<<

Hartford International Equity Fund

Full Portfolio Holdings* as of August 31, 2021 % of Coupon Maturity Shares/Par Market Value Net Assets Fixed Income Clearing Corp. Repurchase 0.020 9/1/2021 17,904,194 17,904,194 1.903 Agreement dated 01/29/2021 at 0.020%, due on 02/01/2021 with a maturity value of $20,065,950; collateralized by U.S. Treasury at 3.000%, maturing 05/15/2047, with a market value of $20,467,316 Electronics Co., Ltd. 0.000 182,993 12,080,874 1.284 Cellnex Telecom S.A. 0.000 172,019 11,774,401 1.252 Holdings Ltd. 0.000 189,724 11,717,882 1.246 Semiconductor Manufacturing Co., 0.000 447,917 9,825,158 1.045 Ltd. Assa Abloy AB 0.000 296,507 9,488,428 1.009 Heineken N.V. 0.000 86,046 9,423,931 1.002 SE 0.000 50,375 9,000,324 0.957 AstraZeneca plc 0.000 76,460 8,941,494 0.951 Hon Hai Precision Co., Ltd. 0.000 2,138,636 8,540,233 0.908 Royal of Canada 0.000 82,961 8,521,972 0.906 Smith & Nephew plc 0.000 432,417 8,280,365 0.880 SK Telecom Co., Ltd. 0.000 31,967 8,219,008 0.874 Industria de Diseno Textil S.A. 0.000 235,320 8,038,862 0.855 ASML Holding N.V. 0.000 9,413 7,850,323 0.835 MediaTek, Inc. 0.000 237,434 7,699,325 0.819 0.000 168,494 7,116,428 0.757 Nitori Holdings Co., Ltd. 0.000 36,510 6,831,213 0.726 BAE Systems plc 0.000 863,078 6,742,897 0.717 Atlas Copco AB 0.000 104,730 6,564,410 0.698 Holding AG 0.000 3,675 6,515,788 0.693 DSV Panalpina A/S 0.000 24,676 6,285,516 0.668 Kuehne + Nagel International AG 0.000 16,973 6,203,084 0.659 plc 0.000 314,282 6,198,424 0.659 SE 0.000 44,397 6,073,339 0.646 Ltd. 0.000 88,872 6,065,833 0.645 Lululemon Athletica, Inc. 0.000 15,092 6,039,366 0.642 0.000 18,690 5,891,683 0.626 Reliance Industries Ltd. 0.000 120,678 5,783,212 0.615 Flutter Entertainment plc 0.000 29,293 5,687,479 0.605 AG 0.000 6,670 5,640,994 0.600 Roche Holding AG 0.000 13,825 5,551,496 0.590 Techtronic Industries Co., Ltd. 0.000 249,000 5,510,923 0.586 , Inc. 0.000 326,790 5,506,382 0.585 Zalando SE 0.000 49,532 5,491,850 0.584 L'Oreal S.A. 0.000 11,666 5,472,977 0.582 plc 0.000 113,083 5,436,201 0.578 TotalEnergies SE 0.000 122,643 5,424,820 0.577 S.A. 0.000 190,973 5,365,098 0.570 Volkswagen AG 0.000 22,227 5,286,793 0.562 AIA Group Ltd. 0.000 437,862 5,228,390 0.556 Page 1 of 11 HARTFORD FUNDS 08.31.21(unaudited) Hartford International Equity Fund

