First Trust Horizon Managed Volatility Domestic ETF

$ 38.70 -0.05 %

The First Trust Horizon Managed Volatility Domestic ETF (HUSV) is an actively managed exchange-traded fund with the primary goal of achieving capital appreciation. To fulfill this objective, the Fund typically allocates at least 80% of its net assets (including any capital obtained through borrowing) to common stocks of U.S. companies. These companies are publicly traded on U.S. national securities exchanges and are specifically chosen by Horizon Investments, LLC, for their anticipated low future volatility.

Volume: $5.364 K

Overview

Market Cap.

$71.027 M

Ratio P/E

21.14

Beta

0.48

EPS

1.83

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HUSV vs S&P500

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Inside First Trust Horizon Managed Volatility Domestic ETF

Symbol Name Share number Weight Value
CSCO Cisco Systems, Inc. 22376 3.737 % 2.675 M $
AAPL Apple Inc. 6901 2.873 % 2.056 M $
VRSN VeriSign, Inc. 7689 2.843 % 2.035 M $
GEN Gen Digital Inc. 82735 2.795 % 2.001 M $
TDY Teledyne Technologies Incorporated 2837 2.456 % 1.758 M $
MSFT Microsoft Corporation 4538 2.405 % 1.722 M $
ROP Roper Technologies, Inc. 5109 2.357 % 1.687 M $
MSI Motorola Solutions, Inc. 3810 2.103 % 1.506 M $
KO The Coca-Cola Company 18792 2.084 % 1.492 M $
O Realty Income Corporation 24349 2.049 % 1.467 M $
VICI VICI Properties Inc. 53335 1.958 % 1.402 M $
REG Regency Centers Corporation 16940 1.819 % 1.302 M $
L Loews Corporation 12007 1.799 % 1.288 M $
PTC PTC Inc. 10907 1.748 % 1.252 M $
BRK/B Berkshire Hathaway Inc. (Class B) 0 1.668 % 1.194 M $
TJX The TJX Companies, Inc. 7219 1.652 % 1.183 M $
RSG Republic Services, Inc. 5755 1.648 % 1.179 M $
WEC WEC Energy Group, Inc. 10307 1.615 % 1.156 M $
MCD McDonald's Corporation 4034 1.57 % 1.124 M $
JNJ Johnson & Johnson 4916 1.569 % 1.123 M $
AFL Aflac Incorporated 9312 1.502 % 1.075 M $
FRT Federal Realty Investment Trust 7638 1.285 % 919.539 K $
WM Waste Management, Inc. 4281 1.283 % 918.703 K $
LIN Linde Plc 1773 1.269 % 908.042 K $
VTR Ventas, Inc. 10998 1.254 % 897.437 K $
MAA Mid-America Apartment Communities, Inc. 6660 1.233 % 882.450 K $
CB Chubb Limited 2604 1.176 % 842.134 K $
PG The Procter & Gamble Company 5491 1.154 % 825.737 K $
DUK Duke Energy Corporation 6663 1.153 % 825.279 K $
TRV The Travelers Companies, Inc. 2660 1.144 % 818.775 K $
HIG The Hartford Insurance Group, Inc. 6378 1.143 % 817.979 K $
AEE Ameren Corporation 7386 1.121 % 802.637 K $
LNT Alliant Energy Corporation 10983 1.12 % 801.759 K $
ATO Atmos Energy Corporation 4512 1.072 % 767.536 K $
CME CME Group Inc. 2923 1.006 % 720.169 K $
FE FirstEnergy Corp. 14857 0.964 % 690.108 K $
CTAS Cintas Corporation 3826 0.913 % 653.672 K $
CMS CMS Energy Corporation 8862 0.908 % 650.220 K $
CNP CenterPoint Energy, Inc. 15029 0.899 % 643.542 K $
MDT Medtronic Plc 8008 0.888 % 635.355 K $
GL Globe Life Inc. 3697 0.882 % 631.300 K $
ECL Ecolab Inc. 2308 0.868 % 621.129 K $
