HFSSX
Hartford Schroders International Contrarian Value Fund
HARTFORD MUTUAL FUNDS II, INC

Portfolio concentration

As of January 31, 2026 · N-PORT
Holdings
54
Top-10 weight
26.90%
Effective holdings ?
50
Crowding ?
343.0

Holdings

As of January 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 GSK PLC 221,048 $5.72M 3.23%
2 STANDARD CHARTER 195,520 $5.00M 2.83%
3 Vodafone Group Public Limited Company VODPF 3,254,125 $4.79M 2.71%
4 ROCHE HOLDINGS AG (GENUSSCHEINE) 10,138 $4.61M 2.60%
5 SOC GENERALE SA 52,161 $4.57M 2.58%
6 Sanofi SA 44,895 $4.23M 2.39%
7 ANGLO AMER PLC 90,328 $4.19M 2.37%
8 ABN AMRO BANK-CV 110,604 $4.08M 2.30%
9 NOVO NORDISK-B 68,537 $4.07M 2.30%
10 SWATCH GROUP-BR 17,199 $4.06M 2.29%
11 AMBEV SA 1,378,776 $3.89M 2.20%
12 HENKEL AG KGAA HEN3 43,736 $3.84M 2.17%
13 CONTINENTAL AG 47,534 $3.74M 2.11%
14 BARCLAYS PLC 548,283 $3.66M 2.07%
15 PANASONIC HOLDIN 264,600 $3.63M 2.05%
16 Prudential Public Limited Company PRU 218,520 $3.59M 2.03%
17 OMV AG 60,057 $3.57M 2.02%
18 BRIT LAND CO PLC 611,944 $3.49M 1.97%
19 NIPPON TV HDS 145,000 $3.48M 1.97%
20 BRITISH AMERICAN TOBACCO PLC 56,224 $3.40M 1.92%
21 SHINHAN FINANCIA 56,058 $3.28M 1.85%
22 ROHM CO LTD 185,900 $3.26M 1.84%
23 BNP PARIBAS 30,008 $3.24M 1.83%
24 KB FINANCIAL GRO 33,184 $3.11M 1.76%
25 IMPERIAL BRANDS 72,428 $3.05M 1.72%
26 PERNOD RICARD SA 33,612 $3.01M 1.70%
27 Ternium SA 71,736 $3.00M 1.70%
28 KONINKLIJKE AHOL 76,335 $2.98M 1.69%
29 DENTSU GROUP INC 150,700 $2.93M 1.65%
30 BT GROUP PLC 1,102,845 $2.90M 1.64%
31 HON HAI 418,000 $2.89M 1.63%
32 KOITO MANUFACTURING CO LTD COMMON STOCK 7276 183,100 $2.87M 1.62%
33 Bridgestone Corporation 5108 123,800 $2.79M 1.57%
34 MEDIPAL HD 147,100 $2.67M 1.51%
35 RIO TINTO PLC 29,031 $2.65M 1.50%
36 REPSOL SA 132,419 $2.61M 1.47%
37 KERING 8,331 $2.60M 1.47%
38 CONCH CEMENT-H 814,000 $2.58M 1.46%
39 KOSE HOLDINGS CO 71,200 $2.54M 1.44%
40 BASF SE COMMON STOCK BAS 46,557 $2.52M 1.43%
41 ENI SPA 122,933 $2.51M 1.42%
42 CARREFOUR SA 152,129 $2.49M 1.41%
43 AXA 54,640 $2.49M 1.41%
44 YAMAHA CORP 340,000 $2.47M 1.40%
45 RANDSTAD NV 68,418 $2.45M 1.38%
46 HSBC HOLDINGS PL 135,281 $2.39M 1.35%
47 VOLKSWAGEN-PREF 19,567 $2.37M 1.34%
48 DEUTSCHE LUFT-RG 225,255 $2.32M 1.31%
49 TESCO PLC 377,671 $2.20M 1.24%
50 WPP PLC 513,972 $2.13M 1.20%
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