Hartford Balanced HLS Fund
Schedule of Investments
March 31, 2024  (Unaudited) 

Shares or Principal Amount   Market Value†
ASSET & COMMERCIAL MORTGAGE-BACKED SECURITIES - 1.1%
  Asset-Backed - Automobile - 0.3%
$      736,650 CFMT LLC 1.39%, 09/22/2031(1) $       720,696
  1,845,000 Enterprise Fleet Financing LLC 6.40%, 03/20/2030(1)      1,873,440
            Ford Credit Auto Owner Trust  
    275,000 1.61%, 10/17/2033(1)        254,745
    260,000 1.91%, 10/17/2033(1)        240,661
    442,639 SFS Auto Receivables Securitization Trust 5.89%, 03/22/2027(1)        443,340
1,260,000 Wheels Fleet Lease Funding 1 LLC 6.46%, 08/18/2038(1) 1,269,981
      4,802,863
  Asset-Backed - Student Loan - 0.1%
1,434,864 Navient Private Education Refi Loan Trust 5.51%, 10/15/2071(1) 1,441,298
  Commercial Mortgage-Backed Securities - 0.1%
1,460,000 BX Trust 6.74%, 10/15/2036, 1 mo. USD Term SOFR + 1.41%(1)(2) 1,439,925
375,000 SFAVE Commercial Mortgage Securities Trust 4.14%, 01/05/2043(1)(3) 295,884
      1,735,809
  Other Asset-Backed Securities - 0.5%
44,704 Aaset Trust 3.84%, 05/15/2039(1) 38,445
24,791 Affirm Asset Securitization Trust 1.07%, 08/15/2025(1) 24,651
  Castlelake Aircraft Structured Trust  
101,577 3.47%, 01/15/2046(1) 95,518
347,325 3.97%, 04/15/2039(1) 312,630
  CF Hippolyta Issuer LLC  
772,807 1.53%, 03/15/2061(1) 696,761
410,193 1.69%, 07/15/2060(1) 383,515
160,216 1.98%, 03/15/2061(1) 141,278
195,426 5.97%, 08/15/2062(1) 190,577
1,321,979 Home Partners of America Trust 2.30%, 12/17/2026(1) 1,219,394
168,184 Horizon Aircraft Finance II Ltd. 3.72%, 07/15/2039(1) 150,453
253,166 Horizon Aircraft Finance III Ltd. 3.43%, 11/15/2039(1) 199,996
1,155,000 Kubota Credit Owner Trust 5.28%, 01/18/2028(1) 1,157,705
136,408 MACH 1 Cayman Ltd. 3.47%, 10/15/2039(1) 123,315
66,988 MAPS Ltd. 4.46%, 03/15/2044(1) 60,793
  New Economy Assets Phase 1 Sponsor LLC  
1,530,000 1.91%, 10/20/2061(1) 1,340,318
480,000 2.41%, 10/20/2061(1) 402,950
2,572,000 Retained Vantage Data Centers Issuer LLC 5.00%, 09/15/2048(1) 2,486,118
314,905 SCF Equipment Leasing LLC 0.83%, 08/21/2028(1) 311,681
130,291 Start II Ltd. 4.09%, 03/15/2044(1) 120,532
      9,456,630
  Whole Loan Collateral CMO - 0.1%
49,247 Angel Oak Mortgage Trust 2.62%, 11/25/2059(1)(3) 47,667
  Federal National Mortgage Association Connecticut Avenue Securities  
280,000 6.87%, 10/25/2041, 30 day USD SOFR Average + 1.55%(1)(2) 281,207
109,818 11.33%, 10/25/2028, 30 day USD SOFR Average + 6.01%(2) 116,133
  Flagstar Mortgage Trust  
572,962 2.00%, 09/25/2041(1)(3) 489,477
Shares or Principal Amount   Market Value†
ASSET & COMMERCIAL MORTGAGE-BACKED SECURITIES - 1.1% - (continued)
  Whole Loan Collateral CMO - 0.1% - (continued)
$      271,906 4.00%, 05/25/2048(1)(3) $       246,493
    191,260 MetLife Securitization Trust 3.00%, 04/25/2055(1)(3)        178,774
     72,009 Mill City Mortgage Loan Trust 2.75%, 01/25/2061(1)(3)         70,714
    393,641 Seasoned Credit Risk Transfer Trust 3.50%, 10/25/2058        368,785
            Towd Point Mortgage Trust  
    159,052 2.75%, 06/25/2057(1)(3)        152,249
     60,013 3.00%, 01/25/2058(1)(3)         58,323
      2,009,822
  Total Asset & Commercial Mortgage-Backed Securities
(cost $19,925,724)
$ 19,446,422
CORPORATE BONDS - 11.6%
  Aerospace/Defense - 0.3%
415,000 BAE Systems PLC 5.25%, 03/26/2031(1) $ 417,017
  HEICO Corp.  
1,816,000 5.25%, 08/01/2028 1,825,273
2,325,000 5.35%, 08/01/2033 2,334,717
560,000 Lockheed Martin Corp. 4.85%, 09/15/2041 526,941
      5,103,948
  Agriculture - 0.4%
  Archer-Daniels-Midland Co.  
1,325,000 2.90%, 03/01/2032 1,142,162
1,109,000 4.50%, 08/15/2033 1,073,959
  Philip Morris International, Inc.  
985,000 5.13%, 02/13/2031 980,010
3,537,000 5.25%, 02/13/2034 3,508,975
      6,705,106
  Airlines - 0.0%
83,254 United Airlines Pass-Through Trust 4.60%, 09/01/2027 80,336
  Auto Manufacturers - 0.0%
270,000 Daimler Truck Finance North America LLC 5.15%, 01/16/2026(1) 269,055
  Beverages - 0.1%
990,000 Anheuser-Busch InBev Worldwide, Inc. 4.38%, 04/15/2038 920,395
1,590,000 Keurig Dr Pepper, Inc. 5.05%, 03/15/2029 1,594,274
      2,514,669
  Commercial Banks - 2.7%
320,000 AIB Group PLC 5.87%, 03/28/2035, (5.87% fixed rate until 03/28/2034; 6 mo. USD SOFR + 1.91% thereafter)(1)(4) 321,440
  Bank of America Corp.  
1,570,000 1.73%, 07/22/2027, (1.73% fixed rate until 07/22/2026; 6 mo. USD SOFR + 0.96% thereafter)(4) 1,447,998
1,215,000 2.30%, 07/21/2032, (2.30% fixed rate until 07/21/2031; 6 mo. USD SOFR + 1.22% thereafter)(4) 995,403
1,799,000 3.42%, 12/20/2028, (3.42% fixed rate until 12/20/2027; 3 mo. USD Term SOFR + 1.30% thereafter)(4) 1,686,667
1,610,000 3.59%, 07/21/2028, (3.59% fixed rate until 07/21/2027; 3 mo. USD Term SOFR + 1.63% thereafter)(4) 1,530,811
 

1

Hartford Balanced HLS Fund
Schedule of Investments – (continued)
March 31, 2024  (Unaudited) 

Shares or Principal Amount   Market Value†
CORPORATE BONDS - 11.6% - (continued)
  Commercial Banks - 2.7% - (continued)
$    2,239,000 5.82%, 09/15/2029, (5.82% fixed rate until 09/15/2028; 6 mo. USD SOFR + 1.57% thereafter)(4) $     2,297,207
    574,000 5.87%, 09/15/2034, (5.87% fixed rate until 09/15/2033; 6 mo. USD SOFR + 1.84% thereafter)(4)        595,023
  2,494,000 Bank of New York Mellon Corp. 4.97%, 04/26/2034, (4.97% fixed rate until 04/26/2033; 6 mo. USD SOFR + 1.61% thereafter)(4)      2,449,259
            BNP Paribas SA  
    830,000 2.82%, 11/19/2025, (2.82% fixed rate until 11/19/2024; 3 mo. USD Term SOFR + 1.37% thereafter)(1)(4)        814,070
  1,640,000 5.89%, 12/05/2034, (5.89% fixed rate until 12/05/2033; 6 mo. USD SOFR + 1.87% thereafter)(1)(4)      1,717,801
2,445,000 BPCE SA 6.71%, 10/19/2029, (6.71% fixed rate until 10/19/2028; 6 mo. USD SOFR + 2.27% thereafter)(1)(4) 2,559,215
455,000 Citizens Financial Group, Inc. 5.84%, 01/23/2030, (5.84% fixed rate until 01/23/2029; 6 mo. USD SOFR + 2.01% thereafter)(4) 454,132
2,505,000 Commonwealth Bank of Australia 5.07%, 09/14/2028(1)(5) 2,530,644
2,733,000 Credit Agricole SA 6.32%, 10/03/2029, (6.32% fixed rate until 10/03/2028; 6 mo. USD SOFR + 1.86% thereafter)(1)(4) 2,836,564
2,737,000 Credit Suisse AG 7.50%, 02/15/2028 2,954,060
  Danske Bank AS  
1,865,000 1.62%, 09/11/2026, (1.62% fixed rate until 09/11/2025; 1 yr. USD CMT + 1.35% thereafter)(1)(4) 1,756,085
900,000 5.71%, 03/01/2030, (5.71% fixed rate until 03/01/2029; 1 yr. USD CMT + 1.40% thereafter)(1)(4) 906,493
1,555,000 6.26%, 09/22/2026, (6.26% fixed rate until 09/22/2025; 1 yr. USD CMT + 1.18% thereafter)(1)(4) 1,570,278
1,960,000 Deutsche Bank AG 6.82%, 11/20/2029, (6.82% fixed rate until 11/20/2028; 6 mo. USD SOFR + 2.51% thereafter)(4) 2,050,391
1,150,000 Goldman Sachs Group, Inc. 6.25%, 02/01/2041 1,248,120
850,000 ING Groep NV 5.34%, 03/19/2030, (5.34% fixed rate until 03/19/2029; 6 mo. USD SOFR + 1.44% thereafter)(4) 847,785
  JP Morgan Chase & Co.  
620,000 2.52%, 04/22/2031, (2.52% fixed rate until 04/22/2030; 6 mo. USD SOFR + 2.04% thereafter)(4) 535,753
390,000 3.11%, 04/22/2041, (3.11% fixed rate until 04/22/2040; 3 mo. USD Term SOFR + 2.46% thereafter)(4) 296,209
705,000 3.70%, 05/06/2030, (3.70% fixed rate until 05/06/2029; 3 mo. USD Term SOFR + 1.42% thereafter)(4) 660,824
805,000 4.45%, 12/05/2029, (4.45% fixed rate until 12/05/2028; 3 mo. USD Term SOFR + 1.59% thereafter)(4) 784,739
  Morgan Stanley  
1,450,000 3.13%, 07/27/2026 1,387,288
1,000,000 3.70%, 10/23/2024 989,961
Shares or Principal Amount   Market Value†
CORPORATE BONDS - 11.6% - (continued)
  Commercial Banks - 2.7% - (continued)
$      790,000 5.47%, 01/18/2035, (5.47% fixed rate until 01/18/2034; 6 mo. USD SOFR + 1.73% thereafter)(4) $       797,793
  1,372,000 5.95%, 01/19/2038, (5.95% fixed rate until 01/19/2033; 5 yr. USD CMT + 2.43% thereafter)(4)      1,368,931
  1,545,000 UBS AG 5.65%, 09/11/2028      1,582,648
            UBS Group AG  
  1,695,000 1.49%, 08/10/2027, (1.49% fixed rate until 08/10/2026; 1 yr. USD CMT + 0.85% thereafter)(1)(4)      1,541,670
    320,000 6.30%, 09/22/2034, (6.30% fixed rate until 09/22/2033; 1 yr. USD CMT + 2.00% thereafter)(1)(4)        335,553
  Wells Fargo & Co.  
  1,750,000 4.61%, 04/25/2053, (4.61% fixed rate until 04/25/2052; 6 mo. USD SOFR + 2.13% thereafter)(4)      1,541,029
1,665,000 6.30%, 10/23/2029, (6.30% fixed rate until 10/23/2028; 6 mo. USD SOFR + 1.79% thereafter)(4) 1,734,382
      47,126,226
  Commercial Services - 0.3%
  Ashtead Capital, Inc.  
2,285,000 2.45%, 08/12/2031(1) 1,856,826
600,000 5.50%, 08/11/2032(1) 586,824
380,000 5.55%, 05/30/2033(1) 373,643
470,000 5.80%, 04/15/2034(1) 470,701
475,000 5.95%, 10/15/2033(1) 480,804
715,000 Element Fleet Management Corp. 5.64%, 03/13/2027(1) 717,184
895,000 ERAC USA Finance LLC 5.20%, 10/30/2034(1) 894,107
      5,380,089
  Diversified Financial Services - 0.6%
  American Express Co.  
1,698,000 5.04%, 05/01/2034, (5.04% fixed rate until 05/01/2033; 6 mo. USD SOFR + 1.84% thereafter)(4) 1,679,768
195,000 6.49%, 10/30/2031, (6.49% fixed rate until 10/30/2030; 6 mo. USD SOFR + 1.94% thereafter)(4) 209,045
1,715,000 Aviation Capital Group LLC 1.95%, 09/20/2026(1) 1,567,451
2,615,000 Blackstone Holdings Finance Co. LLC 2.55%, 03/30/2032(1) 2,169,592
  Capital One Financial Corp.  
455,000 5.70%, 02/01/2030, (5.70% fixed rate until 02/01/2029; 6 mo. USD SOFR + 1.91% thereafter)(4) 458,777
580,000 6.31%, 06/08/2029, (6.31% fixed rate until 06/08/2028; 6 mo. USD SOFR + 2.64% thereafter)(4) 596,770
535,000 7.15%, 10/29/2027, (7.15% fixed rate until 10/29/2026; 6 mo. USD SOFR + 2.44% thereafter)(4) 556,934
  Intercontinental Exchange, Inc.  
2,185,000 4.00%, 09/15/2027 2,120,569
816,000 4.35%, 06/15/2029 794,669
  Nasdaq, Inc.  
175,000 5.95%, 08/15/2053 184,680
165,000 6.10%, 06/28/2063 175,832
      10,514,087
 

2

Hartford Balanced HLS Fund
Schedule of Investments – (continued)
March 31, 2024  (Unaudited) 

Shares or Principal Amount   Market Value†
CORPORATE BONDS - 11.6% - (continued)
  Electric - 1.1%
$    1,200,000 American Transmission Systems, Inc. 2.65%, 01/15/2032(1) $       994,390
  1,960,000 Cleveland Electric Illuminating Co. 3.50%, 04/01/2028(1)      1,829,867
    360,000 Dominion Energy South Carolina, Inc. 6.63%, 02/01/2032        398,359
            Dominion Energy, Inc.  
     55,000 3.38%, 04/01/2030         50,003
    607,000 5.38%, 11/15/2032        611,002
990,000 Emera U.S. Finance LP 2.64%, 06/15/2031 807,764
  FirstEnergy Pennsylvania Electric Co.  
241,000 3.60%, 06/01/2029(1) 223,991
60,000 5.15%, 03/30/2026(1) 59,513
75,000 5.20%, 04/01/2028(1) 75,127
  Georgia Power Co.  
3,073,000 4.70%, 05/15/2032 3,000,073
245,000 4.75%, 09/01/2040 225,696
826,000 5.13%, 05/15/2052 798,989
625,000 NextEra Energy Capital Holdings, Inc. 5.75%, 09/01/2025 627,511
  Pacific Gas & Electric Co.  
2,613,300 4.50%, 07/01/2040 2,235,047
789,000 6.75%, 01/15/2053 858,876
  Public Service Enterprise Group, Inc.  
990,000 5.20%, 04/01/2029 990,369
570,000 5.45%, 04/01/2034 571,687
860,000 San Diego Gas & Electric Co. 3.70%, 03/15/2052 649,803
  SCE Recovery Funding LLC  
400,209 0.86%, 11/15/2033 342,907
220,000 1.94%, 05/15/2040 160,943
125,000 2.51%, 11/15/2043 86,078
1,156,000 Sempra 4.13%, 04/01/2052, (4.13% fixed rate until 01/01/2027; 5 yr. USD CMT + 2.87% thereafter)(4)(5) 1,066,542
1,241,000 Southern California Edison Co. 5.88%, 12/01/2053 1,280,845
1,471,488 Texas Electric Market Stabilization Funding N LLC 4.27%, 08/01/2036(1) 1,424,257
      19,369,639
  Entertainment - 0.2%
3,341,000 Warnermedia Holdings, Inc. 4.05%, 03/15/2029 3,127,677
  Food - 0.2%
480,000 Sigma Alimentos SA de CV 4.13%, 05/02/2026(1) 464,173
2,226,000 Tyson Foods, Inc. 5.70%, 03/15/2034 2,253,744
      2,717,917
  Gas - 0.2%
330,000 Boston Gas Co. 3.15%, 08/01/2027(1) 306,180
1,870,000 KeySpan Gas East Corp. 2.74%, 08/15/2026(1) 1,745,473
790,000 Southern Co. Gas Capital Corp. 5.75%, 09/15/2033 818,573
      2,870,226
  Healthcare - Products - 0.4%
  Alcon Finance Corp.  
4,706,000 3.00%, 09/23/2029(1) 4,249,492
200,000 5.38%, 12/06/2032(1) 201,939
200,000 5.75%, 12/06/2052(1) 207,325
1,595,000 Smith & Nephew PLC 5.40%, 03/20/2034 1,589,297
      6,248,053
Shares or Principal Amount   Market Value†
CORPORATE BONDS - 11.6% - (continued)
  Healthcare - Services - 0.4%
$      285,000 Children's Hospital 2.93%, 07/15/2050 $       183,953
    714,000 Dignity Health 3.81%, 11/01/2024        703,785
    450,000 HCA, Inc. 5.45%, 04/01/2031        452,739
            Humana, Inc.  
    655,000 5.38%, 04/15/2031        655,611
    820,000 5.50%, 03/15/2053        798,432
    963,000 5.88%, 03/01/2033        993,721
2,190,000 Providence St Joseph Health Obligated Group 5.40%, 10/01/2033(5) 2,225,266
175,000 Sutter Health 2.29%, 08/15/2030 150,012
320,000 Toledo Hospital 5.75%, 11/15/2038 317,777
  UnitedHealth Group, Inc.  
355,000 2.00%, 05/15/2030 301,821
645,000 4.20%, 05/15/2032 613,410
95,000 4.75%, 05/15/2052 88,215
      7,484,742
  Insurance - 0.6%
  American International Group, Inc.  
437,000 3.40%, 06/30/2030 399,811
375,000 4.38%, 06/30/2050 325,203
  Athene Global Funding  
2,815,000 2.50%, 03/24/2028(1) 2,512,402
1,280,000 5.58%, 01/09/2029(1) 1,288,619
1,404,000 Corebridge Financial, Inc. 4.35%, 04/05/2042 1,187,299
275,000 Corebridge Global Funding 5.90%, 09/19/2028(1) 281,793
1,200,000 Equitable Financial Life Global Funding 1.40%, 08/27/2027(1) 1,048,429
1,350,000 GA Global Funding Trust 5.50%, 01/08/2029(1) 1,356,523
1,330,000 MetLife, Inc. 5.38%, 07/15/2033 1,357,854
      9,757,933
  Investment Company Security - 0.0%
1,120,000 JAB Holdings BV 3.75%, 05/28/2051(1) 733,332
  Lodging - 0.1%
2,003,000 Genting New York LLC/GENNY Capital, Inc. 3.30%, 02/15/2026(1) 1,922,499
  Machinery-Diversified - 0.2%
765,000 AGCO Corp. 5.80%, 03/21/2034 774,552
2,805,000 Westinghouse Air Brake Technologies Corp. 5.61%, 03/11/2034 2,841,648
      3,616,200
  Media - 0.2%
2,405,000 Comcast Corp. 3.25%, 11/01/2039 1,883,528
567,000 Discovery Communications LLC 4.00%, 09/15/2055 388,361
  Time Warner Cable LLC  
395,000 6.55%, 05/01/2037 373,918
250,000 7.30%, 07/01/2038 253,108
      2,898,915
  Mining - 0.4%
  Glencore Funding LLC  
805,000 5.37%, 04/04/2029(1) 807,028
345,000 5.70%, 05/08/2033(1) 351,009
425,000 5.89%, 04/04/2054(1) 431,228
3,540,000 6.38%, 10/06/2030(1) 3,735,006
757,000 6.50%, 10/06/2033(1) 808,435
      6,132,706
  Oil & Gas - 0.2%
  Equinor ASA  
85,000 2.88%, 04/06/2025 83,024
 

3

Hartford Balanced HLS Fund
Schedule of Investments – (continued)
March 31, 2024  (Unaudited) 

Shares or Principal Amount   Market Value†
CORPORATE BONDS - 11.6% - (continued)
  Oil & Gas - 0.2% - (continued)
$    2,470,000 3.00%, 04/06/2027 $     2,343,175
            QatarEnergy  
    935,000 2.25%, 07/12/2031(1)        782,449
    780,000 3.13%, 07/12/2041(1)        580,699
    615,000 Saudi Arabian Oil Co. 3.50%, 04/16/2029(1)       572,998
      4,362,345
  Pharmaceuticals - 0.1%
  AbbVie, Inc.  
1,085,000 4.95%, 03/15/2031 1,092,681
80,000 5.35%, 03/15/2044 81,692
325,000 5.40%, 03/15/2054 334,474
113,000 CVS Health Corp. 4.30%, 03/25/2028 110,315
      1,619,162
  Pipelines - 0.4%
305,000 Columbia Pipelines Holding Co. LLC 5.68%, 01/15/2034(1) 303,207
  Columbia Pipelines Operating Co. LLC  
375,000 5.93%, 08/15/2030(1) 385,075
676,000 6.50%, 08/15/2043(1) 725,212
  Energy Transfer LP  
180,000 4.95%, 06/15/2028 178,466
750,000 5.00%, 05/15/2050 659,009
945,000 5.35%, 05/15/2045 872,111
160,000 5.55%, 05/15/2034 160,488
1,762,588 Galaxy Pipeline Assets Bidco Ltd. 2.16%, 03/31/2034(1) 1,515,800
  Gray Oak Pipeline LLC  
606,000 2.60%, 10/15/2025(1) 577,791
100,000 3.45%, 10/15/2027(1) 93,896
795,000 Targa Resources Corp. 6.15%, 03/01/2029 827,276
      6,298,331
  Real Estate Investment Trusts - 1.2%
2,410,000 American Tower Trust #1 5.49%, 03/15/2028(1) 2,431,320
  Extra Space Storage LP  
435,000 5.50%, 07/01/2030 439,723
935,000 5.90%, 01/15/2031 968,120
2,612,000 GLP Capital LP/GLP Financing II, Inc. 6.75%, 12/01/2033 2,750,893
3,259,000 Kite Realty Group LP 5.50%, 03/01/2034 3,239,815
2,718,000 LXP Industrial Trust 6.75%, 11/15/2028 2,835,223
400,000 Prologis Targeted U.S. Logistics Fund LP 5.25%, 04/01/2029(1) 398,874
2,610,000 Realty Income Corp. 5.13%, 02/15/2034 2,565,573
  SBA Tower Trust  
545,000 1.63%, 05/15/2051(1) 493,302
300,000 1.88%, 07/15/2050(1) 280,092
470,000 2.84%, 01/15/2050(1) 458,732
1,323,000 VICI Properties LP 6.13%, 04/01/2054 1,308,025
1,842,000 VICI Properties LP/VICI Note Co., Inc. 5.75%, 02/01/2027(1) 1,839,827
  WEA Finance LLC  
160,000 2.88%, 01/15/2027(1) 146,407
350,000 3.50%, 06/15/2029(1) 309,485
      20,465,411
  Semiconductors - 0.2%
2,704,000 Broadcom, Inc. 3.47%, 04/15/2034(1) 2,320,389
1,929,000 Intel Corp. 5.60%, 02/21/2054 1,969,509
      4,289,898
  Software - 0.4%
  Constellation Software, Inc.  
225,000 5.16%, 02/16/2029(1) 224,880
Shares or Principal Amount   Market Value†
CORPORATE BONDS - 11.6% - (continued)
  Software - 0.4% - (continued)
$    2,826,000 5.46%, 02/16/2034(1) $     2,847,235
  3,844,000 Oracle Corp. 3.65%, 03/25/2041     3,023,370
      6,095,485
  Telecommunications - 0.4%
            AT&T, Inc.  
  1,589,000 3.50%, 09/15/2053      1,122,832
     84,000 3.65%, 06/01/2051         61,812
    146,000 3.85%, 06/01/2060        105,765
1,841,000 4.30%, 12/15/2042 1,577,045
560,000 Sprint Spectrum Co. LLC/Sprint Spectrum Co. II LLC/Sprint Spectrum Co. III LLC 4.74%, 09/20/2029(1) 556,983
  T-Mobile USA, Inc.  
3,005,000 3.38%, 04/15/2029 2,774,886
41,000 5.75%, 01/15/2054 42,533
  Verizon Communications, Inc.  
500,000 2.88%, 11/20/2050 327,294
760,000 2.99%, 10/30/2056 486,878
513,000 3.00%, 11/20/2060 319,939
      7,375,967
  Trucking & Leasing - 0.3%
2,185,000 DAE Funding LLC 1.55%, 08/01/2024(1) 2,149,205
2,850,000 Penske Truck Leasing Co. LP/PTL Finance Corp. 3.95%, 03/10/2025(1) 2,804,513
      4,953,718
  Total Corporate Bonds
(cost $202,891,400)
$ 200,033,672
FOREIGN GOVERNMENT OBLIGATIONS - 0.5%
  Israel - 0.2%
  Israel Government International Bonds  
1,630,000 5.38%, 03/12/2029 $ 1,633,667
1,170,000 5.50%, 03/12/2034 1,155,305
1,166,000 5.75%, 03/12/2054 1,117,238
      3,906,210
  Mexico - 0.1%
1,400,000 Mexico Government International Bonds 6.40%, 05/07/2054 1,395,244
  Saudi Arabia - 0.2%
  Saudi Government International Bonds  
2,195,000 5.00%, 01/16/2034(1) 2,180,776
1,640,000 5.75%, 01/16/2054(1) 1,619,828
      3,800,604
  Total Foreign Government Obligations
(cost $9,070,316)
  $ 9,102,058
MUNICIPAL BONDS - 0.6%
  Airport - 0.0%
  Dallas Fort Worth International Airport, TX, Rev  
60,000 4.09%, 11/01/2051 $ 51,653
265,000 4.51%, 11/01/2051 243,506
710,000 Port Auth of New York & New Jersey, NY, Rev 3.18%, 07/15/2060 491,980
      787,139
  General - 0.1%
174,655 Chicago Transit Auth Sales & Transfer Tax Receipts, IL, Rev 6.90%, 12/01/2040 197,282
 

4

Hartford Balanced HLS Fund
Schedule of Investments – (continued)
March 31, 2024  (Unaudited) 

Shares or Principal Amount   Market Value†
MUNICIPAL BONDS - 0.6% - (continued)
  General - 0.1% - (continued)
$      540,000 Kansas Dev Finance Auth, KS, Rev, (BAM) 2.77%, 05/01/2051 $       377,754
  1,250,000 Philadelphia Auth for Industrial Dev, PA, Rev, (NATL Insured) 6.55%, 10/15/2028     1,342,153
      1,917,189
  General Obligation - 0.2%
  2,935,000 State of Illinois, IL, GO 5.10%, 06/01/2033     2,913,637
  Tobacco - 0.0%
145,000 Golden State Tobacco Securitization Corp., CA, Rev, (ST APPROP Insured) 3.00%, 06/01/2046 133,873
  Transportation - 0.1%
  Metropolitan Transportation Auth, NY, Rev  
25,000 6.20%, 11/15/2026 25,287
375,000 6.67%, 11/15/2039 412,500
785,000 6.81%, 11/15/2040 872,466
      1,310,253
  Utilities - 0.1%
925,000 Texas Natural Gas Securitization Finance Corp., TX, Rev 5.10%, 04/01/2035 933,090
  Utility - Electric - 0.1%
735,000 Illinois Municipal Electric Agency, IL, Rev 6.83%, 02/01/2035 789,899
824,000 Municipal Electric Auth of Georgia, GA, Rev 6.64%, 04/01/2057 949,135
      1,739,034
  Total Municipal Bonds
(cost $10,592,507)
  $ 9,734,215
U.S. GOVERNMENT AGENCIES - 0.8%
  Mortgage-Backed Agencies - 0.8%
  Federal Home Loan Mortgage Corp. - 0.4%
795,000 4.43%, 02/25/2033(3) $ 780,945
2,242,613 5.00%, 06/01/2053 2,189,693
593,309 5.00%, 11/01/2053 579,350
278,902 5.50%, 03/01/2053 278,133
2,077,576 5.50%, 05/01/2053 2,069,232
827,633 5.50%, 09/01/2053 829,452
722,424 5.50%, 11/01/2053 719,279
1,449 5.68%, 04/01/2029, 1 yr. USD CMT + 2.24%(2) 1,438
      7,447,522
  Federal National Mortgage Association - 0.2%
2,864,077 5.00%, 11/01/2053 2,797,150
276,154 5.50%, 08/01/2053 275,305
56,015 5.84%, 10/25/2024, 30 day USD SOFR Average + 0.51%(2) 55,702
      3,128,157
  Government National Mortgage Association - 0.2%
2,127,341 2.50%, 10/20/2049 1,845,039
30,003 5.00%, 07/15/2037 30,068
1 6.00%, 06/15/2024 1
1,007 6.00%, 07/15/2026 1,021
571 6.00%, 03/15/2028 582
861 6.00%, 04/15/2028 875
21,093 6.00%, 05/15/2028 21,342
10,081 6.00%, 07/15/2028 10,251
3,530 6.00%, 08/15/2028 3,582
20,206 6.00%, 09/15/2028 20,511
Shares or Principal Amount   Market Value†
U.S. GOVERNMENT AGENCIES - 0.8% - (continued)
  Mortgage-Backed Agencies - 0.8% - (continued)
  Government National Mortgage Association - 0.2% - (continued)
$       29,768 6.00%, 10/15/2028 $        30,142
     25,451 6.00%, 11/15/2028         25,768
     19,831 6.00%, 12/15/2028         20,170
        451 6.00%, 12/15/2031            462
      8,127 6.00%, 09/15/2032          8,430
      3,259 6.00%, 11/15/2032          3,350
      1,422 6.00%, 04/15/2033          1,443
36,898 6.00%, 06/15/2033 38,048
11,891 6.00%, 10/15/2033 12,228
982 6.00%, 11/15/2033 1,023
18,229 6.00%, 10/15/2034 18,555
44,580 6.00%, 01/15/2035 45,369
5,170 6.00%, 05/15/2035 5,268
5,913 6.00%, 06/15/2035 6,018
73 6.50%, 03/15/2026 75
197 6.50%, 01/15/2028 200
15,729 6.50%, 03/15/2028 16,057
26,558 6.50%, 04/15/2028 27,062
7,079 6.50%, 05/15/2028 7,227
42,830 6.50%, 06/15/2028 43,881
2,548 6.50%, 10/15/2028 2,593
770 6.50%, 02/15/2035 789
1,681 7.00%, 11/15/2031 1,706
1,015 7.00%, 03/15/2032 1,029
395,107 7.00%, 11/15/2032 412,758
39,920 7.00%, 01/15/2033 41,187
46,961 7.00%, 05/15/2033 48,189
6,189 7.00%, 07/15/2033 6,341
52,847 7.00%, 11/15/2033 54,366
18,086 7.50%, 09/16/2035 18,473
21 8.00%, 09/15/2026 21
1,160 8.00%, 12/15/2026 1,169
12 8.00%, 09/15/2027 12
1,053 8.00%, 07/15/2029 1,075
1,031 8.00%, 12/15/2029 1,036
2,577 8.00%, 01/15/2030 2,578
1,093 8.00%, 02/15/2030 1,088
513 8.00%, 03/15/2030 511
4,826 8.00%, 04/15/2030 4,830
2,743 8.00%, 05/15/2030 2,751
14,204 8.00%, 06/15/2030 14,313
783 8.00%, 07/15/2030 783
21,187 8.00%, 08/15/2030 21,291
10,026 8.00%, 09/15/2030 10,034
43,830 8.00%, 12/15/2030 44,112
      2,937,083
  Total U.S. Government Agencies
(cost $13,455,163)
  $ 13,512,762
U.S. GOVERNMENT SECURITIES - 17.7%
  U.S. Treasury Securities - 17.7%
  U.S. Treasury Bonds - 5.9%
10,147,700 2.50%, 02/15/2045(6) $ 7,432,397
2,041,900 2.75%, 11/15/2047 1,528,394
7,630,100 2.88%, 05/15/2052 5,784,570
400,000 3.25%, 05/15/2042 340,562
5,288,500 3.38%, 08/15/2042 4,574,966
6,095,900 3.63%, 02/15/2053 5,362,963
6,254,900 3.63%, 05/15/2053 5,505,778
8,346,800 3.88%, 02/15/2043 7,727,637
8,002,100 3.88%, 05/15/2043 7,396,629
6,040,000 4.00%, 11/15/2042 5,698,127
 

5

Hartford Balanced HLS Fund
Schedule of Investments – (continued)
March 31, 2024  (Unaudited) 

Shares or Principal Amount   Market Value†
U.S. GOVERNMENT SECURITIES - 17.7% - (continued)
  U.S. Treasury Securities - 17.7% - (continued)
  U.S. Treasury Bonds - 5.9% - (continued)
$    6,259,200 4.00%, 11/15/2052 $     5,895,628
  2,696,900 4.13%, 08/15/2053      2,596,609
  5,567,300 4.25%, 02/15/2054      5,485,530
12,050,000 4.38%, 02/15/2038     12,308,416
  6,195,900 4.38%, 08/15/2043      6,131,037
  6,455,900 4.50%, 02/15/2044      6,500,284
  5,604,000 4.75%, 11/15/2043      5,822,031
5,881,700 4.75%, 11/15/2053 6,289,743
      102,381,301
  U.S. Treasury Notes - 11.8%
3,825,000 0.38%, 11/30/2025 3,559,192
1,080,000 0.88%, 09/30/2026 988,706
150,000 1.25%, 05/31/2028 132,779
603,000 1.25%, 09/30/2028 529,368
1,020,000 1.38%, 10/31/2028 899,034
4,505,600 1.50%, 01/31/2027 4,156,240
530,000 1.50%, 11/30/2028 469,050
2,115,000 1.63%, 10/31/2026 1,969,346
590,000 2.63%, 07/31/2029 545,450
4,670,000 2.75%, 04/30/2027 4,448,905
890,000 2.75%, 05/31/2029 829,543
1,245,000 3.13%, 08/15/2025 1,216,793
897,000 3.13%, 08/31/2027 862,066
6,555,000 3.25%, 06/30/2027 6,332,745
326,000 3.25%, 06/30/2029 311,088
414,000 3.50%, 09/15/2025 406,335
3,074,000 3.50%, 04/30/2028 2,983,461
635,000 3.50%, 04/30/2030 610,617
4,313,500 3.63%, 03/31/2028 4,207,179
1,369,000 3.63%, 05/31/2028 1,334,989
512,000 3.63%, 03/31/2030 495,940
7,134,400 3.75%, 12/31/2028 6,986,138
620,000 3.75%, 05/31/2030 604,161
1,633,000 3.75%, 06/30/2030 1,590,835
1,598,000 3.75%, 12/31/2030 1,554,866
5,122,000 3.88%, 11/30/2027 5,041,569
7,157,100 3.88%, 12/31/2027 7,044,991
685,000 3.88%, 11/30/2029 673,066
1,100,000 4.00%, 12/15/2025 1,086,680
2,186,000 4.00%, 02/15/2026 2,159,273
411,000 4.00%, 01/15/2027 406,216
8,016,000 4.00%, 02/29/2028 7,926,446
3,203,000 4.00%, 06/30/2028 3,169,093
12,700,000 4.00%, 01/31/2029 12,575,977
150,000 4.00%, 10/31/2029 148,318
483,900 4.00%, 07/31/2030 477,908
154,900 4.00%, 02/15/2034 152,480
260,000 4.13%, 06/15/2026 257,512
12,018,900 4.13%, 09/30/2027 11,930,636
3,381,200 4.13%, 10/31/2027 3,355,841
4,725,200 4.13%, 07/31/2028 4,698,252
4,097,200 4.13%, 03/31/2029 4,083,593
754,300 4.13%, 08/31/2030 749,998
11,364,000 4.25%, 01/31/2026 11,276,551
8,880,700 4.25%, 02/28/2029 8,897,351
3,953,000 4.38%, 12/15/2026 3,944,662
3,675,700 4.38%, 08/31/2028 3,692,786
4,531,000 4.38%, 11/30/2028 4,557,372
130,000 4.38%, 11/30/2030 131,173
8,602,300 4.63%, 02/28/2026 8,597,260
730,000 4.63%, 10/15/2026 732,310
866,000 4.63%, 11/15/2026 869,078
Shares or Principal Amount   Market Value†
U.S. GOVERNMENT SECURITIES - 17.7% - (continued)
  U.S. Treasury Securities - 17.7% - (continued)
  U.S. Treasury Notes - 11.8% - (continued)
$    4,485,000 4.63%, 09/30/2028 $     4,552,100
  1,471,000 4.75%, 07/31/2025      1,468,587
11,114,000 4.88%, 11/30/2025     11,132,234
11,962,000 4.88%, 10/31/2028     12,268,993
    927,000 4.88%, 10/31/2030        961,364
  9,805,900 5.00%, 08/31/2025      9,826,967
 5,874,000 5.00%, 09/30/2025      5,889,373
      202,760,836
  Total U.S. Government Securities
(cost $312,765,556)
  $ 305,142,137
COMMON STOCKS - 66.0%
  Automobiles & Components - 0.9%
411,177 Gentex Corp. $ 14,851,713
  Banks - 3.9%
159,152 JP Morgan Chase & Co. 31,878,146
138,889 M&T Bank Corp. 20,200,016
97,357 PNC Financial Services Group, Inc. 15,732,891
      67,811,053
  Capital Goods - 4.7%
134,202 Emerson Electric Co. 15,221,191
145,998 Fortune Brands Innovations, Inc. 12,361,651
49,909 General Dynamics Corp. 14,098,793
214,361 Johnson Controls International PLC 14,002,061
59,644 L3Harris Technologies, Inc. 12,710,136
76,238 Middleby Corp.* 12,258,308
      80,652,140
  Consumer Discretionary Distribution & Retail - 1.5%
244,293 LKQ Corp. 13,047,689
48,842 Tractor Supply Co. 12,782,928
      25,830,617
  Consumer Durables & Apparel - 0.7%
74,501 Lennar Corp. Class A 12,812,682
  Consumer Services - 3.1%
88,892 Airbnb, Inc. Class A* 14,663,624
332,943 H&R Block, Inc. 16,350,831
129,314 Starbucks Corp. 11,818,006
143,125 Wyndham Hotels & Resorts, Inc. 10,984,844
      53,817,305
  Energy - 2.0%
153,047 ConocoPhillips 19,479,822
126,965 Targa Resources Corp. 14,218,811
      33,698,633
  Equity Real Estate Investment Trusts (REITs) - 1.4%
125,411 Crown Castle, Inc. REIT 13,272,246
235,772 Gaming & Leisure Properties, Inc. REIT 10,862,016
      24,134,262
  Financial Services - 7.2%
115,707 Ares Management Corp. Class A 15,386,717
97,388 Intercontinental Exchange, Inc. 13,384,033
117,962 KKR & Co., Inc. 11,864,618
40,016 LPL Financial Holdings, Inc. 10,572,227
146,803 Morgan Stanley 13,822,970
75,742 Nasdaq, Inc. 4,779,320
135,902 Raymond James Financial, Inc. 17,452,535
 

6

Hartford Balanced HLS Fund
Schedule of Investments – (continued)
March 31, 2024  (Unaudited) 

Shares or Principal Amount   Market Value†
COMMON STOCKS - 66.0% - (continued)
  Financial Services - 7.2% - (continued)
    34,075 S&P Global, Inc. $    14,497,209
    77,890 Visa, Inc. Class A    21,737,541
      123,497,170
  Food, Beverage & Tobacco - 0.9%
   480,822 Keurig Dr Pepper, Inc.    14,746,811
  Health Care Equipment & Services - 5.6%
39,029 Align Technology, Inc.* 12,798,390
198,293 Boston Scientific Corp.* 13,581,088
250,447 Centene Corp.* 19,655,080
42,198 Elevance Health, Inc. 21,881,351
58,132 UnitedHealth Group, Inc. 28,757,900
      96,673,809
  Household & Personal Products - 1.5%
617,006 Kenvue, Inc. 13,240,949
242,550 Unilever PLC ADR 12,173,584
      25,414,533
  Insurance - 1.8%
28,823 Everest Group Ltd. 11,457,142
272,787 MetLife, Inc. 20,216,245
      31,673,387
  Materials - 0.7%
367,849 Axalta Coating Systems Ltd.* 12,650,327
  Media & Entertainment - 5.2%
407,220 Alphabet, Inc. Class C* 62,003,317
95,973 Electronic Arts, Inc. 12,732,738
160,907 Omnicom Group, Inc. 15,569,362
      90,305,417
  Pharmaceuticals, Biotechnology & Life Sciences - 4.8%
192,354 AstraZeneca PLC ADR 13,031,983
35,074 Eli Lilly & Co. 27,286,169
629,261 Pfizer, Inc. 17,461,993
41,312 Roche Holding AG 10,547,733
32,379 Vertex Pharmaceuticals, Inc.* 13,534,746
      81,862,624
  Real Estate Management & Development - 0.8%
141,993 CBRE Group, Inc. Class A* 13,807,399
  Semiconductors & Semiconductor Equipment - 4.3%
67,228 Analog Devices, Inc. 13,297,026
20,204 Broadcom, Inc. 26,778,584
77,807 NXP Semiconductors NV 19,278,240
89,690 QUALCOMM, Inc. 15,184,517
      74,538,367
  Software & Services - 10.2%
63,018 Accenture PLC Class A 21,842,669
34,012 Adobe, Inc.* 17,162,455
154,203 Amdocs Ltd. 13,935,325
234,019 Microsoft Corp. 98,456,474
81,454 Salesforce, Inc. 24,532,316
      175,929,239
  Technology Hardware & Equipment - 3.1%
451,045 Cisco Systems, Inc. 22,511,656
579,287 Corning, Inc. 19,093,300
63,700 F5, Inc.* 12,076,883
      53,681,839
Shares or Principal Amount   Market Value†
COMMON STOCKS - 66.0% - (continued)
  Transportation - 1.7%
   210,893 Knight-Swift Transportation Holdings, Inc. $    11,603,333
   114,375 United Parcel Service, Inc. Class B     16,999,556
      28,602,889
  Total Common Stocks
(cost $695,713,429)
  $ 1,136,992,216
  Total Long-Term Investments
(cost $1,264,414,095)
  $ 1,693,963,482
SHORT-TERM INVESTMENTS - 0.3%
  Repurchase Agreements - 0.3%
$    5,617,541 Fixed Income Clearing Corp. Repurchase Agreement dated 03/28/2024 at 5.32%, due on 04/01/2024 with a maturity value of $5,620,862; collateralized by U.S. Treasury Note at 2.63%, maturing 05/31/2027, with a market value of $5,729,933 $     5,617,541
  Securities Lending Collateral - 0.0%
111,041 Goldman Sachs Financial Square Funds, Government Fund, Institutional Class, 5.21%(7) 111,041
370,139 HSBC U.S. Government Money Market Fund, Institutional Class, 5.24%(7) 370,139
111,042 Invesco Government & Agency Portfolio, Institutional Class, 5.24%(7) 111,042
111,042 Morgan Stanley Institutional Liquidity Funds, Government Portfolio, Institutional Class, 5.22%(7) 111,042
      703,264
  Total Short-Term Investments
(cost $6,320,805)
$ 6,320,805
  Total Investments
(cost $1,270,734,900)
98.6% $ 1,700,284,287
  Other Assets and Liabilities 1.4% 23,448,029
  Total Net Assets 100.0% $ 1,723,732,316
Note: Percentage of investments as shown is the ratio of the total market value to total net assets.
  Prices of foreign equities that are principally traded on certain foreign markets will generally be adjusted daily pursuant to a fair value pricing service approved by Hartford Funds Management Company, LLC in order to reflect an adjustment for factors occurring after the close of certain foreign markets but before the close of the New York Stock Exchange.
  The Fund may refer to any one or more of the industry classifications used by one or more widely recognized market indices, ratings group and/or as defined by Fund management. Industry classifications may not be identical across all security types.
  Equity industry classifications used in this report are the Global Industry Classification Standard, which was developed by and is the exclusive property and service mark of MSCI, Inc. and Standard & Poor’s.
  For Fund compliance purposes, the Fund may not use the same classification system. These classifications are used for financial reporting purposes.
  See “Glossary” for abbreviation descriptions.
    
