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Hartford Emerging Markets Equity Fund

Full Portfolio Holdings* as of August 31, 2021 % of Security Coupon Maturity Shares/Par Market Value Net Assets Semiconductor Manufacturing Co., 0.000 1,263,176 27,708,045 5.470 Ltd. Electronics Co., Ltd. 0.000 271,320 17,912,066 3.536 Holdings Ltd. 0.000 273,380 16,884,709 3.333 Holding Ltd. 0.000 121,547 14,294,462 2.822 Fixed Income Clearing Corp. Repurchase 0.020 9/1/2021 10,685,905 10,685,905 2.110 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 Fubon Financial Holding Co., Ltd. 0.000 2,938,000 8,999,201 1.777 Bank of Ltd. 0.000 22,901,205 8,025,349 1.584 Sberbank of PJSC 0.000 444,800 7,943,639 1.568 Petroleo Brasileiro S.A. 0.000 1,505,900 7,918,585 1.563 Products Ltd. 0.000 373,000 7,661,741 1.513 Cathay Financial Holding Co., Ltd. 0.000 3,310,000 7,108,485 1.403 Corp. 0.000 52,345 6,984,439 1.379 Li Ning Co., Ltd. 0.000 480,500 6,443,395 1.272 Al Rajhi Bank 0.000 190,586 6,148,427 1.214 Motors Corp. 0.000 81,671 5,974,488 1.180 MediaTek, Inc. 0.000 170,959 5,543,725 1.094 Vale S.A. 0.000 260,900 4,979,038 0.983 KB Financial Group, Inc. 0.000 107,172 4,875,258 0.963 Grupo Mexico S.A.B. de C.V. 0.000 986,900 4,575,788 0.903 PetroChina Co., Ltd. 0.000 5,962,800 4,551,943 0.899 0.000 139,500 4,460,451 0.881 HCL Technologies Ltd. 0.000 272,601 4,407,225 0.870 Corp. 0.000 6,031,102 4,345,757 0.858 State Bank of 0.000 712,835 4,145,250 0.818 Aldar Properties PJSC 0.000 3,583,547 4,046,760 0.799 United Microelectronics Corp. 0.000 1,683,724 3,815,202 0.753 MTN Group Ltd. 0.000 410,367 3,766,646 0.744 Co., Ltd. 0.000 683,321 3,697,188 0.730 Lenovo Group Ltd. 0.000 3,350,000 3,695,158 0.730 OTP Bank Nyrt 0.000 59,383 3,586,244 0.708 Co., Ltd. 0.000 6,206,224 3,564,252 0.704 Biologics Cayman, Inc. 0.000 225,500 3,491,180 0.689 Baidu, Inc. 0.000 22,137 3,475,952 0.686 China Mengniu Co., Ltd. 0.000 572,000 3,440,443 0.679 Baoshan Iron & Steel Co., Ltd. 0.000 2,151,413 3,391,102 0.669 E-Mart, Inc. 0.000 21,769 3,354,057 0.662 Surgutneftegas PJSC 0.000 725,920 3,352,117 0.662 PTT Exploration & Production PCL 0.000 952,100 3,293,544 0.650 Ltd. 0.000 365,190 3,202,421 0.632 BYD Co., Ltd. 0.000 94,500 3,177,005 0.627 Alinma Bank 0.000 502,407 3,067,459 0.606 Page 1 of 7 HARTFORD FUNDS 08.31.21(unaudited) Hartford Emerging Markets Equity Fund

