HILIX
The Hartford International Value 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
HIKMA PHARMACEUTICALS PLC COMMON STOCK 0 2,079,338 2,079,338 0.34% $43.62M
JD-SW 0 2,887,193 2,887,193 0.32% $41.17M
BRENNTAG SE COMMON STOCK 0 540,831 540,831 0.26% $32.90M
WACKER CHEMIE AG 0 390,352 390,352 0.25% $31.70M
SODEXO SA COMMON STOCK 0 561,798 561,798 0.23% $28.70M
DERWENT LONDON 0 945,125 945,125 0.20% $25.03M
HAVAS NV 0 1,203,997 1,203,997 0.20% $24.88M
IPSOS SA 0 433,118 433,118 0.14% $18.37M
AND ST HD CO LTD 0 913,500 913,500 0.13% $16.44M
LG ELECTRONICS 0 211,429 211,429 0.11% $14.50M
EMBRACER GROUP A 0 1,528,963 1,528,963 0.07% $8.37M
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
HAVAS NV 12,039,978 0 -12,039,978 0.00% -$21.01M
KIRIN HOLDINGS CO LTD 1,451,579 0 -1,451,579 0.00% -$20.41M
ENDEAVOUR MINING 496,925 0 -496,925 0.00% -$19.91M
ONO PHARMA 1,241,299 0 -1,241,299 0.00% -$15.15M
THAI UNION GRP-F 37,324,050 0 -37,324,050 0.00% -$15.12M
VALTERRA PLATINU 160,353 0 -160,353 0.00% -$9.80M
TOYODA GOSEI 394,200 0 -394,200 0.00% -$9.12M
PARAMOUNT BED HO 229,567 0 -229,567 0.00% -$5.26M
MAKITA CORP 107,916 0 -107,916 0.00% -$3.26M
CHIYODA CORP 1,226,719 0 -1,226,719 0.00% -$3.25M
NIPPON CHEMI-CON 214,189 0 -214,189 0.00% -$2.16M
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
BRITISH AMERICAN TOBACCO PLC 4,595,381 4,834,389 239,008 2.30% $56.71M
UNICREDIT SPA 3,119,029 3,281,252 162,223 2.25% $54.99M
SHELL PLC 6,839,175 7,194,885 355,710 2.17% $20.17M
GSK PLC 9,432,138 9,922,710 490,572 2.02% $35.78M
TOTALENERGIES SE 3,008,296 3,164,763 156,467 1.81% $42.35M
BNP PARIBAS 1,676,184 1,854,400 178,216 1.58% $70.69M
Sanofi SA 1,765,984 2,011,286 245,302 1.49% $11.06M
ENGIE 5,872,940 6,178,396 305,456 1.45% $46.96M
Prudential Public Limited Company 10,425,810 10,968,062 542,252 1.42% $35.15M
BP PLC 25,237,436 26,550,053 1,312,617 1.32% $20.48M
ABN AMRO BANK-CV 4,185,575 4,403,268 217,693 1.28% $37.17M
ING GROEP NV 5,134,695 5,401,752 267,057 1.25% $31.09M
ORANGE 7,939,170 8,332,434 393,264 1.22% $27.90M
UBS GROUP AG 2,970,990 3,125,510 154,520 1.16% $34.20M
BRADESCO-ADR 35,266,756 35,549,198 282,442 1.13% $24.77M
T&D HOLDING INC 5,304,617 5,550,327 245,710 1.08% $23.17M
SUMITOMO MITSUI 3,787,615 3,962,895 175,280 1.04% $28.32M
BANK OF IRELAND GROUP PLC 6,099,809 6,417,064 317,255 1.02% $30.51M
ENI SPA 6,046,192 6,360,657 314,465 1.02% $18.52M
RECKITT BENCKISE 1,446,464 1,521,695 75,231 1.00% $16.21M
RESONA HOLDINGS 10,358,862 10,838,442 479,580 0.99% $26.51M
KONINKLIJKE PHIL 4,154,965 4,371,068 216,103 0.99% $11.69M
AIB GROUP PLC 10,655,969 11,210,193 554,224 0.99% $27.10M
NN GROUP 1,441,860 1,516,853 74,993 0.95% $21.56M
KASIKORNBANK-FOR 18,351,499 19,225,551 874,052 0.90% $9.05M
BASF SE COMMON STOCK 1,846,087 2,084,237 238,150 0.89% $21.91M
