
Horizon International Equity ETF (FRGN) ETF Ticker
Market factors today
Unlock the full FRGN picture
About Horizon International Equity ETF
FRGN seeks capital appreciation by investing in non-US companies of any market cap across developed and emerging markets while employing tactical options strategies. Selection is based on economic, quantitative, and fundamental analysis, with targeted exposures to factors such as growth, value, momentum, quality, size, and volatility. The strategy aims to maximize expected return for a given level of risk. The fund employs FLEX options, including put spreads on broad-based indices or ETFs, to generate income while limiting losses through protective long puts. SMOX may also utilize single-stock options, covered calls, cash-secured puts, spreads, straddles, collars, and naked options. While the options strategy may outperform in stable or rising markets due to net premium gains, it may lag in downturns with losses capped below the purchased puts strike price. Options transactions are not limited in number or size, and the fund may engage in frequent trading.
FRGN etf facts
| Ticker symbol | FRGN |
| Exchange | New York Stock Exchange Arca |
| Sector | Financial Services |
| Industry | Asset Management - Global |
| Market cap | $112.2M |
| CEO | Jenny Johnson |
| Headquarters | Charlotte, NC, US |
| IPO date | 2025-12-04 |
| Website | www.horizonmutualfunds.com/ie-fund |
What you can see for FRGN on Tickr
Live FRGN price chart with overlays, holdings, sector and country allocation, financial statements and consensus estimates, analyst ratings, catalysts, news with AI scoring, and an AI chat that has read the FRGN report.
Rankings
FAQ
What is the ticker symbol for Horizon International Equity ETF?
The ticker symbol for Horizon International Equity ETF is FRGN, listed on the New York Stock Exchange Arca.
What is FRGN?
FRGN seeks capital appreciation by investing in non-US companies of any market cap across developed and emerging markets while employing tactical options strategies. Selection is based on economic, quantitative, and fundamental analysis, with targeted exposures to factors such as growth, value, momentum, quality, size, and volatility. The strategy aims to maximize expected return for a given…