Fund Facts and Performance
Mutual Funds

The Hartford Mutual Funds

Why The Hartford Mutual Funds?


Glossary of Terms
Fund Facts and Performance:
Daily Fund Prices (NAV):
The Hartford Select MidCap Growth Fund View Daily Fund Prices (NAV)
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Investment Goal and Approach
Performance
Fund Facts
Top Ten Holdings
Industry Weight
Portfolio Statistics
Portfolio Manager
Prospectus
Footnotes

Investment Goal and Approach
The Fund seeks long-term capital appreciation by investing primarily in growth stocks. Under normal circumstances, the fund invests at least 80% of its assets in commons stocks of mid-capitalization companies.

PAST PERFORMANCE IS NOT INDICATIVE OF FUTURE RESULTS. Current Performance may be lower or higher than the performance data quoted. For performance current to the most recent month ended, please see www.hartfordadvisor.com.

The investment return and principal value of an investment will fluctuate so that shares, when redeemed, may be worth more or less than their original cost.

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Excluding sales charge
As of 10/31/2008 - Monthly   All returns in percentages
    Total         Annualized
  Inception Return Average Annual Total Return Return
Class Date Ytd 1YR 3YR 5YR 10YR (Since inception)
A 01/01/2005 -42.53% -45.38% -10.26% ---- ---- -7.94%
B 01/01/2005 -42.70% -45.59% -10.73% ---- ---- -8.46%
C 01/01/2005 -42.77% -45.67% -10.86% ---- ---- -8.57%

Sales charge adjusted*
As of 10/31/2008 - Monthly   All returns in percentages
            Annualized  
  Inception Average Annual Total Return Return Current
Class Date 1YR 3YR 5YR 10YR (Since inception) Yield
A 01/01/2005 -48.38% -11.94% ---- ---- -9.29% ---
B 01/01/2005 -47.95% -11.47% ---- ---- -9.05% ---
C 01/01/2005 -46.14% -10.86% ---- ---- -8.57% ---

Sales charge adjusted*
As of 09/30/2008 - Quarterly   All returns in percentages
            Annualized  
  Inception Average Annual Total Return Return Current
Class Date 1YR 3YR 5YR 10YR (Since inception) Yield
A 01/01/2005 -33.43% -5.79% ---- ---- -3.67% ---
B 01/01/2005 -32.91% -5.32% ---- ---- -3.41% ---
C 01/01/2005 -30.59% -4.69% ---- ---- -2.89% ---

PAST PERFORMANCE IS NOT INDICATIVE OF FUTURE RESULTS. Current Performance may be lower or higher than the performance data quoted. For performance current to the most recent month ended, please see www.hartfordadvisor.com. The investment return and principal value of an investment will fluctuate so that an investor's shares, when redeemed, may be worth more or less than their original cost.

* Performance Including Maximum Sales Charge- The maximum sales charge for Class A shares is 5.5% (Except: 4.5% for High Yield, Income, Total Return Bond, Tax- Free MN, Tax- Free CA, Tax- Free NY, Tax- Free National, U.S. Government Securities, and the Inflation Plus Fund. 3.0% for Short Duration, and no sales charge for the Money Market Fund). Class B shares reflect the deduction of the contingent deferred sales charge (CDSC) in years one through six of 5%, 4%, 3%, 3%, 2%, and 1% respectively. Class C shares reflect a 1% CDSC in year one.

