The Hartford Growth Opportunities Fund
Schedule of Investments
January 31, 2023  (Unaudited) 

Shares or Principal Amount   Market Value†
COMMON STOCKS - 98.4%
  Automobiles & Components - 2.9%
  420,560 Tesla, Inc.* $    72,849,403
  518,045 Thor Industries, Inc.    49,385,230
      122,234,633
  Capital Goods - 4.5%
  325,789 Airbus SE     40,842,811
1,535,353 Johnson Controls International plc   106,814,508
296,002 Middleby Corp.* 46,013,511
      193,670,830
  Commercial & Professional Services - 1.8%
971,713 CoStar Group, Inc.* 75,696,443
  Consumer Durables & Apparel - 1.7%
231,764 Lululemon Athletica, Inc.* 71,123,736
  Consumer Services - 8.1%
455,001 Airbnb, Inc. Class A* 50,555,161
1,018,007 Aramark 45,331,852
25,621 Booking Holdings, Inc.* 62,364,076
248,519 Domino's Pizza, Inc. 87,727,207
3,178,221 DraftKings, Inc. Class A*(1) 47,641,533
891,798 Las Vegas Sands Corp.* 52,616,082
      346,235,911
  Diversified Financials - 3.3%
206,944 CME Group, Inc. 36,558,727
1,374,300 Tradeweb Markets, Inc. Class A 102,440,322
      138,999,049
  Energy - 2.0%
249,275 Cheniere Energy, Inc. 38,086,727
367,594 EOG Resources, Inc. 48,614,307
      86,701,034
  Food, Beverage & Tobacco - 1.1%
447,610 Monster Beverage Corp.* 46,587,249
  Health Care Equipment & Services - 10.4%
478,624 DexCom, Inc.* 51,255,844
514,011 Hologic, Inc.* 41,825,075
149,993 Humana, Inc. 76,751,418
427,142 Insulet Corp.* 122,726,440
296,233 Intuitive Surgical, Inc.* 72,781,486
451,084 Veeva Systems, Inc. Class A* 76,932,376
      442,272,639
  Materials - 2.2%
330,459 Albemarle Corp. 93,007,686
  Media & Entertainment - 12.4%
1,993,612 Alphabet, Inc. Class A* 197,048,610
696,118 Meta Platforms, Inc. Class A* 103,700,699
162,484 Netflix, Inc.* 57,496,588
316,500 Take-Two Interactive Software, Inc.* 35,837,295
829,237 Walt Disney Co.* 89,963,922
1,555,931 ZoomInfo Technologies, Inc. Class A* 43,923,932
      527,971,046
  Pharmaceuticals, Biotechnology & Life Sciences - 7.6%
598,224 Agilent Technologies, Inc. 90,977,906
380,766 Eli Lilly & Co. 131,040,619
874,055 Exact Sciences Corp.* 59,016,193
165,818 United Therapeutics Corp.* 43,638,323
      324,673,041
  Retailing - 10.5%
2,859,483 Amazon.com, Inc.* 294,898,482
138,116 Etsy, Inc.* 19,001,999
Shares or Principal Amount   Market Value†
COMMON STOCKS - 98.4% - (continued)
  Retailing - 10.5% - (continued)
  378,987 Ross Stores, Inc. $    44,792,473
  171,581 Tory Burch LLC*(2)(3)      5,854,343
  163,547 Ulta Beauty, Inc.*    84,056,616
      448,603,913
  Semiconductors & Semiconductor Equipment - 6.0%
  272,990 First Solar, Inc.*     48,483,024
774,635 NVIDIA Corp. 151,340,440
174,250 SolarEdge Technologies, Inc.* 55,608,402
      255,431,866
  Software & Services - 19.8%
1,022,435 Block, Inc.* 83,553,388
684,643 DocuSign, Inc.* 41,516,752
337,922 Mastercard, Inc. Class A 125,233,893
818,287 Microsoft Corp. 202,779,701
680,312 Okta, Inc.* 50,077,766
292,204 Paycom Software, Inc.* 94,656,564
164,787 Rubicon Earnout Shares*(2)(3) 29,497
2,197,165 Rubicon Technology, Inc. Class B*(2)(3) 3,539,633
2,197,165 Rubicon Technology, Inc. Class V*(2)(3)
2,197,165 Rubicon TRA Placeholder*(2)(3) 483,376
600,178 salesforce.com, Inc.* 100,811,899
761,320 Workday, Inc. Class A* 138,126,288
      840,808,757
  Technology Hardware & Equipment - 4.1%
1,030,628 Arista Networks, Inc.* 129,879,741
1,830,001 Flex Ltd.* 42,730,523
      172,610,264
  Total Common Stocks
(cost $4,157,370,518)
  $ 4,186,628,097
CONVERTIBLE PREFERRED STOCKS - 0.4%
  Software & Services - 0.4%
5,668,755 Essence Group Holdings Corp. Series 3*(2)(3) $ 10,430,509
743,470 Lookout, Inc. Series F*(2)(3) 5,308,376
  Total Convertible Preferred Stocks
(cost $17,456,734)
  $ 15,738,885
  Total Long-Term Investments
(cost $4,174,827,252)
  $ 4,202,366,982
SHORT-TERM INVESTMENTS - 0.3%
  Repurchase Agreements - 0.2%
$   8,631,684 Fixed Income Clearing Corp. Repurchase Agreement dated 01/31/2023 at 4.280%, due on 02/01/2023 with a maturity value of $8,632,710; collateralized by U.S. Treasury Note at 4.125%, maturing 01/31/2025, with a market value of $8,804,389 $ 8,631,684
  Securities Lending Collateral - 0.1%
695,854 Goldman Sachs Financial Square Funds, Government Fund, Institutional Class, 4.24%(4) 695,854
2,271,315 HSBC US Government Money Market Fund, 4.22%(4) 2,271,315
 

1

The Hartford Growth Opportunities Fund
Schedule of Investments – (continued)
January 31, 2023  (Unaudited) 

Shares or Principal Amount   Market Value†
SHORT-TERM INVESTMENTS - 0.3% - (continued)
  Securities Lending Collateral - 0.1% - (continued)
  666,935 Invesco Government & Agency Portfolio, Institutional Class, 4.32%(4) $       666,935
  681,395 Morgan Stanley Institutional Liquidity Funds, Government Portfolio, Institutional Class, 4.13%(4)        681,395
      4,315,499
  Total Short-Term Investments
(cost $12,947,183)
$ 12,947,183
  Total Investments
(cost $4,187,774,435)
99.1% $ 4,215,314,165
  Other Assets and Liabilities 0.9% 39,570,304
  Total Net Assets 100.0% $ 4,254,884,469
Note: Percentage of investments as shown is the ratio of the total market value to total net assets.
  Prices of foreign equities that are principally traded on certain foreign markets will generally be adjusted daily pursuant to a fair value pricing service approved by Hartford Funds Management Company, LLC in order to reflect an adjustment for factors occurring after the close of certain foreign markets but before the close of the New York Stock Exchange.
  Equity industry classifications used in this report are the Global Industry Classification Standard, which was developed by and is the exclusive property and service mark of MSCI, Inc. and Standard & Poor’s.
  For Fund compliance purposes, the Fund may not use the same classification system. These classifications are used for financial reporting purposes.
  See “Glossary” for abbreviation descriptions.
    
* Non-income producing.
(1) Represents entire or partial securities on loan.
(2) Investment in securities not registered under the Securities Act of 1933 (excluding securities acquired pursuant to Rule 144A and Regulation S). At the end of the period, the value of such restricted securities amounted to $25,645,734 or 0.6% of net assets.
    
Period
Acquired
  Security Name   Shares/
Par Value
  Total Cost   Market Value
05/2014   Essence Group Holdings Corp. Series 3 Convertible Preferred   5,668,755   $ 8,964,002   $ 10,430,509
07/2014   Lookout, Inc. Series F Convertible Preferred   743,470   8,492,732   5,308,376
09/2015   Rubicon Earnout Shares   164,787     29,497
09/2015   Rubicon Technology, Inc. Class V   2,197,165    
09/2015   Rubicon Technology, Inc. Class B   2,197,165   9,392,114   3,539,633
09/2015   Rubicon TRA Placeholder   2,197,165     483,376
11/2013   Tory Burch LLC   171,581   13,447,917   5,854,343
            $ 40,296,765   $ 25,645,734
    
(3) Investment valued using significant unobservable inputs.
(4) Current yield as of period end.
For information regarding the Fund’s significant accounting policies, please refer to the Fund’s most recent shareholder report.
 

2

The Hartford Growth Opportunities Fund
Schedule of Investments – (continued)
January 31, 2023  (Unaudited) 

Fair Value Summary
The following is a summary of the fair valuations according to the inputs used as of January 31, 2023 in valuing the Fund’s investments.
Description   Total   Level 1   Level 2   Level 3(1)
Assets                
Common Stocks                
Automobiles & Components   $ 122,234,633   $ 122,234,633   $ —   $ —
Capital Goods   193,670,830   152,828,019   40,842,811  
Commercial & Professional Services   75,696,443   75,696,443    
Consumer Durables & Apparel   71,123,736   71,123,736    
Consumer Services   346,235,911   346,235,911    
Diversified Financials   138,999,049   138,999,049    
Energy   86,701,034   86,701,034    
Food, Beverage & Tobacco   46,587,249   46,587,249    
Health Care Equipment & Services   442,272,639   442,272,639    
Materials   93,007,686   93,007,686    
Media & Entertainment   527,971,046   527,971,046    
Pharmaceuticals, Biotechnology & Life Sciences   324,673,041   324,673,041    
Retailing   448,603,913   442,749,570     5,854,343
Semiconductors & Semiconductor Equipment   255,431,866   255,431,866    
Software & Services   840,808,757   836,756,251     4,052,506
Technology Hardware & Equipment   172,610,264   172,610,264    
Convertible Preferred Stocks   15,738,885       15,738,885
Short-Term Investments   12,947,183   4,315,499   8,631,684  
Total   $ 4,215,314,165   $ 4,140,193,936   $ 49,474,495   $ 25,645,734
    
(1) For the period ended January 31, 2023, there were no transfers in and out of Level 3.
Level 3 investments at the beginning and/or end of the period in relation to net assets were not significant and accordingly, a reconciliation of Level 3 assets for the period ended January 31, 2023 is not presented.

3

Hartford Quality Value Fund
Schedule of Investments
January 31, 2023  (Unaudited) 

Shares or Principal Amount   Market Value†
COMMON STOCKS - 99.0%
  Banks - 7.7%
 96,238 Bank of America Corp. $   3,414,524
 56,951 Bank of Nova Scotia   3,082,758
 61,272 JP Morgan Chase & Co.   8,575,629
 27,817 PNC Financial Services Group, Inc.   4,601,766
      19,674,677
  Capital Goods - 9.1%
19,659 Curtiss-Wright Corp. 3,259,462
20,744 Honeywell International, Inc. 4,324,709
65,111 Johnson Controls International plc 4,529,772
7,533 Lockheed Martin Corp. 3,489,738
43,378 Otis Worldwide Corp. 3,566,973
40,608 Westinghouse Air Brake Technologies Corp. 4,215,517
      23,386,171
  Consumer Services - 3.1%
22,958 Hilton Worldwide Holdings, Inc. 3,330,976
17,388 McDonald's Corp. 4,649,551
      7,980,527
  Diversified Financials - 4.8%
29,962 American Express Co. 5,241,253
53,421 Charles Schwab Corp. 4,135,854
31,473 Morgan Stanley 3,063,267
      12,440,374
  Energy - 6.8%
35,444 Chevron Corp. 6,167,965
27,815 EOG Resources, Inc. 3,678,534
122,341 TotalEnergies SE ADR 7,590,035
      17,436,534
  Food & Staples Retailing - 2.4%
29,853 Sysco Corp. 2,312,413
26,523 Walmart, Inc. 3,815,864
      6,128,277
  Food, Beverage & Tobacco - 4.1%
44,108 Keurig Dr Pepper, Inc. 1,556,130
65,255 Mondelez International, Inc. Class A 4,270,287
46,168 Philip Morris International, Inc. 4,812,553
      10,638,970
  Health Care Equipment & Services - 8.9%
46,916 Baxter International, Inc. 2,143,592
18,998 Becton Dickinson and Co. 4,791,676
10,408 Elevance Health, Inc. 5,203,896
61,552 Medtronic plc 5,151,287
11,165 UnitedHealth Group, Inc. 5,573,456
      22,863,907
  Household & Personal Products - 2.0%
41,442 Colgate-Palmolive Co. 3,088,672
40,243 Unilever plc ADR 2,056,418
      5,145,090
  Insurance - 8.3%
48,499 American International Group, Inc. 3,066,107
14,036 Chubb Ltd. 3,193,050
19,428 Marsh & McLennan Cos., Inc. 3,398,151
54,616 MetLife, Inc. 3,988,060
50,762 Principal Financial Group, Inc. 4,698,023
28,091 Prudential Financial, Inc. 2,947,870
      21,291,261
  Materials - 3.9%
30,493 Celanese Corp. Class A 3,756,738
Shares or Principal Amount   Market Value†
COMMON STOCKS - 99.0% - (continued)
  Materials - 3.9% - (continued)
 27,512 FMC Corp. $   3,662,672
 20,783 PPG Industries, Inc.   2,708,856
      10,128,266
  Media & Entertainment - 5.3%
 42,045 Alphabet, Inc. Class A*   4,155,728
132,923 Comcast Corp. Class A   5,230,520
49,956 Omnicom Group, Inc. 4,295,716
      13,681,964
  Pharmaceuticals, Biotechnology & Life Sciences - 7.4%
79,021 AstraZeneca plc ADR 5,165,603
49,365 Merck & Co., Inc. 5,302,294
33,111 Novartis AG ADR 3,000,519
128,375 Pfizer, Inc. 5,669,040
      19,137,456
  Real Estate - 4.8%
15,778 American Tower Corp. REIT 3,524,647
144,208 Host Hotels & Resorts, Inc. REIT 2,718,321
10,346 Public Storage REIT 3,148,702
89,429 VICI Properties, Inc. REIT 3,056,683
      12,448,353
  Retailing - 2.2%
10,754 Lowe's Cos., Inc. 2,239,520
41,039 TJX Cos., Inc. 3,359,453
      5,598,973
  Semiconductors & Semiconductor Equipment - 3.5%
5,138 Broadcom, Inc. 3,005,781
59,586 Intel Corp. 1,683,900
24,461 Texas Instruments, Inc. 4,334,734
      9,024,415
  Software & Services - 4.8%
13,493 Accenture plc Class A 3,765,221
79,052 Cognizant Technology Solutions Corp. Class A 5,276,721
43,018 Fidelity National Information Services, Inc. 3,228,071
      12,270,013
  Technology Hardware & Equipment - 1.9%
101,649 Cisco Systems, Inc. 4,947,257
  Telecommunication Services - 1.7%
106,208 Verizon Communications, Inc. 4,415,067
  Transportation - 1.5%
109,197 Southwest Airlines Co. 3,905,977
  Utilities - 4.8%
21,227 American Electric Power Co., Inc. 1,994,489
32,537 Duke Energy Corp. 3,333,416
34,031 Eversource Energy 2,801,772
26,357 Sempra Energy 4,225,818
      12,355,495
  Total Common Stocks
(cost $207,354,074)
  $ 254,899,024
 

4

Hartford Quality Value Fund
Schedule of Investments – (continued)
January 31, 2023  (Unaudited) 

Shares or Principal Amount   Market Value†
SHORT-TERM INVESTMENTS - 0.1%
  Repurchase Agreements - 0.1%
$   419,209 Fixed Income Clearing Corp. Repurchase Agreement dated 01/31/2023 at 4.280%, due on 02/01/2023 with a maturity value of $419,259; collateralized by U.S. Treasury Note at 4.125%, maturing 01/31/2025, with a market value of $427,612 $     419,209
  Total Short-Term Investments
(cost $419,209)
$ 419,209
  Total Investments
(cost $207,773,283)
99.1% $ 255,318,233
  Other Assets and Liabilities 0.9% 2,203,895
  Total Net Assets 100.0% $ 257,522,128
Note: Percentage of investments as shown is the ratio of the total market value to total net assets.
  Prices of foreign equities that are principally traded on certain foreign markets will generally be adjusted daily pursuant to a fair value pricing service approved by Hartford Funds Management Company, LLC in order to reflect an adjustment for factors occurring after the close of certain foreign markets but before the close of the New York Stock Exchange.
  Equity industry classifications used in this report are the Global Industry Classification Standard, which was developed by and is the exclusive property and service mark of MSCI, Inc. and Standard & Poor’s.
  For Fund compliance purposes, the Fund may not use the same classification system. These classifications are used for financial reporting purposes.
  See “Glossary” for abbreviation descriptions.
    
* Non-income producing.
For information regarding the Fund’s significant accounting policies, please refer to the Fund’s most recent shareholder report.
 
Fair Value Summary
The following is a summary of the fair valuations according to the inputs used as of January 31, 2023 in valuing the Fund’s investments.
Description   Total   Level 1   Level 2   Level 3(1)
Assets                
Common Stocks                
Banks   $ 19,674,677   $ 19,674,677   $ —   $ —
Capital Goods   23,386,171   23,386,171    
Consumer Services   7,980,527   7,980,527    
Diversified Financials   12,440,374   12,440,374    
Energy   17,436,534   17,436,534    
Food & Staples Retailing   6,128,277   6,128,277    
Food, Beverage & Tobacco   10,638,970   10,638,970    
Health Care Equipment & Services   22,863,907   22,863,907    
Household & Personal Products   5,145,090   5,145,090    
Insurance   21,291,261   21,291,261    
Materials   10,128,266   10,128,266    
Media & Entertainment   13,681,964   13,681,964    
Pharmaceuticals, Biotechnology & Life Sciences   19,137,456   19,137,456    
Real Estate   12,448,353   12,448,353    
Retailing   5,598,973   5,598,973    
Semiconductors & Semiconductor Equipment   9,024,415   9,024,415    
Software & Services   12,270,013   12,270,013    
Technology Hardware & Equipment   4,947,257   4,947,257    
Telecommunication Services   4,415,067   4,415,067    
Transportation   3,905,977   3,905,977    
Utilities   12,355,495   12,355,495    
Short-Term Investments   419,209     419,209  
Total   $ 255,318,233   $ 254,899,024   $ 419,209   $ —
    
(1) For the period ended January 31, 2023, there were no transfers in and out of Level 3.

5

The Hartford Small Cap Growth Fund
Schedule of Investments
January 31, 2023  (Unaudited) 

Shares or Principal Amount   Market Value†
COMMON STOCKS - 98.7%
  Automobiles & Components - 3.4%
 48,763 Fox Factory Holding Corp.* $   5,758,422
 35,111 Patrick Industries, Inc.    2,491,828
 34,199 Thor Industries, Inc.    3,260,191
 35,086 Visteon Corp.*   5,485,345
      16,995,786
  Banks - 3.1%
305,537 MGIC Investment Corp. 4,314,183
101,694 Synovus Financial Corp. 4,266,063
52,299 Triumph Bancorp, Inc.* 2,914,623
48,005 Western Alliance Bancorp 3,618,137
      15,113,006
  Capital Goods - 13.6%
52,513 Ameresco, Inc. Class A* 3,385,513
61,807 Applied Industrial Technologies, Inc. 8,851,381
31,493 Boise Cascade Co. 2,361,030
31,634 Chart Industries, Inc.* 4,238,323
27,939 Curtiss-Wright Corp. 4,632,286
88,750 Fluor Corp.* 3,261,563
20,828 Herc Holdings, Inc. 3,235,005
49,793 ITT, Inc. 4,560,541
48,446 John Bean Technologies Corp. 5,412,872
42,266 Rush Enterprises, Inc. Class A 2,274,334
128,507 Shoals Technologies Group, Inc. Class A* 3,584,060
76,043 SPX Technologies, Inc.* 5,703,985
272,997 Stem, Inc.* 2,691,750
143,652 WillScot Mobile Mini Holdings Corp.* 6,961,376
265,844 Zurn Water Solutions Corp. 5,811,350
      66,965,369
  Commercial & Professional Services - 6.3%
49,675 ASGN, Inc.* 4,517,941
16,033 CACI International, Inc. Class A* 4,939,607
48,180 Casella Waste Systems, Inc. Class A* 3,860,182
21,721 Clean Harbors, Inc.* 2,830,246
30,245 Exponent, Inc. 3,101,322
50,607 Insperity, Inc. 5,594,604
76,887 KBR, Inc. 3,938,921
12,998 Tetra Tech, Inc. 2,021,449
      30,804,272
  Consumer Durables & Apparel - 3.8%
69,818 Crocs, Inc.* 8,501,738
12,061 Deckers Outdoor Corp.* 5,155,836
115,497 YETI Holdings, Inc.* 5,169,646
      18,827,220
  Consumer Services - 4.8%
18,249 Churchill Downs, Inc. 4,527,577
89,690 Penn National Gaming, Inc.* 3,179,510
79,886 Texas Roadhouse, Inc. 8,022,951
49,995 Wingstop, Inc. 7,922,708
      23,652,746
  Diversified Financials - 1.0%
74,045 Stifel Financial Corp. 4,991,374
  Energy - 6.2%
46,209 Cactus, Inc. Class A 2,500,369
37,863 Chord Energy Corp. 5,426,904
94,740 Helmerich & Payne, Inc. 4,589,206
242,758 Magnolia Oil & Gas Corp. Class A 5,731,516
71,011 Ovintiv, Inc. 3,495,871
66,715 PDC Energy, Inc. 4,518,607
127,486 SM Energy Co. 4,190,465
      30,452,938
  Food & Staples Retailing - 0.8%
66,518 Performance Food Group Co.* 4,078,884
Shares or Principal Amount   Market Value†
COMMON STOCKS - 98.7% - (continued)
  Food, Beverage & Tobacco - 4.2%
  5,831 Boston Beer Co., Inc. Class A* $   2,265,985
 46,937 Celsius Holdings, Inc.*    4,708,720
 50,117 Freshpet, Inc.*    3,173,910
 21,847 Lancaster Colony Corp.    4,192,658
 89,592 Simply Good Foods Co.*    3,252,189
244,245 Sovos Brands, Inc.*   3,311,962
      20,905,424
  Health Care Equipment & Services - 9.5%
16,776 Amedisys, Inc.* 1,621,568
67,083 AtriCure, Inc.* 2,903,352
64,008 Encompass Health Corp. 3,997,300
64,313 Glaukos Corp.* 3,154,553
76,889 Globus Medical, Inc. Class A* 5,805,120
74,096 Haemonetics Corp.* 6,268,522
62,605 HealthEquity, Inc.* 3,809,514
45,143 Inari Medical, Inc.* 2,575,408
9,688 Inspire Medical Systems, Inc.* 2,451,645
85,138 Integra LifeSciences Holdings Corp.* 4,878,407
17,082 ModivCare, Inc.* 1,832,215
45,468 Omnicell, Inc.* 2,522,110
138,955 Owens & Minor, Inc.* 2,742,972
10,702 Shockwave Medical, Inc.* 2,011,227
      46,573,913
  Household & Personal Products - 0.5%
229,373 Beauty Health Co.* 2,614,852
  Insurance - 0.4%
83,579 James River Group Holdings Ltd. 1,893,900
  Materials - 4.4%
172,201 Axalta Coating Systems Ltd.* 5,183,250
71,261 Cabot Corp. 5,368,091
34,300 Ingevity Corp.* 2,827,692
227,331 Livent Corp.* 5,892,420
36,577 Louisiana-Pacific Corp. 2,490,528
      21,761,981
  Media & Entertainment - 1.6%
105,913 Bumble, Inc. Class A* 2,727,260
55,072 Ziff Davis, Inc.* 4,927,842
      7,655,102
  Pharmaceuticals, Biotechnology & Life Sciences - 12.0%
77,513 ACADIA Pharmaceuticals, Inc.* 1,475,072
131,737 Aclaris Therapeutics, Inc.* 2,226,355
101,996 Alkermes plc* 2,921,166
39,996 Apellis Pharmaceuticals, Inc.* 2,108,989
58,263 Blueprint Medicines Corp.* 2,723,213
37,881 Celldex Therapeutics, Inc.* 1,669,037
88,800 Crinetics Pharmaceuticals, Inc.* 1,741,368
67,288 Cytokinetics, Inc.* 2,858,394
82,221 Denali Therapeutics, Inc.* 2,488,830
489,627 Geron Corp.* 1,615,769
27,568 Halozyme Therapeutics, Inc.* 1,427,195
42,811 Harmony Biosciences Holdings, Inc.* 2,062,206
366,255 ImmunoGen, Inc.* 1,684,773
73,248 Inhibrx, Inc.* 1,831,200
67,071 Intra-Cellular Therapies, Inc.* 3,214,042
18,362 Karuna Therapeutics, Inc.* 3,661,199
42,887 Kymera Therapeutics, Inc.* 1,603,116
62,466 Morphic Holding, Inc.* 2,044,512
59,673 PTC Therapeutics, Inc.* 2,738,394
46,339 Replimune Group, Inc.* 1,290,541
88,654 Revance Therapeutics, Inc.* 3,074,521
71,831 Revolution Medicines, Inc.* 1,920,761
42,377 Sage Therapeutics, Inc.* 1,878,996
76,985 Syndax Pharmaceuticals, Inc.* 2,209,470
68,690 Vaxcyte, Inc.* 3,115,092
 

6

The Hartford Small Cap Growth Fund
Schedule of Investments – (continued)
January 31, 2023  (Unaudited) 

Shares or Principal Amount   Market Value†
COMMON STOCKS - 98.7% - (continued)
  Pharmaceuticals, Biotechnology & Life Sciences - 12.0% - (continued)
 67,694 Veracyte, Inc.* $   1,701,150
 66,058 Zentalis Pharmaceuticals, Inc.*   1,558,969
      58,844,330
  Real Estate - 2.3%
 38,654 Agree Realty Corp. REIT    2,884,748
133,598 Phillips Edison & Co., Inc. REIT    4,478,205
44,735 Ryman Hospitality Properties, Inc. REIT 4,155,434
      11,518,387
  Semiconductors & Semiconductor Equipment - 4.8%
45,754 Axcelis Technologies, Inc.* 5,030,652
30,616 Cirrus Logic, Inc.* 2,767,380
38,210 Lattice Semiconductor Corp.* 2,895,936
30,110 MKS Instruments, Inc. 3,080,855
60,883 Power Integrations, Inc. 5,241,418
29,164 Silicon Laboratories, Inc.* 4,576,123
      23,592,364
  Software & Services - 12.3%
68,231 Alarm.com Holdings, Inc.* 3,657,182
55,266 Blackbaud, Inc.* 3,438,098
31,819 Ceridian HCM Holding, Inc.* 2,299,877
25,405 Concentrix Corp. 3,602,683
30,882 Consensus Cloud Solutions, Inc.* 1,814,935
45,910 DigitalOcean Holdings, Inc.* 1,347,458
161,849 EngageSmart, Inc.* 3,188,425
26,241 ExlService Holdings, Inc.* 4,476,715
34,660 Five9, Inc.* 2,730,515
31,286 Manhattan Associates, Inc.* 4,078,443
68,711 Olo, Inc. Class A* 551,062
54,190 Perficient, Inc.* 4,017,647
65,607 PowerSchool Holdings, Inc. Class A* 1,477,470
44,718 Rapid7, Inc.* 1,782,907
101,826 Repay Holdings Corp.* 991,785
53,820 Shift4 Payments, Inc. Class A* 3,446,633
50,890 Sprout Social, Inc. Class A* 3,255,433
63,706 Squarespace, Inc. Class A* 1,511,106
391,785 Verra Mobility Corp.* 6,045,243
20,155 WEX, Inc.* 3,728,070
37,863 Workiva, Inc.* 3,276,285
      60,717,972
  Technology Hardware & Equipment - 3.7%
50,056 Fabrinet* 6,590,373
45,879 Insight Enterprises, Inc.* 5,171,481
26,519 Lumentum Holdings, Inc.* 1,595,913
29,387 Novanta, Inc.* 4,745,119
      18,102,886
  Total Common Stocks
(cost $382,322,395)
  $ 486,062,706
Shares or Principal Amount   Market Value†
EXCHANGE-TRADED FUNDS - 0.5%
  Other Investment Pools & Funds - 0.5%
  9,869 iShares Russell 2000 Growth ETF $   2,328,689
  Total Exchange-Traded Funds
(cost $2,037,943)
  $ 2,328,689
  Total Long-Term Investments
(cost $384,360,338)
  $ 488,391,395
SHORT-TERM INVESTMENTS - 0.2%
  Repurchase Agreements - 0.2%
$  856,256 Fixed Income Clearing Corp. Repurchase Agreement dated 01/31/2023 at 4.280%, due on 02/01/2023 with a maturity value of $856,358; collateralized by U.S. Treasury Note at 4.125%, maturing 01/31/2025, with a market value of $873,477 $     856,256
  Total Short-Term Investments
(cost $856,256)
$ 856,256
  Total Investments
(cost $385,216,594)
99.4% $ 489,247,651
  Other Assets and Liabilities 0.6% 2,982,345
  Total Net Assets 100.0% $ 492,229,996
Note: Percentage of investments as shown is the ratio of the total market value to total net assets.
  For Fund compliance purposes, the Fund may not use the same classification system. These classifications are used for financial reporting purposes.
  See “Glossary” for abbreviation descriptions.
    
* Non-income producing.
For information regarding the Fund’s significant accounting policies, please refer to the Fund’s most recent shareholder report.
 

7

The Hartford Small Cap Growth Fund
Schedule of Investments – (continued)
January 31, 2023  (Unaudited) 

Fair Value Summary
The following is a summary of the fair valuations according to the inputs used as of January 31, 2023 in valuing the Fund’s investments.
Description   Total   Level 1   Level 2   Level 3(1)
Assets                
Common Stocks                
Automobiles & Components   $ 16,995,786   $ 16,995,786   $ —   $ —
Banks   15,113,006   15,113,006    
Capital Goods   66,965,369   66,965,369    
Commercial & Professional Services   30,804,272   30,804,272    
Consumer Durables & Apparel   18,827,220   18,827,220    
Consumer Services   23,652,746   23,652,746    
Diversified Financials   4,991,374   4,991,374    
Energy   30,452,938   30,452,938    
Food & Staples Retailing   4,078,884   4,078,884    
Food, Beverage & Tobacco   20,905,424   20,905,424    
Health Care Equipment & Services   46,573,913   46,573,913    
Household & Personal Products   2,614,852   2,614,852    
Insurance   1,893,900   1,893,900    
Materials   21,761,981   21,761,981    
Media & Entertainment   7,655,102   7,655,102    
Pharmaceuticals, Biotechnology & Life Sciences   58,844,330   58,844,330    
Real Estate   11,518,387   11,518,387    
Semiconductors & Semiconductor Equipment   23,592,364   23,592,364    
Software & Services   60,717,972   60,717,972    
Technology Hardware & Equipment   18,102,886   18,102,886    
Exchange-Traded Funds   2,328,689   2,328,689    
Short-Term Investments   856,256     856,256  
Total   $ 489,247,651   $ 488,391,395   $ 856,256   $ —
    
(1) For the period ended January 31, 2023, there were no transfers in and out of Level 3.

