NPORT-EX 2 NPORT_SHRA_80544051_0722.htm
The Hartford Growth Opportunities Fund
Schedule of Investments
July 31, 2022  (Unaudited) 

Shares or Principal Amount   Market Value†
COMMON STOCKS - 98.9%
  Automobiles & Components - 1.3%
   753,297 Thor Industries, Inc. $    63,525,536
  Capital Goods - 2.7%
 1,598,276 Johnson Controls International plc     86,163,059
   308,133 Middleby Corp.*    44,583,764
      130,746,823
  Commercial & Professional Services - 1.8%
1,205,472 CoStar Group, Inc.* 87,505,212
  Consumer Durables & Apparel - 4.2%
848,905 Lennar Corp. Class A 72,156,925
412,955 Lululemon Athletica, Inc.* 128,226,657
      200,383,582
  Consumer Services - 4.1%
929,692 Airbnb, Inc. Class A* 103,177,218
107,351 Domino's Pizza, Inc. 42,093,401
3,550,659 DraftKings, Inc. Class A*(1) 48,750,548
      194,021,167
  Diversified Financials - 2.3%
215,425 CME Group, Inc. 42,972,979
945,765 Tradeweb Markets, Inc. Class A 66,695,348
      109,668,327
  Energy - 1.6%
382,659 EOG Resources, Inc. 42,559,334
133,177 Pioneer Natural Resources Co. 31,556,290
      74,115,624
  Food, Beverage & Tobacco - 1.0%
465,955 Monster Beverage Corp.* 46,418,437
  Health Care Equipment & Services - 9.1%
1,183,751 DexCom, Inc.* 97,162,282
152,060 Humana, Inc. 73,292,920
298,415 Insulet Corp.* 73,947,237
379,885 Intuitive Surgical, Inc.* 87,438,131
469,571 Veeva Systems, Inc. Class A* 104,986,684
      436,827,254
  Materials - 2.6%
344,002 Albemarle Corp. 84,043,129
480,214 Nutrien Ltd. 41,135,131
      125,178,260
  Media & Entertainment - 17.0%
2,615,126 Alphabet, Inc. Class A* 304,191,457
559,853 Match Group, Inc.* 41,042,823
266,937 Meta Platforms, Inc. Class A* 42,469,677
465,683 Netflix, Inc.* 104,732,107
575,949 Roku, Inc.* 37,736,178
3,571,052 Snap, Inc. Class A* 35,281,994
446,565 Spotify Technology S.A.* 50,470,776
329,472 Take-Two Interactive Software, Inc.* 43,730,819
987,754 Walt Disney Co.* 104,800,699
1,314,466 ZoomInfo Technologies, Inc. Class A* 49,805,117
      814,261,647
  Pharmaceuticals, Biotechnology & Life Sciences - 6.2%
369,188 Agilent Technologies, Inc. 49,508,111
298,623 Danaher Corp. 87,039,646
304,697 Eli Lilly & Co. 100,455,554
1,328,221 Exact Sciences Corp.* 59,902,767
      296,906,078
  Real Estate - 1.1%
250,927 AvalonBay Communities, Inc. REIT 53,683,322
Shares or Principal Amount   Market Value†
COMMON STOCKS - 98.9% - (continued)
  Retailing - 11.1%
 3,074,932 Amazon.com, Inc.* $   414,962,074
   483,099 Etsy, Inc.*     50,107,028
   171,581 Tory Burch LLC*(2)(3)(4)      7,031,388
   145,822 Ulta Beauty, Inc.*    56,711,634
      528,812,124
  Semiconductors & Semiconductor Equipment - 6.4%
1,104,092 NVIDIA Corp. 200,536,230
181,391 SolarEdge Technologies, Inc.* 65,324,341
341,227 Universal Display Corp. 39,398,069
      305,258,640
  Software & Services - 23.0%
948,895 Block, Inc. Class A* 72,172,954
676,577 DocuSign, Inc. Class A* 43,287,396
472,564 Five9, Inc.* 51,093,620
602,335 Mastercard, Inc. Class A 213,100,100
854,822 Microsoft Corp. 239,982,728
193,112 MongoDB, Inc. Class A* 60,341,707
708,194 Okta, Inc.* 69,721,699
215,460 Palo Alto Networks, Inc.* 107,536,086
306,986 Paycom Software, Inc.* 101,455,803
915,038 Workday, Inc. Class A* 141,922,394
      1,100,614,487
  Technology Hardware & Equipment - 3.4%
1,369,410 Arista Networks, Inc.* 159,714,288
  Total Common Stocks
(cost $5,130,605,698)
  $ 4,727,640,808
CONVERTIBLE PREFERRED STOCKS - 0.8%
  Commercial & Professional Services - 0.4%
470,535 Rubicon Global Holdings LLC Series C*(2)(3)(4) $ 20,096,079
  Software & Services - 0.4%
5,668,755 Essence Group Holdings Corp. Series 3*(2)(3)(4) 12,754,699
743,470 Lookout, Inc. Series F*(2)(3)(4) 6,029,542
      18,784,241
  Total Convertible Preferred Stocks
(cost $26,848,848)
  $ 38,880,320
  Total Long-Term Investments
(Cost $5,157,454,546)
  $ 4,766,521,128
SHORT-TERM INVESTMENTS - 0.6%
  Repurchase Agreements - 0.3%
$   14,181,518 Fixed Income Clearing Corp. Repurchase Agreement dated 07/29/2022 at 2.230%, due on 08/01/2022 with a maturity value of $14,184,153; collateralized by U.S. Treasury Note at 0.625%, maturing 07/15/2032, with a market value of $14,465,192 $ 14,181,518
  Securities Lending Collateral - 0.3%
8,428,452 Goldman Sachs Financial Square Funds, Government Fund, Institutional Class, 2.06%(5) 8,428,452
 

1

The Hartford Growth Opportunities Fund
Schedule of Investments – (continued)
July 31, 2022  (Unaudited) 

Shares or Principal Amount   Market Value†
SHORT-TERM INVESTMENTS - 0.6% - (continued)
  Securities Lending Collateral - 0.3% - (continued)
 5,966,880 HSBC US Government Money Market Fund, 2.18%(5) $     5,966,880
 2,736,437 Invesco Government & Agency Portfolio, Institutional Class, 2.12%(5)      2,736,437
      17,131,769
  Total Short-Term Investments
(cost $31,313,287)
$ 31,313,287
  Total Investments
(cost $5,188,767,833)
100.3% $ 4,797,834,415
  Other Assets and Liabilities (0.3)% (15,099,126)
  Total Net Assets 100.0% $ 4,782,735,289
Note: Percentage of investments as shown is the ratio of the total market value to total net assets.
  Prices of foreign equities that are principally traded on certain foreign markets will generally be adjusted daily pursuant to a fair value pricing service approved by the Board of Directors in order to reflect an adjustment for factors occurring after the close of certain foreign markets but before the close of the New York Stock Exchange.
  Equity industry classifications used in this report are the Global Industry Classification Standard, which was developed by and is the exclusive property and service mark of MSCI, Inc. and Standard & Poor’s.
  For Fund compliance purposes, the Fund may not use the same classification system. These classifications are used for financial reporting purposes.
  See “Glossary” for abbreviation descriptions.
    
* Non-income producing.
(1) Represents entire or partial securities on loan.
(2) These securities are valued in good faith at fair value as determined under policies and procedures established by and under the supervision of the Board of Directors. At July 31, 2022, the aggregate fair value of these securities are $45,911,708, which represented 1.0% of total net assets. This amount excludes securities that are principally traded in certain foreign markets and whose prices are adjusted pursuant to a third party pricing service methodology approved by the Board of Directors.
(3) Investment in securities not registered under the Securities Act of 1933 (excluding securities acquired pursuant to Rule 144A and Regulation S). At the end of the period, the value of such restricted securities amounted to $45,911,708 or 1.0% of net assets.
    
Period
Acquired
  Security Name   Shares/
Par Value
  Total Cost   Market Value
05/2014   Essence Group Holdings Corp. Series 3 Convertible Preferred   5,668,755   $ 8,964,002   $ 12,754,699
07/2014   Lookout, Inc. Series F Convertible Preferred   743,470   8,492,732   6,029,542
09/2015   Rubicon Global Holdings LLC Series C Convertible Preferred   470,535   9,392,114   20,096,079
11/2013   Tory Burch LLC   171,581   13,447,917   7,031,388
            $ 40,296,765   $ 45,911,708
    
(4) Investment valued using significant unobservable inputs.
(5) Current yield as of period end.
For information regarding the Fund’s significant accounting policies, please refer to the Fund’s most recent shareholder report.
 

2

The Hartford Growth Opportunities Fund
Schedule of Investments – (continued)
July 31, 2022  (Unaudited) 

Fair Value Summary
The following is a summary of the fair valuations according to the inputs used as of July 31, 2022 in valuing the Fund’s investments.
Description   Total   Level 1   Level 2   Level 3(1)
Assets                
Common Stocks                
Automobiles & Components   $ 63,525,536   $ 63,525,536   $ —   $ —
Capital Goods   130,746,823   130,746,823    
Commercial & Professional Services   87,505,212   87,505,212    
Consumer Durables & Apparel   200,383,582   200,383,582    
Consumer Services   194,021,167   194,021,167    
Diversified Financials   109,668,327   109,668,327    
Energy   74,115,624   74,115,624    
Food, Beverage & Tobacco   46,418,437   46,418,437    
Health Care Equipment & Services   436,827,254   436,827,254    
Materials   125,178,260   125,178,260    
Media & Entertainment   814,261,647   814,261,647    
Pharmaceuticals, Biotechnology & Life Sciences   296,906,078   296,906,078    
Real Estate   53,683,322   53,683,322    
Retailing   528,812,124   521,780,736     7,031,388
Semiconductors & Semiconductor Equipment   305,258,640   305,258,640    
Software & Services   1,100,614,487   1,100,614,487    
Technology Hardware & Equipment   159,714,288   159,714,288    
Convertible Preferred Stocks   38,880,320       38,880,320
Short-Term Investments   31,313,287   17,131,769   14,181,518  
Total   $ 4,797,834,415   $ 4,737,741,189   $ 14,181,518   $ 45,911,708
    
(1) For the period ended July 31, 2022, there were no transfers in and out of Level 3.
The following is a rollforward of the Fund’s investments that were valued using unobservable inputs (Level 3) for the period ending July 31, 2022:
  Common Stocks   Convertible Preferred Stocks   Total
Beginning balance $ 9,074,918   $ 29,035,365   $ 38,110,283
Net change in unrealized appreciation/(depreciation) (2,043,530)   9,844,955   7,801,425
Ending balance $ 7,031,388   $ 38,880,320   $ 45,911,708
The change in net unrealized appreciation/depreciation relating to the Level 3 investments held at July 31, 2022 was $7,801,425.

3

Hartford Quality Value Fund
Schedule of Investments
July 31, 2022  (Unaudited) 

Shares or Principal Amount   Market Value†
COMMON STOCKS - 98.4%
  Banks - 8.3%
  134,274 Bank of America Corp. $   4,539,804
   56,956 Bank of Nova Scotia    3,471,468
   65,477 JP Morgan Chase & Co.    7,553,427
   27,820 PNC Financial Services Group, Inc.   4,616,451
      20,181,150
  Capital Goods - 9.0%
20,746 Honeywell International, Inc. 3,992,775
84,017 Johnson Controls International plc 4,529,356
8,734 Lockheed Martin Corp. 3,614,217
48,382 Otis Worldwide Corp. 3,782,021
23,952 Raytheon Technologies Corp. 2,232,566
39,654 Westinghouse Air Brake Technologies Corp. 3,706,459
      21,857,394
  Commercial & Professional Services - 0.6%
8,325 Waste Management, Inc. 1,369,962
  Consumer Services - 3.2%
22,960 Hilton Worldwide Holdings, Inc. 2,940,487
18,689 McDonald's Corp. 4,922,122
      7,862,609
  Diversified Financials - 4.2%
29,964 American Express Co. 4,615,055
44,534 Charles Schwab Corp. 3,075,073
31,476 Morgan Stanley 2,653,427
      10,343,555
  Energy - 5.4%
38,947 Chevron Corp. 6,378,739
27,818 EOG Resources, Inc. 3,093,918
70,898 TotalEnergies SE ADR 3,620,052
      13,092,709
  Food & Staples Retailing - 1.7%
36,005 Sysco Corp. 3,056,825
8,800 Walmart, Inc. 1,162,040
      4,218,865
  Food, Beverage & Tobacco - 4.3%
32,198 Coca-Cola Co. 2,066,146
65,261 Mondelez International, Inc. Class A 4,179,314
43,272 Philip Morris International, Inc. 4,203,875
      10,449,335
  Health Care Equipment & Services - 11.1%
56,921 Baxter International, Inc. 3,338,986
19,000 Becton Dickinson and Co. 4,641,890
10,409 Elevance Health, Inc. 4,966,134
110,770 Koninklijke Philips N.V. ADR 2,297,370
52,163 Medtronic plc 4,826,120
12,912 UnitedHealth Group, Inc. 7,002,694
      27,073,194
  Household & Personal Products - 1.5%
46,532 Colgate-Palmolive Co. 3,663,930
  Insurance - 8.5%
64,503 American International Group, Inc. 3,339,320
19,837 Chubb Ltd. 3,742,052
19,430 Marsh & McLennan Cos., Inc. 3,185,743
41,792 MetLife, Inc. 2,643,344
74,948 Principal Financial Group, Inc. 5,017,019
28,093 Prudential Financial, Inc. 2,809,019
      20,736,497
  Materials - 3.4%
22,585 Celanese Corp. Class A 2,653,963
27,515 FMC Corp. 3,056,917
20,784 PPG Industries, Inc. 2,687,163
      8,398,043
Shares or Principal Amount   Market Value†
COMMON STOCKS - 98.4% - (continued)
  Media & Entertainment - 3.6%
   16,800 Alphabet, Inc. Class A* $   1,954,176
  114,342 Comcast Corp. Class A    4,290,112
   36,960 Omnicom Group, Inc.   2,581,286
      8,825,574
  Pharmaceuticals, Biotechnology & Life Sciences - 7.5%
   67,528 AstraZeneca plc ADR    4,472,379
49,370 Merck & Co., Inc. 4,410,716
33,114 Novartis AG ADR 2,842,175
128,386 Pfizer, Inc. 6,484,777
      18,210,047
  Real Estate - 4.5%
10,685 American Tower Corp. REIT 2,893,818
144,221 Host Hotels & Resorts, Inc. REIT 2,568,576
7,656 Public Storage REIT 2,498,995
89,436 VICI Properties, Inc. REIT 3,057,817
      11,019,206
  Retailing - 2.1%
571,800 Allstar Co.*(1)(2)(3)
12,397 Lowe's Cos., Inc. 2,374,398
46,439 TJX Cos., Inc. 2,840,209
      5,214,607
  Semiconductors & Semiconductor Equipment - 3.9%
4,193 Broadcom, Inc. 2,245,268
59,591 Intel Corp. 2,163,749
28,163 Texas Instruments, Inc. 5,038,079
      9,447,096
  Software & Services - 4.6%
10,847 Accenture plc Class A 3,322,002
48,253 Cognizant Technology Solutions Corp. Class A 3,279,274
45,159 Fidelity National Information Services, Inc. 4,613,444
      11,214,720
  Technology Hardware & Equipment - 1.5%
79,990 Cisco Systems, Inc. 3,629,146
  Telecommunication Services - 2.1%
108,518 Verizon Communications, Inc. 5,012,446
  Transportation - 1.4%
89,207 Southwest Airlines Co.* 3,400,571
  Utilities - 6.0%
43,889 Dominion Energy, Inc. 3,598,020
32,540 Duke Energy Corp. 3,577,122
34,034 Eversource Energy 3,002,480
26,360 Sempra Energy 4,370,488
      14,548,110
  Total Common Stocks
(cost $201,981,528)
  $ 239,768,766
 

4

Hartford Quality Value Fund
Schedule of Investments – (continued)
July 31, 2022  (Unaudited) 

Shares or Principal Amount   Market Value†
SHORT-TERM INVESTMENTS - 1.2%
  Repurchase Agreements - 1.2%
$  2,835,761 Fixed Income Clearing Corp. Repurchase Agreement dated 07/29/2022 at 2.230%, due on 08/01/2022 with a maturity value of $2,836,288; collateralized by U.S. Treasury Note at 2.875%, maturing 05/15/2032, with a market value of $2,892,501 $   2,835,761
  Total Short-Term Investments
(cost $2,835,761)
$ 2,835,761
  Total Investments
(cost $204,817,289)
99.6% $ 242,604,527
  Other Assets and Liabilities 0.4% 1,071,025
  Total Net Assets 100.0% $ 243,675,552
Note: Percentage of investments as shown is the ratio of the total market value to total net assets.
  Prices of foreign equities that are principally traded on certain foreign markets will generally be adjusted daily pursuant to a fair value pricing service approved by the Board of Directors in order to reflect an adjustment for factors occurring after the close of certain foreign markets but before the close of the New York Stock Exchange.
  Equity industry classifications used in this report are the Global Industry Classification Standard, which was developed by and is the exclusive property and service mark of MSCI, Inc. and Standard & Poor’s.
For Fund compliance purposes, the Fund may not use the same classification system. These classifications are used for financial reporting purposes.
See “Glossary” for abbreviation descriptions.
* Non-income producing.
(1) This security is valued in good faith at fair value as determined under policies and procedures established by and under the supervision of the Board of Directors. At July 31, 2022, the aggregate fair value of this security was $0, which represented 0.0% of total net assets. This amount excludes securities that are principally traded in certain foreign markets and whose prices are adjusted pursuant to a third party pricing service methodology approved by the Board of Directors.
(2) Investment in securities not registered under the Securities Act of 1933 (excluding securities acquired pursuant to Rule 144A and Regulation S). At the end of the period, the value of such restricted securities amounted to $0 or 0.0% of net assets.
    
Period
Acquired
  Security Name   Shares/
Par Value
  Total Cost   Market Value
08/2011   Allstar Co.   571,800   $ —   $ —
    
(3) Investment valued using significant unobservable inputs.
For information regarding the Fund’s significant accounting policies, please refer to the Fund’s most recent shareholder report.
 
Fair Value Summary
The following is a summary of the fair valuations according to the inputs used as of July 31, 2022 in valuing the Fund’s investments.
Description   Total   Level 1   Level 2   Level 3(1)
Assets                
Common Stocks                
Banks   $ 20,181,150   $ 20,181,150   $ —   $ —
Capital Goods   21,857,394   21,857,394    
Commercial & Professional Services   1,369,962   1,369,962    
Consumer Services   7,862,609   7,862,609    
Diversified Financials   10,343,555   10,343,555    
Energy   13,092,709   13,092,709    
Food & Staples Retailing   4,218,865   4,218,865    
Food, Beverage & Tobacco   10,449,335   10,449,335    
Health Care Equipment & Services   27,073,194   27,073,194    
Household & Personal Products   3,663,930   3,663,930    
Insurance   20,736,497   20,736,497    
Materials   8,398,043   8,398,043    
Media & Entertainment   8,825,574   8,825,574    
Pharmaceuticals, Biotechnology & Life Sciences   18,210,047   18,210,047    
Real Estate   11,019,206   11,019,206    
Retailing   5,214,607   5,214,607    
Semiconductors & Semiconductor Equipment   9,447,096   9,447,096    
Software & Services   11,214,720   11,214,720    
Technology Hardware & Equipment   3,629,146   3,629,146    
Telecommunication Services   5,012,446   5,012,446    
Transportation   3,400,571   3,400,571    
Utilities   14,548,110   14,548,110    
Short-Term Investments   2,835,761     2,835,761  
Total   $ 242,604,527   $ 239,768,766   $ 2,835,761   $ —
    
(1) For the period ended July 31, 2022, there were no transfers in and out of Level 3.
Level 3 investments at the beginning and/or end of the period in relation to net assets were not significant and accordingly, a reconciliation of Level 3 assets for the period ended July 31, 2022 is not presented.

5

The Hartford Small Cap Growth Fund
Schedule of Investments
July 31, 2022  (Unaudited) 

Shares or Principal Amount   Market Value†
COMMON STOCKS - 98.3%
  Automobiles & Components - 2.5%
   58,469 Fox Factory Holding Corp.* $   5,534,676
   71,042 Patrick Industries, Inc.   4,313,670
   44,013 Thor Industries, Inc.   3,711,616
      13,559,962
  Banks - 2.9%
  338,600 MGIC Investment Corp.   4,787,804
97,459 Synovus Financial Corp. 3,935,394
56,508 Triumph Bancorp, Inc.* 4,105,306
39,525 Western Alliance Bancorp 3,018,920
      15,847,424
  Capital Goods - 11.2%
72,853 Altra Industrial Motion Corp. 3,040,156
75,454 Applied Industrial Technologies, Inc. 7,589,918
46,563 Armstrong World Industries, Inc. 4,160,404
33,207 Boise Cascade Co. 2,348,067
43,890 Chart Industries, Inc.* 8,562,500
32,230 Curtiss-Wright Corp. 4,623,071
5,700 Herc Holdings, Inc. 706,914
57,678 ITT, Inc. 4,327,580
52,900 John Bean Technologies Corp. 5,941,199
88,704 SPX Corp.* 5,245,068
217,211 WillScot Mobile Mini Holdings Corp.* 8,386,517
235,517 Zurn Water Solutions Corp. 6,818,217
      61,749,611
  Commercial & Professional Services - 6.5%
66,692 ASGN, Inc.* 6,919,962
24,949 CACI International, Inc. Class A* 7,541,833
52,833 Casella Waste Systems, Inc. Class A* 4,276,832
32,275 Clean Harbors, Inc.* 3,149,717
42,521 Exponent, Inc. 4,272,935
51,319 Insperity, Inc. 5,631,747
26,091 Tetra Tech, Inc. 3,998,968
      35,791,994
  Consumer Durables & Apparel - 3.6%
77,483 Crocs, Inc.* 5,550,882
15,391 Deckers Outdoor Corp.* 4,820,615
25,157 TopBuild Corp.* 5,326,240
83,044 YETI Holdings, Inc.* 4,216,144
      19,913,881
  Consumer Services - 4.7%
19,748 Churchill Downs, Inc. 4,143,130
214,890 GAN Ltd.* 782,200
239,674 Mister Car Wash, Inc.*(1) 2,780,218
75,746 Penn National Gaming, Inc.* 2,617,024
91,100 Texas Roadhouse, Inc.  7,945,742
62,697 Wingstop, Inc. 7,911,108
      26,179,422
  Diversified Financials - 1.5%
104,785 OneMain Holdings, Inc. 3,898,002
72,499 Stifel Financial Corp. 4,336,165
      8,234,167
  Energy - 5.2%
32,155 Chord Energy Corp. 4,123,557
102,249 Helmerich & Payne, Inc. 4,734,129
216,313 Magnolia Oil & Gas Corp. Class A 5,219,633
99,178 Ovintiv, Inc. 5,067,004
72,023 PDC Energy, Inc. 4,731,191
120,504 SM Energy Co. 4,974,405
      28,849,919
Shares or Principal Amount   Market Value†
COMMON STOCKS - 98.3% - (continued)
  Food & Staples Retailing - 1.2%
  132,972 Performance Food Group Co.* $   6,610,038
  Food, Beverage & Tobacco - 3.0%
    7,106 Boston Beer Co., Inc. Class A*(1)   2,703,335
   54,897 Freshpet, Inc.*   2,933,696
   30,649 Lancaster Colony Corp.   4,057,315
   96,779 Simply Good Foods Co.*   3,156,931
272,953 Sovos Brands, Inc.* 3,865,014
      16,716,291
  Health Care Equipment & Services - 11.1%
17,641 Amedisys, Inc.* 2,114,274
51,554 AtriCure, Inc.* 2,547,283
150,593 Covetrus, Inc.* 3,127,816
67,842 Glaukos Corp.* 3,653,292
82,875 Globus Medical, Inc. Class A* 4,863,934
62,485 Haemonetics Corp.* 4,342,083
100,320 Health Catalyst, Inc.* 1,679,357
47,228 Inari Medical, Inc.* 3,663,948
85,280 Integra LifeSciences Holdings Corp.* 4,693,811
25,081 LHC Group, Inc.* 4,089,708
17,082 ModivCare, Inc.* 1,704,783
35,122 Nevro Corp.* 1,522,539
55,756 Omnicell, Inc.* 6,139,851
151,700 Owens & Minor, Inc. 5,371,697
358,783 R1 RCM, Inc.* 8,969,575
41,334 Tandem Diabetes Care, Inc.* 2,736,724
      61,220,675
  Household & Personal Products - 0.5%
222,508 Beauty Health Co.* 2,963,807
  Insurance - 0.4%
87,801 James River Group Holdings Ltd. 2,086,152
  Materials - 3.3%
202,449 Axalta Coating Systems Ltd.* 5,105,764
57,704 Cabot Corp. 4,285,099
35,691 Ingevity Corp.* 2,394,866
185,375 Livent Corp.* 4,613,984
31,034 Louisiana-Pacific Corp. 1,974,693
      18,374,406
  Media & Entertainment - 2.0%
116,075 Bumble, Inc. Class A* 4,401,564
83,271 Cardlytics, Inc.* 1,149,140
66,837 Ziff Davis, Inc.*(1) 5,473,282
      11,023,986
  Pharmaceuticals, Biotechnology & Life Sciences - 12.1%
149,353 Aclaris Therapeutics, Inc.* 2,301,530
76,900 Apellis Pharmaceuticals, Inc.* 4,327,932
24,393 Arrowhead Pharmaceuticals, Inc.* 1,037,434
56,056 Arvinas, Inc.* 2,977,134
90,154 Avidity Biosciences, Inc.* 1,468,609
62,954 Blueprint Medicines Corp.* 3,214,431
78,248 Celldex Therapeutics, Inc.* 2,403,779
93,535 Crinetics Pharmaceuticals, Inc.* 1,796,807
77,570 Cytokinetics, Inc.* 3,283,538
59,302 Denali Therapeutics, Inc.* 2,017,454
27,568 Halozyme Therapeutics, Inc.* 1,348,075
47,893 Harmony Biosciences Holdings, Inc.* 2,429,612
391,182 ImmunoGen, Inc.* 1,854,203
73,248 Inhibrx, Inc.*(1) 1,270,120
16,595 Intellia Therapeutics, Inc.* 1,074,692
59,820 Intra-Cellular Therapies, Inc.* 3,237,458
20,220 Karuna Therapeutics, Inc.* 2,633,655
 

6

The Hartford Small Cap Growth Fund
Schedule of Investments – (continued)
July 31, 2022  (Unaudited) 

Shares or Principal Amount   Market Value†
COMMON STOCKS - 98.3% - (continued)
  Pharmaceuticals, Biotechnology & Life Sciences - 12.1% -
(continued)
   70,676 Kymera Therapeutics, Inc.* $   1,556,992
   17,938 Mirati Therapeutics, Inc.*   1,155,207
   90,304 Morphic Holding, Inc.*   2,390,347
   89,156 NanoString Technologies, Inc.*   1,141,197
   16,223 Neurocrine Biosciences, Inc.*   1,527,071
   51,252 Pacira BioSciences, Inc.*   2,898,813
71,024 PTC Therapeutics, Inc.* 3,093,095
98,347 Revolution Medicines, Inc.* 2,221,659
92,564 Stoke Therapeutics, Inc.* 1,369,022
109,717 Syndax Pharmaceuticals, Inc.* 2,234,935
27,872 Turning Point Therapeutics, Inc.* 2,089,843
7,639 United Therapeutics Corp.* 1,765,144
53,184 Vaxcyte, Inc.* 1,227,487
62,299 Veracyte, Inc.* 1,640,956
60,701 Zentalis Pharmaceuticals, Inc.* 1,772,469
      66,760,700
  Real Estate - 3.6%
198,151 Essential Properties Realty Trust, Inc. REIT 4,779,402
237,895 Independence Realty Trust, Inc. REIT 5,281,269
114,732 Phillips Edison & Co., Inc. REIT 3,905,477
65,314 Ryman Hospitality Properties, Inc. REIT* 5,782,902
      19,749,050
  Retailing - 0.7%
66,309 Ollie's Bargain Outlet Holdings, Inc.* 3,908,915
  Semiconductors & Semiconductor Equipment - 5.6%
78,337 Axcelis Technologies, Inc.* 5,509,441
49,440 Cirrus Logic, Inc.* 4,225,142
66,068 Lattice Semiconductor Corp.* 4,063,182
16,399 MKS Instruments, Inc. 1,938,362
77,480 Power Integrations, Inc. 6,586,575
21,992 Silicon Laboratories, Inc.* 3,243,380
38,763 Synaptics, Inc.* 5,618,697
      31,184,779
  Software & Services - 13.6%
63,168 Alarm.com Holdings, Inc.* 4,470,399
68,997 Blackbaud, Inc.* 4,230,896
42,538 Concentrix Corp. 5,689,883
46,507 Consensus Cloud Solutions, Inc.* 2,512,773
84,529 DigitalOcean Holdings, Inc.*(1) 3,463,998
31,861 ExlService Holdings, Inc.* 5,364,437
33,355 Five9, Inc.* 3,606,343
56,561 LiveRamp Holdings, Inc.* 1,505,088
47,426 Manhattan Associates, Inc.* 6,671,415
199,163 Olo, Inc. Class A* 2,133,036
67,567 Perficient, Inc.* 7,129,670
12,175 Q2 Holdings, Inc.* 534,483
70,279 Rapid7, Inc.* 4,495,748
262,217 Repay Holdings Corp.* 3,513,708
93,556 Shift4 Payments, Inc. Class A* 3,408,245
71,823 Sprout Social, Inc. Class A* 3,741,978
118,200 Varonis Systems, Inc.* 3,005,826
427,741 Verra Mobility Corp.* 7,053,449
37,429 Workiva, Inc. Class A* 2,451,599
      74,982,974
  Technology Hardware & Equipment - 3.1%
55,247 Fabrinet* 5,307,027
Shares or Principal Amount   Market Value†
COMMON STOCKS - 98.3% - (continued)
  Technology Hardware & Equipment - 3.1% - (continued)
   39,689 II-VI, Inc.* $   2,089,229
   48,060 Insight Enterprises, Inc.*   4,489,285
   56,836 Lumentum Holdings, Inc.*    5,141,384
      17,026,925
  Total Common Stocks
(cost $448,482,624)
  $ 542,735,078
EXCHANGE-TRADED FUNDS - 0.2%
  Other Investment Pools & Funds - 0.2%
5,985 iShares Russell 2000 Growth ETF $ 1,374,216
  Total Exchange-Traded Funds
(cost $1,373,380)
  $ 1,374,216
  Total Long-Term Investments
(Cost $449,856,004)
  $ 544,109,294
SHORT-TERM INVESTMENTS - 1.9%
  Repurchase Agreements - 0.9%
$   4,645,998 Fixed Income Clearing Corp. Repurchase Agreement dated 07/29/2022 at 2.230%, due on 08/01/2022 with a maturity value of $4,646,861; collateralized by U.S. Treasury Note at 0.625%, maturing 07/15/2032, with a market value of $4,738,933 $ 4,645,998
  Securities Lending Collateral - 1.0%
2,798,233 Goldman Sachs Financial Square Funds, Government Fund, Institutional Class, 2.06%(2) 2,798,233
1,980,995 HSBC US Government Money Market Fund, 2.18%(2) 1,980,995
908,492 Invesco Government & Agency Portfolio, Institutional Class, 2.12%(2) 908,492
      5,687,720
  Total Short-Term Investments
(cost $10,333,718)
$ 10,333,718
  Total Investments
(cost $460,189,722)
100.4% $ 554,443,012
  Other Assets and Liabilities (0.4)% (2,343,650)
  Total Net Assets 100.0% $ 552,099,362
Note: Percentage of investments as shown is the ratio of the total market value to total net assets.
  For Fund compliance purposes, the Fund may not use the same classification system. These classifications are used for financial reporting purposes.
  See “Glossary” for abbreviation descriptions.
    
* Non-income producing.
(1) Represents entire or partial securities on loan.
(2) Current yield as of period end.
For information regarding the Fund’s significant accounting policies, please refer to the Fund’s most recent shareholder report.
 

7

The Hartford Small Cap Growth Fund
Schedule of Investments – (continued)
July 31, 2022  (Unaudited) 

Fair Value Summary
The following is a summary of the fair valuations according to the inputs used as of July 31, 2022 in valuing the Fund’s investments.
Description   Total   Level 1   Level 2   Level 3(1)
Assets                
Common Stocks                
Automobiles & Components   $ 13,559,962   $ 13,559,962   $ —   $ —
Banks   15,847,424   15,847,424    
Capital Goods   61,749,611   61,749,611    
Commercial & Professional Services   35,791,994   35,791,994    
Consumer Durables & Apparel   19,913,881   19,913,881    
Consumer Services   26,179,422   26,179,422    
Diversified Financials   8,234,167   8,234,167    
Energy   28,849,919   28,849,919    
Food & Staples Retailing   6,610,038   6,610,038    
Food, Beverage & Tobacco   16,716,291   16,716,291    
Health Care Equipment & Services   61,220,675   61,220,675    
Household & Personal Products   2,963,807   2,963,807    
Insurance   2,086,152   2,086,152    
Materials   18,374,406   18,374,406    
Media & Entertainment   11,023,986   11,023,986    
Pharmaceuticals, Biotechnology & Life Sciences   66,760,700   66,760,700    
Real Estate   19,749,050   19,749,050    
Retailing   3,908,915   3,908,915    
Semiconductors & Semiconductor Equipment   31,184,779   31,184,779    
Software & Services   74,982,974   74,982,974    
Technology Hardware & Equipment   17,026,925   17,026,925    
Exchange-Traded Funds   1,374,216   1,374,216    
Short-Term Investments   10,333,718   5,687,720   4,645,998  
Total   $ 554,443,012   $ 549,797,014   $ 4,645,998   $ —
    
(1) For the period ended July 31, 2022, there were no transfers in and out of Level 3.

