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Hartford Balanced Income 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 524,848,792 524,848,792 3.304 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 Cisco Systems, Inc. 0.000 4,439,695 262,030,799 1.650 JP Morgan Chase & Co. 0.000 1,580,258 252,762,267 1.591 Johnson & Johnson 0.000 1,450,544 251,132,683 1.581 Corp. 0.000 3,952,317 239,826,596 1.510 Bank of America Corp. 0.000 5,634,284 235,231,357 1.481 Medtronic plc 0.000 1,726,873 230,503,008 1.451 Home Depot, Inc. 0.000 688,874 224,696,921 1.415 Morgan Stanley 0.000 2,012,433 210,158,378 1.323 Philip Morris International, Inc. 0.000 2,018,395 207,894,685 1.309 Eaton Corp. plc 0.000 1,190,731 200,471,471 1.262 MetLife, Inc. 0.000 3,099,257 192,153,934 1.210 Chubb Ltd. 0.000 1,010,788 185,904,129 1.170 BlackRock, Inc. 0.000 168,835 159,260,367 1.003 Mondelez International, Inc. 0.000 2,555,695 158,631,989 0.999 Procter & Gamble Co. 0.000 1,069,952 152,350,465 0.959 Crown Castle International Corp. 0.000 774,220 150,732,892 0.949 Merck & Co., Inc. 0.000 1,950,728 148,821,039 0.937 Pfizer, Inc. 0.000 3,193,324 147,116,437 0.926 Lockheed Martin Corp. 0.000 394,458 141,925,988 0.894 General Dynamics Corp. 0.000 671,639 134,536,008 0.847 PNC Financial Services Group, Inc. 0.000 663,695 126,832,115 0.798 Raytheon Technologies Corp. 0.000 1,487,560 126,085,586 0.794 Dominion Energy, Inc. 0.000 1,575,988 122,674,906 0.772 Honeywell International, Inc. 0.000 520,149 120,627,755 0.759 Truist Financial Corp. 0.000 2,067,888 117,993,689 0.743 Progressive Corp. 0.000 1,223,081 117,831,624 0.742 Pioneer Natural Resources Co. 0.000 743,717 111,312,123 0.701 ConocoPhillips 0.000 1,997,372 110,914,067 0.698 Johnson Controls International plc 0.000 1,465,956 109,653,509 0.690 Corning, Inc. 0.000 2,629,977 105,172,780 0.662 AstraZeneca plc 0.000 1,719,776 100,228,545 0.631 Corp. 0.000 2,024,702 99,250,892 0.625 Analog Devices, Inc. 0.000 590,458 96,215,131 0.606 Sempra Energy 0.000 716,703 94,862,809 0.597 Archer-Daniels-Midland Co. 0.000 1,570,828 94,249,680 0.593 Eli Lilly & Co. 0.000 362,188 93,549,539 0.589 Duke Energy Corp. 0.000 870,430 91,099,204 0.574 PepsiCo., Inc. 0.000 568,011 88,831,240 0.559 TC Energy Corp. 0.000 1,747,622 82,972,740 0.522 CVS Health Corp. 0.000 953,256 82,351,786 0.518

Page 1 of 34 HARTFORD FUNDS 08.31.21(unaudited) Hartford Balanced Income Fund

Full Portfolio Holdings* as of August 31, 2021 % of Security Coupon Maturity Shares/Par Market Value Net Assets Verizon Communications, Inc. 0.000 1,490,206 81,961,330 0.516 Emerson Electric Co. 0.000 772,251 81,472,481 0.513 Kimberly-Clark Corp. 0.000 581,484 80,134,310 0.504 McDonald's Corp. 0.000 332,023 78,842,182 0.496 LyondellBasell Industries N.V. 0.000 759,346 76,200,371 0.480 American Electric Power Co., Inc. 0.000 840,807 75,311,083 0.474 Ares Management Corp. 0.000 952,623 73,523,443 0.463 Unilever plc 0.000 1,290,447 71,852,089 0.452 Gaming and Leisure Properties, Inc. 0.000 1,452,851 71,625,554 0.451 Union Pacific Corp. 0.000 325,236 70,524,174 0.444 Nestle S.A. 0.000 538,750 68,038,738 0.428 Kellogg Co. 0.000 1,005,364 63,478,683 0.400 Goldman Sachs Financial Square Funds, 0.026 9/1/2021 63,407,530 63,407,530 0.399 Government Fund, Institutional Class Koninklijke Philips N.V. 0.000 1,357,421 62,617,831 0.394 Novartis AG 0.000 669,426 61,915,791 0.390 Entergy Corp. 0.000 492,011 54,421,337 0.343 Rio Tinto plc 0.000 675,650 50,721,046 0.319 AT&T, Inc. 2.550 12/1/2033 49,013,000 49,279,287 0.310 Waste Management, Inc. 0.000 290,523 45,063,023 0.284 Caterpillar, Inc. 0.000 204,916 43,210,637 0.272 Bank of America Corp. 2.496 2/13/2031 40,135,000 41,220,392 0.260 Russian Foreign Bond - Eurobond 5.100 3/28/2035 33,800,000 41,191,654 0.259 Citigroup, Inc. 1.122 1/28/2027 38,630,000 38,295,640 0.241 DTE Energy Co. 0.000 298,705 35,946,160 0.226 BAT Capital Corp. 2.259 3/25/2028 35,610,000 35,791,593 0.225 Phillips 66 0.000 496,996 35,331,446 0.222 L3Harris Technologies, Inc. 3.850 6/15/2023 32,890,000 34,771,945 0.219 Mexico Government International Bond 4.500 1/31/2050 30,708,000 33,347,660 0.210 Darden Restaurants, Inc. 0.000 208,951 31,478,468 0.198 Capital One Financial Corp. 3.650 5/11/2027 27,550,000 30,753,892 0.194 Goldman Sachs Group, Inc. 3.272 9/29/2025 28,540,000 30,557,233 0.192 JP Morgan Chase & Co. 3.328 4/22/2052 27,970,000 30,340,301 0.191 Goldman Sachs Group, Inc. 1.093 12/9/2026 30,010,000 29,781,564 0.187 U.S. Treasury Notes 0.250 9/30/2025 29,365,000 28,906,172 0.182 Enbridge, Inc. 2.500 8/1/2033 28,150,000 28,434,217 0.179 Brighthouse Financial, Inc. 5.625 5/15/2030 22,925,000 27,954,745 0.176 American Tower Corp. 1.600 4/15/2026 27,070,000 27,350,362 0.172 Goldman Sachs Group, Inc. 4.017 10/31/2038 23,347,000 27,303,460 0.172 International Flavors & Fragrances, Inc. 1.832 10/15/2027 26,575,000 26,781,387 0.169 Centene Corp. 2.450 7/15/2028 26,280,000 26,660,075 0.168 Automatic Data Processing, Inc. 0.000 126,448 26,432,690 0.166 U.S. Treasury Notes 2.375 3/15/2022 25,740,000 26,059,739 0.164 Citigroup, Inc. 3.352 4/24/2025 24,410,000 26,016,148 0.164 Conagra Brands, Inc. 4.600 11/1/2025 22,425,000 25,320,855 0.159

Page 2 of 34 HARTFORD FUNDS 08.31.21(unaudited) Hartford Balanced Income Fund

Full Portfolio Holdings* as of August 31, 2021 % of Security Coupon Maturity Shares/Par Market Value Net Assets Global Payments, Inc. 1.200 3/1/2026 25,405,000 25,247,756 0.159 Equitable Holdings, Inc. 4.350 4/20/2028 21,555,000 24,761,942 0.156 Teledyne Technologies, Inc. 0.950 4/1/2024 24,370,000 24,402,412 0.154 Marvell Technology, Inc. 1.650 4/15/2026 23,675,000 23,836,423 0.150 Charles Schwab Corp. 4.450 900,000 23,778,000 0.150 Texas Instruments, Inc. 0.000 122,500 23,386,475 0.147 Otis Worldwide Corp. 2.293 4/5/2027 21,890,000 22,911,063 0.144 Pacific Gas and Electric Co. 1.367 3/10/2023 22,815,000 22,746,524 0.143 JP Morgan Chase & Co. 2.972 1/15/2023 22,475,000 22,702,403 0.143 Turkey Government International Bond 5.750 5/11/2047 24,700,000 21,969,168 0.138 JP Morgan Chase & Co. 3.300 4/1/2026 19,950,000 21,782,587 0.137 HSBC Holdings plc 4.583 6/19/2029 18,695,000 21,601,804 0.136 Amgen, Inc. 3.150 2/21/2040 20,390,000 21,416,189 0.135 Fifth Third Bank NA 3.950 7/28/2025 19,000,000 21,303,921 0.134 Argentine Republic Government International 1.125 7/9/2035 61,012,751 21,261,723 0.134 Bond Morgan Stanley 0.985 12/10/2026 21,340,000 21,084,184 0.133 Morgan Stanley 4.457 4/22/2039 16,825,000 20,790,831 0.131 BNP Paribas S.A. 1.904 9/30/2028 20,555,000 20,715,538 0.130 U.S. Treasury Notes 0.250 6/15/2024 20,660,000 20,597,051 0.130 Comcast Corp. 2.887 11/1/2051 20,484,000 20,367,875 0.128 Oracle Corp. 2.875 3/25/2031 19,255,000 20,288,495 0.128 Equifax, Inc. 2.600 12/1/2024 19,085,000 20,079,958 0.126 Morgan Stanley 0.790 5/30/2025 20,010,000 19,966,239 0.126 Republic Services, Inc. 2.500 8/15/2024 19,005,000 19,951,272 0.126 Wells Fargo & Co. 2.406 10/30/2025 19,030,000 19,885,736 0.125 Broadcom Corp. / Broadcom Cayman 3.875 1/15/2027 17,956,000 19,813,055 0.125 Finance Ltd. Bank of America Corp. 4.125 770,000 19,812,100 0.125 Leidos, Inc. 2.300 2/15/2031 20,065,000 19,778,672 0.125 Welltower, Inc. 3.625 3/15/2024 18,460,000 19,712,875 0.124 General Motors Financial Co., Inc. 1.500 6/10/2026 19,670,000 19,681,380 0.124 Mexico Government International Bond 5.000 4/27/2051 16,835,000 19,570,688 0.123 NRG Energy, Inc. 2.000 12/2/2025 18,950,000 19,357,959 0.122 Southern Co. 3.700 4/30/2030 17,255,000 19,246,594 0.121 Unum Group 4.500 12/15/2049 18,000,000 19,239,659 0.121 UnitedHealth Group, Inc. 5.800 3/15/2036 13,530,000 19,117,932 0.120 Broadcom, Inc. 3.419 4/15/2033 17,971,000 19,078,638 0.120 Oracle Corp. 2.300 3/25/2028 18,410,000 19,005,444 0.120 Intel Corp. 2.800 8/12/2041 18,525,000 18,773,884 0.118 Teledyne Technologies, Inc. 2.750 4/1/2031 17,800,000 18,568,322 0.117 Anheuser-Busch Cos. LLC / Anheuser- 4.700 2/1/2036 15,055,000 18,566,340 0.117 Busch InBev Worldwide, Inc. Teva Pharmaceutical Finance Netherlands 3.150 10/1/2026 19,410,000 18,536,550 0.117 B.V. Microchip Technology, Inc. 2.670 9/1/2023 17,755,000 18,431,001 0.116

Page 3 of 34 HARTFORD FUNDS 08.31.21(unaudited) Hartford Balanced Income Fund

Full Portfolio Holdings* as of August 31, 2021 % of Security Coupon Maturity Shares/Par Market Value Net Assets Bank of America Corp. 4.083 3/20/2051 15,235,000 18,355,780 0.116 JP Morgan Chase & Co. 3.964 11/15/2048 15,520,000 18,332,154 0.115 Nasdaq, Inc. 4.250 6/1/2024 16,765,000 18,265,827 0.115 Pernod Ricard International Finance LLC 1.250 4/1/2028 18,810,000 18,216,488 0.115 AmerisourceBergen Corp. 2.700 3/15/2031 17,470,000 18,145,255 0.114 Deutsche Bank AG 0.898 5/28/2024 18,135,000 18,142,176 0.114 Colombia Government International Bond 5.000 6/15/2045 17,210,000 17,981,352 0.113 CVS Health Corp. 4.780 3/25/2038 14,295,000 17,779,902 0.112 AT&T, Inc. 3.650 9/15/2059 17,067,000 17,529,610 0.110 Cigna Corp. 4.125 11/15/2025 15,680,000 17,520,358 0.110 Discovery Communications LLC 5.200 9/20/2047 13,920,000 17,483,469 0.110 Oracle Corp. 3.600 4/1/2040 16,315,000 17,308,824 0.109 Microsoft Corp. 2.921 3/17/2052 16,040,000 17,206,997 0.108 SYNNEX Corp. 1.750 8/9/2026 17,150,000 17,073,804 0.107 BPCE S.A. 1.000 1/20/2026 17,135,000 16,992,426 0.107 Bank of America Corp. 4.330 3/15/2050 13,375,000 16,691,555 0.105 Tencent Holdings Ltd. 3.595 1/19/2028 15,410,000 16,688,464 0.105 Pfizer, Inc. 1.750 8/18/2031 16,740,000 16,660,359 0.105 Colombia Government International Bond 3.875 4/25/2027 15,740,000 16,658,272 0.105 SYNNEX Corp. 2.375 8/9/2028 16,660,000 16,652,307 0.105 Marathon Petroleum Corp. 4.700 5/1/2025 14,745,000 16,513,830 0.104 AbbVie, Inc. 2.950 11/21/2026 15,320,000 16,510,485 0.104 Brixmor Operating Partnership L.P. 4.125 5/15/2029 14,470,000 16,484,285 0.104 Morgan Stanley 0.750 1/20/2023 16,420,000 16,458,095 0.104 NTT Finance Corp. 1.162 4/3/2026 16,425,000 16,418,485 0.103 Oracle Corp. 3.900 5/15/2035 14,500,000 16,335,992 0.103 Goldman Sachs Group, Inc. 1.992 1/27/2032 16,615,000 16,292,209 0.103 International Business Machines Corp. 3.000 5/15/2024 15,235,000 16,216,603 0.102 Enel Finance International N.V. 1.875 7/12/2028 15,985,000 16,025,452 0.101 Truist Financial Corp. 2.500 8/1/2024 15,195,000 16,011,184 0.101 JP Morgan Chase & Co. 2.301 10/15/2025 15,385,000 16,010,600 0.101 Bank of America Corp. 2.651 3/11/2032 15,400,000 15,968,083 0.101 Eversource Energy 3.800 12/1/2023 14,905,000 15,955,810 0.100 Royalty Pharma plc 2.200 9/2/2030 16,060,000 15,882,776 0.100 Verizon Communications, Inc. 4.500 8/10/2033 13,115,000 15,876,858 0.100 JP Morgan Chase & Co. 0.824 6/1/2025 15,755,000 15,776,075 0.099 CCO Holdings LLC / CCO Holdings Capital 4.250 1/15/2034 15,603,000 15,743,427 0.099 Corp. Discovery Communications LLC 3.625 5/15/2030 14,315,000 15,685,905 0.099 Anthem, Inc. 3.650 12/1/2027 14,000,000 15,671,600 0.099 Societe Generale S.A. 1.792 6/9/2027 15,570,000 15,602,918 0.098 New York Life Global Funding 3.000 1/10/2028 14,205,000 15,513,719 0.098 NXP B.V. / NXP Funding LLC 4.875 3/1/2024 14,163,000 15,505,206 0.098 Evergy, Inc. 2.900 9/15/2029 14,501,000 15,504,449 0.098 Microchip Technology, Inc. 0.972 2/15/2024 15,455,000 15,473,243 0.097

Page 4 of 34 HARTFORD FUNDS 08.31.21(unaudited) Hartford Balanced Income Fund

Full Portfolio Holdings* as of August 31, 2021 % of Security Coupon Maturity Shares/Par Market Value Net Assets Diageo Capital plc 2.000 4/29/2030 15,297,000 15,416,515 0.097 T-Mobile USA, Inc. 4.375 4/15/2040 13,135,000 15,375,306 0.097 Bank of America Corp. 7.750 5/14/2038 9,525,000 15,085,674 0.095 Coca-Cola Co. 2.500 6/1/2040 15,000,000 15,032,269 0.095 Boeing Co. 5.040 5/1/2027 13,025,000 15,018,078 0.095 Goldman Sachs Group, Inc. 0.481 1/27/2023 15,000,000 15,002,749 0.094 Broadcom, Inc. 4.110 9/15/2028 13,370,000 14,989,942 0.094 AT&T, Inc. 3.500 9/15/2053 14,619,000 14,987,958 0.094 Apple, Inc. 1.400 8/5/2028 15,000,000 14,973,958 0.094 Verizon Communications, Inc. 4.522 9/15/2048 11,923,000 14,960,393 0.094 Metropolitan Life Global Funding I 3.000 9/19/2027 13,735,000 14,934,727 0.094 HSBC Holdings plc 3.262 3/13/2023 14,695,000 14,923,900 0.094 Galaxy Pipeline Assets Bidco Ltd. 2.160 3/31/2034 14,955,000 14,884,414 0.094 Qatar Petroleum 1.375 9/12/2026 14,850,000 14,870,612 0.094 Laboratory Corp. of America Holdings 2.300 12/1/2024 14,225,000 14,858,476 0.094 UBS AG 0.375 6/1/2023 14,860,000 14,849,168 0.093 Turkey Government International Bond 5.125 2/17/2028 14,840,000 14,705,253 0.093 Santander UK Group Holdings plc 3.571 1/10/2023 14,530,000 14,692,970 0.093 Hess Corp. 7.300 8/15/2031 10,742,000 14,622,711 0.092 AT&T, Inc. 3.800 12/1/2057 13,720,000 14,573,494 0.092 AT&T, Inc. 1.700 3/25/2026 14,370,000 14,559,707 0.092 Sprint Spectrum Co. LLC / Sprint Spectrum 5.152 9/20/2029 12,555,000 14,458,966 0.091 Co. II LLC / Sprint Spectrum Co. III LLC Liberty Mutual Group, Inc. 4.300 2/1/2061 15,255,000 14,455,845 0.091 NextEra Energy Capital Holdings, Inc. 0.650 3/1/2023 14,365,000 14,420,053 0.091 U.S. Treasury Notes 0.875 6/30/2026 14,335,000 14,415,634 0.091 Fiserv, Inc. 2.250 6/1/2027 13,810,000 14,357,981 0.090 GE Capital Funding LLC 4.400 5/15/2030 12,240,000 14,341,980 0.090 Carrier Global Corp. 2.493 2/15/2027 13,585,000 14,312,740 0.090 Nationwide Mutual Insurance Co. 4.350 4/30/2050 12,400,000 14,226,691 0.090 Anheuser-Busch Cos. LLC / Anheuser- 4.900 2/1/2046 11,111,000 14,162,875 0.089 Busch InBev Worldwide, Inc. Rutgers The State University of New Jersey 3.915 5/1/2119 12,000,000 14,091,745 0.089 HSBC Holdings plc 3.600 5/25/2023 13,270,000 13,992,686 0.088 Bank of Nova Scotia 0.650 7/31/2024 13,960,000 13,968,795 0.088 Apple, Inc. 1.200 2/8/2028 13,900,000 13,757,133 0.087 Marsh & McLennan Cos., Inc. 3.875 3/15/2024 12,690,000 13,686,993 0.086 Telefonica Emisiones S.A. 5.213 3/8/2047 10,820,000 13,559,251 0.085 CCO Holdings LLC / CCO Holdings Capital 4.250 2/1/2031 13,200,000 13,546,500 0.085 Corp. Oracle Corp. 3.850 4/1/2060 12,610,000 13,533,652 0.085 Charter Communications Operating LLC / 5.375 5/1/2047 10,990,000 13,510,670 0.085 Charter Communications Operating Capital Oman Government International Bond 6.250 1/25/2031 12,390,000 13,506,091 0.085 CommonSpirit Health 2.760 10/1/2024 12,840,000 13,492,390 0.085 Allstate Corp. 0.750 12/15/2025 13,575,000 13,487,093 0.085

