All 796 'P' 13F Securities

Filter securities by prefix to quickly locate symbols and classes across 13F datasets.

RB CUSIP 74349Y589 Equity

Proshares Tr

Security class
RUS 2000 BUF ETF
Holdings value
$1.01M
Net change Q2 2026
+$16.9K
Identifier
CUSIP 74349Y589
Next action
Open holder history
No ticker CUSIP 74347Y950 Equity

Proshares Tr II

Security class
VIX SHT TERM FUT
Holdings value
$3.75M
Net change Q2 2026
-$2.98M
Identifier
CUSIP 74347Y950
Next action
Open holder history
RWM CUSIP 74348A210 Equity

Proshares Trust

Security class
ProShares Short Russell2000 ETF
Holdings value
$36.14M
Net change Q2 2026
-$13.67M
Identifier
CUSIP 74348A210
Next action
Open holder history
EFAD CUSIP 74347B839 Equity

Proshares Trust

Security class
Shares of ProShares MSCI EAFE Dividend Growers ETF
Holdings value
$34.91M
Net change Q2 2026
-$1.07M
Identifier
CUSIP 74347B839
Next action
Open holder history
BITI CUSIP 74347G184 Equity

Proshares Trust

Security class
ProShares Short Bitcoin Strategy ETF
Holdings value
$11.27M
Net change Q2 2026
+$3.5M
Identifier
CUSIP 74347G184
Next action
Open holder history
MRGR CUSIP 74348A566 Equity

Proshares Trust

Security class
ProShares Merger ETF
Holdings value
$6.55M
Net change Q2 2026
+$990.9K
Identifier
CUSIP 74348A566
Next action
Open holder history
UVXY CUSIP 74347Y680 Equity

ProShares Trust II

Security class
ULTRA VIX SHORT
Holdings value
$108.32M
Net change Q2 2026
+$45.79M
Identifier
CUSIP 74347Y680
Next action
Open holder history
SCO CUSIP 74347Y656 Equity

ProShares Trust II

Security class
ULSHT BLOOMB OIL
Holdings value
$75.46M
Net change Q2 2026
+$75.46M
Identifier
CUSIP 74347Y656
Next action
Open holder history
SVXY CUSIP 74347W130 Equity

ProShares Trust II

Security class
SHT VIX ST TRM
Holdings value
$55.65M
Net change Q2 2026
+$26.48M
Identifier
CUSIP 74347W130
Next action
Open holder history
AGQ CUSIP 74347W353 Equity

ProShares Trust II

Security class
ULTRA SILVER NEW
Holdings value
$53.49M
Net change Q2 2026
-$15.66M
Identifier
CUSIP 74347W353
Next action
Open holder history
UCO CUSIP 74347Y888 Equity

ProShares Trust II

Security class
ULTA BLMBG 2017
Holdings value
$43.47M
Net change Q2 2026
+$17.36M
Identifier
CUSIP 74347Y888
Next action
Open holder history
ZSL CUSIP 74347Y672 Equity

ProShares Trust II

Security class
ULTRA SHORT SILV
Holdings value
$28.46M
Net change Q2 2026
+$5.5M
Identifier
CUSIP 74347Y672
Next action
Open holder history
VIXY CUSIP 74347Y730 Equity

ProShares Trust II

Security class
VIX SHT TERM FUT
Holdings value
$27.48M
Net change Q2 2026
-$3.55M
Identifier
CUSIP 74347Y730
Next action
Open holder history
GLL CUSIP 74347Y698 Equity

ProShares Trust II

Security class
ULTRASHORT GOLD
Holdings value
$23.06M
Net change Q2 2026
-$1.79M
Identifier
CUSIP 74347Y698
Next action
Open holder history
VIXM CUSIP 74347W338 Equity

ProShares Trust II

Security class
VIX MDTRM FUTR N
Holdings value
$17.65M
Net change Q2 2026
-$19.31M
Identifier
CUSIP 74347W338
Next action
Open holder history
BOIL CUSIP 74347Y664 Equity

