assets In Excess of Liabilities - 1.2%

       

21,764

   

TOTAL NET ASSETS - 100.0%

     

$

1,848,095

   

(a)  Non-income producing security

(b)  Sponsored American Depositary Receipt

(c)  Amount rounds to less than 0.1%.

(d)  Amount rounds to less than $1,000.

See accompanying Notes to Financial Statements.

Oakmark.com 27



Oakmark Global Fund  March 31, 2019 (Unaudited)

Schedule of Investments (in thousands) (continued)

FORWARD FOREIGN CURRENCY CONTRACT

    Local
Contract
Amount
  Base
Contract
Amount
  Settlement
Date
  Valuation at
03/31/19
  Unrealized
Appreciation/
(Depreciation)
 

Foreign Currency Bought:

 

Swiss Franc

   

6,779

   

$

7,053

   

06/19/19

 

$

6,859

   

$

(194

)

 
               

$

6,859

   

$

(194

)

 

Foreign Currency Sold:

 

Swiss Franc

   

42,233

   

$

44,701

   

06/19/19

 

$

42,736

   

$

1,965

   
               

$

42,736

   

$

1,965

   

See accompanying Notes to Financial Statements.

28 OAKMARK FUNDS



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Oakmark.com 29



Oakmark Global Select Fund  March 31, 2019

Summary Information

VALUE OF A $10,000 INVESTMENT

Since Inception - 10/02/06 (Unaudited)

PERFORMANCE

   

 

Average Annual Total Returns (as of 03/31/19)

 

 
(Unaudited)   Total Return
Last 3 Months
 

1-year

 

3-year

 

5-year

 

10-year

  Since
Inception
  Inception
Date
 

Oakmark Global Select Fund (Investor Class)

   

12.72

%

   

-8.13

%

   

7.15

%

   

4.02

%

   

13.15

%

   

7.15

%

 

10/02/06

 

MSCI World Index

   

12.48

%

   

4.01

%

   

10.68

%

   

6.78

%

   

12.38

%

   

5.62

%

 

 

Lipper Global Fund Index13

   

11.51

%

   

0.57

%

   

9.91

%

   

5.81

%

   

11.29

%

   

5.31

%

 

 

Oakmark Global Select Fund (Advisor Class)

   

12.80

%

   

-7.98

%

   

N/A

     

N/A

     

N/A

     

4.48

%

 

11/30/16

 

Oakmark Global Select Fund (Institutional Class)

   

12.72

%

   

-7.98

%

   

N/A

     

N/A

     

N/A

     

4.51

%

 

11/30/16

 

The graph and table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or the redemption of Fund shares.

Past performance is no guarantee of future results. The performance data quoted represents past performance. Current performance may be lower or higher than the performance data quoted. Total return includes change in share prices and, in each case, includes reinvestment of dividends and capital gain distributions. The investment return and principal value vary so that an investor's shares, when redeemed, may be worth more or less than the original cost. To obtain the most recent month-end performance, please visit Oakmark.com.

TOP TEN EQUITY HOLDINGS6

 

% of Net Assets

 

Alphabet, Inc., Class C

 

8.1

   

Daimler AG

 

7.5

   

CNH Industrial N.V.

 

7.0

   

Lloyds Banking Group PLC

 

6.8

   

Bank of America Corp.

 

6.3

   

TE Connectivity, Ltd.

 

5.8

   

Credit Suisse Group AG

 

5.6

   

Charter Communications, Inc., Class A

 

5.4

   

Citigroup, Inc.

 

5.3

   

Fiat Chrysler Automobiles N.V.

 

5.2

   

FUND STATISTICS

 

Ticker*

 

OAKWX

 

Number of Equity Holdings

 

22

 

Net Assets

 

$1.9 billion

 

Weighted Average Market Cap

 

$140.3 billion

 

Median Market Cap

 

$58.3 billion

 

Gross Expense Ratio - Investor Class (as of 09/30/18)*

 

1.19%

 

Net Expense Ratio - Investor Class (as of 09/30/18)*†

 

1.12%

 

*  This information is related to the Investor Class. Please visit Oakmark.com for information related to the Advisor, Institutional and Service Classes.

†  The net expense ratio reflects a contractual advisory fee waiver agreement through January 27, 2020.

SECTOR ALLOCATION

  % of Net Assets  

Financials

   

30.6

   

Consumer Discretionary

   

16.4

   

Communication Services

   

13.8

   

Information Technology

   

11.8

   

Industrials

   

11.7

   

Materials

   

4.2

   

Consumer Staples

   

4.1

   

Energy

   

3.8

   

Short-Term Investments and Other

   

3.6

   

GEOGRAPHIC ALLOCATION

 

 

% of Equity

 

Europe

   

48.7

   

United Kingdom

   

24.0

   

Switzerland

   

16.9

   

Germany*

   

7.8

   

 

% of Equity

 

North America

   

45.1

   

United States

   

45.1

   

Asia

   

6.2

   

Taiwan

   

3.1

   

South Korea

   

3.1

   

  

*  Euro currency countries comprise 7.8% of equity investments.

See accompanying Disclosures and Endnotes on page 84.

30 OAKMARK FUNDS



Oakmark Global Select Fund  March 31, 2019

Portfolio Manager Commentary

William C. Nygren, CFA

Portfolio Manager

oakwx@oakmark.com

David G. Herro, CFA

Portfolio Manager

oakwx@oakmark.com

Anthony P. Coniaris, CFA

Portfolio Manager

oakwx@oakmark.com

Eric Liu, CFA

Portfolio Manager

oakwx@oakmark.com

The Oakmark Global Select Fund returned 12.7% for the quarter ended March 31, 2019, slightly outperforming the MSCI World Index12, which returned 12.5%. Importantly, the Fund has returned an average of 7.2% per year since its inception in October 2006, outperforming the MSCI World Index's annualized gain of 5.6% over the same period.

Lloyds Banking Group, the dominant retail bank in the U.K., was the top contributor for the quarter, returning 23%. During the quarter, Lloyds announced underlying 2018 fiscal-year results that were largely in line with our expectations. The group also announced a new GBP 1.75 billion share repurchase program for 2019, which was larger than expected and an increase from its GBP 1 billion of repurchases in 2018. Additionally, Lloyds has guided for 14-15% return on tangible equity and promised further operating expenditure reductions for 2019. While the U.K.'s decision to withdraw from the European Union has caused an outsized share price decline in previous periods, we believe the most recent results and share price gains support our investment thesis and believe that the bank's intrinsic value remains largely intact.

Another large contributor for the quarter was Apache, a U.S.-based oil and gas exploration and production company. The company reported great results during the quarter, in our opinion, and it is growing production more than expected, despite spending less on capital expenditures than had been forecast. This is a great combination of factors for a company in the energy space, which is notorious for capital inefficiency, and it should lead to excellent cash flows over time. Additionally, management announced plans to repurchase 2.5% of shares and return at least 50% of free cash flow and asset sale proceeds to shareholders going forward. Despite the stock's rally, we still believe it remains quite inexpensive.

During the quarter, we sold our investment in WPP, a U.K.-based marketing and advertising company, and used the proceeds to buy Samsung Electronics, South Korea's top electronics company and a world leader in manufacturing semiconductors. We believe Samsung provides a better risk-return profile for our shareholders. We also sold our shares of Wabtec, a U.S.-based transportation and logistics company, which we received as part of a corporate action related to our holding of General Electric. Samsung and Wabtec were owned for brief periods during the quarter and detracted slightly from performance. No other holdings detracted from performance for the quarter.

Geographically, 48.7% of the Fund's holdings were allocated to equities in Europe and the U.K., while approximately 45.1% were invested in U.S. companies and 6.2% in Asian equities.

We continue to believe the Swiss franc is overvalued versus the U.S. dollar. As a result, we defensively hedged a portion of the Fund's exposure. Approximately 19% of the Swiss franc exposure was hedged at quarter end.

We thank you, our shareholders, for your continued support and confidence.

See accompanying Disclosures and Endnotes on page 84.

Oakmark.com 31



Oakmark Global Select Fund  March 31, 2019 (Unaudited)

Schedule of Investments (in thousands)

   

Shares

 

Value

 

COMMON STOCKS - 96.4%

 

FINANCIALS - 30.6%

 

BANKS - 18.4%

 

Lloyds Banking Group PLC (United Kingdom)

   

164,451

   

$

133,097

   

Bank of America Corp. (United States)

   

4,444

     

122,610

   

Citigroup, Inc. (United States)

   

1,643

     

102,209

   
         

357,916

   

INSURANCE - 6.6%

 
American International Group, Inc.
(United States)
   

1,686

     

72,590

   

Willis Towers Watson PLC (United States)

   

314

     

55,172

   
         

127,762

   

DIVERSIFIED FINANCIALS - 5.6%

 

Credit Suisse Group AG (Switzerland)

   

9,423

     

109,819

   
         

595,497

   

CONSUMER DISCRETIONARY - 16.4%

 

AUTOMOBILES & COMPONENTS - 12.6%

 

Daimler AG (Germany)

   

2,478

     

145,233

   
Fiat Chrysler Automobiles N.V.
(United Kingdom) (a)
   

6,799

     

100,958

   
         

246,191

   

CONSUMER DURABLES & APPAREL - 3.8%

 

Cie Financiere Richemont SA (Switzerland)

   

1,006

     

73,260

   
         

319,451

   

COMMUNICATION SERVICES - 13.8%

 

MEDIA & ENTERTAINMENT - 13.8%

 

Alphabet, Inc., Class C (United States) (a)

   

134

     

156,690

   
Charter Communications, Inc., Class A
(United States) (a)
   

304

     

105,495

   

Alphabet, Inc., Class A (United States) (a)

   

5

     

5,730

   
         

267,915

   

INFORMATION TECHNOLOGY - 11.8%

 

TECHNOLOGY HARDWARE & EQUIPMENT - 8.8%

 

TE Connectivity, Ltd. (United States)

   

1,403

     

113,284

   

Samsung Electronics Co., Ltd. (South Korea)

   

1,454

     

57,175

   
         

170,459

   

SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT - 3.0%

 
Taiwan Semiconductor Manufacturing
Co., Ltd. (Taiwan)
   

7,341

     

58,474

   
         

228,933

   

INDUSTRIALS - 11.7%

 

CAPITAL GOODS - 9.0%

 

CNH Industrial N.V. (United Kingdom)

   

13,442

     

136,673

   

General Electric Co. (United States)

   

3,851

     

38,473

   
         

175,146

   

TRANSPORTATION - 2.7%

 

Kuehne + Nagel International AG (Switzerland)

   

379

     

52,047

   
         

227,193

   
   

Shares

 

Value

 

MATERIALS - 4.2%

 

LafargeHolcim, Ltd. (Switzerland)

   

1,671

   

$

82,546

   

CONSUMER STAPLES - 4.1%

 

HOUSEHOLD & PERSONAL PRODUCTS - 2.6%

 

Reckitt Benckiser Group PLC (United Kingdom)

   

600

     

49,882

   

FOOD, BEVERAGE & TOBACCO - 1.5%

 

Diageo PLC (United Kingdom)

   

712

     

29,096

   
         

78,978

   

ENERGY - 3.8%

 

Apache Corp. (United States)

   

2,134

     

73,968

   
TOTAL COMMON STOCKS - 96.4%
(COST $1,685,237)
       

1,874,481

   
   

Par Value

 

Value

 

SHORT-TERM INVESTMENTS - 3.3%

 

REPURCHASE AGREEMENT - 2.0%

 
Fixed Income Clearing Corp. Repurchase
Agreement, 1.50% dated 03/29/19 due
04/01/19, repurchase price $38,680,
collateralized by a United States
Treasury Note, 2.500% due 02/15/22,
value plus accrued interest of $39,450
(Cost: $38,675)
 

$

38,675

     

38,675

   

GOVERNMENT AND AGENCY SECURITIES - 1.3%

 
Federal Home Loan Bank,
2.28%, due 04/01/19 (b)
(Cost $25,000)
   

25,000

     

25,000

   
TOTAL SHORT-TERM INVESTMENTS - 3.3%
(COST $63,675)
       

63,675

   
TOTAL INVESTMENTS - 99.7%
(COST $1,748,912)
       

1,938,156

   

Foreign Currencies (Cost $0) - 0.0% (c)

       

0

(d)

 

Other Assets In Excess of Liabilities - 0.3%

       

6,271

   

TOTAL NET ASSETS - 100.0%

     

$

1,944,427

   

(a)  Non-income producing security

(b)  The rate shown represents the annualized yield at the time of purchase; not a coupon rate.

(c)  Amount rounds to less than 0.1%.

(d)  Amount rounds to less than $1,000.

See accompanying Notes to Financial Statements.

32 OAKMARK FUNDS



Oakmark Global Select Fund  March 31, 2019 (Unaudited)

Schedule of Investments (in thousands) (continued)

FORWARD FOREIGN CURRENCY CONTRACT

    Local
Contract
Amount
  Base
Contract
Amount
  Settlement
Date
  Valuation at
03/31/19
  Unrealized
Appreciation/
(Depreciation)
 

Foreign Currency Bought:

 

Swiss Franc

   

18,760

   

$

19,520

   

06/19/19

 

$

18,984

   

$

(536

)

 
               

$

18,984

   

$

(536

)

 

Foreign Currency Sold:

 

Swiss Franc

   

79,725

   

$

84,384

   

06/19/19

 

$

80,675

   

$

3,709

   
               

$

80,675

   

$

3,709

   

See accompanying Notes to Financial Statements.

Oakmark.com 33



Oakmark International Fund  March 31, 2019

Summary Information

VALUE OF A $10,000 INVESTMENT

Since Inception - 09/30/92 (Unaudited)

PERFORMANCE

 

 

Average Annual Total Returns (as of 03/31/19)

 

 
(Unaudited)   Total Return
Last 3 Months
 

1-year

 

3-year

 

5-year

 

10-year

  Since
Inception
  Inception
Date
 

Oakmark International Fund (Investor Class)

   

9.04

%

   

-14.13

%

   

6.40

%

   

1.08

%

   

11.83

%

   

9.14

%

 

09/30/92

 

MSCI World ex U.S. Index

   

10.45

%

   

-3.14

%

   

7.29

%

   

2.20

%

   

8.82

%

   

5.84

%

 

 

MSCI EAFE Index16

   

9.98

%

   

-3.71

%

   

7.27

%

   

2.33

%

   

8.96

%

   

5.70

%

 

 

Lipper International Fund Index17

   

10.62

%

   

-5.20

%

   

7.20

%

   

2.67

%

   

9.32

%

   

6.63

%

 

 

Oakmark International Fund (Advisor Class)

   

9.10

%

   

-14.00

%

   

N/A

     

N/A

     

N/A

     

5.13

%

 

11/30/16

 

Oakmark International Fund (Institutional Class)

   

9.10

%

   

-13.97

%

   

N/A

     

N/A

     

N/A

     

5.17

%

 

11/30/16

 

Oakmark International Fund (Service Class)

   

8.98

%

   

-14.34

%

   

6.09

%

   

0.76

%

   

11.46

%

   

7.23

%

 

11/04/99

 

The graph and table above do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or the redemption of Fund shares.

Past performance is no guarantee of future results. The performance data quoted represents past performance. Current performance may be lower or higher than the performance data quoted. Total return includes change in share prices and, in each case, includes reinvestment of dividends and capital gain distributions. The investment return and principal value vary so that an investor's shares, when redeemed, may be worth more or less than the original cost. To obtain the most recent month-end performance, please visit Oakmark.com.

TOP TEN EQUITY HOLDINGS6

  % of Net Assets  

BNP Paribas SA

   

4.2

   

Daimler AG

   

3.7

   

Credit Suisse Group AG

   

3.5

   

Intesa Sanpaolo SPA

   

3.4

   

Hennes & Mauritz AB (H&M)

   

3.3

   

CNH Industrial N.V.

   

3.0

   

Lloyds Banking Group PLC

   

2.9

   

Continental AG

   

2.9

   

Bayer AG

   

2.9

   

Bayerische Motoren Werke AG

   

2.8

   

FUND STATISTICS

 

Ticker*

 

OAKIX

 

Number of Equity Holdings

 

61

 

Net Assets

  $34.3 billion  

Weighted Average Market Cap

  $43.9 billion  

Median Market Cap

  $22.6 billion  

Gross Expense Ratio - Investor Class (as of 09/30/18)*

  1.01%  

Net Expense Ratio - Investor Class (as of 09/30/18)*†

  0.96%  

*  This information is related to the Investor Class. Please visit Oakmark.com for information related to the Advisor, Institutional and Service Classes.

†  The net expense ratio reflects a contractual advisory fee waiver agreement through January 27, 2020.

SECTOR ALLOCATION

 

% of Net Assets

 

Financials

   

25.3

   

Consumer Discretionary

   

21.4

   

Industrials

   

18.9

   

Communication Services

   

8.8

   

Materials

   

7.7

   

Information Technology

   

4.8

   

Health Care

   

3.7

   

Consumer Staples

   

2.8

   

Energy

   

1.4

   

Short-Term Investments and Other

   

5.2

   

GEOGRAPHIC ALLOCATION

 
   

% of Equity

 

Europe

   

79.2

   

United Kingdom

   

21.3

   

Germany*

   

17.0

   

Switzerland

   

11.8

   

France*

   

11.6

   

Sweden

   

6.9

   

Netherlands*

   

4.6

   

Italy*

   

3.6

   

Ireland*

   

2.4

   

Asia

   

12.6

   

Japan

   

5.2

   

South Korea

   

3.0

   

Indonesia

   

1.3

   
   

% of Equity

 

Asia (cont'd)

   

12.6

   

Taiwan

   

1.3

   

China

   

1.2

   

India

   

0.6

   

North America

   

3.0

   

Canada

   

1.7

   

United States

   

1.3

   

Africa

   

2.2

   

South Africa

   

2.2

   

Australasia

   

2.1

   

Australia

   

2.1

   

Latin America

   

0.9

   

Mexico

   

0.9

   

*  Euro currency countries comprise 39.2% of equity investments.

See accompanying Disclosures and Endnotes on page 84.

34 OAKMARK FUNDS



Oakmark International Fund  March 31, 2019

Portfolio Manager Commentary

David G. Herro, CFA

Portfolio Manager

oakix@oakmark.com

Michael L. Manelli, CFA

Portfolio Manager

oakix@oakmark.com

The Oakmark International Fund returned 9.0% for the quarter ended March 31, 2019, underperforming the MSCI World ex U.S. Index15, which returned 10.5% over the same period. However, the Fund has returned an average of 9.1% per year since its inception in September 1992, outperforming the MSCI World ex U.S. Index, which has averaged 5.8% per year over the same period.

Lloyds Banking Group, the dominant retail bank in the U.K., was the top contributor for the quarter, returning 23%. During the quarter, Lloyds announced underlying 2018 fiscal-year results that were largely in line with our expectations. The group also announced a new GBP 1.75 billion share repurchase program for 2019, which was larger than expected and an increase from its GBP 1 billion of repurchases in 2018. Additionally, Lloyds has guided for 14-15% return on tangible equity and promised further operating expenditure reductions for 2019. While the U.K.'s decision to withdraw from the European Union has caused an outsized share price decline in previous periods, we believe the most recent results and share price gains support our investment thesis and believe that the bank's intrinsic value remains largely intact.

The largest detractor for the quarter, thyssenkrupp, a German-based industrials conglomerate, returned –19%. As we had expected, thyssenkrupp reported weak first-quarter results due to reduced demand from the auto industry, raw material pressure and operational issues. EBIT18 was flat to down in all divisions, but management has maintained guidance that calls for a meaningful increase year over year. As reported last year, the board recommended to split the company in two: thyssenkrupp industrials and thyssenkrupp materials. During the quarter, the company announced further details on the split, which will target improved efficiency and simplification. The new companies will give full profit and loss responsibility to the business and consolidate central functions. The goal is to reduce selling, general and administrative (SG&A) costs by roughly €80 million. We view this incremental detail positively. Although the most recent quarter's results were disappointing, we have confidence that management has a solid plan to improve operations and simplify the business, and we believe the company is trading at a significant discount to our estimate of intrinsic value.

During the quarter, we sold our holdings in Ctrip.com and Pernod Ricard as they approached our estimate of fair value. We also sold our shares of MultiChoice Group, which we received as part of a corporate action related to our holding of Naspers. During the quarter, we initiated a position in Rolls Royce, a U.K.-based gas turbine engine manufacturer.

We continue to believe the Swiss franc is overvalued versus the U.S. dollar. As a result, we defensively hedged a portion of the Fund's exposure. Approximately 20% of the Swiss franc exposure was hedged at quarter end.

Geographically, we ended the quarter with approximately 79.2% of our holdings in Europe and the U.K., 12.6% in Asia, and 2.1% in Australasia. The remaining positions are 2.2% in South Africa, 1.7% in North America (Canada) and 0.9% in Latin America (Mexico).

We continue to focus on finding attractive, undervalued international companies with management teams focused on building shareholder value. We thank you for your continued support.

See accompanying Disclosures and Endnotes on page 84.

Oakmark.com 35



Oakmark International Fund  March 31, 2019 (Unaudited)

Schedule of Investments (in thousands)

   

Shares

 

Value

 

COMMON STOCKS - 94.8%

 

FINANCIALS - 25.3%

 

BANKS - 14.1%

 

BNP Paribas SA (France)

   

30,428

   

$

1,454,407

   

Intesa Sanpaolo SPA (Italy)

   

477,550

     

1,162,986

   
Lloyds Banking Group PLC
(United Kingdom)
   

1,242,487

     

1,005,597

   
Royal Bank of Scotland Group PLC
(United Kingdom)
   

185,150

     

595,638

   

Bank Mandiri Persero Tbk PT (Indonesia)

   

841,771

     

440,393

   

Axis Bank, Ltd. (India) (a)

   

16,433

     

184,380

   
         

4,843,401

   

DIVERSIFIED FINANCIALS - 7.6%

 

Credit Suisse Group AG (Switzerland)

   

103,073

     

1,201,266

   

EXOR N.V. (Netherlands) (b)

   

11,950

     

776,119

   

Schroders PLC (United Kingdom)

   

11,263

     

396,362

   

AMP, Ltd. (Australia) (b)

   

144,380

     

215,286

   
Schroders PLC, Non-Voting
(United Kingdom)
   

31

     

876

   
         

2,589,909

   

INSURANCE - 3.6%

 

Allianz SE (Germany)

   

3,761

     

836,423

   

Willis Towers Watson PLC (United States)

   

2,266

     

398,062

   
         

1,234,485

   
         

8,667,795

   

CONSUMER DISCRETIONARY - 21.4%

 

AUTOMOBILES & COMPONENTS - 12.7%

 

Daimler AG (Germany)

   

21,362

     

1,252,053

   

Continental AG (Germany)

   

6,553

     

986,406

   

Bayerische Motoren Werke AG (Germany)

   

12,461

     

961,020

   

Toyota Motor Corp. (Japan)

   

10,127

     

592,733

   

Valeo SA (France) (b)

   

18,729

     

543,092

   
         

4,335,304

   

RETAILING - 5.4%

 
Hennes & Mauritz AB (H&M) - Class B
(Sweden)
   

67,866

     

1,131,423

   

Naspers, Ltd. (South Africa)

   

3,137

     

724,451

   
         

1,855,874

   

CONSUMER SERVICES - 1.8%

 

Accor SA (France) (b)

   

15,346

     

621,591

   

CONSUMER DURABLES & APPAREL - 1.5%

 

Cie Financiere Richemont SA (Switzerland)

   

7,020

     

511,423

   
         

7,324,192

   
   

Shares

 

Value

 

INDUSTRIALS - 18.9%

 

CAPITAL GOODS - 13.3%

 

CNH Industrial N.V. (United Kingdom) (b)

   

101,203

   

$

1,028,986

   

Volvo AB, Class B (Sweden)

   

43,474

     

673,337

   

Komatsu, Ltd. (Japan)

   

27,941

     

648,029

   

Ashtead Group PLC (United Kingdom) (b)

   

24,751

     

597,182

   

SKF AB, Class B (Sweden) (b) (c)

   

26,156

     

434,379

   

Ferguson PLC (United Kingdom)

   

6,542

     

416,160

   

Rolls-Royce Holdings PLC (United Kingdom) (a)

   

29,338

     

345,121

   

Smiths Group PLC (United Kingdom)

   

16,717

     

312,436

   

Meggitt PLC (United Kingdom)

   

15,855

     

103,827

   
         

4,559,457

   

TRANSPORTATION - 3.4%

 

Ryanair Holdings PLC (Ireland) (a) (d)

   

10,291

     

771,233

   

Kuehne + Nagel International AG (Switzerland)

   

2,834

     

388,792

   
         

1,160,025

   

COMMERCIAL & PROFESSIONAL SERVICES - 2.2%

 

Bureau Veritas SA (France)

   

13,934

     

326,676

   

G4S PLC (United Kingdom) (b)

   

98,393

     

235,159

   

Experian PLC (United Kingdom)

   

3,828

     

103,646

   

Brambles, Ltd. (Australia)

   

9,611

     

80,252

   
         

745,733

   
         

6,465,215

   

COMMUNICATION SERVICES - 8.8%

 

MEDIA & ENTERTAINMENT - 8.8%

 

Publicis Groupe SA (France)

   

11,539

     

617,814

   

WPP PLC (United Kingdom)

   

49,673

     

524,562

   

NAVER Corp. (South Korea)

   

4,062

     

443,750

   
Liberty Global PLC, Class C
(United Kingdom) (a)
   

17,636

     

426,976

   

Baidu, Inc. (China) (a) (d)

   

2,304

     

379,779

   
Liberty Global PLC, Class A
(United Kingdom) (a)
   

13,514

     

336,759

   

Grupo Televisa SAB (Mexico) (d)

   

27,033

     

298,985

   
         

3,028,625

   

MATERIALS - 7.7%

 

Glencore PLC (Switzerland)

   

229,949

     

952,252

   

LafargeHolcim, Ltd. (Switzerland)

   

12,435

     

614,310

   

thyssenkrupp AG (Germany) (b)

   

36,646

     

503,362

   

Orica, Ltd. (Australia) (b)

   

30,684

     

384,110

   

Akzo Nobel N.V. (Netherlands)

   

2,186

     

193,717

   
         

2,647,751

   

See accompanying Notes to Financial Statements.