Full Portfolio Holdings* as of August 31, 2021 % of Security Coupon Maturity Shares/Par Market Value Net Assets AG 0.000 121,059 5,154,421 0.548 Chailease Holding Co., Ltd. 0.000 531,328 5,097,142 0.542 AG 0.000 54,760 5,064,800 0.538 , Inc. 0.000 3,299 5,030,249 0.535 SAP SE 0.000 33,189 4,985,318 0.530 Toronto-Dominion Bank 0.000 76,582 4,973,141 0.529 KDDI Corp. 0.000 162,260 4,959,538 0.527 Hong Kong Exchanges & Clearing Ltd. 0.000 77,118 4,871,856 0.518 Adyen N.V. 0.000 1,504 4,861,041 0.517 Vinci S.A. 0.000 45,003 4,828,438 0.513 AG 0.000 226,591 4,818,062 0.512 plc 0.000 37,790 4,757,065 0.506 Kao Corp. 0.000 77,715 4,694,496 0.499 S.A. 0.000 52,446 4,669,948 0.496 China Merchants Bank Co., Ltd. 0.000 559,083 4,611,096 0.490 Sandvik AB 0.000 180,510 4,606,453 0.490 Dongfeng Motor Group Co., Ltd. 0.000 4,196,965 4,595,632 0.489 Pagseguro Digital Ltd. 0.000 77,037 4,581,390 0.487 Nestle S.A. 0.000 36,226 4,574,936 0.486 China Construction Bank Corp. 0.000 6,306,540 4,544,226 0.483 Co., Ltd. 0.000 216,212 4,535,383 0.482 CJ CheilJedang Corp. 0.000 11,480 4,488,940 0.477 Davide Campari-Milano N.V. 0.000 324,141 4,482,880 0.477 KB Financial Group, Inc. 0.000 98,198 4,467,030 0.475 SGS S.A. 0.000 1,404 4,412,546 0.469 CSPC Pharmaceutical Group Ltd. 0.000 3,473,545 4,406,545 0.468 Canadian Railway Co. 0.000 37,404 4,399,599 0.468 Vale S.A. 0.000 227,464 4,337,738 0.461 Semiconductor Manufacturing 0.000 1,770,400 4,285,940 0.456 Corp. 0.000 330,072 4,269,223 0.454 Ferrari N.V. 0.000 19,606 4,252,945 0.452 Koninklijke N.V. 0.000 90,962 4,191,814 0.446 Benckiser Group plc 0.000 53,841 4,110,287 0.437 CP ALL PCL 0.000 2,035,378 4,104,540 0.436 Moncler S.p.A. 0.000 63,601 4,072,393 0.433 Intact Financial Corp. 0.000 29,901 4,072,357 0.433 S.A. 0.000 116,713 4,024,785 0.428 Brenntag SE 0.000 39,618 3,998,182 0.425 Shin-Etsu Chemical Co., Ltd. 0.000 23,867 3,942,061 0.419 plc 0.000 69,881 3,890,029 0.414 Deutsche Boerse AG 0.000 22,326 3,850,273 0.409 plc 0.000 377,008 3,850,203 0.409 Carlsberg A/S 0.000 21,968 3,837,040 0.408 S.A. 0.000 52,174 3,810,047 0.405

Page 2 of 11 HARTFORD FUNDS 08.31.21(unaudited) Hartford International Equity Fund

Full Portfolio Holdings* as of August 31, 2021 % of Security Coupon Maturity Shares/Par Market Value Net Assets Infosys Ltd. 0.000 162,309 3,788,196 0.403 Seven & i Holdings Co., Ltd. 0.000 86,392 3,769,830 0.401 Vipshop Holdings Ltd. 0.000 246,559 3,646,608 0.388 Bank of Montreal 0.000 36,442 3,626,725 0.386 CTBC Financial Holding Co., Ltd. 0.000 4,370,212 3,622,184 0.385 plc 0.000 411,487 3,558,382 0.378 Co., Ltd. 0.000 42,948 3,541,910 0.377 Co., Ltd. 0.000 53,260 3,530,025 0.375 Yageo Corp. 0.000 203,757 3,507,974 0.373 S.A. 0.000 33,581 3,494,061 0.371 Fortis, Inc. 0.000 75,804 3,472,810 0.369 Itau S.A. 0.000 1,543,620 3,450,964 0.367 Softbank Corp. 0.000 256,848 3,437,354 0.365 plc 0.000 76,871 3,390,788 0.360 Holding Ltd. 0.000 20,212 3,375,202 0.359 plc 0.000 165,961 3,293,826 0.350 Tata Consultancy Services Ltd. 0.000 62,957 3,259,060 0.346 Jeronimo Martins SGPS S.A. 0.000 153,346 3,250,087 0.346 Wesfarmers Ltd. 0.000 73,304 3,201,660 0.340 UBS Group AG 0.000 190,066 3,170,536 0.337 DiGi.Com Bhd 0.000 2,992,297 3,162,459 0.336 S.A. 0.000 254,605 3,154,930 0.335 Asahi Group Holdings Ltd. 0.000 66,966 3,112,889 0.331 plc 0.000 150,359 3,106,410 0.330 China Merchants Holdings Co., Ltd. 0.000 1,840,000 3,095,479 0.329 China Overseas Land & Investment Ltd. 0.000 1,322,178 3,045,884 0.324 Advantech Co., Ltd. 0.000 216,853 3,019,352 0.321 BP plc 0.000 739,296 3,007,674 0.320 Cie de Saint-Gobain 0.000 41,261 2,991,131 0.318 SE 0.000 13,274 2,983,827 0.317 Motor Co., Ltd. 0.000 97,880 2,962,496 0.315 SoftBank Group Corp. 0.000 52,550 2,961,390 0.315 S.A. 0.000 88,914 2,955,075 0.314 Sands China Ltd. 0.000 918,578 2,951,023 0.314 Bank Central Asia Tbk PT 0.000 1,271,927 2,919,599 0.310 Medical Care AG & Co. KGaA 0.000 37,572 2,888,908 0.307 China Resources Gas Group Ltd. 0.000 473,176 2,871,623 0.305 Nippon Building Fund, Inc. 0.000 429 2,785,898 0.296 ICICI Bank Ltd. 0.000 140,557 2,757,728 0.293 Shenzhou International Group Holdings Ltd. 0.000 126,066 2,732,622 0.291 Sinopec Engineering Group Co., Ltd. 0.000 5,089,500 2,696,746 0.287 , Inc. 0.000 69,625 2,696,156 0.287 Vifor Pharma AG 0.000 18,545 2,640,545 0.281 , Inc. 0.000 269,470 2,624,893 0.279 Merck KGaA 0.000 10,963 2,604,773 0.277

