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THE HARTFORD SMALL COMPANY FUND (IHSVX) is an MF managed by Independent / Boutique. Its largest position is MKS INC (MKSI), representing 2.68% of fund assets.

THE HARTFORD SMALL COMPANY FUND Portfolio Holdings

Source: SEC Form N-PORT institutional portfolio disclosures

Ticker:
IHSVX
Type:
MF
Manager:
Independent / Boutique
Total Assets:
—
Report Date:
Apr 30, 2026
Filing Date:
Jun 25, 2026
Showing 50 out of 119 holdings
Holding Weight Market Value Shares
-
MKS INC
2.68% $17,778,923.75 62,657
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Nextpower Inc.
2.52% $16,775,648.34 140,818
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MODINE MANUFACTURING CO
2.41% $16,036,597.40 62,980
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Bloom Energy Corp
2.40% $15,951,184.48 56,293
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Zurn Elkay Water Solutions Corp
2.34% $15,578,231.52 299,812
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SITIME Corp
2.28% $15,170,742.05 26,987
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Vita Coco Company, Inc.
2.14% $14,253,444.06 215,994
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American Healthcare REIT, Inc.
2.06% $13,699,529.96 269,782
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Alignment Healthcare, Inc.
2.00% $13,297,473.00 589,950
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CURTISS WRIGHT CORP
1.94% $12,900,222.40 17,912
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SiriusPoint Ltd
1.82% $12,071,624.01 515,661
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APPLIED INDUSTRIAL TECHNOLOGIES INC
1.74% $11,546,343.00 37,764
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Credo Technology Group Holding Ltd
1.64% $10,906,772.79 62,679
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DXP ENTERPRISES INC
1.63% $10,807,621.25 63,295
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Phillips Edison & Company, Inc.
1.58% $10,510,738.69 261,689
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HUNTINGTON BANCSHARES INC /MD/
1.58% $10,492,246.04 626,029
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Ameresco, Inc.
1.55% $10,284,211.63 347,557
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FIVE BELOW, INC
1.54% $10,206,434.60 43,310
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Fabrinet
1.53% $10,143,378.27 14,841
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COMFORT SYSTEMS USA INC
1.50% $9,937,350.00 5,400
-
SEACOAST BANKING CORP OF FLORIDA
1.47% $9,787,107.06 310,998
-
Xometry, Inc.
1.46% $9,704,026.71 189,273
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HA Sustainable Infrastructure Capital, Inc.
1.46% $9,703,496.45 231,311
-
Viper Energy, Inc.
1.41% $9,348,374.70 189,315
-
Champion Homes, Inc.
1.39% $9,238,618.62 121,194
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VERRA MOBILITY Corp
1.37% $9,079,267.09 612,223
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PJT Partners Inc.
1.18% $7,861,375.06 51,469
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Life Time Group Holdings, Inc.
1.16% $7,698,920.46 287,166
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TransMedics Group, Inc.
1.14% $7,553,605.76 74,944
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Boot Barn Holdings, Inc.
1.13% $7,532,655.75 43,935
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OSI SYSTEMS INC
1.12% $7,443,565.56 25,943
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ENSIGN GROUP, INC
1.12% $7,416,633.63 39,727
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James Hardie Industries plc
1.07% $7,085,258.46 337,554
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Chord Energy Corp
1.04% $6,909,156.80 47,453
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CarGurus, Inc.
1.00% $6,618,510.88 181,528
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Protagonist Therapeutics, Inc
1.00% $6,614,462.01 66,833
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CALIX, INC
0.98% $6,537,659.04 150,084
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PACS Group, Inc.
0.98% $6,484,074.30 193,266
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Guardian Pharmacy Services, Inc.
0.97% $6,473,059.60 174,476
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CABOT CORP
0.96% $6,359,974.40 82,640
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ACUITY INC. (DE)
0.93% $6,203,106.39 21,407
-
Stride, Inc.
0.90% $5,997,103.84 61,724
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Axsome Therapeutics, Inc.
0.90% $5,967,826.50 28,726
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RUSH ENTERPRISES INC \TX\
0.87% $5,770,564.47 77,949
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APOGEE THERAPEUTICS INC
0.86% $5,724,051.84 69,056
-
Palo Alto Networks Inc
0.86% $5,686,595.84 31,712
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Kymera Therapeutics, Inc.
0.85% $5,658,199.58 69,794
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Hinge Health, Inc.
0.84% $5,560,505.00 124,675
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Celldex Therapeutics, Inc.
0.76% $5,032,875.84 153,068
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PTC THERAPEUTICS, INC.
0.74% $4,944,364.82 75,997
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