36 OAKMARK FUNDS



Oakmark International Fund  March 31, 2019 (Unaudited)

Schedule of Investments (in thousands) (continued)

   

Shares

 

Value

 

COMMON STOCKS - 94.8% (continued)

 

INFORMATION TECHNOLOGY - 4.8%

 

SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT - 2.8%

 

ASML Holding N.V. (Netherlands)

   

2,804

   

$

525,971

   
Taiwan Semiconductor Manufacturing Co.,
Ltd. (Taiwan)
   

51,616

     

411,146

   
         

937,117

   

TECHNOLOGY HARDWARE & EQUIPMENT - 2.0%

 

Samsung Electronics Co., Ltd. (South Korea)

   

13,285

     

522,573

   

Omron Corp. (Japan)

   

3,719

     

173,806

   
         

696,379

   
         

1,633,496

   

HEALTH CARE - 3.7%

 

PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES - 2.9%

 

Bayer AG (Germany)

   

15,225

     

983,754

   

HEALTH CARE EQUIPMENT & SERVICES - 0.8%

 

Olympus Corp. (Japan)

   

26,929

     

292,053

   
         

1,275,807

   

CONSUMER STAPLES - 2.8%

 

FOOD, BEVERAGE & TOBACCO - 1.6%

 

Danone SA (France)

   

2,555

     

196,880

   

Nestlé SA (Switzerland)

   

1,949

     

185,728

   

Diageo PLC (United Kingdom)

   

3,719

     

152,007

   
         

534,615

   

HOUSEHOLD & PERSONAL PRODUCTS - 1.0%

 
Reckitt Benckiser Group PLC
(United Kingdom)
   

4,261

     

354,176

   

FOOD & STAPLES RETAILING - 0.2%

 
Alimentation Couche-Tard, Inc.,
Class B (Canada)
   

1,508

     

88,831

   
         

977,622

   

ENERGY - 1.4%

 

Cenovus Energy, Inc. (Canada)

   

53,879

     

467,693

   
TOTAL COMMON STOCKS - 94.8%
(COST $35,123,768)
       

32,488,196

   
   

Par Value

 

Value

 

SHORT-TERM INVESTMENTS - 4.4%

 

GOVERNMENT AND AGENCY SECURITIES - 3.4%

 
Federal National Mortgage Association,
2.31%, due 04/01/19 (e)
 

$

800,000

     

800,000

   
Federal Home Loan Bank,
2.28%, due 04/01/19 (e)
   

350,000

     

350,000

   
Total Government and Agency Securities
(Cost $1,150,000)
       

1,150,000

   
   

Par Value

 

Value

 

COMMERCIAL PAPER - 0.7%

 
General Mills, Inc., 144A, 2.63% - 2.73%,
due 04/01/19 - 04/22/19 (e) (f)
 

$

179,000

   

$

178,913

   
Schlumberger Holdings Corp., 144A,
2.96%, due 04/15/19 (e) (f)
   

41,000

     

40,954

   
Walgreens Boots,
2.89%, due 06/11/19 (e)
   

25,000

     

24,855

   
Total Commercial Paper - 0.7%
(Cost $244,728)
       

244,722

   

REPURCHASE AGREEMENT - 0.3%

 
Fixed Income Clearing Corp. Repurchase
Agreement, 1.50% dated 03/29/19 due
04/01/19, repurchase price $100,096,
collateralized by a United States Treasury
Note, 2.500% due 02/15/22, value plus
accrued interest of $102,089
(Cost: $100,083)
   

100,083

     

100,083

   
TOTAL SHORT-TERM INVESTMENTS - 4.4%
(COST $1,494,811)
       

1,494,805

   
TOTAL INVESTMENTS - 99.2%
(COST $36,618,579)
       

33,983,001

   

Foreign Currencies (Cost $5,018) - 0.0% (g)

       

5,015

   

Other Assets In Excess of Liabilities - 0.8%

       

284,364

   

TOTAL NET ASSETS - 100.0%

     

$

34,272,380

   

(a)  Non-income producing security

(b)  See Note 5 in the Notes to Financial Statements regarding investments in affiliated issuers.

(c)  A portion of the security out on loan.

(d)  Sponsored American Depositary Receipt

(e)  The rate shown represents the annualized yield at the time of purchase; not a coupon rate.

(f)  Security exempt from registration under Rule 144A of the Securities Act of 1933, as amended. These Securities may be resold, normally only to qualified institutional buyers.

(g)  Amount rounds to less than 0.1%.

See accompanying Notes to Financial Statements.

Oakmark.com 37



Oakmark International Fund  March 31, 2019 (Unaudited)

Schedule of Investments (in thousands) (continued)

FORWARD FOREIGN CURRENCY CONTRACTS

    Local
Contract
Amount
  Base
Contract
Amount
  Settlement
Date
  Valuation at
03/31/19
  Unrealized
Appreciation/
(Depreciation)
 

Foreign Currency Bought:

 

Swiss Franc

   

277,588

   

$

285,363

   

06/19/19

 

$

280,896

   

$

(4,467

)

 
               

$

280,896

   

$

(4,467

)

 

Foreign Currency Sold:

 

Swiss Franc

   

847,435

   

$

895,556

   

06/19/19

 

$

857,533

   

$

38,023

   
               

$

857,533

   

$

38,023

   

SCHEDULE OF TRANSACTIONS WITH AFFILIATED ISSUERS

Purchase and sale transactions and dividend and interest income earned during the period on these securities are set forth below (in thousands). The industry, country, or geographic region for each of the below affiliates can be found in the Schedule of Investments.

Affiliates

  Shares
Held
  Purchases
(Cost)
  Sales
(Proceeds)
  Realized
Gain/(Loss)
  Change in
Unrealized
  Dividend
Income
  Value
September 30,
2018
  Value
March 31,
2019
  Percent of
Net Assets
 

Accor SA

   

15,346

   

$

263,402

   

$

0

   

$

0

   

$

(120,027

)

 

$

0

   

$

478,216

   

$

621,591

     

1.8

%

 

AMP, Ltd. (a)

   

144,380

     

4,280

     

11,921

     

(7,797

)

   

(114,707

)

   

4,280

     

345,431

     

215,286

     

0.6

%

 

Ashtead Group PLC

   

24,751

     

257,695

     

115,298

     

(567

)

   

(128,779

)

   

2,207

     

584,132

     

597,182

     

1.7

%

 

CNH Industrial N.V.

   

101,203

     

0

     

118,887

     

(24,343

)

   

(180,109

)

   

0

     

1,352,325

     

1,028,986

     

3.0

%

 

EXOR N.V. (a)

   

11,950

     

0

     

117,291

     

(8,948

)

   

(31,035

)

   

0

     

933,393

     

776,119

     

2.3

%

 

G4S PLC

   

98,393

     

8,004

     

21,296

     

(8,450

)

   

(70,562

)

   

0

     

327,463

     

235,159

     

0.7

%

 

Orica, Ltd.

   

30,684

     

0

     

90,454

     

(56,129

)

   

63,874

     

8,604

     

466,819

     

384,110

     

1.1

%

 
SKF AB, Class B    

26,156

     

0

     

34,028

     

(11,188

)

   

(76,321

)

   

16,920

     

555,916

     

434,379

     

1.3

%

 

thyssenkrupp AG

   

36,646

     

549,605

     

0

     

0

     

(286,623

)

   

5,881

     

240,380

     

503,362

     

1.5

%

 

Valeo SA

   

18,729

     

113,625

     

0

     

0

     

(231,471

)

   

0

     

660,938

     

543,092

     

1.6

%

 

TOTAL

   

508,238

   

$

1,196,611

   

$

509,175

   

$

(117,422

)

 

$

(1,175,760

)

 

$

37,892

   

$

5,945,013

   

$

5,339,266

     

15.6

%

 

(a)  Due to transactions during the period ended March 31, 2019, the company is no longer an affiliate.

See accompanying Notes to Financial Statements.

38 OAKMARK FUNDS



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Oakmark.com 39



Oakmark International Small Cap Fund  March 31, 2019

Summary Information

VALUE OF A $10,000 INVESTMENT

Since 06/30/08 (Unaudited)

PERFORMANCE

 

 

Average Annual Total Returns (as of 03/31/19)

 

 
(Unaudited)   Total Return
Last 3 Months
 

1-year

 

3-year

 

5-year

 

10-year

  Since
Inception
  Inception
Date
 

Oakmark International Small Cap Fund (Investor Class)

   

13.00

%

   

-10.80

%

   

5.32

%

   

0.98

%

   

12.16

%

   

8.66

%

 

11/01/95

 

MSCI World ex U.S. Small Cap Index

   

10.93

%

   

-8.66

%

   

7.28

%

   

3.69

%

   

12.25

%

   

N/A

   

 

MSCI World ex U.S. Index15

   

10.45

%

   

-3.14

%

   

7.29

%

   

2.20

%

   

8.82

%

   

5.06

%

 

 

Lipper International Small Cap Fund Index20

   

11.26

%

   

-10.08

%

   

6.64

%

   

3.33

%

   

12.51

%

   

N/A

   

 

Oakmark International Small Cap Fund (Advisor Class)

   

12.99

%

   

-10.75

%

   

N/A

     

N/A

     

N/A

     

5.09

%

 

11/30/16

 

Oakmark International Small Cap Fund (Institutional Class)

   

12.94

%

   

-10.61

%

   

N/A

     

N/A

     

N/A

     

5.21

%

 

11/30/16

 

Oakmark International Small Cap Fund (Service Class)

   

12.90

%

   

-11.02

%

   

5.00

%

   

0.70

%

   

11.83

%

   

8.54

%

 

01/08/01

 

The graph and table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or the redemption of Fund shares.

Past performance is no guarantee of future results. The performance data quoted represents past performance. Current performance may be lower or higher than the performance data quoted. Total return includes change in share prices and, in each case, includes reinvestment of dividends and capital gain distributions. The investment return and principal value vary so that an investor's shares, when redeemed, may be worth more or less than the original cost. The performance of the Fund does not reflect the 2% redemption fee imposed on shares redeemed within 90 days of purchase. To obtain the most recent month-end performance, please visit Oakmark.com.

TOP TEN EQUITY HOLDINGS6

 

% of Net Assets

 

Azimut Holding SPA

 

3.5

   

Konecranes OYJ

 

3.5

   

Julius Baer Group, Ltd.

 

3.1

   

BNK Financial Group, Inc.

 

3.0

   

Duerr AG

 

2.8

   

Sugi Holdings Co., Ltd.

 

2.7

   

Mitie Group PLC

 

2.7

   

Element Fleet Management Corp.

 

2.7

   

Controladora Vuela Cia de Aviacion SAB de CV

 

2.6

   

Travis Perkins PLC

 

2.6

   

FUND STATISTICS

 

Ticker*

 

OAKEX

 

Number of Equity Holdings

 

61

 

Net Assets

 

$1.4 billion

 

Weighted Average Market Cap

 

$3.3 billion

 

Median Market Cap

 

$2.7 billion

 

Gross Expense Ratio - Investor Class (as of 09/30/18)*

 

1.36%

 

Net Expense Ratio - Investor Class (as of 09/30/18)*

 

1.36%

 

*  This information is related to the Investor Class. Please visit Oakmark.com for information related to the Advisor, Institutional and Service Classes.

SECTOR ALLOCATION

  % of Net Assets  

Industrials

   

38.4

   

Financials

   

17.5

   

Communication Services

   

8.9

   

Consumer Discretionary

   

7.5

   

Health Care

   

6.1

   

Consumer Staples

   

5.8

   

Information Technology

   

5.8

   

Materials

   

4.0

   

Real Estate

   

1.8

   

Short-Term Investments and Other

   

4.2

   

GEOGRAPHIC ALLOCATION

 

 

% of Equity

 

Europe

   

69.1

   

United Kingdom

   

23.1

   

Switzerland

   

10.4

   

Italy*

   

6.6

   

Finland*

   

6.0

   

Netherlands*

   

3.7

   

France*

   

3.7

   

Germany*

   

3.0

   

Denmark

   

2.6

   

Belgium*

   

2.3

   

Sweden

   

2.3

   

Norway

   

2.1

   

Spain*

   

1.6

   

Portugal*

   

1.0

   

Greece*

   

0.7

   
   

% of Equity

 

Asia

   

14.4

   

South Korea

   

5.3

   

Japan

   

5.0

   

Indonesia

   

3.3

   

India

   

0.8

   

Australasia

   

8.0

   

Australia

   

6.2

   

New Zealand

   

1.8

   

Latin America

   

5.1

   

Mexico

   

4.6

   

Brazil

   

0.5

   

North America

   

3.4

   

Canada

   

3.4

   

*  Euro currency countries comprise 28.6% of equity investments.

See accompanying Disclosures and Endnotes on page 84.

40 OAKMARK FUNDS



Oakmark International Small Cap Fund  March 31, 2019

Portfolio Manager Commentary

David G. Herro, CFA

Portfolio Manager

oakex@oakmark.com

Michael L. Manelli, CFA

Portfolio Manager

oakex@oakmark.com

Justin D. Hance, CFA

Portfolio Manager

oakex@oakmark.com

For the quarter ended March 31, 2019, the Oakmark International Small Cap Fund returned 13%, comparing favorably to the MSCI World ex U.S. Small Cap Index19, which returned 10.9% for the same period. Since the Fund's inception in November 1995, it has returned an average of 8.7% per year.

The largest contributor to performance in the Fund this quarter was Azimut Holding, which was the largest detractor in the fourth quarter of 2018 and was discussed in our last Fund report. Azimut is an Italian asset management company, based in Milan, with increasingly significant international operations in 16 countries. The company operates an integrated distribution and investment management model, aimed primarily at private clients. In January, Azimut announced a change to its fee structure that will lead to higher recurring fees and lower performance fees, and the new calculation of its performance fees will be more consistent with market practice. We view this change favorably as it will reduce the volatility of the business model. In addition, the company reported 2018 financial results that were in line with estimates and management expressed confidence in achieving its business plan target of €300 million of net profit in 2019. This result, if achieved, would be well ahead of market estimates. Along with the release, the company announced a €1.50 per share dividend. This significantly exceeded estimates and amounted to a nearly 12% yield at the time of announcement, which we believe reflects the company's strong balance sheet and cash flow generation. We continue to be impressed with the shareholder-friendly orientation of management and the fact that management and employees own over 20% of the company's stock.

The largest detractor from performance for the quarter was BNK Financial Group, a banking, securities and financial services provider in the southeast region of South Korea. The company issued fiscal-year 2018 results in February that came in below expectations, reporting a net loss of 37B KRW for the fourth quarter of 2018. These results were due to higher loan loss provisions and charges associated with an early retirement program (ERP). We believe a significant portion of these charges were one time in nature, given relatively stable underlying asset quality, coupled with an expected benefit from the ERP. The market was also disappointed that BNK's transition to a more efficient capital structure is taking longer than expected due to a change in regulatory personnel. The bank now expects the benefits of this transition to flow through in the first or second quarter of fiscal year 2019. While this is certainly disappointing, management has reiterated its targeted benefit of 60-100 basis points and indicated that the group will reach a CET121 of nearly 11% by the end of 2019. The stronger capital base should not only help assuage investor concerns but also enable BNK to

increase its dividend payout ratio and even potentially consider a buyback. Given that the company's stock trades at 4x trailing earnings (including the aforementioned one-time charges), we believe a higher dividend payout would be viewed quite positively by the market.

We initiated five new holdings in the Fund this quarter: Bharti Infratel, the largest telecom tower company in India; Dometic Group, a Swedish manufacturer of a wide array of appliances and accessories for the RV, marine and automotive industries; Autoliv, also Swedish-based and a past Fund holding, a developer and manufacturer of automotive safety systems with sales to all leading car manufacturers worldwide; DS Smith, a U.K.-based international paper company that designs and manufactures packaging products for consumer goods; and lastly, Italy-based Autogrill, the world's largest supplier of food and beverage services to travelers. During the quarter, we eliminated one position in Cosmo Lady (China).

Geographically, we ended the quarter with approximately 69% of our holdings in Europe and the U.K., 14% in Asia, and 8% in Australasia. The remaining positions are 5% in Latin America (Mexico and Brazil) and 3% in North America (Canada).

We continue to believe both the Swiss franc and Norwegian krone are overvalued versus the U.S. dollar. As a result, we defensively hedged 19% of the Fund's franc exposure and 29% of the krone exposure.

Thank you for your continued confidence and support.

See accompanying Disclosures and Endnotes on page 84.

Oakmark.com 41



Oakmark International Small Cap Fund  March 31, 2019 (Unaudited)

Schedule of Investments (in thousands)

   

Shares

 

Value

 

COMMON STOCKS - 95.8%

 

INDUSTRIALS - 38.4%

 

CAPITAL GOODS - 17.6%

 

Konecranes OYJ (Finland) (a)

   

1,395

   

$

49,583

   

Duerr AG (Germany)

   

1,036

     

40,636

   

Travis Perkins PLC (United Kingdom)

   

2,053

     

36,652

   

Sulzer AG (Switzerland)

   

268

     

26,111

   

Metso OYJ (Finland)

   

688

     

23,649

   

Howden Joinery Group PLC (United Kingdom)

   

3,366

     

21,274

   
Morgan Advanced Materials PLC
(United Kingdom)
   

5,617

     

17,778

   

Bucher Industries AG (Switzerland)

   

37

     

12,407

   

Outotec OYJ (Finland) (b)

   

2,212

     

9,705

   

Wajax Corp. (Canada)

   

623

     

7,800

   

dormakaba Holding AG (Switzerland)

   

7

     

5,212

   
         

250,807

   

COMMERCIAL & PROFESSIONAL SERVICES - 15.9%

 

Mitie Group PLC (United Kingdom) (c)

   

20,078

     

38,912

   

Pagegroup PLC (United Kingdom)

   

4,824

     

29,532

   
Babcock International Group PLC
(United Kingdom)
   

4,416

     

28,384

   

Hays PLC (United Kingdom)

   

12,957

     

25,314

   

Randstad N.V. (Netherlands)

   

504

     

24,585

   

IWG PLC (Switzerland)

   

7,123

     

23,118

   

ISS A/S (Denmark)

   

720

     

21,895

   

Applus Services SA (Spain)

   

1,792

     

21,384

   

SThree PLC (United Kingdom)

   

4,042

     

14,162

   
         

227,286

   

TRANSPORTATION - 4.9%

 
Controladora Vuela Cia de Aviacion SAB de CV
(Mexico) (b) (d)
   

4,310

     

36,725

   

DSV AS (Denmark)

   

175

     

14,444

   

Freightways, Ltd. (New Zealand)

   

2,323

     

13,066

   
Panalpina Welttransport Holding AG
(Switzerland)
   

38

     

6,351

   
         

70,586

   
         

548,679

   

FINANCIALS - 17.5%

 

DIVERSIFIED FINANCIALS - 12.4%

 

Azimut Holding SPA (Italy)

   

2,965

     

50,385

   

Julius Baer Group, Ltd. (Switzerland)

   

1,108

     

44,745

   

Element Fleet Management Corp. (Canada)

   

6,064

     

38,344

   

EFG International AG (Switzerland)

   

3,875

     

24,515

   

Standard Life Aberdeen PLC (United Kingdom)

   

5,430

     

18,668

   
         

176,657

   

BANKS - 5.1%

 

BNK Financial Group, Inc. (South Korea)

   

7,397

     

43,530

   

DGB Financial Group, Inc. (South Korea)

   

4,109

     

29,577

   
         

73,107

   
         

249,764

   
   

Shares

 

Value

 

COMMUNICATION SERVICES - 8.9%

 

MEDIA & ENTERTAINMENT - 5.0%

 

Criteo SA (France) (b) (d)

   

1,398

   

$

27,992

   

NOS SGPS SA (Portugal)

   

2,149

     

13,739

   

Megacable Holdings SAB de CV (Mexico)

   

2,916

     

13,531

   

SKY Network Television, Ltd. (New Zealand)

   

13,436

     

11,803

   

Hakuhodo DY Holdings, Inc. (Japan)

   

228

     

3,654

   
         

70,719

   

TELECOMMUNICATION SERVICES - 3.9%

 
Tower Bersama Infrastructure Tbk PT
(Indonesia)
   

85,377

     

23,623

   
Sarana Menara Nusantara Tbk PT
(Indonesia)
   

399,442

     

22,020

   

Bharti Infratel, Ltd. (India)

   

2,321

     

10,502

   
         

56,145

   
         

126,864

   

CONSUMER DISCRETIONARY - 7.5%

 

AUTOMOBILES & COMPONENTS - 4.0%

 

Pirelli & C SPA (Italy) (b)

   

3,958

     

25,474

   

Autoliv, Inc. (Sweden)

   

216

     

15,897

   

Dometic Group AB (Sweden)

   

1,946

     

15,291

   
         

56,662

   

RETAILING - 1.9%

 

GrandVision N.V. (Netherlands)

   

1,242

     

26,881

   

CONSUMER SERVICES - 1.1%

 

Dignity PLC (United Kingdom)

   

1,099

     

9,796

   

Autogrill SpA (Italy)

   

680

     

6,543

   
         

16,339

   

CONSUMER DURABLES & APPAREL - 0.5%

 

Salvatore Ferragamo SPA (Italy)

   

362

     

7,759

   
         

107,641

   

HEALTH CARE - 6.1%

 

HEALTH CARE EQUIPMENT & SERVICES - 6.1%

 

ConvaTec Group PLC (United Kingdom)

   

19,880

     

36,651

   

Healius, Ltd. (Australia)

   

18,271

     

34,119

   

Ansell, Ltd. (Australia)

   

903

     

16,303

   
         

87,073

   

CONSUMER STAPLES - 5.8%

 

HOUSEHOLD & PERSONAL PRODUCTS - 3.1%

 

Ontex Group N.V. (Belgium)

   

1,413

     

31,787

   
Kimberly-Clark de Mexico SAB de CV,
Class A (Mexico) (b)
   

7,489

     

12,709

   
         

44,496

   

FOOD & STAPLES RETAILING - 2.7%

 

Sugi Holdings Co., Ltd. (Japan)

   

891

     

39,174

   
         

83,670

   

See accompanying Notes to Financial Statements.

42 OAKMARK FUNDS



Oakmark International Small Cap Fund  March 31, 2019 (Unaudited)

Schedule of Investments (in thousands) (continued)

   

Shares

 

Value

 

COMMON STOCKS - 95.8% (continued)

 

INFORMATION TECHNOLOGY - 5.8%

 

TECHNOLOGY HARDWARE & EQUIPMENT - 3.3%

 

Hirose Electric Co., Ltd. (Japan)

   

242

   

$

25,361

   

Ingenico Group SA (France)

   

313

     

22,370

   
         

47,731

   

SOFTWARE & SERVICES - 2.5%

 

Atea ASA (Norway) (b)

   

1,946

     

28,250

   

Totvs SA (Brazil)

   

730

     

7,350

   
         

35,600

   
         

83,331

   

MATERIALS - 4.0%

 

Incitec Pivot, Ltd. (Australia)

   

15,408

     

34,134

   

DS Smith PLC (United Kingdom)

   

3,145

     

13,759

   

Titan Cement Co. SA (Greece)

   

420

     

9,066

   
         

56,959

   

REAL ESTATE - 1.8%

 
LSL Property Services PLC
(United Kingdom) (c)
   

6,154

     

21,643

   

Countrywide PLC (United Kingdom) (b)

   

39,646

     

3,924

   
         

25,567

   
TOTAL COMMON STOCKS - 95.8%
(COST $1,441,802)
       

1,369,548

   
   

Par Value

 

Value

 

SHORT-TERM INVESTMENTS - 3.5%

 

REPURCHASE AGREEMENT - 1.8%

 
Fixed Income Clearing Corp. Repurchase
Agreement, 1.50% dated 03/29/19
due 04/01/19, repurchase price $25,676,
collateralized by a United States Treasury
Note, 2.500% due 02/15/22, value plus
accrued interest of $26,189 (Cost: $25,673)
 

$

25,673

     

25,673

   

GOVERNMENT AND AGENCY SECURITIES - 1.7%

 
Federal Home Loan Bank, 2.28%,
due 04/01/19 (e)
(Cost $25,000)
   

25,000

     

25,000

   
TOTAL SHORT-TERM INVESTMENTS - 3.5%
(COST $50,673)
       

50,673

   
TOTAL INVESTMENTS - 99.3%
(COST $1,492,475)
       

1,420,221

   

Foreign Currencies (Cost $22) - 0.0% (f)

       

22

   

Other Assets In Excess of Liabilities - 0.7%

       

10,047

   

TOTAL NET ASSETS - 100.0%

     

$

1,430,290

   

(a)  A portion of the security out on loan.

(b)  Non-income producing security

(c)  See Note 5 in the Notes to Financial Statements regarding investments in affiliated issuers.

(d)  Sponsored American Depositary Receipt

(e)  The rate shown represents the annualized yield at the time of purchase; not a coupon rate.

(f)  Amount rounds to less than 0.1%.

See accompanying Notes to Financial Statements.

Oakmark.com 43



Oakmark International Small Cap Fund  March 31, 2019 (Unaudited)

Schedule of Investments (in thousands) (continued)

FORWARD FOREIGN CURRENCY CONTRACTS

    Local
Contract
Amount
  Base
Contract
Amount
  Settlement
Date
  Valuation at
03/31/19
  Unrealized
Appreciation/
(Depreciation)
 

Foreign Currency Bought:

 

Norwegian Krona

   

30,867

   

$

3,672

   

06/19/19

 

$

3,590

   

$

(82

)

 

Swiss Franc

   

9,149

     

9,405

   

06/19/19

   

9,258

     

(147

)

 
               

$

12,848

   

$

(229

)

 

Foreign Currency Sold:

 

Norwegian Krona

   

101,163

   

$

12,389

   

06/19/19

 

$

11,767

   

$

622

   

Swiss Franc

   

31,555

     

33,333

   

06/19/19

   

31,931

     

1,402

   
               

$

43,698

   

$

2,024

   

SCHEDULE OF TRANSACTIONS WITH AFFILIATED ISSUERS

Purchase and sale transactions and dividend and interest income earned during the period on these securities are set forth below (in thousands). The industry, country or geographic region for each of the below affiliates can be found in the Schedule of Investments.

Affiliates

  Shares
Held
  Purchases
(Cost)
  Sales
(Proceeds)
  Realized
Gain/(Loss)
  Change in
Unrealized
  Dividend
Income
  Value
September 30,
2018
  Value
March 31,
2019
  Percent of
Net Assets
 

LSL Property Services PLC

   

6,154

   

$

0

   

$

7,333

   

$

(7,796

)

 

$

7,426

   

$

564

   

$

29,346

   

$

21,643

     

1.5

%

 

Mitie Group PLC

   

20,078

     

127

     

10,356

     

(5,946

)

   

5,884

     

362

     

49,203

     

38,912

     

2.7

%

 

TOTAL

   

26,232

   

$

127

   

$

17,689

   

$

(13,742

)

 

$

13,310

   

$

926

   

$

78,549

   

$

60,555

     

4.2

%

 

See accompanying Notes to Financial Statements.

