Hartford Floating Rate High Income Fund

Full Portfolio Holdings* as of August 31, 2021 % of Security Coupon Maturity Shares/Par Market Value Net Assets BlackRock Liquidity Funds, FedFund 0.025 12/31/2030 30,250,619 30,250,619 7.180 Portfolio, Institutional Class, 0.03% Brand Energy & Infrastructure Services, Inc. 5.250 6/21/2024 8,061,966 7,948,856 1.887 Caesars Resort Collection LLC 2.835 12/23/2024 7,311,104 7,245,450 1.720 Standard Industries, Inc. 0.000 8/5/2028 6,840,000 6,818,044 1.618 Crown Finance U.S., Inc. 3.500 2/28/2025 8,658,050 6,736,569 1.599 Verisure Holding AB 3.250 3/27/2028 5,690,000 6,674,599 1.584 Staples, Inc. 5.126 4/16/2026 6,817,234 6,432,810 1.527 Invesco Senior Loan ETF 0.000 290,400 6,429,456 1.526 Carnival Corp. 3.750 6/30/2025 5,393,232 5,736,052 1.361 SPDR Blackstone 0.000 124,600 5,727,862 1.360 EyeCare Partners LLC 3.857 2/18/2027 5,426,352 5,375,019 1.276 Aramark Services, Inc. 2.585 4/6/2028 5,187,000 5,150,691 1.223 MED ParentCo L.P. 4.335 8/31/2026 5,101,718 5,080,189 1.206 Great Outdoors Group LLC 5.000 3/6/2028 5,029,725 5,046,474 1.198 Flex Acquisition Co., Inc. 3.395 6/29/2025 5,114,833 5,045,169 1.197 B.C. Unlimited Liability Co. 1.835 11/19/2026 5,135,163 5,043,141 1.197 Polaris Newco LLC 4.500 6/2/2028 4,855,000 4,849,174 1.151 APX Group, Inc. 4.000 7/10/2028 4,795,000 4,777,019 1.134 DirecTV Financing LLC 5.750 7/22/2027 4,690,000 4,687,327 1.113 Froneri International Ltd. 2.375 1/29/2027 3,990,000 4,614,050 1.095 Endure Digital, Inc. 4.250 2/10/2028 4,495,000 4,459,894 1.059 Acrisure LLC 3.607 2/15/2027 4,394,697 4,326,052 1.027 ADMI Corp. 3.625 12/23/2027 4,384,013 4,319,173 1.025 BWAY Holding Co. 3.342 4/3/2024 4,315,844 4,199,877 0.997 UFC Holdings LLC 3.500 4/29/2026 4,185,507 4,157,088 0.987 AP Core Holdings, II LLC 0.000 7/21/2027 4,195,000 4,153,674 0.986 Pathway Vet Alliance LLC 3.835 3/31/2027 4,156,243 4,128,313 0.980 Hayward Industries, Inc. 3.000 5/12/2028 4,145,000 4,123,405 0.979 USI, Inc. 3.147 5/16/2024 4,099,977 4,062,052 0.964 DCert Buyer, Inc. 4.085 10/16/2026 4,062,093 4,053,075 0.962 Petco Health and Wellness Co., Inc. 4.000 3/3/2028 4,059,825 4,049,675 0.961 MajorDrive Holdings LLC 4.500 5/12/2028 4,050,000 4,047,489 0.961 MH Sub LLC 3.585 9/13/2024 4,065,900 4,040,041 0.959 Asurion LLC 5.335 1/31/2028 4,030,000 4,008,399 0.951 PODS LLC 3.750 3/31/2028 3,887,325 3,871,542 0.919 Cable One, Inc. 2.085 5/3/2028 3,755,000 3,745,613 0.889 LBM Acquisition LLC 4.500 12/17/2027 3,677,932 3,621,843 0.860 DCert Buyer, Inc. 7.085 2/16/2029 3,450,000 3,474,633 0.825 Loire Finco Luxembourg S.a.r.l. 3.085 4/21/2027 3,455,231 3,384,675 0.803 Frontier Communications Corp. 4.500 5/1/2028 3,331,650 3,325,420 0.789 Asurion LLC 5.335 1/20/2029 3,310,000 3,291,398 0.781 SRAM LLC 3.250 5/12/2028 3,286,351 3,268,539 0.776 Shutterfly, Inc. 0.000 9/25/2026 3,200,000 3,190,016 0.757 Belron Finance U.S. LLC 2.750 4/13/2028 2,700,000 3,170,747 0.753

