HoldingsChannel.com
All Stocks Held By Hartford Financial Management Inc.
As of  12/31/2023, we find all stocks held by Hartford Financial Management Inc. to be as follows, presented in the table below with each row detailing each Hartford Financial Management Inc. position, ordered by largest to smallest position size. The all-stocks-held-by-Hartford Financial Management Inc. table shows the entity held in the first column (click any entity to explore other funds holding positions), the share amount held, the share count change between the last two reporting periods, and finally the position size for all stocks held by Hartford Financial Management Inc. as of the latest filing.

   EntityAmountChange
 09/30/2023 to 12/31/2023
Position Size
($ in 1000's)
J P MORGAN EXCHANGE TRADED F (JCPB) 478,889 +356,987 $22,548
     JCPB478,889+356,987$22,548
MICROSOFT CORP 50,616 -186 $19,034
     MSFT50,616-186$19,034
APPLE INC 60,989 -1,357 $11,742
     AAPL60,989-1,357$11,742
FIRST TR EXCHNG TRADED FD VI (DAUG) 313,823 -12,065 $11,119
     DAUG313,823-12,065$11,119
COSTCO WHSL CORP NEW 14,630 -40 $9,657
     COST14,630-40$9,657
JPMORGAN CHASE & CO 55,473 -510 $9,436
     JPM55,473-510$9,436
CSX CORP 257,486 -989 $8,927
     CSX257,486-989$8,927
ELI LILLY & CO 14,911 -1 $8,692
     LLY14,911-1$8,692
FIRST TR EXCHNG TRADED FD VI (DAPR) 238,859 +7,157 $7,729
     DAPR238,859+7,157$7,729
HOME DEPOT INC 21,498 +72 $7,450
     HD21,498+72$7,450
J P MORGAN EXCHANGE TRADED F (JPSE) 162,360 -1,704 $7,153
     JPSE162,360-1,704$7,153
CATERPILLAR INC 23,292 -193 $6,887
     CAT23,292-193$6,887
ARK ETF TR (ARKQ) 117,618 -1,994 $6,787
     ARKQ117,618-1,994$6,787
ISHARES TR (IBTM) 287,914 +3,158 $6,654
     IBTM287,914+3,158$6,654
WASTE MGMT INC DEL 36,109 -74 $6,467
     WM36,109-74$6,467
J P MORGAN EXCHANGE TRADED F (JMUB) 124,244 +97,676 $6,331
     JMUB124,244+97,676$6,331
HONEYWELL INTL INC 28,124 -24 $5,898
     HON28,124-24$5,898
CHEVRON CORP NEW 39,014 +237 $5,819
     CVX39,014+237$5,819
ILLINOIS TOOL WKS INC 22,040 UNCH $5,773
     ITW22,040UNCH$5,773
VANGUARD WORLD FDS (VGT) 11,700 +1 $5,663
     VGT11,700+1$5,663
APPLIED MATLS INC 34,751 -497 $5,632
     AMAT34,751-497$5,632
ACCENTURE PLC IRELAND 16,000 UNCH $5,615
     ACN16,000UNCH$5,615
ABBOTT LABS 50,145 +223 $5,519
     ABT50,145+223$5,519
EXXON MOBIL CORP 53,778 +289 $5,377
     XOM53,778+289$5,377
FIRST TR EXCHANGE TRADED FD (FBT) 33,683 +175 $5,324
     FBT33,683+175$5,324
AMERICAN WTR WKS CO INC NEW 40,011 +3 $5,281
     AWK40,011+3$5,281
JOHNSON & JOHNSON 33,275 +116 $5,215
     JNJ33,275+116$5,215
PEPSICO INC 30,590 +299 $5,195
     PEP30,590+299$5,195
EATON CORP PLC 20,000 UNCH $4,816
     ETN20,000UNCH$4,816
DEERE & CO 11,952 UNCH $4,779
     DE11,952UNCH$4,779
PROCTER AND GAMBLE CO 31,899 +154 $4,675
     PG31,899+154$4,675
PARKER HANNIFIN CORP 10,020 UNCH $4,616
     PH10,020UNCH$4,616
VISA INC 15,454 -230 $4,024
     V15,454-230$4,024
NORFOLK SOUTHN CORP 16,587 UNCH $3,921
     NSC16,587UNCH$3,921
ABBVIE INC 25,100 UNCH $3,890
