Hartford Strategic Income Fund Class I is an actively managed mutual fund classified within the multisector bond category. Its primary objective is to provide current income and long-term total return by investing primarily in a diversified portfolio of domestic and foreign debt securities. The fund employs a distinctive top-down macro perspective to identify high-yielding credit sectors, complemented by bottom-up security selection undertaken by sector specialists, particularly in areas such as high yield bonds, bank loans, and emerging-market debt. Notably, the fund holds substantial allocations to emerging market debt, high-yield credit, and asset-backed securities, along with exposure to U.S. government and various securitized asset classes. Managed with input from Wellington Management Company, it balances risk and opportunity by leveraging broad credit exposures and a global approach. With a relatively high monthly yield and moderate duration profile, Hartford Strategic Income Fund Class I seeks to attract investors seeking income and diversified credit exposure in the fixed income universe. The fund’s role in the market is to offer a flexible strategy capable of navigating changing interest rate environments and capturing opportunities across different sectors of the global bond market.
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