13F-HR 1 horizonthirteenfdeceight.txt HORIZONTHIRTEENFDECEIGHT UNITED STATES SECURITIES AND EXCHANGE COMMISSION Washington, D.C. 20549 Form 13F Form 13F COVER PAGE Report for the Quarter ended: December 31, 2008 Not an amendment. Institutional Investment Manager Filing this Report: Name: Horizon Asset Management, Inc. Address: 470 Park Avenue South 4th Floor South New York, N.Y. 10016 13F File Number: 28-6986 The institutional investment manager filing this report; and person by whom it is signed hereby represent that the person signing the report is authorized to submit it, that all information contained herein is true, correct and complete, and that it is understood that all required items, statements, schedules, lists, and tables, are considered integral parts of this form. Person signing this Report on Behalf of Reporting Manager: Name: Andrew M. Fishman Title: Director of Compliance and General Counsel Phone: 646-495-7347 Signature, Place, and Date of Signing: Andrew M. Fishman New York, New York February 10, 2009 Report Type: 13F HOLDINGS REPORT List of Other Managers Reporting for this Manager: none I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES EXCHANGE ACT OF 1934. Report Summary: Number of Other Included Managers: none Form 13F Information Table Entry Total: 327 Form Information Table Value Total: $4,289,306,900 VALUE SHRS PUT INVESTOTHER VOTING NAME OF ISSUER CLASS CUSIP (x1000) PRINAMT CALL DISC MGRS AUTH ROYAL CARIB CRUISES Com V7780T103 828 60218 Sole Sole ABBOTT LABS Com 002824100 2486 46578 Sole Sole ALEXANDERS INC Com 014752109 586 2299 Sole Sole ALLEGHANY CORP Com 017175100 2142 7596 Sole Sole ALLEGHENY ENERGY Com 017361106 184622 5455470 Sole Sole ALTRIA GROUP INC Com 02209S103 396 26280 Sole Sole AMERICAN CAP LTD Com 02503Y103 111 34273 Sole Sole AMER INTL GROUP Com 026874107 42 26833 Sole Sole AMGEN INC Com 031162100 164 2840 Sole Sole AMGEN INC Com 031162100 6 18Put Sole Sole AMGEN INC Com 031162100 22 18Put Sole Sole ANADARKO PETE Com 032511107 205 5316 Sole Sole ANADARKO PETE Com 032511107 9 30Put Sole Sole ANGLO AMERICAN ADR 03485P102 90649 7805168 Sole Sole APOLLO INVT Com 03761U106 438 47037 Sole Sole APPLIED MATERIALS Com 038222105 350 34600 Sole Sole APPLIED MATERIALS Com 038222105 29 60Put Sole Sole BP P L C ADR 055622104 2831 60574 Sole Sole BANK OF AMERICA Com 060505104 446 31685 Sole Sole BANK OF AMERICA Com 060505104 47 18Put Sole Sole BANK OF AMERICA Com 060505104 67 30Put Sole Sole BANK OF AMERICA Com 060505104 83 30Put Sole Sole BANK NY MELLON Com 064058100 9317 330109 Sole Sole BAXTER INTL INC Com 071813109 295 5509 Sole Sole BECTON DICKINSON Com 075887109 226 3300 Sole Sole BERKSHIRE HATHAWAY A Com 084670108 5410 56 Sole Sole BERKSHIRE HATHAWAY B Com 084670207 203893 63474 Sole Sole BHP BILLITON LTD ADR 088606108 19160 446613 Sole Sole BLACKROCK GLBL FLTG RT ETF 091941104 122 15400 Sole Sole BLACKROCK INC Com 09247X101 690 5146 Sole Sole BLACKSTONE GROUP Com 09253U108 9940 1522155 