All 796 'P' 13F Securities
Filter securities by prefix to quickly locate symbols and classes across 13F datasets.
RB
CUSIP 74349Y589
Equity
- Security class
- RUS 2000 BUF ETF
- Holdings value
- $1.01M
- Net change Q2 2026
- +$16.9K
- Identifier
- CUSIP 74349Y589
No ticker
CUSIP 74347Y950
Equity
- Security class
- VIX SHT TERM FUT
- Holdings value
- $3.75M
- Net change Q2 2026
- -$2.98M
- Identifier
- CUSIP 74347Y950
RWM
CUSIP 74348A210
Equity
- Security class
- ProShares Short Russell2000 ETF
- Holdings value
- $36.14M
- Net change Q2 2026
- -$13.67M
- Identifier
- CUSIP 74348A210
EFAD
CUSIP 74347B839
Equity
- Security class
- Shares of ProShares MSCI EAFE Dividend Growers ETF
- Holdings value
- $34.91M
- Net change Q2 2026
- -$1.07M
- Identifier
- CUSIP 74347B839
BITI
CUSIP 74347G184
Equity
- Security class
- ProShares Short Bitcoin Strategy ETF
- Holdings value
- $11.27M
- Net change Q2 2026
- +$3.5M
- Identifier
- CUSIP 74347G184
MRGR
CUSIP 74348A566
Equity
- Security class
- ProShares Merger ETF
- Holdings value
- $6.55M
- Net change Q2 2026
- +$990.9K
- Identifier
- CUSIP 74348A566
UVXY
CUSIP 74347Y680
Equity
- Security class
- ULTRA VIX SHORT
- Holdings value
- $108.32M
- Net change Q2 2026
- +$45.79M
- Identifier
- CUSIP 74347Y680
SCO
CUSIP 74347Y656
Equity
- Security class
- ULSHT BLOOMB OIL
- Holdings value
- $75.46M
- Net change Q2 2026
- +$75.46M
- Identifier
- CUSIP 74347Y656
SVXY
CUSIP 74347W130
Equity
- Security class
- SHT VIX ST TRM
- Holdings value
- $55.65M
- Net change Q2 2026
- +$26.48M
- Identifier
- CUSIP 74347W130
AGQ
CUSIP 74347W353
Equity
- Security class
- ULTRA SILVER NEW
- Holdings value
- $53.49M
- Net change Q2 2026
- -$15.66M
- Identifier
- CUSIP 74347W353
UGL
CUSIP 74347W601
Equity
- Security class
- ULTRA GOLD
- Holdings value
- $49.02M
- Net change Q2 2026
- -$25.63M
- Identifier
- CUSIP 74347W601
UCO
CUSIP 74347Y888
Equity
- Security class
- ULTA BLMBG 2017
- Holdings value
- $43.47M
- Net change Q2 2026
- +$17.36M
- Identifier
- CUSIP 74347Y888
ZSL
CUSIP 74347Y672
Equity
- Security class
- ULTRA SHORT SILV
- Holdings value
- $28.46M
- Net change Q2 2026
- +$5.5M
- Identifier
- CUSIP 74347Y672
VIXY
CUSIP 74347Y730
Equity
- Security class
- VIX SHT TERM FUT
- Holdings value
- $27.48M
- Net change Q2 2026
- -$3.55M
- Identifier
- CUSIP 74347Y730
GLL
CUSIP 74347Y698
Equity
- Security class
- ULTRASHORT GOLD
- Holdings value
- $23.06M
- Net change Q2 2026
- -$1.79M
- Identifier
- CUSIP 74347Y698
VIXM
CUSIP 74347W338
Equity
- Security class
- VIX MDTRM FUTR N
- Holdings value
- $17.65M
- Net change Q2 2026
- -$19.31M
- Identifier
- CUSIP 74347W338
BOIL
CUSIP 74347Y664
Equity
- Security class
- ULTRA BLOOMBERG
- Holdings value
- $15.71M
- Net change Q2 2026
- +$15.71M
- Identifier
- CUSIP 74347Y664
KOLD
CUSIP 74347Y813
Equity
- Security class
- ULSHT BLOOMB GAS
- Holdings value
- $10M
- Net change Q2 2026
- -$5.41M
- Identifier
- CUSIP 74347Y813
YCS
CUSIP 74347W569
Equity
- Security class
- ULTRASHORT YEN N
- Holdings value
