HADRX Horizon Defined Risk Fund Advisor Class

This is an open ended mutual fund. The investment seeks capital appreciation and capital preservation. The fund's investment adviser seeks to achieve the fund's investment objective by investing in a broadly diversified portfolio of equity securities (the "Equity Portfolio"), while seeking to generate income, hedge volatility and reduce the downside risk of the Equity Portfolio by buying and selling put and call options (the "Options Portfolio"). The Equity Portfolio typically focuses on investing in individual stocks. The Options Portfolio will generally consist of options "collars".

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As of 07/27/2021


Mutual Fund Information
Sponsor:     Horizon Funds
Category1:  Alternatives
Category2:  Options
Category3:  Broad
Morningstar category:  Options-based
Investment style: Actively managed
Leverage factor:  1.00
Inception date:     12/28/2017
Market cap:     $19,420,000
Current yield:     0.38%
Fees:     1.2400%
All SEC Filings:  SEC Edgar Online
Summary Prospectus:  497
Semi-Annual filings:  N-CSR
Quarterly holdings:  NPORT
CUSIP:  44053A838
ISIN:    US44053A8383
Investment style: Actively managed

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