Page 5 of 34 HARTFORD FUNDS 08.31.21(unaudited) Hartford Balanced Income Fund

Full Portfolio Holdings* as of August 31, 2021 % of Security Coupon Maturity Shares/Par Market Value Net Assets Argentine Republic Government International 0.500 7/9/2030 34,605,922 13,478,661 0.085 Bond Apple, Inc. 2.650 2/8/2051 13,645,000 13,418,625 0.084 Argentine Republic Government International 2.500 7/9/2041 34,290,000 13,343,268 0.084 Bond Time Warner Cable LLC 5.875 11/15/2040 10,340,000 13,305,561 0.084 Apple, Inc. 4.650 2/23/2046 10,000,000 13,286,631 0.084 Northwestern Mutual Global Funding 1.700 6/1/2028 12,790,000 13,078,169 0.082 AstraZeneca plc 3.375 11/16/2025 11,865,000 13,003,681 0.082 Microsoft Corp. 2.525 6/1/2050 13,045,000 12,996,334 0.082 Dominion Energy, Inc. 3.900 10/1/2025 11,710,000 12,891,148 0.081 Verizon Communications, Inc. 3.400 3/22/2041 12,025,000 12,862,060 0.081 Apple, Inc. 2.700 8/5/2051 12,960,000 12,853,734 0.081 Penske Truck Leasing Co. L.P. / PTL 3.900 2/1/2024 12,000,000 12,823,315 0.081 Finance Corp. Russian Foreign Bond - Eurobond 4.375 3/21/2029 11,200,000 12,797,792 0.081 Fiserv, Inc. 3.200 7/1/2026 11,730,000 12,751,178 0.080 Comcast Corp. 2.987 11/1/2063 12,884,001 12,711,764 0.080 Morgan Stanley 2.239 7/21/2032 12,660,000 12,699,069 0.080 Wells Fargo & Co. 3.750 1/24/2024 11,840,000 12,691,976 0.080 Petroleos Mexicanos 5.950 1/28/2031 12,785,000 12,533,008 0.079 AES Corp. 3.300 7/15/2025 11,685,000 12,485,072 0.079 Amazon.com, Inc. 2.500 6/3/2050 12,955,000 12,420,251 0.078 Broadcom, Inc. 4.150 11/15/2030 11,030,000 12,409,357 0.078 Morgan Stanley 1.794 2/13/2032 12,820,000 12,397,396 0.078 GE Capital International Funding Co. 4.418 11/15/2035 10,189,000 12,358,902 0.078 Pernod Ricard International Finance LLC 1.625 4/1/2031 12,840,000 12,345,660 0.078 Qatar Petroleum 2.250 7/12/2031 12,235,000 12,337,334 0.078 IHS Markit Ltd. 4.125 8/1/2023 11,565,000 12,255,315 0.077 Brooklyn Union Gas Co. 3.865 3/4/2029 11,000,000 12,250,939 0.077 Willis North America, Inc. 3.600 5/15/2024 11,435,000 12,242,613 0.077 JP Morgan Chase & Co. 2.739 10/15/2030 11,585,000 12,208,126 0.077 FedEx Corp. 4.050 2/15/2048 10,520,000 12,200,808 0.077 Bank of America Corp. 2.087 6/14/2029 12,000,000 12,176,076 0.077 Charter Communications Operating LLC / 4.800 3/1/2050 10,428,000 12,166,137 0.077 Charter Communications Operating Capital Appalachian Power Co. 4.500 3/1/2049 9,630,000 12,054,636 0.076 Suzano Austria GmbH 3.125 1/15/2032 12,000,000 12,036,000 0.076 Coca-Cola Co. 1.500 3/5/2028 11,690,000 11,777,485 0.074 BP Capital Markets America, Inc. 3.379 2/8/2061 11,380,000 11,741,699 0.074 Brazilian Government International Bond 5.000 1/27/2045 11,904,000 11,721,155 0.074 Coca-Cola European Partners plc 0.500 5/5/2023 11,720,000 11,711,685 0.074 Ukraine Government International Bond 7.750 9/1/2027 10,530,000 11,703,042 0.074 Croatia Government International Bond 1.125 6/19/2029 9,430,000 11,635,528 0.073 PECO Energy Co. 3.900 3/1/2048 9,625,000 11,615,232 0.073 Siemens Financieringsmaatschappij N.V. 1.200 3/11/2026 11,475,000 11,519,924 0.073

Page 6 of 34 HARTFORD FUNDS 08.31.21(unaudited) Hartford Balanced Income Fund

Full Portfolio Holdings* as of August 31, 2021 % of Security Coupon Maturity Shares/Par Market Value Net Assets Northrop Grumman Corp. 2.930 1/15/2025 10,830,000 11,517,079 0.073 Partners Healthcare System, Inc. 3.192 7/1/2049 10,660,000 11,468,081 0.072 Las Vegas Sands Corp. 3.500 8/18/2026 10,870,000 11,400,385 0.072 Jersey Central Power & Light Co. 2.750 3/1/2032 10,920,000 11,359,143 0.072 Bunge Ltd. Finance Corp. 2.750 5/14/2031 10,990,000 11,289,192 0.071 PacifiCorp 4.150 2/15/2050 9,280,000 11,287,057 0.071 Boston Scientific Corp. 2.650 6/1/2030 10,830,000 11,279,967 0.071 HSBC Holdings plc 1.589 5/24/2027 11,240,000 11,279,026 0.071 Equinix, Inc. 1.450 5/15/2026 11,210,000 11,244,594 0.071 IHS Markit Ltd. 4.750 8/1/2028 9,500,000 11,241,920 0.071 Verizon Communications, Inc. 4.125 8/15/2046 9,585,000 11,239,079 0.071 Comcast Corp. 3.200 7/15/2036 10,280,000 11,212,845 0.071 General Motors Co. 5.150 4/1/2038 9,235,000 11,133,241 0.070 Raytheon Technologies Corp. 5.700 4/15/2040 7,960,000 11,112,567 0.070 Puget Energy, Inc. 4.100 6/15/2030 9,894,000 11,098,230 0.070 Southern California Edison Co. 0.399 12/3/2021 11,085,000 11,087,044 0.070 Bank of America Corp. 2.299 7/21/2032 11,000,000 11,069,341 0.070 Bacardi Ltd. 4.450 5/15/2025 9,960,000 11,060,066 0.070 Bristol-Myers Squibb Co. 3.200 6/15/2026 10,000,000 10,984,612 0.069 Emera U.S. Finance L.P. 0.833 6/15/2024 11,000,000 10,937,460 0.069 Amazon.com, Inc. 3.875 8/22/2037 9,165,000 10,927,528 0.069 Macquarie Group Ltd. 1.629 9/23/2027 10,875,000 10,923,540 0.069 UnitedHealth Group, Inc. 2.300 5/15/2031 10,540,000 10,917,836 0.069 Conagra Brands, Inc. 5.300 11/1/2038 8,410,000 10,865,589 0.068 Fortive Corp. 3.150 6/15/2026 9,996,000 10,861,756 0.068 Citigroup, Inc. 1.462 6/9/2027 10,800,000 10,833,240 0.068 Trane Technologies Luxembourg Finance 4.500 3/21/2049 8,506,000 10,799,529 0.068 S.A. Morgan Stanley 4.000 7/23/2025 9,690,000 10,751,486 0.068 Dow Chemical Co. 4.550 11/30/2025 9,415,000 10,694,363 0.067 Stanley Black & Decker, Inc. 3.400 3/1/2026 9,715,000 10,689,071 0.067 Apple, Inc. 2.375 2/8/2041 10,895,000 10,687,546 0.067 Marvell Technology, Inc. 2.450 4/15/2028 10,375,000 10,674,998 0.067 Ukraine Government International Bond 6.876 5/21/2029 10,100,000 10,660,348 0.067 Energy Transfer Operating L.P. 5.250 4/15/2029 9,000,000 10,603,932 0.067 Southern California Edison Co. 2.500 6/1/2031 10,500,000 10,601,660 0.067 Imperial Brands Finance plc 3.750 7/21/2022 10,360,000 10,580,210 0.067 AT&T, Inc. 3.650 6/1/2051 10,000,000 10,534,469 0.066 MassMutual Global Funding II 2.350 1/14/2027 10,000,000 10,524,303 0.066 Penske Truck Leasing Co. L.P. / PTL 1.700 6/15/2026 10,395,000 10,509,513 0.066 Finance Corp. Burlington Northern Santa Fe LLC 4.550 9/1/2044 8,215,000 10,495,891 0.066 MSCI, Inc. 3.250 8/15/2033 10,165,000 10,466,901 0.066 Aetna, Inc. 2.800 6/15/2023 10,065,000 10,442,438 0.066 Protective Life Global Funding 1.618 4/15/2026 10,250,000 10,432,796 0.066

Page 7 of 34 HARTFORD FUNDS 08.31.21(unaudited) Hartford Balanced Income Fund

Full Portfolio Holdings* as of August 31, 2021 % of Security Coupon Maturity Shares/Par Market Value Net Assets Wells Fargo & Co. 3.450 2/13/2023 9,965,000 10,396,581 0.065 Anheuser-Busch Cos. LLC / Anheuser- 3.650 2/1/2026 9,405,000 10,385,459 0.065 Busch InBev Worldwide, Inc. Verizon Communications, Inc. 2.987 10/30/2056 10,683,000 10,339,089 0.065 NXP B.V. / NXP Funding LLC 3.875 9/1/2022 10,000,000 10,320,731 0.065 Credit Suisse Group AG 4.207 6/12/2024 9,725,000 10,301,330 0.065 American International Group, Inc. 4.375 6/30/2050 8,225,000 10,293,998 0.065 Penske Truck Leasing Co. L.P. / PTL 4.875 7/11/2022 9,895,000 10,265,108 0.065 Finance Corp. Alibaba Group Holding Ltd. 4.000 12/6/2037 9,179,000 10,261,518 0.065 Sierra Pacific Power Co. 2.600 5/1/2026 9,647,000 10,259,809 0.065 AstraZeneca plc 3.000 5/28/2051 9,620,000 10,217,593 0.064 HP, Inc. 3.000 6/17/2027 9,370,000 10,091,210 0.064 Anheuser-Busch InBev Worldwide, Inc. 3.750 7/15/2042 9,174,000 10,088,960 0.064 PNC Financial Services Group, Inc. 3.900 4/29/2024 9,310,000 10,081,635 0.063 Vale Overseas Ltd. 3.750 7/8/2030 9,420,000 10,055,850 0.063 Colombia Government International Bond 3.125 4/15/2031 10,285,000 10,050,605 0.063 Tyson Foods, Inc. 4.000 3/1/2026 9,005,000 10,048,029 0.063 JP Morgan Chase & Co. 3.220 3/1/2025 9,440,000 10,014,046 0.063 Citigroup, Inc. 2.561 5/1/2032 9,705,000 9,984,895 0.063 Raytheon Technologies Corp. 3.950 8/16/2025 8,945,000 9,922,044 0.062 LSEGA Financing plc 2.500 4/6/2031 9,615,000 9,916,417 0.062 Ukraine Government International Bond 7.253 3/15/2033 9,320,000 9,869,768 0.062 HP, Inc. 2.200 6/17/2025 9,370,000 9,718,907 0.061 AT&T, Inc. 3.550 9/15/2055 9,502,000 9,710,441 0.061 Indonesia Government International Bond 5.125 1/15/2045 7,714,000 9,707,574 0.061 Marsh & McLennan Cos., Inc. 4.750 3/15/2039 7,455,000 9,641,893 0.061 Charter Communications Operating LLC / 6.484 10/23/2045 6,903,000 9,628,495 0.061 Charter Communications Operating Capital Goldman Sachs Group, Inc. 2.615 4/22/2032 9,325,000 9,627,317 0.061 Kaiser Foundation Hospitals 3.002 6/1/2051 9,130,000 9,571,166 0.060 T-Mobile USA, Inc. 3.875 4/15/2030 8,545,000 9,562,710 0.060 Anheuser-Busch InBev Worldwide, Inc. 4.600 4/15/2048 7,750,000 9,545,146 0.060 Mid-Atlantic Interstate Transmission LLC 4.100 5/15/2028 8,400,000 9,527,373 0.060 BNP Paribas S.A. 2.871 4/19/2032 9,125,000 9,468,119 0.060 Morgan Stanley 3.125 7/27/2026 8,665,000 9,404,011 0.059 Wells Fargo & Co. 3.068 4/30/2041 8,925,000 9,360,888 0.059 Public Service Enterprise Group, Inc. 2.875 6/15/2024 8,830,000 9,337,736 0.059 Crown Castle International Corp. 3.200 9/1/2024 8,745,000 9,337,429 0.059 Charter Communications Operating LLC / 4.908 7/23/2025 8,240,000 9,330,249 0.059 Charter Communications Operating Capital IPALCO Enterprises, Inc. 3.700 9/1/2024 8,683,000 9,308,546 0.059 AbbVie, Inc. 4.450 5/14/2046 7,590,000 9,299,890 0.059 McDonald's Corp. 1.450 9/1/2025 9,130,000 9,298,387 0.059 ViacomCBS, Inc. 4.375 3/15/2043 7,947,000 9,284,922 0.058 NiSource, Inc. 0.950 8/15/2025 9,340,000 9,276,163 0.058

Page 8 of 34 HARTFORD FUNDS 08.31.21(unaudited) Hartford Balanced Income Fund

Full Portfolio Holdings* as of August 31, 2021 % of Security Coupon Maturity Shares/Par Market Value Net Assets Broadcom, Inc. 3.150 11/15/2025 8,639,000 9,254,012 0.058 Turkey Government International Bond 6.000 1/14/2041 9,855,000 9,154,901 0.058 Lloyds Banking Group plc 4.050 8/16/2023 8,575,000 9,153,085 0.058 BAT Capital Corp. 3.215 9/6/2026 8,515,000 9,091,066 0.057 Halliburton Co. 4.850 11/15/2035 7,675,000 9,085,709 0.057 Pacific Gas and Electric Co. 3.500 8/1/2050 10,015,000 9,043,528 0.057 Kaiser Foundation Hospitals 2.810 6/1/2041 8,755,000 9,035,645 0.057 Turkey Government International Bond 4.875 10/9/2026 8,995,000 8,939,321 0.056 Astrazeneca Finance LLC 1.750 5/28/2028 8,785,000 8,924,197 0.056 GlaxoSmithKline Capital, Inc. 3.625 5/15/2025 8,110,000 8,909,885 0.056 General Mills, Inc. 4.200 4/17/2028 7,710,000 8,882,083 0.056 Anthem, Inc. 2.550 3/15/2031 8,480,000 8,829,515 0.056 Saudi Government International Bond 2.250 2/2/2033 8,959,000 8,826,299 0.056 Nationwide Mutual Insurance Co. 9.375 8/15/2039 4,940,000 8,789,639 0.055 Constellation Brands, Inc. 3.600 2/15/2028 7,893,000 8,748,174 0.055 Phillips 66 Partners L.P. 3.150 12/15/2029 8,305,000 8,743,040 0.055 Altria Group, Inc. 3.875 9/16/2046 8,645,000 8,720,282 0.055 L3Harris Technologies, Inc. 4.400 6/15/2028 7,545,000 8,713,540 0.055 International Business Machines Corp. 1.700 5/15/2027 8,545,000 8,712,090 0.055 Bayer U.S. Finance LLC 4.250 12/15/2025 7,820,000 8,707,207 0.055 Duke Energy Corp. 2.550 6/15/2031 8,455,000 8,696,927 0.055 Bank of America Corp. 2.676 6/19/2041 8,800,000 8,664,207 0.055 Energy Transfer Operating L.P. 3.750 5/15/2030 7,950,000 8,633,985 0.054 Astrazeneca Finance LLC 1.200 5/28/2026 8,555,000 8,601,412 0.054 Verizon Communications, Inc. 3.550 3/22/2051 7,915,000 8,589,265 0.054 AbbVie, Inc. 4.250 11/21/2049 7,060,000 8,549,495 0.054 General Motors Financial Co., Inc. 3.500 11/7/2024 7,985,000 8,548,983 0.054 HCA, Inc. 5.375 2/1/2025 7,585,000 8,542,606 0.054 Global Payments, Inc. 2.900 5/15/2030 8,085,000 8,499,048 0.054 Pennsylvania Electric Co. 3.250 3/15/2028 7,975,000 8,495,646 0.053 Abbott Laboratories 4.750 11/30/2036 6,550,000 8,484,476 0.053 Vodafone Group plc 5.250 5/30/2048 6,355,000 8,477,636 0.053 Siemens Financieringsmaatschappij N.V. 1.700 3/11/2028 8,365,000 8,455,068 0.053 Equitable Financial Life Global Funding 1.300 7/12/2026 8,380,000 8,401,064 0.053 Citigroup, Inc. 0.981 5/1/2025 8,335,000 8,373,796 0.053 Duke Energy Progress LLC 4.200 8/15/2045 6,845,000 8,363,814 0.053 Bank of America Corp. 3.311 4/22/2042 7,740,000 8,339,580 0.053 O'Reilly Automotive, Inc. 3.900 6/1/2029 7,340,000 8,337,791 0.052 Citigroup, Inc. 4.300 11/20/2026 7,325,000 8,313,190 0.052 GLP Capital L.P. / GLP Financing II, Inc. 4.000 1/15/2031 7,675,000 8,310,797 0.052 U.S. Treasury Bonds 4.250 11/15/2040 5,890,000 8,309,272 0.052 Caterpillar, Inc. 1.900 3/12/2031 8,220,000 8,284,248 0.052 Cox Communications, Inc. 2.600 6/15/2031 8,080,000 8,274,143 0.052 Goldman Sachs Group, Inc. 4.800 7/8/2044 6,355,000 8,262,336 0.052 LYB International Finance LLC 2.875 5/1/2025 7,745,000 8,236,758 0.052

