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Global International Equity fund

Hartford Schroders Diversified Emerging Markets Fund   


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      Global International Equity fund

      Hartford Schroders Diversified Emerging Markets Fund   
      Share Class - C (HSXCX)

      Effective 3/1/24, the Fund’s principal investment strategy was modified. Returns prior to 3/1/24 reflect the performance of the Fund's modified principal strategy.

      Objective

      Seeks long-term capital appreciation.

      Overview

      A highly diversified emerging markets fund that combines fundamental and quantitative resources.

      Portfolio Management
      Portfolio Manager
      3
      YRS
      MANAGING THIS FUND
      23
      YRS
      AT SCHRODERS
      23
      YRS
      EXPERIENCE IN THIS INDUSTRY
      Portfolio Manager
      3
      YRS
      MANAGING THIS FUND
      20
      YRS
      AT SCHRODERS
      34
      YRS
      EXPERIENCE IN THIS INDUSTRY
      Portfolio Manager
      3
      YRS
      MANAGING THIS FUND
      12
      YRS
      AT SCHRODERS
      12
      YRS
      EXPERIENCE IN THIS INDUSTRY

      The portfolio managers are supported by the full resources of Schroders.

      Performance

      PERFORMANCE %
       
      CUMULATIVE %
      (as of 10/31/2024)
      AVERAGE ANNUAL TOTAL RETURNS %
      (as of 10/31/2024)
      YTD 1YR 3YR 5YR 10YR SI
      Hartford Schroders Diversified Emerging Markets C 10.19 21.65 -4.30 --- --- -3.88
      With 1.0% CDSC --- 20.65 -4.30 --- --- -3.88
      Benchmark 11.66 25.32 -1.43 --- --- ---
      Morningstar Diversified Emerging Mkts Category 9.43 23.07 -1.74 --- --- ---
       
      CUMULATIVE %
      (as of 9/30/2024)
      AVERAGE ANNUAL TOTAL RETURNS %
      (as of 9/30/2024)
      YTD 1YR 3YR 5YR 10YR SI
      Hartford Schroders Diversified Emerging Markets C 14.34 22.67 -2.79 --- --- -2.79
      With 1.0% CDSC --- 21.67 -2.79 --- --- -2.79
      Benchmark 16.86 26.05 0.40 --- --- ---
      Morningstar Diversified Emerging Mkts Category 13.70 22.96 -0.07 --- --- ---

      Performance data quoted represents past performance and does not guarantee future results. The investment return and principal value of an investment will fluctuate so that an investor's shares, when redeemed, may be worth more or less than their original cost. Current performance may be lower or higher than the performance data quoted.

      SI = Since Inception. Fund Inception: 09/30/2021

      Share Class Inception: 2/28/22.
      Class C-share performance prior to its inception reflects Class SDR-share performance and operating expenses. SI performance is calculated from 9/30/21.

      Excludes sales charges. If sales charges and taxes had been included, the value would have been lower.
      The Fund’s Class C shares have not been in operation for 10 years. Therefore, the Calendar Year Returns (C Shares) chart includes performance and operating expenses of another class. For more information, see the prospectus.

      Characteristics

      FUND ESSENTIALS
      Inception Date 09/30/2021
      Net Assets $63 million
      Gross Operating Expenses 2.56%
      Net Operating Expenses 2.14%
      CDSC Charge 1.0%
      Morningstar Category Diversified Emerging Mkts
      Lipper Classification Emerging Markets Funds
      CUSIP 416529295
      Fund Number 1006
      FUND STATS
      Turnover
      121%
      Active Share
      48%
      Holdings Characteristics
      FUND MSCI Emerging Markets Index
      As of Date
      10/31/2024 ---
      Price/Earnings
      12.2x 12.0x
      Price/Book
      2.2x 1.8x
      Asset Weighted Market Cap (billions)
      $181.0 $161.7
      Median Market Cap (billions)
      $9.9 $8.2
      Return on Equity
      16.7% 15.5%
      Regional Exposure (%)
      Asia 80
      EMEA 12
      Latin America 9
      North America 0
      Top Ten Holdings (%)
      Taiwan Semiconductor Manufacturing Co. Ltd. 11.56
      Tencent Holdings Ltd. 6.06
      Samsung Electronics Co. Ltd. 4.06
      Meituan 3.05
      Alibaba Group Holding Ltd. 2.38
      ICICI Bank Ltd. 1.99
      MediaTek, Inc. 1.80
      Reliance Industries Ltd. 1.58
      AIA Group Ltd. 1.30
      HDFC Bank Ltd. 1.12
      Total Portfolio % 34.90
      Market Cap Distribution (%)

