|500 Bielenburg Dr. , Woodbury, MN 55125|
|Fund Manager||Vernon Meyer|
|Manager Tenure||7 Years 4 Months|
The Fund seeks long-term capital appreciation. The Fund seeks to meet its investment objective through investment in a combination of other mutual funds and exchange traded funds ( ETFs ) advised by Hartford Funds Management Company, LLC (the Investment Manager ) or a wholly owned subsidiary of the Investment Manager (the Underlying Funds ). The Underlying Funds, include fixed income funds, equity funds and funds that may have exposures to alternative asset classes, including commodities. The Fund may also invest in one or more unaffiliated money market funds. The Investment Manager anticipates allocating approximately 65%-95% of the Fund s total assets to the equity component and approximately 5%-35% of the Fund s total assets to the fixed income component. The Investment Manager may change these target allocations depending on its analysis of global financial markets and macro-economic trends. The Investment Manager regularly reviews and adjusts the allocations to favor investments in those Underlying Funds that it believes will provide the most favorable outlook for achieving the Fund s investment objective. The equity component is generally comprised of domestic, global and international equity funds and/or equity related investments. The fixed income component is generally comprised of fixed income funds investing in several asset classes of varying credit quality and duration profiles and/or fixed income related investments. The Fund may also invest in Underlying Funds that allocate to alternative asset classes, including commodities. The Underlying Funds use a broad array of investment strategies. The Underlying Funds may invest in many types of instruments, including but not limited to equity and equity related securities across the market capitalization spectrum, corporate and sovereign bonds of varying credit quality and duration, money market instruments and derivatives. The debt securities in which certain Underlying Funds may invest include government, corporate and asset-backed securities with a variety of maturities and qualities that range from investment grade to below investment grade (also referred to as junk bonds ), and unrated securities determined to be of comparable quality. The Underlying Funds may invest in domestic and foreign securities.
|Asset Type||% Of Allocation|
|Total Net Assets||600.60 M|
|Criteria||3 Years||5 Years||10 Years|
|Minimum Initial IRA||$2000|
|Timeframe||Average Annual Current Performance Monthly As Of 08/31/2021||Average Annual Current Performance Quarterly As Of 06/30/2021||Avg Annual Current Performance Monthly As Of 08/31/2021||Avg Annual Current Performance Quarterly As Of 06/30/2021|
|Life Of Fund||
|Symbol||Company Name||% Of Assets|
|ROUS||HARTFORD MULTIFACTOR US EQ ET||9.24%|
|RODM||HARTFORD MULTIFACTOR DEV MKT||9.19%|
|HAOYX||HARTFORD INT OPP FUND CL U||7.90%|
|HCRB||HARTFORD CORE BOND ETF||6.05%|
|CWSIX||CHARTWELL SMALL CAP VALUE FD||4.97%|
|HGWYX||HARTFORD GROWTH OPPORTUNITY||4.93%|
|HSCYX||HARTFORD SMALL COMP FUND CL Y||4.32%|
|HWDAX||HARTFORD WORLD BOND FD||4.08%|
|HAMBX||HARTFORD MIDCAP FUND||4.05%|
|HAIAX||HARTFORD DISCIPLINED EQUITY||19.56%|
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