Page 9 of 34 HARTFORD FUNDS 08.31.21(unaudited) Hartford Balanced Income Fund

Full Portfolio Holdings* as of August 31, 2021 % of Security Coupon Maturity Shares/Par Market Value Net Assets Humana, Inc. 2.150 2/3/2032 8,245,000 8,227,356 0.052 Romanian Government International Bond 2.750 4/14/2041 7,055,000 8,227,217 0.052 Lowe's Cos., Inc. 3.700 4/15/2046 7,370,000 8,223,303 0.052 Lundin Energy Finance B.V. 3.100 7/15/2031 8,100,000 8,220,830 0.052 Morgan Stanley 2.720 7/22/2025 7,795,000 8,195,426 0.052 General Mills, Inc. 2.875 4/15/2030 7,650,000 8,181,441 0.052 Global Payments, Inc. 4.450 6/1/2028 7,075,000 8,157,142 0.051 Charter Communications Operating LLC / 3.900 6/1/2052 7,910,000 8,156,302 0.051 Charter Communications Operating Capital Goldman Sachs Group, Inc. 1.431 3/9/2027 8,120,000 8,151,830 0.051 U.S. Treasury Bonds 4.375 2/15/2038 5,800,000 8,147,641 0.051 Global Payments, Inc. 2.650 2/15/2025 7,750,000 8,146,432 0.051 Credit Agricole S.A. 1.907 6/16/2026 7,931,000 8,118,676 0.051 Oracle Corp. 3.600 4/1/2050 7,785,000 8,117,223 0.051 International Business Machines Corp. 4.150 5/15/2039 6,755,000 8,109,418 0.051 Boeing Co. 5.805 5/1/2050 5,960,000 8,106,498 0.051 Oracle Corp. 3.650 3/25/2041 7,555,000 8,092,807 0.051 Royalty Pharma plc 1.750 9/2/2027 8,060,000 8,081,139 0.051 Georgia Power Co. 2.650 9/15/2029 7,610,000 8,064,986 0.051 Amgen, Inc. 2.800 8/15/2041 8,140,000 8,054,616 0.051 salesforce.com, Inc. 2.700 7/15/2041 7,880,000 8,033,567 0.051 Anglo American Capital plc 5.625 4/1/2030 6,485,000 7,976,743 0.050 Goldman Sachs Group, Inc. 4.000 3/3/2024 7,345,000 7,952,426 0.050 Amgen, Inc. 2.000 1/15/2032 8,065,000 7,944,166 0.050 Consumers Energy Co. 3.950 7/15/2047 6,500,000 7,941,454 0.050 Becton Dickinson and Co. 3.363 6/6/2024 7,426,000 7,929,474 0.050 NRG Energy, Inc. 2.450 12/2/2027 7,800,000 7,929,314 0.050 American International Group, Inc. 2.500 6/30/2025 7,510,000 7,897,949 0.050 Colombia Government International Bond 3.000 1/30/2030 8,030,000 7,874,941 0.050 Willis North America, Inc. 4.500 9/15/2028 6,752,000 7,843,437 0.049 Vodafone Group plc 5.125 6/4/2081 7,585,000 7,840,842 0.049 Anheuser-Busch InBev Worldwide, Inc. 4.750 4/15/2058 6,130,000 7,818,301 0.049 HSBC Holdings plc 4.250 3/14/2024 7,245,000 7,813,287 0.049 Apple, Inc. 3.850 8/4/2046 6,520,000 7,787,736 0.049 Pacific Gas and Electric Co. 4.950 7/1/2050 7,330,000 7,769,941 0.049 Pacific Gas and Electric Co. 2.500 2/1/2031 8,225,000 7,751,170 0.049 Intel Corp. 3.250 11/15/2049 7,220,000 7,702,121 0.048 Goldman Sachs Group, Inc. 2.383 7/21/2032 7,610,000 7,693,170 0.048 UnitedHealth Group, Inc. 3.750 7/15/2025 6,925,000 7,690,380 0.048 Broadcom, Inc. 4.300 11/15/2032 6,700,000 7,669,805 0.048 Eastern Gas Transmission & Storage, Inc. 3.000 11/15/2029 7,180,000 7,642,983 0.048 Morgan Stanley 1.928 4/28/2032 7,800,000 7,628,696 0.048 Lockheed Martin Corp. 4.500 5/15/2036 6,025,000 7,619,775 0.048 HSBC Holdings plc 4.300 3/8/2026 6,755,000 7,616,664 0.048 Amazon.com, Inc. 4.950 12/5/2044 5,535,000 7,604,813 0.048

Page 10 of 34 HARTFORD FUNDS 08.31.21(unaudited) Hartford Balanced Income Fund

Full Portfolio Holdings* as of August 31, 2021 % of Security Coupon Maturity Shares/Par Market Value Net Assets HSBC Holdings plc 2.804 5/24/2032 7,355,000 7,595,969 0.048 Bank of America Corp. 3.124 1/20/2023 7,500,000 7,579,346 0.048 Johnson & Johnson 3.625 3/3/2037 6,420,000 7,558,883 0.048 Lundin Energy Finance B.V. 2.000 7/15/2026 7,470,000 7,529,149 0.047 Duke Energy Corp. 3.300 6/15/2041 7,240,000 7,508,897 0.047 ABN Amro Bank N.V. 1.542 6/16/2027 7,500,000 7,494,863 0.047 Home Depot, Inc. 5.875 12/16/2036 5,215,000 7,475,595 0.047 Charter Communications Operating LLC / 5.125 7/1/2049 6,230,000 7,473,403 0.047 Charter Communications Operating Capital Berkshire Hathaway Energy Co. 2.850 5/15/2051 7,650,000 7,450,942 0.047 Aker BP ASA 2.875 1/15/2026 7,045,000 7,434,339 0.047 ING Groep N.V. 1.726 4/1/2027 7,315,000 7,426,089 0.047 Conagra Brands, Inc. 1.375 11/1/2027 7,570,000 7,426,085 0.047 Duke Energy Carolinas LLC 3.200 8/15/2049 6,965,000 7,406,511 0.047 Turkey Government International Bond 4.875 4/16/2043 9,000,000 7,391,700 0.047 Duquesne Light Holdings, Inc. 2.775 1/7/2032 7,265,000 7,375,947 0.046 PepsiCo., Inc. 3.375 7/29/2049 6,500,000 7,367,938 0.046 MPLX L.P. 4.250 12/1/2027 6,490,000 7,343,510 0.046 Indonesia Government International Bond 4.625 4/15/2043 6,205,000 7,340,745 0.046 BP Capital Markets America, Inc. 3.060 6/17/2041 7,125,000 7,322,507 0.046 JP Morgan Chase & Co. 3.882 7/24/2038 6,290,000 7,308,548 0.046 Bank of America Corp. 3.824 1/20/2028 6,550,000 7,298,679 0.046 AbbVie, Inc. 2.300 11/21/2022 7,100,000 7,261,439 0.046 Morgan Stanley 3.737 4/24/2024 6,880,000 7,241,863 0.046 Comcast Corp. 3.400 7/15/2046 6,640,000 7,231,745 0.046 Santander Holdings USA, Inc. 3.400 1/18/2023 6,970,000 7,225,759 0.045 JP Morgan Chase & Co. 3.109 4/22/2041 6,860,000 7,223,172 0.045 McDonald's Corp. 6.300 10/15/2037 5,000,000 7,218,647 0.045 Wells Fargo & Co. 3.584 5/22/2028 6,500,000 7,212,058 0.045 Bristol-Myers Squibb Co. 2.550 11/13/2050 7,410,000 7,191,427 0.045 Athene Global Funding 2.673 6/7/2031 7,000,000 7,175,097 0.045 Boeing Co. 3.250 2/1/2035 7,000,000 7,162,668 0.045 Cigna Corp. 1.250 3/15/2026 7,085,000 7,126,857 0.045 JP Morgan Chase & Co. 4.493 3/24/2031 6,000,000 7,117,739 0.045 Exelon Corp. 4.700 4/15/2050 5,557,000 7,108,692 0.045 Standard Chartered plc 1.456 1/14/2027 7,165,000 7,099,881 0.045 LSEGA Financing plc 1.375 4/6/2026 6,950,000 6,979,197 0.044 Danone S.A. 2.589 11/2/2023 6,705,000 6,976,016 0.044 Gilead Sciences, Inc. 1.200 10/1/2027 7,060,000 6,956,572 0.044 Hungary Government International Bond 1.625 4/28/2032 5,455,000 6,945,968 0.044 ITC Holdings Corp. 3.250 6/30/2026 6,355,000 6,921,259 0.044 Comcast Corp. 2.937 11/1/2056 7,000,000 6,904,460 0.043 Brighthouse Financial Global Funding 2.000 6/28/2028 6,845,000 6,900,271 0.043 TransCanada PipeLines Ltd. 4.625 3/1/2034 5,840,000 6,893,619 0.043 Discovery Communications LLC 5.300 5/15/2049 5,395,000 6,878,840 0.043

Page 11 of 34 HARTFORD FUNDS 08.31.21(unaudited) Hartford Balanced Income Fund

Full Portfolio Holdings* as of August 31, 2021 % of Security Coupon Maturity Shares/Par Market Value Net Assets Goldman Sachs Group, Inc. 3.500 1/23/2025 6,345,000 6,836,053 0.043 Colombia Government International Bond 4.125 5/15/2051 7,330,000 6,822,324 0.043 UniCredit S.p.A. 1.982 6/3/2027 6,815,000 6,821,906 0.043 Micron Technology, Inc. 4.975 2/6/2026 5,930,000 6,819,678 0.043 Humana, Inc. 3.950 3/15/2027 6,000,000 6,740,373 0.042 Bacardi Ltd. 5.150 5/15/2038 5,365,000 6,712,224 0.042 Occidental Petroleum Corp. 4.200 3/15/2048 6,972,000 6,709,504 0.042 Discovery Communications LLC 3.950 6/15/2025 6,110,000 6,689,295 0.042 Credit Suisse Group AG 1.305 2/2/2027 6,795,000 6,685,119 0.042 Imperial Brands Finance plc 3.500 2/11/2023 6,455,000 6,662,352 0.042 Oklahoma Gas and Electric Co. 0.553 5/26/2023 6,635,000 6,637,591 0.042 Aker BP ASA 4.000 1/15/2031 6,015,000 6,623,576 0.042 American International Group, Inc. 4.700 7/10/2035 5,348,000 6,622,104 0.042 Comcast Corp. 4.049 11/1/2052 5,433,999 6,565,185 0.041 JAB Holdings B.V. 3.750 5/28/2051 5,970,000 6,551,942 0.041 Staples, Inc. 7.500 4/15/2026 6,485,000 6,549,850 0.041 Danske Bank A/S 1.621 9/11/2026 6,504,000 6,549,729 0.041 Bacardi Ltd. 2.750 7/15/2026 6,215,000 6,543,700 0.041 EI du Pont de Nemours and Co. 1.700 7/15/2025 6,360,000 6,536,236 0.041 Peruvian Government International Bond 4.125 8/25/2027 5,799,000 6,523,933 0.041 Saudi Arabian Oil Co. 2.875 4/16/2024 6,174,000 6,462,573 0.041 Fidelity Investments Money Market Funds, 0.010 9/1/2021 6,459,997 6,459,997 0.041 Government Portfolio, Institutional Class Morgan Stanley 3.217 4/22/2042 6,000,000 6,427,666 0.040 Southern Co. 4.400 7/1/2046 5,345,000 6,415,920 0.040 HSBC Holdings plc 6.800 6/1/2038 4,440,000 6,401,290 0.040 Pacific Life Global Funding 1.375 4/14/2026 6,320,000 6,379,107 0.040 Cleco Corporate Holdings LLC 4.973 5/1/2046 5,095,000 6,377,863 0.040 Panama Government International Bond 4.500 4/1/2056 5,585,000 6,374,942 0.040 Israel Electric Corp. Ltd. 4.250 8/14/2028 5,685,000 6,367,029 0.040 Kraft Heinz Foods Co. 3.000 6/1/2026 6,000,000 6,363,365 0.040 Oracle Corp. 2.650 7/15/2026 6,000,000 6,354,787 0.040 Croatia Government International Bond 1.750 3/4/2041 5,075,000 6,342,619 0.040 FirstEnergy Corp. 7.375 11/15/2031 4,525,000 6,319,751 0.040 Serbia International Bond 3.125 5/15/2027 4,789,000 6,303,198 0.040 Serbia International Bond 1.500 6/26/2029 5,256,000 6,298,271 0.040 Nestle Holdings, Inc. 4.000 9/24/2048 5,000,000 6,293,707 0.040 Pacific Gas and Electric Co. 4.250 8/1/2023 6,000,000 6,283,923 0.040 Consolidated Edison Co. of New York, Inc. 4.500 5/15/2058 5,050,000 6,270,147 0.039 Discover Bank 4.200 8/8/2023 5,855,000 6,269,952 0.039 Enterprise Products Operating LLC 4.200 1/31/2050 5,430,000 6,254,351 0.039 Santander Holdings USA, Inc. 3.700 3/28/2022 6,145,000 6,243,323 0.039 General Electric Co. 3.450 5/1/2027 5,655,000 6,237,424 0.039 Constellation Brands, Inc. 2.250 8/1/2031 6,215,000 6,222,189 0.039 Wells Fargo & Co. 5.013 4/4/2051 4,490,000 6,209,568 0.039

Page 12 of 34 HARTFORD FUNDS 08.31.21(unaudited) Hartford Balanced Income Fund

Full Portfolio Holdings* as of August 31, 2021 % of Security Coupon Maturity Shares/Par Market Value Net Assets Chevron USA, Inc. 6.000 3/1/2041 4,155,000 6,136,742 0.039 Equitable Financial Life Global Funding 1.800 3/8/2028 6,100,000 6,129,391 0.039 Oracle Corp. 6.500 4/15/2038 4,300,000 6,113,610 0.038 Wells Fargo & Co. 5.606 1/15/2044 4,408,000 6,100,511 0.038 Citigroup, Inc. 4.600 3/9/2026 5,350,000 6,094,235 0.038 DCP Midstream Operating L.P. 5.375 7/15/2025 5,510,000 6,067,888 0.038 Verizon Communications, Inc. 4.812 3/15/2039 4,790,000 6,063,579 0.038 JP Morgan Chase & Co. 2.580 4/22/2032 5,855,000 6,054,174 0.038 Mexico Government International Bond 4.600 1/23/2046 5,507,000 6,034,901 0.038 NextEra Energy Capital Holdings, Inc. 1.900 6/15/2028 5,955,000 6,018,063 0.038 Rochester Gas and Electric Corp. 1.850 12/1/2030 6,140,000 6,011,784 0.038 , Inc. 5.625 1/15/2027 5,775,000 5,977,125 0.038 NiSource, Inc. 4.375 5/15/2047 4,910,000 5,973,022 0.038 Ukraine Government International Bond 7.750 9/1/2026 5,345,000 5,940,754 0.037 Sempra Energy 3.800 2/1/2038 5,300,000 5,937,115 0.037 Energy Transfer Operating L.P. 5.300 4/1/2044 5,100,000 5,936,900 0.037 Citigroup, Inc. 4.450 9/29/2027 5,180,000 5,930,121 0.037 Bristol-Myers Squibb Co. 4.250 10/26/2049 4,655,000 5,919,479 0.037 Bank of America Corp. 2.687 4/22/2032 5,690,000 5,915,086 0.037 Charter Communications Operating LLC / 5.750 4/1/2048 4,595,000 5,904,317 0.037 Charter Communications Operating Capital UnitedHealth Group, Inc. 3.050 5/15/2041 5,550,000 5,883,104 0.037 Energy Transfer Operating L.P. 5.300 4/15/2047 4,958,000 5,875,935 0.037 MPLX L.P. 5.200 12/1/2047 4,780,000 5,866,695 0.037 Western Midstream Operating L.P. 5.300 2/1/2030 5,200,000 5,793,372 0.036 LSEGA Financing plc 2.000 4/6/2028 5,685,000 5,787,313 0.036 Bristol-Myers Squibb Co. 2.350 11/13/2040 5,935,000 5,756,105 0.036 BAT Capital Corp. 3.462 9/6/2029 5,395,000 5,750,102 0.036 GLP Capital L.P. / GLP Financing II, Inc. 5.750 6/1/2028 4,815,000 5,734,087 0.036 Waste Management, Inc. 2.000 6/1/2029 5,620,000 5,724,213 0.036 University of California 1.316 5/15/2027 5,660,000 5,721,003 0.036 Republic of South Africa Government 5.750 9/30/2049 5,680,000 5,714,648 0.036 International Bond McDonald's Corp. 3.375 5/26/2025 5,262,000 5,693,986 0.036 Raytheon Technologies Corp. 3.750 11/1/2046 5,000,000 5,680,509 0.036 Apple, Inc. 4.375 5/13/2045 4,420,000 5,661,224 0.036 Amazon.com, Inc. 4.250 8/22/2057 4,320,000 5,620,485 0.035 Bank of America Corp. 3.093 10/1/2025 5,270,000 5,611,991 0.035 CSC Holdings LLC 5.500 4/15/2027 5,360,000 5,607,243 0.035 Targa Resources Partners L.P. / Targa 6.500 7/15/2027 5,175,000 5,603,076 0.035 Resources Partners Finance Corp. Morgan Stanley 3.622 4/1/2031 5,000,000 5,601,739 0.035 Cleco Corporate Holdings LLC 3.375 9/15/2029 5,340,000 5,582,901 0.035 Ashtead Capital, Inc. 1.500 8/12/2026 5,595,000 5,581,667 0.035 GLP Capital L.P. / GLP Financing II, Inc. 5.300 1/15/2029 4,750,000 5,577,545 0.035 Broadcom, Inc. 2.600 2/15/2033 5,600,000 5,548,788 0.035

