HNDDX
Horizon Equity Premium Income Fund
Horizon Funds

Portfolio moves

Net position changes between two of this fund's N-PORT snapshots. These are differences between point-in-time reports — not a trade log — and share counts can be affected by splits and other corporate actions.

Nov 30, 2025 → Feb 28, 2026

Expand a category to see the positions behind it, ranked by weight.

Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
WATERS CORP 0 127 127 0.03% $40.72K
VERSANT MEDIA GROUP INC - A 0 1,021 1,021 0.02% $34.02K

No positions in this category.

Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
APPLE INC 28,511 29,049 538 5.05% -$276.13K
ALPHABET INC CL A 23,838 24,286 448 4.98% -$61.05K
NVIDIA CORP 41,688 42,474 786 4.95% $147.19K
MICROSOFT CORP 16,926 17,245 319 4.46% -$1.55M
BROADCOM INC 15,737 16,032 295 3.37% -$1.22M
AMAZON.COM INC 16,999 17,316 317 2.39% -$328.15K
JPMORGAN CHASE and CO 11,595 11,811 216 2.33% -$83.32K
META PLATFORMS INC CL A 5,122 5,215 93 2.22% $61.46K
JOHNSON&JOHNSON 11,988 12,211 223 2.00% $553.02K
EXXON MOBIL CORP 19,123 19,482 359 1.96% $754.27K
WALMART INC 21,345 21,747 402 1.83% $423.69K
ABBVIE INC 9,125 9,294 169 1.42% $79.19K
CISCO SYSTEMS INC 25,098 25,570 472 1.34% $100.75K
LILLY ELI and CO 1,762 1,792 30 1.24% -$9.81K
HOME DEPOT INC 4,631 4,716 85 1.18% $142.58K
BERKSHIRE HATH-B 3,308 3,368 60 1.12% $988
BANK OF AMERICA CORPORATION 31,912 32,513 601 1.07% -$91.96K
VERIZON COMMUNICATIONS INC 30,482 31,055 573 1.02% $303.98K
PROCTER & GAMBLE 9,011 9,179 168 1.01% $199.66K
MICRON TECHNOLOGY INC 3,643 3,709 66 1.01% $667.98K
VISA INC-CLASS A 4,600 4,685 85 0.99% -$38.57K
INTL BUS MACH CORP 5,933 6,043 110 0.96% -$379.22K
COCA-COLA CO/THE 17,430 17,757 327 0.95% $173.78K
CHEVRON CORP 7,497 7,637 140 0.94% $293.26K
MERCK & CO 10,821 11,023 202 0.90% $230.50K
CORNING INC 8,578 8,736 158 0.86% $591.45K
PHILIP MORRIS INTL INC 6,890 7,017 127 0.86% $225.95K
MORGAN STANLEY 7,666 7,808 142 0.86% -$503
MCDONALDS CORP 3,712 3,780 68 0.85% $131.73K
TESLA INC 3,071 3,126 55 0.83% -$62.81K
WELLS FARGO & CO 15,027 15,309 282 0.82% -$43.15K
LAM RESEARCH CORP 5,117 5,210 93 0.80% $420.31K
RTX CORP 5,726 5,832 106 0.78% $180.15K
CATERPILLAR INC 1,555 1,582 27 0.77% $279.85K
T-MOBILE US INC 5,284 5,379 95 0.77% $63.32K
GOLDMAN SACHS GROUP INC 1,285 1,308 23 0.74% $62.86K
TEXAS INSTRUMENTS INC 5,135 5,229 94 0.73% $245.06K
APPLIED MATERIALS INC 2,701 2,749 48 0.67% $342.13K
CITIGROUP INC 8,938 9,103 165 0.66% $77.08K
GILEAD SCIENCES INC 6,542 6,662 120 0.65% $169.06K
NETFLIX INC 10,030 10,217 187 0.65% -$95.74K
