HK

Horizon Kinetics Portfolio holdings

AUM $2.96B
1-Year Return 5.85%
This Quarter Return
-20.01%
1 Year Return
+5.85%
3 Year Return
+65.96%
5 Year Return
+77.97%
10 Year Return
AUM
$2.96B
AUM Growth
-$1.1B
Cap. Flow
-$168M
Cap. Flow %
-5.68%
Top 10 Hldgs %
60.23%
Holding
516
New
13
Increased
126
Reduced
255
Closed
43

Sector Composition

1 Energy 39.42%
2 Financials 11.35%
3 Communication Services 8.6%
4 Real Estate 6.9%
5 Materials 5.45%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
CABO icon
201
Cable One
CABO
$922M
$690K 0.02%
842
-988
-54% -$810K
RQI icon
202
Cohen & Steers Quality Income Realty Fund
RQI
$1.7B
$689K 0.02%
66,542
-1,500
-2% -$15.5K
WBT
203
DELISTED
Welbilt, Inc.
WBT
$669K 0.02%
60,173
+8,095
+16% +$90K
SAN icon
204
Banco Santander
SAN
$141B
$663K 0.02%
154,344
+1,617
+1% +$6.95K
IONS icon
205
Ionis Pharmaceuticals
IONS
$9.76B
$660K 0.02%
12,200
IQI icon
206
Invesco Quality Municipal Securities
IQI
$507M
$653K 0.02%
58,191
NAN icon
207
Nuveen New York Quality Municipal Income Fund
NAN
$342M
$648K 0.02%
52,891
KMF
208
DELISTED
Kayne Anderson NextGen Energy & Infrastructure, Inc.
KMF
$643K 0.02%
66,601
-23,965
-26% -$231K
CUB
209
DELISTED
Cubic Corporation
CUB
$636K 0.02%
11,827
-300
-2% -$16.1K
FBIN icon
210
Fortune Brands Innovations
FBIN
$7.3B
$629K 0.02%
19,378
-1,173
-6% -$38.1K
QSR icon
211
Restaurant Brands International
QSR
$20.7B
$629K 0.02%
12,025
-1,065
-8% -$55.7K
SLB icon
212
Schlumberger
SLB
$53.4B
$625K 0.02%
17,324
+5,240
+43% +$189K
GLRE icon
213
Greenlight Captial
GLRE
$436M
$624K 0.02%
72,451
-30,607
-30% -$264K
IFF icon
214
International Flavors & Fragrances
IFF
$16.9B
$624K 0.02%
4,650
RVT icon
215
Royce Value Trust
RVT
$1.96B
$624K 0.02%
52,893
-43,087
-45% -$508K
BELFB
216
Bel Fuse Class B
BELFB
$1.82B
$621K 0.02%
33,718
ALKS icon
217
Alkermes
ALKS
$4.94B
$620K 0.02%
21,000
SPGI icon
218
S&P Global
SPGI
$164B
$608K 0.02%
3,576
+300
+9% +$51K
NSL
219
DELISTED
NUVEEN SENIOR INCM FD
NSL
$605K 0.02%
110,034
BR icon
220
Broadridge
BR
$29.4B
$597K 0.02%
6,207
PARR icon
221
Par Pacific Holdings
PARR
$1.72B
$597K 0.02%
42,123
-15,332
-27% -$217K
BTZ icon
222
BlackRock Credit Allocation Income Trust
BTZ
$1.03B
$591K 0.02%
52,822
PCM
223
PCM Fund
PCM
$78.1M
$591K 0.02%
58,228
-7,517
-11% -$76.3K
DSE
224
DELISTED
Duff & Phelps Select MLP and Midstream Energy Fund Inc.
DSE
$584K 0.02%
14,872
-4,367
-23% -$171K
GILD icon
225
Gilead Sciences
GILD
$143B
$563K 0.02%
9,000