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 Value Fund View Daily Fund Prices (NAV)
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Investment Goal
Investment Approach
Performance
Top Ten Holdings
Industry Weight
Equity Statistics
Fund Facts
Portfolio Manager
Prospectus
Footnotes

Investment Goal

The Fund seeks long-term total return by investing in stocks of companies with market capitalizations above $3 billion.

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Investment Approach

The Fund emphasizes, intensive fundamental analysis and bottom up stock selection when purchasing solid companies that are temporarily out of favor.



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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.

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 04/30/2001 -30.46% -33.00% -1.98% 2.86% ---- 0.53%
B 04/30/2001 -30.77% -33.43% -2.70% 2.11% ---- -0.20%
C 04/30/2001 -30.90% -33.50% -2.73% 2.09% ---- -0.21%

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 04/30/2001 -36.68% -3.81% 1.71% ---- -0.22% ---
B 04/30/2001 -36.60% -3.57% 1.74% ---- -0.20% ---
C 04/30/2001 -34.13% -2.73% 2.09% ---- -0.21% ---

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 04/30/2001 -24.36% 0.74% 6.25% ---- 2.00% ---
B 04/30/2001 -24.32% 0.94% 6.32% ---- 2.01% ---
C 04/30/2001 -21.34% 1.86% 6.64% ---- 2.01% ---

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.

* 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
Exxon Mobil Corp. (XOM)  4.0%
Bank of America Corp  4.0%
Citigroup Inc  3.8%
Bellsouth Corp  3.3%
CVS Corporation  3.1%
AT&T INC  2.7%
Occidental Petroleum  2.7%
Wellpoint Health  2.4%
PepsiCo Inc  2.4%
Goldman Sachs Group, Inc. (GS)  2.4%
% of Portfolio 30.7%

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Industry Weightings
As of 06/30/2006
(subject to change)
Sector
Fund
Russell 1000 Value*
Energy
11%
14%
Materials
4%
4%
Industrials
14%
7%
Consumer Discretionary
5%
9%
Consumer Staples
10%
6%
Health
10%
7%
Financials
26%
37%
Information Technology
5%
4%
Telecom Services
7%
6%
Utilities
6%
7%
*Click here to view benchmark information

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(subject to change)
Asset Allocation As of 06/30/2006
Net Assets $144 million
% of Equities 97%
% of Foreign Equities 1%
Click here to view Glossary of Terms
(subject to change)
Equity Statistics As of 06/30/2006
Equity Yield 2.1%
# of Holdings 71
Beta .95
Click here to view Glossary of Terms

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Fund Facts
Class Inception Fund Number Fund Symbol CUSIP
A 4/30/01 1285 HVFAX 416646404
B 4/30/01 1286 HVFBX 416646503
C 4/30/01 1287 HVFCX 416646602

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Portfolio Characteristics (subject to change)
  As of 06/30/2006
Price/Earnings Ratio (Est.) 12.0x
Click here to view Glossary of Terms

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Portfolio Manager: John R. Ryan, CFA
Senior Vice President, Managing Partner and Team Leader Wellington Management Company, LLP


Professional Experience
  • 31 years of Professional Experience

Education

  • BS, Lehigh University
  • MBA, Darden Graduate School of Business at the University of Virginia


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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.

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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