Page 3 of 11 HARTFORD FUNDS 08.31.21(unaudited) Hartford International Equity Fund

Full Portfolio Holdings* as of August 31, 2021 % of Security Coupon Maturity Shares/Par Market Value Net Assets Bank of Nova Scotia 0.000 41,955 2,598,806 0.276 Sodexo S.A. 0.000 30,693 2,543,248 0.270 0.000 120,155 2,503,384 0.266 Groupe Eurotunnel SE 0.000 154,529 2,489,228 0.265 BNP Paribas S.A. 0.000 39,036 2,472,925 0.263 Mitsubishi UFJ Financial Group, Inc. 0.000 455,400 2,470,746 0.263 ING Groep N.V. 0.000 177,026 2,441,963 0.260 Bharti Airtel Ltd. 0.000 268,896 2,439,990 0.259 CJ ENM Co., Ltd. 0.000 17,910 2,358,885 0.251 China Longyuan Power Group Corp. Ltd. 0.000 1,155,485 2,355,049 0.250 Co., Ltd. 0.000 31,048 2,354,455 0.250 China Vanke Co., Ltd. 0.000 861,263 2,323,822 0.247 Magazine Luiza S.A. 0.000 656,588 2,316,115 0.246 Kasikornbank PCL 0.000 609,082 2,315,884 0.246 Kirin Holdings Co., Ltd. 0.000 126,360 2,289,231 0.243 LafargeHolcim Ltd. 0.000 40,135 2,286,954 0.243 Obic Co., Ltd. 0.000 12,030 2,284,130 0.243 Pharmaceuticals Holding Co., Ltd. 0.000 1,147,474 2,276,392 0.242 SM Prime Holdings, Inc. 0.000 3,320,605 2,265,314 0.241 QIAGEN N.V. 0.000 40,506 2,241,674 0.238 S.A. 0.000 152,633 2,187,199 0.233 Scout24 AG 0.000 25,665 2,157,737 0.229 China Tower Corp. Ltd. 0.000 16,104,593 2,112,387 0.225 Schindler Holding AG 0.000 6,526 2,107,407 0.224 WPP plc 0.000 155,418 2,107,289 0.224 Financial Square Funds, 0.026 9/1/2021 2,103,721 2,103,721 0.224 Government Fund, Institutional Class S.p.A. 0.000 169,583 2,092,246 0.222 LG Household & Health Care Ltd. 0.000 1,657 2,087,953 0.222 Anheuser-Busch InBev S.A. 0.000 33,998 2,085,173 0.222 Haidilao International Holding Ltd. 0.000 508,000 2,073,240 0.220 Daimler AG 0.000 24,485 2,065,426 0.220 CSL Ltd. 0.000 9,047 2,057,674 0.219 Fresenius SE & Co. KGaA 0.000 39,460 2,051,653 0.218 Sumitomo Financial Group, Inc. 0.000 59,018 2,037,048 0.217 China Resources Sanjiu Medical & 0.000 461,955 1,996,162 0.212 Pharmaceutical Co., Ltd. Oyj 0.000 331,058 1,988,709 0.211 Takeda Pharmaceutical Co., Ltd. 0.000 58,810 1,957,520 0.208 S.p.A. 0.000 156,183 1,947,448 0.207 Adecco Group AG 0.000 35,005 1,947,235 0.207 Dentium Co., Ltd. 0.000 25,861 1,938,185 0.206 Tsuruha Holdings, Inc. 0.000 15,411 1,934,950 0.206 Chugai Pharmaceutical Co., Ltd. 0.000 48,560 1,897,382 0.202 ASE Technology Holding, Co., Ltd. 0.000 396,801 1,827,258 0.194