COST Costco Wholesale Corporation 642 0.853 % 610.831 K $
UNP Union Pacific Corporation 2346 0.842 % 602.640 K $
MO Altria Group, Inc. 8237 0.795 % 569.341 K $
CSX CSX Corporation 12296 0.784 % 561.066 K $
KMI Kinder Morgan, Inc. 17629 0.778 % 556.900 K $
SYK Stryker Corporation 1745 0.75 % 537.111 K $
CINF Cincinnati Financial Corporation 3115 0.741 % 530.173 K $
V Visa Inc. (Class A) 1583 0.724 % 518.021 K $
CBOE Cboe Global Markets, Inc. 2080 0.724 % 518.128 K $
CL Colgate-Palmolive Company 5759 0.72 % 515.315 K $
EVRG Evergy, Inc. 6147 0.708 % 507.128 K $
SNA Snap-on Incorporated 1306 0.707 % 505.749 K $
GD General Dynamics Corporation 1417 0.693 % 495.964 K $
ACGL Arch Capital Group Ltd. 5287 0.673 % 482.069 K $
ORLY O'Reilly Automotive, Inc. 5535 0.671 % 480.659 K $
DTE DTE Energy Company 3211 0.662 % 473.815 K $
PEP PepsiCo, Inc. 3280 0.651 % 465.826 K $
AME AMETEK, Inc. 1963 0.651 % 466.055 K $
MRSH Marsh & McLennan Companies, Inc. 2825 0.641 % 458.808 K $
YUM Yum! Brands, Inc. 3002 0.637 % 456.274 K $
ITW Illinois Tool Works Inc. 1723 0.636 % 455.027 K $
PNW Pinnacle West Capital Corporation 4443 0.635 % 454.608 K $
GWW W.W. Grainger, Inc. 332 0.633 % 453.316 K $
OTIS Otis Worldwide Corporation 6177 0.632 % 452.589 K $
ADP Automatic Data Processing, Inc. 2039 0.622 % 445.338 K $
MA Mastercard Incorporated 888 0.608 % 434.934 K $
ROST Ross Stores, Inc. 1865 0.607 % 434.172 K $
NDSN Nordson Corporation 1458 0.603 % 431.451 K $
EW Edwards Lifesciences Corporation 4857 0.593 % 424.308 K $
CVX Chevron Corporation 2434 0.59 % 422.615 K $
VLTO Veralto Corporation 4933 0.579 % 414.471 K $
HD The Home Depot, Inc. 1236 0.577 % 413.170 K $
$USD US Dollar 0 0.575 % 411.934 K $
ABT Abbott Laboratories 4603 0.569 % 406.951 K $
ICE Intercontinental Exchange, Inc. 2893 0.541 % 387.315 K $
DGX Quest Diagnostics Incorporated 1956 0.533 % 381.420 K $
HON Honeywell International Inc. 1639 0.524 % 375.347 K $
WMB The Williams Companies, Inc. 4931 0.504 % 360.555 K $
SHW The Sherwin-Williams Company 1122 0.503 % 359.926 K $
T AT&T Inc. 15401 0.474 % 338.976 K $
LH Labcorp Holdings Inc. 1301 0.465 % 332.822 K $
AVY Avery Dennison Corporation 2051 0.455 % 325.453 K $
CTVA Corteva Inc. 4064 0.446 % 319.390 K $
STE Steris Plc 1574 0.446 % 318.908 K $
XOM Exxon Mobil Corporation 2317 0.446 % 319.306 K $
VZ Verizon Communications Inc. 6987 0.443 % 317.000 K $
ROL Rollins, Inc. 6585 0.414 % 296.062 K $
LOW Lowe's Companies, Inc. 1327 0.412 % 294.859 K $
SO The Southern Company 3062 0.398 % 285.042 K $
RMD ResMed Inc. 1482 0.391 % 279.550 K $
TMUS T-Mobile US, Inc. 1414 0.359 % 256.881 K $
BDX Becton, Dickinson and Company 1753 0.353 % 252.397 K $
PFE Pfizer Inc. 9899 0.349 % 249.554 K $
COR Cencora, Inc. 883 0.335 % 240.026 K $
DPZ Domino's Pizza, Inc. 739 0.323 % 230.915 K $
AZO AutoZone, Inc. 75 0.321 % 229.836 K $
NI NiSource Inc. 3829 0.253 % 180.959 K $
ED Consolidated Edison, Inc. 1575 0.234 % 167.517 K $
PPL PPL Corporation 4689 0.232 % 165.897 K $