HYBR
Investment Objective
HYBR seeks to provide Unitholders with a high level of income by investing in a portfolio of debt and other debt-like securities, including but not limited to hybrid corporate debt (“Hybrids”), Alternative Tier 1 Capital (“AT1”) (such as LRCNs), and income generating equities, including but not limited to preferred securities (fixed-rate perpetual, fixed floating rate, retractable and floating rate), of Canadian and U.S. companies. HYBR may hedge some or all of its non-Canadian dollar currency exposure at the discretion of its Sub-Advisor.
As of March 10, 2021, the ETF name and ticker were changed. The ETF was previously named Horizons Active Floating Rate Preferred Share ETF (HFP). Subsequent to shareholder approval, the Investment Objective and Strategy of the ETF was also changed as of March 4, 2021.
Fund Details
As at April 24, 2024
As at March 28, 2024
The NAV chart above only shows the historical daily net asset value per unit (NAV) of the ETF, and identifies the various distributions made by the ETF, if any. The distributions are not treated as reinvested, and it does not take into account sales, redemption, distribution or optional charges or income taxes payable by any security holder. The NAV values do contemplate management fees and other fund expenses. The chart is not a performance chart and is not indicative of future NAV values which will vary.
The Growth of 10K chart above is based on the historical daily net asset value per unit (NAV) of the ETF, and represents the value of an initial investment into the ETF of $10,000 since its inception, on a total return basis. Distributions, if any, are treated as reinvested, and it does not take into account sales, redemption, distribution or optional charges or income taxes payable by any security holder. The NAV values do contemplate management fees and other fund expenses where paid by the fund. The chart is not a performance chart and is not indicative of future value which will vary.
Annualized Performance (%) *
1mo | 3mo | 6mo | YTD | 1 yr | 3 yr | 5 yr | 10 yr | SIR** | |
---|---|---|---|---|---|---|---|---|---|
Horizons Active Hybrid Bond and Preferred Share ETF | 4.10 | 12.44 | 20.48 | 12.44 | 19.63 | 4.02 | 6.44 | 3.14 | 3.24 |
**Fund performance since inception on October 01, 2013, as at March 31, 2024
Calendar Year Performance (%) *
2016 | 2017 | 2018 | 2019 | 2020 | 2021 | 2022 | 2023 | |
---|---|---|---|---|---|---|---|---|
Horizons Active Hybrid Bond and Preferred Share ETF |
8.38 | 16.79 | -10.75 | 0.94 | 5.87 | 27.12 | -17.95 | 8.18 |
Distributions
Year | Ex-Dividend Date | Record Date | Payment Date | Payment Amount | Reinvested Non-Cash Distributions | Distribution Period |
---|---|---|---|---|---|---|
2024 | 03/27/2024 | 03/28/2024 | 04/05/2024 | 0.034 | — | Monthly |
2024 | 02/28/2024 | 02/29/2024 | 03/07/2024 | 0.034 | — | Monthly |
2024 | 01/30/2024 | 01/31/2024 | 02/07/2024 | 0.034 | — | Monthly |
2023 | 12/28/2023 | 12/29/2023 | 01/08/2024 | 0.034 | — | Monthly |
2023 | 11/29/2023 | 11/30/2023 | 12/07/2023 | 0.034 | — | Monthly |
2023 | 10/30/2023 | 10/31/2023 | 11/07/2023 | 0.034 | — | Monthly |
2023 | 09/28/2023 | 09/29/2023 | 10/06/2023 | 0.035 | — | Monthly |
2023 | 08/30/2023 | 08/31/2023 | 09/08/2023 | 0.035 | — | Monthly |
2023 | 07/28/2023 | 07/31/2023 | 08/08/2023 | 0.035 | — | Monthly |
2023 | 06/29/2023 | 06/30/2023 | 07/10/2023 | 0.03481 | — | Monthly |
2023 | 05/30/2023 | 05/31/2023 | 06/07/2023 | 0.03481 | — | Monthly |