 

7

Hartford Balanced HLS Fund
Schedule of Investments – (continued)
March 31, 2024  (Unaudited) 

* Non-income producing.
(1) Security was purchased pursuant to Rule 144A under the Securities Act of 1933 and may be sold in transactions that are exempt from registration (typically only to qualified institutional buyers) or in a public offering registered under the Securities Act of 1933. At March 31, 2024, the aggregate value of these securities was $99,311,526, representing 5.8% of net assets.
(2) Variable rate securities; the rate reported is the coupon rate in effect at March 31, 2024. Base lending rates may be subject to a floor or cap.
(3) Variable or floating rate security, which interest rate adjusts periodically based on changes in current interest rates and prepayments on the underlying pool of assets. Rate shown is the rate in effect as of period end.
(4) Fixed to variable rate investment. The rate shown reflects the fixed rate in effect at March 31, 2024. Rate will reset at a future date. Base lending rates may be subject to a floor or cap.
(5) Represents entire or partial securities on loan.
(6) All, or a portion of the security, was pledged as collateral in connection with futures contracts. As of March 31, 2024, the market value of securities pledged was $252,686.
(7) Current yield as of period end.
 
Futures Contracts Outstanding at March 31, 2024
Description   Number of
Contracts
  Expiration
Date
  Current
Notional
Amount
  Value and
Unrealized
Appreciation/
(Depreciation)
Short position contracts:
U.S. Treasury 10-Year Ultra Future   13   06/18/2024   $ 1,489,922   $ (12,409)
Total futures contracts   $ (12,409)
For information regarding the Fund’s significant accounting policies, please refer to the Fund’s most recent shareholder report.

8

Hartford Balanced HLS Fund
Schedule of Investments – (continued)
March 31, 2024  (Unaudited) 

Fair Value Summary
The following is a summary of the fair valuations according to the inputs used as of March 31, 2024 in valuing the Fund’s investments.
Description   Total   Level 1   Level 2   Level 3(1)
Assets                
Asset & Commercial Mortgage-Backed Securities   $ 19,446,422   $ —   $ 19,446,422   $ —
Corporate Bonds   200,033,672     200,033,672  
Foreign Government Obligations   9,102,058     9,102,058  
Municipal Bonds   9,734,215     9,734,215  
U.S. Government Agencies   13,512,762     13,512,762  
U.S. Government Securities   305,142,137     305,142,137  
Common Stocks                
Automobiles & Components   14,851,713   14,851,713    
Banks   67,811,053   67,811,053    
Capital Goods   80,652,140   80,652,140    
Consumer Discretionary Distribution & Retail   25,830,617   25,830,617    
Consumer Durables & Apparel   12,812,682   12,812,682    
Consumer Services   53,817,305   53,817,305    
Energy   33,698,633   33,698,633    
Equity Real Estate Investment Trusts (REITs)   24,134,262   24,134,262    
Financial Services   123,497,170   123,497,170    
Food, Beverage & Tobacco   14,746,811   14,746,811    
Health Care Equipment & Services   96,673,809   96,673,809    
Household & Personal Products   25,414,533   25,414,533    
Insurance   31,673,387   31,673,387    
Materials   12,650,327   12,650,327    
Media & Entertainment   90,305,417   90,305,417    
Pharmaceuticals, Biotechnology & Life Sciences   81,862,624   71,314,891   10,547,733  
Real Estate Management & Development   13,807,399   13,807,399    
Semiconductors & Semiconductor Equipment   74,538,367   74,538,367    
Software & Services   175,929,239   175,929,239    
Technology Hardware & Equipment   53,681,839   53,681,839    
Transportation   28,602,889   28,602,889    
Short-Term Investments   6,320,805   703,264   5,617,541  
Total   $ 1,700,284,287   $ 1,127,147,747   $ 573,136,540   $ —
Liabilities                
Futures Contracts(2)   $ (12,409)   $ (12,409)   $ —   $ —
Total   $ (12,409)   $ (12,409)   $ —   $ —
    
(1) For the period ended March 31, 2024, there were no transfers in and out of Level 3.
(2) Derivative instruments (excluding purchased and written options, if applicable) are valued at the unrealized appreciation/(depreciation) on the investments.

9

Hartford Capital Appreciation HLS Fund
Schedule of Investments
March 31, 2024  (Unaudited) 

Shares or Principal Amount   Market Value†
COMMON STOCKS - 98.3%
  Automobiles & Components - 0.4%
   439,627 Gentex Corp. $    15,879,327
  Banks - 0.5%
   122,272 M&T Bank Corp.    17,783,240
  Capital Goods - 7.3%
   165,555 AerCap Holdings NV*     14,388,385
    54,775 Airbus SE     10,091,131
44,287 Axon Enterprise, Inc.* 13,856,517
113,695 Dover Corp. 20,145,617
104,025 Emerson Electric Co. 11,798,515
58,485 General Dynamics Corp. 16,521,428
350,600 HF Global, Inc.*(1)(2) 10,363,736
194,885 Honeywell International, Inc. 40,000,146
35,521 Lockheed Martin Corp. 16,157,437
51,779 Middleby Corp.* 8,325,545
103,370 Northrop Grumman Corp. 49,479,084
173,583 RTX Corp. 16,929,550
1,334,000 Techtronic Industries Co. Ltd. 18,126,205
84,782 Toro Co. 7,768,575
144,798 Westinghouse Air Brake Technologies Corp. 21,094,173
      275,046,044
  Commercial & Professional Services - 1.1%
223,770 Copart, Inc.* 12,960,758
27,021 Dayforce, Inc.* 1,789,061
204,327 Genpact Ltd. 6,732,575
159,071 Leidos Holdings, Inc. 20,852,617
      42,335,011
  Consumer Discretionary Distribution & Retail - 5.1%
627,990 Amazon.com, Inc.* 113,276,836
19,729 Floor & Decor Holdings, Inc. Class A* 2,557,273
7,667 O'Reilly Automotive, Inc.* 8,655,123
56,457 Ross Stores, Inc. 8,285,629
530,424 TJX Cos., Inc. 53,795,602
115,140 Tory Burch LLC*(1)(2) 5,775,406
      192,345,869
  Consumer Durables & Apparel - 1.5%
10,099 Deckers Outdoor Corp.* 9,505,785
22,540 Lululemon Athletica, Inc.* 8,805,251
267,097 NIKE, Inc. Class B 25,101,776
292 NVR, Inc.* 2,365,188
259,654 On Holding AG Class A* 9,186,559
      54,964,559
  Consumer Services - 2.2%
380,122 DraftKings, Inc. Class A* 17,261,340
272,837 Las Vegas Sands Corp. 14,105,673
138,452 McDonald's Corp. 39,036,541
164,381 Wyndham Hotels & Resorts, Inc. 12,616,242
      83,019,796
  Consumer Staples Distribution & Retail - 0.7%
63,690 Dollar Tree, Inc.* 8,480,323
199,316 Sysco Corp. 16,180,473
      24,660,796
  Energy - 4.3%
287,278 Canadian Natural Resources Ltd. 21,925,057
28,730 Cheniere Energy, Inc. 4,633,575
154,323 Chevron Corp. 24,342,910
107,144 ConocoPhillips 13,637,288
78,136 Diamondback Energy, Inc. 15,484,211
361,359 Enbridge, Inc. 13,058,597
403,624 Halliburton Co. 15,910,858
592,982 Schlumberger NV 32,501,344
Shares or Principal Amount   Market Value†
COMMON STOCKS - 98.3% - (continued)
  Energy - 4.3% - (continued)
    22,764 Targa Resources Corp. $     2,549,340
   474,451 Williams Cos., Inc.    18,489,356
      162,532,536
  Equity Real Estate Investment Trusts (REITs) - 3.1%
   349,852 American Tower Corp. REIT     69,127,257
    51,311 AvalonBay Communities, Inc. REIT      9,521,269
17,779 Equinix, Inc. REIT 14,673,542
61,604 Extra Space Storage, Inc. REIT 9,055,788
338,588 UDR, Inc. REIT 12,666,577
      115,044,433
  Financial Services - 8.1%
222,543 American Express Co. 50,670,816
310,361 Bank of New York Mellon Corp. 17,883,001
191,835 Block, Inc.* 16,225,404
247,582 Charles Schwab Corp. 17,910,082
50,063 Corpay, Inc.* 15,446,438
346,542 Equitable Holdings, Inc. 13,172,061
2,039 Hamilton Lane, Inc. Class A 229,918
80,393 KKR & Co., Inc. 8,085,928
43,071 Mastercard, Inc. Class A 20,741,701
302,892 Morgan Stanley 28,520,311
2,761 Morningstar, Inc. 851,410
173,427 Raymond James Financial, Inc. 22,271,495
177,851 TPG, Inc. 7,949,940
197,614 Tradeweb Markets, Inc. Class A 20,585,450
161,855 Visa, Inc. Class A 45,170,493
208,674 Voya Financial, Inc. 15,425,182
10,705 WEX, Inc.* 2,542,759
      303,682,389
  Food, Beverage & Tobacco - 3.3%
29,308 Celsius Holdings, Inc.* 2,430,219
271,109 Coca-Cola Co. 16,586,449
76,806 Constellation Brands, Inc. Class A 20,872,799
330,300 Keurig Dr Pepper, Inc. 10,130,301
237,533 Kraft Heinz Co. 8,764,968
124,930 Monster Beverage Corp.* 7,405,850
225,137 PepsiCo, Inc. 39,401,226
312,075 Tyson Foods, Inc. Class A 18,328,165
      123,919,977
  Health Care Equipment & Services - 6.4%
111,404 agilon health, Inc.* 679,564
275,113 Centene Corp.* 21,590,868
83,912 Dexcom, Inc.* 11,638,594
107,768 Encompass Health Corp. 8,899,482
40,238 Humana, Inc. 13,951,319
35,355 Intuitive Surgical, Inc.* 14,109,827
268,800 Medtronic PLC 23,425,920
134,593 Quest Diagnostics, Inc. 17,915,674
37,949 Shockwave Medical, Inc.* 12,357,333
111,515 Stryker Corp. 39,907,873
39,926 Teleflex, Inc. 9,030,064
132,196 UnitedHealth Group, Inc. 65,397,361
10,147 Veeva Systems, Inc. Class A* 2,350,959
      241,254,838
  Household & Personal Products - 3.3%
404,900 Colgate-Palmolive Co. 36,461,245
52,038 elf Beauty, Inc.* 10,201,009
1,022,773 Kenvue, Inc. 21,948,709
243,367 Procter & Gamble Co. 39,486,296
347,790 Unilever PLC 17,459,684
      125,556,943
  Insurance - 4.7%
143,171 Allstate Corp. 24,770,015
241,058 Chubb Ltd. 62,465,359
 

10

Hartford Capital Appreciation HLS Fund
Schedule of Investments – (continued)
March 31, 2024  (Unaudited) 

Shares or Principal Amount   Market Value†
COMMON STOCKS - 98.3% - (continued)
  Insurance - 4.7% - (continued)
    48,228 Everest Group Ltd. $    19,170,630
   135,440 Globe Life, Inc.     15,761,153
   195,418 Marsh & McLennan Cos., Inc.     40,252,199
   199,998 MetLife, Inc.    14,821,852
      177,241,208
  Materials - 3.6%
131,630 CRH PLC 11,360,982
167,033 FMC Corp. 10,640,002
204,881 Freeport-McMoRan, Inc. 9,633,505
100,916 Linde PLC 46,857,317
98,411 PPG Industries, Inc. 14,259,754
48,971 Reliance, Inc. 16,365,129
279,168 Rio Tinto PLC ADR 17,794,168
30,125 Vulcan Materials Co. 8,221,715
      135,132,572
  Media & Entertainment - 8.6%
611,334 Alphabet, Inc. Class A* 92,268,641
220,915 Alphabet, Inc. Class C* 33,636,518
82,191 Electronic Arts, Inc. 10,904,280
169,923 Liberty Media Corp.-Liberty Formula One Class C* 11,146,949
155,115 Live Nation Entertainment, Inc.* 16,406,513
199,666 Meta Platforms, Inc. Class A 96,953,816
30,262 Netflix, Inc.* 18,379,020
411,169 Pinterest, Inc. Class A* 14,255,229
48,044 Spotify Technology SA* 12,678,812
140,624 Walt Disney Co. 17,206,753
      323,836,531
  Pharmaceuticals, Biotechnology & Life Sciences - 5.7%
113,695 Agilent Technologies, Inc. 16,543,759
32,125 Apellis Pharmaceuticals, Inc.* 1,888,308
331,570 AstraZeneca PLC ADR 22,463,868
229,367 Danaher Corp. 57,277,527
45,538 Eli Lilly & Co. 35,426,742
200,844 Exact Sciences Corp.* 13,870,287
138,336 Novartis AG 13,399,002
920,786 Pfizer, Inc. 25,551,812
73,445 PTC Therapeutics, Inc.* 2,136,515
14,395 Sarepta Therapeutics, Inc.* 1,863,577
41,596 Ultragenyx Pharmaceutical, Inc.* 1,942,117
53,076 United Therapeutics Corp.* 12,192,619
24,425 Vertex Pharmaceuticals, Inc.* 10,209,894
      214,766,027
  Real Estate Management & Development - 0.3%
132,125 CoStar Group, Inc.* 12,763,275
  Semiconductors & Semiconductor Equipment - 8.8%
26,990 Advanced Micro Devices, Inc.* 4,871,425
18,473 Broadcom, Inc. 24,484,299
87,698 Enphase Energy, Inc.* 10,609,704
74,516 First Solar, Inc.* 12,578,301
281,163 Micron Technology, Inc. 33,146,306
15,157 MKS Instruments, Inc. 2,015,881
3,143 Monolithic Power Systems, Inc. 2,129,131
165,281 NVIDIA Corp. 149,341,300
101,374 NXP Semiconductors NV 25,117,436
128,199 QUALCOMM, Inc. 21,704,091
33,204 Rambus, Inc.* 2,052,339
251,667 Texas Instruments, Inc. 43,842,908
      331,893,121
  Software & Services - 9.8%
111,563 Accenture PLC Class A 38,668,851
31,326 Adobe, Inc.* 15,807,100
91,297 Datadog, Inc. Class A* 11,284,309
41,151 Dynatrace, Inc.* 1,911,052
Shares or Principal Amount   Market Value†
COMMON STOCKS - 98.3% - (continued)
  Software & Services - 9.8% - (continued)
   114,050 Gitlab, Inc. Class A* $     6,651,396
     3,934 HubSpot, Inc.*      2,464,887
   501,383 Microsoft Corp.    210,941,856
    25,168 MongoDB, Inc.*      9,026,252
    74,780 Salesforce, Inc.     22,522,240
    24,351 ServiceNow, Inc.*     18,565,202
5,611 Sharecare, Inc. Earnout*(1)(2) 43
86,704 Shopify, Inc. Class A* 6,690,948
50,513 Snowflake, Inc. Class A* 8,162,901
57,438 Workday, Inc. Class A* 15,666,215
      368,363,252
  Technology Hardware & Equipment - 4.8%
844,288 Apple, Inc. 144,778,506
8,610 CDW Corp. 2,202,266
315,573 Flex Ltd.* 9,028,543
127,575 Samsung Electronics Co. Ltd. 7,666,938
189,335 Seagate Technology Holdings PLC 17,617,622
      181,293,875
  Telecommunication Services - 0.6%
132,410 T-Mobile U.S., Inc. 21,611,960
  Transportation - 2.5%
373,991 Delta Air Lines, Inc. 17,902,949
10,432 JB Hunt Transport Services, Inc. 2,078,576
307,241 Knight-Swift Transportation Holdings, Inc. 16,904,400
165,572 Uber Technologies, Inc.* 12,747,388
77,777 Union Pacific Corp. 19,127,698
158,143 United Parcel Service, Inc. Class B 23,504,794
      92,265,805
  Utilities - 1.6%
249,847 Edison International 17,671,678
646,609 Exelon Corp. 24,293,100
1,338,914 Iberdrola SA 16,629,785
40,535 Vistra Corp. 2,823,263
      61,417,826
  Total Common Stocks
(cost $2,600,264,695)
  $ 3,698,611,210
CONVERTIBLE PREFERRED STOCKS - 0.0%
  Software & Services - 0.0%
58 Magic Leap, Inc. Class A*(1)(2)(3) $ 56
  Total Convertible Preferred Stocks
(cost $679,566)
  $ 56
  Total Long-Term Investments
(cost $2,600,944,261)
  $ 3,698,611,266
SHORT-TERM INVESTMENTS - 0.3%
  Repurchase Agreements - 0.3%
$  13,080,280 Fixed Income Clearing Corp. Repurchase Agreement dated 03/28/2024 at 5.32%, due on 04/01/2024 with a maturity value of $13,088,012; collateralized by U.S. Treasury Note at 2.63%-4.25%, maturing 03/15/2027-05/31/2027, with a market value of $13,341,954 $ 13,080,280
  Total Short-Term Investments
(cost $13,080,280)
$ 13,080,280
  Total Investments
(cost $2,614,024,541)
98.6% $ 3,711,691,546
  Other Assets and Liabilities 1.4% 52,712,042
  Total Net Assets 100.0% $ 3,764,403,588
 

11

Hartford Capital Appreciation HLS Fund
Schedule of Investments – (continued)
March 31, 2024  (Unaudited) 

Note: Percentage of investments as shown is the ratio of the total market value to total net assets.
  Prices of foreign equities that are principally traded on certain foreign markets will generally be adjusted daily pursuant to a fair value pricing service approved by Hartford Funds Management Company, LLC in order to reflect an adjustment for factors occurring after the close of certain foreign markets but before the close of the New York Stock Exchange.
  Equity industry classifications used in this report are the Global Industry Classification Standard, which was developed by and is the exclusive property and service mark of MSCI, Inc. and Standard & Poor’s.
  For Fund compliance purposes, the Fund may not use the same classification system. These classifications are used for financial reporting purposes.
  See “Glossary” for abbreviation descriptions.
    
* Non-income producing.
(1) Investment in securities not registered under the Securities Act of 1933 (excluding securities acquired pursuant to Rule 144A and Regulation S). At the end of the period, the value of such restricted securities amounted to $16,139,241 or 0.4% of net assets.
    
Period
Acquired
  Security Name   Shares/
Par Value
  Total Cost   Market Value
06/2015   HF Global, Inc.   350,600   $ 4,713,607   $ 10,363,736
12/2015   Magic Leap, Inc. Class A Convertible Preferred   58   679,566   56
07/2021   Sharecare, Inc. Earnout   5,611     43
11/2013   Tory Burch LLC   115,140   9,024,247   5,775,406
            $ 14,417,420   $ 16,139,241
    
(2) Investment valued using significant unobservable inputs.
(3) Currently no rate available.
 
Futures Contracts Outstanding at March 31, 2024
Description   Number of
Contracts
  Expiration
Date
  Current
Notional
Amount
  Value and
Unrealized
Appreciation/
(Depreciation)
Long position contracts:
S&P 500 (E-Mini) Future   197   06/21/2024   $ 52,288,725   $ 818,595
Total futures contracts   $ 818,595
For information regarding the Fund’s significant accounting policies, please refer to the Fund’s most recent shareholder report.

12

Hartford Capital Appreciation HLS Fund
Schedule of Investments – (continued)
March 31, 2024  (Unaudited) 

Fair Value Summary
The following is a summary of the fair valuations according to the inputs used as of March 31, 2024 in valuing the Fund’s investments.
Description   Total   Level 1   Level 2   Level 3(1)
Assets                
Common Stocks                
Automobiles & Components   $ 15,879,327   $ 15,879,327   $ —   $ —
Banks   17,783,240   17,783,240    
Capital Goods   275,046,044   236,464,972   28,217,336   10,363,736
Commercial & Professional Services   42,335,011   42,335,011    
Consumer Discretionary Distribution & Retail   192,345,869   186,570,463     5,775,406
Consumer Durables & Apparel   54,964,559   54,964,559    
Consumer Services   83,019,796   83,019,796    
Consumer Staples Distribution & Retail   24,660,796   24,660,796    
Energy   162,532,536   162,532,536    
Equity Real Estate Investment Trusts (REITs)   115,044,433   115,044,433    
Financial Services   303,682,389   303,682,389    
Food, Beverage & Tobacco   123,919,977   123,919,977    
Health Care Equipment & Services   241,254,838   241,254,838    
Household & Personal Products   125,556,943   108,097,259   17,459,684  
Insurance   177,241,208   177,241,208    
Materials   135,132,572   123,771,590   11,360,982  
Media & Entertainment   323,836,531   323,836,531    
Pharmaceuticals, Biotechnology & Life Sciences   214,766,027   201,367,025   13,399,002  
Real Estate Management & Development   12,763,275   12,763,275    
Semiconductors & Semiconductor Equipment   331,893,121   331,893,121    
Software & Services   368,363,252   368,363,209     43
Technology Hardware & Equipment   181,293,875   173,626,937   7,666,938  
Telecommunication Services   21,611,960   21,611,960    
Transportation   92,265,805   92,265,805    
Utilities   61,417,826   44,788,041   16,629,785  
Convertible Preferred Stocks   56       56
Short-Term Investments   13,080,280     13,080,280  
Futures Contracts(2)   818,595   818,595    
Total   $ 3,712,510,141   $ 3,588,556,893   $ 107,814,007   $ 16,139,241
    
(1) For the period ended March 31, 2024, there were no transfers in and out of Level 3.
(2) Derivative instruments (excluding purchased and written options, if applicable) are valued at the unrealized appreciation/(depreciation) on the investments.
Level 3 investments at the beginning and/or end of the period in relation to net assets were not significant and accordingly, a reconciliation of Level 3 assets for the period ended March 31, 2024 is not presented.

13

Hartford Disciplined Equity HLS Fund
Schedule of Investments
March 31, 2024  (Unaudited) 

Shares or Principal Amount   Market Value†
COMMON STOCKS - 99.5%
  Banks - 4.8%
1,143,356 Bank of America Corp. $    43,356,059
  380,510 JP Morgan Chase & Co.     76,216,153
  135,346 PNC Financial Services Group, Inc.    21,871,914
      141,444,126
  Capital Goods - 7.8%
  173,922 AMETEK, Inc.     31,810,334
70,403 Deere & Co. 28,917,328
185,197 Emerson Electric Co. 21,005,044
94,596 General Dynamics Corp. 26,722,424
113,233 IDEX Corp. 27,631,117
117,261 Illinois Tool Works, Inc. 31,464,644
305,020 Ingersoll Rand, Inc. 28,961,649
351,919 RTX Corp. 34,322,660
      230,835,200
  Commercial & Professional Services - 0.9%
133,944 Republic Services, Inc. 25,642,239
  Consumer Discretionary Distribution & Retail - 7.5%
848,455 Amazon.com, Inc.* 153,044,313
10,809 AutoZone, Inc.* 34,066,185
310,064 TJX Cos., Inc. 31,446,691
38,805 Tory Burch LLC(1)(2) 1,946,460
      220,503,649
  Consumer Durables & Apparel - 0.6%
185,873 NIKE, Inc. Class B 17,468,345
  Consumer Services - 2.0%
106,095 Marriott International, Inc. Class A 26,768,829
117,905 McDonald's Corp. 33,243,315
      60,012,144
  Energy - 3.5%
289,308 ConocoPhillips 36,823,122
227,766 EOG Resources, Inc. 29,117,605
144,509 EQT Corp. 5,356,949
121,880 Phillips 66 19,907,879
220,154 Schlumberger NV 12,066,641
      103,272,196
  Equity Real Estate Investment Trusts (REITs) - 1.5%
203,346 Prologis, Inc. REIT 26,479,716
191,369 Welltower, Inc. REIT 17,881,520
      44,361,236
  Financial Services - 5.8%
163,524 American Express Co. 37,232,779
405,764 Charles Schwab Corp. 29,352,968
136,040 Mastercard, Inc. Class A 65,512,783
434,429 Morgan Stanley 40,905,835
      173,004,365
  Food, Beverage & Tobacco - 1.8%
101,864 Constellation Brands, Inc. Class A 27,682,561
437,677 Monster Beverage Corp.* 25,945,492
      53,628,053
  Health Care Equipment & Services - 5.4%
350,065 Abbott Laboratories 39,788,388
486,762 Boston Scientific Corp.* 33,338,329
102,433 Cencora, Inc. 24,890,195
123,131 UnitedHealth Group, Inc. 60,912,906
      158,929,818
Shares or Principal Amount   Market Value†
COMMON STOCKS - 99.5% - (continued)
  Household & Personal Products - 3.3%
  220,551 Estee Lauder Cos., Inc. Class A $    33,997,936
  394,923 Procter & Gamble Co.    64,076,257
      98,074,193
  Insurance - 3.3%
  249,232 Arch Capital Group Ltd.*     23,039,006
  150,858 Chubb Ltd.     39,091,833
171,980 Progressive Corp. 35,568,904
      97,699,743
  Materials - 1.5%
76,862 Linde PLC 35,688,564
64,614 PPG Industries, Inc. 9,362,568
      45,051,132
  Media & Entertainment - 9.4%
928,035 Alphabet, Inc. Class A* 140,068,323
208,437 Meta Platforms, Inc. Class A 101,212,838
62,203 Netflix, Inc.* 37,777,748
      279,058,909
  Pharmaceuticals, Biotechnology & Life Sciences - 9.1%
129,961 Danaher Corp. 32,453,861
90,022 Eli Lilly & Co. 70,033,515
414,480 Merck & Co., Inc. 54,690,636
25,389 Regeneron Pharmaceuticals, Inc.* 24,436,659
59,354 Thermo Fisher Scientific, Inc. 34,497,138
59,640 Vertex Pharmaceuticals, Inc.* 24,930,116
157,812 Zoetis, Inc. 26,703,369
      267,745,294
  Semiconductors & Semiconductor Equipment - 9.7%
49,587 Broadcom, Inc. 65,723,106
48,890 KLA Corp. 34,153,087
172,045 NVIDIA Corp. 155,452,980
185,550 Texas Instruments, Inc. 32,324,666
      287,653,839
  Software & Services - 11.8%
84,996 Accenture PLC Class A 29,460,464
528,193 Microsoft Corp. 222,221,359
48,792 Roper Technologies, Inc. 27,364,505
142,575 Salesforce, Inc. 42,940,738
100,088 Workday, Inc. Class A* 27,299,002
      349,286,068
  Technology Hardware & Equipment - 7.0%
802,070 Apple, Inc. 137,538,964
135,263 CDW Corp. 34,597,570
102,383 Motorola Solutions, Inc. 36,343,917
      208,480,451
  Utilities - 2.8%
368,819 American Electric Power Co., Inc. 31,755,316
314,043 Duke Energy Corp. 30,371,099
1,197,332 PG&E Corp. 20,067,284
      82,193,699
  Total Common Stocks
(cost $1,655,433,597)
  $ 2,944,344,699
CONVERTIBLE PREFERRED STOCKS - 0.2%
  Software & Services - 0.2%
1,871,878 Essence Group Holdings Corp. Series 3*(1)(2)(3) $ 3,069,880
 

14

Hartford Disciplined Equity HLS Fund
Schedule of Investments – (continued)
March 31, 2024  (Unaudited) 

Shares or Principal Amount   Market Value†
CONVERTIBLE PREFERRED STOCKS - 0.2% - (continued)
  Software & Services - 0.2% - (continued)
  287,204 Lookout, Inc. Series F*(1)(2)(3) $     2,510,163
  Total Convertible Preferred Stocks
(cost $6,240,761)
  $ 5,580,043
  Total Long-Term Investments
(cost $1,661,674,358)
  $ 2,949,924,742
SHORT-TERM INVESTMENTS - 0.0%
  Repurchase Agreements - 0.0%
$     108,185 Fixed Income Clearing Corp. Repurchase Agreement dated 03/28/2024 at 5.32%, due on 04/01/2024 with a maturity value of $108,249; collateralized by U.S. Treasury Note at 4.25%, maturing 03/15/2027, with a market value of $110,420 $       108,185
  Total Short-Term Investments
(cost $108,185)
$ 108,185
  Total Investments
(cost $1,661,782,543)
99.7% $ 2,950,032,927
  Other Assets and Liabilities 0.3% 8,685,028
  Total Net Assets 100.0% $ 2,958,717,955
Note: Percentage of investments as shown is the ratio of the total market value to total net assets.
  Equity industry classifications used in this report are the Global Industry Classification Standard, which was developed by and is the exclusive property and service mark of MSCI, Inc. and Standard & Poor’s.
For Fund compliance purposes, the Fund may not use the same classification system. These classifications are used for financial reporting purposes.
See “Glossary” for abbreviation descriptions.
* Non-income producing.
(1) Investment in securities not registered under the Securities Act of 1933 (excluding securities acquired pursuant to Rule 144A and Regulation S). At the end of the period, the value of such restricted securities amounted to $7,526,503 or 0.3% of net assets.
    
Period
Acquired
  Security Name   Shares/
Par Value
  Total Cost   Market Value
05/2014   Essence Group Holdings Corp. Series 3 Convertible Preferred   1,871,878   $ 2,960,001   $ 3,069,880
07/2014   Lookout, Inc. Series F Convertible Preferred   287,204   3,280,760   2,510,163
11/2013   Tory Burch LLC   38,805   3,041,403   1,946,460
            $ 9,282,164   $ 7,526,503
    
(2) Investment valued using significant unobservable inputs.
(3) Currently no rate available.
For information regarding the Fund’s significant accounting policies, please refer to the Fund’s most recent shareholder report.
 

15

Hartford Disciplined Equity HLS Fund
Schedule of Investments – (continued)
March 31, 2024  (Unaudited) 

Fair Value Summary
The following is a summary of the fair valuations according to the inputs used as of March 31, 2024 in valuing the Fund’s investments.
Description   Total   Level 1   Level 2   Level 3(1)
Assets                
Common Stocks                
Banks   $ 141,444,126   $ 141,444,126   $ —   $ —
Capital Goods   230,835,200   230,835,200    
Commercial & Professional Services   25,642,239   25,642,239    
Consumer Discretionary Distribution & Retail   220,503,649   218,557,189     1,946,460
Consumer Durables & Apparel   17,468,345   17,468,345    
Consumer Services   60,012,144   60,012,144    
Energy   103,272,196   103,272,196    
Equity Real Estate Investment Trusts (REITs)   44,361,236   44,361,236    
Financial Services   173,004,365   173,004,365    
Food, Beverage & Tobacco   53,628,053   53,628,053    
Health Care Equipment & Services   158,929,818   158,929,818    
Household & Personal Products   98,074,193   98,074,193    
Insurance   97,699,743   97,699,743    
Materials   45,051,132   45,051,132    
Media & Entertainment   279,058,909   279,058,909    
Pharmaceuticals, Biotechnology & Life Sciences   267,745,294   267,745,294    
Semiconductors & Semiconductor Equipment   287,653,839   287,653,839    
Software & Services   349,286,068   349,286,068    
Technology Hardware & Equipment   208,480,451   208,480,451    
Utilities   82,193,699   82,193,699    
Convertible Preferred Stocks   5,580,043       5,580,043
Short-Term Investments   108,185     108,185  
Total   $ 2,950,032,927   $ 2,942,398,239   $ 108,185   $ 7,526,503
    
(1) For the period ended March 31, 2024, there were no transfers in and out of Level 3.
Level 3 investments at the beginning and/or end of the period in relation to net assets were not significant and accordingly, a reconciliation of Level 3 assets for the period ended March 31, 2024 is not presented.

16

Hartford Dividend and Growth HLS Fund
Schedule of Investments
March 31, 2024  (Unaudited) 

Shares or Principal Amount   Market Value†
COMMON STOCKS - 98.4%
  Banks - 7.1%
 1,295,804 Bank of America Corp. $    49,136,887
   506,743 JP Morgan Chase & Co.   101,500,623
 1,821,705 Wells Fargo & Co.   105,586,022
      256,223,532
  Capital Goods - 7.7%
   204,254 Airbus SE     37,629,464
138,676 General Dynamics Corp. 39,174,583
87,690 Honeywell International, Inc. 17,998,372
769,806 Johnson Controls International PLC 50,283,728
98,025 Lockheed Martin Corp. 44,588,632
492,278 Otis Worldwide Corp. 48,868,437
273,098 Westinghouse Air Brake Technologies Corp. 39,784,917
      278,328,133
  Consumer Discretionary Distribution & Retail - 3.3%
131,179 Home Depot, Inc. 50,320,264
97,596 Lowe's Cos., Inc. 24,860,629
439,900 TJX Cos., Inc. 44,614,658
      119,795,551
  Consumer Staples Distribution & Retail - 0.6%
271,939 Sysco Corp. 22,076,008
  Energy - 8.6%
393,696 Chevron Corp. 62,101,607
548,180 ConocoPhillips 69,772,350
659,785 Coterra Energy, Inc. 18,394,806
305,104 Diamondback Energy, Inc. 60,462,460
883,233 TotalEnergies SE ADR 60,792,927
1,084,940 Williams Cos., Inc. 42,280,112
      313,804,262
  Equity Real Estate Investment Trusts (REITs) - 3.2%
284,066 American Tower Corp. REIT 56,128,601
1,145,235 Host Hotels & Resorts, Inc. REIT 23,683,460
121,330 Public Storage REIT 35,192,980
      115,005,041
  Financial Services - 7.3%
244,022 American Express Co. 55,561,369
39,880 BlackRock, Inc. 33,247,956
335,704 Charles Schwab Corp. 24,284,827
508,182 Morgan Stanley 47,850,417
99,664 S&P Global, Inc. 42,402,049
224,145 Visa, Inc. Class A 62,554,387
      265,901,005
  Food, Beverage & Tobacco - 3.9%
974,304 Keurig Dr Pepper, Inc. 29,881,904
295,153 Mondelez International, Inc. Class A 20,660,710
582,394 Philip Morris International, Inc. 53,358,938
625,061 Tyson Foods, Inc. Class A 36,709,833
      140,611,385
  Health Care Equipment & Services - 7.1%
163,974 Becton Dickinson & Co. 40,575,366
99,501 Elevance Health, Inc. 51,595,249
127,126 HCA Healthcare, Inc. 42,400,335
591,534 Medtronic PLC 51,552,188
146,130 UnitedHealth Group, Inc. 72,290,511
      258,413,649
  Household & Personal Products - 2.1%
931,635 Kenvue, Inc. 19,992,887
1,136,322 Unilever PLC ADR 57,032,001
      77,024,888
Shares or Principal Amount   Market Value†
COMMON STOCKS - 98.4% - (continued)
  Insurance - 3.2%
   553,633 American International Group, Inc. $    43,277,492
    89,678 Chubb Ltd.     23,238,260
   585,100 Principal Financial Group, Inc.    50,499,981
      117,015,733
  Materials - 4.4%
 3,733,410 Amcor PLC     35,504,729
626,084 BHP Group Ltd. ADR(1) 36,118,786
275,205 Celanese Corp. 47,296,731
623,461 FMC Corp. 39,714,466
      158,634,712
  Media & Entertainment - 7.9%
1,170,495 Alphabet, Inc. Class A* 176,662,811
694,766 Comcast Corp. Class A 30,118,106
373,695 Omnicom Group, Inc. 36,158,728
371,484 Walt Disney Co. 45,454,782
      288,394,427
  Pharmaceuticals, Biotechnology & Life Sciences - 7.0%
254,772 Agilent Technologies, Inc. 37,071,874
688,423 AstraZeneca PLC ADR 46,640,658
214,085 Gilead Sciences, Inc. 15,681,726
485,072 Merck & Co., Inc. 64,005,250
425,336 Novartis AG ADR 41,142,751
1,808,662 Pfizer, Inc. 50,190,371
      254,732,630
  Semiconductors & Semiconductor Equipment - 5.6%
589,597 Intel Corp. 26,042,500
577,783 Micron Technology, Inc. 68,114,838
426,636 QUALCOMM, Inc. 72,229,475
212,026 Texas Instruments, Inc. 36,937,049
      203,323,862
  Software & Services - 8.4%
121,482 Accenture PLC Class A 42,106,876
827,702 Cognizant Technology Solutions Corp. Class A 60,662,280
480,771 Microsoft Corp. 202,269,975
      305,039,131
  Technology Hardware & Equipment - 3.6%
492,802 Apple, Inc. 84,505,687
933,397 Cisco Systems, Inc. 46,585,844
      131,091,531
  Telecommunication Services - 0.7%
583,370 Verizon Communications, Inc. 24,478,205
  Transportation - 1.0%
1,273,380 Southwest Airlines Co. 37,169,962
  Utilities - 5.7%
661,835 American Electric Power Co., Inc. 56,983,994
200,568 Constellation Energy Corp. 37,074,995
427,120 Duke Energy Corp. 41,306,775
787,957 Exelon Corp. 29,603,544
573,361 Sempra 41,184,521
      206,153,829
  Total Common Stocks
(cost $2,137,852,532)
  $ 3,573,217,476
 

17

Hartford Dividend and Growth HLS Fund
Schedule of Investments – (continued)
March 31, 2024  (Unaudited) 

Shares or Principal Amount   Market Value†
SHORT-TERM INVESTMENTS - 0.5%
  Repurchase Agreements - 0.3%
$   11,473,665 Fixed Income Clearing Corp. Repurchase Agreement dated 03/28/2024 at 5.32%, due on 04/01/2024 with a maturity value of $11,480,447; collateralized by U.S. Treasury Note at 3.75%, maturing 2/31/2030, with a market value of $11,703,182 $    11,473,665
  Securities Lending Collateral - 0.2%
 1,065,634 Goldman Sachs Financial Square Funds, Government Fund, Institutional Class, 5.21%(2)      1,065,634
 3,552,113 HSBC U.S. Government Money Market Fund, Institutional Class, 5.24%(2)      3,552,113
 1,065,634 Invesco Government & Agency Portfolio, Institutional Class, 5.24%(2)      1,065,634
 1,065,634 Morgan Stanley Institutional Liquidity Funds, Government Portfolio, Institutional Class, 5.22%(2)      1,065,634
      6,749,015
  Total Short-Term Investments
(cost $18,222,680)
$ 18,222,680
  Total Investments
(cost $2,156,075,212)
98.9% $ 3,591,440,156
  Other Assets and Liabilities 1.1% 39,386,174
  Total Net Assets 100.0% $ 3,630,826,330
Note: Percentage of investments as shown is the ratio of the total market value to total net assets.
  Prices of foreign equities that are principally traded on certain foreign markets will generally be adjusted daily pursuant to a fair value pricing service approved by Hartford Funds Management Company, LLC in order to reflect an adjustment for factors occurring after the close of certain foreign markets but before the close of the New York Stock Exchange.
  Equity industry classifications used in this report are the Global Industry Classification Standard, which was developed by and is the exclusive property and service mark of MSCI, Inc. and Standard & Poor’s.
  For Fund compliance purposes, the Fund may not use the same classification system. These classifications are used for financial reporting purposes.
  See “Glossary” for abbreviation descriptions.
    
