Returns Chart

Key Stats

Net Expense Ratio Total Assets Under Management Weighted Average Dividend Yield Turnover Ratio (Generic)
1.07% 567.41M -- 187.0%
1 Year Fund Level Flows 1 Year Total Returns (Daily) Annualized Total Returns Since Inception (Daily) Max Drawdown (Since Inception)
-75.10M 9.57% Upgrade Upgrade

Basic Info

Investment Strategy
The Fund seeks maximum long-term total rate of return by investing in common stocks and other equity securities, bonds and other debt securities and money market instruments.
General
Security Type Mutual Fund
Broad Asset Class Allocation
Broad Category Allocation
Global Peer Group Mixed Asset USD Balanced - US
Peer Group Mixed-Asset Target Alloc Moderate Funds
Global Macro --
US Macro Mixed-Assets Target Allocation Funds
YCharts Categorization --
YCharts Benchmark --
Prospectus Objective Balanced Funds
Fund Owner Firm Name Hartford Funds
Broad Asset Class Benchmark Index
^SPXTR 100.0%

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Net Fund Flows Versus Peer Group

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1M
3M
6M
YTD
1Y
3Y
5Y
10Y
 
80.00B
60.00B
40.00B
20.00B
0
-20.00B
1 Month
% Rank: 52
-402.57M Peer Group Low
73.64M Peer Group High
1 Year
% Rank: 57
-75.10M
-5.630B Peer Group Low
4.215B Peer Group High
3 Months
% Rank: 55
-1.084B Peer Group Low
789.24M Peer Group High
3 Years
% Rank: 56
-21.06B Peer Group Low
3.901B Peer Group High
6 Months
% Rank: 55
-1.853B Peer Group Low
768.36M Peer Group High
5 Years
% Rank: 62
-29.38B Peer Group Low
3.480B Peer Group High
YTD
% Rank: 54
-4.051B Peer Group Low
736.95M Peer Group High
10 Years
% Rank: 58
-48.67B Peer Group Low
4.064B Peer Group High
Date Unavailable

Performance Versus Peer Group

 
20%
15%
10%
5%
0
Name
1M
3M
YTD
1Y
3Y
5Y
10Y
15Y
Total Return (NAV)
12.00%
12.00%
12.00%
12.00%
12.00%
12.00%
12.00%
12.00%
Peer Group Rtn. (NAV)
12.00%
12.00%
12.00%
12.00%
12.00%
12.00%
12.00%
12.00%
% Rank in Peer Group (NAV)
5.0
5.0
5.0
5.0
5.0
5.0
5.0
5.0
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Annual Total Returns Versus Peers

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Name
2018
2019
2020
2021
2022
2023
2024
YTD
-5.32%
15.07%
6.05%
6.98%
-11.78%
10.14%
6.22%
12.08%
-4.38%
31.49%
18.40%
28.71%
-18.11%
26.29%
25.02%
17.98%
-6.53%
14.41%
14.46%
7.61%
-16.19%
14.50%
9.67%
14.14%
-4.34%
16.44%
1.38%
8.50%
-13.61%
8.42%
4.27%
8.18%
-4.75%
14.27%
5.10%
7.10%
-8.33%
8.06%
10.95%
11.32%
-6.52%
15.70%
11.09%
8.00%
-13.66%
12.38%
8.61%
11.42%
As of December 05, 2025.

Fundamentals

General
Distribution Yield --
Dividend Yield TTM (12-3-25) 6.06%
30-Day SEC Yield (10-31-25) 4.92%
7-Day SEC Yield --
Number of Holdings 1012
Stock
Weighted Average PE Ratio 22.35
Weighted Average Price to Sales Ratio 3.631
Weighted Average Price to Book Ratio 4.405
Weighted Median ROE 20.27%
Weighted Median ROA 6.69%
ROI (TTM) 12.69%
Return on Investment (TTM) 12.69%
Earning Yield 0.0591
LT Debt / Shareholders Equity 1.079
Number of Equity Holdings 255
Bond
Yield to Maturity (9-30-25) 5.23%
Effective Duration 5.55
Average Coupon 5.93%
Calculated Average Quality 3.730
Effective Maturity 11.94
Nominal Maturity 12.32
Number of Bond Holdings 667
As of September 30, 2025

Growth Metrics

EPS Growth (1Y) 16.98%
EPS Growth (3Y) 6.62%
EPS Growth (5Y) 9.98%
Sales Growth (1Y) 6.39%
Sales Growth (3Y) 6.63%
Sales Growth (5Y) 6.56%
Sales per Share Growth (1Y) 6.71%
Sales per Share Growth (3Y) 7.07%
Operating Cash Flow - Growth Rate (3Y) 6.95%
As of September 30, 2025

