HDGVX
THE HARTFORD DIVIDEND AND GROWTH FUND
HARTFORD MUTUAL FUNDS, INC

Portfolio moves

Net position changes between two of this fund's N-PORT snapshots. These are differences between point-in-time reports — not a trade log — and share counts can be affected by splits and other corporate actions.

Oct 31, 2025 → Jan 31, 2026

Expand a category to see the positions behind it, ranked by weight.

Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
AMAZON.COM INC 0 2,218,340 2,218,340 2.88% $530.85M
UNILEVER PLC-SPONSORED ADR DEPOSITARY RECEIPT 0 5,790,051 5,790,051 2.15% $395.81M
INTERCONTINENTAL EXCHANGE INC 0 2,250,434 2,250,434 2.12% $391.08M
MARSH & MCLENNAN 0 1,683,471 1,683,471 1.72% $316.81M
DANAHER CORP 0 1,316,165 1,316,165 1.56% $288.10M
COTERRA ENERGY INC 0 9,920,768 9,920,768 1.55% $286.21M
AMCOR PLC 0 4,122,127 4,122,127 0.99% $182.40M
TAPESTRY INC 0 1,302,476 1,302,476 0.90% $165.30M
ROPER TECHNOLOGIES INC 0 389,897 389,897 0.79% $144.74M
PUBLICIS GROUPE 0 1,390,130 1,390,130 0.75% $138.94M
OMNICOM GROUP INC 0 1,697,166 1,697,166 0.71% $130.75M
HUNT J B TRANSPORT SERVICES IN 0 591,186 591,186 0.65% $119.85M
HUNTINGTON BANCSHARES INC 0 6,664,857 6,664,857 0.63% $116.50M
AVERY DENNISON CORP 0 586,789 586,789 0.59% $108.86M
AVALONBAY COMMUNITIES INC REIT 0 582,569 582,569 0.56% $103.51M
HUMANA INC 0 516,726 516,726 0.55% $100.86M
TAIWAN SEMIC MFG CO LTD SP ADR 0 276,734 276,734 0.50% $91.48M
TOTALENERGIES SE 0 1,223,915 1,223,915 0.48% $88.61M
TD SYNNEX CORP 0 462,282 462,282 0.40% $73.35M
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
VANGUARD RUSSELL 1000 VALUE MUTUAL FUND 4,541,195 0 -4,541,195 0.00% -$407.75M
UNILEVER PLC-SPONSORED ADR DEPOSITARY RECEIPT 6,193,900 0 -6,193,900 0.00% -$372.81M
INTERPUBLIC GRP 10,207,225 0 -10,207,225 0.00% -$261.92M
JOHNSON&JOHNSON 1,179,932 0 -1,179,932 0.00% -$222.85M
ARTHUR J GALLAGHAR AND CO 819,735 0 -819,735 0.00% -$204.52M
NASDAQ INC 2,314,811 0 -2,314,811 0.00% -$197.89M
PPG INDUSTRIES INC 1,928,130 0 -1,928,130 0.00% -$188.47M
JPMORGAN CHASE and CO 591,798 0 -591,798 0.00% -$184.12M
AGILENT TECHNOLOGIES INC 1,177,224 0 -1,177,224 0.00% -$172.30M
ELEVANCE HEALTH INC 346,874 0 -346,874 0.00% -$110.03M
EQUITY RESIDENTIAL REIT 1,824,862 0 -1,824,862 0.00% -$108.47M
EXPEDITORS INTL OF WASH INC 812,805 0 -812,805 0.00% -$99.08M
HALEON PLC 21,066,131 0 -21,066,131 0.00% -$97.96M
TOTALENERGIES SE ADR 1,534,770 0 -1,534,770 0.00% -$95.52M
HALEON PLC SPONS ADR 5,762,044 0 -5,762,044 0.00% -$53.41M
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
PHILIP MORRIS INTL INC 2,696,517 2,952,020 255,503 2.88% $140.52M
MERCK & CO 3,437,112 3,596,065 158,953 2.15% $101.02M
TRUIST FINL CORP 6,700,735 7,160,061 459,326 2.00% $69.12M
UNITEDHEALTH GRP 842,027 1,101,743 259,716 1.72% $28.52M
HUBBELL INC 609,468 630,115 20,647 1.67% $21.01M
VISA INC-CLASS A 778,941 849,646 70,705 1.49% $8.03M
COGNIZANT TECH SOLUTIONS CL A 3,183,615 3,265,722 82,107 1.46% $35.96M
OTIS WORLDWIDE CORP 2,525,998 2,672,517 146,519 1.24% -$6.03M