     ABBV25,100UNCH$3,890
DISNEY WALT CO 42,705 +494 $3,856
     DIS42,705+494$3,856
DANAHER CORPORATION 15,812 +179 $3,658
     DHR15,812+179$3,658
AUTOMATIC DATA PROCESSING IN 15,162 +14 $3,532
     ADP15,162+14$3,532
NEW JERSEY RES CORP 76,500 UNCH $3,410
     NJR76,500UNCH$3,410
RTX CORPORATION 39,963 +1,072 $3,363
     RTX39,963+1,072$3,363
ALPHABET INC 23,651 -451 $3,333
     GOOG23,651-451$3,333
KIMBERLY CLARK CORP 26,115 +172 $3,173
     KMB26,115+172$3,173
INVESCO EXCHANGE TRADED FD T (RSPT) 96,640 +96,640 $3,154
     RSPT96,640+96,640$3,154
ORACLE CORP 29,693 +569 $3,131
     ORCL29,693+569$3,131
BERKSHIRE HATHAWAY INC DEL      $3,112
     BRK.B8,724+23$3,112
MERCK & CO INC 28,387 +301 $3,095
     MRK28,387+301$3,095
TEXAS INSTRS INC 18,044 +68 $3,076
     TXN18,044+68$3,076
AMAZON COM INC 20,148 -237 $3,061
     AMZN20,148-237$3,061
UNION PAC CORP 12,303 -195 $3,022
     UNP12,303-195$3,022
NEXTERA ENERGY INC 48,000 UNCH $2,916
     NEE48,000UNCH$2,916
MONDELEZ INTL INC 38,240 -48 $2,770
     MDLZ38,240-48$2,770
PHILLIPS 66 20,303 -200 $2,703
     PSX20,303-200$2,703
ADOBE INC 4,471 UNCH $2,667
     ADBE4,471UNCH$2,667
CVS HEALTH CORP 33,625 +108 $2,655
     CVS33,625+108$2,655
GOLDMAN SACHS ETF TR (GSIG) 53,664 +24,815 $2,510
     GSIG53,664+24,815$2,510
GENUINE PARTS CO 17,927 +547 $2,483
     GPC17,927+547$2,483
UNITEDHEALTH GROUP INC 4,648 -18 $2,447
     UNH4,648-18$2,447
J P MORGAN EXCHANGE TRADED F (JPST) 47,841 -17,563 $2,403
     JPST47,841-17,563$2,403
NVIDIA CORPORATION 4,761 -435 $2,358
     NVDA4,761-435$2,358
PROLOGIS INC. 17,450 +178 $2,326
     PLD17,450+178$2,326
BOEING CO 8,828 +54 $2,301
     BA8,828+54$2,301
SOUTHERN CO 32,447 UNCH $2,275
     SO32,447UNCH$2,275
INVESCO EXCHANGE TRADED FD T (RSPH) 75,135 +75,135 $2,238
     RSPH75,135+75,135$2,238
DOMINION ENERGY INC 46,135 +1,169 $2,168
     D46,135+1,169$2,168
FIRST TR EXCHNG TRADED FD VI (DDEC) 58,699 +56,945 $2,099
     DDEC58,699+56,945$2,099
BRISTOL MYERS SQUIBB CO 40,698 -746 $2,088
     BMY40,698-746$2,088
INVESCO EXCHANGE TRADED FD T (SPHQ) 38,467 +5,319 $2,080
     SPHQ38,467+5,319$2,080
TARGET CORP 14,505 +129 $2,066
     TGT14,505+129$2,066
ENBRIDGE INC 56,716 +2,937 $2,043
     ENB56,716+2,937$2,043
DUPONT DE NEMOURS INC 26,519 -102 $2,040
     DD26,519-102$2,040
FIRST TR EXCHNG TRADED FD VI (DSEP) 54,820 -37,473 $1,997
     DSEP54,820-37,473$1,997
PHILIP MORRIS INTL INC 20,994 -100 $1,975
     PM20,994-100$1,975
META PLATFORMS INC 5,517 -224 $1,953
     META5,517-224$1,953
AIR PRODS & CHEMS INC 7,000 UNCH $1,917
     APD7,000UNCH$1,917
ALTRIA GROUP INC 45,860 -219 $1,850
     MO45,860-219$1,850
BANK AMERICA CORP 54,423 +457 $1,832
     BAC54,423+457$1,832
WILLIAMS COS INC 52,020 -79 $1,812
     WMB52,020-79$1,812
DUKE ENERGY CORP NEW 18,447 -23 $1,790
     DUK18,447-23$1,790
MCCORMICK & CO INC 26,000 UNCH $1,779
     MKC26,000UNCH$1,779
BECTON DICKINSON & CO 7,094 UNCH $1,730
     BDX7,094UNCH$1,730
INTEL CORP 34,416 -882 $1,729
     INTC34,416-882$1,729
EMERSON ELEC CO 17,600 UNCH $1,713
