Fund Holdings

HARTFORD INVESTMENT MANAGEMENT CO

Filing Period:
Securities
SharesValue ($K)
Q1 2026
Q2 2026
Change
Q1 2026
Q2 2026
Weight (%)
Change
MICRON TECHNOLOGY INC(MU)64,13762,340-1,79721,668,04471,958,4392.05%+50,290,395
ADVANCED MICRO DEVICES IN(AMD)92,94790,143-2,80418,908,20852,364,9701.49%+33,456,762
NVIDIA CORP(NVDA)1,384,7181,339,077-45,641241,494,819267,935,9177.61%+26,441,098
INTEL CORPORATION CORP(INTC)267,556261,192-6,36411,807,24636,470,2391.04%+24,662,993
APPLE INC(AAPL)836,619812,000-24,619212,325,536234,960,3206.68%+22,634,784
ALPHABET INC CLASS A(GOOG)331,853324,084-7,76995,427,649115,817,8993.29%+20,390,250
APPLIED MATERIAL INC45,22743,864-1,36315,458,13631,713,6720.90%+16,255,536
ALPHABET INC CLASS C(GOOG)266,592261,224-5,36876,474,58192,298,2762.62%+15,823,695
BROADCOM INC(AVGO)270,172261,756-8,41683,620,93698,878,3292.81%+15,257,393
LAM RESEARCH CORP(LRCX)71,15769,116-2,04115,203,40529,950,0360.85%+14,746,631
MARVELL TECHNOLOGY INC(MRVL)048,393+48,393014,415,7910.41%+14,415,791
SANDISK CORP(SNDK)8,4278,185-2425,354,01018,610,4800.53%+13,256,470
AMAZON COM INC(AMZN)556,657541,225-15,432115,934,953128,995,5673.67%+13,060,614
ELI LILLY(LLY)45,15943,731-1,42841,535,89352,452,2731.49%+10,916,380
KLA CORP(KLAC)7,46872,196+64,72810,995,95821,782,2550.62%+10,786,297
CATERPILLAR INC(CAT)26,50925,455-1,05418,780,56627,107,0300.77%+8,326,464
CISCO SYSTEMS INC(CSCO)225,134218,321-6,81317,468,14725,643,9850.73%+8,175,838
PALO ALTO NETWORKS INC(PANW)46,06744,820-1,2477,385,46115,284,5160.43%+7,899,055
WESTERN DIGITAL CORP(WDC)19,33119,050-2815,228,84212,167,6160.35%+6,938,774
UNITEDHEALTH GROUP INC(UNH)51,61250,214-1,39813,965,69120,870,4450.59%+6,904,754
TESLA INC(TSLA)160,263155,635-4,62859,577,77065,460,0811.86%+5,882,311
CORNING INC(GLW)44,58143,333-1,2486,061,67911,068,5480.31%+5,006,869
TEXAS INSTRUMENT INC(TXN)51,71450,317-1,39710,039,75614,997,9880.43%+4,958,232
GE AEROSPACE(GE)59,78457,680-2,10416,964,90621,556,7460.61%+4,591,840
DELL TECHNOLOGIES INC CLA(DELL)16,93515,986-9492,779,5426,897,3200.20%+4,117,778
GE VERNOVA INC(GEV)15,36314,858-50513,410,36317,456,0700.50%+4,045,707
HONEYWELL INTERNATIONAL I017,518+17,51803,922,2800.11%+3,922,280
JPMORGAN CHASE(JPM)153,683148,204-5,47945,207,39148,511,6151.38%+3,304,224
FLEX LTD(FLEX)020,319+20,31903,293,1000.09%+3,293,100
AMPHENOL CORP CLASS A70,12968,005-2,1248,860,79911,990,6420.34%+3,129,843
ASTRAZENECA PLC(AZN)016,461+16,46103,080,5490.09%+3,080,549