- $6.06M
- Net change Q2 2026
- +$79.4K
- Identifier
- CUSIP 74347W569
EUO
CUSIP 74347W882
Equity
- Security class
- ULTRASHRT EURO
- Holdings value
- $3.33M
- Net change Q2 2026
- -$97.4K
- Identifier
- CUSIP 74347W882
UPAL
CUSIP 74350U203
Equity
- Security class
- Fund
- Holdings value
- $2.24M
- Net change Q2 2026
- Not reported
- Identifier
- CUSIP 74350U203
UPLT
CUSIP 74350U104
Equity
- Security class
- Fund
- Holdings value
- $2.06M
- Net change Q2 2026
- Not reported
- Identifier
- CUSIP 74350U104
PSEC
CUSIP 74348T102
Equity
- Security class
- Common Stock, par value $ 0.001 per share
- Holdings value
- $206.57M
- Net change Q2 2026
- +$8.32M
- Identifier
- CUSIP 74348T102
PB
CUSIP 743606105
Equity
- Security class
- Common Stock
- Holdings value
- $6.47B
- Net change Q2 2026
- +$147.69M
- Identifier
- CUSIP 743606105
No ticker
CUSIP N7163R103
Equity
- Security class
- COM
- Holdings value
- $1.24M
- Net change Q2 2026
- -$41.3K
- Identifier
- CUSIP N7163R103
PROSY
CUSIP 74365P108
Equity
- Security class
- ADR
- Holdings value
- $31.95M
- Net change Q2 2026
- +$2.67M
- Identifier
- CUSIP 74365P108
PTGX
CUSIP 74366E102
Equity
- Security class
- Common Stock, par value $0.00001 per share (the "Shares")
- Holdings value
- $9.28B
- Net change Q2 2026
- -$228.78M
- Identifier
- CUSIP 74366E102
No ticker
CUSIP 74366E106
Equity
- Security class
- COM
- Holdings value
- $8.59M
- Net change Q2 2026
- +$7.97M
- Identifier
- CUSIP 74366E106
No ticker
CUSIP 38141G107
Equity
- Security class
- COM
- Holdings value
- $7.12M
- Net change Q2 2026
- -$15.7K
- Identifier
- CUSIP 38141G107
PLX
CUSIP 74365A309
Equity
- Security class
- Common Stock
- Holdings value
- $33.69M
- Net change Q2 2026
- -$4.75M
- Identifier
- CUSIP 74365A309
TARA
CUSIP 74365U107
Equity
- Security class
- Common Stock
- Holdings value
- $175.97M
- Net change Q2 2026
- -$743.2K
- Identifier
- CUSIP 74365U107
PRTA
CUSIP G72800108
Equity
- Security class
- Ordinary Shares, $0.01 par value
- Holdings value
- $462.65M
- Net change Q2 2026
- +$4.18M
- Identifier
- CUSIP G72800108
PRLB
CUSIP 743713109
Equity
- Security class
- Common Stock
- Holdings value
- $1.83B
- Net change Q2 2026
- +$38.77M
- Identifier
- CUSIP 743713109
PROV
CUSIP 743868101
Equity
- Security class
- Commmon Stock
- Holdings value
- $54.41M
- Net change Q2 2026
- -$684.1K
- Identifier
- CUSIP 743868101
PFS
CUSIP 74386T105
Equity
- Security class
- Common Stock
- Holdings value
- $2.32B
- Net change Q2 2026
- +$55.58M
- Identifier
- CUSIP 74386T105
PRU
CUSIP 744320102
Equity
- Security class
- Common Stock
- Holdings value
- $23.42B
- Net change Q2 2026
- +$206.16M
- Identifier
- CUSIP 744320102
PRS
CUSIP 744320805
Equity
- Security class
- PREFERRED
- Holdings value
- $1.65M
- Net change Q2 2026
- +$43.8K
- Identifier
- CUSIP 744320805
PUK
CUSIP 74435K204
Equity
- Security class
- ADR
- Holdings value
- $988.98M
- Net change Q2 2026
- +$24.96M
- Identifier
- CUSIP 74435K204
PRYMY
CUSIP 74440L106
Equity
- Security class
- COM