Page 4 of 11 HARTFORD FUNDS 08.31.21(unaudited) Hartford International Equity Fund

Full Portfolio Holdings* as of August 31, 2021 % of Security Coupon Maturity Shares/Par Market Value Net Assets SK Innovation Co., Ltd. 0.000 8,515 1,825,380 0.194 Societe Generale S.A. 0.000 56,423 1,775,864 0.189 E-Mart, Inc. 0.000 11,258 1,734,576 0.184 T&D Holdings, Inc. 0.000 142,204 1,730,708 0.184 CaixaBank S.A. 0.000 554,516 1,722,573 0.183 Sumitomo Realty & Development Co., Ltd. 0.000 51,981 1,678,191 0.178 Norsk Hydro ASA 0.000 240,965 1,663,439 0.177 America Movil S.A.B. de C.V. 0.000 84,141 1,645,798 0.175 Assicurazioni Generali S.p.A. 0.000 79,510 1,622,087 0.172 Nestle Malaysia Bhd 0.000 49,265 1,596,639 0.170 Simplo Technology Co., Ltd. 0.000 140,000 1,591,898 0.169 Phison Electronics Corp. 0.000 103,305 1,583,252 0.168 Sino Biopharmaceutical Ltd. 0.000 1,892,745 1,583,047 0.168 Sysmex Corp. 0.000 13,880 1,577,411 0.168 Bank of Group plc 0.000 251,486 1,574,119 0.167 KT Corp. 0.000 55,430 1,566,547 0.167 CJ Logistics Corp. 0.000 10,517 1,549,644 0.165 Telesites S.A.B. de C.V. 0.000 1,663,171 1,524,546 0.162 , Inc. 0.000 394,180 1,524,350 0.162 Motors Ltd. 0.000 118,932 1,503,451 0.160 Ping An Group Co., of China Ltd. 0.000 194,000 1,502,157 0.160 Localiza Rent a Car S.A. 0.000 139,500 1,496,223 0.159 plc 0.000 239,527 1,493,723 0.159 Fuchs Petrolub SE 0.000 29,306 1,483,088 0.158 Thai Beverage PCL 0.000 2,926,106 1,477,413 0.157 Co., Ltd. 0.000 44,225 1,473,295 0.157 Ozon Holdings plc 0.000 27,946 1,471,077 0.156 , Inc. 0.000 9,301 1,460,443 0.155 Itau Unibanco Holding S.A. 0.000 243,200 1,455,212 0.155 Kginicis Co., Ltd. 0.000 88,849 1,445,203 0.154 LVMH Moet Hennessy Louis Vuitton SE 0.000 1,932 1,431,245 0.152 Asian Paints Ltd. 0.000 32,671 1,431,201 0.152 Sumitomo Mitsui Trust Holdings, Inc. 0.000 43,630 1,425,095 0.152 Dai-ichi Life Holdings, Inc. 0.000 71,880 1,422,309 0.151 J Sainsbury plc 0.000 338,410 1,414,419 0.150 Jiangsu Hengrui Medicine Co., Ltd. 0.000 202,014 1,413,592 0.150 Pembina Pipeline Corp. 0.000 45,923 1,399,548 0.149 Co., Ltd. 0.000 88,900 1,391,851 0.148 Jinyu Bio-Technology Co., Ltd. 0.000 568,900 1,378,483 0.147 ABN Amro Bank N.V. 0.000 98,000 1,365,309 0.145 Livzon Pharmaceutical Group, Inc. 0.000 219,800 1,340,409 0.142 JOYY, Inc. 0.000 21,057 1,332,908 0.142 Orange S.A. 0.000 116,301 1,322,249 0.141 BT Group plc 0.000 561,888 1,313,472 0.140 AIB Group plc 0.000 432,414 1,299,280 0.138