44 OAKMARK FUNDS



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Oakmark.com 45



Oakmark Funds

Statements of Assets and Liabilities—March 31, 2019 (Unaudited)

(in thousands except per share amounts)

    Oakmark
Fund
  Oakmark
Select
Fund
  Oakmark
Equity and
Income Fund
  Oakmark
Global
Fund
 

Assets

 

Investments in unaffiliated securities, at value (a)

 

$

18,530,438

   

$

4,643,219

   

$

12,754,995

   

$

1,826,331

   

Investments in affiliated securities, at value (b)

   

0

     

46,766

     

0

     

0

   

Cash

   

0

(c)

   

0

     

69

     

0

   

Foreign currency, at value (d)

   

0

(c)

   

0

     

0

(c)

   

0

(c)

 

Receivable for:

 

Securities sold

   

11,816

     

0

     

36,844

     

28,603

   

Fund shares sold

   

16,006

     

6,033

     

7,525

     

1,273

   

Dividends and interest from unaffiliated securities (Net of foreign tax withheld)

   

8,937

     

219

     

41,974

     

1,131

   

Dividends and interest from affiliated securities (Net of foreign tax withheld)

   

0

     

0

     

0

     

0

   

Forward foreign currency contracts

   

0

     

0

     

0

     

1,771

   

Tax reclaim from unaffiliated securities

   

1,842

     

28

     

4,046

     

2,799

   

Total receivables

   

38,601

     

6,280

     

90,389

     

35,577

   

Other assets

   

82

     

45

     

67

     

37

   

Total assets

 

$

18,569,121

   

$

4,696,310

   

$

12,845,520

   

$

1,861,945

   

Liabilities and net assets

 

Payable for:

 

Securities purchased

 

$

334,330

   

$

0

   

$

0

   

$

952

   

Fund shares redeemed

   

38,566

     

5,668

     

12,113

     

10,984

   

Options written, at value

   

6,526

(e)

   

483

(e)

   

0

     

0

   

Investment advisory fee

   

2,025

     

618

     

1,263

     

296

   

Other shareholder servicing fees

   

3,747

     

1,229

     

4,067

     

482

   

Transfer and dividend disbursing agent fees

   

191

     

110

     

126

     

67

   

Trustees' fees

   

14

     

14

     

12

     

14

   

Deferred trustee compensation

   

1,069

     

934

     

920

     

432

   

Other

   

1,356

     

390

     

990

     

623

   

Total liabilities

   

387,824

     

9,446

     

19,491

     

13,850

   

Net assets applicable to Fund shares outstanding

 

$

18,181,297

   

$

4,686,864

   

$

12,826,029

   

$

1,848,095

   

Analysis of net assets

 

Paid in capital

 

$

11,644,114

   

$

3,313,283

   

$

9,042,415

   

$

1,547,955

   

Distributable earnings

   

6,537,183

     

1,373,581

     

3,783,614

     

300,140

   

Net assets applicable to Fund shares outstanding

 

$

18,181,297

   

$

4,686,864

   

$

12,826,029

   

$

1,848,095

   

Price of shares

 

Net asset value, offering and redemption price per share: Investor Class

 

$

77.10

   

$

38.83

   

$

29.24

   

$

26.48

   

Investor Class—Net assets

 

$

10,002,862

   

$

3,308,489

   

$

9,997,107

   

$

1,142,144

   

Investor Class—Shares outstanding (Unlimited shares authorized)

   

129,736

     

85,211

     

341,842

     

43,131

   

Net asset value, offering and redemption price per share: Advisor Class

 

$

77.07

   

$

38.82

   

$

29.25

   

$

26.48

   

Advisor Class—Net assets

 

$

5,406,063

   

$

648,663

   

$

1,372,242

   

$

404,888

   

Advisor Class—Shares outstanding (Unlimited shares authorized)

   

70,143

     

16,709

     

46,921

     

15,292

   

Net asset value, offering and redemption price per share: Institutional Class

 

$

77.10

   

$

38.83

   

$

29.25

   

$

26.48

   

Institutional Class—Net assets

 

$

2,656,900

   

$

720,779

   

$

1,137,699

   

$

288,083

   

Institutional Class—Shares outstanding (Unlimited shares authorized)

   

34,462

     

18,564

     

38,895

     

10,879

   

Net asset value, offering and redemption price per share: Service Class

 

$

76.86

(f)

 

$

38.29

(f)

 

$

29.09

   

$

25.70

   

Service Class—Net assets

 

$

115,472

   

$

8,933

   

$

318,981

   

$

12,980

   

Service Class—Shares outstanding (Unlimited shares authorized)

   

1,502

     

233

     

10,964

     

505

   
(a) Identified cost of investments in unaffiliated securities.  

$

13,023,916

   

$

3,031,987

   

$

9,589,030

   

$

1,543,080

   
(b) Identified cost of investments in affiliated securities.    

0

     

30,508

     

0

     

0

   
(c) Amount rounds to less than $1,000.                                  
(d) Identified cost of foreign currency.    

0

(c)

   

0

     

0

(c)

   

0

(c)

 
(e) Written options premiums received $9,919 and $890 (in thousands) for Oakmark and Select Funds, respectively.                                  
(f) Net assets have been rounded for presentation purposes. The net asset value per share shown is as reported on March 31, 2019.                                  

See accompanying Notes to Financial Statements.

46 OAKMARK FUNDS



    Oakmark
Global Select
Fund
  Oakmark
International
Fund
  Oakmark
International
Small Cap Fund
 

Assets

 

Investments in unaffiliated securities, at value (a)

 

$

1,938,156

   

$

29,635,140

   

$

1,359,666

   

Investments in affiliated securities, at value (b)

   

0

     

4,347,861

     

60,555

   

Cash

   

0

     

0

(c)

   

0

   

Foreign currency, at value (d)

   

0

(c)

   

5,015

     

22

   

Receivable for:

 

Securities sold

   

0

     

218,181

     

2,730

   

Fund shares sold

   

1,533

     

69,111

     

1,241

   

Dividends and interest from unaffiliated securities (Net of foreign tax withheld)

   

868

     

73,386

     

6,597

   

Dividends and interest from affiliated securities (Net of foreign tax withheld)

   

0

     

16,920

     

564

   

Forward foreign currency contracts

   

3,173

     

33,556

     

1,795

   

Tax reclaim from unaffiliated securities

   

3,412

     

62,867

     

1,610

   

Total receivables

   

8,986

     

474,021

     

14,537

   

Other assets

   

37

     

132

     

36

   

Total assets

 

$

1,947,179

   

$

34,462,169

   

$

1,434,816

   

Liabilities and net assets

 

Payable for:

 

Securities purchased

 

$

0

   

$

106,511

   

$

1,745

   

Fund shares redeemed

   

1,676

     

59,521

     

935

   

Options written, at value

   

0

     

0

     

0

   

Investment advisory fee

   

301

     

4,380

     

269

   

Other shareholder servicing fees

   

452

     

8,663

     

557

   

Transfer and dividend disbursing agent fees

   

18

     

126

     

24

   

Trustees' fees

   

15

     

38

     

15

   

Deferred trustee compensation

   

23

     

761

     

428

   

Other

   

267

     

9,789

     

553

   

Total liabilities

   

2,752

     

189,789

     

4,526

   

Net assets applicable to Fund shares outstanding

 

$

1,944,427

   

$

34,272,380

   

$

1,430,290

   

Analysis of net assets

 

Paid in capital

 

$

1,834,194

   

$

38,304,639

   

$

1,665,100

   

Distributable earnings

   

110,233

     

(4,032,259

)

   

(234,810

)

 

Net assets applicable to Fund shares outstanding

 

$

1,944,427

   

$

34,272,380

   

$

1,430,290

   

Price of shares

 

Net asset value, offering and redemption price per share: Investor Class

 

$

16.31

   

$

22.31

   

$

14.08

   

Investor Class—Net assets

 

$

921,788

   

$

16,005,129

   

$

622,955

   

Investor Class—Shares outstanding (Unlimited shares authorized)

   

56,519

     

717,536

     

44,257

   

Net asset value, offering and redemption price per share: Advisor Class

 

$

16.30

   

$

22.29

   

$

14.09

   

Advisor Class—Net assets

 

$

472,574

   

$

7,982,459

   

$

144,502

   

Advisor Class—Shares outstanding (Unlimited shares authorized)

   

28,996

     

358,158

     

10,259

   

Net asset value, offering and redemption price per share: Institutional Class

 

$

16.30

   

$

22.30

   

$

14.05

   

Institutional Class—Net assets

 

$

550,065

   

$

9,929,289

   

$

661,605

   

Institutional Class—Shares outstanding (Unlimited shares authorized)

   

33,743

     

445,186

     

47,085

   

Net asset value, offering and redemption price per share: Service Class

 

$

0

   

$

22.46

   

$

14.00

(f)

 

Service Class—Net assets

 

$

0

   

$

355,503

   

$

1,228

   

Service Class—Shares outstanding (Unlimited shares authorized)

   

0

     

15,828

     

88

   
(a) Identified cost of investments in unaffiliated securities.  

$

1,748,912

   

$

31,032,765

   

$

1,403,529

   
(b) Identified cost of investments in affiliated securities.    

0

     

5,585,814

     

88,946

   
(c) Amount rounds to less than $1,000.                          
(d) Identified cost of foreign currency.    

0

(c)

   

5,018

     

22

   
(e) Written options premiums received $9,919 and $890 (in thousands) for Oakmark and Select Funds, respectively.                          
(f) Net assets have been rounded for presentation purposes. The net asset value per share shown is as reported on March 31, 2019.                          

Oakmark.com 47



Oakmark Funds

Statements of Operations—March 31, 2019 (Unaudited)

(in thousands)

    Oakmark
Fund
  Oakmark
Select
Fund
  Oakmark
Equity and
Income Fund
  Oakmark
Global
Fund
 

Investment Income:

 

Dividends from unaffiliated securities

 

$

137,624

   

$

26,960

   

$

80,075

   

$

9,529

   

Dividends from affiliated securities

   

0

     

0

     

0

     

0

   

Interest income from unaffiliated securities

   

14,120

     

3,109

     

77,758

     

464

   

Non-cash dividends from affiliated securities

   

0

     

0

     

0

     

0

   

Non-cash dividends from unaffiliated securities

   

9,093

     

8,762

     

0

     

0

   

Foreign taxes withheld

   

0

     

0

     

(291

)

   

(100

)

 

Total investment income

   

160,837

     

38,831

     

157,542

     

9,893

   

Expenses:

 

Investment advisory fee

   

67,832

     

21,757

     

47,846

     

9,905

   

Transfer and dividend disbursing agent fees

   

479

     

257

     

330

     

139

   

Other shareholder servicing fees—Investor Class

   

9,952

     

3,269

     

10,566

     

1,116

   

Other shareholder servicing fees—Advisor Class

   

1,556

     

103

     

325

     

124

   

Other shareholder servicing fees—Service Class

   

130

     

13

     

402

     

14

   

Service fee—Service Class

   

160

     

13

     

510

     

17

   

Reports to shareholders

   

637

     

149

     

231

     

66

   

Custody and accounting fees

   

290

     

133

     

239

     

180

   

Registration and blue sky expenses

   

179

     

111

     

70

     

51

   

Trustees' fees

   

104

     

30

     

85

     

58

   

Legal fees

   

117

     

66

     

99

     

52

   

Audit and tax services fees

   

25

     

10

     

20

     

10

   

Other

   

267

     

165

     

222

     

119

   

Total expenses

   

81,728

     

26,076

     

60,945

     

11,851

   

Advisory fee waiver

   

(3,961

)

   

(1,803

)

   

(6,656

)

   

(569

)

 

Net expenses

   

77,767

     

24,273

     

54,289

     

11,282

   

Net investment income (loss)

 

$

83,070

   

$

14,558

   

$

103,253

   

$

(1,389

)

 

Net realized and unrealized gain (loss):

 

Net realized gain (loss) on:

 

Unaffiliated investments

   

942,340

     

(138,859

)

   

584,753

     

47,988

(a)

 

Affiliated investments

   

0

     

(178,678

)

   

0

     

0

   

Foreign currency transactions

   

0

     

0

     

22

     

(47

)

 

Written options

   

43,779

     

26,818

     

0

     

0

   

Purchased options

   

32,909

     

27,774

     

0

     

0

   

Net realized gain (loss)

   

1,019,028

     

(262,945

)

   

584,775

     

47,941

   

Net change in unrealized appreciation (depreciation) on:

 

Unaffiliated investments

   

(2,579,181

)

   

(498,625

)

   

(972,531

)

   

(202,855

)(b)

 

Affiliated investments

   

0

     

50,067

     

0

     

0

   

Forward foreign currency contracts

   

0

     

0

     

0

     

1,248

   

Foreign currency translation

   

0

(c)

   

0

     

0

(c)

   

(84

)

 

Written options

   

3,961

     

407

     

0

     

0

   

Net change in unrealized appreciation (depreciation)

   

(2,575,220

)

   

(448,151

)

   

(972,531

)

   

(201,691

)

 

Net realized and unrealized loss

   

(1,556,192

)

   

(711,096

)

   

(387,756

)

   

(153,750

)

 

Net decrease in net assets resulting from operations

 

$

(1,473,122

)

 

$

(696,538

)

 

$

(284,503

)

 

$

(155,139

)

 
(a) Net of capital gain withholding taxes of $115 and $1,558 (in thousands) for the Oakmark Global Fund and the Oakmark International Fund,
respectively.
                                 
(b) Includes net change in capital gain withholding taxes of $44, $(119) and $160 (in thousands) for the Oakmark Global Fund, the Oakmark
International Fund and the Oakmark International Small Cap Fund, respectively.
                                 
(c) Amount rounds to less than $1,000.                                  

See accompanying Notes to Financial Statements.

48 OAKMARK FUNDS



    Oakmark
Global Select
Fund
  Oakmark
International
Fund
  Oakmark
International
Small Cap Fund
 

Investment Income:

 

Dividends from unaffiliated securities

 

$

9,744

   

$

187,526

   

$

19,771

   

Dividends from affiliated securities

   

0

     

33,612

     

926

   

Interest income from unaffiliated securities

   

616

     

12,254

     

424

   

Non-cash dividends from affiliated securities

   

0

     

4,280

     

0

   

Non-cash dividends from unaffiliated securities

   

1,592

     

0

     

132

   

Foreign taxes withheld

   

(75

)

   

(20,299

)

   

(1,389

)

 

Total investment income

   

11,877

     

217,373

     

19,864

   

Expenses:

 

Investment advisory fee

   

10,758

     

149,270

     

9,538

   

Transfer and dividend disbursing agent fees

   

44

     

309

     

52

   

Other shareholder servicing fees—Investor Class

   

1,073

     

19,041

     

735

   

Other shareholder servicing fees—Advisor Class

   

118

     

2,017

     

108

   

Other shareholder servicing fees—Service Class

   

0

     

410

     

1

   

Service fee—Service Class

   

0

     

482

     

1

   

Reports to shareholders

   

58

     

1,222

     

108

   

Custody and accounting fees

   

148

     

2,720

     

242

   

Registration and blue sky expenses

   

61

     

261

     

57

   

Trustees' fees

   

98

     

270

     

57

   

Legal fees

   

55

     

209

     

52

   

Audit and tax services fees

   

12

     

62

     

6

   

Other

   

138

     

391

     

143

   

Total expenses

   

12,563

     

176,664

     

11,100

   

Advisory fee waiver

   

(692

)

   

(9,225

)

   

0

   

Net expenses

   

11,871

     

167,439

     

11,100

   

Net investment income (loss)

 

$

6

   

$

49,934

   

$

8,764

   

Net realized and unrealized gain (loss):

 

Net realized gain (loss) on:

 

Unaffiliated investments

   

(66,219

)

   

(977,355

)(a)

   

(140,199

)

 

Affiliated investments

   

0

     

(117,422

)

   

(13,742

)

 

Foreign currency transactions

   

(371

)

   

(2,346

)

   

(43

)

 

Written options

   

0

     

0

     

0

   

Purchased options

   

0

     

0

     

0

   

Net realized gain (loss)

   

(66,590

)

   

(1,097,123

)

   

(153,984

)

 

Net change in unrealized appreciation (depreciation) on:

 

Unaffiliated investments

   

(178,364

)

   

(1,817,430

)(b)

   

(51,215

)(b)

 

Affiliated investments

   

0

     

(1,175,760

)

   

13,310

   

Forward foreign currency contracts

   

2,186

     

23,979

     

1,637

   

Foreign currency translation

   

(91

)

   

(2,219

)

   

(89

)

 

Written options

   

0

     

0

     

0

   

Net change in unrealized appreciation (depreciation)

   

(176,269

)

   

(2,971,430

)

   

(36,357

)

 

Net realized and unrealized loss

   

(242,859

)

   

(4,068,553

)

   

(190,341

)

 

Net decrease in net assets resulting from operations

 

$

(242,853

)

 

$

(4,018,619

)

 

$

(181,577

)

 
(a) Net of capital gain withholding taxes of $115 and $1,558 (in thousands) for the Oakmark Global Fund and the Oakmark International Fund,
respectively.
                         
(b) Includes net change in capital gain withholding taxes of $44, $(119) and $160 (in thousands) for the Oakmark Global Fund, the Oakmark
International Fund and the Oakmark International Small Cap Fund, respectively.
                         
(c) Amount rounds to less than $1,000.                          

Oakmark.com 49



Oakmark Funds

Statements of Changes in Net Assets

(in thousands)

   

Oakmark Fund

 
    Six Months Ended
March 31, 2019
(Unaudited)
  Year Ended
September 30, 2018
 

From Operations:

 

Net investment income

 

$

83,070

   

$

144,411

   

Net realized gain (loss)

   

1,019,028

     

1,313,051

   

Net change in unrealized appreciation (depreciation)

   

(2,575,220

)

   

773,609

   

Net increase (decrease) in net assets from operations

   

(1,473,122

)

   

2,231,071

   

Distributions to shareholders from:

 

Distributions to shareholders—Investor Class

   

(704,953

)

   

(550,522

)

 

Distributions to shareholders—Advisor Class

   

(375,861

)

   

(100,133

)

 

Distributions to shareholders—Institutional Class

   

(184,715

)

   

(120,086

)

 

Distributions to shareholders—Service Class

   

(8,162

)

   

(6,230

)

 

Total distributions to shareholders

   

(1,273,691

)

   

(776,971

)

 

From Fund share transactions:

 

Proceeds from shares sold—Investor Class

   

910,854

     

2,261,721

   

Proceeds from shares sold—Advisor Class

   

1,207,208

     

3,722,462

   

Proceeds from shares sold—Institutional Class

   

440,269

     

1,165,291

   

Proceeds from shares sold—Service Class

   

11,323

     

27,447

   

Reinvestment of distributions—Investor Class

   

669,457

     

509,060

   

Reinvestment of distributions—Advisor Class

   

338,369

     

96,927

   

Reinvestment of distributions—Institutional Class

   

170,705

     

114,291

   

Reinvestment of distributions—Service Class

   

5,800

     

4,007

   

Payment for shares redeemed—Investor Class

   

(2,577,101

)

   

(5,282,088

)

 

Payment for shares redeemed—Advisor Class

   

(842,874

)

   

(547,951

)

 

Payment for shares redeemed—Institutional Class

   

(880,268

)

   

(733,978

)

 

Payment for shares redeemed—Service Class

   

(26,398

)

   

(68,095

)

 

Net increase (decrease) in net assets from Fund share transactions

   

(572,656

)

   

1,269,094

   

Total increase (decrease) in net assets

   

(3,319,469

)

   

2,723,194

   

Net assets:

 

Beginning of period

   

21,500,766

     

18,777,572

   

End of period

 

$

18,181,297

   

$

21,500,766

   

See accompanying Notes to Financial Statements.

50 OAKMARK FUNDS



Oakmark Funds

Statements of Changes in Net Assets (continued)

(in thousands)

   

Oakmark Fund (continued)

 
    Six Months Ended
March 31, 2019
(Unaudited)
  Year Ended
September 30, 2018
 

Fund share transactions—Investor Class:

 

Shares sold

   

12,140

     

26,267

   

Shares issued in reinvestment of dividends

   

9,363

     

6,131

   

Less shares redeemed

   

(33,645

)

   

(61,908

)

 

Net decrease in shares outstanding

   

(12,142

)

   

(29,510

)

 

Fund share transactions—Advisor Class:

 

Shares sold

   

16,056

     

43,620

   

Shares issued in reinvestment of dividends

   

4,736

     

1,167

   

Less shares redeemed

   

(11,281

)

   

(6,330

)

 

Net increase in shares outstanding

   

9,511

     

38,457

   

Fund share transactions—Institutional Class:

 

Shares sold

   

5,793

     

13,562

   

Shares issued in reinvestment of dividends

   

2,389

     

1,377

   

Less shares redeemed

   

(11,104

)

   

(8,520

)

 

Net increase (decrease) in shares outstanding

   

(2,922

)

   

6,419

   

Fund share transactions—Service Class:

 

Shares sold

   

153

     

321

   

Shares issued in reinvestment of dividends

   

81

     

49

   

Less shares redeemed

   

(352

)

   

(791

)

 

Net decrease in shares outstanding

   

(118

)

   

(421

)

 

See accompanying Notes to Financial Statements.

Oakmark.com 51



Oakmark Funds

Statements of Changes in Net Assets (continued)

(in thousands)

   

Oakmark Select Fund

 
    Six Months Ended
March 31, 2019
(Unaudited)
  Year Ended
September 30, 2018
 

From Operations:

 

Net investment income

 

$

14,558

   

$

14,624

   

Net realized gain (loss)

   

(262,945

)

   

230,349

   

Net change in unrealized appreciation (depreciation)

   

(448,151

)

   

(245,831

)

 

Net decrease in net assets from operations

   

(696,538

)

   

(858

)

 

Distributions to shareholders from:

 

Distributions to shareholders—Investor Class

   

(151,364

)

   

(196,568

)

 

Distributions to shareholders—Advisor Class

   

(30,451

)

   

(28,500

)

 

Distributions to shareholders—Institutional Class

   

(31,261

)

   

(33,290

)

 

Distributions to shareholders—Service Class

   

(474

)

   

(947

)

 

Total distributions to shareholders

   

(213,550

)

   

(259,305

)

 

From Fund share transactions:

 

Proceeds from shares sold—Investor Class

   

338,076

     

846,315

   

Proceeds from shares sold—Advisor Class

   

146,298

     

249,464

   

Proceeds from shares sold—Institutional Class

   

127,609

     

233,379

   

Proceeds from shares sold—Service Class

   

787

     

2,244

   

Reinvestment of distributions—Investor Class

   

141,311

     

174,064

   

Reinvestment of distributions—Advisor Class

   

26,475

     

27,196

   

Reinvestment of distributions—Institutional Class

   

30,237

     

32,196

   

Reinvestment of distributions—Service Class

   

343

     

692

   

Payment for shares redeemed—Investor Class

   

(876,612

)

   

(1,301,272

)

 

Payment for shares redeemed—Advisor Class

   

(125,924

)

   

(107,731

)

 

Payment for shares redeemed—Institutional Class

   

(161,418

)

   

(149,287

)

 

Payment for shares redeemed—Service Class

   

(4,105

)

   

(16,160

)

 

Net decrease in net assets from Fund share transactions

   

(356,923

)

   

(8,900

)

 

Total decrease in net assets

   

(1,267,011

)

   

(269,063

)

 

Net assets:

 

Beginning of period

   

5,953,875

     

6,222,938

   

End of period

 

$

4,686,864

   

$

5,953,875

   

See accompanying Notes to Financial Statements.

52 OAKMARK FUNDS



Oakmark Funds

Statements of Changes in Net Assets (continued)

(in thousands)

   

Oakmark Select Fund (continued)

 
    Six Months Ended
March 31, 2019
(Unaudited)
  Year Ended
September 30, 2018
 

Fund share transactions—Investor Class:

 

Shares sold

   

8,756

     

17,795

   

Shares issued in reinvestment of dividends

   

3,969

     

3,719

   

Less shares redeemed

   

(22,985

)

   

(27,522

)

 

Net decrease in shares outstanding

   

(10,260

)

   

(6,008

)

 

Fund share transactions—Advisor Class:

 

Shares sold

   

3,824

     

5,277

   

Shares issued in reinvestment of dividends

   

744

     

581

   

Less shares redeemed

   

(3,360

)

   

(2,284

)

 

Net increase in shares outstanding

   

1,208

     

3,574

   

Fund share transactions—Institutional Class:

 

Shares sold

   

3,390

     

4,918

   

Shares issued in reinvestment of dividends

   

850

     

688

   

Less shares redeemed

   

(4,235

)

   

(3,096

)

 

Net increase in shares outstanding

   

5

     

2,510

   

Fund share transactions—Service Class:

 

Shares sold

   

21

     

47

   

Shares issued in reinvestment of dividends

   

10

     

15

   

Less shares redeemed

   

(109

)

   

(343

)

 

Net decrease in shares outstanding

   

(78

)

   

(281

)

 

See accompanying Notes to Financial Statements.

Oakmark.com 53



Oakmark Funds

Statements of Changes in Net Assets (continued)

(in thousands)

   

Oakmark Equity and Income Fund

 
    Six Months Ended
March 31, 2019
(Unaudited)
  Year Ended
September 30, 2018
 

From Operations:

 

Net investment income

 

$

103,253

   

$

246,520

   

Net realized gain (loss)

   

584,775

     

1,135,028

   

Net change in unrealized appreciation (depreciation)

   

(972,531

)

   

(544,315

)

 

Net increase (decrease) in net assets from operations

   

(284,503

)

   

837,233

   

Distributions to shareholders from:

 

Distributions to shareholders—Investor Class

   

(941,613

)

   

(1,028,274

)

 

Distributions to shareholders—Advisor Class

   

(129,602

)

   

(117,247

)

 

Distributions to shareholders—Institutional Class

   

(86,752

)

   

(52,083

)

 

Distributions to shareholders—Service Class

   

(33,588

)

   

(45,277

)

 

Total distributions to shareholders

   

(1,191,555

)

   

(1,242,881

)

 

From Fund share transactions:

 

Proceeds from shares sold—Investor Class

   

395,974

     

1,076,379

   

Proceeds from shares sold—Advisor Class

   

368,550

     

1,156,367

   

Proceeds from shares sold—Institutional Class

   

342,464

     

600,636

   

Proceeds from shares sold—Service Class

   

26,672

     

65,361

   

Reinvestment of distributions—Investor Class

   

898,150

     

964,309

   

Reinvestment of distributions—Advisor Class

   

104,433

     

114,065

   

Reinvestment of distributions—Institutional Class

   

77,505

     

49,867

   

Reinvestment of distributions—Service Class

   

30,244

     

40,453

   

Payment for shares redeemed—Investor Class

   

(2,284,147

)

   

(3,797,581

)

 

Payment for shares redeemed—Advisor Class

   

(666,768

)

   

(234,941

)

 

Payment for shares redeemed—Institutional Class

   

(214,231

)

   

(134,560

)

 

Payment for shares redeemed—Service Class

   

(139,354

)

   

(264,351

)

 

Net decrease in net assets from Fund share transactions

   

(1,060,508

)

   

(363,996

)

 

Total decrease in net assets

   

(2,536,566

)

   

(769,644

)

 

Net assets:

 

Beginning of period

   

15,362,595

     

16,132,239

   

End of period

 

$

12,826,029

   

$

15,362,595

   

See accompanying Notes to Financial Statements.