VOLKSWAGEN-PREF 872,168 917,532 45,364 0.87% $20.48M
NOKIA OYJ 16,384,461 17,236,629 852,168 0.87% -$743.72K
SK TELECOM 1,661,052 2,160,437 499,385 0.86% $48.06M
CHIBA BANK LTD 7,657,429 8,011,609 354,180 0.85% $33.75M
AXA 2,093,507 2,202,391 108,884 0.79% $9.59M
DAIMLER TRUCK HO 1,970,117 2,065,208 95,091 0.79% $21.03M
HONDA MOTOR CO 6,059,032 9,907,972 3,848,940 0.78% $38.41M
ERICSSON (LM) TELE CO CL B 8,657,783 9,108,080 450,297 0.78% $10.80M
BT GROUP PLC 35,623,229 37,476,016 1,852,787 0.77% $11.57M
KUBOTA CORP 6,087,535 6,369,325 281,790 0.77% $18.77M
MTN GROUP LTD 8,233,897 8,662,148 428,251 0.76% $13.93M
HEINEKEN NV 387,112 1,149,982 762,870 0.75% $64.96M
JAPAN POST INSUR 2,908,290 3,042,880 134,590 0.74% $19.03M
ROHM CO LTD 4,808,901 5,031,581 222,680 0.69% $11.10M
AGEAS 1,157,678 1,217,890 60,212 0.68% $9.89M
SAINT GOBAIN 819,974 862,621 42,647 0.67% $5.56M
COMMON STOCK 77,158,662 81,171,801 4,013,139 0.66% -$4.35M
EASYJET PLC 10,308,733 12,468,286 2,159,553 0.64% $15.95M
AMBEV SA 26,618,864 28,003,255 1,384,391 0.62% $16.13M
State Street Navigator Securities Lending Government Money Market Portfolio 9,779,894 78,113,837 68,333,943 0.61% $68.33M
SWATCH GROUP-BR 309,922 326,041 16,119 0.60% $12.16M
CARREFOUR SA 4,273,475 4,495,743 222,268 0.58% $9.27M
NUTRIEN LTD 633,765 1,060,407 426,642 0.57% $38.54M
CK HUTCHISON HOLDINGS LTD COMMON STOCK HKD1.0 8,617,194 9,016,300 399,106 0.57% $15.56M
HENKEL AG KGAA 620,703 810,689 189,986 0.56% $20.94M
OLD MUTUAL LTD 70,309,210 73,966,042 3,656,832 0.56% $16.01M
KOITO MANUFACTURING CO LTD COMMON STOCK 4,302,710 4,501,680 198,970 0.55% $6.41M
FIXED INC CLEARING CORP.REPO 33,108,126 67,961,818 34,853,692 0.53% $34.85M
ANGLO AMER PLC 1,392,155 1,464,562 72,407 0.53% $15.24M
TAKEDA PHARMACEU 1,850,752 1,936,392 85,640 0.52% $15.97M
KINGFISHER PLC COMMON STOCK 13,458,622 14,158,613 699,991 0.51% $10.67M
DCC PLC 766,088 1,022,609 256,521 0.51% $14.35M
SUBARU CORP 2,839,388 2,970,748 131,360 0.50% $3.37M
CK ASSET HOLDING 10,301,460 10,778,223 476,763 0.50% $12.18M
KT Corporation 1,512,238 1,524,064 11,826 0.47% $8.21M
LAND SECURITIES 5,891,845 6,198,285 306,440 0.43% $7.17M
ULTRAPAR PARTICIPACOES SA COMMON STOCK 10,865,342 11,430,416 565,074 0.43% $11.88M
BANK NEGARA INDO 177,383,709 203,992,129 26,608,420 0.43% $8.13M
MITSUB GAS CHEM 2,557,231 2,660,931 103,700 0.41% $5.48M
LOJAS RENNER SA 18,073,318 18,343,101 269,783 0.41% $2.18M
ARKEMA SA 539,308 845,175 305,867 0.40% $18.88M
DENTSU GROUP INC 2,489,490 2,604,780 115,290 0.40% $1.26M
NATURA 28,267,298 29,610,844 1,343,546 0.39% $2.00M
CONTINENTAL AG 595,654 626,635 30,981 0.39% $3.79M
EVONIK INDUSTRIE 2,998,654 3,154,616 155,962 0.38% -$1.39M
BRIT LAND CO PLC 8,056,734 8,475,770 419,036 0.38% $8.11M
MENGNIU DAIRY 12,237,407 22,870,384 10,632,977 0.38% $25.49M
EISAI CO LTD 1,031,191 1,695,581 664,390 0.37% $16.64M