Page 5 of 11 HARTFORD FUNDS 08.31.21(unaudited) Hartford International Equity Fund

Full Portfolio Holdings* as of August 31, 2021 % of Security Coupon Maturity Shares/Par Market Value Net Assets CK Asset Holdings Ltd. 0.000 198,849 1,294,923 0.138 RTL Group S.A. 0.000 20,795 1,292,192 0.137 SG Holdings Co., Ltd. 0.000 46,498 1,262,306 0.134 Pacific Basin Shipping Ltd. 0.000 2,299,816 1,253,004 0.133 Gazprom PJSC 0.000 150,158 1,244,958 0.132 Ono Pharmaceutical Co., Ltd. 0.000 50,440 1,211,086 0.129 Ushio, Inc. 0.000 66,370 1,199,111 0.127 Airlines Co., Ltd. 0.000 56,180 1,196,897 0.127 National Bank of Canada 0.000 14,915 1,183,837 0.126 Gree, Inc. 0.000 199,650 1,177,153 0.125 AfreecaTV Co., Ltd. 0.000 8,857 1,168,327 0.124 Ltd. 0.000 134,420 1,163,147 0.124 Ageas S.A. 0.000 23,223 1,160,522 0.123 Orion Oyj 0.000 28,250 1,152,321 0.123 Motor Co., Ltd. 0.000 218,960 1,148,684 0.122 Television Francaise 0.000 112,097 1,125,248 0.120 ENN Energy Holdings Ltd. 0.000 56,330 1,114,638 0.118 Old Mutual Ltd. 0.000 1,042,559 1,102,398 0.117 Haier Smart Home Co., Ltd. 0.000 261,027 1,091,855 0.116 Barrick Gold Corp. 0.000 54,013 1,085,697 0.115 Holdings Corp. 0.000 27,794 1,074,096 0.114 Petroleo Brasileiro S.A. 0.000 97,167 1,053,290 0.112 Rexel S.A. 0.000 50,179 1,050,450 0.112 Hays plc 0.000 477,258 1,044,604 0.111 Trip.com Group Ltd. 0.000 34,137 1,040,837 0.111 Corp. 0.000 151,430 1,040,459 0.111 Bank Mandiri Persero Tbk PT 0.000 2,415,462 1,032,587 0.110 Shimamura Co., Ltd. 0.000 11,630 1,025,075 0.109 JGC Holdings Corp. 0.000 120,280 1,009,009 0.107 Yintai Gold Co., Ltd. 0.000 723,400 993,995 0.106 SCOR SE 0.000 32,180 987,596 0.105 Hellenic Telecommunications Organization 0.000 49,936 982,989 0.105 S.A. Globalwafers Co., Ltd. 0.000 31,435 982,347 0.104 Steel Manufacturing Co., Ltd. 0.000 90,670 979,344 0.104 THK Co., Ltd. 0.000 41,940 971,022 0.103 Babcock International Group plc 0.000 192,941 963,488 0.102 Pagegroup plc 0.000 110,695 958,791 0.102 Bank AG 0.000 23,995 958,101 0.102 Cia de Saneamento Basico do Estado de 0.000 136,291 952,308 0.101 Sao Paulo Swire Pacific Ltd. 0.000 140,195 949,096 0.101 Cameco Corp. 0.000 50,742 937,499 0.100 Quadient S.A. 0.000 32,976 935,253 0.099 Yamato Kogyo Co., Ltd. 0.000 24,650 930,850 0.099

Page 6 of 11 HARTFORD FUNDS 08.31.21(unaudited) Hartford International Equity Fund

