AMENDMENT NUMBER 11 TO INVESTMENT
SUB-ADVISORY AGREEMENT
Effective January 1, 2008 the Investment Sub-Advisory Agreement between
Hartford Investment Financial Services, LLC (formerly known as Hartford
Investment Financial Services Company), and Wellington Management Company, LLP
("Wellington Management") dated March 3, 1997, as amended (the "Agreement"), is
hereby amended to reflect the following amended fee schedule for the funds
listed as per the attached SCHEDULE A:
The sub-advisory fees shall be accrued daily and paid quarterly, based upon
the following annual rates and upon the calculated daily net asset values of the
Portfolios as follows.
IN WITNESS WHEREOF, the parties hereto have caused this agreement to be
executed as of the 1st day of January, 2008.
HARTFORD INVESTMENT FINANCIAL SERVICES, LLC
/s/ Xxxxxx Xxxxx
---------------------------------------------
By: Xxxxxx Xxxxx
Title: Manager and
Senior Vice President/Business Line Principal
WELLINGTON MANAGEMENT COMPANY, LLP
/s/ Xxxxxxxx X. Xxxxxx
---------------------------------------------
By: Xxxxxxxx X. Xxxxxx
Title: Sr. Vice President
Hartford Mutual Funds, Inc.
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SCHEDULE A
THE HARTFORD ADVISERS FUND
Net Asset Value Annual Rate
----------------- -----------
First $50 million 0.220%
Next $100 million 0.180%
Next $350 million 0.150%
Next $500 million 0.125%
THE HARTFORD CAPITAL APPRECIATION FUND
Net Asset Value Annual Rate
----------------- -----------
All Assets 0.235%
THE HARTFORD DIVIDEND AND GROWTH FUND
Net Asset Value Annual Rate
----------------- -----------
First $50 million 0.325%
Next $100 million 0.250%
Next $350 million 0.200%
Next $500 million 0.150%
THE HARTFORD DISCIPLINED EQUITY FUND
Net Asset Value Annual Rate
----------------- -----------
First $50 million 0.325%
Next $100 million 0.250%
Next $350 million 0.200%
Next $500 million 0.150%
THE HARTFORD GLOBAL GROWTH FUND
Net Asset Value Annual Rate
----------------- -----------
First $50 million 0.400%
Next $100 million 0.300%
Next $350 million 0.250%
Next $500 million 0.200%
Hartford Mutual Funds, Inc.
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SCHEDULE A
THE HARTFORD INTERNATIONAL OPPORTUNITIES FUND
Net Asset Value Annual Rate
----------------- -----------
First $50 million 0.400%
Next $100 million 0.300%
Next $350 million 0.250%
Next $500 million 0.200%
THE HARTFORD MIDCAP FUND
Net Asset Value Annual Rate
----------------- -----------
First $50 million 0.400%
Next $100 million 0.300%
Next $350 million 0.250%
Next $500 million 0.200%
THE HARTFORD SMALL COMPANY FUND
Net Asset Value Annual Rate
----------------- -----------
All Assets 0.330%
THE HARTFORD STOCK FUND
Net Asset Value Annual Rate
----------------- -----------
First $50 million 0.325%
Next $100 million 0.250%
Next $350 million 0.200%
Next $500 million 0.150%
Hartford Mutual Funds, Inc.
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