Page 1 of 6 HARTFORD FUNDS 08.31.21(unaudited) Hartford Floating Rate High Income Fund

Full Portfolio Holdings* as of August 31, 2021 % of Security Coupon Maturity Shares/Par Market Value Net Assets Asurion LLC 3.085 11/3/2024 3,163,061 3,107,708 0.738 MPH Acquisition Holdings LLC 0.000 8/17/2028 3,125,000 3,100,000 0.736 LTI Holdings, Inc. 3.585 9/6/2025 3,151,631 3,089,922 0.733 Tecta America Corp. 5.000 4/1/2028 3,005,000 3,005,000 0.713 AAdvantage Loyalty IP Ltd. 5.500 4/20/2028 2,880,000 2,963,693 0.703 Biogroup-LCD 3.500 1/28/2028 2,460,000 2,885,824 0.685 Blackhawk Network Holdings, Inc. 3.085 6/15/2025 2,701,371 2,668,954 0.633 Horizon Therapeutics USA, Inc. 2.500 3/15/2028 2,663,325 2,650,008 0.629 Group S.A. 3.000 7/31/2025 2,274,361 2,632,872 0.625 WMG Acquisition Corp. 2.210 1/20/2028 2,655,000 2,620,857 0.622 CenturyLink, Inc. 2.335 3/15/2027 2,514,112 2,481,630 0.589 Camelot U.S. Acquisition 1 Co. 3.085 10/30/2026 2,443,797 2,430,357 0.577 Sedgwick Claims Management Services, Inc. 3.335 12/31/2025 2,449,893 2,418,044 0.574 Polaris Newco LLC 4.000 6/2/2028 1,920,000 2,267,608 0.538 Flex Acquisition Co., Inc. 4.000 2/23/2028 2,270,697 2,256,097 0.535 AlixPartners LLP 3.250 2/4/2028 2,259,338 2,244,900 0.533 Foncia Management 3.500 3/27/2028 1,865,000 2,184,086 0.518 American Builders & Contractors Supply Co., 2.085 1/15/2027 2,171,607 2,152,150 0.511 Inc. Anticimex International AB 0.000 7/21/2028 1,935,000 2,140,924 0.508 SkyMiles IP Ltd. 4.750 10/20/2027 1,960,000 2,077,228 0.493 Financing USD LLC 2.096 4/30/2028 2,100,000 2,066,631 0.491 IRB Holding Corp. 4.250 12/15/2027 2,068,325 2,065,740 0.490 SFA Finance Ltd. 0.000 11/15/2027 1,525,000 2,063,016 0.490 Cinemark USA, Inc. 5.250 7/15/2028 2,170,000 2,061,500 0.489 WEX, Inc. 2.335 3/31/2028 2,064,825 2,044,755 0.485 SRS Distribution Inc. 4.250 6/2/2028 2,045,000 2,037,331 0.484 Gainwell Acquisition Corp. 4.750 10/1/2027 2,031,608 2,036,687 0.483 Sunshine Luxembourg S.a.r.l. 4.500 10/1/2026 2,030,838 2,031,853 0.482 Home Point Capital, Inc. 5.000 2/1/2026 2,345,000 2,028,425 0.481 Royal Caribbean Cruises Ltd. 5.500 8/31/2026 2,000,000 2,027,500 0.481 Michaels Cos., Inc. 5.000 4/15/2028 2,010,000 2,010,000 0.477 Cerba Healthcare S.A.S. 0.000 5/24/2028 1,675,000 1,975,839 0.469 Proofpoint, Inc. 0.000 6/9/2028 1,985,000 1,972,316 0.468 Staples, Inc. 7.500 4/15/2026 1,950,000 1,969,500 0.467 ICON Luxembourg S.a.r.l. 3.000 7/3/2028 1,955,000 1,952,967 0.464 LBM Acquisition LLC 0.000 12/17/2027 1,915,000 1,885,796 0.448 Post Holdings, Inc. 4.750 10/21/2024 1,824,372 1,829,225 0.434 Air Canada 4.250 8/11/2028 1,825,000 1,822,062 0.432 Hyland Software, Inc. 4.250 7/1/2024 1,816,809 1,817,009 0.431 SS&C Technologies, Inc. 1.835 4/16/2025 1,807,613 1,781,529 0.423 RealPage, Inc. 3.750 4/24/2028 1,780,000 1,768,661 0.420 Beacon Roofing Supply, Inc. 2.335 4/23/2028 1,765,398 1,751,910 0.416 Scientific Games International, Inc. 2.835 8/14/2024 1,762,621 1,745,788 0.414 First Brands Group LLC 9.500 3/30/2028 1,675,000 1,687,563 0.401