Full Portfolio Holdings* as of August 31, 2021 % of Security Coupon Maturity Shares/Par Market Value Net Assets DeNA Co., Ltd. 0.000 52,860 930,709 0.099 Corp. 0.000 40,250 921,834 0.098 Catcher Technology Co., Ltd. 0.000 153,108 920,873 0.098 Metropole Television S.A. 0.000 42,706 908,661 0.097 Continental AG 0.000 6,708 901,472 0.096 PAX Global Technology Ltd. 0.000 726,119 897,730 0.095 Maruichi Steel Tube Ltd. 0.000 36,490 897,181 0.095 NOK Corp. 0.000 72,320 886,902 0.094 Ayala Land, Inc. 0.000 1,293,000 877,161 0.093 , Inc. 0.000 44,896 871,098 0.093 Kamigumi Co., Ltd. 0.000 39,810 859,332 0.091 CIMB Group Holdings Bhd 0.000 726,295 858,031 0.091 Sumitomo Heavy Industries Ltd. 0.000 32,210 842,600 0.090 0.000 174,131 838,444 0.089 Alfresa Holdings Corp. 0.000 52,380 828,877 0.088 Co., Ltd. 0.000 188,230 822,708 0.087 Ovintiv, Inc. 0.000 30,198 822,178 0.087 MTN Group Ltd. 0.000 89,500 821,496 0.087 Oil & Natural Gas Corp. Ltd. 0.000 497,543 818,977 0.087 S.A. 0.000 21,939 816,659 0.087 VEON Ltd. 0.000 368,742 807,545 0.086 China Reinsurance Group Corp. 0.000 7,741,888 805,554 0.086 D/S Norden A/S 0.000 31,043 805,449 0.086 PTT PCL 0.000 680,400 802,147 0.085 Aeon Delight Co., Ltd. 0.000 24,660 797,866 0.085 Coca-Cola Icecek AS 0.000 75,205 792,317 0.084 Tory Burch LLC 0.000 16,188 792,234 0.084 Tokai Rika Co., Ltd. 0.000 53,550 779,043 0.083 Nippon Chemi-Con Corp. 0.000 39,030 766,343 0.081 Criteo S.A. 0.000 20,334 763,135 0.081 Corp. 0.000 71,670 753,265 0.080 Surgutneftegas PJSC 0.000 162,971 752,559 0.080 BDO Unibank, Inc. 0.000 339,927 750,914 0.080 DGB Financial Group, Inc. 0.000 95,231 745,385 0.079 Prosegur Cia de Seguridad S.A. 0.000 227,024 739,058 0.079 Lotes Co., Ltd. 0.000 38,000 738,688 0.079 & Technology Co., Ltd. 0.000 18,321 735,027 0.078 PostNL N.V. 0.000 139,641 730,727 0.078 Imerys S.A. 0.000 15,564 721,697 0.077 Technology Co., Ltd. 0.000 301,132 718,166 0.076 Provident Financial plc 0.000 146,042 715,925 0.076 BPER Banca 0.000 327,274 712,516 0.076 Nippon Television Holdings, Inc. 0.000 66,714 711,408 0.076 POSCO 0.000 2,468 710,365 0.076 B3 S.A. - Brasil Bolsa Balcao 0.000 261,000 710,194 0.076

Page 7 of 11 HARTFORD FUNDS 08.31.21(unaudited) Hartford International Equity Fund

Full Portfolio Holdings* as of August 31, 2021 % of Security Coupon Maturity Shares/Par Market Value Net Assets Dassault Aviation S.A. 0.000 624 704,473 0.075 Bizlink Holding, Inc. 0.000 85,000 695,652 0.074 Co., Ltd. 0.000 66,100 692,466 0.074 Vicat S.A. 0.000 13,867 691,019 0.073 Sberbank of Russia PJSC 0.000 38,436 686,425 0.073 Western Areas Ltd. 0.000 304,969 684,223 0.073 TV Asahi Holdings Corp. 0.000 43,990 678,193 0.072 Co. plc 0.000 91,884 671,281 0.071 Turkcell Iletisim Hizmetleri AS 0.000 338,969 670,272 0.071 Tourmaline Oil Corp. 0.000 25,029 669,344 0.071 Unicaja Banco S.A. 0.000 722,091 666,220 0.071 Anadolu Efes Biracilik Ve Malt Sanayii AS 0.000 247,837 653,826 0.070 Printing Co., Ltd. 0.000 37,940 651,317 0.069 Kyoei Steel Ltd. 0.000 47,070 625,614 0.067 Turk Telekomunikasyon AS 0.000 684,848 610,924 0.065 China BlueChemical Ltd. 0.000 1,970,977 610,743 0.065 Essence Group Holdings Corp. 0.000 243,469 608,673 0.065 Land Securities Group plc 0.000 62,112 606,627 0.064 Gold Fields Ltd. 0.000 61,753 586,489 0.062 Allstar Co. 0.000 727,000 585,962 0.062 Endeavour Mining plc 0.000 23,961 585,517 0.062 ARC Resources Ltd. 0.000 81,424 581,485 0.062 Ulker Biskuvi Sanayi AS 0.000 252,635 581,123 0.062 Magyar Telekom Telecommunications plc 0.000 397,103 578,971 0.062 Embotelladora Andina S.A. 0.000 243,261 578,096 0.061 Xebio Holdings Co., Ltd. 0.000 57,490 576,746 0.061 Kinross Gold Corp. 0.000 95,690 576,054 0.061 , Inc. 0.000 111,225 537,132 0.057 CECONOMY AG 0.000 113,456 531,734 0.057 Centrica plc 0.000 740,524 529,178 0.056 Boshoku Corp. 0.000 28,140 529,134 0.056 Centerra Gold, Inc. 0.000 70,093 523,899 0.056 Ltd. 0.000 22,100 521,881 0.055 Marks & Spencer Group plc 0.000 210,031 519,174 0.055 iClick Interactive Asia Group Ltd. 0.000 106,974 514,545 0.055 OKUMA Corp. 0.000 10,630 508,375 0.054 New Oriental Education & Technology 0.000 222,205 502,183 0.053 Group, Inc. Shin Kong Financial Holding Co., Ltd. 0.000 1,443,351 494,555 0.053 Mitsubishi Heavy Industries Ltd. 0.000 18,591 491,153 0.052 TS Tech Co., Ltd. 0.000 36,070 488,574 0.052 Cosel Co., Ltd. 0.000 50,420 469,608 0.050 Unipres Corp. 0.000 56,400 467,526 0.050 Holdings Ltd. 0.000 39,240 461,316 0.049 Implenia AG 0.000 19,933 460,151 0.049