ProShares Trust II

Security class
ULTRA BLOOMBERG
Holdings value
$15.71M
Net change Q2 2026
+$15.71M
Identifier
CUSIP 74347Y664
Next action
Open holder history
KOLD CUSIP 74347Y813 Equity

ProShares Trust II

Security class
ULSHT BLOOMB GAS
Holdings value
$10M
Net change Q2 2026
-$5.41M
Identifier
CUSIP 74347Y813
Next action
Open holder history
YCS CUSIP 74347W569 Equity

ProShares Trust II

Security class
ULTRASHORT YEN N
Holdings value
$6.06M
Net change Q2 2026
+$79.4K
Identifier
CUSIP 74347W569
Next action
Open holder history
EUO CUSIP 74347W882 Equity

ProShares Trust II

Security class
ULTRASHRT EURO
Holdings value
$3.33M
Net change Q2 2026
-$97.4K
Identifier
CUSIP 74347W882
Next action
Open holder history
PSEC CUSIP 74348T102 Equity

Prospect Capital Corp

Security class
Common Stock, par value $ 0.001 per share
Holdings value
$206.57M
Net change Q2 2026
+$8.32M
Identifier
CUSIP 74348T102
Next action
Open holder history
No ticker CUSIP N7163R103 Equity

Prosus NV

Security class
COM
Holdings value
$1.24M
Net change Q2 2026
-$41.3K
Identifier
CUSIP N7163R103
Next action
Open holder history
PTGX CUSIP 74366E102 Equity

Protagonist Therapeutics, Inc

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
Next action
Open holder history
PRLB CUSIP 743713109 Equity

Proto Labs Inc

Security class
Common Stock
Holdings value
$1.83B
Net change Q2 2026
+$38.77M
Identifier
CUSIP 743713109
Next action
Open holder history
PUK CUSIP 74435K204 Equity

Prudential Plc

Security class
ADR
Holdings value
$988.98M
Net change Q2 2026
+$24.96M
Identifier
CUSIP 74435K204
Next action
Open holder history
PRYMY CUSIP 74440L106 Equity

Prysmian S.p.A.

Security class
COM
Holdings value
$10.37M
Net change Q2 2026
-$385K
Identifier
CUSIP 74440L106
Next action
Open holder history
No ticker CUSIP 00B1W4V69 Equity

Prysmian SpA

Security class
Common Stock - Foreign
Holdings value
$6.14M
Net change Q2 2026
-$45.09M
Identifier
CUSIP 00B1W4V69
Next action
Open holder history
No ticker CUSIP T7630L105 Equity

Prysmian SpA

Security class
COM
Holdings value
$2.86M
Net change Q2 2026
Not reported
Identifier
CUSIP T7630L105
Next action
Open holder history
PSBQ CUSIP 69360N108 Equity

PSB Holdings Inc.

Security class
Common Stock, no par value
Holdings value
$2.25M
Net change Q2 2026
-$2.07M
Identifier
CUSIP 69360N108
Next action
Open holder history
PSQH CUSIP 693691107 Equity

PSQ Holdings, Inc.

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
Next action
Open holder history
PTC CUSIP 69370C100 Equity

Ptc Inc.

Security class
COMMON STOCK
Holdings value
$12.69B
Net change Q2 2026
-$295.58M
Identifier
CUSIP 69370C100
Next action
Open holder history
No ticker CUSIP 69366JAE1 Debt

Ptct 061531 Cvt

Security class
CONVERTIBLE BOND
Holdings value
$7.35M
Net change Q2 2026
+$7.35M
Identifier
CUSIP 69366JAE1
Next action
Open holder history
No ticker CUSIP 69366JAD3 Debt

Ptc Therapeutics Inc

Security class
NOTE 1.500% 9/1
Holdings value
$84.08M
Net change Q2 2026
-$260.51M
Identifier
CUSIP 69366JAD3
Next action
Open holder history
PTCT CUSIP 69366J200 Equity

Ptc Therapeutics, Inc.