     EMR17,600UNCH$1,713
CUMMINS INC 6,973 +36 $1,671
     CMI6,973+36$1,671
J P MORGAN EXCHANGE TRADED F (JMST) 32,507 -4,865 $1,649
     JMST32,507-4,865$1,649
INTERNATIONAL BUSINESS MACHS 9,975 +89 $1,631
     IBM9,975+89$1,631
BROADCOM INC 1,458 +19 $1,627
     AVGO1,458+19$1,627
LOWES COS INC 7,124 -44 $1,585
     LOW7,124-44$1,585
CME GROUP INC 7,437 +34 $1,566
     CME7,437+34$1,566
TJX COS INC NEW 16,396 +221 $1,538
     TJX16,396+221$1,538
US BANCORP DEL 33,700 UNCH $1,459
     USB33,700UNCH$1,459
PAYCHEX INC 11,788 -309 $1,404
     PAYX11,788-309$1,404
INVESCO EXCHANGE TRADED FD T (RSP) 8,896 -444 $1,404
     RSP8,896-444$1,404
KLA CORP 2,404 +35 $1,397
     KLAC2,404+35$1,397
SYSCO CORP 18,522 +168 $1,355
     SYY18,522+168$1,355
COMCAST CORP NEW 30,759 +307 $1,349
     CMCSA30,759+307$1,349
MARATHON PETE CORP 9,010 -1 $1,337
     MPC9,010-1$1,337
CARRIER GLOBAL CORPORATION 23,260 -340 $1,336
     CARR23,260-340$1,336
VERIZON COMMUNICATIONS INC 34,634 -325 $1,306
     VZ34,634-325$1,306
MCDONALDS CORP 4,381 UNCH $1,299
     MCD4,381UNCH$1,299
POTLATCHDELTIC CORPORATION 26,146 +610 $1,284
     PCH26,146+610$1,284
NATIONAL FUEL GAS CO 25,517 +644 $1,280
     NFG25,517+644$1,280
GOLDMAN SACHS GROUP INC 3,300 UNCH $1,273
     GS3,300UNCH$1,273
TAIWAN SEMICONDUCTOR MFG LTD 12,209 +1,384 $1,270
     TSM12,209+1,384$1,270
AMERICAN ELEC PWR CO INC 14,800 -4 $1,202
     AEP14,800-4$1,202
OTIS WORLDWIDE CORP 13,338 -749 $1,193
     OTIS13,338-749$1,193
THE CIGNA GROUP 3,800 -273 $1,138
     CI3,800-273$1,138
JOHNSON CTLS INTL PLC 19,250 -52 $1,110
     JCI19,250-52$1,110
UNITED PARCEL SERVICE INC 7,000 UNCH $1,101
     UPS7,000UNCH$1,101
WEYERHAEUSER CO MTN BE 27,240 -329 $947
     WY27,240-329$947
PGIM ETF TR (PULS) 19,068 -2,715 $942
     PULS19,068-2,715$942
PINNACLE WEST CAP CORP 13,000 UNCH $934
     PNW13,000UNCH$934
DOW INC 16,854 -140 $924
     DOW16,854-140$924
WALMART INC 5,643 -702 $890
     WMT5,643-702$890
ALPHABET INC 6,278 -57 $877
     GOOGL6,278-57$877
DIAGEO PLC 6,000 UNCH $874
     DEO6,000UNCH$874
ENTERPRISE PRODS PARTNERS L 32,645 UNCH $860
     EPD32,645UNCH$860
CORNING INC 26,365 -1,384 $803
     GLW26,365-1,384$803
CONSTELLATION ENERGY CORP 6,833 UNCH $799
     CEG6,833UNCH$799
EXELON CORP 20,500 UNCH $736
     EXC20,500UNCH$736
WESTROCK CO 17,226 -991 $715
     WRK17,226-991$715
FREEPORT MCMORAN INC 16,055 +617 $683
     FCX16,055+617$683
TORONTO DOMINION BK ONT 10,276 UNCH $664
     TD10,276UNCH$664
CORTEVA INC 12,969 UNCH $621
     CTVA12,969UNCH$621
AMERICAN EXPRESS CO 3,288 UNCH $616
     AXP3,288UNCH$616
COCA COLA CO 10,408 +8 $613
     KO10,408+8$613
THERMO FISHER SCIENTIFIC INC 1,104 +1 $586
     TMO1,104+1$586
LYONDELLBASELL INDUSTRIES N 6,000 UNCH $570
     LYB6,000UNCH$570
SPDR GOLD TR (GLD) 2,805 -166 $536
     GLD2,805-166$536
PLAINS ALL AMERN PIPELINE L 35,140 UNCH $532
     PAA35,140UNCH$532
FENNEC PHARMACEUTICALS INC 47,348 +2,000 $531
     FENC47,348+2,000$531
KEYCORP 35,592 -1,082 $513
     KEY35,592-1,082$513
ISHARES TR (IWF) 1,673 UNCH $507