PEPSICO INC 5,563 5,665 102 0.63% $134.14K
AMGEN INC 2,401 2,444 43 0.62% $119.21K
ANALOG DEVICES INC 2,597 2,643 46 0.62% $251.26K
UNITEDHEALTH GRP 3,114 3,172 58 0.61% -$96.65K
MASTERCARD INC CL A 1,750 1,780 30 0.61% -$42.79K
NEXTERA ENERGY INC 9,590 9,768 178 0.60% $88.42K
KLA CORP 560 568 8 0.57% $207.68K
GENERAL ELECTRIC CO 2,463 2,507 44 0.56% $122.96K
AMPHENOL CORPORATION CL A 5,750 5,856 106 0.56% $45.15K
COMCAST CORP CL A 25,120 25,591 471 0.52% $121.84K
TJX COS INC 4,599 4,684 85 0.50% $58.54K
LINDE PLC 1,461 1,486 25 0.50% $155.53K
BRISTOL-MYERS SQUIBB CO 11,575 11,791 216 0.48% $165.91K
QUALCOMM INC 4,953 5,042 89 0.47% -$114.77K
LOCKHEED MARTIN CORP 1,069 1,087 18 0.47% $225.88K
STARBUCKS CORP 6,956 7,084 128 0.46% $88.44K
LOWES COS INC 2,552 2,598 46 0.45% $68.54K
WALT DISNEY CO/T 6,276 6,393 117 0.45% $22.26K
UNION PACIFIC CORP 2,436 2,479 43 0.43% $92.15K
COSTCO WHOLESALE CORP 631 642 11 0.43% $72.45K
MEDTRONIC PLC 6,444 6,562 118 0.42% -$37.90K
BLACKROCK INC 592 600 8 0.42% $17.94K
ORACLE CORP 4,219 4,296 77 0.41% -$227.39K
HONEYWELL INTL INC 2,498 2,542 44 0.41% $139.12K
AMERICAN EXPRESS CO 1,917 1,950 33 0.40% -$97.87K
ARISTA NETWORKS INC 4,421 4,502 81 0.40% $23.28K
ACCENTURE PLC CL A 2,793 2,844 51 0.39% -$104.65K
CME GROUP INC CL A 1,819 1,851 32 0.39% $79.42K
TE CONNECTIVITY PLC 2,501 2,546 45 0.39% $20.36K
DEERE & CO 903 918 15 0.38% $158.64K
SALESFORCE INC 2,902 2,954 52 0.38% -$93.62K
NEWMONT CORP 4,241 4,319 78 0.37% $176.68K
ADV MICRO DEVICE 2,683 2,731 48 0.36% -$36.86K
CVS HEALTH CORP 6,695 6,819 124 0.36% $6.83K
SOUTHERN CO 5,397 5,495 98 0.35% $43.33K
UNITED PARCEL SERVICE INC CL B 4,470 4,552 82 0.35% $99.67K
DUKE ENERGY CORP NEW 3,861 3,932 71 0.34% $35.97K
SCHWAB CHARLES CORP 5,222 5,318 96 0.33% $22.04K
MOTOROLA SOLUTIONS INC 1,029 1,045 16 0.33% $123.56K
NIKE INC CL B 7,577 7,718 141 0.32% -$9.80K
MARRIOTT INTL-A 1,259 1,280 21 0.29% $53.68K
EATON CORP PLC 1,121 1,141 20 0.28% $41.18K
GENERAL MOTORS CO 5,276 5,372 96 0.28% $34.94K
US BANCORP DEL 7,568 7,708 140 0.28% $50.11K
FORD MOTOR CO 29,232 29,782 550 0.28% $31.43K
ALTRIA GROUP INC 5,748 5,854 106 0.27% $64.97K
3M CO 2,385 2,428 43 0.26% -$8.94K
PNC FINANCIAL SERVICES GRP INC 1,838 1,869 31 0.26% $46.34K
CHUBB LTD 1,142 1,161 19 0.26% $57.50K
STRYKER CORP 993 1,009 16 0.26% $22.37K
NORTHROP GRUMMAN CORP 516 525 9 0.25% $85.02K
JOHNSON CONTROLS INTERNATIONAL PLC 2,523 2,569 46 0.24% $77.26K
HEWLETT PACKARD ENTERPRISE CO 16,754 17,069 315 0.24% $61
INTUIT INC 872 887 15 0.24% -$190.11K
GENERAL DYNAMICS CORPORATION 994 1,010 16 0.24% $21.04K