BURBERRY GROUP PLC COMMON STOCK 2,939,352 3,092,231 152,879 0.37% -$1.13M
MONDI PLC COMMON STOCK 3,706,240 3,899,002 192,762 0.36% $4.14M
RANDSTAD NV 1,207,993 1,270,820 62,827 0.36% -$1.86M
Persol Holdings Company, Ltd. 24,807,770 25,956,037 1,148,267 0.36% $4.31M
MERCEDES-BENZ GR 624,615 657,100 32,485 0.35% $4.38M
RINNAI CORPORATION 1,660,790 1,664,710 3,920 0.34% $6.08M
ADECCO GROUP AG 1,401,571 1,474,467 72,896 0.34% $4.25M
RENAULT SA 1,090,380 1,147,092 56,712 0.34% $919.25K
YAMATO HOLDINGS 3,110,700 3,254,760 144,060 0.33% -$2.93M
KIMBERLY CLARK DE MEXICO SER A 17,265,727 18,160,795 895,068 0.32% $6.81M
WPP PLC 9,180,478 9,657,961 477,483 0.31% $5.37M
BDO UNIBANK INC 13,511,500 16,987,398 3,475,898 0.31% $8.28M
STANLEY ELECTRIC CO LTD 1,601,334 1,946,804 345,470 0.30% $6.90M
UNITE GROUP/THE 2,921,569 4,835,083 1,913,514 0.30% $15.81M
JGC HOLDINGS COR 2,576,907 2,673,557 96,650 0.29% $11.40M
CANARA BANK 22,262,191 23,292,890 1,030,699 0.29% $3.06M
AYVENS SA 2,552,402 2,561,165 8,763 0.29% $3.08M
VALEO 2,453,983 2,581,615 127,632 0.28% $2.13M
NISSAN MOTORS CO LTD 14,077,429 14,729,149 651,720 0.28% $3.72M
SUMITOMO HEAVY 1,097,888 1,148,808 50,920 0.28% $6.41M
HANKOOK TIRE & T 750,163 784,897 34,734 0.27% $10.36M
SAINSBURY PLC 7,464,512 7,852,747 388,235 0.27% $910.75K
THK CO LTD 1,104,170 1,140,930 36,760 0.27% $4.69M
NIPPON TV HDS 1,297,251 1,357,301 60,050 0.26% $1.15M
AMADA CO LTD 2,421,080 2,533,260 112,180 0.26% $3.58M
YUE YUEN IND 11,487,241 14,261,569 2,774,328 0.25% $10.74M
JAPAN AIRLINES C 1,597,922 1,671,882 73,960 0.25% $2.80M
OUTOKUMPU OYJ 4,110,326 5,362,493 1,252,167 0.24% $12.43M
DAI-ICHI LIFE HO 3,149,866 3,295,696 145,830 0.23% $6.87M
AUMOVIO SE 575,091 603,092 28,001 0.23% $4.21M
Nikon Corp. 1,974,980 2,066,490 91,510 0.20% $2.98M
MEGACABLE-CPO 7,246,628 7,376,272 129,644 0.20% $5.08M
SEGA SAMMY HOLDINGS INC 1,096,679 1,563,169 466,490 0.19% $4.23M
ALMIRALL SA 1,522,998 1,557,180 34,182 0.18% $1.39M
BABA-W 999,682 1,045,952 46,270 0.17% $979.17K
ULKER 6,656,383 7,004,386 348,003 0.17% $4.78M
TAIHEIYO CEMENT 762,481 775,761 13,280 0.17% $630.16K
INDOFOOD CBP SUK 32,343,911 40,735,748 8,391,837 0.15% $2.43M
AICA KOGYO CO LTD COMMON STOCK 575,420 840,920 265,500 0.15% $5.54M
GENOMMA LAB-B 19,440,378 19,553,528 113,150 0.15% -$293.36K
PROXIMUS 1,935,659 1,953,037 17,378 0.14% $1.19M
NORSK HYDRO ASA 1,322,228 1,386,606 64,378 0.10% $3.37M
Hino Motors Ltd. 3,979,462 4,166,152 186,690 0.09% $2.17M
ISUZU MOTORS 665,534 693,754 28,220 0.09% $3.01M
COCA-COLA ICECEK 5,772,536 6,053,598 281,062 0.08% $2.98M
KT CORP-SP ADR DEPOSITARY RECEIPT 119,551 336,151 216,600 0.06% $4.81M
WORLDCLIMATE PARI MAR26 229 832 603 0.01% $2.10M
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
SOC GENERALE SA 3,376,452 3,220,688 -155,764 2.22% $68.09M