Page 2 of 6 HARTFORD FUNDS 08.31.21(unaudited) Hartford Floating Rate High Income Fund

Full Portfolio Holdings* as of August 31, 2021 % of Security Coupon Maturity Shares/Par Market Value Net Assets MH Sub LLC 4.750 9/13/2024 1,681,539 1,683,338 0.400 EVO Payments International LLC 3.340 12/22/2023 1,665,989 1,661,824 0.394 JetBlue Airways Corp. 0.000 6/17/2024 1,645,875 1,645,875 0.391 ACProducts, Inc. 4.750 5/5/2028 1,640,000 1,638,294 0.389 Carnival Corp. 7.625 3/1/2026 1,525,000 1,616,470 0.384 Cano Health LLC 5.250 11/19/2027 1,606,123 1,602,107 0.380 Traverse Midstream Partners LLC 6.500 9/27/2024 1,595,249 1,594,994 0.379 Gentiva Health Services, Inc. 2.875 7/2/2025 1,496,010 1,492,270 0.354 Avantor Funding, Inc. 2.750 6/12/2028 1,250,000 1,470,861 0.349 Boels Topholding B.V. 3.250 2/5/2027 1,250,000 1,469,606 0.349 WW International, Inc. 0.000 4/13/2028 1,475,000 1,467,625 0.348 HCRX Investments Holdco LP 0.000 7/14/2028 1,465,000 1,457,675 0.346 KKR Apple Bidco, LLC 0.000 7/14/2028 1,460,000 1,454,525 0.345 Maverick Gaming LLC 0.000 8/19/2026 1,450,000 1,428,250 0.339 Staples, Inc. 10.750 4/15/2027 1,400,000 1,365,000 0.324 BCP Renaissance Parent LLC 4.500 10/31/2024 1,368,136 1,352,744 0.321 APX Group, Inc. 5.750 7/15/2029 1,320,000 1,320,000 0.313 Endo Luxembourg Finance Co. S.a r.l. 5.750 3/27/2028 1,347,498 1,306,318 0.310 TricorBraun Holdings, Inc. 3.750 3/3/2028 1,310,279 1,297,347 0.308 United Airlines, Inc. 4.500 4/21/2028 1,286,775 1,288,088 0.306 Financing Partnership 2.596 4/30/2028 1,300,000 1,285,739 0.305 Elanco Animal Health, Inc. 1.846 8/2/2027 1,261,187 1,238,435 0.294 Organon & Co 3.500 6/2/2028 1,220,000 1,223,562 0.290 Proampac PG Borrower LLC 3.866 11/3/2025 1,221,938 1,221,180 0.290 Insulet Corp. 3.750 5/4/2028 1,165,000 1,163,544 0.276 Freedom Mortgage Corp. 8.250 4/15/2025 1,115,000 1,137,300 0.270 First Brands 6.000 3/30/2027 1,127,371 1,134,417 0.269 Wilsonart LLC 4.500 12/19/2026 1,129,092 1,126,033 0.267 UPC Financing Partnership 3.096 1/31/2029 1,115,000 1,108,232 0.263 Great Canadian Gaming Corp. 0.000 11/1/2026 1,105,000 1,106,658 0.263 NIC Acquisition Corp. 4.500 12/29/2027 1,107,225 1,104,457 0.262 Mileage Plus Holdings LLC 6.250 6/21/2027 1,040,000 1,102,400 0.262 Cheniere Corpus Christi Holdings LLC 1.835 6/30/2024 1,074,998 1,072,310 0.255 Cornerstone Building Brands, Inc. 3.750 4/12/2028 1,052,913 1,048,311 0.249 LSF9 Atlantis Holdings LLC / Victra Finance 7.750 2/15/2026 1,000,000 1,042,700 0.247 Corp. EG Group Ltd. 4.000 2/7/2025 889,496 1,040,032 0.247 Belron Finance U.S. LLC 3.250 4/13/2028 1,037,400 1,036,103 0.246 Coty, Inc. 2.346 4/7/2025 1,056,699 1,015,942 0.241 PetSmart, Inc. 4.500 2/12/2028 1,010,000 1,010,838 0.240 William Morris Endeavor Entertainment LLC 2.840 5/18/2025 1,039,331 1,009,938 0.240 Ultimate Software Group, Inc. 3.835 5/4/2026 1,005,287 1,005,498 0.239 Jazz Financing Lux S.a.r.l. 4.000 5/5/2028 1,005,000 1,005,000 0.239 Panther Commercial Holdings L.P. 5.000 1/7/2028 1,000,000 1,000,420 0.237 Royal Caribbean Cruises Ltd. 4.250 7/1/2026 1,025,000 999,375 0.237

