ProShares Trust > ProShares Trust

ProShares UltraPro QQQ

Exchange-Traded Fund Inverse of a benchmark Index Fund
Series ID: S000024908
LEI: 03026FQTQRJ0JSTBI779
SEC CIK: 1174610
$19.22B Avg Monthly Net Assets
$21.40B Total Assets
$32.34M Total Liabilities
$21.36B Net Assets
ProShares UltraPro QQQ is an Exchange-Traded Fund in ProShares Trust from ProShares Trust, based in Maryland, United States of America. The fund has one share class and monthly net assets of $19.22B. On July 29th, 2024 it reported 132 holdings, the largest being (5.8%), (5.6%) and United States of America (5.6%). Data provided by Fincoded.

Share Classes

Name Class/Contract ID Exchange Ticker Monthly Returns (2 years)
ProShares UltraPro QQQ C000074098 XNAS TQQQ May 22Jun 22Jul 22Aug 22Sep 22Oct 22Nov 22Dec 22Jan 23Feb 23Mar 23Apr 23May 23Jun 23Jul 23Aug 23Sep 23Oct 23Nov 23Dec 23Jan 24Feb 24Mar 24Apr 2439.52% (Max)-30.62% (Min)

Holdings

From latest NPORT-P, filed July 29th, 2024 for period ending May 31st, 2024. Historic holdings data available from Fincoded.
Name Profile Category Country Value $USD # Shares % of Fund
Adobe, Inc. Long Equity-common US $121M 272K 0.57
Advanced Micro Devices, Inc. Long Equity-common US $162M 971K 0.76
Airbnb, Inc., Class A Long Equity-common US $38M 263K 0.18
Alphabet, Inc., Class A Long Equity-common US $237M 1M 1.11
Alphabet, Inc., Class C Long Equity-common US $230M 1M 1.07
Amazon.com, Inc. Long Equity-common US $426M 2M 2.00
American Electric Power Co., Inc. Long Equity-common US $29M 316K 0.13
Amgen, Inc. Long Equity-common US $99M 322K 0.46
Analog Devices, Inc. Long Equity-common US $70M 298K 0.33
ANSYS, Inc. Long Equity-common US $17M 52K 0.08
Apple, Inc. Long Equity-common US $691M 4M 3.23
Applied Materials, Inc. Long Equity-common US $107M 499K 0.50
ASML Holding NV (Registered) Long Equity-common NL $50M 52K 0.23
AstraZeneca plc Long Equity-common GB $27M 350K 0.13
Atlassian Corp., Class A Long Equity-common US $15M 94K 0.07
Autodesk, Inc. Long Equity-common US $26M 128K 0.12
Automatic Data Processing, Inc. Long Equity-common US $60M 247K 0.28
Baker Hughes Co., Class A Long Equity-common US $20M 602K 0.09
Biogen, Inc. Long Equity-common US $20M 87K 0.09
Booking Holdings, Inc. Long Equity-common US $78M 21K 0.36
Broadcom, Inc. Long Equity-common US $370M 278K 1.73
Cadence Design Systems, Inc. Long Equity-common US $47M 163K 0.22
CDW Corp. Long Equity-common US $18M 81K 0.08
Charter Communications, Inc., Class A Long Equity-common US $25M 87K 0.12
Cintas Corp. Long Equity-common US $41M 61K 0.19
Cisco Systems, Inc. Long Equity-common US $113M 2M 0.53
Coca-Cola Europacific Partners plc Long Equity-common GB $20M 274K 0.09
Cognizant Technology Solutions Corp., Class A Long Equity-common US $20M 299K 0.09
Comcast Corp., Class A Long Equity-common US $95M 2M 0.45
Constellation Energy Corp. Long Equity-common US $41M 190K 0.19
Copart, Inc. Long Equity-common US $31M 578K 0.14
CoStar Group, Inc. Long Equity-common US $19M 246K 0.09
Costco Wholesale Corp. Long Equity-common US $216M 267K 1.01
Crowdstrike Holdings, Inc., Class A Long Equity-common US $43M 137K 0.20
CSX Corp. Long Equity-common US $40M 1M 0.19
Datadog, Inc., Class A Long Equity-common US $20M 184K 0.09
Dexcom, Inc. Long Equity-common US $28M 232K 0.13
