HSMRX
HARTFORD SMALL CAP VALUE FUND
HARTFORD MUTUAL FUNDS, INC

Portfolio concentration

As of January 31, 2026 · N-PORT
Holdings
65
Top-10 weight
23.48%
Effective holdings ?
57
Crowding ?
326.2

Holdings

As of January 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 iShares Trust RUSSELL 2000 VALUE ETF IWN 50,114 $9.72M 4.19%
2 State Street Navigator Securities Lending Government Money Market Portfolio 7,775,448 $7.78M 3.36%
3 PHINIA INC 69,889 $4.97M 2.15%
4 MILLERKNOLL INC 245,309 $4.93M 2.13%
5 KENNAMETAL INC 142,207 $4.89M 2.11%
6 STEVEN MADDEN LTD 110,835 $4.86M 2.10%
7 OMNICELL INC 99,100 $4.81M 2.07%
8 LEGGETT & PLATT 393,626 $4.59M 1.98%
9 QUAKER HOUGHTON 29,544 $4.54M 1.96%
10 SELECT WATER SOLUTIONS INC CL A 374,007 $4.52M 1.95%
11 HOME BANCSHARES INC 155,900 $4.51M 1.94%
12 RENASANT CORP 118,801 $4.48M 1.93%
13 ATLANTIC UNION B 113,380 $4.40M 1.90%
14 SPIRE INC 51,464 $4.35M 1.88%
15 FIRST INTST BANCSYST INC CL A 120,290 $4.27M 1.84%
16 BREAD FINANCIAL HOLDINGS 58,771 $4.26M 1.84%
17 ADEIA INC 231,628 $4.19M 1.81%
18 RADIAN GROUP INC 125,861 $4.14M 1.79%
19 CHOICE HOTELS INTL INC 39,757 $4.09M 1.76%
20 CVB FINANCIAL CORP 206,707 $4.07M 1.76%
21 MALIBU BOATS INC CL A 125,151 $4.07M 1.76%
22 SIMMONS FIRST -A 198,362 $4.03M 1.74%
23 ICHOR HOLDINGS LTD 130,472 $3.96M 1.71%
24 KINETIK HOLDINGS INC 96,736 $3.96M 1.71%
25 FNB CORP PA 225,327 $3.95M 1.71%
26 PEBBLEBROOK HOTEL TRUST 341,115 $3.90M 1.68%
27 CARTERS INC 112,352 $3.89M 1.68%
28 PROG HOLDINGS INC 118,134 $3.83M 1.65%
29 EZCORP INC CL A NON VTG 178,485 $3.83M 1.65%
30 FIRST HAWAIIAN INC 143,184 $3.80M 1.64%
31 ENERGIZER HOLDIN 171,733 $3.75M 1.62%
32 COVISTA INC 36,068 $3.73M 1.61%
33 KAISER ALUMINUM 30,307 $3.72M 1.60%
34 NATIONAL STORAGE AFFILIATES TRUST 115,822 $3.68M 1.59%
35 NCR VOYIX CORP 365,300 $3.62M 1.56%
36 Silicon Motion Technology Corp. SPONSORED ADR SIMO 30,353 $3.61M 1.56%
37 AIR LEASE CORP CL A 55,284 $3.57M 1.54%
38 BANK OZK 75,040 $3.57M 1.54%
39 UNITIL CORP 70,084 $3.57M 1.54%
40 MSC INDUSTRIAL DIRECT CO CL A 41,968 $3.54M 1.53%
41 STURM RUGER & CO 94,649 $3.47M 1.50%
42 PIEDMONT REALTY TRUST INC 406,718 $3.42M 1.48%
43 UGI CORP NEW 84,956 $3.41M 1.47%
44 FEDERAL AGRI MTG NON VTG CL C 19,902 $3.37M 1.45%
45 KEMPER CORP 85,486 $3.37M 1.45%
46 SONOCO PRODUCTS CO 69,711 $3.35M 1.44%
47 LOOMIS AB COMMON STOCK LOOMIS 77,479 $3.22M 1.39%
48 CORECIVIC INC 159,525 $2.96M 1.28%
49 MONARCH CASINO and RESORT INC 31,716 $2.90M 1.25%
50 TRINET GROUP INC 46,761 $2.86M 1.24%
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