All 652 'P' 13F Securities
Filter securities by prefix to quickly locate symbols and classes across 13F datasets.
No ticker
CUSIP 693506BK2
Equity
- Security class
- Common
- Holdings value
- $1.97M
- Net change Q2 2026
- Not reported
- Identifier
- CUSIP 693506BK2
No ticker
CUSIP 69352PAS2
Debt
- Security class
- NOTE 2.875% 3/1
- Holdings value
- $426.78M
- Net change Q2 2026
- +$15.46M
- Identifier
- CUSIP 69352PAS2
PPL
CUSIP 69351T106
Equity
- Security class
- Common Stock
- Holdings value
- $6.02B
- Net change Q2 2026
- -$316.3M
- Identifier
- CUSIP 69351T106
PPLC
CUSIP 69351T866
Equity
- Security class
- UNIT 02/15/2029
- Holdings value
- $256.55M
- Net change Q2 2026
- -$44.08M
- Identifier
- CUSIP 69351T866
No ticker
CUSIP 00B4PFFW4
Equity
- Security class
- Common Stock - Foreign
- Holdings value
- $5.46M
- Net change Q2 2026
- +$594.7K
- Identifier
- CUSIP 00B4PFFW4
PTOR
CUSIP G7S17G103
Equity
- Security class
- Class A ordinary shares, par value $0.0001
- Holdings value
- $19.2M
- Net change Q2 2026
- +$17.21M
- Identifier
- CUSIP G7S17G103
PRAA
CUSIP 69354N106
Equity
- Security class
- COMMON STOCK
- Holdings value
- $141.97M
- Net change Q2 2026
- -$53.61M
- Identifier
- CUSIP 69354N106
PROP
CUSIP 739650109
Equity
- Security class
- Common Stock, par value $0.01 per share
- Holdings value
- $1.93M
- Net change Q2 2026
- -$1.6M
- Identifier
- CUSIP 739650109
PRXG
CUSIP 74006E736
Equity
- Security class
- IMPACT LARGE CAP
- Holdings value
- $71.19M
- Net change Q2 2026
- -$33.79M
- Identifier
- CUSIP 74006E736
PRXV
CUSIP 74006E744
Equity
- Security class
- IMPA LA VALU ETF
- Holdings value
- $63.87M
- Net change Q2 2026
- -$31.59M
- Identifier
- CUSIP 74006E744
No ticker
CUSIP 74006E868
Equity
- Security class
- EQTY
- Holdings value
- $49.32M
- Net change Q2 2026
- -$3.57M
- Identifier
- CUSIP 74006E868
No ticker
CUSIP 74006E769
Equity
- Security class
- EQTY
- Holdings value
- $89.02M
- Net change Q2 2026
- +$7.09M
- Identifier
- CUSIP 74006E769
No ticker
CUSIP 74006E702
Equity
- Security class
- EQTY
- Holdings value
- $55.44M
- Net change Q2 2026
- -$2.43M
- Identifier
- CUSIP 74006E702
No ticker
CUSIP 74006W907
Equity
- Security class
- CALL
- Holdings value
- $1.1M
- Net change Q2 2026
- +$1.1M
- Identifier
- CUSIP 74006W907
PRAX
CUSIP 74006W207
Equity
- Security class
- Common Stock, par value $0.0001 per share
- Holdings value
- $1.48B
- Net change Q2 2026
- +$109.47M
- Identifier
- CUSIP 74006W207
No ticker
CUSIP 74006E827
Equity
- Security class
- EQTY
- Holdings value
- $32.38M
- Net change Q2 2026
- -$1.85M
- Identifier
- CUSIP 74006E827
No ticker
CUSIP 74006E785
Equity
- Security class
- EQTY
- Holdings value
- $47.29M
- Net change Q2 2026
- -$1.52M
- Identifier
- CUSIP 74006E785
HSBH
CUSIP 74016W205
Equity
- Security class
- HSBC HLDG PLC AD
- Holdings value
- $3.25M
- Net change Q2 2026
- -$914.8K
- Identifier
- CUSIP 74016W205
SHEH
CUSIP 74016W403
Equity
- Security class
- SHELL PLC ADRHED
- Holdings value
- $1.81M
- Net change Q2 2026
- +$682.4K
- Identifier
- CUSIP 74016W403
ASMH
CUSIP 74016W734
Equity
- Security class
- ASML HLDG NV ADR