8

Hartford Schroders China A Fund
Schedule of Investments
January 31, 2023  (Unaudited) 

Shares or Principal Amount   Market Value†
COMMON STOCKS - 85.9%
  Automobiles & Components - 1.4%
 29,100 Huizhou Desay Sv Automotive Co., Ltd. Class A $    568,088
  Banks - 6.6%
180,792 Bank of Ningbo Co., Ltd. Class A     880,844
302,133 China Merchants Bank Co., Ltd. Class A  1,851,960
      2,732,804
  Capital Goods - 13.4%
17,000 Contemporary Amperex Technology Co., Ltd. Class A 1,179,215
14,800 Gongniu Group Co., Ltd. Class A 332,459
171,400 Han's Laser Technology Industry Group Co., Ltd. Class A 712,424
196,240 Hongfa Technology Co., Ltd. Class A 1,091,346
1,600 Jiangsu Hengli Hydraulic Co., Ltd. Class A 15,533
39,068 Luoyang Xinqianglian Slewing Bearing Co., Ltd. Class A 368,670
367,300 Sany Heavy Industry Co., Ltd. Class A 955,512
67,800 Sinoseal Holding Co., Ltd. Class A 418,936
125,100 Zhejiang Sanhua Intelligent Controls Co., Ltd. Class A 475,787
      5,549,882
  Consumer Durables & Apparel - 3.6%
45,746 Hang Zhou Great Star Industrial Co., Ltd. Class A* 146,666
143,800 Midea Group Co., Ltd. Class A 1,180,108
9,389 Oppein Home Group, Inc. Class A 175,159
      1,501,933
  Diversified Financials - 1.4%
32,600 Hithink RoyalFlush Information Network Co., Ltd. Class A 572,474
  Food, Beverage & Tobacco - 8.5%
107,795 Chacha Food Co., Ltd. Class A 729,362
6,800 Chongqing Brewery Co., Ltd. Class A 121,460
4,545 Kweichow Moutai Co., Ltd. Class A 1,246,102
250,496 Toly Bread Co., Ltd. Class A 621,463
25,999 Wuliangye Yibin Co., Ltd. Class A 809,002
      3,527,389
  Health Care Equipment & Services - 0.8%
114,400 Edan Instruments, Inc. Class A 207,052
124,865 Shanghai Kinetic Medical Co., Ltd. Class A 133,959
      341,011
  Insurance - 5.1%
281,800 Ping An Insurance Group Co. of China Ltd. Class A 2,136,245
  Materials - 22.5%
233,300 China Jushi Co., Ltd. Class A 510,732
298,409 Chongqing Zaisheng Technology Corp. Ltd. Class A 258,796
256,414 Citic Pacific Special Steel Group Co., Ltd. Class A 693,808
229,780 Hengli Petrochemical Co., Ltd. Class A 597,429
412,178 Huafon Chemical Co., Ltd. Class A 464,581
249,600 Hubei Dinglong Co., Ltd. Class A 847,382
67,400 Jiangsu Boqian New Materials Stock Co., Ltd. Class A 519,118
120,800 LB Group Co., Ltd. Class A 373,865
439,046 Satellite Chemical Co., Ltd. Class A 1,154,079
180,400 Shandong Sinocera Functional Material Co., Ltd. Class A 874,016
75,500 Wanhua Chemical Group Co., Ltd. Class A 1,083,194
1,047 Western Superconducting Technologies Co., Ltd. Class A 15,296
96,840 Zhejiang Huayou Cobalt Co., Ltd. Class A 947,608
561,057 Zijin Mining Group Co., Ltd. Class A 985,267
      9,325,171
  Media & Entertainment - 4.1%
259,200 Focus Media Information Technology Co., Ltd. Class A 267,486
199,100 Mango Excellent Media Co., Ltd. Class A 902,214
244,700 Perfect World Co., Ltd. Class A 510,398
      1,680,098
  Pharmaceuticals, Biotechnology & Life Sciences - 5.3%
72,400 Amoy Diagnostics Co., Ltd. Class A 309,085
31,700 Hangzhou Tigermed Consulting Co., Ltd. Class A 548,001
25,276 Jiangsu Hengrui Pharmaceuticals Co., Ltd. Class A 158,337
Shares or Principal Amount   Market Value†
COMMON STOCKS - 85.9% - (continued)
  Pharmaceuticals, Biotechnology & Life Sciences - 5.3% - (continued)
 40,380 Shenzhen Kangtai Biological Products Co., Ltd. Class A $    220,379
 70,760 WuXi AppTec Co., Ltd. Class A    982,886
      2,218,688
  Real Estate - 0.9%
162,844 Poly Developments and Holdings Group Co., Ltd. Class A    379,459
  Retailing - 1.1%
14,900 China Tourism Group Duty Free Corp. Ltd. Class A 471,789
  Semiconductors & Semiconductor Equipment - 2.7%
154,956 LONGi Green Energy Technology Co., Ltd. Class A* 1,110,792
  Technology Hardware & Equipment - 6.2%
143,800 GoerTek, Inc. Class A 442,097
54,110 Guangzhou Shiyuan Electronic Technology Co., Ltd. Class A 505,771
189,959 Shenzhen Sunlord Electronics Co., Ltd. Class A 808,842
128,800 Zhejiang Jiecang Linear Motion Technology Co., Ltd. Class A 515,815
71,500 Zhongji Innolight Co., Ltd. Class A 309,021
      2,581,546
  Transportation - 2.3%
107,600 SF Holding Co., Ltd. Class A 939,164
  Total Common Stocks
(cost $35,532,950)
  $ 35,636,533
WARRANTS - 13.7%(1)
  Banks - 3.2%
45,388 Autobio Diagnostics Co., Ltd. Expires 10/13/2023* $ 442,599
65,195 Micro-Tech Nanjing Co., Ltd. Expires 10/2/2023* 876,381
      1,318,980
  Diversified Financials - 2.1%
25,691 Advanced Micro-Fabrication Equipment, Inc. China Expires 8/14/2023* 398,809
15,439 ZWSOFT Co., Ltd. Guangzhou Expires 9/22/2023* 494,362
      893,171
  Health Care Equipment & Services - 2.5%
3,880 iRay Technology Co., Ltd. Expires 6/13/2023* 268,512
42,185 Qingdao Haier Biomedical Co., Ltd. Expires 1/03/2024* 453,007
30,648 Qingdao Haier Biomedical Co., Ltd. Expires 5/29/2023* 329,116
      1,050,635
  Household & Personal Products - 2.1%
177,358 Ninebot Ltd. Expires 8/28/2023* 871,179
  Software & Services - 2.0%
63,425 Piesat Information Technology Co., Ltd. Expires 12/22/2023* 825,648
  Technology Hardware & Equipment - 1.8%
15,840 Gongniu Group Co., Ltd. Expires 2/17/2023* 354,990
38,451 Shanghai Holystar Information Technology Co., Ltd. Expires 1/18/2024* 392,992
      747,982
  Total Warrants
(cost $5,453,656)
  $ 5,707,595
  Total Long-Term Investments
(cost $40,986,606)
  $ 41,344,128
 

9

Hartford Schroders China A Fund
Schedule of Investments – (continued)
January 31, 2023  (Unaudited) 

Shares or Principal Amount   Market Value†
SHORT-TERM INVESTMENTS - 0.4%
  Other Investment Pools & Funds - 0.4%
162,607 Morgan Stanley Institutional Liquidity Funds, Treasury Portfolio, Institutional Class, 4.27%(2) $    162,607
  Total Short-Term Investments
(cost $162,607)
$ 162,607
  Total Investments
(cost $41,149,213)
100.0% $ 41,506,735
  Other Assets and Liabilities (0.0)% (14,228)
  Total Net Assets 100.0% $ 41,492,507
Note: Percentage of investments as shown is the ratio of the total market value to total net assets.
  Prices of foreign equities that are principally traded on certain foreign markets will generally be adjusted daily pursuant to a fair value pricing service approved by Hartford Funds Management Company, LLC in order to reflect an adjustment for factors occurring after the close of certain foreign markets but before the close of the New York Stock Exchange.
The Fund may refer to any one or more of the industry classifications used by one or more widely recognized market indices, ratings group and/or as defined by Fund management. Industry classifications may not be identical across all security types.
Equity industry classifications used in this report are the Global Industry Classification Standard, which was developed by and is the exclusive property and service mark of MSCI, Inc. and Standard & Poor’s.
For Fund compliance purposes, the Fund may not use the same classification system. These classifications are used for financial reporting purposes.
See “Glossary” for abbreviation descriptions.
* Non-income producing.
(1) “Warrants” refers to non-standard warrants and participatory notes.
(2) Current yield as of period end.
For information regarding the Fund’s significant accounting policies, please refer to the Fund’s most recent shareholder report.
 
Fair Value Summary
The following is a summary of the fair valuations according to the inputs used as of January 31, 2023 in valuing the Fund’s investments.
Description   Total   Level 1   Level 2   Level 3(1)
Assets                
Common Stocks                
Automobiles & Components   $ 568,088   $ —   $ 568,088   $ —
Banks   2,732,804     2,732,804  
Capital Goods   5,549,882     5,549,882  
Consumer Durables & Apparel   1,501,933     1,501,933  
Diversified Financials   572,474     572,474  
Food, Beverage & Tobacco   3,527,389     3,527,389  
Health Care Equipment & Services   341,011     341,011  
Insurance   2,136,245     2,136,245  
Materials   9,325,171   15,296   9,309,875  
Media & Entertainment   1,680,098     1,680,098  
Pharmaceuticals, Biotechnology & Life Sciences   2,218,688     2,218,688  
Real Estate   379,459     379,459  
Retailing   471,789     471,789  
Semiconductors & Semiconductor Equipment   1,110,792     1,110,792  
Technology Hardware & Equipment   2,581,546     2,581,546  
Transportation   939,164     939,164  
Warrants   5,707,595     5,707,595  
Short-Term Investments   162,607   162,607    
Total   $ 41,506,735   $ 177,903   $ 41,328,832   $ —
    
(1) For the period ended January 31, 2023, there were no transfers in and out of Level 3.

10

Hartford Schroders Diversified Emerging Markets Fund
Schedule of Investments
January 31, 2023  (Unaudited) 

Shares or Principal Amount   Market Value†
COMMON STOCKS - 96.4%
  Brazil - 2.4%
    2,200 AES Brasil Energia S.A. $      4,377
    5,500 Arezzo Industria e Comercio S.A.      94,912
   23,200 B3 S.A. - Brasil Bolsa Balcao      59,230
   19,600 BB Seguridade Participacoes S.A.     145,872
   17,600 Cia de Saneamento de Minas Gerais      50,758
   41,709 Cia Energetica de Minas Gerais ADR      93,428
26,100 Cosan S.A. 85,864
15,800 Hypera S.A. 144,420
7,800 Kepler Weber S.A. 35,540
10,000 M Dias Branco S.A. 67,411
28,830 Odontoprev S.A. 64,631
42,400 Santos Brasil Participacoes S.A. 73,586
1,300 Sao Martinho S.A. 6,405
4,000 Sendas Distribuidora S.A. 15,484
12,200 Transmissora Alianca de Energia Eletrica S.A. 89,067
900 Tupy S.A. 4,789
4,500 Ultrapar Participacoes S.A. 11,693
24,600 WEG S.A. 185,313
      1,232,780
  Cayman Islands - 0.1%
3,716 Patria Investments Ltd. Class A 57,338
  Chile - 0.7%
55,080 Cencosud S.A. 98,931
2,508 Sociedad Quimica y Minera de Chile S.A. ADR 244,630
      343,561
  China - 31.4%
27,500 37 Interactive Entertainment Network Technology Group Co., Ltd. Class A 83,387
500,000 Agricultural Bank of China Ltd. Class H 179,967
128,600 Alibaba Group Holding Ltd.* 1,768,078
31,500 Anhui Anke Biotechnology Group Co., Ltd. Class A 53,022
16,500 Anhui Guangxin Agrochemical Co., Ltd. Class A 77,479
122,000 BAIC Motor Corp. Ltd. Class H(1) 37,449
24,750 Baidu, Inc. Class A* 416,048
776,000 Bank of China Ltd. Class H 295,396
220,000 Bank of Communications Co., Ltd. Class H 135,982
69,000 Bank of Jiangsu Co., Ltd. Class A 75,973
14,000 Beijing Easpring Material Technology Co., Ltd. Class A 140,459
5,000 Beijing United Information Technology Co., Ltd. Class A 71,859
300 Beijing Wantai Biological Pharmacy Enterprise Co., Ltd. Class A 5,969
2,200 Bethel Automotive Safety Systems Co., Ltd. Class A 28,278
10,000 BYD Co., Ltd. Class H 316,675
16,600 Chengxin Lithium Group Co., Ltd. Class A 105,582
134,000 China Feihe Ltd.(1) 128,565
38,000 China Meidong Auto Holdings Ltd. 94,283
55,000 China Merchants Bank Co., Ltd. Class H 356,737
3,800 China Pacific Insurance Group Co., Ltd. Class H 10,448
28,500 China Resources Pharmaceutical Group Ltd.(1) 21,468
5,000 China Tourism Group Duty Free Corp. Ltd. Class A 158,319
1,324,000 China Tower Corp. Ltd. Class H(1) 150,434
46,000 China Water Affairs Group Ltd. 39,982
2,900 Contemporary Amperex Technology Co., Ltd. Class A 201,160
110,000 CSPC Pharmaceutical Group Ltd. 125,422
17,400 Dongfang Electric Corp. Ltd. Class H 31,077
4,500 Eastroc Beverage Group Co., Ltd. Class A 118,920
19,600 Fuyao Glass Industry Group Co., Ltd. Class H(1) 96,463
14,680 Ganfeng Lithium Co., Ltd. Class H(1) 134,075
1,800 G-bits Network Technology Xiamen Co., Ltd. Class A 94,439
17,000 Geely Automobile Holdings Ltd. 27,579
37,500 GEM Co., Ltd. Class A 44,468
2,700 Ginlong Technologies Co., Ltd. Class A* 73,589
200 Gongniu Group Co., Ltd. Class A 4,493
9,100 Gotion High-tech Co., Ltd. Class A 43,955
Shares or Principal Amount   Market Value†
COMMON STOCKS - 96.4% - (continued)
  China - 31.4% - (continued)
   53,000 Greentown Management Holdings Co., Ltd.(1) $     43,783
   10,400 Guangzhou Tinci Materials Technology Co., Ltd. Class A      76,031
    3,400 Hangzhou Tigermed Consulting Co., Ltd. Class H(1)      44,600
   19,340 Hefei Meiya Optoelectronic Technology, Inc. Class A      78,648
    2,300 Hithink RoyalFlush Information Network Co., Ltd. Class A      40,389
    7,000 Hubei Jumpcan Pharmaceutical Co., Ltd. Class A      30,345
400 Huizhou Desay Sv Automotive Co., Ltd. Class A 7,809
698,000 Industrial & Commercial Bank of China Ltd. Class H 373,373
1,400 Jafron Biomedical Co., Ltd. Class A 7,012
12,300 JD Health International, Inc.*(1) 102,143
48,480 JD.com, Inc. Class A 1,439,534
6,800 Jiangsu Hengli Hydraulic Co., Ltd. Class A 66,016
65,000 Jiumaojiu International Holdings Ltd.(1) 166,542
14,200 LONGi Green Energy Technology Co., Ltd. Class A 101,792
20,800 Meituan Class B*(1) 465,002
10,600 Midea Group Co., Ltd. Class A 86,990
12,000 NetDragon Websoft Holdings Ltd. 27,874
18,400 NetEase, Inc. 326,455
37,000 New China Life Insurance Co., Ltd. Class H 99,233
2,500 Ningbo Deye Technology Co., Ltd. Class A 129,517
12,420 NIO, Inc. Class A* 149,092
36,000 Nongfu Spring Co., Ltd. Class H(1) 203,789
5,012 Pinduoduo, Inc. ADR* 491,076
34,500 Ping An Insurance Group Co. of China Ltd. Class H 267,986
169,000 Postal Savings Bank of China Co., Ltd. Class H(1) 115,006
6,700 Shanghai Flyco Electrical Appliance Co., Ltd. Class A 66,031
13,600 Shenzhen Capchem Technology Co., Ltd. Class A 98,940
1,500 Shenzhen Mindray Bio-Medical Electronics Co., Ltd. Class A 74,160
46,100 Sichuan Road and Bridge Group Co., Ltd. Class A 80,164
31,600 Sichuan Yahua Industrial Group Co., Ltd. Class A 121,184
2,500 Sinoma Science & Technology Co., Ltd. Class A 9,220
36,500 Sinopec Engineering Group Co., Ltd. Class H 18,398
1,100 Suzhou Maxwell Technologies Co., Ltd. Class A 72,461
5,200 Suzhou TA&A Ultra Clean Technology Co., Ltd. Class A 49,079
62,300 Tencent Holdings Ltd. 3,035,811
10,300 Tianjin Zhonghuan Semiconductor Co., Ltd. Class A 64,963
20,000 Tianneng Power International Ltd. 29,641
28,000 Tianqi Lithium Corp. Class H* 259,544
44,800 Tongcheng-Elong Holdings Ltd.* 101,508
9,200 Tongwei Co., Ltd. Class A 57,707
62,000 Topsports International Holdings Ltd.(1) 58,420
20,000 Want Want China Holdings Ltd. 13,026
2,600 WuXi AppTec Co., Ltd. Class H(1) 33,785
32,500 Wuxi Biologics Cayman, Inc.*(1) 271,388
500 Wuxi Lead Intelligent Equipment Co., Ltd. Class A 3,437
7,700 Wuxi Shangji Automation Co., Ltd. Class A 130,845
4,800 Xiamen Faratronic Co., Ltd. Class A 127,803
14,700 Xiamen Tungsten Co., Ltd. Class A 48,416
400 XPeng, Inc. Class A* 2,105
26,000 Yadea Group Holdings Ltd.(1) 59,276
9,900 Yangling Metron New Material, Inc. Class A 79,775
7,600 Yangzhou Yangjie Electronic Technology Co., Ltd. Class A 64,399
14,600 Yealink Network Technology Corp. Ltd. Class A 132,414
2,150 Yum China Holdings, Inc. 130,264
52,000 Zhejiang Expressway Co., Ltd. Class H 44,904
300 Zhejiang Wolwo Bio-Pharmaceutical Co., Ltd. Class A 2,509
23,500 Zhongsheng Group Holdings Ltd. 132,967
      16,162,060
  Colombia - 0.1%
4,589 Geopark Ltd. 69,799
  Czech Republic - 0.2%
2,668 Komercni Banka AS 90,049
 

11

Hartford Schroders Diversified Emerging Markets Fund
Schedule of Investments – (continued)
January 31, 2023  (Unaudited) 

Shares or Principal Amount   Market Value†
COMMON STOCKS - 96.4% - (continued)
  Greece - 0.7%
    7,361 Hellenic Telecommunications Organization S.A. $    116,041
    1,931 Motor Oil Hellas Corinth Refineries S.A.      47,189
    3,874 Mytilineos S.A.     100,221
   17,367 National Bank of Greece S.A.*     82,574
      346,025
  Hong Kong - 1.8%
77,800 AIA Group Ltd. 879,735
9,200 Hongkong Land Holdings Ltd. 44,976
      924,711
  Hungary - 0.7%
22,880 Magyar Telekom Telecommunications plc 24,292
4,045 OTP Bank Nyrt 121,882
9,624 Richter Gedeon Nyrt 217,323
      363,497
  India - 10.1%
468 ABB India Ltd. 16,287
2,526 Asian Paints Ltd. 84,354
110 Avenue Supermarts Ltd.*(1) 4,725
1,912 Bajaj Finance Ltd. 138,215
9,322 Bharti Airtel Ltd. 87,838
8,179 Colgate-Palmolive India Ltd. 145,326
8,345 Dabur India Ltd. 56,980
5,997 Devyani International Ltd.* 11,357
5,748 Eicher Motors Ltd. 229,783
48 Grindwell Norton Ltd. 1,175
13,132 HCL Technologies Ltd. 181,085
38,050 HDFC Bank Ltd. 748,772
6,591 Hindustan Unilever Ltd. 207,948
5,959 Housing Development Finance Corp. Ltd. 191,835
75,053 ICICI Bank Ltd. 767,880
13,347 Infosys Ltd. ADR 250,924
26,973 Marico Ltd. 164,427
3,300 Metro Brands Ltd. 30,635
194 Nestle India Ltd. 45,134
63,453 Power Grid Corp. of India Ltd. 168,388
21,430 Reliance Industries Ltd. 618,199
773 Reliance Industries Ltd. GDR(1) 44,355
2,699 Shriram Finance Ltd. 42,579
25 SKF India Ltd. 1,344
2,943 SRF Ltd. 78,791
14,777 Tata Consultancy Services Ltd. 609,901
14,722 UPL Ltd. 136,546
8,510 Varun Beverages Ltd. 119,518
      5,184,301
  Indonesia - 2.9%
305,500 Bank Central Asia Tbk PT 173,374
405,900 Bank Mandiri Persero Tbk PT 270,466
313,600 Bank Negara Indonesia Persero Tbk PT 192,234
1,035,400 Bank Rakyat Indonesia Persero Tbk PT 317,524
486,300 Kalbe Farma Tbk PT 66,954
88,200 Matahari Department Store Tbk PT 25,858
30,900 Mitra Adiperkasa Tbk PT* 2,684
445,700 Pakuwon Jati Tbk PT 13,331
992,700 Perusahaan Gas Negara Persero Tbk PT 102,755
1,251,500 Telkom Indonesia Persero Tbk PT 323,428
      1,488,608
  Malaysia - 2.0%
6,500 Bursa Malaysia Bhd 10,225
107,600 CIMB Group Holdings Bhd 145,330
55,100 DiGi.Com Bhd 54,494
57,200 Frontken Corp. Bhd 44,598
5,400 Hong Leong Bank Bhd 26,014
100,600 Malayan Banking Bhd 206,329
26,600 Mega First Corp. Bhd 22,241
Shares or Principal Amount   Market Value†
COMMON STOCKS - 96.4% - (continued)
  Malaysia - 2.0% - (continued)
   18,850 MR DIY Group M Bhd(1) $      8,420
   92,400 Press Metal Aluminium Holdings Bhd     112,706
  270,800 Public Bank Bhd     269,559
   63,400 RHB Bank Bhd      85,588
    3,900 TIME dotCom Bhd       4,809
   31,100 Uchi Technologies Bhd      23,085
4,300 Westports Holdings Bhd 3,808
      1,017,206
  Mexico - 3.5%
90,100 Alfa S.A.B. de C.V. Class A 65,217
9,300 Arca Continental S.A.B. de C.V. 82,033
59,700 Bolsa Mexicana de Valores S.A.B. de C.V. 129,637
20,700 Concentradora Fibra Danhos S.A. de C.V. REIT 27,262
1,755 Fomento Economico Mexicano S.A.B. de C.V. ADR 154,089
24,400 Gentera S.A.B. de C.V. 29,777
9,800 Grupo Aeroportuario del Centro Norte S.A.B. de C.V. 89,535
1,722 Grupo Aeroportuario del Pacifico S.A.B. de C.V. ADR 297,165
270 Grupo Aeroportuario del Sureste S.A.B. de C.V. ADR 73,440
50,900 Grupo Financiero Banorte S.A.B. de C.V. Class O 421,678
42,800 Grupo Financiero Inbursa S.A.B. de C.V. Class O* 92,326
170,200 Kimberly-Clark de Mexico S.A.B. de C.V. Class A 324,031
      1,786,190
  Poland - 0.3%
1,675 Dino Polska S.A.*(1) 151,746
  Qatar - 0.5%
48,170 Qatar National Bank QPSC 238,778
  Romania - 0.0%
464 BRD-Groupe Societe Generale S.A. 1,407
  Russia - 0.0%
378 HeadHunter Group plc ADR*(2)
1,092 Lukoil PJSC*(2)
762 Mobile TeleSystems PJSC*(2)
92 Novatek PJSC GDR*(2)(3)
235 Polyus PJSC GDR*(2)(3)
     
  Saudi Arabia - 2.4%
13,613 Al Rajhi Bank* 297,433
3,659 Banque Saudi Fransi 39,827
3,891 Jarir Marketing Co. 155,930
1,791 Mouwasat Medical Services Co. 98,307
25,618 Riyad Bank 210,241
6,497 Saudi British Bank 62,841
28,553 Saudi National Bank 359,861
1,712 Saudi Telecom Co. 16,832
      1,241,272
  South Africa - 3.9%
902 Anglo American Platinum Ltd. 67,083
29,956 AVI Ltd. 127,862
7,051 Bidvest Group Ltd. 91,007
22,618 FirstRand Ltd. 84,039
9,425 Gold Fields Ltd. ADR 107,822
8,408 Impala Platinum Holdings Ltd. 97,498
11,011 Kumba Iron Ore Ltd. 337,157
16,755 Mr. Price Group Ltd. 158,556
14,575 MTN Group Ltd. 123,372
1,516 MultiChoice Group Ltd. 10,438
1,615 Naspers Ltd. Class N 312,242
42,585 Sanlam Ltd. 137,789
3,621 Sappi Ltd. 10,707
1,951 Tharisa plc 2,429
43,177 Truworths International Ltd. 164,544
28,633 Vodacom Group Ltd. 201,229
      2,033,774
 

12

Hartford Schroders Diversified Emerging Markets Fund
Schedule of Investments – (continued)
January 31, 2023  (Unaudited) 

Shares or Principal Amount   Market Value†
COMMON STOCKS - 96.4% - (continued)
  South Korea - 14.7%
      493 AfreecaTV Co., Ltd. $     32,051
    3,283 BH Co., Ltd.*      55,148
      834 Celltrion, Inc.     110,072
      323 CJ CheilJedang Corp.      90,621
    2,963 Classys, Inc.      45,462
    3,775 Daeduck Electronics Co., Ltd. / New      66,292
487 Dentium Co., Ltd. 46,805
11,523 Dongkuk Steel Mill Co., Ltd. 128,538
3,368 Doosan Bobcat, Inc. 95,578
446 Ecopro BM Co., Ltd. 36,414
484 GOLFZON Co., Ltd. 55,721
3,015 HD Hyundai Co., Ltd. 149,874
3,795 HL Mando Co., Ltd. 138,026
949 Hyundai Department Store Co., Ltd. 47,612
4,329 Hyundai Engineering & Construction Co., Ltd. 134,586
6,117 Jeisys Medical, Inc. 43,888
1,415 JYP Entertainment Corp.* 83,885
6,583 Korean Air Lines Co., Ltd.* 130,253
5,834 KT Corp. 166,244
639 L&F Co., Ltd. 107,875
415 LEENO Industrial, Inc. 57,935
516 LG Chem Ltd. 291,232
234 LG Energy Solution Ltd.* 99,532
530 LG Innotek Co., Ltd. 118,078
793 Lotte Chemical Corp. 114,491
1,436 LOTTE Fine Chemical Co., Ltd. 67,077
3,352 Lutronic Corp. 64,005
621 NEXTIN, Inc. 25,309
561 Park Systems Corp. 56,098
329 PharmaResearch Co., Ltd. 20,755
58,500 Samsung Electronics Co., Ltd. 2,913,898
3,625 Samsung Engineering Co., Ltd.* 76,502
758 Samsung SDI Co., Ltd. 424,785
1,251 SK Chemicals Co., Ltd. 85,483
11,200 SK Hynix, Inc. 810,251
1,171 SK Innovation Co., Ltd.* 155,644
1,281 SK Telecom Co., Ltd. 48,544
3,070 S-Oil Corp. 221,464
137 Soulbrain Co., Ltd. 26,159
501 Tokai Carbon Korea Co., Ltd. 42,670
1,773 Youngone Corp. 63,053
      7,547,910
  Taiwan - 15.5%
25,000 Accton Technology Corp. 204,307
18,000 Advantech Co., Ltd. 205,825
3,000 Alchip Technologies Ltd. 85,339
1,000 ASPEED Technology, Inc. 70,818
4,000 Bizlink Holding, Inc. 35,090
11,000 Chroma ATE, Inc. 68,263
88,000 Chunghwa Telecom Co., Ltd. 328,866
19,000 Compeq Manufacturing Co., Ltd. 29,075
42,000 E Ink Holdings, Inc. 243,717
6,000 Eclat Textile Co., Ltd. 100,064
18,000 FLEXium Interconnect, Inc. 60,306
106,050 Fubon Financial Holding Co., Ltd. 213,593
9,000 Fusheng Precision Co., Ltd. 66,658
66,000 Gold Circuit Electronics Ltd. 193,497
3,000 King Slide Works Co., Ltd. 40,562
2,000 KMC Kuei Meng International, Inc. 10,054
8,000 Lotes Co., Ltd. 203,368
18,000 Makalot Industrial Co., Ltd. 131,411
21,000 MediaTek, Inc. 507,380
14,000 Nan Ya Printed Circuit Board Corp. 114,962
6,000 Nien Made Enterprise Co., Ltd. 62,537
7,000 Novatek Microelectronics Corp. 83,355
3,000 Pegavision Corp. 45,607
17,000 President Chain Store Corp. 153,129
Shares or Principal Amount   Market Value†
COMMON STOCKS - 96.4% - (continued)
  Taiwan - 15.5% - (continued)
    9,000 Radiant Opto-Electronics Corp. $     30,852
    5,000 Simplo Technology Co., Ltd.      49,535
    7,000 Sino-American Silicon Products, Inc.      38,224
  245,000 Taiwan Semiconductor Manufacturing Co., Ltd.  4,323,461
    4,000 Universal Vision Biotechnology Co., Ltd.      43,640
    2,000 Voltronic Power Technology Corp.     101,208
15,000 Wistron NeWeb Corp. 40,995
4,000 Wiwynn Corp. 100,471
      7,986,169
  Thailand - 1.3%
8,000 Advanced Info Service PCL NVDR 47,368
185,400 AP Thailand PCL NVDR 67,023
7,800 Bangchak Corp. PCL NVDR 8,669
20,600 Bangkok Bank PCL NVDR 99,310
81,700 Bangkok Dusit Medical Services PCL NVDR 73,870
35,000 Bumrungrad Hospital PCL NVDR 230,667
13,800 Kasikornbank PCL NVDR 60,864
67,800 Supalai PCL NVDR 49,794
51,500 TTW PCL NVDR 14,743
      652,308
  United Arab Emirates - 1.2%
26,679 Abu Dhabi Commercial Bank PJSC 61,187
99,213 Emaar Properties PJSC 150,756
41,698 Emirates NBD Bank PJSC 147,305
31,142 Emirates Telecommunications Group Co. PJSC 218,198
12,993 First Abu Dhabi Bank PJSC 48,196
      625,642
  Total Common Stocks
(cost $44,171,031)
  $ 49,545,131
PREFERRED STOCKS - 2.1%
  Brazil - 2.0%
58,310 Banco Bradesco S.A. (Preference Shares) $ 161,044
93,200 Cia de Saneamento do Parana (Preference Shares) 64,627
70,900 Itau Unibanco Holding S.A. (Preference Shares) 353,781
133,180 Itausa S.A. (Preference Shares) 223,790
39,800 Petroleo Brasileiro S.A. (Preference Shares) 204,398
1,500 Unipar Carbocloro S.A. Series B 25,217
      1,032,857
  Chile - 0.1%
8,160 Embotelladora Andina S.A. (Preference Shares) 20,242
  Total Preferred Stocks
(cost $1,177,153)
  $ 1,053,099
  Total Long-Term Investments
(cost $45,348,184)
  $ 50,598,230
SHORT-TERM INVESTMENTS - 0.6%
  Other Investment Pools & Funds - 0.6%
316,603 Morgan Stanley Institutional Liquidity Funds, Treasury Portfolio, Institutional Class, 4.27%(4) $ 316,603
  Total Short-Term Investments
(cost $316,603)
$ 316,603
  Total Investments
(cost $45,664,787)
99.1% $ 50,914,833
  Other Assets and Liabilities 0.9% 454,792
  Total Net Assets 100.0% $ 51,369,625
Note: Percentage of investments as shown is the ratio of the total market value to total net assets.
 

