Company: EUO
Filing Date: 2025-03-28
Form Type: 424B3
Source: 0001193125-25-065648
Chunk: 106

Company: ProShares Trust II
Filing Date: 2025-03-28
Form: 424B3
Chunk 106
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 |  16.47% | -12.28% | -12.89% |  29.13% |
| June             |  -1.37% | -13.54% | -13.18% |  -6.72% |  -8.85% |
| July             |  65.32% |  -5.39% |  -2.60% |  17.29% |  -4.71% |
| August           |  31.26% | -12.73% | -23.24% |  -4.49% |  -1.93% |
| September        | -34.13% | -16.45% |  12.39% | -18.25% |  15.86% |
| October          |   0.07% |  17.43% |  -0.55% |   3.98% |   7.89% |
| November         | -11.20% | -10.20% |  26.88% |  20.96% | -12.77% |
| December         |  35.08% |   4.18% |  20.71% | -12.37% | -12.04% |
| Annual           |  59.97% | -31.31% |  -8.87% | -14.07% |  22.98% |
| Year-to-Date     |     N/A |     N/A |     N/A |     N/A |     N/A |

See accompanying Footnotes to Performance Information. Footnotes to Performance Information † As of June 30, 2020 the Fund’s benchmark was the Bloomberg WTI Crude Oil Subindex SM . The Fund changed its benchmark from the Prior Oil Benchmark to the Bloomberg Commodity Balanced WTI Crude Oil Subindex on September 17, 2020. 1. “Aggregate Gross Capital Subscriptions” is the aggregate of all amounts ever contributed to the pool, including those of investors who subsequently redeemed their investments. 2. “Aggregate Net Capital Subscriptions” is the aggregate of all amounts ever contributed to the pool, excluding those of investors who subsequently redeemed their investments. 3. “Net Asset Value per Share” is the net asset value, based on the pricing policies of the Trust