- Holdings value
- $1.13M
- Net change Q2 2026
- +$538.7K
- Identifier
- CUSIP 74016W734
PGEN
CUSIP 74017N105
Equity
- Security class
- Common Stock
- Holdings value
- $226.8M
- Net change Q2 2026
- +$29.62M
- Identifier
- CUSIP 74017N105
DTIL
CUSIP 74019P207
Equity
- Security class
- Common Stock, $0.000005 par value per share
- Holdings value
- $32.51M
- Net change Q2 2026
- +$11.39M
- Identifier
- CUSIP 74019P207
PCP
CUSIP 740189105
Equity
- Security class
- COM
- Holdings value
- $3.23M
- Net change Q2 2026
- Not reported
- Identifier
- CUSIP 740189105
PDS
CUSIP 74022D407
Equity
- Security class
- COMMON STOCK
- Holdings value
- $40.63M
- Net change Q2 2026
- -$15.99M
- Identifier
- CUSIP 74022D407
POCI
CUSIP 740294400
Equity
- Security class
- Common Stock, par value $0.01 per share
- Holdings value
- $1.24M
- Net change Q2 2026
- +$423.4K
- Identifier
- CUSIP 740294400
PFBC
CUSIP 740367404
Equity
- Security class
- COMMON STOCK
- Holdings value
- $305.57M
- Net change Q2 2026
- +$5M
- Identifier
- CUSIP 740367404
PLPC
CUSIP 740444104
Equity
- Security class
- COM
- Holdings value
- $781.43M
- Net change Q2 2026
- +$137.17M
- Identifier
- CUSIP 740444104
PRLD
CUSIP 74065P101
Equity
- Security class
- Common Stock, par value $0.0001 per share
- Holdings value
- $13.12M
- Net change Q2 2026
- +$10.65M
- Identifier
- CUSIP 74065P101
FTWWS
CUSIP 74102N119
Equity
- Security class
- *W EXP 03/04/203
- Holdings value
- $1.37M
- Net change Q2 2026
- -$531.7K
- Identifier
- CUSIP 74102N119
FTW
CUSIP 74102N101
Equity
- Security class
- Class A Common Stock, Par Value $0.0001
- Holdings value
- $3.31M
- Net change Q2 2026
- +$3.29M
- Identifier
- CUSIP 74102N101
PBH
CUSIP 74112D101
Equity
- Security class
- Common Stock SH
- Holdings value
- $770.52M
- Net change Q2 2026
- +$19.85M
- Identifier
- CUSIP 74112D101
No ticker
CUSIP Y707AN101
Equity
- Security class
- COM
- Holdings value
- $4.78M
- Net change Q2 2026
- -$540K
- Identifier
- CUSIP Y707AN101
PSMT
CUSIP 741511109
Equity
- Security class
- Common
- Holdings value
- $1.73B
- Net change Q2 2026
- -$27.79M
- Identifier
- CUSIP 741511109
TROW
CUSIP 74144T108
Equity
- Security class
- Common Stock
- Holdings value
- $7.75B
- Net change Q2 2026
- +$211.27M
- Identifier
- CUSIP 74144T108
No ticker
CUSIP 741479406
Equity
- Security class
- FD CL I
- Holdings value
- $1.67M
- Net change Q2 2026
- -$41.3K
- Identifier
- CUSIP 741479406
No ticker
CUSIP 741479109
Equity
- Security class
- COM
- Holdings value
- $1.23M
- Net change Q2 2026
- Not reported
- Identifier
- CUSIP 741479109
No ticker
CUSIP 74167K109
Equity
- Security class
- COM
- Holdings value
- $1.51M
- Net change Q2 2026
- +$9.6K
- Identifier
- CUSIP 74167K109
No ticker
CUSIP 74160Q103
Equity
- Security class
- EQUITY FUNDS
- Holdings value
- $9.13M
- Net change Q2 2026
- -$15.3K
- Identifier
- CUSIP 74160Q103
PNRG
CUSIP 74158E104
Equity
- Security class
- Common Stock
- Holdings value
- $20.51M
- Net change Q2 2026
- +$4.62M
- Identifier
- CUSIP 74158E104
PRME
CUSIP 74168J101
Equity
- Security class
- COMMON STOCK
- Holdings value
- $144.98M
- Net change Q2 2026