Page 13 of 34 HARTFORD FUNDS 08.31.21(unaudited) Hartford Balanced Income Fund

Full Portfolio Holdings* as of August 31, 2021 % of Security Coupon Maturity Shares/Par Market Value Net Assets Comcast Corp. 4.400 8/15/2035 4,530,000 5,512,537 0.035 OneMain Finance Corp. 5.375 11/15/2029 5,045,000 5,511,663 0.035 Pfizer, Inc. 4.000 12/15/2036 4,525,000 5,494,166 0.035 UDR, Inc. 2.100 8/1/2032 5,605,000 5,472,479 0.034 Intercontinental Exchange, Inc. 1.850 9/15/2032 5,660,000 5,458,697 0.034 Puget Sound Energy, Inc. 3.250 9/15/2049 5,110,000 5,457,854 0.034 Southern Gas Corridor CJSC 6.875 3/24/2026 4,604,000 5,454,359 0.034 Eli Lilly & Co. 4.150 3/15/2059 4,200,000 5,453,903 0.034 Russian Foreign Bond - Eurobond 5.250 6/23/2047 4,200,000 5,433,876 0.034 Edison International 3.125 11/15/2022 5,285,000 5,433,857 0.034 AbbVie, Inc. 4.050 11/21/2039 4,630,000 5,433,659 0.034 NVIDIA Corp. 3.500 4/1/2050 4,740,000 5,432,062 0.034 Royal Caribbean Cruises Ltd. 5.500 8/31/2026 5,350,000 5,423,563 0.034 Broadcom, Inc. 3.500 2/15/2041 5,255,000 5,403,702 0.034 New York State Thruway Auth Rev 2.900 1/1/2035 5,015,000 5,390,661 0.034 T-Mobile USA, Inc. 2.250 2/15/2026 5,250,000 5,361,563 0.034 HSBC Holdings plc 3.973 5/22/2030 4,780,000 5,359,422 0.034 CVS Health Corp. 4.125 4/1/2040 4,605,000 5,350,004 0.034 Philippine Government International Bond 3.950 1/20/2040 4,695,000 5,343,619 0.034 Broadcom, Inc. 3.469 4/15/2034 5,034,000 5,332,372 0.034 Bank of America Corp. 3.864 7/23/2024 5,015,000 5,315,747 0.033 Trinity Acquisition plc 4.400 3/15/2026 4,715,000 5,313,373 0.033 Flex Acquisition Co., Inc. 6.875 1/15/2025 5,230,000 5,282,300 0.033 TransDigm, Inc. 6.250 3/15/2026 4,970,000 5,224,713 0.033 Evergy, Inc. 2.450 9/15/2024 5,000,000 5,224,492 0.033 NIKE, Inc. 3.250 3/27/2040 4,675,000 5,214,961 0.033 Williams Cos., Inc. 5.400 3/4/2044 4,100,000 5,214,034 0.033 United Rentals North America, Inc. 4.875 1/15/2028 4,915,000 5,209,900 0.033 Energy Transfer Operating L.P. 6.125 12/15/2045 4,045,000 5,202,842 0.033 Oracle Corp. 3.950 3/25/2051 4,685,000 5,192,430 0.033 Energy Transfer Operating L.P. 6.250 4/15/2049 3,910,000 5,175,132 0.033 Williams Cos., Inc. 5.100 9/15/2045 4,145,000 5,160,509 0.032 ONEOK, Inc. 6.350 1/15/2031 4,000,000 5,153,090 0.032 Royalty Pharma plc 3.350 9/2/2051 5,305,000 5,151,002 0.032 Natwest Group plc 1.642 6/14/2027 5,095,000 5,127,089 0.032 FirstEnergy Transmission LLC 4.350 1/15/2025 4,655,000 5,126,086 0.032 Aon plc 3.500 6/14/2024 4,775,000 5,121,856 0.032 Enterprise Products Operating LLC 4.800 2/1/2049 4,115,000 5,120,697 0.032 Oracle Corp. 4.100 3/25/2061 4,525,000 5,118,945 0.032 Mondelez International Holdings Netherlands 2.125 9/19/2022 5,020,000 5,118,158 0.032 B.V. AT&T, Inc. 3.500 6/1/2041 4,855,000 5,112,254 0.032 Dominion Energy, Inc. 7.000 6/15/2038 3,390,000 5,109,647 0.032 Hershey Co. 3.125 11/15/2049 4,720,000 5,108,492 0.032 Gilead Sciences, Inc. 2.800 10/1/2050 5,235,000 5,100,402 0.032

Page 14 of 34 HARTFORD FUNDS 08.31.21(unaudited) Hartford Balanced Income Fund

Full Portfolio Holdings* as of August 31, 2021 % of Security Coupon Maturity Shares/Par Market Value Net Assets Specialty Building Products Holdings LLC / 6.375 9/30/2026 4,818,000 5,070,945 0.032 SBP Finance Corp. Southern Natural Gas Co. LLC 0.625 4/28/2023 5,065,000 5,070,126 0.032 Dominion Energy, Inc. 3.300 4/15/2041 4,735,000 5,049,047 0.032 Hormel Foods Corp. 0.650 6/3/2024 5,035,000 5,043,798 0.032 Russian Foreign Bond - Eurobond 5.625 4/4/2042 3,800,000 5,039,112 0.032 Virgin Media Secured Finance plc 4.500 8/15/2030 4,955,000 5,025,857 0.032 Air Products and Chemicals, Inc. 1.850 5/15/2027 4,840,000 5,015,751 0.032 Shell International Finance B.V. 4.000 5/10/2046 4,199,000 5,011,940 0.032 Endure Digital, Inc. 6.000 2/15/2029 5,200,000 5,005,000 0.032 JP Morgan Chase & Co. 4.260 2/22/2048 4,055,000 4,990,758 0.031 Intel Corp. 3.100 2/15/2060 4,860,000 4,954,194 0.031 ARD Finance S.A. (6.50% Cash, 7.25% PIK) 6.500 6/30/2027 4,700,000 4,949,946 0.031 QUALCOMM, Inc. 4.800 5/20/2045 3,676,000 4,918,822 0.031 LBM Acquisition LLC 6.250 1/15/2029 4,870,000 4,888,263 0.031 Bristol-Myers Squibb Co. 1.450 11/13/2030 5,000,000 4,880,388 0.031 Bristol-Myers Squibb Co. 3.875 8/15/2025 4,384,000 4,858,164 0.031 Century Communities, Inc. 3.875 8/15/2029 4,785,000 4,857,732 0.031 Charter Communications Operating LLC / 4.400 12/1/2061 4,445,000 4,855,261 0.031 Charter Communications Operating Capital Metropolitan Edison Co. 4.300 1/15/2029 4,308,000 4,855,032 0.031 Cox Communications, Inc. 3.150 8/15/2024 4,557,000 4,845,856 0.031 Penske Truck Leasing Co. L.P. / PTL 3.450 7/1/2024 4,520,000 4,829,070 0.030 Finance Corp. Southern California Edison Co. 4.000 4/1/2047 4,585,000 4,827,039 0.030 Romanian Government International Bond 2.000 1/28/2032 4,030,000 4,800,375 0.030 Northrop Grumman Corp. 4.030 10/15/2047 4,000,000 4,788,358 0.030 Norfolk Southern Corp. 4.650 1/15/2046 3,734,000 4,782,687 0.030 General Motors Financial Co., Inc. 4.350 1/17/2027 4,245,000 4,777,956 0.030 Altria Group, Inc. 5.375 1/31/2044 3,970,000 4,771,416 0.030 JP Morgan Chase & Co. 3.157 4/22/2042 4,500,000 4,767,577 0.030 HSBC Holdings plc 0.976 5/24/2025 4,765,000 4,767,406 0.030 Diamond (BC) B.V. 5.625 8/15/2025 3,980,000 4,763,205 0.030 Ardagh Packaging Finance plc / Ardagh 5.250 8/15/2027 4,595,000 4,755,825 0.030 Holdings USA, Inc. Devon Financing Co. LLC 7.875 9/30/2031 3,345,000 4,741,734 0.030 Wells Fargo & Co. 0.805 5/19/2025 4,715,000 4,735,129 0.030 AbbVie, Inc. 4.850 6/15/2044 3,702,000 4,730,057 0.030 Fortis, Inc. 3.055 10/4/2026 4,372,000 4,722,940 0.030 Sabine Pass Liquefaction LLC 5.875 6/30/2026 4,000,000 4,722,539 0.030 Apple, Inc. 2.950 9/11/2049 4,545,000 4,720,803 0.030 Duke University 2.832 10/1/2055 4,495,000 4,715,527 0.030 Ukraine Government International Bond 7.750 9/1/2022 4,500,000 4,696,560 0.030 Russian Foreign Bond - Eurobond 1.850 11/20/2032 4,000,000 4,694,979 0.030 Southern California Edison Co. 3.650 2/1/2050 4,565,000 4,646,385 0.029 BP Capital Markets America, Inc. 2.939 6/4/2051 4,750,000 4,643,964 0.029

Page 15 of 34 HARTFORD FUNDS 08.31.21(unaudited) Hartford Balanced Income Fund

Full Portfolio Holdings* as of August 31, 2021 % of Security Coupon Maturity Shares/Par Market Value Net Assets NGPL PipeCo LLC 3.250 7/15/2031 4,490,000 4,638,358 0.029 Cigna Corp. 3.250 4/15/2025 4,305,000 4,635,082 0.029 Invesco Government & Agency Portfolio, 0.026 9/1/2021 4,627,630 4,627,630 0.029 Institutional Class Ukraine Government International Bond 7.375 9/25/2032 4,330,000 4,625,219 0.029 General Motors Financial Co., Inc. 1.250 1/8/2026 4,650,000 4,619,433 0.029 FedEx Corp. 4.100 2/1/2045 4,000,000 4,615,268 0.029 McDonald's Corp. 3.625 9/1/2049 4,110,000 4,611,869 0.029 Crown Finance U.S., Inc. 3.500 2/28/2025 5,922,576 4,608,179 0.029 Colombia Government International Bond 3.250 4/22/2032 4,705,000 4,593,162 0.029 McDonald's Corp. 4.600 5/26/2045 3,615,000 4,573,796 0.029 Discovery Communications LLC 4.650 5/15/2050 3,846,000 4,558,250 0.029 CVS Health Corp. 5.125 7/20/2045 3,455,000 4,555,280 0.029 Croatia Government International Bond 1.500 6/17/2031 3,595,000 4,547,830 0.029 Credit Suisse Group AG 6.250 12/18/2024 4,160,000 4,518,800 0.028 Mastercard, Inc. 2.950 3/15/2051 4,270,000 4,510,368 0.028 Perusahaan Listrik Negara PT 6.150 5/21/2048 3,525,000 4,483,800 0.028 Republic Services, Inc. 0.875 11/15/2025 4,515,000 4,476,459 0.028 Microsoft Corp. 3.500 2/12/2035 3,805,000 4,474,046 0.028 Mexico Government International Bond 4.750 4/27/2032 3,860,000 4,472,080 0.028 BP Capital Markets America, Inc. 3.633 4/6/2030 3,945,000 4,455,885 0.028 Suncor Energy, Inc. 4.000 11/15/2047 3,955,000 4,455,099 0.028 Alcon Finance Corp. 2.600 5/27/2030 4,300,000 4,440,791 0.028 Altice France S.A. 8.125 2/1/2027 4,075,000 4,426,469 0.028 AT&T, Inc. 3.300 2/1/2052 4,450,000 4,425,721 0.028 APX Group, Inc. 7.625 9/1/2023 4,340,000 4,422,460 0.028 Bausch Health Cos., Inc. 5.000 1/30/2028 4,635,000 4,420,631 0.028 Boeing Co. 5.705 5/1/2040 3,415,000 4,415,971 0.028 Raytheon Technologies Corp. 4.625 11/16/2048 3,425,000 4,414,007 0.028 Truist Financial Corp. 1.887 6/7/2029 4,360,000 4,413,608 0.028 Steel Dynamics, Inc. 2.800 12/15/2024 4,159,000 4,382,700 0.028 Service Properties Trust 7.500 9/15/2025 3,875,000 4,376,581 0.028 Berkshire Hathaway Finance Corp. 4.400 5/15/2042 3,460,000 4,360,826 0.027 Acrisure LLC / Acrisure Finance, Inc. 7.000 11/15/2025 4,280,000 4,360,250 0.027 SS&C Technologies, Inc. 5.500 9/30/2027 4,095,000 4,336,400 0.027 Cinemark USA, Inc. 5.250 7/15/2028 4,560,000 4,332,000 0.027 ONEOK, Inc. 3.400 9/1/2029 4,025,000 4,328,904 0.027 Lennox International, Inc. 1.700 8/1/2027 4,285,000 4,310,789 0.027 Sempra Energy 3.400 2/1/2028 3,938,000 4,305,973 0.027 Jacobs Entertainment, Inc. 7.875 2/1/2024 4,110,000 4,294,950 0.027 Xerox Corp. 4.375 3/15/2023 4,050,000 4,241,160 0.027 Petroleos Mexicanos 7.690 1/23/2050 4,415,000 4,240,166 0.027 Brazilian Government International Bond 4.750 1/14/2050 4,475,000 4,237,825 0.027 Sprint Corp. 7.875 9/15/2023 3,725,000 4,220,239 0.027

Page 16 of 34 HARTFORD FUNDS 08.31.21(unaudited) Hartford Balanced Income Fund

Full Portfolio Holdings* as of August 31, 2021 % of Security Coupon Maturity Shares/Par Market Value Net Assets Emirate of Dubai Government International 3.900 9/9/2050 4,395,000 4,197,225 0.026 Bonds Imola Merger Corp. 4.750 5/15/2029 4,040,000 4,181,400 0.026 Marsh & McLennan Cos., Inc. 4.050 10/15/2023 3,900,000 4,154,422 0.026 Home Depot, Inc. 3.500 9/15/2056 3,627,000 4,140,115 0.026 Royalty Pharma plc 2.150 9/2/2031 4,220,000 4,117,419 0.026 Duke Energy Carolinas LLC 5.300 2/15/2040 3,000,000 4,111,690 0.026 Anheuser-Busch InBev Worldwide, Inc. 4.375 4/15/2038 3,440,000 4,102,819 0.026 Citigroup, Inc. 3.200 10/21/2026 3,770,000 4,101,659 0.026 Bristol-Myers Squibb Co. 1.125 11/13/2027 4,125,000 4,093,297 0.026 Citigroup, Inc. 2.666 1/29/2031 3,930,000 4,084,311 0.026 MPLX L.P. 4.000 2/15/2025 3,750,000 4,083,836 0.026 1011778 BC ULC / New Red Finance, Inc. 4.375 1/15/2028 4,020,000 4,080,300 0.026 PacifiCorp 4.100 2/1/2042 3,500,000 4,063,082 0.026 Brighthouse Financial Global Funding 1.550 5/24/2026 3,995,000 4,038,732 0.025 Hess Corp. 7.125 3/15/2033 2,980,000 4,023,620 0.025 VEREIT Operating Partnership L.P. 3.400 1/15/2028 3,675,000 4,013,958 0.025 Guardian Life Global Funding 1.250 5/13/2026 3,980,000 4,000,534 0.025 Simon Property Group L.P. 3.250 9/13/2049 3,885,000 3,987,280 0.025 Caesars Resort Collection LLC / CRC Finco, 5.250 10/15/2025 3,900,000 3,955,380 0.025 Inc. Time Warner Cable LLC 6.750 6/15/2039 2,825,000 3,943,367 0.025 Fidelity National Information Services, Inc. 3.100 3/1/2041 3,780,000 3,933,083 0.025 Sempra Energy 4.000 2/1/2048 3,480,000 3,931,900 0.025 Citibank NA 0.070 9/1/2021 3,920,798 3,920,798 0.025 Wells Fargo & Co. 4.900 11/17/2045 3,026,000 3,917,440 0.025 Panama Notas del Tesoro 3.750 4/17/2026 3,615,000 3,904,200 0.025 Valero Energy Corp. 4.350 6/1/2028 3,460,000 3,901,807 0.025 Scripps Escrow, Inc. 5.875 7/15/2027 3,800,000 3,900,852 0.025 Continental Resources, Inc. 4.375 1/15/2028 3,470,000 3,895,075 0.025 Sutter Health 3.161 8/15/2040 3,645,000 3,883,057 0.024 Duke Energy Carolinas LLC 3.875 3/15/2046 3,305,000 3,873,090 0.024 T-Mobile USA, Inc. 4.500 4/15/2050 3,215,000 3,870,313 0.024 Aon plc 3.875 12/15/2025 3,480,000 3,857,103 0.024 Broadcom Corp. / Broadcom Cayman 3.500 1/15/2028 3,545,000 3,856,158 0.024 Finance Ltd. Gilead Sciences, Inc. 2.600 10/1/2040 3,965,000 3,854,566 0.024 Bank of America Corp. 3.004 12/20/2023 3,733,000 3,854,225 0.024 Humana, Inc. 3.850 10/1/2024 3,555,000 3,852,602 0.024 CSC Holdings LLC 6.500 2/1/2029 3,480,000 3,841,050 0.024 Equinor ASA 3.625 4/6/2040 3,365,000 3,839,214 0.024 PNC Bank NA 2.700 10/22/2029 3,600,000 3,837,820 0.024 Equinor ASA 2.375 5/22/2030 3,685,000 3,831,158 0.024 Bank of America Corp. 4.244 4/24/2038 3,225,000 3,825,585 0.024 LD Holdings Group LLC 6.500 11/1/2025 3,740,000 3,814,800 0.024 goeasy Ltd. 5.375 12/1/2024 3,675,000 3,785,250 0.024

