Holdings Channel
Size ($ in 1000's)
At 03/31/2024: $2,831,842
At 12/31/2023: $2,681,653

Hartford Investment Management Co. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Hartford Investment Management Co. 13F filings. Link to 13F filings: SEC filings

Hartford Investment Management Co. Top Holdings
As of  03/31/2024, below is a summary of the Hartford Investment Management Co. top holdings by largest position size, as per the latest 13f filing made by Hartford Investment Management Co.. In the Hartford Investment Management Co.-top-holdings-table below, each of the top holdings by name is presented in the first column, followed by the amount of shares held by Hartford Investment Management Co. in that top holding, then the share count change between reporting periods, and finally the Hartford Investment Management Co. top holding position size for that row.

   EntityAmountChange
 12/31/2023 to 03/31/2024
Position Size
($ in 1000's)
MICROSOFT CORP 480,114 -20,615 $201,994
     MSFT480,114-20,615$201,994
APPLE INC 937,839 -47,112 $160,821
     AAPL937,839-47,112$160,821
NVIDIA CORP 159,598 -6,809 $144,206
     NVDA159,598-6,809$144,206
AMAZON COM INC 590,647 -22,035 $106,541
     AMZN590,647-22,035$106,541
META PLATFORMS INC CLASS 142,160 -7,379 $69,030
     META142,160-7,379$69,030
ALPHABET INC CLASS A 380,656 -18,100 $57,452
     GOOGL380,656-18,100$57,452
BERKSHIRE HATHAWAY INC CL      $49,451
     BRK.B117,595-4,993$49,451
ALPHABET INC CLASS C 318,849 -16,794 $48,548
     GOOG318,849-16,794$48,548
ELI LILLY 51,531 -2,189 $40,089
     LLY51,531-2,189$40,089
BROADCOM INC 28,436 -1,134 $37,689
     AVGO28,436-1,134$37,689
JPMORGAN CHASE 186,820 -7,983 $37,420
     JPM186,820-7,983$37,420
TESLA INC 179,041 -7,289 $31,474
     TSLA179,041-7,289$31,474
EXXON MOBIL CORP 256,520 -13,345 $29,818
     XOM256,520-13,345$29,818
UNITEDHEALTH GROUP INC 59,765 -2,514 $29,566
     UNH59,765-2,514$29,566
VISA INC CLASS A 102,168 -5,217 $28,513
     V102,168-5,217$28,513
MASTERCARD INC CLASS A 53,292 -2,490 $25,664
     MA53,292-2,490$25,664
PROCTER & GAMBLE 152,054 -6,703 $24,671
     PG152,054-6,703$24,671
HOME DEPOT INC 64,292 -3,085 $24,662
     HD64,292-3,085$24,662
JOHNSON & JOHNSON 155,489 -6,666 $24,597
     JNJ155,489-6,666$24,597
MERCK & CO INC 163,687 -7,041 $21,598
     MRK163,687-7,041$21,598
COSTCO WHOLESALE CORP 28,683 -1,148 $21,014
     COST28,683-1,148$21,014
ABBVIE INC 114,075 -4,854 $20,773
     ABBV114,075-4,854$20,773
ADVANCED MICRO DEVICES IN 104,420 -4,431 $18,847
     AMD104,420-4,431$18,847
SALESFORCE INC 62,565 -2,993 $18,843
     CRM62,565-2,993$18,843
CHEVRON CORP 112,028 -6,247 $17,671
     CVX112,028-6,247$17,671
NETFLIX INC 27,966 -1,521 $16,985
     NFLX27,966-1,521$16,985
BANK OF AMERICA CORP 445,005 -18,503 $16,875
     BAC445,005-18,503$16,875
WALMART INC 276,640 +180,586 $16,645
     WMT276,640+180,586$16,645
PEPSICO INC 88,707 -3,879 $15,525
     PEP88,707-3,879$15,525
COCA COLA 251,337 -10,858 $15,377
     KO251,337-10,858$15,377
ADOBE INC 29,206 -1,467 $14,737
     ADBE29,206-1,467$14,737
LINDE PLC 31,351 -1,311 $14,557
     LIN31,351-1,311$14,557
THERMO FISHER SCIENTIFIC 24,971 -1,066 $14,513
     TMO24,971-1,066$14,513
WALT DISNEY 118,538 -4,768 $14,504
     DIS118,538-4,768$14,504
ACCENTURE PLC CLASS A 40,513 -1,769 $14,042
     ACN40,513-1,769$14,042
WELLS FARGO 232,630 -12,033 $13,483
     WFC232,630-12,033$13,483
MCDONALDS CORP 46,814 -2,056 $13,199
     MCD46,814-2,056$13,199
CISCO SYSTEMS INC 262,402 -10,320 $13,096
     CSCO262,402-10,320$13,096
ORACLE CORP 103,025 -4,018 $12,941
     ORCL103,025-4,018$12,941
ABBOTT LABORATORIES 112,197 -4,682 $12,752
     ABT112,197-4,682$12,752
GE AEROSPACE 70,371 -2,956 $12,352
     GE70,371-2,956$12,352
QUALCOMM INC 72,117 -2,870 $12,209
     QCOM72,117-2,870$12,209
INTEL CORPORATION CORP 273,179 -10,877 $12,066
     INTC273,179-10,877$12,066
CATERPILLAR INC 32,898 -1,471 $12,055
     CAT32,898-1,471$12,055
INTUIT INC 18,098 -788 $11,764
     INTU18,098-788$11,764
VERIZON COMMUNICATIONS IN 271,693 -11,737 $11,400
     VZ271,693-11,737$11,400
INTERNATIONAL BUSINESS MA 59,144 -2,363 $11,294
     IBM59,144-2,363$11,294
COMCAST CORP CLASS A 256,129 -14,097 $11,103
     CMCSA256,129-14,097$11,103
APPLIED MATERIAL INC 53,783 -2,566 $11,092
     AMAT53,783-2,566$11,092
DANAHER CORP 42,501 -1,821 $10,613
     DHR42,501-1,821$10,613

See Full List: All Stocks Held By Hartford Investment Management Co.
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Hartford Investment Management Co.

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