- +$8.02M
- Identifier
- CUSIP 74168J101
PRI
CUSIP 74164M108
Equity
- Security class
- Common Stock
- Holdings value
- $1.75B
- Net change Q2 2026
- -$18.41M
- Identifier
- CUSIP 74164M108
FRST
CUSIP 74167B109
Equity
- Security class
- Common Stock
- Holdings value
- $72.14M
- Net change Q2 2026
- +$5.54M
- Identifier
- CUSIP 74167B109
PRMB
CUSIP 741623102
Equity
- Security class
- Class A Common Stock, par value $0.01 per share
- Holdings value
- $813.77M
- Net change Q2 2026
- -$17.18M
- Identifier
- CUSIP 741623102
PRIM
CUSIP 74164F103
Equity
- Security class
- Common Stock
- Holdings value
- $1.44B
- Net change Q2 2026
- -$242M
- Identifier
- CUSIP 74164F103
BPRN
CUSIP 74179A107
Equity
- Security class
- Common Stock
- Holdings value
- $29.02M
- Net change Q2 2026
- +$2.87M
- Identifier
- CUSIP 74179A107
USMC
CUSIP 74255Y870
Equity
- Security class
- US MEGA CP ETF
- Holdings value
- $3.29B
- Net change Q2 2026
- +$164.13M
- Identifier
- CUSIP 74255Y870
PIEQ
CUSIP 74255Y698
Equity
- Security class
- INTL EQUITY ETF
- Holdings value
- $1.67B
- Net change Q2 2026
- +$247.64M
- Identifier
- CUSIP 74255Y698
PSC
CUSIP 74255Y607
Equity
- Security class
- PRIN U S SMALL
- Holdings value
- $1.56B
- Net change Q2 2026
- +$68.14M
- Identifier
- CUSIP 74255Y607
PREF
CUSIP 74255Y888
Equity
- Security class
- SPECTRUM PFD
- Holdings value
- $570.77M
- Net change Q2 2026
- +$289.74M
- Identifier
- CUSIP 74255Y888
BCHP
CUSIP 74255Y714
Equity
- Security class
- FOCUSED BLUE CHI
- Holdings value
- $295.54M
- Net change Q2 2026
- +$779.9K
- Identifier
- CUSIP 74255Y714
PY
CUSIP 74255Y300
Equity
- Security class
- PRNCPL VLU ETF
- Holdings value
- $284.07M
- Net change Q2 2026
- +$23.65M
- Identifier
- CUSIP 74255Y300
IG
CUSIP 74255Y821
Equity
- Security class
- PRNC INVT GRAD
- Holdings value
- $281.62M
- Net change Q2 2026
- +$66.15M
- Identifier
- CUSIP 74255Y821
PQDI
CUSIP 74255Y763
Equity
- Security class
- SPECTRUM PREFERR
- Holdings value
- $76M
- Net change Q2 2026
- +$1.14M
- Identifier
- CUSIP 74255Y763
BYRE
CUSIP 74255Y722
Equity
- Security class
- REAL ESTATE ACTI
- Holdings value
- $40.61M
- Net change Q2 2026
- +$306K
- Identifier
- CUSIP 74255Y722
PSET
CUSIP 74255Y201
Equity
- Security class
- QUALITY ETF
- Holdings value
- $20.9M
- Net change Q2 2026
- -$4.17M
- Identifier
- CUSIP 74255Y201
WDE
CUSIP 74255Y649
Equity
- Security class
- SECUR DEBT ETF
- Holdings value
- $20.23M
- Net change Q2 2026
- +$20.23M
- Identifier
- CUSIP 74255Y649
UUPP
CUSIP 74255Y672
Equity
- Security class
- CLO ETF
- Holdings value
- $15.06M
- Net change Q2 2026
- +$15.06M
- Identifier
- CUSIP 74255Y672
DWWN
CUSIP 74255Y656
Equity
- Security class
- LONG DURATION
- Holdings value
- $10.5M
- Net change Q2 2026
- +$10.5M
- Identifier
- CUSIP 74255Y656
RIZE
CUSIP 74255Y664
Equity
- Security class
- INFLA PROTN ETF
- Holdings value
- $9.96M
- Net change Q2 2026
- +$9.96M
- Identifier
- CUSIP 74255Y664
YLD
CUSIP 74255Y102
Equity
- Security class
- EXCHANGE TRADED PRODUCT
- Holdings value
- $314.34M
- Net change Q2 2026
- +$69.03M
- Identifier
- CUSIP 74255Y102
No ticker
CUSIP 74256W584
Equity