13

Hartford Schroders Diversified Emerging Markets Fund
Schedule of Investments – (continued)
January 31, 2023  (Unaudited) 

  Prices of foreign equities that are principally traded on certain foreign markets will generally be adjusted daily pursuant to a fair value pricing service approved by Hartford Funds Management Company, LLC in order to reflect an adjustment for factors occurring after the close of certain foreign markets but before the close of the New York Stock Exchange.
  The Fund may refer to any one or more of the industry classifications used by one or more widely recognized market indices, ratings group and/or as defined by Fund management. Industry classifications may not be identical across all security types.
  For Fund compliance purposes, the Fund may not use the same classification system. These classifications are used for financial reporting purposes.
  See “Glossary” for abbreviation descriptions.
    
* Non-income producing.
(1) Security was purchased pursuant to Rule 144A under the Securities Act of 1933 and may be sold in transactions that are exempt from registration (typically only to qualified institutional buyers) or in a public offering registered under the Securities Act of 1933. At January 31, 2023, the aggregate value of these securities was $2,341,434, representing 4.6% of net assets.
(2) Investment valued using significant unobservable inputs.
(3) Security is exempt from registration under Regulation S under the Securities Act of 1933, which exempts from registration securities offered and sold outside of the United States. Security may not be offered or sold in the United States except pursuant to an exemption from, or in a transaction not subject to, the registration requirements of the Securities Act of 1933. At January 31, 2023, the aggregate value of these securities was $0, representing 0.0% of net assets.
(4) Current yield as of period end.
 
Foreign Currency Contracts Outstanding at January 31, 2023
Amount and Description of
Currency to be Purchased
  Amount and Description of
Currency to be Sold
  Counterparty   Settlement
Date
  Appreciation/
(Depreciation)
341,444 USD   5,841,900 ZAR   BNP   02/22/2023   $ 6,317
For information regarding the Fund’s significant accounting policies, please refer to the Fund’s most recent shareholder report.

14

Hartford Schroders Diversified Emerging Markets Fund
Schedule of Investments – (continued)
January 31, 2023  (Unaudited) 

Fair Value Summary
The following is a summary of the fair valuations according to the inputs used as of January 31, 2023 in valuing the Fund’s investments.
Description   Total   Level 1   Level 2   Level 3(1)
Assets                
Common Stocks                
Brazil   $ 1,232,780   $ 1,232,780   $ —   $ —
Cayman Islands   57,338   57,338    
Chile   343,561   343,561    
China   16,162,060   493,585   15,668,475  
Colombia   69,799   69,799    
Czech Republic   90,049     90,049  
Greece   346,025     346,025  
Hong Kong   924,711     924,711  
Hungary   363,497   24,292   339,205  
India   5,184,301   250,924   4,933,377  
Indonesia   1,488,608     1,488,608  
Malaysia   1,017,206   15,034   1,002,172  
Mexico   1,786,190   1,786,190    
Poland   151,746     151,746  
Qatar   238,778     238,778  
Romania   1,407     1,407  
Russia        
Saudi Arabia   1,241,272   1,241,272    
South Africa   2,033,774   357,763   1,676,011  
South Korea   7,547,910     7,547,910  
Taiwan   7,986,169     7,986,169  
Thailand   652,308   14,743   637,565  
United Arab Emirates   625,642     625,642  
Preferred Stocks   1,053,099   1,053,099    
Short-Term Investments   316,603   316,603    
Foreign Currency Contracts(2)   6,317     6,317  
Total   $ 50,921,150   $ 7,256,983   $ 43,664,167   $ —
    
(1) For the period ended January 31, 2023, there were no transfers in and out of Level 3.
(2) Derivative instruments (excluding purchased and written options, if applicable) are valued at the unrealized appreciation/(depreciation) on the investments.
Level 3 investments at the beginning and/or end of the period in relation to net assets were not significant and accordingly, a reconciliation of Level 3 assets for the period ended January 31, 2023 is not presented.

15

Hartford Schroders Emerging Markets Equity Fund
Schedule of Investments
January 31, 2023  (Unaudited) 

Shares or Principal Amount   Market Value†
COMMON STOCKS - 98.4%
  Brazil - 7.3%
  1,332,742 3R Petroleum Oleo E Gas S.A.* $    11,769,758
  5,477,519 CCR S.A.     12,689,483
  2,309,568 Dexco S.A.      3,430,479
  1,664,171 Energisa S.A.     13,850,881
 13,570,413 Itau Unibanco Holding S.A. ADR     67,580,657
  4,185,805 Lojas Renner S.A.     17,835,621
18,828 MercadoLibre, Inc.* 22,248,859
3,187,688 Petro Rio S.A.* 26,436,906
1,531,690 Petroleo Brasileiro S.A. ADR 17,767,604
8,431,567 Raia Drogasil S.A. 41,241,812
2,392,484 Rede D'Or Sao Luiz S.A.(1) 15,034,620
5,672,667 TIM S.A. 13,175,097
5,649,003 Vale S.A. ADR 105,523,376
3,295,386 WEG S.A. 24,824,293
665,694 XP, Inc. Class A* 11,862,667
376,439 YDUQS Participacoes S.A. 766,033
      406,038,146
  Chile - 0.8%
135,122,231 Banco de Chile 14,765,509
1,403,031 Banco Santander Chile ADR 23,725,254
3,548,464 Falabella S.A. 8,249,650
      46,740,413
  China - 30.4%
12,835,196 Alibaba Group Holding Ltd.* 176,466,737
2,326,354 Baidu, Inc. Class A* 39,106,098
7,990,168 Centre Testing International Group Co., Ltd. Class A 28,138,800
13,917,000 China Mengniu Dairy Co., Ltd.* 67,133,832
7,294,500 China Merchants Bank Co., Ltd. Class H 47,313,054
17,359,400 China Pacific Insurance Group Co., Ltd. Class H 47,729,077
5,646,000 China Resources Land Ltd. 27,058,758
589,200 Contemporary Amperex Technology Co., Ltd. Class A 40,870,195
3,125,100 ENN Energy Holdings Ltd. 47,085,010
1,178,200 H World Group Ltd. ADR 55,940,936
5,514,000 Innovent Biologics, Inc.*(1) 30,031,731
4,568,076 JD.com, Inc. Class A 135,641,489
9,990,156 LONGi Green Energy Technology Co., Ltd. Class A* 71,613,749
2,158,250 Meituan Class B*(1) 48,249,570
11,150,545 Midea Group Co., Ltd. Class A 91,507,997
27,252,000 PICC Property & Casualty Co., Ltd. Class H 25,621,016
282,962 Pinduoduo, Inc. ADR* 27,724,617
15,591,910 Satellite Chemical Co., Ltd. Class A 40,984,987
6,174,973 SF Holding Co., Ltd. Class A 53,896,931
6,296,050 Shenzhen Inovance Technology Co., Ltd. Class A 66,620,664
3,202,400 Shenzhou International Group Holdings Ltd. 40,329,792
3,212,434 Sieyuan Electric Co., Ltd. Class A 20,765,809
6,200,000 Tencent Holdings Ltd. 302,119,240
1,325,400 Wuliangye Yibin Co., Ltd. Class A 41,242,036
3,602,000 Wuxi Biologics Cayman, Inc.*(1) 30,078,143
1,091,939 Yum China Holdings, Inc. 66,663,318
2,232,256 Zhejiang Supor Co., Ltd. Class A 17,106,784
474,134 ZTO Express Cayman, Inc. ADR 13,517,560
      1,700,557,930
  Egypt - 0.2%
6,950,149 Commercial International Bank Egypt S.A.E. GDR 11,271,508
  Greece - 1.2%
7,522,520 Alpha Services and Holdings S.A.* 10,249,314
15,459,910 Eurobank Ergasias Services & Holdings S.A.* 20,977,090
Shares or Principal Amount   Market Value†
COMMON STOCKS - 98.4% - (continued)
  Greece - 1.2% - (continued)
    981,438 Hellenic Telecommunications Organization S.A. $    15,471,626
  4,271,139 National Bank of Greece S.A.*    20,307,863
      67,005,893
  Hong Kong - 3.6%
 10,077,000 AIA Group Ltd.   113,947,134
 13,208,000 Hang Lung Properties Ltd.     24,904,278
3,643,260 Prudential plc 60,532,952
      199,384,364
  Hungary - 0.7%
553,790 OTP Bank Nyrt 16,686,516
1,036,354 Richter Gedeon Nyrt 23,402,328
      40,088,844
  India - 9.1%
4,127,261 Axis Bank Ltd. 44,111,034
6,070,875 Bharti Airtel Ltd. 57,204,091
2,954,394 Cipla Ltd. 36,828,730
6,156,366 HDFC Bank Ltd. 121,148,844
9,241,563 ICICI Bank Ltd. 94,551,961
1,222,296 Mahindra & Mahindra Ltd. 20,661,164
1,755,995 Reliance Industries Ltd. 50,655,863
1,953,820 Tata Consultancy Services Ltd. 80,641,290
      505,802,977
  Indonesia - 0.9%
30,930,300 Bank Mandiri Persero Tbk PT 20,609,974
97,016,220 Bank Rakyat Indonesia Persero Tbk PT 29,751,752
      50,361,726
  Malaysia - 0.5%
20,331,132 CIMB Group Holdings Bhd 27,460,295
  Mexico - 2.5%
939,952 Fomento Economico Mexicano S.A.B. de C.V. ADR 82,527,786
7,240,568 Grupo Financiero Banorte S.A.B. de C.V. Class O 59,983,994
      142,511,780
  Peru - 0.6%
242,733 Credicorp Ltd. 32,599,042
  Poland - 0.9%
829,405 Bank Polska Kasa Opieki S.A. 17,723,767
1,417,539 Powszechna Kasa Oszczednosci Bank Polski S.A. 10,572,720
2,810,322 Powszechny Zaklad Ubezpieczen S.A. 23,887,681
      52,184,168
  Qatar - 0.5%
5,879,319 Qatar National Bank QPSC 29,143,741
  Russia - 0.0%
390,765 Lukoil PJSC*(2)
339,057 Magnit PJSC*(2)
366,305 Novatek PJSC GDR*(2)(3)
67,747 Polyus PJSC*(2)
30,946 Polyus PJSC GDR*(2)(3)
5,358,303 Rosneft Oil Co. PJSC*(2)
836,086 Yandex N.V. Class A*(2)
     
  Saudi Arabia - 1.3%
3,431,529 Alinma Bank 30,036,165
3,471,014 Saudi National Bank 43,746,060
      73,782,225
 

16

Hartford Schroders Emerging Markets Equity Fund
Schedule of Investments – (continued)
January 31, 2023  (Unaudited) 

Shares or Principal Amount   Market Value†
COMMON STOCKS - 98.4% - (continued)
  South Africa - 5.4%
  2,555,457 Aspen Pharmacare Holdings Ltd. $    22,295,645
  2,674,366 AVI Ltd.     11,415,061
    314,665 Capitec Bank Holdings Ltd.     32,500,569
 15,324,453 FirstRand Ltd.     56,939,508
  1,650,587 Foschini Group Ltd.     10,317,705
  4,345,368 Gold Fields Ltd.     49,528,051
4,288,401 MTN Group Ltd. 36,299,668
269,786 Naspers Ltd. Class N 52,160,114
2,353,831 Shoprite Holdings Ltd. 32,584,459
      304,040,780
  South Korea - 15.1%
399,418 KB Financial Group, Inc. 18,202,432
334,171 Kia Corp. 18,206,275
69,163 Korea Zinc Co., Ltd.* 30,461,773
156,084 LG Chem Ltd. 88,094,273
31,489 LG H&H Co., Ltd. 19,090,476
2,395,299 LG Uplus Corp. 21,661,265
155,081 Samsung Electro-Mechanics Co., Ltd. 18,112,370
7,375,872 Samsung Electronics Co., Ltd. 367,393,873
188,222 Samsung Fire & Marine Insurance Co., Ltd. 31,035,266
181,170 Samsung SDI Co., Ltd. 101,528,043
1,144,917 SK Hynix, Inc. 82,827,679
182,614 SK Innovation Co., Ltd.* 24,272,144
524,359 SK Telecom Co., Ltd. 19,870,632
      840,756,501
  Taiwan - 14.8%
2,492,000 Accton Technology Corp. 20,365,306
13,465,036 ASE Technology Holding Co., Ltd. 45,431,592
22,571,264 Cathay Financial Holding Co., Ltd. 32,134,283
6,705,000 Chunghwa Telecom Co., Ltd. 25,057,369
47,868,000 CTBC Financial Holding Co., Ltd. 36,601,048
19,646,000 Hon Hai Precision Industry Co., Ltd. 65,514,140
2,395,000 MediaTek, Inc. 57,865,492
29,433,139 Taiwan Semiconductor Manufacturing Co., Ltd. 519,400,174
10,355,000 Uni-President Enterprises Corp. 23,263,410
      825,632,814
  Thailand - 1.2%
15,203,900 Kasikornbank PCL NVDR 67,055,857
  United Arab Emirates - 0.9%
27,461,370 Emaar Properties PJSC 41,727,982
2,003,997 First Abu Dhabi Bank PJSC 7,433,589
      49,161,571
  United Kingdom - 0.2%
1,182,092 Pepco Group N.V.*(1) 11,464,476
  United States - 0.3%
89,490 Globant S.A.* 14,513,488
  Total Common Stocks
(cost $4,667,813,306)
  $ 5,497,558,539
PREFERRED STOCKS - 0.6%
  Brazil - 0.6%
10,997,764 Banco Bradesco S.A. (Preference Shares) $ 30,374,220
  Total Preferred Stocks
(cost $31,569,429)
  $ 30,374,220
  Total Long-Term Investments
(cost $4,699,382,735)
  $ 5,527,932,759
Shares or Principal Amount   Market Value†
SHORT-TERM INVESTMENTS - 0.7%
  Other Investment Pools & Funds - 0.7%
 40,886,359 Morgan Stanley Institutional Liquidity Funds, Treasury Portfolio, Institutional Class, 4.27%(4) $    40,886,359
  Total Short-Term Investments
(cost $40,886,359)
$ 40,886,359
  Total Investments
(cost $4,740,269,094)
99.7% $ 5,568,819,118
  Other Assets and Liabilities 0.3% 16,732,961
  Total Net Assets 100.0% $ 5,585,552,079
Note: Percentage of investments as shown is the ratio of the total market value to total net assets.
  Prices of foreign equities that are principally traded on certain foreign markets will generally be adjusted daily pursuant to a fair value pricing service approved by Hartford Funds Management Company, LLC in order to reflect an adjustment for factors occurring after the close of certain foreign markets but before the close of the New York Stock Exchange.
  The Fund may refer to any one or more of the industry classifications used by one or more widely recognized market indices, ratings group and/or as defined by Fund management. Industry classifications may not be identical across all security types.
  For Fund compliance purposes, the Fund may not use the same classification system. These classifications are used for financial reporting purposes.
  See “Glossary” for abbreviation descriptions.
    
* Non-income producing.
(1) Security was purchased pursuant to Rule 144A under the Securities Act of 1933 and may be sold in transactions that are exempt from registration (typically only to qualified institutional buyers) or in a public offering registered under the Securities Act of 1933. At January 31, 2023, the aggregate value of these securities was $134,858,540, representing 2.4% of net assets.
(2) Investment valued using significant unobservable inputs.
(3) Security is exempt from registration under Regulation S under the Securities Act of 1933, which exempts from registration securities offered and sold outside of the United States. Security may not be offered or sold in the United States except pursuant to an exemption from, or in a transaction not subject to, the registration requirements of the Securities Act of 1933. At January 31, 2023, the aggregate value of these securities was $0, representing 0.0% of net assets.
(4) Current yield as of period end.
For information regarding the Fund’s significant accounting policies, please refer to the Fund’s most recent shareholder report.
 

17

Hartford Schroders Emerging Markets Equity Fund
Schedule of Investments – (continued)
January 31, 2023  (Unaudited) 

Fair Value Summary
The following is a summary of the fair valuations according to the inputs used as of January 31, 2023 in valuing the Fund’s investments.
Description   Total   Level 1   Level 2   Level 3(1)
Assets                
Common Stocks                
Brazil   $ 406,038,146   $ 406,038,146   $ —   $ —
Chile   46,740,413   38,490,763   8,249,650  
China   1,700,557,930   127,622,827   1,572,935,103  
Egypt   11,271,508     11,271,508  
Greece   67,005,893     67,005,893  
Hong Kong   199,384,364     199,384,364  
Hungary   40,088,844     40,088,844  
India   505,802,977     505,802,977  
Indonesia   50,361,726     50,361,726  
Malaysia   27,460,295     27,460,295  
Mexico   142,511,780   142,511,780    
Peru   32,599,042   32,599,042    
Poland   52,184,168     52,184,168  
Qatar   29,143,741     29,143,741  
Russia        
Saudi Arabia   73,782,225   73,782,225    
South Africa   304,040,780     304,040,780  
South Korea   840,756,501     840,756,501  
Taiwan   825,632,814     825,632,814  
Thailand   67,055,857     67,055,857  
United Arab Emirates   49,161,571     49,161,571  
United Kingdom   11,464,476     11,464,476  
United States   14,513,488   14,513,488    
Preferred Stocks   30,374,220   30,374,220    
Short-Term Investments   40,886,359   40,886,359    
Total   $ 5,568,819,118   $ 906,818,850   $ 4,662,000,268   $ —
    
(1) For the period ended January 31, 2023, there were no transfers in and out of Level 3.
Level 3 investments at the beginning and/or end of the period in relation to net assets were not significant and accordingly, a reconciliation of Level 3 assets for the period ended January 31, 2023 is not presented.

18

Hartford Schroders Emerging Markets Multi-Sector Bond Fund
Schedule of Investments
January 31, 2023  (Unaudited) 

Shares or Principal Amount   Market Value†
CORPORATE BONDS - 39.3%
  Argentina - 0.6%
$          29,000 YPF Energia Electrica S.A. 10.00%, 07/25/2026(1) $     27,086
               YPF S.A.  
        30,000 8.50%, 07/28/2025(2)      27,546
       164,000 8.50%, 06/27/2029(1)(3)    133,865
      188,497
  Brazil - 4.1%
200,000 America Movil S.A.B. de C.V. 5.38%, 04/04/2032(1) 186,500
80,000 Atento Luxco 1 S.A. 8.00%, 02/10/2026(2) 43,360
250,000 Banco do Brasil S.A. 9.00%, 06/18/2024, (9.00% fixed rate until 06/18/2024; 10 year USD CMT + 6.362% thereafter)(1)(3)(4)(5) 250,000
200,000 Embraer Netherlands Finance B.V. 6.95%, 01/17/2028(1)(3) 206,484
182,114 Guara Norte S.a.r.l. 5.20%, 06/15/2034(1) 164,868
192,981 MC Brazil Downstream Trading S.a.r.l. 7.25%, 06/30/2031(1) 168,317
164,236 Prumo Participacoes e Investimentos S.A. 7.50%, 12/31/2031(2) 158,371
81,000 Suzano Austria GmbH 3.13%, 01/15/2032 64,390
      1,242,290
  Burkina Faso - 0.6%
200,000 Endeavour Mining plc 5.00%, 10/14/2026(1) 177,500
  Chile - 4.3%
200,000 Celulosa Arauco y Constitucion S.A. 5.15%, 01/29/2050(1)(3) 179,000
200,000 Cencosud S.A. 5.15%, 02/12/2025(1) 200,200
212,352 Empresa Electrica Cochrane S.p.A. 5.50%, 05/14/2027(1) 202,265
420,000 Empresa Nacional del Petroleo 3.75%, 08/05/2026(1) 395,989
152,960 GNL Quintero S.A. 4.63%, 07/31/2029(1) 150,475
200,000 Mercury Chile Holdco LLC 6.50%, 01/24/2027(1) 192,500
      1,320,429
  China - 3.2%
200,000 Alibaba Group Holding Ltd. 4.20%, 12/06/2047 165,018
200,000 China Cinda 2020 I Management Ltd. 3.00%, 01/20/2031(2) 166,664
200,000 Country Garden Holdings Co., Ltd. 2.70%, 07/12/2026(2) 129,832
200,000 Fortune Star BVI Ltd. 5.00%, 05/18/2026(2) 163,078
200,000 Huarong Finance Co., Ltd. 4.95%, 11/07/2047(2) 142,465
240,000 Lenovo Group Ltd. 3.42%, 11/02/2030(1)(3) 204,057
      971,114
  Colombia - 3.2%
200,000 Banco Davivienda S.A. 6.65%, 04/22/2031, (6.65% fixed rate until 04/22/2031; 10 year USD CMT + 5.097% thereafter)(1)(4)(5) 156,400
200,000 Bancolombia S.A. 7.14%, 10/18/2027, (7.14% fixed rate until 04/18/2023; 5 years USD CMT + 2.929% thereafter)(4) 199,000
200,000 Canacol Energy Ltd. 5.75%, 11/24/2028(1) 176,997
Shares or Principal Amount   Market Value†
CORPORATE BONDS - 39.3% - (continued)
  Colombia - 3.2% - (continued)
               Ecopetrol S.A.  
$          79,000 6.88%, 04/29/2030 $     74,041
       365,000 8.88%, 01/13/2033    374,672
      981,110
  Costa Rica - 0.6%
       200,000 Liberty Costa Rica Senior Secured Finance 10.88%, 01/15/2031(1)    195,300
  Ghana - 0.6%
200,000 Kosmos Energy Ltd. 7.75%, 05/01/2027(1) 177,980
  India - 1.0%
200,000 Summit Digitel Infrastructure Ltd. 2.88%, 08/12/2031(1) 159,224
200,000 Vedanta Resources Finance II plc 8.95%, 03/11/2025(1) 160,500
      319,724
  Indonesia - 0.6%
200,000 Tower Bersama Infrastructure Tbk PT 2.80%, 05/02/2027(2) 181,100
  Kazakhstan - 0.7%
200,000 Development Bank of Kazakhstan JSC 5.75%, 05/12/2025(1) 200,250
  Kuwait - 0.7%
200,000 MEGlobal Canada ULC 5.88%, 05/18/2030(1) 206,600
  Macau - 0.6%
200,000 Studio City Finance Ltd. 6.00%, 07/15/2025(2) 188,499
  Mexico - 10.3%
200,000 Banco Mercantil del Norte S.A. 7.63%, 01/10/2028, (7.63% fixed rate until 01/10/2028; 10 year USD CMT + 5.353% thereafter)(1)(4)(5) 197,756
200,000 Braskem Idesa SAPI 6.99%, 02/20/2032(1) 148,320
200,000 Electricidad Firme de Mexico Holdings S.A. de C.V. 4.90%, 11/20/2026(1) 181,250
194,029 FEL Energy S.a.r.l. 5.75%, 12/01/2040(1) 168,563
MXN 16,510,000 Grupo Televisa S.A.B. 7.25%, 05/14/2043 534,829
$ 200,000 Infraestructura Energetica Nova S.A.B. de C.V. 4.88%, 01/14/2048(1) 158,026
200,000 Mexico City Airport Trust 5.50%, 07/31/2047(1) 162,000
  Petroleos Mexicanos  
660,000 5.95%, 01/28/2031 526,910
90,000 6.63%, 06/15/2035 70,421
496,000 6.70%, 02/16/2032 410,976
150,000 8.75%, 06/02/2029 146,418
62,000 10.00%, 02/07/2033(1) 60,574
200,000 Sixsigma Networks Mexico S.A. de C.V. 7.50%, 05/02/2025(1)(3) 186,500
250,000 Total Play Telecomunicaciones S.A. de C.V. 6.38%, 09/20/2028(1) 211,598
      3,164,141
  Netherlands - 0.4%
200,000 VEON Holdings B.V. 3.38%, 11/25/2027(1) 136,000
  Panama - 0.6%
200,000 AES Panama Generation Holdings 4.38%, 05/31/2030(1) 178,645
 

19

Hartford Schroders Emerging Markets Multi-Sector Bond Fund
Schedule of Investments – (continued)
January 31, 2023  (Unaudited) 

Shares or Principal Amount   Market Value†
CORPORATE BONDS - 39.3% - (continued)
  Peru - 2.6%
$         127,000 Banco BBVA Peru S.A. 5.25%, 09/22/2029, (5.25% fixed rate until 09/22/2024; 5 year USD CMT + 2.750% thereafter)(1)(4) $    123,381
       150,000 Banco Internacional del Peru SAA Interbank 4.00%, 07/08/2030, (4.00% fixed rate until 07/08/2025; 12 mo. USD CMT + 3.711% thereafter)(1)(4)     138,422
       200,000 Kallpa Generacion S.A. 4.13%, 08/16/2027(1)     187,019
       400,000 Petroleos del Peru S.A. 5.63%, 06/19/2047(1)(3)     266,856
        82,000 Volcan Cia Minera SAA 4.38%, 02/11/2026(1)     72,458
      788,136
  Qatar - 1.4%
540,000 Qatar Energy 3.13%, 07/12/2041(1) 427,351
  Russia - 0.3%
200,000 Hacienda Investments Ltd. Via DME Airport DAC 5.35%, 02/08/2028(1) 100,000
200,000 Vnesheconombank Via VEB Finance plc 6.80%, 11/22/2025*(1)(6)(7)
      100,000
  Saudi Arabia - 0.6%
200,000 Saudi Arabian Oil Co. 2.25%, 11/24/2030(2) 169,326
  Singapore - 0.6%
200,000 Puma International Financing S.A. 5.00%, 01/24/2026(1) 184,020
  South Africa - 0.6%
200,000 Sasol Financing USA LLC 5.50%, 03/18/2031 174,500
  Turkey - 0.6%
200,000 Ulker Biskuvi Sanayi AS 6.95%, 10/30/2025(1) 178,122
  United Arab Emirates - 0.5%
200,000 Galaxy Pipeline Assets Bidco Ltd. 2.63%, 03/31/2036(1) 163,351
  Total Corporate Bonds
(cost $13,102,734)
$ 12,013,985
FOREIGN GOVERNMENT OBLIGATIONS - 57.7%
  Angola - 1.2%
400,000 Angolan Government International Bond 8.75%, 04/14/2032(1) $ 369,468
  Argentina - 0.6%
200,000 Ciudad Autonoma De Buenos Aires 7.50%, 06/01/2027(1) 187,001
  Brazil - 3.9%
  Brazil Notas do Tesouro Nacional  
BRL 2,554,000 10.00%, 01/01/2025 480,497
1,872,000 10.00%, 01/01/2029 325,903
1,249,000 10.00%, 01/01/2031 211,015
$ 200,000 Brazilian Government International Bond 5.63%, 02/21/2047 165,939
      1,183,354
  Cameroon - 0.3%
EUR 110,000 Republic of Cameroon International Bond 5.95%, 07/07/2032(1) 91,088
Shares or Principal Amount   Market Value†
FOREIGN GOVERNMENT OBLIGATIONS - 57.7% - (continued)
  Chile - 0.4%
CLP    105,000,000 Bonos de la Tesoreria de la Republica en pesos 2.50%, 03/01/2025 $    121,580
  Colombia - 2.9%
               Colombia Government International Bond  
$       200,000 7.50%, 02/02/2034     197,268
       200,000 8.00%, 04/20/2033     204,771
               Colombian TES  
COP   259,800,000 6.25%, 07/09/2036      34,059
   736,200,000 7.00%, 03/26/2031     116,568
1,419,400,000 7.00%, 06/30/2032 217,070
641,400,000 7.25%, 10/18/2034 95,543
241,300,000 7.25%, 10/26/2050 31,271
      896,550
  Costa Rica - 0.7%
$ 200,000 Costa Rica Government International Bond 6.13%, 02/19/2031(1)(3) 196,000
  Czech Republic - 1.9%
  Czech Republic Government Bond  
CZK 2,220,000 1.25%, 02/14/2025 93,176
2,200,000 2.40%, 09/17/2025(2) 93,019
6,150,000 2.75%, 07/23/2029 249,448
3,000,000 3.50%, 05/30/2035 123,314
720,000 4.20%, 12/04/2036(2) 31,500
      590,457
  Dominican Republic - 2.0%
  Dominican Republic International Bond  
$ 330,000 6.85%, 01/27/2045(1) 300,537
310,000 7.45%, 04/30/2044(1) 301,645
      602,182
  Ecuador - 0.5%
  Ecuador Government International Bond  
259,500 0.00%, 07/31/2030(1)(8) 110,233
56,000 5.50%, 07/31/2030(1)(9) 37,169
      147,402
  Egypt - 0.9%
  Egypt Government International Bond  
200,000 8.70%, 03/01/2049(1) 141,179
200,000 8.75%, 09/30/2051(1) 141,560
      282,739
  El Salvador - 1.1%
  El Salvador Government International Bond  
60,000 5.88%, 01/30/2025(2) 43,293
159,000 5.88%, 01/30/2025(1) 114,726
360,000 8.63%, 02/28/2029(1) 190,631
      348,650
  Gabon - 0.6%
200,000 Gabon Government International Bond 6.63%, 02/06/2031(1) 167,840
  Guatemala - 0.6%
200,000 Guatemala Government Bond 5.25%, 08/10/2029(1) 194,680
  Hungary - 2.8%
  Hungary Government Bond  
HUF 270,000 3.00%, 04/25/2041 407
34,910,000 4.75%, 11/24/2032 75,859
29,130,000 6.00%, 11/24/2023 76,206
68,770,000 6.75%, 10/22/2028 174,647
 

20

Hartford Schroders Emerging Markets Multi-Sector Bond Fund
Schedule of Investments – (continued)
January 31, 2023  (Unaudited) 