* Non-income producing.
(1) Represents entire or partial securities on loan.
(2) Current yield as of period end.
For information regarding the Fund’s significant accounting policies, please refer to the Fund’s most recent shareholder report.
 
Fair Value Summary
The following is a summary of the fair valuations according to the inputs used as of March 31, 2024 in valuing the Fund’s investments.
Description   Total   Level 1   Level 2   Level 3(1)
Assets                
Common Stocks                
Banks   $ 256,223,532   $ 256,223,532   $ —   $ —
Capital Goods   278,328,133   240,698,669   37,629,464  
Consumer Discretionary Distribution & Retail   119,795,551   119,795,551    
Consumer Staples Distribution & Retail   22,076,008   22,076,008    
Energy   313,804,262   313,804,262    
Equity Real Estate Investment Trusts (REITs)   115,005,041   115,005,041    
Financial Services   265,901,005   265,901,005    
Food, Beverage & Tobacco   140,611,385   140,611,385    
Health Care Equipment & Services   258,413,649   258,413,649    
Household & Personal Products   77,024,888   77,024,888    
Insurance   117,015,733   117,015,733    
Materials   158,634,712   158,634,712    
Media & Entertainment   288,394,427   288,394,427    
Pharmaceuticals, Biotechnology & Life Sciences   254,732,630   254,732,630    
Semiconductors & Semiconductor Equipment   203,323,862   203,323,862    
Software & Services   305,039,131   305,039,131    
Technology Hardware & Equipment   131,091,531   131,091,531    
Telecommunication Services   24,478,205   24,478,205    
Transportation   37,169,962   37,169,962    
Utilities   206,153,829   206,153,829    
Short-Term Investments   18,222,680   6,749,015   11,473,665  
Total   $ 3,591,440,156   $ 3,542,337,027   $ 49,103,129   $ —
    
(1) For the period ended March 31, 2024, there were no transfers in and out of Level 3.

18

Hartford Healthcare HLS Fund
Schedule of Investments
March 31, 2024  (Unaudited) 

Shares or Principal Amount   Market Value
COMMON STOCKS - 97.8%
  Biotechnology - 18.7%
 18,845 AbbVie, Inc. $   3,431,675
 11,545 Akero Therapeutics, Inc.*      291,627
 17,684 Alkermes PLC*      478,706
  4,432 Alnylam Pharmaceuticals, Inc.*      662,362
  1,870 Amgen, Inc.      531,678
 10,027 Apellis Pharmaceuticals, Inc.*      589,387
2,632 Argenx SE ADR* 1,036,271
4,209 Ascendis Pharma AS ADR* 636,275
47,398 Autolus Therapeutics PLC ADR* 302,399
3,769 Biogen, Inc.* 812,709
4,317 Blueprint Medicines Corp.* 409,511
10,995 Bridgebio Pharma, Inc.* 339,965
14,647 Celldex Therapeutics, Inc.* 614,735
12,660 Crinetics Pharmaceuticals, Inc.* 592,615
8,300 Cytokinetics, Inc.* 581,913
9,220 Exact Sciences Corp.* 636,733
1,472 Genmab AS* 441,348
12,836 Genus PLC 285,518
5,320 Gilead Sciences, Inc. 389,690
30,125 Immatics NV* 316,614
9,207 Immunocore Holdings PLC ADR* 598,455
5,268 Legend Biotech Corp. ADR* 295,482
10,840 Merus NV* 488,125
3,856 Moderna, Inc.* 410,895
4,712 Morphic Holding, Inc.* 165,862
5,721 Prothena Corp. PLC* 141,709
8,468 PTC Therapeutics, Inc.* 246,334
2,472 Regeneron Pharmaceuticals, Inc.* 2,379,275
19,460 REVOLUTION Medicines, Inc.* 627,196
16,735 Rocket Pharmaceuticals, Inc.* 450,841
4,248 Sarepta Therapeutics, Inc.* 549,946
20,200 Sichuan Kelun-Biotech Biopharmaceutical Co. Ltd.* 400,987
7,290 Soleno Therapeutics, Inc.* 312,012
19,231 Syndax Pharmaceuticals, Inc.* 457,698
9,251 Ultragenyx Pharmaceutical, Inc.* 431,929
3,231 United Therapeutics Corp.* 742,225
6,990 Vaxcyte, Inc.* 477,487
18,294 Veracyte, Inc.* 405,395
7,664 Vertex Pharmaceuticals, Inc.* 3,203,629
9,265 Xenon Pharmaceuticals, Inc.* 398,858
11,383 Zai Lab Ltd. ADR* 182,356
      26,748,427
  Health Care Distributors - 2.1%
12,346 Cencora, Inc. 2,999,955
  Health Care Equipment - 15.4%
24,981 Abbott Laboratories 2,839,341
58,809 Boston Scientific Corp.* 4,027,828
17,602 Dexcom, Inc.* 2,441,397
5,296 DiaSorin SpA 511,089
28,582 Edwards Lifesciences Corp.* 2,731,296
14,240 Hologic, Inc.* 1,110,150
9,031 Inari Medical, Inc.* 433,307
1,130 Inspire Medical Systems, Inc.* 242,713
5,770 Insulet Corp.* 988,978
6,004 Shockwave Medical, Inc.* 1,955,083
6,994 Smith & Nephew PLC 87,558
11,277 Stryker Corp. 4,035,700
2,977 Teleflex, Inc. 673,308
      22,077,748
  Health Care Facilities - 5.1%
24,301 Acadia Healthcare Co., Inc.* 1,925,125
13,067 Encompass Health Corp. 1,079,073
10,833 HCA Healthcare, Inc. 3,613,131
22,421 Surgery Partners, Inc.* 668,818
      7,286,147
Shares or Principal Amount   Market Value
COMMON STOCKS - 97.8% - (continued)
  Health Care Services - 3.0%
  7,534 Addus HomeCare Corp.* $     778,563
105,937 agilon health, Inc.*      646,216
  6,082 Laboratory Corp. of America Holdings    1,328,674
 29,290 Option Care Health, Inc.*      982,387
 27,050 Privia Health Group, Inc.*     529,909
      4,265,749
  Health Care Technology - 0.6%
24,660 Evolent Health, Inc. Class A* 808,601
  Life Sciences Tools & Services - 12.4%
14,932 Agilent Technologies, Inc. 2,172,755
6,336 Bio-Techne Corp. 445,991
21,408 Danaher Corp. 5,346,006
5,727 ICON PLC* 1,923,986
8,722 Illumina, Inc.* 1,197,705
16,508 Qiagen NV* 709,679
4,590 Repligen Corp.* 844,193
1,268 Tecan Group AG 525,370
6,125 Thermo Fisher Scientific, Inc. 3,559,911
2,949 Waters Corp.* 1,015,134
      17,740,730
  Managed Health Care - 11.7%
38,547 Centene Corp.* 3,025,168
5,996 Humana, Inc. 2,078,933
5,455 Molina Healthcare, Inc.* 2,241,078
19,118 UnitedHealth Group, Inc. 9,457,675
      16,802,854
  Pharmaceuticals - 28.8%
36,421 AstraZeneca PLC ADR 2,467,523
26,100 Chugai Pharmaceutical Co. Ltd. 997,422
59,735 Daiichi Sankyo Co. Ltd. 1,900,700
20,809 Eisai Co. Ltd. 857,097
45,874 Elanco Animal Health, Inc.* 746,829
20,140 Eli Lilly & Co. 15,668,114
12,515 Galderma Group AG* 879,110
46,993 GSK PLC 1,008,957
14,280 Longboard Pharmaceuticals, Inc.* 308,448
69,584 Merck & Co., Inc. 9,181,609
9,744 Novartis AG 943,788
17,500 Otsuka Holdings Co. Ltd. 726,920
38,467 Pfizer, Inc. 1,067,459
12,185 Structure Therapeutics, Inc. ADR* 522,249
7,120 UCB SA 878,942
23,038 Verona Pharma PLC ADR* 370,681
15,887 Zoetis, Inc. 2,688,239
      41,214,087
  Total Common Stocks
(cost $93,858,770)
  $ 139,944,298
RIGHTS - 0.0%
  Health Care Equipment - 0.0%
885 Abiomed, Inc. CVR*(1)(2) $ 903
  Total Rights
(cost $903)
  $ 903
  Total Long-Term Investments
(cost $93,859,673)
  $ 139,945,201
 

19

Hartford Healthcare HLS Fund
Schedule of Investments – (continued)
March 31, 2024  (Unaudited) 

Shares or Principal Amount   Market Value
SHORT-TERM INVESTMENTS - 0.3%
  Repurchase Agreements - 0.3%
$  418,476 Fixed Income Clearing Corp. Repurchase Agreement dated 03/28/2024 at 5.32%, due on 04/01/2024 with a maturity value of $418,723; collateralized by U.S. Treasury Note at 4.25%, maturing 03/15/2027, with a market value of $426,906 $     418,476
  Total Short-Term Investments
(cost $418,476)
$ 418,476
  Total Investments
(cost $94,278,149)
98.1% $ 140,363,677
  Other Assets and Liabilities 1.9% 2,695,979
  Total Net Assets 100.0% $ 143,059,656
Note: Percentage of investments as shown is the ratio of the total market value to total net assets.
  Prices of foreign equities that are principally traded on certain foreign markets will generally be adjusted daily pursuant to a fair value pricing service approved by Hartford Funds Management Company, LLC in order to reflect an adjustment for factors occurring after the close of certain foreign markets but before the close of the New York Stock Exchange.
Equity industry classifications used in this report are the Global Industry Classification Standard, which was developed by and is the exclusive property and service mark of MSCI, Inc. and Standard & Poor’s.
For Fund compliance purposes, the Fund may not use the same classification system. These classifications are used for financial reporting purposes.
See “Glossary” for abbreviation descriptions.
* Non-income producing.
(1) Investment valued using significant unobservable inputs.
(2) Currently no expiration date available.
For information regarding the Fund’s significant accounting policies, please refer to the Fund’s most recent shareholder report.
 
Fair Value Summary
The following is a summary of the fair valuations according to the inputs used as of March 31, 2024 in valuing the Fund’s investments.
Description   Total   Level 1   Level 2   Level 3(1)
Assets                
Common Stocks                
Biotechnology   $ 26,748,427   $ 25,620,574   $ 1,127,853   $ —
Health Care Distributors   2,999,955   2,999,955    
Health Care Equipment   22,077,748   21,479,101   598,647  
Health Care Facilities   7,286,147   7,286,147    
Health Care Services   4,265,749   4,265,749    
Health Care Technology   808,601   808,601    
Life Sciences Tools & Services   17,740,730   17,215,360   525,370  
Managed Health Care   16,802,854   16,802,854    
Pharmaceuticals   41,214,087   33,900,261   7,313,826  
Rights   903       903
Short-Term Investments   418,476     418,476  
Total   $ 140,363,677   $ 130,378,602   $ 9,984,172   $ 903
    
(1) For the period ended March 31, 2024, there were no transfers in and out of Level 3.
Level 3 investments at the beginning and/or end of the period in relation to net assets were not significant and accordingly, a reconciliation of Level 3 assets for the period ended March 31, 2024 is not presented.

20

Hartford International Opportunities HLS Fund
Schedule of Investments
March 31, 2024  (Unaudited) 

Shares or Principal Amount   Market Value†
COMMON STOCKS - 98.1%
  Australia - 1.8%
   250,108 Rio Tinto PLC $  15,813,042
  Brazil - 2.1%
 1,008,509 Localiza Rent a Car SA  10,995,189
   281,484 XP, Inc. Class A   7,222,880
      18,218,069
  Canada - 8.7%
109,085 Cameco Corp. 4,722,413
150,057 Canadian Pacific Kansas City Ltd. 13,230,451
683,748 Cenovus Energy, Inc. 13,669,407
3,999 Constellation Software, Inc. 10,923,406
125,417 RB Global, Inc. 9,552,451
153,070 Royal Bank of Canada 15,438,650
58,876 TFI International, Inc. 9,388,517
      76,925,295
  China - 4.8%
206,000 BYD Co. Ltd. Class H 5,274,640
601,826 ENN Energy Holdings Ltd. 4,682,782
313,865 KE Holdings, Inc. ADR 4,309,366
577,738 Proya Cosmetics Co. Ltd. Class A 7,463,159
527,691 Tencent Holdings Ltd. 20,553,529
      42,283,476
  Denmark - 2.1%
141,622 Novo Nordisk AS Class B 18,166,330
  France - 12.4%
83,805 Airbus SE 15,439,292
402,714 AXA SA 15,124,232
210,974 BNP Paribas SA 15,020,268
145,949 Bureau Veritas SA 4,456,323
48,253 Capgemini SE 11,103,528
4,774 Hermes International SCA 12,201,295
19,581 L'Oreal SA 9,273,006
48,962 Pernod Ricard SA 7,926,166
240,152 Renault SA 12,118,092
337,510 Vallourec SACA* 6,269,091
      108,931,293
  Germany - 10.2%
64,463 adidas AG 14,402,883
484,593 Deutsche Telekom AG 11,763,246
418,447 Infineon Technologies AG 14,229,512
43,634 Merck KGaA 7,694,217
293,369 RWE AG 9,970,786
79,873 SAP SE 15,552,778
86,271 Siemens AG 16,472,487
      90,085,909
  Hong Kong - 0.6%
180,200 Hong Kong Exchanges & Clearing Ltd. 5,250,713
  India - 3.6%
875,700 Axis Bank Ltd. 11,036,789
211,084 Larsen & Toubro Ltd. 9,547,173
306,381 Reliance Industries Ltd. 10,955,624
      31,539,586
  Indonesia - 0.9%
11,757,500 Bank Central Asia Tbk. PT 7,477,034
  Italy - 2.2%
20,206 Ferrari NV 8,810,531
282,592 UniCredit SpA 10,732,641
      19,543,172
Shares or Principal Amount   Market Value†
COMMON STOCKS - 98.1% - (continued)
  Japan - 12.2%
   336,744 Bandai Namco Holdings, Inc. $   6,248,336
   255,000 Dai-ichi Life Holdings, Inc.   6,503,656
    38,100 Fast Retailing Co. Ltd.  11,804,372
   283,330 ITOCHU Corp.  12,171,742
    31,022 Keyence Corp.  14,402,299
 1,623,200 Mitsubishi UFJ Financial Group, Inc.  16,514,591
54,000 Oriental Land Co. Ltd. 1,729,929
208,900 Recruit Holdings Co. Ltd. 9,172,124
157,100 Sony Group Corp. 13,471,438
246,300 Sumitomo Mitsui Trust Holdings, Inc. 5,306,927
576,699 T&D Holdings, Inc. 10,025,446
      107,350,860
  Netherlands - 6.6%
22,537 ASML Holding NV 21,848,742
39,817 EXOR NV 4,431,088
577,037 Shell PLC 19,331,930
77,900 Wolters Kluwer NV 12,198,345
      57,810,105
  South Africa - 1.1%
409,225 Anglo American PLC 10,084,457
  South Korea - 3.3%
484,426 Samsung Electronics Co. Ltd. 29,112,789
  Spain - 1.3%
943,385 Iberdrola SA 11,717,175
  Switzerland - 3.2%
8,197 Galderma Group AG* 575,794
178,361 Novartis AG 17,275,759
7,490 Partners Group Holding AG 10,699,355
      28,550,908
  Taiwan - 3.5%
1,284,806 Taiwan Semiconductor Manufacturing Co. Ltd. 30,779,069
  Thailand - 1.2%
3,018,273 Kasikornbank PCL 10,257,372
  United Kingdom - 10.5%
146,163 AstraZeneca PLC 19,636,089
939,055 BAE Systems PLC 16,006,584
2,006,599 HSBC Holdings PLC 15,685,232
136,857 London Stock Exchange Group PLC 16,375,493
178,348 Reckitt Benckiser Group PLC 10,166,733
292,097 Unilever PLC 14,663,796
      92,533,927
  United States - 5.8%
10,805 ARM Holdings PLC ADR* 1,350,517
134,249 CRH PLC 11,587,028
28,591 CyberArk Software Ltd.* 7,594,627
381,057 GSK PLC 8,181,437
21,357 Linde PLC 9,883,071
34,131 Spotify Technology SA* 9,007,171
169,752 Tenaris SA 3,356,205
      50,960,056
  Total Common Stocks
(cost $672,933,280)
  $ 863,390,637
 

21

Hartford International Opportunities HLS Fund
Schedule of Investments – (continued)
March 31, 2024  (Unaudited) 

Shares or Principal Amount   Market Value†
EXCHANGE-TRADED FUNDS - 0.1%
  Other Investment Pools & Funds - 0.1%
    16,620 iShares MSCI ACWI ex U.S. ETF $     887,342
  Total Exchange-Traded Funds
(cost $851,722)
  $ 887,342
WARRANTS - 0.0%
  Canada - 0.0%
     5,095 Constellation Software, Inc. Expires 03/31/2040*(1) $          —
  Total Warrants
(cost $—)
  $ —
  Total Long-Term Investments
(cost $673,785,002)
  $ 864,277,979
SHORT-TERM INVESTMENTS - 0.3%
  Repurchase Agreements - 0.3%
$   2,774,259 Fixed Income Clearing Corp. Repurchase Agreement dated 03/28/2024 at 5.32%, due on 04/01/2024 with a maturity value of $2,775,899; collateralized by U.S. Treasury Note at 2.63%, maturing 05/31/2027, with a market value of $2,829,776 $ 2,774,259
  Total Short-Term Investments
(cost $2,774,259)
$ 2,774,259
  Total Investments
(cost $676,559,261)
98.5% $ 867,052,238
  Other Assets and Liabilities 1.5% 13,185,088
  Total Net Assets 100.0% $ 880,237,326
Note: Percentage of investments as shown is the ratio of the total market value to total net assets.
  Prices of foreign equities that are principally traded on certain foreign markets will generally be adjusted daily pursuant to a fair value pricing service approved by Hartford Funds Management Company, LLC in order to reflect an adjustment for factors occurring after the close of certain foreign markets but before the close of the New York Stock Exchange.
  Equity industry classifications used in this report are the Global Industry Classification Standard, which was developed by and is the exclusive property and service mark of MSCI, Inc. and Standard & Poor’s.
  For Fund compliance purposes, the Fund may not use the same classification system. These classifications are used for financial reporting purposes.
  See “Glossary” for abbreviation descriptions.
    
   
* Non-income producing.
(1) Investment valued using significant unobservable inputs.
For information regarding the Fund’s significant accounting policies, please refer to the Fund’s most recent shareholder report.
 

22

Hartford International Opportunities HLS Fund
Schedule of Investments – (continued)
March 31, 2024  (Unaudited) 

Fair Value Summary
The following is a summary of the fair valuations according to the inputs used as of March 31, 2024 in valuing the Fund’s investments.
Description   Total   Level 1   Level 2   Level 3(1)
Assets                
Common Stocks                
Australia   $ 15,813,042   $ —   $ 15,813,042   $ —
Brazil   18,218,069   18,218,069    
Canada   76,925,295   76,925,295    
China   42,283,476   4,309,366   37,974,110  
Denmark   18,166,330     18,166,330  
France   108,931,293     108,931,293  
Germany   90,085,909     90,085,909  
Hong Kong   5,250,713     5,250,713  
India   31,539,586     31,539,586  
Indonesia   7,477,034     7,477,034  
Italy   19,543,172     19,543,172  
Japan   107,350,860     107,350,860  
Netherlands   57,810,105     57,810,105  
South Africa   10,084,457     10,084,457  
South Korea   29,112,789     29,112,789  
Spain   11,717,175     11,717,175  
Switzerland   28,550,908   575,794   27,975,114  
Taiwan   30,779,069     30,779,069  
Thailand   10,257,372   10,257,372    
United Kingdom   92,533,927     92,533,927  
United States   50,960,056   17,952,315   33,007,741  
Exchange-Traded Funds   887,342   887,342    
Warrants        
Short-Term Investments   2,774,259     2,774,259  
Total   $ 867,052,238   $ 129,125,553   $ 737,926,685   $ —
    
(1) For the period ended March 31, 2024, there were no transfers in and out of Level 3.
Level 3 investments at the beginning and/or end of the period in relation to net assets were not significant and accordingly, a reconciliation of Level 3 assets for the period ended March 31, 2024 is not presented.

23

Hartford MidCap HLS Fund
Schedule of Investments
March 31, 2024  (Unaudited) 

Shares or Principal Amount   Market Value†
COMMON STOCKS - 100.1%
  Automobiles & Components - 0.9%
  218,153 Gentex Corp. $     7,879,686
   25,062 Visteon Corp.*     2,947,542
      10,827,228
  Banks - 0.5%
   39,091 M&T Bank Corp.     5,685,395
  Capital Goods - 13.1%
20,893 Acuity Brands, Inc. 5,614,576
53,571 Axon Enterprise, Inc.* 16,761,295
43,039 Builders FirstSource, Inc.* 8,975,784
152,316 Fortive Corp. 13,102,222
172,902 Graco, Inc. 16,159,421
57,617 IDEX Corp. 14,059,700
120,110 Ingersoll Rand, Inc. 11,404,445
42,257 Lennox International, Inc. 20,653,531
43,723 Lincoln Electric Holdings, Inc. 11,168,603
48,543 NEXTracker, Inc. Class A* 2,731,515
30,454 Watsco, Inc. 13,155,214
109,181 Westinghouse Air Brake Technologies Corp. 15,905,488
      149,691,794
  Commercial & Professional Services - 2.0%
79,138 Copart, Inc.* 4,583,673
181,261 Dayforce, Inc.* 12,001,291
87,103 Genpact Ltd. 2,870,044
4,931 Rollins, Inc. 228,157
36,766 TransUnion 2,933,927
      22,617,092
  Consumer Discretionary Distribution & Retail - 4.3%
185,881 CarMax, Inc.* 16,192,094
70,979 Floor & Decor Holdings, Inc. Class A* 9,200,298
7,539 O'Reilly Automotive, Inc.* 8,510,626
335,787 Valvoline, Inc.* 14,966,027
      48,869,045
  Consumer Durables & Apparel - 3.8%
17,941 Deckers Outdoor Corp.* 16,887,146
3,219 NVR, Inc.* 26,073,771
      42,960,917
  Consumer Services - 4.6%
90,226 Choice Hotels International, Inc.(1) 11,400,055
461 Domino's Pizza, Inc. 229,062
1,642 DoorDash, Inc. Class A* 226,136
585,038 DraftKings, Inc. Class A* 26,566,576
89,854 Hyatt Hotels Corp. Class A 14,342,495
      52,764,324
  Energy - 3.5%
321,841 Marathon Oil Corp. 9,120,974
173,882 Ovintiv, Inc. 9,024,476
198,073 Targa Resources Corp. 22,182,195
      40,327,645
  Equity Real Estate Investment Trusts (REITs) - 1.0%
94,852 Lamar Advertising Co. Class A, REIT 11,326,277
  Financial Services - 8.9%
34,699 Credit Acceptance Corp.* 19,138,233
78,752 Hamilton Lane, Inc. Class A 8,880,076
31,553 Morningstar, Inc. 9,729,999
418,602 Nuvei Corp. 13,236,195
119,170 Shift4 Payments, Inc. Class A* 7,873,562
164,409 Tradeweb Markets, Inc. Class A 17,126,486
106,297 WEX, Inc.* 25,248,726
      101,233,277
Shares or Principal Amount   Market Value†
COMMON STOCKS - 100.1% - (continued)
  Food, Beverage & Tobacco - 1.5%
  100,728 Celsius Holdings, Inc.* $     8,352,366
   86,046 Post Holdings, Inc.*     9,144,969
      17,497,335
  Health Care Equipment & Services - 9.0%
  121,264 Acadia Healthcare Co., Inc.*      9,606,534
  846,243 agilon health, Inc.*      5,162,082
146,746 Dexcom, Inc.* 20,353,670
48,373 Inspire Medical Systems, Inc.* 10,390,037
26,622 Molina Healthcare, Inc.* 10,937,116
69,431 Shockwave Medical, Inc.* 22,608,817
100,975 Veeva Systems, Inc. Class A* 23,394,898
      102,453,154
  Household & Personal Products - 0.6%
32,743 elf Beauty, Inc.* 6,418,610
  Insurance - 2.4%
11,698 Markel Group, Inc.* 17,798,273
56,026 W R Berkley Corp. 4,954,940
2,287 White Mountains Insurance Group Ltd. 4,103,564
      26,856,777
  Materials - 0.8%
67,019 Ball Corp. 4,514,400
183,723 Element Solutions, Inc. 4,589,400
      9,103,800
  Media & Entertainment - 1.1%
377,387 Pinterest, Inc. Class A* 13,084,007
  Pharmaceuticals, Biotechnology & Life Sciences - 12.3%
259,404 Apellis Pharmaceuticals, Inc.* 15,247,767
150,077 Bio-Techne Corp. 10,563,920
270,826 Exact Sciences Corp.* 18,703,244
50,250 ICON PLC* 16,881,488
10,499 Mettler-Toledo International, Inc.* 13,977,214
65,808 Neurocrine Biosciences, Inc.* 9,076,239
348,008 PTC Therapeutics, Inc.* 10,123,553
55,287 Repligen Corp.* 10,168,385
70,446 Sarepta Therapeutics, Inc.* 9,119,939
193,644 Ultragenyx Pharmaceutical, Inc.* 9,041,238
38,202 United Therapeutics Corp.* 8,775,763
26,353 Waters Corp.* 9,071,493
      140,750,243
  Semiconductors & Semiconductor Equipment - 6.6%
57,941 Entegris, Inc. 8,143,028
118,644 Lattice Semiconductor Corp.* 9,281,520
133,266 MKS Instruments, Inc. 17,724,378
27,012 Monolithic Power Systems, Inc. 18,298,469
53,784 Onto Innovation, Inc.* 9,739,207
150,194 Rambus, Inc.* 9,283,491
18,103 Silicon Laboratories, Inc.* 2,601,763
      75,071,856
  Software & Services - 16.6%
83,163 CyberArk Software Ltd.* 22,090,588
223,178 Datadog, Inc. Class A* 27,584,801
298,116 Dynatrace, Inc.* 13,844,507
18,079 Fair Isaac Corp.* 22,591,699
42,391 HubSpot, Inc.* 26,560,505
600,713 Informatica, Inc. Class A* 21,024,955
60,368 MongoDB, Inc.* 21,650,379
110,699 PTC, Inc.* 20,915,469
 

24

Hartford MidCap HLS Fund
Schedule of Investments – (continued)
March 31, 2024  (Unaudited) 

Shares or Principal Amount   Market Value†
COMMON STOCKS - 100.1% - (continued)
  Software & Services - 16.6% - (continued)
  269,138 Unity Software, Inc.* $     7,185,985
   28,622 VeriSign, Inc.*     5,424,155
      188,873,043
  Technology Hardware & Equipment - 1.3%
   35,054 CDW Corp.      8,966,112
  225,003 Flex Ltd.*     6,437,336
      15,403,448
  Transportation - 3.3%
137,074 Expeditors International of Washington, Inc. 16,664,086
55,626 JB Hunt Transport Services, Inc. 11,083,481
140,174 U-Haul Holding Co. 9,346,802
      37,094,369
  Utilities - 2.0%
38,534 Atmos Energy Corp. 4,580,537
152,779 NiSource, Inc. 4,225,867
199,339 Vistra Corp. 13,883,961
      22,690,365
  Total Common Stocks
(cost $779,509,771)
  $ 1,141,600,001
SHORT-TERM INVESTMENTS - 1.0%
  Repurchase Agreements - 0.0%
$   421,318 Fixed Income Clearing Corp. Repurchase Agreement dated 03/28/2024 at 5.32%, due on 04/01/2024 with a maturity value of $421,567; collateralized by U.S. Treasury Bond at 4.75%, maturing 02/15/2041, with a market value of $429,804 $ 421,318
  Securities Lending Collateral - 1.0%
1,748,497 Goldman Sachs Financial Square Funds, Government Fund, Institutional Class, 5.21%(2) 1,748,497
5,828,326 HSBC U.S. Government Money Market Fund, Institutional Class, 5.24%(2) 5,828,326
1,748,498 Invesco Government & Agency Portfolio, Institutional Class, 5.24%(2) 1,748,498
1,748,498 Morgan Stanley Institutional Liquidity Funds, Government Portfolio, Institutional Class, 5.22%(2) 1,748,498
      11,073,819
  Total Short-Term Investments
(cost $11,495,137)
$ 11,495,137
  Total Investments
(cost $791,004,908)
101.1% $ 1,153,095,138
  Other Assets and Liabilities (1.1)% (12,466,180)
  Total Net Assets 100.0% $ 1,140,628,958
Note: Percentage of investments as shown is the ratio of the total market value to total net assets.
  Prices of foreign equities that are principally traded on certain foreign markets will generally be adjusted daily pursuant to a fair value pricing service approved by Hartford Funds Management Company, LLC in order to reflect an adjustment for factors occurring after the close of certain foreign markets but before the close of the New York Stock Exchange.
  Equity industry classifications used in this report are the Global Industry Classification Standard, which was developed by and is the exclusive property and service mark of MSCI, Inc. and Standard & Poor’s.
  For Fund compliance purposes, the Fund may not use the same classification system. These classifications are used for financial reporting purposes.
  See “Glossary” for abbreviation descriptions.
    
* Non-income producing.
(1) Represents entire or partial securities on loan.
(2) Current yield as of period end.
For information regarding the Fund’s significant accounting policies, please refer to the Fund’s most recent shareholder report.
 

25

Hartford MidCap HLS Fund
Schedule of Investments – (continued)
March 31, 2024  (Unaudited) 

Fair Value Summary
The following is a summary of the fair valuations according to the inputs used as of March 31, 2024 in valuing the Fund’s investments.
Description   Total   Level 1   Level 2   Level 3(1)
Assets                
Common Stocks                
Automobiles & Components   $ 10,827,228   $ 10,827,228   $ —   $ —
Banks   5,685,395   5,685,395    
Capital Goods   149,691,794   149,691,794    
Commercial & Professional Services   22,617,092   22,617,092    
Consumer Discretionary Distribution & Retail   48,869,045   48,869,045    
Consumer Durables & Apparel   42,960,917   42,960,917    
Consumer Services   52,764,324   52,764,324    
Energy   40,327,645   40,327,645    
Equity Real Estate Investment Trusts (REITs)   11,326,277   11,326,277    
Financial Services   101,233,277   101,233,277    
Food, Beverage & Tobacco   17,497,335   17,497,335    
Health Care Equipment & Services   102,453,154   102,453,154    
Household & Personal Products   6,418,610   6,418,610    
Insurance   26,856,777   26,856,777    
Materials   9,103,800   9,103,800    
Media & Entertainment   13,084,007   13,084,007    
Pharmaceuticals, Biotechnology & Life Sciences   140,750,243   140,750,243    
Semiconductors & Semiconductor Equipment   75,071,856   75,071,856    
Software & Services   188,873,043   188,873,043    
Technology Hardware & Equipment   15,403,448   15,403,448    
Transportation   37,094,369   37,094,369    
Utilities   22,690,365   22,690,365    
Short-Term Investments   11,495,137   11,073,819   421,318  
Total   $ 1,153,095,138   $ 1,152,673,820   $ 421,318   $ —
    
(1) For the period ended March 31, 2024, there were no transfers in and out of Level 3.

26

Hartford Small Cap Growth HLS Fund††
Schedule of Investments
March 31, 2024  (Unaudited) 

Shares or Principal Amount   Market Value†
COMMON STOCKS - 99.2%
  Automobiles & Components - 2.1%
  361,246 Goodyear Tire & Rubber Co.* $   4,959,908
   21,916 Patrick Industries, Inc.    2,618,304
   75,062 Visteon Corp.*   8,828,042
      16,406,254
  Banks - 1.1%
  102,726 Synovus Financial Corp.    4,115,204
61,197 Triumph Financial, Inc.* 4,854,146
      8,969,350
  Capital Goods - 15.2%
57,956 Applied Industrial Technologies, Inc. 11,449,208
172,469 AZEK Co., Inc.* 8,661,393
40,408 Boise Cascade Co. 6,197,375
62,609 Chart Industries, Inc.* 10,312,954
30,460 Comfort Systems USA, Inc. 9,677,447
213,963 Fluor Corp.* 9,046,356
194,850 FTAI Aviation Ltd. 13,113,405
10,587 Herc Holdings, Inc. 1,781,792
776,838 Hillman Solutions Corp.* 8,265,556
70,122 John Bean Technologies Corp. 7,355,097
132,587 NEXTracker, Inc. Class A* 7,460,670
129,525 Rush Enterprises, Inc. Class A 6,932,178
79,055 SPX Technologies, Inc.* 9,734,042
123,543 WillScot Mobile Mini Holdings Corp.* 5,744,750
158,858 Zurn Elkay Water Solutions Corp. 5,316,977
      121,049,200
  Commercial & Professional Services - 5.6%
15,993 CACI International, Inc. Class A* 6,058,628
53,515 Casella Waste Systems, Inc. Class A* 5,291,028
26,648 Clean Harbors, Inc.* 5,364,509
40,644 Dayforce, Inc.* 2,691,039
123,358 ExlService Holdings, Inc.* 3,922,784
21,209 Insperity, Inc. 2,324,718
87,948 KBR, Inc. 5,598,770
19,016 TriNet Group, Inc. 2,519,430
426,543 Verra Mobility Corp.* 10,650,779
      44,421,685
  Consumer Discretionary Distribution & Retail - 2.5%
34,694 Abercrombie & Fitch Co. Class A* 4,348,199
72,514 Boot Barn Holdings, Inc.* 6,899,707
251,858 Chewy, Inc. Class A* 4,007,061
73,364 Etsy, Inc.* 5,041,574
      20,296,541
  Consumer Durables & Apparel - 5.1%
14,199 Cavco Industries, Inc.* 5,666,253
64,571 Century Communities, Inc. 6,231,101
33,826 Crocs, Inc.* 4,864,179
44,666 PVH Corp. 6,280,486
113,609 SharkNinja, Inc. 7,076,705
43,917 Smith Douglas Homes Corp.* 1,304,335
281,479 VF Corp. 4,317,888
126,594 YETI Holdings, Inc.* 4,880,199
      40,621,146
  Consumer Services - 2.9%
20,927 Duolingo, Inc.* 4,616,078
359,811 European Wax Center, Inc. Class A* 4,670,347
23,290 Texas Roadhouse, Inc. 3,597,606
8,456 Wingstop, Inc. 3,098,278
91,701 Wyndham Hotels & Resorts, Inc. 7,038,052
      23,020,361
  Energy - 4.5%
86,617 Cactus, Inc. Class A 4,338,646
29,606 Chord Energy Corp. 5,276,974
30,351 Gulfport Energy Corp.* 4,859,802
Shares or Principal Amount   Market Value†
COMMON STOCKS - 99.2% - (continued)
  Energy - 4.5% - (continued)
  106,689 Helmerich & Payne, Inc. $   4,487,339
   76,065 Magnolia Oil & Gas Corp. Class A    1,973,887
  122,526 SM Energy Co.    6,107,921
   78,103 Weatherford International PLC*   9,014,648
      36,059,217
  Equity Real Estate Investment Trusts (REITs) - 1.5%
175,950 Phillips Edison & Co., Inc. REIT 6,311,327
46,799 Ryman Hospitality Properties, Inc. REIT 5,410,432
      11,721,759
  Financial Services - 3.8%
125,491 MGIC Investment Corp. 2,805,979
234,779 Remitly Global, Inc.* 4,869,316
184,742 StepStone Group, Inc. Class A 6,602,679
98,986 Stifel Financial Corp. 7,737,736
33,924 WEX, Inc.* 8,057,968
      30,073,678
  Food, Beverage & Tobacco - 1.1%
78,404 Freshpet, Inc.* 9,083,887
  Health Care Equipment & Services - 8.7%
121,958 AtriCure, Inc.* 3,709,962
113,615 Encompass Health Corp. 9,382,327
87,789 Ensign Group, Inc. 10,922,707
114,752 Haemonetics Corp.* 9,794,083
102,051 HealthEquity, Inc.* 8,330,423
21,766 Inspire Medical Systems, Inc.* 4,675,119
51,915 iRhythm Technologies, Inc.* 6,022,140
206,142 Option Care Health, Inc.* 6,914,003
29,622 QuidelOrtho Corp.* 1,420,079
170,820 RadNet, Inc.* 8,312,101
      69,482,944
  Household & Personal Products - 2.1%
77,564 BellRing Brands, Inc.* 4,578,603
62,047 elf Beauty, Inc.* 12,163,073
      16,741,676
  Insurance - 0.6%
42,521 Selective Insurance Group, Inc. 4,642,018
  Materials - 4.0%
534,253 Arcadium Lithium PLC* 2,302,631
193,701 Axalta Coating Systems Ltd.* 6,661,377
116,092 Cabot Corp. 10,703,682
83,504 FMC Corp. 5,319,205
84,952 Louisiana-Pacific Corp. 7,128,322
      32,115,217
  Media & Entertainment - 1.0%
521,404 Eventbrite, Inc. Class A* 2,857,294
309,746 ZoomInfo Technologies, Inc.* 4,965,228
      7,822,522
  Pharmaceuticals, Biotechnology & Life Sciences - 12.7%
105,934 Akero Therapeutics, Inc.* 2,675,893
244,993 Alkermes PLC* 6,631,961
260,176 Amicus Therapeutics, Inc.* 3,064,873
54,823 Apogee Therapeutics, Inc.*(1) 3,642,988
47,275 Arcturus Therapeutics Holdings, Inc.* 1,596,477
46,538 Avidity Biosciences, Inc.* 1,187,650
53,276 Axsome Therapeutics, Inc.* 4,251,425
63,309 Blueprint Medicines Corp.* 6,005,492
49,073 Boundless Bio, Inc.* 785,167
68,649 Bridgebio Pharma, Inc.* 2,122,627
79,902 Cabaletta Bio, Inc.* 1,363,128
99,760 Celldex Therapeutics, Inc.* 4,186,927
106,617 Crinetics Pharmaceuticals, Inc.* 4,990,742
317,959 Cytek Biosciences, Inc.* 2,133,505
 

27

Hartford Small Cap Growth HLS Fund††
Schedule of Investments – (continued)
March 31, 2024  (Unaudited) 

Shares or Principal Amount   Market Value†
COMMON STOCKS - 99.2% - (continued)
  Pharmaceuticals, Biotechnology & Life Sciences - 12.7% -
(continued)
   80,265 Cytokinetics, Inc.* $   5,627,379
  112,132 Denali Therapeutics, Inc.*    2,300,949
1,140,777 Geron Corp.*    3,764,564
   37,397 Intellia Therapeutics, Inc.*    1,028,792
   96,697 Intra-Cellular Therapies, Inc.*    6,691,432
   78,830 Ionis Pharmaceuticals, Inc.*    3,417,281
71,036 Kymera Therapeutics, Inc.* 2,855,647
36,103 Kyverna Therapeutics, Inc.*(1) 896,799
22,331 MoonLake Immunotherapeutics*(1) 1,121,686
68,745 Morphic Holding, Inc.* 2,419,824
16,014 Nuvalent, Inc. Class A* 1,202,491
56,603 Prothena Corp. PLC* 1,402,056
167,241 REVOLUTION Medicines, Inc.* 5,390,177
139,015 Rocket Pharmaceuticals, Inc.* 3,745,064
45,254 Structure Therapeutics, Inc. ADR* 1,939,586
67,174 Ultragenyx Pharmaceutical, Inc.* 3,136,354
113,065 Vaxcyte, Inc.* 7,723,470
101,325 Veracyte, Inc.* 2,245,362
      101,547,768
  Semiconductors & Semiconductor Equipment - 4.7%
15,872 Axcelis Technologies, Inc.* 1,770,046
30,000 Cirrus Logic, Inc.* 2,776,800
144,211 Credo Technology Group Holding Ltd.* 3,055,831
75,016 FormFactor, Inc.* 3,422,980
52,515 MKS Instruments, Inc. 6,984,495
37,979 Onto Innovation, Inc.* 6,877,237
72,520 Power Integrations, Inc. 5,188,806
77,801 Rambus, Inc.* 4,808,880
98,743 SMART Global Holdings, Inc.* 2,598,916
      37,483,991
  Software & Services - 14.0%
65,671 Agilysys, Inc.* 5,533,438
86,462 Alarm.com Holdings, Inc.* 6,265,901
71,784 Altair Engineering, Inc. Class A* 6,184,192
30,809 Appfolio, Inc. Class A* 7,601,813
103,376 Blackbaud, Inc.* 7,664,297
59,685 Braze, Inc. Class A* 2,644,046
324,021 CCC Intelligent Solutions Holdings, Inc.* 3,875,291
87,069 DoubleVerify Holdings, Inc.* 3,061,346
40,599 Five9, Inc.* 2,521,604
268,777 Grid Dynamics Holdings, Inc.* 3,303,269
43,692 Guidewire Software, Inc.* 5,099,293
131,027 Intapp, Inc.* 4,494,226
221,058 Jamf Holding Corp.* 4,056,414
4,810 MicroStrategy, Inc. Class A* 8,198,934
65,412 Perficient, Inc.* 3,682,041
167,426 PowerSchool Holdings, Inc. Class A* 3,564,500
46,031 Rapid7, Inc.* 2,257,360
141,231 Sprinklr, Inc. Class A* 1,732,904
97,083 Sprout Social, Inc. Class A* 5,796,826
30,120 SPS Commerce, Inc.* 5,569,188
205,604 Squarespace, Inc. Class A* 7,492,210
107,629 Varonis Systems, Inc.* 5,076,860
148,126 Verint Systems, Inc.* 4,910,377
16,954 Workiva, Inc.* 1,437,699
      112,024,029
  Technology Hardware & Equipment - 6.0%
55,301 Fabrinet* 10,452,995
45,252 Insight Enterprises, Inc.* 8,395,151
10,901 Littelfuse, Inc. 2,641,858
Shares or Principal Amount   Market Value†
COMMON STOCKS - 99.2% - (continued)
  Technology Hardware & Equipment - 6.0% - (continued)
   30,942 Novanta, Inc.* $   5,407,733
   20,436 Super Micro Computer, Inc.*   20,640,973
      47,538,710
  Total Common Stocks
(cost $580,195,289)
  $ 791,121,953
SHORT-TERM INVESTMENTS - 0.7%
  Repurchase Agreements - 0.2%
$  1,481,415 Fixed Income Clearing Corp. Repurchase Agreement dated 03/28/2024 at 5.32%, due on 04/01/2024 with a maturity value of $1,482,291; collateralized by U.S. Treasury Bond at 4.75%, maturing 02/15/2041, with a market value of $1,511,105 $   1,481,415
  Securities Lending Collateral - 0.5%
647,801 Goldman Sachs Financial Square Funds, Government Fund, Institutional Class, 5.21%(2) 647,801
2,159,336 HSBC U.S. Government Money Market Fund, Institutional Class, 5.24%(2) 2,159,336
647,801 Invesco Government & Agency Portfolio, Institutional Class, 5.24%(2) 647,801
647,801 Morgan Stanley Institutional Liquidity Funds, Government Portfolio, Institutional Class, 5.22%(2) 647,801
      4,102,739
  Total Short-Term Investments
(cost $5,584,154)
$ 5,584,154
  Total Investments
(cost $585,779,443)
99.9% $ 796,706,107
  Other Assets and Liabilities 0.1% 601,206
  Total Net Assets 100.0% $ 797,307,313
Note: Percentage of investments as shown is the ratio of the total market value to total net assets.
  Equity industry classifications used in this report are the Global Industry Classification Standard, which was developed by and is the exclusive property and service mark of MSCI, Inc. and Standard & Poor’s.
  For Fund compliance purposes, the Fund may not use the same classification system. These classifications are used for financial reporting purposes.
  See “Glossary” for abbreviation descriptions.
    
