Universe · entity

ProShare Advisors LLC

Institutional manager (13F) · CIK 1357955
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $46.5B
#IssuerValueShares
1PROSHARES TR$19.7B197,028,347
2NVIDIA CORPORATION$3.0B17,363,875
3APPLE INC$2.3B9,232,719
4MICROSOFT CORP$1.8B4,728,436
5AMAZON COM INC$1.4B6,574,226
6BROADCOM INC$1.0B3,385,207
7WALMART INC$1.0B8,341,425
8ALPHABET INC$1.0B3,533,517
9TESLA INC$1.0B2,711,967
10META PLATFORMS INC$959M1,676,081
11ALPHABET INC$914M3,185,410
12COSTCO WHOLESALE CORPORATION$625M627,658
13MICRON TECHNOLOGY INC$590M1,745,620
14NETFLIX INC.$574M5,973,880
15LINDE PLC$515M1,039,351
16ADVANCED MICRO DEVICES INC$514M2,524,725
17PALANTIR TECHNOLOGIES INC$488M3,335,667
18PEPSICO INC$476M3,066,900
19CISCO SYS INC$462M5,952,026
20APPLIED MATLS INC$426M1,246,396
21LAM RESEARCH CORP$419M1,961,746
22INTEL CORP$337M7,639,724
23EXXON MOBIL CORP$328M1,932,789
24AMGEN INC$315M895,679
25CATERPILLAR INC$311M439,406
26T-MOBILE US INC$310M1,474,887
27JOHNSON & JOHNSON$305M1,247,708
28KLA CORP$304M206,269
29CHEVRON CORPORATION$296M1,432,774
30TEXAS INSTRS INC$278M1,431,094
31GILEAD SCIENCES INC$252M1,811,223
32AUTOMATIC DATA PROCESSING IN$248M1,220,367
33FASTENAL CO$247M5,329,121
34ANALOG DEVICES INC$247M775,388
35CINTAS CORP$238M1,405,246
36MCDONALDS CORP$236M758,532
37INTUITIVE SURGICAL INC$233M504,574
38PROCTER & GAMBLE CO$229M1,585,777
39HONEYWELL INTL INC$229M1,013,185
40COCA COLA CO$226M2,976,020
41ABBVIE INC$226M1,039,100
42QUALCOMM INC$219M1,697,621
43NEXTERA ENERGY INC$212M2,285,191
44INTERNATIONAL BUSINESS MACHS$209M863,360
45CHUBB LTD SWITZ$203M624,118
46ROPER TECHNOLOGIES INC$203M574,548
47TARGET CORP$199M1,640,575
48SHERWIN WILLIAMS CO$198M616,247
49JPMORGAN CHASE & CO$197M668,606
50AIR PRODUCTS AND CHEMICALS I$193M665,009
All filings on EDGAR ↗

Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.