Shares or Principal Amount   Market Value†
FOREIGN GOVERNMENT OBLIGATIONS - 57.7% - (continued)
  Hungary - 2.8% - (continued)
               Hungary Government International Bond  
$         260,000 5.25%, 06/16/2029(2) $    255,840
       200,000 6.25%, 09/22/2032(1)     206,762
        60,000 7.63%, 03/29/2041     67,650
      857,371
  Indonesia - 4.9%
  Indonesia Treasury Bond  
IDR 2,820,000,000 7.00%, 05/15/2027     192,827
877,000,000 7.13%, 06/15/2042 59,284
1,035,000,000 7.50%, 08/15/2032 72,565
401,000,000 8.25%, 05/15/2036 29,818
1,577,000,000 8.38%, 03/15/2034 117,386
2,453,000,000 8.75%, 05/15/2031 185,031
5,087,000,000 9.00%, 03/15/2029 381,223
$ 470,000 Perusahaan Penerbit SBSN Indonesia III 4.70%, 06/06/2032(1) 470,705
      1,508,839
  Ivory Coast - 2.6%
  Ivory Coast Government International Bond  
EUR 100,000 5.25%, 03/22/2030(1) 91,733
$ 200,000 6.38%, 03/03/2028(1) 193,921
EUR 630,000 6.63%, 03/22/2048(1) 493,741
      779,395
  Jordan - 0.6%
$ 200,000 Jordan Government International Bond 5.75%, 01/31/2027(1) 195,788
  Kenya - 1.5%
  Kenya Government International Bond  
310,000 7.00%, 05/22/2027(1) 279,344
200,000 8.00%, 05/22/2032(2) 173,764
      453,108
  Malaysia - 3.4%
  Malaysia Government Bond  
MYR 380,000 3.76%, 05/22/2040 84,515
1,907,000 3.89%, 08/15/2029 450,382
2,146,000 3.90%, 11/30/2026 509,781
      1,044,678
  Mexico - 4.0%
  Mexican Bonos  
MXN 4,250,000 7.50%, 06/03/2027 214,555
3,560,000 7.75%, 05/29/2031 178,725
1,820,000 7.75%, 11/23/2034 90,079
6,368,200 7.75%, 11/13/2042 305,324
1,361,200 8.00%, 11/07/2047 66,596
5,780,000 8.50%, 11/18/2038 300,202
$ 70,000 Mexico Government International Bond 5.55%, 01/21/2045(3) 66,008
      1,221,489
  Nigeria - 2.2%
  Nigeria Government International Bond  
250,000 6.13%, 09/28/2028(1) 193,880
200,000 7.14%, 02/23/2030(1) 152,104
200,000 8.38%, 03/24/2029(1) 166,278
200,000 8.75%, 01/21/2031(1)(3) 162,598
      674,860
  Oman - 1.4%
420,000 Oman Government International Bond 6.75%, 01/17/2048(1) 413,813
Shares or Principal Amount   Market Value†
FOREIGN GOVERNMENT OBLIGATIONS - 57.7% - (continued)
  Paraguay - 0.6%
$         200,000 Paraguay Government International Bond 5.60%, 03/13/2048(1) $    180,909
  Peru - 1.9%
       150,000 Fondo MIVIVIENDA S.A. 4.63%, 04/12/2027(1)     145,633
               Peru Government Bond  
PEN     1,018,000 5.40%, 08/12/2034     211,156
       938,000 6.95%, 08/12/2031    228,613
      585,402
  Poland - 2.7%
  Republic of Poland Government Bond  
PLN 710,000 2.25%, 10/25/2024 153,969
610,000 2.50%, 07/25/2026 125,382
390,000 2.75%, 10/25/2029 74,102
730,000 3.25%, 07/25/2025 157,723
1,470,000 3.75%, 05/25/2027 311,056
      822,232
  Romania - 2.2%
  Romania Government Bond  
RON 210,000 4.50%, 06/17/2024 45,048
650,000 4.75%, 02/24/2025 137,287
380,000 5.00%, 02/12/2029 73,914
450,000 6.70%, 02/25/2032 94,657
  Romanian Government International Bond  
$ 52,000 5.13%, 06/15/2048(1) 43,195
52,000 6.00%, 05/25/2034(1) 50,934
232,000 6.13%, 01/22/2044(1) 221,219
      666,254
  Saudi Arabia - 1.1%
  Saudi Government International Bond  
220,000 3.45%, 02/02/2061(2) 159,056
200,000 4.50%, 10/26/2046(1) 178,967
      338,023
  South Africa - 5.0%
  Republic of South Africa Government Bond  
ZAR 1,867,200 6.50%, 02/28/2041 68,185
2,569,900 6.50%, 02/28/2041 93,846
4,469,200 7.00%, 02/28/2031 213,545
7,774,400 8.50%, 01/31/2037 362,582
2,300,400 8.88%, 02/28/2035 114,200
7,970,000 9.00%, 01/31/2040 377,659
  Republic of South Africa Government International Bond  
$ 200,000 5.00%, 10/12/2046 145,276
200,000 6.30%, 06/22/2048 164,304
      1,539,597
  Thailand - 0.8%
  Thailand Government Bond  
THB 6,238,000 3.63%, 06/16/2023 190,481
1,760,000 4.88%, 06/22/2029 61,754
      252,235
  Turkey - 0.7%
$ 200,000 Turkey Government International Bond 9.38%, 01/19/2033 195,861
  Ukraine - 0.1%
200,000 Ukraine Government International Bond 7.38%, 09/25/2034(1)(6) 39,500
 

21

Hartford Schroders Emerging Markets Multi-Sector Bond Fund
Schedule of Investments – (continued)
January 31, 2023  (Unaudited) 

Shares or Principal Amount   Market Value†
FOREIGN GOVERNMENT OBLIGATIONS - 57.7% - (continued)
  United Arab Emirates - 1.6%
$         640,000 Abu Dhabi Government International Bond 3.13%, 09/30/2049(1) $    482,598
  Total Foreign Government Obligations
(cost $17,882,163)
  $ 17,630,943
  Total Long-Term Investments
(cost $30,984,897)
  $ 29,644,928
SHORT-TERM INVESTMENTS - 4.5%
  Other Investment Pools & Funds - 1.3%
      388,501 Morgan Stanley Institutional Liquidity Funds, Treasury Portfolio, Institutional Class, 4.27%(10) $    388,501
  Securities Lending Collateral - 3.2%
      158,295 Goldman Sachs Financial Square Funds, Government Fund, Institutional Class, 4.24%(10)     158,295
501,847 HSBC US Government Money Market Fund, 4.22%(10) 501,847
174,698 Invesco Government & Agency Portfolio, Institutional Class, 4.32%(10) 174,698
156,533 Morgan Stanley Institutional Liquidity Funds, Government Portfolio, Institutional Class, 4.13%(10) 156,533
      991,373
  Total Short-Term Investments
(cost $1,379,874)
$ 1,379,874
  Total Investments
(cost $32,364,771)
101.5% $ 31,024,802
  Other Assets and Liabilities (1.5)% (460,547)
  Total Net Assets 100.0% $ 30,564,255
Note: Percentage of investments as shown is the ratio of the total market value to total net assets.
  Prices of foreign equities that are principally traded on certain foreign markets will generally be adjusted daily pursuant to a fair value pricing service approved by Hartford Funds Management Company, LLC in order to reflect an adjustment for factors occurring after the close of certain foreign markets but before the close of the New York Stock Exchange.
The Fund may refer to any one or more of the industry classifications used by one or more widely recognized market indices, ratings group and/or as defined by Fund management. Industry classifications may not be identical across all security types.
For Fund compliance purposes, the Fund may not use the same classification system. These classifications are used for financial reporting purposes.
See “Glossary” for abbreviation descriptions.
* Non-income producing.
(1) Security was purchased pursuant to Rule 144A under the Securities Act of 1933 and may be sold in transactions that are exempt from registration (typically only to qualified institutional buyers) or in a public offering registered under the Securities Act of 1933. At January 31, 2023, the aggregate value of these securities was $14,809,948, representing 48.5% of net assets.
(2) Security is exempt from registration under Regulation S under the Securities Act of 1933, which exempts from registration securities offered and sold outside of the United States. Security may not be offered or sold in the United States except pursuant to an exemption from, or in a transaction not subject to, the registration requirements of the Securities Act of 1933. At January 31, 2023, the aggregate value of these securities was $2,126,713, representing 7.0% of net assets.
(3) Represents entire or partial securities on loan.
(4) Fixed to variable rate investment. The rate shown reflects the fixed rate in effect at January 31, 2023. Rate will reset at a future date. Base lending rates may be subject to a floor or cap.
(5) Perpetual maturity security. Maturity date shown is the next call date or final legal maturity date, whichever comes first.
(6) Non-income producing. For long-term debt securities, items identified are in default as to payment of interest and/or principal.
(7) Investment valued using significant unobservable inputs.
(8) Security is a zero-coupon bond.
(9) Security is a “step-up” bond where coupon increases or steps up at a predetermined date. Rate shown is current coupon rate.
(10) Current yield as of period end.
 
OTC Credit Default Swap Contracts Outstanding at January 31, 2023
Reference Entity   Counter-
party
  Notional
Amount(1)
  (Pay)/Receive
Fixed Rate
  Expiration
Date
  Periodic
Payment
Frequency
  Upfront
Premiums
Paid
  Upfront
Premiums
Received
  Market
Value
  Unrealized
Appreciation/
(Depreciation)
Credit default swaps on single-name issues:
Buy protection:
Peruvian Government International Bonds (A)   CBK   USD 310,000   (1.00%)   12/20/2027   Quarterly   $ 3,493   $ —   $ 2,078   $ (1,415)
Peruvian Government International Bonds (A)   CBK   USD 310,000   (1.00%)   12/20/2027   Quarterly   3,844     2,078   (1,766)
Total   $ 7,337   $ —   $ 4,156   $ (3,181)

22

Hartford Schroders Emerging Markets Multi-Sector Bond Fund
Schedule of Investments – (continued)
January 31, 2023  (Unaudited) 

OTC Credit Default Swap Contracts Outstanding at January 31, 2023 – (continued)
Reference Entity   Counter-
party
  Notional
Amount(1)
  (Pay)/Receive
Fixed Rate
  Expiration
Date
  Periodic
Payment
Frequency
  Upfront
Premiums
Paid
  Upfront
Premiums
Received
  Market
Value
  Unrealized
Appreciation/
(Depreciation)
Credit default swaps on single-name issues – (continued):
Sell protection:
Chile Government International Bonds (A)   CBK   USD 700,000   1.00%   12/20/2027   Quarterly   $ —   $ (2,441)   $ 1,013   $ 3,454
Total OTC credit default swap contracts   $ 7,337   $ (2,441)   $ 5,169   $ 273
    
(1) The maximum potential amount the Fund could be required to pay as a seller of credit protection or receive as a buyer of credit protection if a credit event occurs as defined under the terms of that particular swap agreement.
    
Foreign Currency Contracts Outstanding at January 31, 2023
Amount and Description of
Currency to be Purchased
  Amount and Description of
Currency to be Sold
  Counterparty   Settlement
Date
  Appreciation/
(Depreciation)
3,330,000 BRL   611,739 USD   JPM   02/16/2023   $ 42,346
340,450,000 CLP   403,581 USD   UBS   02/10/2023   23,448
342,980,000 CLP   417,174 USD   UBS   04/28/2023   7,949
1,360,000 CNY   190,530 USD   MSC   02/03/2023   10,781
6,593,000 CNY   940,251 USD   UBS   02/16/2023   36,477
260,000 CNY   38,777 USD   UBS   04/14/2023   (115)
1,658,000,000 COP   324,525 USD   MSC   02/02/2023   30,435
290,000 EUR   294,252 USD   UBS   02/06/2023   21,158
75,313,000 HUF   187,435 USD   UBS   02/14/2023   20,905
24,740,000 INR   302,556 USD   CBK   04/13/2023   (2,042)
23,064,600 THB   653,573 USD   MSC   02/16/2023   46,269
4,230,000 THB   118,173 USD   UBS   02/16/2023   10,177
612,358 USD   3,330,000 BRL   JPM   02/16/2023   (41,727)
419,015 USD   340,450,000 CLP   UBS   02/10/2023   (8,015)
187,547 USD   1,360,000 CNY   JPM   02/03/2023   (13,763)
166,589 USD   829,000,000 COP   UBS   02/02/2023   (10,892)
166,566 USD   829,000,000 COP   MSC   02/02/2023   (10,914)
288,489 USD   290,000 EUR   JPM   02/06/2023   (26,921)
188,336 USD   75,313,000 HUF   UBS   02/14/2023   (20,003)
229,381 USD   890,000 PEN   UBS   04/24/2023   (588)
Total foreign currency contracts   $ 114,965
For information regarding the Fund’s significant accounting policies, please refer to the Fund’s most recent shareholder report.
Fair Value Summary
The following is a summary of the fair valuations according to the inputs used as of January 31, 2023 in valuing the Fund’s investments.
Description   Total   Level 1   Level 2   Level 3(1)
Assets                
Corporate Bonds   $ 12,013,985   $ —   $ 12,013,985   $ —
Foreign Government Obligations   17,630,943     17,630,943  
Short-Term Investments   1,379,874   1,379,874    
Foreign Currency Contracts(2)   249,945     249,945  
Swaps - Credit Default(2)   3,454     3,454  
Total   $ 31,278,201   $ 1,379,874   $ 29,898,327   $ —
Liabilities                
Foreign Currency Contracts(2)   $ (134,980)   $ —   $ (134,980)   $ —
Swaps - Credit Default(2)   (3,181)     (3,181)  
Total   $ (138,161)   $ —   $ (138,161)   $ —
    
(1) For the period ended January 31, 2023, there were no transfers in and out of Level 3.
(2) Derivative instruments (excluding purchased and written options, if applicable) are valued at the unrealized appreciation/(depreciation) on the investments.
Level 3 investments at the beginning and/or end of the period in relation to net assets were not significant and accordingly, a reconciliation of Level 3 assets for the period ended January 31, 2023 is not presented.

23

Hartford Schroders International Contrarian Value Fund
Schedule of Investments
January 31, 2023  (Unaudited) 

Shares or Principal Amount   Market Value†
COMMON STOCKS - 97.3%
  Australia - 0.4%
 1,438 South32 Ltd. $     4,614
  Belgium - 3.4%
   764 Ageas S.A.    37,300
  France - 17.6%
 1,035 AXA S.A.     32,291
 1,796 Carrefour S.A.     34,162
4,064 Orange S.A. 43,008
395 Publicis Groupe S.A. 27,863
655 Renault S.A.* 26,632
318 Sanofi 31,140
      195,096
  Germany - 13.1%
506 BASF SE 29,012
612 Bayer AG 38,094
619 Continental AG 43,463
516 HeidelbergCement AG 35,406
      145,975
  Italy - 8.0%
2,171 Eni S.p.A. 33,408
8,000 Intesa Sanpaolo S.p.A. 21,034
1,735 UniCredit S.p.A. 33,887
      88,329
  Japan - 12.6%
1,000 Bridgestone Corp. 37,333
1,200 Dentsu Group, Inc. 38,651
800 KDDI Corp. 24,995
4,200 Panasonic Holdings Corp. 38,948
      139,927
  Netherlands - 5.0%
1,650 BNP Paribas Emissions- und Handelsgesellschaft mbH* 23,893
1,082 Shell plc 31,765
      55,658
  South Africa - 2.5%
651 Anglo American plc 28,078
  Spain - 3.1%
2,120 Repsol S.A. 34,825
  Switzerland - 2.6%
80 Swatch Group AG 28,965
  United Kingdom - 22.3%
9,057 Barclays plc 20,820
26,374 BT Group plc 40,634
2,732 HSBC Holdings plc 20,130
913 Imperial Brands plc 22,904
5,456 NatWest Group plc 20,815
20,412 Rolls-Royce Holdings plc* 26,706
3,504 Standard Chartered plc 29,432
9,842 Tesco plc 29,914
3,140 WPP plc 36,687
      248,042
Shares or Principal Amount   Market Value†
COMMON STOCKS - 97.3% - (continued)
  United States - 6.7%
 2,492 GSK plc $    43,772
   293 Swiss Re AG     30,680
      74,452
  Total Common Stocks
(cost $1,002,389)
  $ 1,081,261
PREFERRED STOCKS - 3.2%
  Germany - 3.2%
502 Henkel AG & Co. KGaA (Preference Shares) $ 35,793
  Total Preferred Stocks
(cost $33,075)
  $ 35,793
  Total Long-Term Investments
(cost $1,035,464)
  $ 1,117,054
SHORT-TERM INVESTMENTS - 1.1%
  Other Investment Pools & Funds - 1.1%
12,668 Morgan Stanley Institutional Liquidity Funds, Treasury Portfolio, Institutional Class, 4.27%(1) $ 12,668
  Total Short-Term Investments
(cost $12,668)
$ 12,668
  Total Investments
(cost $1,048,132)
101.6% $ 1,129,722
  Other Assets and Liabilities (1.6)% (17,656)
  Total Net Assets 100.0% $ 1,112,066
Note: Percentage of investments as shown is the ratio of the total market value to total net assets.
  Prices of foreign equities that are principally traded on certain foreign markets will generally be adjusted daily pursuant to a fair value pricing service approved by Hartford Funds Management Company, LLC in order to reflect an adjustment for factors occurring after the close of certain foreign markets but before the close of the New York Stock Exchange.
  Equity industry classifications used in this report are the Global Industry Classification Standard, which was developed by and is the exclusive property and service mark of MSCI, Inc. and Standard & Poor’s.
  For Fund compliance purposes, the Fund may not use the same classification system. These classifications are used for financial reporting purposes.
  See “Glossary” for abbreviation descriptions.
    
* Non-income producing.
(1) Current yield as of period end.
For information regarding the Fund’s significant accounting policies, please refer to the Fund’s most recent shareholder report.
 

24

Hartford Schroders International Contrarian Value Fund
Schedule of Investments – (continued)
January 31, 2023  (Unaudited) 

Fair Value Summary
The following is a summary of the fair valuations according to the inputs used as of January 31, 2023 in valuing the Fund’s investments.
Description   Total   Level 1   Level 2   Level 3(1)
Assets                
Common Stocks                
Australia   $ 4,614   $ —   $ 4,614   $ —
Belgium   37,300     37,300  
France   195,096     195,096  
Germany   145,975     145,975  
Italy   88,329     88,329  
Japan   139,927     139,927  
Netherlands   55,658     55,658  
South Africa   28,078     28,078  
Spain   34,825     34,825  
Switzerland   28,965     28,965  
United Kingdom   248,042     248,042  
United States   74,452     74,452  
Preferred Stocks   35,793     35,793  
Short-Term Investments   12,668   12,668    
Total   $ 1,129,722   $ 12,668   $ 1,117,054   $ —
    
(1) For the period ended January 31, 2023, there were no transfers in and out of Level 3.

25

Hartford Schroders International Multi-Cap Value Fund
Schedule of Investments
January 31, 2023  (Unaudited) 

Shares or Principal Amount   Market Value†
COMMON STOCKS - 98.6%
  Australia - 3.4%
   710,398 Allkem Ltd.* $     6,595,292
 1,599,129 Beach Energy Ltd.      1,718,402
   258,961 Helia Group Ltd.        513,414
   659,253 IGO Ltd.(1)      6,853,113
   518,425 Iluka Resources Ltd.      3,989,112
   337,797 Lynas Rare Earths Ltd.*      2,261,257
162,448 Mineral Resources Ltd. 10,284,595
63,714 Nick Scali Ltd. 541,919
1,365,379 Pilbara Minerals Ltd.* 4,644,907
1,480,534 Qantas Airways Ltd.* 6,682,876
74,351 Rio Tinto Ltd. 6,672,055
72,329 Rio Tinto plc 5,663,449
1,020,839 Santos Ltd. 5,211,252
110,775 SmartGroup Corp. Ltd. 443,870
1,750,781 Telstra Corp. Ltd. 5,060,077
645,287 Woodside Energy Group Ltd. 16,709,001
      83,844,591
  Austria - 0.9%
77,954 Erste Group Bank AG 2,957,897
145,848 OMV AG 7,305,561
75,793 Telekom Austria AG* 509,456
115,783 Verbund AG 9,858,126
44,848 Wienerberger AG 1,348,624
      21,979,664
  Belgium - 0.7%
50,069 bpost S.A. 271,448
137,359 KBC Group N.V. 10,173,806
48,360 Solvay S.A. 5,635,463
      16,080,717
  Brazil - 0.8%
317,900 Cia de Saneamento de Minas Gerais 916,821
1,670,718 Cia Energetica de Minas Gerais ADR(1) 3,742,408
492,700 EDP - Energias do Brasil S.A. 1,977,090
153,400 Kepler Weber S.A. 698,962
300,100 Odontoprev S.A. 672,761
1,186,000 Santos Brasil Participacoes S.A. 2,058,322
66,400 Sao Martinho S.A. 327,141
295,100 Transmissora Alianca de Energia Eletrica S.A. 2,154,405
146,464 Yara International ASA 6,507,583
      19,055,493
  Canada - 7.5%
363,113 Advantage Energy Ltd.* 2,265,107
873,801 ARC Resources Ltd. 10,152,917
211,355 Bank of Montreal 21,269,726
263,167 BCE, Inc.(1) 12,440,874
110,477 Canadian Natural Resources Ltd. 6,781,148
124,197 CI Financial Corp. 1,481,347
1,693 Fairfax Financial Holdings Ltd. 1,120,824
64,943 Fiera Capital Corp. 458,318
68,135 George Weston Ltd. 8,765,298
134,097 Gildan Activewear, Inc. 4,204,672
54,577 Imperial Oil Ltd. 2,982,856
45,673 International Petroleum Corp.* 492,584
23,725 Largo, Inc.*(1) 150,850
132,712 Loblaw Cos., Ltd. 11,889,272
59,466 Magna International, Inc. 3,860,564
481,453 Manulife Financial Corp. 9,527,382
42,700 Martinrea International, Inc. 413,024
43,656 Metro, Inc. 2,369,574
238,020 National Bank of Canada 17,879,899
75,057 Nutrien Ltd. 6,213,053
228,451 Parex Resources, Inc. 3,888,929
141,517 Quebecor, Inc. Class B 3,356,715
48,083 Royal Bank of Canada 4,920,508
42,321 Sleep Country Canada Holdings, Inc.(2) 823,487
Shares or Principal Amount   Market Value†
COMMON STOCKS - 98.6% - (continued)
  Canada - 7.5% - (continued)
    63,096 Sun Life Financial, Inc. $     3,170,567
   421,340 Suncor Energy, Inc.     14,623,638
    70,449 Teck Resources Ltd. Class B      3,047,645
    38,850 Toromont Industries Ltd.      3,103,503
   309,693 Toronto-Dominion Bank     21,427,483
    38,664 Transcontinental, Inc. Class A       432,102
      183,513,866
  Cayman Islands - 0.1%
89,142 Patria Investments Ltd. Class A 1,375,461
  Chile - 0.6%
153,863 Sociedad Quimica y Minera de Chile S.A. ADR 15,007,797
  China - 8.3%
14,893,000 Agricultural Bank of China Ltd. Class H 5,360,483
1,584,600 Alibaba Group Holding Ltd.* 21,786,126
2,526,500 BAIC Motor Corp. Ltd. Class H(2) 775,533
926,650 Baidu, Inc. Class A* 15,577,021
12,073,000 Bank of China Ltd. Class H 4,595,763
1,802,000 Bank of Communications Co., Ltd. Class H 1,113,814
303,500 Beijing Enterprises Holdings Ltd. 1,030,628
1,397,000 BOC Hong Kong Holdings Ltd. 4,882,357
13,076,000 China Construction Bank Corp. Class H 8,463,974
3,152,000 China Feihe Ltd.(2) 3,024,148
1,336,000 China Medical System Holdings Ltd. 2,306,225
496,000 China Meidong Auto Holdings Ltd. 1,230,645
1,602,500 China Merchants Bank Co., Ltd. Class H 10,394,019
746,500 China Overseas Land & Investment Ltd. 2,015,752
472,000 China Shineway Pharmaceutical Group Ltd. 440,660
32,662,000 China Tower Corp. Ltd. Class H(2) 3,711,084
758,000 China Water Affairs Group Ltd. 658,828
868,000 CITIC Ltd. 1,015,710
1,282,000 CSPC Pharmaceutical Group Ltd. 1,461,740
1,390,600 Dongfang Electric Corp. Ltd. Class H 2,483,669
795,000 Fu Shou Yuan International Group Ltd. 670,794
273,560 Ganfeng Lithium Co., Ltd. Class H(2) 2,498,473
654,000 Greentown Management Holdings Co., Ltd.(2) 540,268
418,000 Haitian International Holdings Ltd. 1,282,823
125,466 Hello Group, Inc. ADR 1,286,026
19,317,000 Industrial & Commercial Bank of China Ltd. Class H 10,333,025
508,400 JD.com, Inc. Class A 15,096,100
6,369,000 Lonking Holdings Ltd. 1,301,291
56,170 Meituan Class B*(2) 1,255,730
129,500 NetDragon Websoft Holdings Ltd. 300,807
905,800 NetEase, Inc. 16,070,806
6,932,000 PetroChina Co., Ltd. Class H 3,708,273
30,074 Pinduoduo, Inc. ADR* 2,946,650
803,000 Ping An Insurance Group Co. of China Ltd. Class H 6,237,465
1,754,000 Sinotrans Ltd. Class H 605,040
1,421,000 SITC International Holdings Co., Ltd. 3,104,316
482,100 Tencent Holdings Ltd. 23,492,207
242,439 TI Fluid Systems plc(2) 355,680
1,339,000 Tianqi Lithium Corp. Class H* 12,411,773
143,960 Vipshop Holdings Ltd. ADR* 2,227,061
874,000 Yadea Group Holdings Ltd.(2) 1,992,595
2,138,900 Yangzijiang Shipbuilding Holdings Ltd. 2,108,637
249,500 Zhongsheng Group Holdings Ltd. 1,411,717
      203,565,736
  Colombia - 0.0%
61,309 Geopark Ltd. 932,510
  Czech Republic - 0.2%
101,719 CEZ AS 4,129,975
 

26

Hartford Schroders International Multi-Cap Value Fund
Schedule of Investments – (continued)
January 31, 2023  (Unaudited) 

Shares or Principal Amount   Market Value†
COMMON STOCKS - 98.6% - (continued)
  Denmark - 0.8%
   308,884 Danske Bank AS $     6,435,155
   147,561 Pandora A/S    12,287,539
      18,722,694
  Finland - 0.5%
    48,012 Marimekko Oyj        481,356
 1,030,086 Nokia Oyj      4,884,169
577,232 Outokumpu Oyj 3,305,555
95,114 TietoEVRY Oyj 2,896,606
      11,567,686
  France - 6.3%
22,351 Amundi S.A.(2) 1,463,319
115,219 BNP Paribas S.A. 7,913,458
33,512 Bouygues S.A. 1,104,017
362,754 Bureau Veritas S.A. 10,371,668
274,661 Carrefour S.A. 5,224,318
140,046 Cie de Saint-Gobain 8,043,005
199,179 Cie Generale des Etablissements Michelin SCA 6,298,001
58,767 Coface S.A. 821,732
116,420 Elis S.A. 2,044,721
383,591 Engie S.A. 5,446,940
18,534 Eramet S.A. 1,852,345
64,379 Eutelsat Communications S.A.(1) 492,331
52,988 Ipsen S.A. 5,565,594
43,285 IPSOS 2,805,196
296,019 Metropole Television S.A. 4,714,687
748,363 Orange S.A. 7,919,739
57,413 Pernod Ricard S.A. 11,886,212
153,582 Publicis Groupe S.A. 10,833,617
277,494 Rexel S.A.* 6,138,834
254,697 Sanofi 24,941,057
216,114 Societe Generale S.A. 6,432,973
25,626 SOITEC* 3,886,603
253,808 TotalEnergies SE(1) 15,690,602
60,913 Verallia S.A.(2) 2,249,015
      154,139,984
  Georgia - 0.1%
68,559 TBC Bank Group plc 2,011,646
  Germany - 2.3%
59,420 BASF SE 3,406,871
90,620 Bayer AG 5,640,636
17,921 Bayerische Motoren Werke AG 1,825,516
129,350 Brenntag SE 9,655,720
92,133 Continental AG 6,469,138
25,856 Daimler Truck Holding AG* 868,855
274,987 Deutsche Bank AG 3,669,900
286,757 Deutsche Telekom AG 6,388,602
31,400 DWS Group GmbH & Co. KGaA(2) 1,129,428
110,194 Fresenius SE & Co. KGaA 3,193,516
225,860 K&S AG 5,406,285
52,583 Mercedes-Benz Group AG 3,912,808
26,757 Salzgitter AG(1) 1,091,988
251,499 Schaeffler AG 1,805,133
19,622 Vitesco Technologies Group AG Class A* 1,360,084
      55,824,480
  Greece - 0.2%
27,003 JUMBO S.A. 484,912
361,302 OPAP S.A. 5,425,181
      5,910,093
  Hong Kong - 0.9%
656,303 CK Asset Holdings Ltd. 4,196,079
99,000 Hang Lung Properties Ltd. 186,669
367,000 Henderson Land Development Co., Ltd. 1,355,696
394,400 Hongkong Land Holdings Ltd. 1,928,132
276,000 Kerry Properties Ltd. 699,772
Shares or Principal Amount   Market Value†
COMMON STOCKS - 98.6% - (continued)
  Hong Kong - 0.9% - (continued)
   720,000 Sino Land Co., Ltd. $       935,624
   390,000 Sun Hung Kai Properties Ltd.      5,530,832
   280,000 Swire Pacific Ltd. Class A      2,565,889
   708,800 Swire Properties Ltd.      1,992,122
 1,242,000 Untrade Youyuan*(1)(3)             —
   668,000 Wharf Real Estate Investment Co., Ltd.     3,824,075
      23,214,890
  Hungary - 0.3%
133,388 OTP Bank Nyrt 4,019,179
161,929 Richter Gedeon Nyrt 3,656,584
      7,675,763
  India - 0.6%
219,208 HCL Technologies Ltd. 3,022,791
3,721,394 Power Grid Corp. of India Ltd. 9,875,631
75,779 Sun TV Network Ltd. 429,230
268,205 UPL Ltd. 2,487,598
      15,815,250
  Indonesia - 1.2%
15,007,900 Bank Mandiri Persero Tbk PT 10,000,305
19,286,700 Bank Rakyat Indonesia Persero Tbk PT 5,914,610
7,749,100 Media Nusantara Citra Tbk PT* 360,105
15,077,100 Perusahaan Gas Negara Persero Tbk PT 1,560,647
49,705,900 Telkom Indonesia Persero Tbk PT 12,845,625
      30,681,292
  Ireland - 0.4%
1,218,668 AIB Group plc 5,119,125
110,185 Bank of Ireland Group plc 1,177,199
481,842 Glenveagh Properties plc*(2) 492,929
129,726 Kenmare Resources plc 751,683
49,525 Smurfit Kappa Group plc 2,079,284
      9,620,220
  Israel - 0.8%
122,036 Check Point Software Technologies Ltd.* 15,522,979
196,883 Plus500 Ltd. 4,512,297
      20,035,276
  Italy - 2.8%
364,471 Anima Holding S.p.A.(2) 1,607,668
209,548 Azimut Holding S.p.A. 5,231,509
820,098 Enel S.p.A. 4,828,836
1,074,603 Eni S.p.A. 16,536,235
1,742,588 Italgas S.p.A. 10,200,595
439,544 Mediobanca Banca di Credito Finanziario S.p.A. 4,725,075
309,588 Pirelli & C. S.p.A.(2) 1,550,010
90,142 RAI Way S.p.A.(2) 514,829
192,914 Recordati Industria Chimica e Farmaceutica S.p.A. 8,451,269
1,244,465 Terna - Rete Elettrica Nazionale 9,846,033
300,254 UniCredit S.p.A. 5,864,302
      69,356,361
  Japan - 16.1%
116,800 AGC, Inc. 4,303,590
80,400 Air Water, Inc. 983,699
205,700 Aisin Corp. 6,001,402
1,902,200 Astellas Pharma, Inc. 28,000,632
256,100 Citizen Watch Co., Ltd. 1,218,415
83,900 CKD Corp. 1,299,374
34,100 Daido Steel Co., Ltd. 1,289,328
115,400 Dexerials Corp. 2,466,776
46,800 Dowa Holdings Co., Ltd. 1,633,935
348,900 ENEOS Holdings, Inc. 1,249,131
61,600 Exedy Corp. 828,589
104,600 FCC Co., Ltd. 1,165,250
117,700 Fuji Media Holdings, Inc. 994,103
348,000 Fujikura Ltd. 2,645,273
 

27

Hartford Schroders International Multi-Cap Value Fund
Schedule of Investments – (continued)
January 31, 2023  (Unaudited) 