* Non-income producing.
(1) Represents entire or partial securities on loan.
(2) Current yield as of period end.
For information regarding the Fund’s significant accounting policies, please refer to the Fund’s most recent shareholder report.
†† Effective April 29, 2024, Hartford Small Cap Growth HLS Fund, a series of the Hartford HLS Series Fund II, Inc., was reorganized into Hartford HLS Series Fund, Inc.
 

28

Hartford Small Cap Growth HLS Fund††
Schedule of Investments – (continued)
March 31, 2024  (Unaudited) 

Fair Value Summary
The following is a summary of the fair valuations according to the inputs used as of March 31, 2024 in valuing the Fund’s investments.
Description   Total   Level 1   Level 2   Level 3(1)
Assets                
Common Stocks                
Automobiles & Components   $ 16,406,254   $ 16,406,254   $ —   $ —
Banks   8,969,350   8,969,350    
Capital Goods   121,049,200   121,049,200    
Commercial & Professional Services   44,421,685   44,421,685    
Consumer Discretionary Distribution & Retail   20,296,541   20,296,541    
Consumer Durables & Apparel   40,621,146   40,621,146    
Consumer Services   23,020,361   23,020,361    
Energy   36,059,217   36,059,217    
Equity Real Estate Investment Trusts (REITs)   11,721,759   11,721,759    
Financial Services   30,073,678   30,073,678    
Food, Beverage & Tobacco   9,083,887   9,083,887    
Health Care Equipment & Services   69,482,944   69,482,944    
Household & Personal Products   16,741,676   16,741,676    
Insurance   4,642,018   4,642,018    
Materials   32,115,217   32,115,217    
Media & Entertainment   7,822,522   7,822,522    
Pharmaceuticals, Biotechnology & Life Sciences   101,547,768   101,547,768    
Semiconductors & Semiconductor Equipment   37,483,991   37,483,991    
Software & Services   112,024,029   112,024,029    
Technology Hardware & Equipment   47,538,710   47,538,710    
Short-Term Investments   5,584,154   4,102,739   1,481,415  
Total   $ 796,706,107   $ 795,224,692   $ 1,481,415   $ —
    
(1) For the period ended March 31, 2024, there were no transfers in and out of Level 3.

29

Hartford Small Company HLS Fund
Schedule of Investments
March 31, 2024  (Unaudited) 

Shares or Principal Amount   Market Value†
COMMON STOCKS - 99.0%
  Automobiles & Components - 0.8%
   28,957 Visteon Corp.* $   3,405,633
  Banks - 1.0%
  148,307 Cadence Bank   4,300,903
  Capital Goods - 17.9%
   16,536 Acuity Brands, Inc.    4,443,719
   94,670 Ameresco, Inc. Class A*    2,284,387
60,542 Applied Industrial Technologies, Inc. 11,960,072
219,148 AZEK Co., Inc.* 11,005,613
27,224 Comfort Systems USA, Inc. 8,649,337
31,028 Curtiss-Wright Corp. 7,941,306
232,966 Fluor Corp.* 9,849,803
25,981 Middleby Corp.* 4,177,485
71,811 NEXTracker, Inc. Class A* 4,040,805
98,479 Rush Enterprises, Inc. Class A 5,270,596
267,268 Shoals Technologies Group, Inc. Class A* 2,988,056
216,922 Zurn Elkay Water Solutions Corp. 7,260,380
      79,871,559
  Commercial & Professional Services - 7.3%
139,650 Aris Water Solutions, Inc. Class A 1,976,047
52,830 Casella Waste Systems, Inc. Class A* 5,223,302
238,116 ExlService Holdings, Inc.* 7,572,089
52,338 TriNet Group, Inc. 6,934,262
443,354 Verra Mobility Corp.* 11,070,549
      32,776,249
  Consumer Discretionary Distribution & Retail - 2.9%
30,407 Abercrombie & Fitch Co. Class A* 3,810,909
36,915 Boot Barn Holdings, Inc.* 3,512,462
97,275 Global-e Online Ltd.* 3,535,946
43,094 Tory Burch LLC(1)(2) 2,161,597
      13,020,914
  Consumer Durables & Apparel - 3.4%
28,427 Crocs, Inc.* 4,087,803
90,846 Skyline Champion Corp.* 7,722,818
82,447 YETI Holdings, Inc.* 3,178,332
      14,988,953
  Consumer Services - 5.4%
81,878 Boyd Gaming Corp. 5,512,027
9,397 Duolingo, Inc.* 2,072,790
236,955 European Wax Center, Inc. Class A* 3,075,676
530,550 Genius Sports Ltd.* 3,029,440
106,915 H&R Block, Inc. 5,250,596
13,819 Wingstop, Inc. 5,063,282
      24,003,811
  Energy - 5.3%
122,053 Cactus, Inc. Class A 6,113,635
29,863 Chord Energy Corp. 5,322,781
86,349 Seadrill Ltd.* 4,343,355
207,192 Viper Energy, Inc. 7,968,604
      23,748,375
  Equity Real Estate Investment Trusts (REITs) - 2.9%
150,506 Phillips Edison & Co., Inc. REIT 5,398,650
65,859 Ryman Hospitality Properties, Inc. REIT 7,613,959
      13,012,609
  Financial Services - 2.2%
167,650 Hannon Armstrong Sustainable Infrastructure Capital, Inc. REIT(3) 4,761,260
51,394 PJT Partners, Inc. Class A 4,844,398
      9,605,658
  Food, Beverage & Tobacco - 2.2%
119,569 Celsius Holdings, Inc.* 9,914,662
Shares or Principal Amount   Market Value†
COMMON STOCKS - 99.0% - (continued)
  Health Care Equipment & Services - 9.3%
   51,407 Acadia Healthcare Co., Inc.* $   4,072,463
   34,677 Glaukos Corp.*    3,269,694
   71,773 Haemonetics Corp.*    6,125,826
   55,030 HealthEquity, Inc.*    4,492,099
   69,952 Inari Medical, Inc.*    3,356,297
   23,989 Inspire Medical Systems, Inc.*    5,152,597
184,109 PROCEPT BioRobotics Corp.* 9,098,667
18,632 Shockwave Medical, Inc.* 6,067,138
      41,634,781
  Household & Personal Products - 3.0%
67,283 elf Beauty, Inc.* 13,189,487
  Insurance - 1.1%
374,027 SiriusPoint Ltd.* 4,753,883
  Materials - 2.8%
549,975 Arcadium Lithium PLC*(3) 2,370,392
109,192 Cabot Corp. 10,067,503
      12,437,895
  Media & Entertainment - 3.2%
131,473 Cargurus, Inc.* 3,034,397
123,283 Criteo SA ADR* 4,323,535
589,824 Eventbrite, Inc. Class A* 3,232,235
60,231 Ziff Davis, Inc.* 3,796,962
      14,387,129
  Pharmaceuticals, Biotechnology & Life Sciences - 12.2%
71,988 Akero Therapeutics, Inc.* 1,818,417
148,967 Amicus Therapeutics, Inc.* 1,754,831
32,034 Apellis Pharmaceuticals, Inc.* 1,882,958
44,040 Apogee Therapeutics, Inc.* 2,926,458
34,884 Blueprint Medicines Corp.* 3,309,096
79,303 Celldex Therapeutics, Inc.* 3,328,347
44,240 Crinetics Pharmaceuticals, Inc.* 2,070,874
49,640 Cytokinetics, Inc.* 3,480,260
161,740 Immatics NV*(3) 1,699,887
36,206 Immunocore Holdings PLC ADR* 2,353,390
40,324 Intellia Therapeutics, Inc.* 1,109,313
49,647 Intra-Cellular Therapies, Inc.* 3,435,572
39,148 Kymera Therapeutics, Inc.* 1,573,750
57,623 Longboard Pharmaceuticals, Inc.*(3) 1,244,657
51,585 Merus NV* 2,322,873
36,891 Morphic Holding, Inc.* 1,298,563
26,011 Prothena Corp. PLC* 644,292
49,375 PTC Therapeutics, Inc.* 1,436,319
113,307 REVOLUTION Medicines, Inc.* 3,651,885
134,333 Rocket Pharmaceuticals, Inc.* 3,618,931
26,339 Structure Therapeutics, Inc. ADR* 1,128,890
107,200 Syndax Pharmaceuticals, Inc.* 2,551,360
55,676 Vaxcyte, Inc.* 3,803,228
107,719 Verona Pharma PLC ADR* 1,733,199
      54,177,350
  Semiconductors & Semiconductor Equipment - 2.7%
31,144 MKS Instruments, Inc. 4,142,152
24,286 SiTime Corp.* 2,264,184
39,050 Synaptics, Inc.* 3,809,718
12,197 Universal Display Corp. 2,054,584
      12,270,638
  Software & Services - 10.6%
223,926 Clearwater Analytics Holdings, Inc. Class A* 3,961,251
27,068 CyberArk Software Ltd.* 7,190,073
187,978 DoubleVerify Holdings, Inc.* 6,609,306
67,542 Five9, Inc.* 4,195,034
61,344 Intapp, Inc.* 2,104,099
244,107 Jamf Holding Corp.* 4,479,363
18,852 Manhattan Associates, Inc.* 4,717,336
 

30

Hartford Small Company HLS Fund
Schedule of Investments – (continued)
March 31, 2024  (Unaudited) 

Shares or Principal Amount   Market Value†
COMMON STOCKS - 99.0% - (continued)
  Software & Services - 10.6% - (continued)
  287,944 PowerSchool Holdings, Inc. Class A* $   6,130,328
   83,754 Sprout Social, Inc. Class A*    5,000,951
   80,506 Squarespace, Inc. Class A*   2,933,639
      47,321,380
  Technology Hardware & Equipment - 2.8%
   48,580 Calix, Inc.*    1,610,913
34,845 ePlus, Inc.* 2,736,726
11,787 Fabrinet* 2,227,979
33,603 Novanta, Inc.* 5,872,796
      12,448,414
  Total Common Stocks
(cost $348,029,461)
  $ 441,270,283
EXCHANGE-TRADED FUNDS - 0.3%
  Other Investment Pools & Funds - 0.3%
5,285 iShares Russell 2000 Growth ETF (3) $ 1,431,178
  Total Exchange-Traded Funds
(cost $1,355,289)
  $ 1,431,178
  Total Long-Term Investments
(cost $349,384,750)
  $ 442,701,461
SHORT-TERM INVESTMENTS - 2.2%
  Repurchase Agreements - 0.2%
$  692,960 Fixed Income Clearing Corp. Repurchase Agreement dated 03/28/2024 at 5.32%, due on 04/01/2024 with a maturity value of $693,370; collateralized by U.S. Treasury Note at 4.25%, maturing 03/15/2027, with a market value of $706,850 $ 692,960
  Securities Lending Collateral - 2.0%
1,409,567 Goldman Sachs Financial Square Funds, Government Fund, Institutional Class, 5.21%(4) 1,409,567
4,698,557 HSBC U.S. Government Money Market Fund, Institutional Class, 5.24%(4) 4,698,557
1,409,567 Invesco Government & Agency Portfolio, Institutional Class, 5.24%(4) 1,409,567
1,409,567 Morgan Stanley Institutional Liquidity Funds, Government Portfolio, Institutional Class, 5.22%(4) 1,409,567
      8,927,258
  Total Short-Term Investments
(cost $9,620,218)
$ 9,620,218
  Total Investments
(cost $359,004,968)
101.5% $ 452,321,679
  Other Assets and Liabilities (1.5)% (6,613,807)
  Total Net Assets 100.0% $ 445,707,872
Note: Percentage of investments as shown is the ratio of the total market value to total net assets.
  Equity industry classifications used in this report are the Global Industry Classification Standard, which was developed by and is the exclusive property and service mark of MSCI, Inc. and Standard & Poor’s.
  For Fund compliance purposes, the Fund may not use the same classification system. These classifications are used for financial reporting purposes.
  See “Glossary” for abbreviation descriptions.
    
* Non-income producing.
(1) Investment in securities not registered under the Securities Act of 1933 (excluding securities acquired pursuant to Rule 144A and Regulation S). At the end of the period, the value of such restricted securities amounted to $2,161,597 or 0.5% of net assets.
    
Period
Acquired
  Security Name   Shares/
Par Value
  Total Cost   Market Value
11/2013   Tory Burch LLC   43,094   $ 3,377,559   $ 2,161,597
    
(2) Investment valued using significant unobservable inputs.
(3) Represents entire or partial securities on loan.
(4) Current yield as of period end.
For information regarding the Fund’s significant accounting policies, please refer to the Fund’s most recent shareholder report.
 

31

Hartford Small Company HLS Fund
Schedule of Investments – (continued)
March 31, 2024  (Unaudited) 

Fair Value Summary
The following is a summary of the fair valuations according to the inputs used as of March 31, 2024 in valuing the Fund’s investments.
Description   Total   Level 1   Level 2   Level 3(1)
Assets                
Common Stocks                
Automobiles & Components   $ 3,405,633   $ 3,405,633   $ —   $ —
Banks   4,300,903   4,300,903    
Capital Goods   79,871,559   79,871,559    
Commercial & Professional Services   32,776,249   32,776,249    
Consumer Discretionary Distribution & Retail   13,020,914   10,859,317     2,161,597
Consumer Durables & Apparel   14,988,953   14,988,953    
Consumer Services   24,003,811   24,003,811    
Energy   23,748,375   23,748,375    
Equity Real Estate Investment Trusts (REITs)   13,012,609   13,012,609    
Financial Services   9,605,658   9,605,658    
Food, Beverage & Tobacco   9,914,662   9,914,662    
Health Care Equipment & Services   41,634,781   41,634,781    
Household & Personal Products   13,189,487   13,189,487    
Insurance   4,753,883   4,753,883    
Materials   12,437,895   12,437,895    
Media & Entertainment   14,387,129   14,387,129    
Pharmaceuticals, Biotechnology & Life Sciences   54,177,350   54,177,350    
Semiconductors & Semiconductor Equipment   12,270,638   12,270,638    
Software & Services   47,321,380   47,321,380    
Technology Hardware & Equipment   12,448,414   12,448,414    
Exchange-Traded Funds   1,431,178   1,431,178    
Short-Term Investments   9,620,218   8,927,258   692,960  
Total   $ 452,321,679   $ 449,467,122   $ 692,960   $ 2,161,597
    
(1) For the period ended March 31, 2024, there were no transfers in and out of Level 3.
Level 3 investments at the beginning and/or end of the period in relation to net assets were not significant and accordingly, a reconciliation of Level 3 assets for the period ended March 31, 2024 is not presented.

32

Hartford Stock HLS Fund
Schedule of Investments
March 31, 2024  (Unaudited) 

Shares or Principal Amount   Market Value†
COMMON STOCKS - 96.6%
  Banks - 1.0%
   89,006 PNC Financial Services Group, Inc. $    14,383,370
  Capital Goods - 11.3%
   31,538 Deere & Co.     12,953,918
  104,126 General Dynamics Corp.     29,414,554
  193,460 Honeywell International, Inc.     39,707,665
   40,569 Lockheed Martin Corp.     18,453,621
79,214 Northrop Grumman Corp. 37,916,573
170,558 RTX Corp. 16,634,522
      155,080,853
  Commercial & Professional Services - 2.1%
113,704 Automatic Data Processing, Inc. 28,396,437
  Consumer Discretionary Distribution & Retail - 4.9%
70,145 Home Depot, Inc. 26,907,622
400,326 TJX Cos., Inc. 40,601,063
      67,508,685
  Consumer Durables & Apparel - 2.2%
326,699 NIKE, Inc. Class B 30,703,172
  Consumer Services - 2.6%
124,973 McDonald's Corp. 35,236,137
  Consumer Staples Distribution & Retail - 1.9%
35,127 Costco Wholesale Corp. 25,735,094
  Equity Real Estate Investment Trusts (REITs) - 2.9%
114,195 American Tower Corp. REIT 22,563,790
62,053 Public Storage REIT 17,999,093
      40,562,883
  Financial Services - 9.0%
180,585 American Express Co. 41,117,399
83,018 Mastercard, Inc. Class A 39,978,978
153,220 Visa, Inc. Class A 42,760,637
      123,857,014
  Food, Beverage & Tobacco - 7.1%
459,324 Coca-Cola Co. 28,101,442
899,508 Diageo PLC 33,283,785
204,892 PepsiCo, Inc. 35,858,149
      97,243,376
  Health Care Equipment & Services - 11.0%
295,869 Abbott Laboratories 33,628,470
282,133 Medtronic PLC 24,587,891
139,932 Stryker Corp. 50,077,465
88,517 UnitedHealth Group, Inc. 43,789,360
      152,083,186
  Household & Personal Products - 5.6%
457,041 Colgate-Palmolive Co. 41,156,542
225,513 Procter & Gamble Co. 36,589,484
      77,746,026
  Insurance - 5.0%
118,925 Chubb Ltd. 30,817,035
182,829 Marsh & McLennan Cos., Inc. 37,659,118
      68,476,153
  Materials - 5.5%
140,683 Ecolab, Inc. 32,483,705
92,313 Linde PLC 42,862,772
      75,346,477
Shares or Principal Amount   Market Value†
COMMON STOCKS - 96.6% - (continued)
  Pharmaceuticals, Biotechnology & Life Sciences - 7.5%
  177,762 Danaher Corp. $    44,390,727
  192,618 Johnson & Johnson     30,470,241
  159,381 Merck & Co., Inc.     21,030,323
  245,777 Pfizer, Inc.     6,820,312
      102,711,603
  Semiconductors & Semiconductor Equipment - 2.4%
194,076 Texas Instruments, Inc. 33,809,980
  Software & Services - 8.3%
110,965 Accenture PLC Class A 38,461,579
22,818 Intuit, Inc. 14,831,700
145,018 Microsoft Corp. 61,011,973
      114,305,252
  Transportation - 6.3%
257,806 Canadian National Railway Co. 33,948,438
127,268 Union Pacific Corp. 31,299,019
147,395 United Parcel Service, Inc. Class B 21,907,319
      87,154,776
  Total Common Stocks
(cost $661,088,723)
  $ 1,330,340,474
SHORT-TERM INVESTMENTS - 0.7%
  Repurchase Agreements - 0.7%
$   9,393,716 Fixed Income Clearing Corp. Repurchase Agreement dated 03/28/2024 at 5.32%, due on 04/01/2024 with a maturity value of $9,399,269; collateralized by U.S. Treasury Note at 2.63%-3.75%, maturing 05/31/2027-12/31/2030, with a market value of $9,581,621 $ 9,393,716
  Total Short-Term Investments
(cost $9,393,716)
$ 9,393,716
  Total Investments
(cost $670,482,439)
97.3% $ 1,339,734,190
  Other Assets and Liabilities 2.7% 37,033,929
  Total Net Assets 100.0% $ 1,376,768,119
Note: Percentage of investments as shown is the ratio of the total market value to total net assets.
  Prices of foreign equities that are principally traded on certain foreign markets will generally be adjusted daily pursuant to a fair value pricing service approved by Hartford Funds Management Company, LLC in order to reflect an adjustment for factors occurring after the close of certain foreign markets but before the close of the New York Stock Exchange.
  Equity industry classifications used in this report are the Global Industry Classification Standard, which was developed by and is the exclusive property and service mark of MSCI, Inc. and Standard & Poor’s.
  For Fund compliance purposes, the Fund may not use the same classification system. These classifications are used for financial reporting purposes.
  See “Glossary” for abbreviation descriptions.
 
For information regarding the Fund’s significant accounting policies, please refer to the Fund’s most recent shareholder report.

33

Hartford Stock HLS Fund
Schedule of Investments – (continued)
March 31, 2024  (Unaudited) 

Fair Value Summary
The following is a summary of the fair valuations according to the inputs used as of March 31, 2024 in valuing the Fund’s investments.
Description   Total   Level 1   Level 2   Level 3(1)
Assets                
Common Stocks                
Banks   $ 14,383,370   $ 14,383,370   $ —   $ —
Capital Goods   155,080,853   155,080,853    
Commercial & Professional Services   28,396,437   28,396,437    
Consumer Discretionary Distribution & Retail   67,508,685   67,508,685    
Consumer Durables & Apparel   30,703,172   30,703,172    
Consumer Services   35,236,137   35,236,137    
Consumer Staples Distribution & Retail   25,735,094   25,735,094    
Equity Real Estate Investment Trusts (REITs)   40,562,883   40,562,883    
Financial Services   123,857,014   123,857,014    
Food, Beverage & Tobacco   97,243,376   63,959,591   33,283,785  
Health Care Equipment & Services   152,083,186   152,083,186    
Household & Personal Products   77,746,026   77,746,026    
Insurance   68,476,153   68,476,153    
Materials   75,346,477   75,346,477    
Pharmaceuticals, Biotechnology & Life Sciences   102,711,603   102,711,603    
Semiconductors & Semiconductor Equipment   33,809,980   33,809,980    
Software & Services   114,305,252   114,305,252    
Transportation   87,154,776   87,154,776    
Short-Term Investments   9,393,716     9,393,716  
Total   $ 1,339,734,190   $ 1,297,056,689   $ 42,677,501   $ —
    
(1) For the period ended March 31, 2024, there were no transfers in and out of Level 3.

34

Hartford Total Return Bond HLS Fund
Schedule of Investments
March 31, 2024  (Unaudited) 

Shares or Principal Amount   Market Value†
ASSET & COMMERCIAL MORTGAGE-BACKED SECURITIES - 20.6%
  Asset-Backed - Automobile - 2.5%
$    1,315,000 American Credit Acceptance Receivables Trust 6.09%, 11/12/2027(1) $     1,318,461
  1,931,829 AmeriCredit Automobile Receivables Trust 2.58%, 09/18/2025      1,928,719
  2,542,845 ARI Fleet Lease Trust 5.41%, 02/17/2032(1)      2,536,822
             Avis Budget Rental Car Funding AESOP LLC  
  1,220,000 5.36%, 06/20/2030(1)      1,226,780
    645,000 5.58%, 12/20/2030(1)        643,757
  1,510,000 5.90%, 08/21/2028(1)      1,537,684
3,315,413 Carvana Auto Receivables Trust 4.13%, 04/12/2027 3,270,868
2,102,735 Chesapeake Funding II LLC 5.65%, 05/15/2035(1) 2,105,047
2,276,020 CPS Auto Receivables Trust 5.91%, 08/16/2027(1) 2,277,253
1,470,000 Credit Acceptance Auto Loan Trust 5.68%, 03/15/2034(1) 1,475,788
  DT Auto Owner Trust  
1,030,000 5.19%, 10/16/2028(1) 1,023,585
1,135,000 5.41%, 02/15/2029(1) 1,128,868
  Enterprise Fleet Financing LLC  
630,000 5.16%, 09/20/2030(1) 628,642
1,580,000 5.42%, 10/22/2029(1) 1,585,932
  Exeter Automobile Receivables Trust  
764,060 2.58%, 09/15/2025(1) 759,808
380,213 2.73%, 12/15/2025(1) 376,642
1,118,553 4.57%, 01/15/2027 1,115,095
649,000 6.03%, 08/16/2027 649,393
  Flagship Credit Auto Trust  
2,031,000 4.69%, 07/17/2028(1) 1,999,422
570,000 5.05%, 01/18/2028(1) 564,206
365,000 GLS Auto Receivables Issuer Trust 4.92%, 01/15/2027(1) 362,482
3,980,000 Hertz Vehicle Financing III LLC 5.94%, 02/25/2028(1) 4,040,288
1,253,849 Prestige Auto Receivables Trust 1.62%, 11/16/2026(1) 1,243,062
  Santander Drive Auto Receivables Trust  
1,210,000 4.98%, 02/15/2028 1,201,698
2,000,000 5.61%, 07/17/2028 2,004,916
985,000 SFS Auto Receivables Securitization Trust 5.71%, 01/22/2030(1) 995,454
392,103 Tricolor Auto Securitization Trust 6.48%, 08/17/2026(1) 392,176
  Westlake Automobile Receivables Trust  
1,302,242 1.65%, 02/17/2026(1) 1,288,868
2,285,000 4.31%, 09/15/2027(1) 2,264,993
655,000 5.41%, 01/18/2028(1) 653,308
1,090,000 World Omni Auto Receivables Trust 5.03%, 05/15/2029 1,083,670
      43,683,687
  Asset-Backed - Home Equity - 0.2%
  GSAA Home Equity Trust  
4,254,679 5.60%, 02/25/2037, 1 mo. USD Term SOFR + 0.27%(2) 1,183,929
1,890,945 5.80%, 11/25/2036, 1 mo. USD Term SOFR + 0.47%(2) 443,712
484,892 5.98%, 06/25/2036(3) 123,545
1,171,771 Morgan Stanley Mortgage Loan Trust 5.78%, 11/25/2036, 1 mo. USD Term SOFR + 0.45%(2) 331,152
Shares or Principal Amount   Market Value†
ASSET & COMMERCIAL MORTGAGE-BACKED SECURITIES - 20.6% - (continued)
  Asset-Backed - Home Equity - 0.2% - (continued)
             Soundview Home Loan Trust  
$    1,531,972 5.62%, 07/25/2037, 1 mo. USD Term SOFR + 0.29%(2) $     1,345,715
     318,162 5.94%, 11/25/2036, 1 mo. USD Term SOFR + 0.61%(2)       299,646
      3,727,699
  Asset-Backed - Student Loan - 0.2%
             Navient Private Education Refi Loan Trust  
  1,749,702 1.11%, 02/18/2070(1)      1,494,637
   2,210,226 5.51%, 10/15/2071(1)     2,220,136
      3,714,773
  Commercial Mortgage-Backed Securities - 3.6%
  BBCMS Mortgage Trust  
23,918,514 1.45%, 02/15/2050(3)(4) 790,562
7,957,529 1.63%, 02/15/2057(3)(4) 871,984
925,000 3.66%, 04/15/2055(3) 835,227
1,000,000 4.60%, 06/15/2055(3) 971,077
1,490,000 5.42%, 02/15/2057 1,534,023
1,300,000 5.44%, 12/15/2055(3) 1,338,224
425,000 5.71%, 12/15/2055(3) 444,910
  Benchmark Mortgage Trust  
17,901,537 0.46%, 07/15/2051(3)(4) 252,643
8,200,617 0.52%, 01/15/2051(3)(4) 126,694
8,565,895 1.02%, 08/15/2052(3)(4) 284,405
21,582,644 1.19%, 03/15/2062(3)(4) 1,076,553
10,349,318 1.51%, 01/15/2054(3)(4) 797,884
2,677,647 1.78%, 07/15/2053(3)(4) 167,139
1,535,000 6.05%, 12/15/2056 1,648,184
2,335,000 BPR Trust 8.56%, 08/15/2039, 1 mo. USD Term SOFR + 3.23%(1)(2) 2,340,755
  BX Trust  
4,321,459 7.78%, 08/15/2039, 1 mo. USD Term SOFR + 2.45%(1)(2) 4,348,442
328,000 8.29%, 03/15/2026, 1 mo. USD Term SOFR + 3.04%(1)(2) 327,795
2,920,000 CAMB Commercial Mortgage Trust 8.17%, 12/15/2037, 1 mo. USD Term SOFR + 2.85%(1)(2) 2,898,100
3,344,985 CD Mortgage Trust 2.46%, 08/10/2049 3,116,834
  Citigroup Commercial Mortgage Trust  
13,969,586 0.88%, 07/10/2047(3)(4) 3,893
19,740,316 1.01%, 04/10/2048(3)(4) 136,072
2,357,000 4.06%, 11/15/2049(3) 1,920,291
  Commercial Mortgage Trust  
841,000 2.82%, 01/10/2039(1) 759,585
55,051 2.85%, 10/15/2045 50,518
860,000 3.90%, 01/10/2039(1)(3) 742,343
9,659 Credit Suisse First Boston Mortgage Securities Corp. 4.88%, 04/15/2037 9,538
  CSAIL Commercial Mortgage Trust  
51,623,287 0.71%, 06/15/2057(3)(4) 205,554
2,161,204 0.89%, 11/15/2048(3)(4) 24,115
6,860,296 1.86%, 01/15/2049(3)(4) 184,769
4,232,592 DBJPM Mortgage Trust 1.70%, 09/15/2053(3)(4) 228,635
  DC Trust  
760,000 5.73%, 04/13/2028(1)(3) 762,867
380,000 7.04%, 04/13/2028(1)(3) 380,870
2,360,000 GS Mortgage Securities Corp. II 5.51%, 03/10/2041(1)(3) 2,340,454
4,340,000 GS Mortgage Securities Corp. Trust 2.95%, 11/05/2034(1) 3,220,382
  GS Mortgage Securities Trust  
2,629,451 0.37%, 07/10/2046(3)(4) 26
687,840 1.70%, 08/10/2044(1)(3)(4) 5
2,215,000 4.95%, 04/10/2047(1)(3) 1,731,416
 

35

Hartford Total Return Bond HLS Fund
Schedule of Investments – (continued)
March 31, 2024  (Unaudited) 

Shares or Principal Amount   Market Value†
ASSET & COMMERCIAL MORTGAGE-BACKED SECURITIES - 20.6% - (continued)
  Commercial Mortgage-Backed Securities - 3.6% - (continued)
             JP Morgan Chase Commercial Mortgage Securities Trust  
$    1,367,343 2.73%, 10/15/2045(1)(3) $     1,198,480
  1,400,000 2.81%, 01/16/2037(1)      1,191,295
  1,290,924 3.77%, 12/15/2047(1)(3)        788,657
             JPMBB Commercial Mortgage Securities Trust  
  3,524,082 0.54%, 05/15/2048(3)(4)         14,924
 15,481,680 0.57%, 09/15/2047(3)(4)         13,844
  Morgan Stanley Bank of America Merrill Lynch Trust  
8,402,069 0.95%, 12/15/2047(3)(4) 12,996
1,243,872 0.96%, 10/15/2048(3)(4) 8,711
  Morgan Stanley Capital I Trust  
6,722,830 1.30%, 06/15/2050(3)(4) 170,993
1,460,000 4.94%, 07/15/2049(1)(3) 1,256,332
82,680 5.25%, 10/12/2052(1)(3) 30,607
1,890,000 NJ Trust 6.48%, 01/06/2029(1)(3) 1,954,889
790,000 SFAVE Commercial Mortgage Securities Trust 3.87%, 01/05/2043(1)(3) 610,026
5,410,000 SG Commercial Mortgage Securities Trust 2.63%, 03/15/2037(1) 4,943,756
3,530,000 TYSN Mortgage Trust 6.58%, 12/10/2033(1)(3) 3,691,046
3,252,402 UBS Commercial Mortgage Trust 1.07%, 08/15/2050(3)(4) 90,752
  Wells Fargo Commercial Mortgage Trust  
24,467,669 0.87%, 09/15/2057(3)(4) 241,672
13,393,679 1.06%, 05/15/2048(3)(4) 71,473
3,085,000 2.94%, 10/15/2049 2,906,388
430,000 4.14%, 05/15/2048(3) 369,527
  Wells Fargo NA  
19,806,019 0.59%, 11/15/2062(3)(4) 545,220
9,634,489 0.63%, 11/15/2062(3)(4) 299,106
32,483,076 0.71%, 11/15/2050(3)(4) 677,048
3,667,938 0.76%, 11/15/2054(3)(4) 81,247
17,730,833 0.81%, 09/15/2062(3)(4) 629,304
12,550,506 0.88%, 05/15/2062(3)(4) 454,598
33,760,291 0.88%, 01/15/2063(3)(4) 1,322,441
5,555,104 0.99%, 02/15/2056(3)(4) 348,311
20,533,115 1.76%, 03/15/2063(3)(4) 1,796,450
710,000 WFRBS Commercial Mortgage Trust 5.00%, 06/15/2044(1)(3) 433,316
      63,026,177
  Other Asset-Backed Securities - 6.9%
2,139,739 510 Asset-Backed Trust 2.12%, 06/25/2061(1)(5) 2,077,685
402,415 AASET Trust 3.35%, 01/16/2040(1) 359,520
1,535,000 Affirm Asset Securitization Trust 6.61%, 01/18/2028(1) 1,544,479
2,220,000 Aligned Data Centers Issuer LLC 6.00%, 08/17/2048(1) 2,220,625
59,284 Avant Loans Funding Trust 1.21%, 07/15/2030(1) 59,207
3,285,000 Battalion CLO 18 Ltd. 7.47%, 03/13/2037, 3 mo. USD Term SOFR + 2.20%(1)(2) 3,278,926
2,590,000 Benefit Street Partners CLO XXXI Ltd. 7.67%, 04/25/2036, 3 mo. USD Term SOFR + 2.35%(1)(2) 2,603,590
  CF Hippolyta Issuer LLC  
381,691 1.53%, 03/15/2061(1) 344,132
905,504 1.69%, 07/15/2060(1) 846,612
1,022,869 1.99%, 07/15/2060(1) 879,596
579,438 5.97%, 08/15/2062(1) 565,062
4,175,000 Cirrus Funding Ltd. 4.80%, 01/25/2037(1) 4,086,640
690,000 CNH Equipment Trust 4.77%, 10/15/2030 683,875
Shares or Principal Amount   Market Value†
ASSET & COMMERCIAL MORTGAGE-BACKED SECURITIES - 20.6% - (continued)
  Other Asset-Backed Securities - 6.9% - (continued)
$    4,485,000 Columbia Cent CLO 27 Ltd. 6.78%, 01/25/2035, 3 mo. USD Term SOFR + 1.45%(1)(2) $     4,466,997
  1,150,000 DLLAA LLC 5.64%, 02/22/2028(1)      1,161,695
             Domino's Pizza Master Issuer LLC  
  2,256,200 2.66%, 04/25/2051(1)      2,007,846
  1,392,000 3.67%, 10/25/2049(1)      1,281,080
  3,103,063 4.12%, 07/25/2048(1)      3,018,922
3,085,000 Elmwood CLO 19 Ltd. 7.72%, 10/17/2036, 3 mo. USD Term SOFR + 2.40%(1)(2) 3,113,706
2,155,000 Elmwood CLO 23 Ltd. 7.56%, 04/16/2036, 3 mo. USD Term SOFR + 2.25%(1)(2) 2,166,984
745,596 Fieldstone Mortgage Investment Trust 5.98%, 05/25/2036, 1 mo. USD Term SOFR + 0.65%(2) 525,847
3,267,261 First Franklin Mortgage Loan Trust 5.92%, 04/25/2036, 1 mo. USD Term SOFR + 0.59%(2) 2,950,367
4,840,307 FirstKey Homes Trust 4.25%, 07/17/2039(1) 4,683,867
1,830,000 Golub Capital Partners CLO 68B Ltd. 8.12%, 07/25/2036, 3 mo. USD Term SOFR + 2.80%(1)(2) 1,848,496
2,319,289 GSAMP Trust 5.53%, 01/25/2037, 1 mo. USD Term SOFR + 0.20%(2) 1,364,010
1,390,000 Invesco U.S. CLO Ltd. 7.62%, 04/21/2036, 3 mo. USD Term SOFR + 2.30%(1)(2) 1,393,631
1,725,000 Madison Park Funding LXVII Ltd. 6.83%, 04/25/2037, 3 mo. USD Term SOFR + 1.51%(1)(2) 1,726,185
1,663,242 MFA LLC 5.36%, 03/25/2060(1)(5) 1,635,561
54,246 Morgan Stanley ABS Capital I, Inc. Trust 5.74%, 06/25/2036, 1 mo. USD Term SOFR + 0.41%(2) 45,263
3,150,000 New Economy Assets Phase 1 Sponsor LLC 1.91%, 10/20/2061(1) 2,759,478
308,388 NRZ Excess Spread-Collateralized Notes 3.84%, 12/25/2025(1) 295,618
3,005,000 Octagon 61 Ltd. 7.67%, 04/20/2036, 3 mo. USD Term SOFR + 2.35%(1)(2) 3,017,762
  PRET LLC  
1,526,365 1.87%, 07/25/2051(1)(5) 1,459,104
953,261 2.49%, 07/25/2051(1)(5) 933,559
  Pretium Mortgage Credit Partners LLC  
2,802,492 1.99%, 02/25/2061(1)(5) 2,725,200
3,153,301 2.98%, 01/25/2052(1)(5) 3,066,270
  Progress Residential Trust  
3,295,138 1.51%, 10/17/2038(1) 2,996,228
1,116,866 3.20%, 04/17/2039(1) 1,051,744
1,796,018 4.30%, 03/17/2040(1) 1,739,522
875,072 4.45%, 06/17/2039(1) 853,322
1,395,187 4.75%, 10/27/2039(1) 1,372,034
3,315,000 Retained Vantage Data Centers Issuer LLC 5.00%, 09/15/2048(1) 3,204,309
4,490,000 RR 23 Ltd. 7.96%, 10/15/2035, 3 mo. USD Term SOFR + 2.65%(1)(2) 4,524,726
374,473 Sapphire Aviation Finance II Ltd. 3.23%, 03/15/2040(1) 340,781
339,457 Securitized Asset-Backed Receivables LLC Trust 5.62%, 07/25/2036, 1 mo. USD Term SOFR + 0.29%(2) 117,370
5,775,000 Sound Point CLO XXIX Ltd. 6.66%, 04/25/2034, 3 mo. USD Term SOFR + 1.33%(1)(2) 5,735,124
  Stack Infrastructure Issuer LLC  
1,880,000 5.90%, 07/25/2048(1) 1,854,092
 

