HDUS Holdings — Hartford Disciplined US Equity ETF

All 242 reported holdings of Hartford Disciplined US Equity ETF (HDUS) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
NVIDIA Corp7.06%$12.69M
Alphabet Inc6.13%$11.01M
Microsoft Corp5.19%$9.33M
Apple Inc4.96%$8.91M
Amazon.com Inc3.82%$6.86M
Broadcom Inc2.69%$4.83M
Meta Platforms Inc2.14%$3.85M
Tesla Inc1.37%$2.46M
Exxon Mobil Corp1.24%$2.23M
Johnson & Johnson1.22%$2.20M
Verizon Communications Inc1.16%$2.08M
Walmart Inc1.15%$2.06M
PepsiCo Inc1.06%$1.90M
T Rowe Price Group Inc1.02%$1.84M
Altria Group Inc0.96%$1.73M
JPMorgan Chase & Co0.95%$1.71M
SEI Investments Co0.89%$1.60M
Medtronic PLC0.89%$1.60M
Bank of New York Mellon Corp/The0.85%$1.53M
Mastercard Inc0.84%$1.51M
Chevron Corp0.82%$1.48M
Donaldson Co Inc0.80%$1.45M
Amphenol Corp0.79%$1.42M
Jack Henry & Associates Inc0.77%$1.38M
Coca-Cola Co/The0.75%$1.34M
International Business Machines Corp0.74%$1.33M
State Street Global Advisors0.74%$1.33M
Fox Corp0.74%$1.33M
Advanced Micro Devices Inc0.74%$1.32M
Northern Trust Corp0.73%$1.30M
Eli Lilly & Co0.70%$1.27M
Annaly Capital Management Inc0.70%$1.25M
Visa Inc0.68%$1.21M
TXNM Energy Inc0.66%$1.18M
Omega Healthcare Investors Inc0.65%$1.16M
Micron Technology Inc0.65%$1.16M
H&R Block Inc0.64%$1.15M
Cisco Systems Inc0.63%$1.14M
Lam Research Corp0.63%$1.13M
Applied Materials Inc0.62%$1.12M
KLA Corp0.62%$1.11M
Gaming and Leisure Properties Inc0.61%$1.10M
Merck & Co Inc0.61%$1.09M
Morgan Stanley0.59%$1.07M
Dropbox Inc0.58%$1.04M
Palantir Technologies Inc0.57%$1.02M
Coterra Energy Inc0.57%$1.02M
Cummins Inc0.56%$1.01M
General Electric Co0.54%$974.16K
Portland General Electric Co0.54%$973.58K
MSA Safety Inc0.52%$942.60K
Crh PLC0.52%$937.89K
Gilead Sciences Inc0.52%$932.89K
EMCOR Group Inc0.52%$931.80K
FirstCash Holdings Inc0.52%$927.00K
MSCI Inc0.50%$893.62K
AGNC Investment Corp0.50%$891.83K
TJX Cos Inc/The0.49%$879.52K
Chubb Ltd0.49%$878.00K
Realty Income Corp0.49%$873.15K
Citigroup Inc0.48%$868.34K
Ferguson Enterprises Inc0.48%$863.10K
Murphy USA Inc0.47%$847.31K
Lamar Advertising Co0.47%$843.86K
Colgate-Palmolive Co0.47%$839.77K
McDonald's Corp0.42%$752.47K
Crowdstrike Holdings Inc0.40%$727.02K
Oracle Corp0.40%$714.80K
Expand Energy Corp0.39%$694.82K
Salesforce Inc0.38%$682.29K
CareTrust REIT Inc0.38%$679.25K
Simon Property Group Inc0.38%$678.97K
Coca-Cola Consolidated Inc0.36%$649.87K
CenterPoint Energy Inc0.36%$645.19K
Ingredion Inc0.35%$637.81K
Janus Henderson Group PLC0.35%$636.76K
Cognizant Technology Solutions Corp0.35%$633.27K
Cboe Global Markets Inc0.35%$631.69K
