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The Hartford Small Cap Growth Fund (HSLTX) is an MF managed by Independent / Boutique. Its largest position is Bloom Energy Corp (BE), representing 3.73% of fund assets.

The Hartford Small Cap Growth Fund Portfolio Holdings

Source: SEC Form N-PORT institutional portfolio disclosures

Ticker:
HSLTX
Type:
MF
Manager:
Independent / Boutique
Total Assets:
—
Report Date:
Apr 30, 2026
Filing Date:
Jun 25, 2026
Showing 50 out of 178 holdings
Holding Weight Market Value Shares
-
Bloom Energy Corp
3.73% $11,357,068.80 40,080
-
STATE STREET GLOBAL ADVISORS
2.25% $6,864,459.25 6,864,459
-
Credo Technology Group Holding Ltd
1.86% $5,664,721.54 32,554
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VIAVI SOLUTIONS INC.
1.50% $4,562,153.60 87,064
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MODINE MANUFACTURING CO
1.41% $4,296,881.25 16,875
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FirstCash Holdings, Inc.
1.41% $4,287,150.12 19,646
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ENSIGN GROUP, INC
1.27% $3,869,897.01 20,729
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SPX Technologies, Inc.
1.24% $3,775,759.68 17,248
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Fabrinet
1.20% $3,661,348.79 5,357
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Primoris Services Corp
1.20% $3,650,897.10 20,154
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Marex Group Ltd
1.15% $3,516,138.45 65,907
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SANMINA CORP
1.08% $3,299,755.18 15,149
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MYR GROUP INC.
1.07% $3,268,840.75 8,075
-
SITIME Corp
1.05% $3,206,503.60 5,704
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Axsome Therapeutics, Inc.
0.99% $3,002,195.25 14,451
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TERAWULF INC.
0.96% $2,937,439.67 135,179
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ESCO TECHNOLOGIES INC
0.95% $2,904,535.70 8,966
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Atmus Filtration Technologies Inc.
0.93% $2,824,470.00 44,550
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MKS INC
0.92% $2,816,502.50 9,926
-
Dave Inc./DE
0.91% $2,787,081.53 10,247
-
Chefs' Warehouse, Inc.
0.88% $2,678,752.00 34,520
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Nextpower Inc.
0.87% $2,664,223.32 22,364
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MOOG INC-CLASS A
0.86% $2,611,453.77 8,667
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Dorman Products, Inc.
0.84% $2,571,528.56 22,856
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RAMBUS INC
0.84% $2,554,521.12 22,192
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Perella Weinberg Partners
0.83% $2,519,091.72 110,778
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Alignment Healthcare, Inc.
0.82% $2,496,259.92 110,748
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VERRA MOBILITY Corp
0.80% $2,442,130.25 164,675
-
FTAI Infrastructure Inc.
0.79% $2,407,211.58 391,735
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Applied Digital Corp.
0.76% $2,328,520.50 67,986
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CarGurus, Inc.
0.76% $2,307,006.50 63,275
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IonQ, Inc.
0.76% $2,302,654.08 51,034
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Encompass Health Corp
0.75% $2,290,100.00 22,901
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Pinnacle Financial Partners, Inc.
0.75% $2,284,029.90 23,085
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STIFEL FINANCIAL CORP
0.75% $2,279,421.63 28,923
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Protagonist Therapeutics, Inc
0.75% $2,277,893.52 23,016
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MADRIGAL PHARMACEUTICALS, INC.
0.73% $2,232,020.46 4,314
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CareTrust REIT, Inc.
0.73% $2,221,705.65 56,317
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BJ's Wholesale Club Holdings, Inc.
0.73% $2,213,456.75 23,575
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MERIT MEDICAL SYSTEMS INC
0.71% $2,170,237.58 31,831
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AZZ INC
0.71% $2,169,201.60 15,165
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NAPCO SECURITY TECHNOLOGIES, INC
0.70% $2,146,573.00 45,916
-
Guardant Health, Inc.
0.70% $2,121,617.12 24,364
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DXP ENTERPRISES INC
0.69% $2,115,934.00 12,392
-
James Hardie Industries plc
0.69% $2,113,294.19 100,681
-
BridgeBio Pharma, Inc.
0.68% $2,065,745.50 29,050
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WESCO INTERNATIONAL INC
0.67% $2,050,032.64 5,872
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BENCHMARK ELECTRONICS INC
0.66% $2,024,583.75 24,675
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Super Group (SGHC) Ltd
0.66% $2,001,049.92 154,402
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Vita Coco Company, Inc.
0.65% $1,972,903.03 29,897
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