Diamondback Energy, Inc. Long Equity-common US $21M 107K 0.10
Dollar Tree, Inc. Long Equity-common US $15M 131K 0.07
DoorDash, Inc., Class A Long Equity-common US $25M 227K 0.12
Electronic Arts, Inc. Long Equity-common US $21M 160K 0.10
Exelon Corp. Long Equity-common US $23M 601K 0.11
Fastenal Co. Long Equity-common US $23M 344K 0.11
Fortinet, Inc. Long Equity-common US $27M 459K 0.13
GE HealthCare Technologies, Inc. Long Equity-common US $21M 274K 0.10
Gilead Sciences, Inc. Long Equity-common US $48M 748K 0.23
GLOBALFOUNDRIES, Inc. Long Equity-common KY $16M 329K 0.08
Honeywell International, Inc. Long Equity-common US $79M 392K 0.37
IDEXX Laboratories, Inc. Long Equity-common US $25M 50K 0.12
Illumina, Inc. Long Equity-common US $10M 95K 0.05
Intel Corp. Long Equity-common US $78M 3M 0.37
Intuit, Inc. Long Equity-common US $97M 168K 0.45
Intuitive Surgical, Inc. Long Equity-common US $85M 212K 0.40
INVESCO GOVERNMENT & AGENCY PORTFOLIO OPEN-END FUND USD (INVESCO GOVT AND AGCY LEX) Long Short-term investment vehicle US $15M 15M 0.07
Keurig Dr Pepper, Inc. Long Equity-common US $29M 834K 0.13
KLA Corp. Long Equity-common US $62M 81K 0.29
Kraft Heinz Co. (The) Long Equity-common US $26M 729K 0.12
Lam Research Corp. Long Equity-common US $74M 79K 0.34
Linde plc Long Equity-common IE $126M 289K 0.59
Lululemon Athletica, Inc. Long Equity-common US $23M 73K 0.11
Marriott International, Inc., Class A Long Equity-common US $40M 174K 0.19
Marvell Technology, Inc. Long Equity-common US $36M 520K 0.17
MercadoLibre, Inc. Long Equity-common US $52M 30K 0.25
Meta Platforms, Inc., Class A Long Equity-common US $380M 814K 1.78
Microchip Technology, Inc. Long Equity-common US $32M 325K 0.15
Micron Technology, Inc. Long Equity-common US $83M 664K 0.39
Microsoft Corp. Long Equity-common US $718M 2M 3.36
Moderna, Inc. Long Equity-common US $33M 230K 0.15
Mondelez International, Inc., Class A Long Equity-common US $55M 809K 0.26
MongoDB, Inc., Class A Long Equity-common US $10M 43K 0.05
Monster Beverage Corp. Long Equity-common US $32M 625K 0.15
NASDAQ 100 E-Mini Index Derivative-equity US $53M 0.25
Netflix, Inc. Long Equity-common US $167M 260K 0.78
NVIDIA Corp. Long Equity-common US $638M 582K 2.99
NXP Semiconductors NV Long Equity-common NL $42M 154K 0.20
O'Reilly Automotive, Inc. Long Equity-common US $34M 36K 0.16
Old Dominion Freight Line, Inc. Long Equity-common US $23M 131K 0.11
ON Semiconductor Corp. Long Equity-common US $19M 257K 0.09
PACCAR, Inc. Long Equity-common US $34M 315K 0.16
Palo Alto Networks, Inc. Long Equity-common US $57M 194K 0.27
Paychex, Inc. Long Equity-common US $26M 217K 0.12
PayPal Holdings, Inc. Long Equity-common US $41M 644K 0.19
PDD Holdings, Inc. Long Equity-common KY $60M 401K 0.28
PepsiCo, Inc. Long Equity-common US $143M 826K 0.67
QUALCOMM, Inc. Long Equity-common US $137M 671K 0.64
Regeneron Pharmaceuticals, Inc. Long Equity-common US $64M 65K 0.30
Repurchase Agreement Long Repurchase agreement US $344M 1.61
Repurchase Agreement Long Repurchase agreement US $111M 0.52
Repurchase Agreement Long Repurchase agreement US $81M 0.38
Repurchase Agreement Long Repurchase agreement US $59M 0.27
Repurchase Agreement Long Repurchase agreement US $11M 0.05
Roper Technologies, Inc. Long Equity-common US $34M 64K 0.16