     IWF1,673UNCH$507
FEDEX CORP 2,000 UNCH $506
     FDX2,000UNCH$506
MASTERCARD INCORPORATED 1,163 UNCH $496
     MA1,163UNCH$496
WELLS FARGO CO NEW 9,595 UNCH $472
     WFC9,595UNCH$472
VANGUARD INDEX FDS (VOO) 1,010 +10 $441
     VOO1,010+10$441
TRANE TECHNOLOGIES PLC 1,632 UNCH $398
     TT1,632UNCH$398
CAPITAL ONE FINL CORP 3,000 UNCH $393
     COF3,000UNCH$393
INVESCO QQQ TR 960 +26 $393
     QQQ960+26$393
INVESCO EXCHANGE TRADED FD T (RSPM) 11,500 +11,500 $387
     RSPM11,500+11,500$387
ISHARES TR (IJR) 3,478 UNCH $377
     IJR3,478UNCH$377
ENERGY TRANSFER L P 27,134 UNCH $374
     ET27,134UNCH$374
NETFLIX INC 741 UNCH $361
     NFLX741UNCH$361
FIRST TR EXCHNG TRADED FD VI (DMAR) 10,198 -6,454 $345
     DMAR10,198-6,454$345
FORTIVE CORP 4,552 -106 $335
     FTV4,552-106$335
HERSHEY CO 1,699 +6 $317
     HSY1,699+6$317
PROSHARES TR (REGL) 4,000 UNCH $294
     REGL4,000UNCH$294
WEBSTER FINL CORP 5,554 -100 $282
     WBS5,554-100$282
GENERAL ELECTRIC CO 2,194 UNCH $280
     GE2,194UNCH$280
FIRST TR EXCHNG TRADED FD VI (DJUN) 6,956 -1,393 $264
     DJUN6,956-1,393$264
GENERAL MLS INC 4,000 UNCH $261
     GIS4,000UNCH$261
NUCOR CORP 1,500 UNCH $261
     NUE1,500UNCH$261
YUM BRANDS INC 1,840 UNCH $240
     YUM1,840UNCH$240
NIKE INC 1,949 UNCH $212
     NKE1,949UNCH$212
STANLEY BLACK & DECKER INC 2,121 -244 $208
     SWK2,121-244$208
HARTFORD FINL SVCS GROUP INC 2,516 UNCH $202
     HIG2,516UNCH$202
ISHARES TR (TLT) 1,843 +856 $182
     TLT1,843+856$182
ELEVANCE HEALTH INC 380 UNCH $179
     ELV380UNCH$179
ISHARES TR (MUB) 1,626 -25,594 $176
     MUB1,626-25,594$176
PALO ALTO NETWORKS INC 560 UNCH $165
     PANW560UNCH$165
TRUIST FINL CORP 4,399 -156 $162
     TFC4,399-156$162
M & T BK CORP 1,150 -107 $158
     MTB1,150-107$158
TESLA INC 633 -400 $157
     TSLA633-400$157
NATIONAL GRID PLC 2,000 UNCH $136
     NGG2,000UNCH$136
INNOVATOR ETFS TR (UAUG) 4,331 -602 $133
     UAUG4,331-602$133
CISCO SYS INC 2,614 +7 $132
     CSCO2,614+7$132
VANGUARD INDEX FDS (VTI) 555 UNCH $132
     VTI555UNCH$132
ISHARES TR (XT) 2,198 UNCH $132
     XT2,198UNCH$132
APA CORPORATION 3,659 +8 $131
     APA3,659+8$131
QUALCOMM INC 907 UNCH $131
     QCOM907UNCH$131
JANUS DETROIT STR TR 2,585 +12 $130
     JAAA2,585+12$130
AT&T INC 7,699 -8,998 $129
     T7,699-8,998$129
INTERNATIONAL PAPER CO 3,503 -146 $127
     IP3,503-146$127
PUBLIC STORAGE 412 UNCH $126
     PSA412UNCH$126
SCHWAB CHARLES CORP 1,800 UNCH $124
     SCHW1,800UNCH$124
INGERSOLL RAND INC 1,548 +83 $120
     IR1,548+83$120
ONEOK INC NEW 1,710 +10 $120
     OKE1,710+10$120
PACCAR INC 1,207 -195 $118
     PCAR1,207-195$118
COLGATE PALMOLIVE CO 1,474 -128 $117
     CL1,474-128$117
DEVON ENERGY CORP NEW 2,529 +14 $115
     DVN2,529+14$115
VERALTO CORP 1,383 +1,383 $114
     VLTO1,383+1,383$114
NISOURCE INC 4,100 UNCH $109
     NI4,100UNCH$109
BAXTER INTL INC 2,734 +18 $106
     BAX2,734+18$106
SELECT SECTOR SPDR TR (XLF) 2,600 UNCH $98
     XLF2,600UNCH$98
REGIONS FINANCIAL CORP NEW 5,000 UNCH $97
     RF5,000UNCH$97
UNILEVER PLC 2,000 UNCH $97