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Top Ten Holdings
As of 06/30/2006
(subject to change)
Company % of Portfolio
Rockwell Automation, Inc. (ROK)  1.5%
Fortune Brands, Inc. (FO)  1.5%
Amphenol Corp. (APH)  1.4%
Harman International Industries, Inc. (HAR)  1.4%
XM Satellite Radio Holdings, Inc. (XMSR)  1.4%
Univision Communications, Inc. (UVN)  1.3%
Weatherford International Ltd. (WFT)  1.3%
Lamar Advertising Co. (LAMR)  1.3%
Biomet, Inc. (BMET)  1.2%
Analog Devices, Inc. (ADI)  1.1%
% of Portfolio 13.4%

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Industry Weightings
As of 06/30/2006
(subject to change)
Sector
Fund
Russell Mid Cap Growth*
Energy
7%
10%
Materials
1%
3%
Industrials
12%
13%
Consumer Discretionary
25%
23%
Consumer Staples
1%
2%
Health Care
17%
17%
Financials
6%
9%
Information Technology
28%
21%
Telecom Services
2%
2%
Utilities
0%
1%
Cash
1%
0%
*Click here to view benchmark information

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Portfolio Statistics (subject to change)
  As of 06/30/2006
Net Assets $24 million
% of Equities 95%
% of Foreign Equities 3%
# of Holdings 172
Click here to view Glossary of Terms

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Fund Facts
Class Inception Fund Number Fund Symbol CUSIP
A 12/31/2004 1201 HSMAX 416648640
B 12/31/2004 1202 HSMBX 416648632
C 12/31/2004 1203 HTSCX 416648624


(subject to change)
Portfolio Characteristics As of 06/30/2006
Price/Earnings Ratio (Est.) 23.4x
Price/Book Ratio ---
Beta ---
Click here to view
Glossary of Terms

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Portfolio Management

Manager Hartford Investment Financial Services LLC.
Three-in-One: The Fund utilizes the experience and expertise of three proven investment management firms who employ distinct but complementary investment styles. HIFSCO is responsible for oversight of these sub-adivsers, and allocation of the funds cash flows among them.

Chartwell Investment Partners

Management Team
Seven member team with 15 years average investment experience

Team Leaders
Edward N. Antoian, CPA, CFA
Managing Partner, Senior Portfolio Manager
22 Years of Professional Experience

Mark J. Cunneen
Partner, Senior Portfolio Manager
18 Years of Professional Experience

Investment Approach

  • Philosophy - Select quality mid-cap growth companies that demonstrate strong increases in earnings per share.
  • Strategy - Buy attractively valued companies best positioned for rapid growth.
  • Process - Use a bottom-up research process to identify growth stocks at attractive valuations.

Goldman Sachs Asset Management

Management Team
24 person investment team with 260 years
combined investment experience

Team Leader

Steven M. Barry,
Chief Investment Officer,
Senior Portfolio Manager
19 Years of Professional Experience

Investment Approach

  • Philosophy - Business Buyers: buy growing businesses with enduring franchises.
  • Strategy - Buy high-quality businesses, at attractive valuations, who are strategically poised for potential long-term growth.
  • Process - Use proprietary research to uncover companies with long-term prospects, predictable and sustainable growth, enduring competitive advantages and excellent company management.

Northern Capital Management, LLC

Management Team
Six member management team with an
average investment experience of over 16 years

Team Leaders
Daniel T.Murphy, CFA,
President and Chief Investment Officer
17 Years of Professional Experience

Brian Hellmer, CFA,
Senior Vice President, Director of Research
17 Years of Professional Experience

Investment Approach

  • Philosophy - Companies with high, sustainable growth rates tend to outperform the market long-term.
  • Strategy - Buy attractively priced growth companies that have sustainable competitive advantages.
  • Process - Disciplined buy/sell process based on proprietary method of calculating expected returns.



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Prospectus
PDF Format View Prospectus

Footnotes

The investment return and principal value of an investment will fluctuate so that shares, when redeemed, may be worth more or less than their original cost.

Mid-cap stocks generally have higher risk characteristics than larger company stocks.

A percentage of the Fund may be invested in securities of non-U.S. companies and/or non-dollar securities. Investing in foreign securities may involve different and additional risks associated with foreign currencies, investment disclosure, accounting, securities regulation, commissions, taxes, political or social instability, war or expropriation.

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