QUALCOMM INC(QCOM)60,77458,281-2,4937,826,47610,769,7460.31%+2,943,270
ABBVIE INC(ABBV)100,70397,628-3,07521,901,89524,567,1100.70%+2,665,215
MORGAN STANLEY(MS)68,67966,298-2,38111,302,50313,858,9340.39%+2,556,431
DATADOG INC CLASS A(DDOG)18,69218,278-4142,206,5914,758,8600.14%+2,552,269
VISA INC CLASS A(V)95,81791,787-4,03028,959,73031,491,2020.89%+2,531,472
ARISTA NETWORKS INC(ANET)58,81957,053-1,7667,221,7979,692,1640.28%+2,470,367
FORTINET INC(FTNT)36,10034,413-1,6872,950,0925,286,5250.15%+2,336,433
BANK OF AMERICA CORP378,181361,195-16,98618,436,32420,580,8910.58%+2,144,567
CVS HEALTH CORP(CVS)72,46070,431-2,0295,204,0777,286,0870.21%+2,082,010
CARNIVAL CORP LTD071,804+71,80402,051,4400.06%+2,051,440
GOLDMAN SACHS GROUP INC(GS)17,11916,317-80214,482,50316,502,5240.47%+2,020,021
CITIGROUP INC(C)99,59594,291-5,30411,295,06913,196,9680.38%+1,901,899
ANALOG DEVICES INC(ADI)27,85126,995-8568,860,51710,721,6040.30%+1,861,087
INTERNATIONAL BUSINESS MA(IBM)53,27251,951-1,32112,912,60014,609,1410.42%+1,696,541
VERTIV HOLDINGS CLASS A(VRT)21,80021,232-5685,462,6447,108,8980.20%+1,646,254
CASEYS GENERAL STORES INC(CASY)02,032+2,03201,615,0130.05%+1,615,013
TERADYNE INC(TER)8,9328,648-2842,647,9814,184,2480.12%+1,536,267
HEWLETT PACKARD ENTERPRIS(HPE)75,05973,255-1,8041,787,1553,304,5330.09%+1,517,378
APPLOVIN CORP CLASS A(APP)15,45114,870-5816,149,4987,661,4700.22%+1,511,972
VEEVA SYSTEMS INC CLASS A(VEEV)08,269+8,26901,467,4990.04%+1,467,499
HUMANA INC(HUM)6,8866,614-2721,193,9642,627,2130.07%+1,433,249
CADENCE DESIGN SYSTEMS IN(CDNS)15,54515,239-3064,319,4895,719,5010.16%+1,400,012
UNITED RENTALS INC(URI)3,5873,460-1272,613,3453,919,7990.11%+1,306,454
QUANTA SERVICES INC8,5238,284-2394,679,2975,964,8110.17%+1,285,514
ROBINHOOD MARKETS INC CLA(HOOD)44,87943,622-1,2573,110,1154,374,4140.12%+1,264,299
EATON PLC(ETN)22,12521,472-6537,913,4499,149,6490.26%+1,236,200
CUMMINS INC(CMI)7,8687,621-2474,233,1415,435,3730.15%+1,202,232
NXP SEMICONDUCTORS NV
COM
14,35913,957-4022,826,7133,922,3360.11%+1,095,623
COMFORT SYSTEMS USA INC(FIX)2,0081,941-672,769,0123,846,9650.11%+1,077,953
DUPONT DE NEMOURS INC07,522+7,52201,020,2840.03%+1,020,284
WELLTOWER INC(WELL)39,79839,042-7567,868,4638,861,3630.25%+992,900
ELEVANCE HEALTH INC(ELV)12,58412,034-5503,683,9664,653,9090.13%+969,943
DELTA AIR LINES INC(DAL)36,98236,081-9012,458,5633,379,3460.10%+920,783
PHILIP MORRIS INTERNATION(PM)88,79486,195-2,59914,681,20015,593,5370.44%+912,337
DEVON ENERGY CORP(DVN)35,40363,718+28,3151,781,4792,632,8280.07%+851,349
