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HARTFORD INVESTMENT MANAGEMENT CO

497 holdingsFiling period: 2026-03-31Current AUM: $3.64Bestimated from latest prices
#TickerCompanySharesReported ValueCurrent Value% PortfolioChangeDate
1NVDANVIDIA CORP1.38M$241.5M$278.0M7.64%-19,0562026-03-31
2AAPLAPPLE INC836.6K$212.3M$258.4M7.11%-16,9712026-03-31
3MSFTMICROSOFT CORP423.2K$156.6M$196.6M5.41%-6,2012026-03-31
4AMZNAMAZON COM INC556.7K$115.9M$151.2M4.16%-5,3662026-03-31
5GOOGLALPHABET INC CLASS A331.9K$95.4M$118.2M3.25%-4,2812026-03-31
6AVGOBROADCOM INC270.2K$83.6M$105.2M2.89%-2,6242026-03-31
7GOOGALPHABET INC CLASS C266.6K$76.5M$95.1M2.61%-2,0692026-03-31
8METAMETA PLATFORMS INC CLASS 124.6K$71.3M$69.4M1.91%-1,1652026-03-31
9TSLATESLA INC160.3K$59.6M$49.9M1.37%-2,0522026-03-31
10BRK-BBERKSHIRE HATHAWAY INC CL104.5K$50.1M$50.1M1.38%-1,4312026-03-31
11JPMJPMORGAN CHASE153.7K$45.2M$54.1M1.49%-3,6682026-03-31
12LLYELI LILLY45.2K$41.5M$51.9M1.43%-7182026-03-31
13XOMEXXON MOBIL CORP238.2K$40.4M$37.0M1.02%-5,3342026-03-31
14XOMEXXON MOBIL CORP238.2K$40.4M$37.0M1.02%-5,3342026-03-31
15JNJJOHNSON & JOHNSON137.4K$33.6M$35.2M0.97%-1,7962026-03-31
16WMTWALMART INC249.9K$31.1M$27.8M0.76%-3,3502026-03-31
17VVISA INC CLASS A95.8K$29.0M$35.1M0.96%-1,6652026-03-31
18COSTCOSTCO WHOLESALE CORP25.3K$25.2M$24.1M0.66%-3202026-03-31
19MAMASTERCARD INC CLASS A46.4K$23.2M$26.6M0.73%-9532026-03-31
20NFLXNETFLIX INC240.6K$23.1M$17.3M0.47%-4,2712026-03-31
21CVXCHEVRON CORP106.8K$22.1M$21.0M0.58%-2,5052026-03-31
22ABBVABBVIE INC100.7K$21.9M$25.3M0.69%-1,4022026-03-31
23MUMICRON TECHNOLOGY INC64.1K$21.7M$52.8M1.45%-7082026-03-31
24PGPROCTER & GAMBLE132.5K$19.1M$19.2M0.53%-2,4822026-03-31
25PLTRPALANTIR TECHNOLOGIES INC130.2K$19.0M$16.0M0.44%-1,7872026-03-31
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