- Security class
- MIDCAP FD R6
- Holdings value
- $55.92M
- Net change Q2 2026
- -$709.6K
- Identifier
- CUSIP 74256W584
PFG
CUSIP 74251V102
Equity
- Security class
- Common Stock
- Holdings value
- $7.03B
- Net change Q2 2026
- +$12.62M
- Identifier
- CUSIP 74251V102
No ticker
CUSIP 74253Q747
Equity
- Security class
- MF
- Holdings value
- $1.18M
- Net change Q2 2026
- Not reported
- Identifier
- CUSIP 74253Q747
PGZ
CUSIP 74255X104
Equity
- Security class
- Common Stock
- Holdings value
- $6.89M
- Net change Q2 2026
- +$1.56M
- Identifier
- CUSIP 74255X104
PRTH
CUSIP 74275G107
Equity
- Security class
- Common Stock, par value $0.001 per share
- Holdings value
- $29.65M
- Net change Q2 2026
- +$6.31M
- Identifier
- CUSIP 74275G107
PRVA
CUSIP 74276R102
Equity
- Security class
- Common Stock
- Holdings value
- $1.13B
- Net change Q2 2026
- +$57.22M
- Identifier
- CUSIP 74276R102
PCAP
CUSIP G7257A105
Equity
- Security class
- Class A common stock
- Holdings value
- $15.78M
- Net change Q2 2026
- +$5.73M
- Identifier
- CUSIP G7257A105
BRR
CUSIP 74277P105
Equity
- Security class
- Common Stock, par value $0.001 per share
- Holdings value
- $5.24M
- Net change Q2 2026
- -$7.3M
- Identifier
- CUSIP 74277P105
No ticker
CUSIP 74277PAA3
Debt
- Security class
- 0 12/05/28
- Holdings value
- $2.79M
- Net change Q2 2026
- +$929.4K
- Identifier
- CUSIP 74277PAA3
PRCT
CUSIP 74276L105
Equity
- Security class
- Common Stock
- Holdings value
- $349.65M
- Net change Q2 2026
- +$18.97M
- Identifier
- CUSIP 74276L105
PCOR
CUSIP 74275K108
Equity
- Security class
- Common Stock
- Holdings value
- $1.14B
- Net change Q2 2026
- -$63.45M
- Identifier
- CUSIP 74275K108
PG
CUSIP 742718109
Equity
- Security class
- Common Stock
- Holdings value
- $78.22B
- Net change Q2 2026
- +$1.36B
- Identifier
- CUSIP 742718109
UFO
CUSIP 74280R205
Equity
- Security class
- SPACE ETF
- Holdings value
- $107.04M
- Net change Q2 2026
- +$63.48M
- Identifier
- CUSIP 74280R205
PDEX
CUSIP 74265M205
Equity
- Security class
- Common Stock, no par value
- Holdings value
- $14.66M
- Net change Q2 2026
- +$780.2K
- Identifier
- CUSIP 74265M205
PAAC
CUSIP G7341A103
Equity
- Security class
- Ordinary Shares, par value $0.0001 per share
- Holdings value
- $4.52M
- Net change Q2 2026
- +$4.52M
- Identifier
- CUSIP G7341A103
PAACU
CUSIP G7341A129
Equity
- Security class
- Ordinary Shares, par value $0.0001 per share
- Holdings value
- $1.66M
- Net change Q2 2026
- -$3.39M
- Identifier
- CUSIP G7341A129
AKRE
CUSIP 74316P579
Equity
- Security class
- AKRE FOCUS ETF
- Holdings value
- $888.05M
- Net change Q2 2026
- -$199.86M
- Identifier
- CUSIP 74316P579
CAFX
CUSIP 74316P587
Equity
- Security class
- CONGRESS INTERME
- Holdings value
- $112.72M
- Net change Q2 2026
- -$1.75M
- Identifier
- CUSIP 74316P587
CSMD
CUSIP 74316P645
Equity
- Security class
- CONGRESS SMID GR
- Holdings value
- $75.59M
- Net change Q2 2026
- -$1.61M
- Identifier
- CUSIP 74316P645
WAGN
CUSIP 74316P538
Equity
- Security class
- PABRA WAGON ETF
- Holdings value
- $6.77M
- Net change Q2 2026
- +$4.44M
- Identifier
- CUSIP 74316P538
CAML
CUSIP 74316P637
Equity