Security class
Common Stock, $0.001 par value per share
Holdings value
$8.17B
Net change Q2 2026
+$451.85M
Identifier
CUSIP 69366J200
Next action
Open holder history
No ticker CUSIP 004380429 Equity

Publicis Groupe SA

Security class
Common Stock - Foreign
Holdings value
$44.52M
Net change Q2 2026
+$16.56M
Identifier
CUSIP 004380429
Next action
Open holder history
PUBGY CUSIP 74463M106 Equity

Publicis Groupe Sa

Security class
Common Stock
Holdings value
$14.31M
Net change Q2 2026
-$145.2K
Identifier
CUSIP 74463M106
Next action
Open holder history
PSA CUSIP 74460D109 Equity

Public Storage

Security class
Common Stock
Holdings value
$48.42B
Net change Q2 2026
+$2.62B
Identifier
CUSIP 74460D109
Next action
Open holder history
PSAPRK CUSIP 74460W578 Equity

Public Storage

Security class
PFD
Holdings value
$1.28M
Net change Q2 2026
+$468K
Identifier
CUSIP 74460W578
Next action
Open holder history
PUBM CUSIP 74467Q103 Equity

PubMatic, Inc.

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
Next action
Open holder history
No ticker CUSIP E8S64T107 Equity

Puig Brands

Security class
COM
Holdings value
$1.25M
Net change Q2 2026
Not reported
Identifier
CUSIP E8S64T107
Next action
Open holder history
LUNG CUSIP 745848101 Equity

Pulmonx Corp

Security class
Common Stock
Holdings value
$34.07M
Net change Q2 2026
-$7.12M
Identifier
CUSIP 745848101
Next action
Open holder history
PLSE CUSIP 74587B101 Equity

Pulse Biosciences, Inc.

Security class
Common Stock, par value $0.001 per share
Holdings value
$296.39M
Net change Q2 2026
+$83.78M
Identifier
CUSIP 74587B101
Next action
Open holder history
PLSM CUSIP M8S7C5117 Equity

Pulsenmore Ltd.

Security class
ORD SHS
Holdings value
$2.07M
Net change Q2 2026
+$112.6K
Identifier
CUSIP M8S7C5117
Next action
Open holder history
PHM CUSIP 745867101 Equity

Pultegroup Inc/Mi/

Security class
Common Stock
Holdings value
$24.4B
Net change Q2 2026
+$352.79M
Identifier
CUSIP 745867101
Next action
Open holder history
PCYO CUSIP 746228303 Equity

Pure Cycle Corp

Security class
Common Stock 1/3 of $.01 par value
Holdings value
$140.22M
Net change Q2 2026
+$2.7M
Identifier
CUSIP 746228303
Next action
Open holder history
PRPL CUSIP 74640Y106 Equity

Purple Innovation, Inc.

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
Next action
Open holder history
PVAL CUSIP 746729300 Equity

Putnam Etf Trust

Security class
FOCUSED LAR CAP
Holdings value
$10.04B
Net change Q2 2026
+$2B
Identifier
CUSIP 746729300
Next action
Open holder history
FTMA CUSIP 746729821 Equity

Putnam Etf Trust

Security class
FRANKLIN MASSACH
Holdings value
$150.14M
Net change Q2 2026
+$27.45M
Identifier
CUSIP 746729821
Next action
Open holder history
FTMH CUSIP 746729789 Equity

Putnam Etf Trust

Security class
FRANKLIN MUNI HI
Holdings value
$148.83M
Net change Q2 2026
+$38.31M
Identifier
CUSIP 746729789
Next action
Open holder history
FTMS CUSIP 746729730 Equity