Sole Sole BLACKSTONE GROUP Com 09253U108 3 40Call Sole Sole BLACKROCK PFD&CRP ETF 09255J101 285 47000 Sole Sole BLACKROCK FLTG RT ETF 09255X100 124 14100 Sole Sole BOEING CO Com 097023105 507 11880 Sole Sole BOSTON SCIENTIFIC Com 101137107 189 24364 Sole Sole BRISTOL MYERS Com 110122108 738 31724 Sole Sole BROADRIDG FIN Com 11133T103 1113 88747 Sole Sole BROADRIDG FIN Com 11133T103 2 100Call Sole Sole BROOKIFIELD ASSET MGT Com 112585104 18445512081330 Sole Sole BROOKIFIELD ASSET MGT Com 112585104 1 20Call Sole Sole BUCKEYE GP HLDGS LP 118167105 243 18975 Sole Sole BURLINGTON NTRN Com 12189T104 151052 1995169 Sole Sole BURLINGTON NTRN Com 12189T104 2 2Put Sole Sole CME GROUP Com 12572Q105 47154 226698 Sole Sole CME GROUP Com 12572Q105 12 10Call Sole Sole CME GROUP Com 12572Q105 183 6Put Sole Sole CMS ENERGY Com 125896100 9959 985104 Sole Sole CMS ENERGY Com 125896100 13 24Put Sole Sole CNOOC LTD ADR ADR 126132109 181326 1903911 Sole Sole CABLEVISION NY Com 12686C109 1450 86088 Sole Sole CACI INC Com 127190304 9926 220160 Sole Sole CACI INC Com 127190304 2 10Put Sole Sole CADBURY ADR ADR 12721E102 916 25767 Sole Sole CALPINE CORP Com 131347304 34186 4695904 Sole Sole CAMECO CORP Com 13321L108 534 30955 Sole Sole CAMECO CORP Com 13321L108 1 80Call Sole Sole CAMECO CORP Com 13321L108 13 10Put Sole Sole CANADIAN NAT RES Com 136385101 11615 291220 Sole Sole CANADIAN NAT RES Com 136385101 2 8Put Sole Sole CARBO CERAMICS INC Com 140781105 217 6100 Sole Sole CARNIVAL CORP Com 143658300 108473 4460223 Sole Sole CATERPILLAR Com 149123101 255 5700 Sole Sole CATERPILLAR Com 149123101 30 18Put Sole Sole CATHAY GENL Com 149150104 4785 201540 Sole Sole CENTER FINANCIAL Com 15146E102 1682 272837 Sole Sole CENTERPOINT ENERGY Com 15189T107 30313 2405742 Sole Sole CHEVRON CORP Com 166764100 1466 19813 Sole Sole CHINA ESTN AIRLINES ADR 16937R104 812 53077 Sole Sole CHINA LIFE INS ADR 16939P106 32437 699074 Sole Sole CHINA LIFE INS Com 16939P106 1 10Put Sole Sole CHINA SOUTHN AIRLS ADR 169409109 658 77451 Sole Sole CHINA MOBILE LTD ADR 16941M109 646 12700 Sole Sole CHINA UNICOM ADR ADR 16945R104 31274 2563478 Sole Sole CINCINNATI FINL CORP Com 172062101 285 9800 Sole Sole COHEN & STEERS Com 19247A100 4464 406210 Sole Sole COHEN & STEERS PR RLTY Com 19247V104 128 35984 Sole Sole COHEN & STEERS WW RLTY Com 19248J100 90 25700 Sole Sole COLGATE PALMOLIVE Com 194162103 262 3820 Sole Sole COMDISCO HLDG CO INC Com 200334100 901 360096 Sole Sole COMDISCO HLDG CO Right 200334118 802 9013026 Sole Sole CONOCOPHILLIPS Com 20825C104 413 7973 Sole Sole CUBIC CORP Com 229669106 546 20068 Sole Sole DANA HOLDING Com 235825205 50 67012 Sole Sole DEAN FOODS CO Com 242370104 364 20250 Sole Sole DEAN FOODS CO Com 242370104 19 60Call Sole Sole DEAN FOODS CO Com 242370104 24 20Put Sole Sole DELUXE CORP Com 248019101 722 48251 Sole Sole DEUTSCHE TELEKOM Com 251566105 315 20566 Sole Sole DIAMONDS TR SER I Com 252787106 203 2320 Sole Sole DISNEY WALT CO Com 254687106 73406 