8

Hartford Schroders China A Fund
Schedule of Investments
July 31, 2022  (Unaudited) 

Shares or Principal Amount   Market Value†
COMMON STOCKS - 88.5%
  Automobiles & Components - 0.6%
  107,327 Streamax Technology Co., Ltd. Class A $    444,461
  Banks - 5.8%
  326,592 Bank of Ningbo Co., Ltd. Class A  1,515,395
  490,033 China Merchants Bank Co., Ltd. Class A  2,554,565
      4,069,960
  Capital Goods - 14.3%
14,200 Contemporary Amperex Technology Co., Ltd. Class A* 1,078,946
66,887 Eve Energy Co., Ltd. Class A 939,751
38,700 Gongniu Group Co., Ltd. Class A 842,544
343,700 Hongfa Technology Co., Ltd. Class A 2,097,696
112,200 Jiangsu Hengli Hydraulic Co., Ltd. Class A 868,696
121,568 Luoyang Xinqianglian Slewing Bearing Co., Ltd. Class A 1,742,655
127,600 PNC Process Systems Co., Ltd. Class A* 723,015
543,900 Sany Heavy Industry Co., Ltd. Class A 1,376,477
33,710 Shandong Himile Mechanical Science & Technology Co., Ltd. Class A 110,865
62,300 Zhejiang Sanhua Intelligent Controls Co., Ltd. Class A 301,104
      10,081,749
  Consumer Durables & Apparel - 7.2%
367,946 Hang Zhou Great Star Industrial Co., Ltd. Class A* 1,058,829
246,991 Joyoung Co., Ltd. Class A 644,849
260,000 Midea Group Co., Ltd. Class A 2,125,046
70,789 Oppein Home Group, Inc. Class A 1,265,825
      5,094,549
  Diversified Financials - 1.4%
74,100 Hithink RoyalFlush Information Network Co., Ltd. Class A 948,705
  Food, Beverage & Tobacco - 7.3%
139,795 Chacha Food Co., Ltd. Class A 991,857
8,845 Kweichow Moutai Co., Ltd. Class A 2,492,089
452,964 Toly Bread Co., Ltd. Class A 943,769
27,799 Wuliangye Yibin Co., Ltd. Class A 737,187
      5,164,902
  Health Care Equipment & Services - 1.0%
315,900 Edan Instruments, Inc. Class A 452,295
197,165 Shanghai Kinetic Medical Co., Ltd. Class A 223,617
      675,912
  Insurance - 4.4%
493,300 Ping An Insurance Group Co. of China Ltd. Class A 3,087,797
  Materials - 21.0%
369,516 China Jushi Co., Ltd. Class A 820,545
471,009 Chongqing Zaisheng Technology Corp. Ltd. Class A 451,762
582,914 Citic Pacific Special Steel Group Co., Ltd. Class A 1,734,983
295,880 Hengli Petrochemical Co., Ltd. Class A 887,790
775,378 Huafon Chemical Co., Ltd. Class A 876,097
85,528 Hubei Dinglong Co., Ltd. Class A 266,853
139,200 Jiangsu Boqian New Materials Stock Co., Ltd. Class A 1,008,538
261,800 LB Group Co., Ltd. Class A 791,888
488,176 Satellite Chemical Co., Ltd. Class A 1,643,637
315,100 Shandong Sinocera Functional Material Co., Ltd. Class A 1,493,250
34,900 Sunresin New Materials Co., Ltd. Class A 335,417
129,700 Wanhua Chemical Group Co., Ltd. Class A 1,613,989
116,740 Zhejiang Huayou Cobalt Co., Ltd. Class A 1,462,203
1,049,257 Zijin Mining Group Co., Ltd. Class A 1,392,853
      14,779,805
  Media & Entertainment - 2.3%
345,900 Mango Excellent Media Co., Ltd. Class A 1,614,059
  Pharmaceuticals, Biotechnology & Life Sciences - 6.9%
114,400 Amoy Diagnostics Co., Ltd. Class A 509,122
Shares or Principal Amount   Market Value†
COMMON STOCKS - 88.5% - (continued)
  Pharmaceuticals, Biotechnology & Life Sciences - 6.9% - (continued)
   48,600 Hangzhou Tigermed Consulting Co., Ltd. Class A $    737,059
  370,576 Jiangsu Hengrui Medicine Co., Ltd. Class A  1,943,805
   75,680 Shenzhen Kangtai Biological Products Co., Ltd. Class A     375,231
   96,260 WuXi AppTec Co., Ltd. Class A  1,334,526
      4,899,743
  Real Estate - 1.3%
374,744 Poly Developments and Holdings Group Co., Ltd. Class A 926,890
  Semiconductors & Semiconductor Equipment - 3.0%
233,656 LONGi Green Energy Technology Co., Ltd. Class A 2,140,826
  Technology Hardware & Equipment - 9.3%
227,000 GoerTek, Inc. Class A 1,073,397
93,310 Guangzhou Shiyuan Electronic Technology Co., Ltd. Class A 942,835
452,659 Shenzhen Sunlord Electronics Co., Ltd. Class A 1,658,127
288,600 Suzhou Dongshan Precision Manufacturing Co., Ltd. Class A 1,146,113
203,400 Zhejiang Jiecang Linear Motion Technology Co., Ltd. Class A 995,261
158,700 Zhongji Innolight Co., Ltd. Class A 773,322
      6,589,055
  Transportation - 2.7%
258,100 SF Holding Co., Ltd. Class A 1,911,948
  Total Common Stocks
(cost $73,870,058)
  $ 62,430,361
WARRANTS - 19.1%
  Consumer Durables & Apparel - 1.0%
129,810 Shanghai Milkground Food Tech Co., Ltd. Expires 3/13/2023* $ 726,936
  Diversified Financials - 0.9%
107,100 Sinoseal Holding Co., Ltd. Expires 9/30/2022* 617,110
  Food & Staples Retailing - 0.7%
85,100 Qingdao Richen Food Co., Ltd. Expires 9/7/2022* 457,072
  Health Care Equipment & Services - 9.2%
29,176 iRay Technology Co., Ltd. Expires 9/27/2022* 1,980,934
87,167 Micro-Tech Nanjing Co., Ltd. Expires 9/8/2022* 1,078,779
324,682 Ninebot Ltd. Expires 9/14/2022* 2,392,906
83,242 Qingdao Haier Biomedical Co., Ltd. Expires 1/6/2023* 859,057
19,779 Qingdao Haier Biomedical Co., Ltd. Expires 5/29/2023* 204,080
      6,515,756
  Household & Personal Products - 0.2%
28,100 Shanghai Milkground Food Tech Co., Ltd. Expires 9/19/2022* 157,276
  Semiconductors & Semiconductor Equipment - 1.1%
17,056 Beijing Huafeng Test & Control Technology Co., Ltd. Expires 12/21/2022* 802,655
  Software & Services - 2.0%
123,086 Piesat Information Technology Co., Ltd. Expires 12/23/2022* 1,377,332
  Technology Hardware & Equipment - 4.0%
49,769 Advanced Micro-Fabrication Equipment, Inc. China Expires 8/29/2022* 896,788
31,687 Gongniu Group Co., Ltd. Expires 2/17/2023* 689,192
3,818 Gongniu Group Co., Ltd. Expires 6/21/2023* 83,042
 

9

Hartford Schroders China A Fund
Schedule of Investments – (continued)
July 31, 2022  (Unaudited) 

Shares or Principal Amount   Market Value†
WARRANTS - 19.1% - (continued)
  Technology Hardware & Equipment - 4.0% - (continued)
   60,734 Shanghai Holystar Information Technology Co., Ltd. Expires 1/23/2023* $    852,098
   49,312 Wuxi Xinje Electric Co., Ltd. Expires 10/3/2022*     334,434
      2,855,554
  Total Warrants
(cost $15,920,613)
  $ 13,509,691
  Total Long-Term Investments
(Cost $89,790,671)
  $ 75,940,052
SHORT-TERM INVESTMENTS - 0.8%
  Other Investment Pools & Funds - 0.8%
517,491 Morgan Stanley Institutional Liquidity Funds, Treasury Portfolio, Institutional Class, 1.48%(1) $ 517,491
  Total Short-Term Investments
(cost $517,491)
$ 517,491
  Total Investments
(cost $90,308,162)
108.4% $ 76,457,543
  Other Assets and Liabilities (8.4)% (5,901,545)
  Total Net Assets 100.0% $ 70,555,998
Note: Percentage of investments as shown is the ratio of the total market value to total net assets.
  Prices of foreign equities that are principally traded on certain foreign markets will generally be adjusted daily pursuant to a fair value pricing service approved by the Board of Directors in order to reflect an adjustment for factors occurring after the close of certain foreign markets but before the close of the New York Stock Exchange.
  The Fund may refer to any one or more of the industry classifications used by one or more widely recognized market indices, ratings group and/or as defined by Fund management. Industry classifications may not be identical across all security types.
  Equity industry classifications used in this report are the Global Industry Classification Standard, which was developed by and is the exclusive property and service mark of MSCI, Inc. and Standard & Poor’s.
  For Fund compliance purposes, the Fund may not use the same classification system. These classifications are used for financial reporting purposes.
  See “Glossary” for abbreviation descriptions.
    
* Non-income producing.
(1) Current yield as of period end.
For information regarding the Fund’s significant accounting policies, please refer to the Fund’s most recent shareholder report.
 
Fair Value Summary
The following is a summary of the fair valuations according to the inputs used as of July 31, 2022 in valuing the Fund’s investments.
Description   Total   Level 1   Level 2   Level 3(1)
Assets                
Common Stocks                
Automobiles & Components   $ 444,461   $ 444,461   $ —   $ —
Banks   4,069,960     4,069,960  
Capital Goods   10,081,749     10,081,749  
Consumer Durables & Apparel   5,094,549     5,094,549  
Diversified Financials   948,705     948,705  
Food, Beverage & Tobacco   5,164,902     5,164,902  
Health Care Equipment & Services   675,912     675,912  
Insurance   3,087,797     3,087,797  
Materials   14,779,805     14,779,805  
Media & Entertainment   1,614,059     1,614,059  
Pharmaceuticals, Biotechnology & Life Sciences   4,899,743     4,899,743  
Real Estate   926,890     926,890  
Semiconductors & Semiconductor Equipment   2,140,826     2,140,826  
Technology Hardware & Equipment   6,589,055     6,589,055  
Transportation   1,911,948     1,911,948  
Warrants   13,509,691   13,509,691    
Short-Term Investments   517,491   517,491    
Total   $ 76,457,543   $ 14,471,643   $ 61,985,900   $ —
    
(1) For the period ended July 31, 2022, there were no transfers in and out of Level 3.

10

Hartford Schroders Diversified Emerging Markets Fund
Schedule of Investments
July 31, 2022  (Unaudited) 

Shares or Principal Amount   Market Value†
COMMON STOCKS - 86.5%
  Bermuda - 0.0%
  1,639 Sylvania Platinum Ltd. $     1,746
  Brazil - 1.8%
  2,200 AES Brasil Energia S.A.      4,571
  8,700 B3 S.A. - Brasil Bolsa Balcao     18,647
  5,500 BB Seguridade Participacoes S.A.     30,816
    200 Cia de Saneamento Basico do Estado de Sao Paulo      1,727
2,400 Cia de Saneamento de Minas Gerais 5,566
5,200 Cosan S.A. 18,764
1,200 Equatorial Energia S.A. 5,754
15,100 IRB Brasil Resseguros S.A.* 5,574
2,600 Light S.A. 2,688
3,030 Odontoprev S.A. 5,803
2,200 Porto Seguro S.A. 7,832
2,000 Sao Martinho S.A. 13,541
1,400 Tupy S.A. 6,161
6,700 Ultrapar Participacoes S.A. 16,432
      143,876
  Cayman Islands - 0.6%
5,000 Wuxi Biologics Cayman, Inc.*(1) 47,861
  Chile - 0.4%
830 CAP S.A. 7,596
264 Sociedad Quimica y Minera de Chile S.A. ADR 25,969
      33,565
  China - 27.9%
2,800 37 Interactive Entertainment Network Technology Group Co., Ltd. Class A 8,140
12,000 3SBio, Inc.(1) 7,988
53,000 Agricultural Bank of China Ltd. Class H 17,481
20,000 Alibaba Group Holding Ltd.* 224,869
5,000 A-Living Smart City Services Co., Ltd.(1) 6,099
4,900 Anhui Anke Biotechnology Group Co., Ltd. Class A 6,646
26,500 BAIC Motor Corp. Ltd. Class H(1) 7,131
4,850 Baidu, Inc. Class A* 83,829
4,100 Bank of Chengdu Co., Ltd. Class A 9,388
112,000 Bank of China Ltd. Class H 39,826
21,000 Bank of Communications Co., Ltd. Class H 12,499
300 Beijing United Information Technology Co., Ltd. Class A 4,093
200 Beijing Wantai Biological Pharmacy Enterprise Co., Ltd. Class A 4,018
300 Changchun High & New Technology Industry Group, Inc. Class A 8,651
1,500 Chengxin Lithium Group Co., Ltd. Class A 12,656
39,000 China Feihe Ltd.(1) 34,245
4,700 China Jushi Co., Ltd. Class A 10,437
4,000 China Life Insurance Co., Ltd. Class H 5,958
8,000 China Medical System Holdings Ltd. 12,718
10,000 China Merchants Bank Co., Ltd. Class H 54,033
11,800 China Pacific Insurance Group Co., Ltd. Class H 25,205
9,000 China Suntien Green Energy Corp. Ltd. Class H 4,414
700 China Tourism Group Duty Free Corp. Ltd. Class A 21,865
14,500 China Yongda Automobiles Services Holdings Ltd. 12,503
8,000 Chongqing Rural Commercial Bank Co., Ltd. Class H 2,784
30,000 CMOC Group Ltd. Class H 14,728
300 Contemporary Amperex Technology Co., Ltd. Class A* 22,795
18,000 CSPC Pharmaceutical Group Ltd. 19,709
22,000 Dali Foods Group Co. Ltd.(1) 10,475
400 Ecovacs Robotics Co., Ltd. Class A 5,507
6,900 Focus Media Information Technology Co., Ltd. Class A 6,063
900 Foshan Haitian Flavouring & Food Co., Ltd. Class A 11,059
16,000 Fu Shou Yuan International Group Ltd. 10,900
6,400 Fuyao Glass Industry Group Co., Ltd. Class H(1) 31,046
Shares or Principal Amount   Market Value†
COMMON STOCKS - 86.5% - (continued)
  China - 27.9% - (continued)
  3,080 Ganfeng Lithium Co., Ltd. Class H(1) $    27,850
    400 G-bits Network Technology Xiamen Co., Ltd. Class A     21,111
  6,100 GEM Co., Ltd. Class A      8,856
    200 Gongniu Group Co., Ltd. Class A      4,354
 11,500 Great Wall Motor Co., Ltd. Class H     18,231
  3,900 Gree Electric Appliances, Inc. of Zhuhai Class A     19,276
8,000 Haitian International Holdings Ltd. 19,145
900 Hangzhou Tigermed Consulting Co., Ltd. Class H(1) 9,348
3,640 Hefei Meiya Optoelectronic Technology, Inc. Class A 11,774
2,000 Hubei Jumpcan Pharmaceutical Co., Ltd. Class A 7,203
115,000 Industrial & Commercial Bank of China Ltd. Class H 60,799
1,200 Jafron Biomedical Co., Ltd. Class A 7,895
1,200 JD Health International, Inc.*(1) 9,102
6,280 JD.com, Inc. Class A 187,348
6,000 Jiangsu Expressway Co., Ltd. Class H 5,236
12,000 Jiumaojiu International Holdings Ltd.(1) 26,111
2,500 Livzon Pharmaceutical Group, Inc. Class H 7,453
4,200 Maoyan Entertainment*(1) 3,812
1,800 Meituan Class B*(1) 40,380
6,000 Minth Group Ltd. 16,039
1,500 NetDragon Websoft Holdings Ltd. 2,997
4,000 NetEase, Inc. 74,827
9,000 New China Life Insurance Co., Ltd. Class H 21,447
1,200 Ningbo Shanshan Co., Ltd. Class A 5,060
8,000 Nongfu Spring Co., Ltd. Class H(1) 47,945
1,200 Ovctek China, Inc. Class A 8,512
50,000 People's Insurance Co., Group of China Ltd. Class H 14,970
9,000 Ping An Insurance Group Co. of China Ltd. Class H 52,893
5,400 Pop Mart International Group Ltd.(1) 12,347
11,000 Postal Savings Bank of China Co., Ltd. Class H(1) 7,278
2,000 S-Enjoy Service Group Co., Ltd. 1,682
300 SG Micro Corp. Class A 7,176
24,500 Shandong Nanshan Aluminum Co., Ltd. Class A 12,755
1,260 Shenzhen Capchem Technology Co., Ltd. Class A 8,318
300 Shenzhen Mindray Bio-Medical Electronics Co., Ltd. Class A 12,913
500 Shenzhou International Group Holdings Ltd. 5,259
4,600 Sichuan Yahua Industrial Group Co., Ltd. Class A 19,958
3,300 Sinoma Science & Technology Co., Ltd. Class A 14,173
15,000 Sinopec Engineering Group Co., Ltd. Class H 6,441
24,000 Sinotrans Ltd. Class H 7,198
5,500 Sinotruk Hong Kong Ltd. 6,499
1,700 Suzhou TA&A Ultra Clean Technology Co., Ltd. Class A 19,717
9,200 Tencent Holdings Ltd. 355,569
3,000 Tian Lun Gas Holdings Ltd. 1,565
12,000 Tianneng Power International Ltd. 14,066
43,000 Want Want China Holdings Ltd. 34,995
9,000 Weichai Power Co., Ltd. Class H 12,867
900 WuXi AppTec Co., Ltd. Class H(1) 10,903
1,100 Wuxi Lead Intelligent Equipment Co., Ltd. Class A 9,746
400 Xiamen Faratronic Co., Ltd. Class A 12,414
8,600 Xinjiang Goldwind Science & Technology Co., Ltd. Class H 15,364
6,000 Xinte Energy Co., Ltd. Class H 15,951
2,000 Xinyi Solar Holdings Ltd. 3,398
300 XPeng, Inc. Class A* 3,642
14,000 Yadea Group Holdings Ltd.(1) 30,193
500 Yealink Network Technology Corp. Ltd. Class A 5,639
14,000 Zhejiang Expressway Co., Ltd. Class H 11,268
700 Zhejiang Weixing New Building Materials Co., Ltd. Class A 2,045
300 Zhejiang Wolwo Bio-Pharmaceutical Co., Ltd. Class A 2,036
4,500 Zhejiang Xinan Chemical Industrial Group Co., Ltd. Class A 13,015
5,000 Zhongsheng Group Holdings Ltd. 28,625
 

11

Hartford Schroders Diversified Emerging Markets Fund
Schedule of Investments – (continued)
July 31, 2022  (Unaudited) 

Shares or Principal Amount   Market Value†
COMMON STOCKS - 86.5% - (continued)
  China - 27.9% - (continued)
 11,700 Zhuzhou Kibing Group Co., Ltd. Class A $    19,921
 10,600 Zoomlion Heavy Industry Science and Technology Co., Ltd. Class H     5,511
      2,260,179
  Colombia - 0.1%
    360 Geopark Ltd.      4,558
    255 Tecnoglass, Inc.     5,714
      10,272
  Cyprus - 0.0%
1,951 Tharisa plc 2,442
  Czech Republic - 0.3%
883 Komercni Banka AS 22,310
  Greece - 0.2%
945 JUMBO S.A. 14,652
  Hong Kong - 2.1%
4,000 AIA Group Ltd. 40,187
6,200 China Gas Holdings Ltd. 9,530
5,000 China High Speed Transmission Equipment Group Co., Ltd.* 3,233
8,000 China Water Affairs Group Ltd. 7,181
4,500 CK Asset Holdings Ltd. 31,859
60,000 Concord New Energy Group Ltd. 5,650
14,000 Geely Automobile Holdings Ltd. 27,761
3,600 Hongkong Land Holdings Ltd. 18,713
3,000 Kerry Properties Ltd. 7,215
27,000 Sino Biopharmaceutical Ltd. 15,653
2,000 United Laboratories International Holdings Ltd. 1,055
      168,037
  Hungary - 0.8%
1,056 OTP Bank Nyrt 21,800
2,253 Richter Gedeon Nyrt 46,086
      67,886
  India - 3.2%
1,718 HDFC Bank Ltd. ADR 107,890
3,150 ICICI Bank Ltd. ADR 65,457
2,548 Infosys Ltd. ADR 49,661
595 Reliance Industries Ltd. GDR*(1) 37,696
      260,704
  Indonesia - 3.6%
13,600 Bank BTPN Syariah Tbk PT 2,580
145,100 Bank Central Asia Tbk PT 72,152
73,300 Bank Mandiri Persero Tbk PT 41,030
16,200 Bank Negara Indonesia Persero Tbk PT 8,598
195,900 Bank Rakyat Indonesia Persero Tbk PT 57,828
173,600 Industri Jamu Dan Farmasi Sido Muncul Tbk PT 10,592
29,500 Kalbe Farma Tbk PT 3,224
88,400 Media Nusantara Citra Tbk PT 6,298
49,900 Mitra Keluarga Karyasehat Tbk PT 8,381
269,700 Telkom Indonesia Persero Tbk PT 77,032
      287,715
  Kenya - 0.0%
17,400 Safaricom plc 4,383
  Malaysia - 1.5%
2,500 Bursa Malaysia Bhd 3,669
16,000 CIMB Group Holdings Bhd 18,745
7,200 DiGi.Com Bhd 5,880
6,600 Lotte Chemical Titan Holding Bhd(1) 2,832
9,100 Malayan Banking Bhd 18,125
4,900 Mega First Corp. Bhd 3,801
24,450 MR DIY Group M Bhd(1) 12,216
4,900 Pentamaster Corp. Bhd 4,322
Shares or Principal Amount   Market Value†
COMMON STOCKS - 86.5% - (continued)
  Malaysia - 1.5% - (continued)
 15,100 Public Bank Bhd $    15,754
 11,100 RHB Bank Bhd     14,680
  3,800 Syarikat Takaful Malaysia Keluarga Bhd      2,896
  3,900 TIME dotCom Bhd      4,027
  2,400 Uchi Technologies Bhd      1,641
  9,700 Westports Holdings Bhd      7,635
3,200 Yinson Holdings Bhd 1,512
      117,735
  Mexico - 3.9%
18,600 Alfa S.A.B. de C.V. Class A 12,783
7,400 Arca Continental S.A.B. de C.V. 51,158
31,500 Bolsa Mexicana de Valores S.A.B. de C.V. 59,089
17,300 Concentradora Fibra Danhos S.A. de C.V. REIT 19,901
5,500 Grupo Aeroportuario del Centro Norte S.A.B. de C.V. 33,490
58 Grupo Aeroportuario del Pacifico S.A.B. de C.V. ADR 7,832
52 Grupo Aeroportuario del Sureste S.A.B. de C.V. ADR 9,766
9,300 Grupo Financiero Banorte S.A.B. de C.V. Class O 53,002
44,700 Kimberly-Clark de Mexico S.A.B. de C.V. Class A 66,001
3,000 Megacable Holdings S.A.B. de C.V. 6,920
      319,942
  Philippines - 0.1%
560 GT Capital Holdings, Inc. 4,610
  Poland - 0.8%
230 Dino Polska S.A.*(1) 17,984
704 KGHM Polska Miedz S.A. 17,648
4,153 Powszechna Kasa Oszczednosci Bank Polski S.A.* 23,504
147 Santander Bank Polska S.A. 7,464
      66,600
  Qatar - 0.7%
10,431 Qatar National Bank QPSC 57,777
  Romania - 0.0%
464 BRD-Groupe Societe Generale S.A. 1,246
  Russia - 0.0%
378 HeadHunter Group plc ADR(2)(3)
1,092 Lukoil PJSC ADR(2)(3)
381 Mobile TeleSystems PJSC ADR*(2)(3)
92 Novatek PJSC GDR(2)(3)
235 Polyus PJSC GDR(2)(3)
     
  Saudi Arabia - 4.0%
3,460 Al Rajhi Bank 82,539
1,506 Jarir Marketing Co. 65,356
354 Mouwasat Medical Services Co. 23,167
2,821 Riyad Bank 27,414
510 SABIC Agri-Nutrients Co. 18,059
4,391 Saudi National Bank 81,951
903 Saudi Telecom Co. 24,138
      322,624
  South Africa - 2.7%
190 Anglo American Platinum Ltd. 14,575
5,886 AVI Ltd. 24,532
1,561 Gold Fields Ltd. ADR 14,361
2,067 Impala Platinum Holdings Ltd. 22,918
880 Kumba Iron Ore Ltd. 26,225
323 Mr. Price Group Ltd. 3,517
1,284 MultiChoice Group Ltd. 9,195
130 Naspers Ltd. Class N 18,367
18,388 Old Mutual Ltd. 12,542
2,275 Truworths International Ltd. 7,007
8,029 Vodacom Group Ltd. 66,710
      219,949
 

12

Hartford Schroders Diversified Emerging Markets Fund
Schedule of Investments – (continued)
July 31, 2022  (Unaudited) 

Shares or Principal Amount   Market Value†
COMMON STOCKS - 86.5% - (continued)
  South Korea - 12.6%
    155 AfreecaTV Co., Ltd. $    10,437
     21 CJ CheilJedang Corp.      6,330
    625 Classys, Inc.      7,731
    115 Dentium Co., Ltd.      7,589
    980 Dongkuk Steel Mill Co., Ltd.     10,051
    125 Doosan Bobcat, Inc.      3,002
40 GOLFZON Co., Ltd. 4,541
232 HAESUNG DS Co., Ltd. 10,327
87 Hansol Chemical Co., Ltd. 14,731
33 Hyosung TNC Corp. 8,782
62 Hyundai Home Shopping Network Corp. 2,498
438 JYP Entertainment Corp. 18,785
923 KT Corp. 26,828
446 KT Skylife Co., Ltd. 3,089
461 LG Electronics, Inc. 33,626
120 LG Innotek Co., Ltd. 33,646
2,908 LG Uplus Corp. 28,022
167 Lotte Chemical Corp. 22,722
291 LOTTE Fine Chemical Co., Ltd. 14,762
222 Lutronic Corp. 3,470
176 LX Semicon Co., Ltd. 13,542
86 Pearl Abyss Corp.* 3,543
215 PI Advanced Materials Co., Ltd. 6,179
9,478 Samsung Electronics Co., Ltd. 448,642
176 Samsung Life Insurance Co., Ltd. 8,227
101 Samsung SDI Co., Ltd. 44,394
1,714 SK Hynix, Inc. 129,573
222 SK Innovation Co., Ltd.* 32,162
797 SK Telecom Co., Ltd. 32,897
366 S-Oil Corp. 26,087
      1,016,215
  Taiwan - 14.7%
1,000 Advantech Co., Ltd. 11,504
1,000 Asustek Computer, Inc. 9,434
30,000 Cathay Financial Holding Co., Ltd. 45,767
19,000 Chunghwa Telecom Co., Ltd. 77,095
3,000 E Ink Holdings, Inc. 19,736
23,000 Fubon Financial Holding Co., Ltd. 43,203
1,000 General Interface Solution Holding Ltd. 2,619
9,000 Hon Hai Precision Industry Co., Ltd. 32,893
8,000 Innolux Corp. 2,771
1,000 KMC Kuei Meng International, Inc. 5,284
2,000 MediaTek, Inc. 46,080
1,000 Micro-Star International Co., Ltd. 3,959
2,000 Nien Made Enterprise Co., Ltd. 19,212
2,000 O-TA Precision Industry Co., Ltd. 7,703
1,000 President Chain Store Corp. 9,455
3,000 Realtek Semiconductor Corp. 34,499
2,000 Simplo Technology Co., Ltd. 17,677
4,000 Sino-American Silicon Products, Inc. 19,084
40,000 Taiwan Semiconductor Manufacturing Co., Ltd. 685,983
6,000 Tung Ho Steel Enterprise Corp. 10,409
5,000 Unimicron Technology Corp. 26,673
9,000 Vanguard International Semiconductor Corp. 21,677
3,450 Wan Hai Lines Ltd. 12,397
1,000 Yageo Corp. 11,546
4,000 Yang Ming Marine Transport Corp. 12,063
      1,188,723
  Thailand - 1.9%
9,500 Advanced Info Service plc NVDR 52,218
6,600 Bangchak Corp. PCL NVDR 5,355
7,500 Bangkok Bank PCL NVDR 27,276
4,600 Kasikornbank PCL NVDR 18,440
30,800 Krung Thai Bank PCL NVDR 13,395
12,300 PTT Global Chemical PCL NVDR 14,938
Shares or Principal Amount   Market Value†
COMMON STOCKS - 86.5% - (continued)
  Thailand - 1.9% - (continued)
 14,400 SPCG PCL NVDR $     6,166
 43,600 TTW PCL NVDR    12,318
      150,106
  United Arab Emirates - 2.1%
 14,019 Abu Dhabi National Oil Co. for Distribution PJSC     16,347
 18,255 Air Arabia PJSC     10,952
7,905 Emirates NBD Bank PJSC 29,751
9,437 Emirates Telecommunications Group Co. PJSC 71,681
7,289 First Abu Dhabi Bank PJSC 38,577
      167,308
  United Kingdom - 0.4%
1,683 Mondi plc 31,873
  United States - 0.1%
14,000 Nexteer Automotive Group Ltd. 11,249
  Total Common Stocks
(cost $8,550,442)
  $ 7,001,585
PREFERRED STOCKS - 1.9%
  Brazil - 1.9%
11,110 Banco Bradesco S.A. (Preference Shares) $ 37,426
31,300 Cia de Saneamento do Parana (Preference Shares) 22,685
12,800 Itau Unibanco Holding S.A. (Preference Shares) 58,433
19,400 Itausa S.A. 32,358
      150,902
  Total Preferred Stocks
(cost $161,789)
  $ 150,902
WARRANTS - 0.0%
  Malaysia - 0.0%
1,371 Yinson Holdings BHD Expires 06/25/2021* $ 135
  Total Warrants
(cost $—)
  $ 135
  Total Long-Term Investments
(cost $8,712,231)
  $ 7,152,622
SHORT-TERM INVESTMENTS - 9.8%
  Other Investment Pools & Funds - 9.8%
$  790,646 Morgan Stanley Institutional Liquidity Funds, Treasury Portfolio, Institutional Class, 1.48%(4) $ 790,646
  Total Short-Term Investments
(cost $790,646)
$ 790,646
  Total Investments
(cost $9,502,877)
98.2% $ 7,943,268
  Other Assets and Liabilities 1.8% 146,647
  Total Net Assets 100.0% $ 8,089,915
Note: Percentage of investments as shown is the ratio of the total market value to total net assets.
  Prices of foreign equities that are principally traded on certain foreign markets will generally be adjusted daily pursuant to a fair value pricing service approved by the Board of Directors in order to reflect an adjustment for factors occurring after the close of certain foreign markets but before the close of the New York Stock Exchange.
  The Fund may refer to any one or more of the industry classifications used by one or more widely recognized market indices, ratings group and/or as defined by Fund management. Industry classifications may not be identical across all security types.
 

13

Hartford Schroders Diversified Emerging Markets Fund
Schedule of Investments – (continued)
July 31, 2022  (Unaudited) 

For Fund compliance purposes, the Fund may not use the same classification system. These classifications are used for financial reporting purposes.
See “Glossary” for abbreviation descriptions.
* Non-income producing.
(1) Security was purchased pursuant to Rule 144A under the Securities Act of 1933 and may be sold in transactions that are exempt from registration (typically only to qualified institutional buyers) or in a public offering registered under the Securities Act of 1933. At July 31, 2022, the aggregate value of these securities was $440,842, representing 5.4% of net assets.
(2) These securities are valued in good faith at fair value as determined under policies and procedures established by and under the supervision of the Board of Directors. At July 31, 2022, the aggregate fair value of these securities are $0, which represented 0.0% of total net assets. This amount excludes securities that are principally traded in certain foreign markets and whose prices are adjusted pursuant to a third party pricing service methodology approved by the Board of Directors.
(3) Investment valued using significant unobservable inputs.
(4) Current yield as of period end.
 
Futures Contracts Outstanding at July 31, 2022
Description   Number of
Contracts
  Expiration
Date
  Current
Notional
Amount
  Value and
Unrealized
Appreciation/
(Depreciation)
Long position contracts:
MSCI India Future   8   09/16/2022   $ 751,200   $ 26,628
Total futures contracts   $ 26,628
For information regarding the Fund’s significant accounting policies, please refer to the Fund’s most recent shareholder report.

