Hartford Real Asset Fund Class I is a diversified mutual fund designed to provide long-term total returns that surpass inflation across varying economic cycles. Its primary purpose is to serve as an inflation hedge by investing in a mix of asset classes closely linked to inflation trends. The fund's portfolio includes substantial allocations to inflation-related equities, inflation-linked bonds—such as U.S. Treasury Inflation-Protected Securities—and direct commodity exposures. Managed through a collaborative approach by a team at Wellington Management, it benefits from integrated macroeconomic, equity, commodity, and fixed-income expertise. The fund targets global opportunities, holding assets across sectors like energy, agriculture, infrastructure, and real estate, as well as geographies including the United States, United Kingdom, and Canada. By blending these inflation-sensitive assets, the fund plays a key role for investors seeking diversification and some insulation from rising prices, making it a relevant option for those aiming to preserve and grow purchasing power in diverse market environments.
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