Full Portfolio Holdings* as of August 31, 2021 % of Security Coupon Maturity Shares/Par Market Value Net Assets Adani Enterprises Ltd. 0.000 139,659 3,033,519 0.599 Hyundai Motor Co. 0.000 16,231 2,965,748 0.586 CSPC Pharmaceutical Group Ltd. 0.000 2,332,000 2,958,379 0.584 NIO, Inc. 0.000 75,034 2,949,587 0.582 LG Electronics, Inc. 0.000 23,201 2,833,576 0.559 Ltd. 0.000 55,528 2,754,621 0.544 Cia Paranaense de Energia 0.000 2,080,000 2,751,450 0.543 Holdings Ltd. 0.000 326,500 2,729,865 0.539 ICICI Bank Ltd. 0.000 275,182 2,695,014 0.532 Mr. Price Group Ltd. 0.000 178,751 2,681,588 0.529 Kasikornbank PCL 0.000 697,400 2,650,477 0.523 China CITIC Bank Corp. Ltd. 0.000 5,685,137 2,613,597 0.516 LUKOIL PJSC 0.000 30,800 2,608,728 0.515 JD.com, Inc. 0.000 33,089 2,599,472 0.513 KT Corp. 0.000 118,306 2,584,362 0.510 JBS S.A. 0.000 427,624 2,577,752 0.509 Ltd. 0.000 81,930 2,570,923 0.508 Co., Ltd. 0.000 2,312,000 2,531,615 0.500 Weibo Corp. 0.000 49,646 2,508,116 0.495 SK Telecom Co., Ltd. 0.000 9,671 2,486,503 0.491 Elan Microelectronics Corp. 0.000 431,000 2,441,725 0.482 Agricultural Ltd. 0.000 7,064,131 2,368,164 0.468 Hong Kong Ltd. 0.000 1,194,249 2,352,986 0.465 Oil & Natural Gas Corp. Ltd. 0.000 1,425,816 2,346,955 0.463 Novatek Microelectronics Corp. 0.000 142,000 2,291,538 0.452 Laurus Labs Ltd. 0.000 250,497 2,283,530 0.451 ENN Energy Holdings Ltd. 0.000 112,400 2,224,131 0.439 Thai Union Group PCL 0.000 3,535,900 2,183,027 0.431 Emirates NBD Bank PJSC 0.000 578,892 2,182,773 0.431 SK Hynix, Inc. 0.000 23,619 2,162,566 0.427 Evergreen Marine Corp. Taiwan Ltd. 0.000 435,000 2,123,469 0.419 China Resources Beer Holdings Co., Ltd. 0.000 254,000 2,088,739 0.412 People's Insurance Co., Group of China Ltd. 0.000 6,721,098 2,073,293 0.409 Pinduoduo, Inc. 0.000 20,633 2,063,713 0.407 Coal Industry Co., Ltd. 0.000 935,300 1,982,075 0.391 Kingboard Holdings Ltd. 0.000 402,500 1,979,062 0.391 Ltd. 0.000 99,812 1,975,748 0.390 VTB Bank PJSC 0.000 1,401,618 1,950,846 0.385 MultiChoice Group Ltd. 0.000 240,667 1,903,632 0.376 Tata Elxsi Ltd. 0.000 29,145 1,903,567 0.376 COSCO Shipping Holdings Co., Ltd. 0.000 1,008,149 1,902,767 0.376 Polskie Gornictwo Naftowe i Gazownictwo 0.000 1,139,053 1,873,565 0.370 S.A. Novolipetsk Steel PJSC 0.000 55,873 1,865,910 0.368 Autohome, Inc. 0.000 41,708 1,845,996 0.364

Page 2 of 7 HARTFORD FUNDS 08.31.21(unaudited) Hartford Emerging Markets Equity Fund