Travelers Cos Inc/The0.34%$612.72K
PPG Industries Inc0.34%$612.16K
Booking Holdings Inc0.34%$602.56K
UnitedHealth Group Inc0.33%$600.18K
Electronic Arts Inc0.33%$591.93K
Elevance Health Inc0.31%$563.88K
Charles Schwab Corp/The0.31%$560.56K
Regency Centers Corp0.31%$558.42K
AbbVie Inc0.31%$555.56K
Wells Fargo & Co0.30%$537.46K
Avery Dennison Corp0.29%$529.99K
Caterpillar Inc0.29%$517.15K
New York Times Co/The0.28%$509.59K
Toro Co/The0.28%$504.50K
QUALCOMM Inc0.28%$501.21K
JB Hunt Transport Services Inc0.27%$478.16K
Snap-on Inc0.26%$475.80K
Goldman Sachs Group Inc/The0.26%$474.82K
Interactive Brokers Group Inc0.26%$470.40K
NetApp Inc0.26%$467.12K
Ross Stores Inc0.26%$466.51K
State Street Corp0.26%$464.02K
InterDigital Inc0.26%$462.93K
CF Industries Holdings Inc0.25%$457.80K
Maximus Inc0.25%$452.06K
Trane Technologies PLC0.24%$438.85K
Jabil Inc0.24%$438.74K
Intel Corp0.24%$428.18K
UL Solutions Inc0.23%$415.17K
NNN REIT Inc0.23%$412.15K
Veralto Corp0.23%$409.60K
NextEra Energy Inc0.23%$407.38K
Rollins Inc0.23%$404.15K
Travel + Leisure Co0.22%$400.83K
Accenture PLC0.22%$399.77K
General Mills Inc0.22%$393.32K
Valero Energy Corp0.22%$387.96K
EnerSys0.22%$387.49K
Cadence Design Systems Inc0.21%$383.31K
NRG Energy Inc0.21%$377.90K
Progressive Corp/The0.21%$372.57K
Packaging Corp of America0.21%$370.98K
Digital Realty Trust Inc0.21%$370.73K
Netflix Inc0.20%$366.11K
Loews Corp0.20%$365.42K
Amgen Inc0.20%$361.49K
Hubbell Inc0.20%$361.31K
Element Solutions Inc0.20%$358.78K
Palo Alto Networks Inc0.20%$355.59K
Vertiv Holdings Co0.20%$351.16K
Pfizer Inc0.19%$349.61K
HubSpot Inc0.19%$341.73K
Quanta Services Inc0.18%$331.86K
FirstEnergy Corp0.18%$329.31K
UiPath Inc0.18%$329.07K
General Dynamics Corp0.18%$326.40K
AT&T Inc0.18%$318.50K
M&T Bank Corp0.17%$303.68K
Stryker Corp0.17%$301.58K
Bunge Global SA0.17%$300.52K
Magnolia Oil & Gas Corp0.17%$299.77K
Lockheed Martin Corp0.16%$285.40K
Iron Mountain Inc0.16%$282.47K
McKesson Corp0.15%$277.98K
Adobe Inc0.15%$277.85K
Hershey Co/The0.15%$277.31K
AppLovin Corp0.15%$272.72K
Datadog Inc0.15%$268.08K
Bristol-Myers Squibb Co0.15%$267.44K
T-Mobile US Inc0.15%$260.99K
Evercore Inc0.14%$259.92K
Bank of America Corp0.14%$252.01K
Skyworks Solutions Inc0.14%$249.10K
DuPont de Nemours Inc0.14%$248.89K
Ralph Lauren Corp0.14%$244.95K
Texas Roadhouse Inc0.14%$243.58K
Yum! Brands Inc0.13%$242.35K
Texas Instruments Inc0.13%$240.04K
GE Vernova Inc0.13%$232.94K
Expedia Group Inc0.13%$229.49K
Fiserv Inc0.13%$225.92K
Veeva Systems Inc0.12%$223.97K
Autoliv Inc0.12%$219.92K
Albertsons Cos Inc0.12%$217.77K
HP Inc0.12%$217.49K
