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Company:
PROSHARES TRUST (SH)
Form Type:
485APOS
Filing Date:
9/9/2011
CIK:
0001174610
Address:
7501 WISCONSIN AVENUE
SUITE 1000
City, State, Zip:
BETHESDA, Maryland 20814
Telephone:
240-497-6400
Fiscal Year:
05/31
Last Trade
Last Trade:
$28.67
Change:
-0.26 (-0.90%)
Trade Time:
May 17
Market Cap:
$1.77B
Register for a Free Trial and access this filing in:
FORM 485APOS
Investment Objective
Fees and Expenses of the Fund
OPERATING EXPENSES
Principal Investment Strategies
Principal Risks
Investment Results
Management
Investment Objective, Principal Investment Strategies, ...
Investment Objective
Principal Investment Strategies
Principal Risks
Management of ProShares Trust
Board of Trustees and Officers
Investment Adviser
Portfolio Management
Determination of NAV
Frequent Purchases and Redemption of Shares
STATEMENT OF ADDITIONAL INFORMATION
INVESTMENT POLICIES, TECHNIQUES AND RELATED RISKS
Estimated Fund Return Over One Year When the Fund Objective ...
FUND PERFORMANCE
FUND PERFORMANCE
Estimated Fund Return Over One Year When the Fund Objective ...
FUND PERFORMANCE
Estimated Fund Return Over One Year When the Fund Objective ...
FUND PERFORMANCE
Estimated Fund Return Over One Year When the Fund Objective ...
FUND PERFORMANCE
PORTFOLIO TRANSACTIONS AND BROKERAGE
MANAGEMENT OF PROSHARES TRUST
Trustees and Officers
NAME AND TITLE
NAME AND TITLE
TRUSTEE OWNERSHIP
COMPENSATION TABLE
Control Persons and Principal Holders of Securities
INVESTMENT ADVISOR
Portfolio Management
TRUSTEE OWNERSHIP
Investment Advisory Agreement
SALES CHARGES
SALES CHARGES
Codes of Ethics
SALES CHARGES
SALES CHARGES
SALES CHARGES
COSTS AND EXPENSES
ADDITIONAL INFORMATION CONCERNING SHARES
PURCHASE AND REDEMPTION OF SHARES
Determination of NAV
FINANCIAL STATEMENTS
TRUST. THIS STATEMENT OF ADDITIONAL INFORMATION DOES NOT ...
Appendix A
PART C. OTHER INFORMATION
Item 28. Exhibits
Item 29. Persons Controlled By or Under Common Control With ...
Item 30. Indemnification
Item 31. Business and Other Connections of Investment Adviser
Item 32. Principal Underwriters
TD Asset Management USA Funds
NAME AND TITLE
Item 33. Location of Accounts and Records
Item 34. Management Services
Item 35. Undertakings
SIGNATURES
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