Full Portfolio Holdings* as of August 31, 2021 % of Security Coupon Maturity Shares/Par Market Value Net Assets China Railway Group Ltd. 0.000 2,119,500 1,845,448 0.364 LG Chem Ltd. 0.000 2,719 1,771,717 0.350 China Petroleum & Chemical Corp. 0.000 3,620,000 1,741,717 0.344 Inari Amertron Bhd 0.000 2,093,300 1,738,005 0.343 GF Securities Co., Ltd. 0.000 977,200 1,736,522 0.343 Exxaro Resources Ltd. 0.000 133,326 1,693,485 0.334 Kumba Iron Ore Ltd. 0.000 37,221 1,671,570 0.330 of Korea 0.000 186,726 1,654,840 0.327 Goldman Sachs Financial Square Funds, 0.026 9/1/2021 1,598,940 1,598,940 0.316 Government Fund, Institutional Class LG Display Co., Ltd. 0.000 88,743 1,561,093 0.308 China Medical System Holdings Ltd. 0.000 794,000 1,558,431 0.308 Co., Ltd. 0.000 188,500 1,554,674 0.307 Semiconductor Corp. 0.000 78,000 1,554,595 0.307 DGB Financial Group, Inc. 0.000 197,663 1,547,134 0.305 Chongqing Brewery Co., Ltd. 0.000 69,500 1,511,229 0.298 Dr Lal PathLabs Ltd. 0.000 25,930 1,435,701 0.283 Enterprise Ltd. 0.000 20,985 1,426,252 0.282 Prosus N.V. 0.000 16,239 1,420,465 0.280 Cia Energetica de Minas Gerais 0.000 540,021 1,410,939 0.279 Power Finance Corp. Ltd. 0.000 793,808 1,400,472 0.276 Cemex S.A.B. de C.V. 0.000 170,232 1,395,902 0.276 Divi's Laboratories Ltd. 0.000 19,214 1,360,385 0.269 Larsen & Toubro Infotech Ltd. 0.000 18,720 1,360,184 0.269 Arcelik A.S. 0.000 347,850 1,345,174 0.266 Cia de Transmissao de Energia Eletrica 0.000 273,300 1,300,220 0.257 Paulista SLC Agricola S.A. 0.000 163,800 1,290,557 0.255 , Inc. 0.000 33,057 1,280,098 0.253 Cencosud S.A. 0.000 673,872 1,271,383 0.251 Adani Total Gas Ltd. 0.000 63,809 1,269,494 0.251 L&T Technology Services Ltd. 0.000 23,424 1,255,178 0.248 Metallurgical Corp. of China Ltd. 0.000 1,616,300 1,254,789 0.248 Ltd. 0.000 489,389 1,248,529 0.246 Ecovacs Robotics Co., Ltd. 0.000 54,600 1,240,128 0.245 Pharmaron Co., Ltd. 0.000 55,300 1,226,952 0.242 JiuGui Co., Ltd. 0.000 37,500 1,219,333 0.241 Industries Qatar QSC 0.000 341,653 1,205,779 0.238 Guangzhou R&F Properties Co., Ltd. 0.000 1,386,000 1,181,718 0.233 Grupo Financiero Banorte S.A.B. de C.V. 0.000 176,300 1,163,717 0.230 Power Grid Corp. of India Ltd. 0.000 475,736 1,140,915 0.225 Bank AlBilad 0.000 99,729 1,136,698 0.224 Bank Polska Kasa Opieki S.A. 0.000 39,782 1,112,453 0.220 CPFL Energia S.A. 0.000 197,500 1,109,190 0.219 Ltd. 0.000 104,369 1,093,940 0.216

Page 3 of 7 HARTFORD FUNDS 08.31.21(unaudited) Hartford Emerging Markets Equity Fund

