AIMNX Horizon Active Income Fund Investor Class

This is an open ended mutual fund. The investment seeks income. The fund seeks to achieve the fund& 39 s investment objective by allocating assets across various sectors of the global securities markets. The manager executes this strategy by investing in exchange-traded funds ( ETFs ). The fund will invest primarily in U.S. Dollar denominated securities, but may also invest a portion of its assets in non-U.S. Dollar denominated securities.

As of 07/27/2021

Mutual Fund Information
Sponsor:     Horizon Funds
Category1:  US Fixed Income
Category2:  Corporate bonds
Category3:  Investment grade
Morningstar category:  Intermediate-Term Bond
Investment style: Actively managed
Leverage factor:  1.00
Inception date:     09/30/2013
Market cap:     $408,070,000
Current yield:     1.75%
Fees:     1.4700%
All SEC Filings:  SEC Edgar Online
Summary Prospectus:  497
Semi-Annual filings:  N-CSR
Quarterly holdings:  NPORT
CUSIP:  44053A887
ISIN:    US44053A8870
Investment style: Actively managed

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