Page 3 of 6 HARTFORD FUNDS 08.31.21(unaudited) Hartford Floating Rate High Income Fund

Full Portfolio Holdings* as of August 31, 2021 % of Security Coupon Maturity Shares/Par Market Value Net Assets Tecta America Corp. 9.250 4/1/2029 1,000,000 995,000 0.236 eResearchTechnology, Inc. 5.500 2/4/2027 951,780 954,454 0.227 Banijay Entertainment S.A.S 3.841 3/1/2025 947,838 941,914 0.224 Frontier Communications Holdings LLC 5.875 11/1/2029 925,000 940,485 0.223 J&J Ventures Gaming LLC 4.750 4/7/2028 935,000 937,338 0.222 Magic Mergeco, Inc. 7.875 5/1/2029 900,000 927,405 0.220 U.S. Foods, Inc. 2.085 9/13/2026 925,815 906,531 0.215 Quikrete Holdings, Inc. 2.585 2/1/2027 897,722 886,617 0.210 Blitz GmbH 3.500 4/28/2028 750,000 882,933 0.210 Fleetcor Technologies Operating Co. LLC 1.835 4/28/2028 865,000 860,364 0.204 Dun & Bradstreet Corp. 3.338 2/6/2026 858,339 851,369 0.202 CityCenter Holdings LLC 3.000 4/18/2024 845,596 843,414 0.200 APX Group, Inc. 7.625 9/1/2023 825,000 840,675 0.200 Belron Finance U.S. LLC 2.438 10/30/2026 845,707 839,364 0.199 Simply Good Foods USA, Inc. 4.750 7/7/2024 835,698 837,436 0.199 Hyland Software, Inc. 7.000 7/7/2025 812,800 818,896 0.194 Numericable Group S.A. 2.879 7/31/2025 826,493 812,029 0.193 LTI Holdings, Inc. 6.835 9/6/2026 815,000 808,888 0.192 Charter Communications Operating LLC 1.840 2/1/2027 808,449 799,790 0.190 ADMI Corp. 0.000 12/23/2027 790,000 787,038 0.187 Minotaur Acquisition, Inc. 4.835 3/27/2026 789,067 784,095 0.186 United Group B.V. 3.250 2/15/2026 670,000 772,314 0.183 Ensemble RCM LLC 3.879 8/3/2026 771,076 770,251 0.183 Rodan & Fields LLC 4.096 6/16/2025 1,018,735 745,378 0.177 84 Lumber Co. 3.086 11/13/2026 746,250 743,183 0.176 Mauser Packaging Solutions Holding Co. 7.250 4/15/2025 750,000 741,413 0.176 E2open LLC 0.000 2/4/2028 743,138 740,120 0.176 Camelot U.S. Acquisition Co. 4.000 10/30/2026 731,325 731,325 0.174 UPC Broadband Holding B.V. 3.000 1/31/2029 625,000 731,246 0.174 Banijay Entertainment S.A.S 3.750 3/1/2025 620,000 731,223 0.174 Ziggo B.V. 3.000 1/31/2029 595,000 695,521 0.165 eG Global Finance plc 4.375 2/7/2025 575,000 670,289 0.159 Envision Healthcare Corp. 3.835 10/10/2025 738,636 647,695 0.154 PAI Holdco, Inc. 4.500 10/28/2027 648,375 647,565 0.154 MH Sub LLC 6.338 2/12/2029 625,000 633,856 0.150 EG Group Ltd. 0.000 4/10/2027 530,000 629,578 0.149 Lower Cadence Holdings LLC 4.085 5/22/2026 623,541 622,400 0.148 Constellium SE 3.125 7/15/2029 525,000 620,359 0.147 Unifin Financiera S.A.B. de C.V. 9.875 1/28/2029 610,000 613,050 0.146 Froneri International Ltd. 2.335 1/29/2027 617,882 608,014 0.144 Energizer Gamma Acquisition B.V. 3.500 6/30/2029 515,000 604,596 0.144 WW International, Inc. 4.500 4/15/2029 600,000 593,250 0.141 Scientific Games International, Inc. 3.375 2/15/2026 500,000 592,028 0.141 NCL Corp. Ltd. 3.625 12/15/2024 625,000 590,625 0.140 Petroleos Mexicanos 4.750 2/26/2029 500,000 584,471 0.139

