HBLSX
THE HARTFORD BALANCED INCOME FUND
HARTFORD MUTUAL FUNDS, INC

Portfolio concentration

As of January 31, 2026 · N-PORT
Holdings
1459
Top-10 weight
8.82%
Effective holdings ?
302
Crowding ?
521.0

Holdings

As of January 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 MERCK & CO 1,206,523 $133.04M 1.14%
2 BANK OF AMERICA CORPORATION 2,265,728 $120.54M 1.04%
3 JOHNSON&JOHNSON 488,870 $111.10M 0.96%
4 UNILEVER PLC-SPONSORED ADR DEPOSITARY RECEIPT UL 1,473,907 $100.76M 0.87%
5 T-MOBILE US INC 509,555 $100.49M 0.86%
6 MORGAN STANLEY 516,274 $94.37M 0.81%
7 ELEVANCE HEALTH INC 265,956 $91.95M 0.79%
8 HONEYWELL INTL INC 399,880 $90.98M 0.78%
9 CISCO SYSTEMS INC 1,121,491 $87.84M 0.76%
10 HUNTINGTON BANCSHARES INC 5,013,206 $87.63M 0.75%
11 M&T BANK CORP 392,514 $86.97M 0.75%
12 EQT CORPORATION 1,433,448 $82.75M 0.71%
13 KEURIG DR PEPPER INC 2,914,652 $79.98M 0.69%
14 DOMINION ENERGY INC 1,320,666 $79.46M 0.68%
15 MARSH & MCLENNAN 420,832 $79.20M 0.68%
16 GILEAD SCIENCES INC 555,933 $78.91M 0.68%
17 FERGUSON ENTERPRISES INC 311,080 $78.54M 0.68%
18 GAMING AND LEISURE PROPRTI INC 1,747,000 $78.18M 0.67%
19 CONOCOPHILLIPS 746,610 $77.82M 0.67%
20 PPL CORPORATION 2,085,934 $75.62M 0.65%
21 NXP SEMICONDUCTORS NV 333,463 $75.41M 0.65%
22 AMERICAN ELECTRIC POWER CO INC 623,776 $74.71M 0.64%
23 ARCHER DANIELS MIDLAND CO 1,107,020 $74.51M 0.64%
24 PHILIP MORRIS INTL INC 413,503 $74.20M 0.64%
25 CROWN CASTLE INC 854,180 $74.15M 0.64%
26 WILLIAMS COS INC 1,085,686 $73.02M 0.63%
27 SEMPRA ENERGY 832,818 $72.46M 0.62%
28 PACCAR INC 588,420 $72.32M 0.62%
29 PROGRESSIVE CORP OHIO 334,051 $69.48M 0.60%
30 TE CONNECTIVITY PLC 308,805 $68.80M 0.59%
31 AMERICAN INTERNATIONAL GROUP 914,337 $68.47M 0.59%
32 PPG INDUSTRIES INC 584,765 $67.62M 0.58%
33 INDITEX SA 1,034,568 $67.32M 0.58%
34 NETAPP INC 691,218 $66.60M 0.57%
35 EMERSON ELECTRIC CO 450,670 $66.23M 0.57%
36 REGIONS FINANCIAL CORP 2,311,825 $65.89M 0.57%
37 L3HARRIS TECHNOLOGIES INC 191,532 $65.67M 0.56%
38 State Street Navigator Securities Lending Government Money Market Portfolio 65,559,432 $65.56M 0.56%
39 TARGA RESOURCES CORP 315,765 $63.46M 0.55%
40 AMDOCS LTD DOX 767,906 $62.92M 0.54%
41 ACCENTURE PLC CL A 236,934 $62.47M 0.54%
42 ROCHE HOLDINGS AG (GENUSSCHEINE) 135,302 $61.53M 0.53%
43 IDEX CORPORATION 308,218 $61.20M 0.53%
44 RAYMOND JAMES FINANCIAL INC. 364,419 $60.44M 0.52%
45 CONSTELLATION BRANDS INC CL A 385,216 $60.36M 0.52%
46 LAMAR ADVERTISING CO CL A 468,779 $60.15M 0.52%
47 DICKS SPORTING GOODS INC 293,996 $59.39M 0.51%
48 DARDEN RESTAURANTS INC 291,160 $58.04M 0.50%
49 AVERY DENNISON CORP 311,672 $57.82M 0.50%
50 WEYERHAEUSER CO 2,242,563 $57.81M 0.50%
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