- Holdings value
- $10.37M
- Net change Q2 2026
- -$385K
- Identifier
- CUSIP 74440L106
No ticker
CUSIP 00B1W4V69
Equity
- Security class
- Common Stock - Foreign
- Holdings value
- $6.14M
- Net change Q2 2026
- -$45.09M
- Identifier
- CUSIP 00B1W4V69
No ticker
CUSIP T7630L105
Equity
- Security class
- COM
- Holdings value
- $2.86M
- Net change Q2 2026
- Not reported
- Identifier
- CUSIP T7630L105
PSBQ
CUSIP 69360N108
Equity
- Security class
- Common Stock, no par value
- Holdings value
- $2.25M
- Net change Q2 2026
- -$2.07M
- Identifier
- CUSIP 69360N108
PSQH
CUSIP 693691107
Equity
- Security class
- Class A common stock, par value $0.0001 per share
- Holdings value
- $3.34M
- Net change Q2 2026
- +$202.8K
- Identifier
- CUSIP 693691107
PBM
CUSIP 74449F407
Equity
- Security class
- COM SHS
- Holdings value
- $1.24M
- Net change Q2 2026
- +$664.9K
- Identifier
- CUSIP 74449F407
PPERY
CUSIP 69367U105
Equity
- Security class
- Common Stock
- Holdings value
- $1.8M
- Net change Q2 2026
- +$135.8K
- Identifier
- CUSIP 69367U105
PTC
CUSIP 69370C100
Equity
- Security class
- COMMON STOCK
- Holdings value
- $12.69B
- Net change Q2 2026
- -$295.58M
- Identifier
- CUSIP 69370C100
No ticker
CUSIP 69366JAE1
Debt
- Security class
- CONVERTIBLE BOND
- Holdings value
- $7.35M
- Net change Q2 2026
- +$7.35M
- Identifier
- CUSIP 69366JAE1
No ticker
CUSIP 69366JAD3
Debt
- Security class
- NOTE 1.500% 9/1
- Holdings value
- $84.08M
- Net change Q2 2026
- -$260.51M
- Identifier
- CUSIP 69366JAD3
PTCT
CUSIP 69366J200
Equity
- Security class
- Common Stock, $0.001 par value per share
- Holdings value
- $8.17B
- Net change Q2 2026
- +$451.85M
- Identifier
- CUSIP 69366J200
No ticker
CUSIP 00B67QFW9
Equity
- Security class
- Common Stock - Foreign
- Holdings value
- $2.75M
- Net change Q2 2026
- +$2.75M
- Identifier
- CUSIP 00B67QFW9
No ticker
CUSIP 00BN73M06
Equity
- Security class
- Common Stock - Foreign
- Holdings value
- $1.84M
- Net change Q2 2026
- +$962.9K
- Identifier
- CUSIP 00BN73M06
No ticker
CUSIP 004380429
Equity
- Security class
- Common Stock - Foreign
- Holdings value
- $44.52M
- Net change Q2 2026
- +$16.56M
- Identifier
- CUSIP 004380429
PUBGY
CUSIP 74463M106
Equity
- Security class
- Common Stock
- Holdings value
- $14.31M
- Net change Q2 2026
- -$145.2K
- Identifier
- CUSIP 74463M106
PPHC
CUSIP 744430208
Equity
- Security class
- Common stock, par value $0.001
- Holdings value
- $50.7M
- Net change Q2 2026
- -$338.8K
- Identifier
- CUSIP 744430208
PEG
CUSIP 744573106
Equity
- Security class
- Common Stock
- Holdings value
- $31.19B
- Net change Q2 2026
- +$977.28M
- Identifier
- CUSIP 744573106
PSAPRL
CUSIP 74460W552
Equity
- Security class
- PREFERRED STOCK
- Holdings value
- $5.16M
- Net change Q2 2026
- +$2.31M
- Identifier
- CUSIP 74460W552
PSA
CUSIP 74460D109
Equity
- Security class
- Common Stock
- Holdings value
- $48.42B
- Net change Q2 2026
- +$2.62B
- Identifier
- CUSIP 74460D109
PSAPRK
CUSIP 74460W578
Equity
- Security class
- PFD
- Holdings value
