HOOSX
Hartford Schroders US Small Cap Opportunities Fund
HARTFORD MUTUAL FUNDS II, 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
NOVANTA INC 0 24,467 24,467 1.89% $3.29M
SJW GROUP 0 25,511 25,511 0.76% $1.33M
CASELLA WASTE SYS INC CL A 0 10,534 10,534 0.61% $1.06M
ACV AUCTIONS INC CL A 0 123,433 123,433 0.55% $964.01K
BREAD FINANCIAL HOLDINGS 0 11,923 11,923 0.50% $864.89K
YORK SPACE SYSTE 0 25,377 25,377 0.49% $861.55K
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
EVOLUS INC 149,356 0 -149,356 0.00% -$964.84K
RIDGEPOST CAPITAL INC 91,105 0 -91,105 0.00% -$925.63K
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
FIRST BANCORP/NC 62,709 64,213 1,504 2.13% $675.96K
MCGRATH RENTCORP 27,408 28,872 1,464 1.85% $280.00K
PERELLA WEINBERG PARTNERS 100,354 135,940 35,586 1.74% $1.16M
HELIOS TECHNOLOGIES INC 40,189 42,195 2,006 1.57% $508.53K
US PHYSICAL THERAPY INC 23,943 31,776 7,833 1.53% $599.49K
MODINE MFG CO 7,569 14,117 6,548 1.49% $1.45M
ESAB CORP 10,201 19,984 9,783 1.39% $1.23M
CHURCHILL DOWNS INC 23,111 23,387 276 1.32% $7.73K
ASGN INC 36,614 43,641 7,027 1.30% $634.42K
FB FINANCIAL CORP 32,208 37,533 5,325 1.24% $419.72K
UNITED COMMUNITY BANKS GA 49,372 54,517 5,145 1.08% $435.36K
COMMVAULT SYSTEMS INC 9,023 18,010 8,987 0.88% $287.27K
CCC INTELLIGENT SOLUTIONS HOLD CL A 163,666 202,860 39,194 0.88% $110.51K
MALIBU BOATS INC CL A 39,614 45,412 5,798 0.85% $371.85K
WILLSCOT MOBILE MINI HOLDINGS CORP 51,801 69,778 17,977 0.80% $270.98K
ELF BEAUTY INC 11,897 14,837 2,940 0.72% -$192.10K
KORNIT DIGITAL LTD 89,632 94,381 4,749 0.70% $12.20K
HAWKINS INC 8,815 9,290 475 0.69% -$40.39K
PHREESIA INC 80,736 83,705 2,969 0.64% -$703.70K
Bitdeer Technologies Group, Class A 35,571 48,188 12,617 0.36% -$161.30K
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
ICU MEDICAL INC 37,915 32,664 -5,251 2.80% $343.12K
VIAVI SOLUTIONS INC 307,769 189,596 -118,173 2.66% -$809.99K
MOOG INC-CLASS A 14,031 12,674 -1,357 2.22% $995.76K
HEXCEL CORPORATION 54,056 43,105 -10,951 2.04% -$290.07K
MACOM TECHNOLOGY SOLUTIONS HOLDINGS INC 24,524 13,937 -10,587 1.75% -$579.70K
SEACOAST BANKING CORP FLORIDA 92,906 87,233 -5,673 1.67% $102.02K
BALCHEM CORP 18,069 16,965 -1,104 1.65% $115.33K
PATRICK INDUSTRIES INC 24,132 22,657 -1,475 1.64% $339.98K
ESCO TECHNOLOGIES INC 13,591 12,433 -1,158 1.62% -$145.98K
QCR HOLDINGS INC 34,861 30,782 -4,079 1.59% $185.07K
SEMTECH CORP 47,264 34,625 -12,639 1.58% -$445.99K
MIRION TECHNOLOGIES INC-A 117,713 110,525 -7,188 1.57% -$711.79K
ENPRO INDUSTRIES INC 11,955 11,428 -527 1.56% -$44.90K
V2X INC 40,237 37,779 -2,458 1.49% $303.20K
MATERION CORP 19,862 18,649 -1,213 1.48% $302.00K