Full Portfolio Holdings* as of August 31, 2021 % of Security Coupon Maturity Shares/Par Market Value Net Assets Com7 PCL 0.000 497,600 1,076,789 0.213 Crompton Greaves Consumer Electricals 0.000 164,127 1,062,298 0.210 Ltd. China Feihe Ltd. 0.000 583,000 1,053,496 0.208 POSCO 0.000 3,656 1,052,307 0.208 Hello Group, Inc. 0.000 79,274 1,041,660 0.206 Barwa Real Estate Co. 0.000 1,234,504 1,039,117 0.205 Daqo New Energy Corp. 0.000 16,818 1,031,112 0.204 Riyad Bank 0.000 143,765 1,031,082 0.204 PhosAgro PJSC 0.000 50,831 1,001,371 0.198 BAIC Motor Corp. Ltd. 0.000 2,719,500 992,781 0.196 Capitec Bank Holdings Ltd. 0.000 7,505 980,448 0.194 NIIT Technologies Ltd. 0.000 13,562 966,350 0.191 Hygeia Healthcare Holdings Co., Ltd. 0.000 124,400 965,406 0.191 JSW Steel Ltd. 0.000 102,194 959,750 0.189 SACI Falabella 0.000 238,591 944,997 0.187 Ford Otomotiv Sanayi AS 0.000 45,735 944,781 0.187 Acer, Inc. 0.000 1,034,000 938,420 0.185 Nanya Technology Corp. 0.000 387,000 922,832 0.182 Silicon Works Co., Ltd. 0.000 9,279 921,348 0.182 BNK Financial Group, Inc. 0.000 137,511 917,644 0.181 Severstal PAO 0.000 38,991 904,932 0.179 Sasol Ltd. 0.000 57,508 884,010 0.175 Ltd. 0.000 37,752 881,109 0.174 Abu Dhabi Islamic Bank PJSC 0.000 559,945 859,516 0.170 Truly International Holdings Ltd. 0.000 2,270,000 852,328 0.168 Kiatnakin Bank PCL 0.000 485,300 846,913 0.167 Grupo Bimbo S.A.B. de C.V. 0.000 332,400 839,441 0.166 African Rainbow Minerals Ltd. 0.000 46,854 835,978 0.165 Thailand PCL 0.000 46,100 835,256 0.165 Korea Investment Holdings Co., Ltd. 0.000 10,153 831,435 0.164 Supermax Corp. Bhd 0.000 1,045,300 829,803 0.164 Nantex Industry Co., Ltd. 0.000 213,000 825,192 0.163 LG Innotek Co., Ltd. 0.000 4,421 817,190 0.161 Marfrig Global Foods S.A. 0.000 206,100 816,699 0.161 Services Holdings Co., Ltd. 0.000 105,000 801,225 0.158 Hopson Development Holdings Ltd. 0.000 204,600 797,097 0.157 Yadea Group Holdings Ltd. 0.000 438,000 779,345 0.154 Yibin Co., Ltd. 0.000 24,900 778,692 0.154 Shanxi Lu'an Environmental Energy 0.000 313,400 769,704 0.152 Development Co., Ltd. Thai Vegetable Oil PCL 0.000 755,000 761,266 0.150 Sao Martinho S.A. 0.000 121,000 752,096 0.148 China Resources Pharmaceutical Group Ltd. 0.000 1,445,000 751,484 0.148 Controladora Vuela Cia de Aviacion S.A.B. 0.000 37,534 745,801 0.147 de C.V.

Page 4 of 7 HARTFORD FUNDS 08.31.21(unaudited) Hartford Emerging Markets Equity Fund