3235191 Sole Sole DISCOVER FIN SVC Com 254709108 286 30008 Sole Sole DOW CHEMICAL Com 260543103 165 10913 Sole Sole DREAMWORKS ANIMATION Com 26153C103 3335 132017 Sole Sole DYNEGY INC Com 26816Q101 11619 5809703 Sole Sole DYNEGY INC Com 26816Q101 2 400Call Sole Sole EAST WEST BANCORP Com 27579R104 3126 195891 Sole Sole EATON VANCE Com 278265103 1344 63972 Sole Sole EATON VANCE SR INC ETF 27826S103 49 14248 Sole Sole EATON VANCE FLTG RT ETF 27828Q105 177 22661 Sole Sole EBAY INC Com 278642103 141 10100 Sole Sole EL PASO CORP Com 28336L109 72736 9289374 Sole Sole EL PASO CORP Com 28336L109 3 20Call Sole Sole ELAN CORP PLC ADR ADR 284131208 66 11000 Sole Sole EMERSON ELEC CO Com 291011104 435 11872 Sole Sole ENCANA Com 292505104 154760 3329605 Sole Sole ENTERPRISE PRODS LP 293792107 574 27694 Sole Sole ENVIRONMENTAL ENERGY Com 29406Q101 0 30000 Sole Sole EQUIFAX INC Com 294429105 240 9054 Sole Sole EXXON MOBIL Com 30231G102 23389 292991 Sole Sole FTI CONSULTING Com 302941109 1711 38284 Sole Sole FAIRFAX FINANCIAL Com 303901102 2274 7256 Sole Sole FREDDIE MAC Com 313400301 2139 2940274 Sole Sole FANNIE MAE Com 313586109 3597 4733029 Sole Sole FANNIE MAE Com 313586109 5 75600Call Sole Sole FIDELITY NATL FINL INC Com 31620R105 1155 66302 Sole Sole FINACL TECH ADR 31769V206 60 30000 Sole Sole FIRST BK DEL Com 319307104 17 11350 Sole Sole FIRST INDUSTRIAL RLTY TR Com 32054K103 246 32561 Sole Sole FOREST CITY ENT CL A Com 345550107 6492 983846 Sole Sole FOREST LABORATORIES INC Com 345838106 306 12000 Sole Sole FRANKLIN RES INC Com 354613101 944 14802 Sole Sole GENCORP INC Com 368682100 565 153605 Sole Sole GENERAL DYNAMICS Com 369550108 221 3829 Sole Sole GENERAL ELEC Com 369604103 967 59687 Sole Sole GENERAL MTRS Pfd 370442717 218 68250 Sole Sole GENUINE PARTS Com 372460105 316 8340 Sole Sole GENWORTH FINL A Com 37247D106 114 40330 Sole Sole GLAXOSMITHKLINE PLC ADR 37733W105 8632 232204 Sole Sole GREAT PLAINS ENER Com 391164100 8156 422043 Sole Sole GREENHILL & CO Com 395259104 1590 22794 Sole Sole HABER INC Com 404450108 14 413600 Sole Sole HANMI FINL Com 410495105 721 350454 Sole Sole HARRIS CORP Com 413875105 764 20066 Sole Sole HARRY WINSTON Com 41587B100 215 46737 Sole Sole HEINZ H J CO Com 423074103 1127 29977 Sole Sole HONEYWELL INTL INC Com 438516106 466 14200 Sole Sole HUANENG POWER ADR 443304100 124266 4258604 Sole Sole ICICI BK LTD ADR 45104G104 33291 1729412 Sole Sole ICAHN ENTERPRISES LP 451100101 30225 1142739 Sole Sole IDEARC Com 451663108 33 393389 Sole Sole IMPERIAL OIL LTD Com 453038408 172165 5105731 Sole Sole INMET MINING CORP Com 457983104 471 29570 Sole Sole INTERCONTINENTAL EXCH Com 45865V100 32495 394589 Sole Sole INTL BUSINESS MACH Com 459200101 251 2977 Sole Sole ISHARES BARCLAYS TIPS ETF 464287176 20782 209408 Sole Sole ISHARES TR FTSE XINHUA ETF 464287184 1031 35432 Sole Sole ISHARES RUSS 1000 VAL ETF 464287598 4301 86853 Sole Sole ISHARES TR RUSS 2000 IDX ETF 464287655 3656 74239 Sole Sole ISHARES TR RUSS 