Hartford Balanced Income R6 (HBLVX)

NASDAQ · Mutual Fund · Delayed Price · Currency is USD
15.20
-0.02 (-0.13%)
Nov 20, 2025, 8:06 AM EST
-0.13%
Fund Assets11.85B
Expense Ratio0.56%
Min. Investment$2,000
Turnover61.00%
Dividend (ttm)1.06
Dividend Yield6.97%
Dividend Growth90.27%
Payout FrequencyQuarterly
Ex-Dividend DateSep 26, 2025
Previous Close15.22
YTD Return8.71%
1-Year Return6.82%
5-Year Return28.73%
52-Week Low13.62
52-Week High15.41
Beta (5Y)0.87
Holdings1449
Inception DateNov 10, 2014

About HBLVX

The investment seeks to provide current income with growth of capital as a secondary objective. The fund targets an allocation of approximately 45% equity securities and 55% fixed income investments, with the allocation generally varying by no more than +/-5%. The equity portion of the fund invests primarily in common stocks with a history of above-average dividends or expectations of increasing dividends. It may invest up to 20% of the fixed income portion of the portfolio in domestic non-investment grade debt.

Fund Family Hartford Mutual Funds
Category Allocation--30% to 50% Equity
Performance Rating Above Average
Risk Rating Above Average
Stock Exchange NASDAQ
Ticker Symbol HBLVX
Share Class Class R6
Index Russell 1000 Value TR

Performance

HBLVX had a total return of 6.82% in the past year, including dividends. Since the fund's inception, the average annual return has been 11.70%.

Other Share Classes

These are alternative share classes of the same fund, from the same provider.

SymbolShare ClassExpense Ratio
HBLFXClass F0.56%
HBLIXClass I0.65%
HBLTXClass R50.66%
HBLYXClass Y0.67%

Top 10 Holdings

11.41% of assets
NameSymbolWeight
Usdn/a1.77%
2 Year Treasury Note Future Dec 25n/a1.70%
Bank of America CorporationBAC1.41%
Johnson & JohnsonJNJ1.12%
Merck & Co., Inc.MRK1.06%
UnitedHealth Group IncorporatedUNH1.03%
EQT CorporationEQT0.87%
JPMorgan Chase & Co.JPM0.85%
American International Group, Inc.AIG0.81%
Morgan StanleyMS0.80%
View More Holdings

Dividend History

Ex-DividendAmountPay Date
Sep 26, 2025$0.13446Sep 29, 2025
Jun 26, 2025$0.13514Jun 27, 2025
Mar 27, 2025$0.13913Mar 28, 2025
Dec 27, 2024$0.14842Dec 30, 2024
Dec 17, 2024$0.50283Dec 18, 2024
Sep 26, 2024$0.13404Sep 27, 2024
Full Dividend History