Ross Stores, Inc. Long Equity-common US $28M 202K 0.13
Sirius XM Holdings, Inc. Long Equity-common US $7M 2M 0.03
Starbucks Corp. Long Equity-common US $55M 680K 0.26
Synopsys, Inc. Long Equity-common US $51M 92K 0.24
T-Mobile US, Inc. Long Equity-common US $125M 713K 0.58
Take-Two Interactive Software, Inc. Long Equity-common US $16M 103K 0.08
Tesla, Inc. Long Equity-common US $200M 1M 0.94
Texas Instruments, Inc. Long Equity-common US $107M 547K 0.50
Total Return Swap Derivative-equity US $1B 5.77
Total Return Swap Derivative-equity US $1B 5.63
Total Return Swap Derivative-equity US $869M 4.07
Total Return Swap Derivative-equity US $278M 1.30
Total Return Swap Derivative-equity US $278M 1.30
Total Return Swap Derivative-equity US $217M 1.02
Total Return Swap Derivative-equity US $211M 0.99
Total Return Swap Derivative-equity US $203M 0.95
Total Return Swap Derivative-equity US $41M 0.19
Trade Desk, Inc. (The), Class A Long Equity-common US $25M 267K 0.12
U.S. Treasury Bills (United States of America) Long Short-term investment vehicle US $1B 5.56
U.S. Treasury Bills (United States of America) Long Short-term investment vehicle US $748M 3.50
U.S. Treasury Bills (United States of America) Long Short-term investment vehicle US $698M 3.26
U.S. Treasury Bills (United States of America) Long Short-term investment vehicle US $696M 3.26
U.S. Treasury Bills (United States of America) Long Short-term investment vehicle US $624M 2.92
U.S. Treasury Bills (United States of America) Long Short-term investment vehicle US $600M 2.81
U.S. Treasury Bills (United States of America) Long Short-term investment vehicle US $492M 2.30
U.S. Treasury Bills (United States of America) Long Short-term investment vehicle US $488M 2.28
U.S. Treasury Bills (United States of America) Long Short-term investment vehicle US $397M 1.86
U.S. Treasury Bills (United States of America) Long Short-term investment vehicle US $349M 1.63
U.S. Treasury Bills (United States of America) Long Short-term investment vehicle US $345M 1.62
U.S. Treasury Bills (United States of America) Long Short-term investment vehicle US $295M 1.38
U.S. Treasury Bills (United States of America) Long Short-term investment vehicle US $199M 0.93
U.S. Treasury Bills (United States of America) Long Short-term investment vehicle US $199M 0.93
U.S. Treasury Bills (United States of America) Long Short-term investment vehicle US $196M 0.92
Verisk Analytics, Inc., Class A Long Equity-common US $22M 86K 0.10
Vertex Pharmaceuticals, Inc. Long Equity-common US $71M 155K 0.33
Walgreens Boots Alliance, Inc. Long Equity-common US $8M 518K 0.04
Warner Bros Discovery, Inc. Long Equity-common US $12M 1M 0.06
Workday, Inc., Class A Long Equity-common US $27M 125K 0.12
Xcel Energy, Inc. Long Equity-common US $19M 334K 0.09
Zscaler, Inc. Long Equity-common US $15M 89K 0.07

Address

ProShares Trust
7272 Wisconsin Avenue
Bethesda
Maryland
20814
United States of America

Directors

Russell S. Reynolds, III
Michael L. Sapir
Michael C. Wachs
William D. Fertig

Transfer Agents

JPMORGAN CHASE BANK, N.A.

Pricing Services

LSEG
ICE Data Pricing & Reference Data, LLC
Bloomberg L.P.

Custodians

JPMorgan Chase Bank, N.A.

Shareholder Servicing Agents

N/A

Admins

Citi Fund Services Ohio, Inc.
JPMORGAN CHASE BANK, N.A.

Brokers

Societe Generale