Full Portfolio Holdings* as of August 31, 2021 % of Security Coupon Maturity Shares/Par Market Value Net Assets Shenzhen Overseas Chinese Town Co., Ltd. 0.000 713,600 743,597 0.147 China Galaxy Securities Co., Ltd. 0.000 1,321,500 741,836 0.146 Siam Commercial Bank PCL 0.000 224,200 740,783 0.146 China Cinda Asset Management Co., Ltd. 0.000 4,158,345 737,525 0.146 Electronics Corp. 0.000 690,000 731,309 0.144 Daqin Railway Co., Ltd. 0.000 769,677 722,724 0.143 Samsung Electro-Mechanics Co., Ltd. 0.000 4,486 711,874 0.141 Vedanta Ltd. 0.000 168,359 695,567 0.137 Naspers Ltd. 0.000 4,017 693,089 0.137 Tisco Financial Group PCL 0.000 237,400 692,332 0.137 Tianneng Power International Ltd. 0.000 516,000 690,590 0.136 Bank Al-Jazira 0.000 138,351 683,142 0.135 Saudi Ceramic Co. 0.000 38,656 677,127 0.134 China National Building Material Co., Ltd. 0.000 481,921 658,111 0.130 United Development Co. QSC 0.000 1,561,412 647,913 0.128 Vipshop Holdings Ltd. 0.000 43,229 639,357 0.126 Co., Ltd. 0.000 78,000 638,230 0.126 Information Technology Co., 0.000 572,600 637,682 0.126 Ltd. Absa Group Ltd. 0.000 58,081 629,009 0.124 Cia Brasileira de Distribuicao 0.000 113,500 621,849 0.123 Ltd. 0.000 206,479 616,368 0.122 S-Oil Corp. 0.000 7,533 615,113 0.121 Laojiao Co., Ltd. 0.000 22,800 601,060 0.119 China Fortune Land Development Co., Ltd. 0.000 1,024,580 600,682 0.119 Yuexiu Property Co., Ltd. 0.000 639,660 599,611 0.118 PTT PCL 0.000 497,000 585,930 0.116 Uni-President China Holdings Ltd. 0.000 612,000 578,437 0.114 Newborn Town, Inc. 0.000 916,000 574,283 0.113 Yuanta Financial Holding Co., Ltd. 0.000 636,000 572,924 0.113 CJ CheilJedang Corp. 0.000 1,434 560,726 0.111 Wharf Holdings Ltd. 0.000 166,000 560,261 0.111 Heavy Industry Science and 0.000 581,378 553,988 0.109 Technology Co., Ltd. Adani Power Ltd. 0.000 411,009 552,372 0.109 Fuyao Glass Industry Group Co., Ltd. 0.000 89,600 551,381 0.109 Kossan Rubber Industries 0.000 720,600 537,373 0.106 Shandong Hualu Hengsheng Chemical Co., 0.000 93,900 528,968 0.104 Ltd. Daewoo Engineering & Construction Co., 0.000 82,169 519,685 0.103 Ltd. & Technology Co., Ltd. 0.000 12,886 516,978 0.102 Multipolar Tbk PT 0.000 14,584,400 511,285 0.101 Ltd. 0.000 25,403 499,151 0.099 Investec Ltd. 0.000 113,531 484,272 0.096

Page 5 of 7 HARTFORD FUNDS 08.31.21(unaudited) Hartford Emerging Markets Equity Fund