Shares or Principal Amount   Market Value†
COMMON STOCKS - 98.6% - (continued)
  Japan - 16.1% - (continued)
    24,100 Goldcrest Co., Ltd. $       302,341
    64,200 GS Yuasa Corp.      1,123,439
    29,400 G-Tekt Corp.        349,477
   106,900 Hokuetsu Corp.        688,163
   322,600 Honda Motor Co., Ltd.      7,979,999
    57,400 Hosiden Corp.        696,245
1,713,600 Inpex Corp. 18,830,132
682,300 Isuzu Motors Ltd. 8,627,915
311,800 ITOCHU Corp. 10,077,943
52,500 Japan Petroleum Exploration Co., Ltd. 1,701,873
47,200 Japan Post Insurance Co., Ltd. 842,046
299,600 JTEKT Corp. 2,221,023
331,500 Kamigumi Co., Ltd. 6,781,327
77,600 Kanamoto Co., Ltd. 1,349,691
63,800 Kandenko Co., Ltd. 428,809
61,300 Kaneka Corp. 1,609,393
818,100 KDDI Corp. 25,560,252
79,200 Kinden Corp. 907,754
78,400 Kirin Holdings Co., Ltd. 1,208,122
418,600 Kobe Steel Ltd. 2,255,220
26,400 Komeri Co., Ltd. 541,567
23,500 Kureha Corp. 1,534,841
45,600 Kyudenko Corp. 1,181,933
36,700 Makino Milling Machine Co., Ltd. 1,317,456
626,800 Marubeni Corp. 7,689,943
1,021,100 Mazda Motor Corp. 8,127,942
1,000,300 Mitsubishi Chemical Group Corp. 5,613,129
279,200 Mitsubishi Corp. 9,349,278
139,400 Mitsubishi Gas Chemical Co., Inc. 2,036,984
1,107,300 Mitsubishi Motors Corp.* 4,266,318
257,200 Mitsui & Co., Ltd. 7,588,103
145,500 Mitsui Chemicals, Inc. 3,424,854
106,500 Mitsui Mining & Smelting Co., Ltd. 2,837,276
265,200 Mizuho Financial Group, Inc. 4,142,543
35,400 Mizuno Corp. 803,209
267,000 NGK Spark Plug Co., Ltd. 5,217,477
119,400 NHK Spring Co., Ltd. 843,986
10,868 Nichirin Co., Ltd. 157,142
120,400 Nippon Electric Glass Co., Ltd. 2,235,875
29,400 Nippon Shokubai Co., Ltd. 1,244,653
521,700 Nippon Telegraph & Telephone Corp. 15,643,445
61,400 Nippon Yusen KK(1) 1,460,635
92,100 Nissan Chemical Corp. 4,348,008
22,200 Nitta Corp. 490,889
56,400 Nitto Denko Corp. 3,645,550
137,100 NOK Corp. 1,302,082
12,400 Noritake Co. Ltd. 402,024
434,500 NTN Corp. 900,747
514,400 Oji Holdings Corp. 2,125,886
1,136,600 Ono Pharmaceutical Co., Ltd. 24,662,724
14,800 Oracle Corp. 1,013,901
316,600 Panasonic Holdings Corp. 2,935,948
198,500 Press Kogyo Co., Ltd. 689,637
33,800 Raito Kogyo Co., Ltd. 501,618
459,200 Renesas Electronics Corp.* 4,723,377
240,100 Rengo Co., Ltd. 1,694,626
26,800 Rorze Corp. 2,060,047
29,000 Sangetsu Corp. 509,620
53,400 SCSK Corp. 869,748
355,600 Senko Group Holdings Co., Ltd. 2,750,512
30,800 Shimamura Co., Ltd. 2,889,164
62,200 Shin-Etsu Chemical Co., Ltd. 9,169,711
163,900 Shinko Electric Industries Co., Ltd. 4,611,492
42,200 Shionogi & Co., Ltd. 2,011,019
43,000 Sintokogio Ltd. 238,943
327,100 SKY Perfect JSAT Holdings, Inc. 1,262,709
62,300 Sojitz Corp. 1,235,179
Shares or Principal Amount   Market Value†
COMMON STOCKS - 98.6% - (continued)
  Japan - 16.1% - (continued)
   431,700 Subaru Corp. $     7,093,537
   243,600 Sumco Corp.      3,609,364
    49,400 Sumitomo Bakelite Co., Ltd.      1,609,650
 1,268,500 Sumitomo Chemical Co., Ltd.      4,869,304
   392,100 Sumitomo Corp.      7,038,167
   316,000 Sumitomo Electric Industries Ltd.      3,797,107
245,400 Sumitomo Forestry Co., Ltd. 4,588,366
87,700 Sumitomo Heavy Industries Ltd. 1,950,207
152,000 Sumitomo Mitsui Financial Group, Inc. 6,606,082
280,800 Sumitomo Rubber Industries Ltd. 2,492,877
33,600 Sumitomo Seika Chemicals Co., Ltd. 1,073,648
61,500 Takeuchi Manufacturing Co., Ltd. 1,361,145
94,200 TBS Holdings, Inc. 1,099,730
107,100 Toagosei Co., Ltd. 971,926
41,700 Tokai Rika Co., Ltd. 484,037
124,700 Tokyo Steel Manufacturing Co., Ltd. 1,356,777
210,100 Toppan, Inc. 3,385,167
120,100 Toyo Seikan Group Holdings Ltd. 1,559,003
112,300 Toyoda Gosei Co., Ltd. 1,864,637
36,100 Toyota Boshoku Corp. 535,431
170,700 Toyota Motor Corp. 2,506,851
196,700 Toyota Tsusho Corp. 8,328,701
34,400 Tsubakimoto Chain Co. 823,491
46,600 TV Asahi Holdings Corp. 482,264
20,200 Tv Tokyo Holdings Corp. 305,011
90,500 Ulvac, Inc. 4,233,768
92,000 Wakita & Co., Ltd. 858,151
282,800 Yamaha Motor Co., Ltd. 6,965,557
104,500 Yokohama Rubber Co., Ltd. 1,716,814
54,500 Yurtec Corp. 321,011
      395,812,192
  Luxembourg - 0.1%
50,465 RTL Group S.A. 2,448,617
  Malaysia - 0.1%
944,900 RHB Bank Bhd 1,275,588
  Mexico - 1.6%
2,641,701 Bolsa Mexicana de Valores S.A.B. de C.V. 5,736,393
2,296,000 Concentradora Fibra Danhos S.A. de C.V. REIT(1) 3,023,860
43,316 Fomento Economico Mexicano S.A.B. de C.V. ADR 3,803,145
658,100 Gentera S.A.B. de C.V. 803,119
544,600 Grupo Aeroportuario del Centro Norte S.A.B. de C.V. 4,975,597
22,570 Grupo Aeroportuario del Pacifico S.A.B. de C.V. ADR 3,894,905
2,862 Grupo Aeroportuario del Sureste S.A.B. de C.V. ADR 778,464
959,300 Grupo Financiero Banorte S.A.B. de C.V. Class O 7,947,256
4,288,899 Kimberly-Clark de Mexico S.A.B. de C.V. Class A 8,165,319
2 Urbi Desarrollos Urbanos S.A.B. de C.V.*(3) 1
      39,128,059
  Netherlands - 3.8%
413,291 ABN Amro Bank N.V. GDR(2) 6,859,617
84,464 AMG Advanced Metallurgical Group N.V. 3,299,386
263,731 ASR Nederland N.V. 12,482,781
298,276 BNP Paribas Emissions- und Handelsgesellschaft mbH 4,319,114
12,334 Euronext N.V.(2) 999,447
131,337 Heineken N.V. 13,125,675
77,260 Koninklijke Ahold Delhaize N.V. 2,305,977
4,451,125 Koninklijke KPN N.V. 15,217,698
116,594 NN Group N.V. 5,065,785
201,875 OCI N.V. 6,871,916
759,995 Shell plc 22,300,536
      92,847,932
 

28

Hartford Schroders International Multi-Cap Value Fund
Schedule of Investments – (continued)
January 31, 2023  (Unaudited) 

Shares or Principal Amount   Market Value†
COMMON STOCKS - 98.6% - (continued)
  New Zealand - 0.1%
   595,579 Spark New Zealand Ltd. $     2,008,134
  Norway - 1.3%
   271,064 Aker BP ASA      8,257,079
   745,676 Equinor ASA     22,725,701
   203,002 Europris ASA(2)     1,307,860
      32,290,640
  Poland - 0.2%
313,068 InPost S.A.* 3,023,338
145,447 Powszechna Kasa Oszczednosci Bank Polski S.A. 1,084,817
      4,108,155
  Portugal - 0.5%
701,114 Galp Energia SGPS S.A. 9,596,880
78,141 Greenvolt-Energias Renovaveis S.A.* 655,070
239,489 Navigator Co. S.A. 838,471
      11,090,421
  Russia - 0.0%
19,959,800 RusHydro PJSC*(3)
  Singapore - 1.7%
583,100 DBS Group Holdings Ltd. 15,963,104
1,778,600 Oversea-Chinese Banking Corp. Ltd. 17,573,187
1,084,400 Sheng Siong Group Ltd. 1,355,207
49,044 STMicroelectronics N.V. 2,309,399
504,900 UMS Holdings Ltd. 510,623
712,100 UOL Group Ltd. 3,799,457
      41,510,977
  South Africa - 1.0%
51,587 Anglo American plc 2,224,967
771,860 AVI Ltd. 3,294,549
74,534 Kumba Iron Ore Ltd. 2,282,234
188,288 Mr. Price Group Ltd. 1,781,810
422,508 MultiChoice Group Ltd. 2,908,992
681,595 Truworths International Ltd. 2,597,502
1,501,660 Vodacom Group Ltd. 10,553,444
      25,643,498
  South Korea - 4.3%
24,514 AfreecaTV Co., Ltd.* 1,593,703
30,450 Asia Paper Manufacturing Co., Ltd.* 980,635
70,546 BH Co., Ltd. 1,185,044
4,478 CJ CheilJedang Corp. 1,256,346
46,588 Classys, Inc.* 714,808
36,255 Coway Co., Ltd.* 1,644,104
91,633 Daeduck Electronics Co., Ltd. / New 1,609,156
19,133 Daesang Corp.* 330,994
101,313 DB HiTek Co., Ltd.* 3,758,188
13,109 Dentium Co., Ltd.* 1,259,877
79,783 Dongkuk Steel Mill Co., Ltd.* 889,970
54,377 Doosan Bobcat, Inc. 1,543,122
24,413 Eugene Technology Co., Ltd. 517,185
5,772 GOLFZON Co., Ltd.* 664,505
33,737 HAESUNG DS Co., Ltd.* 1,098,490
165,655 Hana Financial Group, Inc. 6,581,011
18,238 Handsome Co., Ltd.* 406,466
7,504 Hansol Chemical Co., Ltd.* 1,293,880
29,181 HD Hyundai Co., Ltd. 1,450,567
24,344 HL Mando Co., Ltd.* 885,402
27,797 Hyundai Department Store Co., Ltd.* 1,394,607
87,257 Hyundai Engineering & Construction Co., Ltd.* 2,712,765
23,324 Hyundai Glovis Co., Ltd. 3,156,490
6,416 Hyundai Home Shopping Network Corp.* 292,195
11,716 Hyundai Wia Corp.* 512,235
39,862 Innox Advanced Materials Co., Ltd. 1,017,576
30,973 INTOPS Co., Ltd. 727,129
132,420 KB Financial Group, Inc. 6,034,695
Shares or Principal Amount   Market Value†
COMMON STOCKS - 98.6% - (continued)
  South Korea - 4.3% - (continued)
   117,131 Kia Corp. $     6,381,521
   398,431 KT Corp.     11,353,546
    59,066 KT Skylife Co., Ltd.*        400,659
    52,159 LG Electronics, Inc.      4,273,885
    34,774 LG Innotek Co., Ltd.      7,747,262
   198,506 LG Uplus Corp.      1,795,137
21,160 Lotte Chemical Corp.* 3,055,018
6,389 Lotte Chilsung Beverage Co., Ltd.* 831,123
37,058 LOTTE Fine Chemical Co., Ltd.* 1,731,024
55,463 Lutronic Corp. 1,059,046
5,466 Park Systems Corp. 546,583
9,372 PharmaResearch Co., Ltd. 591,231
12,783 SFA Engineering Corp. 389,391
29,771 Shinhan Financial Group Co., Ltd. 1,006,688
90,604 SIMMTECH Co., Ltd. 2,246,981
37,398 SK Innovation Co., Ltd.* 4,970,756
115,263 SK Telecom Co., Ltd. 4,367,902
60,483 S-Oil Corp. 4,363,130
4,748 Soulbrain Co., Ltd.* 906,605
6,999 Tokai Carbon Korea Co., Ltd.* 596,099
34,309 Wonik QnC Corp.* 715,585
23,799 Youngone Corp.* 846,365
      105,686,682
  Spain - 1.3%
276,630 Acerinox S.A. 2,995,887
119,821 Atresmedia Corp. de Medios de Comunicacion S.A. 446,694
1,230,374 Banco Bilbao Vizcaya Argentaria S.A. 8,691,082
53,723 CIE Automotive S.A. 1,595,818
166,609 Endesa S.A. 3,321,637
194,623 Red Electrica Corp. S.A. 3,444,612
739,683 Repsol S.A. 12,150,650
      32,646,380
  Sweden - 2.3%
85,151 Boliden AB 3,821,320
88,182 Evolution AB(2) 9,910,868
475,621 Securitas AB Class B 4,353,623
1,282,329 Skandinaviska Enskilda Banken AB Class A 15,523,630
889,197 Stillfront Group AB* 1,551,928
828,645 Swedbank AB Class A 15,940,159
845,626 Telefonaktiebolaget LM Ericsson Class B 4,905,020
478,979 Truecaller AB Class B* 1,702,076
      57,708,624
  Switzerland - 3.1%
148,060 Julius Baer Group Ltd. 9,497,207
333,750 Novartis AG 30,174,016
30,436 Swisscom AG 17,983,280
13,888 Swissquote Group Holding S.A. 2,508,261
761,092 UBS Group AG 16,245,793
      76,408,557
  Taiwan - 4.4%
369,000 Accton Technology Corp. 3,015,569
227,000 Alchip Technologies Ltd. 6,457,301
2,130,000 ASE Technology Holding Co., Ltd. 7,186,709
129,000 Bizlink Holding, Inc. 1,131,663
702,000 Chicony Electronics Co., Ltd. 2,035,844
83,000 Chroma ATE, Inc. 515,073
1,229,000 Compeq Manufacturing Co., Ltd. 1,880,678
2,567,000 E Ink Holdings, Inc. 14,895,720
321,000 FLEXium Interconnect, Inc.* 1,075,454
1,275,750 Fubon Financial Holding Co., Ltd. 2,569,466
123,000 Fusheng Precision Co., Ltd. 910,989
1,383,000 Gold Circuit Electronics Ltd. 4,054,635
38,000 King Slide Works Co., Ltd. 513,788
625,000 Lite-On Technology Corp. 1,388,810
 

29

Hartford Schroders International Multi-Cap Value Fund
Schedule of Investments – (continued)
January 31, 2023  (Unaudited) 

Shares or Principal Amount   Market Value†
COMMON STOCKS - 98.6% - (continued)
  Taiwan - 4.4% - (continued)
   118,000 Lotes Co., Ltd. $     2,999,676
   143,000 MediaTek, Inc.      3,455,017
   186,000 Nien Made Enterprise Co., Ltd.      1,938,644
   475,000 Novatek Microelectronics Corp.      5,656,236
   220,000 Radiant Opto-Electronics Corp.        754,161
   191,000 Simplo Technology Co., Ltd.      1,892,219
1,021,000 Sino-American Silicon Products, Inc. 5,575,295
1,533,000 Taiwan Semiconductor Manufacturing Co., Ltd. 27,052,516
218,000 TXC Corp. 636,380
922,000 Unimicron Technology Corp. 4,244,882
762,000 United Microelectronics Corp.* 1,246,970
33,000 Wiwynn Corp. 828,882
275,675 Yageo Corp. 5,003,756
      108,916,333
  Thailand - 0.7%
1,490,900 Bangkok Bank PCL NVDR 7,187,454
1,841,800 Kasikornbank PCL NVDR 8,123,144
1,932,900 Krung Thai Bank PCL NVDR 1,028,353
3,943,700 TTW PCL NVDR 1,128,990
      17,467,941
  Ukraine - 0.0%
108,897 Ferrexpo plc 213,050
  United Kingdom - 12.6%
226,951 AstraZeneca plc 29,733,408
697,963 Auto Trader Group plc(2) 5,415,134
248,799 Aviva plc 1,403,188
4,305,776 Barclays plc 9,898,079
736,414 Beazley plc 6,060,244
2,031,413 BP plc 12,270,238
3,879,610 BT Group plc 5,977,289
314,965 Bunzl plc 11,562,742
550,851 Burberry Group plc 16,779,422
325,944 Central Asia Metals plc 1,135,297
7,757,983 Centrica plc 9,664,909
2,050,575 Coats Group plc 1,843,869
275,046 Diageo plc 12,026,681
2,185,051 Direct Line Insurance Group plc 4,791,039
829,599 Dr. Martens plc 1,589,973
747,213 Drax Group plc 5,967,598
1,068,376 DS Smith plc 4,677,252
147,109 Dunelm Group plc 2,112,882
33,070 Gamma Communications plc 482,436
208,862 Gateley Holdings plc 482,804
287,144 Howden Joinery Group plc 2,450,136
1,447,200 HSBC Holdings plc(1) 10,639,216
1,592,908 HSBC Holdings plc 11,737,097
1,374,560 IG Group Holdings plc 13,515,051
88,235 InterContinental Hotels Group plc 6,125,587
3,598,433 ITV plc 3,603,584
246,558 Lancashire Holdings Ltd. 1,903,210
2,002,686 Legal & General Group plc 6,302,329
114,730 Liontrust Asset Management plc 1,643,834
10,271,980 Lloyds Banking Group plc 6,684,957
2,384,294 Man Group plc 7,335,171
820,443 Moneysupermarket.com Group plc 2,415,421
485,059 Moonpig Group plc* 719,534
2,411,329 NatWest Group plc 9,199,356
177,118 Next Fifteen Communications Group plc 2,187,966
50,145 Next plc 4,105,580
110,957 Norcros plc 279,070
223,812 Pagegroup plc 1,259,976
79,277 Polar Capital Holdings plc 506,276
112,855 Rathbones Group plc 2,907,885
369,779 Reckitt Benckiser Group plc 26,350,784
585,001 RELX plc 17,379,737
Shares or Principal Amount   Market Value†
COMMON STOCKS - 98.6% - (continued)
  United Kingdom - 12.6% - (continued)
   823,489 Standard Chartered plc $     6,916,989
   186,886 Subsea 7 S.A.      2,328,988
   314,278 Unilever plc     15,996,453
   105,777 Vistry Group plc        970,881
   122,268 WPP plc     1,428,547
      310,768,099
  United States - 3.7%
168,899 BRP, Inc. 14,094,063
529,583 Computershare Ltd. 8,919,158
1,059,926 GSK plc 18,617,616
155,497 Inmode Ltd.* 5,450,170
452,000 JS Global Lifestyle Co., Ltd.(2) 546,593
76,189 Roche Holding AG 23,783,949
107,113 Signify N.V.(2) 3,878,069
532,242 Stellantis N.V. 8,367,371
26,351 Tecnoglass, Inc. 902,258
371,305 Tenaris S.A. 6,579,802
      91,139,049
  Total Common Stocks
(cost $2,184,186,031)
  $ 2,423,180,373
PREFERRED STOCKS - 0.2%
  Brazil - 0.2%
550,000 Banco Bradesco S.A. (Preference Shares) $ 1,519,020
2,102,553 Cia de Saneamento do Parana (Preference Shares) 1,457,949
1,667,090 Itausa S.A. (Preference Shares) 2,801,308
      5,778,277
  Total Preferred Stocks
(cost $6,910,922)
  $ 5,778,277
  Total Long-Term Investments
(cost $2,191,096,953)
  $ 2,428,958,650
SHORT-TERM INVESTMENTS - 1.7%
  Other Investment Pools & Funds - 1.1%
26,382,250 Morgan Stanley Institutional Liquidity Funds, Treasury Portfolio, Institutional Class, 4.27%(4) $ 26,382,250
  Securities Lending Collateral - 0.6%
3,667,111 Goldman Sachs Financial Square Funds, Government Fund, Institutional Class, 4.24%(4) 3,667,111
5,761,413 HSBC US Government Money Market Fund, 4.22%(4) 5,761,413
2,175,813 Invesco Government & Agency Portfolio, Institutional Class, 4.32%(4) 2,175,813
2,175,814 Morgan Stanley Institutional Liquidity Funds, Government Portfolio, Institutional Class, 4.13%(4) 2,175,814
      13,780,151
  Total Short-Term Investments
(cost $40,162,401)
$ 40,162,401
  Total Investments
(cost $2,231,259,354)
100.5% $ 2,469,121,051
  Other Assets and Liabilities (0.5)% (11,464,761)
  Total Net Assets 100.0% $ 2,457,656,290
Note: Percentage of investments as shown is the ratio of the total market value to total net assets.
 

30

Hartford Schroders International Multi-Cap Value Fund
Schedule of Investments – (continued)
January 31, 2023  (Unaudited) 

  Prices of foreign equities that are principally traded on certain foreign markets will generally be adjusted daily pursuant to a fair value pricing service approved by Hartford Funds Management Company, LLC in order to reflect an adjustment for factors occurring after the close of certain foreign markets but before the close of the New York Stock Exchange.
  Equity industry classifications used in this report are the Global Industry Classification Standard, which was developed by and is the exclusive property and service mark of MSCI, Inc. and Standard & Poor’s.
  For Fund compliance purposes, the Fund may not use the same classification system. These classifications are used for financial reporting purposes.
  See “Glossary” for abbreviation descriptions.
    
* Non-income producing.
(1) Represents entire or partial securities on loan.
(2) Security was purchased pursuant to Rule 144A under the Securities Act of 1933 and may be sold in transactions that are exempt from registration (typically only to qualified institutional buyers) or in a public offering registered under the Securities Act of 1933. At January 31, 2023, the aggregate value of these securities was $52,901,784, representing 2.2% of net assets.
(3) Investment valued using significant unobservable inputs.
(4) Current yield as of period end.
 
Futures Contracts Outstanding at January 31, 2023
Description   Number of
Contracts
  Expiration
Date
  Current
Notional
Amount
  Value and
Unrealized
Appreciation/
(Depreciation)
Long position contracts:
MSCI EAFE Index Future   222   03/17/2023   $ 23,520,900   $ 510,869
Total futures contracts   $ 510,869
    
Foreign Currency Contracts Outstanding at January 31, 2023
Amount and Description of
Currency to be Purchased
  Amount and Description of
Currency to be Sold
  Counterparty   Settlement
Date
  Appreciation/
(Depreciation)
12,247,897 USD   10,149,500 GBP   BOA   02/22/2023   $ (270,566)
For information regarding the Fund’s significant accounting policies, please refer to the Fund’s most recent shareholder report.

31

Hartford Schroders International Multi-Cap Value Fund
Schedule of Investments – (continued)
January 31, 2023  (Unaudited) 

Fair Value Summary
The following is a summary of the fair valuations according to the inputs used as of January 31, 2023 in valuing the Fund’s investments.
Description   Total   Level 1   Level 2   Level 3(1)
Assets                
Common Stocks                
Australia   $ 83,844,591   $ —   $ 83,844,591   $ —
Austria   21,979,664     21,979,664  
Belgium   16,080,717     16,080,717  
Brazil   19,055,493   12,547,910   6,507,583  
Canada   183,513,866   183,513,866    
Cayman Islands   1,375,461   1,375,461    
Chile   15,007,797   15,007,797    
China   203,565,736   6,815,417   196,750,319  
Colombia   932,510   932,510    
Czech Republic   4,129,975   4,129,975    
Denmark   18,722,694     18,722,694  
Finland   11,567,686     11,567,686  
France   154,139,984     154,139,984  
Georgia   2,011,646   2,011,646    
Germany   55,824,480     55,824,480  
Greece   5,910,093     5,910,093  
Hong Kong   23,214,890     23,214,890  
Hungary   7,675,763     7,675,763  
India   15,815,250     15,815,250  
Indonesia   30,681,292     30,681,292  
Ireland   9,620,220   1,244,612   8,375,608  
Israel   20,035,276   20,035,276    
Italy   69,356,361     69,356,361  
Japan   395,812,192   2,889,164   392,923,028  
Luxembourg   2,448,617     2,448,617  
Malaysia   1,275,588     1,275,588  
Mexico   39,128,059   39,128,058     1
Netherlands   92,847,932     92,847,932  
New Zealand   2,008,134     2,008,134  
Norway   32,290,640     32,290,640  
Poland   4,108,155     4,108,155  
Portugal   11,090,421     11,090,421  
Russia        
Singapore   41,510,977     41,510,977  
South Africa   25,643,498   2,908,992   22,734,506  
South Korea   105,686,682     105,686,682  
Spain   32,646,380     32,646,380  
Sweden   57,708,624     57,708,624  
Switzerland   76,408,557     76,408,557  
Taiwan   108,916,333     108,916,333  
Thailand   17,467,941   1,128,990   16,338,951  
Ukraine   213,050     213,050  
United Kingdom   310,768,099   11,584,115   299,183,984  
United States   91,139,049   20,446,491   70,692,558  
Preferred Stocks   5,778,277   5,778,277    
Short-Term Investments   40,162,401   40,162,401    
Futures Contracts(2)   510,869   510,869    
Total   $ 2,469,631,920   $ 372,151,827   $ 2,097,480,092   $ 1
Liabilities                
Foreign Currency Contracts(2)   $ (270,566)   $ —   $ (270,566)   $ —
Total   $ (270,566)   $ —   $ (270,566)   $ —
    
(1) For the period ended January 31, 2023, there were no transfers in and out of Level 3.
(2) Derivative instruments (excluding purchased and written options, if applicable) are valued at the unrealized appreciation/(depreciation) on the investments.
Level 3 investments at the beginning and/or end of the period in relation to net assets were not significant and accordingly, a reconciliation of Level 3 assets for the period ended January 31, 2023 is not presented.

32

Hartford Schroders International Stock Fund
Schedule of Investments
January 31, 2023  (Unaudited) 

Shares or Principal Amount   Market Value†
COMMON STOCKS - 96.2%
  Austria - 1.9%
 2,170,156 Erste Group Bank AG $    82,344,684
  Brazil - 3.6%
19,562,780 B3 S.A. - Brasil Bolsa Balcao     49,944,571
    87,846 MercadoLibre, Inc.*   103,806,740
      153,751,311
  Canada - 3.9%
649,676 Canadian National Railway Co. 77,333,197
1,265,798 Toronto-Dominion Bank 87,579,846
      164,913,043
  China - 4.6%
6,354,200 Alibaba Group Holding Ltd.* 87,361,731
210,280 Meituan Class B*(1) 4,700,994
2,159,700 Tencent Holdings Ltd. 105,239,826
      197,302,551
  Denmark - 2.2%
3,216,514 Vestas Wind Systems A/S 94,120,328
  France - 5.0%
3,606,382 Carrefour S.A. 68,596,872
718,420 Legrand S.A. 64,057,247
833,464 Sanofi 81,616,483
      214,270,602
  Germany - 7.9%
2,884,681 Infineon Technologies AG 103,878,679
1,019,010 SAP SE 120,793,406
733,534 Siemens AG 114,581,879
      339,253,964
  Hong Kong - 3.0%
11,465,600 AIA Group Ltd. 129,648,929
  India - 2.4%
5,263,130 HDFC Bank Ltd. 103,571,184
  Italy - 2.0%
4,785,082 FinecoBank Banca Fineco S.p.A. 85,901,065
  Japan - 11.9%
2,192,900 Bridgestone Corp. 81,867,954
2,229,800 KDDI Corp. 69,666,606
184,800 Keyence Corp. 85,076,147
15,065,900 Mitsubishi UFJ Financial Group, Inc. 110,355,921
2,076,700 Recruit Holdings Co., Ltd. 66,787,213
183,000 SMC Corp. 92,947,631
      506,701,472
  Netherlands - 5.0%
145,925 ASML Holding N.V. 96,550,932
3,972,188 Shell plc 116,496,946
      213,047,878
  South Korea - 3.1%
2,651,643 Samsung Electronics Co., Ltd. 132,078,945
  Spain - 1.8%
6,515,503 Iberdrola S.A. 76,433,008
  Sweden - 2.3%
1,658,551 Nibe Industrier AB Class B 17,919,425
7,602,051 Svenska Handelsbanken AB Class A 79,274,313
      97,193,738
  Switzerland - 5.1%
7,293 Chocoladefabriken Lindt & Spruengli AG 80,096,964
Shares or Principal Amount   Market Value†
COMMON STOCKS - 96.2% - (continued)
  Switzerland - 5.1% - (continued)
   150,779 Lonza Group AG $    86,010,575
   182,819 Sika AG    51,947,443
      218,054,982
  Taiwan - 3.5%
 8,463,000 Taiwan Semiconductor Manufacturing Co., Ltd.   149,344,712
  United Kingdom - 13.6%
797,514 AstraZeneca plc 104,484,267
2,020,414 Bunzl plc 74,171,818
2,435,472 Burberry Group plc 74,186,689
2,034,184 Diageo plc 88,946,873
5,252,651 National Grid plc 66,776,395
1,240,952 Reckitt Benckiser Group plc 88,431,356
2,766,262 RELX plc 82,182,607
      579,180,005
  United States - 13.4%
44,305 Booking Holdings, Inc.* 107,842,800
3,438,090 GSK plc 60,390,102
204,843 Lululemon Athletica, Inc.* 62,862,220
1,069,612 Nestle S.A. 130,502,339
330,740 Roche Holding AG 103,247,229
666,135 Schneider Electric SE 108,057,453
      572,902,143
  Total Common Stocks
(cost $3,830,696,847)
  $ 4,110,014,544
PREFERRED STOCKS - 1.9%
  Germany - 1.9%
692,401 Dr Ing hc F Porsche AG* $ 82,325,598
  Total Preferred Stocks
(cost $57,339,365)
  $ 82,325,598
  Total Long-Term Investments
(cost $3,888,036,212)
  $ 4,192,340,142
SHORT-TERM INVESTMENTS - 1.5%
  Other Investment Pools & Funds - 1.5%
65,134,758 Morgan Stanley Institutional Liquidity Funds, Treasury Portfolio, Institutional Class, 4.27%(2) $ 65,134,758
  Total Short-Term Investments
(cost $65,134,758)
$ 65,134,758
  Total Investments
(cost $3,953,170,970)
99.6% $ 4,257,474,900
  Other Assets and Liabilities 0.4% 16,341,813
  Total Net Assets 100.0% $ 4,273,816,713
Note: Percentage of investments as shown is the ratio of the total market value to total net assets.
  Prices of foreign equities that are principally traded on certain foreign markets will generally be adjusted daily pursuant to a fair value pricing service approved by Hartford Funds Management Company, LLC in order to reflect an adjustment for factors occurring after the close of certain foreign markets but before the close of the New York Stock Exchange.
  Equity industry classifications used in this report are the Global Industry Classification Standard, which was developed by and is the exclusive property and service mark of MSCI, Inc. and Standard & Poor’s.
 