Page 8 of 11 HARTFORD FUNDS 08.31.21(unaudited) Hartford International Equity Fund

Full Portfolio Holdings* as of August 31, 2021 % of Security Coupon Maturity Shares/Par Market Value Net Assets Sprott Physical Trust 0.000 50,703 459,749 0.049 Orient Overseas International Ltd. 0.000 17,850 458,978 0.049 OceanaGold Corp. 0.000 244,245 456,876 0.049 Toppan Forms Co., Ltd. 0.000 48,700 456,304 0.049 Exedy Corp. 0.000 30,070 454,975 0.048 SThree plc 0.000 63,373 453,939 0.048 Saipem S.p.A. 0.000 188,709 447,157 0.048 Harmony Gold Mining Co., Ltd. 0.000 117,045 442,430 0.047 Tachi-S Co., Ltd. 0.000 35,660 439,559 0.047 AGFA-Gevaert N.V. 0.000 85,213 434,168 0.046 Fugro N.V. 0.000 43,640 432,852 0.046 Canara Bank 0.000 194,201 421,820 0.045 Japan Petroleum Exploration Co., Ltd. 0.000 24,280 417,701 0.044 Dah Sing Financial Holdings Ltd. 0.000 133,588 415,599 0.044 Ltd. 0.000 2,241 412,539 0.044 iShares Core MSCI EAFE ETF 0.000 5,239 402,093 0.043 Paramount Bed Holdings Co., Ltd. 0.000 20,780 401,419 0.043 Tongyang Life Insurance Co., Ltd. 0.000 85,826 399,808 0.043 Astral Foods Ltd. 0.000 38,841 394,419 0.042 Tokyo Seimitsu Co., Ltd. 0.000 9,020 394,004 0.042 Lookout, Inc. 0.000 38,688 393,844 0.042 Kissei Pharmaceutical Co., Ltd. 0.000 17,220 379,157 0.040 Eldorado Gold Corp. 0.000 42,104 369,252 0.039 Fuji Media Holdings, Inc. 0.000 35,375 368,748 0.039 Trican Well Service Ltd. 0.000 183,957 363,059 0.039 Zee Entertainment Enterprises Ltd. 0.000 151,126 354,622 0.038 Sopra Steria Group 0.000 1,593 324,497 0.034 LUKOIL PJSC 0.000 3,827 324,143 0.034 Go-Ahead Group plc 0.000 24,782 321,295 0.034 Zumtobel Group AG 0.000 28,791 314,114 0.033 Yodogawa Steel Works Ltd. 0.000 13,910 313,899 0.033 Metro AG 0.000 23,350 311,012 0.033 Rubicon Global Holdings LLC 0.000 15,711 301,879 0.032 bpost S.A. 0.000 31,088 300,485 0.032 Honest Co., Inc. 0.000 29,437 294,664 0.031 Miraial Co., Ltd. 0.000 24,180 283,728 0.030 Nakayama Steel Works Ltd. 0.000 61,820 283,441 0.030 Ichiyoshi Securities Co., Ltd. 0.000 48,390 281,785 0.030 Co., Ltd. 0.000 18,250 281,273 0.030 Canon, Inc. 0.000 11,250 267,661 0.028 Corp. 0.000 104,130 265,751 0.028 Corp. 0.000 26,725 265,107 0.028 Neturen Co., Ltd. 0.000 46,040 261,908 0.028 Chiyoda Corp. 0.000 74,820 253,243 0.027 Hisaka Works Ltd. 0.000 32,000 247,619 0.026