54 OAKMARK FUNDS



Oakmark Funds

Statements of Changes in Net Assets (continued)

(in thousands)

   

Oakmark Equity and Income Fund (continued)

 
    Six Months Ended
March 31, 2019
(Unaudited)
  Year Ended
September 30, 2018
 

Fund share transactions—Investor Class:

 

Shares sold

   

13,537

     

32,946

   

Shares issued in reinvestment of dividends

   

32,506

     

30,257

   

Less shares redeemed

   

(78,148

)

   

(115,720

)

 

Net decrease in shares outstanding

   

(32,105

)

   

(52,517

)

 

Fund share transactions—Advisor Class:

 

Shares sold

   

12,286

     

34,825

   

Shares issued in reinvestment of dividends

   

3,781

     

3,579

   

Less shares redeemed

   

(22,004

)

   

(7,206

)

 

Net increase (decrease) in shares outstanding

   

(5,937

)

   

31,198

   

Fund share transactions—Institutional Class:

 

Shares sold

   

11,709

     

18,327

   

Shares issued in reinvestment of dividends

   

2,806

     

1,565

   

Less shares redeemed

   

(7,405

)

   

(4,132

)

 

Net increase in shares outstanding

   

7,110

     

15,760

   

Fund share transactions—Service Class:

 

Shares sold

   

925

     

2,013

   

Shares issued in reinvestment of dividends

   

1,099

     

1,275

   

Less shares redeemed

   

(4,917

)

   

(8,172

)

 

Net decrease in shares outstanding

   

(2,893

)

   

(4,884

)

 

See accompanying Notes to Financial Statements.

Oakmark.com 55



Oakmark Funds

Statements of Changes in Net Assets (continued)

(in thousands)

   

Oakmark Global Fund

 
    Six Months Ended
March 31, 2019
(Unaudited)
  Year Ended
September 30, 2018
 

From Operations:

 

Net investment income (loss)

 

$

(1,389

)

 

$

19,629

   

Net realized gain (loss)

   

47,941

     

252,613

   

Net change in unrealized appreciation (depreciation)

   

(201,691

)

   

(237,104

)

 

Net increase (decrease) in net assets from operations

   

(155,139

)

   

35,138

   

Distributions to shareholders from:

 

Distributions to shareholders—Investor Class

   

(149,145

)

   

(127,621

)

 

Distributions to shareholders—Advisor Class

   

(48,794

)

   

(39,730

)

 

Distributions to shareholders—Institutional Class

   

(35,358

)

   

(25,397

)

 

Distributions to shareholders—Service Class

   

(1,591

)

   

(1,620

)

 

Total distributions to shareholders

   

(234,888

)

   

(194,368

)

 

From Fund share transactions:

 

Proceeds from shares sold—Investor Class

   

86,206

     

164,664

   

Proceeds from shares sold—Advisor Class

   

107,972

     

167,263

   

Proceeds from shares sold—Institutional Class

   

40,637

     

109,691

   

Proceeds from shares sold—Service Class

   

1,246

     

3,827

   

Reinvestment of distributions—Investor Class

   

146,750

     

120,084

   

Reinvestment of distributions—Advisor Class

   

41,642

     

38,466

   

Reinvestment of distributions—Institutional Class

   

34,773

     

25,034

   

Reinvestment of distributions—Service Class

   

1,323

     

1,382

   

Payment for shares redeemed—Investor Class

   

(331,432

)

   

(501,876

)

 

Payment for shares redeemed—Advisor Class

   

(107,944

)

   

(231,717

)

 

Payment for shares redeemed—Institutional Class

   

(62,512

)

   

(88,710

)

 

Payment for shares redeemed—Service Class

   

(3,468

)

   

(9,759

)

 

Net decrease in net assets from Fund share transactions

   

(44,807

)

   

(201,651

)

 

Total decrease in net assets

   

(434,834

)

   

(360,881

)

 

Net assets:

 

Beginning of period

   

2,282,929

     

2,643,810

   

End of period

 

$

1,848,095

   

$

2,282,929

   

See accompanying Notes to Financial Statements.

56 OAKMARK FUNDS



Oakmark Funds

Statements of Changes in Net Assets (continued)

(in thousands)

   

Oakmark Global Fund (continued)

 
    Six Months Ended
March 31, 2019
(Unaudited)
  Year Ended
September 30, 2018
 

Fund share transactions—Investor Class:

 

Shares sold

   

3,286

     

4,864

   

Shares issued in reinvestment of dividends

   

5,960

     

3,688

   

Less shares redeemed

   

(12,463

)

   

(14,992

)

 

Net decrease in shares outstanding

   

(3,217

)

   

(6,440

)

 

Fund share transactions—Advisor Class:

 

Shares sold

   

4,159

     

4,941

   

Shares issued in reinvestment of dividends

   

1,692

     

1,182

   

Less shares redeemed

   

(4,220

)

   

(7,011

)

 

Net increase (decrease) in shares outstanding

   

1,631

     

(888

)

 

Fund share transactions—Institutional Class:

 

Shares sold

   

1,560

     

3,231

   

Shares issued in reinvestment of dividends

   

1,413

     

769

   

Less shares redeemed

   

(2,435

)

   

(2,663

)

 

Net increase in shares outstanding

   

538

     

1,337

   

Fund share transactions—Service Class:

 

Shares sold

   

48

     

117

   

Shares issued in reinvestment of dividends

   

55

     

44

   

Less shares redeemed

   

(128

)

   

(304

)

 

Net decrease in shares outstanding

   

(25

)

   

(143

)

 

See accompanying Notes to Financial Statements.

Oakmark.com 57



Oakmark Funds

Statements of Changes in Net Assets (continued)

(in thousands)

   

Oakmark Global Select Fund

 
    Six Months Ended
March 31, 2019
(Unaudited)
  Year Ended
September 30, 2018
 

From Operations:

 

Net investment income

 

$

6

   

$

35,000

   

Net realized gain (loss)

   

(66,590

)

   

90,070

   

Net change in unrealized appreciation (depreciation)

   

(176,269

)

   

(150,120

)

 

Net decrease in net assets from operations

   

(242,853

)

   

(25,050

)

 

Distributions to shareholders from:

 

Distributions to shareholders—Investor Class

   

(48,631

)

   

(100,367

)

 

Distributions to shareholders—Advisor Class

   

(22,415

)

   

(13,449

)

 

Distributions to shareholders—Institutional Class

   

(29,376

)

   

(37,975

)

 

Total distributions to shareholders

   

(100,422

)

   

(151,791

)

 

From Fund share transactions:

 

Proceeds from shares sold—Investor Class

   

115,071

     

312,981

   

Proceeds from shares sold—Advisor Class

   

202,351

     

406,970

   

Proceeds from shares sold—Institutional Class

   

105,853

     

316,755

   

Reinvestment of distributions—Investor Class

   

46,961

     

90,867

   

Reinvestment of distributions—Advisor Class

   

17,974

     

13,241

   

Reinvestment of distributions—Institutional Class

   

26,197

     

34,448

   

Payment for shares redeemed—Investor Class

   

(462,905

)

   

(923,672

)

 

Payment for shares redeemed—Advisor Class

   

(151,497

)

   

(92,436

)

 

Payment for shares redeemed—Institutional Class

   

(255,446

)

   

(130,821

)

 

Net increase (decrease) in net assets from Fund share transactions

   

(355,441

)

   

28,333

   

Total decrease in net assets

   

(698,716

)

   

(148,508

)

 

Net assets:

 

Beginning of period

   

2,643,143

     

2,791,651

   

End of period

 

$

1,944,427

   

$

2,643,143

   

Fund share transactions—Investor Class:

 

Shares sold

   

6,986

     

16,114

   

Shares issued in reinvestment of dividends

   

3,139

     

4,762

   

Less shares redeemed

   

(29,193

)

   

(48,164

)

 

Net decrease in shares outstanding

   

(19,068

)

   

(27,288

)

 

Fund share transactions—Advisor Class:

 

Shares sold

   

12,898

     

21,245

   

Shares issued in reinvestment of dividends

   

1,203

     

694

   

Less shares redeemed

   

(9,707

)

   

(4,826

)

 

Net increase in shares outstanding

   

4,394

     

17,113

   

Fund share transactions—Institutional Class:

 

Shares sold

   

6,633

     

16,338

   

Shares issued in reinvestment of dividends

   

1,753

     

1,805

   

Less shares redeemed

   

(16,605

)

   

(6,865

)

 

Net increase (decrease) in shares outstanding

   

(8,219

)

   

11,278

   

See accompanying Notes to Financial Statements.

58 OAKMARK FUNDS



Oakmark Funds

Statements of Changes in Net Assets (continued)

(in thousands)

   

Oakmark International Fund

 
    Six Months Ended
March 31, 2019
(Unaudited)
  Year Ended
September 30, 2018
 

From Operations:

 

Net investment income

 

$

49,934

   

$

892,273

   

Net realized gain (loss)

   

(1,097,123

)

   

2,422,631

   

Net change in unrealized appreciation (depreciation)

   

(2,971,430

)

   

(6,533,163

)

 

Net decrease in net assets from operations

   

(4,018,619

)

   

(3,218,259

)

 

Distributions to shareholders from:

 

Distributions to shareholders—Investor Class

   

(1,081,892

)

   

(919,542

)

 

Distributions to shareholders—Advisor Class

   

(482,914

)

   

(60,615

)

 

Distributions to shareholders—Institutional Class

   

(657,691

)

   

(290,720

)

 

Distributions to shareholders—Service Class

   

(21,994

)

   

(15,478

)

 

Total distributions to shareholders

   

(2,244,491

)

   

(1,286,355

)

 

From Fund share transactions:

 

Proceeds from shares sold—Investor Class

   

2,517,767

     

9,695,235

   

Proceeds from shares sold—Advisor Class

   

5,269,080

     

6,180,935

   

Proceeds from shares sold—Institutional Class

   

2,515,472

     

7,718,127

   

Proceeds from shares sold—Service Class

   

58,015

     

151,888

   

Reinvestment of distributions—Investor Class

   

1,028,969

     

784,197

   

Reinvestment of distributions—Advisor Class

   

299,593

     

59,372

   

Reinvestment of distributions—Institutional Class

   

573,447

     

253,244

   

Reinvestment of distributions—Service Class

   

13,692

     

10,046

   

Payment for shares redeemed—Investor Class

   

(8,807,107

)

   

(13,901,741

)

 

Payment for shares redeemed—Advisor Class

   

(2,531,238

)

   

(923,852

)

 

Payment for shares redeemed—Institutional Class

   

(3,545,745

)

   

(2,240,981

)

 

Payment for shares redeemed—Service Class

   

(97,252

)

   

(252,017

)

 

Net increase (decrease) in net assets from Fund share transactions

   

(2,705,307

)

   

7,534,453

   

Total increase (decrease) in net assets

   

(8,968,417

)

   

3,029,839

   

Net assets:

 

Beginning of period

   

43,240,797

     

40,210,958

   

End of period

 

$

34,272,380

   

$

43,240,797

   

See accompanying Notes to Financial Statements.

Oakmark.com 59



Oakmark Funds

Statements of Changes in Net Assets (continued)

(in thousands)

   

Oakmark International Fund (continued)

 
    Six Months Ended
March 31, 2019
(Unaudited)
  Year Ended
September 30, 2018
 

Fund share transactions—Investor Class:

 

Shares sold

   

112,802

     

340,458

   

Shares issued in reinvestment of dividends

   

48,720

     

27,887

   

Less shares redeemed

   

(395,178

)

   

(496,528

)

 

Net decrease in shares outstanding

   

(233,656

)

   

(128,183

)

 

Fund share transactions—Advisor Class:

 

Shares sold

   

239,480

     

220,376

   

Shares issued in reinvestment of dividends

   

14,199

     

2,111

   

Less shares redeemed

   

(115,496

)

   

(34,239

)

 

Net increase in shares outstanding

   

138,183

     

188,248

   

Fund share transactions—Institutional Class:

 

Shares sold

   

112,361

     

271,962

   

Shares issued in reinvestment of dividends

   

27,165

     

9,003

   

Less shares redeemed

   

(159,186

)

   

(81,821

)

 

Net increase (decrease) in shares outstanding

   

(19,660

)

   

199,144

   

Fund share transactions—Service Class:

 

Shares sold

   

2,595

     

5,373

   

Shares issued in reinvestment of dividends

   

643

     

355

   

Less shares redeemed

   

(4,277

)

   

(8,923

)

 

Net decrease in shares outstanding

   

(1,039

)

   

(3,195

)

 

See accompanying Notes to Financial Statements.

60 OAKMARK FUNDS



Oakmark Funds

Statements of Changes in Net Assets (continued)

(in thousands)

   

Oakmark International Small Cap Fund

 
    Six Months Ended
March 31, 2019
(Unaudited)
  Year Ended
September 30, 2018
 

From Operations:

 

Net investment income

 

$

8,764

   

$

39,430

   

Net realized gain (loss)

   

(153,984

)

   

154,983

   

Net change in unrealized appreciation (depreciation)

   

(36,357

)

   

(357,628

)

 

Net decrease in net assets from operations

   

(181,577

)

   

(163,215

)

 

Distributions to shareholders from:

 

Distributions to shareholders—Investor Class

   

(54,731

)

   

(60,954

)

 

Distributions to shareholders—Advisor Class

   

(10,864

)

   

(16,063

)

 

Distributions to shareholders—Institutional Class

   

(55,242

)

   

(34,570

)

 

Distributions to shareholders—Service Class

   

(94

)

   

(65

)

 

Total distributions to shareholders

   

(120,931

)

   

(111,652

)

 

From Fund share transactions:

 

Proceeds from shares sold—Investor Class

   

85,857

     

320,386

   

Proceeds from shares sold—Advisor Class

   

82,198

     

163,934

   

Proceeds from shares sold—Institutional Class

   

194,719

     

320,908

   

Proceeds from shares sold—Service Class

   

146

     

272

   

Reinvestment of distributions—Investor Class

   

53,553

     

57,643

   

Reinvestment of distributions—Advisor Class

   

8,540

     

15,895

   

Reinvestment of distributions—Institutional Class

   

45,336

     

28,214

   

Reinvestment of distributions—Service Class

   

59

     

45

   

Payment for shares redeemed—Investor Class

   

(391,971

)

   

(1,056,113

)

 

Payment for shares redeemed—Advisor Class

   

(257,049

)

   

(181,976

)

 

Payment for shares redeemed—Institutional Class

   

(313,417

)

   

(234,128

)

 

Payment for shares redeemed—Service Class

   

(322

)

   

(645

)

 

Redemption fees—Investor Class

   

61

     

199

   

Redemption fees—Advisor Class

   

3

     

34

   

Redemption fees—Institutional Class

   

84

     

28

   

Redemption fees—Service Class

   

0

     

0

(a)

 

Net decrease in net assets from Fund share transactions

   

(492,203

)

   

(565,304

)

 

Total decrease in net assets

   

(794,711

)

   

(840,171

)

 

Net assets:

 

Beginning of period

   

2,225,001

     

3,065,172

   

End of period

 

$

1,430,290

   

$

2,225,001

   

See accompanying Notes to Financial Statements.

Oakmark.com 61



Oakmark Funds

Statements of Changes in Net Assets (continued)

(in thousands)

   

Oakmark International Small Cap Fund (continued)

 
    Six Months Ended
March 31, 2019
(Unaudited)
  Year Ended
September 30, 2018
 

Fund share transactions—Investor Class:

 

Shares sold

   

6,182

     

18,197

   

Shares issued in reinvestment of dividends

   

4,135

     

3,361

   

Less shares redeemed

   

(28,097

)

   

(60,845

)

 

Net decrease in shares outstanding

   

(17,780

)

   

(39,287

)

 

Fund share transactions—Advisor Class:

 

Shares sold

   

5,890

     

9,396

   

Shares issued in reinvestment of dividends

   

659

     

927

   

Less shares redeemed

   

(17,512

)

   

(10,514

)

 

Net decrease in shares outstanding

   

(10,963

)

   

(191

)

 

Fund share transactions—Institutional Class:

 

Shares sold

   

13,870

     

18,288

   

Shares issued in reinvestment of dividends

   

3,509

     

1,646

   

Less shares redeemed

   

(23,062

)

   

(13,396

)

 

Net increase (decrease) in shares outstanding

   

(5,683

)

   

6,538

   

Fund share transactions—Service Class:

 

Shares sold

   

11

     

16

   

Shares issued in reinvestment of dividends

   

5

     

3

   

Less shares redeemed

   

(23

)

   

(38

)

 

Net decrease in shares outstanding

   

(7

)

   

(19

)

 

(a)  Amount rounds to less than $1,000.

See accompanying Notes to Financial Statements.

62 OAKMARK FUNDS



Oakmark Funds

Notes to Financial Statements

1.  SIGNIFICANT ACCOUNTING POLICIES

Organization

The following are the significant accounting policies of Oakmark Fund ("Oakmark"), Oakmark Select Fund ("Select"), Oakmark Equity and Income Fund ("Equity and Income"), Oakmark Global Fund ("Global"), Oakmark Global Select Fund ("Global Select"), Oakmark International Fund ("International"), and Oakmark International Small Cap Fund ("Int'l Small Cap"), collectively referred to as the "Funds," each a series of Harris Associates Investment Trust (the "Trust"), a Massachusetts business trust, organized on February 1, 1991, which is registered as an open-end management investment company under the Investment Company Act of 1940, as amended (the "1940 Act") and accordingly follows the investment company accounting and reporting guidance of the Financial Accounting Standards Board ("FASB") Accounting Standards Codification Topic 946 Financial Services—Investment Companies. Each Fund, other than Select and Global Select, is diversified in accordance with the 1940 Act. The following policies are in conformity with accounting principles generally accepted in the United States of America ("GAAP"). The presentation of financial statements in conformity with GAAP requires management to make estimates and assumptions that affect the reported amounts of assets and liabilities at the date of the financial statements and the reported amounts of revenues and expenses during the reporting period. Actual results could differ from those estimates and assumptions.

Class disclosure

Each Fund offers four classes of shares: Investor Class Shares, Advisor Class Shares, Institutional Class Shares and Service Class Shares. Investor Class, Advisor Class and Institutional Class Shares are offered for purchase directly from the Funds and through certain intermediaries who have entered into an agreement with the Funds' distributor and/or Harris Associates L.P., investment adviser to the Funds (the "Adviser"). Service Class Shares are offered to certain retirement plans, such as 401(k) and profit sharing plans. Service Class Shares pay a service fee at the annual rate of up to 0.25% of the average net assets of Service Class Shares of the Funds. This service fee is paid to intermediaries for performing the services associated with the administration of such retirement plans. Global Select had no outstanding Service Class Shares during the six-month period ended March 31, 2019.

Income, realized and unrealized capital gains and losses, and expenses of the Funds not directly attributable to a specific class of shares are allocated to each class pro rata based on the relative net assets of each class. Transfer and divided disbursing agent fees, other shareholder servicing fees, and reports to shareholders expenses are specific to each class.

Redemption fees

Effective December 3, 2018, Int'l Small Cap no longer imposes a short-term trading fee on redemptions. As of March 31, 2019, none of the Funds impose a short-term trading fee on redemptions.

Prior to December 3, 2018, Int'l Small Cap imposed a short-term trading fee on redemptions of shares held for 90 days or less to deter abusive trading activities and to help offset two types of costs to the Fund caused by abusive trading: portfolio transaction and market impact costs associated with erratic redemption activity and administrative costs associated with processing redemptions. The fee was paid to the Fund and was 2% of the redemption value and was deducted from either the redemption proceeds or from the balance in the account. The "first-in, first-out" ("FIFO") method was used to determine the holding period. Redemption fees collected by the Fund, if any, are included in the Statements of Changes in Net Assets.

Security valuation

The Funds' share prices or net asset values ("NAVs") are calculated as of the close of regular session trading (usually 4:00 p.m. Eastern time) on the New York Stock Exchange ("NYSE") on any day on which the NYSE is open for trading. Equity securities principally traded on securities exchanges in the United States and over-the-counter securities are valued at the last sales price or the official closing price on the day of valuation, or lacking any reported sales that day, at the most recent bid quotation. Securities traded on the NASDAQ National Market System are valued at the NASDAQ Official Closing Price ("NOCP"), or lacking an NOCP, at the most recent bid quotation on the NASDAQ National Market System. Equity securities principally traded on securities exchanges outside the United States are valued, depending on local convention or regulation, at the last sales price, the last bid or asked price, the mean between the last bid and asked prices, or the official closing price, or are based on a pricing composite as of the close of the regular trading hours on the appropriate exchange or other designated time. Each long-term debt instrument is valued at the latest bid quotation or an evaluated price provided by an independent pricing service. The pricing service may use standard inputs, such as benchmark yields, reported trades, broker/dealer quotes, issuer spreads, two-sided markets, benchmark securities, bids, offers, and reference data, including market research publications. For certain security types, additional inputs may be used or some of the standard inputs may not be applicable. Additionally, the pricing service monitors market indicators and industry and economic events, which may serve as a trigger to gather and possibly use additional market data. Each short-term debt instrument (i.e., debt instruments whose maturities or expiration dates at the time of acquisition are one year or less) or money market instrument maturing in 61 days or more from the date of valuation is valued at the latest bid quotation or an evaluated price provided by an independent pricing service. Each short-term instrument maturing in 60 days or less from the date of valuation is valued at amortized cost, which approximates market value. Options are valued at the mean of the most recent bid and asked quotations. In the event an option is out-of-the money and no bid is available, a zero value may be assumed as the bid for purposes of calculating the mean of the most recent bid and ask quotations.

Securities for which quotations are not readily available or securities that may have been affected by a significant event occurring between the close of a foreign market and the close of the NYSE are valued at fair value, determined by or under the direction of the pricing committee authorized by the Board of Trustees. A significant event may include the performance of U.S. markets since the close of foreign markets. The Funds may use a systematic fair valuation model provided by an independent pricing service to

Oakmark.com 63



Oakmark Funds

Notes to Financial Statements (continued)

value foreign securities in order to adjust local closing prices for information or events that may occur between the close of certain foreign exchanges and the close of the NYSE.

Fair value measurement

Various inputs are used in determining the value of each Fund's investments. These inputs are prioritized into three broad levels as follows:

Level 1—quoted prices in active markets for identical securities

Level 2—other significant observable inputs (including quoted prices for similar investments, interest rates, prepayment speeds, credit risk and others)

Level 3—significant unobservable inputs (including the assumptions of Harris Associates L.P. (the "Adviser") in determining the fair value of investments)

Observable inputs are those based on market data obtained from independent sources and unobservable inputs reflect the Adviser's own assumptions based on the best information available. The input levels are not necessarily an indication of risk or liquidity associated with investing in those securities.

At March 31, 2019, there were no transfers between level 1 and level 2 securities.

The following is a summary of the inputs used as of March 31, 2019, in valuing each Fund's assets and liabilities. Except for the industries or investment types separately stated below, the total amounts for common stocks, fixed income and short-term investments in the table below are presented by industry or investment type in each Fund's Schedule of Investments. Information on forward foreign currency contracts is presented in each Fund's Schedule of Investments.

(in thousands)

  Quoted Prices
in Active
Markets for
Identical
Assets
(Level 1)
  Other
Significant
Observable
Inputs
(Level 2)
  Significant
Unobservable
Inputs
(Level 3)
 

Oakmark

                         

Common Stocks

 

$

17,092,922

   

$

0

   

$

0

   

Short-Term Investments

   

0

     

1,437,516

     

0

   

Call Options Written

   

(6,526

)

   

0

     

0

   

Total

 

$

17,086,396

   

$

1,437,516

   

$

0

   

Select

                         

Common Stocks

 

$

4,525,804

   

$

0

   

$

0

   

Short-Term Investments

   

0

     

164,181

     

0

   

Call Options Written

   

(483

)

   

0

     

0

   

Total

 

$

4,525,321

   

$

164,181

   

$

0

   

Equity and Income

                         

Common Stocks

 

$

7,815,735

   

$

0

   

$

0

   

Preferred Stocks

   

12,955

     

0

     

0

   

Corporate Bonds

   

0

     

2,256,071

     

0

   

Government and Agency Securities

   

0

     

1,520,919

     

0

   

Convertible Bonds

   

0

     

13,820

     

0

   

Short-Term Investments

   

0

     

1,135,495

     

0

   

Total

 

$

7,828,690

   

$

4,926,305

   

$

0

   

Global

                         

Common Stocks

 

$

1,801,911

   

$

0

   

$

0

   

Short-Term Investments

   

0

     

24,420

     

0

   

Forward Foreign Currency Contracts - Assets

   

0

     

1,965

     

0

   

Forward Foreign Currency Contracts - Liabilities

   

0

     

(194

)

   

0

   

Total

 

$

1,801,911

   

$

26,191

   

$

0

   

64 OAKMARK FUNDS



Oakmark Funds

Notes to Financial Statements (continued)

(in thousands)

  Quoted Prices
in Active
Markets for
Identical
Assets
(Level 1)
  Other
Significant
Observable
Inputs
(Level 2)
  Significant
Unobservable
Inputs
(Level 3)
 

Global Select

                         

Common Stocks

 

$

1,874,481

   

$

0

   

$

0

   

Short-Term Investments

   

0

     

63,675

     

0

   

Forward Foreign Currency Contracts - Assets

   

0

     

3,709

     

0

   

Forward Foreign Currency Contracts - Liabilities

   

0

     

(536

)

   

0

   

Total

 

$

1,874,481

   

$

66,848

   

$

0

   

International

                         

Common Stocks

 

$

32,488,196

   

$

0

   

$

0

   

Short-Term Investments

   

0

     

1,494,805

     

0

   

Forward Foreign Currency Contracts - Assets

   

0

     

38,023

     

0

   

Forward Foreign Currency Contracts - Liabilities

   

0

     

(4,467

)

   

0

   

Total

 

$

32,488,196

   

$

1,528,361

   

$

0

   

International Small Cap

                         

Common Stocks

 

$

1,369,548

   

$

0

   

$

0

   

Short-Term Investments

   

0

     

50,673

     

0

   

Forward Foreign Currency Contracts - Assets

   

0

     

2,024

     

0

   

Forward Foreign Currency Contracts - Liabilities

   

0

     

(229

)

   

0

   

Total

 

$

1,369,548

   

$

52,468

   

$

0

   

Offsetting assets and liabilities

Accounting Standards Codification 210 requires entities to disclose gross and net information about instruments and transactions eligible for offset on the Statement of Assets and Liabilities and disclose instruments and transactions subject to master netting or similar agreements. This disclosure is limited to derivative instruments, repurchase and reverse repurchase agreements, and securities borrowing and lending transactions.

At March 31, 2019, certain Funds held open forward foreign currency contracts that were subject to a foreign exchange settlement and netting agreement with the same counterparty. The agreement includes provisions for general obligations, representations and certain events of default or termination. The agreement includes provisions for netting arrangements that may reduce credit risk and counterparty risk associated with relevant transactions in the event a counterparty fails to meet its obligations. The net recognized assets or liabilities related to open forward foreign currency contracts are presented in the Statements of Assets and Liabilities. The gross recognized assets (appreciation) and liabilities (depreciation) by contract are presented in the forward foreign currency contract table included in the Fund's Schedule of Investments.

