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HARTFORD SMALL COMPANY HLS FUND (HDMBX) is an MF managed by Independent / Boutique. Its largest position is Nextpower Inc. (NXT), representing 2.80% of fund assets.

HARTFORD SMALL COMPANY HLS FUND Portfolio Holdings

Source: SEC Form N-PORT institutional portfolio disclosures

Ticker:
HDMBX
Type:
MF
Manager:
Independent / Boutique
Total Assets:
—
Report Date:
Mar 31, 2026
Filing Date:
May 22, 2026
Showing 50 out of 118 holdings
Holding Weight Market Value Shares
-
Nextpower Inc.
2.80% $10,897,358.35 90,397
-
MKS INC
2.38% $9,243,417.82 40,222
-
MODINE MANUFACTURING CO
2.25% $8,761,368.59 40,429
-
Zurn Elkay Water Solutions Corp
2.22% $8,629,996.08 192,462
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American Healthcare REIT, Inc.
2.10% $8,167,404.60 173,185
-
CURTISS WRIGHT CORP
2.01% $7,832,198.88 11,499
-
SiriusPoint Ltd
1.83% $7,130,256.96 331,024
-
Alignment Healthcare, Inc.
1.71% $6,672,923.06 378,713
-
Vita Coco Company, Inc.
1.71% $6,643,008.96 138,656
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APPLIED INDUSTRIAL TECHNOLOGIES INC
1.65% $6,431,887.44 24,242
-
FIVE BELOW, INC
1.63% $6,352,200.96 27,802
-
HUNTINGTON BANCSHARES INC /MD/
1.62% $6,289,328.10 401,874
-
Phillips Edison & Company, Inc.
1.62% $6,286,148.38 167,989
-
SEACOAST BANKING CORP OF FLORIDA
1.55% $6,047,186.47 199,643
-
SITIME Corp
1.54% $5,982,843.40 17,324
-
Champion Homes, Inc.
1.49% $5,785,911.63 77,799
-
Viper Energy, Inc.
1.47% $5,710,647.71 121,529
-
Ameresco, Inc.
1.46% $5,689,330.50 223,111
-
DXP ENTERPRISES INC
1.46% $5,677,369.63 40,631
-
VERRA MOBILITY Corp
1.44% $5,616,127.19 393,011
-
HA Sustainable Infrastructure Capital, Inc.
1.40% $5,456,934.00 148,488
-
ENSIGN GROUP, INC
1.32% $5,138,854.50 25,503
-
Xometry, Inc.
1.29% $5,020,992.12 122,943
-
Fabrinet
1.28% $4,968,521.04 9,527
-
Life Time Group Holdings, Inc.
1.28% $4,966,227.36 184,344
-
TransMedics Group, Inc.
1.24% $4,830,928.36 48,596
-
COMFORT SYSTEMS USA INC
1.23% $4,780,958.33 3,467
-
CASELLA WASTE SYSTEMS INC
1.23% $4,770,079.48 60,122
-
CALIX, INC
1.21% $4,697,896.05 95,895
-
PJT Partners Inc.
1.19% $4,616,348.80 33,040
-
Protagonist Therapeutics, Inc
1.16% $4,500,896.20 42,703
-
OSI SYSTEMS INC
1.15% $4,480,746.76 16,876
-
Chord Energy Corp
1.12% $4,355,115.58 30,631
-
Guardian Pharmacy Services, Inc.
1.09% $4,237,766.82 112,527
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RUSH ENTERPRISES INC \TX\
1.07% $4,147,080.30 62,730
-
Boot Barn Holdings, Inc.
1.06% $4,127,937.44 28,204
-
James Hardie Industries plc
1.05% $4,104,108.60 216,690
-
Bloom Energy Corp
1.04% $4,062,125.69 29,981
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CABOT CORP
1.02% $3,976,518.62 52,802
-
PACS Group, Inc.
1.02% $3,966,370.32 123,486
-
CarGurus, Inc.
1.01% $3,949,323.30 115,986
-
ACUITY INC. (DE)
1.01% $3,918,596.48 13,984
-
Credo Technology Group Holding Ltd
0.97% $3,776,953.32 40,236
-
APOGEE THERAPEUTICS INC
0.96% $3,747,416.74 44,522
-
Kymera Therapeutics, Inc.
0.95% $3,714,317.55 44,595
-
Revolution Medicines, Inc.
0.95% $3,686,650.25 37,909
-
INSMED Inc
0.92% $3,590,081.60 21,955
-
Stride, Inc.
0.89% $3,477,248.46 39,438
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PTC THERAPEUTICS, INC.
0.85% $3,308,256.54 48,558
-
Palo Alto Networks Inc
0.83% $3,248,403.84 20,262
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