AMERICAN ELECTRIC POWER CO INC 2,640 2,687 47 0.24% $32.82K
PARKER HANNIFIN CORP 349 354 5 0.24% $56.52K
AUTOMATIC DATA PROCESSING INC 1,635 1,665 30 0.23% -$60.51K
PACCAR INC 2,739 2,788 49 0.23% $62.79K
ROSS STORES INC 1,671 1,701 30 0.23% $55.10K
THERMO FISHER SCIENTIFIC INC 651 663 12 0.23% -$39.13K
GARMIN LTD 1,327 1,350 23 0.22% $82.13K
ILLINOIS TOOL WORKS INC 1,155 1,174 19 0.22% $53.28K
FEDEX CORP 855 869 14 0.22% $100.60K
YUM! BRANDS INC 1,926 1,960 34 0.22% $34.51K
TRUIST FINL CORP 6,385 6,503 118 0.21% $23.76K
HCA HEALTHCARE INC 592 600 8 0.21% $16.91K
PALO ALTO NETWORKS INC 2,084 2,121 37 0.21% -$80.37K
CONOCOPHILLIPS 2,725 2,773 48 0.21% $72.94K
BLACKSTONE INC 2,724 2,772 48 0.21% -$84.59K
BANK OF NEW YORK MELLON CORP 2,561 2,607 46 0.20% $23.41K
LAS VEGAS SANDS CORP 5,323 5,421 98 0.20% -$55.34K
SERVICENOW INC 552 2,810 2,258 0.20% -$144.94K
EMERSON ELECTRIC CO 1,952 1,988 36 0.20% $39.33K
WASTE MANAGEMENT INC 1,213 1,234 21 0.20% $32.92K
THE CIGNA GROUP 995 1,011 16 0.19% $17.11K
ADOBE INC 1,072 1,090 18 0.19% -$57.15K
DOMINION ENERGY INC 4,423 4,504 81 0.19% $6.75K
FREEPORT MCMORAN INC 4,003 4,077 74 0.18% $105.51K
S&P GLOBAL INC 619 628 9 0.18% -$31.28K
SEMPRA ENERGY 2,799 2,850 51 0.18% $9.25K
INTUITIVE SURGICAL INC 536 544 8 0.18% -$33.48K
TRANE TECHNOLOGIES PLC 585 592 7 0.18% $27.13K
AIR PRODUCTS and CHEMICALS INC 959 974 15 0.18% $18.16K
L3HARRIS TECHNOLOGIES INC 707 718 11 0.17% $64.71K
EXELON CORP 5,124 5,217 93 0.17% $16.64K
MARSH & MCLENNAN 1,357 1,381 24 0.17% $8.95K
UBER TECHNOLOGIES INC 3,336 3,396 60 0.17% -$35.91K
CSX CORP 5,888 5,996 108 0.17% $47.77K
INTERCONTINENTAL EXCHANGE INC 1,449 1,474 25 0.16% $14.00K
DR HORTON INC 1,474 1,500 26 0.16% $6.20K
AIRBNB INC CLASS A 1,699 1,729 30 0.15% $34.84K
XCEL ENERGY INC 2,681 2,729 48 0.15% $7.35K
ECOLAB INC 725 735 10 0.15% $27.15K
MCKESSON CORP 225 228 3 0.15% $26.87K
ELEVANCE HEALTH INC 687 698 11 0.15% -$9.02K
ROPER TECHNOLOGIES INC 616 625 9 0.14% -$56.29K
SHERWIN WILLIAMS CO 591 600 9 0.14% $14.43K
WILLIAMS COS INC 2,771 2,821 50 0.14% $41.95K
HP INC 10,657 10,856 199 0.14% -$54.09K
AFLAC INC 1,780 1,813 33 0.13% $8.39K
CONSTELLATION ENERGY CORP 603 612 9 0.13% -$17.82K
METLIFE INC 2,728 2,776 48 0.13% -$8.79K
CAPITAL ONE FINANCIAL CORP 998 1,015 17 0.13% -$20.06K
MONDELEZ INTL INC 3,132 3,191 59 0.13% $16.19K
PUB SERV ENTERP 2,215 2,254 39 0.13% $9.00K
TRAVELERS COS IN 615 624 9 0.13% $12.48K
REPUBLIC SVCS 826 839 13 0.13% $12.84K
CONSOLIDATED EDISON INC 1,568 1,595 27 0.12% $22.10K
ABBOTT LABS 1,499 1,526 27 0.12% -$15.67K