     UL2,000UNCH$97
LOCKHEED MARTIN CORP 209 -5 $95
     LMT209-5$95
UGI CORP NEW 3,755 UNCH $92
     UGI3,755UNCH$92
PFIZER INC 3,125 -1,652 $90
     PFE3,125-1,652$90
SPDR SER TR (FLRN) 2,876 UNCH $88
     FLRN2,876UNCH$88
MORGAN STANLEY 917 +139 $86
     MS917+139$86
ARK ETF TR (ARKK) 1,576 UNCH $83
     ARKK1,576UNCH$83
YUM CHINA HLDGS INC 1,940 UNCH $82
     YUMC1,940UNCH$82
CHEMOURS CO 2,560 UNCH $81
     CC2,560UNCH$81
ROYAL CARIBBEAN GROUP 629 UNCH $81
     RCL629UNCH$81
CHECK POINT SOFTWARE TECH LT 522 UNCH $80
     CHKP522UNCH$80
PUBLIC SVC ENTERPRISE GRP IN 1,284 -16 $79
     PEG1,284-16$79
LAM RESEARCH CORP 100 UNCH $78
     LRCX100UNCH$78
SPDR S&P 500 ETF TR (SPY) 160 UNCH $76
     SPY160UNCH$76
VANGUARD WORLD FDS (VHT) 300 UNCH $75
     VHT300UNCH$75
BP PLC 2,000 UNCH $71
     BP2,000UNCH$71
BLACKSTONE INC 534 +100 $70
     BX534+100$70
SALESFORCE INC 259 UNCH $68
     CRM259UNCH$68
NATIXIS ETF TR (LSST) 2,781 +2,781 $67
     LSST2,781+2,781$67
RAYONIER INC 2,000 UNCH $67
     RYN2,000UNCH$67
CENTERPOINT ENERGY INC 2,320 UNCH $66
     CNP2,320UNCH$66
FRANKLIN TEMPLETON ETF TR (DIVI) 2,163 +29 $66
     DIVI2,163+29$66
INTERCONTINENTAL EXCHANGE IN (ICE) 500 UNCH $64
     ICE500UNCH$64
SELECT SECTOR SPDR TR (XLV) 466 UNCH $64
     XLV466UNCH$64
PAYPAL HLDGS INC 1,032 +163 $63
     PYPL1,032+163$63
ISHARES TR (IWM) 308 UNCH $62
     IWM308UNCH$62
ENVESTNET INC 1,206 UNCH $60
     ENV1,206UNCH$60
GE HEALTHCARE TECHNOLOGIES I 696 UNCH $54
     GEHC696UNCH$54
WORLD GOLD TR 1,312 +1,312 $54
     GLDM1,312+1,312$54
ADVANCED MICRO DEVICES INC 361 UNCH $53
     AMD361UNCH$53
TRAVELERS COMPANIES INC 278 UNCH $53
     TRV278UNCH$53
FORTINET INC 888 UNCH $52
     FTNT888UNCH$52
OMNICOM GROUP INC 600 UNCH $52
     OMC600UNCH$52
GLOBAL PMTS INC 398 UNCH $51
     GPN398UNCH$51
ISHARES TR (IVV) 107 UNCH $51
     IVV107UNCH$51
LAMB WESTON HLDGS INC 466 UNCH $50
     LW466UNCH$50
MKS INSTRS INC 473 UNCH $49
     MKSI473UNCH$49
DIREXION SHS ETF TR (TNA) 1,250 UNCH $49
     TNA1,250UNCH$49
3M CO 440 UNCH $48
     MMM440UNCH$48
SELECT SECTOR SPDR TR (XLK) 232 UNCH $45
     XLK232UNCH$45
ZEBRA TECHNOLOGIES CORPORATI 160 UNCH $44
     ZBRA160UNCH$44
ISHARES TR (ITOT) 400 UNCH $42
     ITOT400UNCH$42
SCHLUMBERGER LTD 799 UNCH $42
     SLB799UNCH$42
CONAGRA BRANDS INC 1,400 UNCH $40
     CAG1,400UNCH$40
MEDTRONIC PLC 479 +164 $39
     MDT479+164$39
WISDOMTREE TR 775 UNCH $39
     USFR775UNCH$39
VANGUARD WHITEHALL FDS (VYM) 350 -162 $39
     VYM350-162$39
ILLUMINA INC 275 UNCH $38
     ILMN275UNCH$38
SOUTHERN COPPER CORP 440 +102 $38
     SCCO440+102$38
CITIGROUP INC 721 UNCH $37
     C721UNCH$37
CLOROX CO DEL 256 +93 $37
     CLX256+93$37
COCA COLA FEMSA SAB DE CV 395 +113 $37
     KOF395+113$37
AMBEV SA 12,739 +4,238 $36
     ABEV12,739+4,238$36
FACTSET RESH SYS INC 75 UNCH $36
     FDS75UNCH$36
KINDER MORGAN INC DEL 2,046 +457 $36
     KMI2,046+457$36
FRESENIUS MEDICAL CARE AG 1,688 +839 $35
     FMS1,688+839$35
NOVO NORDISK A S 342 UNCH $35
     NVO342UNCH$35
AMGEN INC 113 +41 $33
     AMGN113+41$33