36

Hartford Total Return Bond HLS Fund
Schedule of Investments – (continued)
March 31, 2024  (Unaudited) 

Shares or Principal Amount   Market Value†
ASSET & COMMERCIAL MORTGAGE-BACKED SECURITIES - 20.6% - (continued)
  Other Asset-Backed Securities - 6.9% - (continued)
$    1,010,000 5.90%, 03/25/2049(1) $     1,012,924
  1,435,000 Summit Issuer LLC 2.29%, 12/20/2050(1)      1,337,986
  6,615,000 Symphony CLO XXV Ltd. 6.55%, 04/19/2034, 3 mo. USD Term SOFR + 1.24%(1)(2)      6,577,751
  2,580,000 Texas Debt Capital CLO Ltd. 7.62%, 04/20/2036, 3 mo. USD Term SOFR + 2.30%(1)(2)      2,588,341
  3,148,861 Tricon Residential Trust 4.85%, 07/17/2040(1)      3,104,916
             VCAT LLC  
  1,492,523 1.74%, 05/25/2051(1)(5)      1,441,343
    408,299 5.12%, 03/27/2051(1)(5)        404,157
5,775,000 Venture 42 CLO Ltd. 6.71%, 04/15/2034, 3 mo. USD Term SOFR + 1.39%(1)(2) 5,733,974
1,496,929 VOLT XCIV LLC 5.24%, 02/27/2051(1)(5) 1,463,010
4,553,127 Wellfleet CLO X Ltd. 6.75%, 07/20/2032, 3 mo. USD Term SOFR + 1.43%(1)(2) 4,549,957
1,949,873 Wendy's Funding LLC 3.88%, 03/15/2048(1) 1,840,860
1,359,300 Wingstop Funding LLC 2.84%, 12/05/2050(1) 1,234,214
      122,276,082
  Whole Loan Collateral CMO - 7.2%
  Angel Oak Mortgage Trust  
1,217,317 0.91%, 01/25/2066(1)(3) 1,007,701
763,918 0.99%, 04/25/2053(1)(3) 699,202
1,099,147 0.99%, 04/25/2066(1)(3) 900,619
1,836,185 1.82%, 11/25/2066(1)(3) 1,579,926
1,219,594 Arroyo Mortgage Trust 3.35%, 04/25/2049(1)(3) 1,142,297
  Banc of America Funding Trust  
1,934,234 5.77%, 05/25/2037(3) 1,639,063
531,085 6.04%, 05/20/2047, 1 mo. USD Term SOFR + 0.71%(2) 478,656
77,186 6.35%, 01/25/2037(5) 68,262
449,682 BCAP LLC Trust 5.80%, 03/25/2037, 1 mo. USD Term SOFR + 0.47%(2) 381,536
407,961 Bear Stearns ALT-A Trust 5.94%, 01/25/2036, 1 mo. USD Term SOFR + 0.61%(2) 368,600
100,870 Bear Stearns ARM Trust 7.67%, 10/25/2035, 1 yr. USD CMT + 2.30%(2) 93,545
163,719 Bear Stearns Mortgage Funding Trust 5.80%, 10/25/2036, 1 mo. USD Term SOFR + 0.47%(2) 135,549
  BRAVO Residential Funding Trust  
691,657 0.94%, 02/25/2049(1)(3) 605,957
538,408 0.97%, 03/25/2060(1)(3) 501,767
  CHL Mortgage Pass-Through Trust  
219,565 4.33%, 11/20/2035(3) 194,806
912,031 4.43%, 09/25/2047(3) 786,441
  COLT Mortgage Loan Trust  
1,855,068 0.91%, 06/25/2066(1)(3) 1,513,934
4,221,890 1.11%, 10/25/2066(1)(3) 3,493,793
3,644,160 4.55%, 04/25/2067(1)(3) 3,644,024
  Countrywide Alternative Loan Trust  
586,420 5.75%, 05/25/2036 222,553
107,213 5.98%, 01/25/2036, 1 mo. USD Term SOFR + 0.65%(2) 93,276
575,432 6.08%, 11/25/2035, 1 mo. USD Term SOFR + 0.75%(2) 461,087
950,829 CSFB Mortgage-Backed Pass-Through Certificates 5.50%, 06/25/2035 693,781
  CSMC Trust  
1,630,968 0.94%, 05/25/2066(1)(3) 1,309,204
Shares or Principal Amount   Market Value†
ASSET & COMMERCIAL MORTGAGE-BACKED SECURITIES - 20.6% - (continued)
  Whole Loan Collateral CMO - 7.2% - (continued)
$    1,150,523 1.80%, 12/27/2060(1)(3) $     1,107,367
  2,040,421 1.84%, 10/25/2066(1)(3)      1,757,713
  4,751,217 2.27%, 11/25/2066(1)(3)      4,147,073
  1,296,699 3.25%, 04/25/2047(1)(3)      1,168,510
    706,928 Deephaven Residential Mortgage Trust 0.90%, 04/25/2066(1)(3)        608,283
             Ellington Financial Mortgage Trust  
    748,494 0.93%, 06/25/2066(1)(3)        601,368
  2,164,581 2.21%, 01/25/2067(1)(3)      1,842,225
  Federal National Mortgage Association Connecticut Avenue Securities  
726,000 7.12%, 02/25/2044, 30 day USD SOFR Average + 1.80%(1)(2) 728,496
329,274 7.58%, 11/25/2039, 30 day USD SOFR Average + 2.26%(1)(2) 331,693
615,000 7.82%, 02/25/2044, 30 day USD SOFR Average + 2.50%(1)(2) 618,844
567,180 7.87%, 07/25/2042, 30 day USD SOFR Average + 2.55%(1)(2) 582,157
1,305,000 8.02%, 07/25/2043, 30 day USD SOFR Average + 2.70%(1)(2) 1,350,485
654,800 8.42%, 10/25/2041, 30 day USD SOFR Average + 3.10%(1)(2) 673,604
1,244,000 8.42%, 06/25/2043, 30 day USD SOFR Average + 3.10%(1)(2) 1,306,335
1,547,000 8.47%, 12/25/2041, 30 day USD SOFR Average + 3.15%(1)(2) 1,589,303
683,028 8.98%, 07/25/2029, 30 day USD SOFR Average + 3.66%(2) 707,788
1,180,762 9.78%, 05/25/2029, 30 day USD SOFR Average + 4.46%(2) 1,242,466
3,155,000 9.82%, 01/25/2042, 30 day USD SOFR Average + 4.50%(1)(2) 3,315,816
  GCAT Trust  
1,493,034 1.04%, 05/25/2066(1)(3) 1,219,086
1,354,308 1.92%, 08/25/2066(1)(3) 1,178,059
16,262 GMACM Mortgage Loan Trust 3.64%, 04/19/2036(3) 12,647
  GSR Mortgage Loan Trust  
659,378 4.71%, 01/25/2036(3) 593,688
770,179 5.74%, 01/25/2037, 1 mo. USD Term SOFR + 0.41%(2) 176,927
  HarborView Mortgage Loan Trust  
517,797 5.82%, 01/19/2038, 1 mo. USD Term SOFR + 0.49%(2) 448,492
1,848,682 5.92%, 12/19/2036, 1 mo. USD Term SOFR + 0.59%(2) 1,729,483
4,570,800 Imperial Fund Mortgage Trust 3.64%, 03/25/2067(1)(5) 4,236,770
623,435 IndyMac INDX Mortgage Loan Trust 3.92%, 03/25/2036(3) 441,971
103,079 JP Morgan Mortgage Trust 5.31%, 04/25/2037(3) 74,656
  Legacy Mortgage Asset Trust  
1,111,886 1.75%, 04/25/2061(1)(5) 1,078,233
1,474,195 1.75%, 07/25/2061(1)(5) 1,413,294
534,423 Lehman XS Trust 5.86%, 07/25/2046, 1 mo. USD Term SOFR + 0.53%(2) 479,187
142,396 MASTR Adjustable Rate Mortgages Trust 5.37%, 11/21/2034(3) 132,715
  MFA Trust  
195,131 1.01%, 01/26/2065(1)(3) 178,269
1,114,723 1.03%, 11/25/2064(1)(3) 958,622
799,230 1.15%, 04/25/2065(1)(3) 713,270
  New Residential Mortgage Loan Trust  
627,369 0.94%, 10/25/2058(1)(3) 578,548
 

37

Hartford Total Return Bond HLS Fund
Schedule of Investments – (continued)
March 31, 2024  (Unaudited) 

Shares or Principal Amount   Market Value†
ASSET & COMMERCIAL MORTGAGE-BACKED SECURITIES - 20.6% - (continued)
  Whole Loan Collateral CMO - 7.2% - (continued)
$      311,960 2.49%, 09/25/2059(1)(3) $       287,333
  1,112,256 3.50%, 08/25/2059(1)(3)      1,030,443
  1,292,133 3.75%, 11/26/2035(1)(3)      1,208,641
  1,307,981 3.75%, 11/25/2056(1)(3)      1,214,369
  1,240,999 4.00%, 05/25/2057(1)(3)      1,171,533
    899,958 4.00%, 12/25/2057(1)(3)        851,972
  1,313,107 6.19%, 01/25/2048, 1 mo. USD Term SOFR + 0.86%(1)(2)      1,272,570
  1,112,895 6.94%, 06/25/2057, 1 mo. USD Term SOFR + 1.61%(1)(2)      1,112,982
3,219,208 NMLT Trust 1.19%, 05/25/2056(1)(3) 2,641,244
  OBX Trust  
2,593,006 1.05%, 07/25/2061(1)(3) 2,012,846
2,443,823 1.10%, 05/25/2061(1)(3) 1,943,962
3,842,870 2.31%, 11/25/2061(1)(3) 3,297,657
  PRPM LLC  
1,988,401 1.79%, 06/25/2026(1)(5) 1,940,127
1,646,790 1.79%, 07/25/2026(1)(5) 1,585,439
3,196,224 1.87%, 04/25/2026(1)(5) 3,099,232
1,508,593 2.49%, 10/25/2026(1)(5) 1,469,554
545,126 5.36%, 11/25/2025(1)(5) 543,455
3,321,877 5.61%, 10/25/2025(1)(5) 3,314,379
545,306 RBSGC Mortgage Loan Trust 6.25%, 01/25/2037 497,774
354,711 Residential Accredit Loans, Inc. Trust 6.00%, 12/25/2035 305,825
  Seasoned Credit Risk Transfer Trust  
1,957,052 2.50%, 08/25/2059 1,600,574
1,741,189 3.50%, 11/25/2057 1,581,371
3,302,299 3.50%, 03/25/2058 2,923,161
4,672,385 3.50%, 07/25/2058 4,195,669
928,434 3.50%, 08/25/2058 828,327
3,548,645 3.50%, 10/25/2058 3,152,842
  Starwood Mortgage Residential Trust  
541,495 0.94%, 05/25/2065(1)(3) 494,817
2,976,129 1.92%, 11/25/2066(1)(3) 2,487,124
1,289,837 Toorak Mortgage Corp. Ltd. 3.24%, 06/25/2024(1)(5) 1,276,200
5,047,374 Towd Point Mortgage Trust 2.92%, 11/30/2060(1)(3) 4,170,469
  Verus Securitization Trust  
969,138 0.92%, 02/25/2064(1)(3) 857,258
1,372,048 0.94%, 07/25/2066(1)(3) 1,168,195
834,883 1.03%, 02/25/2066(1)(3) 720,258
2,057,577 1.82%, 11/25/2066(1)(3) 1,761,485
4,712,950 1.83%, 10/25/2066(1)(3) 4,080,291
665,372 4.13%, 02/25/2067(1)(5) 623,209
  WaMu Mortgage Pass-Through Certificates Trust  
573,278 3.81%, 06/25/2037(3) 482,748
1,284,009 4.40%, 12/25/2046, 1 yr. USD MTA + 0.82%(2) 1,029,182
248,785 6.28%, 06/25/2044, 1 mo. USD Term SOFR + 0.95%(2) 227,049
      125,800,588
  Total Asset & Commercial Mortgage-Backed Securities
(cost $387,204,773)
$ 362,229,006
CORPORATE BONDS - 30.0%
  Advertising - 0.1%
2,335,000 Lamar Media Corp. 3.63%, 01/15/2031 $ 2,054,380
  Aerospace/Defense - 0.4%
1,035,000 BAE Systems PLC 5.13%, 03/26/2029(1) 1,038,745
Shares or Principal Amount   Market Value†
CORPORATE BONDS - 30.0% - (continued)
  Aerospace/Defense - 0.4% - (continued)
             Boeing Co.  
$      259,000 5.04%, 05/01/2027 $       254,162
  1,215,000 5.15%, 05/01/2030      1,176,989
    170,000 5.81%, 05/01/2050        161,446
  1,400,000 5.93%, 05/01/2060      1,313,762
             L3Harris Technologies, Inc.  
  1,050,000 5.05%, 06/01/2029      1,046,486
  1,230,000 5.35%, 06/01/2034      1,229,604
845,000 Northrop Grumman Corp. 5.15%, 05/01/2040 828,583
      7,049,777
  Agriculture - 0.4%
  BAT Capital Corp.  
1,570,000 5.83%, 02/20/2031 1,590,219
605,000 6.00%, 02/20/2034 612,755
  Philip Morris International, Inc.  
2,180,000 5.13%, 02/15/2030 2,182,304
730,000 5.13%, 02/13/2031 726,302
1,230,000 5.38%, 02/15/2033 1,240,329
215,000 5.63%, 11/17/2029 221,550
1,190,000 5.63%, 09/07/2033 1,218,438
      7,791,897
  Apparel - 0.3%
550,000 Hanesbrands, Inc. 4.88%, 05/15/2026(1) 535,713
  Tapestry, Inc.  
355,000 7.05%, 11/27/2025 362,423
940,000 7.35%, 11/27/2028 990,997
244,000 7.70%, 11/27/2030 260,010
3,550,000 William Carter Co. 5.63%, 03/15/2027(1) 3,526,551
      5,675,694
  Beverages - 0.0%
  Bacardi Ltd./Bacardi-Martini BV  
150,000 5.25%, 01/15/2029(1) 148,591
355,000 5.40%, 06/15/2033(1) 352,156
      500,747
  Biotechnology - 0.3%
  Amgen, Inc.  
255,000 5.25%, 03/02/2030 258,980
2,755,000 5.25%, 03/02/2033 2,784,110
  Royalty Pharma PLC  
2,900,000 2.15%, 09/02/2031 2,338,667
105,000 2.20%, 09/02/2030 87,302
      5,469,059
  Chemicals - 0.3%
  Celanese U.S. Holdings LLC  
1,600,000 6.17%, 07/15/2027 1,630,049
859,000 6.33%, 07/15/2029 890,971
975,000 6.55%, 11/15/2030 1,025,757
850,000 Eastman Chemical Co. 5.63%, 02/20/2034 856,809
      4,403,586
  Commercial Banks - 7.6%
1,400,000 ABN AMRO Bank NV 6.34%, 09/18/2027, (6.34% fixed rate until 09/18/2026; 1 yr. USD CMT + 1.65% thereafter)(1)(6) 1,424,450
200,000 AIB Group PLC 5.87%, 03/28/2035, (5.87% fixed rate until 03/28/2034; 6 mo. USD SOFR + 1.91% thereafter)(1)(6) 200,900
EUR 800,000 Banca Comerciala Romana SA 7.63%, 05/19/2027, (7.63% fixed rate until 05/19/2026; 3 mo. EURIBOR + 4.54% thereafter)(6)(7) 907,610
 

38

Hartford Total Return Bond HLS Fund
Schedule of Investments – (continued)
March 31, 2024  (Unaudited) 

Shares or Principal Amount   Market Value†
CORPORATE BONDS - 30.0% - (continued)
  Commercial Banks - 7.6% - (continued)
EUR    1,575,000 Banca Transilvania SA 8.88%, 04/27/2027, (8.88% fixed rate until 04/27/2026; 1 yr. EURIBOR ICE Swap + 5.58% thereafter)(6)(7) $     1,799,407
             Banco Santander SA  
$   1,600,000 5.54%, 03/14/2030, (5.54% fixed rate until 03/14/2029; 1 yr. USD CMT + 1.45% thereafter)(6)      1,599,323
    800,000 6.35%, 03/14/2034        801,692
             Bank of America Corp.  
  1,050,000 1.90%, 07/23/2031, (1.90% fixed rate until 07/23/2030; 6 mo. USD SOFR + 1.53% thereafter)(6)        862,362
    940,000 1.92%, 10/24/2031, (1.92% fixed rate until 10/24/2030; 6 mo. USD SOFR + 1.37% thereafter)(6)        766,365
  2,150,000 2.30%, 07/21/2032, (2.30% fixed rate until 07/21/2031; 6 mo. USD SOFR + 1.22% thereafter)(6)      1,761,412
1,625,000 2.57%, 10/20/2032, (2.57% fixed rate until 10/20/2031; 6 mo. USD SOFR + 1.21% thereafter)(6) 1,349,647
1,715,000 2.59%, 04/29/2031, (2.59% fixed rate until 04/29/2030; 6 mo. USD SOFR + 2.15% thereafter)(6) 1,479,572
5,370,000 2.69%, 04/22/2032, (2.69% fixed rate until 04/22/2031; 6 mo. USD SOFR + 1.32% thereafter)(6) 4,554,931
1,475,000 3.19%, 07/23/2030, (3.19% fixed rate until 07/23/2029; 3 mo. USD Term SOFR + 1.44% thereafter)(6) 1,340,027
205,000 3.42%, 12/20/2028, (3.42% fixed rate until 12/20/2027; 3 mo. USD Term SOFR + 1.30% thereafter)(6) 192,199
395,000 4.95%, 07/22/2028, (4.95% fixed rate until 07/22/2027; 6 mo. USD SOFR + 2.04% thereafter)(6) 392,166
1,600,000 5.20%, 04/25/2029, (5.20% fixed rate until 04/25/2028; 6 mo. USD SOFR + 1.63% thereafter)(6) 1,601,470
795,000 5.47%, 01/23/2035, (5.47% fixed rate until 01/23/2034; 6 mo. USD SOFR + 1.65% thereafter)(6) 801,307
1,205,000 5.93%, 09/15/2027, (5.93% fixed rate until 09/15/2026; 6 mo. USD SOFR + 1.34% thereafter)(6) 1,221,670
  Bank of Ireland Group PLC  
2,610,000 5.60%, 03/20/2030, (5.60% fixed rate until 03/20/2029; 6 mo. USD SOFR + 1.62% thereafter)(1)(6) 2,606,764
3,685,000 6.25%, 09/16/2026, (6.25% fixed rate until 09/16/2025; 1 yr. USD CMT + 2.65% thereafter)(1)(6) 3,706,415
  Bank of New York Mellon Corp.  
620,000 4.98%, 03/14/2030, (4.98% fixed rate until 03/14/2029; 6 mo. USD SOFR + 1.09% thereafter)(6) 620,563
815,000 5.19%, 03/14/2035, (5.19% fixed rate until 03/14/2034; 6 mo. USD SOFR + 1.42% thereafter)(6) 811,371
2,090,000 6.32%, 10/25/2029, (6.32% fixed rate until 10/25/2028; 6 mo. USD SOFR + 1.60% thereafter)(6) 2,206,746
Shares or Principal Amount   Market Value†
CORPORATE BONDS - 30.0% - (continued)
  Commercial Banks - 7.6% - (continued)
             Barclays PLC  
$    2,025,000 5.69%, 03/12/2030, (5.69% fixed rate until 03/12/2029; 6 mo. USD SOFR + 1.74% thereafter)(6) $     2,036,427
    905,000 9.63%, 12/15/2029, (9.63% fixed rate until 12/15/2029; 5 yr. USD ICE Swap + 5.78% thereafter)(6)(8)        959,507
  2,170,000 BNP Paribas SA 5.89%, 12/05/2034, (5.89% fixed rate until 12/05/2033; 6 mo. USD SOFR + 1.87% thereafter)(1)(6)      2,272,944
             BPCE SA  
    910,000 5.72%, 01/18/2030, (5.72% fixed rate until 01/18/2029; 1 yr. USD CMT + 1.96% thereafter)(1)(6)        914,726
  3,395,000 6.71%, 10/19/2029, (6.71% fixed rate until 10/19/2028; 6 mo. USD SOFR + 2.27% thereafter)(1)(6)      3,553,593
  3,010,000 7.00%, 10/19/2034, (7.00% fixed rate until 10/19/2033; 6 mo. USD SOFR + 2.59% thereafter)(1)(6)      3,279,928
420,000 CaixaBank SA 5.67%, 03/15/2030, (5.67% fixed rate until 03/15/2029; 6 mo. USD SOFR + 1.78% thereafter)(1)(6) 420,200
2,360,000 Citigroup, Inc. 5.17%, 02/13/2030, (5.17% fixed rate until 02/13/2029; 6 mo. USD SOFR + 1.36% thereafter)(6) 2,350,375
650,000 Citizens Financial Group, Inc. 5.84%, 01/23/2030, (5.84% fixed rate until 01/23/2029; 6 mo. USD SOFR + 2.01% thereafter)(6) 648,760
  Credit Agricole SA  
1,825,000 5.13%, 03/11/2027(1) 1,826,560
1,775,000 6.25%, 01/10/2035, (6.25% fixed rate until 01/10/2034; 6 mo. USD SOFR + 2.67% thereafter)(1)(6) 1,805,576
745,000 6.32%, 10/03/2029, (6.32% fixed rate until 10/03/2028; 6 mo. USD SOFR + 1.86% thereafter)(1)(6) 773,231
  Danske Bank AS  
655,000 1.62%, 09/11/2026, (1.62% fixed rate until 09/11/2025; 1 yr. USD CMT + 1.35% thereafter)(1)(6) 616,748
540,000 5.71%, 03/01/2030, (5.71% fixed rate until 03/01/2029; 1 yr. USD CMT + 1.40% thereafter)(1)(6) 543,896
  Deutsche Bank AG  
495,000 2.31%, 11/16/2027, (2.31% fixed rate until 11/16/2026; 6 mo. USD SOFR + 1.22% thereafter)(6) 452,347
895,000 3.74%, 01/07/2033, (3.74% fixed rate until 10/07/2031; 6 mo. USD SOFR + 2.26% thereafter)(6) 739,941
750,000 6.82%, 11/20/2029, (6.82% fixed rate until 11/20/2028; 6 mo. USD SOFR + 2.51% thereafter)(6) 784,589
210,000 Fifth Third Bancorp 5.63%, 01/29/2032, (5.63% fixed rate until 01/29/2031; 6 mo. USD SOFR + 1.84% thereafter)(6) 210,392
  Goldman Sachs Group, Inc.  
2,260,000 2.38%, 07/21/2032, (2.38% fixed rate until 07/21/2031; 6 mo. USD SOFR + 1.25% thereafter)(6) 1,854,405
 

39

Hartford Total Return Bond HLS Fund
Schedule of Investments – (continued)
March 31, 2024  (Unaudited) 

Shares or Principal Amount   Market Value†
CORPORATE BONDS - 30.0% - (continued)
  Commercial Banks - 7.6% - (continued)
$    3,020,000 2.62%, 04/22/2032, (2.62% fixed rate until 04/22/2031; 6 mo. USD SOFR + 1.28% thereafter)(6) $     2,533,939
    295,000 4.22%, 05/01/2029, (4.22% fixed rate until 05/01/2028; 3 mo. USD Term SOFR + 1.56% thereafter)(6)        284,089
             HSBC Holdings PLC  
  1,150,000 2.21%, 08/17/2029, (2.21% fixed rate until 08/17/2028; 6 mo. USD SOFR + 1.29% thereafter)(6)      1,007,625
  1,395,000 4.58%, 06/19/2029, (4.58% fixed rate until 06/19/2028; 3 mo. USD Term SOFR + 1.80% thereafter)(6)      1,354,294
  2,185,000 5.40%, 08/11/2033, (5.40% fixed rate until 08/11/2032; 6 mo. USD SOFR + 2.87% thereafter)(6)      2,179,790
  1,565,000 5.89%, 08/14/2027, (5.89% fixed rate until 08/14/2026; 6 mo. USD SOFR + 1.57% thereafter)(6)      1,579,505
    385,000 6.16%, 03/09/2029, (6.16% fixed rate until 03/09/2028; 6 mo. USD SOFR + 1.97% thereafter)(6)        395,741
765,000 7.40%, 11/13/2034, (7.40% fixed rate until 11/13/2033; 6 mo. USD SOFR + 3.02% thereafter)(6) 837,486
300,000 Huntington Bancshares, Inc. 6.21%, 08/21/2029, (6.21% fixed rate until 08/21/2028; 6 mo. USD SOFR + 2.02% thereafter)(6) 306,950
1,220,000 Huntington National Bank 5.65%, 01/10/2030 1,226,495
  Intesa Sanpaolo SpA  
200,000 7.78%, 06/20/2054, (7.78% fixed rate until 06/20/2053; 1 yr. USD CMT + 3.90% thereafter)(1)(6) 213,456
1,415,000 7.80%, 11/28/2053(1) 1,608,264
  JP Morgan Chase & Co.  
1,270,000 2.55%, 11/08/2032, (2.55% fixed rate until 11/08/2031; 6 mo. USD SOFR + 1.18% thereafter)(6) 1,056,715
930,000 2.58%, 04/22/2032, (2.58% fixed rate until 04/22/2031; 3 mo. USD Term SOFR + 1.25% thereafter)(6) 785,722
645,000 3.51%, 01/23/2029, (3.51% fixed rate until 01/23/2028; 3 mo. USD Term SOFR + 1.21% thereafter)(6) 610,216
170,000 3.70%, 05/06/2030, (3.70% fixed rate until 05/06/2029; 3 mo. USD Term SOFR + 1.42% thereafter)(6) 159,348
515,000 3.96%, 01/29/2027, (3.96% fixed rate until 01/29/2026; 3 mo. USD Term SOFR + 1.51% thereafter)(6) 502,821
2,230,000 4.01%, 04/23/2029, (4.01% fixed rate until 04/23/2028; 3 mo. USD Term SOFR + 1.38% thereafter)(6) 2,138,487
390,000 4.85%, 07/25/2028, (4.85% fixed rate until 07/25/2027; 6 mo. USD SOFR + 1.99% thereafter)(6) 386,609
1,515,000 5.30%, 07/24/2029, (5.30% fixed rate until 07/24/2028; 6 mo. USD SOFR + 1.45% thereafter)(6) 1,526,706
2,675,000 5.34%, 01/23/2035, (5.34% fixed rate until 01/23/2034; 6 mo. USD SOFR + 1.62% thereafter)(6) 2,687,304
Shares or Principal Amount   Market Value†
CORPORATE BONDS - 30.0% - (continued)
  Commercial Banks - 7.6% - (continued)
$      960,000 6.07%, 10/22/2027, (6.07% fixed rate until 10/22/2026; 6 mo. USD SOFR + 1.33% thereafter)(6) $       979,715
    280,000 6.09%, 10/23/2029, (6.09% fixed rate until 10/23/2028; 6 mo. USD SOFR + 1.57% thereafter)(6)        291,268
             M&T Bank Corp.  
  2,640,000 5.05%, 01/27/2034, (5.05% fixed rate until 01/27/2033; 6 mo. USD SOFR + 1.85% thereafter)(6)      2,454,681
  1,705,000 7.41%, 10/30/2029, (7.41% fixed rate until 10/30/2028; 6 mo. USD SOFR + 2.80% thereafter)(6)      1,798,142
  1,580,000 Manufacturers & Traders Trust Co. 4.70%, 01/27/2028      1,523,067
EUR 1,700,000 mBank SA 0.97%, 09/21/2027, (0.97% fixed rate until 09/21/2026; 3 mo. EURIBOR + 1.25% thereafter)(6)(7) 1,643,488
  Morgan Stanley  
$ 2,420,000 1.79%, 02/13/2032, (1.79% fixed rate until 02/13/2031; 6 mo. USD SOFR + 1.03% thereafter)(6) 1,934,921
1,960,000 1.93%, 04/28/2032, (1.93% fixed rate until 04/28/2031; 6 mo. USD SOFR + 1.02% thereafter)(6) 1,573,765
860,000 3.59%, 07/22/2028(3) 817,201
460,000 3.62%, 04/01/2031, (3.62% fixed rate until 04/01/2030; 6 mo. USD SOFR + 3.12% thereafter)(6) 421,728
1,755,000 5.16%, 04/20/2029, (5.16% fixed rate until 04/20/2028; 6 mo. USD SOFR + 1.59% thereafter)(6) 1,754,161
455,000 5.45%, 07/20/2029, (5.45% fixed rate until 07/20/2028; 6 mo. USD SOFR + 1.63% thereafter)(6) 458,958
4,505,000 6.41%, 11/01/2029, (6.41% fixed rate until 11/01/2028; 6 mo. USD SOFR + 1.83% thereafter)(6) 4,726,166
  OTP Bank Nyrt  
EUR 1,570,000 7.35%, 03/04/2026, (7.35% fixed rate until 03/04/2025; 3 mo. EURIBOR + 4.52% thereafter)(6)(7) 1,727,721
$ 815,000 7.50%, 05/25/2027, (7.50% fixed rate until 05/25/2026; 1 yr. USD CMT + 3.71% thereafter)(6)(7) 837,494
  PNC Financial Services Group, Inc.  
635,000 5.68%, 01/22/2035, (5.68% fixed rate until 01/22/2034; 6 mo. USD SOFR + 1.90% thereafter)(6) 641,187
525,000 6.04%, 10/28/2033, (6.04% fixed rate until 10/28/2032; 6 mo. USD SOFR + 2.14% thereafter)(6) 543,138
4,795,000 Societe Generale SA 6.22%, 06/15/2033, (6.22% fixed rate until 06/15/2032; 1 yr. USD CMT + 3.20% thereafter)(1)(6) 4,814,974
  Standard Chartered PLC  
1,270,000 7.02%, 02/08/2030, (7.02% fixed rate until 02/08/2029; 1 yr. USD CMT + 2.20% thereafter)(1)(6) 1,345,070
865,000 7.77%, 11/16/2028, (7.77% fixed rate until 11/16/2027; 1 yr. USD CMT + 3.45% thereafter)(1)(6) 925,825
 

40

Hartford Total Return Bond HLS Fund
Schedule of Investments – (continued)
March 31, 2024  (Unaudited) 

Shares or Principal Amount   Market Value†
CORPORATE BONDS - 30.0% - (continued)
  Commercial Banks - 7.6% - (continued)
             UBS Group AG  
$      575,000 2.10%, 02/11/2032, (2.10% fixed rate until 02/11/2031; 1 yr. USD CMT + 1.00% thereafter)(1)(6) $       460,833
    865,000 3.09%, 05/14/2032, (3.09% fixed rate until 05/14/2031; 6 mo. USD SOFR + 1.73% thereafter)(1)(6)        735,467
    640,000 4.19%, 04/01/2031, (4.19% fixed rate until 04/01/2030; 6 mo. USD SOFR + 3.73% thereafter)(1)(6)        594,752
    480,000 4.75%, 05/12/2028, (4.75% fixed rate until 05/12/2027; 1 yr. USD CMT + 1.75% thereafter)(1)(6)        470,055
    605,000 5.43%, 02/08/2030, (5.43% fixed rate until 02/08/2029; 1 yr. USD CMT + 1.52% thereafter)(1)(6)        606,194
  1,895,000 6.25%, 09/22/2029, (6.25% fixed rate until 09/22/2028; 1 yr. USD CMT + 1.80% thereafter)(1)(6)      1,956,163
    760,000 6.44%, 08/11/2028, (6.44% fixed rate until 08/11/2027; 6 mo. USD SOFR + 3.70% thereafter)(1)(6)        782,673
2,785,000 6.54%, 08/12/2033, (6.54% fixed rate until 08/12/2032; 6 mo. USD SOFR + 3.92% thereafter)(1)(6) 2,936,282
  Wells Fargo & Co.  
605,000 2.57%, 02/11/2031, (2.57% fixed rate until 02/11/2030; 3 mo. USD Term SOFR + 1.26% thereafter)(6) 521,207
1,360,000 2.88%, 10/30/2030, (2.88% fixed rate until 10/30/2029; 3 mo. USD Term SOFR + 1.43% thereafter)(6) 1,202,510
2,855,000 3.35%, 03/02/2033, (3.35% fixed rate until 03/02/2032; 6 mo. USD SOFR + 1.50% thereafter)(6) 2,474,517
1,050,000 4.81%, 07/25/2028, (4.81% fixed rate until 07/25/2027; 6 mo. USD SOFR + 1.98% thereafter)(6) 1,035,307
1,705,000 4.90%, 07/25/2033, (4.90% fixed rate until 07/25/2032; 6 mo. USD SOFR + 2.10% thereafter)(6) 1,643,778
100,000 5.39%, 04/24/2034, (5.39% fixed rate until 04/24/2033; 6 mo. USD SOFR + 2.02% thereafter)(6) 99,347
930,000 5.50%, 01/23/2035, (5.50% fixed rate until 01/23/2034; 6 mo. USD SOFR + 1.78% thereafter)(6) 933,383
3,320,000 5.57%, 07/25/2029, (5.57% fixed rate until 07/25/2028; 6 mo. USD SOFR + 1.74% thereafter)(6) 3,360,280
765,000 6.49%, 10/23/2034, (6.49% fixed rate until 10/23/2033; 6 mo. USD SOFR + 2.06% thereafter)(6) 821,003
      134,280,497
  Commercial Services - 0.8%
  Ashtead Capital, Inc.  
3,305,000 4.38%, 08/15/2027(1) 3,171,933
695,000 5.80%, 04/15/2034(1) 696,036
275,000 ERAC USA Finance LLC 5.00%, 02/15/2029(1) 275,656
  Howard University  
1,000,000 2.70%, 10/01/2029 883,605
1,000,000 2.90%, 10/01/2031 861,261
720,000 3.48%, 10/01/2041 521,008
Shares or Principal Amount   Market Value†
CORPORATE BONDS - 30.0% - (continued)
  Commercial Services - 0.8% - (continued)
             Service Corp. International  
$    2,500,000 3.38%, 08/15/2030 $     2,163,788
    385,000 4.63%, 12/15/2027        372,151
  4,561,000 5.13%, 06/01/2029      4,438,504
     140,000 United Rentals North America, Inc. 4.00%, 07/15/2030       127,396
      13,511,338
  Construction Materials - 0.4%
3,340,000 Builders FirstSource, Inc. 5.00%, 03/01/2030(1) 3,191,582
  Standard Industries, Inc.  
535,000 3.38%, 01/15/2031(1) 449,209
3,370,000 4.38%, 07/15/2030(1) 3,028,535
      6,669,326
  Distribution/Wholesale - 0.0%
515,000 LKQ Corp. 5.75%, 06/15/2028 524,303
  Diversified Financial Services - 0.4%
  Capital One Financial Corp.  
895,000 1.88%, 11/02/2027, (1.88% fixed rate until 11/02/2026; 6 mo. USD SOFR + 0.86% thereafter)(6) 819,073
1,465,000 3.27%, 03/01/2030, (3.27% fixed rate until 03/01/2029; 6 mo. USD SOFR + 1.79% thereafter)(6) 1,319,273
355,000 5.25%, 07/26/2030, (5.25% fixed rate until 07/26/2029; 6 mo. USD SOFR + 2.60% thereafter)(6) 349,543
1,125,000 6.31%, 06/08/2029, (6.31% fixed rate until 06/08/2028; 6 mo. USD SOFR + 2.64% thereafter)(6) 1,157,527
1,275,000 7.62%, 10/30/2031, (7.62% fixed rate until 10/30/2030; 6 mo. USD SOFR + 3.07% thereafter)(6) 1,408,826
665,000 Discover Financial Services 7.96%, 11/02/2034, (7.96% fixed rate until 11/02/2033; 6 mo. USD SOFR + 3.37% thereafter)(6) 753,748
  Macquarie Airfinance Holdings Ltd.  
210,000 6.40%, 03/26/2029(1) 213,291
185,000 6.50%, 03/26/2031(1) 188,339
      6,209,620
  Electric - 4.1%
1,235,000 Alabama Power Co. 3.45%, 10/01/2049 913,398
2,815,000 Ameren Corp. 5.00%, 01/15/2029 2,799,154
  Arizona Public Service Co.  
450,000 5.55%, 08/01/2033 455,383
990,000 6.35%, 12/15/2032 1,057,569
705,000 Berkshire Hathaway Energy Co. 1.65%, 05/15/2031 564,898
  Cleco Corporate Holdings LLC  
1,225,000 3.38%, 09/15/2029 1,069,277
75,000 4.97%, 05/01/2046(5) 62,698
  Consolidated Edison Co. of New York, Inc.  
1,050,000 3.20%, 12/01/2051 719,466
450,000 5.50%, 03/15/2034 465,008
  Dominion Energy, Inc.  
1,008,000 3.38%, 04/01/2030 916,428
3,487,000 5.38%, 11/15/2032 3,509,989
65,000 6.30%, 03/15/2033 68,540
1,320,000 Duke Energy Carolinas LLC 4.25%, 12/15/2041 1,137,683
  Duke Energy Corp.  
3,200,000 2.55%, 06/15/2031 2,696,107
1,160,000 4.50%, 08/15/2032 1,100,676
 

41

Hartford Total Return Bond HLS Fund
Schedule of Investments – (continued)
March 31, 2024  (Unaudited) 