Page 17 of 34 HARTFORD FUNDS 08.31.21(unaudited) Hartford Balanced Income Fund

Full Portfolio Holdings* as of August 31, 2021 % of Security Coupon Maturity Shares/Par Market Value Net Assets Duke Energy Carolinas LLC 3.750 6/1/2045 3,270,000 3,768,563 0.024 Adient Global Holdings Ltd. 4.875 8/15/2026 3,665,000 3,765,788 0.024 Enact Holdings, Inc. 6.500 8/15/2025 3,470,000 3,747,600 0.024 Sprint Corp. 7.125 6/15/2024 3,253,000 3,740,950 0.024 Duquesne Light Holdings, Inc. 2.532 10/1/2030 3,755,000 3,736,661 0.024 Oracle Corp. 4.000 11/15/2047 3,385,000 3,731,945 0.023 DT Midstream, Inc. 4.125 6/15/2029 3,630,000 3,720,750 0.023 HCA, Inc. 5.125 6/15/2039 2,950,000 3,713,673 0.023 Johnson Controls International plc 4.625 7/2/2044 2,971,000 3,696,612 0.023 MajorDrive Holdings LLC 6.375 6/1/2029 3,800,000 3,694,588 0.023 Home Depot, Inc. 4.500 12/6/2048 2,815,000 3,692,619 0.023 American Water Capital Corp. 3.450 5/1/2050 3,365,000 3,688,530 0.023 Apple, Inc. 4.250 2/9/2047 2,895,000 3,652,508 0.023 Presidio Holdings, Inc. 4.875 2/1/2027 3,526,000 3,649,410 0.023 United Wholesale Mortgage LLC 5.500 4/15/2029 3,705,000 3,630,900 0.023 Brazilian Government International Bond 3.750 9/12/2031 3,660,000 3,610,590 0.023 Ziggo B.V. 5.500 1/15/2027 3,493,000 3,610,330 0.023 GE Capital Funding LLC 4.550 5/15/2032 3,000,000 3,603,192 0.023 Edison International 2.400 9/15/2022 3,542,000 3,601,131 0.023 Walt Disney Co. 6.400 12/15/2035 2,440,000 3,599,872 0.023 U.S. Treasury Bonds 1.125 8/15/2040 4,055,000 3,597,862 0.023 FirstEnergy Transmission LLC 5.450 7/15/2044 2,790,000 3,588,397 0.023 Titan Holdings II B.V. 5.125 7/15/2029 2,990,000 3,587,920 0.023 Intel Corp. 4.100 5/11/2047 2,976,000 3,584,575 0.023 Microsoft Corp. 3.450 8/8/2036 3,045,000 3,563,176 0.022 CVS Health Corp. 3.000 8/15/2026 3,280,000 3,541,488 0.022 Peruvian Government International Bond 2.783 1/23/2031 3,450,000 3,521,484 0.022 Bausch Health Cos., Inc. 5.000 2/15/2029 3,760,000 3,515,600 0.022 AbbVie, Inc. 4.625 10/1/2042 2,840,000 3,513,001 0.022 Northrop Grumman Corp. 3.250 1/15/2028 3,200,000 3,497,973 0.022 Ford Motor Credit Co. LLC 4.542 8/1/2026 3,200,000 3,476,000 0.022 Wachovia Corp. 5.500 8/1/2035 2,655,000 3,474,034 0.022 Colombia Government International Bond 5.625 2/26/2044 3,115,000 3,473,505 0.022 Valero Energy Corp. 4.000 4/1/2029 3,130,000 3,463,025 0.022 North Macedonia Government International 1.625 3/10/2028 2,935,000 3,462,869 0.022 Bond Ladder Capital Finance Holdings LLLP / 4.250 2/1/2027 3,435,000 3,452,175 0.022 Ladder Capital Finance Corp. Novelis Corp. 4.750 1/30/2030 3,230,000 3,441,969 0.022 Virginia Electric and Power Co. 2.450 12/15/2050 3,690,000 3,434,190 0.022 CHS/Community Health Systems, Inc. 6.625 2/15/2025 3,255,000 3,421,420 0.022 Duke Energy Progress LLC 4.375 3/30/2044 2,730,000 3,419,897 0.022 Anthem, Inc. 3.500 8/15/2024 3,175,000 3,408,828 0.021 Eli Lilly & Co. 2.500 9/15/2060 3,655,000 3,387,691 0.021 General Electric Co. 4.250 5/1/2040 2,845,000 3,385,861 0.021

Page 18 of 34 HARTFORD FUNDS 08.31.21(unaudited) Hartford Balanced Income Fund

Full Portfolio Holdings* as of August 31, 2021 % of Security Coupon Maturity Shares/Par Market Value Net Assets Intercontinental Exchange, Inc. 2.650 9/15/2040 3,470,000 3,377,542 0.021 Pfizer, Inc. 4.000 3/15/2049 2,725,000 3,363,879 0.021 Anthem, Inc. 3.300 1/15/2023 3,235,000 3,362,091 0.021 Silgan Holdings, Inc. 2.250 6/1/2028 2,830,000 3,359,902 0.021 PennyMac Financial Services, Inc. 5.375 10/15/2025 3,245,000 3,357,861 0.021 Angolan Government International Bond 8.000 11/26/2029 3,180,000 3,345,742 0.021 Oman Government International Bond 5.375 3/8/2027 3,140,000 3,320,833 0.021 1011778 BC ULC / New Red Finance, Inc. 3.500 2/15/2029 3,330,000 3,313,350 0.021 Credit Suisse Group AG 3.091 5/14/2032 3,155,000 3,292,021 0.021 Anthem, Inc. 2.375 1/15/2025 3,145,000 3,290,854 0.021 Potomac Electric Power Co. 4.150 3/15/2043 2,700,000 3,287,048 0.021 Bayer U.S. Finance LLC 4.200 7/15/2034 2,900,000 3,279,476 0.021 Occidental Petroleum Corp. 3.400 4/15/2026 3,190,000 3,277,725 0.021 Barclays plc 2.667 3/10/2032 3,220,000 3,277,494 0.021 MPLX L.P. 4.900 4/15/2058 2,770,000 3,276,269 0.021 Avantor Funding, Inc. 4.625 7/15/2028 3,090,000 3,267,366 0.021 T-Mobile USA, Inc. 2.625 4/15/2026 3,175,000 3,262,313 0.021 Truist Bank 2.250 3/11/2030 3,180,000 3,260,108 0.021 MidAmerican Energy Co. 4.400 10/15/2044 2,598,000 3,258,728 0.021 Southern Co. 3.250 7/1/2026 3,000,000 3,252,924 0.020 Valero Energy Partners L.P. 4.500 3/15/2028 2,870,000 3,249,210 0.020 General Motors Co. 6.125 10/1/2025 2,745,000 3,236,233 0.020 Romanian Government International Bond 3.875 10/29/2035 2,336,000 3,229,398 0.020 Antero Midstream Partners L.P. / Antero 5.750 1/15/2028 3,100,000 3,227,875 0.020 Midstream Finance Corp. Brixmor Operating Partnership L.P. 2.500 8/16/2031 3,195,000 3,212,781 0.020 New York Life Insurance Co. 3.750 5/15/2050 2,775,000 3,199,612 0.020 Morgan Stanley 3.700 10/23/2024 2,935,000 3,196,887 0.020 Frontier Communications Holdings LLC 6.750 5/1/2029 2,985,000 3,194,547 0.020 Enterprise Products Operating LLC 4.250 2/15/2048 2,760,000 3,194,130 0.020 Credit Suisse Group Funding Guernsey Ltd. 3.800 9/15/2022 3,080,000 3,188,881 0.020 Sutter Health 1.321 8/15/2025 3,150,000 3,185,149 0.020 Ashton Woods USA LLC / Ashton Woods 6.625 1/15/2028 2,990,000 3,176,875 0.020 Finance Co. CHS/Community Health Systems, Inc. 4.750 2/15/2031 3,100,000 3,162,341 0.020 Alcon Finance Corp. 3.800 9/23/2049 2,785,000 3,161,626 0.020 Walmart, Inc. 3.950 6/28/2038 2,600,000 3,153,853 0.020 Occidental Petroleum Corp. 3.000 2/15/2027 3,145,000 3,152,863 0.020 UnitedHealth Group, Inc. 2.750 5/15/2040 3,065,000 3,148,067 0.020 Nielsen Finance LLC / Nielsen Finance Co. 4.500 7/15/2029 3,175,000 3,146,108 0.020 Owens-Brockway Glass Container, Inc. 5.875 8/15/2023 2,960,000 3,145,000 0.020 Meritor, Inc. 4.500 12/15/2028 3,080,000 3,141,600 0.020 Meituan 3.050 10/28/2030 3,314,000 3,139,669 0.020 Hungary Government International Bond 1.750 6/5/2035 2,460,000 3,133,387 0.020 Dun & Bradstreet Corp. 3.338 2/6/2026 3,143,942 3,118,413 0.020

Page 19 of 34 HARTFORD FUNDS 08.31.21(unaudited) Hartford Balanced Income Fund

Full Portfolio Holdings* as of August 31, 2021 % of Security Coupon Maturity Shares/Par Market Value Net Assets Apache Corp. 4.625 11/15/2025 2,880,000 3,116,765 0.020 FelCor Lodging L.P. 6.000 6/1/2025 3,045,000 3,111,990 0.020 Romanian Government International Bond 1.375 12/2/2029 2,635,000 3,110,817 0.020 Nexstar Broadcasting, Inc. 5.625 7/15/2027 2,930,000 3,110,781 0.020 Taylor Morrison Communities, Inc. 5.750 1/15/2028 2,735,000 3,083,713 0.019 Builders FirstSource, Inc. 5.000 3/1/2030 2,880,000 3,081,600 0.019 AmeriGas Partners L.P. / AmeriGas Finance 5.875 8/20/2026 2,738,000 3,080,250 0.019 Corp. UnitedHealth Group, Inc. 6.875 2/15/2038 1,981,000 3,079,066 0.019 Apple, Inc. 3.750 11/13/2047 2,600,000 3,069,562 0.019 EnLink Midstream LLC 5.625 1/15/2028 2,935,000 3,067,075 0.019 Lamar Media Corp. 3.750 2/15/2028 2,985,000 3,066,849 0.019 Aeropuerto Internacional de Tocumen S.A. 5.125 8/11/2061 2,897,000 3,059,956 0.019 Comcast Corp. 3.250 11/1/2039 2,810,000 3,057,713 0.019 Dominican Republic International Bond 5.300 1/21/2041 2,995,000 3,054,930 0.019 Arches Buyer, Inc. 4.250 6/1/2028 3,004,000 3,052,815 0.019 Williams Cos., Inc. 6.300 4/15/2040 2,224,000 3,048,725 0.019 Itau Unibanco Holding S.A. 2.900 1/24/2023 2,985,000 3,048,431 0.019 Owens-Brockway Glass Container, Inc. 6.375 8/15/2025 2,710,000 3,025,038 0.019 MPLX L.P. 5.200 3/1/2047 2,450,000 3,024,931 0.019 Signal Parent, Inc. 6.125 4/1/2029 3,127,000 3,017,555 0.019 S.C. Johnson & Son, Inc. 4.000 5/15/2043 2,520,000 3,015,431 0.019 Williams Scotsman International, Inc. 4.625 8/15/2028 2,903,000 3,011,863 0.019 B&G Foods, Inc. 5.250 9/15/2027 2,900,000 3,011,650 0.019 William Carter Co. 5.500 5/15/2025 2,865,000 3,008,250 0.019 Capital One Financial Corp. 3.800 1/31/2028 2,675,000 3,005,112 0.019 Post Holdings, Inc. 5.750 3/1/2027 2,865,000 2,998,796 0.019 MGIC Investment Corp. 5.250 8/15/2028 2,795,000 2,990,650 0.019 Senegal Government International Bond 5.375 6/8/2037 2,460,000 2,972,034 0.019 COMCAST CORP. 3.969 11/1/2047 2,520,000 2,960,111 0.019 YPF S.A. 8.500 3/23/2025 3,178,000 2,959,989 0.019 Telefonica Emisiones S.A. 4.665 3/6/2038 2,510,000 2,959,791 0.019 Saudi Arabian Oil Co. 2.250 11/24/2030 2,975,000 2,952,949 0.019 Home Point Capital, Inc. 5.000 2/1/2026 3,405,000 2,945,325 0.019 Shell International Finance B.V. 4.550 8/12/2043 2,320,000 2,936,097 0.018 Gabon Government International Bond 6.950 6/16/2025 2,645,000 2,916,901 0.018 Republic of Armenia International Bond 3.600 2/2/2031 3,070,000 2,916,254 0.018 PetSmart, Inc. 4.750 2/15/2028 2,800,000 2,915,500 0.018 Wells Fargo & Co. 4.750 12/7/2046 2,280,000 2,900,549 0.018 Angolan Government International Bond 9.375 5/8/2048 2,720,000 2,889,706 0.018 Welltower, Inc. 4.000 6/1/2025 2,620,000 2,880,362 0.018 JP Morgan Chase & Co. 2.956 5/13/2031 2,725,000 2,878,934 0.018 Tallgrass Energy Partners L.P. / Tallgrass 6.000 3/1/2027 2,770,000 2,866,950 0.018 Energy Finance Corp. Eversource Energy 2.800 5/1/2023 2,775,000 2,866,020 0.018

Page 20 of 34 HARTFORD FUNDS 08.31.21(unaudited) Hartford Balanced Income Fund

Full Portfolio Holdings* as of August 31, 2021 % of Security Coupon Maturity Shares/Par Market Value Net Assets Frontier Communications Holdings LLC 5.875 11/1/2029 2,815,029 2,862,153 0.018 Altice France S.A. 5.125 7/15/2029 2,825,000 2,856,132 0.018 Alcon Finance Corp. 3.000 9/23/2029 2,670,000 2,844,394 0.018 Ford Motor Co. 8.500 4/21/2023 2,560,000 2,832,000 0.018 Wynn Las Vegas LLC / Wynn Las Vegas 5.500 3/1/2025 2,660,000 2,819,600 0.018 Capital Corp. Dominican Republic International Bond 6.400 6/5/2049 2,570,000 2,814,176 0.018 M/I Homes, Inc. 3.950 2/15/2030 2,780,000 2,809,273 0.018 Performance Food Group, Inc. 5.500 10/15/2027 2,690,000 2,800,963 0.018 Senegal Government International Bond 6.750 3/13/2048 2,683,000 2,789,064 0.018 Ashtead Capital, Inc. 4.000 5/1/2028 2,620,000 2,782,734 0.018 Gray Oak Pipeline LLC 2.000 9/15/2023 2,730,000 2,782,468 0.018 salesforce.com, Inc. 1.500 7/15/2028 2,760,000 2,771,154 0.017 Equinix, Inc. 2.000 5/15/2028 2,730,000 2,769,452 0.017 TransDigm, Inc. 5.500 11/15/2027 2,700,000 2,764,125 0.017 Tencent Holdings Ltd. 3.975 4/11/2029 2,490,000 2,761,410 0.017 Ford Motor Co. 0.010 3/15/2026 2,654,000 2,753,755 0.017 Pacific Gas and Electric Co. 3.950 12/1/2047 2,875,000 2,726,966 0.017 Petrobras Global Finance B.V. 6.750 6/3/2050 2,345,000 2,711,781 0.017 Constellium SE 5.875 2/15/2026 2,640,000 2,709,432 0.017 Herc Holdings, Inc. 5.500 7/15/2027 2,570,000 2,709,294 0.017 Aon plc 4.250 12/12/2042 2,300,000 2,709,179 0.017 Raytheon Technologies Corp. 6.125 7/15/2038 1,890,000 2,697,028 0.017 BAE Systems plc 3.400 4/15/2030 2,455,000 2,691,883 0.017 Asurion LLC 3.085 11/3/2024 2,737,694 2,689,784 0.017 Equinix, Inc. 1.800 7/15/2027 2,645,000 2,685,561 0.017 North Macedonia Government International 3.675 6/3/2026 2,045,000 2,679,061 0.017 Bond Cimarex Energy Co. 3.900 5/15/2027 2,415,000 2,667,313 0.017 Colombia Government International Bond 6.125 1/18/2041 2,285,000 2,666,664 0.017 Jordan Government International Bond 6.125 1/29/2026 2,425,000 2,643,978 0.017 Bausch Health Cos., Inc. 7.000 1/15/2028 2,550,000 2,642,731 0.017 Berry Global, Inc. 5.625 7/15/2027 2,510,000 2,641,775 0.017 Post Holdings, Inc. 5.625 1/15/2028 2,495,000 2,625,988 0.017 Air Products and Chemicals, Inc. 1.500 10/15/2025 2,560,000 2,625,914 0.017 Energy Transfer Operating L.P. 4.900 3/15/2035 2,275,000 2,617,925 0.016 Exelon Corp. 4.050 4/15/2030 2,245,000 2,574,817 0.016 Bath & Body Works, Inc. 5.250 2/1/2028 2,295,000 2,570,389 0.016 Go Daddy Operating Co. LLC 3.500 3/1/2029 2,590,000 2,557,625 0.016 Morocco Government International Bond 1.500 11/27/2031 2,288,000 2,542,976 0.016 Bath & Body Works, Inc. 6.625 10/1/2030 2,190,000 2,523,975 0.016 Egypt Government International Bond 7.500 2/16/2061 2,660,000 2,520,988 0.016 Black Knight InfoServ LLC 3.625 9/1/2028 2,485,000 2,516,063 0.016 Panama Government International Bond 4.300 4/29/2053 2,243,000 2,509,379 0.016 BRF S.A. 4.875 1/24/2030 2,425,000 2,505,559 0.016