- $1.28M
- Net change Q2 2026
- +$468K
- Identifier
- CUSIP 74460W578
PUBM
CUSIP 74467Q103
Equity
- Security class
- Class A Common Stock, par value $0.0001 per share
- Holdings value
- $399.39M
- Net change Q2 2026
- +$25.25M
- Identifier
- CUSIP 74467Q103
No ticker
CUSIP E8S64T107
Equity
- Security class
- COM
- Holdings value
- $1.25M
- Net change Q2 2026
- Not reported
- Identifier
- CUSIP E8S64T107
LUNG
CUSIP 745848101
Equity
- Security class
- Common Stock
- Holdings value
- $34.07M
- Net change Q2 2026
- -$7.12M
- Identifier
- CUSIP 745848101
PLSE
CUSIP 74587B101
Equity
- Security class
- Common Stock, par value $0.001 per share
- Holdings value
- $296.39M
- Net change Q2 2026
- +$83.78M
- Identifier
- CUSIP 74587B101
PLSM
CUSIP M8S7C5117
Equity
- Security class
- ORD SHS
- Holdings value
- $2.07M
- Net change Q2 2026
- +$112.6K
- Identifier
- CUSIP M8S7C5117
PHM
CUSIP 745867101
Equity
- Security class
- Common Stock
- Holdings value
- $24.4B
- Net change Q2 2026
- +$352.79M
- Identifier
- CUSIP 745867101
PBYI
CUSIP 74587V107
Equity
- Security class
- Common Stock
- Holdings value
- $313.6M
- Net change Q2 2026
- +$7.14M
- Identifier
- CUSIP 74587V107
PCYO
CUSIP 746228303
Equity
- Security class
- Common Stock 1/3 of $.01 par value
- Holdings value
- $140.22M
- Net change Q2 2026
- +$2.7M
- Identifier
- CUSIP 746228303
PCT
CUSIP 74623V103
Equity
- Security class
- Common Stock
- Holdings value
- $1.44B
- Net change Q2 2026
- +$345.63M
- Identifier
- CUSIP 74623V103
PCTTW
CUSIP 74623V111
Equity
- Security class
- *W EXP 03/17/202
- Holdings value
- $10.81M
- Net change Q2 2026
- +$3.5M
- Identifier
- CUSIP 74623V111
No ticker
CUSIP 74623VAD5
Debt
- Security class
- NOTE 4.750% 7/0
- Holdings value
- $268.69M
- Net change Q2 2026
- +$264.25M
- Identifier
- CUSIP 74623VAD5
No ticker
CUSIP 74623VAB9
Debt
- Security class
- NOTE 7.250% 8/1
- Holdings value
- $27.81M
- Net change Q2 2026
- -$147.44M
- Identifier
- CUSIP 74623VAB9
PRPL
CUSIP 74640Y106
Equity
- Security class
- Class A Common Stock, par value $0.0001 per share
- Holdings value
- $22.15M
- Net change Q2 2026
- -$786.7K
- Identifier
- CUSIP 74640Y106
PRSU
CUSIP 92552R406
Equity
- Security class
- COMMON STOCK
- Holdings value
- $1.64B
- Net change Q2 2026
- +$17.05M
- Identifier
- CUSIP 92552R406
No ticker
CUSIP 746745108
Equity
- Security class
- MF
- Holdings value
- $1.24M
- Net change Q2 2026
- +$476
- Identifier
- CUSIP 746745108
PVAL
CUSIP 746729300
Equity
- Security class
- FOCUSED LAR CAP
- Holdings value
- $10.04B
- Net change Q2 2026
- +$2B
- Identifier
- CUSIP 746729300
FTMA
CUSIP 746729821
Equity
- Security class
- FRANKLIN MASSACH
- Holdings value
- $150.14M
- Net change Q2 2026
- +$27.45M
- Identifier
- CUSIP 746729821
FTMH
CUSIP 746729789
Equity
- Security class
- FRANKLIN MUNI HI
- Holdings value
- $148.83M
- Net change Q2 2026
- +$38.31M
- Identifier
- CUSIP 746729789
FTMS
CUSIP 746729730
Equity
- Security class
- FRANKLIN SHT TRM
- Holdings value
- $130.92M
- Net change Q2 2026
