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 2551–2600 of 3,619
| Ticker | Company | Shares | Value | Type |
|---|---|---|---|---|
| IPO | RENAISSANCE IPO ETF | 252 | $12K | SH |
| BIOA | BIOAGE LABS INC COM | 867 | $11K | SH |
| OII | OCEANEERING INTL INC | 477 | $11K | SH |
| GLIBA | GCI LIBERTY INC COM SER A | 309 | $11K | SH |
| ADPT | ADAPTIVE BIOTECHNOLOGIES CORP COM | 699 | $11K | SH |
| RGTI | RIGETTI COMPUTING INC COMMON STOCK | 509 | $11K | SH |
| CENT | CENTRAL GARDEN & PET CO COM | 350 | $11K | SH |
| PRCH | PORCH GROUP INC COM | 1K | $11K | SH |
| RXST | RXSIGHT INC COM | 1K | $11K | SH |
| COCO | VITA COCO CO INC COM | 211 | $11K | SH |
| TRTX | TPG RE FIN TR INC COM | 1K | $11K | SH |
| BHC | BAUSCH HEALTH COS INC COM | 2K | $11K | SH |
| XLRE | STATE STREET REAL ESTATE SELECT SECTOR SPDR ETF | 276 | $11K | SH |
| KOS | KOSMOS ENERGY LTD COM | 12K | $11K | SH |
| MCY | MERCURY GENL CORP NEW COM | 118 | $11K | SH |
| VTS | VITESSE ENERGY INC COMMON STOCK | 573 | $11K | SH |
| ACVA | ACV AUCTIONS INC COM CL A | 1K | $11K | SH |
| AGZ | ISHARES AGENCY BOND ETF | 100 | $11K | SH |
| GLIN | MARKET VECTORS ETF TR INDIA SMALL CAP INDEX ETF NEW | 239 | $11K | SH |
| BANC | FIRST PACTRUST BAN CORP INC | 568 | $11K | SH |
| LAND | GLADSTONE LD CORP COM | 1K | $11K | SH |
| UEC | URANIUM ENERGY CORP COM | 934 | $11K | SH |
| TU | TELUS CORPORATION COM | 828 | $11K | SH |
| IESC | IES HOLDINGS INC COM | 28 | $11K | SH |
| ARX | ACCELERANT HOLDINGS CL A | 666 | $11K | SH |
| ADME | APTUS DRAWDOWN MANAGED EQUITY ETF | 211 | $11K | SH |
| EMA | EMERA INC COM | 220 | $11K | SH |
| PRM | PERIMETER SOLUTIONS INC COMMON STOCK | 392 | $11K | SH |
| TTGT | TECHTARGET INC COM NEW | 2K | $11K | SH |
| IYK | ISHARES DOW JONES US CONSUMER GOODS | 159 | $11K | SH |
| NMIH | NMI HLDGS INC COM | 261 | $11K | SH |
| DIN | DINE BRANDS GLOBAL INC COM | 331 | $11K | SH |
| EWH | ISHARES INC MSCI HONG KONG INDEX FD | 500 | $11K | SH |
| GBX | GREENBRIER COMPANIES INC | 225 | $11K | SH |
| FLG | NY COMMUNITY BANCORP INC | 835 | $11K | SH |
| HWKN | HAWKINS INC COM | 74 | $11K | SH |
| ETW | EATON VANCE TAX MANAGED BUY WRITE OPPORTUNITIES FD COM | 1K | $11K | SH |
| CNK | CINEMARK HLDGS INC COM | 452 | $11K | SH |
| ZIM | ZIM INTEGRATED SHIPPING SERV SHS | 494 | $11K | SH |
| BBIO | BRIDGEBIO PHARMA INC COM | 137 | $10K | SH |
| DGRS | WISDOMTREE US SMALLCAP QUALITY DIVIDEND GROWTH FUND | 211 | $10K | SH |
| HYLS | FIRST TRUST TACTICAL HIGH YIELD ETF | 250 | $10K | SH |
| MRTN | MARTEN TRANS LTD COM | 914 | $10K | SH |
| SCHO | SCHWAB SHORT TERM US TREASURY ETF | 423 | $10K | SH |
| CNS | COHEN & STEERS INC | 162 | $10K | SH |
| ACHC | ACADIA HEALTHCARE COMPANY INC | 716 | $10K | SH |
| HNI | HNI CORP COM | 241 | $10K | SH |
| DRH | DIAMONDROCK HOSPITALITY CO COM | 1K | $10K | SH |
| LPX | LOUISIANA PACIFIC | 125 | $10K | SH |
| RLAY | RELAY THERAPEUTICS INC COM | 1K | $10K | SH |