C000265416 Holdings — Horizon International Managed Risk ETF

All 283 reported holdings of Horizon International Managed Risk ETF (C000265416) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Tsmc4.45%$18.89M
ASML Holding NV3.53%$14.96M
Samsung Electronics Co Ltd2.58%$10.95M
SK hynix Inc2.22%$9.40M
Toronto-Dominion Bank/The1.63%$6.91M
Shell PLC1.56%$6.62M
Roche Holding AG1.45%$6.16M
TotalEnergies SE1.34%$5.69M
Novartis AG1.08%$4.57M
Rio Tinto PLC1.07%$4.55M
SoftBank Group Corp1.03%$4.38M
iShares MSCI India ETF0.95%$4.05M
Royal Bank of Canada0.95%$4.04M
AstraZeneca PLC0.95%$4.03M
UBS Group AG0.95%$4.01M
Tokyo Electron Ltd0.92%$3.92M
Agnico Eagle Mines Ltd0.88%$3.74M
British American Tobacco PLC0.88%$3.73M
Advantest Corp0.88%$3.73M
ABB Ltd0.82%$3.46M
Barrick Mining Corp0.81%$3.43M
Canadian Natural Resources Ltd0.78%$3.31M
Allianz SE0.77%$3.27M
Investor AB0.72%$3.06M
Murata Manufacturing Co Ltd0.70%$2.98M
Keyence Corp0.69%$2.92M
Suncor Energy Inc0.66%$2.79M
Shin-Etsu Chemical Co Ltd0.64%$2.73M
Novo Nordisk A/S0.64%$2.71M
BNP Paribas SA0.64%$2.71M
Fast Retailing Co Ltd0.63%$2.69M
UniCredit SpA0.63%$2.67M
MediaTek Inc0.59%$2.51M
Rolls-Royce Holdings PLC0.59%$2.50M
Mitsubishi Electric Corp0.58%$2.47M
Gsk PLC0.56%$2.38M
AIA Group Ltd0.55%$2.35M
Axa SA0.53%$2.26M
Anheuser-Busch InBev SA/NV0.52%$2.22M
Bbva0.52%$2.21M
Anglogold Ashanti Plc0.51%$2.16M
Bp PLC0.50%$2.14M
Deutsche Telekom AG0.50%$2.12M
Wheaton Precious Metals Corp0.49%$2.10M
United Microelectronics Corp0.48%$2.04M
Rio Tinto Ltd0.46%$1.97M
Sumitomo Electric Industries L0.46%$1.94M
Vinci SA0.45%$1.92M
Deutsche Post AG0.44%$1.85M
Fujikura Ltd0.44%$1.85M
Tokio Marine Holdings Inc0.43%$1.84M
Prysmian SpA0.43%$1.84M
Air Liquide SA0.43%$1.83M
Kinross Gold Corp0.43%$1.83M
Delta Electronics Inc0.42%$1.80M
Grupo Mexico SAB de CV0.42%$1.80M
Petrobras0.42%$1.77M
PDD Holdings Inc0.40%$1.70M
Generali0.40%$1.68M
Cie Financiere Richemont SA0.39%$1.65M
ORIX Corp0.39%$1.64M
Cenovus Energy Inc0.39%$1.64M
ING Groep NV0.39%$1.64M
Gold Fields Ltd0.38%$1.61M
Canadian National Railway Co0.38%$1.59M
Vale SA0.38%$1.59M
Accton Technology Corp0.37%$1.57M
FANUC Corp0.37%$1.56M
Legrand SA0.36%$1.54M
LVMH Moet Hennessy Louis Vuitt0.36%$1.52M
NetEase Inc0.36%$1.52M
Otsuka Holdings Co Ltd0.35%$1.49M
Alimentation Couche-Tard Inc0.35%$1.49M
Hyundai Mobis Co Ltd0.35%$1.47M
Ping An0.34%$1.46M
Yageo Corp0.34%$1.46M
Compass Group PLC0.34%$1.44M
Daikin Industries Ltd0.34%$1.43M
Sompo Holdings Inc0.32%$1.38M
Ericsson0.32%$1.37M
Lenovo Group Ltd0.32%$1.36M
Chroma ATE Inc0.31%$1.33M
Sumitomo Corp0.31%$1.33M
Pan American Silver Corp0.31%$1.32M
PetroChina Co Ltd0.31%$1.32M
Zijin Mining Group Co Ltd0.31%$1.31M
Fortescue Ltd0.31%$1.30M
China Life Insurance Co Ltd0.31%$1.30M
Koninklijke Ahold Delhaize NV0.30%$1.29M
Asia Vital Components Co Ltd0.30%$1.28M
MTN Group Ltd0.30%$1.27M
Bank Hapoalim BM0.30%$1.25M
Toyota Tsusho Corp0.30%$1.25M
Komatsu Ltd0.29%$1.25M
Sun Hung Kai Properties Ltd0.29%$1.24M