33

Hartford Schroders International Stock Fund
Schedule of Investments – (continued)
January 31, 2023  (Unaudited) 

For Fund compliance purposes, the Fund may not use the same classification system. These classifications are used for financial reporting purposes.
See “Glossary” for abbreviation descriptions.
* Non-income producing.
(1) Security was purchased pursuant to Rule 144A under the Securities Act of 1933 and may be sold in transactions that are exempt from registration (typically only to qualified institutional buyers) or in a public offering registered under the Securities Act of 1933. At January 31, 2023, the aggregate value of this security was $4,700,994, representing 0.1% of net assets.
(2) Current yield as of period end.
For information regarding the Fund’s significant accounting policies, please refer to the Fund’s most recent shareholder report.
 
Fair Value Summary
The following is a summary of the fair valuations according to the inputs used as of January 31, 2023 in valuing the Fund’s investments.
Description   Total   Level 1   Level 2   Level 3(1)
Assets                
Common Stocks                
Austria   $ 82,344,684   $ —   $ 82,344,684   $ —
Brazil   153,751,311   153,751,311    
Canada   164,913,043   164,913,043    
China   197,302,551     197,302,551  
Denmark   94,120,328     94,120,328  
France   214,270,602     214,270,602  
Germany   339,253,964     339,253,964  
Hong Kong   129,648,929     129,648,929  
India   103,571,184     103,571,184  
Italy   85,901,065     85,901,065  
Japan   506,701,472     506,701,472  
Netherlands   213,047,878     213,047,878  
South Korea   132,078,945     132,078,945  
Spain   76,433,008     76,433,008  
Sweden   97,193,738     97,193,738  
Switzerland   218,054,982     218,054,982  
Taiwan   149,344,712     149,344,712  
United Kingdom   579,180,005     579,180,005  
United States   572,902,143   170,705,020   402,197,123  
Preferred Stocks   82,325,598     82,325,598  
Short-Term Investments   65,134,758   65,134,758    
Total   $ 4,257,474,900   $ 554,504,132   $ 3,702,970,768   $ —
    
(1) For the period ended January 31, 2023, there were no transfers in and out of Level 3.

34

Hartford Schroders Securitized Income Fund
Schedule of Investments
January 31, 2023  (Unaudited) 

Shares or Principal Amount   Market Value†
ASSET & COMMERCIAL MORTGAGE-BACKED SECURITIES - 27.5%
  Whole Loan Collateral CMO - 27.5%
            Bellemeade Re Ltd.  
$   1,508,000 7.36%, 10/25/2029, 1 mo. USD LIBOR + 2.850%(1)(2) $  1,460,183
   940,000 7.61%, 04/25/2029, 1 mo. USD LIBOR + 3.100%(1)(2)     919,774
 1,450,000 Eagle RE Ltd. 8.51%, 11/25/2028, 1 mo. USD LIBOR + 4.000%(1)(2)  1,449,987
            Home Re Ltd.  
 1,199,000 7.11%, 01/25/2034, 1 mo. USD SOFR + 2.800%(1)(2)  1,171,846
 1,134,000 8.51%, 10/25/2028, 1 mo. USD LIBOR + 4.000%(1)(2)  1,129,887
500,000 Oaktown Re V Ltd. 9.76%, 10/25/2030, 1 mo. USD LIBOR + 5.250%(1)(2) 505,910
1,190,000 Oaktown Re VI Ltd. 7.31%, 10/25/2033, 1 mo. USD SOFR + 3.000%(1)(2) 1,148,004
702,000 Radnor RE Ltd. 7.46%, 12/27/2033, 1 mo. USD SOFR + 3.150%(1)(2) 673,953
      8,459,544
  Total Asset & Commercial Mortgage-Backed Securities
(cost $8,685,362)
$ 8,459,544
U.S. GOVERNMENT SECURITIES - 9.8%
  U.S. Treasury Securities - 9.8%
  U.S. Treasury Notes - 9.8%
3,000,000 4.25%, 12/31/2024 $ 2,998,594
  Total U.S. Government Securities
(cost $3,000,811)
  $ 2,998,594
  Total Long-Term Investments
(cost $11,686,173)
  $ 11,458,138
SHORT-TERM INVESTMENTS - 59.7%
  Other Investment Pools & Funds - 59.7%
18,339,075 Morgan Stanley Institutional Liquidity Funds, Treasury Portfolio, Institutional Class, 4.27%(3) $ 18,339,075
  Total Short-Term Investments
(cost $18,339,075)
$ 18,339,075
  Total Investments
(cost $30,025,248)
97.0% $ 29,797,213
  Other Assets and Liabilities 3.0% 934,080
  Total Net Assets 100.0% $ 30,731,293
Note: Percentage of investments as shown is the ratio of the total market value to total net assets.
  The Fund may refer to any one or more of the industry classifications used by one or more widely recognized market indices, ratings group and/or as defined by Fund management. Industry classifications may not be identical across all security types.
  For Fund compliance purposes, the Fund may not use the same classification system. These classifications are used for financial reporting purposes.
  See “Glossary” for abbreviation descriptions.
    
(1) Security was purchased pursuant to Rule 144A under the Securities Act of 1933 and may be sold in transactions that are exempt from registration (typically only to qualified institutional buyers) or in a public offering registered under the Securities Act of 1933. At January 31, 2023, the aggregate value of these securities was $8,459,544, representing 27.5% of net assets.
(2) Variable rate securities; the rate reported is the coupon rate in effect at January 31, 2023. Base lending rates may be subject to a floor or cap.
(3) Current yield as of period end.
 
Futures Contracts Outstanding at January 31, 2023
Description   Number of
Contracts
  Expiration
Date
  Current
Notional
Amount
  Value and
Unrealized
Appreciation/
(Depreciation)
Long position contracts:
U.S. Treasury 2-Year Note Future   109   03/31/2023   $ 22,415,680   $ (7,282)
Total futures contracts   $ (7,282)
    

35

Hartford Schroders Securitized Income Fund
Schedule of Investments – (continued)
January 31, 2023  (Unaudited) 

Foreign Currency Contracts Outstanding at January 31, 2023
Amount and Description of
Currency to be Purchased
  Amount and Description of
Currency to be Sold
  Counterparty   Settlement
Date
  Appreciation/
(Depreciation)
468,882 GBP   576,730 USD   BCLY   02/22/2023   $ 1,593
4,633 GBP   5,651 USD   UBS   02/22/2023   63
570,036 USD   473,515 GBP   JPM   02/22/2023   (14,001)
Total foreign currency contracts   $ (12,345)
For information regarding the Fund’s significant accounting policies, please refer to the Fund’s most recent shareholder report.
Fair Value Summary
The following is a summary of the fair valuations according to the inputs used as of January 31, 2023 in valuing the Fund’s investments.
Description   Total   Level 1   Level 2   Level 3(1)
Assets                
Asset & Commercial Mortgage-Backed Securities   $ 8,459,544   $ —   $ 8,459,544   $ —
U.S. Government Securities   2,998,594     2,998,594  
Short-Term Investments   18,339,075   18,339,075    
Foreign Currency Contracts(2)   1,656     1,656  
Total   $ 29,798,869   $ 18,339,075   $ 11,459,794   $ —
Liabilities                
Foreign Currency Contracts(2)   $ (14,001)   $ —   $ (14,001)   $ —
Futures Contracts(2)   (7,282)   (7,282)    
Total   $ (21,283)   $ (7,282)   $ (14,001)   $ —
    
(1) For the period ended January 31, 2023, there were no transfers in and out of Level 3.
(2) Derivative instruments (excluding purchased and written options, if applicable) are valued at the unrealized appreciation/(depreciation) on the investments.

36

Hartford Schroders Sustainable Core Bond Fund
Schedule of Investments
January 31, 2023  (Unaudited) 

Shares or Principal Amount   Market Value†
ASSET & COMMERCIAL MORTGAGE-BACKED SECURITIES - 1.9%
  Asset-Backed - Finance & Insurance - 1.5%
$     486,000 Cedar Funding VI CLO Ltd. 5.86%, 04/20/2034, 3 mo. USD LIBOR + 1.050%(1)(2) $     477,324
   500,000 Dewolf Park CLO Ltd. 5.71%, 10/15/2030, 3 mo. USD LIBOR + 0.920%(1)(2)      494,625
   796,955 Madison Park Funding XVIII Ltd. 5.76%, 10/21/2030, 3 mo. USD LIBOR + 0.940%(1)(2)      787,487
   597,654 Madison Park Funding XXVI Ltd. 6.00%, 07/29/2030, 3 mo. USD LIBOR + 1.200%(1)(2)      593,448
    244,837 Octagon Investment Partners 30 Ltd. 5.81%, 03/17/2030, 3 mo. USD LIBOR + 1.000%(1)(2)     242,387
      2,595,271
  Other Asset-Backed Securities - 0.3%
606,000 Goldentree Loan Management U.S. CLO Ltd. 5.72%, 11/20/2030, 3 mo. USD LIBOR + 0.910%(1)(2) 600,559
  Whole Loan Collateral CMO - 0.1%
  Towd Point Mortgage Trust  
5,720 2.75%, 04/25/2057(1)(3) 5,652
41,218 2.75%, 06/25/2057(1)(3) 39,310
46,684 2.75%, 07/25/2057(1)(3) 45,453
      90,415
  Total Asset & Commercial Mortgage-Backed Securities
(cost $3,325,577)
$ 3,286,245
CORPORATE BONDS - 35.5%
  Auto Manufacturers - 1.0%
636,000 General Motors Financial Co., Inc. 1.50%, 06/10/2026 $ 564,770
1,325,000 Hyundai Capital America 1.50%, 06/15/2026(1) 1,175,789
      1,740,559
  Auto Parts & Equipment - 0.5%
53,000 Magna International, Inc. 4.15%, 10/01/2025 52,074
967,000 Tyco Electronics Group S.A. 2.50%, 02/04/2032 828,464
      880,538
  Beverages - 0.3%
134,000 Anheuser-Busch Cos. LLC / Anheuser-Busch InBev Worldwide, Inc. 4.90%, 02/01/2046 130,289
433,000 JDE Peet's N.V. 1.38%, 01/15/2027(1) 375,084
      505,373
  Commercial Banks - 13.0%
  Bank of America Corp.  
822,000 3.25%, 10/21/2027 782,906
512,000 3.50%, 04/19/2026 497,236
550,000 3.85%, 03/08/2037, (3.85% fixed rate until 03/08/2032; 5 year USD CMT + 2.000% thereafter)(4) 478,055
434,000 5.08%, 01/20/2027 435,034
  Bank of Ireland Group plc  
1,672,000 2.03%, 09/30/2027, (2.03% fixed rate until 09/30/2026; 12 mo. USD CMT + 1.100% thereafter)(1)(4) 1,459,549
285,000 4.50%, 11/25/2023(1) 281,865
  Barclays plc  
1,336,000 3.56%, 09/23/2035, (3.56% fixed rate until 09/23/2030; 5 year USD CMT + 2.900% thereafter)(4) 1,098,920
444,000 7.33%, 11/02/2026, (7.33% fixed rate until 11/02/2025; 12 mo. USD CMT + 3.050% thereafter)(4) 465,867
Shares or Principal Amount   Market Value†
CORPORATE BONDS - 35.5% - (continued)
  Commercial Banks - 13.0% - (continued)
$     733,000 BNP Paribas S.A. 2.22%, 06/09/2026, (2.22% fixed rate until 06/09/2025; 3 mo. USD SOFR + 2.074% thereafter)(1)(4) $     683,025
            Citigroup, Inc.  
 1,034,000 3.20%, 10/21/2026      978,336
    56,000 4.30%, 11/20/2026       54,977
   339,000 Credit Suisse Group AG 3.09%, 05/14/2032, (3.09% fixed rate until 05/14/2031; 3 mo. USD SOFR + 1.730% thereafter)(1)(4)      257,066
   554,000 Danske Bank A/S 1.62%, 09/11/2026, (1.62% fixed rate until 09/11/2025; 12 mo. USD CMT + 1.350% thereafter)(1)(4)      497,604
  Goldman Sachs Group, Inc.  
 1,503,000 2.64%, 02/24/2028, (2.64% fixed rate until 02/24/2027; 3 mo. USD SOFR + 1.114% thereafter)(4)    1,374,593
1,227,000 4.48%, 08/23/2028, (4.48% fixed rate until 08/23/2027; 3 mo. USD SOFR + 1.725% thereafter)(4) 1,203,784
  HSBC Holdings plc  
1,356,000 2.10%, 06/04/2026, (2.10% fixed rate until 06/04/2025; 3 mo. USD SOFR + 1.929% thereafter)(4) 1,255,703
657,000 2.63%, 11/07/2025, (2.63% fixed rate until 11/07/2024; 3 mo. USD SOFR + 1.402% thereafter)(4) 626,478
894,000 JP Morgan Chase & Co. 1.58%, 04/22/2027, (1.58% fixed rate until 04/22/2026; 3 mo. USD SOFR + 0.885% thereafter)(4) 802,498
  Lloyds Banking Group plc  
1,205,000 1.63%, 05/11/2027, (1.63% fixed rate until 05/11/2026; 12 mo. USD CMT + 0.850% thereafter)(4) 1,069,467
280,000 2.44%, 02/05/2026, (2.44% fixed rate until 02/05/2025; 12 mo. USD CMT + 1.000% thereafter)(4) 263,871
555,000 3.75%, 03/18/2028, (3.75% fixed rate until 03/18/2027; 12 mo. USD CMT + 1.800% thereafter)(4) 526,619
  Morgan Stanley  
841,000 2.63%, 02/18/2026, (2.63% fixed rate until 02/18/2025; 3 mo. USD SOFR + 0.940% thereafter)(4) 798,811
1,090,000 3.63%, 01/20/2027 1,054,724
416,000 5.12%, 02/01/2029, (5.12% fixed rate until 02/01/2028; 3 mo. USD SOFR + 1.730% thereafter)(4) 419,850
  NatWest Group plc  
1,262,000 3.07%, 05/22/2028, (3.07% fixed rate until 05/22/2027; 12 mo. USD CMT + 2.550% thereafter)(4) 1,164,211
282,000 7.47%, 11/10/2026, (7.47% fixed rate until 11/10/2025; 12 mo. USD CMT + 2.850% thereafter)(4) 298,138
  Santander UK Group Holdings plc  
400,000 1.09%, 03/15/2025, (1.09% fixed rate until 03/15/2024; 3 mo. USD SOFR + 0.787% thereafter)(4) 379,487
1,205,000 1.67%, 06/14/2027, (1.67% fixed rate until 06/14/2026; 3 mo. USD SOFR + 0.989% thereafter)(4) 1,056,175
218,000 Standard Chartered plc 2.68%, 06/29/2032, (2.68% fixed rate until 06/29/2031; 12 mo. USD CMT + 1.200% thereafter)(1)(4) 177,572
 

37

Hartford Schroders Sustainable Core Bond Fund
Schedule of Investments – (continued)
January 31, 2023  (Unaudited) 

Shares or Principal Amount   Market Value†
CORPORATE BONDS - 35.5% - (continued)
  Commercial Banks - 13.0% - (continued)
$     586,000 UniCredit S.p.A. 3.13%, 06/03/2032, (3.13% fixed rate until 06/03/2031; 12 mo. USD CMT + 1.550% thereafter)(1)(4) $     475,619
            Wells Fargo & Co.  
 1,831,000 2.39%, 06/02/2028, (2.39% fixed rate until 06/02/2027; 3 mo. USD SOFR + 2.100% thereafter)(4)    1,656,725
    117,000 3.53%, 03/24/2028, (3.53% fixed rate until 03/24/2027; 3 mo. USD SOFR + 1.510% thereafter)(4)     111,075
      22,685,840
  Commercial Services - 0.2%
90,000 Moody's Corp. 4.88%, 02/15/2024 89,775
282,000 Quanta Services, Inc. 0.95%, 10/01/2024 262,405
      352,180
  Diversified Financial Services - 1.5%
1,118,000 AerCap Ireland Capital DAC / AerCap Global Aviation Trust 3.30%, 01/30/2032 936,968
1,211,000 Ally Financial, Inc. 2.20%, 11/02/2028 1,008,286
855,000 Capital One Financial Corp. 3.27%, 03/01/2030, (3.27% fixed rate until 03/01/2029; 3 mo. USD SOFR + 1.790% thereafter)(4) 755,779
      2,701,033
  Electric - 3.1%
207,000 Edison International 6.95%, 11/15/2029 224,279
206,000 EDP Finance BV 6.30%, 10/11/2027(1) 216,178
  Enel Finance International N.V.  
1,843,000 1.88%, 07/12/2028(1) 1,538,564
531,000 7.50%, 10/14/2032(1) 596,672
397,000 Pacific Gas and Electric Co. 6.15%, 01/15/2033 407,011
1,827,000 Public Service Enterprise Group, Inc. 1.60%, 08/15/2030 1,460,644
347,000 Sempra Energy 3.70%, 04/01/2029 326,617
570,000 Southern California Edison Co. 4.70%, 06/01/2027 571,852
      5,341,817
  Entertainment - 0.7%
  Warnermedia Holdings, Inc.  
1,045,000 3.76%, 03/15/2027(1) 977,868
381,000 5.05%, 03/15/2042(1) 323,800
      1,301,668
  Environmental Control - 0.6%
1,309,000 Republic Services, Inc. 2.38%, 03/15/2033 1,084,923
  Healthcare - Products - 0.0%
39,000 Boston Scientific Corp. 3.45%, 03/01/2024 38,412
  Healthcare - Services - 1.2%
225,000 Aetna, Inc. 2.80%, 06/15/2023 223,178
531,000 CommonSpirit Health 3.35%, 10/01/2029 475,255
11,000 Elevance Health, Inc. 4.10%, 03/01/2028 10,779
1,251,000 HCA, Inc. 3.38%, 03/15/2029(1) 1,129,924
235,000 Humana, Inc. 3.70%, 03/23/2029 220,966
      2,060,102
  Insurance - 1.3%
2,000 Aflac, Inc. 6.45%, 08/15/2040 2,191
126,000 American International Group, Inc. 3.90%, 04/01/2026 123,281
513,000 Corebridge Financial, Inc. 3.65%, 04/05/2027(1) 488,915
237,000 Equitable Financial Life Global Funding 1.40%, 08/27/2027(1) 202,376
100,000 Equitable Holdings, Inc. 4.35%, 04/20/2028 97,236
Shares or Principal Amount   Market Value†
CORPORATE BONDS - 35.5% - (continued)
  Insurance - 1.3% - (continued)
$     877,000 Guardian Life Global Funding 3.25%, 03/29/2027(1) $     836,010
    501,000 Willis North America, Inc. 4.65%, 06/15/2027     494,595
      2,244,604
  IT Services - 0.2%
    612,000 Dell International LLC / EMC Corp. 3.38%, 12/15/2041(1)     439,076
  Media - 1.0%
  Charter Communications Operating LLC / Charter Communications Operating Capital  
 1,199,000 2.25%, 01/15/2029    1,002,944
1,038,000 3.50%, 06/01/2041 726,634
36,000 Discovery Communications LLC 3.63%, 05/15/2030 31,586
      1,761,164
  Mining - 0.7%
831,000 Anglo American Capital plc 2.25%, 03/17/2028(1) 725,601
710,000 Yamana Gold, Inc. 2.63%, 08/15/2031 558,654
      1,284,255
  Oil & Gas - 0.3%
73,000 Cenovus Energy, Inc. 6.75%, 11/15/2039 79,707
380,000 Equinor ASA 2.38%, 05/22/2030 333,907
102,000 Phillips 66 Co. 3.75%, 03/01/2028(1) 96,387
      510,001
  Pharmaceuticals - 0.5%
  AbbVie, Inc.  
673,000 3.20%, 11/21/2029 623,628
105,000 3.80%, 03/15/2025 102,938
108,000 3.85%, 06/15/2024 106,642
42,000 Becton Dickinson and Co. 3.73%, 12/15/2024 41,230
41,000 CVS Health Corp. 4.30%, 03/25/2028 40,200
      914,638
  Pipelines - 0.5%
69,000 Enbridge, Inc. 4.25%, 12/01/2026 67,485
90,000 ONEOK, Inc. 6.35%, 01/15/2031 95,416
  Plains All American Pipeline L.P. / PAA Finance Corp.  
219,000 3.55%, 12/15/2029 196,091
480,000 3.80%, 09/15/2030 435,119
      794,111
  Real Estate Investment Trusts - 3.5%
174,000 Alexandria Real Estate Equities, Inc. 2.00%, 05/18/2032 138,353
  American Tower Corp.  
489,000 2.40%, 03/15/2025 463,482
866,000 3.65%, 03/15/2027 821,466
  Boston Properties L.P.  
508,000 2.45%, 10/01/2033 386,143
1,057,000 3.40%, 06/21/2029 937,235
  Crown Castle, Inc.  
158,000 3.20%, 09/01/2024 153,705
706,000 3.80%, 02/15/2028 672,206
433,000 Equinix, Inc. 3.90%, 04/15/2032 397,090
291,000 ERP Operating L.P. 3.00%, 07/01/2029 262,847
144,000 Healthcare Realty Holdings L.P. 2.40%, 03/15/2030 115,458
127,000 Healthpeak Properties, Inc. 3.25%, 07/15/2026 121,014
527,000 Kimco Realty Corp. 2.70%, 10/01/2030 446,806
1,063,000 Sabra Health Care L.P. 3.20%, 12/01/2031 815,925
412,000 VICI Properties L.P. 4.95%, 02/15/2030 398,147
      6,129,877
 

38

Hartford Schroders Sustainable Core Bond Fund
Schedule of Investments – (continued)
January 31, 2023  (Unaudited) 

Shares or Principal Amount   Market Value†
CORPORATE BONDS - 35.5% - (continued)
  Retail - 0.2%
$     441,000 Genuine Parts Co. 2.75%, 02/01/2032 $     366,290
  Semiconductors - 0.2%
            Qorvo, Inc.  
   261,000 1.75%, 12/15/2024(1)      244,212
     92,000 4.38%, 10/15/2029      83,030
      327,242
  Software - 0.8%
697,000 S&P Global, Inc. 2.70%, 03/01/2029(1) 630,338
166,000 Take-Two Interactive Software, Inc. 3.70%, 04/14/2027 158,749
  VMware, Inc.  
507,000 1.80%, 08/15/2028 426,639
140,000 2.20%, 08/15/2031 110,735
      1,326,461
  Telecommunications - 2.5%
  AT&T, Inc.  
1,190,000 1.65%, 02/01/2028 1,040,581
330,000 2.75%, 06/01/2031 283,904
613,000 Rogers Communications, Inc. 3.20%, 03/15/2027(1) 575,622
895,000 T-Mobile USA, Inc. 3.88%, 04/15/2030 835,874
  Verizon Communications, Inc.  
453,000 3.15%, 03/22/2030 410,475
120,000 4.02%, 12/03/2029 114,783
1,088,000 4.33%, 09/21/2028 1,071,052
      4,332,291
  Water - 1.7%
950,000 American Water Capital Corp. 4.45%, 06/01/2032 944,487
1,880,000 United Utilities plc 6.88%, 08/15/2028 2,048,959
      2,993,446
  Total Corporate Bonds
(cost $67,499,941)
$ 62,115,901
MUNICIPAL BONDS - 2.3%
  Education - 0.1%
100,000 Clifton, TX, Higher Education Finance Corp. Rev, (PSF-GTD Insured) 4.25%, 08/15/2052 $ 100,660
  General - 0.6%
265,000 Philadelphia, PA, Auth for Industrial Dev Rev 3.96%, 04/15/2026 259,169
695,000 Triborough Bridge & Tunnel, NY, Auth Rev 4.50%, 05/15/2047 724,252
      983,421
  Higher Education - 0.0%
130,000 California State University Rev 3.07%, 11/01/2042 100,643
  Power - 0.6%
1,175,000 Louisiana Local Gov't Environmental Facs & Community Dev Auth Rev 4.15%, 02/01/2033 1,142,249
  School District - 0.2%
100,000 Belton, TX, Independent School Dist, GO 4.00%, 02/15/2052 100,166
260,000 Waco, TX, Independent School Dist, GO 4.25%, 08/15/2052 265,265
      365,431
  Tobacco - 0.6%
1,115,000 Golden State Tobacco Securitization Corp., CA, Rev 3.00%, 06/01/2046 1,036,883
Shares or Principal Amount   Market Value†
MUNICIPAL BONDS - 2.3% - (continued)
  Utilities - 0.2%
$     362,000 Oklahoma Dev Finance Auth Rev 3.88%, 05/01/2037 $     351,764
  Total Municipal Bonds
(cost $4,088,068)
  $ 4,081,051
U.S. GOVERNMENT AGENCIES - 19.3%
  Mortgage-Backed Agencies - 19.3%
  FHLMC - 9.3%
 2,345,857 2.00%, 11/01/2051 $   1,977,627
 1,818,378 2.00%, 03/01/2052    1,530,893
 1,790,508 2.50%, 11/01/2051    1,567,495
1,747,831 2.50%, 09/01/2052 1,529,156
836,874 3.00%, 04/01/2052 759,809
2,037,905 3.50%, 05/01/2052 1,911,736
1,283,858 4.00%, 06/01/2052 1,238,304
738,498 4.50%, 08/01/2052 728,746
767,054 4.50%, 09/01/2052 756,925
881,359 5.00%, 08/01/2052 883,781
1,635,980 5.00%, 09/01/2052 1,640,101
852,331 5.50%, 01/01/2053 865,386
844,343 6.00%, 01/01/2053 867,145
      16,257,104
  FNMA - 10.0%
2,268,258 2.00%, 11/01/2051 1,909,041
3,170,119 2.00%, 03/01/2052 2,667,699
2,212,345 2.50%, 11/01/2051 1,936,788
1,206,085 2.50%, 05/01/2052 1,059,418
842,891 3.00%, 07/01/2052 764,841
2,039,475 3.50%, 05/01/2052 1,911,735
1,515,120 4.00%, 06/01/2052 1,461,829
739,902 4.50%, 08/01/2052 730,132
2,522,301 5.00%, 08/01/2052 2,529,234
749,733 5.00%, 10/01/2052 751,621
852,330 5.50%, 01/01/2053 865,385
844,342 6.00%, 01/01/2053 867,144
      17,454,867
  Total U.S. Government Agencies
(cost $34,664,342)
  $ 33,711,971
U.S. GOVERNMENT SECURITIES - 39.1%
  U.S. Treasury Securities - 39.1%
  U.S. Treasury Bonds - 15.3%
5,370,000 2.88%, 05/15/2052 $ 4,591,350
6,618,000 3.00%, 08/15/2052 5,810,397
12,065,200 3.38%, 08/15/2042 11,362,025
1,798,000 4.00%, 11/15/2042 1,850,816
2,962,000 4.00%, 11/15/2052 3,142,960
      26,757,548
  U.S. Treasury Notes - 23.8%
2,777,400 2.75%, 08/15/2032 2,605,982
2,293,000 3.13%, 08/31/2029 2,227,614
10,077,000 3.25%, 08/31/2024 9,891,205
4,414,000 3.50%, 09/15/2025 4,360,204
2,154,000 3.88%, 11/30/2027 2,175,204
75,800 3.88%, 12/31/2027 76,534
1,651,000 3.88%, 11/30/2029 1,677,571
379,000 4.00%, 12/15/2025 379,740
2,495,000 4.00%, 10/31/2029 2,552,405
2,988,900 4.13%, 11/15/2032 3,135,543
211,000 4.25%, 12/31/2024 210,901
3,020,000 4.38%, 10/31/2024 3,019,764
 

39

Hartford Schroders Sustainable Core Bond Fund
Schedule of Investments – (continued)
January 31, 2023  (Unaudited) 

Shares or Principal Amount   Market Value†
U.S. GOVERNMENT SECURITIES - 39.1% - (continued)
  U.S. Treasury Securities - 39.1% - (continued)
  U.S. Treasury Notes - 23.8% - (continued)
$   1,861,000 4.50%, 11/30/2024 $   1,866,234
 7,337,000 4.50%, 11/15/2025    7,438,457
      41,617,358
  Total U.S. Government Securities
(cost $68,347,812)
  $ 68,374,906
  Total Long-Term Investments
(cost $177,925,740)
  $ 171,570,074
SHORT-TERM INVESTMENTS - 0.4%
  Other Investment Pools & Funds - 0.4%
792,931 Morgan Stanley Institutional Liquidity Funds, Treasury Portfolio, Institutional Class, 4.27%(5) $ 792,931
  Total Short-Term Investments
(cost $792,931)
$ 792,931
  Total Investments
(cost $178,718,671)
98.5% $ 172,363,005
  Other Assets and Liabilities 1.5% 2,563,595
  Total Net Assets 100.0% $ 174,926,600
Note: Percentage of investments as shown is the ratio of the total market value to total net assets.
  The Fund may refer to any one or more of the industry classifications used by one or more widely recognized market indices, ratings group and/or as defined by Fund management. Industry classifications may not be identical across all security types.
For Fund compliance purposes, the Fund may not use the same classification system. These classifications are used for financial reporting purposes.
See “Glossary” for abbreviation descriptions.
(1) Security was purchased pursuant to Rule 144A under the Securities Act of 1933 and may be sold in transactions that are exempt from registration (typically only to qualified institutional buyers) or in a public offering registered under the Securities Act of 1933. At January 31, 2023, the aggregate value of these securities was $17,690,962, representing 10.1% of net assets.
(2) Variable rate securities; the rate reported is the coupon rate in effect at January 31, 2023. Base lending rates may be subject to a floor or cap.
(3) Variable or floating rate security, which interest rate adjusts periodically based on changes in current interest rates and prepayments on the underlying pool of assets. Rate shown is the rate in effect as of period end.
(4) Fixed to variable rate investment. The rate shown reflects the fixed rate in effect at January 31, 2023. Rate will reset at a future date. Base lending rates may be subject to a floor or cap.
(5) Current yield as of period end.
For information regarding the Fund’s significant accounting policies, please refer to the Fund’s most recent shareholder report.
 
Fair Value Summary
The following is a summary of the fair valuations according to the inputs used as of January 31, 2023 in valuing the Fund’s investments.
Description   Total   Level 1   Level 2   Level 3(1)
Assets                
Asset & Commercial Mortgage-Backed Securities   $ 3,286,245   $ —   $ 3,286,245   $ —
Corporate Bonds   62,115,901     62,115,901  
Municipal Bonds   4,081,051     4,081,051  
U.S. Government Agencies   33,711,971     33,711,971  
U.S. Government Securities   68,374,906     68,374,906  
Short-Term Investments   792,931   792,931    
Total   $ 172,363,005   $ 792,931   $ 171,570,074   $ —
    
(1) For the period ended January 31, 2023, there were no transfers in and out of Level 3.