3000 VAL ETF 464287663 4532 70116 Sole Sole JPMORGAN CHASE Com 46625H100 199 6320 Sole Sole JPMORGAN CHASE Com 46625H100 0 10Call Sole Sole JPMORGAN CHASE Com 46625H100 185 15Put Sole Sole JANUS CAP GROUP Com 47102X105 954 118745 Sole Sole JARDEN CORP Com 471109108 447 38913 Sole Sole JARDEN CORP Com 471109108 1 20Call Sole Sole JARDEN CORP Com 471109108 38 20Put Sole Sole JEFFERIES GROUP Com 472319102 6815 484736 Sole Sole JOHNSON & JOHNSON Com 478160104 3613 60383 Sole Sole KOHLS CORP Com 500255104 25 18Put Sole Sole KOREA ELEC PWR ADR 500631106 1203 103576 Sole Sole KRAFT FOODS A Com 50075N104 4600 171324 Sole Sole LICT CORP Com 50187G104 240 95 Sole Sole LABRANCHE & CO Com 505447102 16362 3417678 Sole Sole LAS VEGAS SANDS Com 517834107 23215 3914820 Sole Sole LAS VEGAS SANDS Com 517834107 0 52Call Sole Sole LEGG MASON Com 524901105 82079 3747039 Sole Sole LENDER PROC SVCS Com 52602E102 207 7038 Sole Sole LESCARDEN INC Com 526867106 8 379969 Sole Sole LEUCADIA NATL Com 527288104 152851 7726965 Sole Sole LEUCADIA NATL CORP Conv 527288AX2 5942 6045000 Sole Sole LIBERTY GLOBAL A Com 530555101 1204 75607 Sole Sole LIBERTY GLOBAL SER C Com 530555309 308 20272 Sole Sole LILLY ELI & CO Com 532457108 1386 34429 Sole Sole LOEWS CORP Com 540424108 4962 175651 Sole Sole LOEWS CORP Com 540424108 48 138Call Sole Sole LOWE'S COS Com 548661107 15 45Put Sole Sole LOWE'S COS Com 548661107 31 36Put Sole Sole M & T BANK Com 55261F104 11985 210064 Sole Sole MBIA INC Com 55262C100 13188 3240185 Sole Sole MGM MIRAGE Com 552953101 5325 395866 Sole Sole MGM MIRAGE Com 552953101 0 30Call Sole Sole MSCI CLASS A Com 55354G100 1743 98125 Sole Sole MACQUARIE INFRASTR Com 55608B105 320 268000 Sole Sole MARATHON OIL Com 565849106 1339 48934 Sole Sole MARKEL CORP Com 570535104 6944 23261 Sole Sole MARSH & MCLENNAN Com 571748102 1203 49577 Sole Sole MASTERCARD INC Com 57636Q104 51308 359218 Sole Sole MCDONALDS CORP Com 580135101 594 9558 Sole Sole MCGRAW HILL INC Com 580645109 2409 104203 Sole Sole MEDALLION FINL Com 583928106 1008 132069 Sole Sole MEDCO HEALTH Com 58405U102 583 13906 Sole Sole MELCO CROWN ENTMT LTD ADR 585464100 96 30309 Sole Sole MERCK & CO Com 589331107 1480 48673 Sole Sole MERRILL LYNCH Com 590188108 7 69600Call Sole Sole MERRILL LYNCH Com 590188108 78 18Put Sole Sole MICROSOFT CORP Com 594918104 3 30Put Sole Sole S & P MID CAP 400 DEP ETF 595635103 1700 17493 Sole Sole MIDDLESEX WATER Com 596680108 207 12000 Sole Sole MIRANT Com 60467R100 12874 682257 Sole Sole MIRANT Com 60467R100 0 30Call Sole Sole MOODYS CORP Com 615369105 356 17710 Sole Sole MORGAN STANLEY Com 617446448 53 18Put Sole Sole NRG ENERGY Com 629377508 29573 1272845 Sole Sole NRG ENERGY Com 629377508 43 40Call Sole Sole NYSE EURONEXT Com 629491101 172497 6301777 Sole Sole NARA BANCORP Com 63080P105 3636 369962 Sole Sole NASDAQ OMX Com 631103108 211841 8576789 Sole Sole NASDAQ OMX Com 631103108 9 20Call Sole Sole NATIONAL ENERGY Com 635812209 915 281625 Sole Sole NATIONWIDE