Page 9 of 11 HARTFORD FUNDS 08.31.21(unaudited) Hartford International Equity Fund

Full Portfolio Holdings* as of August 31, 2021 % of Security Coupon Maturity Shares/Par Market Value Net Assets YPF S.A. 0.000 46,476 242,140 0.026 Sumitomo Riko Co., Ltd. 0.000 34,600 220,013 0.023 CMIC Holdings Co., Ltd. 0.000 16,170 216,609 0.023 Fidelity Investments Money Market Funds, 0.010 9/1/2021 214,328 214,328 0.023 Government Portfolio, Institutional Class Co., Ltd. 0.000 8,910 213,408 0.023 AP Moller - Maersk A/S 0.000 74 210,808 0.022 Woongjin Coway Co., Ltd. 0.000 3,123 210,569 0.022 Raubex Group Ltd. 0.000 99,813 202,701 0.022 Yue Yuen Industrial Holdings Ltd. 0.000 97,500 197,727 0.021 Perusahaan Perkebunan London Sumatra 0.000 2,500,822 191,946 0.020 Tbk PT We Co. 0.000 24,614 182,587 0.019 Tochigi Bank Ltd. 0.000 113,540 181,400 0.019 SIG plc 0.000 244,870 177,925 0.019 Shokai Ltd. 0.000 22,250 173,859 0.018 Invesco Government & Agency Portfolio, 0.026 9/1/2021 153,534 153,534 0.016 Institutional Class Resolute Mining Ltd. 0.000 400,150 135,844 0.014 NA 0.070 9/1/2021 130,083 130,083 0.014 Machine Co., Ltd. 0.000 5,116 122,026 0.013 Nampak Ltd. 0.000 577,664 121,289 0.013 Enplas Corp. 0.000 4,150 118,596 0.013 Chubu Steel Plate Co., Ltd. 0.000 15,435 116,168 0.012 NTPC Ltd. 0.000 71,439 113,195 0.012 Benesse Holdings, Inc. 0.000 4,600 99,371 0.011 Impala Platinum Holdings Ltd. 0.000 6,081 93,165 0.010 Drilling Co. 0.000 2,493 91,510 0.010 G-Resources Group Ltd. 0.000 211,255 88,278 0.009 GAM Holding AG 0.000 44,823 85,999 0.009 Ausnutria Dairy Corp. Ltd. 0.000 67,000 65,226 0.007 Gendai Agency, Inc. 0.000 9,435 28,664 0.003 Thungela Resources Ltd. 0.000 1 4 0.000 OTHER ASSETS LESS LIABILITIES 5,475,814 0.582 TOTAL NET ASSETS 940,650,064

Page 10 of 11 HARTFORD FUNDS 08.31.21(unaudited) Hartford International Equity Fund

Full Portfolio Holdings* as of August 31, 2021 * This unaudited information is being presented pursuant to the Fund’s Policy on Disclosure of Portfolio Holdings. A discussion of the Fund’s policy may be viewed in the Fund’s Statement of Additional Information on hartfordfunds.com. Please note that certain Fund holdings (including, but not limited to, foreign currencies, currency contracts, equity and futures, equity and debt options, equity swaps and short-term investments) may have been included under “Other Assets” and may not be listed separately. For a complete list of portfolio holdings, please contact Hartford Funds at 888-843-7824. Investors should carefully consider a fund’s investment objectives, risks, charges and expenses. This and other important information is contained in a fund’s full prospectus and summary prospectus, which can be obtained by visiting hartfordfunds.com. Please read it carefully before investing.

Mutual funds are distributed by Hartford Funds Distributors, LLC (HFD), Member FINRA. Advisory services are provided by Hartford Funds Company, LLC (HFMC). Certain funds are sub-advised by Wellington Management Company LLP. HFD and HFMC are not affiliated with any sub-adviser.

210570 2/21

Page 11 of 11 HARTFORD FUNDS 08.31.21(unaudited)