At March 31, 2019, each Fund held investments in repurchase agreements. The gross value of these investments and the value of the related collateral are presented in each Fund's Schedule of Investments. The value of the related collateral for each Fund exceeded the value of the repurchase agreements held at period end.

The value of the securities on loan and the value of the related collateral as of period end, if any, are included in the Securities lending section of Note 1 to Financial Statements.

Foreign currency translations

Certain Funds invest in foreign securities, which may involve a number of risk factors and special considerations not present with investments in securities of U.S. corporations. Values of investments and other assets and liabilities denominated in foreign currencies are translated into U.S. dollars at current exchange rates obtained by a recognized bank, dealer or independent pricing service on the day of valuation. Purchases and sales of investments and dividend and interest income are converted at the prevailing rate of exchange on the respective dates of such transactions.

The Funds do not isolate that portion of the results of operations resulting from changes in foreign exchange rates on investments from the fluctuations arising from changes in market prices of securities held. Such fluctuations are included in net realized gain (loss) on investments and net change in unrealized appreciation (depreciation) on investments in the Statements of Operations. Net realized gains and losses on foreign currency transactions arising from the sale of foreign currencies, currency gains or losses realized between the trade and settlement dates on securities transactions and the difference between the amounts of dividends, interest and tax reclaims recorded and the U.S. dollar equivalent of the amounts actually received or paid are included in net realized gain (loss) on foreign currency transactions in the Statements of Operations. Unrealized gains and losses arising from

Oakmark.com 65



Oakmark Funds

Notes to Financial Statements (continued)

changes in the fair value of assets and liabilities, other than investments in securities, resulting from changes in exchange rates are included in net change in unrealized appreciation (depreciation) on foreign currency translation in the Statements of Operations.

Forward foreign currency contracts

Forward foreign currency contracts are agreements to exchange one currency for another at a future date and at a specified price. The Funds' transactions in forward foreign currency contracts are limited to transaction and portfolio hedging. The contractual amounts of forward foreign currency contracts do not necessarily represent the amounts potentially subject to risk. The measurement of the risks associated with these instruments is meaningful only when all related and offsetting transactions are considered and could exceed the net unrealized value shown in the tables below. Risks arise from the possible inability of counterparties to meet the terms of their contracts and from movements in currency values. Forward foreign currency contracts are valued at the current day's interpolated foreign exchange rates. Unrealized gain or loss on the contracts, as measured by the difference between the forward foreign exchange rates at the dates of entry into the contracts and the forward rates at the end of the period, is included in the Statements of Assets and Liabilities. Realized gains and losses and the net change in unrealized appreciation (depreciation) on forward foreign currency contracts for the period are included in the Statements of Operations.

At March 31, 2019, Global, Global Select, International and Int'l Small Cap held non-collateralized, forward foreign currency contracts, which are considered derivative instruments, each of whose counterparty is State Street Bank and Trust Company ("State Street") and are listed in the Fund's Schedule of Investments.

For the period ended March 31, 2019, the notional value of forward foreign currency contracts opened and the notional value of settled contracts is listed by Fund in the table below (in thousands):

Fund

  Currency
Contracts Opened
  Currency
Contracts Settled
 

Global

 

$

   

$

7,053

   

Global Select

   

     

19,520

   

International

   

76,878

     

285,363

   

Int'l Small Cap

   

3,606

     

13,077

   

Security transactions and investment income

Security transactions are accounted for on the trade date (date the order to buy or sell is executed) and dividend income is recorded on the ex-dividend date, except that certain dividends from foreign securities are recorded as soon as the information becomes available after the ex-dividend date. Interest income and expenses are recorded on an accrual basis. Discount is accreted on long-term fixed income securities using the yield-to-maturity method. Premium is amortized on long-term fixed income securities using the yield-to-earliest call method. Withholding taxes and tax reclaims on foreign dividends have been provided for in accordance with the Funds' understanding of the applicable country's tax rules and rates. Net realized gains and losses on investments are determined by the specific identification method.

Short sales

Each Fund may sell a security it does not own in anticipation of a decline in the fair value of that security. When a Fund sells a security short, it must borrow the security sold short and deliver it to the broker-dealer through which it made the short sale. A gain, limited to the price at which the Fund sold the security short, or loss, unlimited in size, will be recognized upon the termination of the short sale. Each Fund may sell shares of when-issued securities. Typically, a Fund sells when-issued securities when a company announces a spin-off or re-organization, and the post-spin-off or post-re-organization shares begin trading on a when-issued basis prior to the effective date of the corporate action. A sale of a when-issued security is treated as a short sale for accounting purposes. After the effective date, when shares of the new company are received, any shares sold on a when-issued basis will be delivered to the counterparty. At March 31, 2019, none of the Funds had short sales.

When-issued or delayed-delivery securities

Each Fund may purchase securities on a when-issued or delayed-delivery basis. Although the payment and interest terms of these securities are established at the time a Fund enters into the commitment, the securities may be delivered and paid for a month or more after the date of purchase when their value may have changed. A Fund makes such commitments only with the intention of actually acquiring the securities, but may sell the securities before the settlement date if the Adviser deems it advisable for investment reasons. At March 31, 2019, none of the Funds held when-issued securities.

Accounting for options

When a Fund writes an option, the premium received by the Fund is recorded as a liability and is subsequently adjusted to the current fair value of the option written. Premiums received from writing options that expire are recorded by the Fund on the expiration date as realized gains from option transactions. The difference between the premium and the amount paid on effecting a closing purchase transaction, including brokerage commissions, is also treated as a realized gain, or if the premium is less than the amount paid for the closing purchase transaction, as a realized loss. If a call option is exercised, the premium is added to the proceeds from the sale of the underlying security or currency in determining whether the Fund has realized a gain or a loss. If a put option is exercised, the premium reduces the cost basis of the security or currency purchased by the Fund. In writing an option, the Fund bears the market risk of an unfavorable change in the price of the security or currency underlying the written option. As the writer of a covered call option on a security, a Fund foregoes, during the option's life, the opportunity to profit from

66 OAKMARK FUNDS



Oakmark Funds

Notes to Financial Statements (continued)

increases in the market value of the security covering the call option above the sum of the premium and the exercise price of the call. Exercise of an option written by the Fund could result in the Fund selling or buying a security or currency at a price different from the current fair value. Options written by the Fund do not give rise to counterparty credit risk, as they obligate the Fund, not its counterparties, to perform.

When a Fund purchases an option, the premium paid by the Fund is recorded as an asset and is subsequently adjusted to the current fair value of the option purchased. Purchasing call options tends to increase the Fund's exposure to the underlying instrument. Purchasing put options tends to decrease the Fund's exposure to the underlying instrument. Premiums paid for purchasing options that expire are treated as realized losses. Premiums paid for purchasing options that are exercised or closed are added to the amounts paid or offset against the proceeds on the underlying security to determine the realized gain or loss. The risks associated with purchasing put and call options are potential loss of the premium paid and, in the instances of OTC derivatives, the failure of the counterparty to honor its obligation under the contract.

Oakmark and Select used options written for tax management purposes during the period ended March 31, 2019. Written options outstanding, if any, are listed on each Fund's Schedule of Investments.

Oakmark and Select used purchased options for tax management purposes during the period ended March 31, 2019. Oakmark and Select had net realized gains on purchased options of $32,909 and $27,774, respectively. There were no outstanding purchased options as of March 31, 2019.

Credit facility

The Trust has a $200 million committed unsecured line of credit and a $300 million uncommitted unsecured discretionary demand line of credit (the "Facility") with State Street. Borrowings under the facility bear interest at 1.25% above the greater of the Federal Funds Effective Rate or LIBOR, as defined in the credit agreement. To maintain the Facility, an annualized commitment fee of 0.20% on the unused committed portion is charged to the Trust. Fees and interest expense, if any, related to the Facility are included in other expenses in the Statements of Operations. There were no borrowings under the Facility during the period ended March 31, 2019.

Expense offset arrangement

State Street serves as custodian of the Funds. State Street's fee may be reduced by credits that are an earnings allowance calculated on the average daily cash balances each Fund maintains with State Street. Credit balances used to reduce the Funds' custodian fees, if any, are reported as a reduction of total expenses in the Statements of Operations. During the period ended March 31, 2019, none of the Funds received an expense offset credit.

Repurchase agreements

Each Fund may invest in repurchase agreements, which are short-term investments whereby the Fund acquires ownership of a debt security and the seller agrees to repurchase the security at a future date at a specified price.

The Funds' custodian receives delivery of the underlying securities collateralizing repurchase agreements. It is the Funds' policy that the value of the collateral be at least equal to 102% of the repurchase price, including interest. The Adviser is responsible for determining that the value of the collateral is at all times at least equal to 102% of the repurchase price, including interest. Repurchase agreements could involve certain risks in the event of default or insolvency of the counterparty, including possible delays or restrictions upon a Fund's ability to dispose of the underlying securities. At March 31, 2019, all of the Funds held repurchase agreements.

Security lending

Each Fund may lend its portfolio securities to broker-dealers and banks. Any such loan must be continuously secured by collateral in cash, cash equivalents, or U.S. Treasury or agency securities maintained on a current basis in an amount at least equal to the fair value of the securities loaned by a Fund. The Fund would continue to receive the equivalent of the interest or dividends paid by the issuer on the securities loaned and would also receive an additional return that may be in the form of a fixed fee or a percentage of the earnings on the collateral. The Fund has the right to call the loan and attempt to obtain the securities loaned at any time on notice of not more than five business days. In the event of bankruptcy or other default of the borrower, the Fund could experience delays in liquidating the loan collateral or recovering the loaned securities and incur expenses related to enforcing its rights. There could also be a decline in the value of the collateral or in the fair value of the securities loaned while the Fund seeks to enforce its rights thereto and the Fund could experience subnormal levels of income or lack of access to income during that period. A Fund may not exercise proxy voting rights for a security that is on loan if it is unable to recall the security prior to the record date. The Trust, on behalf of the Funds, has entered into an agreement with State Street to serve as its agent for the purpose of lending securities and maintaining the collateral account. Security lending income, if any, net of any fees retained by the securities lending agent, is included in the Statement of Operations.

At March 31, 2019, International and Int'l Small Cap had securities on loan with a value of $40,190,231 and $38,426,999, respectively, and held as collateral for the loans U.S. Treasury securities with a value of $42,216,733 and $40,381,849, respectively.

Oakmark.com 67



Oakmark Funds

Notes to Financial Statements (continued)

Interfund lending

Pursuant to an exemptive order issued by the SEC, the Funds may participate in an interfund lending program. This program provides an alternative credit facility that allows the Funds to lend money to, and borrow money from, each other for temporary purposes (an "Interfund Loan"). All Interfund Loans are subject to conditions pursuant to the SEC exemptive order designed to ensure fair and equitable treatment of participating Funds. Any Interfund Loan would consist only of uninvested cash reserves that the lending Fund otherwise would invest in short-term repurchase agreements or other short-term instruments.

During the six-month period ended March 31, 2019, Int'l Small Cap borrowed money from Equity and Income. The loan in the amount of $30 million was initiated on December 13, 2018 and $8 million was repaid on December 14, 2018 and $22 million on December 17, 2018. The interest rate on the borrowing was 2.495%. The total interest paid by Int'l Small Cap to Equity and Income was $6,654.

2.  TRANSACTIONS WITH AFFILIATES

Each Fund has an investment advisory agreement with the Adviser. For management services and facilities furnished, the Adviser receives from each Fund a monthly fee based on that Fund's net assets at the end of the preceding month. Annual fee rates are as follows:

Fund

 

Advisory Fees

 
Oakmark
 
 
 
 
 
 
 
 
  1.00% up to $2 billion;
0.90% on the next $1 billion;
0.80% on the next $2 billion;
0.75% on the next $2.5 billion;
0.675% on the next $2.5 billion;
0.625% on the next $2.5 billion;
0.620% on the next $12.5 billion;
0.615% on the next $10 billion; and
0.610% over $35 billion
 
Select
 
 
 
 
 
 
  1.00% up to $1 billion;
0.95% on the next $500 million;
0.90% on the next $500 million;
0.85% on the next $500 million;
0.80% on the next $2.5 billion;
0.75% on the next $5 billion; and
0.725% over $10 billion
 
Equity and Income
 
 
 
 
 
 
 
  0.75% up to $5 billion;
0.70% on the next $2.5 billion;
0.675% on the next $2.5 billion;
0.65% on the next $2.5 billion;
0.60% on the next $3.5 billion;
0.585% on the next $5 billion;
0.5775% on the next $7 billion; and
0.5725% over $28 billion
 

Fund

 

Advisory Fees

 
Global
 
 
 
  1.00% up to $2 billion;
0.95% on the next $2 billion;
0.90% on the next $4 billion; and
0.875% over $8 billion
 
Global Select
 
 
 
  1.00% up to $2 billion;
0.95% on the next $1 billion;
0.875% on the next $4 billion; and
0.85% over $7 billion
 
International
 
 
 
 
 
 
 
 
 
 
 
  1.00% up to $2 billion;
0.95% on the next $1 billion;
0.85% on the next $2 billion;
0.825% on the next $2.5 billion;
0.815% on the next $3.5 billion;
0.805% on the next $5.5 billion;
0.80% on the next $6.5 billion;
0.795% on the next $7 billion;
0.790% on the next $5 billion;
0.785% on the next $10 billion;
0.775% on the next $5 billion; and
0.770% over $50 billion
 
Int'l Small Cap
 
 
 
 
  1.25% up to $500 million;
1.10% on the next $1 billion;
1.05% on the next $2 billion;
1.025% on the next $1.5 billion; and
1.00% over $5 billion
 

The Adviser has contractually agreed, through January 27, 2020, to waive the advisory fee otherwise payable to it by the following percentages with respect to each Fund: 0.043% for Oakmark; 0.074% for Select; 0.099% for Equity and Income; 0.059% for Global; 0.066% for Global Select; and 0.052% for International. When determining whether a Fund's total expenses exceed the additional contractual expense cap described below, a Fund's net advisory fee, reflecting application of the advisory fee waiver, will be used to calculate a Fund's total expenses. The Adviser is not entitled to collect on or make a claim for waived fees that are the subject of this undertaking at any time in the future. This arrangement may only be modified or amended with approval from a Fund and the Adviser. The advisory fees waived for each Fund are included in the Statement of Operations.

The Adviser has contractually agreed, through January 27, 2020, to reimburse each Fund Class to the extent, but only to the extent, that the annualized expenses (excluding taxes, interest, all commissions and other normal charges incident to the

68 OAKMARK FUNDS



Oakmark Funds

Notes to Financial Statements (continued)

purchase and sale of portfolio securities, and extraordinary charges such as litigation costs, but including fees paid to the Adviser) exceed the percent set forth below of average daily net assets of each Fund Class.

Fund

  Investor
Class
  Advisor
Class
  Institutional
Class
  Service
Class
 

Oakmark

   

1.50

%

   

1.40

%

   

1.30

%

   

1.75

%

 

Select

   

1.50

     

1.40

     

1.30

     

1.75

   

Equity and Income

   

1.00

     

0.90

     

0.80

     

1.25

   

Global

   

1.75

     

1.65

     

1.55

     

2.00

   

Global Select

   

1.75

     

1.65

     

1.55

     

2.00

   

International

   

2.00

     

1.90

     

1.80

     

2.25

   

Int'l Small Cap

   

2.00

     

1.90

     

1.80

     

2.25

   

The Adviser is entitled to recoup from assets attributable to any Fund Class amounts reimbursed to that Fund Class, except to the extent that the Fund Class already has paid such recoupment to the Adviser or such recoupment would cause that Class' total operating expenses to exceed the expense limitation or to exceed any lower limit in effect at the time of recoupment. Any such repayment must be made within three fiscal years after the year in which the reimbursement occurred. As of March 31, 2019, there were no amounts subject to recoupment.

The Adviser has voluntarily reimbursed certain of the Funds for a portion of Transfer Agency costs. For the period ended March 31, 2019, the Adviser reimbursed $304 and $9,924 to Oakmark and International for transfer agency expenses related to Institutional Class Shares. These amounts are not subject to recovery under the contractual expense reimbursement agreement described above.

The Adviser and/or the Funds have entered into agreements with financial intermediaries to provide recordkeeping, processing, shareholder communications and other services to customers of the intermediaries and have agreed to compensate the intermediaries for providing those services. Certain of those services would be provided by the Funds if the shares of those customers were registered directly with the Funds' transfer agent. Accordingly, the Funds pay a portion of the intermediary fees pursuant to an agreement with the Adviser and the Adviser pays the remainder of the fees. The fees incurred by the Funds are reflected as other shareholder servicing fees in the Statements of Operations.

The Independent Trustees of the Trust may participate in the Trust's Deferred Compensation Plan for Independent Trustees. Participants in the plan may elect to defer all or a portion of their compensation. Amounts deferred are retained by the Trust and represent an unfunded obligation of the Trust. The value of a participant's deferral account is determined by reference to the change in value of Investor Class shares of one or more of the Funds or a money market fund as specified by the participant. Benefits would be payable after a stated number of years or retirement from the Board of Trustees. The accrued obligations of the Funds under the plan are reflected as deferred Trustee compensation in the Statements of Assets and Liabilities. The change in the accrued obligations for the period is included in Trustees' fees in the Statements of Operations. The Trust pays the compensation of the Trustees other than those affiliated with the Adviser and all expenses incurred in connection with their services to the Trust. The Trust does not provide any pension or retirement benefits to its Trustees.

The Funds reimburse the Adviser for a portion of the compensation paid to the Funds' Chief Compliance Officer ("CCO"). The CCO expenses incurred by the Funds are included in other expenses in the Statements of Operations.

3.  FEDERAL INCOME TAXES

It is each Fund's policy to comply with the requirements of the Internal Revenue Code applicable to regulated investment companies and to distribute substantially all of its net taxable income, including any net realized gains on investments, to its shareholders. Therefore, no federal income tax provision is required. The Adviser has determined that no income tax provision for uncertain tax positions is required in the Fund's financial statements. Generally, each of the tax years in the four-year period ended September 30, 2018, remains subject to examination by taxing authorities.

At March 31, 2019, the cost of investments for federal income tax purposes and related composition of unrealized gains and losses for each Fund were as follows (in thousands):

Fund

  Cost of Investments
for Federal Income
Tax Purposes
  Gross Unrealized
Appreciation
  Gross Unrealized
(Depreciation)
  Net Unrealized
Appreciation
(Depreciation)
 

Oakmark

 

$

13,065,738

   

$

5,648,518

   

$

(190,343

)

 

$

5,458,175

   

Select

   

3,061,615

     

1,645,591

     

(17,703

)

   

1,627,888

   

Equity and Income

   

9,588,062

     

3,336,777

     

(169,844

)

   

3,166,933

   

Global

   

1,563,111

     

389,419

     

(126,199

)

   

263,220

   

Global Select

   

1,763,412

     

309,688

     

(134,944

)

   

174,744

   

International

   

37,105,529

     

2,462,313

     

(5,584,825

)

   

(3,122,512

)

 

Int'l Small Cap

   

1,517,096

     

147,775

     

(244,650

)

   

(96,875

)

 

Oakmark.com 69



Oakmark Funds

Notes to Financial Statements (continued)

As of March 31, 2019, the short and long-term capital losses available to offset future capital gains were as follows (in thousands):

   

Short-Term

 

Long-Term

 

Total

 

Select

 

$

0

   

$

265,055

   

$

265,055

   

Global Select

   

32,648

     

31,887

     

64,535

   

International

   

931,634

     

23,865

     

955,499

   

Int'l Small Cap

   

92,831

     

54,848

     

147,679

   

At March 31, 2019, the components of distributable earnings on a tax basis (excluding unrealized appreciation (depreciation)) were as follows (in thousands):

    Undistributed
Ordinary Income
  Undistributed Long-
Term Gain
  Total Distributable
Earnings
 

Oakmark

 

$

44,313

   

$

1,035,770

   

$

1,080,083

   

Select

   

11,669

     

0

     

11,669

   

Equity and Income

   

48,587

     

568,983

     

617,570

   

Global

   

0

     

37,717

     

37,717

   

Global Select

   

183

     

0

     

183

   

International

   

55,682

     

0

     

55,682

   

Int'l Small Cap

   

10,395

     

0

     

10,395

   

During the six-month period ended March 31, 2019, and the year ended September 30, 2018, the tax character of distributions paid was as follows (in thousands):

    Period Ended
March 31, 2019
  Year Ended
September 30, 2018
 

Fund

  Distributions Paid
from Ordinary
Income
  Distributions Paid
from Long-Term
Capital Gain
  Distributions Paid
from Ordinary
Income
  Distributions Paid
from Long-Term
Capital Gain
 

Oakmark

 

$

127,332

   

$

1,146,359

   

$

97,783

   

$

679,188

   

Select

   

10,490

     

203,060

     

19,611

     

239,694

   

Equity and Income

   

225,244

     

966,311

     

216,186

     

1,026,695

   

Global

   

9,254

     

225,634

     

36,069

     

158,299

   

Global Select

   

30,475

     

69,947

     

26,254

     

125,537

   

International

   

703,497

     

1,540,994

     

580,203

     

706,152

   

Int'l Small Cap

   

23,599

     

97,332

     

37,632

     

74,020

   

On March 31, 2019, the Funds had temporary book/tax differences in undistributed earnings that were primarily attributable to trustee-deferred compensation expenses, passive foreign investment companies, foreign currency contracts and deferrals of capital losses on wash sales. Temporary differences will reverse over time. The Funds have permanent differences in book/tax undistributed earnings primarily attributable to equalization debits and distribution re-designations. Permanent differences will be recorded in their respective component of the analysis of Net Assets at the year ended September 30, 2019.

During the six-month period ended March 31, 2019, the following amounts were classified due to permanent differences between book and tax accounting. (in thousands):

Fund

  Paid in Capital   Distributable
Earnings
 

Oakmark

 

$

194,417

   

$

(194,417

)

 

Select

   

26,009

     

(26,009

)

 

Equity and Income

   

129,278

     

(129,278

)

 

Global

   

37,160

     

(37,160

)

 

Global Select

   

21,892

     

(21,892

)

 

International

   

457,552

     

(457,552

)

 
Int'l Small Cap    

39,093

     

(39,093

)

 

70 OAKMARK FUNDS



Oakmark Funds

Notes to Financial Statements (continued)

4.  INVESTMENT TRANSACTIONS

For the six-month period ended March 31, 2019, transactions in investment securities (excluding short-term and U.S. government securities) were as follows (in thousands):

   

Oakmark

 

Select

  Equity and
Income
 

Global

  Global
Select
 

International

  Int'l
Small Cap
 

Purchases

 

$

5,075,796

   

$

1,256,095

   

$

612,613

   

$

172,037

   

$

186,420

   

$

6,561,340

   

$

251,967

   

Proceeds from sales

   

6,886,813

     

1,736,534

     

1,678,698

     

429,122

     

639,368

     

11,383,728

     

829,816

   

Proceeds from sales (in thousands) of long-term U.S. government securities for the six-month period ended March 31, 2019, were $407,948, for Equity and Income.

During the six-month period ended March 31, 2019, Oakmark and Global Select engaged in purchase transactions (in thousands) totaling $96,893 and $40,682, respectively, with funds that have a common investment advisor. Oakmark, Select, Global Select, and Int'l Small Cap engaged in sale transactions (in thousands) totaling $40,682, $81,761, $12,561, and $208, respectively, with funds that have a common investment advisor. These transactions complied with Rule 17a-7 under the 1940 act.

5.  INVESTMENTS IN AFFILIATED ISSUERS

A company was considered to be an affiliate of a Fund because that Fund owned 5% or more of the company's voting securities during all or part of the six-month period ended March 31, 2019. Purchase and sale transactions and dividend and interest income earned during the period on these securities are listed after the applicable Fund's Schedule of Investments.

6.  SUBSEQUENT EVENTS

The Adviser has evaluated the possibility of subsequent events existing in the Funds' financial statements. The Adviser has determined that there are no material events that would require adjustment or disclosure in the Funds' financial statements through the date of the publication of this report.

Oakmark.com 71



Oakmark Funds

Financial Highlights

For a share outstanding throughout each period

     

Income from Investment Operations:

 

Less Distributions:

 
   

Net Asset
Value,
Beginning of
Period

 

Net
Investment
Income
(Loss)

 

Net Gain
(Loss) on
Investments
(Both
Realized and
Unrealized)

 

Total from
Investment
Operations

 

Distributions
from Net
Investment
Income

 

Distributions
from
Capital
Gains

 

Total
Distributions

 

Redemption
Fees

 

Oakmark Fund

 

Investor Class

 

10/1/2018-3/31/19+

 

$

88.99

     

0.32

(a)

   

(6.66

)

   

(6.34

)

   

(0.50

)

   

(5.05

)

   

(5.55

)

   

0.00

   

9/30/18

 

$

82.85

     

0.58

(a)

   

8.99

     

9.57

     

(0.40

)

   

(3.03

)

   

(3.43

)

   

0.00

   

9/30/17

 

$

68.70

     

0.76

     

15.26

     

16.02

     

(0.77

)

   

(1.10

)

   

(1.87

)

   

0.00

   

9/30/16

 

$

60.93

     

0.82

     

7.85

     

8.67

     

(0.60

)

   

(0.30

)

   

(0.90

)

   

0.00

   

9/30/15

 

$

68.46

     

0.59

     

(3.57

)

   

(2.98

)

   

(0.42

)

   

(4.13

)

   

(4.55

)

   

0.00

   

9/30/14

 

$

59.73

     

0.43

     

11.22

     

11.65

     

(0.32

)

   

(2.60

)

   

(2.92

)

   

0.00

   

Advisor Class

 

10/1/2018-3/31/19+

 

$

89.07

     

0.37

     

(6.68

)

   

(6.31

)

   

(0.64

)

   

(5.05

)

   

(5.69

)

   

0.00

   

9/30/18

 

$

82.97

     

0.68

(a)

   

8.99

     

9.67

     

(0.54

)

   

(3.03

)

   

(3.57

)

   

0.00

   

9/30/17(c)

 

$

71.35

     

0.66

(a)

   

10.96

     

11.62

     

0.00

     

0.00

     

0.00

     

0.00

   

Institutional Class

 

10/1/2018-3/31/19+

 

$

89.09

     

0.40

(a)

   

(6.68

)

   

(6.28

)

   

(0.66

)

   

(5.05

)

   

(5.71

)

   

0.00

   

9/30/18

 

$

82.97

     

0.72

(a)

   

8.99

     

9.71

     

(0.56

)

   

(3.03

)

   

(3.59

)

   

0.00

   

9/30/17(c)

 

$

71.35

     

0.67

(a)

   

10.95

     

11.62

     

0.00

     

0.00

     

0.00

     

0.00

   

Service Class

 

10/1/2018-3/31/19+

 

$

88.54

     

0.24

     

(6.64

)

   

(6.40

)

   

(0.23

)

   

(5.05

)

   

(5.28

)

   

0.00

   

9/30/18

 

$

82.48

     

0.33

(a)

   

8.95

     

9.28

     

(0.19

)

   

(3.03

)

   

(3.22

)

   

0.00

   

9/30/17

 

$

68.34

     

0.47

(a)

   

15.28

     

15.75

     

(0.51

)

   

(1.10

)

   

(1.61

)

   

0.00

   

9/30/16

 

$

60.59

     

0.59

     

7.83

     

8.42

     

(0.37

)

   

(0.30

)

   

(0.67

)

   

0.00

   

9/30/15

 

$

68.18

     

0.38

(a)

   

(3.56

)

   

(3.18

)

   

(0.28

)

   

(4.13

)

   

(4.41

)

   

0.00

   

9/30/14

 

$

59.58

     

0.23

     

11.19

     

11.42

     

(0.22

)

   

(2.60

)

   

(2.82

)

   

0.00

   
 + Unaudited.  
 † Data has been annualized.  
 (a) Computed using average shares outstanding throughout the period.  
 (b) Includes interest expense that amounts to less than 0.01%.  
 (c) Commenced on 11/30/2016.  

