Full Portfolio Holdings* As of August 31, 2021 % of Security Coupon Maturity Shares/Par Market Value Net Assets Fixed Income Clearing Corp

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Full Portfolio Holdings* As of August 31, 2021 % of Security Coupon Maturity Shares/Par Market Value Net Assets Fixed Income Clearing Corp Hartford International Value Fund Full Portfolio Holdings* as of August 31, 2021 % of Security Coupon Maturity Shares/Par Market Value Net Assets Fixed Income Clearing Corp. Repurchase 0.020 9/1/2021 54,597,633 54,597,633 2.617 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 Bond at 3.000%, maturing 05/15/2047, with a market value of $20,467,316 Royal Dutch Shell plc 0.000 2,170,948 42,719,062 2.047 TotalEnergies SE 0.000 849,826 37,590,025 1.802 UBS Group AG 0.000 1,944,394 32,434,898 1.554 BP plc 0.000 7,793,479 31,706,166 1.520 Cie de Saint-Gobain 0.000 423,679 30,713,736 1.472 Honda Motor Co., Ltd. 0.000 1,001,544 30,313,347 1.453 BNP Paribas S.A. 0.000 417,831 26,469,534 1.269 ING Groep N.V. 0.000 1,818,719 25,088,093 1.202 Mitsubishi UFJ Financial Group, Inc. 0.000 4,620,477 25,068,123 1.201 AXA S.A. 0.000 866,008 24,329,189 1.166 LafargeHolcim Ltd. 0.000 406,055 23,137,638 1.109 Engie S.A. 0.000 1,561,289 22,372,946 1.072 WPP plc 0.000 1,597,457 21,659,676 1.038 Eni S.p.A. 0.000 1,733,047 21,381,625 1.025 Daimler AG 0.000 253,378 21,373,638 1.024 Fresenius SE & Co. KGaA 0.000 411,050 21,371,817 1.024 Anglo American plc 0.000 505,615 21,354,903 1.023 UniCredit S.p.A. 0.000 1,671,871 20,846,579 0.999 Nokia Oyj 0.000 3,458,845 20,777,733 0.996 BAE Systems plc 0.000 2,656,434 20,753,699 0.995 Sumitomo Mitsui Financial Group, Inc. 0.000 598,756 20,666,482 0.990 Takeda Pharmaceutical Co., Ltd. 0.000 604,566 20,123,278 0.964 Adecco Group AG 0.000 352,692 19,619,321 0.940 Societe Generale S.A. 0.000 575,474 18,112,532 0.868 KB Financial Group, Inc. 0.000 389,302 17,709,360 0.849 CaixaBank S.A. 0.000 5,665,657 17,600,050 0.844 Norsk Hydro ASA 0.000 2,496,428 17,233,443 0.826 America Movil S.A.B. de C.V. 0.000 878,420 17,181,895 0.823 T&D Holdings, Inc. 0.000 1,407,135 17,125,682 0.821 Assicurazioni Generali S.p.A. 0.000 834,212 17,018,794 0.816 Bank of Ireland Group plc 0.000 2,698,231 16,888,957 0.809 KT Corp. 0.000 566,399 16,007,411 0.767 Isuzu Motors Ltd. 0.000 1,247,738 15,772,991 0.756 Resona Holdings, Inc. 0.000 4,044,403 15,640,284 0.750 Standard Chartered plc 0.000 2,417,179 15,073,854 0.722 Shinhan Financial Group Co., Ltd. 0.000 448,594 14,944,294 0.716 J Sainsbury plc 0.000 3,492,966 14,599,208 0.700 Dai-ichi Life Holdings, Inc. 0.000 736,863 14,580,503 0.699 Dongfeng Motor Group Co., Ltd. 0.000 13,136,235 14,384,038 0.689 Mitsubishi Estate Co., Ltd. 0.000 918,591 14,381,799 0.689 Page 1 of 6 HARTFORD FUNDS 08.31.21(unaudited) Hartford International Value Fund Full Portfolio Holdings* as of August 31, 2021 % of Security Coupon Maturity Shares/Par Market Value Net Assets Sumitomo Mitsui Trust Holdings, Inc. 0.000 440,271 14,380,657 0.689 Kasikornbank PCL 0.000 3,647,309 13,870,478 0.665 Orange S.A. 0.000 1,214,499 13,807,883 0.662 Goldman Sachs Financial Square Funds, 0.026 9/1/2021 13,773,968 13,773,968 0.660 Government Fund, Institutional Class ABN Amro Bank N.V. 0.000 985,248 13,726,202 0.658 AIB Group plc 0.000 4,546,437 13,660,741 0.655 BT Group plc 0.000 5,740,832 13,419,792 0.643 CK Asset Holdings Ltd. 0.000 2,030,725 13,224,269 0.634 RTL Group S.A. 0.000 211,841 13,163,700 0.631 Pacific Basin Shipping Ltd. 0.000 24,026,005 13,090,042 