PFIZER INC 1,854,483 8,609,782 6,755,299 1.24% $181.93M
ABBVIE INC 787,321 1,017,966 230,645 1.23% $55.35M
MASCO CORPORATION 1,847,176 3,372,207 1,525,031 1.21% $103.25M
GENERAL MILLS INC 1,864,228 4,695,527 2,831,299 1.18% $130.32M
SALESFORCE INC 669,443 894,440 224,997 1.03% $15.55M
LABCORP HOLDINGS INC 535,301 664,900 129,599 0.98% $44.59M
BROADCOM INC 457,002 485,156 28,154 0.87% -$8.19M
State Street Navigator Securities Lending Government Money Market Portfolio 20,712,735 118,642,852 97,930,117 0.64% $97.93M
FIXED INC CLEARING CORP.REPO 24,467,328 25,403,481 936,153 0.14% $936.15K
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
ALPHABET INC CL A 3,912,376 3,011,219 -901,157 5.53% -$82.33M
MICROSOFT CORP 1,423,955 1,378,011 -45,944 3.22% -$144.39M
CISCO SYSTEMS INC 7,232,470 6,637,078 -595,392 2.82% -$8.95M
BANK OF AMERICA CORPORATION 8,908,890 8,621,458 -287,432 2.49% -$17.52M
LOCKHEED MARTIN CORP 714,543 691,490 -23,053 2.38% $87.09M
NXP SEMICONDUCTORS NV 1,950,965 1,888,017 -62,948 2.32% $18.97M
S&P GLOBAL INC 851,727 749,829 -101,898 2.15% -$19.22M
LOWES COS INC 1,516,481 1,467,556 -48,925 2.13% $30.81M
QUALCOMM INC 2,738,311 2,581,300 -157,011 2.13% -$104.06M
WILLIAMS COS INC 5,514,656 4,934,064 -580,592 1.80% $12.73M
WELLTOWER INC 1,777,801 1,720,441 -57,360 1.76% $2.21M
WESTINGHOUSE AIR BRAKE TECH CORP 1,611,765 1,379,157 -232,608 1.72% -$12.11M
MICRON TECHNOLOGY INC 1,425,481 732,969 -692,512 1.65% -$14.89M
SEMPRA ENERGY 3,487,687 3,375,158 -112,529 1.60% -$26.99M
BLACKROCK INC 304,978 259,633 -45,345 1.58% -$39.72M
WELLS FARGO & CO 4,911,711 3,132,572 -1,779,139 1.54% -$143.71M
EXELON CORP 6,508,828 6,298,831 -209,997 1.53% -$18.13M
GILEAD SCIENCES INC 1,986,730 1,922,630 -64,100 1.48% $34.93M
SYSCO CORP 3,362,549 3,254,058 -108,491 1.48% $23.08M
AMERICAN INTERNATIONAL GROUP 3,190,642 3,087,698 -102,944 1.26% -$20.73M
DUKE ENERGY CORP NEW 1,949,605 1,886,705 -62,900 1.24% -$13.38M
CONOCOPHILLIPS 3,714,771 1,966,390 -1,748,381 1.11% -$125.14M
DELTA AIR LI 3,417,527 2,906,781 -510,746 1.04% -$4.57M
VERTIV HOLDINGS CO 1,106,234 1,002,601 -103,633 1.01% -$26.68M
Airbus SE 1,078,074 807,256 -270,818 1.00% -$81.00M
HCA HEALTHCARE INC 572,135 376,445 -195,690 1.00% -$79.19M
WALT DISNEY CO/T 1,674,705 1,620,672 -54,033 0.99% -$5.79M
BHP Group Ltd. SPONSORED ADS 2,901,444 2,504,149 -397,295 0.93% $6.58M
PUBLIC STORAGE 455,174 440,491 -14,683 0.66% -$5.13M
ASTRAZENECA PLC SPONS ADR 1,916,552 1,284,267 -632,285 0.65% -$38.78M
DELL TECHNOLOGIES INC CL C 2,007,580 993,403 -1,014,177 0.62% -$211.56M
APPLE INC 427,296 414,393 -12,903 0.58% -$8.00M
EQT CORPORATION 5,902,191 1,719,980 -4,182,211 0.54% -$216.94M
TJX COS INC 858,046 653,509 -204,537 0.53% -$22.34M
AMERICAN EXPRESS CO 273,749 265,508 -8,241 0.51% -$5.25M
MORGAN STANLEY 1,509,638 485,890 -1,023,748 0.48% -$158.76M
GENERAL DYNAMICS CORPORATION 561,268 249,714 -311,554 0.48% -$105.91M
EXPEDIA INC 1,323,777 282,341 -1,041,436 0.41% -$216.46M

No positions in this category.

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