Page 21 of 34 HARTFORD FUNDS 08.31.21(unaudited) Hartford Balanced Income Fund

Full Portfolio Holdings* as of August 31, 2021 % of Security Coupon Maturity Shares/Par Market Value Net Assets DISH DBS Corp. 5.125 6/1/2029 2,510,000 2,497,400 0.016 Russian Foreign Bond - Eurobond 4.750 5/27/2026 2,200,000 2,495,240 0.016 NiSource, Inc. 3.490 5/15/2027 2,260,000 2,493,630 0.016 Amgen, Inc. 1.900 2/21/2025 2,400,000 2,480,644 0.016 Caesars Entertainment, Inc. 6.250 7/1/2025 2,345,000 2,478,548 0.016 HCA, Inc. 7.500 11/15/2095 1,627,000 2,473,040 0.016 Arches Buyer, Inc. 6.125 12/1/2028 2,395,000 2,471,951 0.016 S.C. Johnson & Son, Inc. 4.750 10/15/2046 1,840,000 2,471,629 0.016 Magic Mergeco, Inc. 5.250 5/1/2028 2,400,000 2,463,000 0.016 Duke Energy Progress LLC 4.100 5/15/2042 2,060,000 2,455,910 0.015 Saudi Arabian Oil Co. 1.625 11/24/2025 2,425,000 2,449,250 0.015 Centrais Eletricas Brasileiras S.A. 4.625 2/4/2030 2,405,000 2,447,088 0.015 Ovintiv Exploration, Inc. 5.625 7/1/2024 2,180,000 2,429,623 0.015 JP Morgan Chase & Co. 4.023 12/5/2024 2,251,000 2,417,374 0.015 Coca-Cola Co. 3.000 3/5/2051 2,270,000 2,417,301 0.015 Pacific Gas and Electric Co. 4.500 7/1/2040 2,395,000 2,415,281 0.015 Raytheon Technologies Corp. 4.500 6/1/2042 1,925,000 2,406,778 0.015 Equinor ASA 3.700 4/6/2050 2,055,000 2,399,103 0.015 Benin Government International Bond 4.950 1/22/2035 2,030,000 2,379,618 0.015 DISH DBS Corp. 7.375 7/1/2028 2,210,000 2,378,242 0.015 Crown Americas LLC / Crown Americas 4.750 2/1/2026 2,283,000 2,368,613 0.015 Capital Corp. Bank of America Corp. 5.000 1/21/2044 1,760,000 2,364,370 0.015 STL Holding Co. LLC 7.500 2/15/2026 2,230,000 2,363,800 0.015 PVH Corp. 4.625 7/10/2025 2,120,000 2,357,419 0.015 Romanian Government International Bond 2.000 4/14/2033 2,005,000 2,356,519 0.015 Duke Energy Progress LLC 4.150 12/1/2044 1,940,000 2,355,379 0.015 Westinghouse Air Brake Technologies Corp. 3.200 6/15/2025 2,205,000 2,352,093 0.015 BNP Paribas S.A. 1.323 1/13/2027 2,365,000 2,345,847 0.015 ViacomCBS, Inc. 4.950 5/19/2050 1,845,000 2,339,116 0.015 DISH DBS Corp. 5.875 11/15/2024 2,170,000 2,332,750 0.015 Time Warner Entertainment Co., L.P. 8.375 7/15/2033 1,565,000 2,331,224 0.015 Oracle Corp. 3.850 7/15/2036 2,100,000 2,329,601 0.015 Adient Global Holdings Ltd. 3.500 8/15/2024 1,930,000 2,326,727 0.015 OneMain Finance Corp. 4.000 9/15/2030 2,320,000 2,324,965 0.015 Skyworks Solutions, Inc. 1.800 6/1/2026 2,285,000 2,322,137 0.015 Interchile S.A. 4.500 6/30/2056 2,190,000 2,320,743 0.015 San Diego Gas & Electric Co. 3.320 4/15/2050 2,155,000 2,319,210 0.015 Southern California Edison Co. 5.950 2/1/2038 1,775,000 2,309,916 0.015 Pakistan Government International Bond 6.875 12/5/2027 2,255,000 2,305,738 0.015 Teledyne Technologies, Inc. 1.600 4/1/2026 2,270,000 2,298,398 0.014 G-III Apparel Group Ltd. 7.875 8/15/2025 2,120,000 2,292,250 0.014 Wynn Las Vegas LLC / Wynn Las Vegas 5.250 5/15/2027 2,180,000 2,289,000 0.014 Capital Corp. Western Digital Corp. 1.500 2/1/2024 2,226,000 2,272,236 0.014

Page 22 of 34 HARTFORD FUNDS 08.31.21(unaudited) Hartford Balanced Income Fund

Full Portfolio Holdings* as of August 31, 2021 % of Security Coupon Maturity Shares/Par Market Value Net Assets Petrobras Global Finance B.V. 5.500 6/10/2051 2,265,000 2,262,169 0.014 Ford Motor Credit Co. LLC 5.125 6/16/2025 2,040,000 2,238,900 0.014 Perusahaan Listrik Negara PT 3.875 7/17/2029 2,075,000 2,222,844 0.014 Comcast Corp. 3.750 4/1/2040 1,925,000 2,210,518 0.014 FirstCash, Inc. 4.625 9/1/2028 2,125,000 2,209,809 0.014 T-Mobile USA, Inc. 2.050 2/15/2028 2,160,000 2,199,096 0.014 ACE Capital Trust II 9.700 4/1/2030 1,470,000 2,193,141 0.014 Middleby Corp. 1.000 9/1/2025 1,451,000 2,189,479 0.014 Bristol-Myers Squibb Co. 3.250 8/1/2042 2,000,000 2,185,749 0.014 Sherwin-Williams Co. 4.500 6/1/2047 1,740,000 2,177,396 0.014 Georgia Power Co. 3.700 1/30/2050 1,955,000 2,172,922 0.014 Anthem, Inc. 1.500 3/15/2026 2,115,000 2,149,747 0.014 AT&T, Inc. 3.900 3/11/2024 2,000,000 2,145,831 0.014 Brazilian Government International Bond 3.875 6/12/2030 2,135,000 2,140,551 0.013 Clean Harbors, Inc. 4.875 7/15/2027 2,042,000 2,137,933 0.013 Republic of Azerbaijan International Bond 3.500 9/1/2032 2,055,000 2,137,200 0.013 Apache Corp. 4.375 10/15/2028 1,975,000 2,131,005 0.013 Egypt Government International Bond 8.500 1/31/2047 2,030,000 2,130,891 0.013 Bioceanico Sovereign Certificate Ltd. 0.010 6/5/2034 2,764,412 2,114,775 0.013 Conagra Brands, Inc. 5.400 11/1/2048 1,545,000 2,101,029 0.013 Penske Truck Leasing Co. L.P. / PTL 2.700 11/1/2024 2,000,000 2,100,912 0.013 Finance Corp. United Rentals North America, Inc. 5.875 9/15/2026 2,035,000 2,096,864 0.013 Cellnex Telecom S.A. 1.500 1/16/2026 900,000 2,093,666 0.013 CCO Holdings LLC / CCO Holdings Capital 5.750 2/15/2026 2,030,000 2,088,363 0.013 Corp. Emera U.S. Finance L.P. 4.750 6/15/2046 1,755,000 2,085,255 0.013 Ford Motor Credit Co. LLC 3.350 11/1/2022 2,040,000 2,084,880 0.013 Discovery Communications LLC 4.000 9/15/2055 1,941,000 2,075,422 0.013 Port Auth of New York & New Jersey Rev 4.458 10/1/2062 1,510,000 2,075,294 0.013 Grupo Aval Ltd. 4.750 9/26/2022 2,015,000 2,071,319 0.013 Frontier Communications Parent, Inc. 0.000 70,071 2,063,591 0.013 Buckeye Partners L.P. 3.950 12/1/2026 1,997,000 2,061,303 0.013 Occidental Petroleum Corp. 3.200 8/15/2026 1,980,000 2,042,330 0.013 Panama Government International Bond 3.160 1/23/2030 1,910,000 2,021,620 0.013 Nasdaq, Inc. 3.850 6/30/2026 1,805,000 2,017,824 0.013 VEON Holdings B.V. 3.375 11/25/2027 1,980,000 2,014,650 0.013 Embarq Corp. 7.995 6/1/2036 1,905,000 2,005,013 0.013 Cheniere Energy, Inc. 4.625 10/15/2028 1,900,000 2,004,500 0.013 Ford Motor Credit Co. LLC 3.370 11/17/2023 1,940,000 2,002,080 0.013 Jordan Government International Bond 5.850 7/7/2030 1,885,000 1,988,675 0.013 Wells Fargo & Co. 5.375 11/2/2043 1,475,000 1,984,751 0.012 Empire Communities Corp. 7.000 12/15/2025 1,880,000 1,983,400 0.012 MARB BondCo plc 3.950 1/29/2031 2,025,000 1,975,236 0.012 Western Midstream Operating L.P. 6.500 2/1/2050 1,675,000 1,974,733 0.012

Page 23 of 34 HARTFORD FUNDS 08.31.21(unaudited) Hartford Balanced Income Fund

Full Portfolio Holdings* as of August 31, 2021 % of Security Coupon Maturity Shares/Par Market Value Net Assets SRS Distribution, Inc. 4.625 7/1/2028 1,915,000 1,973,408 0.012 Frontier Communications Holdings LLC 5.875 10/15/2027 1,850,000 1,971,337 0.012 Argentine Republic Government International 2.000 1/9/2038 4,797,161 1,967,604 0.012 Bond Open Text Corp. 3.875 2/15/2028 1,910,000 1,967,300 0.012 OCP S.A. 4.500 10/22/2025 1,804,000 1,949,583 0.012 Venture Global Calcasieu Pass LLC 3.875 8/15/2029 1,890,000 1,947,853 0.012 State Oil Co. of the Azerbaijan Republic 6.950 3/18/2030 1,570,000 1,946,800 0.012 International Business Machines Corp. 4.250 5/15/2049 1,545,000 1,929,743 0.012 Bausch Health Cos., Inc. 5.250 1/30/2030 2,050,000 1,927,000 0.012 Mexico Government International Bond 4.750 3/8/2044 1,702,000 1,910,682 0.012 Nationstar Mortgage Holdings, Inc. 5.125 12/15/2030 1,865,000 1,906,963 0.012 U.S. Treasury Notes 0.125 7/15/2023 1,905,000 1,902,842 0.012 Ivory Coast Government International Bond 6.875 10/17/2040 1,430,000 1,886,372 0.012 Enterprise Products Operating LLC 4.850 8/15/2042 1,516,000 1,872,672 0.012 Caesars Entertainment, Inc. 8.125 7/1/2027 1,685,000 1,862,431 0.012 Bausch Health Cos., Inc. 6.125 4/15/2025 1,818,000 1,858,905 0.012 Ivory Coast Government International Bond 4.875 1/30/2032 1,540,000 1,853,690 0.012 Banco de Credito del Peru 3.125 7/1/2030 1,840,000 1,839,264 0.012 Altice France S.A. 7.375 5/1/2026 1,768,000 1,835,131 0.012 Indonesia Government International Bond 5.250 1/8/2047 1,411,000 1,829,737 0.012 Mizrahi Tefahot Bank Ltd. 3.077 4/7/2031 1,800,000 1,818,936 0.011 Constellium SE 5.625 6/15/2028 1,716,000 1,814,670 0.011 BOC Aviation USA Corp. 1.625 4/29/2024 1,795,000 1,814,001 0.011 Sirius XM Radio, Inc. 4.000 7/15/2028 1,770,000 1,813,719 0.011 Romanian Government International Bond 3.375 2/8/2038 1,400,000 1,811,380 0.011 General Motors Co. 6.250 10/2/2043 1,325,000 1,809,443 0.011 1011778 BC ULC / New Red Finance, Inc. 3.875 1/15/2028 1,780,000 1,802,250 0.011 Frontier Communications Holdings LLC 5.000 5/1/2028 1,720,000 1,797,400 0.011 Banco do Brasil S.A. 4.750 3/20/2024 1,680,000 1,795,080 0.011 Yuzhou Group Holdings Co., Ltd. 7.700 2/20/2025 2,105,000 1,790,344 0.011 Pioneer Natural Resources Co. 0.250 5/15/2025 1,200,000 1,790,159 0.011 Bermuda Government International Bond 4.750 2/15/2029 1,525,000 1,788,368 0.011 EQT Corp. 3.900 10/1/2027 1,650,000 1,781,307 0.011 Massachusetts Mutual Life Insurance Co. 3.729 10/15/2070 1,625,000 1,771,166 0.011 Clearway Energy Operating LLC 3.750 2/15/2031 1,730,000 1,755,950 0.011 Macy's Retail Holdings LLC 5.875 4/1/2029 1,607,000 1,755,808 0.011 Bulgaria Government International Bond 1.375 9/23/2050 1,485,000 1,753,450 0.011 Cigna Corp. 3.200 3/15/2040 1,655,000 1,742,843 0.011 Ooredoo International Finance Ltd. 2.625 4/8/2031 1,690,000 1,740,700 0.011 American Tower Corp. 2.950 1/15/2051 1,795,000 1,737,154 0.011 HCA, Inc. 5.375 9/1/2026 1,500,000 1,730,325 0.011 Navient Corp. 6.500 6/15/2022 1,666,000 1,728,475 0.011 DraftKings, Inc. 0.010 3/15/2028 1,804,000 1,728,136 0.011

Page 24 of 34 HARTFORD FUNDS 08.31.21(unaudited) Hartford Balanced Income Fund

Full Portfolio Holdings* as of August 31, 2021 % of Security Coupon Maturity Shares/Par Market Value Net Assets Sugarhouse HSP Gaming Prop Mezz L.P. / 5.875 5/15/2025 1,725,000 1,723,965 0.011 Sugarhouse HSP Gaming Finance Corp. Hill-Rom Holdings, Inc. 4.375 9/15/2027 1,640,000 1,717,900 0.011 DISH DBS Corp. 5.000 3/15/2023 1,645,000 1,716,969 0.011 Talen Energy Supply LLC 6.625 1/15/2028 2,000,000 1,716,200 0.011 Constellation Brands, Inc. 3.150 8/1/2029 1,585,000 1,713,007 0.011 Open Text Holdings, Inc. 4.125 2/15/2030 1,625,000 1,710,881 0.011 Mauser Packaging Solutions Holding Co. 7.250 4/15/2025 1,725,000 1,705,249 0.011 Bank of America Corp. 2.884 10/22/2030 1,600,000 1,694,927 0.011 Altice France Holding S.A. 8.000 5/15/2027 1,330,000 1,676,887 0.011 Trivium Packaging Finance B.V. 5.500 8/15/2026 1,590,000 1,675,351 0.011 AIA Group Ltd. 3.200 9/16/2040 1,615,000 1,670,638 0.011 EQM Midstream Partners L.P. 6.500 7/15/2048 1,500,000 1,665,525 0.010 Walt Disney Co. 5.400 10/1/2043 1,177,000 1,656,838 0.010 First Student Bidco, Inc. / First Transit 4.000 7/31/2029 1,660,000 1,647,318 0.010 Parent, Inc. Suncor Energy, Inc. 3.750 3/4/2051 1,510,000 1,645,207 0.010 Sensata Technologies B.V. 5.625 11/1/2024 1,475,000 1,640,938 0.010 VEON Holdings B.V. 4.000 4/9/2025 1,555,000 1,637,882 0.010 NMG Holding Co., Inc. / Neiman Marcus 7.125 4/1/2026 1,545,000 1,635,769 0.010 Group LLC Hub International Ltd. 2.875 4/25/2025 1,653,850 1,634,136 0.010 Credit Acceptance Corp. 5.125 12/31/2024 1,585,000 1,632,550 0.010 Brazilian Government International Bond 5.625 2/21/2047 1,520,000 1,619,484 0.010 Kallpa Generacion S.A. 4.875 5/24/2026 1,520,000 1,618,876 0.010 Xerox Holdings Corp. 5.000 8/15/2025 1,525,000 1,608,398 0.010 Senegal Government International Bond 6.250 5/23/2033 1,495,000 1,608,321 0.010 Nucor Corp. 2.000 6/1/2025 1,545,000 1,600,725 0.010 Galaxy Pipeline Assets Bidco Ltd. 2.625 3/31/2036 1,585,000 1,583,349 0.010 DISH DBS Corp. 5.875 7/15/2022 1,525,000 1,577,125 0.010 Stericycle, Inc. 5.375 7/15/2024 1,535,000 1,573,375 0.010 Country Garden Holdings Co., Ltd. 3.300 1/12/2031 1,615,000 1,571,527 0.010 Royalty Pharma plc 3.550 9/2/2050 1,570,000 1,571,355 0.010 Hormel Foods Corp. 1.700 6/3/2028 1,530,000 1,555,733 0.010 Sabine Pass Liquefaction LLC 5.000 3/15/2027 1,345,000 1,553,483 0.010 Vertical U.S Newco, Inc. 5.250 7/15/2027 1,470,000 1,553,158 0.010 Apple, Inc. 3.850 5/4/2043 1,300,000 1,549,431 0.010 Mexico City Airport Trust 4.250 10/31/2026 1,430,000 1,549,419 0.010 Honduras Government International Bond 5.625 6/24/2030 1,455,000 1,544,497 0.010 Venture Global Calcasieu Pass LLC 4.125 8/15/2031 1,470,000 1,543,500 0.010 Huarong Finance Co., Ltd. 3.625 9/30/2030 1,685,000 1,541,775 0.010 Petroleos Mexicanos 5.625 1/23/2046 1,880,000 1,531,862 0.010 Discover Bank 3.350 2/6/2023 1,470,000 1,527,636 0.010 PennyMac Financial Services, Inc. 4.250 2/15/2029 1,585,000 1,525,563 0.010 EQM Midstream Partners L.P. 4.500 1/15/2029 1,505,000 1,523,813 0.010 Canadian Natural Resources Ltd. 3.900 2/1/2025 1,389,000 1,507,124 0.009

