HIMCH

Hartford Investment Management Co (HIMCO) Portfolio holdings

AUM $3.14B
1-Year Return 24.03%
This Quarter Return
-12.09%
1 Year Return
+24.03%
3 Year Return
+107.61%
5 Year Return
+185.47%
10 Year Return
+430.9%
AUM
$3.22B
AUM Growth
-$143M
Cap. Flow
+$324M
Cap. Flow %
10.05%
Top 10 Hldgs %
26.95%
Holding
819
New
20
Increased
171
Reduced
373
Closed
86

Sector Composition

1 Technology 14.76%
2 Healthcare 13.51%
3 Financials 13.12%
4 Consumer Discretionary 8.48%
5 Communication Services 8.12%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
PAHC icon
626
Phibro Animal Health
PAHC
$1.67B
$223K 0.01%
6,922
APEI icon
627
American Public Education
APEI
$617M
$222K 0.01%
7,791
PDM
628
Piedmont Realty Trust, Inc.
PDM
$1.07B
$222K 0.01%
13,003
SRI icon
629
Stoneridge
SRI
$230M
$222K 0.01%
9,025
WKC icon
630
World Kinect Corp
WKC
$1.44B
$221K 0.01%
10,316
ELS icon
631
Equity Lifestyle Properties
ELS
$11.9B
$220K 0.01%
4,520
IBKR icon
632
Interactive Brokers
IBKR
$27.7B
$220K 0.01%
16,096
-6,000
-27% -$82K
NLY icon
633
Annaly Capital Management
NLY
$14.3B
$219K 0.01%
5,579
-1,722
-24% -$67.6K
POR icon
634
Portland General Electric
POR
$4.64B
$219K 0.01%
4,773
NUVA
635
DELISTED
NuVasive, Inc.
NUVA
$219K 0.01%
4,411
CTBI icon
636
Community Trust Bancorp
CTBI
$1.04B
$218K 0.01%
5,501
ENTA icon
637
Enanta Pharmaceuticals
ENTA
$193M
$218K 0.01%
3,078
Y
638
DELISTED
Alleghany Corporation
Y
$218K 0.01%
350
DNKN
639
DELISTED
Dunkin' Brands Group, Inc.
DNKN
$218K 0.01%
+3,406
New +$218K
HELE icon
640
Helen of Troy
HELE
$550M
$216K 0.01%
1,648
SFM icon
641
Sprouts Farmers Market
SFM
$13.3B
$215K 0.01%
9,148
-600
-6% -$14.1K
SC
642
DELISTED
SANTANDER CONSUMER USA HOLDINGS INC
SC
$215K 0.01%
12,248
MRVL icon
643
Marvell Technology
MRVL
$57.6B
$213K 0.01%
13,152
USG
644
DELISTED
Usg
USG
$213K 0.01%
4,996
EPR icon
645
EPR Properties
EPR
$4.21B
$212K 0.01%
3,314
MSGN
646
DELISTED
MSG Networks Inc.
MSGN
$210K 0.01%
8,920
HR
647
DELISTED
Healthcare Realty Trust Incorporated
HR
$210K 0.01%
7,389
ESNT icon
648
Essent Group
ESNT
$6.21B
$207K 0.01%
6,059
MANH icon
649
Manhattan Associates
MANH
$13B
$207K 0.01%
4,895
NC icon
650
NACCO Industries
NC
$296M
$207K 0.01%
6,112