Hartford Dynamic Bond Fund Class I is a multisector mutual fund focused on generating long-term total return by actively investing across a diverse range of domestic and international fixed income securities. Managed by experienced portfolio managers from Wellington Management, the fund takes a nimble and opportunistic approach, rotating between various bond sectors such as investment grade corporate credit, high yield bonds, preferred securities, emerging market debt, and U.S. Treasuries as market conditions and valuations evolve. With approximately 71 issuers and a moderate effective duration, the fund emphasizes diversification and flexible sector allocation to capitalize on changing market dynamics. Monthly dividends and a focus on risk management, including relatively low carbon risk exposure, position it as a flexible fixed income solution for investors seeking both income and capital appreciation within the bond market. The fund’s dynamic strategy contributes to its role as a distinctive option within the multisector bond category, aiming to adapt to shifting economic environments while seeking consistent total return outcomes.
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