Hartford Strategic Income Fund Class A is a multisector bond mutual fund designed to provide both current income and long-term total return through a flexible, actively managed approach. The fund invests primarily in a diversified mix of domestic and foreign fixed-income securities, encompassing sectors such as high yield credit, emerging-market debt, bank loans, asset-backed securities, and various mortgage-backed instruments. Its asset allocation is shaped by a combination of top-down macroeconomic analysis and bottom-up security selection, leveraging the expertise of sector specialists and the resources of sub-adviser Wellington Management. Rather than tracking a single benchmark, the fund takes a dynamic view to capture opportunities across higher-yielding and non-traditional fixed-income markets, which may include significant allocations to lower investment-grade and below-investment-grade credit. With a portfolio comprising over 1,300 holdings, the fund plays a notable role for investors seeking diversified exposure to global bond markets and income generation in a changing rate environment. Monthly dividends are typical, and the fund is structured to adjust its risk and sector allocations as market conditions evolve.
Based on technical indicators and chart patterns, HSNAX shows...
Market sentiment analysis indicates...