
ProShares Trust II — Investor Relations & Filings
ProShares Trust II is a statutory trust that serves as the issuer for a series of exchange-traded funds (ETFs). The trust is structured as a commodity pool, and its funds are not regulated as investment companies under the Investment Company Act of 1940. Its offerings primarily provide exposure to volatility, commodity, and currency markets. A key characteristic of these products is the use of geared (leveraged and inverse) strategies, which seek daily investment results that correspond to a multiple (e.g., 2x or -2x) of an underlying benchmark's daily performance. The funds achieve their objectives through derivative instruments, such as futures contracts and swap agreements, rather than by holding the underlying assets directly.
Recent filings
| Filing | Released | Lang | Actions |
|---|---|---|---|
| 8-K - ProShares Trust II (0001415311) (Filer) | 2026-05-12 | English | |
| 10-Q - ProShares Trust II (0001415311) (Filer) | 2026-05-08 | English | |
| 424B3 - ProShares Trust II (0001415311) (Filer) | 2026-03-26 | English | |
| 424B3 - ProShares Trust II (0001415311) (Filer) | 2026-03-26 | English | |
| 424B3 - ProShares Trust II (0001415311) (Filer) | 2026-03-26 | English | |
| 10-K - PROSHARES TRUST II (0001415311) (Filer) | 2026-02-26 | English |
Browse filings by year
17 years| ID | Filing | Released | Lang | Actions | |
|---|---|---|---|---|---|
|
2026
7 filings
| |||||
| 45338698 | 8-K - ProShares Trust II (0001415311) (Filer) | 2026-05-12 | English | ||
| 44380047 | 10-Q - ProShares Trust II (0001415311) (Filer) | 2026-05-08 | English | ||
| 33052482 | 424B3 - ProShares Trust II (0001415311) (Filer) | 2026-03-26 | English | ||
| 33052485 | 424B3 - ProShares Trust II (0001415311) (Filer) | 2026-03-26 | English | ||
| 33052414 | 424B3 - ProShares Trust II (0001415311) (Filer) | 2026-03-26 | English | ||
| 32891564 | 10-K - PROSHARES TRUST II (0001415311) (Filer) | 2026-02-26 | English | ||
| 32891563 | 8-K - PROSHARES TRUST II (0001415311) (Filer) | 2026-02-11 | English | ||
|
2025
8 filings
| |||||
| 29597767 | 10-Q Filing | 2025-11-07 | English | ||
| 29596815 | 8-K Filing | 2025-11-04 | English | ||
| 29597998 | 10-Q Filing | 2025-08-08 | English | ||
| 29597746 | 8-K/A Filing | 2025-06-06 | English | ||
| 29597834 | 8-K Filing | 2025-05-29 | English | ||
| 29597759 | 10-Q Filing | 2025-05-09 | English | ||
| 29597694 | 424B3 Filing | 2025-03-28 | English | ||
| 29596804 | 424B3 Filing | 2025-03-28 | English | ||
Market data
Market data not available
Price history
Peer group · Activities of non-money market investments funds
| Company | Ticker | Country | Sector |
|---|---|---|---|
|
COTWO ADVISORS PHYSICAL EUROPEAN CARBON ALLOWANCE TRUST
An ETP providing direct exposure to the European carbon mar…
|
CTWO | US | Financial and insurance activit… |
|
Countryside Power Income Fund
An open-ended investment fund owning and strategically inve…
|
COU.UN | CA | Financial and insurance activit… |
|
CPVC Financial Corporation
Private equity investment and corporate finance advisory se…
|
— | CA | Financial and insurance activit… |
|
CQS NATURAL RES GROWTH & INCOME PLC
Investment trust seeking growth and income from global natu…
|
CYN | GB | Financial and insurance activit… |
|
CQS New City High Yield Fund Ltd
A closed-end fund investing in high-yielding fixed interest…
|
NCYH | JE | Financial and insurance activit… |
|
Creades
An investment firm and long-term owner of small and medium-…
|
CRED | SE | Financial and insurance activit… |
|
CREDIT SUISSE ASSET MANAGEMENT INCOME FUND, INC.
A closed-end fund investing in U.S. high-yield corporate de…
|
CIK | US | Financial and insurance activit… |
|
CREDIT SUISSE HIGH YIELD CREDIT FUND
A leveraged, closed-end fund investing in U.S. high-yield b…
|
DHY | US | Financial and insurance activit… |
|
Crescent Capital BDC, Inc.
A specialty finance firm investing in debt for private U.S.…
|
CCAP | US | Financial and insurance activit… |
|
Creststreet Power & Income Fund LP
Investment vehicle historically focused on funding income-p…
|
— | CA | Financial and insurance activit… |
ProShares Trust II via the API
Pull this company's filings, identifiers, and metadata as JSON or Markdown. Authenticate with your API key, then query by company ID, ISIN, or LEI. Full schema documented in the OpenAPI spec.
Endpoints
| GET | /api/companies/35614/ | Company identity, sector, listing, identifiers |
| GET | /api/filings/?company=35614 | Paginated list of all filings (filterable by type, date, language) |
| GET | /api/filings/{id}/ | Single filing — metadata, document URL, processing status |
| GET | /api/filings/{id}/markdown/ | Filing content as Markdown (PDF → text/tables/figures) |
| GET | /api/isins/?company=35614 | All ISINs registered to this company |
| GET | /api/filing-types/ | Reference: every filing-type code + category |
cURL
$ curl https://api.financialreports.eu/api/filings/?company=35614 \ -H "x-api-key: $FR_API_KEY" \ -H "Accept: application/json"
Python
import requests r = requests.get( "https://api.financialreports.eu/api/filings/", params={"company": 35614}, headers={"x-api-key": API_KEY}, ) filings = r.json()["results"]
MCP server
// MCP server URL https://mcp.financialfilings.com/mcp // Once connected, the LLM can query this company directly: "Pull the latest 5 filings for ProShares Trust II (id: 35614)"
Report missing filing
Can't find a specific document? Let us know and we'll add it within 24 hours.