WEC ENERGY GROUP INC 1,490 1,516 26 0.12% $10.33K
CINTAS CORP 862 876 14 0.12% $15.84K
ALLSTATE CORPORATION 792 804 12 0.11% $3.79K
BECTON DICKINSON and CO 935 951 16 0.11% -$13.58K
VALERO ENERGY CORP 805 818 13 0.11% $25.10K
PROGRESSIVE CORP OHIO 769 782 13 0.11% -$8.86K
AMERICAN INTERNATIONAL GROUP 1,993 2,029 36 0.11% $11.53K
CARRIER GLOBAL CORP 2,489 2,531 42 0.11% $26.40K
PAYCHEX INC 1,681 1,711 30 0.11% -$27.52K
VERTEX PHARMACEUTICALS INC 317 321 4 0.10% $22.03K
ZOETIS INC CL A 1,195 1,216 21 0.10% $6.24K
KROGER CO 2,272 2,312 40 0.10% $4.91K
MOODYS CORP 322 327 5 0.10% -$1.86K
BOSTON SCIENTIFIC CORP 1,972 2,007 35 0.10% -$46.08K
PRUDENTL FINL 1,530 1,558 28 0.10% -$12.35K
SYSCO CORP 1,645 1,675 30 0.10% $27.34K
HERSHEY CO/THE 632 643 11 0.10% $33.06K
MARATHON PETROLEUM CORP 706 717 11 0.09% $5.34K
UNITED RENTALS INC 167 169 2 0.09% $5.82K
EDISON INTL 1,776 1,808 32 0.09% $30.54K
AON PLC 397 402 5 0.09% -$5.65K
PHILLIPS 66 850 864 14 0.09% $16.93K
ARCHER DANIELS MIDLAND CO 1,869 1,902 33 0.09% $17.79K
SLB LTD 2,501 2,546 45 0.09% $40.08K
NUCOR CORP 715 725 10 0.08% $14.20K
AMERIPRISE FINANCIAL INC 263 266 3 0.08% $5.19K
DANAHER CORP 580 587 7 0.08% -$7.89K
OTIS WORLDWIDE CORP 1,301 1,324 23 0.08% $6.96K
COLGATE-PALMOLIVE CO 1,214 1,235 21 0.08% $24.84K
KKR & CO INC 1,356 1,380 24 0.08% -$44.85K
ONEOK INC 1,389 1,413 24 0.08% $15.81K
PFIZER INC 4,117 4,192 75 0.08% $9.94K
EOG RESOURCES INC 904 919 15 0.08% $16.53K
KEURIG DR PEPPER INC 3,665 3,731 66 0.07% $10.72K
PPG INDUSTRIES INC 901 916 15 0.07% $22.78K
OCCIDENTAL PETROLEUM CORP 1,923 1,956 33 0.07% $23.06K
LYONDELLBASELL INDS CLASS A 1,741 1,770 29 0.07% $16.52K
ARTHUR J GALLAGHAR AND CO 432 438 6 0.07% -$7.02K
TARGET CORP 857 871 14 0.07% $21.45K
KIMBERLY CLARK CORP 836 849 13 0.06% $3.39K
QNITY ELECTRONICS INC 735 745 10 0.06% $34.84K
KRAFT HEINZ CO/T 3,686 3,752 66 0.06% -$1.69K
GENERAL MILLS INC 1,891 1,925 34 0.06% -$2.47K
CONSTELLATION BRANDS INC CL A 469 476 7 0.05% $11.18K
DUPONT DE NEMOURS INC 1,471 1,497 26 0.05% $16.41K
HUMANA INC 309 313 4 0.04% -$16.30K
SOLSTICE ADV MAT 625 636 11 0.03% $20.13K
MILLROSE PROPERTIES INC 748 1,299 551 0.03% $17.95K
Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
FRST AM-GV OB-X 1,604,148 1,246,499 -357,649 0.82% -$357.65K
LENNAR CORP CL A 1,484 1,380 -104 0.10% -$37.03K
REGENERON PHARMACEUTICALS INC 117 116 -1 0.06% -$609
Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
THE BOOKING HOLDINGS INC 106 106 0 0.30% -$71.59K
US ULTRA BOND CBT Sep25 -145 -145 0 -0.03% $89.90K

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