STANDARD CHARTER 10,777,922 10,344,329 -433,593 2.08% $43.43M
SHINHAN FINANCIA 2,556,495 2,409,602 -146,893 1.11% $9.52M
ERSTE GROUP BANK 1,409,534 930,327 -479,207 0.95% -$25.06M
BPER BANCA SPA 8,266,041 7,708,792 -557,249 0.85% $9.52M
MITSUBISHI ESTAT 4,295,097 3,912,037 -383,060 0.78% $8.68M
BIDU-SW 5,349,435 5,041,399 -308,036 0.76% $15.66M
Fresenius SE & Company KGaA 1,965,153 1,711,359 -253,794 0.75% -$17.35M
SKF AB- B SHARES 3,324,162 3,218,184 -105,978 0.66% -$1.06M
TELEF BRASIL 12,346,009 11,054,286 -1,291,723 0.62% $4.99M
KB FINANCIAL GRO 919,483 807,430 -112,053 0.59% $514.09K
HYUNDAI MOBIS 320,915 229,201 -91,714 0.56% $649.08K
BARRICK MINING CORP 2,677,091 1,502,209 -1,174,882 0.54% -$19.21M
ASMPT LTD 5,175,502 3,314,806 -1,860,696 0.35% -$10.27M
DOWA HOLDINGS CO 779,120 681,610 -97,510 0.32% $12.12M
TSURUHA HOLDINGS INC COMMON STOCK 3,490,995 2,500,765 -990,230 0.31% -$20.79M
WH GROUP LTD 41,452,490 30,423,049 -11,029,441 0.28% -$3.97M
HORIBA LTD 457,791 270,321 -187,470 0.25% -$10.47M
Alfresa Holdings Corporation 1,685,956 1,684,706 -1,250 0.21% $3.31M
ORANGE POLSKA SA 8,817,171 8,023,922 -793,249 0.20% $4.46M
SUMITOMO RUBBER 2,501,787 1,601,527 -900,260 0.20% -$3.49M
TOKAI RIKA 1,123,767 884,717 -239,050 0.14% -$2.26M
USHIO INC 1,195,127 992,747 -202,380 0.14% -$1.97M
VICAT 240,089 191,022 -49,067 0.14% -$298.91K
EMBOTELLADORA ANDINA SA 1,091,273 515,607 -575,666 0.13% -$13.33M
APERAM 239,191 238,296 -895 0.08% $1.92M
ALPS ALPINE CO L 1,085,720 542,860 -542,860 0.06% -$6.57M
KASIKORNBAN-NVDR 701,593 700,618 -975 0.03% $140.40K
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
TATE & LYLE 6,250,511 6,250,511 0 0.25% $605.17K
CHINA REINSURA-H 141,364,150 141,364,150 0 0.25% $3.15M
TOYOTA BOSHOKU 1,868,190 1,868,190 0 0.25% $2.96M
TV ASAHI HOLDING 1,179,267 1,179,267 0 0.21% $3.28M
OSG CORP COMMON STOCK 1,601,720 1,601,720 0 0.21% $3.83M
MARUICHI STL TUB 2,699,987 2,699,987 0 0.21% $3.92M
CIA CERVECERIAS UNIDAS SA 1,756,965 1,756,965 0 0.20% $3.11M
ALTEN 257,906 257,906 0 0.20% $4.04M
M DIAS BRANCO SA 5,144,869 5,144,869 0 0.19% -$3.77M
NIPPON SHOKUBAI 1,668,818 1,668,818 0 0.19% $4.70M
SHANDONG WEIG-H 36,826,789 36,826,789 0 0.19% -$2.20M
OKUMA CORP 931,770 931,770 0 0.18% $2.38M
TRAVIS PERKINS PLC COMMON STOCK 2,593,200 2,593,200 0 0.17% $757.29K
HAKUHODO DY HOLDINGS INC 2,630,540 2,630,540 0 0.15% $614.55K
SERIA CO LTD 825,740 825,740 0 0.15% $3.90M
NETCARE LTD COMMON STOCK 19,909,504 19,909,504 0 0.15% $2.35M
BANRISUL-PREF B 5,524,100 5,524,100 0 0.15% $4.80M
TONG HSING 4,153,601 4,153,601 0 0.14% $1.52M
TELEVISION FRANC 1,903,029 1,903,029 0 0.14% $983.44K
RTL GROUP 419,866 419,866 0 0.14% $2.09M
IM FINANCIAL GRO 1,690,024 1,690,024 0 0.14% $2.49M
SHIGA BANK LTD 350,318 350,318 0 0.14% $3.77M
TS Tech Company, Ltd. 1,434,245 1,434,245 0 0.14% $621.50K