ARES MANAGEMENT CORPORATION 280 +90 $33
     ARES280+90$33
BANK NEW YORK MELLON CORP 625 +183 $33
     BK625+183$33
BAYTEX ENERGY CORP 10,000 UNCH $33
     BTE10,000UNCH$33
NEWMONT CORP 801 +176 $33
     NEM801+176$33
PARAMOUNT GLOBAL 2,200 -700 $33
     PARA2,200-700$33
GILEAD SCIENCES INC 396 +121 $32
     GILD396+121$32
TEXTRON INC 400 UNCH $32
     TXT400UNCH$32
WATSCO INC 75 +26 $32
     WSO75+26$32
SELECT SECTOR SPDR TR (XLI) 277 UNCH $32
     XLI277UNCH$32
FASTENAL CO 479 +153 $31
     FAST479+153$31
SPDR SER TR (SPYV) 672 UNCH $31
     SPYV672UNCH$31
BEST BUY INC 388 +140 $30
     BBY388+140$30
DARDEN RESTAURANTS INC 180 +71 $30
     DRI180+71$30
SERVICENOW INC 43 UNCH $30
     NOW43UNCH$30
RESTAURANT BRANDS INTL INC 388 +128 $30
     QSR388+128$30
JUNIPER NETWORKS INC 973 +330 $29
     JNPR973+330$29
NETAPP INC 323 +83 $28
     NTAP323+83$28
DOLLAR GEN CORP NEW 200 UNCH $27
     DG200UNCH$27
ISHARES INC (EWC) 744 UNCH $27
     EWC744UNCH$27
ALLSTATE CORP 184 -213 $26
     ALL184-213$26
EA SERIES TRUST 917 -903 $26
     DRLL917-903$26
PIONEER NAT RES CO 116 +44 $26
     PXD116+44$26
COTERRA ENERGY INC 978 +359 $25
     CTRA978+359$25
INTERPUBLIC GROUP COS INC 744 +182 $24
     IPG744+182$24
INGEVITY CORP 510 -117 $24
     NGVT510-117$24
BARNES GROUP INC 700 UNCH $23
     B700UNCH$23
PROSHARES TR (UYG) 420 UNCH $23
     UYG420UNCH$23
NOUVEAU MONDE GRAPHITE INC 8,415 UNCH $22
     NMG8,415UNCH$22
VANGUARD INTL EQUITY INDEX F (VEU) 400 UNCH $22
     VEU400UNCH$22
PALANTIR TECHNOLOGIES INC 1,250 UNCH $21
     PLTR1,250UNCH$21
BARRICK GOLD CORP 1,087 UNCH $20
     GOLD1,087UNCH$20
REALTY INCOME CORP 350 UNCH $20
     O350UNCH$20
WARNER BROS DISCOVERY INC 1,723 -1,377 $20
     WBD1,723-1,377$20
CONSOLIDATED EDISON INC 207 UNCH $19
     ED207UNCH$19
TC ENERGY CORP 496 UNCH $19
     TRP496UNCH$19
ING GROEP N.V. 1,124 UNCH $17
     ING1,124UNCH$17
VANGUARD SPECIALIZED FUNDS (VIG) 100 UNCH $17
     VIG100UNCH$17
ARK ETF TR (ARKG) 502 UNCH $16
     ARKG502UNCH$16
NEW ORIENTAL ED & TECHNOLOGY 217 UNCH $16
     EDU217UNCH$16
ISHARES TR (IVE) 94 UNCH $16
     IVE94UNCH$16
VANGUARD ADMIRAL FDS INC (VOOG) 58 UNCH $16
     VOOG58UNCH$16
AGILENT TECHNOLOGIES INC 110 UNCH $15
     A110UNCH$15
AVANGRID INC 450 UNCH $15
     AGR450UNCH$15
ISHARES TR (IYH) 51 UNCH $15
     IYH51UNCH$15
VANECK ETF TRUST (MOAT) 177 +177 $15
     MOAT177+177$15
SELECT SECTOR SPDR TR (XLE) 173 UNCH $15
     XLE173UNCH$15
ARK ETF TR (ARKW) 186 UNCH $14
     ARKW186UNCH$14
AVADEL PHARMACEUTICALS PLC 1,000 UNCH $14
     AVDL1,000UNCH$14
CONOCOPHILLIPS 119 UNCH $14
     COP119UNCH$14
EQT CORP 370 UNCH $14
     EQT370UNCH$14
FAIR ISAAC CORP 12 UNCH $14
     FICO12UNCH$14
ISHARES TR (IBB) 100 UNCH $14
     IBB100UNCH$14
DECKERS OUTDOOR CORP 19 UNCH $13
     DECK19UNCH$13
ISHARES TR (DVY) 110 UNCH $13
     DVY110UNCH$13
ISHARES TR (IYJ) 117 UNCH $13
     IYJ117UNCH$13
NUVEEN QUALITY MUNCP INCOME 1,175 UNCH $13
     NAD1,175UNCH$13
TRACTOR SUPPLY CO 60 UNCH $13
     TSCO60UNCH$13
CNH INDL N V 1,000 +1,000 $12