14

Hartford Schroders Diversified Emerging Markets Fund
Schedule of Investments – (continued)
July 31, 2022  (Unaudited) 

Fair Value Summary
The following is a summary of the fair valuations according to the inputs used as of July 31, 2022 in valuing the Fund’s investments.
Description   Total   Level 1   Level 2   Level 3(1)
Assets                
Common Stocks                
Bermuda   $ 1,746   $ 1,746   $ —   $ —
Brazil   143,876   143,876    
Cayman Islands   47,861     47,861  
Chile   33,565   33,565    
China   2,260,179   4,018   2,256,161  
Colombia   10,272   10,272    
Cyprus   2,442   2,442    
Czech Republic   22,310     22,310  
Greece   14,652     14,652  
Hong Kong   168,037     168,037  
Hungary   67,886     67,886  
India   260,704   223,008   37,696  
Indonesia   287,715   10,592   277,123  
Kenya   4,383   4,383    
Malaysia   117,735   2,832   114,903  
Mexico   319,942   319,942    
Philippines   4,610     4,610  
Poland   66,600     66,600  
Qatar   57,777     57,777  
Romania   1,246     1,246  
Russia        
Saudi Arabia   322,624   322,624    
South Africa   219,949   55,095   164,854  
South Korea   1,016,215     1,016,215  
Taiwan   1,188,723     1,188,723  
Thailand   150,106   12,318   137,788  
United Arab Emirates   167,308   71,681   95,627  
United Kingdom   31,873     31,873  
United States   11,249     11,249  
Preferred Stocks   150,902   150,902    
Warrants   135   135    
Short-Term Investments   790,646   790,646    
Futures Contracts(2)   26,628   26,628    
Total   $ 7,969,896   $ 2,186,705   $ 5,783,191   $ —
    
(1) For the period ended July 31, 2022, investments valued at $134,945 were transferred into Level 3 due to the unavailability of active market pricing, and investments valued at $27,803 were transferred out of Level 3 due to the availability of significant observable inputs.
(2) Derivative instruments (excluding purchased and written options, if applicable) are valued at the unrealized appreciation/(depreciation) on the investments.
Level 3 investments at the beginning and/or end of the period in relation to net assets were not significant and accordingly, a reconciliation of Level 3 assets for the period ended July 31, 2022 is not presented.

15

Hartford Schroders Emerging Markets Equity Fund
Schedule of Investments
July 31, 2022  (Unaudited) 

Shares or Principal Amount   Market Value†
COMMON STOCKS - 95.4%
  Brazil - 9.0%
  8,097,202 CCR S.A. $    20,328,686
  3,443,569 Centrais Eletricas Brasileiras S.A.     30,488,374
  4,755,380 Dexco S.A.      8,960,970
  1,857,453 Energisa S.A.     15,809,944
 21,761,863 Itau Unibanco Holding S.A. ADR     97,928,383
  2,776,326 Localiza Rent a Car S.A.     30,912,456
6,007,720 Lojas Renner S.A. 29,364,573
6,338,232 Petroleo Brasileiro S.A. ADR 90,107,743
9,400,604 Raia Drogasil S.A. 38,117,677
2,460,687 Telefonica Brasil S.A. 21,210,769
6,373,487 TIM S.A. 15,508,437
5,862,015 Vale S.A. ADR 78,902,722
4,027,833 WEG S.A. 21,828,035
3,439,467 YDUQS Participacoes S.A. 8,807,897
      508,276,666
  Cayman Islands - 1.0%
6,112,500 Wuxi Biologics Cayman, Inc.*(1) 58,509,546
  Chile - 1.0%
169,297,063 Banco de Chile 16,063,588
1,764,064 Banco Santander Chile ADR 27,589,961
7,201,896 Falabella S.A. 16,064,600
      59,718,149
  China - 26.3%
12,271,496 Alibaba Group Holding Ltd.* 137,974,178
68,181 Alibaba Group Holding Ltd. ADR* 6,093,336
117,901 Baidu, Inc. ADR* 16,101,739
3,761,304 Baidu, Inc. Class A* 65,011,875
7,990,168 Centre Testing International Group Co., Ltd. Class A 24,405,618
15,277,000 China Mengniu Dairy Co., Ltd. 70,976,832
14,347,200 China Pacific Insurance Group Co., Ltd. Class H 30,645,964
4,249,600 ENN Energy Holdings Ltd. 69,321,983
1,389,115 H World Group Ltd. ADR 53,272,560
3,907,500 Innovent Biologics, Inc.*(1) 16,333,547
4,887,026 JD.com, Inc. Class A 145,792,424
9,611,133 LONGi Green Energy Technology Co., Ltd. Class A 88,060,053
1,656,000 Meituan Class B*(1) 37,149,626
10,341,355 Midea Group Co., Ltd. Class A 84,522,501
52,306,000 PICC Property & Casualty Co., Ltd. Class H 53,691,667
13,669,379 Satellite Chemical Co., Ltd. Class A 46,023,360
2,060,100 SF Holding Co., Ltd. Class A 15,260,763
4,306,475 Shenzhen Inovance Technology Co., Ltd. Class A 42,298,273
3,344,700 Shenzhou International Group Holdings Ltd. 35,180,092
6,691,300 Tencent Holdings Ltd. 258,610,791
15,810,000 Weichai Power Co., Ltd. Class H 22,603,382
1,009,616 XPeng, Inc. ADR* 24,664,919
1,122,800 XPeng, Inc. Class A* 13,632,549
1,473,472 Yum China Holdings, Inc. 71,194,502
2,507,456 Zhejiang Supor Co., Ltd. Class A 17,479,751
1,366,918 ZTO Express Cayman, Inc. ADR 34,979,432
      1,481,281,717
  Egypt - 0.2%
5,378,933 Commercial International Bank Egypt S.A.E. GDR 9,884,365
  Greece - 1.0%
9,235,927 Alpha Services and Holdings S.A.* 8,209,203
19,247,324 Eurobank Ergasias Services & Holdings S.A.* 17,730,103
Shares or Principal Amount   Market Value†
COMMON STOCKS - 95.4% - (continued)
  Greece - 1.0% - (continued)
  1,194,807 Hellenic Telecommunications Organization S.A. $    20,572,129
  3,417,107 National Bank of Greece S.A.*    10,705,120
      57,216,555
  Hong Kong - 3.0%
 12,428,200 AIA Group Ltd.   124,861,695
  4,248,000 China Resources Land Ltd.     17,740,833
14,597,000 Hang Lung Properties Ltd. 26,632,142
      169,234,670
  Hungary - 0.5%
1,466,947 Richter Gedeon Nyrt 30,006,752
  India - 9.4%
6,839,525 Bharti Airtel Ltd.* 58,650,564
3,201,153 Cipla Ltd. 39,571,836
6,698,413 HDFC Bank Ltd. 122,320,139
14,369,103 ICICI Bank Ltd. 149,449,523
2,232,955 Reliance Industries Ltd. 71,017,623
2,092,513 Tata Consultancy Services Ltd. 87,527,268
      528,536,953
  Indonesia - 1.2%
67,340,200 Bank Mandiri Persero Tbk PT 37,694,230
6,033,500 Bank Negara Indonesia Persero Tbk PT 3,202,072
85,763,020 Bank Rakyat Indonesia Persero Tbk PT 25,316,626
      66,212,928
  Malaysia - 0.5%
23,343,574 CIMB Group Holdings Bhd 27,348,504
  Mexico - 2.1%
1,020,876 Fomento Economico Mexicano S.A.B. de C.V. ADR 63,273,895
9,338,080 Grupo Financiero Banorte S.A.B. de C.V. Class O 53,219,108
      116,493,003
  Peru - 0.6%
246,568 Credicorp Ltd. 31,905,899
  Poland - 0.4%
194,714 Bank Polska Kasa Opieki S.A. 3,083,900
329,453 Powszechna Kasa Oszczednosci Bank Polski S.A.* 1,864,536
3,107,886 Powszechny Zaklad Ubezpieczen S.A. 20,359,196
      25,307,632
  Qatar - 0.7%
6,976,144 Qatar National Bank QPSC 38,640,484
  Russia - 0.0%
390,765 Lukoil PJSC(2)
339,057 Magnit PJSC(2)(3)
366,305 Novatek PJSC GDR(2)(3)
67,747 Polyus PJSC*(2)(3)
30,946 Polyus PJSC GDR(2)(3)
5,358,303 Rosneft Oil Co. PJSC(2)(3)
836,086 Yandex N.V. Class A*(2)(3)
     
  Saudi Arabia - 1.7%
2,530,533 Alinma Bank 25,635,458
3,641,792 Saudi National Bank 67,968,482
      93,603,940
  South Africa - 5.7%
2,273,575 Aspen Pharmacare Holdings Ltd. 19,926,126
 

16

Hartford Schroders Emerging Markets Equity Fund
Schedule of Investments – (continued)
July 31, 2022  (Unaudited) 

Shares or Principal Amount   Market Value†
COMMON STOCKS - 95.4% - (continued)
  South Africa - 5.7% - (continued)
  3,408,058 AVI Ltd. $    14,204,343
  1,856,230 Bid Corp. Ltd.     34,176,076
    207,056 Capitec Bank Holdings Ltd.     24,883,108
 20,012,713 FirstRand Ltd.     79,165,747
  1,803,669 Foschini Group Ltd.     13,168,303
  4,169,726 Gold Fields Ltd.     38,565,390
3,046,735 Impala Platinum Holdings Ltd. 33,780,714
176,459 Naspers Ltd. Class N 24,931,259
2,814,518 Shoprite Holdings Ltd. 38,080,419
      320,881,485
  South Korea - 12.6%
330,609 Kia Corp. 20,698,564
78,584 Korea Zinc Co., Ltd. 28,890,195
133,741 LG Chem Ltd. 62,290,471
34,973 LG H&H Co., Ltd. 21,019,797
2,814,467 LG Uplus Corp. 27,120,469
115,442 NAVER Corp. 23,093,164
6,546,030 Samsung Electronics Co., Ltd. 309,857,257
198,865 Samsung Fire & Marine Insurance Co., Ltd. 30,211,950
146,234 Samsung SDI Co., Ltd. 64,277,088
984,630 SK Hynix, Inc. 74,434,873
121,176 SK Innovation Co., Ltd.* 17,555,158
722,924 SK Telecom Co., Ltd. 29,838,995
      709,287,981
  Taiwan - 14.9%
5,102,000 Accton Technology Corp. 42,580,648
18,165,036 ASE Technology Holding Co., Ltd. 52,933,666
5,874,000 Chunghwa Telecom Co., Ltd. 23,834,457
45,413,000 CTBC Financial Holding Co., Ltd. 34,889,430
27,152,000 Hon Hai Precision Industry Co., Ltd. 99,233,650
1,924,000 MediaTek, Inc. 44,329,110
29,997,139 Taiwan Semiconductor Manufacturing Co., Ltd. 514,437,888
13,026,000 Uni-President Enterprises Corp. 30,664,944
      842,903,793
  Thailand - 1.1%
16,202,100 Kasikornbank PCL NVDR 64,948,033
  Turkey - 0.4%
2,275,244 BIM Birlesik Magazalar AS 11,695,921
4,505,244 KOC Holding AS 9,312,288
      21,008,209
  United Arab Emirates - 1.2%
32,542,854 Emaar Properties PJSC 48,836,811
4,156,774 First Abu Dhabi Bank PJSC 21,999,709
      70,836,520
  United Kingdom - 0.9%
3,985,547 Prudential plc 49,159,275
  Total Common Stocks
(cost $5,200,868,510)
  $ 5,381,203,059
Shares or Principal Amount   Market Value†
SHORT-TERM INVESTMENTS - 4.5%
  Other Investment Pools & Funds - 4.5%
$   250,478,878 Morgan Stanley Institutional Liquidity Funds, Treasury Portfolio, Institutional Class, 1.48%(4) $   250,478,878
  Total Short-Term Investments
(cost $250,478,878)
$ 250,478,878
  Total Investments
(cost $5,451,347,388)
99.9% $ 5,631,681,937
  Other Assets and Liabilities 0.1% 6,663,392
  Total Net Assets 100.0% $ 5,638,345,329
Note: Percentage of investments as shown is the ratio of the total market value to total net assets.
  Prices of foreign equities that are principally traded on certain foreign markets will generally be adjusted daily pursuant to a fair value pricing service approved by the Board of Directors in order to reflect an adjustment for factors occurring after the close of certain foreign markets but before the close of the New York Stock Exchange.
  The Fund may refer to any one or more of the industry classifications used by one or more widely recognized market indices, ratings group and/or as defined by Fund management. Industry classifications may not be identical across all security types.
  For Fund compliance purposes, the Fund may not use the same classification system. These classifications are used for financial reporting purposes.
  See “Glossary” for abbreviation descriptions.
    
* Non-income producing.
(1) Security was purchased pursuant to Rule 144A under the Securities Act of 1933 and may be sold in transactions that are exempt from registration (typically only to qualified institutional buyers) or in a public offering registered under the Securities Act of 1933. At July 31, 2022, the aggregate value of these securities was $111,992,719, representing 2.0% of net assets.
(2) Investment valued using significant unobservable inputs.
(3) These securities are valued in good faith at fair value as determined under policies and procedures established by and under the supervision of the Board of Directors. At July 31, 2022, the aggregate fair value of these securities are $0, which represented 0.0% of total net assets. This amount excludes securities that are principally traded in certain foreign markets and whose prices are adjusted pursuant to a third party pricing service methodology approved by the Board of Directors.
(4) Current yield as of period end.
For information regarding the Fund’s significant accounting policies, please refer to the Fund’s most recent shareholder report.
 

17

Hartford Schroders Emerging Markets Equity Fund
Schedule of Investments – (continued)
July 31, 2022  (Unaudited) 

Fair Value Summary
The following is a summary of the fair valuations according to the inputs used as of July 31, 2022 in valuing the Fund’s investments.
Description   Total   Level 1   Level 2   Level 3(1)
Assets                
Common Stocks                
Brazil   $ 508,276,666   $ 508,276,666   $ —   $ —
Cayman Islands   58,509,546     58,509,546  
Chile   59,718,149   59,718,149    
China   1,481,281,717   191,979,547   1,289,302,170  
Egypt   9,884,365     9,884,365  
Greece   57,216,555     57,216,555  
Hong Kong   169,234,670     169,234,670  
Hungary   30,006,752     30,006,752  
India   528,536,953     528,536,953  
Indonesia   66,212,928     66,212,928  
Malaysia   27,348,504     27,348,504  
Mexico   116,493,003   116,493,003    
Peru   31,905,899   31,905,899    
Poland   25,307,632     25,307,632  
Qatar   38,640,484     38,640,484  
Russia        
Saudi Arabia   93,603,940   93,603,940    
South Africa   320,881,485   61,548,722   259,332,763  
South Korea   709,287,981     709,287,981  
Taiwan   842,903,793     842,903,793  
Thailand   64,948,033     64,948,033  
Turkey   21,008,209   11,695,921   9,312,288  
United Arab Emirates   70,836,520     70,836,520  
United Kingdom   49,159,275     49,159,275  
Short-Term Investments   250,478,878   250,478,878    
Total   $ 5,631,681,937   $ 1,325,700,725   $ 4,305,981,212   $ —
    
(1) For the period ended July 31, 2022, investments valued at $392,375,959 were transferred into Level 3 due to the unavailability of active market pricing or observable market data activity. There were no transfers out of Level 3.
Level 3 investments at the beginning and/or end of the period in relation to net assets were not significant and accordingly, a reconciliation of Level 3 assets for the period ended July 31, 2022 is not presented.

18

Hartford Schroders Emerging Markets Multi-Sector Bond Fund
Schedule of Investments
July 31, 2022  (Unaudited) 

Shares or Principal Amount   Market Value†
CORPORATE BONDS - 43.8%
  Argentina - 1.4%
$         159,000 YPF Energia Electrica S.A. 10.00%, 07/25/2026(1) $    120,013
               YPF S.A.  
       160,000 8.50%, 07/28/2025(2)     101,993
       312,000 8.50%, 06/27/2029(1)(3)    176,910
      398,916
  Austria - 0.2%
81,000 Suzano Austria GmbH 3.13%, 01/15/2032 65,833
  Bermuda - 0.6%
200,000 Credicorp Ltd. 2.75%, 06/17/2025(1) 184,858
  British Virgin Islands - 2.9%
200,000 China Cinda 2020 I Management Ltd. 3.00%, 01/20/2031(2) 162,465
200,000 Elect Global Investments Ltd. 4.85%, 08/25/2023(2)(4) 157,000
200,000 Huarong Finance II Co., Ltd. 5.00%, 11/19/2025(2) 179,000
  Sinopec Group Overseas Development Ltd.  
200,000 4.00%, 09/13/2047(1) 172,301
200,000 4.10%, 04/28/2045(1) 176,766
      847,532
  Canada - 1.3%
200,000 Canacol Energy Ltd. 5.75%, 11/24/2028(1) 164,774
200,000 MEGlobal Canada ULC 5.88%, 05/18/2030(1) 210,905
      375,679
  Cayman Islands - 2.3%
  Alibaba Group Holding Ltd.  
200,000 4.20%, 12/06/2047 165,114
200,000 4.50%, 11/28/2034 190,430
200,000 Melco Resorts Finance Ltd. 5.75%, 07/21/2028(1) 141,579
200,000 Tencent Holdings Ltd. 3.93%, 01/19/2038(1) 168,352
      665,475
  Chile - 2.8%
200,000 Cencosud S.A. 5.15%, 02/12/2025(1) 199,500
234,080 Empresa Electrica Cochrane S.p.A. 5.50%, 05/14/2027(1) 202,889
420,000 Empresa Nacional del Petroleo 3.75%, 08/05/2026(1) 389,025
      791,414
  Colombia - 1.1%
  Ecopetrol S.A.  
155,000 4.63%, 11/02/2031 127,487
141,000 5.88%, 05/28/2045 106,816
79,000 6.88%, 04/29/2030 75,329
      309,632
  Hong Kong - 1.2%
240,000 Lenovo Group Ltd. 3.42%, 11/02/2030(1) 200,647
200,000 Xiaomi Best Time International Ltd. 2.88%, 07/14/2031(1) 154,929
      355,576
  India - 2.4%
200,000 Adani Ports & Special Economic Zone Ltd. 4.38%, 07/03/2029(2) 176,146
200,000 JSW Steel Ltd. 5.05%, 04/05/2032(1) 156,893
Shares or Principal Amount   Market Value†
CORPORATE BONDS - 43.8% - (continued)
  India - 2.4% - (continued)
$         200,000 ReNew Power Pvt Ltd. 5.88%, 03/05/2027(1) $    191,000
       200,000 Summit Digitel Infrastructure Ltd. 2.88%, 08/12/2031(1)    155,856
      679,895
  Indonesia - 0.6%
       200,000 Tower Bersama Infrastructure Tbk PT 2.80%, 05/02/2027(2)    173,100
  Ireland - 0.2%
200,000 Hacienda Investments Ltd. Via DME Airport DAC 5.35%, 02/08/2028(1) 20,000
200,000 Metalloinvest Finance DAC 3.38%, 10/22/2028(1) 30,125
200,000 Vnesheconombank Via VEB Finance plc 6.80%, 11/22/2025(1)(5)(6)
      50,125
  Jersey - 0.6%
200,000 Galaxy Pipeline Assets Bidco Ltd. 2.63%, 03/31/2036(1) 168,733
  Kazakhstan - 1.0%
400,000 Development Bank of Kazakhstan JSC 2.95%, 05/06/2031(1) 296,460
  Luxembourg - 3.1%
200,000 Aegea Finance S.a.r.l. 6.75%, 05/20/2029(1) 194,000
80,000 Atento Luxco 1 S.A. 8.00%, 02/10/2026 49,631
197,797 FEL Energy S.a.r.l. 5.75%, 12/01/2040(1)(3) 142,414
230,000 Kenbourne Invest S.A. 4.70%, 01/22/2028(1) 163,792
200,000 MC Brazil Downstream Trading S.a.r.l. 7.25%, 06/30/2031(1) 160,000
200,000 Puma International Financing S.A. 5.00%, 01/24/2026(1) 170,760
      880,597
  Malaysia - 0.5%
200,000 Petronas Capital Ltd. 3.40%, 04/28/2061(1) 152,481
  Mexico - 9.9%
200,000 America Movil S.A.B. de C.V. 5.38%, 04/04/2032(1) 189,566
200,000 Banco Mercantil del Norte S.A. 7.63%, 01/10/2028, (7.63% fixed rate until 01/10/2028; 10 year USD CMT + 5.353% thereafter)(1)(4)(7) 187,858
200,000 Braskem Idesa SAPI 6.99%, 02/20/2032(1) 172,440
200,000 Cemex S.A.B. de C.V. 5.13%, 06/08/2026, (5.13% fixed rate until 06/08/2026; 5 year USD CMT + 4.534% thereafter)(1)(4)(7) 167,000
200,000 Electricidad Firme de Mexico Holdings S.A. de C.V. 4.90%, 11/20/2026(1)(3) 159,932
200,000 Grupo Bimbo S.A.B. de C.V. 4.70%, 11/10/2047(1) 188,222
MXN 16,510,000 Grupo Televisa S.A.B. 7.25%, 05/14/2043 501,484
$ 200,000 Infraestructura Energetica Nova S.A.B. de C.V. 4.88%, 01/14/2048(1) 144,650
  Petroleos Mexicanos  
660,000 5.95%, 01/28/2031(3) 512,325
90,000 6.63%, 06/15/2035 65,866
 

19

Hartford Schroders Emerging Markets Multi-Sector Bond Fund
Schedule of Investments – (continued)
July 31, 2022  (Unaudited) 

Shares or Principal Amount   Market Value†
CORPORATE BONDS - 43.8% - (continued)
  Mexico - 9.9% - (continued)
$         436,000 6.70%, 02/16/2032 $    349,236
       250,000 Total Play Telecomunicaciones S.A. de C.V. 6.38%, 09/20/2028(1)    195,820
      2,834,399
  Mult - 0.4%
       100,000 Jbs Finance Luxembourg S.a.r.l. 6.75%, 02/15/2028(1)    103,774
  Netherlands - 2.0%
200,000 Braskem Netherlands Finance B.V. 8.50%, 01/23/2081, (8.50% fixed rate until 10/24/2025; 5 year USD CMT + 8.220% thereafter)(1)(7) 207,580
200,000 Embraer Netherlands Finance B.V. 6.95%, 01/17/2028(1) 201,500
200,000 Metinvest B.V. 7.65%, 10/01/2027(1) 78,000
200,000 VEON Holdings B.V. 3.38%, 11/25/2027(1) 89,725
      576,805
  Panama - 0.6%
200,000 AES Panama Generation Holdings 4.38%, 05/31/2030(1) 163,840
  Peru - 1.6%
127,000 Banco BBVA Peru S.A. 5.25%, 09/22/2029, (5.25% fixed rate until 09/22/2024; 5 year USD CMT + 2.750% thereafter)(1)(3)(7) 121,920
150,000 Banco Internacional del Peru SAA Interbank 4.00%, 07/08/2030, (4.00% fixed rate until 07/08/2025; 12 mo. USD CMT + 3.711% thereafter)(1)(7) 138,000
200,000 Kallpa Generacion S.A. 4.13%, 08/16/2027(1) 183,000
22,000 Volcan Cia Minera SAA 4.38%, 02/11/2026(1) 19,250
      462,170
  Qatar - 1.6%
540,000 Qatar Energy 3.13%, 07/12/2041(1) 456,268
  Saudi Arabia - 0.6%
200,000 Saudi Arabian Oil Co. 2.25%, 11/24/2030(2) 176,758
  South Korea - 0.7%
200,000 SK Innovation Co., Ltd. 4.13%, 07/13/2023(2) 199,844
  Spain - 0.8%
250,000 AI Candelaria Spain S.A. 7.50%, 12/15/2028(1) 233,125
  Turkey - 1.1%
200,000 Coca-Cola Icecek AS 4.50%, 01/20/2029(1) 159,986
200,000 Ulker Biskuvi Sanayi AS 6.95%, 10/30/2025(1) 146,940
      306,926
  United Kingdom - 0.6%
200,000 Endeavour Mining plc 5.00%, 10/14/2026(1) 162,856
  United States - 1.7%
200,000 Kosmos Energy Ltd. 7.75%, 05/01/2027(1) 169,064
Shares or Principal Amount   Market Value†
CORPORATE BONDS - 43.8% - (continued)
  United States - 1.7% - (continued)
$         200,000 Mercury Chile Holdco LLC 6.50%, 01/24/2027(1) $    171,941
       200,000 Sasol Financing USA LLC 5.50%, 03/18/2031     163,100
      504,105
  Total Corporate Bonds
(cost $15,139,249)
$ 12,577,176
FOREIGN GOVERNMENT OBLIGATIONS - 51.3%
  Angola - 1.2%
  Angolan Government International Bond  
       200,000 8.25%, 05/09/2028(1) $    167,524
200,000 8.75%, 04/14/2032(1) 161,492
      329,016
  Argentina - 1.7%
361,379 Argentine Republic Government International Bond 1.50%, 07/09/2035(8) 80,141
200,000 Ciudad Autonoma De Buenos Aires 7.50%, 06/01/2027(1) 159,129
371,291 Provincia de Cordoba 6.88%, 12/10/2025(1)(8) 259,904
      499,174
  Azerbaijan - 0.5%
180,000 Republic of Azerbaijan International Bond 3.50%, 09/01/2032(1) 154,323
  Brazil - 3.4%
  Brazil Notas do Tesouro Nacional  
BRL 1,180,000 10.00%, 01/01/2023 224,662
2,454,000 10.00%, 01/01/2025 448,344
572,000 10.00%, 01/01/2029 97,391
1,149,000 10.00%, 01/01/2031 190,272
      960,669
  Cameroon - 0.3%
EUR 110,000 Republic of Cameroon International Bond 5.95%, 07/07/2032(1) 75,245
  Chile - 1.5%
  Bonos de la Tesoreria de la Republica en pesos  
CLP 135,000,000 2.50%, 03/01/2025 132,812
65,000,000 4.70%, 09/01/2030(1)(2) 63,694
$ 280,000 Chile Government International Bond 2.55%, 07/27/2033 237,761
      434,267
  Colombia - 2.4%
  Colombia Government International Bond  
270,000 4.50%, 01/28/2026 258,628
240,000 6.13%, 01/18/2041 201,116
  Colombian TES  
COP 913,400,000 7.00%, 06/30/2032 149,867
575,000,000 7.25%, 10/18/2034 91,340
      700,951
  Costa Rica - 0.7%
$ 200,000 Costa Rica Government International Bond 6.13%, 02/19/2031(1) 192,161
 

20

Hartford Schroders Emerging Markets Multi-Sector Bond Fund
Schedule of Investments – (continued)
July 31, 2022  (Unaudited) 

Shares or Principal Amount   Market Value†
FOREIGN GOVERNMENT OBLIGATIONS - 51.3% - (continued)
  Czech Republic - 0.4%
               Czech Republic Government Bond  
CZK      3,740,000 1.50%, 04/24/2040 $    103,811
       470,000 2.00%, 10/13/2033     15,955
      119,766
  Dominican Republic - 1.0%
$       330,000 Dominican Republic International Bond 6.85%, 01/27/2045(1)    289,914
  Ecuador - 1.5%
  Ecuador Government International Bond  
651,500 0.00%, 07/31/2030(1)(9) 274,490
314,665 1.50%, 07/31/2040(1)(8) 129,478
54,000 2.50%, 07/31/2035(1)(8) 24,413
      428,381
  El Salvador - 0.1%
  El Salvador Government International Bond  
50,000 5.88%, 01/30/2025(1) 22,938
40,000 8.63%, 02/28/2029(1) 14,741
      37,679
  Gabon - 0.5%
200,000 Gabon Government International Bond 6.63%, 02/06/2031(1) 141,260
  Ghana - 0.4%
240,000 Ghana Government International Bond 7.63%, 05/16/2029(1) 112,200
  Hungary - 0.2%
HUF 30,840,000 Hungary Government Bond 5.50%, 06/24/2025 68,621
  Indonesia - 4.9%
  Indonesia Treasury Bond  
IDR 2,820,000,000 7.00%, 05/15/2027 192,309
1,035,000,000 7.50%, 08/15/2032 70,826
1,878,000,000 8.25%, 06/15/2032 134,647
1,768,000,000 8.75%, 05/15/2031 130,939
5,087,000,000 9.00%, 03/15/2029 380,689
$ 470,000 Perusahaan Penerbit SBSN Indonesia III 4.70%, 06/06/2032(1) 486,313
      1,395,723
  Ivory Coast - 1.4%
  Ivory Coast Government International Bond  
EUR 100,000 5.25%, 03/22/2030(1) 78,798
440,000 6.63%, 03/22/2048(1) 312,588
      391,386
  Jordan - 0.6%
$ 200,000 Jordan Government International Bond 5.75%, 01/31/2027(1) 182,676
  Malaysia - 2.9%
  Malaysia Government Bond  
MYR 1,820,000 3.89%, 08/15/2029 408,694
1,898,000 3.90%, 11/30/2026 429,667
      838,361
  Mexico - 4.0%
  Mexican Bonos  
MXN 4,930,000 7.75%, 05/29/2031 228,211
2,850,000 7.75%, 11/23/2034 129,808
11,240,000 7.75%, 11/13/2042 496,053
6,200,000 8.00%, 11/07/2047 279,813
      1,133,885
Shares or Principal Amount   Market Value†
FOREIGN GOVERNMENT OBLIGATIONS - 51.3% - (continued)
  Nigeria - 2.1%
               Nigeria Government International Bond  
$         200,000 7.14%, 02/23/2030(1) $    143,984
       200,000 7.88%, 02/16/2032(1)     143,000
       200,000 8.38%, 03/24/2029(1)     154,796
       200,000 8.75%, 01/21/2031(1)    151,068
      592,848
  Oman - 0.6%
       200,000 Oman Government International Bond 6.75%, 01/17/2048(1)    177,012
  Panama - 1.2%
  Panama Government International Bond  
200,000 3.16%, 01/23/2030 180,560
200,000 4.50%, 01/19/2063 157,864
      338,424
  Peru - 4.5%
150,000 Fondo MIVIVIENDA S.A. 4.63%, 04/12/2027(1) 144,720
  Peru Government Bond  
PEN 1,180,000 5.35%, 08/12/2040 217,190
1,272,000 5.40%, 08/12/2034 253,720
430,000 6.95%, 08/12/2031 100,972
  Peruvian Government International Bond  
$ 94,000 1.86%, 12/01/2032 74,651
318,000 2.78%, 01/23/2031 280,100
146,000 3.00%, 01/15/2034 125,021
63,000 3.30%, 03/11/2041 50,997
60,000 3.55%, 03/10/2051 48,226
      1,295,597
  Poland - 1.3%
  Republic of Poland Government Bond  
PLN 614,000 1.25%, 10/25/2030 94,897
717,000 2.75%, 10/25/2029 127,657
760,000 4.00%, 10/25/2023 158,780
      381,334
  Qatar - 1.4%
  Qatar Government International Bond  
$ 200,000 3.40%, 04/16/2025(1) 200,580
200,000 4.82%, 03/14/2049(1) 213,617
      414,197
  Romania - 0.3%
  Romania Government Bond  
RON 190,000 3.65%, 09/24/2031 28,259
390,000 4.15%, 10/24/2030 61,742
      90,001
  Russia - 0.0%
  Russian Federal Bond - OFZ  
RUB 49,589,000 7.25%, 05/10/2034(5)(6)
15,450,000 7.70%, 03/23/2033(5)(6)
21,022,000 8.50%, 09/17/2031(5)(6)
     
  Saudi Arabia - 2.7%
  Saudi Government International Bond  
$ 200,000 3.25%, 10/26/2026(2) 199,678
600,000 4.50%, 10/26/2046(1) 579,000
      778,678
  South Africa - 4.4%
  Republic of South Africa Government Bond  
ZAR 7,909,200 7.00%, 02/28/2031 379,090
3,540,000 8.00%, 01/31/2030 187,224
 

21

Hartford Schroders Emerging Markets Multi-Sector Bond Fund
Schedule of Investments – (continued)
July 31, 2022  (Unaudited) 

Shares or Principal Amount   Market Value†
FOREIGN GOVERNMENT OBLIGATIONS - 51.3% - (continued)
  South Africa - 4.4% - (continued)
ZAR      5,071,400 8.50%, 01/31/2037 $    246,033
     2,300,400 8.88%, 02/28/2035     118,051
     3,610,000 9.00%, 01/31/2040     179,175
$       200,000 Republic of South Africa Government International Bond 5.00%, 10/12/2046    141,740
      1,251,313
  Thailand - 1.2%
  Thailand Government Bond  
THB       838,000 1.60%, 06/17/2035      19,131
1,230,000 2.00%, 06/17/2042 26,805
8,688,000 3.63%, 06/16/2023 240,859
1,760,000 4.88%, 06/22/2029 55,066
      341,861
  Ukraine - 0.1%
$ 200,000 Ukraine Government International Bond 7.38%, 09/25/2032(1) 38,666
  United Arab Emirates - 1.9%
  Abu Dhabi Government International Bond  
200,000 3.13%, 04/16/2030(1) 196,824
400,000 3.13%, 09/30/2049(1) 332,800
      529,624
  Total Foreign Government Obligations
(cost $17,671,454)
  $ 14,715,213
  Total Long-Term Investments
(cost $32,810,703)
  $ 27,292,389
SHORT-TERM INVESTMENTS - 3.1%
  Other Investment Pools & Funds - 2.1%
600,293 Morgan Stanley Institutional Liquidity Funds, Treasury Portfolio, Institutional Class, 1.48%(10) $ 600,293
  Securities Lending Collateral - 1.0%
144,670 Goldman Sachs Financial Square Funds, Government Fund, Institutional Class, 2.06%(10) 144,670
102,418 HSBC US Government Money Market Fund, 2.18%(10) 102,418
46,970 Invesco Government & Agency Portfolio, Institutional Class, 2.12%(10) 46,970
      294,058
  Total Short-Term Investments
(cost $894,351)
$ 894,351
  Total Investments
(cost $33,705,054)
98.2% $ 28,186,740
  Other Assets and Liabilities 1.8% 506,509
  Total Net Assets 100.0% $ 28,693,249
Note: Percentage of investments as shown is the ratio of the total market value to total net assets.
  Prices of foreign equities that are principally traded on certain foreign markets will generally be adjusted daily pursuant to a fair value pricing service approved by the Board of Directors in order to reflect an adjustment for factors occurring after the close of certain foreign markets but before the close of the New York Stock Exchange.
  The Fund may refer to any one or more of the industry classifications used by one or more widely recognized market indices, ratings group and/or as defined by Fund management. Industry classifications may not be identical across all security types.
  For Fund compliance purposes, the Fund may not use the same classification system. These classifications are used for financial reporting purposes.
  See “Glossary” for abbreviation descriptions.
    