HEALTH PTY Com 638620104 234 8134 Sole Sole NIKE INC -CL B Com 654106103 0 30Put Sole Sole NORFOLK SOUTHERN Com 655844108 536 11429 Sole Sole NORTHERN TR Com 665859104 743 14259 Sole Sole NORTHROP GRUMMAN Com 666807102 220 4894 Sole Sole NOVARTIS A G Com 66987V109 639 12850 Sole Sole NUVEEN MD PREM INC ETF 67061Q107 104 10600 Sole Sole NUVEEN INVT QUAL MUN ETF 67062E103 168 16200 Sole Sole NUVEEN PERF PLUS MUN ETF 67062P108 12531 1108964 Sole Sole NUVEEN N Y PERF PLUS ETF 67062R104 291 28433 Sole Sole NUVEEN PREM INC MUN ETF 67062T100 289 28237 Sole Sole NUVEEN MUNICIPAL MKT ETF 67062W103 895 86997 Sole Sole NUVEEN PREM INC MUN 2 ETF 67063W102 638 62929 Sole Sole NUVEEN DIVID ADV MUN ETF 67066V101 761 76689 Sole Sole NUVEEN SR INC FD ETF 67067Y104 52 15800 Sole Sole NUVEEN PREM INC 4 ETF 6706K4105 698 76252 Sole Sole NUVEEN DIVID ADV ETF 67070X101 471 46957 Sole Sole NV ENERGY Com 67073Y106 12267912405569 Sole Sole NUVEEN SELECT QUAL ETF 670973106 122 11856 Sole Sole NUVEEN QUAL INC MUN ETF 670977107 330 29247 Sole Sole NUVEEN PREMIER MUN ETF 670988104 441 44711 Sole Sole ONEX CORP Com 68272K103 613 41420 Sole Sole PG & E CORP Com 69331C108 843 22010 Sole Sole PICO HOLDINGS INC Com 693366205 1118 42043 Sole Sole PALL CORP Com 696429307 1750 61565 Sole Sole PENN WEST ENERGY Com 707885109 9243 980325 Sole Sole PENN VA GP Com 70788P105 735 74036 Sole Sole PEPSICO INC Com 713448108 1483 27074 Sole Sole PETROCHINA ADR ADR 71646E100 6218 69940 Sole Sole PFIZER Com 717081103 17101 965463 Sole Sole PHILIP MORRIS INTL Com 718172109 91696 2107463 Sole Sole PIMCO FLTG RATE STRAT Com 72201J104 218 35500 Sole Sole POWERSHARES QQQ TR ETF 73935A104 1526 51300 Sole Sole POWERSHARES QQQ TR Com 73935A104 2321 1670Put Sole Sole POWERSHARES EXCH TRD ETF 73935X401 209 14000 Sole Sole PREFERRED BANK Com 740367107 606 100930 Sole Sole T ROWE PRICE Com 74144T108 645 18200 Sole Sole PROCTER & GAMBLE Com 742718109 695 11236 Sole Sole PROCTER & GAMBLE Com 742718109 0 18Put Sole Sole PROGRESSIVE CORP Com 743315103 17437 1181930 Sole Sole PROSHARES ULTRA S&P ETF 74347R107 711 27070 Sole Sole ULTRA FINLS PROSHARES ETF 74347R743 284 47100 Sole Sole PULTE HOMES INC Com 745867101 66 47Put Sole Sole PZENA INVST Com 74731Q103 61 14500 Sole Sole QUANTA SERVICES Com 74762E102 8872 448095 Sole Sole QUEST DIAGNOSTICS Com 74834L100 888 17100 Sole Sole R H DONNELLEY Com 74955W307 443 1197469 Sole Sole RAYTHEON CO Com 755111507 546 10698 Sole Sole RELIANT ENERGY Com 75952B105 9133715807569 Sole Sole REYNOLDS AMERN INC Com 761713106 453 11232 Sole Sole RIO TINTO PLC Com 767204100 7824 87997 Sole Sole RITCHIE BROS AUCT Com 767744105 1962 91611 Sole Sole ROCKWELL AUTOMATION Com 773903109 555 17200 Sole Sole ROYAL DUTCH SHELL PLC Com 780259206 2068 39059 Sole Sole RYLAND GROUP INC Com 783764103 212 11990 Sole Sole RYLAND GROUP INC Com 783764103 17 14Put Sole Sole RYLAND GROUP INC Com 783764103 40 18Put Sole Sole SPDR TR UTS Com 78462F103 356204 3977162 Sole Sole SPDR