Hartford Real Asset Fund Class Y is an actively managed mutual fund designed to deliver long-term total returns that exceed inflation over economic cycles. Its core strategy is to protect purchasing power by diversifying across asset classes that typically perform well during inflationary periods. The fund invests in a global portfolio of inflation-sensitive equities—primarily from natural resource companies—alongside inflation-linked bonds, such as Treasury Inflation-Protected Securities (TIPS), and exposure to commodities. This approach aims to hedge against inflation while capturing growth opportunities across different sectors and geographies. Managed through a collaborative process leveraging expertise in macroeconomics, equities, commodities, and fixed income, the fund is sub-advised by Wellington Management, a firm known for independent analysis and cross-discipline insights. It is classified in the real return or global allocation category, reflecting moderate volatility and a balanced risk profile. Hartford Real Asset Fund Class Y serves investors seeking to preserve capital and maintain real purchasing power, especially during periods of rising prices, and plays an important role as an inflation hedge within diversified portfolios.
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