     CNHI1,000+1,000$12
ROBLOX CORP 272 -1 $12
     RBLX272-1$12
SPDR SER TR (XSD) 55 UNCH $12
     XSD55UNCH$12
ISHARES TR (DGRO) 200 UNCH $11
     DGRO200UNCH$11
ISHARES INC (EWG) 366 UNCH $11
     EWG366UNCH$11
ISHARES TR (EWU) 321 UNCH $11
     EWU321UNCH$11
FLOOR & DECOR HLDGS INC 100 UNCH $11
     FND100UNCH$11
KRAFT HEINZ CO 300 UNCH $11
     KHC300UNCH$11
CLEVELAND CLIFFS INC NEW 500 UNCH $10
     CLF500UNCH$10
EBAY INC. 231 UNCH $10
     EBAY231UNCH$10
MARATHON OIL CORP 426 +2 $10
     MRO426+2$10
ULTA BEAUTY INC 20 +20 $10
     ULTA20+20$10
CADENCE DESIGN SYSTEM INC 33 UNCH $9
     CDNS33UNCH$9
NORTHWEST NAT HLDG CO 235 UNCH $9
     NWN235UNCH$9
COHEN & STEERS REIT & PFD & 444 UNCH $9
     RNP444UNCH$9
TRIMBLE INC 175 UNCH $9
     TRMB175UNCH$9
BIOGEN INC 31 UNCH $8
     BIIB31UNCH$8
EVERSOURCE ENERGY 130 UNCH $8
     ES130UNCH$8
GLYCOMIMETICS INC 3,500 UNCH $8
     GLYC3,500UNCH$8
KYNDRYL HLDGS INC 378 UNCH $8
     KD378UNCH$8
KEYSIGHT TECHNOLOGIES INC 50 UNCH $8
     KEYS50UNCH$8
LIVEONE INC 6,000 UNCH $8
     LVO6,000UNCH$8
SCHWAB STRATEGIC TR 100 UNCH $8
     SCHD100UNCH$8
SHOPIFY INC 100 UNCH $8
     SHOP100UNCH$8
SYNOPSYS INC 15 UNCH $8
     SNPS15UNCH$8
UNITED AIRLS HLDGS INC 200 UNCH $8
     UAL200UNCH$8
COINBASE GLOBAL INC 40 UNCH $7
     COIN40UNCH$7
WHIRLPOOL CORP 58 UNCH $7
     WHR58UNCH$7
HP INC 216 UNCH $6
     HPQ216UNCH$6
TG THERAPEUTICS INC 353 UNCH $6
     TGTX353UNCH$6
TAKE TWO INTERACTIVE SOFTWAR 35 -5 $6
     TTWO35-5$6
AIRBNB INC 35 UNCH $5
     ABNB35UNCH$5
VAIL RESORTS INC 25 UNCH $5
     MTN25UNCH$5
NIOCORP DEVS LTD 1,450 UNCH $5
     NB1,450UNCH$5
STMICROELECTRONICS N V 105 UNCH $5
     STM105UNCH$5
ABEONA THERAPEUTICS INC 720 UNCH $4
     ABEO720UNCH$4
ANALOG DEVICES INC 20 +3 $4
     ADI20+3$4
EQUITRANS MIDSTREAM CORP 376 UNCH $4
     ETRN376UNCH$4
IDEXX LABS INC 8 +2 $4
     IDXX8+2$4
ISHARES TR (IWR) 50 UNCH $4
     IWR50UNCH$4
LYFT INC 300 UNCH $4
     LYFT300UNCH$4
MATCH GROUP INC NEW 119 +33 $4
     MTCH119+33$4
NRG ENERGY INC 85 UNCH $4
     NRG85UNCH$4
REGENERON PHARMACEUTICALS 4 UNCH $4
     REGN4UNCH$4
STARBUCKS CORP 42 UNCH $4
     SBUX42UNCH$4
SEMPRA 51 +8 $4
     SRE51+8$4
VOLITIONRX LTD 5,000 UNCH $4
     VNRX5,000UNCH$4
VERTEX PHARMACEUTICALS INC 10 -9 $4
     VRTX10-9$4
ACADEMY SPORTS & OUTDOORS IN 50 UNCH $3
     ASO50UNCH$3
BIOMARIN PHARMACEUTICAL INC 28 UNCH $3
     BMRN28UNCH$3
DUTCH BROS INC 100 UNCH $3
     BROS100UNCH$3
COMSTOCK INC 5,000 +5,000 $3
     LODE5,000+5,000$3
POST HLDGS INC 39 UNCH $3
     POST39UNCH$3
QORVO INC 25 UNCH $3
     QRVO25UNCH$3
STURM RUGER & CO INC 65 UNCH $3
     RGR65UNCH$3
RH 11 UNCH $3
     RH11UNCH$3
ROBERT HALF INC. 29 UNCH $3
     RHI29UNCH$3
ROKU INC 35 UNCH $3
     ROKU35UNCH$3
TANGER INC 100 UNCH $3
     SKT100UNCH$3
BLOCK INC 43 UNCH $3
     SQ43UNCH$3
TERADYNE INC 29 UNCH $3
     TER29UNCH$3
VERISIGN INC 15 -4 $3
     VRSN15-4$3
VIATRIS INC 297 UNCH $3
     VTRS297UNCH$3
ALIBABA GROUP HLDG LTD 30 UNCH $2
     BABA30UNCH$2
CARNIVAL CORP 114 UNCH $2
     CCL114UNCH$2
DELTA AIR LINES INC DEL 55 UNCH $2