INDEX CHINA ETF 78463X400 1473 32555 Sole Sole SPDR SER TR LEH ETF 78464A680 831 18141 Sole Sole ST JOE COMPANY Com 790148100 6440 264796 Sole Sole SCHLUMBERGER LTD Com 806857108 920 21740 Sole Sole SCHLUMBERGER LTD Com 806857108 26 15Put Sole Sole SCRIPPS E W CO Com 811054402 84 38062 Sole Sole SCRIPPS NETWORKS Com 811065101 4238 192551 Sole Sole SEARS HLDGS CORP Com 812350106 13271 341413 Sole Sole SECTOR SPDR ENGY SEL ETF 81369Y506 201 4200 Sole Sole SECTOR SPDR FINCL SEL ETF 81369Y605 269 21500 Sole Sole SIGMA ALDRICH CORP Com 826552101 784 18552 Sole Sole SOTHEBYS Com 835898107 4800 539889 Sole Sole SOTHEBYS 3.125 2013 Conv 835898AB3 340 549000 Sole Sole SOUTHERN UNION Com 844030106 585 44850 Sole Sole SPROTT INC Com 852066109 1348 385679 Sole Sole STAR STRUCK LTD Com 855188108 27 85000 Sole Sole STATE STR CORP Com 857477103 3761 96181 Sole Sole STRYKER CORP Com 863667101 220 5500 Sole Sole STUDENT LOAN CORP Com 863902102 9830 239758 Sole Sole SUNCOR ENERGY Com 867229106 31220 1602365 Sole Sole SUNCOR ENERGY Com 867229106 0 20Call Sole Sole TARGET CORP Com 87612E106 11 18Put Sole Sole TELEFLEX INC Com 879369106 484 9661 Sole Sole TELEFONICA S A Com 879382208 517 7678 Sole Sole TELEPHONE & DATA SYS Com 879433100 888 27960 Sole Sole TELEPHONE & DATA SPL Com 879433860 230 8201 Sole Sole TEMPLETON EMER MKTS Com 880192109 102 11200 Sole Sole TEXAS PACIFIC LAND Com 882610108 9044 391533 Sole Sole TIME WARNER Com 887317105 15934915839892 Sole Sole UCBH HLDGS INC Com 90262T308 2202 320201 Sole Sole UST INC Com 902911106 451 6500 Sole Sole U.S. GLOBAL INVES INC Com 902952100 1528 312424 Sole Sole UNION PACIFIC Com 907818108 83883 1754903 Sole Sole VEECO INSTRS INC Com 922417100 190 29900 Sole Sole VISA INC Com 92826C839 42822 816426 Sole Sole VISHAY INTERTECH Com 928298108 58 17029 Sole Sole VORNADO RLTY TR Com 929042109 6080 101426 Sole Sole WD-40 CO Com 929236107 419 14800 Sole Sole WALGREEN COMPANY Com 931422109 382 15500 Sole Sole WARNER MUSIC GROUP Com 934550104 4100 1357534 Sole Sole WARNER MUSIC GROUP Com 934550104 1 22800Call Sole Sole WARNER MUSIC GROUP Com 934550104 2 324Call Sole Sole WASHINGTON MUTUAL Com 939322103 0 20225 Sole Sole WASHINGTON POST Com 939640108 20235 51939 Sole Sole WELLS FARGO Com 949746101 12025 409122 Sole Sole WENDYS ARBYS GROUP Com 950587105 3889 787201 Sole Sole WESCO FINL CORP Com 950817106 673 2336 Sole Sole WESTERN UNION Com 959802109 3425 238832 Sole Sole WILEY JOHN & SONS CL A Com 968223206 1251 35172 Sole Sole WILLIAMS CO INC Com 969457100 9508 656855 Sole Sole WILSHIRE BANCORP Com 97186T108 2885 317869 Sole Sole WYETH Com 983024100 506 13500 Sole Sole WYNN RESORTS Com 983134107 8913 210904 Sole Sole WYNN RESORTS Com 983134107 7 24Call Sole Sole BROOKFIELD INFR PTR LP G16252101 189 16918 Sole Sole LAZARD A Com G54050102 2387 80261 Sole Sole MONTPELIER RE Com G62185106 1476 88132 Sole Sole SIEM INDUSTRIES Com G81226105 227 8404 Sole Sole WHITE MOUNTAINS INS Com G9618E107 7563 28410 Sole Sole