Fund Details

Key Dates
Inception Date 7/22/1996
Last Annual Report Date 10/31/2024
Last Prospectus Date 2/28/2025
Share Classes
HAFCX C
IHAYX Inst
ITTAX A
ITTFX F
ITTIX Inst
ITTRX Retirement
ITTTX Retirement
ITTVX Retirement
Attributes
Index Fund --
Inverse Fund No
Leveraged Fund --
Fund of Funds No
Currency Hedged Fund --
Synthetic Replication Fund No

Asset Allocation

As of September 30, 2025.
Type % Net
Cash 0.97%
Stock 33.69%
Bond 59.25%
Convertible 0.00%
Preferred 0.76%
Other 5.33%
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Top 10 Holdings

Name % Weight Price % Change
10Y TNOTES DEC25
8.37% -- --
EMINI S&P DEC25
5.91% -- --
US T BONDS DEC25
4.91% -- --
FEDERAL NATIONAL MORTGAGE ASSOCIATION 5.5% 01-OCT-2055
3.85% -- --
ROYAL BANK OF CANADA WARRANT
3.41% -- --
LONG GILT DEC5
3.30% -- --
ULTRA BOND DEC25
2.86% -- --
CA 10YR BND DEC5
2.49% -- --
FEDERAL NATIONAL MORTGAGE ASSOCIATION 5.5% 01-NOV-2055
2.22% -- --
10YR TB-DAY DEC5
2.18% -- --

Fees & Availability

Fees
Actual 12B-1 Fee 0.25%
Actual Management Fee 0.58%
Administration Fee --
Maximum Front Load --
Maximum Deferred Load --
Maximum Redemption Fee --
General Availability
Available for Insurance Product No
Available for RRSP No
Purchase Details
Open to New Investors Yes
Minimum Initial Investment 0.00 None
Minimum Subsequent Investment 0.00 None

Basic Info

Investment Strategy
The Fund seeks maximum long-term total rate of return by investing in common stocks and other equity securities, bonds and other debt securities and money market instruments.
General
Security Type Mutual Fund
Broad Asset Class Allocation
Broad Category Allocation
Global Peer Group Mixed Asset USD Balanced - US
Peer Group Mixed-Asset Target Alloc Moderate Funds
Global Macro --
US Macro Mixed-Assets Target Allocation Funds
YCharts Categorization --
YCharts Benchmark --
Prospectus Objective Balanced Funds
Fund Owner Firm Name Hartford Funds
Broad Asset Class Benchmark Index
^SPXTR 100.0%

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Fundamentals

General
Distribution Yield --
Dividend Yield TTM (12-3-25) 6.06%
30-Day SEC Yield (10-31-25) 4.92%
7-Day SEC Yield --
Number of Holdings 1012
Stock
Weighted Average PE Ratio 22.35
Weighted Average Price to Sales Ratio 3.631
Weighted Average Price to Book Ratio 4.405
Weighted Median ROE 20.27%
Weighted Median ROA 6.69%
ROI (TTM) 12.69%
Return on Investment (TTM) 12.69%
Earning Yield 0.0591
LT Debt / Shareholders Equity 1.079
Number of Equity Holdings 255
Bond
Yield to Maturity (9-30-25) 5.23%
Effective Duration 5.55
Average Coupon 5.93%
Calculated Average Quality 3.730
Effective Maturity 11.94
Nominal Maturity 12.32
Number of Bond Holdings 667
As of September 30, 2025

Growth Metrics

EPS Growth (1Y) 16.98%
EPS Growth (3Y) 6.62%
EPS Growth (5Y) 9.98%
Sales Growth (1Y) 6.39%
Sales Growth (3Y) 6.63%
Sales Growth (5Y) 6.56%
Sales per Share Growth (1Y) 6.71%
Sales per Share Growth (3Y) 7.07%
Operating Cash Flow - Growth Rate (3Y) 6.95%
As of September 30, 2025

Fund Details

Key Dates
Inception Date 7/22/1996
Last Annual Report Date 10/31/2024
Last Prospectus Date 2/28/2025
Share Classes
HAFCX C
IHAYX Inst
ITTAX A
ITTFX F
ITTIX Inst
ITTRX Retirement
ITTTX Retirement
ITTVX Retirement
Attributes
Index Fund --
Inverse Fund No
Leveraged Fund --
Fund of Funds No
Currency Hedged Fund --
Synthetic Replication Fund No

Top Portfolio Holders

Name % Weight
Portfolio A 5.00%
Portfolio B 3.50%
Portfolio C 2.25%
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Excel Add-In Codes

Name: =YCI("M:ITTSX", "name")
Broad Asset Class: =YCI("M:ITTSX", "broad_asset_class")
Broad Category: =YCI("M:ITTSX", "broad_category_group")
Prospectus Objective: =YCI("M:ITTSX", "prospectus_objective")
To find the codes for any of our securities and financial metrics, see our Complete Excel Reference.
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