CIK 1690010
Parallel Advisors, LLC
Institutional 13F holdings & portfolio
Holdings
3,619
Portfolio Value
$5.47B
Latest Report
Dec 31, 2025
Report Periods
3
Holdings
13F filings as of Dec 31, 2025 · Showing 2251–2300 of 3,619
| Ticker | Company | Shares | Value | Type |
|---|---|---|---|---|
| PENN | PENN NATL GAMING INC | 1K | $21K | SH |
| FXN | FIRST TR EXCHANGE TRADED FD II ENERGY ALPHADEX FD ANNUAL | 1K | $21K | SH |
| MISL | FIRST TRUST INDXX AEROSPACE & DEFENSE ETF | 500 | $21K | SH |
| YELP | YELP INC | 704 | $21K | SH |
| PFSI | PENNYMAC FINL SVCS INC NEW COM | 161 | $21K | SH |
| CNRG | STATE STREET SPDR S&P KENSHO CLEAN POWER ETF | 238 | $21K | SH |
| LBRDA | LIBERTY BROADBAND CORP COM SER A | 441 | $21K | SH |
| SPXU | PROSHARES ULTRAPRO SHORT S&P500 | 428 | $21K | SH |
| EBND | SPDR BLOOMBERG EMERGING MARKETS LOCAL BOND ETF | 995 | $21K | SH |
| FIVN | FIVE9 INC COM | 1K | $21K | SH |
| LINE | LINEAGE INC COM | 605 | $21K | SH |
| FITE | STATE STREET SPDR S&P KENSHO FUTURE SECURITY ETF | 247 | $21K | SH |
| S | SENTINELONE INC CL A | 1K | $21K | SH |
| DJT | TRUMP MEDIA & TECHNOLOGY GROUP COM | 2K | $21K | SH |
| GFF | GRIFFON CORP COM | 285 | $21K | SH |
| IOSP | INNOSPEC INC COM | 274 | $21K | SH |
| BLLN | BILLIONTOONE INC CL A | 255 | $21K | SH |
| GFS | GLOBALFOUNDRIES INC ORDINARY SHARES | 595 | $21K | SH |
| ROBO | ROBO GLOBAL ROBOTICS & AUTOMATION INDEX ETF | 300 | $21K | SH |
| KALV | KALVISTA PHARMACEUTICALS INC COM | 1K | $21K | SH |
| CWT | CALIFORNIA WTR SVC GROUP COM | 478 | $21K | SH |
| COLL | COLLEGIUM PHARMACEUTICAL INC COM | 448 | $21K | SH |
| WSBC | WESBANCO INC COM | 624 | $21K | SH |
| — | INTERNATIONAL BUSINESS M CLL OPT 01/27 260.0 CAL | 200 | $21K | SH (Call) |
| DRLL | STRIVE U.S. ENERGY ETF | 725 | $21K | SH |
| FXF | INVESCO CURRENCYSHARES SWISS FRANC TRUST | 185 | $21K | SH |
| SB | SAFE BULKERS INC COM | 4K | $21K | SH |
| CDE | COEUR MNG INC COM NEW | 1K | $21K | SH |
| HOMB | HOME BANCSHARES INC COM | 740 | $21K | SH |
| NVDX | T-REX 2X LONG NVIDIA DAILY TARGET ETF | 1K | $21K | SH |
| KNF | KNIFE RIVER CORP COMMON STOCK | 292 | $21K | SH |
| MOG.A | MOOG INC CL A | 84 | $21K | SH |
| CSB | VICTORYSHARES US SMALL CAP HIGH DIVIDEND VOLATILITY WTD ETF | 350 | $21K | SH |
| LMND | LEMONADE INC COM | 288 | $21K | SH |
| VUSB | VANGUARD ULTRA-SHORT BOND ETF | 410 | $20K | SH |
| WU | WESTERN UNION COMPANY | 2K | $20K | SH |
| QURE | UNIQURE NV SHS | 848 | $20K | SH |
| BSCQ | INVESCO BULLETSHARES 2026 CORPORATE BOND ETF | 1K | $20K | SH |
| QQQI | NEOS NASDAQ 100 HIGH INCOME ETF | 374 | $20K | SH |
| LRN | K12 INC | 310 | $20K | SH |
| ALMS | ALUMIS INC COM | 2K | $20K | SH |
| VICR | VICOR CORP | 183 | $20K | SH |
| RNA | AVIDITY BIOSCIENCES INC COM | 277 | $20K | SH |
| AWAY | AMPLIFY TRAVEL TECH ETF | 964 | $20K | SH |
| BITQ | BITWISE CRYPTO INDUSTRY INNOVATORS ETF | 1K | $20K | SH |
| FMNB | FARMERS NATIONAL BANC CORP COM | 1K | $20K | SH |
| BL | BLACKLINE INC COM | 358 | $20K | SH |
| SMP | STANDARD MTR PRODS INC COM | 537 | $20K | SH |
| PRGS | PROGRESS SOFTWARE CORP | 460 | $20K | SH |
| UHT | UNIVERSAL HEALTH RLTY INCM TR | 502 | $20K | SH |