Page 4 of 6 HARTFORD FUNDS 08.31.21(unaudited) Hartford Floating Rate High Income Fund

Full Portfolio Holdings* as of August 31, 2021 % of Security Coupon Maturity Shares/Par Market Value Net Assets PowerTeam Services LLC 8.250 3/6/2026 585,000 579,150 0.137 NCL Corp. Ltd. 5.875 3/15/2026 575,000 576,438 0.137 Asurion LLC 3.335 12/23/2026 577,769 566,306 0.134 International Textile Group, Inc. 9.145 5/1/2025 750,000 566,250 0.134 NEP/NCP Holdco, Inc. 3.335 10/20/2025 595,378 565,776 0.134 Cinemark USA, Inc. 1.840 3/31/2025 594,478 564,011 0.134 Texgen Power LLC 0.000 13,865 561,533 0.133 Blackhawk Network Holdings, Inc. 7.125 6/15/2026 560,000 554,400 0.132 Crown Finance U.S., Inc. 7.625 5/23/2024 450,007 552,919 0.131 NIC Acquisition Corp. 8.500 12/29/2028 540,000 542,700 0.129 Crown Finance U.S., Inc. 9.250 5/23/2024 505,748 539,254 0.128 Freedom Mortgage Corp. 8.125 11/15/2024 525,000 531,563 0.126 CSC Holdings LLC 2.345 7/17/2025 519,574 511,593 0.121 Medallion Midland Acquisition LLC 4.250 10/30/2024 515,694 510,924 0.121 Brand Industrial Services, Inc. 8.500 7/15/2025 500,000 503,750 0.120 Cinemark USA, Inc. 5.875 3/15/2026 500,000 497,500 0.118 Mauser Packaging Solutions Holding Co. 4.750 4/15/2024 400,000 472,300 0.112 Organon & Co 3.000 6/2/2028 390,000 458,881 0.109 Revlon Consumer Products Corp. 4.250 9/7/2023 747,131 455,750 0.108 Freedom Mortgage Corp. 7.625 5/1/2026 450,000 450,720 0.107 Yuzhou Group Holdings Co., Ltd. 8.500 2/26/2024 475,000 426,313 0.101 Tamko Building Products LLC 3.102 6/1/2026 427,463 424,257 0.101 MicroStrategy, Inc. 6.125 6/15/2028 405,000 416,619 0.099 Viking Cruises Ltd. 5.875 9/15/2027 425,000 411,188 0.098 United Wholesale Mortgage LLC 5.500 11/15/2025 400,000 410,000 0.097 PowerTeam Services LLC 9.033 12/4/2025 375,000 409,688 0.097 Dufry One B.V. 2.500 10/15/2024 350,000 408,304 0.097 Royal Caribbean Cruises Ltd. 5.500 4/1/2028 400,000 403,462 0.096 Dufry One B.V. 2.000 2/15/2027 350,000 389,500 0.092 Caesars Entertainment, Inc. 8.125 7/1/2027 350,000 386,855 0.092 Houghton Mifflin Harcourt Publishers, Inc. 9.000 2/15/2025 350,000 371,875 0.088 