Oakmark Select Fund

 

Investor Class

 

10/1/2018-3/31/19+

 

$

45.84

     

0.11

     

(5.40

)

   

(5.29

)

   

(0.06

)

   

(1.66

)

   

(1.72

)

   

0.00

   

9/30/18

 

$

47.84

     

0.09

(a)

   

(0.08

)

   

0.01

     

(0.14

)

   

(1.87

)

   

(2.01

)

   

0.00

   

9/30/17

 

$

40.99

     

0.17

     

8.78

     

8.95

     

(0.40

)

   

(1.70

)

   

(2.10

)

   

0.00

   

9/30/16

 

$

36.79

     

0.39

     

3.93

     

4.32

     

(0.12

)

   

0.00

     

(0.12

)

   

0.00

   

9/30/15

 

$

44.71

     

0.08

(a)

   

(2.60

)

   

(2.52

)

   

0.00

     

(5.40

)

   

(5.40

)

   

0.00

   

9/30/14

 

$

37.74

     

(0.00

)(b)

   

9.14

     

9.14

     

(0.04

)

   

(2.13

)

   

(2.17

)

   

0.00

   

Advisor Class

 

10/1/2018-3/31/19+

 

$

45.90

     

0.13

     

(5.41

)

   

(5.28

)

   

(0.14

)

   

(1.66

)

   

(1.80

)

   

0.00

   

9/30/18

 

$

47.90

     

0.16

(a)

   

(0.08

)

   

0.08

     

(0.21

)

   

(1.87

)

   

(2.08

)

   

0.00

   

9/30/17(c)

 

$

41.93

     

0.20

(a)

   

5.77

     

5.97

     

0.00

     

0.00

     

0.00

     

0.00

   

Institutional Class

 

10/1/2018-3/31/19+

 

$

45.91

     

0.15

(a)

   

(5.41

)

   

(5.26

)

   

(0.16

)

   

(1.66

)

   

(1.82

)

   

0.00

   

9/30/18

 

$

47.91

     

0.17

(a)

   

(0.08

)

   

0.09

     

(0.22

)

   

(1.87

)

   

(2.09

)

   

0.00

   

9/30/17(c)

 

$

41.93

     

0.22

(a)

   

5.76

     

5.98

     

0.00

     

0.00

     

0.00

     

0.00

   

Service Class

 

10/1/2018-3/31/19+

 

$

45.23

     

0.11

     

(5.39

)

   

(5.28

)

   

0.00

     

(1.66

)

   

(1.66

)

   

0.00

   

9/30/18

 

$

47.21

     

(0.03

)(a)

   

(0.08

)

   

(0.11

)

   

0.00

     

(1.87

)

   

(1.87

)

   

0.00

   

9/30/17

 

$

40.44

     

0.05

(a)

   

8.68

     

8.73

     

(0.26

)

   

(1.70

)

   

(1.96

)

   

0.00

   

9/30/16

 

$

36.31

     

0.23

(a)

   

3.90

     

4.13

     

0.00

     

0.00

     

0.00

     

0.00

   

9/30/15

 

$

44.32

     

(0.05

)(a)

   

(2.56

)

   

(2.61

)

   

0.00

     

(5.40

)

   

(5.40

)

   

0.00

   

9/30/14

 

$

37.50

     

(0.18

)

   

9.13

     

8.95

     

0.00

     

(2.13

)

   

(2.13

)

   

0.00

   
 + Unaudited.  
 † Data has been annualized.  
 (a) Computed using average shares outstanding throughout the period.  
 (b) Amount rounds to less than $0.01 per share.  
 (c) Commenced on 11/30/2016.  
           

Ratios/Supplemental Data:

     
   

Net Asset
Value,
End of
Period

 

Total
Return

 

Net Assets,
End of
Period
($million)

 

Ratio of
Net
Expenses
to Average
Net Assets

 

Ratio of Net
Investment
Income
(Loss) to
Average
Net Assets

 

Ratio of
Gross
Expenses to
Average Net
Assets

 

Portfolio
Turnover
Rate

 

Oakmark Fund

 

Investor Class

 

10/1/2018-3/31/19+

 

$

77.10

     

-6.69

%

 

$

10,002.9

     

0.91

%†

   

0.84

%†

   

0.95

%†

   

29

%

 

9/30/18

 

$

88.99

     

11.84

%

 

$

12,626.2

     

0.85

%

   

0.68

%

   

0.89

%

   

29

%

 

9/30/17

 

$

82.85

     

23.79

%

 

$

14,200.2

     

0.86

%

   

0.91

%

   

0.90

%

   

19

%

 

9/30/16

 

$

68.70

     

14.36

%

 

$

14,636.0

     

0.89

%

   

1.14

%

   

0.89

%

   

20

%

 

9/30/15

 

$

60.93

     

-4.87

%

 

$

16,445.0

     

0.85

%(b)

   

0.92

%

   

0.85

%(b)

   

33

%

 

9/30/14

 

$

68.46

     

20.01

%

 

$

16,489.4

     

0.87

%

   

0.76

%

   

0.87

%

   

25

%

 

Advisor Class

 

10/1/2018-3/31/19+

 

$

77.07

     

-6.63

%

 

$

5,406.1

     

0.77

%†

 

0.97

%†

   

0.81

%†

   

29

%

 

9/30/18

 

$

89.07

     

11.96

%

 

$

5,400.6

     

0.73

%

   

0.79

%

   

0.77

%

   

29

%

 

9/30/17(c)

 

$

82.97

     

16.29

%

 

$

1,839.8

     

0.72

%†

   

1.01

%†

   

0.76

%†

   

19

%

 

Institutional Class

 

10/1/2018-3/31/19+

 

$

77.10

     

-6.60

%

 

$

2,656.9

     

0.72

%†

   

1.02

%†

   

0.76

%†

   

29

%

 

9/30/18

 

$

89.09

     

12.01

%

 

$

3,330.6

     

0.70

%

   

0.83

%

   

0.74

%

   

29

%

 

9/30/17(c)

 

$

82.97

     

16.29

%

 

$

2,569.2

     

0.68

%†

   

1.02

%†

   

0.73

%†

   

19

%

 

Service Class

 

10/1/2018-3/31/19+

 

$

76.86

     

-6.82

%

 

$

115.5

     

1.19

%†

   

0.55

%†

   

1.23

%†

   

29

%

 

9/30/18

 

$

88.54

     

11.51

%

 

$

143.4

     

1.13

%

   

0.39

%

   

1.17

%

   

29

%

 

9/30/17

 

$

82.48

     

23.45

%

 

$

168.4

     

1.14

%

   

0.63

%

   

1.18

%

   

19

%

 

9/30/16

 

$

68.34

     

14.00

%

 

$

177.2

     

1.21

%

   

0.86

%

   

1.21

%

   

20

%

 

9/30/15

 

$

60.59

     

-5.19

%

 

$

194.4

     

1.19

%(b)

   

0.57

%

   

1.19

%(b)

   

33

%

 

9/30/14

 

$

68.18

     

19.64

%

 

$

170.7

     

1.18

%

   

0.45

%

   

1.18

%

   

25

%

 
 + Unaudited.  
 † Data has been annualized.  
 (a) Computed using average shares outstanding throughout the period.  
 (b) Includes interest expense that amounts to less than 0.01%.  
 (c) Commenced on 11/30/2016.  

Oakmark Select Fund

 

Investor Class

 

10/1/2018-3/31/19+

 

$

38.83

     

-11.19

%

 

$

3,308.5

     

1.05

%†

   

0.54

%†

   

1.12

%†

   

27

%

 

9/30/18

 

$

45.84

     

-0.08

%

 

$

4,376.3

     

0.97

%

   

0.20

%

   

1.04

%

   

41

%

 

9/30/17

 

$

47.84

     

22.61

%

 

$

4,854.7

     

0.96

%

   

0.39

%

   

1.03

%

   

22

%

 

9/30/16

 

$

40.99

     

11.76

%

 

$

4,962.7

     

0.98

%

   

0.92

%

   

0.98

%

   

38

%

 

9/30/15

 

$

36.79

     

-6.75

%

 

$

5,499.3

     

0.95

%

   

0.20

%

   

0.95

%

   

46

%

 

9/30/14

 

$

44.71

     

25.03

%

 

$

6,238.8

     

0.95

%

   

(0.03

)%

   

0.95

%

   

37

%

 

Advisor Class

 

10/1/2018-3/31/19+

 

$

38.82

     

-11.13

%

 

$

648.7

     

0.88

%†

 

0.73

%

 

0.95

%

   

27

%

 

9/30/18

 

$

45.90

     

0.08

%

 

$

711.4

     

0.82

%

   

0.34

%

   

0.89

%

   

41

%

 

9/30/17(c)

 

$

47.90

     

14.24

%

 

$

571.3

     

0.81

%†

   

0.54

%†

   

0.89

%†

   

22

%

 

Institutional Class

 

10/1/2018-3/31/19+

 

$

38.83

     

-11.09

%

 

$

720.8

     

0.84

%†

   

0.77

%†

 

0.91

%†

   

27

%

 

9/30/18

 

$

45.91

     

0.10

%

 

$

852.0

     

0.79

%

   

0.37

%

   

0.86

%

   

41

%

 

9/30/17(c)

 

$

47.91

     

14.26

%

 

$

768.9

     

0.79

%†

   

0.58

%†

   

0.87

%†

   

22

%

 

Service Class

 

10/1/2018-3/31/19+

 

$

38.29

     

-11.33

%

 

$

8.9

     

1.34

%†

   

0.22

%†

 

1.41

%†

   

27

%

 

9/30/18

 

$

45.23

     

-0.32

%

 

$

14.1

     

1.23

%

   

(0.06

)%

   

1.30

%

   

41

%

 

9/30/17

 

$

47.21

     

22.29

%

 

$

27.9

     

1.24

%

   

0.11

%

   

1.31

%

   

22

%

 

9/30/16

 

$

40.44

     

11.37

%

 

$

34.6

     

1.32

%

   

0.62

%

   

1.32

%

   

38

%

 

9/30/15

 

$

36.31

     

-7.04

%

 

$

36.8

     

1.27

%

   

(0.12

)%

   

1.27

%

   

46

%

 

9/30/14

 

$

44.32

     

24.66

%

 

$

24.4

     

1.23

%

   

(0.30

)%

   

1.23

%

   

37

%

 
 + Unaudited.  
 † Data has been annualized.  
 (a) Computed using average shares outstanding throughout the period.  
 (b) Amount rounds to less than $0.01 per share.  
 (c) Commenced on 11/30/2016.  

72 OAKMARK FUNDS



Oakmark.com 73



Oakmark Funds

Financial Highlights

For a share outstanding throughout each period

       

Income from Investment Operations:

 

Less Distributions:

 
   

Net Asset
Value,
Beginning of
Period

 

Net
Investment
Income
(Loss)

 

Net Gain
(Loss) on
Investments
(Both
Realized and
Unrealized)

 

Total from
Investment
Operations

 

Distributions
from Net
Investment
Income

 

Distributions
from
Capital
Gains

 

Total
Distributions

 

Redemption
Fees

 

Oakmark Equity and Income Fund

 

Investor Class

 

10/1/2018-3/31/19+

 

$

32.52

     

0.22

(a)

   

(0.80

)

   

(0.58

)

   

(0.50

)

   

(2.20

)

   

(2.70

)

   

0.00

   

9/30/18

 

$

33.41

     

0.49

(a)

   

1.22

     

1.71

     

(0.43

)

   

(2.17

)

   

(2.60

)

   

0.00

   

9/30/17

 

$

30.20

     

0.58

     

3.89

     

4.47

     

(0.47

)

   

(0.79

)

   

(1.26

)

   

0.00

   

9/30/16

 

$

29.98

     

0.36

(a)

   

1.73

     

2.09

     

(0.34

)

   

(1.53

)

   

(1.87

)

   

0.00

   

9/30/15

 

$

33.65

     

0.36

     

(1.04

)

   

(0.68

)

   

(0.27

)

   

(2.72

)

   

(2.99

)

   

0.00

   

9/30/14

 

$

33.06

     

0.29

     

3.02

     

3.31

     

(0.17

)

   

(2.55

)

   

(2.72

)

   

0.00

   

Advisor Class

 

10/1/2018-3/31/19+

 

$

32.55

     

0.24

(a)

   

(0.78

)

   

(0.54

)

   

(0.56

)

   

(2.20

)

   

(2.76

)

   

0.00

   

9/30/18

 

$

33.46

     

0.56

(a)

   

1.20

     

1.76

     

(0.50

)

   

(2.17

)

   

(2.67

)

   

0.00

   

9/30/17(b)

 

$

29.97

     

0.55

(a)

   

2.94

     

3.49

     

0.00

     

0.00

     

0.00

     

0.00

   

Institutional Class

 

10/1/2018-3/31/19+

 

$

32.56

     

0.26

(a)

   

(0.80

)

   

(0.54

)

   

(0.57

)

   

(2.20

)

   

(2.77

)

   

0.00

   

9/30/18

 

$

33.46

     

0.58

(a)

   

1.19

     

1.77

     

(0.50

)

   

(2.17

)

   

(2.67

)

   

0.00

   

9/30/17(b)

 

$

29.97

     

0.59

(a)

   

2.90

     

3.49

     

0.00

     

0.00

     

0.00

     

0.00

   

Service Class

 

10/1/2018-3/31/19+

 

$

32.29

     

0.18

(a)

   

(0.78

)

   

(0.60

)

   

(0.40

)

   

(2.20

)

   

(2.60

)

   

0.00

   

9/30/18

 

$

33.19

     

0.40

(a)

   

1.21

     

1.61

     

(0.34

)

   

(2.17

)

   

(2.51

)

   

0.00

   

9/30/17

 

$

30.00

     

0.45

     

3.90

     

4.35

     

(0.37

)

   

(0.79

)

   

(1.16

)

   

0.00

   

9/30/16

 

$

29.75

     

0.26

(a)

   

1.73

     

1.99

     

(0.21

)

   

(1.53

)

   

(1.74

)

   

0.00

   

9/30/15

 

$

33.41

     

0.25

     

(1.03

)

   

(0.78

)

   

(0.16

)

   

(2.72

)

   

(2.88

)

   

0.00

   

9/30/14

 

$

32.83

     

0.18

(a)

   

3.00

     

3.18

     

(0.05

)

   

(2.55

)

   

(2.60

)

   

0.00

   

 + Unaudited.

 

 † Data has been annualized.

 

 (a) Computed using average shares outstanding throughout the period.

 

 (b) Commenced on 11/30/2016.

 

Oakmark Global Fund

 

Investor Class

 

10/1/2018-3/31/19+

 

$

32.21

     

(0.03

)(a)

   

(2.22

)

   

(2.25

)

   

(0.29

)

   

(3.19

)

   

(3.48

)

   

0.00

   

9/30/18

 

$

34.32

     

0.25

     

0.12

     

0.37

     

(0.30

)

   

(2.18

)

   

(2.48

)

   

0.00

   

9/30/17

 

$

26.36

     

0.29

(a)

   

7.97

     

8.26

     

(0.30

)

   

0.00

     

(0.30

)

   

0.00

   

9/30/16

 

$

26.34

     

0.32

     

0.48

     

0.80

     

(0.31

)

   

(0.47

)

   

(0.78

)

   

0.00

   

9/30/15

 

$

30.34

     

0.25

(a)

   

(2.16

)

   

(1.91

)

   

(0.35

)

   

(1.74

)

   

(2.09

)

   

0.00

   

9/30/14

 

$

29.70

     

0.23

(a)

   

1.71

     

1.94

     

(0.75

)

   

(0.55

)

   

(1.30

)

   

0.00

   

Advisor Class

 

10/1/2018-3/31/19+

 

$

32.22

     

(0.01

)(a)

   

(2.21

)

   

(2.22

)

   

(0.33

)

   

(3.19

)

   

(3.52

)

   

0.00

   

9/30/18

 

$

34.36

     

0.30

     

0.10

     

0.40

     

(0.36

)

   

(2.18

)

   

(2.54

)

   

0.00

   

9/30/17(b)

 

$

27.22

     

0.24

(a)

   

6.90

     

7.14

     

0.00

     

0.00

     

0.00

     

0.00

   

Institutional Class

 

10/1/2018-3/31/19+

 

$

32.25

     

0.00

(a)(c)

   

(2.22

)

   

(2.22

)

   

(0.36

)

   

(3.19

)

   

(3.55

)

   

0.00

   

9/30/18

 

$

34.38

     

0.31

(a)

   

0.12

     

0.43

     

(0.38

)

   

(2.18

)

   

(2.56

)

   

0.00

   

9/30/17(b)

 

$

27.22

     

0.26

     

6.90

     

7.16

     

0.00

     

0.00

     

0.00

     

0.00

   

Service Class

 

10/1/2018-3/31/19+

 

$

31.27

     

(0.06

)(a)

   

(2.16

)

   

(2.22

)

   

(0.16

)

   

(3.19

)

   

(3.35

)

   

0.00

   

9/30/18

 

$

33.40

     

0.14

(a)

   

0.13

     

0.27

     

(0.22

)

   

(2.18

)

   

(2.40

)

   

0.00

   

9/30/17

 

$

25.65

     

(0.14

)

   

8.11

     

7.97

     

(0.22

)

   

0.00

     

(0.22

)

   

0.00

   

9/30/16

 

$

25.62

     

0.21

(a)

   

0.47

     

0.68

     

(0.18

)

   

(0.47

)

   

(0.65

)

   

0.00

   

9/30/15

 

$

29.57

     

0.13

(a)

   

(2.10

)

   

(1.97

)

   

(0.24

)

   

(1.74

)

   

(1.98

)

   

0.00

   

9/30/14

 

$

28.98

     

0.13

(a)

   

1.67

     

1.80

     

(0.66

)

   

(0.55

)

   

(1.21

)

   

0.00

   

 + Unaudited.

 

 † Data has been annualized.

 

 (a) Computed using average shares outstanding throughout the period.

 

 (b) Commenced on 11/30/2016.

 
 (c) Amount rounds to less than $0.01 per share.  

74 OAKMARK FUNDS



           

Ratios/Supplemental Data:

     
   

Net Asset
Value,
End of
Period

 

Total
Return

 

Net Assets,
End of
Period
($million)

 

Ratio of
Net
Expenses
to Average
Net Assets

 

Ratio of Net
Investment
Income
(Loss) to
Average
Net Assets

 

Ratio of
Gross
Expenses to
Average Net
Assets

 

Portfolio
Turnover
Rate

 

Oakmark Equity and Income Fund

 

Investor Class

 

10/1/2018-3/31/19+

 

$

29.24

     

-1.29

%

 

$

9,997.1

     

0.83

%†

   

1.51

%†

   

0.93

%†

   

5

%

 

9/30/18

 

$

32.52

     

5.29

%

 

$

12,159.5

     

0.78

%

   

1.51

%

   

0.88

%

   

23

%

 

9/30/17

 

$

33.41

     

15.30

%

 

$

14,249.1

     

0.78

%

   

1.71

%

   

0.87

%

   

18

%

 

9/30/16

 

$

30.20

     

7.34

%

 

$

15,367.7

     

0.79

%

   

1.22

%

   

0.79

%

   

18

%

 

9/30/15

 

$

29.98

     

-2.53

%

 

$

17,285.5

     

0.75

%

   

1.06

%

   

0.75

%

   

25

%

 

9/30/14

 

$

33.65

     

10.39

%

 

$

19,392.7

     

0.74

%

   

0.85

%

   

0.74

%

   

18

%

 

Advisor Class

 

10/1/2018-3/31/19+

 

$

29.25

     

-1.17

%

 

$

1,372.2

     

0.68

%†

 

1.64

%†

   

0.78

%†

   

5

%

 

9/30/18

 

$

32.55

     

5.42

%

 

$

1,720.5

     

0.64

%

   

1.72

%

   

0.74

%

   

23

%

 

9/30/17(b)

 

$

33.46

     

11.64

%

 

$

724.7

     

0.61

%†

   

2.07

%†

   

0.71

%†

   

18

%

 

Institutional Class

 

10/1/2018-3/31/19+

 

$

29.25

     

-1.15

%

 

$

1,137.7

     

0.63

%†

 

1.75

%†

   

0.73

%†

   

5

%

 

9/30/18

 

$

32.56

     

5.47

%

 

$

1,035.0

     

0.59

%

   

1.77

%

   

0.69

%

   

23

%

 

9/30/17(b)

 

$

33.46

     

11.64

%

 

$

536.3

     

0.59

%†

   

2.19

%†

   

0.69

%†

   

18

%

 

Service Class

 

10/1/2018-3/31/19+

 

$

29.09

     

-1.41

%

 

$

319.0

     

1.12

%†

   

1.22

%†

   

1.22

%†

   

5

%

 

9/30/18

 

$

32.29

     

4.99

%

 

$

447.5

     

1.05

%

   

1.23

%

   

1.15

%

   

23

%

 

9/30/17

 

$

33.19

     

14.95

%

 

$

622.1

     

1.05

%

   

1.44

%

   

1.14

%

   

18

%

 

9/30/16

 

$

30.00

     

7.02

%

 

$

744.2

     

1.10

%

   

0.90

%

   

1.10

%

   

18

%

 

9/30/15

 

$

29.75

     

-2.84

%

 

$

900.7

     

1.09

%

   

0.71

%

   

1.09

%

   

25

%

 

9/30/14

 

$

33.41

     

10.04

%

 

$

1,157.2

     

1.05

%

   

0.54

%

   

1.05

%

   

18

%

 

 + Unaudited.

 

 † Data has been annualized.

 

 (a) Computed using average shares outstanding throughout the period.

 

 (b) Commenced on 11/30/2016.

 

Oakmark Global Fund

 

Investor Class

 

10/1/2018-3/31/19+

 

$

26.48

     

-6.16

%

 

$

1,142.1

     

1.22

%†

 

(0.21

)%†

   

1.28

%†

   

9

%

 

9/30/18

 

$

32.21

     

1.02

%

 

$

1,492.7

     

1.15

%

   

0.68

%

   

1.21

%

   

25

%

 

9/30/17

 

$

34.32

     

31.64

%

 

$

1,811.8

     

1.15

%

   

0.96

%

   

1.21

%

   

32

%

 

9/30/16

 

$

26.36

     

2.93

%

 

$

2,328.9

     

1.17

%

   

1.14

%

   

1.17

%

   

32

%

 

9/30/15

 

$

26.34

     

-6.92

%

 

$

2,950.8

     

1.12

%

   

0.86

%

   

1.12

%

   

36

%

 

9/30/14

 

$

30.34

     

6.70

%

 

$

3,503.8

     

1.11

%

   

0.76

%

   

1.11

%

   

31

%

 

Advisor Class

 

10/1/2018-3/31/19+

 

$

26.48

     

-6.07

%

 

$

404.9

     

1.09

%†

 

(0.08

)%†

   

1.15

%†

   

9

%

 

9/30/18

 

$

32.22

     

1.10

%

 

$

440.2

     

1.06

%

   

0.89

%

   

1.12

%

   

25

%

 

9/30/17(b)

 

$

34.36

     

26.23

%

 

$

499.9

     

1.01

%†

   

0.89

%†

   

1.07

%†

   

32

%

 

Institutional Class

 

10/1/2018-3/31/19+

 

$

26.48

     

-6.06

%

 

$

288.1

     

1.02

%†

 

(0.01

)%†

 

1.08

%†

   

9

%

 

9/30/18

 

$

32.25

     

1.18

%

 

$

333.5

     

0.98

%

   

0.93

%

   

1.04

%

   

25

%

 

9/30/17(b)

 

$

34.38

     

26.30

%

 

$

309.6

     

0.96

%†

   

1.55

%†

   

1.02

%†

   

32

%

 

Service Class

 

10/1/2018-3/31/19+

 

$

25.70

     

-6.29

%

 

$

13.0

     

1.48

%†

 

(0.48

)%†

   

1.54

%†

   

9

%

 

9/30/18

 

$

31.27

     

0.73

%

 

$

16.6

     

1.44

%

   

0.43

%

   

1.50

%

   

25

%

 

9/30/17

 

$

33.40

     

31.27

%

 

$

22.5

     

1.42

%

   

0.63

%

   

1.48

%

   

32

%

 

9/30/16

 

$

25.65

     

2.60

%

 

$

25.6

     

1.50

%

   

0.82

%

   

1.50

%

   

32

%

 

9/30/15

 

$

25.62

     

-7.33

%

 

$

32.3

     

1.52

%

   

0.46

%

   

1.52

%

   

36

%

 

9/30/14

 

$

29.57

     

6.35

%

 

$

41.8

     

1.45

%

   

0.42

%

   

1.45

%

   

31

%

 

 + Unaudited.

 

 † Data has been annualized.

 

 (a) Computed using average shares outstanding throughout the period.

 

 (b) Commenced on 11/30/2016.

 
 (c) Amount rounds to less than $0.01 per share.  