- Security class
- CONGRESS LRG CAP
- Holdings value
- $3.9M
- Net change Q2 2026
- +$357.3K
- Identifier
- CUSIP 74316P637
PAL
CUSIP 74317M104
Equity
- Security class
- Common Stock
- Holdings value
- $33.86M
- Net change Q2 2026
- -$10.49M
- Identifier
- CUSIP 74317M104
PROF
CUSIP 74319B502
Equity
- Security class
- Common Shares
- Holdings value
- $36.06M
- Net change Q2 2026
- +$1.01M
- Identifier
- CUSIP 74319B502
ACDC
CUSIP 74319N100
Equity
- Security class
- Class A common stock, par value $0.01 per share
- Holdings value
- $19.71M
- Net change Q2 2026
- +$538.2K
- Identifier
- CUSIP 74319N100
PRG
CUSIP 74319R101
Equity
- Security class
- Common Stock
- Holdings value
- $610.4M
- Net change Q2 2026
- +$38.85M
- Identifier
- CUSIP 74319R101
PGR
CUSIP 743315103
Equity
- Security class
- Common Stock
- Holdings value
- $29.84B
- Net change Q2 2026
- -$1.8B
- Identifier
- CUSIP 743315103
No ticker
CUSIP 743312AD2
Debt
- Security class
- NOTE 3.500% 3/0
- Holdings value
- $69.98M
- Net change Q2 2026
- +$3.49M
- Identifier
- CUSIP 743312AD2
PRGS
CUSIP 743312100
Equity
- Security class
- Common Stock
- Holdings value
- $537.92M
- Net change Q2 2026
- +$3.9M
- Identifier
- CUSIP 743312100
PGNY
CUSIP 74340E103
Equity
- Security class
- COMMON STOCK
- Holdings value
- $731.75M
- Net change Q2 2026
- +$12.83M
- Identifier
- CUSIP 74340E103
PROK
CUSIP 74291D104
Equity
- Security class
- Class A Common Stock
- Holdings value
- $18.24M
- Net change Q2 2026
- +$10.32M
- Identifier
- CUSIP 74291D104
PROK
CUSIP G7S53R104
Equity
- Security class
- Ordinary Shares
- Holdings value
- $2.04M
- Net change Q2 2026
- Not reported
- Identifier
- CUSIP G7S53R104
No ticker
CUSIP 0LX285118
Debt
- Security class
- Bank Loan
- Holdings value
- $2.81M
- Net change Q2 2026
- +$2.81M
- Identifier
- CUSIP 0LX285118
PLD
CUSIP 74340W103
Equity
- Security class
- Common Stock
- Holdings value
- $38.78B
- Net change Q2 2026
- +$79.09M
- Identifier
- CUSIP 74340W103
PUMP
CUSIP 74347M108
Equity
- Security class
- Common Stock, par value $0.001 per share
- Holdings value
- $315.81M
- Net change Q2 2026
- +$63.46M
- Identifier
- CUSIP 74347M108
PRQR
CUSIP N71542109
Equity
- Security class
- Ordinary Shares, nominal value Euro 0.04 per share
- Holdings value
- $29.2M
- Net change Q2 2026
- +$9.92M
- Identifier
- CUSIP N71542109
BUYB
CUSIP 74350U682
Equity
- Security class
- FUND
- Holdings value
- $3.74M
- Net change Q2 2026
- +$3.74M
- Identifier
- CUSIP 74350U682
SH
CUSIP 74347B425
Equity
- Security class
- COM
- Holdings value
- $2.1M
- Net change Q2 2026
- -$138.6K
- Identifier
- CUSIP 74347B425
NOBL
CUSIP 74348A467
Equity
- Security class
- S&P 500 DV ARIST
- Holdings value
- $1.82B
- Net change Q2 2026
- +$896.97M
- Identifier
- CUSIP 74348A467
QLD
CUSIP 74347R206
Equity
- Security class
- PSHS ULTRA QQQ
- Holdings value
- $1.48B
- Net change Q2 2026
- +$940.65M
- Identifier
- CUSIP 74347R206
SSO
CUSIP 74347R107
Equity
- Security class
- PSHS ULT S&P 500
- Holdings value
- $1.32B
- Net change Q2 2026
- +$858.95M
- Identifier
- CUSIP 74347R107
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