Shares or Principal Amount   Market Value†
CORPORATE BONDS - 30.0% - (continued)
  Electric - 4.1% - (continued)
$    1,340,000 4.85%, 01/05/2029 $     1,328,151
    190,000 5.00%, 08/15/2052        172,248
    780,000 Duke Energy Indiana LLC 3.25%, 10/01/2049        547,796
    510,000 Duke Energy Ohio, Inc. 5.55%, 03/15/2054        509,048
             Duke Energy Progress LLC  
    490,000 4.00%, 04/01/2052        389,277
    670,000 4.38%, 03/30/2044        574,897
  Edison International  
270,000 4.13%, 03/15/2028 258,808
635,000 5.25%, 11/15/2028 632,742
3,125,000 6.95%, 11/15/2029 3,347,802
755,000 Emera, Inc. 6.75%, 06/15/2076 745,656
  Evergy, Inc.  
730,000 2.45%, 09/15/2024 718,627
715,000 2.90%, 09/15/2029 638,413
  Eversource Energy  
2,255,000 5.13%, 05/15/2033 2,206,652
690,000 5.50%, 01/01/2034 690,682
1,265,000 5.95%, 02/01/2029 1,305,946
  Georgia Power Co.  
940,000 4.30%, 03/15/2042 820,019
85,000 4.95%, 05/17/2033 83,893
550,000 5.25%, 03/15/2034 555,345
845,000 Investment Energy Resources Ltd. 6.25%, 04/26/2029(1) 816,954
1,465,000 IPALCO Enterprises, Inc. 3.70%, 09/01/2024 1,464,531
645,000 Monongahela Power Co. 5.85%, 02/15/2034(1) 662,867
115,000 National Grid PLC 5.60%, 06/12/2028 117,124
870,000 National Rural Utilities Cooperative Finance Corp. 5.80%, 01/15/2033 904,399
  NextEra Energy Capital Holdings, Inc.  
1,235,000 1.88%, 01/15/2027 1,131,227
1,145,000 2.25%, 06/01/2030 974,751
480,000 4.63%, 07/15/2027 473,508
1,555,000 Niagara Mohawk Power Corp. 5.29%, 01/17/2034(1) 1,531,505
705,000 Oglethorpe Power Corp. 4.50%, 04/01/2047 587,100
755,000 Ohio Edison Co. 5.50%, 01/15/2033(1) 753,490
1,000,000 Oncor Electric Delivery Co. LLC 5.65%, 11/15/2033 1,040,690
  Pacific Gas & Electric Co.  
3,780,000 2.50%, 02/01/2031 3,147,065
260,000 4.40%, 03/01/2032 239,647
980,000 4.55%, 07/01/2030 931,561
394,000 5.25%, 03/01/2052 352,271
205,000 5.45%, 06/15/2027 205,673
895,000 5.90%, 06/15/2032 910,988
1,950,000 6.10%, 01/15/2029 2,008,567
1,195,000 6.15%, 01/15/2033 1,232,670
2,155,000 6.40%, 06/15/2033 2,271,469
710,000 Public Service Electric & Gas Co. 5.45%, 03/01/2054 733,714
  Public Service Enterprise Group, Inc.  
430,000 5.20%, 04/01/2029 430,160
265,000 5.45%, 04/01/2034 265,784
1,120,000 6.13%, 10/15/2033 1,177,690
  Puget Energy, Inc.  
885,000 2.38%, 06/15/2028 789,686
2,070,000 3.65%, 05/15/2025 2,021,597
130,000 4.10%, 06/15/2030 118,716
130,000 4.22%, 03/15/2032 117,887
1,085,000 Sempra 5.40%, 08/01/2026 1,088,756
Shares or Principal Amount   Market Value†
CORPORATE BONDS - 30.0% - (continued)
  Electric - 4.1% - (continued)
             Southern California Edison Co.  
$      875,000 5.15%, 06/01/2029 $       879,069
  1,900,000 5.20%, 06/01/2034      1,881,701
    390,000 5.75%, 04/15/2054        396,061
    510,000 5.88%, 12/01/2053        526,374
    380,000 5.95%, 11/01/2032        398,831
  Southern Co.  
    210,000 3.70%, 04/30/2030        194,836
1,170,000 5.20%, 06/15/2033 1,169,788
750,000 Southwestern Electric Power Co. 5.30%, 04/01/2033 741,569
  Virginia Electric & Power Co.  
356,000 2.45%, 12/15/2050 209,119
1,145,000 5.00%, 04/01/2033 1,129,570
1,625,000 5.00%, 01/15/2034 1,596,723
405,000 5.35%, 01/15/2054 397,685
605,000 Wisconsin Power & Light Co. 5.38%, 03/30/2034 609,449
720,000 Xcel Energy, Inc. 4.60%, 06/01/2032 677,938
      72,373,036
  Energy-Alternate Sources - 0.2%
2,650,000 Energo-Pro AS 8.50%, 02/04/2027(1) 2,674,566
1,422,000 Greenko Power II Ltd. 4.30%, 12/13/2028(7) 1,301,195
      3,975,761
  Engineering & Construction - 0.7%
7,400,000 GTP Acquisition Partners I LLC 3.48%, 06/15/2050(1) 7,215,808
1,615,000 IHS Holding Ltd. 6.25%, 11/29/2028(1) 1,411,510
3,095,201 International Airport Finance SA 12.00%, 03/15/2033(1)(9) 3,280,913
      11,908,231
  Entertainment - 0.3%
400,000 Warnermedia Holdings, Inc. 5.39%, 03/15/2062 332,801
  WMG Acquisition Corp.  
725,000 3.75%, 12/01/2029(1) 649,903
4,525,000 3.88%, 07/15/2030(1) 4,009,830
      4,992,534
  Environmental Control - 0.3%
4,475,000 Clean Harbors, Inc. 4.88%, 07/15/2027(1) 4,340,941
1,145,000 Veralto Corp. 5.35%, 09/18/2028(1) 1,161,678
      5,502,619
  Food - 0.3%
411,000 Conagra Brands, Inc. 4.85%, 11/01/2028 405,991
2,040,000 Minerva Luxembourg SA 4.38%, 03/18/2031(7) 1,705,488
1,690,000 NBM U.S. Holdings, Inc. 7.00%, 05/14/2026(1) 1,696,768
  Tyson Foods, Inc.  
165,000 5.40%, 03/15/2029 166,459
605,000 5.70%, 03/15/2034 612,540
      4,587,246
  Gas - 0.5%
1,440,000 Brooklyn Union Gas Co. 6.39%, 09/15/2033(1) 1,488,501
1,120,000 KeySpan Gas East Corp. 5.99%, 03/06/2033(1) 1,135,928
  NiSource, Inc.  
295,000 3.49%, 05/15/2027 281,495
1,135,000 3.60%, 05/01/2030 1,046,060
275,000 5.25%, 03/30/2028 277,011
1,060,000 5.35%, 04/01/2034 1,054,093
 

42

Hartford Total Return Bond HLS Fund
Schedule of Investments – (continued)
March 31, 2024  (Unaudited) 

Shares or Principal Amount   Market Value†
CORPORATE BONDS - 30.0% - (continued)
  Gas - 0.5% - (continued)
$    1,045,000 5.40%, 06/30/2033 $     1,054,507
             Southern California Gas Co.  
    785,000 5.20%, 06/01/2033        786,585
  1,830,000 5.60%, 04/01/2054      1,829,740
     280,000 Southern Co. Gas Capital Corp. 5.75%, 09/15/2033       290,127
      9,244,047
  Hand/Machine Tools - 0.2%
  Regal Rexnord Corp.  
3,055,000 6.05%, 04/15/2028(1) 3,099,845
325,000 6.30%, 02/15/2030(1) 332,853
      3,432,698
  Healthcare - Products - 0.6%
  Alcon Finance Corp.  
1,164,000 2.75%, 09/23/2026(1) 1,098,340
560,000 3.00%, 09/23/2029(1) 505,677
455,000 5.38%, 12/06/2032(1) 459,411
340,000 5.75%, 12/06/2052(1) 352,453
3,220,000 Avantor Funding, Inc. 4.63%, 07/15/2028(1) 3,050,827
2,812,000 Hologic, Inc. 4.63%, 02/01/2028(1) 2,707,208
530,000 Smith & Nephew PLC 5.40%, 03/20/2034 528,105
1,495,000 Solventum Corp. 5.40%, 03/01/2029(1) 1,498,091
      10,200,112
  Healthcare - Services - 0.8%
  Centene Corp.  
695,000 2.45%, 07/15/2028 616,152
95,000 3.38%, 02/15/2030 84,075
435,000 4.25%, 12/15/2027 414,991
5,230,000 4.63%, 12/15/2029 4,969,435
470,000 CommonSpirit Health 3.35%, 10/01/2029 431,371
  HCA, Inc.  
1,760,000 3.38%, 03/15/2029 1,613,142
165,000 5.45%, 04/01/2031 166,004
1,210,000 5.60%, 04/01/2034 1,219,606
570,000 Humana, Inc. 5.38%, 04/15/2031 570,532
  Kaiser Foundation Hospitals  
355,000 2.81%, 06/01/2041 262,343
695,000 3.00%, 06/01/2051 482,358
  UnitedHealth Group, Inc.  
855,000 2.75%, 05/15/2040 630,133
190,000 3.50%, 08/15/2039 156,727
240,000 4.95%, 05/15/2062 224,485
190,000 5.35%, 02/15/2033 195,579
1,405,000 5.38%, 04/15/2054 1,430,471
260,000 6.05%, 02/15/2063 286,408
      13,753,812
  Home Builders - 0.2%
  Taylor Morrison Communities, Inc.  
1,005,000 5.13%, 08/01/2030(1) 959,802
2,558,000 5.75%, 01/15/2028(1) 2,541,665
      3,501,467
  Household Products - 0.0%
575,000 Haleon U.S. Capital LLC 3.38%, 03/24/2029 534,662
  Insurance - 1.2%
580,000 Aon Corp./Aon Global Holdings PLC 5.35%, 02/28/2033 583,079
1,615,000 Aon North America, Inc. 5.45%, 03/01/2034 1,633,245
  Athene Global Funding  
1,985,000 2.65%, 10/04/2031(1) 1,620,769
3,010,000 2.72%, 01/07/2029(1) 2,653,339
970,000 Athene Holding Ltd. 5.88%, 01/15/2034 972,700
Shares or Principal Amount   Market Value†
CORPORATE BONDS - 30.0% - (continued)
  Insurance - 1.2% - (continued)
             Corebridge Financial, Inc.  
$      650,000 3.85%, 04/05/2029 $       607,938
  1,380,000 5.75%, 01/15/2034      1,410,818
    280,000 6.05%, 09/15/2033(1)        288,800
  3,090,000 Equitable Financial Life Global Funding 1.80%, 03/08/2028(1)      2,722,055
    670,000 Equitable Holdings, Inc. 4.35%, 04/20/2028        649,450
1,605,000 GA Global Funding Trust 5.50%, 01/08/2029(1) 1,612,755
560,000 Marsh & McLennan Cos., Inc. 4.75%, 03/15/2039 532,088
  Metropolitan Life Global Funding I  
2,485,000 2.40%, 01/11/2032(1) 2,047,042
770,000 5.15%, 03/28/2033(1) 771,371
1,165,000 Principal Life Global Funding II 5.10%, 01/25/2029(1) 1,162,639
600,000 Protective Life Global Funding 5.47%, 12/08/2028(1) 610,992
830,000 Willis North America, Inc. 3.60%, 05/15/2024 827,537
      20,706,617
  Internet - 0.5%
  Gen Digital, Inc.  
3,060,000 5.00%, 04/15/2025(1) 3,041,866
1,900,000 6.75%, 09/30/2027(1) 1,927,172
  Go Daddy Operating Co. LLC/GD Finance Co., Inc.  
770,000 3.50%, 03/01/2029(1) 694,611
3,995,000 5.25%, 12/01/2027(1) 3,906,973
      9,570,622
  Investment Company Security - 0.0%
505,000 New Mountain Finance Corp. 6.88%, 02/01/2029 499,437
  IT Services - 0.2%
2,806,000 Booz Allen Hamilton, Inc. 3.88%, 09/01/2028(1) 2,629,287
  Machinery-Diversified - 0.1%
  AGCO Corp.  
210,000 5.45%, 03/21/2027 211,081
285,000 5.80%, 03/21/2034 288,559
445,000 Ingersoll Rand, Inc. 5.70%, 08/14/2033 456,812
996,000 Otis Worldwide Corp. 2.57%, 02/15/2030 874,649
235,000 Westinghouse Air Brake Technologies Corp. 5.61%, 03/11/2034 238,070
      2,069,171
  Media - 1.2%
  Charter Communications Operating LLC/Charter Communications Operating Capital  
695,000 2.25%, 01/15/2029 591,620
640,000 3.50%, 03/01/2042 427,882
480,000 3.70%, 04/01/2051 297,119
500,000 3.85%, 04/01/2061 296,757
940,000 3.90%, 06/01/2052 598,682
1,835,000 4.80%, 03/01/2050 1,357,030
715,000 5.13%, 07/01/2049 553,532
2,225,000 6.48%, 10/23/2045 2,064,388
55,000 6.83%, 10/23/2055 52,865
  Comcast Corp.  
1,195,000 2.89%, 11/01/2051 777,851
1,259,000 2.94%, 11/01/2056 795,665
 

43

Hartford Total Return Bond HLS Fund
Schedule of Investments – (continued)
March 31, 2024  (Unaudited) 

Shares or Principal Amount   Market Value†
CORPORATE BONDS - 30.0% - (continued)
  Media - 1.2% - (continued)
$    1,105,000 Cox Communications, Inc. 2.60%, 06/15/2031(1) $       917,518
             Discovery Communications LLC  
    545,000 3.63%, 05/15/2030        487,622
  1,685,000 4.00%, 09/15/2055      1,154,123
    560,000 5.20%, 09/20/2047        469,534
    386,000 5.30%, 05/15/2049        324,553
  Paramount Global  
    710,000 4.38%, 03/15/2043        481,957
1,000,000 5.25%, 04/01/2044 742,539
  Sirius XM Radio, Inc.  
1,425,000 4.00%, 07/15/2028(1) 1,303,730
3,600,000 4.13%, 07/01/2030(1) 3,146,752
2,900,000 Time Warner Cable Enterprises LLC 8.38%, 07/15/2033 3,239,667
780,000 Time Warner Cable LLC 6.55%, 05/01/2037 738,370
      20,819,756
  Mining - 0.4%
1,525,000 Corp. Nacional del Cobre de Chile 6.44%, 01/26/2036(1) 1,570,887
  Glencore Funding LLC  
815,000 5.37%, 04/04/2029(1) 817,054
1,605,000 5.63%, 04/04/2034(1) 1,611,071
1,590,000 6.38%, 10/06/2030(1) 1,677,588
935,000 Rio Tinto Alcan, Inc. 6.13%, 12/15/2033 1,004,178
      6,680,778
  Oil & Gas - 1.8%
  Aker BP ASA  
1,367,000 2.00%, 07/15/2026(1) 1,263,692
465,000 3.10%, 07/15/2031(1) 397,709
1,340,000 6.00%, 06/13/2033(1) 1,385,211
  BP Capital Markets America, Inc.  
115,000 2.94%, 06/04/2051 76,734
1,820,000 4.81%, 02/13/2033 1,797,157
1,140,000 4.89%, 09/11/2033 1,131,791
995,000 4.99%, 04/10/2034 994,383
1,470,000 BP Capital Markets PLC 6.45%, 12/01/2033, (6.45% fixed rate until 12/01/2033; 5 yr. USD CMT + 2.15% thereafter)(6)(8) 1,524,597
185,000 Cenovus Energy, Inc. 2.65%, 01/15/2032 153,581
  ConocoPhillips Co.  
431,000 3.80%, 03/15/2052 336,851
520,000 4.03%, 03/15/2062 412,786
425,000 5.05%, 09/15/2033(9) 429,126
410,000 5.55%, 03/15/2054 423,528
1,050,000 5.70%, 09/15/2063 1,102,375
600,000 Diamondback Energy, Inc. 6.25%, 03/15/2033 640,154
  Ecopetrol SA  
2,250,000 4.63%, 11/02/2031 1,871,837
2,425,000 8.38%, 01/19/2036 2,445,768
1,760,000 8.63%, 01/19/2029 1,865,628
  Energean Israel Finance Ltd.  
695,000 5.88%, 03/30/2031(7) 608,820
995,000 8.50%, 09/30/2033(7) 983,679
675,000 Equinor ASA 3.63%, 04/06/2040 563,236
  Hess Corp.  
1,812,000 7.13%, 03/15/2033 2,052,410
430,000 7.30%, 08/15/2031 486,959
2,045,000 Leviathan Bond Ltd. 6.50%, 06/30/2027(7) 1,971,151
785,000 Ovintiv, Inc. 6.63%, 08/15/2037 820,625
  Patterson-UTI Energy, Inc.  
695,000 5.15%, 11/15/2029(9) 679,987
735,000 7.15%, 10/01/2033 790,838
Shares or Principal Amount   Market Value†
CORPORATE BONDS - 30.0% - (continued)
  Oil & Gas - 1.8% - (continued)
$    1,405,000 Phillips 66 Co. 5.30%, 06/30/2033 $     1,413,980
             Shell International Finance BV  
    215,000 2.88%, 11/26/2041        159,617
    440,000 3.00%, 11/26/2051        300,727
    575,000 3.25%, 04/06/2050        417,772
   2,200,000 Viper Energy, Inc. 5.38%, 11/01/2027(1)     2,153,249
      31,655,958
  Packaging & Containers - 0.4%
6,115,000 Ball Corp. 6.00%, 06/15/2029 6,174,297
  Pharmaceuticals - 0.4%
  AbbVie, Inc.  
550,000 4.95%, 03/15/2031 553,894
245,000 5.40%, 03/15/2054 252,142
1,560,000 Bayer U.S. Finance LLC 6.38%, 11/21/2030(1) 1,595,837
  Bristol-Myers Squibb Co.  
775,000 5.20%, 02/22/2034 787,524
645,000 5.55%, 02/22/2054 666,313
1,985,000 Cigna Group 5.00%, 05/15/2029 1,986,898
  CVS Health Corp.  
1,095,000 2.70%, 08/21/2040 761,477
435,000 4.13%, 04/01/2040 366,832
      6,970,917
  Pipelines - 1.2%
630,000 Cheniere Energy Partners LP 4.50%, 10/01/2029 599,720
865,000 Cheniere Energy, Inc. 5.65%, 04/15/2034(1) 871,007
  Columbia Pipelines Holding Co. LLC  
560,000 5.68%, 01/15/2034(1) 556,708
1,370,000 6.04%, 08/15/2028(1) 1,400,584
  Columbia Pipelines Operating Co. LLC  
820,000 5.93%, 08/15/2030(1) 842,030
1,255,000 6.04%, 11/15/2033(1) 1,301,171
800,000 6.54%, 11/15/2053(1) 868,414
1,405,000 EIG Pearl Holdings SARL 3.55%, 08/31/2036(1) 1,198,145
  Enbridge, Inc.  
520,000 2.50%, 08/01/2033 419,622
2,385,000 5.70%, 03/08/2033 2,441,766
1,785,000 Energy Transfer LP 6.40%, 12/01/2030 1,883,034
125,000 EQM Midstream Partners LP 6.50%, 07/01/2027(1) 126,097
528,146 Galaxy Pipeline Assets Bidco Ltd. 2.94%, 09/30/2040(1) 423,423
  Greensaif Pipelines Bidco SARL  
2,130,000 6.13%, 02/23/2038(1) 2,167,351
1,490,000 6.51%, 02/23/2042(1) 1,550,220
  ONEOK, Inc.  
210,000 3.10%, 03/15/2030 187,748
660,000 3.40%, 09/01/2029 608,162
610,000 6.10%, 11/15/2032 639,628
  Targa Resources Corp.  
865,000 6.15%, 03/01/2029 900,118
570,000 6.25%, 07/01/2052 591,024
  Targa Resources Partners LP/Targa Resources Partners Finance Corp.  
535,000 4.00%, 01/15/2032 481,395
280,000 4.88%, 02/01/2031 267,852
  Western Midstream Operating LP  
580,000 4.75%, 08/15/2028 564,210
980,000 6.15%, 04/01/2033 1,005,140
      21,894,569
 

44

Hartford Total Return Bond HLS Fund
Schedule of Investments – (continued)
March 31, 2024  (Unaudited) 

Shares or Principal Amount   Market Value†
CORPORATE BONDS - 30.0% - (continued)
  Real Estate Investment Trusts - 0.7%
             American Tower Corp.  
$       90,000 2.70%, 04/15/2031 $        76,236
    955,000 3.80%, 08/15/2029        891,612
             Crown Castle, Inc.  
    960,000 2.90%, 03/15/2027        898,162
    470,000 4.30%, 02/15/2029        450,718
  1,995,000 4.80%, 09/01/2028      1,956,861
    785,000 5.00%, 01/11/2028        776,781
650,000 5.60%, 06/01/2029 659,213
  GLP Capital LP/GLP Financing II, Inc.  
390,000 5.30%, 01/15/2029 383,579
1,535,000 5.75%, 06/01/2028 1,536,742
2,240,000 SBA Tower Trust 2.84%, 01/15/2050(1) 2,186,298
1,887,000 VICI Properties LP 4.95%, 02/15/2030 1,821,990
425,000 VICI Properties LP/VICI Note Co., Inc. 4.63%, 12/01/2029(1) 401,872
40,000 WEA Finance LLC 3.50%, 06/15/2029(1) 35,370
      12,075,434
  Retail - 0.4%
  AutoZone, Inc.  
765,000 4.75%, 08/01/2032 742,750
235,000 4.75%, 02/01/2033 227,194
670,000 6.55%, 11/01/2033 734,099
  FirstCash, Inc.  
3,352,000 4.63%, 09/01/2028(1) 3,156,926
1,735,000 5.63%, 01/01/2030(1) 1,649,175
993,000 O'Reilly Automotive, Inc. 4.70%, 06/15/2032 970,701
      7,480,845
  Semiconductors - 0.2%
  Intel Corp.  
350,000 3.10%, 02/15/2060 221,976
790,000 5.15%, 02/21/2034 791,943
145,000 5.60%, 02/21/2054 148,045
285,000 5.70%, 02/10/2053 294,814
500,000 5.90%, 02/10/2063 531,413
1,220,000 Marvell Technology, Inc. 2.45%, 04/15/2028 1,100,258
1,035,000 Qorvo, Inc. 3.38%, 04/01/2031(1) 889,894
      3,978,343
  Software - 1.4%
4,249,000 Black Knight InfoServ LLC 3.63%, 09/01/2028(1) 4,020,319
  Constellation Software, Inc.  
100,000 5.16%, 02/16/2029(1) 99,947
640,000 5.46%, 02/16/2034(1) 644,809
3,542,000 Fair Isaac Corp. 4.00%, 06/15/2028(1) 3,309,640
668,000 MSCI, Inc. 3.63%, 11/01/2031(1) 579,518
  Open Text Corp.  
4,905,000 3.88%, 12/01/2029(1) 4,372,799
1,905,000 6.90%, 12/01/2027(1) 1,969,421
600,000 Open Text Holdings, Inc. 4.13%, 12/01/2031(1) 526,434
  Oracle Corp.  
405,000 2.95%, 04/01/2030 360,679
2,900,000 3.85%, 04/01/2060 2,067,677
745,000 4.10%, 03/25/2061 560,603
70,000 4.13%, 05/15/2045 56,520
900,000 6.15%, 11/09/2029 948,856
4,425,000 SS&C Technologies, Inc. 5.50%, 09/30/2027(1) 4,320,017
      23,837,239
  Telecommunications - 0.3%
  AT&T, Inc.  
769,000 3.55%, 09/15/2055 538,344
Shares or Principal Amount   Market Value†
CORPORATE BONDS - 30.0% - (continued)
  Telecommunications - 0.3% - (continued)
$    1,266,000 3.80%, 12/01/2057 $       917,999
             Cisco Systems, Inc.  
    860,000 4.95%, 02/26/2031        867,685
    570,000 5.35%, 02/26/2064        584,738
             T-Mobile USA, Inc.  
  2,110,000 3.88%, 04/15/2030      1,976,223
    420,000 5.05%, 07/15/2033        415,462
     695,000 5.75%, 01/15/2034       724,413
      6,024,864
  Trucking & Leasing - 0.4%
3,775,000 DAE Funding LLC 1.55%, 08/01/2024(1) 3,713,157
  Penske Truck Leasing Co. LP/PTL Finance Corp.  
1,145,000 2.70%, 11/01/2024(1) 1,124,728
1,185,000 4.00%, 07/15/2025(1) 1,160,620
305,000 5.35%, 03/30/2029(1) 305,373
430,000 6.05%, 08/01/2028(1) 442,576
      6,746,454
  Total Corporate Bonds
(cost $541,459,887)
$ 527,961,037
FOREIGN GOVERNMENT OBLIGATIONS - 3.6%
  Angola - 0.1%
  Angola Government International Bonds  
1,600,000 8.00%, 11/26/2029(7) $ 1,488,000
310,000 8.75%, 04/14/2032(1) 284,484
      1,772,484
  Bermuda - 0.1%
  Bermuda Government International Bonds  
735,000 2.38%, 08/20/2030(1) 613,210
1,825,000 5.00%, 07/15/2032(1) 1,755,650
      2,368,860
  Brazil - 0.5%
BRL 42,374,000 Brazil Notas do Tesouro Nacional 10.00%, 01/01/2031 8,102,566
  Chile - 0.2%
  Chile Government International Bonds  
EUR 1,605,000 1.25%, 01/22/2051 969,670
$ 1,795,000 4.95%, 01/05/2036 1,735,808
      2,705,478
  Colombia - 0.2%
  Colombia Government International Bonds  
2,685,000 5.00%, 06/15/2045 1,942,328
395,000 5.20%, 05/15/2049 289,732
1,180,000 5.63%, 02/26/2044 937,055
      3,169,115
  Costa Rica - 0.1%
1,140,000 Costa Rica Government International Bonds 6.55%, 04/03/2034(1) 1,178,479
  Hungary - 0.4%
  Hungary Government International Bonds  
EUR 3,860,000 1.63%, 04/28/2032(7) 3,402,783
$ 445,000 5.50%, 03/26/2036(1) 431,650
2,415,000 6.13%, 05/22/2028(1) 2,472,496
      6,306,929
  Indonesia - 0.2%
  Indonesia Government International Bonds  
EUR 3,795,000 1.10%, 03/12/2033 3,243,085
240,000 2.15%, 07/18/2024(7) 256,910
      3,499,995
 

45

Hartford Total Return Bond HLS Fund
Schedule of Investments – (continued)
March 31, 2024  (Unaudited) 

Shares or Principal Amount   Market Value†
FOREIGN GOVERNMENT OBLIGATIONS - 3.6% - (continued)
  Israel - 0.0%
$      755,000 Israel Government International Bonds 5.75%, 03/12/2054 $       723,426
  Ivory Coast - 0.1%
EUR   1,965,000 Ivory Coast Government International Bonds 4.88%, 01/30/2032(7)     1,823,148
  Mexico - 0.4%
             Mexico Government International Bonds  
$     765,000 3.50%, 02/12/2034        636,643
  5,785,000 6.00%, 05/07/2036      5,789,840
    290,000 6.34%, 05/04/2053        286,289
435,000 6.40%, 05/07/2054 433,522
      7,146,294
  North Macedonia - 0.2%
  North Macedonia Government International Bonds  
EUR 1,825,000 2.75%, 01/18/2025(7) 1,928,539
2,165,000 3.68%, 06/03/2026(1) 2,261,990
      4,190,529
  Panama - 0.1%
  Panama Government International Bonds  
$ 275,000 6.85%, 03/28/2054 253,688
590,000 6.88%, 01/31/2036 582,624
      836,312
  Philippines - 0.2%
  Philippines Government International Bonds  
EUR 3,315,000 1.20%, 04/28/2033 2,861,468
710,000 1.75%, 04/28/2041 536,939
      3,398,407
  Poland - 0.0%
$ 670,000 Bank Gospodarstwa Krajowego 5.38%, 05/22/2033(1) 665,841
  Romania - 0.5%
  Romania Government International Bonds  
EUR 2,970,000 2.63%, 12/02/2040(1) 2,182,979
6,785,000 2.75%, 04/14/2041(7) 4,988,578
$ 1,286,000 5.88%, 01/30/2029(1) 1,284,714
930,000 6.38%, 01/30/2034(1) 942,229
      9,398,500
  Saudi Arabia - 0.3%
  Saudi Government International Bonds  
EUR 1,140,000 2.00%, 07/09/2039(7) 938,651
$ 455,000 5.00%, 01/18/2053(1) 406,342
3,995,000 5.75%, 01/16/2054(1) 3,945,862
      5,290,855
  Total Foreign Government Obligations
(cost $72,512,404)
  $ 62,577,218
MUNICIPAL BONDS - 1.4%
  Development - 0.3%
4,650,000 New York Transportation Dev Corp., NY, Rev 4.25%, 09/01/2035 $ 4,509,473
  General - 0.6%
720,000 Chicago Transit Auth Sales Tax Receipts Fund, IL, Rev 3.91%, 12/01/2040 621,575
Shares or Principal Amount   Market Value†
MUNICIPAL BONDS - 1.4% - (continued)
  General - 0.6% - (continued)
$    5,445,000 Philadelphia Auth for Industrial Dev, PA, Rev, (NATL Insured) 6.55%, 10/15/2028 $     5,846,417
   4,130,000 State Board of Administration Finance Corp., FL, Rev 1.26%, 07/01/2025     3,937,412
      10,405,404
  School District - 0.1%
             Chicago Board of Education, IL, GO  
  1,115,000 6.14%, 12/01/2039      1,046,266
   1,540,000 6.32%, 11/01/2029     1,529,550
      2,575,816
  Transportation - 0.2%
2,790,000 Metropolitan Transportation Auth, NY, Rev 6.81%, 11/15/2040 3,100,866
  Utilities - 0.1%
2,395,000 Texas Natural Gas Securitization Finance Corp., TX, Rev 5.10%, 04/01/2035 2,415,948
  Utility - Electric - 0.1%
731,000 Municipal Electric Auth of Georgia, GA, Rev 6.64%, 04/01/2057 842,012
  Total Municipal Bonds
(cost $25,507,701)
  $ 23,849,519
SENIOR FLOATING RATE INTERESTS - 0.0%(10)
  Oil & Gas Services - 0.0%
757,275 PES Holdings LLC 0.00%, 12/31/2024, U.S. (Fed) Prime Rate + 6.99%(11)(12) $ 7,573
  Total Senior Floating Rate Interests
(cost $757,276)
$ 7,573
U.S. GOVERNMENT AGENCIES - 53.6%
  Mortgage-Backed Agencies - 53.6%
  Federal Home Loan Mortgage Corp. - 8.1%
43,786 0.00%, 11/15/2036(13)(14) $ 35,388
5,634,717 0.37%, 12/25/2033(3)(4) 178,924
19,029,795 0.60%, 03/25/2027(3)(4) 279,702
4,763,205 0.63%, 10/25/2026(3)(4) 57,213
17,205,322 0.72%, 12/25/2030(3)(4) 661,646
10,070,661 0.74%, 06/25/2027(3)(4) 194,285
4,223,031 0.88%, 11/25/2030(3)(4) 191,081
2,073,735 1.00%, 02/25/2051 1,736,790
7,711,440 1.02%, 10/25/2030(3)(4) 394,442
12,809,802 1.12%, 06/25/2030(3)(4) 711,902
9,093,636 1.50%, 05/15/2037(4) 516,353
835,703 1.50%, 11/01/2051 630,693
6,229,461 1.57%, 05/25/2030(3)(4) 471,981
632,613 1.75%, 10/15/2042 535,301
1,486,675 2.00%, 05/01/2036 1,326,114
614,839 2.00%, 06/01/2036 548,428
301,490 2.00%, 12/01/2040 255,276
1,880,233 2.00%, 05/01/2041 1,588,484
2,082,053 2.00%, 12/01/2041 1,750,008
1,678,143 2.00%, 10/01/2050 1,339,850
1,597,415 2.00%, 02/01/2051 1,289,800
8,401,709 2.00%, 03/01/2051 6,702,632
2,839,722 2.00%, 04/01/2051 2,261,911
1,592,015 2.00%, 05/01/2051 1,285,673
685,237 2.00%, 08/01/2051 546,868
689,775 2.00%, 11/01/2051 553,259
3,080,204 2.00%, 04/01/2052 2,472,087
3,704,647 2.00%, 06/15/2052(4) 467,494
178,038 2.50%, 05/15/2028(4) 6,139
951,781 2.50%, 05/01/2050 800,957
1,098,953 2.50%, 06/01/2050 920,536
 

46

Hartford Total Return Bond HLS Fund
Schedule of Investments – (continued)
March 31, 2024  (Unaudited) 

Shares or Principal Amount   Market Value†
U.S. GOVERNMENT AGENCIES - 53.6% - (continued)
  Mortgage-Backed Agencies - 53.6% - (continued)
  Federal Home Loan Mortgage Corp. - 8.1% - (continued)
$    6,299,685 2.50%, 07/01/2050 $     5,267,907
  1,922,479 2.50%, 11/01/2050      1,604,570
    587,027 2.50%, 02/01/2051        495,209
  1,994,179 2.50%, 03/01/2051      1,663,294
  2,446,980 2.50%, 03/25/2051(4)        345,381
    731,210 2.50%, 05/01/2051        609,448
    912,920 2.50%, 07/01/2051        763,142
647,623 2.50%, 08/01/2051 539,508
1,137,093 2.50%, 10/01/2051 947,857
2,922,511 2.50%, 03/15/2052(4) 405,180
1,875,898 2.50%, 03/25/2052 1,645,124
3,617,447 2.50%, 04/01/2052 3,004,165
382,917 3.00%, 03/15/2028(4) 14,906
587,432 3.00%, 08/01/2029 563,464
132,550 3.00%, 05/15/2032(4) 2,226
1,919,919 3.00%, 10/01/2032 1,814,245
303,783 3.00%, 03/15/2033(4) 24,402
1,235,480 3.00%, 04/01/2033 1,160,667
1,841,663 3.00%, 11/01/2036 1,696,228
1,076,542 3.00%, 01/01/2037 991,213
2,025,000 3.00%, 03/25/2040 1,721,644
564,807 3.00%, 05/15/2046 514,423
3,543,679 3.00%, 11/01/2046 3,129,840
913,068 3.00%, 12/01/2046 807,015
772,113 3.00%, 07/01/2050 671,830
304,404 3.00%, 08/01/2051 264,804
2,786,083 3.00%, 09/25/2051(4) 443,212
2,084,719 3.00%, 10/01/2051 1,816,957
794,784 3.00%, 01/01/2052 695,566
1,013,666 3.00%, 05/01/2052 882,761
354,616 3.25%, 11/15/2041 323,782
66,918 3.50%, 09/15/2026(4) 1,802
57,913 3.50%, 03/15/2027(4) 1,126
790,272 3.50%, 05/15/2034(4) 58,129
1,308,684 3.50%, 08/01/2034 1,243,422
432,427 3.50%, 03/15/2041(4) 12,025
436,147 3.50%, 10/15/2045 389,515
310,748 3.50%, 06/01/2046 284,007
1,092,267 3.50%, 12/15/2046 995,334
1,193,555 3.50%, 10/01/2047 1,090,815
441,838 3.50%, 12/01/2047 403,293
6,477,133 3.50%, 03/01/2048 5,922,372
196,112 3.50%, 08/01/2048 179,390
299,467 4.00%, 08/01/2025 295,918
94,614 4.00%, 12/15/2026(4) 1,379
151,423 4.00%, 07/15/2027(4) 2,670
119,422 4.00%, 03/15/2028(4) 2,781
73,050 4.00%, 06/15/2028(4) 1,940
277,158 4.00%, 07/15/2030(4) 17,968
1,247,800 4.00%, 05/25/2040(4) 184,425
1,276,741 4.00%, 09/15/2041 1,222,628
1,110,763 4.00%, 05/01/2042 1,054,833
373,539 4.00%, 08/01/2042 354,721
552,302 4.00%, 09/01/2042 524,479
26,952 4.00%, 07/01/2044 25,871
2,248,936 4.00%, 03/25/2045(4) 396,016
104,150 4.00%, 06/01/2045 98,867
370,376 4.00%, 02/01/2046 351,679
138,033 4.00%, 04/01/2047 130,910
108,008 4.00%, 09/01/2048 102,237
2,529,328 4.00%, 04/01/2049 2,378,258
499,380 4.00%, 05/01/2049 473,518
1,893,365 4.00%, 07/01/2049 1,788,049
195,440 4.50%, 09/01/2044 190,199
934,123 4.75%, 07/15/2039 928,178
393,585 5.00%, 09/15/2033(4) 59,250
Shares or Principal Amount   Market Value†
U.S. GOVERNMENT AGENCIES - 53.6% - (continued)
  Mortgage-Backed Agencies - 53.6% - (continued)
  Federal Home Loan Mortgage Corp. - 8.1% - (continued)
$        3,813 5.00%, 03/01/2039 $         3,813
    114,503 5.00%, 08/01/2039        114,566
      2,737 5.00%, 09/01/2039          2,712
      6,486 5.00%, 12/01/2039          6,457
      6,079 5.00%, 04/01/2041          6,079
     13,643 5.00%, 04/01/2044         13,717
     10,021 5.00%, 05/01/2044          9,956
497,248 5.00%, 02/15/2048(4) 104,967
588,614 5.00%, 08/01/2052 575,184
16,181,790 5.00%, 09/01/2052 15,814,106
1,613,839 5.00%, 04/01/2053 1,587,641
2,152,000 5.36%, 01/25/2029(3) 2,211,049
9,570 5.50%, 03/01/2028 9,546
25,501 5.50%, 04/01/2033 26,079
332,800 5.50%, 05/01/2034 340,359
6,067 5.50%, 05/01/2037 6,205
16,819 5.50%, 11/01/2037 17,202
31,340 5.50%, 02/01/2038 32,054
13,247 5.50%, 04/01/2038 13,549
17,021 5.50%, 06/01/2038 17,408
1,761,390 5.50%, 08/01/2038 1,801,431
179,576 5.50%, 09/01/2038 183,660
3,451 5.50%, 12/01/2039 3,529
46,290 5.50%, 02/01/2040 47,343
153,254 5.50%, 05/01/2040 156,739
148,790 5.50%, 08/01/2040 152,174
765,980 5.50%, 06/01/2041 783,401
636,856 5.50%, 10/15/2046(4) 127,933
2,254,976 5.50%, 02/01/2053 2,254,323
737 6.00%, 07/01/2029 747
79,623 6.00%, 10/01/2032 81,642
16,753 6.00%, 11/01/2032 16,973
98,575 6.00%, 12/01/2032 100,870
7,568 6.00%, 11/01/2033 7,835
17,355 6.00%, 01/01/2034 17,887
7,748 6.00%, 02/01/2034 8,018
79,516 6.00%, 08/01/2034 82,517
83,164 6.00%, 09/01/2034 86,288
101,015 6.00%, 01/01/2035 103,515
490,733 6.00%, 11/01/2037 509,294
1,304,253 6.00%, 12/01/2052 1,329,289
648,973 6.00%, 03/01/2053 664,560
109 6.50%, 08/01/2032 113
254,405 6.50%, 07/15/2036 261,384
56,296 6.50%, 12/01/2037 59,234
1,499,551 6.50%, 11/01/2053 1,543,211
27 7.50%, 09/01/2029 27
1,432,000 8.22%, 04/25/2042, 30 day USD SOFR Average + 2.90%(1)(2) 1,480,409
1,310,000 8.57%, 04/25/2043, 30 day USD SOFR Average + 3.25%(1)(2) 1,373,099
2,005,000 8.67%, 05/25/2042, 30 day USD SOFR Average + 3.35%(1)(2) 2,094,514
4,410,000 8.67%, 06/25/2043, 30 day USD SOFR Average + 3.35%(1)(2) 4,663,575
1,705,000 8.72%, 10/25/2041, 30 day USD SOFR Average + 3.40%(1)(2) 1,764,139
470,000 8.82%, 03/25/2042, 30 day USD SOFR Average + 3.50%(1)(2) 489,975
3,815,000 8.82%, 05/25/2043, 30 day USD SOFR Average + 3.50%(1)(2) 4,025,295
620,000 8.87%, 08/25/2042, 30 day USD SOFR Average + 3.55%(1)(2) 650,373
1,629,000 8.97%, 11/25/2041, 30 day USD SOFR Average + 3.65%(1)(2) 1,696,123
 

47

Hartford Total Return Bond HLS Fund
Schedule of Investments – (continued)
March 31, 2024  (Unaudited) 