Oakmark.com 75



Oakmark Funds

Financial Highlights

For a share outstanding throughout each period

     

Income from Investment Operations:

 

Less Distributions:

 
   

Net Asset
Value,
Beginning of
Period

 

Net
Investment
Income
(Loss)

 

Net Gain
(Loss) on
Investments
(Both
Realized and
Unrealized)

 

Total from
Investment
Operations

 

Distributions
from Net
Investment
Income

 

Distributions
from
Capital
Gains

 

Total
Distributions

 

Redemption
Fees

 

Oakmark Global Select Fund

 

Investor Class

 

10/1/2018-3/31/19+

 

$

18.58

     

(0.01

)(a)

   

(1.49

)

   

(1.50

)

   

(0.22

)

   

(0.55

)

   

(0.77

)

   

0.00

   

9/30/18

 

$

19.78

     

0.22

(a)

   

(0.36

)

   

(0.14

)

   

(0.17

)

   

(0.89

)

   

(1.06

)

   

0.00

   

9/30/17

 

$

15.81

     

0.26

     

3.88

     

4.14

     

(0.17

)

   

0.00

     

(0.17

)

   

0.00

   

9/30/16

 

$

15.19

     

0.18

     

1.31

     

1.49

     

(0.13

)

   

(0.74

)

   

(0.87

)

   

0.00

   

9/30/15

 

$

16.63

     

0.12

     

(0.65

)

   

(0.53

)

   

(0.14

)

   

(0.77

)

   

(0.91

)

   

0.00

   

9/30/14

 

$

15.71

     

0.12

     

1.21

     

1.33

     

(0.14

)

   

(0.27

)

   

(0.41

)

   

0.00

   

Advisor Class

 

10/1/2018-3/31/19+

 

$

18.60

     

0.01

(a)

   

(1.51

)

   

(1.50

)

   

(0.25

)

   

(0.55

)

   

(0.80

)

   

0.00

   

9/30/18

 

$

19.81

     

0.25

(a)

   

(0.37

)

   

(0.12

)

   

(0.20

)

   

(0.89

)

   

(1.09

)

   

0.00

   

9/30/17(b)

 

$

16.39

     

0.25

(a)

   

3.17

     

3.42

     

0.00

     

0.00

     

0.00

     

0.00

   

Institutional Class

 

10/1/2018-3/31/19+

 

$

18.61

     

0.01

(a)

   

(1.51

)

   

(1.50

)

   

(0.26

)

   

(0.55

)

   

(0.81

)

   

0.00

   

9/30/18

 

$

19.81

     

0.27

(a)

   

(0.37

)

   

(0.10

)

   

(0.21

)

   

(0.89

)

   

(1.10

)

   

0.00

   

9/30/17(b)

 

$

16.39

     

0.23

(a)

   

3.19

     

3.42

     

0.00

     

0.00

     

0.00

     

0.00

   
 + Unaudited.  
 † Data has been annualized.  
 (a) Computed using average shares outstanding throughout the period.  
 (b) Commenced on 11/30/2016.  

Oakmark International Fund

 

Investor Class

 

10/1/2018-3/31/19+

 

$

26.14

     

0.02

(a)

   

(2.38

)

   

(2.36

)

   

(0.44

)

   

(1.03

)

   

(1.47

)

   

0.00

   

9/30/18

 

$

28.77

     

0.60

     

(2.36

)

   

(1.76

)

   

(0.39

)

   

(0.48

)

   

(0.87

)

   

0.00

   

9/30/17

 

$

21.66

     

0.44

     

7.01

     

7.45

     

(0.34

)

   

0.00

     

(0.34

)

   

0.00

   

9/30/16

 

$

21.34

     

0.36

(a)

   

1.04

     

1.40

     

(0.50

)

   

(0.58

)

   

(1.08

)

   

0.00

   

9/30/15

 

$

25.01

     

0.46

     

(2.55

)

   

(2.09

)

   

(0.51

)

   

(1.07

)

   

(1.58

)

   

0.00

   

9/30/14

 

$

25.89

     

0.46

(a)

   

(0.61

)

   

(0.15

)

   

(0.44

)

   

(0.29

)

   

(0.73

)

   

0.00

   

Advisor Class

 

10/1/2018-3/31/19+

 

$

26.17

     

0.05

(a)

   

(2.40

)

   

(2.35

)

   

(0.50

)

   

(1.03

)

   

(1.53

)

   

0.00

   

9/30/18

 

$

28.82

     

0.70

(a)

   

(2.44

)

   

(1.74

)

   

(0.43

)

   

(0.48

)

   

(0.91

)

   

0.00

   

9/30/17(c)

 

$

21.96

     

0.53

(a)

   

6.33

     

6.86

     

0.00

     

0.00

     

0.00

     

0.00

   

Institutional Class

 

10/1/2018-3/31/19+

 

$

26.19

     

0.05

(a)

   

(2.41

)

   

(2.36

)

   

(0.50

)

   

(1.03

)

   

(1.53

)

   

0.00

   

9/30/18

 

$

28.82

     

0.63

(a)

   

(2.35

)

   

(1.72

)

   

(0.43

)

   

(0.48

)

   

(0.91

)

   

0.00

   

9/30/17(c)

 

$

21.96

     

0.46

(a)

   

6.40

     

6.86

     

0.00

     

0.00

     

0.00

     

0.00

   

Service Class

 

10/1/2018-3/31/19+

 

$

26.26

     

(0.01

)(a)

   

(2.40

)

   

(2.41

)

   

(0.36

)

   

(1.03

)

   

(1.39

)

   

0.00

   

9/30/18

 

$

28.90

     

0.57

     

(2.42

)

   

(1.85

)

   

(0.31

)

   

(0.48

)

   

(0.79

)

   

0.00

   

9/30/17

 

$

21.74

     

0.46

     

6.96

     

7.42

     

(0.26

)

   

0.00

     

(0.26

)

   

0.00

   

9/30/16

 

$

21.40

     

0.29

(a)

   

1.04

     

1.33

     

(0.41

)

   

(0.58

)

   

(0.99

)

   

0.00

   

9/30/15

 

$

25.07

     

0.36

(a)

   

(2.55

)

   

(2.19

)

   

(0.41

)

   

(1.07

)

   

(1.48

)

   

0.00

   

9/30/14

 

$

25.98

     

0.37

(a)

   

(0.63

)

   

(0.26

)

   

(0.36

)

   

(0.29

)

   

(0.65

)

   

0.00

   
 + Unaudited.  
 † Data has been annualized.  
 (a) Computed using average shares outstanding throughout the period.  
 (b) The ratio excludes in-kind transactions.  
 (c) Commenced on 11/30/2016.  

76 OAKMARK FUNDS



           

Ratios/Supplemental Data:

     
   

Net Asset
Value,
End of
Period

 

Total
Return

 

Net Assets,
End of
Period
($million)

 

Ratio of
Net
Expenses
to Average
Net Assets

 

Ratio of Net
Investment
Income
(Loss) to
Average
Net Assets

 

Ratio of
Gross
Expenses to
Average Net
Assets

 

Portfolio
Turnover
Rate

 

Oakmark Global Select Fund

 

Investor Class

 

10/1/2018-3/31/19+

 

$

16.31

     

-7.73

%

 

$

921.8

     

1.23

%†

   

(0.10

)%†

 

1.29

%†

   

9

%

 

9/30/18

 

$

18.58

     

-0.86

%

 

$

1,404.8

     

1.12

%

   

1.15

%

   

1.19

%

   

26

%

 

9/30/17

 

$

19.78

     

26.41

%

 

$

2,035.3

     

1.12

%

   

1.25

%

   

1.18

%

   

39

%

 

9/30/16

 

$

15.81

     

9.92

%

 

$

2,037.1

     

1.15

%

   

1.12

%

   

1.15

%

   

17

%

 

9/30/15

 

$

15.19

     

-3.44

%

 

$

2,033.4

     

1.13

%

   

0.70

%

   

1.13

%

   

48

%

 

9/30/14

 

$

16.63

     

8.52

%

 

$

1,937.3

     

1.13

%

   

0.92

%

   

1.13

%

   

24

%

 

Advisor Class

 

10/1/2018-3/31/19+

 

$

16.30

     

-7.68

%

 

$

472.6

     

1.07

%†

   

0.07

%†

 

1.13

%†

   

9

%

 

9/30/18

 

$

18.60

     

-0.75

%

 

$

457.6

     

1.02

%

   

1.32

%

   

1.09

%

   

26

%

 

9/30/17(b)

 

$

19.81

     

20.87

%

 

$

148.4

     

1.00

%†

   

1.58

%†

   

1.07

%†

   

39

%

 

Institutional Class

 

10/1/2018-3/31/19+

 

$

16.30

     

-7.68

%

 

$

550.1

     

1.01

%†

   

0.13

%†

   

1.08

%†

   

9

%

 

9/30/18

 

$

18.61

     

-0.66

%

 

$

780.8

     

0.96

%

   

1.39

%

   

1.03

%

   

26

%

 

9/30/17(b)

 

$

19.81

     

20.87

%

 

$

608.0

     

0.94

%†

   

1.46

%†

   

1.00

%†

   

39

%

 
 + Unaudited.  
 † Data has been annualized.  
 (a) Computed using average shares outstanding throughout the period.  
 (b) Commenced on 11/30/2016.  

Oakmark International Fund

 

Investor Class

 

10/1/2018-3/31/19+

 

$

22.31

     

-8.74

%

 

$

16,005.1

     

1.03

%†

 

0.16

%†

 

1.08

%†

   

19

%

 

9/30/18

 

$

26.14

     

-6.33

%

 

$

24,866.2

     

0.96

%

   

1.84

%

   

1.01

%

   

36

%

 

9/30/17

 

$

28.77

     

34.88

%

 

$

31,058.2

     

0.95

%

   

1.72

%

   

1.00

%

   

41

%

 

9/30/16

 

$

21.66

     

6.66

%

 

$

23,277.7

     

1.00

%

   

1.72

%

   

1.00

%

   

44

%

 

9/30/15

 

$

21.34

     

-8.98

%

 

$

25,915.2

     

0.95

%

   

1.81

%

   

0.95

%

   

48

%

 

9/30/14

 

$

25.01

     

-0.64

%

 

$

29,759.6

     

0.95

%

   

1.76

%

   

0.95

%

   

39

%(b)

 

Advisor Class

 

10/1/2018-3/31/19+

 

$

22.29

     

-8.67

%

 

$

7,982.5

     

0.88

%†

 

0.40

%†

   

0.93

%†

   

19

%

 

9/30/18

 

$

26.17

     

-6.25

%

 

$

5,757.4

     

0.83

%

   

2.53

%

   

0.88

%

   

36

%

 

9/30/17(c)

 

$

28.82

     

31.24

%

 

$

914.3

     

0.81

%†

   

2.42

%†

   

0.86

%†

   

41

%

 

Institutional Class

 

10/1/2018-3/31/19+

 

$

22.30

     

-8.68

%

 

$

9,929.3

     

0.82

%†

 

0.40

%†

   

0.87

%†

   

19

%

 

9/30/18

 

$

26.19

     

-6.16

%

 

$

12,174.4

     

0.79

%

   

2.25

%

   

0.84

%

   

36

%

 

9/30/17(c)

 

$

28.82

     

31.24

%

 

$

7,658.7

     

0.77

%†

   

2.06

%†

   

0.83

%†

   

41

%

 

Service Class

 

10/1/2018-3/31/19+

 

$

22.46

     

-8.89

%

 

$

355.5

     

1.29

%†

 

(0.08

)%†

 

1.34

%†

   

19

%

 

9/30/18

 

$

26.26

     

-6.59

%

 

$

442.9

     

1.24

%

   

1.53

%

   

1.29

%

   

36

%

 

9/30/17

 

$

28.90

     

34.51

%

 

$

579.7

     

1.22

%

   

1.38

%

   

1.27

%

   

41

%

 

9/30/16

 

$

21.74

     

6.32

%

 

$

532.3

     

1.34

%

   

1.38

%

   

1.34

%

   

44

%

 

9/30/15

 

$

21.40

     

-9.31

%

 

$

559.1

     

1.33

%

   

1.48

%

   

1.33

%

   

48

%

 

9/30/14

 

$

25.07

     

-1.04

%

 

$

538.9

     

1.33

%

   

1.40

%

   

1.33

%

   

39

%(b)

 
 + Unaudited.  
 † Data has been annualized.  
 (a) Computed using average shares outstanding throughout the period.  
 (b) The ratio excludes in-kind transactions.  
 (c) Commenced on 11/30/2016.  

Oakmark.com 77



Oakmark Funds

Financial Highlights

For a share outstanding throughout each period

     

Income from Investment Operations:

 

Less Distributions:

 
   

Net Asset
Value,
Beginning of
Period

 

Net
Investment
Income

 

Net Gain
(Loss) on
Investments
(Both
Realized and
Unrealized)

 

Total from
Investment
Operations

 

Distributions
from Net
Investment
Income

 

Distributions
from
Capital
Gains

 

Total
Distributions

 

Redemption
Fees

 

Oakmark International Small Cap Fund

 

Investor Class

 

10/1/2018-3/31/19+

 

$

16.34

     

0.07

(a)

   

(1.22

)

   

(1.15

)

   

(0.20

)

   

(0.91

)

   

(1.11

)

   

0.00

(b)

 

9/30/18

 

$

18.12

     

0.23

(a)

   

(1.37

)

   

(1.14

)

   

(0.14

)

   

(0.50

)

   

(0.64

)

   

0.00

(b)

 

9/30/17

 

$

14.84

     

0.23

(a)

   

3.50

     

3.73

     

(0.36

)

   

(0.09

)

   

(0.45

)

   

0.00

(b)

 

9/30/16

 

$

14.63

     

0.42

(a)

   

0.51

     

0.93

     

(0.36

)

   

(0.36

)

   

(0.72

)

   

0.00

(b)

 

9/30/15

 

$

16.38

     

0.19

(a)

   

(0.78

)

   

(0.59

)

   

(0.26

)

   

(0.90

)

   

(1.16

)

   

0.00

(b)

 

9/30/14

 

$

17.29

     

0.17

     

(0.53

)

   

(0.36

)

   

(0.55

)

   

0.00

     

(0.55

)

   

0.00

(b)

 

Advisor Class

 

10/1/2018-3/31/19+

 

$

16.33

     

0.10

(a)

   

(1.24

)

   

(1.14

)

   

(0.19

)

   

(0.91

)

   

(1.10

)

   

0.00

(b)

 

9/30/18

 

$

18.14

     

0.25

     

(1.38

)

   

(1.13

)

   

(0.18

)

   

(0.50

)

   

(0.68

)

   

0.00

(b)

 

9/30/17(c)

 

$

14.16

     

0.19

(a)

   

3.79

     

3.98

     

0.00

     

0.00

     

0.00

     

0.00

(b)

 

Institutional Class

 

10/1/2018-3/31/19+

 

$

16.36

     

0.08

(a)

   

(1.23

)

   

(1.15

)

   

(0.25

)

   

(0.91

)

   

(1.16

)

   

0.00

(b)

 

9/30/18

 

$

18.15

     

0.26

     

(1.36

)

   

(1.10

)

   

(0.19

)

   

(0.50

)

   

(0.69

)

   

0.00

(b)

 

9/30/17(c)

 

$

14.16

     

0.21

(a)

   

3.78

     

3.99

     

0.00

     

0.00

     

0.00

     

0.00

(b)

 

Service Class

 

10/1/2018-3/31/19+

 

$

16.21

     

0.05

(a)

   

(1.20

)

   

(1.15

)

   

(0.15

)

   

(0.91

)

   

(1.06

)

   

0.00

   

9/30/18

 

$

18.00

     

0.16

(a)

   

(1.34

)

   

(1.18

)

   

(0.11

)

   

(0.50

)

   

(0.61

)

   

0.00

(b)

 

9/30/17

 

$

14.75

     

0.17

(a)

   

3.49

     

3.66

     

(0.32

)

   

(0.09

)

   

(0.41

)

   

0.00

(b)

 

9/30/16

 

$

14.53

     

0.38

(a)

   

0.51

     

0.89

     

(0.31

)

   

(0.36

)

   

(0.67

)

   

0.00

(b)

 

9/30/15

 

$

16.26

     

0.13

(a)

   

(0.77

)

   

(0.64

)

   

(0.19

)

   

(0.90

)

   

(1.09

)

   

0.00

(b)

 

9/30/14

 

$

17.17

     

0.14

     

(0.54

)

   

(0.40

)

   

(0.51

)

   

0.00

     

(0.51

)

   

0.00

(b)

 
 + Unaudited.  
 † Data has been annualized.  
 (a) Computed using average shares outstanding throughout the period.  
 (b) Amount rounds to less than $0.01 per share.  
 (c) Commenced on 11/30/2016.  

78 OAKMARK FUNDS



           

Ratios/Supplemental Data:

     
   

Net Asset
Value,
End of
Period

 

Total
Return

 

Net Assets,
End of
Period
($million)

 

Ratio of
Net
Expenses
to Average
Net Assets

 

Ratio of Net
Investment
Income to
Average
Net Assets

 

Ratio of
Gross
Expenses to
Average Net
Assets

 

Portfolio
Turnover
Rate

 

Oakmark International Small Cap Fund

 

Investor Class

 

10/1/2018-3/31/19+

 

$

14.08

     

-6.43

%

 

$

623.0

     

1.50

%†

   

0.96

%†

   

1.50

%†

   

16

%

 

9/30/18

 

$

16.34

     

-6.43

%

 

$

1,013.6

     

1.36

%

   

1.32

%

   

1.36

%

   

45

%

 

9/30/17

 

$

18.12

     

25.98

%

 

$

1,835.5

     

1.36

%

   

1.40

%

   

1.36

%

   

34

%

 

9/30/16

 

$

14.84

     

6.66

%

 

$

2,365.1

     

1.38

%

   

2.97

%

   

1.38

%

   

38

%

 

9/30/15

 

$

14.63

     

-3.70

%

 

$

2,852.0

     

1.35

%

   

1.18

%

   

1.35

%

   

46

%

 

9/30/14

 

$

16.38

     

-2.14

%

 

$

2,910.0

     

1.31

%

   

1.07

%

   

1.31

%

   

38

%

 

Advisor Class

 

10/1/2018-3/31/19+

 

$

14.09

     

-6.37

%

 

$

144.5

   

1.40

%†

 

1.34

%†

 

1.40

%†

   

16

%

 

9/30/18

 

$

16.33

     

-6.39

%

 

$

346.6

     

1.32

%

   

1.41

%

   

1.32

%

   

45

%

 

9/30/17(c)

 

$

18.14

     

28.11

%

 

$

388.5

     

1.21

%†

   

1.29

%†

   

1.21

%†

   

34

%

 

Institutional Class

 

10/1/2018-3/31/19+

 

$

14.05

     

-6.35

%

 

$

661.6

     

1.27

%†

   

1.17

%†

   

1.27

%†

   

16

%

 

9/30/18

 

$

16.36

     

-6.23

%

 

$

863.3

     

1.17

%

   

1.49

%

   

1.17

%

   

45

%

 

9/30/17(c)

 

$

18.15

     

28.18

%

 

$

839.1

     

1.14

%†

   

1.47

%†

   

1.14

%†

   

34

%

 

Service Class

 

10/1/2018-3/31/19+

 

$

14.00

     

-6.52

%

 

$

1.2

   

1.64

%†

   

0.78

%†

 

1.64

%†

   

16

%

 

9/30/18

 

$

16.21

     

-6.73

%

 

$

1.5

     

1.71

%

   

0.93

%

   

1.71

%

   

45

%

 

9/30/17

 

$

18.00

     

25.56

%

 

$

2.1

     

1.66

%

   

1.04

%

   

1.66

%

   

34

%

 

9/30/16

 

$

14.75

     

6.39

%

 

$

1.5

     

1.69

%

   

2.69

%

   

1.69

%

   

38

%

 

9/30/15

 

$

14.53

     

-4.00

%

 

$

1.9

     

1.62

%

   

0.85

%

   

1.62

%

   

46

%

 

9/30/14

 

$

16.26

     

-2.42

%

 

$

3.3

     

1.62

%

   

0.70

%

   

1.62

%

   

38

%

 
 + Unaudited.  
 † Data has been annualized.  
 (a) Computed using average shares outstanding throughout the period.  
 (b) Amount rounds to less than $0.01 per share.  
 (c) Commenced on 11/30/2016.  

Oakmark.com 79



The Oakmark Funds Disclosure Regarding The Board of Trustees' Approval of Investment Advisory Agreements As Approved October 24, 2018

On an annual basis, the Board of Trustees (the "Board" or "Trustees") of the Oakmark Funds (the "Funds"), including a majority of the Trustees who are not "interested persons" of Harris Associates L.P., the Funds' investment adviser (the "Adviser") or the Funds ("Independent Trustees"), considers whether to continue each Fund's investment advisory agreement (each, an "Agreement," and collectively, the "Agreements") with the Adviser. At a meeting held on October 24, 2018, the Board, including all of the Independent Trustees, determined that the continuation of the Agreement for each Fund was in the best interest of the Fund and its shareholders, and approved the continuation of each Agreement through October 31, 2019.

The Board's Committee on Contracts (the "Committee") leads the Board in its evaluation of the Agreements. The Committee is comprised entirely of Independent Trustees and more than 75% of the Board is comprised of Independent Trustees. The Committee, together with the other Independent Trustees, requested, received, reviewed and considered materials provided by the Adviser in response to questions submitted by the Independent Trustees that they believed to be relevant to the continuation of the Agreements with respect to each Fund in light of legal advice furnished to them by their legal counsel that is experienced in the Investment Company Act of 1940 matters and that is independent from the Adviser ("Independent Counsel"); their own business judgment; and developments in the industry, the markets, and mutual fund regulation and litigation. During the annual contract approval process, the Committee and the other Independent Trustees met multiple times specifically to review and consider materials related to the proposed continuation of each Agreement and to ensure that the Adviser had time to respond to questions from the Independent Trustees and that the Independent Trustees had time to consider those responses. They also met with senior representatives of the Adviser regarding, among other things, its personnel, operations and financial condition as they relate to the Funds. In addition, the Board retained Broadridge Financial Solutions, Inc. ("Broadridge"), an independent consulting firm that specializes in the analysis of fund industry data, to provide performance and expense information for each Fund and a peer group of comparable funds, as selected by Broadridge. While the Board considered the continuation of the Agreements for all of the Funds at the same meetings, the Board considered each Fund's Agreement separately from those of each other Fund.

In connection with its deliberations, the Board also considered a broad range of information relevant to the annual contract approval process that is provided to the Board (including its various standing committees) at meetings throughout the year, including investment performance reports and related portfolio information for each Fund, as well as reports on, among other matters, pricing and valuation; quality and cost of portfolio trade execution; compliance; and shareholder support and other services provided by the Adviser and its affiliates.

The Independent Trustees were advised by Independent Counsel throughout the annual contract approval process and they received a memorandum from Independent Counsel discussing the legal standards for their consideration of the proposed continuation of the Agreements. During the course of the year and during their deliberations regarding the annual contract approval process, the Committee and the other Independent Trustees met with Independent Counsel separately from representatives of the Adviser.

Provided below is a description of the Board's annual contract approval process and material factors that the Board considered regarding continuation of the Agreements and the compensation to be paid thereunder. The Board's determination to approve the continuation of the Agreements was based on a comprehensive consideration of all information provided to the Board throughout the year and specifically in connection with the annual contract approval process.

This description is not intended to include all of the factors considered by the Board. The Trustees did not identify any particular information or factor that was all-important or controlling, and each Trustee may have attributed different weights to the various factors. The Board focused on the costs and benefits of the Agreements to each Fund and, through the Fund, its shareholders.

Nature, Extent, and Quality of Services

The Board's consideration of the nature, extent and quality of the Adviser's services to the Funds took into account the knowledge the Board gained during meetings with the Adviser throughout the year. In addition, the Board considered: the Adviser's long-term history of care and conscientiousness in the management of the Funds; the consistency of its investment approach; the qualifications, experience and capabilities of, and the resources available to, the Adviser's investment and other personnel responsible for managing the Funds; the Adviser's performance as administrator of the Funds; and the Adviser's compliance program. The Board also considered the Adviser's resources and reviewed key personnel involved in providing investment management services to the Funds, including the time that investment personnel devoted to each Fund, and the investment results produced as a result of the Adviser's in-house research.

The Board considered that, pursuant to each Agreement, the Adviser provides administrative services, including, among others, oversight of shareholder communications, fund administration and accounting services, regulatory and legal obligation oversight, supervision of Fund operations, and Board support. The Board noted that the Adviser is also responsible for monitoring compliance with each Fund's investment objectives, policies and restrictions, as well as compliance with applicable law, including implementing rulemaking initiatives of the U.S. Securities and Exchange Commission. The Board also considered that the Adviser's responsibilities include continual management of investment, operational, enterprise, legal, regulatory and compliance risks as they relate to the Funds, and on a regular basis it considers information regarding the Adviser's processes for monitoring and managing risk. The Board also noted the Adviser's oversight of the Funds' various outside service providers, including its negotiation of certain service providers' fees and its evaluation of service providers' infrastructure, cybersecurity programs, compliance programs and business continuity programs, among other matters. The Board also considered the Adviser's ongoing development of its own internal infrastructure, including, among other things, its operational and trading capabilities and its information technology to support the Funds'

80 OAKMARK FUNDS



compliance structure through, among other things, cybersecurity programs, business continuity planning and risk management. In addition, the Board noted the positive compliance history of the Adviser.

The Board also considered the general structure of the Adviser's compensation program for portfolio managers, analysts and certain other employees, and whether this structure provides appropriate incentives to act in the best interests of the Funds. In addition, the Board considered the ability of the Adviser to attract and retain qualified personnel to service the Funds. The Board also noted the significant personal investments that the Adviser's personnel have made in the Funds, which serve to further align the interests of the Adviser and its personnel with those of the Funds' shareholders.

The Board also considered the manner in which the Adviser addressed various matters that arose during the year. These matters may have been the result of developments in the broader fund industry or the regulations governing it, including, for example, the liquidity risk management program rules and subsequent amendments. In addition, the Board considered the Adviser's response to recent market conditions and considered the overall performance of the Adviser in this context.

Investment Performance of the Funds

The Board considered each Fund's investment performance over various time periods, net of the Fund's fees and expenses, both on an absolute basis and compared to the performance of a broader group of comparable funds pursuing generally similar strategies with the same investment classification and/or objective as each Fund (the Fund's "Performance Universe"), as selected by Broadridge. As a general matter, the Board considered each Fund's performance and fees in light of the limitations inherent in the methodology for constructing such comparative groups and determining which investment companies should be included in the comparative groups. Because the Committee commenced its review of the investment performance of the Funds in June, the performance periods considered by the Board were those ended April 30, 2018. The Board considered the one-, three-, five- and ten-year performance for each Fund. The Board also considered updated performance information at its October meeting at which the Agreements were approved.

Further detail considered by the Board regarding the investment performance of each Fund is set forth below:

Oakmark Fund. The Board considered that the Oakmark Fund outperformed the median annualized returns of its respective Performance Universe during the one-, three-, five- and ten-year periods ending April 30, 2018.

Oakmark Select Fund. The Board considered that the Oakmark Select Fund underperformed the median annualized returns of its respective Performance Universe during the one- and three-year periods ending April 30, 2018, but outperformed the median annualized returns of its respective Performance Universe during the five- and ten-year periods ending April 30, 2018.

Oakmark Equity and Income Fund. The Board considered that the Oakmark Equity and Income Fund outperformed the median annualized returns of its respective Performance Universe during the one-, three-, five- and ten-year periods ending April 30, 2018.

Oakmark Global Fund. The Board considered that the Oakmark Global Fund outperformed the median annualized returns of its respective Performance Universe during the one-, three-, five- and ten-year periods ending April 30, 2018.

Oakmark Global Select Fund. The Board considered that the Oakmark Global Select Fund outperformed the median annualized returns of its respective Performance Universe during the one-, three-, five- and ten-year periods ending April 30, 2018.

Oakmark International Fund. The Board considered that the Oakmark International Fund underperformed the median annualized return of its respective Performance Universe during the one-year period ending April 30, 2018, but outperformed the median annualized returns of its respective Performance Universe during the three-, five- and ten-year periods ending April 30, 2018.