Commonwealth Bank of Australia0.29%$1.23M
Sunbelt Rentals Holdings Inc0.29%$1.23M
QBE Insurance Group Ltd0.28%$1.21M
Ucb SA0.28%$1.21M
Samsung Electronics Co Ltd0.28%$1.20M
Prudential PLC0.28%$1.20M
Eni SpA0.28%$1.19M
Kia Corp0.28%$1.18M
L'Oreal SA0.28%$1.18M
America Movil SAB de CV0.28%$1.17M
Hoya Corp0.27%$1.16M
Samsung C&T Corp0.27%$1.15M
Repsol SA0.27%$1.15M
SMC Corp0.27%$1.13M
Equinor ASA0.27%$1.13M
Delta Electronics Thailand PCL0.26%$1.10M
Teva Pharmaceutical Industries0.26%$1.10M
AerCap Holdings NV0.26%$1.10M
Goodman Group0.26%$1.09M
Argenx SE0.26%$1.08M
ACS Actividades de Construccio0.25%$1.08M
Astellas Pharma Inc0.25%$1.07M
Vodafone Group PLC0.25%$1.05M
Techtronic Industries Co Ltd0.25%$1.05M
Swisscom AG0.25%$1.05M
BeOne Medicines Ltd0.25%$1.05M
Nokia Oyj0.25%$1.04M
Boliden AB0.24%$1.04M
Orlen SA0.24%$1.04M
Lasertec Corp0.24%$1.03M
Woodside Energy Group Ltd0.24%$1.03M
Hon Precision Inc0.24%$1.03M
BPER Banca SPA0.24%$1.02M
Halma PLC0.24%$1.02M
Ryanair Holdings PLC0.24%$1.02M
Cathay Financial Holding Co Lt0.24%$1.01M
Glencore PLC0.24%$1.01M
Asics Corp0.23%$997.40K
Industria de Diseno Textil SA0.23%$996.88K
Bank of China Ltd0.23%$993.88K
CK Hutchison Holdings Ltd0.23%$984.35K
3i Group PLC0.23%$981.99K
Inpex Corp0.23%$982.10K
Enel SpA0.23%$979.49K
Ambev SA0.23%$973.96K
ASPEED Technology Inc0.23%$969.11K
B3 SA - Brasil Bolsa Balcao0.23%$967.51K
Daiichi Life Group Inc0.23%$964.56K
Samsung Life Insurance Co Ltd0.23%$962.36K
Geely Automobile Holdings Ltd0.23%$958.18K
LG Electronics Inc0.22%$951.72K
Michelin0.22%$948.82K
Ajinomoto Co Inc0.22%$941.34K
Sumitomo Mitsui Trust Group In0.22%$931.44K
Fomento Economico Mexicano SAB0.22%$923.68K
ArcelorMittal SA0.22%$920.03K
Heidelberg Materials AG0.21%$910.45K
Sanofi SA0.21%$908.48K
VAT Group AG0.21%$897.56K
Phoenix Financial Ltd0.21%$896.89K
Japan Post Bank Co Ltd0.21%$896.04K
SK Square Co Ltd0.21%$881.18K
Publicis Groupe SA0.21%$877.21K
Sandvik AB0.20%$862.44K
BE Semiconductor Industries NV0.20%$861.49K
CaixaBank SA0.20%$856.87K
Next PLC0.20%$854.77K
Impala Platinum Holdings Ltd0.20%$850.74K
Bizlink Holding Inc0.20%$850.49K
HD Korea Shipbuilding & Offsho0.20%$844.60K
MS&AD Insurance Group Holdings0.20%$842.51K
FUJIFILM Holdings Corp0.20%$838.50K
Tesco PLC0.20%$837.59K
Orange SA0.20%$835.83K
China Merchants Bank Co Ltd0.20%$835.39K
Endeavour Mining PLC0.20%$833.29K
Elbit Systems Ltd0.20%$831.91K
Industrias Penoles SAB de CV0.20%$828.76K
Tower Semiconductor Ltd0.19%$824.70K
Naspers Ltd0.19%$821.02K
Bombardier Inc0.19%$821.32K
Fuji Electric Co Ltd0.19%$814.34K
Whitecap Resources Inc0.19%$806.36K
Restaurant Brands Internationa0.19%$803.19K
Logitech International SA0.19%$803.04K
Unibail-Rodamco-Westfield0.19%$802.28K
Engie SA0.19%$801.41K
Rogers Communications Inc0.19%$799.90K
Telstra Group Ltd0.19%$796.38K
Baidu Inc0.19%$795.40K
Kubota Corp0.19%$794.08K
Xiaomi Corp0.19%$792.16K
Magna International Inc0.19%$786.34K
Nova Ltd0.18%$782.08K
STMicroelectronics NV0.18%$779.66K