(1) Security was purchased pursuant to Rule 144A under the Securities Act of 1933 and may be sold in transactions that are exempt from registration (typically only to qualified institutional buyers) or in a public offering registered under the Securities Act of 1933. At July 31, 2022, the aggregate value of these securities was $14,657,567, representing 51.1% of net assets.
(2) Security is exempt from registration under Regulation S under the Securities Act of 1933, which exempts from registration securities offered and sold outside of the United States. Security may not be offered or sold in the United States except pursuant to an exemption from, or in a transaction not subject to, the registration requirements of the Securities Act of 1933. At July 31, 2022, the aggregate value of these securities was $1,589,678, representing 5.5% of net assets.
(3) Represents entire or partial securities on loan.
(4) Perpetual maturity security. Maturity date shown is the next call date or final legal maturity date, whichever comes first.
(5) These securities are valued in good faith at fair value as determined under policies and procedures established by and under the supervision of the Board of Directors. At July 31, 2022, the aggregate fair value of these securities are $0, which represented 0.0% of total net assets. This amount excludes securities that are principally traded in certain foreign markets and whose prices are adjusted pursuant to a third party pricing service methodology approved by the Board of Directors.
(6) Investment valued using significant unobservable inputs.
(7) Fixed to variable rate investment. The rate shown reflects the fixed rate in effect at July 31, 2022. Rate will reset at a future date. Base lending rates may be subject to a floor or cap.
(8) Security is a “step-up” bond where coupon increases or steps up at a predetermined date. Rate shown is current coupon rate.
(9) Security is a zero-coupon bond.
(10) Current yield as of period end.
 
Foreign Currency Contracts Outstanding at July 31, 2022
Amount and Description of
Currency to be Purchased
  Amount and Description of
Currency to be Sold
  Counterparty   Settlement
Date
  Appreciation/
(Depreciation)
610,000 BRL   115,192 USD   UBS   09/14/2022   $ 1,185
5,290,000 CNY   792,272 USD   UBS   08/26/2022   (6,499)
1,670,000 CNY   248,069 USD   UBS   10/21/2022   405
1,134,410,000 COP   280,510 USD   UBS   08/04/2022   (16,075)

22

Hartford Schroders Emerging Markets Multi-Sector Bond Fund
Schedule of Investments – (continued)
July 31, 2022  (Unaudited) 

Foreign Currency Contracts Outstanding at July 31, 2022 – (continued)
Amount and Description of
Currency to be Purchased
  Amount and Description of
Currency to be Sold
  Counterparty   Settlement
Date
  Appreciation/
(Depreciation)
2,311,520,000 COP   519,443 USD   UBS   09/22/2022   $ 14,718
450,000 EUR   485,010 USD   JPM   08/04/2022   (24,962)
1,030,000 EUR   1,056,643 USD   JPM   09/14/2022   (593)
12,500,000 MXN   605,158 USD   CBK   09/14/2022   2,922
950,000 PEN   240,720 USD   MSC   09/22/2022   (299)
2,411,692 PLN   552,446 USD   MSC   08/19/2022   (34,162)
1,380,000 PLN   292,753 USD   MSC   10/07/2022   1,320
118,978 USD   610,000 BRL   UBS   09/14/2022   2,601
91,499 USD   620,000 CNY   UBS   08/26/2022   (595)
278,965 USD   1,134,410,000 COP   CBK   08/04/2022   14,530
566,827 USD   2,311,520,000 COP   MSC   09/22/2022   32,666
475,498 USD   450,000 EUR   MSC   08/04/2022   15,450
457,594 USD   430,000 EUR   JPM   09/14/2022   16,719
630,248 USD   600,000 EUR   UBS   09/14/2022   15,073
617,144 USD   12,500,000 MXN   UBS   09/14/2022   9,064
393,984 USD   1,480,000 PEN   UBS   09/22/2022   19,433
242,712 USD   920,000 PEN   JPM   09/22/2022   9,883
210,997 USD   932,125 PLN   JPM   08/19/2022   10,678
106,273 USD   469,567 PLN   BOA   08/19/2022   5,361
221,937 USD   1,010,000 PLN   UBS   08/19/2022   4,883
144,223 USD   686,550 PLN   UBS   10/07/2022   (2,078)
145,632 USD   693,450 PLN   JPM   10/07/2022   (2,139)
315,705 USD   5,000,000 ZAR   MSC   09/14/2022   16,397
156,554 USD   2,530,000 ZAR   SSG   09/14/2022   5,104
Total foreign currency contracts   $ 110,990
For information regarding the Fund’s significant accounting policies, please refer to the Fund’s most recent shareholder report.
Fair Value Summary
The following is a summary of the fair valuations according to the inputs used as of July 31, 2022 in valuing the Fund’s investments.
Description   Total   Level 1   Level 2   Level 3(1)
Assets                
Corporate Bonds   $ 12,577,176   $ —   $ 12,577,176   $ —
Foreign Government Obligations   14,715,213     14,715,213  
Short-Term Investments   894,351   894,351    
Foreign Currency Contracts(2)   199,498     199,498  
Total   $ 28,386,238   $ 894,351   $ 27,491,887   $ —
Liabilities                
Foreign Currency Contracts(2)   $ (88,508)   $ —   $ (88,508)   $ —
Total   $ (88,508)   $ —   $ (88,508)   $ —
    
(1) For the period ended July 31, 2022, investments valued at $561,703 were transferred into Level 3 due to the unavailability of active market pricing. There were no transfers out of Level 3.
(2) Derivative instruments (excluding purchased and written options, if applicable) are valued at the unrealized appreciation/(depreciation) on the investments.
Level 3 investments at the beginning and/or end of the period in relation to net assets were not significant and accordingly, a reconciliation of Level 3 assets for the period ended July 31, 2022 is not presented.

23

Hartford Schroders International Contrarian Value Fund
Schedule of Investments
July 31, 2022  (Unaudited) 

Shares or Principal Amount   Market Value†
COMMON STOCKS - 94.9%
  Australia - 2.3%
 7,923 South32 Ltd. $  21,595
  Belgium - 2.5%
   535 Ageas S.A.  23,350
  France - 15.9%
   960 AXA S.A.  22,121
 1,385 Carrefour S.A.  23,603
2,213 Orange S.A. 22,613
454 Publicis Groupe S.A.* 24,160
900 Renault S.A.* 26,608
295 Sanofi 29,315
      148,420
  Germany - 8.3%
469 BASF SE 20,901
389 Bayer AG 22,691
477 Continental AG 33,982
      77,574
  Italy - 5.7%
2,012 Eni S.p.A. 24,185
7,416 Intesa Sanpaolo S.p.A. 13,169
1,608 UniCredit S.p.A. 15,903
      53,257
  Japan - 15.6%
800 Bridgestone Corp. 31,205
800 Dentsu Group, Inc. 27,945
800 KDDI Corp. 25,650
1,100 Nippon Telegraph & Telephone Corp. 31,422
3,500 Panasonic Holdings Corp. 28,896
      145,118
  Netherlands - 1.6%
1,529 ING Groep N.V. 14,852
  Singapore - 2.9%
45,400 Genting Singapore Ltd. 26,515
  Spain - 2.6%
1,965 Repsol S.A.* 24,481
  Switzerland - 5.5%
101 Swatch Group AG 26,888
318 Swiss Re AG 23,862
      50,750
  United Kingdom - 32.0%
604 Anglo American plc 21,832
8,396 Barclays plc 16,083
8,692 BT Group plc 17,161
1,150 GSK plc 24,153
1,437 Haleon plc* 5,106
2,533 HSBC Holdings plc 15,867
846 Imperial Brands plc 18,575
5,449 Natwest Group plc 16,550
3,080 Pearson plc 28,506
23,786 Rolls-Royce Holdings plc* 25,997
Shares or Principal Amount   Market Value†
COMMON STOCKS - 94.9% - (continued)
  United Kingdom - 32.0% - (continued)
 1,003 Shell plc $  26,756
 4,147 Standard Chartered plc  28,584
 9,123 Tesco plc  29,259
 2,223 WPP plc   23,991
      298,420
  Total Common Stocks
(cost $955,715)
  $ 884,332
PREFERRED STOCKS - 3.2%
  Germany - 3.2%
465 Henkel AG & Co. KGaA (Preference Shares) $ 29,706
  Total Preferred Stocks
(cost $30,780)
  $ 29,706
  Total Long-Term Investments
(cost $986,495)
  $ 914,038
SHORT-TERM INVESTMENTS - 2.4%
  Other Investment Pools & Funds - 2.4%
$   22,864 Morgan Stanley Institutional Liquidity Funds, Treasury Portfolio, Institutional Class, 1.48%(1) $ 22,864
  Total Short-Term Investments
(cost $22,864)
$ 22,864
  Total Investments
(cost $1,009,359)
100.5% $ 936,902
  Other Assets and Liabilities (0.5)% (4,870)
  Total Net Assets 100.0% $ 932,032
Note: Percentage of investments as shown is the ratio of the total market value to total net assets.
  Prices of foreign equities that are principally traded on certain foreign markets will generally be adjusted daily pursuant to a fair value pricing service approved by the Board of Directors in order to reflect an adjustment for factors occurring after the close of certain foreign markets but before the close of the New York Stock Exchange.
  Equity industry classifications used in this report are the Global Industry Classification Standard, which was developed by and is the exclusive property and service mark of MSCI, Inc. and Standard & Poor’s.
  For Fund compliance purposes, the Fund may not use the same classification system. These classifications are used for financial reporting purposes.
  See “Glossary” for abbreviation descriptions.
    
* Non-income producing.
(1) Current yield as of period end.
For information regarding the Fund’s significant accounting policies, please refer to the Fund’s most recent shareholder report (when available).
 

24

Hartford Schroders International Contrarian Value Fund
Schedule of Investments – (continued)
July 31, 2022  (Unaudited) 

Fair Value Summary
The following is a summary of the fair valuations according to the inputs used as of July 31, 2022 in valuing the Fund’s investments.
Description   Total   Level 1   Level 2   Level 3(1)
Assets                
Common Stocks                
Australia   $ 21,595   $ —   $ 21,595   $ —
Belgium   23,350     23,350  
France   148,420     148,420  
Germany   77,574     77,574  
Italy   53,257     53,257  
Japan   145,118     145,118  
Netherlands   14,852     14,852  
Singapore   26,515     26,515  
Spain   24,481     24,481  
Switzerland   50,750     50,750  
United Kingdom   298,420   5,106   293,314  
Preferred Stocks   29,706     29,706  
Short-Term Investments   22,864   22,864    
Total   $ 936,902   $ 27,970   $ 908,932   $ —
    
(1) For the period ended July 31, 2022, there were no transfers in and out of Level 3.

25

Hartford Schroders International Multi-Cap Value Fund
Schedule of Investments
July 31, 2022  (Unaudited) 

Shares or Principal Amount   Market Value†
COMMON STOCKS - 93.9%
  Australia - 3.4%
    656,289 Allkem Ltd.* $     5,293,884
  1,599,129 Beach Energy Ltd.      2,060,829
    809,663 BHP Group Ltd.     22,271,808
     94,123 BlueScope Steel Ltd.      1,105,604
    729,314 Fortescue Metals Group Ltd.      9,385,219
    585,650 IGO Ltd.      4,589,056
453,174 Iluka Resources Ltd. 3,075,702
475,648 Perenti Global Ltd. 191,886
1,120,187 Pilbara Minerals Ltd.* 2,208,707
151,867 Rio Tinto Ltd. 10,522,036
2,276,592 Santos Ltd. 11,834,590
391,805 Sierra Rutile Holdings Ltd.* 87,601
460,578 Woodside Energy Group Ltd. 10,402,795
      83,029,717
  Austria - 0.6%
77,954 Erste Group Bank AG 1,976,342
206,013 OMV AG 8,774,078
149,398 Raiffeisen Bank International AG 1,809,920
75,793 Telekom Austria AG 468,659
33,703 voestalpine AG 758,878
      13,787,877
  Belgium - 0.6%
69,511 Ageas S.A. 3,033,828
50,069 bpost S.A. 314,229
109,819 KBC Group N.V. 5,751,986
55,134 Solvay S.A. 4,842,580
14,559 Telenet Group Holding N.V. 232,846
      14,175,469
  Bermuda - 0.1%
274,858 DHT Holdings, Inc. 1,805,817
  Brazil - 0.5%
169,815 AES Brasil Energia S.A. 352,817
486,046 Cia de Saneamento Basico do Estado de Sao Paulo 4,196,222
317,900 Cia de Saneamento de Minas Gerais 737,288
534,793 Cia Energetica de Minas Gerais(1) 1,187,240
615,500 CSN Mineracao S.A. 416,353
492,700 EDP - Energias do Brasil S.A. 2,066,367
381,100 Engie Brasil Energia S.A. 3,264,404
297,500 Light S.A. 307,614
66,400 Sao Martinho S.A. 449,545
      12,977,850
  Canada - 8.7%
418,077 ARC Resources Ltd. 5,863,623
190,776 Bank of Montreal(1) 19,018,753
588,850 BCE, Inc. 29,751,743
83,660 BRP, Inc.(1) 6,363,269
52,100 Canaccord Genuity Group, Inc. 404,822
11,651 Canadian National Railway Co. 1,476,039
84,044 Canadian Natural Resources Ltd. 4,640,780
58,853 Canfor Corp.* 1,252,387
214,372 Capstone Copper Corp.* 483,804
33,676 Celestica, Inc.* 354,761
252,171 CI Financial Corp. 2,906,598
152,253 Corus Entertainment, Inc. Class B 447,051
200 E-L Financial Corp. Ltd. 125,727
1,693 Fairfax Financial Holdings Ltd. 911,976
64,943 Fiera Capital Corp. Class A(1) 462,013
206,005 Fortuna Silver Mines, Inc.*(1) 590,401
134,097 Gildan Activewear, Inc. 3,930,077
370,375 Hudbay Minerals, Inc. 1,425,910
69,123 IGM Financial, Inc. 2,006,945
68,982 Imperial Oil Ltd. 3,305,943
80,860 Interfor Corp.* 1,996,637
Shares or Principal Amount   Market Value†
COMMON STOCKS - 93.9% - (continued)
  Canada - 8.7% - (continued)
     23,725 Largo, Inc.*(1) $       180,640
     33,600 Linamar Corp.      1,531,817
    170,287 Loblaw Cos., Ltd.     15,501,430
     92,494 Magna International, Inc.      5,906,239
    608,111 Manulife Financial Corp.     11,131,250
     42,700 Martinrea International, Inc.        311,443
244,478 Metro, Inc. 13,537,882
272,679 National Bank of Canada 19,132,567
126,392 Nutrien Ltd. 10,819,641
42,575 Open Text Corp. 1,741,501
228,451 Parex Resources, Inc. 4,253,072
92,679 Royal Bank of Canada 9,036,664
42,321 Sleep Country Canada Holdings, Inc.(2) 946,526
120,254 Suncor Energy, Inc. 4,081,245
112,577 Teck Resources Ltd. Class B 3,309,925
10,641 Toromont Industries Ltd. 896,202
261,687 Toronto-Dominion Bank 16,998,262
38,664 Transcontinental, Inc. Class A 490,339
62,463 West Fraser Timber Co., Ltd. 5,848,026
      213,373,930
  Chile - 0.3%
3,946,496 Aguas Andinas S.A. Class A 796,000
78,072 Sociedad Quimica y Minera de Chile S.A. ADR 7,679,943
      8,475,943
  China - 5.4%
809,000 3SBio, Inc.(2) 538,492
3,579,000 Agricultural Bank of China Ltd. Class H 1,180,433
1,497,800 Alibaba Group Holding Ltd.* 16,840,467
824,250 A-Living Smart City Services Co., Ltd.(2) 1,005,390
2,526,500 BAIC Motor Corp. Ltd. Class H(2) 679,899
552,150 Baidu, Inc. Class A* 9,543,580
5,628,000 Bank of China Ltd. Class H 2,001,233
4,676,000 China BlueChemical Ltd. Class H 1,265,111
790,000 China Conch Venture Holdings Ltd. 1,531,562
7,923,000 China Construction Bank Corp. Class H 5,059,708
3,372,000 China Feihe Ltd.(2) 2,960,867
523,200 China International Capital Corp. Ltd. Class H(2) 962,021
1,267,000 China Lesso Group Holdings Ltd. Class L 1,552,786
362,000 China Lilang Ltd. 170,369
1,336,000 China Medical System Holdings Ltd. 2,123,848
1,125,500 China Merchants Bank Co., Ltd. Class H 6,081,412
984,000 China Shineway Pharmaceutical Group Ltd. 783,574
3,533,000 China Suntien Green Energy Corp. Ltd. Class H 1,732,933
32,662,000 China Tower Corp. Ltd. Class H(2) 4,202,051
906,500 China Yongda Automobiles Services Holdings Ltd. 781,646
1,230,000 Consun Pharmaceutical Group Ltd. 674,024
546,560 Ganfeng Lithium Co., Ltd. Class H(2) 4,942,139
654,000 Greentown Management Holdings Co., Ltd.(2) 544,023
528,000 Haitian International Holdings Ltd. 1,263,568
11,808,000 Industrial & Commercial Bank of China Ltd. Class H 6,242,744
310,650 JD.com, Inc. Class A 9,267,480
1,529,400 Kingsoft Corp. Ltd. 5,106,604
587,400 Livzon Pharmaceutical Group, Inc. Class H 1,751,148
6,369,000 Lonking Holdings Ltd. 1,263,338
129,500 NetDragon Websoft Holdings Ltd. 258,726
629,900 NetEase, Inc. 11,783,388
822,500 Ping An Insurance Group Co. of China Ltd. Class H 4,833,864
304,000 Q Technology Group Co., Ltd.* 174,488
159,000 S-Enjoy Service Group Co., Ltd. 133,714
1,754,000 Sinotrans Ltd. Class H 526,057
 

26

Hartford Schroders International Multi-Cap Value Fund
Schedule of Investments – (continued)
July 31, 2022  (Unaudited) 

Shares or Principal Amount   Market Value†
COMMON STOCKS - 93.9% - (continued)
  China - 5.4% - (continued)
    311,800 Tencent Holdings Ltd. $    12,050,699
  1,068,000 Tianneng Power International Ltd.(1)      1,251,906
    637,600 Xinjiang Goldwind Science & Technology Co., Ltd. Class H      1,139,071
  1,117,600 Xinte Energy Co., Ltd. Class H      2,971,082
    814,000 Yangzijiang Shipbuilding Holdings Ltd.        548,803
    243,500 Zhongsheng Group Holdings Ltd.      1,394,021
1,660,600 Zoomlion Heavy Industry Science and Technology Co., Ltd. Class H 863,354
1,285,400 ZTE Corp. Class H 2,766,105
      132,747,728
  Colombia - 0.0%
26,351 Tecnoglass, Inc.(1) 590,526
  Denmark - 0.8%
2,389 AP Moller - Maersk A/S Class B 6,522,766
178,074 Pandora A/S 13,229,421
      19,752,187
  Finland - 0.7%
190,975 Elisa Oyj 10,561,887
1,030,086 Nokia Oyj 5,365,285
258,131 Outokumpu Oyj(1) 1,136,500
34,854 TietoEVRY Oyj 948,026
      18,011,698
  France - 5.4%
45,487 Amundi S.A.(2) 2,469,708
143,785 BNP Paribas S.A. 6,793,451
174,388 Cie de Saint-Gobain 8,131,681
177,541 Cie Generale des Etablissements Michelin SCA 4,968,407
58,767 Coface S.A.* 615,457
49,561 Derichebourg S.A. 315,893
195,261 Engie S.A. 2,415,835
18,534 Eramet S.A. 1,961,943
64,379 Eutelsat Communications S.A. 489,906
60,913 Faurecia SE* 1,101,002
8,735 Fnac Darty S.A. 350,384
66,985 Ipsen S.A. 6,776,011
43,285 IPSOS 2,218,603
34,936 Legrand S.A. 2,860,162
296,019 Metropole Television S.A. 3,899,303
1,720,284 Orange S.A. 17,578,604
24,917 Pernod Ricard S.A. 4,894,804
24,979 Publicis Groupe S.A. 1,329,266
277,494 Rexel S.A. 4,931,746
12,552 Rothschild & Co. 462,250
292,903 Sanofi 29,106,802
309,971 Societe Generale S.A. 6,945,331
292,744 TotalEnergies SE 14,952,589
5,831 Trigano S.A. 570,538
206,272 Valeo S.A. 4,430,728
21,308 Verallia S.A.(2) 545,414
      131,115,818
  Georgia - 0.0%
68,559 TBC Bank Group plc 1,152,178
  Germany - 1.8%
59,420 BASF SE 2,648,063
90,620 Bayer AG 5,285,886
35,842 Bayerische Motoren Werke AG 2,928,769
14,143 Continental AG 1,007,564
84,611 Covestro AG(2) 2,853,538
611,412 Deutsche Bank AG 5,347,991
165,829 Deutsche Telekom AG 3,150,581
31,400 DWS Group GmbH & Co. KGaA(2) 916,560
Shares or Principal Amount   Market Value†
COMMON STOCKS - 93.9% - (continued)
  Germany - 1.8% - (continued)
     80,780 Fresenius SE & Co. KGaA $     2,067,076
     21,272 Hochtief AG      1,141,766
    158,836 K+S AG      3,349,251
     57,297 Kloeckner & Co. SE        561,546
     52,583 Mercedes-Benz Group AG      3,101,029
     37,960 Porsche Automobil Holding SE      2,747,610
211,086 ProSiebenSat.1 Media SE 1,805,359
251,499 Schaeffler AG(1) 1,481,453
187,465 TeamViewer AG*(2) 1,951,824
10,484 Vitesco Technologies Group AG* 570,215
      42,916,081
  Gibraltar - 0.0%
228,399 888 Holdings plc 409,150
  Greece - 0.0%
40,966 OPAP S.A. 571,554
  Hong Kong - 1.6%
2,314,000 Brilliance China Automotive Holdings Ltd.*(3)(4) 1,075,950
1,727,000 China Gas Holdings Ltd. 2,654,649
746,500 China Overseas Land & Investment Ltd. 2,062,892
758,000 China Water Affairs Group Ltd. 680,393
656,303 CK Asset Holdings Ltd. 4,646,446
3,317,000 GCL-Poly Energy Holdings Ltd.* 1,451,627
99,000 Hang Lung Properties Ltd. 180,625
735,000 Henderson Land Development Co., Ltd. 2,558,642
394,400 Hongkong Land Holdings Ltd. 2,050,115
531,000 Hysan Development Co., Ltd. 1,627,827
841,500 JS Global Lifestyle Co., Ltd.(2) 1,011,763
276,000 Kerry Properties Ltd. 663,817
720,000 Sino Land Co., Ltd. 1,069,803
1,421,000 SITC International Holdings Co., Ltd. 4,838,399
390,000 Sun Hung Kai Properties Ltd. 4,655,481
280,000 Swire Pacific Ltd. Class A 1,594,634
708,800 Swire Properties Ltd. 1,688,879
1,242,000 Untrade Youyuan(1)(3)(4)
668,000 Wharf Real Estate Investment Co., Ltd. 2,973,406
1,086,000 Xinyi Glass Holdings Ltd. 2,141,954
      39,627,302
  Hungary - 0.3%
178,355 OTP Bank Nyrt 3,682,029
161,929 Richter Gedeon Nyrt 3,312,296
      6,994,325
  Indonesia - 0.6%
7,658,700 Industri Jamu Dan Farmasi Sido Muncul Tbk PT 467,293
7,749,100 Media Nusantara Citra Tbk PT 552,067
43,993,800 Telkom Indonesia Persero Tbk PT 12,565,511
      13,584,871
  Ireland - 0.4%
1,218,668 AIB Group plc 2,772,040
819,529 Bank of Ireland Group plc 4,694,064
129,726 Kenmare Resources plc 696,693
38,331 Smurfit Kappa Group plc 1,389,399
      9,552,196
  Isle of Man - 0.0%
498,877 Strix Group plc(1) 970,837
  Israel - 1.0%
106,799 Check Point Software Technologies Ltd.* 13,307,155
322,441 ICL Group Ltd. 2,938,217
196,883 Plus500 Ltd. 3,995,832
 

27

Hartford Schroders International Multi-Cap Value Fund
Schedule of Investments – (continued)
July 31, 2022  (Unaudited) 

Shares or Principal Amount   Market Value†
COMMON STOCKS - 93.9% - (continued)
  Israel - 1.0% - (continued)
    162,781 Teva Pharmaceutical Industries Ltd.* $     1,526,886
     37,534 ZIM Integrated Shipping Services Ltd.     1,869,944
      23,638,034
  Italy - 1.4%
    364,471 Anima Holding S.p.A.(2)      1,279,599
    166,767 Azimut Holding S.p.A.      2,917,276
1,382,776 Eni S.p.A. 16,621,768
1,105,022 Italgas S.p.A. 6,321,599
309,588 Pirelli & C. S.p.A.(2) 1,331,472
90,142 RAI Way S.p.A.(2) 448,637
56,797 Recordati Industria Chimica e Farmaceutica S.p.A. 2,518,907
170,981 UniCredit S.p.A. 1,690,948
      33,130,206
  Japan - 16.2%
192,700 AGC, Inc. 7,024,537
162,500 Air Water, Inc. 2,187,719
158,600 Aisin Corp. 4,710,195
161,400 Ajinomoto Co., Inc. 4,247,399
1,936,100 Astellas Pharma, Inc. 30,322,007
256,100 Citizen Watch Co., Ltd. 1,122,744
83,900 CKD Corp. 1,191,522
17,900 Daido Steel Co., Ltd. 534,251
234,000 Daiwabo Holdings Co., Ltd. 3,359,213
48,800 Dexerials Corp. 1,317,269
46,800 Dowa Holdings Co., Ltd. 1,697,282
36,000 Eagle Industry Co., Ltd. 272,663
898,600 ENEOS Holdings, Inc. 3,476,146
61,600 Exedy Corp. 802,125
104,600 FCC Co., Ltd. 1,113,760
24,100 Goldcrest Co., Ltd. 327,790
64,200 GS Yuasa Corp. 1,172,170
29,400 G-Tekt Corp. 296,161
237,400 Hachijuni Bank Ltd. 883,802
26,300 Hamakyorex Co., Ltd. 631,282
143,300 Haseko Corp. 1,744,593
114,200 Hazama Ando Corp. 768,767
106,900 Hokuetsu Kishu Paper Co., Ltd. 563,685
373,700 Honda Motor Co., Ltd. 9,576,876
57,400 Hosiden Corp. 639,029
1,810,300 Inpex Corp. 20,749,247
408,300 Isuzu Motors Ltd. 4,478,480
264,000 ITOCHU Corp.(1) 7,684,950
210,000 Iyo Bank Ltd. 1,018,778
47,200 Japan Post Insurance Co., Ltd. 763,123
173,100 JTEKT Corp. 1,283,524
122,000 Kajima Corp. 1,392,716
349,500 Kamigumi Co., Ltd. 7,106,877
77,600 Kanamoto Co., Ltd. 1,194,802
63,800 Kandenko Co., Ltd. 396,082
61,300 Kaneka Corp. 1,660,929
944,000 KDDI Corp. 30,266,828
40,700 KH Neochem Co., Ltd. 777,211
29,600 Kinden Corp. 349,466
251,300 Kobe Steel Ltd. 1,168,257
22,000 Kohnan Shoji Co., Ltd. 616,920
26,400 Komeri Co., Ltd. 531,186
29,600 Kumagai Gumi Co., Ltd. 629,788
16,900 Kureha Corp. 1,285,311
31,200 Kyokuto Kaihatsu Kogyo Co., Ltd. 340,742
45,600 Kyudenko Corp. 992,552
36,700 Makino Milling Machine Co., Ltd. 1,249,452
942,600 Marubeni Corp. 8,768,316
573,700 Mazda Motor Corp. 4,836,044
25,800 Meidensha Corp. 399,319
691,300 Mitsubishi Chemical Holdings Corp. 3,887,544
Shares or Principal Amount   Market Value†
COMMON STOCKS - 93.9% - (continued)
  Japan - 16.2% - (continued)
    139,400 Mitsubishi Gas Chemical Co., Inc. $     2,026,267
    293,900 Mitsubishi Motors Corp.*      1,024,034
    885,400 Mitsubishi UFJ Financial Group, Inc.      4,988,779
    416,700 Mitsui & Co., Ltd.      9,193,345
    145,500 Mitsui Chemicals, Inc.      3,064,846
     26,300 Mitsui Mining & Smelting Co., Ltd.        629,842
98,700 Mitsui OSK Lines Ltd.(1) 2,706,443
35,400 Mizuno Corp. 664,774
46,500 Morinaga Milk Industry Co., Ltd. 1,714,589
105,800 Musashi Seimitsu Industry Co., Ltd. 1,138,035
159,400 NGK Spark Plug Co., Ltd. 3,121,442
119,400 NHK Spring Co., Ltd. 813,679
16,200 Nichias Corp. 289,086
10,868 Nichirin Co., Ltd. 128,671
96,950 Nippon Light Metal Holdings Co., Ltd. 1,159,459
29,400 Nippon Shokubai Co., Ltd. 1,150,748
942,300 Nippon Telegraph & Telephone Corp. 26,917,100
39,200 Nippon Yusen KK 3,079,211
53,300 Nishio Rent All Co., Ltd. 1,152,492
22,200 Nitta Corp. 488,427
26,800 Nojima Corp. 587,860
137,100 NOK Corp. 1,231,097
869,200 Nomura Holdings, Inc. 3,316,443
12,400 Noritake Co. Ltd. 396,862
117,800 Obayashi Corp. 866,353
514,400 Oji Holdings Corp. 2,144,613
14,200 Okinawa Cellular Telephone Co. 578,143
977,400 Ono Pharmaceutical Co., Ltd. 27,483,411
316,600 Panasonic Holdings Corp. 2,613,892
171,800 Penta-Ocean Construction Co., Ltd. 944,292
198,500 Press Kogyo Co., Ltd. 611,675
699,300 Renesas Electronics Corp.* 6,660,726
159,600 Rengo Co., Ltd. 933,364
298,300 Resona Holdings, Inc. 1,159,267
68,400 Rohto Pharmaceutical Co., Ltd. 2,050,206
26,800 Rorze Corp. 1,724,401
132,300 SBI Holdings, Inc. 2,684,027
122,700 Seino Holdings Co., Ltd. 1,017,737
119,000 Sekisui House Ltd.(1) 2,107,656
105,300 Senko Group Holdings Co., Ltd. 728,885
123,400 Shinko Electric Industries Co., Ltd. 3,178,001
70,600 Shinnihon Corp. 394,681
108,700 Shizuoka Bank Ltd. 657,789
48,800 Showa Denko KK 818,402
43,000 Sintokogio Ltd. 236,132
327,100 SKY Perfect JSAT Holdings, Inc. 1,370,429
113,000 Sumco Corp. 1,581,177
15,900 Sumitomo Bakelite Co., Ltd. 514,624
938,000 Sumitomo Chemical Co., Ltd. 3,686,274
125,600 Sumitomo Corp. 1,765,930
316,000 Sumitomo Electric Industries Ltd. 3,523,017
115,500 Sumitomo Forestry Co., Ltd. 1,793,313
87,700 Sumitomo Heavy Industries Ltd. 2,006,562
294,200 Sumitomo Mitsui Financial Group, Inc. 9,229,669
140,800 Sumitomo Rubber Industries Ltd. 1,269,506
33,600 Sumitomo Seika Chemicals Co., Ltd. 755,628
121,400 Taisei Corp. 3,873,486
63,600 TBS Holdings, Inc. 814,456
107,100 Toagosei Co., Ltd. 831,528
31,900 Toho Holdings Co., Ltd. 488,510
41,700 Tokai Rika Co., Ltd. 458,924
35,800 Tokyo Electron Ltd. 12,322,125
62,200 Tokyo Seimitsu Co., Ltd. 2,160,952
124,700 Tokyo Steel Manufacturing Co., Ltd. 1,282,720
210,100 Toppan, Inc. 3,574,946
74,800 Topre Corp. 579,485
70,200 Tosoh Corp. 915,071
 

28

Hartford Schroders International Multi-Cap Value Fund
Schedule of Investments – (continued)
July 31, 2022  (Unaudited) 