Full Portfolio Holdings* as of August 31, 2021 % of Security Coupon Maturity Shares/Par Market Value Net Assets Hellenic Telecommunications Organization 0.000 24,164 475,668 0.094 S.A. , Inc. 0.000 48,977 473,846 0.094 Qatar Islamic Bank SAQ 0.000 92,832 466,582 0.092 Doosan Infracore Co., Ltd. 0.000 45,915 466,558 0.092 Abu Dhabi Commercial Bank PJSC 0.000 224,072 458,130 0.090 Banco do Brasil S.A. 0.000 77,300 454,908 0.090 Zhuzhou Kibing Group Co., Ltd. 0.000 105,800 446,163 0.088 Saudi Research & Media Group 0.000 10,250 441,624 0.087 Lite-On Technology Corp. 0.000 199,086 438,987 0.087 Magnit PJSC 0.000 28,602 435,345 0.086 Ltd. 0.000 13,939 435,170 0.086 Co., Ltd. 0.000 1,809 429,224 0.085 Orbia Advance Corp. S.A.B. de C.V. 0.000 149,900 428,339 0.085 Heavy Industry Co., Ltd. 0.000 101,800 413,097 0.082 Ltd. 0.000 108,000 394,461 0.078 Co., Ltd. 0.000 1,081,000 387,454 0.076 Yanzhou Co., Ltd. 0.000 222,000 386,974 0.076 China Yongda Automobiles Services 0.000 230,500 386,224 0.076 Holdings Ltd. Topsports International Holdings Ltd. 0.000 289,000 381,052 0.075 Clicks Group Ltd. 0.000 17,480 364,082 0.072 Aluminum Corp. of China Ltd. 0.000 494,000 358,470 0.071 Fitipower Integrated Technology, Inc. 0.000 41,794 343,858 0.068 Mirae Asset Daewoo Co., Ltd. 0.000 43,097 326,790 0.065 Haitian International Holdings Ltd. 0.000 82,000 314,190 0.062 UltraTech Cement Ltd. 0.000 2,879 308,351 0.061 PGE Polska Grupa Energetyczna S.A. 0.000 114,337 301,041 0.059 Agile Group Holdings Ltd. 0.000 260,000 298,165 0.059 Shoprite Holdings Ltd. 0.000 21,443 271,391 0.054 Yang Ming Marine Transport Corp. 0.000 56,000 268,241 0.053 Saudi Telecom Co. 0.000 7,460 266,422 0.053 Even Construtora e Incorporadora S.A. 0.000 164,400 266,115 0.053 Qualicorp Consultoria e Corretora de 0.000 64,000 264,501 0.052 Seguros S.A. Hanmi Semiconductor Co., Ltd. 0.000 8,896 264,059 0.052 Radiant Opto-Electronics Corp. 0.000 74,000 263,966 0.052 Eclat Textile Co., Ltd. 0.000 13,000 261,281 0.052 Technologies, Inc. 0.000 21,667 255,021 0.050 Micro-Star International Co., Ltd. 0.000 54,000 253,358 0.050 momo.com, Inc. 0.000 4,000 251,932 0.050 Ltd. 0.000 1,083 251,377 0.050 Luxi Chemical Group Co., Ltd. 0.000 68,900 246,612 0.049 Co., Ltd. 0.000 11,348 218,037 0.043 China Resources Medical Holdings Co., Ltd. 0.000 237,000 208,836 0.041 Co., Ltd. 0.000 79,200 203,822 0.040

Page 6 of 7 HARTFORD FUNDS 08.31.21(unaudited) Hartford Emerging Markets Equity Fund

Full Portfolio Holdings* as of August 31, 2021 % of Security Coupon Maturity Shares/Par Market Value Net Assets Hana Microelectronics PCL 0.000 87,300 195,169 0.039 CIMC Enric Holdings Ltd. 0.000 132,000 194,756 0.038 Impala Platinum Holdings Ltd. 0.000 12,594 192,949 0.038 Novatek OJSC 0.000 807 190,307 0.038 Co., Ltd. 0.000 56,000 176,637 0.035 Orient Securities Co., Ltd. 0.000 178,400 171,867 0.034 Fidelity Investments Money Market Funds, 0.010 9/1/2021 162,901 162,901 0.032 Government Portfolio, Institutional Class Parade Technologies Ltd. 0.000 2,000 124,306 0.025 Foschini Group Ltd. 0.000 11,497 118,764 0.023 Invesco Government & Agency Portfolio, 0.026 9/1/2021 116,694 116,694 0.023 Institutional Class Technology Group Co., Ltd. 0.000 3,800 111,444 0.022 Guangzhou Tinci Materials Technology Co., 0.000 5,000 105,459 0.021 Ltd. Citibank NA 0.070 9/1/2021 98,870 98,870 0.020 LPP S.A. 0.000 24 89,105 0.018 Housing Finance Ltd. 0.000 27,558 85,308 0.017 Yum China Holdings, Inc. 0.000 1,300 79,859 0.016 Jubilant Foodworks Ltd. 0.000 1,451 78,786 0.016 International Holdings Ltd. 0.000 42,500 71,095 0.014 MRF Ltd. 0.000 62 67,289 0.013 OTHER ASSETS LESS LIABILITIES (1,584,760) (0.313) TOTAL NET ASSETS 506,516,238

* 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 7 of 7 HARTFORD FUNDS 08.31.21(unaudited)