Hartford Multi-Asset Income Fund Class R5 is an open-end mutual fund designed to deliver a high level of current income while maintaining the potential for long-term capital growth. It employs a multi-asset approach, dynamically allocating across global equities, investment-grade and high-yield bonds, securitized credit, and other income-producing instruments to balance yield, total return, and diversification. The strategy spans multiple time horizons, combining long-term positioning with tactical adjustments to changing market conditions. Sub-advised by Wellington Management, the fund leverages a broad research platform across major asset classes and regions. Within its allocation, the portfolio holds a mix of credit qualities, including investment-grade and below-investment-grade exposures, and distributes income on a monthly basis. Classified in Morningstar’s Global Moderately Conservative Allocation category, it targets a conservative risk profile relative to global balanced peers while seeking consistent income generation. The fund’s objective, diversified toolkit, and active risk management make it a reference option for investors seeking multi-source income without concentrating in a single asset class.
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