Putnam Etf Trust

Security class
FRANKLIN SHT TRM
Holdings value
$130.92M
Net change Q2 2026
+$17.82M
Identifier
CUSIP 746729730
Next action
Open holder history
PGRO CUSIP 746729409 Equity

Putnam Etf Trust

Security class
FOCSD LARCP GWT
Holdings value
$117.63M
Net change Q2 2026
+$55.59M
Identifier
CUSIP 746729409
Next action
Open holder history
FTMN CUSIP 746729813 Equity

Putnam Etf Trust

Security class
FRANKLIN MINNESO
Holdings value
$112.74M
Net change Q2 2026
+$18.55M
Identifier
CUSIP 746729813
Next action
Open holder history
FTMU CUSIP 746729797 Equity

Putnam Etf Trust

Security class
FRANKLIN MUNI
Holdings value
$80.03M
Net change Q2 2026
+$32.58M
Identifier
CUSIP 746729797
Next action
Open holder history
PBDC CUSIP 746729508 Equity

Putnam Etf Trust

Security class
BDC INCOME ETF
Holdings value
$76.89M
Net change Q2 2026
+$14.5M
Identifier
CUSIP 746729508
Next action
Open holder history
FTCA CUSIP 746729839 Equity

Putnam Etf Trust

Security class
FRANKLIN CALIF
Holdings value
$76.23M
Net change Q2 2026
+$19.54M
Identifier
CUSIP 746729839
Next action
Open holder history
FTNY CUSIP 746729763 Equity

Putnam Etf Trust

Security class
FRANKLIN NY MUNI
Holdings value
$50.97M
Net change Q2 2026
+$9.59M
Identifier
CUSIP 746729763
Next action
Open holder history
PEMX CUSIP 746729847 Equity

Putnam Etf Trust

Security class
EMER MARK EX ETF
Holdings value
$25.69M
Net change Q2 2026
+$11.19M
Identifier
CUSIP 746729847
Next action
Open holder history
FTOH CUSIP 746729755 Equity

Putnam Etf Trust

Security class
FRANKLIN OHIO MU
Holdings value
$19.95M
Net change Q2 2026
+$2.9M
Identifier
CUSIP 746729755
Next action
Open holder history
FTNJ CUSIP 746729771 Equity

Putnam Etf Trust

Security class
FRANKLIN NEW JER
Holdings value
$18.87M
Net change Q2 2026
+$3.34M
Identifier
CUSIP 746729771
Next action
Open holder history
FTPA CUSIP 746729748 Equity

Putnam Etf Trust

Security class
FRANKLIN PENNSYL
Holdings value
$12.63M
Net change Q2 2026
+$1.9M
Identifier
CUSIP 746729748
Next action
Open holder history
PVH CUSIP 693656100 Equity

Pvh Corp. /De/

Security class
COMMON STOCK
Holdings value
$3.8B
Net change Q2 2026
+$71.73M
Identifier
CUSIP 693656100
Next action
Open holder history
PYXS CUSIP 747324101 Equity

Pyxis Oncology, Inc.

Security class
Common Stock, par value $0.001 per share
Holdings value
$101.11M
Net change Q2 2026
+$17.86M
Identifier
CUSIP 747324101
Next action
Open holder history
PXS CUSIP Y71726130 Equity

Pyxis Tankers Inc.

Security class
Common Stock, $0.001 par value
Holdings value
$1.01M
Net change Q2 2026
+$27.3K
Identifier
CUSIP Y71726130
Next action
Open holder history
No ticker CUSIP 00770X675 Equity

Pzena Emerging Mkt

Security class
Mutual Funds
Holdings value
$27.91M
Net change Q2 2026
+$1.98M
Identifier
CUSIP 00770X675
Next action
Open holder history
No ticker CUSIP X6919T107 Equity

Pzu

Security class
COM
Holdings value
$21.24M
Net change Q2 2026
+$804.8K
Identifier
CUSIP X6919T107
Next action
Open holder history
Previous Page 8 of 8

SEC 13F Securities

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