- +$17.82M
- Identifier
- CUSIP 746729730
PGRO
CUSIP 746729409
Equity
- Security class
- FOCSD LARCP GWT
- Holdings value
- $117.63M
- Net change Q2 2026
- +$55.59M
- Identifier
- CUSIP 746729409
FTMN
CUSIP 746729813
Equity
- Security class
- FRANKLIN MINNESO
- Holdings value
- $112.74M
- Net change Q2 2026
- +$18.55M
- Identifier
- CUSIP 746729813
FTMU
CUSIP 746729797
Equity
- Security class
- FRANKLIN MUNI
- Holdings value
- $80.03M
- Net change Q2 2026
- +$32.58M
- Identifier
- CUSIP 746729797
PBDC
CUSIP 746729508
Equity
- Security class
- BDC INCOME ETF
- Holdings value
- $76.89M
- Net change Q2 2026
- +$14.5M
- Identifier
- CUSIP 746729508
FTCA
CUSIP 746729839
Equity
- Security class
- FRANKLIN CALIF
- Holdings value
- $76.23M
- Net change Q2 2026
- +$19.54M
- Identifier
- CUSIP 746729839
FTNY
CUSIP 746729763
Equity
- Security class
- FRANKLIN NY MUNI
- Holdings value
- $50.97M
- Net change Q2 2026
- +$9.59M
- Identifier
- CUSIP 746729763
PEMX
CUSIP 746729847
Equity
- Security class
- EMER MARK EX ETF
- Holdings value
- $25.69M
- Net change Q2 2026
- +$11.19M
- Identifier
- CUSIP 746729847
FTOH
CUSIP 746729755
Equity
- Security class
- FRANKLIN OHIO MU
- Holdings value
- $19.95M
- Net change Q2 2026
- +$2.9M
- Identifier
- CUSIP 746729755
FTNJ
CUSIP 746729771
Equity
- Security class
- FRANKLIN NEW JER
- Holdings value
- $18.87M
- Net change Q2 2026
- +$3.34M
- Identifier
- CUSIP 746729771
FTPA
CUSIP 746729748
Equity
- Security class
- FRANKLIN PENNSYL
- Holdings value
- $12.63M
- Net change Q2 2026
- +$1.9M
- Identifier
- CUSIP 746729748
PIM
CUSIP 746909100
Equity
- Security class
- Common Stock
- Holdings value
- $89.18M
- Net change Q2 2026
- +$2.48M
- Identifier
- CUSIP 746909100
PVH
CUSIP 693656100
Equity
- Security class
- COMMON STOCK
- Holdings value
- $3.8B
- Net change Q2 2026
- +$71.73M
- Identifier
- CUSIP 693656100
PAIIWS
CUSIP G7309T110
Equity
- Security class
- *W EXP 07/30/203
- Holdings value
- $4.59M
- Net change Q2 2026
- -$526K
- Identifier
- CUSIP G7309T110
PAII
CUSIP G7309T102
Equity
- Security class
- Class A Ordinary Shares, par value $0.0001 per share
- Holdings value
- $207.47M
- Net change Q2 2026
- +$6.92M
- Identifier
- CUSIP G7309T102
PAIIU
CUSIP G7309T128
Equity
- Security class
- Class A Common Stock
- Holdings value
- $2.63M
- Net change Q2 2026
- -$65.4K
- Identifier
- CUSIP G7309T128
PYXS
CUSIP 747324101
Equity
- Security class
- Common Stock, par value $0.001 per share
- Holdings value
- $101.11M
- Net change Q2 2026
- +$17.86M
- Identifier
- CUSIP 747324101
PXS
CUSIP Y71726130
Equity
- Security class
- Common Stock, $0.001 par value
- Holdings value
- $1.01M
- Net change Q2 2026
- +$27.3K
- Identifier
- CUSIP Y71726130
No ticker
CUSIP 00770X675
Equity
- Security class
- Mutual Funds
- Holdings value
- $27.91M
- Net change Q2 2026
- +$1.98M
- Identifier
- CUSIP 00770X675
No ticker
CUSIP X6919T107
Equity
- Security class
- COM
- Holdings value
- $21.24M
- Net change Q2 2026
- +$804.8K
- Identifier
- CUSIP X6919T107