2023 | 04/27/2023 | 04/28/2023 | 05/05/2023 | 0.03481 | — | Monthly |
2023 | 03/30/2023 | 03/31/2023 | 04/10/2023 | 0.03549 | — | Monthly |
2023 | 02/27/2023 | 02/28/2023 | 03/07/2023 | 0.03549 | — | Monthly |
2023 | 01/30/2023 | 01/31/2023 | 02/10/2023 | 0.03549 | — | Monthly |
2022 | 12/29/2022 | 12/30/2022 | 01/12/2023 | 0.03632 | — | Monthly |
2022 | 11/29/2022 | 11/30/2022 | 12/12/2022 | 0.03632 | — | Monthly |
2022 | 10/28/2022 | 10/31/2022 | 11/10/2022 | 0.03632 | — | Monthly |
2022 | 09/28/2022 | 09/29/2022 | 10/13/2022 | 0.03632 | — | Monthly |
2022 | 08/30/2022 | 08/31/2022 | 09/13/2022 | 0.03632 | — | Monthly |
2022 | 07/28/2022 | 07/29/2022 | 08/11/2022 | 0.03482 | — | Monthly |
2022 | 06/29/2022 | 06/30/2022 | 07/13/2022 | 0.03566 | — | Monthly |
2022 | 05/30/2022 | 05/31/2022 | 06/10/2022 | 0.03566 | — | Monthly |
2022 | 04/28/2022 | 04/29/2022 | 05/11/2022 | 0.03566 | — | Monthly |
2022 | 03/30/2022 | 03/31/2022 | 04/12/2022 | 0.03741 | — | Monthly |
2022 | 02/25/2022 | 02/28/2022 | 03/10/2022 | 0.03741 | — | Monthly |
2022 | 01/28/2022 | 01/31/2022 | 02/10/2022 | 0.03741 | — | Monthly |
2021 | 12/30/2021 | 12/31/2021 | 01/13/2022 | 0.03197 | — | Monthly |
2021 | 11/29/2021 | 11/30/2021 | 12/10/2021 | 0.03197 | — | Monthly |
2021 | 10/28/2021 | 10/29/2021 | 11/10/2021 | 0.03197 | — | Monthly |
2021 | 09/28/2021 | 09/29/2021 | 10/13/2021 | 0.03188 | — | Monthly |
2021 | 08/30/2021 | 08/31/2021 | 09/13/2021 | 0.03188 | — | Monthly |
2021 | 07/29/2021 | 07/30/2021 | 08/12/2021 | 0.03188 | — | Monthly |
2021 | 06/29/2021 | 06/30/2021 | 07/13/2021 | 0.03232 | — | Monthly |
2021 | 05/28/2021 | 05/31/2021 | 06/10/2021 | 0.0323 | — | Monthly |
2021 | 04/29/2021 | 04/30/2021 | 05/12/2021 | 0.0323 | — | Monthly |
2021 | 03/30/2021 | 03/31/2021 | 04/13/2021 | 0.0305 | — | Monthly |
Sector Allocation
As at March 31, 2024Financial Services | 40.16% |
Energy | 22.51% |
Fixed Income | 16.74% |
Utilities | 9.55% |
Telecommunications | 7.69% |
Industrial Goods | 1.26% |
Real Estate | 1.10% |
Cash and Cash Equivalent | 0.97% |
Technology | 0.03% |
Consumer Services | 0.00% |
Preferred Share Ratings
As at March 28, 2024Cash | 3.61% |
P2 | 38.69% |
P3 | 41.83% |
P4 or lower & N.R. | 1.81% |
Other | 14.07% |
Preferred Share Category
As at March 28, 2024Hybrid | 12.92% |
Fixed-Floating | 85.43% |
Floating Rate | 1.49% |
Perpetual | 1.89% |
Top 10 Holdings
As at March 31, 2024Security Name | Weight |
---|---|
Royal Bank of Canada - Pfd Sr BD | 2.83% |
Toronto-Dominion Bank - Pfd Cl A Sr 1 | 2.59% |
Canadian Imperial Bank Commerce - Pfd Cl A Sr 43 | 2.36% |
Bank of Montreal - Pfd Cl B Sr 29 | 2.31% |
Pembina Pipeline Corp - Pfd Cl A Sr 19 | 2.28% |
Royal Bank of Canada - Pfd Sr BF | 2.12% |
Toronto-Dominion Bank - Pfd Sr 7 | 2.06% |
Royal Bank of Canada 4.20% PERP | 1.88% |
Enbridge Inc - Pfd Sr 11 | 1.86% |
Enbridge Inc - Pfd Cl A Sr 3 | 1.78% |
Education
Regulatory and Legal
Financial Reports
Investment Objective
HYBR seeks to provide Unitholders with a high level of income by investing in a portfolio of debt and other debt-like securities, including but not limited to hybrid corporate debt (“Hybrids”), Alternative Tier 1 Capital (“AT1”) (such as LRCNs), and income generating equities, including but not limited to preferred securities (fixed-rate perpetual, fixed floating rate, retractable and floating rate), of Canadian and U.S. companies. HYBR may hedge some or all of its non-Canadian dollar currency exposure at the discretion of its Sub-Advisor.