Oakmark International Small Cap Fund. The Board considered that the Oakmark International Small Cap Fund underperformed the median annualized returns of its respective Performance Universe during the one-, three- and five-year periods ending April 30, 2018, but outperformed the median annualized return of its respective Performance Universe during the ten-year period ending April 30, 2018.

In addition to considering each Fund's performance as compared to that of its respective Performance Universe, the Board also considered each Fund's performance as compared to that of its benchmark and of other comparative data provided by Broadridge, including each Fund's total return and performance relative to risk and separate comparative data provided by the Adviser. In the case of Oakmark International Small Cap Fund and Oakmark Select Fund, each of which underperformed its respective Performance Universe over multiple periods, the Board discussed with the Adviser the factors that caused each Fund's underperformance and how the Adviser evaluates underperformance relative to Fund peers.

Costs of Services Provided and Profits Realized by the Adviser

The Board considered the fee structure for each Fund under its Agreement as compared to the peer group provided by Broadridge. Specifically, using the information provided by Broadridge, the Board considered each Fund's management fee and the management fees for other mutual funds comparable in fund type, investment classification/objective, load type and asset size to each Fund (the Fund's "Expense Group"), and considered each Fund's total expense ratio, which reflects the total fees paid by an investor, and those of its Expense Group.

Further detail considered by the Board regarding each Fund's management fee and total expense ratio as of the conclusion of its fiscal year ended September 30, 2017, is set forth below:

Oakmark Fund. The Board considered that the Oakmark Fund's management fee net of fees waived by the Adviser was lower than the median of its respective Expense Group and the Fund's total expense ratio was equal to the median of its respective Expense Group.

Oakmark Select Fund. The Board considered that the Oakmark Select Fund's management fee net of fees waived by the Adviser was lower than the median of its respective Expense Group and the Fund's total expense ratio was equal to the median of its respective Expense Group.

Oakmark.com 81



Oakmark Equity and Income Fund. The Board considered that the Oakmark Equity and Income Fund's management fee net of fees waived by the Adviser was equal to the median of its respective Expense Group and the Fund's total expense ratio was lower than the median of its respective Expense Group.

Oakmark Global Fund. The Board considered that the Oakmark Global Fund's management fee net of fees waived by the Adviser and the Fund's total expense ratio were both lower than the corresponding medians of its respective Expense Group.

Oakmark Global Select Fund. The Board considered that the Oakmark Global Select Fund's management fee net of fees waived by the Adviser was higher than the median of its respective Expense Group and the Fund's total expense ratio was lower than the median of its respective Expense Group.

Oakmark International Fund. The Board considered that the Oakmark International Fund's management fee net of fees waived by the Adviser and the Fund's total expense ratio were both lower than the corresponding medians of its respective Expense Group.

Oakmark International Small Cap Fund. The Board considered that the Oakmark International Small Cap Fund's management fee was higher than the median of its respective Expense Group and the Fund's total expense ratio was equal to the median of its respective Expense Group.

The Board also reviewed the Adviser's management fees for comparable institutional separate account clients and sub-advised funds (for which the Adviser provides portfolio management services only). The Board considered the appropriateness and reasonableness of any differences between the fees charged to a Fund and any such comparable separate account clients and/or sub-advised funds, including any breakpoints, and noted the Adviser's explanation that, although in most instances the fees paid by those other clients were lower than the fees paid by the Funds, the differences reflected the Adviser's significantly greater level of responsibilities and broader scope of services with respect to the Funds. The Board further noted the more extensive regulatory obligations and the various risks (e.g., operational, enterprise, legal, regulatory, compliance) associated with managing the Funds as compared to any such comparable separate account clients and/or sub-advised funds.

The Board also noted that each Fund's management fee is a single fee that compensates the Adviser for its services as investment adviser and manager under the Agreements and further noted that, for comparative purposes, where possible, Broadridge aggregated the separate investment advisory and administrative fees into a single management fee for the mutual funds in the Expense Group that clearly identify two separate fees. The Board noted that some mutual funds in the Expense Group may pay directly from fund assets for certain services that the Adviser is compensated for out of the management fee for the Funds. Accordingly, the Board also considered each Fund's total expense ratio as compared with its respective Expense Group as a way of taking account of these differences. The Board also considered the Adviser's agreement to continue the expense limitation agreement for each Fund. In addition, the Board considered the Adviser's agreement to continue the investment advisory fee waiver agreement for Oakmark Fund, Oakmark Select Fund, Oakmark Equity and Income Fund, Oakmark Global Fund, Oakmark Global Select Fund, and Oakmark International Fund.

The Board also considered the Adviser's costs in serving as the Funds' investment adviser and manager, including costs associated with technology, infrastructure and compliance necessary to manage the Funds. Finally, the Board considered the Adviser's profitability analysis, as well as an Investment Management Industry Profitability Analysis prepared by Broadridge. The Board examined the estimated pre-tax profits realized by the Adviser and its affiliates from their relationship with each Fund, as presented in the profitability analyses, as well as the financial condition of the Adviser. The Board reviewed the Adviser's methodology for allocating costs among the Adviser's lines of business and among the Funds, for purposes of calculating its estimated profitability, and recognized that the methodology may not reflect all of the costs or risks associated with offering and managing a mutual fund complex. The Board also recognized that the Adviser and its affiliates are entitled to earn a reasonable level of profits for services they provide to each Fund.

Economies of Scale

The Board considered whether each Fund's management fee structure reflects any potential economies of scale that may be realized by the Adviser for the benefit of each Fund's shareholders. The Board reviewed each Agreement, which includes breakpoints that decrease the management fee rate as Fund assets increase. In addition, the Board considered each Fund's expense limitation agreement and the investment advisory fee waiver agreement for Oakmark Fund, Oakmark Select Fund, Oakmark Equity and Income Fund, Oakmark Global Fund, Oakmark Global Select Fund, and Oakmark International Fund that reduces each Fund's expenses at all asset levels, which can have an effect similar to breakpoints in sharing economies of scale with shareholders and provides protection from an increase in expenses if a Fund's assets decline. The Board also considered that the Adviser has provided, at no added cost to the Funds, certain additional services, including but not limited to, services required by new regulations or regulatory interpretations, services impelled by changes in the securities markets or the business landscape, and/or services requested by the Board. The Board considered that this is a way of sharing economies of scale with the Funds and their shareholders.

Other Benefits Derived from the Relationship with the Funds

The Board considered any fall-out benefits likely to accrue to the Adviser or its affiliates from their relationship with each Fund. The Board noted that an affiliate of the Adviser serves as the Funds' distributor, without compensation, pursuant to a written agreement the Board evaluates annually. The Board also considered the Adviser's use of a portion of the commissions paid by the Funds on their portfolio brokerage transactions to obtain research and brokerage products and services benefiting the Funds and/or other clients of the Adviser, and considered the Adviser's assertion that its use of "soft" commission dollars to obtain research and brokerage products and services was consistent with regulatory requirements.

Conclusion

After full consideration of the above factors, as well as other factors that were instructive in evaluating the Agreements, the Board, including all of the Independent Trustees, in its business judgment, concluded that approval of the continuation of each Agreement was in the best interests of the respective Fund and its shareholders. In reaching this determination, the Board considered that the nature, extent and quality of the services provided by the Adviser to each Fund were appropriate and consistent with the Fund's Agreement and that each Fund was likely to continue to benefit from services provided under its Agreement with the Adviser; that

82 OAKMARK FUNDS



the Adviser was delivering performance for each Fund that was consistent with the long-term investment strategies being pursued by the Fund, and that the Fund and its shareholders were benefiting from the Adviser's investment management of the Fund; that the management fees paid by each Fund to the Adviser were reasonable in light of the services provided; that the breakpoints in the fee schedule for each Fund allow shareholders to benefit from potential economies of scale that may be achieved by the Adviser; that the profitability of the Adviser's relationship with each Fund appeared to be reasonable in relation to the services performed; and that the benefits accruing to the Adviser and its affiliates by virtue of their relationship with the Funds were reasonable in light of the costs and risks associated with providing the investment advisory and other services to each Fund and the benefits accruing to each Fund. The Board's conclusions are based in part on its consideration of materials prepared in connection with the approval or continuance of the Agreements in prior years and on the Board's ongoing regular review of Fund performance and operations throughout the year, in addition to material prepared specifically for the most recent annual contract approval process.

Oakmark.com 83



Disclosures and Endnotes

Reporting to Shareholders. The Funds reduce the number of duplicate prospectuses, annual and semi-annual reports your household receives by sending only one copy of each to those addresses shared by two or more accounts. Call the Funds at 1-800-OAKMARK (625-6275) to request individual copies of these documents. The Funds will begin sending individual copies 30 days after receiving your request.

Before investing in any Oakmark Fund, you should carefully consider the Fund's investment objectives, risks, management fees and other expenses. This and other important information is contained in the Funds' prospectus and a Fund's summary prospectus. Please read the prospectus and summary prospectus carefully before investing. For more information, please visit Oakmark.com or call 1-800-OAKMARK (625-6275).

The discussion of the Funds' investments and investment strategy (including current investment themes, the portfolio managers' research and investment process, and portfolio characteristics) represents the Funds' investments and the views of the portfolio managers and Harris Associates L.P., the Funds' investment adviser, at the time of this report, and are subject to change without notice.

All Oakmark Funds: Investing in value stocks presents the risk that value stocks may fall out of favor with investors and underperform growth stocks during given periods.

Oakmark, Oakmark Equity and Income, Oakmark Global, Oakmark International, and Oakmark International Small Cap Funds: The Funds' portfolios tend to be invested in a relatively small number of stocks. As a result, the appreciation or depreciation of any one security held will have a greater impact on the Funds' net asset value than it would if the Funds invest in a larger number of securities. Although that strategy has the potential to generate attractive returns over time, it also increases the Funds' volatility.

Oakmark Select and Oakmark Equity and Income Funds: The stocks of medium-sized companies tend to be more volatile than those of large companies and have underperformed the stocks of small and large companies during some periods.

Because the Oakmark Select and Oakmark Global Select Funds are non-diversified, the performance of each holding will have a greater impact on the Funds' total return and may make the Funds' returns more volatile than a more diversified fund.

Oakmark Global, Oakmark Global Select, Oakmark International and Oakmark International Small Cap Funds: Investing in foreign securities presents risks that in some ways may be greater than U.S. investments. Those risks include: currency fluctuation; different regulation, accounting standards, trading practices and levels of available information; generally higher transaction costs; and political risks.

The percentages of hedge exposure for each foreign currency are calculated by dividing the market value of all same-currency forward contracts by the market value of the underlying equity exposure to that currency.

The Oakmark Equity and Income Fund invests in medium- and lower quality debt securities that have higher yield potential but present greater investment and credit risk than higher quality securities. These risks may result in greater share price volatility.

Oakmark International Small Cap Fund: The stocks of smaller companies often involve more risk than the stocks of larger companies. Stocks of small companies tend to be more volatile and have a smaller public market than stocks of larger companies. Small companies may have a shorter history of operations than

larger companies, may not have as great an ability to raise additional capital and may have a less diversified product line, making them more susceptible to market pressure.

Endnotes:

1.  The S&P 500 Total Return Index is a float-adjusted, capitalization-weighted index of 500 U.S. large-capitalization stocks representing all major industries. It is a widely recognized index of broad U.S. equity market performance. Returns reflect the reinvestment of dividends. This index is unmanaged and investors cannot invest directly in this index.

2.   Intraday returns referenced for the S&P 500 Index are for the price only index, not the total return index.

3.  The Price-Earnings Ratio ("P/E") is the most common measure of the expensiveness of a stock.

4.  The Dow Jones Industrial Average is a price-weighted measure of 30 U.S. blue-chip companies. The index covers all industries except transportation and utilities. This index is unmanaged and investors cannot invest directly in this index.

5.  The Lipper Large-Cap Value Fund Index measures the equal-weighted performance of the 30 largest U.S. large-cap value funds, as defined by Lipper. This index is unmanaged and investors cannot invest directly in this index.

6.  Portfolio holdings are subject to change without notice and are not intended as recommendations of individual stocks.

7.   Compound annual growth rate (CAGR) is the rate of return that would be required for an investment to grow from its beginning balance to its ending balance, assuming the profits were reinvested at the end of each year of the investment's lifespan.

8.  The Lipper Multi-Cap Value Fund Index measures the equal-weighted performance of the 30 largest U.S. multi-cap value funds, as defined by Lipper. This index is unmanaged and investors cannot invest directly in this index.

9.  The Lipper Balanced Fund Index measures the equal-weighted performance of the 30 largest U.S. balanced funds, as defined by Lipper. This index is unmanaged and investors cannot invest directly in this index.

10.  The Barclays U.S. Government/Credit Index measures the non-securitized component of the U.S. Aggregate Index. It includes investment grade, U.S. dollar-denominated, fixed-rate Treasuries, government-related and corporate securities. This index is unmanaged and investors cannot invest directly in this index.

11.  The Price to Book Ratio is a stock's capitalization divided by its book value.

12.  The MSCI World Index (Net) is a free float-adjusted, market capitalization-weighted index that is designed to measure the global equity market performance of developed markets. The index covers approximately 85% of the free float-adjusted market capitalization in each country. This benchmark calculates reinvested dividends net of withholding taxes. This index is unmanaged and investors cannot invest directly in this index.

84 OAKMARK FUNDS



Disclosures and Endnotes (continued)

13.  The Lipper Global Fund Index measures the equal-weighted performance of the 30 largest global equity funds as defined by Lipper. This index is unmanaged and investors cannot invest directly in this index.

14.  Percentile ranking of Q4 2018 and Q1 2019 MSCI World Index returns compared to MSCI World Index quarterly historical returns since 1970.

15.  The MSCI World ex U.S. Index (Net) is a free float-adjusted, market capitalization-weighted index that is designed to measure international developed market equity performance, excluding the U.S. The index covers approximately 85% of the free float-adjusted market capitalization in each country. This benchmark calculates reinvested dividends net of withholding taxes. This index is unmanaged and investors cannot invest directly in this index.

16.  The MSCI EAFE Index (Net) is designed to represent the performance of large- and mid-cap securities across 21 developed market countries in Europe, Australasia and the Far East, excluding the U.S. and Canada. The index covers approximately 85% of the free float-adjusted market capitalization in each of the 21 countries. This benchmark calculates reinvested dividends net of withholding taxes. This index is unmanaged and investors cannot invest directly in this index.

17.  The Lipper International Fund Index measures the equal-weighted performance of the 30 largest international equity funds, as defined by Lipper. This index is unmanaged and investors cannot invest directly in this index.

18.   EBIT is a measure of a firm's profit that includes all expenses except interest and income tax expenses. It is the difference between operating revenues and operating expenses.

19.  The MSCI World ex U.S. Small Cap Index (Net) is designed to measure performance of small-cap stocks across 22 of 23 developed markets (excluding the U.S.). The index covers approximately 14% of the free float-adjusted market capitalization in each country. This benchmark calculates reinvested dividends net of withholding taxes. This index is unmanaged and investors cannot invest directly in this index.

20.  The Lipper International Small-Cap Fund Index measures the equal-weighted performance of the 30 largest international small-cap equity funds, as defined by Lipper. This index is unmanaged and investors cannot invest directly in this index.

21.  Common Equity Tier 1 is a component of Tier 1 capital that consists mostly of common stock held by a bank or other financial institution. Expressed as a ratio of common equity tier 1 to risk-weighted assets, it is a capital measure that provides an indication of a firm's financial strength.

Oakmark.com 85



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86 OAKMARK FUNDS



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88 OAKMARK FUNDS



Oakmark Funds

Trustees and Officers

Trustees

Allan J. Reich—Chair

Thomas H. Hayden

Hugh T. Hurley, III

Patricia Louie

Christine M. Maki

Laurence C. Morse, Ph.D.

Mindy M. Posoff

Steven S. Rogers

Kristi L. Rowsell

Officers

Kristi L. Rowsell—President and Principal Executive Officer

Anthony P. Coniaris—Executive Vice President

Kevin G. Grant—Executive Vice President

Megan J. Claucherty—Vice President

Justin D. Hance—Vice President

David G. Herro—Vice President

M. Colin Hudson—Vice President

John J. Kane—Vice President

Christopher W. Keller—Vice President

Eric Liu—Vice President

Jason E. Long—Vice President

Michael L. Manelli—Vice President

Clyde S. McGregor—Vice President

Thomas W. Murray—Vice President

Michael J. Neary—Vice President

Michael A. Nicolas—Vice President*

William C. Nygren—Vice President

Vineeta D. Raketich—Vice President

Zachary D. Weber—Vice President, Principal Financial Officer and Treasurer

Benjamin D. Wiesenfeld—Vice President, Chief Compliance Officer, Assistant Secretary and Anti-Money Laundering Officer

Edward J. Wojciechowski—Vice President

Rana J. Wright—Vice President, Secretary and Chief Legal Officer

*  Mr. Nicolas assumed his duties effective January 23, 2019.

Other Information

Investment Adviser

Harris Associates L.P.
111 S. Wacker Drive
Chicago, Illinois 60606-4319

Transfer Agent

DST Asset Manager Solutions, Inc.
Quincy, Massachusetts

Legal Counsel

K&L Gates LLP
Washington, D.C.

Independent Registered Public Accounting Firm

Deloitte & Touche LLP
Chicago, Illinois

Contact Us

Please call 1-800-OAKMARK
(1-800-625-6275)
or 617-483-8327

Website

Oakmark.com

Twitter

@HarrisOakmark

To obtain a prospectus, an application or periodic reports, access our website at Oakmark.com or call 1-800-OAKMARK (625-6275) or (617) 483-8327.

Each Fund files its complete schedule of portfolio holdings with the Securities and Exchange Commission ("SEC") for the first and third quarters of each fiscal year on Form N-Q or Form N-PORT (for filings after March 31, 2019). The Funds' Form N-Qs (Form N-PORTs) are available on the SEC's website at www.sec.gov.

A description of the policies and procedures the Funds use to determine how to vote proxies relating to portfolio securities is available without charge, upon request, by calling toll-free 1-800-625-6275; on the Funds' website at Oakmark.com; and on the SEC's website at www.sec.gov.

No later than August 31 of each year, information regarding how the Adviser, on behalf of the Funds, voted proxies relating to the Funds' portfolio securities for the 12 months ended the preceding June 30 will be available through a link on the Funds' website at Oakmark.com and on the SEC's website at www.sec.gov.

This report is submitted for the general information of the shareholders of the Funds. The report is not authorized for distribution to prospective investors in the Funds unless it is accompanied or preceded by a currently effective prospectus of the Funds.

No sales charge to the shareholder or to the new investor is made in offering the shares of the Funds.

Oakmark.com 89



Oakmark.com

SEMIANN (05/19)



 

Item 2. Code of Ethics.

 

Not required in this filing.

 

Item 3. Audit Committee Financial Expert.

 

Not required in this filing.

 

Item 4. Principal Accountant Fees and Services.

 

Not required in this filing.

 

Item 5. Audit Committee of Listed Registrants.

 

Not applicable.

 

Item 6. Investments.

 

(a)                                 The Schedule of Investments in securities of unaffiliated issuers as of the close of the reporting period is included as part of the semi-annual report to shareholders filed under Item 1 of this Form.

 

(b)                                 Not applicable.

 

Item 7. Disclosure of Proxy Voting Policies and Procedures for Closed-End Management Investment Companies.

 

Not applicable.

 

Item 8.  Portfolio Managers of Closed-End Management Investment Companies.

 

Not applicable.

 

Item 9. Purchases of Equity Securities by Closed-End Management Investment Company and Affiliated Purchasers.

 

Not applicable.

 

Item 10. Submission of Matters to a Vote of Security Holders.

 

During the period covered by this report, no material changes were made to the procedures by which shareholders may recommend nominees to the Registrant’s board of trustees.

 


 

Item 11. Controls and Procedures.

 

(a)                                 Based on an evaluation of the Registrant’s disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940, the “Disclosure Controls”), the Disclosure Controls are effectively designed to ensure that information required to be disclosed by the Registrant in this report is recorded, processed, summarized, and reported within 90 days prior to the filing of this report, including ensuring that information required to be disclosed in this report is accumulated and communicated to the Registrant’s management, including the Registrant’s principal executive officer and principal financial officer, as appropriate to allow timely decisions regarding required disclosure.

 

(b)                                 There were no changes in the Registrant’s internal controls over financial reporting (as defined in Rule 30a-3(d) under the Investment Company Act of 1940) that occurred during the Registrant’s second fiscal quarter of the time period covered by this report that has materially affected, or is reasonably likely to materially affect, the Registrant’s internal control over financial reporting.

 

Item 12. Disclosure of Securities Lending Activities for Closed-End Management Investment Companies.

 

Not applicable.

 

Item 13. Exhibits.

 

(a)(1)                  A copy of the Code is incorporated by reference to the Registrant’s Form N-CSR, Investment Company Act file number 811-06279 (filed November 25, 2015).

 

(2)                   Certifications of Kristi L. Rowsell, Principal Executive Officer, and Zachary D. Weber, Principal Financial Officer, pursuant to Rule 30a-2(a) under the Investment Company Act of 1940 (17 CFR 270.30a-2), attached hereto as Exhibits (a)(2)(i) and (a)(2)(ii), respectively.

 

(3)                   Not applicable.

 

(4)                   Not applicable.

 

(b)                                 Certification of Kristi L. Rowsell, Principal Executive Officer, and Zachary D. Weber, Principal Financial Officer, pursuant to Section 906 of the Sarbanes-Oxley Act of 2002, attached hereto as Exhibit (b).

 


 

SIGNATURES

 

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, the Registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized.

 

Harris Associates Investment Trust

 

By:

/s/ Kristi L. Rowsell

 

 

 

Kristi L. Rowsell

 

 

Principal Executive Officer

 

 

 

 

Date:

May 28, 2019

 

 

 

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, this report has been signed below by the following persons on behalf of the Registrant and in the capacities and on the dates indicated.

 

By:

/s/ Kristi L. Rowsell

 

 

 

Kristi L. Rowsell

 

 

Principal Executive Officer

 

 

 

 

Date:

May 28, 2019

 

 

 

 

 

 

 

By:

/s/ Zachary D. Weber

 

 

 

Zachary D. Weber

 

 

Principal Financial Officer

 

 

 

 

Date:

May 28, 2019

 

 


EX-99.CERT 2 a19-5996_2ex99dcert.htm EX-99.CERT

Exhibit 99.CERT

 

Exh. (a)(2)(i)

 

I, Kristi L. Rowsell, certify that:

 

1.                                      I have reviewed this report on Form N-CSR of Harris Associates Investment Trust (the “Registrant”);

 

2.                                      Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

 

3.                                      Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations, changes in net assets, and cash flows (if the financial statements are required to include a statement of cash flows) of the Registrant as of, and for, the periods presented in this report;

 

4.                                      The Registrant’s other certifying officer(s) and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940) and internal control over financial reporting (as defined in Rule 30a-3(d) under the Investment Company Act of 1940) for the Registrant and have:

 

a.                                      Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the Registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

 

b.                                      Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

 

c.                                       Evaluated the effectiveness of the Registrant’s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of a date within 90 days prior to the filing date of this report based on such evaluation; and

 

d.                                      Disclosed in this report any change in the Registrant’s internal control over financial reporting that occurred during the second fiscal quarter of the period covered by this report that has materially affected, or is reasonably likely to materially affect, the Registrant’s internal control over financial reporting; and

 

5.                                      The Registrant’s other certifying officer(s) and I have disclosed to the Registrant’s auditors and the audit committee of the Registrant’s board of trustees (or persons performing the equivalent functions):

 

a.                                      All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the Registrant’s ability to record, process, summarize, and report financial information; and

 

b.                                      Any fraud, whether or not material, that involves management or other employees who have a significant role in the Registrant’s internal control over financial reporting.

 

Date:

May 28, 2019

 

/s/ Kristi L. Rowsell

 

 

Kristi L. Rowsell

 

 

Principal Executive Officer

 


 

Exh. (a)(2)(ii)

 

I, Zachary D. Weber, certify that:

 

1.                                      I have reviewed this report on Form N-CSR of Harris Associates Investment Trust (the “Registrant”);

 

2.                                      Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

 

3.                                      Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations, changes in net assets, and cash flows (if the financial statements are required to include a statement of cash flows) of the Registrant as of, and for, the periods presented in this report;

 

4.                                      The Registrant’s other certifying officer(s) and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940) and internal control over financial reporting (as defined in Rule 30a-3(d) under the Investment Company Act of 1940) for the Registrant and have:

 

a.                                      Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the Registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

 

b.                                      Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

 

c.                                       Evaluated the effectiveness of the Registrant’s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of a date within 90 days prior to the filing date of this report based on such evaluation; and

 

d.                                      Disclosed in this report any change in the Registrant’s internal control over financial reporting that occurred during the second fiscal quarter of the period covered by this report that has materially affected, or is reasonably likely to materially affect, the Registrant’s internal control over financial reporting; and

 

5.                                      The Registrant’s other certifying officer(s) and I have disclosed to the Registrant’s auditors and the audit committee of the Registrant’s board of trustees (or persons performing the equivalent functions):

 

a.                                      All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the Registrant’s ability to record, process, summarize, and report financial information; and

 

b.                                      Any fraud, whether or not material, that involves management or other employees who have a significant role in the Registrant’s internal control over financial reporting.

 

Date:

May 28, 2019

 

/s/ Zachary D. Weber

 

 

Zachary D. Weber

 

 

Principal Financial Officer

 


EX-99.906CERT 3 a19-5996_2ex99d906cert.htm EX-99.906CERT

Exhibit 99.906CERT

 

Exh. (b)

 

Certification Pursuant to Section 906 of the Sarbanes-Oxley Act of 2002 (subsections (a) and (b) of section 1350, chapter 63 of title 18, United States Code)

 

In connection with the attached Report of Harris Associates Investment Trust (the “Registrant”) on Form N-CSR to be filed with the Securities and Exchange Commission (the “Report”), each of the undersigned officers of the Registrant does hereby certify that, to the best of such officer’s knowledge:

 

1.                                      The Report fully complies with the requirements of 13(a) or 15(d) of the Securities Exchange Act of 1934; and

 

2.                                      The information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the Registrant as of, and for, the periods presented in the Report.

 

By:

/s/ Kristi L. Rowsell

 

 

Kristi L. Rowsell

 

 

Principal Executive Officer

 

 

 

 

Date:

May 28, 2019

 

 

 

 

 

By:

/s/ Zachary D. Weber

 

 

Zachary D. Weber

 

 

Principal Financial Officer

 

 

 

 

Date:

May 28, 2019

 

 

A signed original of this written statement required by Section 906, or other document authenticating, acknowledging, or otherwise adopting the signature that appears in typed form within the electronic version of this written statement required by Section 906, has been provided to the Registrant and will be retained by the Registrant and furnished to the Securities and Exchange Commission or its staff upon request.

 

This certification is being furnished to the Commission solely pursuant to 18 U.S.C. Section 1350 and is not being filed as part of the Form N-CSR with the Commission.

 


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