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Here you can find all mutual funds issued by Hartford and compare their essential indicators like expense ratio or rate of return to see which one suits your portfolio best.

Click on any fund in the list to see complete information, including risk and performance analysis.


Issuer: Hartford
SymbolFull NameCategoryInceptionExpense RatioYTD Return10Y Return (Annualized)Dividend YieldMax. DrawdownSharpe RatioSortino RatioOmega RatioMartin RatioCalmar RatioUlcer Index
HSDAX
Hartford Short Duration FundShort-Term BondOct 31, 20020.79%
5.19%
2.22%
3.94%
Hartford Small Cap Growth FundSmall Cap Growth EquitiesFeb 19, 20020.87%
11.88%
7.40%
2.58%
Hartford Small Cap Value FundSmall Cap Value EquitiesDec 31, 20040.85%
9.54%
7.23%
3.06%
Hartford Stock HLS FundLarge Cap Blend EquitiesAug 31, 19770.51%
12.92%
10.36%
4.24%
Hartford Ultrashort Bond HLS FundUltrashort BondApr 1, 19980.69%
4.11%
1.42%
4.18%
Hartford Quality Value FundLarge Cap Value EquitiesFeb 19, 20020.57%
The Hartford World Bond FundGlobal BondsMay 30, 20110.71%
4.47%
1.56%
3.52%
Hartford Multi-Asset Income FundDiversified PortfolioJul 21, 19960.74%
7.88%
5.11%
4.02%
Hartford Schroders International Stock Fund Class ...Foreign Large Cap EquitiesDec 19, 19850.79%
11.65%
6.40%
1.14%
Hartford Schroders US Small Cap Opportunities FundSmall Cap Blend EquitiesAug 6, 19931.08%
8.79%
6.03%
0.08%
Hartford Schroders Emerging Markets Equity Fund Cl...Emerging Markets Equities1.23%
8.64%
3.25%
1.22%
Hartford Schroders International Multi-Cap Value F...Foreign Large Cap EquitiesAug 29, 20060.84%
11.62%
3.96%
2.77%
Hartford Schroders US MidCap Opportunities FundMid Cap Blend EquitiesMar 31, 20060.89%
10.43%
6.62%
1.53%
Hartford Schroders Emerging Markets Multi-Sector B...Emerging Markets BondsJun 24, 20130.90%
7.70%
1.96%
6.40%
Hartford Schroders Tax-Aware Bond FundIntermediate Core BondOct 3, 20110.49%
3.12%
2.44%
3.47%

41–55 of 55

Risk vs. Return Scatterplot

The Risk vs. Return Scatterplot allows you to quickly compare funds, stocks, and ETFs in one view. It displays the yearly return of an instrument on one axis and the risk (volatility) on the other.

0%Annualized Volatility0%Annualized Return

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