MONSTER BEVERAGE CORP(MNST)40,87439,487-1,3872,961,7303,795,4900.11%+833,760
LUMENTUM HOLDINGS INC(LITE)4,0714,302+2312,860,9363,691,3740.10%+830,438
BANK OF NEW YORK MELLON C39,42937,979-1,4504,677,4625,492,1430.16%+814,681
CENTENE CORP(CNC)26,65925,831-828872,8161,658,0920.05%+785,276
HOME DEPOT INC(HD)56,71755,085-1,63218,653,65419,427,3780.55%+773,724
TRANE TECHNOLOGIES PLC(TT)12,62012,232-3885,259,2596,007,8690.17%+748,610
ROCKWELL AUTOMATION INC(ROK)6,4056,140-2652,298,6263,039,7910.09%+741,165
UNION PACIFIC CORP(UNP)33,85032,902-9488,212,6878,949,3440.25%+736,657
MICROCHIP TECHNOLOGY INC(MCHP)30,80529,847-9581,990,3112,722,0460.08%+731,735
UNITED AIRLINES HOLDINGS(UAL)18,56117,895-6661,708,9112,433,5410.07%+724,630
DEERE(DE)14,35613,888-4688,086,7358,809,5750.25%+722,840
MONOLITHIC POWER SYSTEMS(MPWR)2,7742,716-583,032,9533,754,4900.11%+721,537
AMERICAN EXPRESS(AXP)30,58229,462-1,1209,250,4439,965,5220.28%+715,079
CIENA CORP(CIEN)8,0507,825-2253,125,2523,838,6320.11%+713,380
HOWMET AEROSPACE INC(HWM)22,86822,127-7415,270,1595,949,0650.17%+678,906
PNC FINANCIAL SERVICES GR(PNC)23,03022,187-8434,792,3135,462,8830.16%+670,570
DOORDASH INC CLASS A(DASH)21,32720,889-4383,202,2493,854,6470.11%+652,398
ON SEMICONDUCTOR CORP(ON)22,43921,586-8531,389,4232,040,7400.06%+651,317
BERKSHIRE HATHAWAY INC CL104,513101,373-3,14050,082,63050,726,0351.44%+643,405
CARRIER GLOBAL CORP(CARR)44,81243,145-1,6672,523,3643,164,6860.09%+641,322
JABIL INC(JBL)6,0115,799-2121,596,7022,235,3990.06%+638,697
STARBUCKS CORP(SBUX)64,95862,996-1,9625,819,5876,437,5610.18%+617,974
NUCOR CORP(NUE)13,00712,569-4382,199,4842,799,7450.08%+600,261
COCA-COLA(KO)221,299214,404-6,89516,829,78917,424,6130.50%+594,824
US BANCORP(USB)88,66286,176-2,4864,611,3115,205,0300.15%+593,719
AXON ENTERPRISE INC(AXON)4,4904,437-531,906,8582,487,4270.07%+580,569
STATE STREET CORP(STT)15,88515,201-6842,010,4062,578,0900.07%+567,684
KEYSIGHT TECHNOLOGIES INC(KEYS)9,7819,507-2742,761,8613,328,1150.09%+566,254
SIMON PROPERTY GROUP REIT(SPG)18,51717,907-6103,453,9764,004,9010.11%+550,925
CSX CORP(CSX)105,959102,988-2,9714,349,6174,895,0200.14%+545,403
WW GRAINGER INC(GWW)2,4952,398-972,721,5713,262,2390.09%+540,668
MERCK & CO INC(MRK)141,501136,591-4,91017,021,15517,551,9440.50%+530,789
BOEING(BA)44,75343,586-1,1678,907,1909,435,0610.27%+527,871
NETAPP INC(NTAP)11,26610,842-4241,153,5261,677,9080.05%+524,382
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