As of March 10, 2021, the ETF name and ticker were changed. The ETF was previously named Horizons Active Floating Rate Preferred Share ETF (HFP). Subsequent to shareholder approval, the Investment Objective and Strategy of the ETF was also changed as of March 4, 2021.
Fund Details
As at April 24, 2024
As at April 24, 2024
As at March 28, 2024
The NAV chart above only shows the historical daily net asset value per unit (NAV) of the ETF, and identifies the various distributions made by the ETF, if any. The distributions are not treated as reinvested, and it does not take into account sales, redemption, distribution or optional charges or income taxes payable by any security holder. The NAV values do contemplate management fees and other fund expenses. The chart is not a performance chart and is not indicative of future NAV values which will vary.
The Growth of 10K chart above is based on the historical daily net asset value per unit (NAV) of the ETF, and represents the value of an initial investment into the ETF of $10,000 since its inception, on a total return basis. Distributions, if any, are treated as reinvested, and it does not take into account sales, redemption, distribution or optional charges or income taxes payable by any security holder. The NAV values do contemplate management fees and other fund expenses where paid by the fund. The chart is not a performance chart and is not indicative of future value which will vary.
Annualized Performance (%) *
1mo | 3mo | 6mo | YTD | 1 yr | 3 yr | 5 yr | 10 yr | SIR** | |
---|---|---|---|---|---|---|---|---|---|
Horizons Active Hybrid Bond and Preferred Share ETF | 4.10 | 12.44 | 20.48 | 12.44 | 19.63 | 4.02 | 6.44 | 3.14 | 3.24 |
**Fund performance since inception on October 01, 2013, as at March 31, 2024
Calendar Year Performance (%)
2016 | 2017 | 2018 | 2019 | 2020 | 2021 | 2022 | 2023 | |
---|---|---|---|---|---|---|---|---|
Horizons Active Hybrid Bond and Preferred Share ETF | 8.38 | 16.79 | -10.75 | 0.94 | 5.87 | 27.12 | -17.95 | 8.18 |
Distributions
Year | Ex-Dividend Date | Record Date | Payment Date | Payment Amount | Reinvested Non-Cash Distributions | Distribution Period |
---|---|---|---|---|---|---|
2024 | 03/27/2024 | 03/28/2024 | 04/05/2024 | 0.034 | Monthly | |
2024 | 02/28/2024 | 02/29/2024 | 03/07/2024 | 0.034 | Monthly | |
2024 | 01/30/2024 | 01/31/2024 | 02/07/2024 | 0.034 | Monthly | |
2023 | 12/28/2023 | 12/29/2023 | 01/08/2024 | 0.034 | Monthly | |
2023 | 11/29/2023 | 11/30/2023 | 12/07/2023 | 0.034 | Monthly | |
2023 | 10/30/2023 | 10/31/2023 | 11/07/2023 | 0.034 | Monthly | |
2023 | 09/28/2023 | 09/29/2023 | 10/06/2023 | 0.035 | Monthly | |
2023 | 08/30/2023 | 08/31/2023 | 09/08/2023 | 0.035 | Monthly | |
2023 | 07/28/2023 | 07/31/2023 | 08/08/2023 | 0.035 | Monthly | |
2023 | 06/29/2023 | 06/30/2023 | 07/10/2023 | 0.03481 | Monthly | |