Pinterest Inc0.12%$210.60K
FTI Consulting Inc0.11%$201.89K
Uber Technologies Inc0.11%$201.22K
Becton Dickinson & Co0.11%$198.52K
Tapestry Inc0.11%$191.60K
United Parcel Service Inc0.11%$191.05K
Fortinet Inc0.10%$186.75K
Dell Technologies Inc0.10%$186.17K
Kinder Morgan Inc0.10%$179.80K
Flex Ltd0.10%$179.80K
Intuitive Surgical Inc0.10%$178.47K
Mueller Industries Inc0.10%$176.47K
Honeywell International Inc0.09%$169.11K
Exelixis Inc0.09%$168.06K
RTX Corp0.09%$167.09K
Airbnb Inc0.09%$165.20K
Macy's Inc0.09%$164.36K
Marvell Technology Inc0.09%$163.99K
Domino's Pizza Inc0.09%$163.60K
Abbott Laboratories0.09%$159.52K
Franklin Resources Inc0.09%$153.21K
Clorox Co/The0.08%$151.80K
Bentley Systems Inc0.08%$146.27K
ConocoPhillips0.08%$143.89K
DoorDash Inc0.08%$140.15K
Kimberly-Clark Corp0.08%$138.59K
Oklo Inc0.08%$137.53K
Emerson Electric Co0.08%$137.07K
Lantheus Holdings Inc0.08%$136.75K
Ulta Beauty Inc0.07%$129.00K
Permian Resources Corp0.07%$127.60K
Comcast Corp0.07%$127.39K
HCA Healthcare Inc0.07%$125.12K
Fastenal Co0.07%$119.20K
Home Depot Inc/The0.07%$117.71K
EQT Corp0.06%$113.97K
BWX Technologies Inc0.06%$110.79K
Quest Diagnostics Inc0.06%$109.72K
Leidos Holdings Inc0.06%$106.54K
First Solar Inc0.06%$104.98K
US Bancorp0.06%$102.84K
Old Dominion Freight Line Inc0.06%$101.33K
News Corp0.05%$93.07K
Williams-Sonoma Inc0.05%$92.05K
Intuit Inc0.05%$91.69K
Williams Cos Inc/The0.05%$90.35K
Coinbase Global Inc0.05%$89.00K
PNC Financial Services Group Inc/The0.05%$87.64K
Casey's General Stores Inc0.05%$86.33K
EOG Resources Inc0.04%$76.89K
Houlihan Lokey Inc0.04%$76.76K
Berkshire Hathaway Inc0.04%$75.30K
Monolithic Power Systems Inc0.04%$72.65K
OneMain Holdings Inc0.04%$69.82K
Delta Air Lines Inc0.04%$66.70K
Insmed Inc0.03%$61.62K
Align Technology Inc0.03%$61.60K
Teradyne Inc0.03%$61.14K
Cloudflare Inc0.03%$59.65K
Affiliated Managers Group Inc0.03%$59.52K
Philip Morris International Inc0.03%$58.93K
A O Smith Corp0.03%$51.64K
Arista Networks Inc0.03%$50.78K
Zoom Communications Inc0.03%$48.19K
eBay Inc0.03%$47.60K
Constellation Energy Corp0.03%$46.01K
Principal Financial Group Inc0.03%$44.90K
TE Connectivity PLC0.02%$39.58K
Old Republic International Corp0.02%$34.24K
Centrus Energy Corp0.02%$30.59K
Abercrombie & Fitch Co0.02%$27.23K
APA Corp0.01%$26.03K
United Airlines Holdings Inc0.01%$23.85K
Chicago Mercantile Exchange0.01%$23.55K
Sabra Health Care REIT Inc0.01%$23.49K
United Therapeutics Corp0.01%$22.85K
Natera Inc0.01%$20.00K
Eaton Corp PLC0.01%$12.99K
Consolidated Edison Inc0.00%$4.57K

HDUS overview: performance, fees, allocation and SEC filings