eG Global Finance plc 6.250 10/30/2025 250,000 303,376 0.072 Surf Holdings LLC 3.628 3/5/2027 303,468 300,701 0.071 TricorBraun Holdings, Inc. 3.325 3/3/2028 294,721 291,812 0.069 KCA Deutag Alpha Ltd. 9.750 2/28/2023 576,377 276,661 0.066 Aramark Services, Inc. 1.835 1/15/2027 261,688 256,127 0.061 Q-Park Holding I B.V. 2.000 3/31/2026 200,000 226,036 0.054 Williams Scotsman International, Inc. 4.625 8/15/2028 200,000 207,500 0.049 MPH Acquisition Holdings LLC 0.000 6/7/2023 205,000 203,463 0.048 NCL Finance Ltd. 6.125 3/15/2028 200,000 201,000 0.048 Banijay Group SAS 6.500 3/1/2026 160,000 196,014 0.047 BCPE Ulysses Intermediate, Inc. (7.75% 7.750 4/1/2027 195,000 193,089 0.046 Cash, 8.50% PIK) Crown Finance U.S., Inc. 2.625 2/28/2025 203,644 189,717 0.045 KKR Apple Bidco, LLC 0.000 7/13/2029 165,000 167,063 0.040

Page 5 of 6 HARTFORD FUNDS 08.31.21(unaudited) Hartford Floating Rate High Income Fund

Full Portfolio Holdings* as of August 31, 2021 % of Security Coupon Maturity Shares/Par Market Value Net Assets PetVet Care Centers LLC 0.000 2/14/2025 165,000 164,724 0.039 Asurion LLC 3.210 11/3/2023 159,928 158,163 0.038 UTEX Industries, Inc. 0.000 4,954 137,020 0.033 Ascent Resources - Marcellus LLC 0.000 285,030 131,077 0.031 Foresight Energy LLC 0.000 13,824 124,412 0.030 Ameriforge Group, Inc. 7.000 12/31/2023 250,040 123,145 0.029 Ultimate Software Group, Inc. 7.500 5/3/2027 105,000 106,510 0.025 Belfor Holdings, Inc. 4.085 4/6/2026 99,746 99,621 0.024 AFG Holdings, Inc. 0.000 34,814 52,221 0.012 UTEX Industries Inc. 0.000 12/3/2025 15,238 14,679 0.003 Houghton Mifflin Harcourt Publishing Co. 7.250 11/22/2024 11,897 11,890 0.003 Sports Authority, Inc. 0.000 11/16/2021 2,009,604 2,010 0.000 BCP Raptor LLC 5.250 6/24/2024 0.04 0.04 0.000 Sable Permian Resources LLC 0.000 600 0.00 0.000 OTHER ASSETS LESS LIABILITIES (17,965,797) (4.264) TOTAL NET ASSETS 421,312,089

* 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 debt 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 Management 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 6 of 6 HARTFORD FUNDS 08.31.21(unaudited)