Shares or Principal Amount   Market Value†
COMMON STOCKS - 93.9% - (continued)
  Japan - 16.2% - (continued)
     38,200 Toyo Ink SC Holdings Co., Ltd. $       556,760
    120,100 Toyo Seikan Group Holdings Ltd.      1,383,023
     87,600 Toyo Tire Corp.      1,177,352
     21,400 Toyoda Gosei Co., Ltd.        337,718
     36,100 Toyota Boshoku Corp.        533,824
    265,200 Toyota Motor Corp.      4,304,468
148,900 Toyota Tsusho Corp. 5,081,873
44,400 TPR Co., Ltd. 417,403
117,500 TS Tech Co., Ltd. 1,339,841
34,400 Tsubakimoto Chain Co. 818,770
20,200 Tv Tokyo Holdings Corp. 297,756
22,300 Ulvac, Inc. 842,090
92,000 Wakita & Co., Ltd. 762,582
322,100 Yamaha Motor Co., Ltd. 6,222,048
104,500 Yokohama Rubber Co., Ltd. 1,530,656
54,500 Yurtec Corp. 298,196
      395,091,307
  Luxembourg - 0.2%
44,886 Aperam S.A. 1,463,476
3,534 Brederode S.A. 382,737
66,373 RTL Group S.A. 2,607,218
      4,453,431
  Malaysia - 0.2%
337,797 Lynas Corp. Ltd.* 2,077,229
944,900 RHB Bank Bhd 1,249,663
2,607,500 Westports Holdings Bhd 2,052,410
      5,379,302
  Mexico - 1.1%
2,641,701 Bolsa Mexicana de Valores S.A.B. de C.V. 4,955,417
2,296,000 Concentradora Fibra Danhos S.A. de C.V. REIT(1) 2,641,152
24,440 Fomento Economico Mexicano S.A.B. de C.V. ADR 1,514,791
658,100 Gentera S.A.B. de C.V. 531,374
138,400 Grupo Aeroportuario del Centro Norte S.A.B. de C.V. 842,736
1,305,900 Grupo Financiero Banorte S.A.B. de C.V. Class O 7,442,518
5,611,733 Kimberly-Clark de Mexico S.A.B. de C.V. Class A 8,285,946
2 Urbi Desarrollos Urbanos S.A.B. de C.V.* 1
      26,213,935
  Netherlands - 2.9%
583,528 ABN Amro Bank N.V. ADR(2) 5,950,756
1,160,028 Aegon N.V.(1) 5,095,080
84,464 AMG Advanced Metallurgical Group N.V. 2,371,035
145,426 ASR Nederland N.V. 6,078,432
616,593 ING Groep N.V. 5,989,476
7,814,368 Koninklijke KPN N.V.(1) 25,779,525
174,797 NN Group N.V. 8,201,894
281,014 PostNL N.V.(1) 739,151
100,891 Signify N.V.(2) 3,276,740
492,825 Stellantis N.V. 7,077,091
      70,559,180
  New Zealand - 0.0%
162,179 Freightways Ltd. 1,053,427
  Norway - 2.6%
95,626 Aker BP ASA 3,322,654
334,430 Aker BP ASA(1)(3) 11,557,877
875,077 Equinor ASA 33,693,862
172,705 Europris ASA(2) 1,021,185
186,850 Frontline Ltd.* 1,779,801
Shares or Principal Amount   Market Value†
COMMON STOCKS - 93.9% - (continued)
  Norway - 2.6% - (continued)
    529,211 Norsk Hydro ASA $     3,585,527
    179,994 Yara International ASA     7,670,867
      62,631,773
  Poland - 0.2%
  1,044,002 Powszechna Kasa Oszczednosci Bank Polski S.A.*     5,908,520
  Portugal - 0.3%
791,258 Galp Energia SGPS S.A. 8,352,186
  Russia - 0.0%
199,598 RusHydro PJSC ADR(3)(4)
  Singapore - 1.0%
436,700 DBS Group Holdings Ltd. 9,964,772
1,032,300 Oversea-Chinese Banking Corp. Ltd. 8,748,430
1,084,400 Sheng Siong Group Ltd. 1,256,125
712,100 UOL Group Ltd. 3,847,390
      23,816,717
  South Africa - 1.0%
19,027 Anglo American Platinum Ltd. 1,459,571
771,860 AVI Ltd. 3,217,012
84,986 Gold Fields Ltd. ADR(1) 781,871
177,376 Impala Platinum Holdings Ltd. 1,966,659
92,152 Kumba Iron Ore Ltd. 2,746,194
1,623,339 Netcare Ltd. 1,487,867
199,688 Northam Platinum Holdings Ltd.* 2,119,672
516,140 Truworths International Ltd. 1,589,724
1,079,333 Vodacom Group Ltd. 8,967,753
      24,336,323
  South Korea - 5.2%
21,307 AfreecaTV Co., Ltd. 1,434,698
30,450 Asia Paper Manufacturing Co., Ltd. 852,152
70,546 BH Co., Ltd. 1,609,213
4,478 CJ CheilJedang Corp. 1,349,732
36,255 Coway Co., Ltd. 1,788,508
91,633 Daeduck Electronics Co., Ltd. / New 2,016,804
19,133 Daesang Corp. 321,358
84,741 Daewoo Engineering & Construction Co., Ltd.* 343,302
76,907 DB HiTek Co., Ltd. 2,677,580
10,606 Dentium Co., Ltd. 699,900
48,189 Dongkuk Steel Mill Co., Ltd. 494,233
28,576 Eugene Technology Co., Ltd. 684,829
31,308 Fila Holdings Corp. 734,189
5,772 GOLFZON Co., Ltd. 655,214
18,624 HAESUNG DS Co., Ltd. 829,011
110,742 Hana Financial Group, Inc. 3,173,476
18,238 Handsome Co., Ltd. 437,283
70,539 Hankook Tire & Technology Co., Ltd. 1,890,841
1,217 Hyosung Advanced Materials Corp. 369,770
1,807 Hyosung TNC Corp. 480,899
27,797 Hyundai Department Store Co., Ltd. 1,427,784
14,810 Hyundai Glovis Co., Ltd. 2,078,621
6,416 Hyundai Home Shopping Network Corp. 258,502
5,365 Hyundai Motor Co. 811,258
11,716 Hyundai Wia Corp. 616,606
39,862 Innox Advanced Materials Co., Ltd. 1,143,556
30,973 INTOPS Co., Ltd. 816,384
82,598 Jusung Engineering Co., Ltd. 1,084,049
46,610 KB Financial Group, Inc. 1,733,516
143,056 Kia Corp. 8,956,362
7,236 KIWOOM Securities Co., Ltd. 471,187
10,382 Kolon Industries, Inc. 438,299
634,042 KT Corp. 18,428,781
59,066 KT Skylife Co., Ltd. 409,077
 

29

Hartford Schroders International Multi-Cap Value Fund
Schedule of Investments – (continued)
July 31, 2022  (Unaudited) 

Shares or Principal Amount   Market Value†
COMMON STOCKS - 93.9% - (continued)
  South Korea - 5.2% - (continued)
     14,521 LEENO Industrial, Inc. $     1,475,718
     55,238 LG Corp.      3,447,720
     70,599 LG Electronics, Inc.      5,149,656
     29,201 LG Innotek Co., Ltd.      8,187,364
    198,506 LG Uplus Corp.      1,912,822
     21,160 Lotte Chemical Corp.      2,878,972
37,058 LOTTE Fine Chemical Co., Ltd. 1,879,856
24,857 LX Semicon Co., Ltd. 1,912,623
178,002 Samsung Electronics Co., Ltd. 8,425,750
4,797 Samsung Electronics Co., Ltd. GDR 5,625,497
32,897 Samsung Securities Co., Ltd. 887,331
634,176 Seohee Construction Co., Ltd. 715,144
12,783 SFA Engineering Corp. 416,986
12,338 Shindaeyang Paper Co., Ltd. 841,953
29,771 Shinhan Financial Group Co., Ltd. 819,870
37,166 SIMMTECH Co., Ltd. 1,164,419
66,565 SK Hynix, Inc. 5,032,101
22,231 SK Innovation Co., Ltd.* 3,220,677
192,429 SK Telecom Co., Ltd. 7,942,589
33,439 S-Oil Corp. 2,383,376
2,712 Soulbrain Co., Ltd. 487,778
16,337 Spigen Korea Co., Ltd. 479,580
4,195 Tokai Carbon Korea Co., Ltd. 414,743
13,319 Youngone Corp. 414,469
10,343 Youngone Holdings Co., Ltd. 382,427
      128,016,395
  Spain - 2.1%
206,690 Acerinox S.A. 2,016,539
119,821 Atresmedia Corp. de Medios de Comunicacion S.A.(1) 368,201
1,979,487 Banco Bilbao Vizcaya Argentaria S.A. 8,970,380
514,588 CaixaBank S.A. 1,545,171
53,723 CIE Automotive S.A. 1,413,207
38,178 Laboratorios Farmaceuticos Rovi S.A. 1,998,961
1,301,020 Red Electrica Corp. S.A. 25,578,552
838,079 Repsol S.A. 10,441,001
      52,332,012
  Sweden - 3.0%
148,767 Essity AB Class B 3,786,875
85,627 Nobia AB 248,715
321,784 Securitas AB Class B(1) 3,253,982
1,358,782 Skandinaviska Enskilda Banken AB Class A 14,720,266
312,728 SKF AB Class B 5,263,036
1,053,469 Swedbank AB Class A 14,590,709
2,033,942 Tele2 AB 23,235,009
993,571 Telefonaktiebolaget LM Ericsson Class B 7,557,343
      72,655,935
  Switzerland - 5.0%
831,482 Credit Suisse Group AG 4,836,370
203,487 Ferrexpo plc 369,088
224,674 Julius Baer Group Ltd. 11,617,902
361,361 Novartis AG 31,051,617
92,060 Roche Holding AG 30,564,336
53,155 Swisscom AG 28,737,577
1,657 Swissquote Group Holding S.A. 201,448
884,469 UBS Group AG 14,452,509
      121,830,847
  Taiwan - 5.7%
1,150,000 ASE Technology Holding Co., Ltd. 3,351,148
2,580,000 Cathay Financial Holding Co., Ltd. 3,935,935
954,000 Chicony Electronics Co., Ltd. 2,529,913
619,000 Chipbond Technology Corp. 1,134,468
443,000 ChipMOS Technologies, Inc. 526,199
12,947 ChipMOS Technologies, Inc. ADR 310,599
1,376,000 Chunghwa Telecom Co., Ltd. 5,583,284
Shares or Principal Amount   Market Value†
COMMON STOCKS - 93.9% - (continued)
  Taiwan - 5.7% - (continued)
  1,437,000 E Ink Holdings, Inc. $     9,453,716
    556,000 Elan Microelectronics Corp.      2,024,964
    494,000 Elite Material Co., Ltd.      2,765,907
  1,215,000 Fubon Financial Holding Co., Ltd.      2,282,271
    167,000 Globalwafers Co., Ltd.      2,529,770
    530,000 Hon Hai Precision Industry Co., Ltd.      1,937,015
184,000 International Games System Co., Ltd. 2,180,830
574,000 Kinsus Interconnect Technology Corp. 2,632,731
118,000 Lotes Co., Ltd. 2,768,114
344,000 MediaTek, Inc. 7,925,787
311,000 Micro-Star International Co., Ltd. 1,231,217
149,000 Nien Made Enterprise Co., Ltd. 1,431,282
437,000 Novatek Microelectronics Corp. 3,893,142
106,000 O-TA Precision Industry Co., Ltd. 408,242
158,000 Parade Technologies Ltd. 5,950,021
757,000 Pegatron Corp. 1,575,912
276,000 Powertech Technology, Inc. 791,125
401,000 President Chain Store Corp. 3,791,612
318,000 Radiant Opto-Electronics Corp. 995,242
87,000 Raydium Semiconductor Corp. 831,090
577,000 Realtek Semiconductor Corp. 6,635,348
191,000 Simplo Technology Co., Ltd. 1,688,174
1,198,000 Sino-American Silicon Products, Inc. 5,715,512
1,933,000 Taiwan Semiconductor Manufacturing Co., Ltd. 33,150,109
218,000 TXC Corp. 639,630
1,337,000 Unimicron Technology Corp. 7,132,490
762,000 United Microelectronics Corp. 1,025,087
1,747,000 Vanguard International Semiconductor Corp. 4,207,717
443,000 Yageo Corp. 5,114,902
      140,080,505
  Thailand - 0.9%
274,600 Advanced Info Service plc NVDR 1,509,374
1,564,500 Bangkok Bank PCL NVDR 5,689,868
1,174,000 Kasikornbank PCL NVDR 4,706,118
3,865,800 Krung Thai Bank PCL NVDR 1,681,237
1,431,500 PTT Exploration & Production PCL NVDR 6,436,089
3,943,700 TTW PCL NVDR 1,114,221
      21,136,907
  Turkey - 0.1%
375,577 Tofas Turk Otomobil Fabrikasi AS 1,550,720
  United Arab Emirates - 0.1%
547,254 Network International Holdings plc*(2) 1,338,223
  United Kingdom - 12.4%
444,174 Admiral Group plc 10,381,048
62,669 Ashtead Group plc 3,527,620
224,952 AstraZeneca plc 29,590,458
202,519 Auto Trader Group plc(2) 1,561,323
748,260 Aviva plc 3,623,691
3,291,844 Barclays plc 6,305,733
690,824 Barratt Developments plc 4,235,922
736,414 Beazley plc 4,877,368
89,745 Bellway plc 2,681,943
2,504,349 BP plc 12,256,934
691,494 Britvic plc 7,246,282
3,644,632 BT Group plc 7,195,680
47,266 Bunzl plc 1,773,924
158,011 Burberry Group plc 3,473,644
325,944 Central Asia Metals plc 990,352
5,361,887 Centrica plc* 5,745,252
269,961 Crest Nicholson Holdings plc 907,671
669,318 Devro plc 1,507,341
520,305 Direct Line Insurance Group plc 1,305,730
413,322 Dr. Martens plc 1,312,203
625,395 Drax Group plc 5,999,235
 

30

Hartford Schroders International Multi-Cap Value Fund
Schedule of Investments – (continued)
July 31, 2022  (Unaudited) 

Shares or Principal Amount   Market Value†
COMMON STOCKS - 93.9% - (continued)
  United Kingdom - 12.4% - (continued)
  1,068,376 DS Smith plc $     3,808,324
    147,109 Dunelm Group plc      1,529,563
  1,114,070 GSK plc     23,406,837
  1,392,588 Haleon plc*      4,948,617
  2,986,642 HSBC Holdings plc     18,730,564
    803,695 IG Group Holdings plc      7,797,646
4,793,117 ITV plc 4,311,017
71,673 Johnson Matthey plc 1,873,854
61,740 Kape Technologies plc* 224,809
195,752 Lancashire Holdings Ltd. 1,066,390
3,600,022 Legal & General Group plc 11,496,731
12,594,050 Lloyds Banking Group plc 6,972,798
2,231,318 Man Group plc 7,423,016
202,378 Mondi plc 3,840,571
3,049,210 Natwest Group plc 9,261,232
68,775 Next Fifteen Communications Group plc 861,132
26,462 Next plc 2,208,964
110,957 Norcros plc 301,325
86,977 Pagegroup plc 484,111
194,153 Persimmon plc 4,478,374
98,849 Rathbone Brothers plc 2,178,847
210,978 Reach plc 248,322
297,805 Redrow plc 2,105,669
216,108 Rio Tinto plc 13,046,327
821,567 Royal Mail plc 2,839,167
1,125,584 Shell plc 30,014,341
1,278,550 Standard Chartered plc 8,812,647
261,130 Subsea 7 S.A. 2,353,454
468,157 Synthomer plc 1,335,427
2,503,297 Taylor Wimpey plc 3,896,328
242,439 TI Fluid Systems plc(2) 516,066
542,833 TP ICAP Group plc 786,664
105,777 Vistry Group plc 1,192,416
122,268 WPP plc 1,319,563
      302,170,467
  United States - 0.1%
592,300 Argonaut Gold, Inc.*(1) 219,705
80,163 Bausch Health Cos., Inc.* 369,343
63,550 Sims Ltd. 660,856
      1,249,904
  Total Common Stocks
(cost $2,353,210,077)
  $ 2,292,549,310
PREFERRED STOCKS - 0.4%
  Brazil - 0.4%
2,102,553 Cia de Saneamento do Parana (Preference Shares) $ 1,523,854
4,673,600 Itausa S.A. 7,795,205
      9,319,059
  Germany - 0.0%
12,042 Volkswagen AG (Preference Shares) 1,702,616
  Total Preferred Stocks
(cost $14,080,420)
  $ 11,021,675
  Total Long-Term Investments
(cost $2,367,290,497)
  $ 2,303,570,985
SHORT-TERM INVESTMENTS - 8.0%
  Other Investment Pools & Funds - 5.9%
$  142,888,518 Morgan Stanley Institutional Liquidity Funds, Treasury Portfolio, Institutional Class, 1.48%(5) $ 142,888,518
Shares or Principal Amount   Market Value†
SHORT-TERM INVESTMENTS - 8.0% - (continued)
  Securities Lending Collateral - 2.1%
 25,434,226 Goldman Sachs Financial Square Funds, Government Fund, Institutional Class, 2.06%(5) $    25,434,226
 18,006,033 HSBC US Government Money Market Fund, 2.18%(5)     18,006,033
  8,257,643 Invesco Government & Agency Portfolio, Institutional Class, 2.12%(5)      8,257,643
      51,697,902
  Total Short-Term Investments
(cost $194,586,420)
$ 194,586,420
  Total Investments
(cost $2,561,876,917)
102.3% $ 2,498,157,405
  Other Assets and Liabilities (2.3)% (56,707,251)
  Total Net Assets 100.0% $ 2,441,450,154
Note: Percentage of investments as shown is the ratio of the total market value to total net assets.
  Prices of foreign equities that are principally traded on certain foreign markets will generally be adjusted daily pursuant to a fair value pricing service approved by the Board of Directors in order to reflect an adjustment for factors occurring after the close of certain foreign markets but before the close of the New York Stock Exchange.
  Equity industry classifications used in this report are the Global Industry Classification Standard, which was developed by and is the exclusive property and service mark of MSCI, Inc. and Standard & Poor’s.
  For Fund compliance purposes, the Fund may not use the same classification system. These classifications are used for financial reporting purposes.
  See “Glossary” for abbreviation descriptions.
    
* Non-income producing.
(1) Represents entire or partial securities on loan.
(2) Security was purchased pursuant to Rule 144A under the Securities Act of 1933 and may be sold in transactions that are exempt from registration (typically only to qualified institutional buyers) or in a public offering registered under the Securities Act of 1933. At July 31, 2022, the aggregate value of these securities was $43,254,216, representing 1.8% of net assets.
(3) These securities are valued in good faith at fair value as determined under policies and procedures established by and under the supervision of the Board of Directors. At July 31, 2022, the aggregate fair value of these securities are $12,633,827, which represented 0.5% of total net assets. This amount excludes securities that are principally traded in certain foreign markets and whose prices are adjusted pursuant to a third party pricing service methodology approved by the Board of Directors.
(4) Investment valued using significant unobservable inputs.
(5) Current yield as of period end.
 

31

Hartford Schroders International Multi-Cap Value Fund
Schedule of Investments – (continued)
July 31, 2022  (Unaudited) 

Futures Contracts Outstanding at July 31, 2022
Description   Number of
Contracts
  Expiration
Date
  Current
Notional
Amount
  Value and
Unrealized
Appreciation/
(Depreciation)
Long position contracts:
MSCI EAFE Index Future   1,301   09/16/2022   $ 126,984,105   $ (2,029,405)
Total futures contracts   $ (2,029,405)
    
Foreign Currency Contracts Outstanding at July 31, 2022
Amount and Description of
Currency to be Purchased
  Amount and Description of
Currency to be Sold
  Counterparty   Settlement
Date
  Appreciation/
(Depreciation)
7,884,700 GBP   9,445,160 USD   JPM   09/07/2022   $ 165,173
232,155,900 ZAR   14,188,975 USD   JPM   09/07/2022   (281,198)
86,329,059 USD   71,245,800 GBP   JPM   09/07/2022   (509,480)
14,482,992 USD   1,938,877,000 JPY   BOA   09/07/2022   (98,181)
17,203,038 USD   2,307,846,000 JPY   JPM   09/07/2022   (152,939)
13,554,248 USD   219,811,100 ZAR   BOA   09/07/2022   386,011
Total foreign currency contracts   $ (490,614)
For information regarding the Fund’s significant accounting policies, please refer to the Fund’s most recent shareholder report.

32

Hartford Schroders International Multi-Cap Value Fund
Schedule of Investments – (continued)
July 31, 2022  (Unaudited) 

Fair Value Summary
The following is a summary of the fair valuations according to the inputs used as of July 31, 2022 in valuing the Fund’s investments.
Description   Total   Level 1   Level 2   Level 3(1)
Assets                
Common Stocks                
Australia   $ 83,029,717   $ 961,095   $ 82,068,622   $ —
Austria   13,787,877   468,659   13,319,218  
Belgium   14,175,469     14,175,469  
Bermuda   1,805,817   1,805,817    
Brazil   12,977,850   12,977,850    
Canada   213,373,930   213,373,930    
Chile   8,475,943   8,475,943    
China   132,747,728     132,747,728  
Colombia   590,526   590,526    
Denmark   19,752,187     19,752,187  
Finland   18,011,698     18,011,698  
France   131,115,818     131,115,818  
Georgia   1,152,178   1,152,178    
Germany   42,916,081   3,349,251   39,566,830  
Gibraltar   409,150   409,150    
Greece   571,554   571,554    
Hong Kong   39,627,302     38,551,352   1,075,950
Hungary   6,994,325     6,994,325  
Indonesia   13,584,871   467,293   13,117,578  
Ireland   9,552,196   696,693   8,855,503  
Isle of Man   970,837   970,837    
Israel   23,638,034   16,703,985   6,934,049  
Italy   33,130,206   1,331,472   31,798,734  
Japan   395,091,307     395,091,307  
Luxembourg   4,453,431     4,453,431  
Malaysia   5,379,302     5,379,302  
Mexico   26,213,935   26,213,935    
Netherlands   70,559,180     70,559,180  
New Zealand   1,053,427     1,053,427  
Norway   62,631,773     62,631,773  
Poland   5,908,520     5,908,520  
Portugal   8,352,186     8,352,186  
Russia        
Singapore   23,816,717     23,816,717  
South Africa   24,336,323   7,708,279   16,628,044  
South Korea   128,016,395     128,016,395  
Spain   52,332,012     52,332,012  
Sweden   72,655,935     72,655,935  
Switzerland   121,830,847     121,830,847  
Taiwan   140,080,505   310,599   139,769,906  
Thailand   21,136,907   1,114,221   20,022,686  
Turkey   1,550,720     1,550,720  
United Arab Emirates   1,338,223   1,338,223    
United Kingdom   302,170,467   19,134,182   283,036,285  
United States   1,249,904   589,048   660,856  
Preferred Stocks   11,021,675   9,319,059   1,702,616  
Short-Term Investments   194,586,420   194,586,420    
Foreign Currency Contracts(2)   672,207     672,207  
Total   $ 2,498,829,612   $ 524,620,199   $ 1,973,133,463   $ 1,075,950
Liabilities                
Foreign Currency Contracts(2)   $ (1,162,821)   $ —   $ (1,162,821)   $ —
Futures Contracts(2)   (2,029,405)   (2,029,405)    
Total   $ (3,192,226)   $ (2,029,405)   $ (1,162,821)   $ —
    
(1) For the period ended July 31, 2022, investments valued at $590,139 were transferred into Level 3 due to the unavailability of active market pricing, and investments valued at $6,027,338 were transferred out of Level 3 due to the availability of significant observable inputs.
(2) Derivative instruments (excluding purchased and written options, if applicable) are valued at the unrealized appreciation/(depreciation) on the investments.
Level 3 investments at the beginning and/or end of the period in relation to net assets were not significant and accordingly, a reconciliation of Level 3 assets for the period ended July 31, 2022 is not presented.

33

Hartford Schroders International Stock Fund
Schedule of Investments
July 31, 2022  (Unaudited) 

Shares or Principal Amount   Market Value†
COMMON STOCKS - 97.3%
  Argentina - 1.9%
    90,342 MercadoLibre, Inc.* $    73,512,189
  Austria - 1.0%
 1,511,775 Erste Group Bank AG    38,327,540
  Brazil - 2.0%
29,492,382 B3 S.A. - Brasil Bolsa Balcao     63,213,026
 3,761,241 Raia Drogasil S.A.    15,251,123
      78,464,149
  Canada - 4.3%
705,864 Canadian National Railway Co. 89,424,323
250,467 Lululemon Athletica, Inc.* 77,772,508
      167,196,831
  China - 4.1%
7,196,400 Alibaba Group Holding Ltd.* 80,912,496
1,963,500 Tencent Holdings Ltd. 75,886,941
      156,799,437
  Denmark - 2.1%
3,027,691 Vestas Wind Systems A/S(1) 79,578,997
  France - 7.1%
3,394,676 Carrefour S.A.(1) 57,852,214
676,245 Legrand S.A. 55,363,244
740,418 Sanofi 73,577,943
636,133 Schneider Electric SE 87,979,630
      274,773,031
  Germany - 8.6%
868,518 Bayerische Motoren Werke AG 70,969,494
2,539,341 Infineon Technologies AG 69,640,070
671,046 Knorr-Bremse AG 39,977,933
816,248 SAP SE 76,133,661
700,493 Siemens AG 78,135,764
      334,856,922
  Hong Kong - 4.0%
10,792,600 AIA Group Ltd. 108,429,405
1,006,911 Hong Kong Exchanges & Clearing Ltd. 46,207,583
      154,636,988
  India - 2.3%
4,954,167 HDFC Bank Ltd. 90,468,353
  Italy - 3.0%
4,103,873 FinecoBank Banca Fineco S.p.A. 51,002,785
35,603,829 Intesa Sanpaolo S.p.A. 63,225,575
      114,228,360
  Japan - 9.7%
2,819,900 Bridgestone Corp. 109,992,609
2,461,500 Recruit Holdings Co., Ltd. 91,993,717
172,100 SMC Corp. 84,817,122
1,068,000 Sony Group Corp. 90,596,206
      377,399,654
  Netherlands - 2.6%
177,977 ASML Holding N.V. 102,293,683
  Norway - 1.9%
1,880,645 Equinor ASA 72,412,135
  Spain - 1.7%
6,031,600 Iberdrola S.A. 64,408,280
Shares or Principal Amount   Market Value†
COMMON STOCKS - 97.3% - (continued)
  Sweden - 2.4%
 1,537,532 Nibe Industrier AB Class B $    15,489,258
 8,416,574 Svenska Handelsbanken AB Class A    75,681,083
      91,170,341
  Switzerland - 11.7%
     5,860 Chocoladefabriken Lindt & Spruengli AG     64,803,757
   518,915 Cie Financiere Richemont S.A.     62,569,473
95,883 Lonza Group AG 58,273,020
1,006,822 Nestle S.A. 123,363,153
311,325 Roche Holding AG 103,361,306
172,085 Sika AG 42,520,044
      454,890,753
  Taiwan - 3.5%
7,966,000 Taiwan Semiconductor Manufacturing Co., Ltd. 136,613,435
  United Kingdom - 21.3%
750,697 AstraZeneca plc 98,747,590
1,563,857 Bunzl plc 58,692,570
2,781,986 Burberry Group plc 61,157,952
1,405,005 Diageo plc 66,557,648
3,236,264 GSK plc 67,994,563
3,992,295 Haleon plc* 14,186,780
4,645,408 National Grid plc 63,965,380
1,168,105 Reckitt Benckiser Group plc 94,750,526
2,603,873 RELX plc 77,099,223
3,739,011 Shell plc 99,648,916
21,419,417 Tesco plc 68,694,974
35,237,475 Vodafone Group plc 51,927,957
      823,424,079
  United States - 2.1%
42,697 Booking Holdings, Inc.* 82,648,156
  Total Common Stocks
(cost $3,993,367,999)
  $ 3,768,103,313
SHORT-TERM INVESTMENTS - 2.4%
  Other Investment Pools & Funds - 2.3%
$   88,776,084 Morgan Stanley Institutional Liquidity Funds, Treasury Portfolio, Institutional Class, 1.48%(2) $ 88,776,084
  Securities Lending Collateral - 0.1%
2,321,749 Goldman Sachs Financial Square Funds, Government Fund, Institutional Class, 2.06%(2) 2,321,749
1,643,670 HSBC US Government Money Market Fund, 2.18%(2) 1,643,670
753,794 Invesco Government & Agency Portfolio, Institutional Class, 2.12%(2) 753,794
      4,719,213
  Total Short-Term Investments
(cost $93,495,297)
$ 93,495,297
  Total Investments
(cost $4,086,863,296)
99.7% $ 3,861,598,610
  Other Assets and Liabilities 0.3% 11,455,515
  Total Net Assets 100.0% $ 3,873,054,125
Note: Percentage of investments as shown is the ratio of the total market value to total net assets.
 

34

Hartford Schroders International Stock Fund
Schedule of Investments – (continued)
July 31, 2022  (Unaudited) 

  Prices of foreign equities that are principally traded on certain foreign markets will generally be adjusted daily pursuant to a fair value pricing service approved by the Board of Directors in order to reflect an adjustment for factors occurring after the close of certain foreign markets but before the close of the New York Stock Exchange.
  Equity industry classifications used in this report are the Global Industry Classification Standard, which was developed by and is the exclusive property and service mark of MSCI, Inc. and Standard & Poor’s.
  For Fund compliance purposes, the Fund may not use the same classification system. These classifications are used for financial reporting purposes.
See “Glossary” for abbreviation descriptions.
* Non-income producing.
(1) Represents entire or partial securities on loan.
(2) Current yield as of period end.
For information regarding the Fund’s significant accounting policies, please refer to the Fund’s most recent shareholder report.
 
Fair Value Summary
The following is a summary of the fair valuations according to the inputs used as of July 31, 2022 in valuing the Fund’s investments.
Description   Total   Level 1   Level 2   Level 3(1)
Assets                
Common Stocks                
Argentina   $ 73,512,189   $ 73,512,189   $ —   $ —
Austria   38,327,540     38,327,540  
Brazil   78,464,149   78,464,149    
Canada   167,196,831   167,196,831    
China   156,799,437     156,799,437  
Denmark   79,578,997     79,578,997  
France   274,773,031     274,773,031  
Germany   334,856,922     334,856,922  
Hong Kong   154,636,988     154,636,988  
India   90,468,353     90,468,353  
Italy   114,228,360     114,228,360  
Japan   377,399,654     377,399,654  
Netherlands   102,293,683     102,293,683  
Norway   72,412,135     72,412,135  
Spain   64,408,280     64,408,280  
Sweden   91,170,341     91,170,341  
Switzerland   454,890,753     454,890,753  
Taiwan   136,613,435     136,613,435  
United Kingdom   823,424,079   14,186,780   809,237,299  
United States   82,648,156   82,648,156    
Short-Term Investments   93,495,297   93,495,297    
Total   $ 3,861,598,610   $ 509,503,402   $ 3,352,095,208   $ —
    
(1) For the period ended July 31, 2022, there were no transfers in and out of Level 3.