2023 | 05/30/2023 | 05/31/2023 | 06/07/2023 | 0.03481 | Monthly | |
2023 | 04/27/2023 | 04/28/2023 | 05/05/2023 | 0.03481 | Monthly | |
2023 | 03/30/2023 | 03/31/2023 | 04/10/2023 | 0.03549 | Monthly | |
2023 | 02/27/2023 | 02/28/2023 | 03/07/2023 | 0.03549 | Monthly | |
2023 | 01/30/2023 | 01/31/2023 | 02/10/2023 | 0.03549 | Monthly | |
2022 | 12/29/2022 | 12/30/2022 | 01/12/2023 | 0.03632 | Monthly | |
2022 | 11/29/2022 | 11/30/2022 | 12/12/2022 | 0.03632 | Monthly | |
2022 | 10/28/2022 | 10/31/2022 | 11/10/2022 | 0.03632 | Monthly | |
2022 | 09/28/2022 | 09/29/2022 | 10/13/2022 | 0.03632 | Monthly | |
2022 | 08/30/2022 | 08/31/2022 | 09/13/2022 | 0.03632 | Monthly | |
2022 | 07/28/2022 | 07/29/2022 | 08/11/2022 | 0.03482 | Monthly | |
2022 | 06/29/2022 | 06/30/2022 | 07/13/2022 | 0.03566 | Monthly | |
2022 | 05/30/2022 | 05/31/2022 | 06/10/2022 | 0.03566 | Monthly | |
2022 | 04/28/2022 | 04/29/2022 | 05/11/2022 | 0.03566 | Monthly | |
2022 | 03/30/2022 | 03/31/2022 | 04/12/2022 | 0.03741 | Monthly | |
2022 | 02/25/2022 | 02/28/2022 | 03/10/2022 | 0.03741 | Monthly | |
2022 | 01/28/2022 | 01/31/2022 | 02/10/2022 | 0.03741 | Monthly | |
2021 | 12/30/2021 | 12/31/2021 | 01/13/2022 | 0.03197 | Monthly | |
2021 | 11/29/2021 | 11/30/2021 | 12/10/2021 | 0.03197 | Monthly | |
2021 | 10/28/2021 | 10/29/2021 | 11/10/2021 | 0.03197 | Monthly | |
2021 | 09/28/2021 | 09/29/2021 | 10/13/2021 | 0.03188 | Monthly | |
2021 | 08/30/2021 | 08/31/2021 | 09/13/2021 | 0.03188 | Monthly | |
2021 | 07/29/2021 | 07/30/2021 | 08/12/2021 | 0.03188 | Monthly | |
2021 | 06/29/2021 | 06/30/2021 | 07/13/2021 | 0.03232 | Monthly | |
2021 | 05/28/2021 | 05/31/2021 | 06/10/2021 | 0.0323 | Monthly | |
2021 | 04/29/2021 | 04/30/2021 | 05/12/2021 | 0.0323 | Monthly | |
2021 | 03/30/2021 | 03/31/2021 | 04/13/2021 | 0.0305 | Monthly |
Sector Allocation
As at March 31, 2024Financial Services | 40.16% |
Energy | 22.51% |
Fixed Income | 16.74% |
Utilities | 9.55% |
Telecommunications | 7.69% |
Industrial Goods | 1.26% |
Real Estate | 1.10% |
Cash and Cash Equivalent | 0.97% |
Technology | 0.03% |
Consumer Services | 0.00% |
Preferred Share Ratings
As at March 28, 2024Cash | 3.61% |
P2 | 38.69% |
P3 | 41.83% |
P4 or lower & N.R. | 1.81% |
Other | 14.07% |
Preferred Share Category
As at March 28, 2024Hybrid | 12.92% |
Fixed-Floating | 85.43% |
Floating Rate | 1.49% |
Perpetual | 1.89% |
Top 10 Holdings
As at March 31, 2024Security Name | Weight |
---|---|
Royal Bank of Canada - Pfd Sr BD | 2.83% |
Toronto-Dominion Bank - Pfd Cl A Sr 1 | 2.59% |
Canadian Imperial Bank Commerce - Pfd Cl A Sr 43 | 2.36% |
Bank of Montreal - Pfd Cl B Sr 29 | 2.31% |
Pembina Pipeline Corp - Pfd Cl A Sr 19 | 2.28% |
Royal Bank of Canada - Pfd Sr BF | 2.12% |
Toronto-Dominion Bank - Pfd Sr 7 | 2.06% |
Royal Bank of Canada 4.20% PERP | 1.88% |
Enbridge Inc - Pfd Sr 11 | 1.86% |
Enbridge Inc - Pfd Cl A Sr 3 | 1.78% |