Shares or Principal Amount   Market Value†
U.S. GOVERNMENT AGENCIES - 53.6% - (continued)
  Mortgage-Backed Agencies - 53.6% - (continued)
  Federal Home Loan Mortgage Corp. - 8.1% - (continued)
$    1,705,000 9.02%, 09/25/2042, 30 day USD SOFR Average + 3.70%(1)(2) $     1,807,195
  1,525,000 9.32%, 07/25/2042, 30 day USD SOFR Average + 4.00%(1)(2)      1,621,160
   2,440,000 9.82%, 06/25/2042, 30 day USD SOFR Average + 4.50%(1)(2)     2,638,515
      142,310,149
  Federal National Mortgage Association - 14.4%
     47,849 0.00%, 03/25/2036(13)(14)         40,883
    375,158 0.00%, 06/25/2041(13)(14)        280,698
702,100 0.02%, 06/25/2055(3)(4) 28,098
1,061,382 0.08%, 04/25/2055(3)(4) 38,330
7,566,576 0.30%, 01/25/2030(3)(4) 77,429
3,658,308 0.57%, 10/25/2049, 30 day USD SOFR Average + 5.89%(2)(4) 339,775
8,026,101 1.46%, 05/25/2029(3)(4) 355,304
1,020,931 1.48%, 05/25/2046(3)(4) 42,476
5,658,415 1.50%, 09/01/2051 4,274,352
327,819 1.50%, 10/01/2051 247,524
435,148 1.50%, 04/01/2052 328,340
1,012,498 1.75%, 12/25/2042 884,342
1,533,632 2.00%, 05/01/2036 1,367,985
2,305,078 2.00%, 06/01/2036 2,058,972
1,703,357 2.00%, 08/01/2036 1,519,361
1,085,007 2.00%, 09/01/2036 967,798
778,802 2.00%, 12/01/2036 694,658
613,901 2.00%, 09/25/2039 530,380
1,246,965 2.00%, 09/01/2040 1,058,365
2,839,535 2.00%, 12/01/2040 2,402,239
1,146,221 2.00%, 04/01/2041 968,573
391,026 2.00%, 05/01/2041 330,417
1,505,787 2.00%, 10/01/2041 1,267,015
7,488,609 2.00%, 12/01/2050 5,984,395
9,419,277 2.00%, 02/01/2051 7,532,558
13,797,215 2.00%, 03/01/2051 10,989,991
14,279,683 2.00%, 04/01/2051 11,363,623
1,562,276 2.00%, 05/01/2051 1,243,363
522,561 2.00%, 07/01/2051 416,520
698,446 2.00%, 10/01/2051 562,832
3,815,370 2.00%, 03/25/2052(4) 504,711
24,368 2.00%, 04/01/2052 19,351
774,699 2.03%, 08/25/2044(3)(4) 34,853
800,230 2.25%, 04/01/2033 661,272
167,937 2.50%, 06/25/2028(4) 5,682
2,093,763 2.50%, 09/01/2040 1,827,428
89,297 2.50%, 01/01/2043 76,605
2,089,105 2.50%, 02/01/2043 1,791,973
704,434 2.50%, 03/01/2043 604,350
1,526,078 2.50%, 05/01/2043 1,296,943
1,212,974 2.50%, 06/01/2043 1,040,614
674,807 2.50%, 04/01/2045 577,185
957,191 2.50%, 04/01/2050 799,666
1,096,620 2.50%, 06/01/2050 916,155
186,807 2.50%, 07/01/2050 155,910
1,720,143 2.50%, 09/01/2050 1,435,641
2,984,370 2.50%, 10/01/2050 2,514,539
1,269,567 2.50%, 01/01/2051 1,068,352
3,005,508 2.50%, 02/25/2051(4) 475,661
19,726,681 2.50%, 05/01/2051 16,492,029
2,481,681 2.50%, 06/01/2051 2,064,012
1,436,728 2.50%, 07/01/2051 1,199,363
963,064 2.50%, 09/01/2051 802,409
6,618,664 2.50%, 10/01/2051 5,512,123
14,014,170 2.50%, 11/01/2051 11,785,805
1,687,814 2.50%, 12/01/2051 1,413,294
Shares or Principal Amount   Market Value†
U.S. GOVERNMENT AGENCIES - 53.6% - (continued)
  Mortgage-Backed Agencies - 53.6% - (continued)
  Federal National Mortgage Association - 14.4% - (continued)
$    1,629,471 2.50%, 01/01/2052 $     1,369,164
  2,441,695 2.50%, 03/01/2052      2,033,018
  1,694,860 2.50%, 04/01/2052      1,412,112
  3,092,289 2.50%, 06/25/2052(4)        471,944
  3,037,393 2.50%, 09/25/2052(4)        472,356
  2,168,146 2.50%, 01/01/2057      1,794,678
     85,135 3.00%, 02/25/2027(4)            668
134,291 3.00%, 09/25/2027(4) 4,220
765,135 3.00%, 01/25/2028(4) 22,887
1,746,015 3.00%, 04/25/2033(4) 108,748
506,941 3.00%, 08/01/2033 479,194
1,264,205 3.00%, 03/01/2037 1,162,224
1,793,363 3.00%, 06/01/2043 1,598,529
1,142,161 3.00%, 09/01/2048 1,005,865
1,178,019 3.00%, 08/25/2049 1,047,934
167,676 3.00%, 12/01/2049 146,343
771,774 3.00%, 02/01/2050 678,413
2,722,359 3.00%, 08/01/2050 2,375,707
1,107,508 3.00%, 10/01/2050 963,492
1,512,917 3.00%, 12/01/2050 1,316,654
491,771 3.00%, 04/01/2051 427,826
1,433,179 3.00%, 05/01/2051 1,261,796
281,744 3.00%, 06/01/2051 243,798
356,000 3.00%, 07/01/2051 308,629
3,999,111 3.00%, 08/01/2051 3,473,998
2,670,213 3.00%, 09/01/2051 2,318,487
4,255,943 3.00%, 10/01/2051 3,695,459
4,607,211 3.00%, 11/01/2051 3,991,352
2,131,619 3.00%, 12/01/2051 1,851,111
983,146 3.00%, 01/01/2052 853,187
1,145,559 3.00%, 04/01/2052 996,866
1,431,475 3.00%, 05/01/2052 1,245,284
135,896 3.50%, 05/25/2027(4) 4,352
229,780 3.50%, 10/25/2027(4) 8,764
373,377 3.50%, 05/25/2030(4) 21,900
99,143 3.50%, 08/25/2030(4) 4,617
101,097 3.50%, 02/25/2031(4) 2,323
302,368 3.50%, 09/25/2035(4) 27,775
1,860,222 3.50%, 11/25/2039(4) 161,242
1,678,000 3.50%, 01/25/2042 1,516,666
2,145,642 3.50%, 08/01/2043 1,986,519
637,785 3.50%, 10/01/2044 584,695
637,079 3.50%, 02/01/2045 582,718
573,725 3.50%, 01/01/2046 523,800
433,482 3.50%, 03/01/2046 396,496
995,031 3.50%, 09/01/2046 909,010
478,199 3.50%, 10/01/2046 436,524
357,941 3.50%, 10/25/2046(4) 64,682
533,287 3.50%, 11/01/2046 488,637
731,738 3.50%, 05/01/2047 667,971
1,614,980 3.50%, 09/01/2047 1,475,151
296,752 3.50%, 12/01/2047 273,637
1,036,748 3.50%, 01/01/2048 946,366
247,789 3.50%, 02/01/2048 226,834
1,141,056 3.50%, 07/01/2048 1,041,613
2,459,184 3.50%, 04/01/2052 2,229,576
4,105,825 3.50%, 09/01/2057 3,648,151
2,337,281 3.50%, 05/01/2058 2,076,712
2,327,835 3.50%, 12/25/2058 2,072,110
1,620,000 3.52%, 11/01/2032 1,485,170
103,224 4.00%, 06/01/2025 101,584
56,313 4.00%, 10/01/2025 55,583
1,310,688 4.00%, 10/01/2040 1,243,215
529,882 4.00%, 11/01/2040 502,586
393,876 4.00%, 12/01/2040 373,573
191,665 4.00%, 02/01/2041 181,790
 

48

Hartford Total Return Bond HLS Fund
Schedule of Investments – (continued)
March 31, 2024  (Unaudited) 

Shares or Principal Amount   Market Value†
U.S. GOVERNMENT AGENCIES - 53.6% - (continued)
  Mortgage-Backed Agencies - 53.6% - (continued)
  Federal National Mortgage Association - 14.4% - (continued)
$      533,611 4.00%, 03/01/2041 $       506,111
  1,299,380 4.00%, 06/01/2041      1,249,712
    191,358 4.00%, 03/25/2042(4)         22,341
    229,270 4.00%, 08/01/2042        217,445
    503,023 4.00%, 09/01/2042        477,083
    114,917 4.00%, 11/25/2042(4)         10,852
     74,691 4.00%, 03/01/2045         70,827
445,528 4.00%, 07/01/2045 422,577
285,080 4.00%, 03/01/2046 270,369
108,266 4.00%, 05/01/2046 102,590
502,048 4.00%, 06/01/2046 475,631
506,912 4.00%, 04/01/2047 480,803
1,241,865 4.00%, 10/01/2047 1,175,993
3,000,797 4.00%, 06/01/2048 2,841,581
570,190 4.00%, 09/01/2048 537,057
367,838 4.00%, 01/01/2049 348,857
3,288,810 4.00%, 04/01/2049 3,088,877
127,514 4.00%, 08/01/2049 120,938
2,288,176 4.00%, 04/01/2050 2,152,377
371,289 4.00%, 08/01/2051 352,132
1,532,256 4.00%, 06/01/2052 1,425,561
1,163,291 4.03%, 06/01/2028 1,129,840
1,475,000 4.19%, 04/01/2028 1,443,737
571,672 4.37%, 05/01/2028 565,264
1,065,000 4.41%, 04/01/2030 1,045,937
1,380,916 4.46%, 05/01/2028 1,364,519
21,025 4.50%, 04/01/2025 20,858
27,123 4.50%, 07/25/2027(4) 289
340,470 4.50%, 09/01/2035 332,963
1,130,058 4.50%, 12/01/2037 1,122,079
1,119,433 4.50%, 08/01/2040 1,098,840
1,080,252 4.50%, 10/01/2040 1,060,391
528,240 4.50%, 10/01/2041 518,529
1,259,282 4.50%, 08/25/2043(4) 236,145
452,729 4.50%, 09/01/2043 444,407
572,128 4.50%, 04/01/2049 553,926
2,500,372 4.50%, 01/01/2051 2,426,505
1,789,851 4.50%, 03/01/2053 1,705,947
380,000 4.75%, 04/01/2028 378,965
9,773 5.00%, 06/01/2025 9,762
161,550 5.00%, 04/25/2038 156,001
1,966,235 5.00%, 07/01/2052 1,921,406
1,305,198 5.00%, 08/01/2052 1,275,844
16,016,883 5.00%, 09/01/2052 15,652,945
2,050,000 5.07%, 12/01/2028 2,078,419
77,802 5.50%, 06/01/2033 79,469
63,171 5.50%, 08/01/2033 64,526
415,217 5.50%, 09/01/2033 424,116
385,129 5.50%, 12/01/2033 393,384
262,554 5.50%, 01/01/2034 268,183
1,434,824 5.50%, 11/01/2035 1,465,622
397,397 5.50%, 04/01/2036 405,934
308,395 5.50%, 09/01/2036 315,003
229,440 5.50%, 04/25/2037 233,768
1,186,491 5.50%, 11/25/2040(4) 145,362
858,759 5.50%, 06/25/2042(4) 180,523
1,123,995 5.50%, 08/25/2044(4) 193,514
787,586 5.50%, 11/01/2052 786,077
4,548,664 5.50%, 12/01/2052 4,541,977
2,376,385 5.50%, 06/01/2053 2,369,161
25,405 5.54%, 05/25/2042(3)(4) 1,834
178,799 6.00%, 12/01/2032 183,440
145,708 6.00%, 01/01/2033 149,659
20,441 6.00%, 02/01/2033 20,637
137,344 6.00%, 03/01/2033 140,196
357,207 6.00%, 02/01/2037 370,208
Shares or Principal Amount   Market Value†
U.S. GOVERNMENT AGENCIES - 53.6% - (continued)
  Mortgage-Backed Agencies - 53.6% - (continued)
  Federal National Mortgage Association - 14.4% - (continued)
$      686,985 6.00%, 01/25/2042(4) $        53,224
  1,383,906 6.00%, 05/01/2053      1,417,109
        133 6.50%, 05/01/2031            136
        481 6.50%, 09/01/2031            494
        489 6.50%, 07/01/2032            500
  2,608,889 6.50%, 11/01/2053      2,684,849
        445 7.00%, 07/01/2029            459
61 7.00%, 12/01/2030 63
61 7.00%, 03/01/2032 63
421 7.00%, 09/01/2032 434
5,106,256 7.00%, 09/01/2053 5,266,061
416 7.50%, 06/01/2027 418
5,508 7.50%, 03/01/2030 5,561
5,360 7.50%, 04/01/2030 5,354
513 7.50%, 06/01/2030 520
957 7.50%, 07/01/2030 970
282 7.50%, 08/01/2030 286
2,794 7.50%, 05/01/2031 2,809
3,682 7.50%, 06/01/2031 3,657
357 7.50%, 08/01/2031 360
14,442 7.50%, 09/01/2031 14,340
33 7.50%, 05/01/2032 33
      253,810,332
  Government National Mortgage Association - 7.5%
2,457,822 2.00%, 10/20/2050 2,018,077
4,713,325 2.00%, 12/20/2050 3,870,532
25,195,000 2.00%, 04/20/2054(15) 20,665,774
427,402 2.50%, 12/16/2039 390,944
819,383 2.50%, 07/20/2041 719,485
2,616,238 2.50%, 10/20/2049 2,269,059
1,943,809 2.50%, 11/20/2049 1,666,289
1,543,441 2.50%, 03/20/2051 1,318,178
2,199,702 2.50%, 09/20/2051 1,877,034
7,339,807 2.50%, 10/20/2051 6,260,102
152,693 3.00%, 09/20/2028(4) 4,876
2,157,020 3.00%, 05/20/2035(4) 119,502
262,515 3.00%, 02/16/2043(4) 36,600
1,401,129 3.00%, 03/15/2045 1,246,379
66,741 3.00%, 04/15/2045 59,372
1,179,888 3.00%, 07/15/2045 1,049,579
24,097 3.00%, 08/15/2045 21,435
7,413,645 3.00%, 04/20/2051 6,564,325
2,226,307 3.00%, 08/20/2051 1,965,318
2,831,400 3.00%, 09/20/2051 2,502,262
7,240,844 3.00%, 12/20/2051 6,395,399
1,485,716 3.00%, 02/20/2052 1,336,087
3,615,805 3.00%, 07/20/2052 3,191,617
47,351 3.50%, 02/16/2027(4) 1,626
156,053 3.50%, 03/20/2027(4) 4,382
114,366 3.50%, 07/20/2040(4) 2,285
114,200 3.50%, 02/20/2041(4) 1,691
464,879 3.50%, 04/20/2042(4) 17,474
1,450,622 3.50%, 10/20/2042(4) 217,949
178,209 3.50%, 11/15/2042 166,450
4,333 3.50%, 12/15/2042 4,041
103,923 3.50%, 02/15/2043 96,872
5,199 3.50%, 03/15/2043 4,846
857,107 3.50%, 04/15/2043 798,918
1,970,787 3.50%, 05/15/2043 1,837,812
509,866 3.50%, 07/20/2043(4) 78,158
1,058,478 3.50%, 03/20/2044 982,813
1,363,136 3.50%, 06/20/2046 1,260,748
346,452 3.50%, 07/20/2046 320,411
360,968 3.50%, 10/20/2046 332,781
1,441,918 3.50%, 02/20/2047 1,332,019
422,936 3.50%, 08/20/2047 390,400
 

49

Hartford Total Return Bond HLS Fund
Schedule of Investments – (continued)
March 31, 2024  (Unaudited) 

Shares or Principal Amount   Market Value†
U.S. GOVERNMENT AGENCIES - 53.6% - (continued)
  Mortgage-Backed Agencies - 53.6% - (continued)
  Government National Mortgage Association - 7.5% - (continued)
$      295,077 3.50%, 11/20/2047 $       271,799
    362,998 3.50%, 03/20/2048        334,275
  1,110,620 3.50%, 07/20/2049      1,022,539
 10,079,000 3.50%, 04/20/2054(15)      9,180,948
    857,528 3.88%, 08/15/2042        816,491
     27,469 4.00%, 12/16/2026(4)            130
    436,362 4.00%, 05/20/2029(4)          8,378
1,550,925 4.00%, 07/20/2040 1,492,764
1,713,842 4.00%, 09/20/2040 1,649,571
2,722,743 4.00%, 10/20/2040 2,618,660
706,507 4.00%, 12/20/2040 679,144
148,849 4.00%, 05/16/2042(4) 14,844
2,228,630 4.00%, 09/16/2042(4) 435,338
121,619 4.00%, 01/20/2044(4) 21,922
884,887 4.00%, 01/16/2046(4) 155,933
800,175 4.00%, 03/20/2047(4) 129,222
386,097 4.00%, 11/20/2047 362,526
1,077,496 4.00%, 03/20/2048 1,015,468
2,761,346 4.00%, 07/20/2048 2,605,240
46,491 4.50%, 11/15/2039 45,181
488,146 4.50%, 05/15/2040 479,518
1,718,925 4.50%, 05/20/2040 1,695,928
90,385 4.50%, 07/15/2041 87,858
1,586,260 4.50%, 08/20/2045(4) 287,668
151,160 4.50%, 01/20/2046 148,798
1,076,788 4.50%, 01/20/2047(4) 133,747
1,168,230 4.50%, 05/20/2048(4) 183,459
336,623 4.50%, 05/20/2052 324,155
982,532 4.50%, 08/20/2052 945,532
899,444 4.50%, 09/20/2052 865,387
4,043,352 4.50%, 10/20/2052 3,890,047
1,019,368 5.00%, 02/16/2040(4) 204,728
911,124 5.00%, 05/20/2040 919,016
721,596 5.00%, 06/20/2040 727,846
283,298 5.00%, 07/20/2040 285,752
544,119 5.00%, 06/15/2041 554,729
572,893 5.00%, 10/16/2041(4) 90,072
764,474 5.00%, 03/15/2044 780,416
216,403 5.00%, 01/16/2047(4) 47,298
3,701,774 5.00%, 07/15/2052 3,644,749
450,000 5.00%, 04/20/2054(15) 442,579
199,616 5.50%, 03/15/2033 204,682
319,731 5.50%, 04/15/2033 327,844
276,267 5.50%, 05/15/2033 281,116
413,576 5.50%, 10/20/2034 426,545
707,553 5.50%, 03/20/2039(4) 103,662
702,096 5.50%, 02/16/2047(4) 108,188
450,389 5.50%, 02/20/2047(4) 74,799
15,100,000 5.50%, 04/20/2054(15) 15,095,546
399 6.00%, 01/15/2029 404
335 6.00%, 04/15/2029 338
14,469 6.00%, 12/15/2031 14,712
346 6.00%, 10/15/2032 360
9,007 6.00%, 06/15/2033 9,259
191 6.00%, 03/15/2034 194
15,770 6.00%, 08/15/2034 16,352
26,024 6.00%, 09/15/2034 26,798
17,679 6.00%, 02/15/2035 18,243
30,851 6.00%, 03/15/2036 32,123
36,246 6.00%, 05/15/2036 37,256
79,878 6.00%, 06/15/2036 82,489
8,720 6.00%, 06/15/2037 8,942
20,280 6.00%, 08/15/2037 21,022
30,747 6.00%, 08/15/2039 31,592
710,789 6.00%, 09/20/2040(4) 122,948
51,970 6.00%, 06/15/2041 53,618
Shares or Principal Amount   Market Value†
U.S. GOVERNMENT AGENCIES - 53.6% - (continued)
  Mortgage-Backed Agencies - 53.6% - (continued)
  Government National Mortgage Association - 7.5% - (continued)
$      698,577 6.00%, 02/20/2046(4) $       113,560
     11,168 6.50%, 06/15/2028         11,486
        499 6.50%, 08/15/2028            510
      1,327 6.50%, 09/15/2028          1,354
        679 6.50%, 11/15/2028            695
      2,763 6.50%, 12/15/2028          2,850
      5,966 6.50%, 02/15/2029          6,115
41,509 6.50%, 03/15/2029 42,542
12,966 6.50%, 04/15/2029 13,333
4,446 6.50%, 05/15/2029 4,571
72,171 6.50%, 06/15/2029 73,915
2,184 6.50%, 07/15/2029 2,223
90 6.50%, 03/15/2031 92
70,680 6.50%, 04/15/2031 72,642
19,759 6.50%, 05/15/2031 20,391
4,068 6.50%, 06/15/2031 4,154
84,695 6.50%, 07/15/2031 87,201
14,231 6.50%, 08/15/2031 14,619
22,754 6.50%, 09/15/2031 23,370
38,803 6.50%, 10/15/2031 39,502
141,587 6.50%, 11/15/2031 145,519
28,891 6.50%, 12/15/2031 29,481
58,116 6.50%, 01/15/2032 60,127
15,175 6.50%, 02/15/2032 15,774
24,308 6.50%, 03/15/2032 24,972
89,245 6.50%, 04/15/2032 91,964
208 6.50%, 05/15/2032 212
12,389 6.50%, 06/15/2032 12,612
172 7.00%, 02/15/2031 173
76 7.00%, 06/15/2031 77
55 7.00%, 08/15/2031 55
      131,014,679
  Uniform Mortgage-Backed Security - 23.6%
23,200,000 2.00%, 04/01/2054(15) 18,376,909
3,425,000 2.50%, 04/01/2039(15) 3,118,122
12,100,000 2.50%, 04/01/2054(15) 10,013,256
1,010,000 3.00%, 04/01/2039(15) 940,531
2,085,000 3.50%, 04/01/2039(15) 1,982,865
61,541,000 4.50%, 04/01/2054(15) 58,656,235
14,375,000 5.00%, 04/01/2054(15) 14,036,834
79,239,000 5.50%, 04/01/2054(15) 78,900,841
145,315,000 6.00%, 04/01/2054(15) 146,718,041
62,275,000 6.00%, 05/01/2054(15) 62,864,113
1,695,000 6.50%, 04/01/2054(15) 1,732,353
6,270,000 7.00%, 04/01/2054(15) 6,464,343
11,370,000 7.00%, 05/01/2054(15) 11,711,762
      415,516,205
  Total U.S. Government Agencies
(cost $980,322,809)
  $ 942,651,365
U.S. GOVERNMENT SECURITIES - 14.2%
  U.S. Treasury Securities - 14.2%
  U.S. Treasury Bonds - 10.9%
24,645,000 1.25%, 05/15/2050 $ 12,633,451
5,115,000 1.88%, 11/15/2051 3,070,199
7,090,000 2.25%, 08/15/2046 4,861,081
15,065,000 2.25%, 02/15/2052 9,929,365
7,860,000 2.38%, 11/15/2049 5,394,539
90,455,000 2.88%, 08/15/2045 70,523,100
6,175,000 3.00%, 02/15/2047 4,865,948
20,715,000 3.13%, 08/15/2044(16) 16,991,964
22,615,000 3.38%, 05/15/2044(17) 19,327,874
35,500,000 3.38%, 11/15/2048 29,718,770
 

50

Hartford Total Return Bond HLS Fund
Schedule of Investments – (continued)
March 31, 2024  (Unaudited) 

Shares or Principal Amount   Market Value†
U.S. GOVERNMENT SECURITIES - 14.2% - (continued)
  U.S. Treasury Securities - 14.2% - (continued)
  U.S. Treasury Bonds - 10.9% - (continued)
$    3,565,000 3.63%, 08/15/2043 $     3,175,914
  12,035,000 3.63%, 05/15/2053    10,593,621
      191,085,826
  U.S. Treasury Inflation-Indexed Bonds - 0.8%
  22,860,754 0.25%, 02/15/2050(18)    14,475,958
  U.S. Treasury Inflation-Indexed Notes - 1.5%
  7,074,701 0.75%, 07/15/2028(18)      6,763,939
10,899,568 1.38%, 07/15/2033(18) 10,476,131
8,822,792 1.75%, 01/15/2034(18) 8,723,396
      25,963,466
  U.S. Treasury Notes - 1.0%
21,815,000 0.63%, 05/15/2030 17,631,803
  Total U.S. Government Securities
(cost $326,381,730)
  $ 249,157,053
COMMON STOCKS - 0.0%
  Energy - 0.0%
30,559 PES Energy Liquidating Trust*(19) $ —
  Total Common Stocks
(cost $265,121)
  $ —
PREFERRED STOCKS - 0.1%
  Banks - 0.1%
2,242 U.S. Bancorp (Preference Shares), 6.58%(8) $ 1,893,257
  Total Preferred Stocks
(cost $1,591,820)
  $ 1,893,257
  Total Long-Term Investments
(cost $2,336,003,521)
  $ 2,170,326,028
SHORT-TERM INVESTMENTS - 0.4%
  Repurchase Agreements - 0.4%
6,450,481 Fixed Income Clearing Corp. Repurchase Agreement dated 03/28/2024 at 5.32%, due on 04/01/2024 with a maturity value of $6,454,294; collateralized by U.S. Treasury Bond at 4.75%, maturing 02/15/2041, with a market value of $6,579,492 $ 6,450,481
  Securities Lending Collateral - 0.0%
136,830 Goldman Sachs Financial Square Funds, Government Fund, Institutional Class, 5.21%(20) 136,830
456,098 HSBC U.S. Government Money Market Fund, Institutional Class, 5.24%(20) 456,098
136,829 Invesco Government & Agency Portfolio, Institutional Class, 5.24%(20) 136,829
136,829 Morgan Stanley Institutional Liquidity Funds, Government Portfolio, Institutional Class, 5.22%(20) 136,829
      866,586
  Total Short-Term Investments
(cost $7,317,067)
$ 7,317,067
  Total Investments
(cost $2,343,320,588)
123.9% $ 2,177,643,095
  Other Assets and Liabilities (23.9)% (419,662,302)
  Total Net Assets 100.0% $ 1,757,980,793
Note: Percentage of investments as shown is the ratio of the total market value to total net assets.
  The Fund may refer to any one or more of the industry classifications used by one or more widely recognized market indices, ratings group and/or as defined by Fund management. Industry classifications may not be identical across all security types.
  Equity industry classifications used in this report are the Global Industry Classification Standard, which was developed by and is the exclusive property and service mark of MSCI, Inc. and Standard & Poor’s.
  For Fund compliance purposes, the Fund may not use the same classification system. These classifications are used for financial reporting purposes.
  See “Glossary” for abbreviation descriptions.
    
* Non-income producing.
(1) Security was purchased pursuant to Rule 144A under the Securities Act of 1933 and may be sold in transactions that are exempt from registration (typically only to qualified institutional buyers) or in a public offering registered under the Securities Act of 1933. At March 31, 2024, the aggregate value of these securities was $526,127,680, representing 29.9% of net assets.
(2) Variable rate securities; the rate reported is the coupon rate in effect at March 31, 2024. Base lending rates may be subject to a floor or cap.
(3) Variable or floating rate security, which interest rate adjusts periodically based on changes in current interest rates and prepayments on the underlying pool of assets. Rate shown is the rate in effect as of period end.
(4) Securities disclosed are interest-only strips.
(5) Security is a “step-up” bond where coupon increases or steps up at a predetermined date. Rate shown is current coupon rate.
(6) Fixed to variable rate investment. The rate shown reflects the fixed rate in effect at March 31, 2024. Rate will reset at a future date. Base lending rates may be subject to a floor or cap.
(7) Security is exempt from registration under Regulation S under the Securities Act of 1933, which exempts from registration securities offered and sold outside of the United States. Security may not be offered or sold in the United States except pursuant to an exemption from, or in a transaction not subject to, the registration requirements of the Securities Act of 1933. At March 31, 2024, the aggregate value of these securities was $28,312,662, representing 1.6% of net assets.
(8) Perpetual maturity security. Maturity date shown is the next call date or final legal maturity date, whichever comes first.
(9) Represents entire or partial securities on loan.
(10) Senior floating rate interests generally pay interest rates which are periodically adjusted by reference to a base short-term, floating lending rate plus a premium. The base lending rates are primarily the Secured Overnight Financing Rate ("SOFR") and secondarily, the prime rate offered by one or more major United States banks (the "Prime Rate"). Senior floating rate interests often require prepayments from excess cash flows or permit the borrower to repay at its election. The rate at which the borrower repays cannot be predicted with accuracy. As a result, the actual remaining maturity may be substantially less than the stated maturities shown. Base lending rates may be subject to a floor or cap. Unless otherwise noted, the interest rate disclosed for these securities represents the rate in effect as of March 31, 2024.
(11) Non-income producing. For long-term debt securities, items identified are in default as to payment of interest and/or principal.
(12) Security has the ability to pay in kind (“PIK”) or pay income in cash. When applicable, separate rates of such payments are disclosed.
 

51

Hartford Total Return Bond HLS Fund
Schedule of Investments – (continued)
March 31, 2024  (Unaudited) 

(13) Securities disclosed are principal-only strips.
(14) Security is a zero-coupon bond.
(15) Represents or includes a TBA transaction.
(16) All, or a portion of the security, was pledged as collateral in connection with futures contracts. As of March 31, 2024, the market value of securities pledged was $2,706,902.
(17) All, or a portion of the security, was pledged as collateral in connection with centrally cleared swap contracts. As of March 31, 2024, the market value of securities pledged was $4,577,009.
(18) The principal amount for these securities are adjusted for inflation and the interest payments equal a fixed percentage of the inflation-adjusted principal amount.
(19) Investment valued using significant unobservable inputs.
(20) Current yield as of period end.
 
Futures Contracts Outstanding at March 31, 2024
Description   Number of
Contracts
  Expiration
Date
  Current
Notional
Amount
  Value and
Unrealized
Appreciation/
(Depreciation)
Long position contracts:
U.S. Treasury 2-Year Note Future   34   06/28/2024   $ 6,952,469   $ 2,613
U.S. Treasury 5-Year Note Future   598   06/28/2024   63,995,344   171,470
U.S. Treasury 10-Year Note Future   260   06/18/2024   28,807,187   88,068
U.S. Treasury 10-Year Ultra Future   256   06/18/2024   29,340,000   117,692
Total               $ 379,843
Short position contracts:
Euro BUXL 30-Year Bond Future   39   06/06/2024   $ 5,713,805   $ (117,646)
Euro-BUND Future   105   06/06/2024   15,109,185   (119,978)
Long Gilt Future   215   06/26/2024   27,119,938   (144,396)
U.S. Treasury Long Bond Future   135   06/18/2024   16,259,063   (183,717)
U.S. Treasury Ultra Bond Future   194   06/18/2024   25,026,000   (244,607)
Total               $ (810,344)
Total futures contracts   $ (430,501)
    
TBA Sale Commitments Outstanding at March 31, 2024
Description   Principal
Amount
  Maturity
Date
  Market
Value
  Unrealized
Appreciation/
(Depreciation)
Government National Mortgage Association, 2.50%   $ 10,225,000   04/20/2054   $ (8,718,838)   $ 20,367
Government National Mortgage Association, 3.00%   8,629,000   04/20/2054   (7,617,824)   9,004
Government National Mortgage Association, 4.00%   11,225,000   04/20/2054   (10,513,914)   1,931
Government National Mortgage Association, 4.50%   2,250,000   04/20/2054   (2,163,742)   (10,774)
Uniform Mortgage-Backed Security, 2.00%   1,100,000   04/01/2039   (975,331)   3,540
Uniform Mortgage-Backed Security, 3.00%   16,105,000   04/01/2054   (13,870,497)   75,701
Uniform Mortgage-Backed Security, 3.50%   13,233,000   04/01/2054   (11,855,428)   94,952
Uniform Mortgage-Backed Security, 4.00%   4,659,000   04/01/2054   (4,318,726)   24,104
Uniform Mortgage-Backed Security, 4.50%   3,936,000   04/01/2039   (3,876,995)   (2,341)
Uniform Mortgage-Backed Security, 5.00%   20,075,000   04/01/2054   (19,602,744)   19,415
Uniform Mortgage-Backed Security, 6.50%   16,010,000   04/01/2054   (16,362,818)   (28,507)
Uniform Mortgage-Backed Security, 7.00%   11,370,000   04/01/2054   (11,722,422)   8,221
Total TBA sale commitments (proceeds receivable $111,814,892)   $ (111,599,279)   $ 215,613
At March 31, 2024, the aggregate market value of TBA Sale Commitments represents (6.3)% of total net assets.
    

52

Hartford Total Return Bond HLS Fund
Schedule of Investments – (continued)
March 31, 2024  (Unaudited) 

Centrally Cleared Interest Rate Swap Contracts Outstanding at March 31, 2024
Payments made
by Fund
  Payments received
by Fund
  Notional
Amount
  Expiration
Date
  Periodic
Payment
Frequency
  Upfront
Premiums
Paid
  Upfront
Premiums
Received
  Value   Unrealized
Appreciation/
(Depreciation)
2.97% Fixed   12 Mo. USD SOFR   USD 12,140,000   03/15/2053   Annual   $ 37,801   $ —   $ 1,434,670   $ 1,396,869
2.88% Fixed   12 Mo. USD SOFR   USD 3,745,000   03/15/2053   Annual   42,050     502,018   459,968
3.25% Fixed   12 Mo. USD SOFR   USD 6,235,000   06/21/2053   Annual     (66,140)   520,413   586,553
3.59% Fixed   12 Mo. USD SOFR   USD 9,465,000   09/20/2053   Annual   39,953     149,987   110,034
Total centrally cleared interest rate swaps contracts   $ 119,804   $ (66,140)   $ 2,607,088   $ 2,553,424
    
Foreign Currency Contracts Outstanding at March 31, 2024
Amount and Description of
Currency to be Purchased
  Amount and Description of
Currency to be Sold
  Counterparty   Settlement
Date
  Appreciation/
(Depreciation)
1,448,000 EUR   1,591,196 USD   NWM   06/18/2024   $ (24,021)
7,947,344 USD   40,057,000 BRL   GSC   06/20/2024   21,569
33,634,778 USD   30,557,000 EUR   BNP   06/20/2024   559,998
867,921 USD   794,000 EUR   HSBC   06/20/2024   8,498
Total foreign currency contracts   $ 566,044
For information regarding the Fund’s significant accounting policies, please refer to the Fund’s most recent shareholder report.
Fair Value Summary
The following is a summary of the fair valuations according to the inputs used as of March 31, 2024 in valuing the Fund’s investments.
Description   Total   Level 1   Level 2   Level 3(1)
Assets                
Asset & Commercial Mortgage-Backed Securities   $ 362,229,006   $ —   $ 362,229,006   $ —
Corporate Bonds   527,961,037     527,961,037  
Foreign Government Obligations   62,577,218     62,577,218  
Municipal Bonds   23,849,519     23,849,519  
Senior Floating Rate Interests   7,573     7,573  
U.S. Government Agencies   942,651,365     942,651,365  
U.S. Government Securities   249,157,053     249,157,053  
Common Stocks                
Energy        
Preferred Stocks   1,893,257   1,893,257    
Short-Term Investments   7,317,067   866,586   6,450,481  
Foreign Currency Contracts(2)   590,065     590,065  
Futures Contracts(2)   379,843   379,843    
Swaps - Interest Rate(2)   2,553,424     2,553,424  
Total   $ 2,181,166,427   $ 3,139,686   $ 2,178,026,741   $ —
Liabilities                
Foreign Currency Contracts(2)   $ (24,021)   $ —   $ (24,021)   $ —
Futures Contracts(2)   (810,344)   (810,344)    
TBA Sale Commitments   (111,599,279)     (111,599,279)  
Total   $ (112,433,644)   $ (810,344)   $ (111,623,300)   $ —
    
(1) For the period ended March 31, 2024, there were no transfers in and out of Level 3.
(2) Derivative instruments (excluding purchased and written options, if applicable) are valued at the unrealized appreciation/(depreciation) on the investments.
Level 3 investments at the beginning and/or end of the period in relation to net assets were not significant and accordingly, a reconciliation of Level 3 assets for the period ended March 31, 2024 is not presented.

53

Hartford Ultrashort Bond HLS Fund
Schedule of Investments
March 31, 2024  (Unaudited) 

Shares or Principal Amount   Market Value†
ASSET & COMMERCIAL MORTGAGE-BACKED SECURITIES - 37.3%
  Asset-Backed - Automobile - 24.8%
            Ally Auto Receivables Trust  
$      332,196 4.62%, 10/15/2025 $     331,940
    177,964 5.29%, 06/16/2025      177,917
  2,090,426 5.76%, 11/15/2026   2,092,161
            American Credit Acceptance Receivables Trust  
    297,759 5.45%, 09/14/2026(1)      297,664
    276,702 5.89%, 10/13/2026(1)      276,730
    519,924 6.00%, 03/12/2027(1)      520,431
  AmeriCredit Automobile Receivables Trust  
272,450 0.68%, 10/19/2026 270,276
1,969,000 1.01%, 01/19/2027 1,852,621
1,494,665 2.45%, 11/18/2026 1,469,373
115,916 4.20%, 12/18/2025 115,759
1,697,502 5.84%, 10/19/2026 1,698,060
  ARI Fleet Lease Trust  
365,000 5.30%, 11/15/2032(1) 364,257
1,196,401 5.41%, 02/17/2032(1) 1,193,567
475,000 6.05%, 07/15/2032(1) 478,077
1,052,976 Bank of America Auto Trust 5.83%, 05/15/2026(1) 1,053,959
  BMW Vehicle Lease Trust  
127,576 5.27%, 02/25/2025 127,544
1,304,557 5.95%, 08/25/2025 1,306,081
  Bridgecrest Lending Auto Securitization Trust  
860,000 5.82%, 09/15/2026 859,745
657,413 6.34%, 07/15/2026 658,576
  Capital One Prime Auto Receivables Trust  
1,519,056 3.17%, 04/15/2027 1,488,330
453,951 5.20%, 05/15/2026 453,340
  CarMax Auto Owner Trust  
865,000 4.75%, 10/15/2027 858,018
396,726 5.23%, 01/15/2026 396,368
1,070,782 5.50%, 06/15/2026 1,070,157
1,139,339 5.72%, 11/16/2026 1,139,936
  Carvana Auto Receivables Trust  
196,271 0.49%, 03/10/2026 194,573
270,443 0.70%, 01/10/2028 259,124
98,648 0.83%, 09/11/2028 98,162
90,929 4.42%, 12/10/2025 90,849
956,000 5.50%, 08/10/2027(1) 955,702
1,229,000 5.76%, 04/12/2027(1) 1,229,305
610,000 5.77%, 04/12/2027(1) 610,104
337,341 6.09%, 11/10/2026(1) 337,740
1,543,353 6.23%, 01/11/2027(1) 1,546,930
699,544 6.41%, 09/10/2027(1) 702,365
1,245,000 Chase Auto Owner Trust 5.48%, 04/26/2027(1) 1,245,700
  Chesapeake Funding II LLC  
27,232 0.87%, 08/15/2032(1) 27,164
1,399,246 5.65%, 05/15/2035(1) 1,400,785
274,094 5.66%, 04/15/2033, 30 day USD SOFR Average + 0.34%(1)(2) 273,416
  Citizens Auto Receivables Trust  
1,495,000 5.43%, 10/15/2026(1) 1,493,773
1,870,511 6.09%, 10/15/2026(1) 1,874,257
  CPS Auto Receivables Trust  
77,431 2.88%, 06/15/2026(1) 77,330
83,564 4.18%, 04/15/2030(1) 83,421
440,668 5.54%, 03/16/2026(1) 440,528
562,471 5.71%, 09/15/2027(1) 563,778
917,663 5.91%, 08/16/2027(1) 918,160
339,842 6.13%, 09/15/2026(1) 340,248
705,344 6.40%, 06/15/2027(1) 707,408
220,647 Credit Acceptance Auto Loan Trust 1.00%, 05/15/2030(1) 219,069
Shares or Principal Amount   Market Value†
ASSET & COMMERCIAL MORTGAGE-BACKED SECURITIES - 37.3% - (continued)
  Asset-Backed - Automobile - 24.8% - (continued)
$       78,035 Donlen Fleet Lease Funding 2 LLC 0.56%, 12/11/2034(1) $      77,730
     53,043 Drive Auto Receivables Trust 1.02%, 06/15/2027       52,927
            DT Auto Owner Trust  
  1,167,866 5.48%, 04/15/2027(1)   1,166,616
    779,264 5.88%, 04/15/2027(1)      779,583
    907,323 6.29%, 08/16/2027(1)      909,937
  Enterprise Fleet Financing LLC  
    568,457 0.48%, 05/20/2027(1)      559,052
298,453 4.38%, 07/20/2029(1) 295,270
1,190,000 5.23%, 03/20/2030(1) 1,188,246
801,946 5.51%, 01/22/2029(1) 801,262
1,380,606 5.56%, 04/22/2030(1) 1,382,116
1,234,933 5.76%, 10/22/2029(1) 1,236,902
3,320,000 6.40%, 03/20/2030(1) 3,371,176
28,920 Enterprise Fleet Funding LLC 0.44%, 12/21/2026(1) 28,764
  Exeter Automobile Receivables Trust  
750,000 5.60%, 08/17/2026 749,360
1,205,000 5.70%, 05/15/2026 1,205,026
495,000 6.04%, 07/15/2026 495,277
369,504 6.07%, 12/15/2025 369,714
242,976 6.11%, 09/15/2025 243,090
234,217 FHF Trust 0.83%, 12/15/2026(1) 227,670
2,035,204 Fifth Third Auto Trust 5.80%, 11/16/2026 2,036,713
  First Investors Auto Owner Trust  
305,983 0.48%, 03/15/2027(1) 302,545
637,418 2.03%, 01/15/2027(1) 628,796
  Flagship Credit Auto Trust  
116,552 0.36%, 07/15/2027(1) 115,809
344,733 0.81%, 07/17/2026(1) 341,214
1,061,247 5.76%, 04/15/2027(1) 1,060,602
1,121,933 5.89%, 07/15/2027(1) 1,122,999
  Ford Credit Auto Lease Trust  
331,730 5.19%, 06/15/2025 331,619
1,515,000 5.24%, 07/15/2026 1,512,622
  Ford Credit Auto Owner Trust  
34,723 4.52%, 04/15/2025 34,705
597,713 5.14%, 03/15/2026 596,519
358,142 5.37%, 08/15/2025 358,074
1,525,919 5.57%, 06/15/2026 1,526,225
  Foursight Capital Automobile Receivables Trust  
134,554 4.49%, 03/16/2026(1) 134,458
225,500 5.43%, 10/15/2026(1) 225,268
1,377,460 5.99%, 05/15/2028(1) 1,382,008
  GLS Auto Receivables Issuer Trust  
79,299 3.55%, 01/15/2026(1) 79,216
195,182 4.59%, 05/15/2026(1) 194,810
2,800,000 5.57%, 02/16/2027(1) 2,797,511
1,047,003 5.70%, 01/15/2027(1) 1,045,021
1,045,003 5.98%, 08/17/2026(1) 1,045,469
1,288,360 GLS Auto Select Receivables Trust 6.37%, 06/15/2028(1) 1,297,559
  GM Financial Automobile Leasing Trust  
1,500,000 1.96%, 02/20/2026 1,490,401
785,000 5.16%, 04/20/2026 783,186
205,997 5.27%, 06/20/2025 205,859
461,565 5.44%, 10/20/2025 461,284
2,369,877 5.58%, 01/20/2026 2,369,957
  GM Financial Consumer Automobile Receivables Trust  
581,869 4.60%, 11/17/2025 580,865
521,002 5.10%, 05/18/2026 519,983
445,000 5.12%, 02/16/2027 443,944
 