35

Hartford Schroders Securitized Income Fund
Schedule of Investments
July 31, 2022  (Unaudited) 

Shares or Principal Amount   Market Value†
ASSET & COMMERCIAL MORTGAGE-BACKED SECURITIES - 81.9%
  Asset-Backed - Automobile - 2.3%
$  1,000,000 JP Morgan Chase & Co. 3.69%, 02/26/2029(1) $    928,426
1,039,726 Santander Bank Auto Credit-Linked Notes 3.27%, 12/15/2031(1)  1,009,923
      1,938,349
  Asset-Backed - Finance & Insurance - 16.7%
1,573,000 Ares LXI CLO Ltd. 3.86%, 10/20/2034, 3 mo. USD LIBOR + 1.150%(1)(2)  1,523,057
1,038,000 Atlas Senior Loan Fund IX Ltd. 5.26%, 04/20/2028, 3 mo. USD LIBOR + 2.550%(1)(2)     974,573
2,097,000 Atrium XII 5.56%, 04/22/2027, 3 mo. USD LIBOR + 2.800%(1)(2) 1,944,756
500,000 Canyon Capital CLO Ltd. 1.86%, 04/15/2035, 3 mo. USD SOFR + 1.330%(1)(2) 484,225
516,389 Carlyle Global Market Strategies CLO Ltd. 3.51%, 01/15/2031, 3 mo. USD LIBOR + 1.000%(1)(2) 505,557
673,000 Carlyle US CLO Ltd. 5.51%, 10/20/2027, 3 mo. USD LIBOR + 2.800%(1)(2) 596,104
360,743 Countrywide Asset-Backed Certificates Trust 5.71%, 05/25/2036(3) 344,441
1,172,000 Elmwood CLO Ltd. 1.98%, 04/22/2035, 3 mo. USD LIBOR + 1.340%(1)(2) 1,129,953
774,000 Madison Park Funding XIII Ltd. 5.59%, 04/19/2030, 3 mo. USD LIBOR + 2.850%(1)(2) 722,009
1,036,000 Magnetite VII Ltd. 4.56%, 01/15/2028, 3 mo. USD LIBOR + 2.050%(1)(2) 957,260
1,241,593 Magnetite Xxxiii Ltd. 1.00%, 07/20/2035, 3 mo. USD SOFR + 1.500%(1)(2) 1,211,306
1,874,000 MF1 LLC 2.96%, 06/19/2037, 1 mo. USD SOFR + 2.150%(1)(2) 1,869,094
974,000 Tricon American Homes 4.88%, 07/17/2038(1) 955,231
780,000 Venture CLO Ltd. 4.46%, 10/20/2034, 3 mo. USD LIBOR + 1.750%(1)(2) 724,519
      13,942,085
  Asset-Backed - Home Equity - 2.5%
885,219 CWHEQ Revolving Home Equity Loan Resecuritization Trust 2.19%, 11/15/2035, 1 mo. USD LIBOR + 0.190%(1)(2) 897,160
  CWHEQ Revolving Home Equity Loan Trust  
462,517 2.14%, 07/15/2036, 1 mo. USD LIBOR + 0.140%(2) 421,443
422,489 2.14%, 01/15/2037, 1 mo. USD LIBOR + 0.140%(2) 386,897
70,233 Home Equity Loan Trust 2.39%, 05/25/2036, 1 mo. USD LIBOR + 0.130%(2) 69,090
311,947 Option One Mortgage Loan Trust 5.86%, 01/25/2037(4) 297,024
      2,071,614
  Commercial Mortgage-Backed Securities - 14.1%
  BDS Ltd.  
500,000 3.51%, 01/18/2036, 1 mo. USD LIBOR + 1.350%(1)(2) 472,062
1,093,000 3.71%, 01/18/2036, 1 mo. USD LIBOR + 1.550%(1)(2) 1,034,562
1,346,000 3.96%, 03/19/2039, 1 mo. USD SOFR + 1.800%(1)(2) 1,323,473
1,015,000 BX Trust 3.77%, 05/15/2030, 1 mo. USD LIBOR + 1.770%(1)(2) 969,036
1,000,000 CAMB Commercial Mortgage Trust 4.55%, 12/15/2037, 1 mo. USD LIBOR + 2.550%(1)(2) 956,957
  Citigroup Commercial Mortgage Trust  
1,000,000 3.52%, 05/10/2035(1)(3) 925,804
500,000 4.80%, 12/15/2036, 1 mo. USD LIBOR + 2.800%(1)(2) 478,485
Shares or Principal Amount   Market Value†
ASSET & COMMERCIAL MORTGAGE-BACKED SECURITIES - 81.9% - (continued)
  Commercial Mortgage-Backed Securities - 14.1% - (continued)
$     40,237 Commercial Mortgage Trust 4.20%, 10/15/2034, 1 mo. USD LIBOR + 2.200%(1)(2) $     38,312
  668,000 Core Mortgage Trust 3.90%, 12/15/2031, 1 mo. USD LIBOR + 1.900%(1)(2)     621,586
           Credit Suisse Mortgage Capital Certificates  
1,708,000 4.15%, 05/15/2036, 1 mo. USD LIBOR + 2.150%(1)(2)  1,656,343
  539,000 4.65%, 05/15/2036, 1 mo. USD LIBOR + 2.650%(1)(2)     512,626
  775,902 HPLY Trust 4.35%, 11/15/2036, 1 mo. USD LIBOR + 2.350%(1)(2)     722,269
250,000 Morgan Stanley Capital Trust 4.55%, 07/15/2035, 1 mo. USD LIBOR + 2.550%(1)(2) 237,454
1,413,000 MSSG Trust 3.74%, 09/13/2039(1)(3) 1,211,777
GBP 501,318 Taurus DAC 2.26%, 05/17/2031, SONIA + 1.650%(1)(2) 571,920
      11,732,666
  Other Asset-Backed Securities - 14.7%
$ 1,822,000 AGL CLO Ltd. 4.32%, 01/21/2035, 3 mo. USD SOFR + 1.850%(1)(2) 1,730,898
  Arbor Realty Commercial Real Estate Notes Ltd.  
500,000 3.10%, 05/15/2036, 1 mo. USD LIBOR + 1.100%(1)(2) 487,551
500,000 3.35%, 11/15/2036, 1 mo. USD LIBOR + 1.350%(1)(2) 485,823
1,863,000 3.81%, 05/15/2037, 1 mo. USD SOFR + 1.850%(1)(2) 1,824,947
500,000 3.95%, 05/15/2036, 1 mo. USD LIBOR + 1.950%(1)(2) 463,355
565,000 BDS Ltd. 3.23%, 06/16/2036, 1 mo. USD LIBOR + 1.070%(1)(2) 543,083
1,750,000 CBAM Ltd. 3.86%, 01/15/2031, 3 mo. USD LIBOR + 1.531%(1)(2) 1,725,008
850,000 Dryden CLO Ltd. 3.63%, 01/15/2031, 3 mo. USD LIBOR + 1.120%(1)(2) 835,184
1,119,000 FirstKey Homes Trust 3.64%, 08/17/2037(1) 1,047,555
1,679,000 HGI CRE CLO Ltd. 3.21%, 06/16/2036, 1 mo. USD LIBOR + 1.050%(1)(2) 1,629,140
568,555 JP Morgan Mortgage Acquisition Trust 4.63%, 11/25/2036(4) 556,168
973,600 LCM XXIII Ltd. 3.78%, 10/20/2029, 3 mo. USD LIBOR + 1.070%(1)(2) 959,644
      12,288,356
  Whole Loan Collateral CMO - 31.6%
1,174,000 Bank of America Funding Trust 2.48%, 06/26/2035(1)(3) 1,162,309
  Bellemeade Re Ltd.  
2,485,000 4.66%, 09/25/2031, 1 mo. USD SOFR + 3.150%(1)(2) 2,204,975
859,000 4.96%, 03/25/2029, 1 mo. USD LIBOR + 2.700%(1)(2) 845,889
1,508,000 5.11%, 10/25/2029, 1 mo. USD LIBOR + 2.850%(1)(2) 1,435,433
940,000 5.36%, 04/25/2029, 1 mo. USD LIBOR + 3.100%(1)(2) 917,750
  Eagle RE Ltd.  
617,000 3.56%, 04/25/2034, 1 mo. USD SOFR + 2.050%(1)(2) 597,542
510,729 4.06%, 04/25/2029, 1 mo. USD LIBOR + 1.800%(1)(2) 505,427
1,450,000 6.26%, 11/25/2028, 1 mo. USD LIBOR + 4.000%(1)(2) 1,431,414
  Home Re Ltd.  
1,199,000 4.31%, 01/25/2034, 1 mo. USD SOFR + 2.800%(1)(2) 1,116,325
 

36

Hartford Schroders Securitized Income Fund
Schedule of Investments – (continued)
July 31, 2022  (Unaudited) 

Shares or Principal Amount   Market Value†
ASSET & COMMERCIAL MORTGAGE-BACKED SECURITIES - 81.9% - (continued)
  Whole Loan Collateral CMO - 31.6% - (continued)
$    899,000 5.26%, 10/25/2028, 1 mo. USD LIBOR + 3.000%(1)(2) $    886,875
1,933,000 5.51%, 05/25/2029, 1 mo. USD LIBOR + 3.250%(1)(2)  1,904,896
1,134,000 6.26%, 10/25/2028, 1 mo. USD LIBOR + 4.000%(1)(2)  1,101,314
  483,244 6.41%, 10/25/2030, 1 mo. USD LIBOR + 4.150%(1)(2)     484,051
  631,000 MF1 Ltd. 2.82%, 02/19/2037, 1 mo. USD SOFR + 1.350%(1)(2)     609,835
  976,000 Oaktown Re II Ltd. 5.11%, 07/25/2028, 1 mo. USD LIBOR + 2.850%(1)(2)     976,037
34,429 Oaktown Re III Ltd. 3.66%, 07/25/2029, 1 mo. USD LIBOR + 1.400%(1)(2) 34,415
500,000 Oaktown Re V Ltd. 7.51%, 10/25/2030, 1 mo. USD LIBOR + 5.250%(1)(2) 506,055
  Oaktown Re VI Ltd.  
1,200,000 3.56%, 10/25/2033, 1 mo. USD SOFR + 2.050%(1)(2) 1,177,712
1,190,000 4.51%, 10/25/2033, 1 mo. USD SOFR + 3.000%(1)(2) 1,126,794
  Preston Ridge Partners Mortgage Trust LLC  
1,671,248 1.79%, 06/25/2026(1)(4) 1,614,772
391,759 2.12%, 01/25/2026(1)(3) 372,735
714,872 2.12%, 03/25/2026(1)(3) 686,535
1,442,034 2.36%, 10/25/2026(1)(4) 1,364,368
615,933 2.49%, 10/25/2026(1)(4) 582,680
  Radnor RE Ltd.  
746,440 4.21%, 02/25/2029, 1 mo. USD LIBOR + 1.950%(1)(2) 733,255
1,520,000 4.26%, 01/25/2030, 1 mo. USD LIBOR + 2.000%(1)(2) 1,398,830
702,000 4.66%, 12/27/2033, 1 mo. USD SOFR + 3.150%(1)(2) 636,612
      26,414,835
  Total Asset & Commercial Mortgage-Backed Securities
(cost $71,677,664)
$ 68,387,905
CORPORATE BONDS - 1.0%
  Insurance - 1.0%
841,000 NMI Holdings, Inc. 7.38%, 06/01/2025(1) $ 851,605
  Total Corporate Bonds
(cost $863,019)
$ 851,605
U.S. GOVERNMENT AGENCIES - 11.7%
  Mortgage-Backed Agencies - 11.7%
  FHLMC - 0.5%
385,811 2.00%, 09/25/2050(5) $ 45,826
1,059,155 3.00%, 10/25/2050(5) 171,746
345,002 3.50%, 12/25/2050(5) 59,192
254,136 4.00%, 12/15/2047(5) 47,379
418,146 4.00%, 12/25/2050(5) 78,644
      402,787
  FNMA - 2.4%
910,254 2.50%, 11/25/2050(5) 131,645
521,581 2.50%, 02/25/2051(5) 66,682
209,964 3.50%, 03/25/2051(5) 37,405
1,747,023 5.00%, 07/01/2052 1,796,387
      2,032,119
  GNMA - 0.8%
785,054 2.00%, 10/20/2050(5) 82,385
1,318,968 2.00%, 11/20/2050(5) 138,764
Shares or Principal Amount   Market Value†
U.S. GOVERNMENT AGENCIES - 11.7% - (continued)
  Mortgage-Backed Agencies - 11.7% - (continued)
  GNMA - 0.8% - (continued)
$  3,275,656 2.50%, 11/20/2050(5)    417,970
   298,980 3.00%, 02/20/2051(5) $     45,846
      684,965
  UMBS - 8.0%
  500,000 5.00%, 08/11/2052(6)     513,845
5,950,000 5.50%, 08/11/2052(6)   6,169,406
      6,683,251
  Total U.S. Government Agencies
(cost $9,586,981)
  $ 9,803,122
COMMON STOCKS - 1.4%
  Real Estate - 1.4%
29,612 Invitation Homes, Inc. REIT $ 1,155,757
  Total Common Stocks
(cost $1,203,774)
  $ 1,155,757
  Total Long-Term Investments
(Cost $83,331,438)
  $ 80,198,389
SHORT-TERM INVESTMENTS - 11.7%
  Other Investment Pools & Funds - 11.7%
9,743,823 Morgan Stanley Institutional Liquidity Funds, Treasury Portfolio, Institutional Class, 1.48%(7) $ 9,743,823
  Total Short-Term Investments
(cost $9,743,824)
$ 9,743,823
  Total Investments
(cost $93,075,262)
107.7% $ 89,942,212
  Other Assets and Liabilities (7.7)% (6,430,934)
  Total Net Assets 100.0% $ 83,511,278
Note: Percentage of investments as shown is the ratio of the total market value to total net assets.
  The Fund may refer to any one or more of the industry classifications used by one or more widely recognized market indices, ratings group and/or as defined by Fund management. Industry classifications may not be identical across all security types.
  For Fund compliance purposes, the Fund may not use the same classification system. These classifications are used for financial reporting purposes.
  See “Glossary” for abbreviation descriptions.
    
(1) Security was purchased pursuant to Rule 144A under the Securities Act of 1933 and may be sold in transactions that are exempt from registration (typically only to qualified institutional buyers) or in a public offering registered under the Securities Act of 1933. At July 31, 2022, the aggregate value of these securities was $67,164,447, representing 80.4% of net assets.
(2) Variable rate securities; the rate reported is the coupon rate in effect at July 31, 2022. Base lending rates may be subject to a floor or cap.
(3) Variable or floating rate security, which interest rate adjusts periodically based on changes in current interest rates and prepayments on the underlying pool of assets. Rate shown is the rate in effect as of period end.
(4) Security is a “step-up” bond where coupon increases or steps up at a predetermined date. Rate shown is current coupon rate.
(5) Securities disclosed are interest-only strips.
(6) Represents or includes a TBA transaction.
 

37

Hartford Schroders Securitized Income Fund
Schedule of Investments – (continued)
July 31, 2022  (Unaudited) 

(7) Current yield as of period end.
Futures Contracts Outstanding at July 31, 2022
Description   Number of
Contracts
  Expiration
Date
  Current
Notional
Amount
  Value and
Unrealized
Appreciation/
(Depreciation)
Long position contracts:
U.S. Treasury 2-Year Note Future   255   09/30/2022   $ 53,667,539   $ 167,388
U.S. Treasury 10-Year Ultra Future   10   09/21/2022   1,312,500   30,740
Total               $ 198,128
Short position contracts:
U.S. Treasury 5-Year Note Future   38   09/30/2022   $ 4,321,609   $ (65,386)
U.S. Treasury 10-Year Note Future   35   09/21/2022   4,239,922   (56,021)
Total               $ (121,407)
Total futures contracts   $ 76,721
    
Foreign Currency Contracts Outstanding at July 31, 2022
Amount and Description of
Currency to be Purchased
  Amount and Description of
Currency to be Sold
  Counterparty   Settlement
Date
  Appreciation/
(Depreciation)
2,522,491 GBP   3,087,938 USD   UBS   08/19/2022   $ (14,673)
3,689,104 USD   3,015,982 GBP   BOA   08/19/2022   14,596
Total foreign currency contracts   $ (77)
For information regarding the Fund’s significant accounting policies, please refer to the Fund’s most recent shareholder report.
Fair Value Summary
The following is a summary of the fair valuations according to the inputs used as of July 31, 2022 in valuing the Fund’s investments.
Description   Total   Level 1   Level 2   Level 3(1)
Assets                
Asset & Commercial Mortgage-Backed Securities   $ 68,387,905   $ —   $ 68,387,905   $ —
Corporate Bonds   851,605     851,605  
U.S. Government Agencies   9,803,122     9,803,122  
Common Stocks                
Real Estate   1,155,757   1,155,757    
Short-Term Investments   9,743,823   9,743,823    
Foreign Currency Contracts(2)   23,842     23,842  
Futures Contracts(2)   198,128   198,128    
Total   $ 90,164,182   $ 11,097,708   $ 79,066,474   $ —
Liabilities                
Foreign Currency Contracts(2)   $ (23,919)   $ —   $ (23,919)   $ —
Futures Contracts(2)   (121,407)   (121,407)    
Total   $ (145,326)   $ (121,407)   $ (23,919)   $ —
    
(1) For the period ended July 31, 2022, there were no transfers in and out of Level 3.
(2) Derivative instruments (excluding purchased and written options, if applicable) are valued at the unrealized appreciation/(depreciation) on the investments.

38

Hartford Schroders Sustainable Core Bond Fund
Schedule of Investments
July 31, 2022  (Unaudited) 

Shares or Principal Amount   Market Value†
ASSET & COMMERCIAL MORTGAGE-BACKED SECURITIES - 2.1%
  Asset-Backed - Finance & Insurance - 1.6%
$    486,000 Cedar Funding VI CLO Ltd. 3.76%, 04/20/2034, 3 mo. USD LIBOR + 1.050%(1)(2) $     468,246
  500,000 Dewolf Park CLO Ltd. 3.43%, 10/15/2030, 3 mo. USD LIBOR + 0.920%(1)(2)      491,174
  800,000 Madison Park Funding XVIII Ltd. 3.67%, 10/21/2030, 3 mo. USD LIBOR + 0.940%(1)(2)      785,172
  600,000 Madison Park Funding XXVI Ltd. 2.44%, 07/29/2030, 3 mo. USD LIBOR + 1.200%(1)(2)      591,684
   250,000 Octagon Investment Partners 30 Ltd. 3.71%, 03/17/2030, 3 mo. USD LIBOR + 1.000%(1)(2)     245,390
      2,581,666
  Other Asset-Backed Securities - 0.4%
606,000 Goldentree Loan Management U.S. CLO Ltd. 3.62%, 11/20/2030, 3 mo. USD LIBOR + 0.910%(1)(2) 593,766
  Whole Loan Collateral CMO - 0.1%
  Towd Point Mortgage Trust  
9,226 2.75%, 04/25/2057(1)(3) 9,154
47,422 2.75%, 06/25/2057(1)(3) 46,221
58,651 2.75%, 07/25/2057(1)(3) 57,947
      113,322
  Total Asset & Commercial Mortgage-Backed Securities
(cost $3,357,923)
$ 3,288,754
CORPORATE BONDS - 46.0%
  Auto Manufacturers - 2.3%
223,000 General Motors Co. 6.13%, 10/01/2025 $ 234,410
  General Motors Financial Co., Inc.  
983,000 1.50%, 06/10/2026 880,186
955,000 2.40%, 10/15/2028 814,364
226,000 3.25%, 01/05/2023 225,177
1,325,000 Hyundai Capital America 1.50%, 06/15/2026(1) 1,184,999
310,000 Volkswagen Group of America Finance LLC 4.35%, 06/08/2027(1) 308,409
      3,647,545
  Auto Parts & Equipment - 0.8%
307,000 Aptiv plc / Aptiv Corp. 3.25%, 03/01/2032 271,491
53,000 Magna International, Inc. 4.15%, 10/01/2025 53,541
1,017,000 Tyco Electronics Group S.A. 2.50%, 02/04/2032 920,455
      1,245,487
  Beverages - 0.7%
643,000 Anheuser-Busch Cos. LLC / Anheuser-Busch InBev Worldwide, Inc. 4.90%, 02/01/2046 654,422
433,000 JDE Peet's N.V. 1.38%, 01/15/2027(1) 379,126
      1,033,548
  Biotechnology - 0.5%
882,000 Amgen, Inc. 3.00%, 02/22/2029 843,208
  Commercial Banks - 15.7%
  Bank of America Corp.  
30,000 2.46%, 10/22/2025, (2.46% fixed rate until 10/22/2024; 3 mo. USD LIBOR + 0.870% thereafter)(4) 28,820
397,000 3.00%, 12/20/2023, (3.00% fixed rate until 12/20/2022; 3 mo. USD LIBOR + 0.790% thereafter)(4) 395,945
422,000 3.25%, 10/21/2027 408,943
467,000 3.38%, 04/02/2026, (3.38% fixed rate until 04/02/2025; 3 mo. USD SOFR + 1.330% thereafter)(4) 456,127
512,000 3.50%, 04/19/2026 510,129
Shares or Principal Amount   Market Value†
CORPORATE BONDS - 46.0% - (continued)
  Commercial Banks - 15.7% - (continued)
$    578,000 3.85%, 03/08/2037, (3.85% fixed rate until 03/08/2032; 5 year USD CMT + 2.000% thereafter)(4) $     523,438
           Bank of Ireland Group plc  
1,965,000 2.03%, 09/30/2027, (2.03% fixed rate until 09/30/2026; 12 mo. USD CMT + 1.100% thereafter)(1)(4)    1,714,681
  285,000 4.50%, 11/25/2023(1)      283,866
1,336,000 Barclays plc 3.56%, 09/23/2035, (3.56% fixed rate until 09/23/2030; 5 year USD CMT + 2.900% thereafter)(4)    1,109,664
  733,000 BNP Paribas S.A. 2.22%, 06/09/2026, (2.22% fixed rate until 06/09/2025; 3 mo. USD SOFR + 2.074% thereafter)(1)(4)      684,701
  Citigroup, Inc.  
  409,000 0.98%, 05/01/2025, (0.98% fixed rate until 05/01/2024; 3 mo. USD SOFR + 0.669% thereafter)(4)      387,235
734,000 3.20%, 10/21/2026 717,501
56,000 4.30%, 11/20/2026 56,585
339,000 Credit Suisse Group AG 3.09%, 05/14/2032, (3.09% fixed rate until 05/14/2031; 3 mo. USD SOFR + 1.730% thereafter)(1)(4) 272,951
554,000 Danske Bank A/S 1.62%, 09/11/2026, (1.62% fixed rate until 09/11/2025; 12 mo. USD CMT + 1.350% thereafter)(1)(4) 498,200
  Goldman Sachs Group, Inc.  
105,000 1.95%, 10/21/2027, (1.95% fixed rate until 10/21/2026; 3 mo. USD SOFR + 0.913% thereafter)(4) 95,823
1,503,000 2.64%, 02/24/2028, (2.64% fixed rate until 02/24/2027; 3 mo. USD SOFR + 1.114% thereafter)(4) 1,400,638
90,000 3.50%, 11/16/2026 88,120
  HSBC Holdings plc  
1,056,000 2.10%, 06/04/2026, (2.10% fixed rate until 06/04/2025; 3 mo. USD SOFR + 1.929% thereafter)(4) 984,017
657,000 2.63%, 11/07/2025, (2.63% fixed rate until 11/07/2024; 3 mo. USD SOFR + 1.402% thereafter)(4) 628,689
  JP Morgan Chase & Co.  
894,000 1.58%, 04/22/2027, (1.58% fixed rate until 04/22/2026; 3 mo. USD SOFR + 1.885% thereafter)(4) 812,063
689,000 2.01%, 03/13/2026, (2.01% fixed rate until 03/13/2025; 3 mo. USD SOFR + 1.585% thereafter)(4) 651,518
935,000 2.60%, 02/24/2026, (2.60% fixed rate until 02/24/2025; 3 mo. USD SOFR + 0.915% thereafter)(4) 897,431
  Lloyds Banking Group plc  
1,428,000 1.63%, 05/11/2027, (1.63% fixed rate until 05/11/2026; 12 mo. USD CMT + 0.850% thereafter)(4) 1,285,174
280,000 2.44%, 02/05/2026, (2.44% fixed rate until 02/05/2025; 12 mo. USD CMT + 1.000% thereafter)(4) 266,639
755,000 3.75%, 03/18/2028, (3.75% fixed rate until 03/18/2027; 12 mo. USD CMT + 1.800% thereafter)(4) 730,428
  Morgan Stanley  
2,033,000 2.63%, 02/18/2026, (2.63% fixed rate until 02/18/2025; 3 mo. USD SOFR + 0.940% thereafter)(4) 1,958,191
 

39

Hartford Schroders Sustainable Core Bond Fund
Schedule of Investments – (continued)
July 31, 2022  (Unaudited) 

Shares or Principal Amount   Market Value†
CORPORATE BONDS - 46.0% - (continued)
  Commercial Banks - 15.7% - (continued)
$    790,000 3.63%, 01/20/2027 $     783,204
           Natwest Group plc  
  271,000 1.64%, 06/14/2027, (1.64% fixed rate until 06/14/2026; 12 mo. USD CMT + 0.900% thereafter)(4)      241,639
1,262,000 3.07%, 05/22/2028, (3.07% fixed rate until 05/22/2027; 12 mo. USD CMT + 2.550% thereafter)(4)    1,167,264
           Santander UK Group Holdings plc  
  400,000 1.09%, 03/15/2025, (1.09% fixed rate until 03/15/2024; 3 mo. USD SOFR + 0.787% thereafter)(4)      375,936
1,205,000 1.67%, 06/14/2027, (1.67% fixed rate until 06/14/2026; 3 mo. USD SOFR + 0.989% thereafter)(4)    1,066,387
218,000 Standard Chartered plc 2.68%, 06/29/2032, (2.68% fixed rate until 06/29/2031; 12 mo. USD CMT + 1.200% thereafter)(1)(4) 178,421
211,000 UBS Group AG 4.49%, 05/12/2026, (4.49% fixed rate until 05/12/2025; 12 mo. USD CMT + 1.550% thereafter)(1)(4) 212,220
1,293,000 UniCredit S.p.A. 3.13%, 06/03/2032, (3.13% fixed rate until 06/03/2031; 12 mo. USD CMT + 1.550% thereafter)(1)(4) 1,032,690
  Wells Fargo & Co.  
1,631,000 2.39%, 06/02/2028, (2.39% fixed rate until 06/02/2027; 3 mo. USD SOFR + 2.100% thereafter)(4) 1,495,635
212,000 3.00%, 04/22/2026 206,414
117,000 3.53%, 03/24/2028, (3.53% fixed rate until 03/24/2027; 3 mo. USD SOFR + 1.510% thereafter)(4) 113,072
      24,720,399
  Commercial Services - 0.2%
90,000 Moody's Corp. 4.88%, 02/15/2024 91,750
282,000 Quanta Services, Inc. 0.95%, 10/01/2024 262,321
      354,071
  Diversified Financial Services - 2.5%
1,118,000 AerCap Ireland Capital DAC / AerCap Global Aviation Trust 3.30%, 01/30/2032 940,564
1,011,000 Ally Financial, Inc. 2.20%, 11/02/2028 862,266
  Capital One Financial Corp.  
898,000 3.27%, 03/01/2030, (3.27% fixed rate until 03/01/2029; 3 mo. USD SOFR + 1.790% thereafter)(4) 813,980
726,000 4.93%, 05/10/2028, (4.93% fixed rate until 05/10/2027; 3 mo. USD SOFR + 2.057% thereafter)(4) 733,295
496,000 Intercontinental Exchange, Inc. 4.35%, 06/15/2029 506,605
      3,856,710
  Electric - 2.3%
1,643,000 Enel Finance International N.V. 1.88%, 07/12/2028(1) 1,385,768
1,920,000 Public Service Enterprise Group, Inc. 1.60%, 08/15/2030 1,586,731
347,000 Sempra Energy 3.70%, 04/01/2029 337,343
370,000 Southern California Edison Co. 4.70%, 06/01/2027 379,952
      3,689,794
Shares or Principal Amount   Market Value†
CORPORATE BONDS - 46.0% - (continued)
  Entertainment - 0.9%
           Magallanes, Inc.  
$  1,045,000 3.76%, 03/15/2027(1) $   1,004,622
   400,000 5.05%, 03/15/2042(1)     358,230
      1,362,852
  Environmental Control - 0.7%
1,375,000 Republic Services, Inc. 2.38%, 03/15/2033   1,179,262
  Healthcare - Products - 0.3%
90,000 Abbott Laboratories 3.40%, 11/30/2023 90,487
392,000 Baxter International, Inc. 2.54%, 02/01/2032 341,266
39,000 Boston Scientific Corp. 3.45%, 03/01/2024 39,058
      470,811
  Healthcare - Services - 1.0%
225,000 Aetna, Inc. 2.80%, 06/15/2023 223,736
531,000 CommonSpirit Health 3.35%, 10/01/2029 493,089
11,000 Elevance Health, Inc. 4.10%, 03/01/2028 11,154
751,000 HCA, Inc. 3.38%, 03/15/2029(1) 689,634
235,000 Humana, Inc. 3.70%, 03/23/2029 230,775
      1,648,388
  Insurance - 1.5%
2,000 Aflac, Inc. 6.45%, 08/15/2040 2,266
252,000 American International Group, Inc. 3.90%, 04/01/2026 251,284
513,000 Corebridge Financial, Inc. 3.65%, 04/05/2027(1) 494,052
237,000 Equitable Financial Life Global Funding 1.40%, 08/27/2027(1) 207,051
100,000 Equitable Holdings, Inc. 4.35%, 04/20/2028 100,709
877,000 Guardian Life Global Funding 3.25%, 03/29/2027(1) 854,872
501,000 Willis North America, Inc. 4.65%, 06/15/2027 505,094
      2,415,328
  IT Services - 0.8%
644,000 Dell International LLC / EMC Corp. 3.38%, 12/15/2041(1) 485,081
709,000 HP, Inc. 4.75%, 01/15/2028 719,031
      1,204,112
  Media - 1.1%
  Charter Communications Operating LLC / Charter Communications Operating Capital  
999,000 2.25%, 01/15/2029 851,150
1,091,000 3.50%, 06/01/2041 804,586
  Discovery Communications LLC  
93,000 2.95%, 03/20/2023 92,724
39,000 3.63%, 05/15/2030 35,645
      1,784,105
  Mining - 0.8%
831,000 Anglo American Capital plc 2.25%, 03/17/2028(1) 727,809
710,000 Yamana Gold, Inc. 2.63%, 08/15/2031 583,233
      1,311,042
  Oil & Gas - 0.6%
  Cenovus Energy, Inc.  
398,000 2.65%, 01/15/2032 342,856
163,000 6.75%, 11/15/2039 182,058
380,000 Equinor ASA 2.38%, 05/22/2030 345,909
102,000 Phillips 66 Co. 3.75%, 03/01/2028(1) 98,501
      969,324
  Pharmaceuticals - 0.8%
  AbbVie, Inc.  
21,000 3.20%, 11/06/2022 20,988
673,000 3.20%, 11/21/2029 641,435
228,000 3.60%, 05/14/2025 228,023
105,000 3.80%, 03/15/2025 105,408
108,000 3.85%, 06/15/2024 108,547
 

40

Hartford Schroders Sustainable Core Bond Fund
Schedule of Investments – (continued)
July 31, 2022  (Unaudited) 

Shares or Principal Amount   Market Value†
CORPORATE BONDS - 46.0% - (continued)
  Pharmaceuticals - 0.8% - (continued)
$     42,000 Becton Dickinson and Co. 3.73%, 12/15/2024 $      42,047
    41,000 CVS Health Corp. 4.30%, 03/25/2028      41,676
      1,188,124
  Pipelines - 0.9%
   69,000 Enbridge, Inc. 4.25%, 12/01/2026       69,401
           MPLX L.P.  
  389,000 4.50%, 04/15/2038      356,178
  210,000 5.20%, 03/01/2047      197,067
94,000 ONEOK, Inc. 6.35%, 01/15/2031 100,871
  Plains All American Pipeline L.P. / PAA Finance Corp.  
219,000 3.55%, 12/15/2029 198,113
505,000 3.80%, 09/15/2030 458,797
      1,380,427
  Real Estate Investment Trusts - 4.2%
182,000 Alexandria Real Estate Equities, Inc. 2.00%, 05/18/2032 149,585
  American Tower Corp.  
489,000 2.40%, 03/15/2025 468,685
866,000 3.65%, 03/15/2027 844,436
  Boston Properties L.P.  
534,000 2.45%, 10/01/2033 425,267
1,057,000 3.40%, 06/21/2029 971,615
  Crown Castle International Corp.  
158,000 3.20%, 09/01/2024 156,174
6,000 3.80%, 02/15/2028 5,837
1,324,000 Equinix, Inc. 3.90%, 04/15/2032 1,256,597
291,000 ERP Operating L.P. 3.00%, 07/01/2029 271,087
151,000 Healthcare Realty Holdings L.P. 2.40%, 03/15/2030 128,183
127,000 Healthpeak Properties, Inc. 3.25%, 07/15/2026 123,941
553,000 Kimco Realty Corp. 2.70%, 10/01/2030 485,736
1,117,000 Sabra Health Care L.P. 3.20%, 12/01/2031 917,623
433,000 VICI Properties L.P. 4.95%, 02/15/2030 424,066
      6,628,832
  Retail - 0.3%
463,000 Genuine Parts Co. 2.75%, 02/01/2032 397,932
  Semiconductors - 0.6%
  Qorvo, Inc.  
261,000 1.75%, 12/15/2024(1) 244,719
754,000 4.38%, 10/15/2029 704,862
      949,581
  Software - 0.9%
697,000 S&P Global, Inc. 2.70%, 03/01/2029(1) 656,368
166,000 Take-Two Interactive Software, Inc. 3.70%, 04/14/2027 164,624
  VMware, Inc.  
507,000 1.80%, 08/15/2028 433,153
147,000 2.20%, 08/15/2031 119,600
      1,373,745
  Telecommunications - 3.6%
  AT&T, Inc.  
890,000 1.65%, 02/01/2028 791,384
823,000 2.75%, 06/01/2031 738,802
863,000 Rogers Communications, Inc. 3.20%, 03/15/2027(1) 843,457
  T-Mobile USA, Inc.  
92,000 2.40%, 03/15/2029 82,058
1,307,000 3.88%, 04/15/2030 1,258,096
  Verizon Communications, Inc.  
1,052,000 3.15%, 03/22/2030 991,184
Shares or Principal Amount   Market Value†
CORPORATE BONDS - 46.0% - (continued)
  Telecommunications - 3.6% - (continued)
$    120,000 4.02%, 12/03/2029 $     120,585
   788,000 4.33%, 09/21/2028     807,901
      5,633,467
  Water - 2.0%
  998,000 American Water Capital Corp. 4.45%, 06/01/2032    1,033,042
1,880,000 United Utilities plc 6.88%, 08/15/2028    2,075,256
      3,108,298
  Total Corporate Bonds
(cost $77,965,269)
$ 72,396,392
FOREIGN GOVERNMENT OBLIGATIONS - 0.3%
  Mexico - 0.3%
603,000 Mexico Government International Bond 3.50%, 02/12/2034 $ 522,710
  Total Foreign Government Obligations
(cost $563,160)
  $ 522,710
MUNICIPAL BONDS - 2.3%
  Airport - 0.2%
425,000 Dallas-Fort Worth, TX, International Airport Rev 3.09%, 11/01/2040 $ 357,199
  General - 0.3%
230,000 California State Health Facs Finance Auth Rev 4.35%, 06/01/2041 223,757
265,000 Philadelphia, PA, Authority for Industrial Dev Rev 3.96%, 04/15/2026 265,225
      488,982
  General Obligation - 0.2%
240,000 City of New York, NY GO 4.50%, 05/01/2049 251,161
  Higher Education - 0.2%
100,000 Belton, TX, Independent School Dist 4.00%, 02/15/2052 100,429
  California State University Rev  
150,000 2.97%, 11/01/2039 124,620
130,000 3.07%, 11/01/2042 104,832
      329,881
  Power - 0.8%
1,175,000 Louisiana Local Gov't Environmental Facs & Community Dev Auth Rev 4.15%, 02/01/2033 1,188,173
  Tobacco - 0.6%
1,115,000 Golden State, CA, Tobacco Securitization Corp. Rev 3.00%, 06/01/2046 986,965
  Total Municipal Bonds
(cost $3,708,222)
  $ 3,602,361
U.S. GOVERNMENT AGENCIES - 12.5%
  Mortgage-Backed Agencies - 12.5%
  FHLMC - 6.3%
2,414,716 2.00%, 11/01/2051 $ 2,179,410
1,854,180 2.50%, 11/01/2051 1,734,013
3,310,065 3.50%, 05/01/2052 3,282,076
1,322,085 4.00%, 06/01/2052 1,330,481
765,969 4.50%, 08/01/2052 780,823
603,504 5.00%, 08/01/2052 620,557
      9,927,360
  FNMA - 6.2%
1,407,849 2.00%, 11/01/2051 1,270,735
2,297,395 2.50%, 11/01/2051 2,148,528
3,377,249 3.50%, 05/01/2052 3,348,692
1,558,707 4.00%, 06/01/2052 1,568,607
 

41

Hartford Schroders Sustainable Core Bond Fund
Schedule of Investments – (continued)
July 31, 2022  (Unaudited) 

Shares or Principal Amount   Market Value†
U.S. GOVERNMENT AGENCIES - 12.5% - (continued)
  Mortgage-Backed Agencies - 12.5% - (continued)
  FNMA - 6.2% - (continued)
$    766,585 4.50%, 08/01/2052 $     781,330
  606,348 5.00%, 08/01/2052      623,900
      9,741,792
  Total U.S. Government Agencies
(cost $20,005,592)
  $ 19,669,152
U.S. GOVERNMENT SECURITIES - 35.8%
  U.S. Treasury Securities - 35.8%
  U.S. Treasury Bonds - 14.3%
6,112,000 1.88%, 11/15/2051 $ 4,765,450
1,730,400 2.00%, 11/15/2041 1,425,687
3,057,000 2.25%, 02/15/2052 2,610,869
3,869,000 2.38%, 02/15/2042 3,398,675
3,635,000 2.88%, 05/15/2052 3,561,732
6,770,000 3.25%, 05/15/2042 6,837,700
      22,600,113
  U.S. Treasury Notes - 21.5%
3,803,600 0.13%, 11/30/2022 3,771,210
273,000 0.13%, 07/31/2023 265,450
562,000 0.13%, 08/31/2023 545,184
1,511,700 0.63%, 10/15/2024 1,439,245
22,200 1.50%, 01/31/2027 21,054
8,539,000 2.50%, 05/31/2024 8,473,957
1,379,000 2.63%, 05/31/2027 1,374,367
8,830,000 2.75%, 05/15/2025 8,804,476
403,000 2.75%, 05/31/2029 404,196
2,616,000 2.88%, 06/15/2025 2,618,044
5,039,800 2.88%, 05/15/2032 5,139,808
311,000 3.00%, 06/30/2024 311,449
290,000 3.00%, 07/31/2027 290,748
364,000 3.25%, 06/30/2029 376,797
      33,835,985
  Total U.S. Government Securities
(cost $57,211,104)
  $ 56,436,098
  Total Long-Term Investments
(Cost $162,811,270)
  $ 155,915,467
SHORT-TERM INVESTMENTS - 0.1%
  Other Investment Pools & Funds - 0.1%
187,299 Morgan Stanley Institutional Liquidity Funds, Treasury Portfolio, Institutional Class, 1.48%(5) $ 187,299
  Total Short-Term Investments
(cost $187,299)
$ 187,299
  Total Investments
(cost $162,998,569)
99.1% $ 156,102,766
  Other Assets and Liabilities 0.9% 1,389,314
  Total Net Assets 100.0% $ 157,492,080
Note: Percentage of investments as shown is the ratio of the total market value to total net assets.
  The Fund may refer to any one or more of the industry classifications used by one or more widely recognized market indices, ratings group and/or as defined by Fund management. Industry classifications may not be identical across all security types.
  For Fund compliance purposes, the Fund may not use the same classification system. These classifications are used for financial reporting purposes.
  See “Glossary” for abbreviation descriptions.
    
