The Horizon Kinetics Texas ETF (ticker: TEXX) is an actively managed exchange-traded fund that seeks long-term growth of capital. The Fund focuses on companies that are expected to benefit, directly or indirectly, from the expanding opportunities within the State of Texas. These developments are still in their initial stages, and TEXX intends to be at the forefront of this trend.

Data as of: 01/22/2026
  • Ticker

    TEXX

  • CUSIP

    53656H728

  • ISIN

    US53656H7281

  • Fund Type

    Active Equity ETF

  • Exchange

    Nasdaq

  • Inception Date

    1/21/2026

  • Expense Ratio

    0.85%

  • Typical Number of Holdings

    20 to 60

  • Net Assets

    $1,276,591

Data as of: 01/23/2026
Daily Holdings
  • % Net Assets

    9.02%

  • Name

    Cash & Other

  • Ticker

    Cash&Other

  • CUSIP

    Cash&Other

  • Shares Held

    115,191

  • Market Value

    $115,191

  • % Net Assets

    6.18%

  • Name

    Texas Pacific Land Corp

  • Ticker

    TPL

  • CUSIP

    88262P102

  • Shares Held

    228

  • Market Value

    $78,838

  • % Net Assets

    6.13%

  • Name

    Landbridge Co LLC

  • Ticker

    LB

  • CUSIP

    514952100

  • Shares Held

    1,310

  • Market Value

    $78,273

  • % Net Assets

    5.88%

  • Name

    Permian Basin Royalty Trust

  • Ticker

    PBT

  • CUSIP

    714236106

  • Shares Held

    3,996

  • Market Value

    $75,005

  • % Net Assets

    4.16%

  • Name

    SLB Ltd

  • Ticker

    SLB

  • CUSIP

    806857108

  • Shares Held

    1,076

  • Market Value

    $53,068

  • % Net Assets

    4.00%

  • Name

    Diamondback Energy Inc

  • Ticker

    FANG

  • CUSIP

    25278X109

  • Shares Held

    336

  • Market Value

    $51,022

  • % Net Assets

    3.12%

  • Name

    Fluor Corp

  • Ticker

    FLR

  • CUSIP

    343412102

  • Shares Held

    872

  • Market Value

    $39,772

  • % Net Assets

    3.12%

  • Name

    Kinder Morgan Inc

  • Ticker

    KMI

  • CUSIP

    49456B101

  • Shares Held

    1,340

  • Market Value

    $39,785

  • % Net Assets

    3.11%

  • Name

    WaterBridge Infrastructure LLC

  • Ticker

    WBI

  • CUSIP

    940923105

  • Shares Held

    1,712

  • Market Value

    $39,684

  • % Net Assets

    3.05%

  • Name

    Energy Transfer LP

  • Ticker

    ET

  • CUSIP

    29273V100

  • Shares Held

    2,150

  • Market Value

    $38,937

  • % Net Assets

    3.01%

  • Name

    Commercial Metals Co

  • Ticker

    CMC

  • CUSIP

    201723103

  • Shares Held

    496

  • Market Value

    $38,376

  • % Net Assets

    2.99%

  • Name

    Occidental Petroleum Corp

  • Ticker

    OXY

  • CUSIP

    674599105

  • Shares Held

    886

  • Market Value

    $38,231

  • % Net Assets

    2.99%

  • Name

    Vistra Corp

  • Ticker

    VST

  • CUSIP

    92840M102

  • Shares Held

    238

  • Market Value

    $38,166

  • % Net Assets

    2.99%

  • Name

    Exxon Mobil Corp

  • Ticker

    XOM

  • CUSIP

    30231G102

  • Shares Held

    286

  • Market Value

    $38,221

  • % Net Assets

    2.98%

  • Name

    DR Horton Inc

  • Ticker

    DHI

  • CUSIP

    23331A109

  • Shares Held

    244

  • Market Value

    $38,001

  • % Net Assets

    2.97%

  • Name

    ConocoPhillips

  • Ticker

    COP

  • CUSIP

    20825C104

  • Shares Held

    392

  • Market Value

    $37,977

  • % Net Assets

    2.97%

  • Name

    Enterprise Products Partners LP

  • Ticker

    EPD

  • CUSIP

    293792107

  • Shares Held

    1,144

  • Market Value

    $37,969

  • % Net Assets

    2.96%

  • Name

    NRG Energy Inc

  • Ticker

    NRG

  • CUSIP

    629377508

  • Shares Held

    250

  • Market Value

    $37,773

  • % Net Assets

    2.95%

  • Name

    Chevron Corp

  • Ticker

    CVX

  • CUSIP

    166764100

  • Shares Held

    226

  • Market Value

    $37,665

  • % Net Assets

    2.95%

  • Name

    Kimberly-Clark Corp

  • Ticker

    KMB

  • CUSIP

    494368103

  • Shares Held

    368