CTBC Financial Holding Co Ltd0.18%$776.88K
Prosus NV0.18%$769.44K
Trip.com Group Ltd0.18%$757.66K
Ageas SA/NV0.18%$756.86K
KDDI Corp0.18%$756.56K
Great-West Lifeco Inc0.18%$756.55K
CK Asset Holdings Ltd0.18%$755.08K
Imperial Oil Ltd0.18%$753.40K
King Slide Works Co Ltd0.18%$747.97K
Grupo Financiero Banorte SAB d0.18%$747.36K
HD Hyundai Electric Co Ltd0.18%$744.16K
Toromont Industries Ltd0.17%$742.38K
Wesfarmers Ltd0.17%$741.12K
Assa Abloy AB0.17%$739.37K
Vestas Wind Systems A/S0.17%$737.73K
Mizrahi Tefahot Bank Ltd0.17%$736.99K
Credicorp Ltd0.17%$737.00K
China Resources Land Ltd0.17%$736.88K
Ryohin Keikaku Co Ltd0.17%$731.42K
Central Japan Railway Co0.17%$731.78K
Bridgestone Corp0.17%$730.69K
Washington H Soul Pattinson &0.17%$729.90K
Singapore Exchange Ltd0.17%$726.90K
Tenaris SA0.17%$725.91K
Weichai Power Co Ltd0.17%$722.61K
KGHM Polska Miedz SA0.17%$715.92K
Oversea-Chinese Banking Corp L0.17%$713.19K
SCREEN Holdings Co Ltd0.17%$712.17K
Leonardo SpA0.17%$711.24K
Koninklijke KPN NV0.17%$706.37K
CMOC Group Ltd0.17%$705.60K
Shionogi & Co Ltd0.16%$698.84K
Coles Group Ltd0.16%$689.24K
HD Hyundai Heavy Industries Co0.16%$682.61K
WH Group Ltd0.16%$680.75K
Coca-Cola Europacific Partners0.16%$679.63K
Bayer AG0.16%$669.47K
Cpic0.16%$668.74K
Coca-Cola HBC AG0.16%$668.46K
ZTO Express Cayman Inc0.16%$668.26K
Hanwha Aerospace Co Ltd0.16%$663.95K
Industrivarden AB0.16%$663.49K
Ebara Corp0.16%$663.70K
Eiffage SA0.16%$660.17K
Capgemini SE0.16%$659.86K
Unipol Assicurazioni SpA0.16%$658.97K
POSCO Holdings Inc0.16%$658.72K
Genmab A/S0.15%$657.91K
Largan Precision Co Ltd0.15%$657.88K
Kirin Holdings Co Ltd0.15%$655.45K
Terna - Rete Elettrica Naziona0.15%$654.26K
Asahi Kasei Corp0.15%$654.14K
Evolution AB0.15%$652.72K
Tele2 AB0.15%$652.65K
Shinhan Financial Group Co Ltd0.15%$651.29K
Yara International ASA0.15%$650.95K
Suzuki Motor Corp0.15%$650.54K
China Hongqiao Group Ltd0.15%$643.57K
Endesa SA0.15%$640.96K
Standard Bank Group Ltd0.15%$638.38K
Alfa Laval AB0.15%$636.07K
Hyundai Glovis Co Ltd0.15%$635.46K
Neste Oyj0.15%$631.59K
SoftBank Corp0.15%$629.68K
Wuxi Biologics Cayman Inc0.15%$627.50K
HD Hyundai Co Ltd0.15%$625.34K
ANTA Sports Products Ltd0.15%$622.89K
Aena SME SA0.15%$620.34K
Bouygues SA0.15%$615.87K
Discovery Ltd0.14%$609.16K
Yum China Holdings Inc0.14%$601.80K
Tokyo Gas Co Ltd0.14%$600.89K
Mitsui Fudosan Co Ltd0.14%$591.96K
Rwe AG0.14%$590.50K
Omv AG0.14%$589.72K
Atlas Copco AB0.14%$589.38K
Klepierre SA0.14%$586.36K
Brambles Ltd0.14%$582.99K
Italgas SpA0.14%$580.98K
Yofc0.14%$579.82K
Kuaishou Technology0.14%$579.35K
Wartsila OYJ Abp0.14%$578.04K
Ipsen SA0.14%$577.38K
Yangzijiang Shipbuilding Holdi0.14%$575.35K
iA Financial Corp Inc0.13%$572.12K
China CITIC Bank Corp Ltd0.13%$572.08K
Sampo Oyj0.13%$566.68K
Pearson PLC0.13%$559.55K
Nippon Yusen KK0.13%$557.10K
Intertek Group PLC0.13%$548.22K
Talanx AG0.13%$546.27K
Hannover Rueck SE0.13%$545.39K
Swiss Re AG0.13%$545.41K

C000265416 overview: performance, fees, allocation and SEC filings