40

Hartford Schroders Sustainable International Core Fund
Schedule of Investments
January 31, 2023  (Unaudited) 

Shares or Principal Amount   Market Value†
COMMON STOCKS - 97.1%
  Australia - 4.6%
 1,083 Newcrest Mining Ltd. $    17,208
   351 Rio Tinto Ltd.    31,498
      48,706
  China - 10.2%
 1,000 Alibaba Group Holding Ltd.*     13,748
 3,000 BOC Hong Kong Holdings Ltd.     10,485
600 Chacha Food Co., Ltd. Class A 4,060
4,000 China Mengniu Dairy Co., Ltd. 19,295
5,800 China Pacific Insurance Group Co., Ltd. Class H 15,947
200 China Tourism Group Duty Free Corp. Ltd. Class A 6,333
2,500 H World Group Ltd. 11,886
1,000 Li Ning Co., Ltd. 9,886
2,600 Sany Heavy Industry Co., Ltd. Class A 6,764
800 WuXi AppTec Co., Ltd. Class H(1) 10,395
      108,799
  Denmark - 2.1%
161 Novo Nordisk A/S Class B 22,281
  Finland - 3.8%
502 Neste Oyj 23,997
2,966 Outokumpu Oyj 16,985
      40,982
  France - 4.5%
74 Capgemini SE 14,044
709 Carrefour S.A. 13,486
205 Sanofi 20,074
      47,604
  Germany - 5.4%
151 Beiersdorf AG 18,358
168 Siemens AG 26,242
466 Software AG 12,988
      57,588
  India - 2.0%
162 HDFC Bank Ltd. ADR 10,912
486 ICICI Bank Ltd. ADR 10,124
      21,036
  Indonesia - 1.0%
16,600 Bank Mandiri Persero Tbk PT 11,061
  Ireland - 2.7%
2,692 Bank of Ireland Group plc 28,761
  Italy - 3.1%
4,034 Intesa Sanpaolo S.p.A. 10,606
361 Moncler S.p.A. 22,594
      33,200
  Japan - 19.1%
400 Asahi Intecc Co., Ltd. 7,018
600 Astellas Pharma, Inc. 8,832
100 Daikin Industries Ltd. 17,369
200 Harmonic Drive Systems, Inc. 6,736
1,400 Isuzu Motors Ltd. 17,704
300 JCR Pharmaceuticals Co., Ltd. 3,702
200 Makita Corp. 5,327
100 MatsukiyoCocokara & Co. 4,988
100 Nippon Shinyaku Co., Ltd. 5,147
100 Nitori Holdings Co., Ltd. 13,236
1,500 NTT Data Corp. 23,267
900 ORIX Corp. 15,825
600 Park24 Co., Ltd.* 10,176
200 Rorze Corp. 15,373
800 Stanley Electric Co., Ltd. 17,217
Shares or Principal Amount   Market Value†
COMMON STOCKS - 97.1% - (continued)
  Japan - 19.1% - (continued)
   200 Suzuki Motor Corp. $     7,498
   400 Toyota Industries Corp.    24,349
      203,764
  Netherlands - 1.5%
    47 ASM International N.V.    15,896
  Norway - 1.0%
568 Mowi ASA 10,503
  Portugal - 1.4%
3,022 EDP - Energias de Portugal S.A. 15,014
  Singapore - 3.1%
400 DBS Group Holdings Ltd. 10,951
1,300 Oversea-Chinese Banking Corp. Ltd. 12,844
4,600 Singapore Telecommunications Ltd. 8,810
      32,605
  South Korea - 3.6%
438 Hana Financial Group, Inc. 17,400
68 NAVER Corp. 11,297
201 Samsung Electronics Co., Ltd. 10,012
      38,709
  Sweden - 6.0%
216 Holmen AB Class B 8,909
1,895 Skandinaviska Enskilda Banken AB Class A 22,941
756 SKF AB Class B 13,380
1,800 Svenska Handelsbanken AB Class A 18,770
      64,000
  Switzerland - 0.8%
117 Alcon, Inc. 8,829
  Taiwan - 4.3%
1,036 Giant Manufacturing Co., Ltd. 7,113
930 MediaTek, Inc. 22,470
177 Taiwan Semiconductor Manufacturing Co., Ltd. ADR 16,413
      45,996
  Thailand - 0.5%
6,200 Bangkok Dusit Medical Services PCL 5,588
  United Arab Emirates - 0.7%
2,459 Network International Holdings plc*(1) 7,997
  United Kingdom - 12.5%
1,248 CNH Industrial N.V. 22,079
3,904 ConvaTec Group plc(1) 11,323
3,394 Informa plc 28,071
275 Reckitt Benckiser Group plc 19,597
608 RELX plc 18,063
824 SSE plc 17,588
2,063 Standard Chartered plc 17,328
      134,049
  United States - 3.2%
86 CSL Ltd. 18,159
1,029 Stellantis N.V. 16,177
      34,336
  Total Common Stocks
(cost $967,831)
  $ 1,037,304
 

41

Hartford Schroders Sustainable International Core Fund
Schedule of Investments – (continued)
January 31, 2023  (Unaudited) 

Shares or Principal Amount   Market Value†
SHORT-TERM INVESTMENTS - 4.9%
  Other Investment Pools & Funds - 4.9%
52,089 Morgan Stanley Institutional Liquidity Funds, Treasury Portfolio, Institutional Class, 4.27%(2) $    52,089
  Total Short-Term Investments
(cost $52,089)
$ 52,089
  Total Investments
(cost $1,019,920)
102.0% $ 1,089,393
  Other Assets and Liabilities (2.0)% (20,988)
  Total Net Assets 100.0% $ 1,068,405
Note: Percentage of investments as shown is the ratio of the total market value to total net assets.
  Prices of foreign equities that are principally traded on certain foreign markets will generally be adjusted daily pursuant to a fair value pricing service approved by Hartford Funds Management Company, LLC in order to reflect an adjustment for factors occurring after the close of certain foreign markets but before the close of the New York Stock Exchange.
Equity industry classifications used in this report are the Global Industry Classification Standard, which was developed by and is the exclusive property and service mark of MSCI, Inc. and Standard & Poor’s.
For Fund compliance purposes, the Fund may not use the same classification system. These classifications are used for financial reporting purposes.
See “Glossary” for abbreviation descriptions.
* Non-income producing.
(1) Security was purchased pursuant to Rule 144A under the Securities Act of 1933 and may be sold in transactions that are exempt from registration (typically only to qualified institutional buyers) or in a public offering registered under the Securities Act of 1933. At January 31, 2023, the aggregate value of these securities was $29,715, representing 2.8% of net assets.
(2) Current yield as of period end.
 
Futures Contracts Outstanding at January 31, 2023
Description   Number of
Contracts
  Expiration
Date
  Current
Notional
Amount
  Value and
Unrealized
Appreciation/
(Depreciation)
Long position contracts:
SGX Nifty 50 Index Future   1   02/23/2023   $ 35,504   $ (907)
Total futures contracts   $ (907)
For information regarding the Fund’s significant accounting policies, please refer to the Fund’s most recent shareholder report.

42

Hartford Schroders Sustainable International Core Fund
Schedule of Investments – (continued)
January 31, 2023  (Unaudited) 

Fair Value Summary
The following is a summary of the fair valuations according to the inputs used as of January 31, 2023 in valuing the Fund’s investments.
Description   Total   Level 1   Level 2   Level 3(1)
Assets                
Common Stocks                
Australia   $ 48,706   $ —   $ 48,706   $ —
China   108,799     108,799  
Denmark   22,281     22,281  
Finland   40,982     40,982  
France   47,604     47,604  
Germany   57,588     57,588  
India   21,036   21,036    
Indonesia   11,061     11,061  
Ireland   28,761     28,761  
Italy   33,200     33,200  
Japan   203,764     203,764  
Netherlands   15,896     15,896  
Norway   10,503     10,503  
Portugal   15,014     15,014  
Singapore   32,605     32,605  
South Korea   38,709     38,709  
Sweden   64,000     64,000  
Switzerland   8,829     8,829  
Taiwan   45,996   16,413   29,583  
Thailand   5,588   5,588    
United Arab Emirates   7,997   7,997    
United Kingdom   134,049     134,049  
United States   34,336     34,336  
Short-Term Investments   52,089   52,089    
Total   $ 1,089,393   $ 103,123   $ 986,270   $ —
Liabilities                
Futures Contracts(2)   $ (907)   $ (907)   $ —   $ —
Total   $ (907)   $ (907)   $ —   $ —
    
(1) For the period ended January 31, 2023, there were no transfers in and out of Level 3.
(2) Derivative instruments (excluding purchased and written options, if applicable) are valued at the unrealized appreciation/(depreciation) on the investments.

43

Hartford Schroders Tax-Aware Bond Fund
Schedule of Investments
January 31, 2023  (Unaudited) 

Shares or Principal Amount   Market Value
CORPORATE BONDS - 6.1%
  Auto Manufacturers - 0.2%
$   1,090,000 Hyundai Capital America 0.88%, 06/14/2024(1) $   1,027,561
  Beverages - 0.3%
  1,606,000 Constellation Brands, Inc. 5.00%, 02/02/2026   1,606,964
  Commercial Banks - 2.6%
 2,200,000 Banco Santander S.A. 1.72%, 09/14/2027, (1.72% fixed rate until 09/14/2026; 12 mo. USD CMT + 0.900% thereafter)(2)    1,929,320
            Barclays plc  
 1,952,000 2.28%, 11/24/2027, (2.28% fixed rate until 11/24/2026; 12 mo. USD CMT + 1.050% thereafter)(2)    1,744,368
 1,241,000 7.33%, 11/02/2026, (7.33% fixed rate until 11/02/2025; 12 mo. USD CMT + 3.050% thereafter)(2)    1,302,121
  HSBC Holdings plc  
1,844,000 3.97%, 05/22/2030, (3.97% fixed rate until 05/22/2029; 3 mo. USD LIBOR + 1.610% thereafter)(2) 1,696,916
1,116,000 7.34%, 11/03/2026, (7.34% fixed rate until 11/03/2025; 3 mo. USD SOFR + 3.030% thereafter)(2) 1,177,274
1,561,000 NatWest Group plc 7.47%, 11/10/2026, (7.47% fixed rate until 11/10/2025; 12 mo. USD CMT + 2.850% thereafter)(2) 1,650,331
4,616,000 UniCredit S.p.A. 1.98%, 06/03/2027, (1.98% fixed rate until 06/03/2026; 12 mo. USD CMT + 1.200% thereafter)(1)(2) 4,064,728
      13,565,058
  Diversified Financial Services - 1.2%
6,882,000 AerCap Ireland Capital DAC / AerCap Global Aviation Trust 2.45%, 10/29/2026 6,186,790
  Entertainment - 0.8%
4,627,000 Warnermedia Holdings, Inc. 3.76%, 03/15/2027(1) 4,329,754
  Healthcare - Services - 0.8%
2,563,000 CommonSpirit Health 3.35%, 10/01/2029 2,293,934
1,805,000 Elevance Health, Inc. 4.90%, 02/08/2026 1,806,436
      4,100,370
  Semiconductors - 0.2%
  Qorvo, Inc.  
800,000 1.75%, 12/15/2024(1) 748,544
703,000 4.38%, 10/15/2029 634,458
      1,383,002
  Total Corporate Bonds
(cost $34,756,996)
$ 32,199,499
MUNICIPAL BONDS - 71.8%
  California - 12.2%
955,000 Alameda Corridor, CA, Transportation Auth Rev, (AGM Insured) 5.00%, 10/01/2052 $ 1,054,141
700,000 Brentwood, CA, Union School Dist, GO 5.25%, 08/01/2052 798,185
2,835,000 California State Health Facs Finance Auth Rev 5.00%, 04/01/2033 3,173,587
  County of Sacramento, CA, Airport System Rev  
960,000 5.00%, 07/01/2033 1,125,002
600,000 5.00%, 07/01/2034 694,725
2,845,000 Del Mar, CA, Union School Dist, GO 4.00%, 08/01/2046 2,901,766
10,055,000 Elk Grove, CA, Unified School Dist, GO 4.00%, 08/01/2048 10,066,417
Shares or Principal Amount   Market Value
MUNICIPAL BONDS - 71.8% - (continued)
  California - 12.2% - (continued)
$   2,600,000 Fresno, CA, Unified School Dist, GO 4.00%, 08/01/2052 $   2,603,839
 3,370,000 Golden State Tobacco Securitization Corp., CA, Rev 3.00%, 06/01/2046    3,133,897
 1,000,000 Merced, CA, Union High School Dist, GO 0.00%, 08/01/2034(3)      694,212
   200,000 North Orange County, CA, Community College Dist, GO, (NATL Insured) 0.00%, 08/01/2028(3)      171,625
   680,000 Peralta, CA, Community College Dist, GO 5.50%, 08/01/2052      777,785
 5,480,000 Regents of the University of California Medical Center, Pooled Rev 4.00%, 05/15/2053    5,509,631
300,000 Rialto, CA, Unified School Dist, GO, (AGM Insured) 0.00%, 08/01/2029(3) 251,468
340,000 San Diego, CA, Unified School Dist, GO 4.55%, 07/01/2052 355,480
4,335,000 San Francisco, CA, Bay Area Rapid Transit Dist, GO 4.25%, 08/01/2052 4,472,072
410,000 San Francisco, CA, Community College Dist, GO 2.02%, 06/15/2029 352,640
11,750,000 Sweetwater, CA, Union High School Dist, GO 5.00%, 08/01/2052 13,122,252
3,805,000 Victor Valley, CA, Community College Dist, GO 4.00%, 08/01/2050 3,805,207
7,640,000 Vista, CA, Unified School Dist GO, (BAM Insured) 5.25%, 08/01/2048 8,760,321
      63,824,252
  Colorado - 3.9%
3,495,000 City & County of Denver, CO, Airport System Rev 5.25%, 11/15/2053 3,927,227
13,940,000 City of Colorado Springs, CO, Utilities System Rev 4.00%, 11/15/2051 13,721,075
655,000 Colorado Health Facs Auth Rev 5.25%, 11/01/2052 692,250
2,370,000 Colorado Housing and Finance Auth Rev, (GNMA/FNMA/FHLMC Insured) 3.50%, 05/01/2050 2,372,586
      20,713,138
  Connecticut - 0.3%
1,645,000 Connecticut Housing Finance Auth Rev, (GNMA/FNMA/FHLMC Insured) 4.25%, 05/15/2042 1,669,891
  District of Columbia - 2.5%
  Dist of Columbia Water & Sewer Auth Rev  
7,775,000 4.00%, 10/01/2047 7,806,727
5,225,000 5.00%, 10/01/2052 5,529,897
      13,336,624
  Florida - 3.3%
11,440,000 Broward County, FL, Convention Center Hotel Rev 4.00%, 01/01/2051 11,433,335
2,110,000 County of Miami-Dade, FL, Water & Sewer System Rev 4.00%, 10/01/2051 2,046,595
  Florida Housing Finance Corp. Rev, (GNMA/FNMA/FHLMC Insured)  
280,000 3.00%, 07/01/2051 276,201
2,290,000 3.00%, 07/01/2052 2,252,943
630,000 3.50%, 07/01/2051 630,428
555,000 4.00%, 07/01/2049 559,571
      17,199,073
  Georgia - 2.7%
  Georgia Municipal Association, Inc.  
35,000 5.00%, 12/01/2027 39,528
 

44

Hartford Schroders Tax-Aware Bond Fund
Schedule of Investments – (continued)
January 31, 2023  (Unaudited) 

Shares or Principal Amount   Market Value
MUNICIPAL BONDS - 71.8% - (continued)
  Georgia - 2.7% - (continued)
$      25,000 5.00%, 12/01/2028 $      28,205
    80,000 5.00%, 12/01/2029       90,107
    35,000 5.00%, 12/01/2033       38,932
            Main Street Natural Gas, Inc., GA, Rev  
 3,945,000 4.00%, 08/01/2048(4)    3,967,364
 8,250,000 4.00%, 03/01/2050(4)    8,299,555
  1,520,000 4.00%, 05/01/2052(4)   1,522,979
      13,986,670
  Illinois - 3.3%
7,735,000 Chicago O'Hare International Airport, IL, Rev 5.00%, 01/01/2033 8,896,052
  Illinois Housing Dev Auth Rev, (GNMA/FNMA/FHLMC/COLL Insured)  
895,000 3.00%, 04/01/2051 881,036
5,045,000 3.75%, 04/01/2050 5,086,248
1,230,000 3.75%, 04/01/2050 1,240,697
985,000 4.50%, 10/01/2048 1,007,827
90,000 Metropolitan Pier & Exposition Auth, IL, Rev, (NATL Insured) 0.00%, 06/15/2028(3) 75,037
      17,186,897
  Indiana - 1.2%
  Indiana Housing & Community Dev Auth Rev, (GNMA/FNMA/FHLMC/COLL Insured)  
1,285,000 3.00%, 07/01/2050 1,265,914
570,000 4.00%, 07/01/2048 575,514
4,255,000 Indianapolis, IN, Local Public Improvement Bond Bank Rev 5.00%, 01/01/2053 4,628,042
      6,469,470
  Iowa - 1.4%
  Iowa Finance Auth Rev, (GNMA/FNMA/FHLMC Insured)  
6,570,000 3.00%, 07/01/2051 6,449,037
545,000 3.25%, 07/01/2050 541,550
475,000 4.00%, 07/01/2048 479,489
      7,470,076
  Kentucky - 1.3%
  Kentucky Public Energy Auth Rev  
6,080,000 4.00%, 12/01/2049(4) 6,096,759
650,000 4.00%, 02/01/2050(4) 651,807
      6,748,566
  Louisiana - 2.0%
225,000 Louisiana Housing Corp. Rev 4.50%, 12/01/2047 229,635
12,250,000 Louisiana State Local Gov't Environmental Facs & Community Dev Auth Rev 2.50%, 04/01/2036 10,272,735
      10,502,370
  Maine - 0.3%
  Maine Municipal Bond Bank Rev  
325,000 5.00%, 09/01/2029 376,765
535,000 5.00%, 09/01/2031 631,015
415,000 5.00%, 09/01/2032 488,455
      1,496,235
  Maryland - 0.4%
1,875,000 Maryland State Transportation Auth Rev 4.00%, 07/01/2050 1,857,011
  Massachusetts - 0.5%
  Commonwealth of Massachusetts, GO  
685,000 3.00%, 02/01/2048 559,519
1,685,000 5.00%, 01/01/2035 1,877,912
      2,437,431
Shares or Principal Amount   Market Value
MUNICIPAL BONDS - 71.8% - (continued)
  Minnesota - 0.6%
$   1,160,000 Housing & Redev Auth of St. Paul, MN, Rev 3.50%, 12/01/2025(4) $   1,160,982
  2,055,000 St. Paul, MN, Metropolitan Airports Commission Rev 4.25%, 01/01/2052   2,068,414
      3,229,396
  Mississippi - 0.2%
  1,210,000 Mississippi Home Corp. Rev, (GNMA/FNMA/FHLMC Insured) 3.25%, 12/01/2050   1,202,645
  Missouri - 0.9%
  Missouri Housing Dev Commission Rev, (GNMA/FNMA/FHLMC Insured)  
 1,690,000 3.25%, 05/01/2051    1,678,892
925,000 3.50%, 11/01/2050 926,171
1,230,000 4.25%, 05/01/2049 1,251,552
1,070,000 4.75%, 05/01/2049 1,101,593
      4,958,208
  Nebraska - 0.8%
  Nebraska Investment Finance Auth Rev, (GNMA/FNMA/FHLMC Insured)  
3,275,000 3.00%, 09/01/2050 3,230,198
760,000 4.00%, 09/01/2048 767,468
      3,997,666
  Nevada - 0.4%
  Nevada Housing Division Rev, (GNMA/FNMA/FHLMC Insured)  
855,000 3.00%, 04/01/2051 841,700
1,080,000 4.00%, 10/01/2049 1,093,161
      1,934,861
  New Jersey - 0.7%
1,430,000 Garden State, NJ, Preservation Trust Rev, (AGM Insured) 5.75%, 11/01/2028 1,595,764
565,000 New Jersey Economic Dev Auth Rev 5.00%, 06/15/2028 617,835
  New Jersey Transportation Trust Fund Auth Rev  
140,000 4.00%, 06/15/2035 144,530
1,330,000 5.00%, 12/15/2028 1,498,153
      3,856,282
  New Mexico - 1.3%
  New Mexico Mortgage Finance Auth Rev, (GNMA/FNMA/FHLMC Insured)  
3,650,000 3.00%, 01/01/2051 3,595,712
1,605,000 3.00%, 01/01/2052 1,578,920
1,555,000 4.00%, 01/01/2049 1,572,121
      6,746,753
  New York - 5.0%
4,210,000 City of New York, NY, GO 5.00%, 08/01/2033 4,974,329
2,085,000 New York City, NY, Transitional Finance Auth, Future Tax Secured Rev 4.00%, 08/01/2048 2,036,741
6,075,000 New York State Dormitory Auth Rev 3.00%, 03/15/2038 5,459,163
1,815,000 New York State Environmental Facs Corp. Rev 5.25%, 09/15/2052 2,081,852
475,000 New York Transportation Dev Corp. Rev 5.00%, 12/01/2028 522,027
  Triborough, Bridge & Tunnel Auth, NY, Rev  
6,030,000 4.13%, 05/15/2052 6,031,453
4,740,000 5.00%, 05/15/2051 5,157,225
      26,262,790
  Ohio - 1.0%
  Ohio Housing Finance Agency Rev  
425,000 3.00%, 03/01/2052 418,776
 

45

Hartford Schroders Tax-Aware Bond Fund
Schedule of Investments – (continued)
January 31, 2023  (Unaudited) 

Shares or Principal Amount   Market Value
MUNICIPAL BONDS - 71.8% - (continued)
  Ohio - 1.0% - (continued)
$   2,905,000 3.25%, 03/01/2050 $   2,889,066
   195,000 4.50%, 09/01/2048      199,048
            Ohio State University Rev  
     5,000 5.00%, 12/01/2030        5,977
     5,000 5.00%, 12/01/2031        6,081
            Ohio Turnpike & Infrastructure Commission Rev  
 1,680,000 0.00%, 02/15/2038(3)      929,386
  1,395,000 0.00%, 02/15/2041(3)     658,295
      5,106,629
  Oklahoma - 0.2%
910,000 Oklahoma Housing Finance Agency Rev, (GNMA/FNMA/FHLMC Insured) 4.00%, 03/01/2050 924,129
  Pennsylvania - 2.0%
850,000 Allegheny County, PA, Sanitary Auth Rev 5.00%, 06/01/2053 930,203
4,000,000 Bucks County, PA, Water and Sewer Auth Rev, (AGM Insured) 4.25%, 12/01/2047 4,069,902
635,000 Commonwealth Finance Auth, PA, Rev 5.00%, 06/01/2032 704,402
1,295,000 Geisinger, PA, Health System Auth Rev 5.00%, 02/15/2032 1,401,076
  Pennsylvania Turnpike Commission Rev  
300,000 5.00%, 12/01/2032 353,048
310,000 5.00%, 12/01/2033 362,282
  Philadelphia, PA, Gas Works Co. Rev, (AGM Insured)  
440,000 5.00%, 08/01/2029 502,768
910,000 5.00%, 08/01/2030 1,057,118
820,000 5.00%, 08/01/2033 945,718
      10,326,517
  South Carolina - 3.7%
12,950,000 Grand Strand, SC, Water & Sewer Auth Rev 4.00%, 06/01/2051 12,833,729
6,425,000 Patriots Energy Group Financing Agency, SC, Rev 4.00%, 10/01/2048(4) 6,466,376
250,000 Tobacco Settlement Rev Mgmt Auth, SC, Rev 6.38%, 05/15/2030 308,385
      19,608,490
  Tennessee - 1.8%
340,000 Jackson, TN, Health Educational & Housing Facility Board Rev 3.00%, 12/01/2026(4) 340,911
  Metropolitan Nashville, TN, Airport Auth Rev  
250,000 5.00%, 07/01/2049 266,998
1,745,000 5.00%, 07/01/2052 1,907,753
6,085,000 Tennergy Corp., TN, Rev 4.00%, 12/01/2051(4) 6,098,940
875,000 Tennessee Housing Dev Agency Rev 4.50%, 07/01/2049 896,343
      9,510,945
  Texas - 16.1%
  Arlington, TX, Higher Education Finance Corp. Rev, (PSF-GTD Insured)  
3,605,000 4.38%, 08/15/2052 3,640,706
605,000 5.00%, 08/15/2030 706,408
455,000 5.00%, 08/15/2031 538,658
610,000 5.00%, 08/15/2032 729,103
3,770,000 5.00%, 08/15/2033 4,283,273
1,495,000 Bexar County, TX, Hospital Dist, GO 4.25%, 02/15/2052 1,513,893
5,975,000 Bullard, TX, Independent School Dist GO, (PSF-GTD Insured) 4.00%, 02/15/2052 5,926,166
1,325,000 City of Houston, TX, Airport System Rev 5.00%, 07/01/2030 1,566,432
Shares or Principal Amount   Market Value
MUNICIPAL BONDS - 71.8% - (continued)
  Texas - 16.1% - (continued)
$     745,000 Cleburne, TX, Independent School Dist, GO, (PSF-GTD Insured) 3.00%, 02/15/2046 $     635,648
            Clifton, TX, Higher Education Finance Corp., Rev, (PSF-GTD Insured)  
   210,000 5.00%, 08/15/2028      237,143
   810,000 5.00%, 08/15/2029      928,755
   270,000 5.00%, 08/15/2030      314,854
 4,515,000 College of the Mainland, TX, GO 4.00%, 08/15/2049    4,519,428
320,000 Crandall, TX, Independent School Dist, GO 4.00%, 08/15/2052 318,604
1,695,000 Cypress-Fairbanks, TX, Independent School Dist, GO, (PSF-GTD Insured) 4.00%, 02/15/2033 1,846,843
5,030,000 Dallas, TX, Independent School Dist, GO 4.00%, 02/15/2053(5) 5,004,415
430,000 Harris County, TX, Cultural Education Facs Finance Corp. Rev 5.00%, 11/15/2029 481,793
1,075,000 Hitchcock, TX, Independent School Dist, GO 4.00%, 02/15/2048 1,084,971
1,900,000 Lamar, TX, Consolidated Independent School Dist, (PSF-GTD Insured) 3.00%, 02/15/2051 1,559,322
  Lower Colorado River, TX, Auth Rev  
370,000 5.00%, 05/15/2029 426,850
140,000 5.00%, 05/15/2030 164,494
3,485,000 Montgomery, TX, Independent School Dist GO, (PSF-GTD Insured) 4.25%, 02/15/2052 3,537,609
  Newark, TX, Higher Education Finance Corp. Rev, (PSF-GTD Insured)  
3,079,000 4.00%, 06/15/2047 3,093,518
704,000 4.00%, 06/15/2052 700,109
400,000 5.00%, 08/15/2052 432,728
10,000,000 North Texas Tollway Auth Rev 4.00%, 01/01/2044 9,826,131
2,715,000 Northwest, TX, Independent School Dist, GO, (PSF-GTD Insured) 5.00%, 02/15/2048 3,035,271
1,050,000 Sabine-Neches, TX, Navigation Dist, GO 5.25%, 02/15/2052 1,157,536
3,765,000 Temple, TX, Independent School Dist, GO, (PSF-GTD Insured) 4.25%, 02/01/2047 3,869,773
  Texas Department of Housing & Community Affairs Rev, (GNMA Insured)  
1,720,000 3.00%, 01/01/2052 1,691,748
5,485,000 3.00%, 03/01/2052 5,390,928
1,735,000 3.50%, 03/01/2051 1,738,351
1,000,000 4.00%, 03/01/2050 1,018,509
680,000 4.75%, 03/01/2049 696,250
1,245,000 Texas Municipal Gas Acquisition & Supply Corp. Rev 5.00%, 12/15/2028 1,320,956
2,370,000 Texas Water Dev Board Rev 4.80%, 10/15/2052 2,562,466
880,000 University of Texas Rev 5.00%, 05/15/2035 968,845
  White Settlement, TX, Independent School Dist GO, (PSF-GTD Insured)  
4,985,000 4.00%, 08/15/2052 4,954,720
2,125,000 4.13%, 08/15/2052 2,139,283
      84,562,490
  Virginia - 1.0%
5,405,000 Loudoun County, VA, Economic Dev Auth Rev 4.00%, 10/01/2052 5,430,113
  Washington - 0.5%
  Washington State Housing Finance Commission Rev, (GNMA/FNMA/FHLMC Insured)  
1,765,000 4.00%, 12/01/2048 1,783,357
925,000 4.00%, 06/01/2050 939,231
      2,722,588
 

46

Hartford Schroders Tax-Aware Bond Fund
Schedule of Investments – (continued)
January 31, 2023  (Unaudited) 

Shares or Principal Amount   Market Value
MUNICIPAL BONDS - 71.8% - (continued)
  Wisconsin - 0.1%
$     650,000 Wisconsin Health & Educational Facs Auth Rev 5.00%, 04/01/2033 $     706,460
  Wyoming - 0.2%
    790,000 Wyoming Community Dev Auth Rev 4.00%, 06/01/2043     797,658
  Total Municipal Bonds
(cost $379,547,254)
  $ 376,782,324
U.S. GOVERNMENT SECURITIES - 4.7%
  U.S. Treasury Securities - 4.7%
  U.S. Treasury Bonds - 0.9%
  4,498,000 4.00%, 11/15/2042 $   4,630,129
  U.S. Treasury Notes - 3.8%
6,822,000 3.00%, 06/30/2024 6,675,434
2,379,000 3.13%, 08/15/2025 2,327,517
574,300 3.88%, 12/31/2027 579,863
723,000 4.13%, 11/15/2032 758,472
446,000 4.25%, 12/31/2024 445,791
9,078,000 4.38%, 10/31/2024 9,077,291
      19,864,368
  Total U.S. Government Securities
(cost $24,313,057)
  $ 24,494,497
  Total Long-Term Investments
(cost $438,617,307)
  $ 433,476,320
SHORT-TERM INVESTMENTS - 17.6%
  Other Investment Pools & Funds - 1.8%
9,769,337 Morgan Stanley Institutional Liquidity Funds, Treasury Portfolio, Institutional Class, 4.27%(6) $ 9,769,337
  U.S. Treasury Securities - 15.8%
  U.S. Treasury Bills – 15.8
10,027,000 4.71%, 07/13/2023(7) 9,820,795
13,042,000 4.72%, 07/13/2023(7) 12,773,791
1,141,000 4.75%, 07/13/2023(7) 1,117,535
2,685,000 4.81%, 07/13/2023(7) 2,629,783
4,613,000 4.82%, 07/13/2023(7) 4,518,134
4,905,000 4.61%, 11/30/2023(7) 4,721,606
964,000 4.62%, 11/30/2023(7) 927,957
1,337,000 4.64%, 11/30/2023(7) 1,287,010
2,035,000 4.64%, 11/30/2023(7) 1,958,913
4,589,000 4.65%, 11/30/2023(7) 4,417,421
1,509,000 4.67%, 11/30/2023(7) 1,452,580
2,285,000 4.69%, 11/30/2023(7) 2,199,565
1,854,000 4.69%, 11/30/2023(7) 1,784,680
5,063,000 4.69%, 11/30/2023(7) 4,873,698
522,000 4.70%, 11/30/2023(7) 502,483
12,059,000 4.73%, 11/30/2023(7) 11,608,123
905,000 4.73%, 11/30/2023(7) 871,163
Shares or Principal Amount   Market Value
SHORT-TERM INVESTMENTS - 17.6% - (continued)
  U.S. Treasury Securities - 15.8% - (continued)
  U.S. Treasury Bills – 15.8 - (continued)
$   2,001,000 4.75%, 11/30/2023(7) $   1,926,184
 3,964,000 4.71%, 01/25/2024(7)    3,788,138
10,022,000 4.73%, 01/25/2024(7)    9,577,377
      82,756,936
  Total Short-Term Investments
(cost $92,518,909)
$ 92,526,273
  Total Investments
(cost $531,136,216)
100.2% $ 526,002,593
  Other Assets and Liabilities (0.2)% (922,399)
  Total Net Assets 100.0% $ 525,080,194
Note: Percentage of investments as shown is the ratio of the total market value to total net assets.
  The Fund may refer to any one or more of the industry classifications used by one or more widely recognized market indices, ratings group and/or as defined by Fund management. Industry classifications may not be identical across all security types.
  For Fund compliance purposes, the Fund may not use the same classification system. These classifications are used for financial reporting purposes.
  See “Glossary” for abbreviation descriptions.
    