     DAL55UNCH$2
LAUDER ESTEE COS INC 15 +15 $2
     EL15+15$2
EDWARDS LIFESCIENCES CORP 30 UNCH $2
     EW30UNCH$2
CEDAR FAIR L P 50 UNCH $2
     FUN50UNCH$2
IAC INC 40 UNCH $2
     IAC40UNCH$2
INCYTE CORP 35 -31 $2
     INCY35-31$2
INTUITIVE SURGICAL INC 6 UNCH $2
     ISRG6UNCH$2
METTLER TOLEDO INTERNATIONAL 2 -2 $2
     MTD2-2$2
NAVIENT CORPORATION 100 UNCH $2
     NAVI100UNCH$2
NOVARTIS AG 19 +3 $2
     NVS19+3$2
STARWOOD PPTY TR INC 100 UNCH $2
     STWD100UNCH$2
SELECT SECTOR SPDR TR (XLY) 13 UNCH $2
     XLY13UNCH$2
AMPHENOL CORP NEW 9 +9 $1
     APH9+9$1
ACTINIUM PHARMACEUTICALS INC 266 -332 $1
     ATNM266-332$1
CELLDEX THERAPEUTICS INC NEW 18 UNCH $1
     CLDX18UNCH$1
COMPASS MINERALS INTL INC 50 UNCH $1
     CMP50UNCH$1
FORD MTR CO DEL 100 UNCH $1
     F100UNCH$1
MATINAS BIOPHARMA HLDGS INC 2,500 UNCH $1
     MTNB2,500UNCH$1
PODCASTONE INC 286 UNCH $1
     PODC286UNCH$1
QUANTUMSCAPE CORP 110 UNCH $1
     QS110UNCH$1
TRANSALTA CORP 100 UNCH $1
     TAC100UNCH$1
ZOOM VIDEO COMMUNICATIONS IN 10 UNCH $1
     ZM10UNCH$1
ALASKA AIR GROUP INC 5 UNCH <$1
     ALK5UNCH$0
BIOSIG TECHNOLOGIES INC 1,000 UNCH <$1
     BSGM1,000UNCH$0
FISKER INC 150 UNCH <$1
     FSR150UNCH$0
VIMEO INC 32 +0 $0
     VMEO32UNCH$0
ISHARES TR $0 (exited)
     AGG0-44$0
DOCUSIGN INC $0 (exited)
     DOCU0-97$0
LEGG MASON ETF INVT $0 (exited)
     LVHD0-14,938$0
EXCHANGE TRADED CONCEPTS TR $0 (exited)
     ROBO0-540$0
INVESCO EXCHANGE TRADED FD T $0 (exited)
     RTM0-11,500$0
INVESCO EXCHANGE TRADED FD T $0 (exited)
     RYH0-75,235$0
INVESCO EXCHANGE TRADED FD T $0 (exited)
     RYT0-96,640$0
PROSHARES TR $0 (exited)
     TBT0-8,300$0
SSGA ACTIVE ETF TR $0 (exited)
     TOTL0-63,013$0
UBS GROUP AG $0 (exited)
     UBS0-44$0
VANGUARD TAX MANAGED FDS $0 (exited)
     VEA0-325$0

See Summary: Hartford Financial Management Inc. Top Holdings
See Details: Top 10 Stocks Held By Hartford Financial Management Inc.

EntityShares/Amount
Change
Position Value
Change
RSPT +96,640+$3,154
RSPH +75,135+$2,238
RSPM +11,500+$387
VLTO +1,383+$114
LSST +2,781+$67
GLDM +1,312+$54
MOAT +177+$15
CNHI +1,000+$12
ULTA +20+$10
LODE +5,000+$3
EntityShares/Amount
Change
Position Value
Change
RYT -96,640-$27,253
RYH -75,235-$21,597
TOTL -63,013-$2,435
RTM -11,500-$1,804
LVHD -14,938-$506
TBT -8,300-$326
ROBO -540-$27
VEA -325-$14
DOCU -97-$4
AGG -44-$4
EntityShares/Amount
Change
Position Value
Change
JCPB +356,987+$17,103
JMUB +97,676+$5,046
DDEC +56,945+$2,040
GSIG +24,815+$1,195
DAPR +7,157+$704
SPHQ +5,319+$421
ABEV +4,238+$14
IBTM +3,158+$392
ENB +2,937+$239
FENC +2,000+$190
EntityShares/Amount
Change
Position Value
Change
DSEP -37,473-$1,146
MUB -25,594-$2,615
JPST -17,563-$879
DAUG -12,065+$335
T -8,998-$122
DMAR -6,454-$191
JMST -4,865-$236
PULS -2,715-$136
ARKQ -1,994+$512
Size ($ in 1000's)
At 12/31/2023: $441,423
At 09/30/2023: $437,119

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

All Stocks Held By Hartford Financial Management Inc. | www.HoldingsChannel.com

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