  • Market Value

    $37,606

  • % Net Assets

    2.95%

  • Name

    Plains All American Pipeline LP

  • Ticker

    PAA

  • CUSIP

    726503105

  • Shares Held

    1,966

  • Market Value

    $37,629

  • % Net Assets

    2.94%

  • Name

    Quanta Services Inc

  • Ticker

    PWR

  • CUSIP

    74762E102

  • Shares Held

    80

  • Market Value

    $37,502

  • % Net Assets

    2.94%

  • Name

    Sabine Royalty Trust

  • Ticker

    SBR

  • CUSIP

    785688102

  • Shares Held

    550

  • Market Value

    $37,587

  • % Net Assets

    2.94%

  • Name

    TPG Inc

  • Ticker

    TPG

  • CUSIP

    872657101

  • Shares Held

    596

  • Market Value

    $37,560

  • % Net Assets

    2.93%

  • Name

    EOG Resources Inc

  • Ticker

    EOG

  • CUSIP

    26875P101

  • Shares Held

    352

  • Market Value

    $37,425

  • % Net Assets

    2.90%

  • Name

    CenterPoint Energy Inc

  • Ticker

    CNP

  • CUSIP

    15189T107

  • Shares Held

    954

  • Market Value

    $37,082

  • % Net Assets

    2.89%

  • Name

    LGI Homes Inc

  • Ticker

    LGIH

  • CUSIP

    50187T106

  • Shares Held

    698

  • Market Value

    $36,945

  • % Net Assets

    1.98%

  • Name

    Green Brick Partners Inc

  • Ticker

    GRBK

  • CUSIP

    392709101

  • Shares Held

    352

  • Market Value

    $25,214

Data as of: 01/23/2026
Daily Holdings
  • % Net Assets

    Name

    Ticker

    CUSIP

    Shares Held

    Market Value

  • 9.02%

    Cash & Other

    Cash&Other

    Cash&Other

    115,191

    $115,191

  • 6.18%

    Texas Pacific Land Corp

    TPL

    88262P102

    228

    $78,838

  • 6.13%

    Landbridge Co LLC

    LB

    514952100

    1,310

    $78,273

  • 5.88%

    Permian Basin Royalty Trust

    PBT

    714236106

    3,996

    $75,005

  • 4.16%

    SLB Ltd

    SLB

    806857108

    1,076

    $53,068

  • 4.00%

    Diamondback Energy Inc

    FANG

    25278X109

    336

    $51,022

  • 3.12%

    Fluor Corp

    FLR

    343412102

    872

    $39,772

  • 3.12%

    Kinder Morgan Inc

    KMI

    49456B101

    1,340

    $39,785

  • 3.11%

    WaterBridge Infrastructure LLC

    WBI

    940923105

    1,712

    $39,684

  • 3.05%

    Energy Transfer LP

    ET

    29273V100

    2,150

    $38,937

  • 3.01%

    Commercial Metals Co

    CMC

    201723103

    496

    $38,376

  • 2.99%

    Occidental Petroleum Corp

    OXY

    674599105

    886

    $38,231

  • 2.99%

    Vistra Corp

    VST

    92840M102

    238

    $38,166

  • 2.99%

    Exxon Mobil Corp

    XOM

    30231G102

    286

    $38,221

  • 2.98%

    DR Horton Inc

    DHI

    23331A109

    244

    $38,001

  • 2.97%

    ConocoPhillips

    COP

    20825C104

    392

    $37,977

  • 2.97%

    Enterprise Products Partners LP

    EPD

    293792107

    1,144

    $37,969

  • 2.96%

    NRG Energy Inc

    NRG

    629377508

    250

    $37,773

  • 2.95%

    Chevron Corp

    CVX

    166764100

    226

    $37,665

  • 2.95%

    Kimberly-Clark Corp

    KMB

    494368103

    368

    $37,606

  • 2.95%

    Plains All American Pipeline LP

    PAA

    726503105

    1,966

    $37,629

  • 2.94%

    Quanta Services Inc

    PWR

    74762E102

    80

    $37,502

  • 2.94%

    Sabine Royalty Trust

    SBR

    785688102

    550

    $37,587

  • 2.94%

    TPG Inc

    TPG

    872657101

    596

    $37,560

  • 2.93%

    EOG Resources Inc

    EOG

    26875P101

    352

    $37,425

  • 2.90%

    CenterPoint Energy Inc

    CNP

    15189T107

    954

    $37,082

  • 2.89%

    LGI Homes Inc

    LGIH

    50187T106

    698

    $36,945

  • 1.98%

    Green Brick Partners Inc

    GRBK

    392709101

    352

    $25,214

Data as of: 01/22/2026
  • Net Asset Value

    $25.53

  • NAV Change

    $0.03

  • Median 30 Day Spread

    0.27%

  • Market Price

    $25.53

  • Market Price Change

    $0.03

  • Premium/Discount

    $0 | -0.01%

Historical Data

Premium/Discount Range (%)