LIVERAMP HOLDINGS INC 124,778 105,710 -19,068 1.47% -$837.39K
CAVCO INDUSTRIES INC 5,903 4,981 -922 1.40% -$676.66K
MSA SAFETY INC 14,591 13,700 -891 1.39% $135.73K
CIENA CORP 18,976 9,494 -9,482 1.37% -$1.21M
TERRENO REALTY CORP 39,247 38,724 -523 1.36% $140.89K
PRIMORIS SVCS CORP 20,818 16,026 -4,792 1.36% -$570.31K
HAYWARD HOLDINGS INC 162,007 145,188 -16,819 1.34% -$405.92K
SOUTHSTATE BANK CORP 24,940 21,751 -3,189 1.27% $14.85K
LUMENTUM HOLDINGS INC 19,670 5,646 -14,024 1.27% -$1.75M
SIMPSON MFG 13,768 12,276 -1,492 1.24% -$259.90K
CHEFS WAREHOUSE INC 39,577 34,499 -5,078 1.24% -$165.06K
REPLIGEN CORP 17,830 14,266 -3,564 1.22% -$526.83K
NEOGENOMICS INC 187,597 176,141 -11,456 1.22% $291.44K
HOULIHAN LOKEY I 14,338 12,506 -1,832 1.21% -$462.64K
AZENTA INC 56,743 53,278 -3,465 1.19% $357.81K
KIRBY CORP 19,617 17,602 -2,015 1.19% $41.08K
PERMIAN RESOURCES CORP CL A 145,495 126,180 -19,315 1.17% $207.87K
UL SOLUTIONS INC CL A 30,331 27,038 -3,293 1.09% -$463.00K
AXIS CAPITAL HOLDINGS LTD 19,420 18,234 -1,186 1.08% $62.51K
REINSURANCE GROUP OF AMERICA 9,816 9,216 -600 1.07% $77.52K
TRICO BANCSHARES 39,921 37,483 -2,438 1.07% $101.70K
BOX INC- CLASS A 80,851 71,335 -9,516 1.04% -$786.17K
FIRST BANCORP PUERTO RICO 132,921 81,662 -51,259 1.03% -$784.27K
PJT PARTNERS INC 10,920 10,253 -667 1.02% $14.76K
IDACORP INC 18,564 13,146 -5,418 1.00% -$649.47K
KESTRA MEDICAL TECHNOLOGIES INC 70,329 66,034 -4,295 0.93% -$296.55K
SMARTSTOP SELF STORAGE REIT INC 54,311 50,995 -3,316 0.92% -$262.30K
CHESAPEAKE UTILITIES CORP 17,921 12,438 -5,483 0.92% -$680.46K
GROUP 1 AUTOMOTIVE INC 4,726 4,437 -289 0.90% -$306.92K
CACTUS INC CL A 29,487 27,686 -1,801 0.89% $254.34K
GULFPORT ENERGY CORP 8,100 7,606 -494 0.89% $46.24K
INTERFACE INC 50,895 47,787 -3,108 0.86% $236.57K
FLOWCO HOLDINGS INC 70,875 66,547 -4,328 0.80% $242.66K
ELEMENT SOLUTIONS INC 108,586 47,556 -61,030 0.79% -$1.52M
VERRA MOBILITY CORP 75,073 70,488 -4,585 0.78% -$382.03K
MCGRAW HILL INC 94,727 91,585 -3,142 0.77% $293.73K
State Street Navigator Securities Lending Government Money Market Portfolio 3,308,819 1,262,510 -2,046,309 0.72% -$2.05M
OXFORD INDUSTRIES 35,621 33,446 -2,175 0.71% -$80.15K
CASTLE BIOSCIENCES INC 52,582 31,224 -21,358 0.70% -$110.93K
DOUGLAS EMMETT INC REIT 113,539 106,606 -6,933 0.64% -$343.44K
IRHYTHM TECHNOLOGIES INC 7,937 6,993 -944 0.62% -$406.11K
BOWHEAD SPECIALTY HOLDINGS INC 43,368 40,719 -2,649 0.57% -$39.04K
IRIDIUM COMMUNICATIONS INC 52,836 49,609 -3,227 0.57% -$23.60K
SONOS INC 84,054 52,924 -31,130 0.43% -$683.75K

No positions in this category.

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