54

Hartford Ultrashort Bond HLS Fund
Schedule of Investments – (continued)
March 31, 2024  (Unaudited) 

Shares or Principal Amount   Market Value†
ASSET & COMMERCIAL MORTGAGE-BACKED SECURITIES - 37.3% - (continued)
  Asset-Backed - Automobile - 24.8% - (continued)
$      878,255 5.19%, 03/16/2026 $     877,110
  1,084,155 5.74%, 09/16/2026   1,085,010
  2,510,000 5.89%, 11/16/2026   2,515,963
            Honda Auto Receivables Owner Trust  
    689,808 5.41%, 04/15/2026      689,243
  2,250,000 5.87%, 06/22/2026   2,257,152
1,490,000 Huntington Auto Trust 5.50%, 03/15/2027(1) 1,489,789
  Hyundai Auto Lease Securitization Trust  
1,585,000 5.05%, 01/15/2026(1) 1,579,996
1,750,000 5.15%, 06/15/2026(1) 1,746,412
203,385 5.20%, 04/15/2025(1) 203,316
1,814,783 5.85%, 03/16/2026(1) 1,818,569
  Hyundai Auto Receivables Trust  
792,073 5.19%, 12/15/2025 790,794
1,780,903 5.77%, 05/15/2026 1,783,088
  LAD Auto Receivables Trust  
1,085,000 5.44%, 11/16/2026(1) 1,083,354
937,853 6.09%, 06/15/2026(1) 938,561
1,203,899 Mercedes-Benz Auto Lease Trust 5.24%, 11/17/2025 1,202,277
1,065,000 Mercedes-Benz Auto Receivables Trust 4.51%, 11/15/2027 1,054,894
  Nissan Auto Lease Trust  
2,410,000 4.91%, 01/15/2026 2,400,974
2,390,000 5.11%, 10/15/2026 2,382,996
655,119 5.74%, 08/15/2025 655,423
  Nissan Auto Receivables Owner Trust  
235,898 4.50%, 08/15/2025 235,491
696,200 5.34%, 02/17/2026 695,447
  Porsche Financial Auto Securitization Trust  
1,023,367 5.42%, 12/22/2026(1) 1,022,827
1,002,916 5.88%, 11/23/2026(1) 1,004,110
  Santander Drive Auto Receivables Trust  
628,856 1.26%, 02/16/2027 620,177
180,468 5.36%, 05/15/2026 180,442
745,000 5.71%, 02/16/2027 745,339
31,489 5.81%, 01/15/2026 31,493
313,844 6.08%, 08/17/2026 314,213
534,920 6.08%, 05/17/2027 536,312
2,548,471 6.18%, 02/16/2027 2,553,039
  SBNA Auto Lease Trust  
1,150,000 5.39%, 11/20/2026(1) 1,150,035
895,000 6.27%, 04/20/2026(1) 898,956
  SFS Auto Receivables Securitization Trust  
900,000 5.35%, 06/21/2027(1) 898,602
654,962 5.89%, 03/22/2027(1) 655,999
  Tesla Auto Lease Trust  
950,000 5.37%, 06/22/2026(1) 949,286
723,856 5.86%, 08/20/2025(1) 724,813
1,370,734 6.02%, 09/22/2025(1) 1,374,007
1,930,000 Tesla Electric Vehicle Trust 5.54%, 12/21/2026(1) 1,930,893
747,279 Toyota Auto Receivables Owner Trust 5.28%, 05/15/2026 746,350
970,000 USAA Auto Owner Trust 5.83%, 07/15/2026(1) 970,978
732,638 Volkswagen Auto Loan Enhanced Trust 5.50%, 12/21/2026 732,464
  Westlake Automobile Receivables Trust  
1,600,000 1.23%, 04/15/2026(1) 1,564,123
759,304 5.51%, 06/15/2026(1) 758,826
580,000 5.62%, 03/15/2027(1) 579,738
3,255,000 5.80%, 02/16/2027(1) 3,262,586
1,066,519 5.89%, 02/16/2027(1) 1,068,179
1,215,007 5.96%, 10/15/2026(1) 1,215,951
Shares or Principal Amount   Market Value†
ASSET & COMMERCIAL MORTGAGE-BACKED SECURITIES - 37.3% - (continued)
  Asset-Backed - Automobile - 24.8% - (continued)
$      270,000 Westlake Flooring Master Trust 5.43%, 02/15/2028(1) $     270,314
            Wheels Fleet Lease Funding 1 LLC  
  1,740,000 5.80%, 04/18/2038(1)   1,741,045
  1,000,000 6.46%, 08/18/2038(1)   1,007,921
            World Omni Auto Receivables Trust  
    112,759 2.77%, 10/15/2025      112,582
    616,113 5.18%, 07/15/2026      615,330
    379,610 5.25%, 11/16/2026      379,077
689,480 World Omni Automobile Lease Securitization Trust 5.47%, 11/17/2025 688,962
  World Omni Select Auto Trust  
949,984 0.53%, 03/15/2027 936,991
1,252,960 5.92%, 03/15/2027 1,254,583
      137,388,139
  Commercial Mortgage-Backed Securities - 0.0%
191,526 BWAY Mortgage Trust 2.81%, 03/10/2033(1) 187,925
  Other Asset-Backed Securities - 9.5%
  Affirm Asset Securitization Trust  
331,826 4.55%, 06/15/2027(1) 329,099
975,000 6.61%, 01/18/2028(1) 981,021
88,537 Amur Equipment Finance Receivables IX LLC 0.75%, 11/20/2026(1) 88,025
471,977 Amur Equipment Finance Receivables XI LLC 5.30%, 06/21/2028(1) 470,809
1,035,000 Amur Equipment Finance Receivables XIII LLC 5.38%, 01/21/2031(1) 1,035,057
57,020 Atalaya Equipment Leasing Trust 1.23%, 05/15/2026(1) 56,757
675,000 Auxilior Term Funding LLC 6.18%, 12/15/2028(1) 678,623
  BHG Securitization Trust  
757,076 1.71%, 02/20/2035(1) 743,889
194,253 5.32%, 10/17/2035(1) 193,597
  CCG Receivables Trust  
47,139 0.30%, 06/14/2027(1) 46,868
315,443 0.54%, 03/14/2029(1) 307,886
1,574,350 3.91%, 07/16/2029(1) 1,554,563
1,466,070 5.82%, 09/16/2030(1) 1,470,964
39,254 CFMT LLC 3.17%, 07/25/2054(1)(3) 38,742
  CNH Equipment Trust  
1,440,000 5.19%, 07/15/2027 1,436,962
613,732 5.34%, 09/15/2026 612,746
702,955 5.42%, 07/15/2026 702,546
1,600,272 Daimler Trucks Retail Trust 6.03%, 09/15/2025 1,602,177
  Dell Equipment Finance Trust  
670,863 5.84%, 01/22/2029(1) 671,329
605,000 6.10%, 04/23/2029(1) 606,888
  Dext ABS LLC  
240,362 1.12%, 02/15/2028(1) 235,855
2,284,065 6.56%, 05/15/2034(1) 2,290,662
832,799 DLLAA LLC 5.93%, 07/20/2026(1) 834,285
  DLLAD LLC  
1,603,486 0.64%, 09/21/2026(1) 1,552,044
1,025,924 5.19%, 04/20/2026(1) 1,023,107
1,353,881 DLLMT LLC 5.78%, 11/20/2025(1) 1,353,465
  DLLST LLC  
401,585 3.40%, 01/21/2025(1) 399,967
640,000 5.33%, 01/20/2026(1) 638,619
69,770 FCI Funding LLC 1.13%, 04/15/2033(1) 68,780
1,890,000 Granite Park Equipment Leasing LLC 6.51%, 05/20/2030(1) 1,900,941
  GreatAmerica Leasing Receivables  
1,655,000 5.32%, 08/17/2026(1) 1,652,168
 

55

Hartford Ultrashort Bond HLS Fund
Schedule of Investments – (continued)
March 31, 2024  (Unaudited) 

Shares or Principal Amount   Market Value†
ASSET & COMMERCIAL MORTGAGE-BACKED SECURITIES - 37.3% - (continued)
  Other Asset-Backed Securities - 9.5% - (continued)
$    1,105,842 5.35%, 02/16/2026(1) $   1,103,781
    864,507 GreatAmerica Leasing Receivables Funding LLC 4.92%, 05/15/2025(1)      862,569
            HPEFS Equipment Trust  
          5 3.15%, 09/20/2029(1)            5
  1,340,000 5.18%, 05/20/2031(1)   1,337,443
    459,056 5.26%, 08/20/2029(1)      458,667
    760,000 5.43%, 08/20/2029(1)      759,390
  1,030,000 6.04%, 01/21/2031(1)   1,033,955
  John Deere Owner Trust  
1,251,147 5.28%, 03/16/2026 1,248,947
1,900,070 5.59%, 06/15/2026 1,900,507
  Kubota Credit Owner Trust  
1,610,000 5.39%, 01/15/2027(1) 1,609,253
624,503 5.40%, 02/17/2026(1) 623,952
2,856,069 5.61%, 07/15/2026(1) 2,856,311
  Marlette Funding Trust  
102,802 5.18%, 11/15/2032(1) 102,637
777,762 6.04%, 06/15/2033(1) 777,258
699,718 6.07%, 04/15/2033(1) 699,735
884,467 6.49%, 09/15/2033(1) 885,476
  MMAF Equipment Finance LLC  
27,694 2.01%, 12/12/2024(1) 27,673
2,375,000 5.20%, 09/13/2027(1) 2,368,613
148,506 5.57%, 09/09/2025(1) 148,489
1,582,954 5.79%, 11/13/2026(1) 1,585,322
312,295 New York City Tax Lien Trust 2.10%, 11/10/2034(1) 310,424
2,225,000 PFS Financing Corp. 0.77%, 08/15/2026(1) 2,183,327
  SCF Equipment Leasing LLC  
335,189 6.24%, 07/20/2028(1) 335,355
1,935,000 6.56%, 01/22/2030(1) 1,951,175
159,910 SoFi Consumer Loan Program Trust 5.81%, 05/15/2031(1) 159,826
1,545,000 Verizon Master Trust 5.23%, 11/22/2027 1,541,561
      52,450,092
  Whole Loan Collateral CMO - 3.0%
553,016 Angel Oak Mortgage Trust 2.53%, 01/26/2065(1)(3) 510,664
  BRAVO Residential Funding Trust  
311,510 0.94%, 02/25/2049(1)(3) 272,912
335,174 0.97%, 03/25/2060(1)(3) 312,364
1,052,801 1.70%, 04/25/2060(1)(3) 967,139
170,510 Bunker Hill Loan Depositary Trust 2.72%, 11/25/2059(1)(4) 165,546
  COLT Mortgage Loan Trust  
1,558,643 1.11%, 10/25/2066(1)(3) 1,289,843
405,630 1.33%, 10/26/2065(1)(3) 362,148
1,907,332 1.40%, 10/25/2066(1)(3) 1,560,991
82,850 1.51%, 04/27/2065(1)(3) 78,287
1,032,290 1.73%, 11/26/2066(1)(3) 873,372
1,180,208 CSMC Trust 3.57%, 07/25/2049(1)(4) 1,093,427
  Ellington Financial Mortgage Trust  
413,313 0.93%, 06/25/2066(1)(3) 332,072
50,627 2.74%, 11/25/2059(1)(3) 47,880
  GCAT Trust  
2,622,424 1.26%, 07/25/2066(1)(3) 2,139,746
584,815 1.92%, 08/25/2066(1)(3) 508,707
  MFA Trust  
267,076 1.01%, 01/26/2065(1)(3) 243,995
488,398 1.03%, 11/25/2064(1)(3) 420,005
  New Residential Mortgage Loan Trust  
1,326,613 1.16%, 11/27/2056(1)(3) 1,113,522
Shares or Principal Amount   Market Value†
ASSET & COMMERCIAL MORTGAGE-BACKED SECURITIES - 37.3% - (continued)
  Whole Loan Collateral CMO - 3.0% - (continued)
$      389,214 4.00%, 08/27/2057(1)(3) $     368,431
     32,301 OBX Trust 6.09%, 06/25/2057, 1 mo. USD Term SOFR + 0.76%(1)(2)       31,026
     68,304 Residential Mortgage Loan Trust 2.38%, 01/26/2060(1)(3)       65,090
  1,789,128 SG Residential Mortgage Trust 1.16%, 07/25/2061(1)(3)   1,452,994
            Starwood Mortgage Residential Trust  
    242,645 0.94%, 05/25/2065(1)(3)      221,728
     33,306 2.28%, 02/25/2050(1)(3)       31,137
  Towd Point Mortgage Trust  
397,628 2.75%, 06/25/2057(1)(3) 380,624
737,161 3.75%, 03/25/2058(1)(3) 720,060
120,118 6.04%, 02/25/2057, 1 mo. USD Term SOFR + 0.71%(1)(2) 122,054
  Verus Securitization Trust  
1,086,556 1.63%, 10/25/2066(1)(3) 910,512
120,592 3.64%, 11/25/2059(1)(4) 116,685
196,863 3.69%, 11/25/2059(1)(3) 190,245
      16,903,206
  Total Asset & Commercial Mortgage-Backed Securities
(cost $209,433,643)
$ 206,929,362
CORPORATE BONDS - 33.3%
  Aerospace/Defense - 0.2%
900,000 Litton Industries, Inc. 7.75%, 03/15/2026 $ 935,063
  Agriculture - 0.5%
1,700,000 Cargill, Inc. 3.50%, 04/22/2025(1) 1,669,412
1,225,000 Philip Morris International, Inc. 5.13%, 11/15/2024 1,222,118
      2,891,530
  Auto Manufacturers - 1.2%
1,400,000 American Honda Finance Corp. 4.95%, 01/09/2026 1,397,007
  Daimler Truck Finance North America LLC  
565,000 5.15%, 01/16/2026(1) 563,023
875,000 5.60%, 08/08/2025(1) 875,658
1,500,000 General Motors Financial Co., Inc. 5.97%, 10/15/2024, 3 mo. USD SOFR + 0.62%(2) 1,499,935
1,000,000 Hyundai Capital America 6.25%, 11/03/2025(1) 1,010,416
1,225,000 Mercedes-Benz Finance North America LLC 5.50%, 11/27/2024(1) 1,224,624
      6,570,663
  Beverages - 0.7%
1,725,000 Constellation Brands, Inc. 3.60%, 05/09/2024 1,720,903
730,000 Diageo Capital PLC 5.20%, 10/24/2025 730,685
1,750,000 JDE Peet's NV 0.80%, 09/24/2024(1) 1,706,583
      4,158,171
  Chemicals - 0.6%
1,700,000 International Flavors & Fragrances, Inc. 1.23%, 10/01/2025(1) 1,591,420
1,225,000 Linde, Inc. 4.80%, 12/05/2024 1,220,233
580,000 Nutrien Ltd. 5.95%, 11/07/2025 584,882
      3,396,535
  Commercial Banks - 17.2%
1,600,000 ABN AMRO Bank NV 6.34%, 09/18/2027, (6.34% fixed rate until 09/18/2026; 1 yr. USD CMT + 1.65% thereafter)(1)(5) 1,627,943
 

56

Hartford Ultrashort Bond HLS Fund
Schedule of Investments – (continued)
March 31, 2024  (Unaudited) 

Shares or Principal Amount   Market Value†
CORPORATE BONDS - 33.3% - (continued)
  Commercial Banks - 17.2% - (continued)
$    1,750,000 ANZ New Zealand International Ltd. 5.96%, 02/18/2025, 3 mo. USD SOFR + 0.60%(1)(2)(6) $   1,754,590
  1,400,000 Banco Santander SA 3.89%, 05/24/2024   1,396,592
            Bank of America Corp.  
  1,025,000 3.84%, 04/25/2025, (3.84% fixed rate until 04/25/2024; 6 mo. USD SOFR + 1.11% thereafter)(5)   1,023,629
    925,000 5.08%, 01/20/2027, (5.08% fixed rate until 01/20/2026; 6 mo. USD SOFR + 1.29% thereafter)(5)      920,537
  1,525,000 6.04%, 04/22/2025, 3 mo. USD SOFR + 0.69%(2)   1,525,211
2,000,000 Bank of America NA 5.65%, 08/18/2025 2,012,396
  Bank of New York Mellon  
430,000 5.15%, 05/22/2026, (5.15% fixed rate until 05/22/2025; 6 mo. USD SOFR + 1.07% thereafter)(5) 429,212
1,000,000 5.22%, 11/21/2025, (5.22% fixed rate until 11/21/2024; 6 mo. USD SOFR + 0.80% thereafter)(5) 998,264
3,675,000 Bank of Nova Scotia 5.73%, 07/31/2024, 3 mo. USD SOFR + 0.38%(2) 3,675,978
  Banque Federative du Credit Mutuel SA  
1,000,000 4.52%, 07/13/2025(1)(6) 990,342
1,250,000 4.94%, 01/26/2026(1) 1,242,203
875,000 5.90%, 07/13/2026(1) 886,550
950,000 Barclays PLC 7.33%, 11/02/2026, (7.33% fixed rate until 11/02/2025; 1 yr. USD CMT + 3.05% thereafter)(5) 973,446
1,125,000 BPCE SA 5.20%, 01/18/2027(1) 1,127,609
1,400,000 Citigroup, Inc. 6.05%, 01/25/2026, 3 mo. USD SOFR + 0.69%(2) 1,401,520
  Citizens Bank NA  
1,025,000 4.12%, 05/23/2025, (4.12% fixed rate until 05/23/2024; 6 mo. USD SOFR + 1.40% thereafter)(5) 1,021,032
750,000 6.06%, 10/24/2025, (6.06% fixed rate until 10/24/2024; 6 mo. USD SOFR + 1.45% thereafter)(5) 747,051
1,250,000 Commonwealth Bank of Australia 5.08%, 01/10/2025 1,246,851
2,190,000 Credit Agricole SA 5.59%, 07/05/2026(1) 2,207,554
750,000 Credit Suisse AG 4.75%, 08/09/2024 747,267
  Danske Bank AS  
1,180,000 6.26%, 09/22/2026, (6.26% fixed rate until 09/22/2025; 1 yr. USD CMT + 1.18% thereafter)(1)(5) 1,191,593
750,000 6.47%, 01/09/2026, (6.47% fixed rate until 01/09/2025; 1 yr. USD CMT + 2.10% thereafter)(1)(5) 752,914
1,880,000 Fifth Third Bank NA 5.85%, 10/27/2025, (5.85% fixed rate until 10/27/2024; 6 mo. USD SOFR + 1.23% thereafter)(5) 1,878,676
  Goldman Sachs Group, Inc.  
1,250,000 5.70%, 11/01/2024 1,250,525
1,750,000 5.80%, 08/10/2026, (5.80% fixed rate until 08/10/2025; 6 mo. USD SOFR + 1.08% thereafter)(5) 1,756,032
1,500,000 5.86%, 09/10/2024, 3 mo. USD SOFR + 0.50%(2) 1,500,536
1,250,000 HSBC Holdings PLC 7.34%, 11/03/2026, (7.34% fixed rate until 11/03/2025; 6 mo. USD SOFR + 3.03% thereafter)(5) 1,286,250
1,025,000 HSBC USA, Inc. 3.75%, 05/24/2024 1,022,661
Shares or Principal Amount   Market Value†
CORPORATE BONDS - 33.3% - (continued)
  Commercial Banks - 17.2% - (continued)
            Huntington National Bank  
$    1,175,000 4.01%, 05/16/2025, (4.01% fixed rate until 05/16/2024; 6 mo. USD SOFR + 1.21% thereafter)(5) $   1,170,599
  1,250,000 5.70%, 11/18/2025, (5.70% fixed rate until 11/18/2024; 6 mo. USD SOFR + 1.22% thereafter)(5)   1,242,825
            JP Morgan Chase & Co.  
  1,350,000 3.85%, 06/14/2025, (3.85% fixed rate until 06/14/2024; 6 mo. USD SOFR + 0.98% thereafter)(5)   1,344,160
    850,000 5.55%, 12/15/2025, (5.55% fixed rate until 12/15/2024; 6 mo. USD SOFR + 1.07% thereafter)(5)      849,098
  2,000,000 5.89%, 06/01/2025, 3 mo. USD SOFR + 0.54%(2)   2,001,128
1,250,000 KeyBank NA 5.68%, 06/14/2024, 3 mo. USD SOFR + 0.32%(2) 1,249,999
780,000 Lloyds Banking Group PLC 5.46%, 01/05/2028, (5.46% fixed rate until 01/05/2027; 1 yr. USD CMT + 1.38% thereafter)(5) 780,086
  Macquarie Group Ltd.  
1,500,000 6.06%, 10/14/2025, 3 mo. USD SOFR + 0.71%(1)(2) 1,498,890
1,200,000 6.21%, 11/22/2024(1) 1,203,180
  Manufacturers & Traders Trust Co.  
2,310,000 4.65%, 01/27/2026 2,260,232
1,850,000 5.40%, 11/21/2025 1,833,684
  Morgan Stanley  
1,350,000 3.62%, 04/17/2025, (3.62% fixed rate until 04/17/2024; 6 mo. USD SOFR + 1.16% thereafter)(5) 1,348,509
1,225,000 5.05%, 01/28/2027, (5.05% fixed rate until 01/28/2026; 6 mo. USD SOFR + 1.30% thereafter)(5) 1,220,598
  Morgan Stanley Bank NA  
1,250,000 4.75%, 04/21/2026 1,242,077
1,500,000 5.48%, 07/16/2025 1,506,040
  National Australia Bank Ltd.  
1,225,000 4.97%, 01/12/2026 1,223,605
1,400,000 5.73%, 01/12/2025, 3 mo. USD SOFR + 0.38%(1)(2) 1,401,093
3,725,000 National Bank of Canada 5.84%, 08/06/2024, 3 mo. USD SOFR + 0.49%(2) 3,727,460
1,000,000 National Securities Clearing Corp. 5.15%, 05/30/2025(1) 1,000,141
1,290,000 NatWest Markets PLC 5.88%, 08/12/2024, 3 mo. USD SOFR + 0.53%(1)(2) 1,290,390
  PNC Financial Services Group, Inc.  
1,325,000 3.90%, 04/29/2024 1,323,216
1,510,000 5.67%, 10/28/2025, (5.67% fixed rate until 10/28/2024; 6 mo. USD SOFR + 1.09% thereafter)(5) 1,509,836
  Royal Bank of Canada  
875,000 5.20%, 07/20/2026 877,960
950,000 5.66%, 10/25/2024 950,777
1,475,000 5.69%, 10/07/2024, 3 mo. USD SOFR + 0.34%(2) 1,475,657
  Societe Generale SA  
1,350,000 4.35%, 06/13/2025(1)(6) 1,333,916
925,000 6.45%, 01/12/2027, (6.45% fixed rate until 01/12/2026; 1 yr. USD CMT + 2.30% thereafter)(1)(5) 933,675
 

57

Hartford Ultrashort Bond HLS Fund
Schedule of Investments – (continued)
March 31, 2024  (Unaudited) 

Shares or Principal Amount   Market Value†
CORPORATE BONDS - 33.3% - (continued)
  Commercial Banks - 17.2% - (continued)
            Standard Chartered PLC  
$    1,225,000 6.17%, 01/09/2027, (6.17% fixed rate until 01/09/2026; 1 yr. USD CMT + 2.05% thereafter)(1)(5) $   1,236,116
    850,000 7.78%, 11/16/2025, (7.78% fixed rate until 11/16/2024; 1 yr. USD CMT + 3.10% thereafter)(1)(5)      859,573
  1,500,000 State Street Corp. 5.75%, 11/04/2026, (5.75% fixed rate until 11/04/2025; 6 mo. USD SOFR + 1.35% thereafter)(5)   1,510,563
  2,200,000 Sumitomo Mitsui Trust Bank Ltd. 5.80%, 09/16/2024, 3 mo. USD SOFR + 0.44%(1)(2)   2,201,573
            Toronto-Dominion Bank  
    925,000 5.10%, 01/09/2026      926,764
  2,200,000 5.71%, 09/10/2024, 3 mo. USD SOFR + 0.35%(2)   2,201,163
  Truist Financial Corp.  
1,500,000 5.76%, 06/09/2025, 3 mo. USD SOFR + 0.40%(2) 1,496,230
1,250,000 5.90%, 10/28/2026, (5.90% fixed rate until 10/28/2025; 6 mo. USD SOFR + 1.63% thereafter)(5) 1,256,522
  UBS AG  
2,200,000 5.80%, 08/09/2024, 3 mo. USD SOFR + 0.45%(1)(2) 2,201,188
1,400,000 5.82%, 01/13/2025, 3 mo. USD SOFR + 0.47%(1)(2) 1,400,526
  Wells Fargo Bank NA  
1,700,000 4.81%, 01/15/2026 1,691,623
1,750,000 5.55%, 08/01/2025 1,758,541
      95,134,177
  Diversified Financial Services - 1.3%
  American Express Co.  
2,050,000 3.38%, 05/03/2024 2,045,686
1,300,000 3.95%, 08/01/2025 1,277,638
1,250,000 4.99%, 05/01/2026, (4.99% fixed rate until 05/01/2025; 6 mo. USD SOFR + 1.00% thereafter)(5) 1,242,630
975,000 Capital One Financial Corp. 4.99%, 07/24/2026, (4.99% fixed rate until 07/24/2025; 6 mo. USD SOFR + 2.16% thereafter)(5) 968,706
1,750,000 Charles Schwab Corp. 5.88%, 08/24/2026 1,779,095
      7,313,755
  Electric - 2.4%
1,250,000 American Electric Power Co., Inc. 5.70%, 08/15/2025 1,252,296
1,085,000 Consumers Securitization Funding LLC 5.55%, 03/01/2028 1,088,102
1,350,000 Eversource Energy 4.20%, 06/27/2024 1,345,444
500,000 FirstEnergy Pennsylvania Electric Co. 5.15%, 03/30/2026(1) 495,946
1,520,000 Mississippi Power Co. 5.67%, 06/28/2024, 3 mo. USD SOFR + 0.30%(2) 1,520,121
  NextEra Energy Capital Holdings, Inc.  
1,500,000 4.26%, 09/01/2024 1,490,009
980,000 5.75%, 09/01/2025 983,937
525,000 6.05%, 03/01/2025 527,041
1,700,000 Sempra 5.40%, 08/01/2026 1,705,885
1,750,000 Southern California Edison Co. 5.35%, 03/01/2026 1,753,098
1,000,000 Southern Co. 5.15%, 10/06/2025 998,521
      13,160,400
Shares or Principal Amount   Market Value†
CORPORATE BONDS - 33.3% - (continued)
  Gas - 0.2%
$    1,000,000 Spire, Inc. 5.30%, 03/01/2026 $     999,161
  Healthcare - Products - 0.3%
  1,550,000 GE HealthCare Technologies, Inc. 5.55%, 11/15/2024   1,548,022
  Healthcare - Services - 0.6%
  1,580,000 CommonSpirit Health 2.76%, 10/01/2024   1,555,576
    545,000 Elevance Health, Inc. 5.35%, 10/15/2025(6)      545,293
1,395,000 UnitedHealth Group, Inc. 5.15%, 10/15/2025 1,396,685
      3,497,554
  Insurance - 4.4%
  Athene Global Funding  
980,000 5.68%, 02/23/2026(1) 983,872
3,500,000 5.92%, 08/19/2024, 3 mo. USD SOFR + 0.56%(1)(2) 3,502,136
2,620,000 6.06%, 05/24/2024, 3 mo. USD SOFR + 0.70%(1)(2) 2,621,357
1,625,000 Brighthouse Financial Global Funding 6.11%, 04/12/2024, 3 mo. USD SOFR + 0.76%(1)(2) 1,625,149
705,000 Corebridge Financial, Inc. 3.50%, 04/04/2025 690,337
725,000 Corebridge Global Funding 5.75%, 07/02/2026(1) 725,951
1,540,000 Equitable Financial Life Global Funding 5.50%, 12/02/2025(1) 1,536,741
1,225,000 Jackson National Life Global Funding 5.50%, 01/09/2026(1) 1,219,860
1,550,000 MassMutual Global Funding II 5.71%, 04/12/2024, 3 mo. USD SOFR + 0.36%(1)(2) 1,550,113
1,225,000 Metropolitan Life Global Funding I 5.00%, 01/06/2026(1) 1,221,992
1,350,000 New York Life Global Funding 3.15%, 06/06/2024(1) 1,343,801
1,250,000 Pacific Life Global Funding II 5.50%, 08/28/2026(1) 1,260,749
  Principal Life Global Funding II  
2,500,000 5.74%, 08/23/2024, 3 mo. USD SOFR + 0.38%(1)(2)(6) 2,500,338
645,000 5.80%, 04/12/2024, 3 mo. USD SOFR + 0.45%(1)(2) 645,064
  Protective Life Global Funding  
1,375,000 3.22%, 03/28/2025(1) 1,345,863
1,525,000 5.37%, 01/06/2026(1) 1,528,454
      24,301,777
  IT Services - 0.2%
875,000 Hewlett Packard Enterprise Co. 5.90%, 10/01/2024 876,699
  Media - 0.2%
1,020,000 Comcast Corp. 5.25%, 11/07/2025 1,024,349
  Oil & Gas - 0.6%
1,400,000 Occidental Petroleum Corp. 5.88%, 09/01/2025 1,404,382
1,750,000 Ovintiv, Inc. 5.65%, 05/15/2025 1,750,430
      3,154,812
  Pharmaceuticals - 0.5%
460,000 Bayer U.S. Finance LLC 6.13%, 11/21/2026(1) 463,978
1,225,000 CVS Health Corp. 5.00%, 02/20/2026 1,220,932
1,050,000 Pfizer Investment Enterprises Pte. Ltd. 4.65%, 05/19/2025 1,043,186
      2,728,096
 

58

Hartford Ultrashort Bond HLS Fund
Schedule of Investments – (continued)
March 31, 2024  (Unaudited) 

Shares or Principal Amount   Market Value†
CORPORATE BONDS - 33.3% - (continued)
  Pipelines - 1.1%
$      245,000 Columbia Pipelines Holding Co. LLC 6.06%, 08/15/2026(1) $     247,733
    350,000 Energy Transfer LP 4.25%, 04/01/2024      350,000
    925,000 Enterprise Products Operating LLC 5.05%, 01/10/2026(6)      924,553
  1,100,000 Gray Oak Pipeline LLC 2.60%, 10/15/2025(1)   1,048,796
  2,050,000 ONEOK, Inc. 5.55%, 11/01/2026   2,069,506
  1,700,000 Williams Cos., Inc. 5.40%, 03/02/2026   1,704,901
      6,345,489
  REITS - 0.2%
1,220,000 Public Storage Operating Co. 5.82%, 04/23/2024, 3 mo. USD SOFR + 0.47%(2) 1,220,096
  Retail - 0.1%
800,000 AutoZone, Inc. 5.05%, 07/15/2026 801,452
  Semiconductors - 0.4%
1,120,000 Analog Devices, Inc. 5.62%, 10/01/2024, 3 mo. USD SOFR + 0.25%(2) 1,121,050
885,000 Intel Corp. 4.88%, 02/10/2026 882,331
      2,003,381
  Software - 0.0%
275,000 Oracle Corp. 5.80%, 11/10/2025 277,319
  Telecommunications - 0.2%
455,000 NTT Finance Corp. 4.14%, 07/26/2024(1) 452,825
800,000 Sprint LLC 7.13%, 06/15/2024 801,217
      1,254,042
  Trucking & Leasing - 0.2%
1,000,000 Penske Truck Leasing Co. LP/PTL Finance Corp. 5.75%, 05/24/2026(1) 1,007,439
  Total Corporate Bonds
(cost $184,592,892)
$ 184,599,982
U.S. GOVERNMENT AGENCIES - 3.3%
  Mortgage-Backed Agencies - 3.3%
  Federal Home Loan Banks - 0.3%
1,500,000 4.88%, 06/14/2024 $ 1,498,474
  Federal Home Loan Mortgage Corp. - 0.9%
586,509 1.00%, 05/15/2041 536,750
208,435 1.75%, 04/15/2027 202,024
40,934 3.00%, 05/15/2043 40,318
266,215 3.50%, 11/15/2025 261,679
1,733,867 3.50%, 05/15/2026 1,702,412
16,609 3.50%, 11/15/2042 16,535
2,067,314 4.00%, 03/15/2037 2,024,679
      4,784,397
  Federal National Mortgage Association - 1.9%
408,225 1.75%, 09/25/2041 379,397
2,184,697 3.00%, 07/25/2043 2,164,322
1,744,501 3.06%, 06/25/2024(3) 1,734,546
731,294 3.50%, 08/25/2026 718,016
795,352 3.50%, 11/01/2034 777,955
893,947 3.50%, 11/25/2038 871,891
986,944 4.00%, 09/25/2039 969,465
1,459,610 4.00%, 07/25/2040 1,427,624
1,526,865 4.00%, 06/25/2041 1,497,114
      10,540,330
Shares or Principal Amount   Market Value†
U.S. GOVERNMENT AGENCIES - 3.3% - (continued)
  Mortgage-Backed Agencies - 3.3% - (continued)
  Government National Mortgage Association - 0.2%
$      342,010 2.50%, 09/20/2046 $     317,156
    930,655 3.50%, 01/20/2052      904,398
      1,221,554
  Total U.S. Government Agencies
(cost $18,127,787)
  $ 18,044,755
U.S. GOVERNMENT SECURITIES - 11.0%
  U.S. Treasury Securities - 11.0%
  U.S. Treasury Notes - 11.0%
10,000,000 0.75%, 11/15/2024 $ 9,728,613
51,250,000 2.00%, 04/30/2024 51,111,696
  Total U.S. Government Securities
(cost $60,951,991)
  $ 60,840,309
  Total Long-Term Investments
(cost $473,106,313)
  $ 470,414,408
SHORT-TERM INVESTMENTS - 15.7%
  Commercial Paper - 0.6%
3,100,000 Australia & New Zealand Banking Group Ltd. 5.41%, 04/22/2024(1)(7) $ 3,089,928
  Repurchase Agreements - 0.3%
1,879,156 Fixed Income Clearing Corp. Repurchase Agreement dated 03/28/2024 at 5.32%, due on 04/01/2024 with a maturity value of $1,880,267; collateralized by U.S. Treasury Bond at 4.75%, maturing 02/15/2041, with a market value of $1,916,804 1,879,156
  Securities Lending Collateral - 0.4%
297,453 Goldman Sachs Financial Square Funds, Government Fund, Institutional Class, 5.21%(8) 297,453
991,510 HSBC U.S. Government Money Market Fund, Institutional Class, 5.24%(8) 991,510
297,453 Invesco Government & Agency Portfolio, Institutional Class, 5.24%(8) 297,453
297,453 Morgan Stanley Institutional Liquidity Funds, Government Portfolio, Institutional Class, 5.22%(8) 297,453
      1,883,869
  U.S. Treasury Securities - 14.4%
  U.S. Treasury Bills - 14.4%
4,400,000 5.00%, 04/16/2024(7) 4,390,375
6,000,000 5.08%, 04/23/2024(7) 5,980,860
3,000,000 5.10%, 03/20/2025(7) 2,859,584
5,000,000 5.13%, 04/30/2024(7) 4,979,015
5,000,000 5.16%, 05/07/2024(7) 4,974,000
6,000,000 5.19%, 05/21/2024(7) 5,956,792
5,000,000 5.19%, 06/04/2024(7) 4,954,085
10,000,000 5.21%, 05/28/2024(7) 9,916,887
2,000,000 5.24%, 05/23/2024(7) 1,984,891
2,000,000 5.24%, 08/22/2024(7) 1,959,233
5,000,000 5.26%, 05/14/2024(7) 4,968,497
4,500,000 5.28%, 05/30/2024(7) 4,461,189
10,000,000 5.28%, 07/30/2024(7) 9,827,987
 

59

Hartford Ultrashort Bond HLS Fund
Schedule of Investments – (continued)
March 31, 2024  (Unaudited) 

Shares or Principal Amount   Market Value†
SHORT-TERM INVESTMENTS - 15.7% - (continued)
  U.S. Treasury Securities - 14.4% - (continued)
  U.S. Treasury Bills - 14.4 - (continued)
$    5,000,000 5.28%, 09/26/2024(7) $   4,873,463
 8,000,000 5.29%, 06/25/2024(7)    7,902,313
      79,989,171
  Total Short-Term Investments
(cost $86,841,976)
$ 86,842,124
  Total Investments
(cost $559,948,289)
100.6% $ 557,256,532
  Other Assets and Liabilities (0.6)% (3,229,924)
  Total Net Assets 100.0% $ 554,026,608
Note: Percentage of investments as shown is the ratio of the total market value to total net assets.
  The Fund may refer to any one or more of the industry classifications used by one or more widely recognized market indices, ratings group and/or as defined by Fund management. Industry classifications may not be identical across all security types.
  For Fund compliance purposes, the Fund may not use the same classification system. These classifications are used for financial reporting purposes.
  See “Glossary” for abbreviation descriptions.
    
(1) Security was purchased pursuant to Rule 144A under the Securities Act of 1933 and may be sold in transactions that are exempt from registration (typically only to qualified institutional buyers) or in a public offering registered under the Securities Act of 1933. At March 31, 2024, the aggregate value of these securities was $202,835,220, representing 36.6% of net assets.
(2) Variable rate securities; the rate reported is the coupon rate in effect at March 31, 2024. Base lending rates may be subject to a floor or cap.
(3) Variable or floating rate security, which interest rate adjusts periodically based on changes in current interest rates and prepayments on the underlying pool of assets. Rate shown is the rate in effect as of period end.
(4) Security is a “step-up” bond where coupon increases or steps up at a predetermined date. Rate shown is current coupon rate.
(5) Fixed to variable rate investment. The rate shown reflects the fixed rate in effect at March 31, 2024. Rate will reset at a future date. Base lending rates may be subject to a floor or cap.
(6) Represents entire or partial securities on loan.
(7) The rate shown represents current yield to maturity.
(8) Current yield as of period end.
For information regarding the Fund’s significant accounting policies, please refer to the Fund’s most recent shareholder report.
 
Fair Value Summary
The following is a summary of the fair valuations according to the inputs used as of March 31, 2024 in valuing the Fund’s investments.
Description   Total   Level 1   Level 2   Level 3(1)
Assets                
Asset & Commercial Mortgage-Backed Securities   $ 206,929,362   $ —   $ 206,929,362   $ —
Corporate Bonds   184,599,982     184,599,982  
U.S. Government Agencies   18,044,755     18,044,755  
U.S. Government Securities   60,840,309     60,840,309  
Short-Term Investments   86,842,124   1,883,869   84,958,255  
Total   $ 557,256,532   $ 1,883,869   $ 555,372,663   $ —
    
(1) For the period ended March 31, 2024, there were no transfers in and out of Level 3.

60

Hartford Series Fund, Inc. (the "Company")
GLOSSARY: (abbreviations used in preceding Schedule of Investments) (Unaudited)

Counterparty Abbreviations:
BNP BNP Paribas Securities Services
GSC Goldman Sachs & Co.
HSBC Hongkong and Shanghai Banking Corporation
NWM NatWest Markets Plc
Currency Abbreviations:
BRL Brazil Real
EUR Euro Member Countries
USD United States Dollar
Index Abbreviations:
CMT Constant Maturity Treasury Index
ICE Intercontinental Exchange, Inc.
MTA Monthly Treasury Average Index
S&P Standard & Poor's
Municipal Abbreviations:
Auth Authority
Dev Development
GO General Obligation
Rev Revenue
Other Abbreviations:
ACWI All Country World Index
ADR American Depositary Receipt
ARM Adjustable Rate Mortgage
ASA Allmennaksjeselskap
BAM Build America Mutual Assurance Corp.
CLO Collateralized Loan Obligation
CMO Collateralized Mortgage Obligation
CVR Contingent Value Rights
ETF Exchange-Traded Fund
EURIBOR Euro Interbank Offered Rate
KGaA Kommanditgesellschaft Auf Aktien
MSCI Morgan Stanley Capital International
NATL National Public Finance Guarantee Corp.
Nyrt New York REIT Inc
PT Perseroan Terbatas
REIT Real Estate Investment Trust
SOFR Secured Overnight Financing Rate
ST APPROP State Appropriation
TBA To Be Announced
 

61