Date

  • Greatest Premium

    N/A

  • Greatest Discount

    -0.01% 01/22/2026

  • Number of Days At

  • Premium:

    0

  • NAV:

    1

  • Discount:

    1

  • Days Within Percent of NAV

  • Percent of Days +/- 0.5% of NAV:

    100%

  • Number of Days +/- 0.5% of NAV:

    2

Resources

Press

  • Horizon Kinetics Launches an Actively Managed Texas Exchange Traded Fund (TEXX)
    View PDF
  • Horizon Kinetics Launches an Actively Managed Texas Exchange Traded Fund (TEXX)
    View PDF
IMPORTANT RISK DISCLOSURES

Please consider carefully a fund’s investment objectives, risks, charges and expenses. For this and other important information, obtain a statutory and summary prospectus by contacting 646-495-7333. Read it closely before investing.

A registration statement relating to these securities has been filed with the Securities and Exchange Commission but has not yet become effective. These securities may not be sold, nor may an offer to buy be accepted prior to the time the registration statement becomes effective. This communication shall not constitute an offer to sell or the solicitation of an offer to buy, nor shall there be any sale of these securities in any state in which such offer, solicitation, or sale would be unlawful prior to registration or qualification under the securities laws of any such state.

The Horizon Kinetics Texas ETF (Symbol: TEXX) is an exchange traded fund managed by Horizon Kinetics Asset Management LLC (HKAM). HKAM is an investment adviser registered with the U.S. Securities and Exchange Commission. You may obtain additional information about HKAM at our website at www.horizonkinetics.com.

Investing involves risk, including the possible loss of principal. Shares of any ETF are bought and sold at market price (not NAV), may trade at a discount or premium to NAV and are not individually redeemed from the Fund. Brokerage commissions will reduce returns. The Fund’s investments in securities linked to real assets involve significant risks, including financial, operating, and competitive risks. Investments in securities linked to real assets expose the Fund to potentially adverse macroeconomic conditions, such as a rise in interest rates or a downturn in the economy in which the asset is located.

The Fund is non‐diversified, meaning it may concentrate its assets in fewer individual holdings than a diversified fund. Therefore, the Fund is more exposed to individual stock volatility than a diversified fund.

Fund holdings and sector allocations are subject to change at any time and should not be considered recommendations to buy or sell any security.

Diversification does not assure a profit or protect against a loss in a declining market.

Risk Considerations: Investing in securities entails risk, which may be subject but not limited to the following—when investing in securities, the market may not necessarily have the same value assessment as the manager, and therefore, the performance of the securities may decline. Under no circumstance does the information contained herein represent a recommendation to buy, hold or sell securities. All material presented is compiled from sources believed to be reliable, but no guarantee is given as to its accuracy or completeness. The information presented is subject to further clarification during presentations, and may not be duplicated or communicated without the prior consent of Horizon Kinetics LLC.

Concentration Risk. The Fund will have concentrated (i.e., invest more than 25% of its net assets) investment exposure to companies in the Oil, Gas & Consumable Fuels Industry and the Energy Equipment & Services Industry. As a result, the Fund is more vulnerable to adverse market, economic, regulatory, political or other developments affecting those industries or groups of related industries than a fund that invests its assets in a more diversified manner.

Energy Infrastructure Companies Risk. Energy infrastructure companies, including MLPs and utility companies, are subject to risks specific to the energy and energy-related industries.

Texas Companies Risk. Because the Fund invests in Texas companies, it is subject to risks associated with the state’s economy, politics, and environment. Texas has significant exposure to the energy, consumer discretionary, and technology sectors, and downturns in these areas may negatively impact the Fund.

HKAM does not provide tax or legal advice, all investors are encouraged to consult their tax and legal advisors regarding an investment in the Fund. You may obtain additional information about HKAM at our website at www.horizonkinetics.com.

No part of this material may be copied, photocopied, or duplicated in any form, by any means, or redistributed without the express written consent of HKAM.

The Horizon Kinetics Texas ETF is distributed by Foreside Fund Services, LLC (“Foreside”); Foreside is not affiliated with TEXX or Horizon Kinetics LLC or its subsidiaries.