Page 25 of 34 HARTFORD FUNDS 08.31.21(unaudited) Hartford Balanced Income Fund

Full Portfolio Holdings* as of August 31, 2021 % of Security Coupon Maturity Shares/Par Market Value Net Assets TPC Group, Inc. 10.500 8/1/2024 1,625,000 1,503,125 0.009 Shimao Group Holdings Ltd. 3.450 1/11/2031 1,605,000 1,500,675 0.009 Acrisure LLC / Acrisure Finance, Inc. 10.125 8/1/2026 1,335,000 1,498,538 0.009 Romanian Government International Bond 2.625 12/2/2040 1,285,000 1,495,947 0.009 FirstEnergy Corp. 4.400 7/15/2027 1,330,000 1,493,045 0.009 Presidio Holdings, Inc. 8.250 2/1/2028 1,375,000 1,492,494 0.009 OCP S.A. 3.750 6/23/2031 1,473,000 1,490,049 0.009 Ovintiv Exploration, Inc. 5.375 1/1/2026 1,310,000 1,481,235 0.009 Genworth Holdings, Inc. 4.900 8/15/2023 1,480,000 1,466,070 0.009 Sunoco L.P. / Sunoco Finance Corp. 5.500 2/15/2026 1,425,000 1,464,059 0.009 IQVIA, Inc. 5.000 5/15/2027 1,390,000 1,452,453 0.009 Bank Leumi Le-Israel BM 3.275 1/29/2031 1,410,000 1,443,488 0.009 Western Digital Corp. 4.750 2/15/2026 1,293,000 1,443,195 0.009 Targa Resources Partners L.P. / Targa 4.000 1/15/2032 1,375,000 1,435,156 0.009 Resources Partners Finance Corp. Occidental Petroleum Corp. 5.500 12/1/2025 1,285,000 1,432,775 0.009 Clarios Global L.P. 3.335 4/30/2026 1,449,303 1,432,390 0.009 Republic of Azerbaijan International Bond 4.750 3/18/2024 1,315,000 1,425,197 0.009 Ecopetrol S.A. 5.375 6/26/2026 1,290,000 1,422,741 0.009 Gabon Government International Bond 6.375 12/12/2024 1,323,480 1,420,523 0.009 Shake Shack, Inc. 0.010 3/1/2028 1,600,000 1,420,442 0.009 Times China Holdings Ltd. 6.200 3/22/2026 1,440,000 1,406,566 0.009 NVIDIA Corp. 3.700 4/1/2060 1,180,000 1,405,309 0.009 AbbVie, Inc. 4.700 5/14/2045 1,118,000 1,405,055 0.009 Bancolombia S.A. 3.000 1/29/2025 1,380,000 1,403,184 0.009 Banco do Brasil S.A. 4.625 1/15/2025 1,320,000 1,402,500 0.009 Credit Acceptance Corp. 6.625 3/15/2026 1,325,000 1,401,188 0.009 Bloomin' Brands, Inc. / OSI Restaurant 5.125 4/15/2029 1,340,000 1,395,111 0.009 Partners LLC Buckeye Partners L.P. 4.125 12/1/2027 1,360,000 1,394,000 0.009 OCP S.A. 5.125 6/23/2051 1,376,000 1,388,040 0.009 M/I Homes, Inc. 4.950 2/1/2028 1,325,000 1,387,938 0.009 Gtlk Europe Capital DAC 4.800 2/26/2028 1,300,000 1,385,124 0.009 Energy Transfer Operating L.P. 5.150 3/15/2045 1,190,000 1,379,885 0.009 Finance Department Government of Sharjah 3.625 3/10/2033 1,375,000 1,377,382 0.009 Ethiopia International Bond 6.625 12/11/2024 1,543,000 1,365,586 0.009 Industrial & Commercial Bank of China Ltd. 4.875 9/21/2025 1,205,000 1,349,716 0.008 Argentine Republic Government International 1.000 7/9/2029 3,299,015 1,348,736 0.008 Bond Russian Foreign Bond - Eurobond 4.250 6/23/2027 1,200,000 1,347,468 0.008 Magic Mergeco, Inc. 7.875 5/1/2029 1,305,000 1,344,737 0.008 KFC Holding Co. / Pizza Hut Holdings LLC / 4.750 6/1/2027 1,275,000 1,336,383 0.008 Taco Bell of America LLC Star Energy Geothermal Darajat II / Star 4.850 10/14/2038 1,210,000 1,335,538 0.008 Energy Geothermal Salak Israel Electric Corp. Ltd. 5.000 11/12/2024 1,195,000 1,330,728 0.008

Page 26 of 34 HARTFORD FUNDS 08.31.21(unaudited) Hartford Balanced Income Fund

Full Portfolio Holdings* as of August 31, 2021 % of Security Coupon Maturity Shares/Par Market Value Net Assets CCO Holdings LLC / CCO Holdings Capital 4.500 8/15/2030 1,270,000 1,326,972 0.008 Corp. TreeHouse Foods, Inc. 4.000 9/1/2028 1,375,000 1,325,294 0.008 NMI Holdings, Inc. 7.375 6/1/2025 1,170,000 1,323,563 0.008 Venezuela Government International Bond 9.250 5/7/2028 12,825,000 1,320,975 0.008 CDK Global, Inc. 5.250 5/15/2029 1,215,000 1,320,972 0.008 EQT Corp. 3.125 5/15/2026 1,285,000 1,320,338 0.008 Shell International Finance B.V. 4.375 5/11/2045 1,056,000 1,313,653 0.008 Penn National Gaming, Inc. 4.125 7/1/2029 1,315,000 1,313,356 0.008 Victors Merger Corp. 6.375 5/15/2029 1,320,000 1,310,100 0.008 Clearway Energy Operating LLC 4.750 3/15/2028 1,235,000 1,307,495 0.008 VTR Comunicaciones S.p.A. 5.125 1/15/2028 1,249,000 1,305,205 0.008 CHS/Community Health Systems, Inc. 5.625 3/15/2027 1,235,000 1,302,925 0.008 Tencent Holdings Ltd. 2.390 6/3/2030 1,305,000 1,302,680 0.008 Finance Department Government of Sharjah 4.375 3/10/2051 1,365,000 1,301,869 0.008 Jordan Government International Bond 4.950 7/7/2025 1,235,000 1,296,750 0.008 Apache Corp. 5.100 9/1/2040 1,163,000 1,293,838 0.008 Performance Food Group, Inc. 4.250 8/1/2029 1,285,000 1,289,356 0.008 Transocean, Inc. 6.800 3/15/2038 2,365,000 1,288,925 0.008 Leviathan Bond Ltd. 6.500 6/30/2027 1,165,000 1,283,667 0.008 Gabon Government International Bond 6.625 2/6/2031 1,265,000 1,281,951 0.008 Cinemark USA, Inc. 5.875 3/15/2026 1,285,000 1,278,575 0.008 VICI Properties L.P. / VICI Note Co., Inc. 4.250 12/1/2026 1,200,000 1,260,501 0.008 Energy Transfer Operating L.P. 5.350 5/15/2045 1,065,000 1,258,697 0.008 Ivory Coast Government International Bond 5.875 10/17/2031 975,000 1,255,911 0.008 Cheniere Energy Partners L.P. 4.500 10/1/2029 1,154,000 1,243,435 0.008 NuVasive, Inc. 0.375 3/15/2025 1,275,000 1,242,097 0.008 Genworth Holdings, Inc. 6.500 6/15/2034 1,200,000 1,215,000 0.008 BPCE S.A. 4.000 9/12/2023 1,135,000 1,211,454 0.008 Galaxy Pipeline Assets Bidco Ltd. 1.750 9/30/2027 1,190,000 1,208,700 0.008 AssuredPartners, Inc. 5.625 1/15/2029 1,200,000 1,207,776 0.008 Group 1 Automotive, Inc. 4.000 8/15/2028 1,180,000 1,200,650 0.008 Venezuela Government International Bond 9.000 5/7/2023 11,937,200 1,199,689 0.008 Brighthouse Financial Global Funding 1.000 4/12/2024 1,185,000 1,194,198 0.008 Indonesia Government International Bond 4.750 7/18/2047 980,000 1,190,371 0.007 Bharti Airtel International Netherlands B.V. 5.350 5/20/2024 1,085,000 1,189,259 0.007 American Builders & Contractors Supply Co., 4.000 1/15/2028 1,145,000 1,182,671 0.007 Inc. Perusahaan Perseroan Persero PT 5.250 5/15/2047 1,035,000 1,181,194 0.007 Perusahaan Listrik Negara EQM Midstream Partners L.P. 4.750 1/15/2031 1,150,000 1,167,250 0.007 Centrais Eletricas Brasileiras S.A. 5.750 10/27/2021 1,155,000 1,160,902 0.007 Taylor Morrison Communities, Inc. 5.125 8/1/2030 1,055,000 1,154,149 0.007 Venezuela Government International Bond 8.250 10/13/2024 11,205,000 1,154,115 0.007 Carnival Corp. 7.625 3/1/2026 995,000 1,143,644 0.007 Sensata Technologies B.V. 5.000 10/1/2025 1,020,000 1,140,227 0.007

Page 27 of 34 HARTFORD FUNDS 08.31.21(unaudited) Hartford Balanced Income Fund

Full Portfolio Holdings* as of August 31, 2021 % of Security Coupon Maturity Shares/Par Market Value Net Assets Mattel, Inc. 5.875 12/15/2027 1,040,000 1,134,900 0.007 Anglo American Capital plc 4.875 5/14/2025 1,001,000 1,128,966 0.007 AGFC Capital Trust I 1.876 1/15/2067 1,835,000 1,122,603 0.007 Occidental Petroleum Corp. 4.400 4/15/2046 1,098,000 1,118,588 0.007 Celulosa Arauco y Constitucion S.A. 5.150 1/29/2050 960,000 1,118,410 0.007 OneMain Finance Corp. 6.875 3/15/2025 980,000 1,109,850 0.007 Ashton Woods USA LLC / Ashton Woods 4.625 8/1/2029 1,105,000 1,105,000 0.007 Finance Co. Unum Group 4.125 6/15/2051 1,090,000 1,103,720 0.007 CDW LLC / CDW Finance Corp. 4.250 4/1/2028 1,050,000 1,099,875 0.007 CSN Resources S.A. 7.625 4/17/2026 1,025,000 1,092,650 0.007 VICI Properties L.P. / VICI Note Co., Inc. 4.625 12/1/2029 1,000,000 1,087,500 0.007 Mattel, Inc. 3.375 4/1/2026 1,045,000 1,085,525 0.007 Prestige Brands, Inc. 5.125 1/15/2028 1,035,000 1,084,163 0.007 Ardagh Packaging Finance plc / Ardagh 4.125 8/15/2026 1,040,000 1,081,288 0.007 Holdings USA, Inc. AT&T, Inc. 4.500 5/15/2035 905,000 1,073,498 0.007 Wells Fargo & Co. 4.400 6/14/2046 880,000 1,071,033 0.007 Morocco Government International Bond 2.000 9/30/2030 910,000 1,067,821 0.007 Buckeye Partners L.P. 4.500 3/1/2028 1,030,000 1,063,475 0.007 CIFI Holdings Group Co., Ltd. 5.250 5/13/2026 1,035,000 1,057,189 0.007 KazMunayGas National Co. JSC 6.375 10/24/2048 800,000 1,051,856 0.007 Comision Federal de Electricidad 4.677 2/9/2051 1,070,000 1,049,938 0.007 By Crown Parent LLC 4.250 1/31/2026 995,000 1,047,238 0.007 Fly Leasing Ltd. 7.000 10/15/2024 1,040,000 1,040,000 0.007 Buckeye Partners L.P. 4.125 3/1/2025 1,005,000 1,038,919 0.007 Sirius XM Radio, Inc. 3.125 9/1/2026 1,010,000 1,029,089 0.006 Square, Inc. 2.750 6/1/2026 990,000 1,016,789 0.006 QNB Finance Ltd. 2.625 5/12/2025 970,000 1,014,742 0.006 Power Finance Corp. Ltd. 3.950 4/23/2030 975,000 1,014,153 0.006 Qatar Government International Bond 5.103 4/23/2048 750,000 1,009,716 0.006 AT&T, Inc. 4.350 3/1/2029 870,000 1,008,987 0.006 CNO Financial Group, Inc. 5.250 5/30/2029 840,000 999,282 0.006 Wynn Macau Ltd. 5.125 12/15/2029 1,005,000 998,719 0.006 Inversiones CMPC S.A. 3.850 1/13/2030 930,000 996,263 0.006 Energy Transfer Operating L.P. 6.000 6/15/2048 775,000 992,847 0.006 Endo Luxembourg Finance Co. S.a.r.l. / 6.125 4/1/2029 1,000,000 990,000 0.006 Endo US, Inc. Continental Resources, Inc. 4.900 6/1/2044 875,000 985,390 0.006 Petroleos Mexicanos 5.350 2/12/2028 990,000 985,050 0.006 Lamar Funding Ltd. 3.958 5/7/2025 985,000 985,000 0.006 LD Holdings Group LLC 6.125 4/1/2028 1,000,000 982,500 0.006 JetBlue Airways Corp. 0.500 4/1/2026 999,000 982,084 0.006 Level 3 Financing, Inc. 3.750 7/15/2029 1,005,000 979,875 0.006 Qatar Government International Bond 4.817 3/14/2049 750,000 979,458 0.006 Mexico Government International Bond 2.125 10/25/2051 955,000 978,974 0.006

Page 28 of 34 HARTFORD FUNDS 08.31.21(unaudited) Hartford Balanced Income Fund

Full Portfolio Holdings* as of August 31, 2021 % of Security Coupon Maturity Shares/Par Market Value Net Assets IQVIA, Inc. 2.250 1/15/2028 820,000 978,866 0.006 Range Resources Corp. 8.250 1/15/2029 880,000 976,853 0.006 Unum Group 4.000 6/15/2029 865,000 971,503 0.006 Continental Resources, Inc. 5.750 1/15/2031 785,000 956,719 0.006 Tencent Holdings Ltd. 3.240 6/3/2050 975,000 952,030 0.006 DISH DBS Corp. 7.750 7/1/2026 830,000 950,724 0.006 Targa Resources Partners L.P. / Targa 4.875 2/1/2031 870,000 946,386 0.006 Resources Partners Finance Corp. Braskem Netherlands Finance B.V. 4.500 1/31/2030 880,000 942,757 0.006 Ziggo B.V. 4.875 1/15/2030 915,000 942,450 0.006 Celulosa Arauco y Constitucion S.A. 4.500 8/1/2024 870,000 941,688 0.006 Galaxy Pipeline Assets Bidco Ltd. 2.940 9/30/2040 920,000 934,429 0.006 AmeriGas Partners L.P. / AmeriGas Finance 5.750 5/20/2027 830,000 933,750 0.006 Corp. Country Garden Holdings Co., Ltd. 5.625 1/14/2030 860,000 933,057 0.006 Delek & Avner Tamar Bond Ltd. 5.412 12/30/2025 915,000 931,004 0.006 Republic of Armenia International Bond 3.950 9/26/2029 940,000 929,641 0.006 Discovery Communications LLC 3.900 11/15/2024 855,000 926,553 0.006 Peruvian Government International Bond 7.350 7/21/2025 751,000 917,347 0.006 Ardagh Packaging Finance plc / Ardagh 5.250 4/30/2025 870,000 910,238 0.006 Holdings USA, Inc. Speedway Motorsports LLC / Speedway 4.875 11/1/2027 883,000 905,049 0.006 Funding II, Inc. EQM Midstream Partners L.P. 6.500 7/1/2027 805,000 895,563 0.006 Greenko Dutch B.V. 3.850 3/29/2026 870,000 888,601 0.006 Pebblebrook Hotel Trust 1.750 12/15/2026 800,000 884,213 0.006 Ecuador Government International Bond 1.000 7/31/2035 1,226,000 882,732 0.006 Ivory Coast Government International Bond 6.125 6/15/2033 795,000 870,334 0.005 Braskem Netherlands Finance B.V. 4.500 1/10/2028 800,000 867,760 0.005 Centene Corp. 4.625 12/15/2029 790,000 866,543 0.005 Wells Fargo & Co. 4.650 11/4/2044 690,000 860,928 0.005 EQM Midstream Partners L.P. 6.000 7/1/2025 795,000 858,600 0.005 Sunoco L.P. / Sunoco Finance Corp. 6.000 4/15/2027 820,000 856,826 0.005 Energean Israel Finance Ltd. 4.500 3/30/2024 835,000 849,613 0.005 Bancolombia S.A. 4.625 12/18/2029 835,000 846,690 0.005 Telecom Italia Capital S.A. 7.200 7/18/2036 670,000 843,564 0.005 Instituto Costarricense de Electricidad 6.950 11/10/2021 835,000 837,096 0.005 1011778 BC ULC / New Red Finance, Inc. 4.000 10/15/2030 840,000 835,363 0.005 Rumo Luxembourg S.a.r.l. 5.875 1/18/2025 800,000 832,328 0.005 Brighthouse Financial, Inc. 4.700 6/22/2047 734,000 831,189 0.005 Dominican Republic International Bond 4.875 9/23/2032 791,000 830,558 0.005 Mexico Government International Bond 1.450 10/25/2033 730,000 827,987 0.005 Novelis Corp. 3.875 8/15/2031 820,000 827,462 0.005 Romanian Government International Bond 2.875 4/13/2042 705,000 825,795 0.005 Diamond (BC) B.V. 3.085 9/6/2024 829,900 824,365 0.005 Service Corp. International 4.625 12/15/2027 775,000 819,330 0.005