(1) Security was purchased pursuant to Rule 144A under the Securities Act of 1933 and may be sold in transactions that are exempt from registration (typically only to qualified institutional buyers) or in a public offering registered under the Securities Act of 1933. At January 31, 2023, the aggregate value of these securities was $10,170,587, representing 1.9% of net assets.
(2) Fixed to variable rate investment. The rate shown reflects the fixed rate in effect at January 31, 2023. Rate will reset at a future date. Base lending rates may be subject to a floor or cap.
(3) Security is a zero-coupon bond.
(4) Variable or floating rate security, which interest rate adjusts periodically based on changes in current interest rates and prepayments on the underlying pool of assets. Rate shown is the rate in effect as of period end.
(5) This security, or a portion of this security, was purchased on a when-issued, delayed-delivery or delayed-draw basis. The cost of this security was $5,041,267 at January 31, 2023.
(6) Current yield as of period end.
(7) The rate shown represents current yield to maturity.
For information regarding the Fund’s significant accounting policies, please refer to the Fund’s most recent shareholder report.
 

47

Hartford Schroders Tax-Aware Bond Fund
Schedule of Investments – (continued)
January 31, 2023  (Unaudited) 

Fair Value Summary
The following is a summary of the fair valuations according to the inputs used as of January 31, 2023 in valuing the Fund’s investments.
Description   Total   Level 1   Level 2   Level 3(1)
Assets                
Corporate Bonds   $ 32,199,499   $ —   $ 32,199,499   $ —
Municipal Bonds   376,782,324     376,782,324  
U.S. Government Securities   24,494,497     24,494,497  
Short-Term Investments   92,526,273   9,769,337   82,756,936  
Total   $ 526,002,593   $ 9,769,337   $ 516,233,256   $ —
    
(1) For the period ended January 31, 2023, there were no transfers in and out of Level 3.

48

Hartford Schroders US MidCap Opportunities Fund
Schedule of Investments
January 31, 2023  (Unaudited) 

Shares or Principal Amount   Market Value†
COMMON STOCKS - 94.1%
  Banks - 3.1%
   123,665 Commerce Bancshares, Inc. $   8,231,142
   173,893 Fifth Third Bancorp    6,310,577
    36,362 First Republic Bank    5,122,679
   119,051 Glacier Bancorp, Inc.   5,427,535
      25,091,933
  Capital Goods - 11.3%
237,698 BWX Technologies, Inc. 14,466,300
61,954 Dover Corp. 9,406,476
123,278 Fortune Brands Innovations, Inc. 7,952,664
223,118 Hexcel Corp. 15,747,668
66,286 IDEX Corp. 15,887,429
42,577 Nordson Corp. 10,358,984
33,000 Snap-on, Inc. 8,208,090
50,677 Trane Technologies plc 9,077,264
      91,104,875
  Commercial & Professional Services - 7.6%
182,742 Copart, Inc.* 12,172,445
76,773 Leidos Holdings, Inc. 7,588,243
438,658 Rentokil Initial plc ADR 13,343,976
62,471 Robert Half International, Inc. 5,245,065
66,415 Verisk Analytics, Inc. 12,073,583
82,755 Waste Connections, Inc. 10,998,140
      61,421,452
  Consumer Durables & Apparel - 0.8%
63,576 Garmin Ltd. 6,286,395
  Consumer Services - 3.5%
258,378 Aramark 11,505,572
45,250 Churchill Downs, Inc. 11,226,525
15,754 Domino's Pizza, Inc. 5,561,162
      28,293,259
  Diversified Financials - 3.3%
191,790 Nasdaq, Inc. 11,543,840
61,753 Raymond James Financial, Inc. 6,963,886
125,737 SEI Investments Co. 7,849,761
      26,357,487
  Energy - 3.9%
40,332 Cheniere Energy, Inc. 6,162,326
331,261 Coterra Energy, Inc. 8,291,463
58,789 Diamondback Energy, Inc. 8,590,249
80,551 New Fortress Energy, Inc. 3,124,573
23,464 Pioneer Natural Resources Co. 5,404,932
      31,573,543
  Food, Beverage & Tobacco - 1.6%
56,400 Hershey Co. 12,667,440
  Health Care Equipment & Services - 6.6%
23,534 Chemed Corp. 11,887,965
25,830 Cooper Cos., Inc. 9,012,862
187,645 Encompass Health Corp. 11,718,430
119,498 Masimo Corp.* 20,324,220
      52,943,477
  Insurance - 7.5%
74,003 Arthur J Gallagher & Co. 14,483,867
115,037 Assurant, Inc. 15,252,756
82,132 Globe Life, Inc. 9,925,652
75,269 Reinsurance Group of America, Inc. 11,423,576
219,577 Ryan Specialty Group Holdings, Inc.* 9,358,372
      60,444,223
  Materials - 3.8%
85,948 AptarGroup, Inc. 9,939,027
Shares or Principal Amount   Market Value†
COMMON STOCKS - 94.1% - (continued)
  Materials - 3.8% - (continued)
   213,324 Berry Global Group, Inc. $  13,168,490
    67,874 International Flavors & Fragrances, Inc.   7,633,110
      30,740,627
  Media & Entertainment - 4.5%
   268,777 Interpublic Group of Cos., Inc.    9,799,610
   169,190 Match Group, Inc.*    9,156,563
304,653 Pinterest, Inc. Class A* 8,009,327
83,500 Take-Two Interactive Software, Inc.* 9,454,705
      36,420,205
  Pharmaceuticals, Biotechnology & Life Sciences - 3.9%
193,977 Catalent, Inc.* 10,387,468
213,628 Royalty Pharma plc Class A 8,372,081
46,698 West Pharmaceutical Services, Inc. 12,402,989
      31,162,538
  Real Estate - 3.4%
72,414 Alexandria Real Estate Equities, Inc. REIT 11,639,826
219,576 American Homes 4 Rent Class A, REIT 7,529,261
351,999 Brixmor Property Group, Inc. REIT 8,282,537
      27,451,624
  Retailing - 2.6%
47,435 Burlington Stores, Inc.* 10,901,986
165,197 LKQ Corp. 9,740,015
      20,642,001
  Semiconductors & Semiconductor Equipment - 6.4%
137,721 Entegris, Inc. 11,115,462
52,705 First Solar, Inc.* 9,360,408
141,109 Microchip Technology, Inc. 10,952,881
141,729 ON Semiconductor Corp.* 10,409,995
91,612 Skyworks Solutions, Inc. 10,047,088
      51,885,834
  Software & Services - 10.3%
164,054 Amdocs Ltd. 15,081,484
98,706 Black Knight, Inc.* 5,980,597
191,891 Dolby Laboratories, Inc. Class A 15,266,848
28,643 EPAM Systems, Inc.* 9,528,094
215,841 Genpact Ltd. 10,204,962
102,232 PTC, Inc.* 13,789,052
61,233 VeriSign, Inc.* 13,351,856
      83,202,893
  Technology Hardware & Equipment - 5.4%
46,063 CDW Corp. 9,029,730
205,804 Ciena Corp.* 10,705,924
49,606 Motorola Solutions, Inc. 12,749,238
26,258 Teledyne Technologies, Inc.* 11,140,219
      43,625,111
  Utilities - 4.6%
165,289 Alliant Energy Corp. 8,930,565
319,852 CenterPoint Energy, Inc. 9,633,942
100,114 CMS Energy Corp. 6,326,204
51,098 Eversource Energy 4,206,898
204,342 FirstEnergy Corp. 8,367,805
      37,465,414
  Total Common Stocks
(cost $547,222,927)
  $ 758,780,331
 

49

Hartford Schroders US MidCap Opportunities Fund
Schedule of Investments – (continued)
January 31, 2023  (Unaudited) 

Shares or Principal Amount   Market Value†
SHORT-TERM INVESTMENTS - 5.8%
  Other Investment Pools & Funds - 5.8%
46,545,245 Morgan Stanley Institutional Liquidity Funds, Treasury Portfolio, Institutional Class, 4.27%(1) $  46,545,245
  Total Short-Term Investments
(cost $46,545,245)
$ 46,545,245
  Total Investments
(cost $593,768,172)
99.9% $ 805,325,576
  Other Assets and Liabilities 0.1% 463,592
  Total Net Assets 100.0% $ 805,789,168
Note: Percentage of investments as shown is the ratio of the total market value to total net assets.
  Prices of foreign equities that are principally traded on certain foreign markets will generally be adjusted daily pursuant to a fair value pricing service approved by Hartford Funds Management Company, LLC in order to reflect an adjustment for factors occurring after the close of certain foreign markets but before the close of the New York Stock Exchange.
The Fund may refer to any one or more of the industry classifications used by one or more widely recognized market indices, ratings group and/or as defined by Fund management. Industry classifications may not be identical across all security types.
Equity industry classifications used in this report are the Global Industry Classification Standard, which was developed by and is the exclusive property and service mark of MSCI, Inc. and Standard & Poor’s.
For Fund compliance purposes, the Fund may not use the same classification system. These classifications are used for financial reporting purposes.
See “Glossary” for abbreviation descriptions.
* Non-income producing.
(1) Current yield as of period end.
For information regarding the Fund’s significant accounting policies, please refer to the Fund’s most recent shareholder report.
 
Fair Value Summary
The following is a summary of the fair valuations according to the inputs used as of January 31, 2023 in valuing the Fund’s investments.
Description   Total   Level 1   Level 2   Level 3(1)
Assets                
Common Stocks                
Banks   $ 25,091,933   $ 25,091,933   $ —   $ —
Capital Goods   91,104,875   91,104,875    
Commercial & Professional Services   61,421,452   61,421,452    
Consumer Durables & Apparel   6,286,395   6,286,395    
Consumer Services   28,293,259   28,293,259    
Diversified Financials   26,357,487   26,357,487    
Energy   31,573,543   31,573,543    
Food, Beverage & Tobacco   12,667,440   12,667,440    
Health Care Equipment & Services   52,943,477   52,943,477    
Insurance   60,444,223   60,444,223    
Materials   30,740,627   30,740,627    
Media & Entertainment   36,420,205   36,420,205    
Pharmaceuticals, Biotechnology & Life Sciences   31,162,538   31,162,538    
Real Estate   27,451,624   27,451,624    
Retailing   20,642,001   20,642,001    
Semiconductors & Semiconductor Equipment   51,885,834   51,885,834    
Software & Services   83,202,893   83,202,893    
Technology Hardware & Equipment   43,625,111   43,625,111    
Utilities   37,465,414   37,465,414    
Short-Term Investments   46,545,245   46,545,245    
Total   $ 805,325,576   $ 805,325,576   $ —   $ —
    
(1) For the period ended January 31, 2023, there were no transfers in and out of Level 3.

50

Hartford Schroders US Small Cap Opportunities Fund
Schedule of Investments
January 31, 2023  (Unaudited) 

Shares or Principal Amount   Market Value†
COMMON STOCKS - 95.9%
  Automobiles & Components - 1.4%
    57,573 Gentherm, Inc.* $   4,285,159
  Banks - 7.3%
    22,849 Cambridge Bancorp    1,827,920
   201,979 First BanCorp    2,716,618
    87,817 First Merchants Corp.    3,744,517
    87,432 Heritage Financial Corp.    2,494,435
115,208 Seacoast Banking Corp. of Florida 3,699,329
45,749 SouthState Corp. 3,641,620
45,793 TriCo Bancshares 2,314,836
78,911 United Community Banks, Inc. 2,567,764
      23,007,039
  Capital Goods - 15.6%
34,139 Albany International Corp. Class A 3,828,689
264,085 Custom Truck One Source, Inc.*(1) 1,869,722
21,612 EnPro Industries, Inc. 2,616,565
37,727 ESCO Technologies, Inc. 3,713,846
57,537 Gibraltar Industries, Inc.* 3,082,257
78,265 Hexcel Corp. 5,523,944
243,810 Masterbrand, Inc.* 2,243,052
61,129 Maxar Technologies, Inc. 3,158,535
28,833 McGrath Rent Corp. 2,870,037
159,497 Primoris Services Corp. 4,242,620
51,465 Proto Labs, Inc.* 1,574,829
28,836 Simpson Manufacturing Co., Inc. 3,088,624
23,370 Standex International Corp. 2,700,871
87,628 Univar Solutions, Inc.* 3,021,413
30,796 V2X, Inc.* 1,359,951
13,704 Valmont Industries, Inc. 4,518,620
      49,413,575
  Commercial & Professional Services - 3.8%
47,120 ASGN, Inc.* 4,285,564
126,028 Interface, Inc. 1,434,198
33,019 Science Applications International Corp. 3,426,712
55,932 Stericycle, Inc.* 3,009,701
      12,156,175
  Consumer Durables & Apparel - 4.9%
16,122 Cavco Industries, Inc.* 4,290,064
31,888 Oxford Industries, Inc. 3,737,911
222,094 Snap One Holdings Corp.*(1) 2,129,881
85,290 Sonos, Inc.* 1,572,748
103,309 Steven Madden Ltd. 3,703,628
      15,434,232
  Diversified Financials - 3.4%
212,955 Compass Diversified Holdings 4,753,156
14,061 Encore Capital Group, Inc.* 783,479
20,941 Houlihan Lokey, Inc. 2,074,625
293,312 Perella Weinberg Partners 3,006,448
      10,617,708
  Energy - 4.3%
41,141 Cactus, Inc. Class A 2,226,140
99,361 Delek U.S. Holdings, Inc. 2,658,900
52,648 Matador Resources Co. 3,483,192
311,389 Permian Resources Corp. 3,384,798
178,049 Solaris Oilfield Infrastructure, Inc. Class A 1,885,539
      13,638,569
  Food & Staples Retailing - 1.4%
115,145 Chefs' Warehouse, Inc.* 4,401,993
  Food, Beverage & Tobacco - 3.2%
45,561 Darling Ingredients, Inc.* 3,020,239
250,521 Primo Water Corp. 3,920,654
235,206 Sovos Brands, Inc.* 3,189,393
      10,130,286
Shares or Principal Amount   Market Value†
COMMON STOCKS - 95.9% - (continued)
  Health Care Equipment & Services - 9.4%
   229,504 Enhabit, Inc.* $   3,525,181
   104,895 Envista Holdings Corp.*    4,089,856
    46,247 Haemonetics Corp.*    3,912,496
    41,348 ICU Medical, Inc.*    7,989,674
     9,399 Mesa Laboratories, Inc.    1,828,481
   152,243 NeoGenomics, Inc.*    1,808,647
163,895 Neuronetics, Inc.* 963,703
70,673 Progyny, Inc.* 2,430,445
32,599 U.S. Physical Therapy, Inc. 3,232,191
      29,780,674
  Insurance - 4.9%
45,837 Axis Capital Holdings Ltd. 2,868,021
94,156 Kemper Corp. 5,529,782
31,508 Reinsurance Group of America, Inc. 4,781,969
57,064 Ryan Specialty Group Holdings, Inc.* 2,432,068
      15,611,840
  Materials - 8.6%
39,561 Ashland Global Holdings, Inc. 4,322,830
38,885 Balchem Corp. 5,079,548
27,861 Eagle Materials, Inc. 4,069,935
198,039 Element Solutions, Inc. 4,055,839
37,861 Materion Corp. 3,416,955
71,514 Mativ, Inc. 1,970,926
74,475 PureCycle Technologies, Inc.*(1) 624,100
102,400 Valvoline, Inc. 3,753,984
      27,294,117
  Media & Entertainment - 2.2%
63,111 IAC, Inc.* 3,565,771
25,793 Madison Square Garden Entertainment Corp.* 1,348,716
307,633 Stagwell, Inc.* 2,159,584
      7,074,071
  Pharmaceuticals, Biotechnology & Life Sciences - 4.3%
250,884 Evolus, Inc.* 2,606,685
109,874 FibroGen, Inc.* 2,593,026
49,597 Intra-Cellular Therapies, Inc.* 2,376,688
46,769 Natera, Inc.* 2,007,793
39,202 Pacira BioSciences, Inc.* 1,539,463
70,542 Syneos Health, Inc.* 2,533,869
      13,657,524
  Real Estate - 2.9%
166,390 Douglas Emmett, Inc. REIT 2,787,032
176,879 Kennedy-Wilson Holdings, Inc. 3,162,597
50,442 Terreno Realty Corp. REIT 3,249,978
      9,199,607
  Retailing - 1.4%
19,913 Asbury Automotive Group, Inc.* 4,380,860
  Semiconductors & Semiconductor Equipment - 3.3%
146,473 Allegro MicroSystems, Inc.* 5,590,874
70,422 MACOM Technology Solutions Holdings, Inc.* 4,719,683
      10,310,557
  Software & Services - 7.5%
130,255 Box, Inc. Class A* 4,166,857
51,060 CommVault Systems, Inc.* 3,177,464
154,069 LiveRamp Holdings, Inc.* 4,122,886
57,285 Perficient, Inc.* 4,247,110
178,529 Sabre Corp.* 1,215,783
56,587 Teradata Corp.* 1,973,755
58,743 WNS Holdings Ltd. ADR* 4,977,294
      23,881,149
  Technology Hardware & Equipment - 3.2%
59,624 Ciena Corp.* 3,101,640
 

51

Hartford Schroders US Small Cap Opportunities Fund
Schedule of Investments – (continued)
January 31, 2023  (Unaudited) 

Shares or Principal Amount   Market Value†
COMMON STOCKS - 95.9% - (continued)
  Technology Hardware & Equipment - 3.2% - (continued)
    49,950 Lumentum Holdings, Inc.* $   3,005,991
   348,633 Viavi Solutions, Inc.*   3,939,553
      10,047,184
  Utilities - 2.9%
    19,906 Chesapeake Utilities Corp.    2,509,749
    47,679 ONE Gas, Inc.    3,926,842
37,615 SJW Group 2,911,777
      9,348,368
  Total Common Stocks
(cost $238,199,800)
  $ 303,670,687
SHORT-TERM INVESTMENTS - 4.6%
  Other Investment Pools & Funds - 3.7%
11,722,055 Morgan Stanley Institutional Liquidity Funds, Treasury Portfolio, Institutional Class, 4.27%(2) $ 11,722,055
  Securities Lending Collateral - 0.9%
424,859 Goldman Sachs Financial Square Funds, Government Fund, Institutional Class, 4.24%(2) 424,859
1,416,194 HSBC US Government Money Market Fund, 4.22%(2) 1,416,194
424,858 Invesco Government & Agency Portfolio, Institutional Class, 4.32%(2) 424,858
424,858 Morgan Stanley Institutional Liquidity Funds, Government Portfolio, Institutional Class, 4.13%(2) 424,858
      2,690,769
  Total Short-Term Investments
(cost $14,412,824)
$ 14,412,824
  Total Investments
(cost $252,612,624)
100.5% $ 318,083,511
  Other Assets and Liabilities (0.5)% (1,453,178)
  Total Net Assets 100.0% $ 316,630,333
Note: Percentage of investments as shown is the ratio of the total market value to total net assets.
  Prices of foreign equities that are principally traded on certain foreign markets will generally be adjusted daily pursuant to a fair value pricing service approved by Hartford Funds Management Company, LLC in order to reflect an adjustment for factors occurring after the close of certain foreign markets but before the close of the New York Stock Exchange.
  The Fund may refer to any one or more of the industry classifications used by one or more widely recognized market indices, ratings group and/or as defined by Fund management. Industry classifications may not be identical across all security types.
  Equity industry classifications used in this report are the Global Industry Classification Standard, which was developed by and is the exclusive property and service mark of MSCI, Inc. and Standard & Poor’s.
  For Fund compliance purposes, the Fund may not use the same classification system. These classifications are used for financial reporting purposes.
  See “Glossary” for abbreviation descriptions.
    
* Non-income producing.
(1) Represents entire or partial securities on loan.
(2) Current yield as of period end.
For information regarding the Fund’s significant accounting policies, please refer to the Fund’s most recent shareholder report.
 

52

Hartford Schroders US Small Cap Opportunities Fund
Schedule of Investments – (continued)
January 31, 2023  (Unaudited) 

Fair Value Summary
The following is a summary of the fair valuations according to the inputs used as of January 31, 2023 in valuing the Fund’s investments.
Description   Total   Level 1   Level 2   Level 3(1)
Assets                
Common Stocks                
Automobiles & Components   $ 4,285,159   $ 4,285,159   $ —   $ —
Banks   23,007,039   23,007,039    
Capital Goods   49,413,575   49,413,575    
Commercial & Professional Services   12,156,175   12,156,175    
Consumer Durables & Apparel   15,434,232   15,434,232    
Diversified Financials   10,617,708   10,617,708    
Energy   13,638,569   13,638,569    
Food & Staples Retailing   4,401,993   4,401,993    
Food, Beverage & Tobacco   10,130,286   10,130,286    
Health Care Equipment & Services   29,780,674   29,780,674    
Insurance   15,611,840   15,611,840    
Materials   27,294,117   27,294,117    
Media & Entertainment   7,074,071   7,074,071    
Pharmaceuticals, Biotechnology & Life Sciences   13,657,524   13,657,524    
Real Estate   9,199,607   9,199,607    
Retailing   4,380,860   4,380,860    
Semiconductors & Semiconductor Equipment   10,310,557   10,310,557    
Software & Services   23,881,149   23,881,149    
Technology Hardware & Equipment   10,047,184   10,047,184    
Utilities   9,348,368   9,348,368    
Short-Term Investments   14,412,824   14,412,824    
Total   $ 318,083,511   $ 318,083,511   $ —   $ —
    
(1) For the period ended January 31, 2023, there were no transfers in and out of Level 3.

53

The Hartford Mutual Funds II, Inc.
GLOSSARY: (abbreviations used in preceding Schedule of Investments)

Counterparty Abbreviations:
BCLY Barclays
BNP BNP Paribas Securities Services
BOA Bank of America Securities LLC
CBK Citibank NA
JPM JP Morgan Chase & Co.
MSC Morgan Stanley
UBS UBS AG
Currency Abbreviations:
BRL Brazil Real
CLP Chile Peso
CNY China Yuan Renminbi
COP Colombia Peso
CZK Czech Republic Koruna
EUR Euro Member Countries
GBP British Pound
HUF Hungary Forint
IDR Indonesia Rupiah
INR Indian Rupee
MXN Mexican Peso
MYR Malaysia Ringgit
PEN Peru Nuevo Sol
PLN Poland Zloty
RON Romania New Leu
THB Thailand Baht
USD United States Dollar
ZAR South Africa Rand
Index Abbreviations:
CMT Constant Maturity Treasury Index
EAFE Europe, Australasia and Far East
SGX Singapore Exchange
Municipal Abbreviations:
Auth Authority
Dev Development
Dist District
Facs Facilities
GO General Obligation
Mgmt Management
Redev Redevelopment
Rev Revenue
Other Abbreviations:
ADR American Depositary Receipt
AGM Assured Guaranty Municipal
BAM Build America Mutual Assurance Corp.
Bhd Berhad
CLO Collateralized Loan Obligation
CMO Collateralized Mortgage Obligation
COLL Collateral
ETF Exchange-Traded Fund
FHLMC Federal Home Loan Mortgage Corp.
FNMA Federal National Mortgage Association
GDR Global Depositary Receipt
GNMA Government National Mortgage Association
JSC Joint Stock Company
KGaA Kommanditgesellschaft Auf Aktien
LIBOR London Interbank Offered Rate
NATL National Public Finance Guarantee Corp.
NVDR Non-Voting Depositary Receipt
Nyrt New York REIT Inc
PJSC Private Joint Stock Company
PSF-GTD Permanent School Fund Guaranteed
PT Perseroan Terbatas
REIT Real Estate Investment Trust
SOFR Secured Overnight Financing Rate
Tbk Terbuka
 

54

The Hartford Mutual Funds II, Inc.
 Notes to the Schedules of Investments
 January 31, 2023  (Unaudited)

1. Investment Valuation and Fair Value Measurements:
  For purposes of calculating the net asset value per share (“NAV”) of each class of each Fund, portfolio securities and other assets held in the Fund’s portfolio for which market prices are readily available are valued at market value. Market value is generally determined on the basis of official close price or last reported trade price. If no trades were reported, market value is based on prices obtained from a quotation reporting system, established market makers (including evaluated prices), or independent pricing services. Pricing vendors may use matrix pricing or valuation models that utilize certain inputs and assumptions to derive values, including transaction data, credit quality information, general market conditions, news, and other factors and assumptions.
  With respect to a Fund's investments that do not have readily available market prices, the Company's Board of Directors (the "Board") has designated Hartford Funds Management Company, LLC (the "Investment Manager") as its valuation designee to perform fair valuations pursuant to Rule 2a-5 under the 1940 Act (the "Valuation Designee").
  If market prices are not readily available or are deemed unreliable, the Valuation Designee determines the fair value of the security or other instrument in good faith under policies and procedures approved by and under the supervision of the Board ("Valuation Procedures").
  The Valuation Designee has delegated the day-to-day responsibility for implementing the Valuation Procedures to the Valuation Committee. The Valuation Committee will consider all available relevant factors in determining an investment’s fair value. The Valuation Designee reports fair value matters to the Audit Committee of the Board.
  Prices of foreign equities that are principally traded on certain foreign markets will generally be adjusted daily pursuant to a fair value pricing service in order to reflect an adjustment for the factors occurring after the close of certain foreign markets but before the NYSE Close. Securities and other instruments that are primarily traded on foreign markets may trade on days that are not business days of the Funds. The value of the foreign securities or other instruments in which a Fund invests may change on days when a shareholder will not be able to purchase, redeem or exchange shares of the Fund.
  Fixed income investments (other than short-term obligations) and non-exchange traded derivatives held by a Fund are normally valued at prices supplied by independent pricing services in accordance with the Valuation Procedures. Short-term investments maturing in 60 days or less are generally valued at amortized cost, which approximates fair value.
  Exchange-traded derivatives, such as options, futures and options on futures, are valued at the last sale price determined by the exchange where such instruments principally trade as of the close of such exchange (“Exchange Close”). If a last sale price is not available, the value will be the mean of the most recently quoted bid and ask prices as of the Exchange Close. If a mean of the bid and ask prices cannot be calculated for the day, the value will be the most recently quoted bid price as of the Exchange Close. Over-the-counter derivatives are normally valued based on prices supplied by independent pricing services in accordance with the Valuation Procedures.
  Investments valued in currencies other than U.S. dollars are converted to U.S. dollars using the prevailing spot currency exchange rates obtained from independent pricing services for calculation of the NAV. As a result, the NAV of a Fund’s shares may be affected by changes in the value of currencies in relation to the U.S. dollar. The value of securities or other instruments traded in markets outside the United States or denominated in currencies other than the U.S. dollar may be affected significantly on a day that the Exchange is closed and the market value may change on days when an investor is not able to purchase, redeem or exchange shares of a Fund.
  Foreign currency contracts represent agreements to exchange currencies on specific future dates at predetermined rates. Foreign currency contracts are valued using foreign currency exchange rates and forward rates as provided by an independent pricing service on the Valuation Date.
  Shares of investment companies listed and traded on an exchange are valued in the same manner as any exchange-listed equity security. Investments in investment companies that are not listed or traded on an exchange ("Non-Traded Funds"), if any, are valued at the respective NAV of each Non-Traded Fund on the Valuation Date. Such Non-Traded Funds and listed investment companies may use fair value pricing as disclosed in their prospectuses.
  Financial instruments for which prices are not available from an independent pricing service may be valued using quotations obtained from one or more dealers that make markets in the respective financial instrument in accordance with the Valuation Procedures.
  U.S. Generally Accepted Accounting Principles ("U.S. GAAP") defines fair value as the price that a Fund would receive to sell an asset or pay to transfer a liability in an orderly transaction between market participants. The U.S. GAAP fair value measurement standards require disclosure of a fair value hierarchy for each major category of assets and liabilities. Various inputs are used in determining the fair value of each Fund’s investments. These inputs are summarized into three broad hierarchy levels. This hierarchy is based on whether the valuation inputs are observable or unobservable.

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The Hartford Mutual Funds II, Inc.
 Notes to the Schedules of Investments – (continued)
 January 31, 2023  (Unaudited)

  These levels are:
Level 1 – Quoted prices in active markets for identical investments. Level 1 may include exchange traded instruments, such as domestic equities, some foreign equities, options, futures, mutual funds, exchange traded funds, rights and warrants.
Level 2 – Observable inputs other than Level 1 prices, such as quoted prices for similar investments; quoted prices in markets that are not active; or other inputs that are observable or can be corroborated by observable market data. Level 2 may include debt investments that are traded less frequently than exchange traded instruments and which are valued using independent pricing services; foreign equities, which are principally traded on certain foreign markets and are adjusted daily pursuant to a fair value pricing service in order to reflect an adjustment for the factors occurring after the close of certain foreign markets but before the NYSE Close; senior floating rate interests, which are valued using an aggregate of dealer bids; short-term investments, which are valued at amortized cost; and swaps, which are valued based upon the terms of each swap contract.
Level 3 – Significant unobservable inputs that are supported by limited or no market activity. Level 3 may include financial instruments whose values are determined using indicative market quotes or require significant management judgment or estimation. These unobservable valuation inputs may include estimates for current yields, maturity/duration, prepayment speed, and indicative market quotes for comparable investments along with other assumptions relating to credit quality, collateral value, complexity of the investment structure, general market conditions and liquidity. This category may include investments where trading has been halted or there are certain restrictions on trading. While these investments are priced using unobservable inputs, the valuation of these investments reflects the best available data and management believes the prices are a reasonable representation of exit price.
Valuation levels are not necessarily indicative of the risk associated with investing in such investments. Individual investments within any of the above mentioned asset classes may be assigned a different hierarchical level than those presented above, as individual circumstances dictate.
For additional information, refer to the Fair Value Summary and the Level 3 roll-forward reconciliation, if applicable, which follows each Fund’s Schedule of Investments.
Geopolitical events, including the invasion of Ukraine by Russia, have interjected uncertainty into the global financial markets. One or more of the Funds hold positions in securities or other instruments that are economically tied to Russia. Investments in Russia are subject to political, economic, legal, market and currency risks, as well as the risks related to the economic sanctions on Russia imposed by the United States and/or other countries. Such sanctions which affect companies in many sectors, including energy, financial services and defense, among others, have adversely affected and could continue to adversely affect the global energy and financial markets and, thus, have adversely affected and could continue to adversely affect the value of a Fund’s investments, even beyond any direct exposure the Fund may have to Russian issuers or the adjoining geographic regions. In addition, certain transactions have or may be prohibited and/or existing investments have or may become illiquid (e.g., because transacting in certain existing investments is prohibited), which could cause a Fund to sell other portfolio holdings at a disadvantageous time or price in order to meet shareholder redemptions.
For information regarding a Fund's other significant accounting policies, please refer to the Fund's most recent shareholder report.
2. Subsequent Events:
  The banking sector has recently been subject to increased market volatility.  As a result, a Fund’s investments in the banking sector are subject to increased volatility risk. It is unknown whether such volatility will continue. 

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