0.627 Gazprom PJSC 0.000 1,534,277 12,720,671 0.610 Japan Airlines Co., Ltd. 0.000 590,990 12,590,856 0.603 Ushio, Inc. 0.000 688,964 12,447,553 0.597 Ono Pharmaceutical Co., Ltd. 0.000 517,590 12,427,555 0.596 Nissan Motor Co., Ltd. 0.000 2,303,974 12,086,856 0.579 Gree, Inc. 0.000 2,040,290 12,029,715 0.577 Ageas S.A. 0.000 237,317 11,859,437 0.568 Old Mutual Ltd. 0.000 11,160,128 11,800,676 0.566 Hino Motors Ltd. 0.000 1,361,986 11,785,377 0.565 Television Francaise 0.000 1,145,276 11,496,473 0.551 Hon Hai Precision Industry Co., Ltd. 0.000 2,832,456 11,310,871 0.542 Barrick Gold Corp. 0.000 556,604 11,188,109 0.536 Rexel S.A. 0.000 523,950 10,968,402 0.526 Shimamura Co., Ltd. 0.000 122,325 10,781,800 0.517 Bank Mandiri Persero Tbk PT 0.000 25,065,323 10,715,189 0.514 Hays plc 0.000 4,864,174 10,646,516 0.510 Inpex Corp. 0.000 1,549,427 10,645,944 0.510 JGC Holdings Corp. 0.000 1,252,797 10,509,507 0.504 Tokyo Steel Manufacturing Co., Ltd. 0.000 940,242 10,155,737 0.487 SCOR SE 0.000 327,762 10,058,937 0.482 Hellenic Telecommunications Organization 0.000 510,238 10,044,024 0.481 S.A. THK Co., Ltd. 0.000 433,366 10,033,569 0.481 Cia de Saneamento Basico do Estado de 0.000 1,431,031 9,999,062 0.479 Sao Paulo Pagegroup plc 0.000 1,150,544 9,965,501 0.478 Babcock International Group plc 0.000 1,965,407 9,814,638 0.470 Taiheiyo Cement Corp. 0.000 427,750 9,796,635 0.470 Erste Group Bank AG 0.000 245,294 9,794,392 0.469 Catcher Technology Co., Ltd. 0.000 1,596,498 9,602,187 0.460 Cameco Corp. 0.000 518,424 9,578,301 0.459 Yamato Kogyo Co., Ltd. 0.000 252,921 9,550,969 0.458 DeNA Co., Ltd. 0.000 540,723 9,520,537 0.456 Quadient S.A. 0.000 334,341 9,482,454 0.454 Continental AG 0.000 69,741 9,372,329 0.449 Page 2 of 6 HARTFORD FUNDS 08.31.21(unaudited) Hartford International Value Fund Full Portfolio Holdings* as of August 31, 2021 % of Security Coupon Maturity Shares/Par Market Value Net Assets Maruichi Steel Tube Ltd. 0.000 380,180 9,347,497 0.448 Metropole Television S.A. 0.000 436,361 9,284,507 0.445 NOK Corp. 0.000 737,736 9,047,287 0.434 Kamigumi Co., Ltd. 0.000 418,910 9,042,523 0.433 Sumitomo Heavy Industries Ltd. 0.000 339,460 8,880,132 0.426 CIMB Group Holdings Bhd 0.000 7,425,434 8,772,267 0.420 Kingfisher plc 0.000 1,797,325 8,654,157 0.415 China Reinsurance Group Corp. 0.000 82,873,399 8,623,087 0.413 PAX Global Technology Ltd. 0.000 6,968,299 8,615,185 0.413 Alfresa Holdings Corp. 0.000 544,340 8,613,804 0.413 Renault S.A. 0.000 230,322 8,573,528 0.411 Citizen Watch Co., Ltd. 0.000 1,923,377 8,406,616 0.403 Aeon Delight Co., Ltd. 0.000 259,440 8,394,093 0.402 MTN Group Ltd. 0.000 914,509 8,394,026 0.402 Ovintiv, Inc. 0.000 307,052 8,359,875 0.401 Oil & Natural Gas Corp. Ltd. 0.000 5,034,216 8,286,539 0.397 VEON Ltd. 0.000 3,767,479 8,250,779 0.395 Coca-Cola Icecek AS 0.000 768,381 8,095,227 0.388 D/S Norden A/S 0.000 303,450 7,873,390 0.377 Tokai Rika Co., Ltd. 0.000 540,741 7,866,680 0.377 Surgutneftegas PJSC 0.000 1,686,490 7,787,789 0.373 Prosegur Cia de Seguridad S.A. 0.000 2,363,017 7,692,604 0.369 Criteo S.A. 0.000 204,656 7,680,740 0.368 Nikon Corp. 0.000 730,300 7,675,585 0.368 Foxconn Technology Co., Ltd. 0.000 3,216,927 7,672,012 0.368 DGB Financial Group, Inc. 0.000 973,047 7,616,166 0.365 PostNL N.V. 0.000 1,455,155 7,614,675 0.365 Imerys S.A. 0.000 160,633 7,448,497 0.357 BPER Banca 0.000 3,417,072 7,439,391 0.357 Provident Financial plc 0.000 1,492,626 7,317,135 0.351 Nippon Television Holdings, Inc.
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