(1) Security was purchased pursuant to Rule 144A under the Securities Act of 1933 and may be sold in transactions that are exempt from registration (typically only to qualified institutional buyers) or in a public offering registered under the Securities Act of 1933. At July 31, 2022, the aggregate value of these securities was $18,089,182, representing 11.5% of net assets.
(2) Variable rate securities; the rate reported is the coupon rate in effect at July 31, 2022. Base lending rates may be subject to a floor or cap.
(3) Variable or floating rate security, which interest rate adjusts periodically based on changes in current interest rates and prepayments on the underlying pool of assets. Rate shown is the rate in effect as of period end.
(4) Fixed to variable rate investment. The rate shown reflects the fixed rate in effect at July 31, 2022. Rate will reset at a future date. Base lending rates may be subject to a floor or cap.
(5) Current yield as of period end.
For information regarding the Fund’s significant accounting policies, please refer to the Fund’s most recent shareholder report.
 

42

Hartford Schroders Sustainable Core Bond Fund
Schedule of Investments – (continued)
July 31, 2022  (Unaudited) 

Fair Value Summary
The following is a summary of the fair valuations according to the inputs used as of July 31, 2022 in valuing the Fund’s investments.
Description   Total   Level 1   Level 2   Level 3(1)
Assets                
Asset & Commercial Mortgage-Backed Securities   $ 3,288,754   $ —   $ 3,288,754   $ —
Corporate Bonds   72,396,392     72,396,392  
Foreign Government Obligations   522,710     522,710  
Municipal Bonds   3,602,361     3,602,361  
U.S. Government Agencies   19,669,152     19,669,152  
U.S. Government Securities   56,436,098     56,436,098  
Short-Term Investments   187,299   187,299    
Total   $ 156,102,766   $ 187,299   $ 155,915,467   $ —
    
(1) For the period ended July 31, 2022, there were no transfers in and out of Level 3.

43

Hartford Schroders Sustainable International Core Fund
Schedule of Investments
July 31, 2022  (Unaudited) 

Shares or Principal Amount   Market Value†
COMMON STOCKS - 95.2%
  Australia - 6.9%
   129 CSL Ltd. $  26,267
 1,135 Newcrest Mining Ltd.  15,295
   368 Rio Tinto Ltd.  25,497
      67,059
  China - 7.3%
   600 Chacha Food Co., Ltd. Class A   4,257
4,000 China Mengniu Dairy Co., Ltd.* 18,584
8,200 China Pacific Insurance Group Co., Ltd. Class H 17,515
200 China Tourism Group Duty Free Corp. Ltd. Class A 6,247
1,000 Li Ning Co., Ltd. 8,112
2,700 Sany Heavy Industry Co., Ltd. Class A 6,833
800 WuXi AppTec Co., Ltd. Class H(1) 9,691
      71,239
  Finland - 4.3%
555 Neste Oyj 28,539
3,107 Outokumpu Oyj 13,679
      42,218
  France - 5.6%
103 Capgemini SE 19,646
913 Carrefour S.A. 15,559
193 Sanofi 19,179
      54,384
  Germany - 4.6%
205 KION Group AG 9,351
195 Siemens AG 21,751
488 Software AG 13,184
      44,286
  Hong Kong - 1.1%
3,000 BOC Hong Kong Holdings Ltd. 10,852
  India - 2.2%
170 HDFC Bank Ltd. ADR 10,676
510 ICICI Bank Ltd. ADR 10,598
      21,274
  Ireland - 2.0%
3,450 Bank of Ireland Group plc 19,761
  Italy - 2.0%
379 Moncler S.p.A. 18,999
  Japan - 18.5%
400 Asahi Intecc Co., Ltd. 7,400
600 Astellas Pharma, Inc. 9,397
300 JCR Pharmaceuticals Co., Ltd. 5,574
300 Makita Corp. 7,331
300 MatsukiyoCocokara & Co. 11,327
200 Mitsui Fudosan Co., Ltd. REIT 4,470
200 Nippon Shinyaku Co., Ltd. 12,378
100 Nitori Holdings Co., Ltd. 10,580
1,500 NTT Data Corp. 22,702
900 ORIX Corp. 16,040
600 Park24 Co., Ltd.* 8,431
100 Rorze Corp. 6,434
900 Stanley Electric Co., Ltd. 15,815
300 Tokio Marine Holdings, Inc. 17,562
400 Toyota Industries Corp. 24,356
      179,797
  Netherlands - 3.0%
44 ASM International N.V. 13,515
1,079 Stellantis N.V. 15,495
      29,010
  Norway - 0.9%
378 Mowi ASA 8,722
Shares or Principal Amount   Market Value†
COMMON STOCKS - 95.2% - (continued)
  Portugal - 1.6%
 3,166 EDP - Energias de Portugal S.A. $  16,017
  Singapore - 4.0%
   400 DBS Group Holdings Ltd.   9,127
 1,300 Oversea-Chinese Banking Corp. Ltd.  11,017
 9,900 Singapore Telecommunications Ltd.  18,722
      38,866
  South Korea - 4.5%
392 Hana Financial Group, Inc. 11,233
71 NAVER Corp. 14,203
389 Samsung Electronics Co., Ltd. 18,414
      43,850
  Sweden - 6.0%
201 Holmen AB Class B 8,260
1,985 Skandinaviska Enskilda Banken AB Class A 21,504
793 SKF AB Class B 13,346
1,682 Svenska Handelsbanken AB Class A 15,124
      58,234
  Switzerland - 1.3%
161 Alcon, Inc. 12,671
  Taiwan - 4.1%
1,000 Giant Manufacturing Co., Ltd. 8,182
930 MediaTek, Inc. 21,427
112 Taiwan Semiconductor Manufacturing Co., Ltd. ADR 9,910
      39,519
  United Kingdom - 15.3%
150 AstraZeneca plc 19,731
1,100 CNH Industrial N.V. 14,171
4,089 ConvaTec Group plc(1) 11,402
3,556 Informa plc* 25,861
288 Reckitt Benckiser Group plc 23,361
818 RELX plc 24,221
714 SSE plc 15,421
2,157 Standard Chartered plc 14,868
      149,036
  Total Common Stocks
(cost $958,916)
  $ 925,794
SHORT-TERM INVESTMENTS - 5.0%
  Other Investment Pools & Funds - 5.0%
$  48,411 Morgan Stanley Institutional Liquidity Funds, Treasury Portfolio, Institutional Class, 1.48%(2) $ 48,411
  Total Short-Term Investments
(cost $48,411)
$ 48,411
  Total Investments
(cost $1,007,327)
100.2% $ 974,205
  Other Assets and Liabilities (0.2)% (2,271)
  Total Net Assets 100.0% $ 971,934
Note: Percentage of investments as shown is the ratio of the total market value to total net assets.
  Prices of foreign equities that are principally traded on certain foreign markets will generally be adjusted daily pursuant to a fair value pricing service approved by the Board of Directors in order to reflect an adjustment for factors occurring after the close of certain foreign markets but before the close of the New York Stock Exchange.
  Equity industry classifications used in this report are the Global Industry Classification Standard, which was developed by and is the exclusive property and service mark of MSCI, Inc. and Standard & Poor’s.
 

44

Hartford Schroders Sustainable International Core Fund
Schedule of Investments – (continued)
July 31, 2022  (Unaudited) 

For Fund compliance purposes, the Fund may not use the same classification system. These classifications are used for financial reporting purposes.
See “Glossary” for abbreviation descriptions.
* Non-income producing.
(1) Security was purchased pursuant to Rule 144A under the Securities Act of 1933 and may be sold in transactions that are exempt from registration (typically only to qualified institutional buyers) or in a public offering registered under the Securities Act of 1933. At July 31, 2022, the aggregate value of these securities was $21,093, representing 2.2% of net assets.
(2) Current yield as of period end.
 
Futures Contracts Outstanding at July 31, 2022
Description   Number of
Contracts
  Expiration
Date
  Current
Notional
Amount
  Value and
Unrealized
Appreciation/
(Depreciation)
Long position contracts:
SGX Nifty 50 Index Future   1   08/25/2022   $ 34,463   $ 1,234
Total futures contracts   $ 1,234
For information regarding the Fund’s significant accounting policies, please refer to the Fund’s most recent shareholder report (when available).
Fair Value Summary
The following is a summary of the fair valuations according to the inputs used as of July 31, 2022 in valuing the Fund’s investments.
Description   Total   Level 1   Level 2   Level 3(1)
Assets                
Common Stocks                
Australia   $ 67,059   $ —   $ 67,059   $ —
China   71,239     71,239  
Finland   42,218     42,218  
France   54,384     54,384  
Germany   44,286     44,286  
Hong Kong   10,852     10,852  
India   21,274   21,274    
Ireland   19,761     19,761  
Italy   18,999     18,999  
Japan   179,797     179,797  
Netherlands   29,010     29,010  
Norway   8,722     8,722  
Portugal   16,017     16,017  
Singapore   38,866     38,866  
South Korea   43,850     43,850  
Sweden   58,234     58,234  
Switzerland   12,671     12,671  
Taiwan   39,519   9,910   29,609  
United Kingdom   149,036     149,036  
Short-Term Investments   48,411   48,411    
Futures Contracts(2)   1,234   1,234    
Total   $ 975,439   $ 80,829   $ 894,610   $ —
    
(1) For the period ended July 31, 2022, there were no transfers in and out of Level 3.
(2) Derivative instruments (excluding purchased and written options, if applicable) are valued at the unrealized appreciation/(depreciation) on the investments.

45

Hartford Schroders Tax-Aware Bond Fund
Schedule of Investments
July 31, 2022  (Unaudited) 

Shares or Principal Amount   Market Value
CORPORATE BONDS - 10.4%
  Auto Manufacturers - 1.5%
$   3,946,000 General Motors Financial Co., Inc. 2.35%, 02/26/2027(1) $   3,557,840
  2,686,000 Hyundai Capital America 0.88%, 06/14/2024(2)   2,518,812
      6,076,652
  Commercial Banks - 2.9%
 2,200,000 Banco Santander S.A. 1.72%, 09/14/2027, 12 mo. USD CMT + 0.900%(3)    1,942,243
 2,617,000 Barclays plc 2.28%, 11/24/2027, 12 mo. USD CMT + 1.050%(3)    2,343,351
1,844,000 HSBC Holdings plc 3.97%, 05/22/2030, 3 mo. USD LIBOR + 1.610%(3) 1,731,263
1,804,000 JP Morgan Chase & Co. 2.08%, 04/22/2026, (2.08% fixed rate until 04/22/2025; 3 mo. USD SOFR + 1.850% thereafter)(3) 1,707,723
4,616,000 UniCredit S.p.A. 1.98%, 06/03/2027, 12 mo. USD CMT + 1.200%(2)(3) 4,000,353
      11,724,933
  Diversified Financial Services - 1.5%
6,882,000 AerCap Ireland Capital DAC / AerCap Global Aviation Trust 2.45%, 10/29/2026 6,121,967
  Entertainment - 1.1%
4,627,000 Magallanes, Inc. 3.76%, 03/15/2027(2) 4,448,217
  Healthcare - Services - 0.6%
2,563,000 CommonSpirit Health 3.35%, 10/01/2029 2,380,015
  Packaging & Containers - 0.9%
4,086,000 Sealed Air Corp. 1.57%, 10/15/2026(2) 3,632,022
  REITS - 0.5%
2,148,000 Crown Castle International Corp. 1.05%, 07/15/2026 1,911,257
  Semiconductors - 1.2%
1,908,000 Broadcom, Inc. 1.95%, 02/15/2028(2) 1,677,782
  Qorvo, Inc.  
800,000 1.75%, 12/15/2024(2) 750,096
2,791,000 4.38%, 10/15/2029 2,609,110
      5,036,988
  Telecommunications - 0.2%
881,000 T-Mobile USA, Inc. 2.40%, 03/15/2029 785,795
  Total Corporate Bonds
(cost $46,723,782)
$ 42,117,846
MUNICIPAL BONDS - 79.6%
  California - 12.2%
955,000 Alameda Corridor, CA, Transportation Auth Rev, (AGM Insured) 5.00%, 10/01/2052 $ 1,042,566
2,835,000 California State Health Facs Finance Auth Rev 5.00%, 04/01/2033 3,197,688
  City of El Cajon, CA, Rev  
190,000 0.93%, 04/01/2024 181,018
275,000 1.18%, 04/01/2025 256,053
  City of Los Angeles, CA, Department of Airports Rev  
405,000 0.85%, 05/15/2026 367,007
460,000 1.25%, 05/15/2028 401,312
70,000 5.00%, 05/15/2029 81,943
475,000 5.00%, 05/15/2030 561,848
355,000 5.00%, 05/15/2031 423,330
  County of Sacramento, CA, Airport System Rev  
550,000 5.00%, 07/01/2032 636,787
960,000 5.00%, 07/01/2033 1,102,445
600,000 5.00%, 07/01/2034 684,148
Shares or Principal Amount   Market Value
MUNICIPAL BONDS - 79.6% - (continued)
  California - 12.2% - (continued)
$   2,845,000 Del Mar, CA, Union School Dist, GO 4.00%, 08/01/2046 $   2,946,871
10,055,000 Elk Grove, CA, Unified School Dist, GO 4.00%, 08/01/2048  10,136,676
 3,325,000 Golden State, CA, Tobacco Securitization Corp. Rev 3.00%, 06/01/2046    2,943,191
 1,000,000 Merced, CA, Union High School Dist, GO 0.00%, 08/01/2034(4)      674,414
   200,000 North Orange County, CA, Community College Dist, GO, (NATL Insured) 0.00%, 08/01/2028(4)      170,573
 5,480,000 Regents of the University of California Medical Center Pooled Rev 4.00%, 05/15/2053    5,515,936
300,000 Rialto, CA, Unified School Dist, GO, (AGM Insured) 0.00%, 08/01/2029(4) 246,940
4,335,000 San Francisco, CA, Bay Area Rapid Transit Dist, GO 4.25%, 08/01/2052 4,528,677
  San Francisco, CA, Community College Dist, GO  
310,000 1.33%, 06/15/2026 286,697
410,000 2.02%, 06/15/2029 370,183
3,805,000 Victor Valley, CA, Community College Dist, GO 4.00%, 08/01/2050 3,827,236
7,640,000 Vista, CA, Unified School Dist GO, (BAM Insured) 5.25%, 08/01/2048 8,741,504
      49,325,043
  Colorado - 0.9%
950,000 City & County of Denver, CO, Airport System Rev 5.00%, 11/15/2032 1,115,635
2,580,000 Colorado Housing and Finance Auth Rev, (GNMA/FNMA/FHLMC Insured) 3.50%, 05/01/2050 2,619,670
      3,735,305
  Connecticut - 0.6%
1,810,000 Connecticut Housing Finance Auth Rev, (GNMA/FNMA/FHLMC Insured) 4.25%, 05/15/2042 1,866,254
300,000 State of Connecticut, GO 5.00%, 09/15/2030 358,246
      2,224,500
  Delaware - 0.4%
  Delaware Transportation Auth Rev  
630,000 5.00%, 09/01/2029 740,175
285,000 5.00%, 07/01/2032 338,886
570,000 5.00%, 09/01/2033 661,923
      1,740,984
  District of Columbia - 1.4%
5,225,000 Dist of Columbia Water & Sewer Auth Rev 5.00%, 10/01/2052 5,669,796
  Florida - 3.9%
11,440,000 Broward County, FL, Convention Center Hotel Rev 4.00%, 01/01/2051 11,524,560
440,000 County of Miami-Dade, FL, Rev 1.15%, 10/01/2025 408,228
  Florida Housing Finance Corp. Rev, (GNMA/FNMA/FHLMC Insured)  
295,000 3.00%, 07/01/2051 294,862
2,380,000 3.00%, 07/01/2052 2,374,172
670,000 3.50%, 07/01/2051 680,215
645,000 4.00%, 07/01/2049 659,957
      15,941,994
  Georgia - 3.5%
  Georgia Municipal Association, Inc.  
35,000 5.00%, 12/01/2027 40,380
 

46

Hartford Schroders Tax-Aware Bond Fund
Schedule of Investments – (continued)
July 31, 2022  (Unaudited) 

Shares or Principal Amount   Market Value
MUNICIPAL BONDS - 79.6% - (continued)
  Georgia - 3.5% - (continued)
$      25,000 5.00%, 12/01/2028 $      28,663
    80,000 5.00%, 12/01/2029       91,552
    35,000 5.00%, 12/01/2033       39,595
            Main Street, GA, Natural Gas, Inc. Rev  
 3,945,000 4.00%, 08/01/2048(5)    4,035,768
 8,250,000 4.00%, 03/01/2050(5)    8,432,826
  1,520,000 4.00%, 05/01/2052(5)   1,550,795
      14,219,579
  Illinois - 4.9%
475,000 Champaign County, IL, Community Unit School Dist No. 4 Champaign, GO 5.00%, 01/01/2029 522,078
695,000 Chicago, IL, Metropolitan Water Reclamation Dist, GO 5.25%, 12/01/2032 854,110
7,735,000 Chicago, IL, O'Hare International Airport Rev, 5.00%, 01/01/2033 8,838,091
  Illinois Housing Dev Auth Rev  
945,000 3.00%, 04/01/2051 943,146
6,470,000 3.75%, 04/01/2050 6,618,073
1,030,000 4.50%, 10/01/2048 1,070,852
90,000 Metropolitan Pier & Exposition Auth, IL, Rev, (NATL Insured) 0.00%, 06/15/2028(4) 74,602
  State of Illinois, GO  
485,000 4.00%, 03/01/2024 499,601
410,000 5.00%, 03/01/2024 428,686
      19,849,239
  Indiana - 0.5%
  Indiana Housing & Community Dev Auth Rev, (GNMA/FNMA/FHLMC/COLL Insured)  
1,345,000 3.00%, 07/01/2050 1,343,055
655,000 4.00%, 07/01/2048 671,327
      2,014,382
  Iowa - 1.9%
  Iowa Finance Auth Rev, (GNMA/FNMA/FHLMC Insured)  
6,710,000 3.00%, 07/01/2051 6,665,098
575,000 3.25%, 07/01/2050 579,397
525,000 4.00%, 07/01/2048 537,955
      7,782,450
  Kentucky - 3.1%
  Kentucky Public Energy Auth Rev  
6,080,000 4.00%, 12/01/2049(5) 6,247,973
6,265,000 4.00%, 02/01/2050(5) 6,416,314
      12,664,287
  Louisiana - 2.6%
230,000 Louisiana Housing Corp. Rev 4.50%, 12/01/2047 238,505
12,250,000 Louisiana State Local Gov't Environmental Facs & Community Dev Auth Rev 2.50%, 04/01/2036 10,308,546
      10,547,051
  Maine - 0.7%
  Maine Municipal Bond Bank Rev  
325,000 5.00%, 09/01/2029 381,604
535,000 5.00%, 09/01/2031 633,452
415,000 5.00%, 09/01/2032 489,235
1,250,000 Maine State Housing Auth Rev 4.00%, 11/15/2048 1,279,101
      2,783,392
  Maryland - 1.6%
6,355,000 Maryland State Transportation Auth Rev 4.00%, 07/01/2050 6,413,706
Shares or Principal Amount   Market Value
MUNICIPAL BONDS - 79.6% - (continued)
  Massachusetts - 1.5%
            Commonwealth of Massachusetts, GO  
$   3,405,000 3.00%, 02/01/2048 $   2,931,293
 1,685,000 5.00%, 01/01/2035    1,895,582
            Massachusetts Educational Financing Auth Rev  
   510,000 3.27%, 07/01/2026      503,297
    560,000 3.38%, 07/01/2027     550,452
      5,880,624
  Mississippi - 0.5%
1,295,000 Mississippi Home Corp. Rev, (GNMA/FNMA/FHLMC Insured) 3.25%, 12/01/2050 1,304,852
645,000 State of Mississippi, GO 5.00%, 06/01/2031 766,848
      2,071,700
  Missouri - 1.4%
  Missouri Housing Dev Commission Rev, (GNMA/FNMA/FHLMC Insured)  
1,790,000 3.25%, 05/01/2051 1,803,591
990,000 3.50%, 11/01/2050 1,005,782
1,355,000 4.25%, 05/01/2049 1,400,349
1,180,000 4.75%, 05/01/2049 1,234,897
      5,444,619
  Nebraska - 1.1%
  Nebraska Investment Finance Auth Rev, (GNMA/FNMA/FHLMC Insured)  
3,540,000 3.00%, 09/01/2050 3,538,322
855,000 4.00%, 09/01/2048 876,371
      4,414,693
  Nevada - 0.5%
  Nevada Housing Division Rev, (GNMA/FNMA/FHLMC Collateral Insured)  
895,000 3.00%, 04/01/2051 893,262
1,200,000 4.00%, 10/01/2049 1,233,150
      2,126,412
  New Jersey - 1.3%
1,430,000 Garden State, NJ, Preservation Trust Rev, (AGM Insured) 5.75%, 11/01/2028 1,629,609
  New Jersey Economic Dev Auth Rev  
285,000 5.00%, 06/15/2027 315,693
565,000 5.00%, 06/15/2028 620,841
  New Jersey Transportation Trust Fund Auth Rev  
140,000 4.00%, 06/15/2035 143,358
1,530,000 5.00%, 12/15/2028 1,718,540
605,000 New Jersey Turnpike Auth Rev 5.00%, 01/01/2029 688,064
      5,116,105
  New Mexico - 1.6%
  New Mexico Mortgage Finance Auth Rev, (GNMA/FNMA/FHLMC Insured)  
3,915,000 3.00%, 01/01/2051 3,910,108
1,635,000 3.00%, 01/01/2052 1,631,814
725,000 4.00%, 01/01/2049 744,157
      6,286,079
  New York - 8.0%
  City of New York, NY, GO  
760,000 5.00%, 08/01/2032 921,817
4,210,000 5.00%, 08/01/2033 4,884,295
  New York City, NY, Transitional Finance Auth, Future Tax Secured Rev  
2,085,000 4.00%, 08/01/2048(6) 2,104,503
2,605,000 5.00%, 05/01/2033 3,058,588
6,075,000 New York State Dormitory Auth Rev 3.00%, 03/15/2038 5,559,317
 

47

Hartford Schroders Tax-Aware Bond Fund
Schedule of Investments – (continued)
July 31, 2022  (Unaudited) 

Shares or Principal Amount   Market Value
MUNICIPAL BONDS - 79.6% - (continued)
  New York - 8.0% - (continued)
$     475,000 New York Transportation Dev Corp. Rev 5.00%, 12/01/2028 $     529,927
            Port Auth of New York & New Jersey Rev  
   750,000 5.00%, 07/15/2031      853,787
 2,585,000 5.00%, 07/15/2033    2,999,558
11,515,000 Triborough, Bridge & Tunnel Auth, NY, Rev 4.13%, 05/15/2052  11,631,821
      32,543,613
  Ohio - 2.0%
  Ohio Housing Finance Agency Rev  
440,000 3.00%, 03/01/2052 439,397
3,070,000 3.25%, 03/01/2050 3,093,296
1,240,000 4.50%, 09/01/2048 1,285,986
  Ohio State University Rev  
5,000 5.00%, 12/01/2030 6,016
5,000 5.00%, 12/01/2031 6,091
  Ohio Turnpike & Infrastructure Commission Rev  
1,680,000 0.00%, 02/15/2038(4) 932,987
1,395,000 0.00%, 02/15/2041(4) 664,143
  State of Ohio, GO  
275,000 5.00%, 05/01/2031 332,596
745,000 5.00%, 05/01/2032 882,928
230,000 5.00%, 05/01/2033 277,767
      7,921,207
  Oklahoma - 0.2%
965,000 Oklahoma Housing Finance Agency Rev, (GNMA/FNMA/FHLMC Insured) 4.00%, 03/01/2050 994,842
  Pennsylvania - 1.7%
635,000 Commonwealth Finance Auth, PA, Rev 5.00%, 06/01/2032 699,567
1,295,000 Geisinger, PA, Health System Auth Rev 5.00%, 02/15/2032 1,410,817
1,550,000 Pennsylvania Housing Finance Agency Rev 3.50%, 04/01/2049 1,567,956
  Pennsylvania Turnpike Commission Rev  
300,000 5.00%, 12/01/2032 351,016
310,000 5.00%, 12/01/2033 359,516
  Philadelphia, PA, Gas Works Co. Rev, (AGM Insured)  
440,000 5.00%, 08/01/2029 505,916
910,000 5.00%, 08/01/2030 1,057,637
820,000 5.00%, 08/01/2033 951,335
      6,903,760
  Rhode Island - 1.3%
5,095,000 Rhode Island Housing & Mortgage Finance Corp. Rev, (GNMA Insured) 3.75%, 10/01/2049 5,202,547
  South Carolina - 2.2%
6,425,000 Patriots Energy Group Financing Agency, SC, Rev 4.00%, 10/01/2048(5) 6,574,868
1,980,000 South Carolina Jobs-Economic Dev Auth Rev 3.75%, 01/01/2050 2,029,592
250,000 Tobacco Settlement Rev Mgmt Auth, SC, Rev 6.38%, 05/15/2030 312,998
      8,917,458
  South Dakota - 0.1%
  South Dakota Conservancy Dist Rev  
245,000 5.00%, 08/01/2029 290,643
235,000 5.00%, 08/01/2030 282,473
      573,116
Shares or Principal Amount   Market Value
MUNICIPAL BONDS - 79.6% - (continued)
  Tennessee - 0.4%
$     340,000 Jackson, TN, Health Educational & Housing Facility Board Rev 3.00%, 12/01/2026(5) $     344,859
   250,000 Metropolitan Nashville, TN, Airport Auth Rev 5.00%, 07/01/2049      270,348
    980,000 Tennessee Housing Dev Agency Rev 4.50%, 07/01/2049   1,019,818
      1,635,025
  Texas - 14.1%
            Arlington, TX, Higher Education Finance Corp. Rev, (PSF-GTD Insured)  
   470,000 5.00%, 08/15/2029      549,520
   605,000 5.00%, 08/15/2030      716,842
455,000 5.00%, 08/15/2031 545,248
610,000 5.00%, 08/15/2032 738,936
3,770,000 5.00%, 08/15/2033 4,327,324
705,000 Bexar County, TX, Hospital Dist, GO 5.00%, 02/15/2030 803,862
5,975,000 Bullard, TX, Independent School Dist GO, (PSF-GTD Insured) 4.00%, 02/15/2052(6) 6,016,377
  City of Houston, TX, Airport System Rev  
2,385,000 5.00%, 07/01/2029 2,780,547
1,325,000 5.00%, 07/01/2030 1,559,299
220,000 City of McKinney, TX, Waterworks & Sewer System Rev 5.00%, 03/15/2031 262,818
  Clifton, TX, Higher Education Finance Corp., Rev, (PSF-GTD Insured)  
210,000 5.00%, 08/15/2028 240,065
810,000 5.00%, 08/15/2029 939,079
270,000 5.00%, 08/15/2030 316,902
320,000 Crandall Independent School Dist, TX 4.00%, 08/15/2052 320,749
1,695,000 Cypress-Fairbanks, TX, Independent School Dist, GO, (PSF-GTD Insured) 4.00%, 02/15/2033 1,836,948
  Harris County, TX, Cultural Education Facs Finance Corp. Rev  
450,000 5.00%, 11/15/2028 512,597
430,000 5.00%, 11/15/2029 487,314
1,075,000 Hitchcock, TX, Independent School Dist 4.00%, 02/15/2048 1,075,000
  Lower Colorado River, TX, Auth Rev  
370,000 5.00%, 05/15/2029 430,598
140,000 5.00%, 05/15/2030 163,971
3,485,000 Montgomery, TX, Independent School Dist GO, (PSF-GTD Insured) 4.25%, 02/15/2052 3,587,586
  Newark, TX, Higher Education Finance Corp. Rev, (PSF-GTD Insured)  
3,079,000 4.00%, 06/15/2047 3,075,915
704,000 4.00%, 06/15/2052 695,577
365,000 Northside, TX, Independent School Dist, GO, (PSF-GTD Insured) 5.00%, 02/15/2030 434,259
3,765,000 Temple, TX, Independent School Dist, GO, (PSF-GTD Insured) 4.25%, 02/01/2047 3,918,381
  Texas Department of Housing & Community Affairs Rev, (GNMA Insured)  
1,770,000 3.00%, 01/01/2052 1,765,316
5,490,000 3.00%, 03/01/2052 5,460,121
1,830,000 3.50%, 03/01/2051 1,861,409
1,085,000 4.00%, 03/01/2050 1,122,261
765,000 4.75%, 03/01/2049 796,011
1,245,000 Texas Municipal Gas Acquisition & Supply Corp. Rev 5.00%, 12/15/2028 1,364,525
880,000 University of Texas Rev 5.00%, 05/15/2035 974,028
 

48

Hartford Schroders Tax-Aware Bond Fund
Schedule of Investments – (continued)
July 31, 2022  (Unaudited) 

Shares or Principal Amount   Market Value
MUNICIPAL BONDS - 79.6% - (continued)
  Texas - 14.1% - (continued)
            White Settlement, TX, Independent School Dist GO, (PSF-GTD Insured)  
$   4,985,000 4.00%, 08/15/2052(6) $   5,004,212
  2,125,000 4.13%, 08/15/2052(6)   2,154,045
      56,837,642
  Utah - 0.7%
            Intermountain, UT, Power Agency Rev  
   760,000 5.00%, 07/01/2031      921,010
 1,140,000 5.00%, 07/01/2032    1,371,910
505,000 University of Utah Rev 5.00%, 08/01/2029 595,841
      2,888,761
  Virginia - 1.2%
  Hampton Roads Transportation, VA, Accountability Commission Rev  
450,000 5.00%, 07/01/2031 542,523
415,000 5.00%, 07/01/2032 506,169
3,095,000 Virginia College Building Auth Rev 5.00%, 02/01/2032 3,789,633
      4,838,325
  Washington - 1.2%
1,415,000 Energy, WA, Northwest Rev 5.00%, 07/01/2032 1,721,690
  Washington State Housing Finance Commission Rev, (GNMA/FNMA/FHLMC Insured)  
2,000,000 4.00%, 12/01/2048 2,051,327
1,000,000 4.00%, 06/01/2050 1,030,826
      4,803,843
  Wisconsin - 0.2%
650,000 Wisconsin Health & Educational Facs Auth Rev 5.00%, 04/01/2033 705,562
  Wyoming - 0.2%
905,000 Wyoming Community Dev Auth Rev 4.00%, 06/01/2043 927,518
  Total Municipal Bonds
(cost $330,572,694)
  $ 321,945,159
U.S. GOVERNMENT SECURITIES - 8.1%
  U.S. Treasury Securities - 8.1%
  U.S. Treasury Notes - 8.1%
29,068,000 2.75%, 05/31/2029 $ 29,154,296
1,681,000 3.00%, 07/31/2027 1,685,334
1,985,000 3.25%, 06/30/2027 2,034,625
  Total U.S. Government Securities
(cost $31,634,514)
  $ 32,874,255
  Total Long-Term Investments
(Cost $408,930,990)
  $ 396,937,260
SHORT-TERM INVESTMENTS - 5.3%
  Other Investment Pools & Funds - 4.4%
17,871,569 Morgan Stanley Institutional Liquidity Funds, Treasury Portfolio, Institutional Class, 1.48%(7) $ 17,871,569
Shares or Principal Amount   Market Value
SHORT-TERM INVESTMENTS - 5.3% - (continued)
  Securities Lending Collateral - 0.9%
 1,697,792 Goldman Sachs Financial Square Funds, Government Fund, Institutional Class 2.06%(7) $   1,697,792
 1,201,943 HSBC US Government Money Market Fund 2.18%(7)    1,201,943
   551,216 Invesco Government & Agency Portfolio, Institutional Class 2.12%(7)      551,216
      3,450,951
  Total Short-Term Investments
(cost $21,322,520)
$ 21,322,520
  Total Investments
(cost $430,253,510)
103.4% $ 418,259,780
  Other Assets and Liabilities (3.4)% (13,746,434)
  Total Net Assets 100.0% $ 404,513,346
Note: Percentage of investments as shown is the ratio of the total market value to total net assets.
  The Fund may refer to any one or more of the industry classifications used by one or more widely recognized market indices, ratings group and/or as defined by Fund management. Industry classifications may not be identical across all security types.
  For Fund compliance purposes, the Fund may not use the same classification system. These classifications are used for financial reporting purposes.
  See “Glossary” for abbreviation descriptions.
    