      Market Cap Header3

      Less than $2 billion 2
      $2 billion - $5 billion 9
      $5 billion - $10 billion 13
      Greater than $10 billion 76
      Not Classified 0
      RETURN CHARACTERISTICS
      Alpha (3 Year)
      -2.57
      Down Capture (3 Year)
      100.62
      Information Ratio (3 Year)
      -0.73
      Sharpe Ratio (3 Year)
      -0.26
      Up Capture (3 Year)
      89.93
      Country Allocation (%)
      Represents 91% of total country allocation
      Sector Exposure (%)

      Exposure Chart Header

      FUND
      BENCHMARK UNDERWEIGHT / OVERWEIGHT

      Exposure Chart Header2

      9/30/24 10/31/24 10/31/24 -3 0 3
      Information Technology 25 26 24
      Communication Services 11 11 9
      Health Care 5 5 3
      Consumer Discretionary 14 15 14
      Industrials 7 7 7
      Financials 22 22 23
      Consumer Staples 5 4 5
      Utilities 2 2 3
      Real Estate 1 1 2
      Energy 3 3 5
      Materials 3 3 6
      Based on Global Industry Classification Standard (GICS), which was developed by and is the exclusive property and a service mark of MSCI Inc. (MSCI) and Standard & Poor's, a division of The McGraw-Hill Companies, Inc. (S&P). Excludes cash. May not total to 100% due to rounding and/or pooled vehicle allocations.
      distributions and capital gains
      Distribution Date Distribution NAV ordinary income short term capital gains long term capital gains total distribution
      12/27/2023 7.86 $0.0423 $0.0000 $0.0000 $0.0423
      12/11/2023 7.67 $0.0000 $0.0000 $0.0000 $0.0000
      Past distributions are not indicative of future distributions.
      Fund Literature

      PDF (165 KB)
      A summary of a fund's full-length prospectus that provides key information potential investors should consider before making an investment decision
      09/30/2024 - PDF (477 KB)
      This Pitchbook reviews the Fund's investment approach, investment team, investment process, portfolio statistics, top holdings, and current performance.
      An unaudited financial report, which includes a fund's financial statements. These reports are intended for shareholders and others who have reviewed the fund's prospectus.
      PDF (13 KB)
      A legal document that discloses essential information about a fund, including investment objectives, risks, fees, expenses, fund manager background and other information.
      An audited financial report, which includes a fund's financial statements. These reports are intended for shareholders and others who have reviewed the fund's prospectus.
      An audited financial report, which includes a fund's financial statements. These reports are intended for shareholders and others who have reviewed the fund's prospectus.
      PDF (13 KB)
      A document that supplements the fund's prospectus with additional information about the fund including its operations and risks.
      Important Risks: Investing involves risk, including the possible loss of principal. Security prices fluctuate in value depending on general market and economic conditions and the prospects of individual companies. • Foreign investments may be more volatile and less liquid than U.S. investments and are subject to the risk of currency fluctuations and adverse political, economic and regulatory developments. These risks may be greater, and include additional risks, for investments in emerging markets or if the Fund focuses in a particular geographic region or country, such as China. • Risks associated with investments in China include currency fluctuation, political, economic, social, environmental, regulatory and other risks, including risks associated with differing legal standards. • Different investment styles may go in and out of favor, which may cause the Fund to underperform the broader stock market. • Small- and mid-cap securities can have greater risks and volatility than large-cap securities. • Derivatives are generally more volatile and sensitive to changes in market or economic conditions than other securities; their risks include currency, leverage, liquidity, index, pricing, regulatory and counterparty risk. • The Fund may have high portfolio turnover, which could increase its transaction costs and an investor's tax liability. • The Fund's investments may fluctuate in value over a short period of time. • Financially material environmental, social and/or governance (ESG) characteristics are one of several factors that may be considered and as a result, the investment process may not work as intended.
      Neither MSCI nor any other party involved in or related to compiling, computing or creating the MSCI data makes any express or implied warranties or representations with respect to such data (or the results to be obtained by the use thereof), and all such parties hereby expressly disclaim all warranties of originality, accuracy, completeness, merchantability or fitness for a particular purpose with respect to any of such data. Without limiting any of the foregoing, in no event shall MSCI, any of its affiliates or any third party involved in or related to compiling, computing or creating the data have any liability for any direct, indirect, special, punitive, consequential or any other damages (including lost profits) even if notified of the possibility of such damages. No further distribution or dissemination of the MSCI data is permitted without MSCI's express written consent.
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