Page 29 of 34 HARTFORD FUNDS 08.31.21(unaudited) Hartford Balanced Income Fund

Full Portfolio Holdings* as of August 31, 2021 % of Security Coupon Maturity Shares/Par Market Value Net Assets Novelis Corp. 3.250 11/15/2026 795,000 815,034 0.005 Energean Israel Finance Ltd. 4.875 3/30/2026 795,000 813,762 0.005 Caesars Resort Collection LLC / CRC Finco, 5.750 7/1/2025 775,000 813,750 0.005 Inc. Galaxy Pipeline Assets Bidco Ltd. 3.250 9/30/2040 790,000 811,172 0.005 Romanian Government International Bond 1.750 7/13/2030 680,000 805,937 0.005 Millicom International Cellular S.A. 4.500 4/27/2031 770,000 802,725 0.005 Carnival Corp. 11.500 4/1/2023 713,000 800,539 0.005 Leviathan Bond Ltd. 6.750 6/30/2030 715,000 799,070 0.005 Centene Corp. 4.250 12/15/2027 755,000 797,469 0.005 Republic of Armenia International Bond 7.150 3/26/2025 685,000 781,722 0.005 Lithia Motors, Inc. 4.625 12/15/2027 735,000 779,100 0.005 Occidental Petroleum Corp. 6.125 1/1/2031 640,000 773,888 0.005 Comision Federal de Electricidad 3.348 2/9/2031 775,000 771,133 0.005 Leviathan Bond Ltd. 6.125 6/30/2025 705,000 767,463 0.005 Serbia International Bond 1.650 3/3/2033 655,000 765,658 0.005 AngloGold Ashanti Holdings plc 3.750 10/1/2030 730,000 764,091 0.005 Ivory Coast Government International Bond 5.250 3/22/2030 606,000 762,800 0.005 Yum! Brands, Inc. 4.750 1/15/2030 690,000 761,588 0.005 State Oil Co. of the Azerbaijan Republic 4.750 3/13/2023 725,000 761,250 0.005 AmeriGas Partners L.P. / AmeriGas Finance 5.500 5/20/2025 692,000 760,335 0.005 Corp. Southern California Edison Co. 5.625 2/1/2036 595,000 760,330 0.005 CDW LLC / CDW Finance Corp. 4.125 5/1/2025 730,000 759,200 0.005 Panama Government International Bond 3.870 7/23/2060 735,000 758,211 0.005 Termocandelaria Power Ltd. 7.875 1/30/2029 716,875 754,482 0.005 Ford Motor Credit Co. LLC 4.134 8/4/2025 705,000 752,588 0.005 Acadia Healthcare Co., Inc. 5.000 4/15/2029 715,000 745,388 0.005 Prosus N.V. 3.832 2/8/2051 820,000 741,792 0.005 Rede D'or Finance S.a.r.l. 4.500 1/22/2030 702,000 716,040 0.005 KB Home 4.800 11/15/2029 640,000 708,800 0.004 Empresa Nacional del Petroleo 5.250 11/6/2029 630,000 708,040 0.004 Russian Railways Via RZD Capital plc 5.700 4/5/2022 675,000 694,440 0.004 Catalent Pharma Solutions, Inc. 3.125 2/15/2029 700,000 691,576 0.004 Altice France S.A. 5.500 1/15/2028 660,000 678,975 0.004 Constellium SE 3.750 4/15/2029 680,000 676,396 0.004 McDonald's Corp. 4.200 4/1/2050 550,000 674,028 0.004 Southern California Edison Co. 4.650 10/1/2043 580,000 665,998 0.004 Danske Bank A/S 4.375 6/12/2028 587,000 663,731 0.004 Millicom International Cellular S.A. 6.250 3/25/2029 603,000 661,793 0.004 Enel Finance International N.V. 1.375 7/12/2026 640,000 641,877 0.004 DAE Funding LLC 1.550 8/1/2024 635,000 633,730 0.004 United Rentals North America, Inc. 3.750 1/15/2032 620,000 633,175 0.004 Banco de Credito del Peru 3.250 9/30/2031 630,000 630,630 0.004 Macy's Retail Holdings LLC 3.625 6/1/2024 599,000 621,463 0.004

Page 30 of 34 HARTFORD FUNDS 08.31.21(unaudited) Hartford Balanced Income Fund

Full Portfolio Holdings* as of August 31, 2021 % of Security Coupon Maturity Shares/Par Market Value Net Assets OneMain Finance Corp. 6.125 3/15/2024 575,000 619,563 0.004 Telecom Italia S.p.A. 5.303 5/30/2024 570,000 618,849 0.004 Star Energy Geothermal Wayang Windu Ltd. 6.750 4/24/2033 532,020 611,823 0.004 Engie Energia Chile S.A. 4.500 1/29/2025 560,000 611,520 0.004 QNB Finance Ltd. 1.625 9/22/2025 600,000 606,312 0.004 Stericycle, Inc. 3.875 1/15/2029 590,000 600,449 0.004 Service Corp. International 5.125 6/1/2029 550,000 599,748 0.004 Yuzhou Group Holdings Co., Ltd. 6.350 1/13/2027 780,000 586,787 0.004 Egypt Government International Bond 5.625 4/16/2030 490,000 579,679 0.004 Times China Holdings Ltd. 6.750 7/8/2025 575,000 572,207 0.004 OneMain Finance Corp. 7.125 3/15/2026 490,000 572,075 0.004 Egypt Government International Bond 3.875 2/16/2026 565,000 553,700 0.003 Ford Motor Co. 4.346 12/8/2026 505,000 543,981 0.003 Panama Government International Bond 4.500 4/16/2050 475,000 543,856 0.003 Boyd Gaming Corp. 4.750 12/1/2027 525,000 541,406 0.003 TransDigm, Inc. 8.000 12/15/2025 505,000 540,350 0.003 goeasy Ltd. 4.375 5/1/2026 520,000 536,250 0.003 Indonesia Government International Bond 1.100 3/12/2033 460,000 536,166 0.003 Telefonica Celular del Paraguay S.A. 5.875 4/15/2027 500,000 525,625 0.003 Adani Ports & Special Economic Zone Ltd. 3.828 2/2/2032 520,000 524,903 0.003 Laredo Petroleum, Inc. 7.750 7/31/2029 540,000 522,720 0.003 Ligado Networks LLC 15.500 11/1/2023 540,472 518,853 0.003 Egypt Government International Bond 7.600 3/1/2029 470,000 515,919 0.003 Gartner, Inc. 3.625 6/15/2029 495,000 509,491 0.003 Minerva Luxembourg S.A. 5.875 1/19/2028 480,000 509,232 0.003 United Airlines, Inc. 4.625 4/15/2029 490,000 508,473 0.003 Ladder Capital Finance Holdings LLLP / 4.750 6/15/2029 495,000 506,138 0.003 Ladder Capital Finance Corp. Times China Holdings Ltd. 5.750 1/14/2027 530,000 505,523 0.003 Seagate HDD Cayman 3.375 7/15/2031 510,000 504,900 0.003 EQM Midstream Partners L.P. 4.125 12/1/2026 495,000 504,623 0.003 CVR Energy, Inc. 5.750 2/15/2028 510,000 503,543 0.003 Valvoline, Inc. 4.250 2/15/2030 485,000 503,188 0.003 Energean Israel Finance Ltd. 5.875 3/30/2031 490,000 502,250 0.003 Southwestern Energy Co. 6.450 1/23/2025 460,000 501,349 0.003 Hess Midstream Operations L.P. 4.250 2/15/2030 495,000 501,188 0.003 SBA Communications Corp. 3.125 2/1/2029 510,000 501,075 0.003 Methanex Corp. 5.125 10/15/2027 460,000 500,825 0.003 Lumen Technologies, Inc. 4.500 1/15/2029 510,000 500,483 0.003 UPC Broadband Finco B.V. 4.875 7/15/2031 490,000 500,315 0.003 Suburban Propane Partners L.P. / Suburban 5.000 6/1/2031 485,000 499,550 0.003 Energy Finance Corp. Avolon Holdings Funding Ltd. 2.125 2/21/2026 500,000 498,983 0.003 Bausch Health Cos., Inc. 4.875 6/1/2028 485,000 498,338 0.003 Sunoco L.P. / Sunoco Finance Corp. 4.500 5/15/2029 490,000 496,125 0.003

Page 31 of 34 HARTFORD FUNDS 08.31.21(unaudited) Hartford Balanced Income Fund

Full Portfolio Holdings* as of August 31, 2021 % of Security Coupon Maturity Shares/Par Market Value Net Assets CVR Partners L.P. 6.125 6/15/2028 485,000 495,913 0.003 Pattern Energy Operations L.P. / Pattern 4.500 8/15/2028 475,000 495,670 0.003 Energy Operations, Inc. Calpine Corp. 3.750 3/1/2031 505,000 495,309 0.003 Leviathan Bond Ltd. 5.750 6/30/2023 475,000 495,102 0.003 ABJA Investment Co. Pte Ltd. 4.450 7/24/2023 480,000 495,000 0.003 Standard Industries, Inc. 3.375 1/15/2031 515,000 494,964 0.003 Graphic Packaging International LLC 3.500 3/1/2029 495,000 494,381 0.003 ADT Security Corp. 4.125 8/1/2029 495,000 494,361 0.003 Frontera Energy Corp. 7.875 6/21/2028 495,000 493,461 0.003 Liquid Telecommunications Financing plc 5.500 9/4/2026 475,000 492,908 0.003 AerCap Ireland Capital DAC / AerCap Global 4.625 10/15/2027 440,000 491,339 0.003 Aviation Trust Strathcona Resources Ltd. 6.875 8/1/2026 500,000 490,000 0.003 Codere Finance Luxembourg S.A. 11.625 11/1/2023 710,000 489,900 0.003 JSW Steel Ltd. 5.375 4/4/2025 460,000 489,900 0.003 Rockies Express Pipeline LLC 4.950 7/15/2029 470,000 488,974 0.003 Advanced Drainage Systems, Inc. 5.000 9/30/2027 470,000 488,800 0.003 Venezuela Government International Bond 7.750 10/13/2019 4,765,000 488,413 0.003 Embraer Netherlands Finance B.V. 5.400 2/1/2027 455,000 486,968 0.003 Oman Government International Bond 6.500 3/8/2047 485,000 486,615 0.003 Vistra Operations Co. LLC 3.550 7/15/2024 460,000 486,588 0.003 General Motors Co. 6.800 10/1/2027 385,000 485,759 0.003 Banco de Bogota S.A. 4.375 8/3/2027 465,000 485,665 0.003 Centennial Resource Production LLC 6.875 4/1/2027 505,000 485,027 0.003 Allen Media LLC 10.500 2/15/2028 500,000 483,125 0.003 Carnival Corp. 5.750 3/1/2027 471,000 481,696 0.003 Tullow Oil plc 10.250 5/15/2026 465,000 481,275 0.003 Minejesa Capital B.V. 4.625 8/10/2030 460,000 480,125 0.003 Sinclair Television Group, Inc. 4.125 12/1/2030 490,000 478,975 0.003 Adams Homes, Inc. 7.500 2/15/2025 455,000 476,044 0.003 Escrow Issuer, Inc. 7.500 1/15/2026 505,000 475,963 0.003 NextEra Energy Operating Partners L.P. 4.250 7/15/2024 450,000 475,043 0.003 Tencent Holdings Ltd. 3.840 4/22/2051 435,000 470,374 0.003 PetSmart, Inc. 7.750 2/15/2029 425,000 466,969 0.003 Kosmos Energy Ltd. 7.500 3/1/2028 490,000 464,275 0.003 Ambience Merger Sub, Inc. 7.125 7/15/2029 460,000 460,575 0.003 PTC, Inc. 4.000 2/15/2028 440,000 454,850 0.003 Catalent Pharma Solutions, Inc. 5.000 7/15/2027 415,000 434,713 0.003 Ambience Merger Sub, Inc. 4.875 7/15/2028 430,000 432,507 0.003 CSN Inova Ventures 6.750 1/28/2028 390,000 428,532 0.003 Oman Government International Bond 7.000 1/25/2051 400,000 416,660 0.003 OCP S.A. 6.875 4/25/2044 340,000 413,773 0.003 Jaguar Holding Co. 5.000 6/15/2028 380,000 409,450 0.003 PTC, Inc. 3.625 2/15/2025 400,000 409,000 0.003

Page 32 of 34 HARTFORD FUNDS 08.31.21(unaudited) Hartford Balanced Income Fund

Full Portfolio Holdings* as of August 31, 2021 % of Security Coupon Maturity Shares/Par Market Value Net Assets Venezuela Government International Bond 7.650 4/21/2025 4,085,000 408,500 0.003 Turkey Government International Bond 5.950 1/15/2031 405,000 405,813 0.003 OI European Group B.V. 4.000 3/15/2023 390,000 403,572 0.003 Scripps Escrow, Inc. 3.875 1/15/2029 390,000 389,770 0.002 Occidental Petroleum Corp. 6.375 9/1/2028 324,000 383,409 0.002 Bausch Health Cos., Inc. 9.000 12/15/2025 360,000 382,950 0.002 Ivory Coast Government International Bond 6.625 3/22/2048 295,000 373,947 0.002 Ladder Capital Finance Holdings LLLP / 5.250 10/1/2025 365,000 369,563 0.002 Ladder Capital Finance Corp. Celulosa Arauco y Constitucion S.A. 5.500 4/30/2049 305,000 367,147 0.002 Hungary Government International Bond 1.500 11/17/2050 315,000 360,034 0.002 Macy's Retail Holdings LLC 4.300 2/15/2043 410,000 357,725 0.002 Quebecor Media, Inc. 5.750 1/15/2023 335,000 355,519 0.002 Bermuda Government International Bond 3.375 8/20/2050 325,000 339,073 0.002 Provincia de Cordoba 5.000 12/10/2025 432,603 332,027 0.002 Venezuela Government International Bond 7.000 3/31/2038 3,170,000 329,680 0.002 Meituan 2.125 10/28/2025 335,000 327,192 0.002 Tencent Holdings Ltd. 3.680 4/22/2041 285,000 300,392 0.002 Jordan Government International Bond 7.375 10/10/2047 277,000 297,775 0.002 Romanian Government International Bond 2.875 3/11/2029 225,000 294,601 0.002 Prosus N.V. 4.027 8/3/2050 312,000 293,837 0.002 VICI Properties L.P. / VICI Note Co., Inc. 3.500 2/15/2025 285,000 292,125 0.002 Mexico Government International Bond 2.250 8/12/2036 240,000 282,795 0.002 Tencent Holdings Ltd. 3.925 1/19/2038 255,000 276,072 0.002 Crown Finance U.S., Inc. 9.250 5/23/2024 255,397 272,317 0.002 Croatia Government International Bond 1.125 3/4/2033 215,000 260,068 0.002 Petroleos Mexicanos 6.375 1/23/2045 300,000 256,971 0.002 Egypt Government International Bond 7.625 5/29/2032 235,000 252,133 0.002 Country Garden Holdings Co., Ltd. 6.150 9/17/2025 225,000 243,332 0.002 Yum! Brands, Inc. 7.750 4/1/2025 220,000 237,026 0.001 Abu Dhabi Government International Bond 3.125 9/30/2049 225,000 231,467 0.001 VICI Properties L.P. / VICI Note Co., Inc. 4.125 8/15/2030 213,000 227,378 0.001 Banco do Brasil S.A. 4.875 4/19/2023 210,000 221,447 0.001 Russian Railways Via RZD Capital plc 4.375 3/1/2024 200,000 213,500 0.001 Mexico Government International Bond 4.350 1/15/2047 200,000 212,924 0.001 Cable Onda S.A. 4.500 1/30/2030 200,000 212,300 0.001 Country Garden Holdings Co., Ltd. 5.400 5/27/2025 200,000 210,565 0.001 CIFI Holdings Group Co., Ltd. 6.000 7/16/2025 200,000 209,818 0.001 Egypt Government International Bond 7.903 2/21/2048 210,000 208,559 0.001 Country Garden Holdings Co., Ltd. 4.200 2/6/2026 200,000 207,010 0.001 Empresa Nacional del Petroleo 4.500 9/14/2047 200,000 206,543 0.001 Provincia de Cordoba 5.000 6/1/2027 300,340 202,733 0.001 Genworth Holdings, Inc. 4.800 2/15/2024 205,000 201,925 0.001 CDBL Funding 2.000 3/4/2026 200,000 200,784 0.001 Comision Federal de Electricidad 3.875 7/26/2033 200,000 200,452 0.001

Page 33 of 34 HARTFORD FUNDS 08.31.21(unaudited) Hartford Balanced Income Fund

Full Portfolio Holdings* as of August 31, 2021 % of Security Coupon Maturity Shares/Par Market Value Net Assets Romanian Government International Bond 3.375 1/28/2050 160,000 200,224 0.001 VICI Properties L.P. / VICI Note Co., Inc. 3.750 2/15/2027 185,000 192,400 0.001 Centene Corp. 3.000 10/15/2030 185,000 190,890 0.001 Macy's Retail Holdings LLC 4.500 12/15/2034 185,000 181,062 0.001 Egypt Government International Bond 6.375 4/11/2031 145,000 177,465 0.001 Dominican Republic International Bond 6.500 2/15/2048 150,000 165,975 0.001 Xerox Corp. 4.800 3/1/2035 145,000 149,531 0.001 HCA, Inc. 5.625 9/1/2028 115,000 137,138 0.001 El Salvador Government International Bond 5.875 1/30/2025 135,000 120,151 0.001 HCA, Inc. 5.875 2/1/2029 90,000 109,125 0.001 Venezuela Government International Bond 7.000 12/1/2018 1,015,000 104,038 0.001 Macy's Retail Holdings LLC 5.125 1/15/2042 92,000 87,400 0.001 Macy's Retail Holdings LLC 2.875 2/15/2023 75,000 76,313 0.000 GMAC Capital Trust 5.910 2/15/2040 2,144 56,430 0.000 Petroleos Mexicanos 6.750 9/21/2047 50,000 44,143 0.000 Foresight Energy LLC 0.000 3,816 34,344 0.000 CVS Pass-Through Trust 6.943 1/10/2030 22,582 27,433 0.000 Petroleos de Venezuela S.A. 6.000 5/16/2024 435,000 19,140 0.000 Teva Pharmaceutical Finance Netherlands 2.800 7/21/2023 15,000 14,827 0.000 B.V. CVS Pass-Through Trust 6.036 12/10/2028 9,625 11,282 0.000 Petroleos de Venezuela S.A. 9.000 11/17/2021 190,000 8,360 0.000 Continental Airlines, Inc. 6.903 10/19/2023 428 433 0.000 OTHER ASSETS LESS LIABILITIES 136,659,618 0.860 TOTAL NET ASSETS 15,884,034,779

* 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.

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Page 34 of 34 HARTFORD FUNDS 08.31.21(unaudited)