TOCHIGI BANK LTD 3,231,495 3,231,495 0 0.14% $6.01M
VEON LTD SPON ADR 318,186 318,186 0 0.14% $2.07M
BREMBO SPA 1,443,338 1,443,338 0 0.14% $1.80M
OPTORUN CO LTD COMMON STOCK 1,264,832 1,264,832 0 0.13% $2.77M
COWAY CO LTD 285,771 285,771 0 0.13% -$1.33M
SEB SA 290,733 290,733 0 0.13% $312.40K
NACHI-FUJIKOSHI 507,160 507,160 0 0.13% $3.08M
DUERR AG COMMON STOCK 601,644 601,644 0 0.13% $2.00M
Nichicon Corporation 1,442,610 1,442,610 0 0.12% $1.31M
KH NEOCHEM CO LT 916,059 916,059 0 0.12% -$1.31M
SHIP HEALTHCARE 900,690 900,690 0 0.12% $1.37M
FUCHS SE (Preference) 338,429 338,429 0 0.11% -$520.39K
ASTRAL FOODS LTD 832,881 832,881 0 0.11% $3.40M
DAH SING 2,924,512 2,924,512 0 0.11% $619.68K
DIP CORP 1,063,540 1,063,540 0 0.11% -$480.91K
TADANO 1,797,140 1,797,140 0 0.10% $800.09K
ASKUL CORP 1,418,208 1,418,208 0 0.10% -$368.53K
MAXELL LTD 862,677 862,677 0 0.10% -$94.81K
SPIN MASTER -SVC 896,257 896,257 0 0.10% -$1.06M
M6-METROPOLE TEL 842,902 842,902 0 0.09% $445.10K
TSUBAKIMOTO CHAI 778,980 778,980 0 0.09% $1.05M
SEMEN INDONESIA 79,043,446 79,043,446 0 0.09% -$1.51M
IMERYS SA 369,897 369,897 0 0.09% $2.42M
BML INC 442,790 442,790 0 0.09% $715.93K
RAIZEN SA - PN 55,496,300 55,496,300 0 0.09% $1.06M
TRANSCOSMOS INC 441,020 441,020 0 0.08% $304.18K
PAGEGROUP PLC 3,742,794 3,742,794 0 0.08% -$1.04M
AMS-OSRAM AG 976,146 976,146 0 0.08% -$3.35M
TACHI-S 731,709 731,709 0 0.08% $698.99K
CREST NICHOLS 4,366,796 4,366,796 0 0.07% -$393.61K
FERREXPO PLC 8,654,383 8,654,383 0 0.07% $2.49M
PROSEGUR 2,695,836 2,695,836 0 0.07% $172.86K
HAYS PLC 13,499,226 13,499,226 0 0.07% -$1.70M
BODYCOTE PLC 819,532 819,532 0 0.07% $1.72M
CHINA BLUECHEM-H 23,342,233 23,342,233 0 0.06% $902.49K
AVEX INC 983,070 983,070 0 0.06% -$96.17K
QUADIENT SA 369,835 369,835 0 0.06% $633.38K
FUGRO NV 446,914 446,914 0 0.05% $1.61M
XEBIO HOLDINGS C 844,035 844,035 0 0.05% -$89.10K
COSEL CO LTD 771,719 771,719 0 0.05% -$329.86K
SECURITY BANK 5,145,219 5,145,219 0 0.04% -$400.75K
STHREE PLC 2,092,436 2,092,436 0 0.04% $1.16M
PAX GLOBAL TECHN 7,579,360 7,579,360 0 0.04% -$415.73K
KISSEI PHARMACEUTICAL CO LTD 155,540 155,540 0 0.04% $570.98K
TONGYANG LIFE IN 810,594 810,594 0 0.03% $21.70K
VANQUIS BANKING 2,267,409 2,267,409 0 0.03% $296.39K
PP LONDON SUMATR 48,406,657 48,406,657 0 0.03% -$740.70K
NETUREN CO LTD 171,556 171,556 0 0.01% $140.00K
MIRAIAL CO LTD 176,930 176,930 0 0.01% $87.71K
ZUMTOBEL GROUP AG 220,513 220,513 0 0.01% -$13.31K
Public Joint Stock Company Mobile Telesystems 709,487 709,487 0 0.00% $0
SBERBANK 1,765,160 1,765,160 0 0.00% $0
Public Joint-Stock Company Lukoil Oil Company 48,850 48,850 0 0.00% $0
Gazprom PJSC 662,901 662,901 0 0.00% $0
VK IPJSC /RUB/ 0.00000000 894,717 894,717 0 0.00% $0
SURGUTNEFTEG-ADR 1,792,255 1,792,255 0 0.00% $0

Machine-readable: JSON · Markdown. Programmatic access via the agent surface.