(1) Represents entire or partial securities on loan.
(2) Security was purchased pursuant to Rule 144A under the Securities Act of 1933 and may be sold in transactions that are exempt from registration (typically only to qualified institutional buyers) or in a public offering registered under the Securities Act of 1933. At July 31, 2022, the aggregate value of these securities was $17,027,282, representing 4.2% of net assets.
(3) Fixed to variable rate investment. The rate shown reflects the fixed rate in effect at July 31, 2022. Rate will reset at a future date. Base lending rates may be subject to a floor or cap.
(4) Security is a zero-coupon bond.
(5) Variable or floating rate security, which interest rate adjusts periodically based on changes in current interest rates and prepayments on the underlying pool of assets. Rate shown is the rate in effect as of period end.
(6) This security, or a portion of this security, was purchased on a when-issued, delayed-delivery or delayed-draw basis. The cost of these securities was $14,909,650 at July 31, 2022.
(7) Current yield as of period end.
 

49

Hartford Schroders Tax-Aware Bond Fund
Schedule of Investments – (continued)
July 31, 2022  (Unaudited) 

Futures Contracts Outstanding at July 31, 2022
Description   Number of
Contracts
  Expiration
Date
  Current
Notional
Amount
  Value and
Unrealized
Appreciation/
(Depreciation)
Long position contracts:
U.S. Treasury 10-Year Ultra Future   25   09/21/2022   $ 3,281,250   $ 73,975
Total futures contracts   $ 73,975
For information regarding the Fund’s significant accounting policies, please refer to the Fund’s most recent shareholder report.
Fair Value Summary
The following is a summary of the fair valuations according to the inputs used as of July 31, 2022 in valuing the Fund’s investments.
Description   Total   Level 1   Level 2   Level 3(1)
Assets                
Corporate Bonds   $ 42,117,846   $ —   $ 42,117,846   $ —
Municipal Bonds   321,945,159     321,945,159  
U.S. Government Securities   32,874,255     32,874,255  
Short-Term Investments   21,322,520   21,322,520    
Futures Contracts(2)   73,975   73,975    
Total   $ 418,333,755   $ 21,396,495   $ 396,937,260   $ —
    
(1) For the period ended July 31, 2022, there were no transfers in and out of Level 3.
(2) Derivative instruments (excluding purchased and written options, if applicable) are valued at the unrealized appreciation/(depreciation) on the investments.

50

Hartford Schroders US MidCap Opportunities Fund
Schedule of Investments
July 31, 2022  (Unaudited) 

Shares or Principal Amount   Market Value†
COMMON STOCKS - 94.3%
  Banks - 4.0%
   122,687 Commerce Bancshares, Inc. $   8,525,520
   173,893 Fifth Third Bancorp    5,933,229
    55,060 First Republic Bank    8,958,813
   120,344 Zions Bancorp NA   6,564,765
      29,982,327
  Capital Goods - 10.7%
237,698 BWX Technologies, Inc. 13,472,723
50,421 Dover Corp. 6,740,279
138,929 Fortune Brands Home & Security, Inc. 9,680,573
157,532 Hexcel Corp. 9,532,261
82,507 IDEX Corp. 17,223,336
39,724 Nordson Corp. 9,175,847
33,000 Snap-on, Inc. 7,393,650
47,761 Trane Technologies plc 7,020,389
      80,239,058
  Commercial & Professional Services - 6.7%
293,696 IAA, Inc.* 11,081,150
120,687 Leidos Holdings, Inc. 12,913,509
50,974 Robert Half International, Inc. 4,034,082
54,128 Verisk Analytics, Inc. 10,297,852
89,345 Waste Connections, Inc. 11,915,943
      50,242,536
  Consumer Durables & Apparel - 1.1%
83,921 Garmin Ltd. 8,192,368
  Consumer Services - 2.3%
299,023 Aramark 9,987,368
33,331 Churchill Downs, Inc. 6,992,844
      16,980,212
  Diversified Financials - 3.1%
47,647 Nasdaq, Inc. 8,619,342
68,341 Raymond James Financial, Inc. 6,729,538
145,594 SEI Investments Co. 8,060,084
      23,408,964
  Energy - 3.9%
40,332 Cheniere Energy, Inc. 6,032,860
327,910 Coterra Energy, Inc. 10,030,767
58,789 Diamondback Energy, Inc. 7,526,168
23,464 Pioneer Natural Resources Co. 5,559,795
      29,149,590
  Food, Beverage & Tobacco - 1.8%
60,622 Hershey Co. 13,819,391
  Health Care Equipment & Services - 7.0%
26,554 Chemed Corp. 12,774,864
31,541 Cooper Cos., Inc. 10,313,907
182,408 Encompass Health Corp. 9,233,493
78,266 Masimo Corp.* 11,315,698
37,625 Teleflex, Inc. 9,047,308
      52,685,270
  Insurance - 9.0%
81,818 Arthur J Gallagher & Co. 14,644,604
115,459 Assurant, Inc. 20,295,383
104,419 Globe Life, Inc. 10,518,126
96,214 Reinsurance Group of America, Inc. 11,139,657
260,355 Ryan Specialty Group Holdings, Inc. Class A* 11,257,750
      67,855,520
  Materials - 2.8%
51,844 AptarGroup, Inc. 5,586,710
354,183 Axalta Coating Systems Ltd.* 8,932,495
50,360 International Flavors & Fragrances, Inc. 6,247,158
      20,766,363
Shares or Principal Amount   Market Value†
COMMON STOCKS - 94.3% - (continued)
  Media & Entertainment - 4.1%
   238,590 Interpublic Group of Cos., Inc. $   7,126,683
    95,698 Match Group, Inc.*    7,015,620
   277,228 Pinterest, Inc. Class A*    5,400,402
    87,484 Take-Two Interactive Software, Inc.*  11,611,751
      31,154,456
  Pharmaceuticals, Biotechnology & Life Sciences - 3.8%
95,298 Catalent, Inc.* 10,778,204
202,308 Royalty Pharma plc Class A 8,798,375
26,993 West Pharmaceutical Services, Inc. 9,273,715
      28,850,294
  Real Estate - 3.8%
68,709 Alexandria Real Estate Equities, Inc. REIT 11,390,578
219,576 American Homes 4 Rent Class A, REIT 8,317,539
376,808 Brixmor Property Group, Inc. REIT 8,734,409
      28,442,526
  Retailing - 2.1%
41,453 Advance Auto Parts, Inc. 8,026,130
144,382 LKQ Corp. 7,917,909
      15,944,039
  Semiconductors & Semiconductor Equipment - 6.1%
109,253 Entegris, Inc. 12,006,905
67,512 First Solar, Inc.* 6,695,165
141,109 Microchip Technology, Inc. 9,716,766
175,381 ON Semiconductor Corp.* 11,711,943
53,891 Skyworks Solutions, Inc. 5,867,652
      45,998,431
  Software & Services - 10.9%
77,193 Akamai Technologies, Inc.* 7,427,510
196,241 Amdocs Ltd. 17,084,742
175,217 Dolby Laboratories, Inc. Class A 13,561,796
19,453 EPAM Systems, Inc.* 6,793,960
260,958 Genpact Ltd. 12,546,861
102,232 PTC, Inc.* 12,613,384
61,233 VeriSign, Inc.* 11,582,834
      81,611,087
  Technology Hardware & Equipment - 5.1%
52,172 CDW Corp. 9,470,783
197,164 Ciena Corp.* 10,173,663
31,963 Motorola Solutions, Inc. 7,626,052
27,330 Teledyne Technologies, Inc.* 10,696,962
      37,967,460
  Transportation - 0.6%
107,189 Alaska Air Group, Inc.* 4,751,688
  Utilities - 5.4%
180,003 Alliant Energy Corp. 10,967,583
319,852 CenterPoint Energy, Inc. 10,136,110
100,114 CMS Energy Corp. 6,880,835
51,098 Eversource Energy 4,507,866
204,342 FirstEnergy Corp. 8,398,456
      40,890,850
  Total Common Stocks
(cost $539,776,074)
  $ 708,932,430
 

51

Hartford Schroders US MidCap Opportunities Fund
Schedule of Investments – (continued)
July 31, 2022  (Unaudited) 

Shares or Principal Amount   Market Value†
SHORT-TERM INVESTMENTS - 5.6%
  Other Investment Pools & Funds - 5.6%
41,740,854 Morgan Stanley Institutional Liquidity Funds, Treasury Portfolio, Institutional Class, 1.48%(1) $  41,740,854
  Total Short-Term Investments
(cost $41,740,854)
$ 41,740,854
  Total Investments
(cost $581,516,928)
99.9% $ 750,673,284
  Other Assets and Liabilities 0.1% 1,061,615
  Total Net Assets 100.0% $ 751,734,899
Note: Percentage of investments as shown is the ratio of the total market value to total net assets.
  Prices of foreign equities that are principally traded on certain foreign markets will generally be adjusted daily pursuant to a fair value pricing service approved by the Board of Directors in order to reflect an adjustment for factors occurring after the close of certain foreign markets but before the close of the New York Stock Exchange.
The Fund may refer to any one or more of the industry classifications used by one or more widely recognized market indices, ratings group and/or as defined by Fund management. Industry classifications may not be identical across all security types.
Equity industry classifications used in this report are the Global Industry Classification Standard, which was developed by and is the exclusive property and service mark of MSCI, Inc. and Standard & Poor’s.
For Fund compliance purposes, the Fund may not use the same classification system. These classifications are used for financial reporting purposes.
See “Glossary” for abbreviation descriptions.
* Non-income producing.
(1) Current yield as of period end.
For information regarding the Fund’s significant accounting policies, please refer to the Fund’s most recent shareholder report.
 
Fair Value Summary
The following is a summary of the fair valuations according to the inputs used as of July 31, 2022 in valuing the Fund’s investments.
Description   Total   Level 1   Level 2   Level 3(1)
Assets                
Common Stocks                
Banks   $ 29,982,327   $ 29,982,327   $ —   $ —
Capital Goods   80,239,058   80,239,058    
Commercial & Professional Services   50,242,536   50,242,536    
Consumer Durables & Apparel   8,192,368   8,192,368    
Consumer Services   16,980,212   16,980,212    
Diversified Financials   23,408,964   23,408,964    
Energy   29,149,590   29,149,590    
Food, Beverage & Tobacco   13,819,391   13,819,391    
Health Care Equipment & Services   52,685,270   52,685,270    
Insurance   67,855,520   67,855,520    
Materials   20,766,363   20,766,363    
Media & Entertainment   31,154,456   31,154,456    
Pharmaceuticals, Biotechnology & Life Sciences   28,850,294   28,850,294    
Real Estate   28,442,526   28,442,526    
Retailing   15,944,039   15,944,039    
Semiconductors & Semiconductor Equipment   45,998,431   45,998,431    
Software & Services   81,611,087   81,611,087    
Technology Hardware & Equipment   37,967,460   37,967,460    
Transportation   4,751,688   4,751,688    
Utilities   40,890,850   40,890,850    
Short-Term Investments   41,740,854   41,740,854    
Total   $ 750,673,284   $ 750,673,284   $ —   $ —
    
(1) For the period ended July 31, 2022, there were no transfers in and out of Level 3.

52

Hartford Schroders US Small Cap Opportunities Fund
Schedule of Investments
July 31, 2022  (Unaudited) 

Shares or Principal Amount   Market Value†
COMMON STOCKS - 94.8%
  Automobiles & Components - 1.1%
    55,493 Gentherm, Inc.* $   3,582,628
  Banks - 9.4%
    22,171 Cambridge Bancorp    1,846,623
   248,275 First BanCorp    3,746,470
    98,213 First Interstate BancSystem, Inc. Class A    4,005,126
   108,499 First Merchants Corp.    4,505,963
100,975 Heritage Financial Corp. 2,627,369
80,902 OceanFirst Financial Corp. 1,663,345
107,814 Seacoast Banking Corp. of Florida 3,857,585
47,258 SouthState Corp. 4,006,061
99,491 United Community Banks, Inc. 3,385,679
      29,644,221
  Capital Goods - 13.7%
43,782 Albany International Corp. Class A 3,995,983
254,542 Custom Truck One Source, Inc.*(1) 1,575,615
24,986 EnPro Industries, Inc. 2,335,691
45,509 ESCO Technologies, Inc. 3,529,223
45,113 Gibraltar Industries, Inc.* 2,110,837
75,437 Hexcel Corp. 4,564,693
121,340 Maxar Technologies, Inc. 3,334,423
34,200 McGrath Rent Corp. 2,885,112
116,456 Primoris Services Corp. 2,720,412
49,605 Proto Labs, Inc.* 2,425,189
28,644 Simpson Manufacturing Co., Inc. 2,958,353
30,095 Standex International Corp. 2,921,623
120,557 Univar Solutions, Inc.* 3,259,861
15,725 Valmont Industries, Inc. 4,269,023
      42,886,038
  Commercial & Professional Services - 3.7%
43,694 ASGN, Inc.* 4,533,689
213,462 Interface, Inc. Class A 3,093,064
39,641 Science Applications International Corp. 3,840,024
      11,466,777
  Consumer Durables & Apparel - 4.6%
16,577 Cavco Industries, Inc.* 4,273,385
27,569 Oxford Industries, Inc. 2,630,083
40,849 Skyline Champion Corp.* 2,585,742
178,172 Snap One Holdings Corp.*(1) 2,166,571
84,227 Steven Madden Ltd. 2,669,996
      14,325,777
  Consumer Services - 1.6%
111,215 Terminix Global Holdings, Inc.* 4,971,311
  Diversified Financials - 2.9%
206,632 Compass Diversified Holdings 4,986,030
20,184 Houlihan Lokey, Inc. Class A 1,706,759
321,691 Perella Weinberg Partners Class A(1) 2,267,922
      8,960,711
  Energy - 3.8%
42,314 Cactus, Inc. Class A 1,759,839
300,136 Centennial Resource Development, Inc. Class A* 1,998,906
95,770 Delek U.S. Holdings, Inc. 2,553,228
67,855 Matador Resources Co. 3,920,662
148,746 Solaris Oilfield Infrastructure, Inc. Class A 1,649,593
      11,882,228
  Food & Staples Retailing - 1.0%
89,798 Chefs' Warehouse, Inc.* 3,107,909
  Food, Beverage & Tobacco - 3.0%
49,651 Darling Ingredients, Inc.* 3,439,821
276,752 Primo Water Corp. 3,658,662
172,687 Sovos Brands, Inc.* 2,445,248
      9,543,731
Shares or Principal Amount   Market Value†
COMMON STOCKS - 94.8% - (continued)
  Health Care Equipment & Services - 7.4%
    88,145 Enhabit, Inc. $   1,543,419
   110,714 Envista Holdings Corp.*    4,500,524
    44,576 Haemonetics Corp.*    3,097,586
    31,261 ICU Medical, Inc.*    5,538,511
    39,717 LivaNova plc*    2,528,781
    14,030 Mesa Laboratories, Inc.    2,991,898
128,281 Neuronetics, Inc.* 534,932
77,700 Progyny, Inc.* 2,372,181
      23,107,832
  Insurance - 5.1%
56,728 Axis Capital Holdings Ltd. 2,864,197
81,120 James River Group Holdings Ltd. 1,927,411
84,540 Kemper Corp. 3,956,472
36,433 Reinsurance Group of America, Inc. 4,218,213
72,152 Ryan Specialty Group Holdings, Inc. Class A* 3,119,852
      16,086,145
  Materials - 7.3%
34,372 Ashland Global Holdings, Inc. 3,453,355
37,480 Balchem Corp. 5,088,285
27,422 Eagle Materials, Inc. 3,467,512
190,882 Element Solutions, Inc. 3,771,828
33,538 Materion Corp. 2,748,104
58,250 Mativ, Inc. 1,272,762
99,240 Valvoline, Inc. 3,197,513
      22,999,359
  Media & Entertainment - 2.5%
293,640 Angi, Inc.* 1,526,928
126,511 Gray Television, Inc. 2,349,309
26,526 Madison Square Garden Entertainment Corp.* 1,544,609
358,641 Stagwell, Inc.* 2,370,617
      7,791,463
  Pharmaceuticals, Biotechnology & Life Sciences - 5.2%
201,500 Evolus, Inc.* 2,484,495
99,431 FibroGen, Inc.* 1,250,842
47,805 Intra-Cellular Therapies, Inc.* 2,587,206
50,873 Natera, Inc.* 2,391,031
123,173 NeoGenomics, Inc.* 1,246,511
31,710 Pacira BioSciences, Inc.* 1,793,518
57,470 Syneos Health, Inc.* 4,548,176
      16,301,779
  Real Estate - 3.3%
136,835 Douglas Emmett, Inc. REIT 3,234,779
170,487 Kennedy-Wilson Holdings, Inc. 3,522,261
55,224 Terreno Realty Corp. REIT 3,459,784
      10,216,824
  Retailing - 1.0%
19,194 Asbury Automotive Group, Inc.* 3,294,458
  Semiconductors & Semiconductor Equipment - 3.8%
159,912 Allegro MicroSystems, Inc.* 3,970,615
74,526 MACOM Technology Solutions Holdings, Inc.* 4,318,036
60,027 Semtech Corp.* 3,741,483
      12,030,134
  Software & Services - 7.5%
146,510 Box, Inc. Class A* 4,166,745
49,215 CommVault Systems, Inc.* 2,760,469
127,630 LiveRamp Holdings, Inc.* 3,396,234
42,711 Perficient, Inc.* 4,506,865
237,431 Sabre Corp.* 1,460,201
57,948 Teradata Corp.* 2,218,829
59,668 WNS Holdings Ltd. ADR* 5,173,812
      23,683,155
 

53

Hartford Schroders US Small Cap Opportunities Fund
Schedule of Investments – (continued)
July 31, 2022  (Unaudited) 

Shares or Principal Amount   Market Value†
COMMON STOCKS - 94.8% - (continued)
  Technology Hardware & Equipment - 3.4%
    50,465 Ciena Corp.* $   2,603,994
    42,289 Lumentum Holdings, Inc.*    3,825,463
   286,708 Viavi Solutions, Inc.*   4,243,278
      10,672,735
  Utilities - 3.5%
    31,463 Avista Corp.    1,329,626
19,187 Chesapeake Utilities Corp. 2,631,113
45,956 ONE Gas, Inc. 3,903,503
45,212 SJW Group 2,968,620
      10,832,862
  Total Common Stocks
(cost $252,053,627)
  $ 297,388,077
SHORT-TERM INVESTMENTS - 6.0%
  Other Investment Pools & Funds - 5.2%
16,404,211 Morgan Stanley Institutional Liquidity Funds, Treasury Portfolio, Institutional Class, 1.48%(2) $ 16,404,211
  Securities Lending Collateral - 0.8%
1,138,094 Goldman Sachs Financial Square Funds, Government Fund, Institutional Class, 2.06%(2) 1,138,094
805,708 HSBC US Government Money Market Fund, 2.18%(2) 805,708
369,501 Invesco Government & Agency Portfolio, Institutional Class, 2.12%(2) 369,501
      2,313,303
  Total Short-Term Investments
(cost $18,717,514)
$ 18,717,514
  Total Investments
(cost $270,771,141)
100.8% $ 316,105,591
  Other Assets and Liabilities (0.8)% (2,533,428)
  Total Net Assets 100.0% $ 313,572,163
Note: Percentage of investments as shown is the ratio of the total market value to total net assets.
  Prices of foreign equities that are principally traded on certain foreign markets will generally be adjusted daily pursuant to a fair value pricing service approved by the Board of Directors in order to reflect an adjustment for factors occurring after the close of certain foreign markets but before the close of the New York Stock Exchange.
  The Fund may refer to any one or more of the industry classifications used by one or more widely recognized market indices, ratings group and/or as defined by Fund management. Industry classifications may not be identical across all security types.
  Equity industry classifications used in this report are the Global Industry Classification Standard, which was developed by and is the exclusive property and service mark of MSCI, Inc. and Standard & Poor’s.
  For Fund compliance purposes, the Fund may not use the same classification system. These classifications are used for financial reporting purposes.
  See “Glossary” for abbreviation descriptions.
    
* Non-income producing.
(1) Represents entire or partial securities on loan.
(2) Current yield as of period end.
For information regarding the Fund’s significant accounting policies, please refer to the Fund’s most recent shareholder report.
 

54

Hartford Schroders US Small Cap Opportunities Fund
Schedule of Investments – (continued)
July 31, 2022  (Unaudited) 

Fair Value Summary
The following is a summary of the fair valuations according to the inputs used as of July 31, 2022 in valuing the Fund’s investments.
Description   Total   Level 1   Level 2   Level 3(1)
Assets                
Common Stocks                
Automobiles & Components   $ 3,582,628   $ 3,582,628   $ —   $ —
Banks   29,644,221   29,644,221    
Capital Goods   42,886,038   42,886,038    
Commercial & Professional Services   11,466,777   11,466,777    
Consumer Durables & Apparel   14,325,777   14,325,777    
Consumer Services   4,971,311   4,971,311    
Diversified Financials   8,960,711   8,960,711    
Energy   11,882,228   11,882,228    
Food & Staples Retailing   3,107,909   3,107,909    
Food, Beverage & Tobacco   9,543,731   9,543,731    
Health Care Equipment & Services   23,107,832   23,107,832    
Insurance   16,086,145   16,086,145    
Materials   22,999,359   22,999,359    
Media & Entertainment   7,791,463   7,791,463    
Pharmaceuticals, Biotechnology & Life Sciences   16,301,779   16,301,779    
Real Estate   10,216,824   10,216,824    
Retailing   3,294,458   3,294,458    
Semiconductors & Semiconductor Equipment   12,030,134   12,030,134    
Software & Services   23,683,155   23,683,155    
Technology Hardware & Equipment   10,672,735   10,672,735    
Utilities   10,832,862   10,832,862    
Short-Term Investments   18,717,514   18,717,514    
Total   $ 316,105,591   $ 316,105,591   $ —   $ —
    
(1) For the period ended July 31, 2022, there were no transfers in and out of Level 3.

55

The Hartford Mutual Funds II, Inc. (the "Company")
GLOSSARY: (abbreviations used in preceding Schedule of Investments)

Counterparty Abbreviations:
BOA Bank of America Securities LLC
CBK Citibank NA
HSBC HSBC Bank USA
JPM JP Morgan Chase & Co.
MSC Morgan Stanley
SSG State Street Global Markets LLC
UBS UBS AG
Currency Abbreviations:
BRL Brazil Real
CLP Chile Peso
CNY China Yuan Renminbi
COP Colombia Peso
CZK Czech Republic Koruna
EUR Euro Member Countries
GBP British Pound
HUF Hungary Forint
IDR Indonesia Rupiah
JPY Japan Yen
MXN Mexican Peso
MYR Malaysia Ringgit
PEN Peru Nuevo Sol
PLN Poland Zloty
RON Romania New Leu
RUB Russia Ruble
THB Thailand Baht
USD United States Dollar
ZAR South Africa Rand
Index Abbreviations:
CMT Constant Maturity Treasury Index
EAFE Europe, Australasia and Far East
SGX Singapore Exchange
Municipal Abbreviations:
Auth Authority
Dev Development
Dist District
Facs Facilities
GO General Obligation
Rev Revenue
VA Veterans Administration
Other Abbreviations:
ADR American Depositary Receipt
AGM Assured Guaranty Municipal
BAM Build America Mutual Assurance Corp.
Bhd Berhad
CLO Collateralized Loan Obligation
CMO Collateralized Mortgage Obligation
ETF Exchange-Traded Fund
FHLMC Federal Home Loan Mortgage Corp.
FNMA Federal National Mortgage Association
GDR Global Depositary Receipt
GNMA Government National Mortgage Association
JSC Joint Stock Company
KGaA Kommanditgesellschaft Auf Aktien
LIBOR London Interbank Offered Rate
MSCI Morgan Stanley Capital International
NATL National Public Finance Guarantee Corp.
NVDR Non-Voting Depositary Receipt
Nyrt New York REIT Inc
PJSC Private Joint Stock Company
PSF-GTD Permanent School Fund Guaranteed
PT Perseroan Terbatas
REIT Real Estate Investment Trust
SOFR Secured Overnight Financing Rate
SONIA Sterling Overnight Index Average
Tbk Terbuka
UMBS Uniform Mortgage-Backed Securities
 

56

The Hartford Mutual Funds II, Inc. (the "Company")
 Notes to the Schedules of Investments
 July 31, 2022  (Unaudited)

1. Investment Valuation and Fair Value Measurements:
  For purposes of calculating the net asset value per share (“NAV”) of each class of each Fund, portfolio securities and other assets held in the Fund’s portfolio for which market prices are readily available are valued at market value. Market value is generally determined on the basis of official close price or last reported trade price. If no trades were reported, market value is based on prices obtained from a quotation reporting system, established market makers (including evaluated prices), or independent pricing services. Pricing vendors may use matrix pricing or valuation models that utilize certain inputs and assumptions to derive values, including transaction data, credit quality information, general market conditions, news, and other factors and assumptions.
  If market prices are not readily available or are deemed unreliable, a Fund will use the fair value of the security or other instrument as determined in good faith under policies and procedures established by and under the supervision of the Board of Directors of the Company (the “Board of Directors”) (“Valuation Procedures”). Market prices are considered not readily available where there is an absence of current or reliable market-based data (e.g., trade information or broker quotes), including where events occur after the close of the relevant market, but prior to the NYSE Close, that materially affect the values of a Fund’s portfolio holdings or assets. In addition, market prices are considered not readily available when, due to extraordinary circumstances, the exchanges or markets on which the securities or other instruments trade do not open for trading for the entire day and no other market prices are available. Fair value pricing is subjective in nature and the use of fair value pricing by a Fund may cause the NAV of its shares to differ significantly from the NAV that would have been calculated using market prices at the close of the exchange on which a portfolio holding is primarily traded. There can be no assurance that a Fund could obtain the fair value assigned to an investment if the Fund were to sell the investment at approximately the time at which the Fund determines its NAV.
  Prices of foreign equities that are principally traded on certain foreign markets will generally be adjusted daily pursuant to a fair value pricing service in order to reflect an adjustment for the factors occurring after the close of certain foreign markets but before the NYSE Close. Securities and other instruments that are primarily traded on foreign markets may trade on days that are not business days of the Funds. The value of the foreign securities or other instruments in which a Fund invests may change on days when a shareholder will not be able to purchase, redeem or exchange shares of the Fund.
  Fixed income investments (other than short-term obligations) and non-exchange traded derivatives held by a Fund are normally valued at prices supplied by independent pricing services in accordance with the Valuation Procedures. Short-term investments maturing in 60 days or less are generally valued at amortized cost, which approximates fair value.
  Exchange-traded derivatives, such as options, futures and options on futures, are valued at the last sale price determined by the exchange where such instruments principally trade as of the close of such exchange (“Exchange Close”). If a last sale price is not available, the value will be the mean of the most recently quoted bid and ask prices as of the Exchange Close. If a mean of the bid and ask prices cannot be calculated for the day, the value will be the most recently quoted bid price as of the Exchange Close. Over-the-counter derivatives are normally valued based on prices supplied by independent pricing services in accordance with the Valuation Procedures.
  Investments valued in currencies other than U.S. dollars are converted to U.S. dollars using the prevailing spot currency exchange rates obtained from independent pricing services for calculation of the NAV. As a result, the NAV of a Fund’s shares may be affected by changes in the value of currencies in relation to the U.S. dollar. The value of securities or other instruments traded in markets outside the United States or denominated in currencies other than the U.S. dollar may be affected significantly on a day that the Exchange is closed and the market value may change on days when an investor is not able to purchase, redeem or exchange shares of a Fund.
  Foreign currency contracts represent agreements to exchange currencies on specific future dates at predetermined rates. Foreign currency contracts are valued using foreign currency exchange rates and forward rates as provided by an independent pricing service on the Valuation Date.
  Investments in investment companies that are not listed or traded on an exchange ("Non-Traded Funds"), if any, are valued at the respective NAV of each Non-Traded Fund on the Valuation Date. Shares of investment companies listed and traded on an exchange are valued in the same manner as any exchange-listed equity security. Such Non-Traded Funds and listed investment companies may use fair value pricing as disclosed in their prospectuses.
  Financial instruments for which prices are not available from an independent pricing service may be valued using market quotations obtained from one or more dealers that make markets in the respective financial instrument in accordance with the Valuation Procedures.
  U.S. Generally Accepted Accounting Principles ("U.S. GAAP") defines fair value as the price that a Fund would receive to sell an asset or pay to transfer a liability in an orderly transaction between market participants. The U.S. GAAP fair value measurement standards require disclosure of a fair value hierarchy for each major category of assets and liabilities. Various inputs are used in determining the fair value of each Fund’s investments. These inputs are summarized into three broad hierarchy levels. This hierarchy is based on whether the valuation inputs are observable or unobservable.

57

The Hartford Mutual Funds II, Inc. (the "Company")
 Notes to the Schedules of Investments – (continued)
 July 31, 2022  (Unaudited)

  These levels are:
Level 1 – Quoted prices in active markets for identical investments. Level 1 may include exchange-traded instruments, such as domestic equities, some foreign equities, options, futures, mutual funds, exchange-traded funds, rights and warrants.
Level 2 – Observable inputs other than Level 1 prices, such as quoted prices for similar investments; quoted prices in markets that are not active; or other inputs that are observable or can be corroborated by observable market data. Level 2 may include debt investments that are traded less frequently than exchange-traded instruments and which are valued using independent pricing services; foreign equities, which are principally traded on certain foreign markets and are adjusted daily pursuant to a fair value pricing service in order to reflect an adjustment for the factors occurring after the close of certain foreign markets but before the NYSE Close; senior floating rate interests, which are valued using an aggregate of dealer bids; short-term investments, which are valued at amortized cost; and swaps, which are valued based upon the terms of each swap contract.
Level 3 – Significant unobservable inputs that are supported by limited or no market activity. Level 3 may include financial instruments whose values are determined using indicative market quotes or require significant management judgment or estimation. These unobservable valuation inputs may include estimates for current yields, maturity/duration, prepayment speed, and indicative market quotes for comparable investments along with other assumptions relating to credit quality, collateral value, complexity of the investment structure, general market conditions and liquidity. This category may include investments where trading has been halted or there are certain restrictions on trading. While these investments are priced using unobservable inputs, the valuation of these investments reflects the best available data and management believes the prices are a reasonable representation of exit price.
The Board of Directors has delegated the day-to-day responsibility for implementing the Valuation Procedures to the Valuation Committee. The Valuation Committee will consider all relevant factors in determining an investment’s fair value, and may seek the advice of such Fund’s sub-adviser(s), as applicable, knowledgeable brokers, and legal counsel in making such determination. The Valuation Committee reports to the Audit Committee of the Board of Directors.
Valuation levels are not necessarily indicative of the risk associated with investing in such investments. Individual investments within any of the above mentioned asset classes may be assigned a different hierarchical level than those presented above, as individual circumstances dictate.
For additional information, refer to the Fair Value Summary and the Level 3 roll-forward reconciliation, if applicable, which follows each Fund’s Schedule of Investments.
Recent events, including the invasion of Ukraine by Russia, have interjected uncertainty into the global financial markets. One or more of the Funds hold positions in securities or other instruments that are economically tied to Russia. Investments in Russia are subject to political, economic, legal, market and currency risks, as well as the risks related to the economic sanctions on Russia imposed by the United States and/or other countries. Such sanctions which affect companies in many sectors, including energy, financial services and defense, among others could adversely affect the global energy and financial markets and, thus, could affect the value of a Fund’s investments, even beyond any direct exposure the Fund may have to Russian issuers or the adjoining geographic regions. In addition, certain transactions have or may be prohibited and/or existing investments have or may become illiquid (e.g., because transacting in certain existing investments is prohibited), which could cause a Fund to sell other portfolio holdings at a disadvantageous time or price in order to meet shareholder redemptions.

58