Shareholder Report | 2 Months Ended | 5 Months Ended | 7 Months Ended | 8 Months Ended | 12 Months Ended |
May 31, 2024 USD ($) Holding | May 31, 2024 USD ($) Holding | May 31, 2024 USD ($) Holding | May 31, 2024 USD ($) Holding | May 31, 2024 USD ($) Holding | May 31, 2024 USD ($) Holding |
Shareholder Report [Line Items] | | | | | | |
Document Type | | | | | | N-CSR |
Amendment Flag | | | | | | false |
Registrant Name | | | | | | ProShares Trust |
Entity Central Index Key | | | | | | 0001174610 |
Entity Investment Company Type | | | | | | N-1A |
Document Period End Date | | | | | | May 31, 2024 |
C000245674 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | Bitcoin & Ether Equal Weight Strategy ETF | |
Trading Symbol | | | | | BETE | |
Security Exchange Name | | | | | NYSEArca | |
Annual or Semi-Annual Statement [Text Block] | | | | | This annual shareholder report contains important information about Bitcoin & Ether Equal Weight Strategy ETF (the Fund) for the period of September 29, 2023 to May 31, 2024. | |
Shareholder Report Annual or Semi-Annual | | | | | Annual Shareholder Report | |
Additional Information [Text Block] | | | | | You can find additional information about the Fund at https://www.proshares.com/shareholder_reports | |
Additional Information Phone Number | | | | | 866-776-5125 | |
Additional Information Website | | | | | https://www.proshares.com/shareholder_reports</span>" id="sjs-F19"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/shareholder_reports</span> | |
Expenses [Text Block] | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Footnote Reference Costs paid as a percentage of a $10,000 investment BETE $102 0.95% Footnote Description Footnote * Amount shown reflects the expenses of the Fund from inception date through May 31, 2024. Expenses would be higher if the Fund had been in operations for the full year. | |
Expenses Paid, Amount | | | | | $ 102 | |
Expense Ratio, Percent | | | | | 0.95% | |
Factors Affecting Performance [Text Block] | | | | | How Did the Fund Perform Last Year? Bitcoin & Ether Equal Weight Strategy ETF (the Fund) seeks investment results, before fees and expenses, that correspond to the performance of an equal weight basket of bitcoin and ether. The Fund invests in financial instruments that the Advisor believes, in combination, should produce daily returns consistent with the Funds investment objective. Bitcoin and ether returns were driven by factors such as a "risk-on" market and anticipation of an evolving regulatory environment leading to new crypto-related product innovation. For the period September 29, 2023, through May 31, 2024, the Fund had a total return of 122.80%. Primary factors affecting Fund performance include the total return of the derivatives held by the Fund, including the performance of the reference assets to which any derivatives are linked, expenses, transaction costs, and other miscellaneous factors. | |
Line Graph [Table Text Block] | | | | | Value Based on a $10,000 Investment Footnote Reference Bitcoin & Ether Equal Weight Strategy ETF : $22,280 Bloomberg Bitcoin Index : $25,138 Bloomberg Ethereum Index : $22,702 S&P 500 ® 9/29/2023 10,000 10,000 10,000 10,000 10/31/2023 11,826 12,814 10,872 9,790 11/30/2023 12,932 14,020 12,272 10,684 12/31/2023 14,299 15,601 13,830 11,169 1/31/2024 14,121 15,835 13,758 11,357 2/29/2024 20,647 23,094 20,434 11,963 3/31/2024 22,429 26,313 21,419 12,348 4/30/2024 18,355 22,080 17,607 11,844 5/31/2024 22,280 25,138 22,702 12,432 Footnote Description Footnote * The line graph represents historical performance of a hypothetical investment of $10,000 in the ProShares Bitcoin & Ether Equal Weight Strategy ETF from September 29, 2023 to May 31, 2024, assuming the reinvestment of distributions. | |
Average Annual Return [Table Text Block] | | | | | Average Annual Total Return Fund/Index Name Since Inception (9/29/2023) Bitcoin & Ether Equal Weight Strategy ETF - NAV 122.80% Bitcoin & Ether Equal Weight Strategy ETF - Market Price 123.38% Bloomberg Bitcoin Index 142.35% Bloomberg Ethereum Index 127.17% S&P 500 ® 24.30% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ Bloomberg ® | |
AssetsNet | $ 5,611,728 | $ 5,611,728 | $ 5,611,728 | $ 5,611,728 | $ 5,611,728 | $ 5,611,728 |
Holdings Count | Holding | 4 | 4 | 4 | 4 | 4 | 4 |
Advisory Fees Paid, Amount | | | | | $ 20,659 | |
InvestmentCompanyPortfolioTurnover | | | | | 0% | |
Additional Fund Statistics [Text Block] | | | | | Key Fund Statistics Net Assets $5,611,728 Number of Portfolio Holdings 4 Investment Advisory Fees $20,659 Portfolio Turnover Rate -% | |
Holdings [Text Block] | | | | | Market Exposure Investment Type % of Net Assets Futures Contracts 97% Total 97% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. | |
Largest Holdings [Text Block] | | | | | Largest Holdings Company % of Net Assets Repurchase Agreements with various counterparties 65.9% | |
Material Fund Change [Text Block] | | | | | | |
C000171471 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | K-1 Free Crude Oil Strategy ETF |
Trading Symbol | | | | | | OILK |
Security Exchange Name | | | | | | CboeBZX |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about K-1 Free Crude Oil Strategy ETF (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/shareholder_reports</span>" id="sjs-G43"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment OILK $78 0.69% |
Expenses Paid, Amount | | | | | | $ 78 |
Expense Ratio, Percent | | | | | | 0.69% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? K-1 Free Crude Oil Strategy ETF (the Fund) seeks investment results, before fees and expenses, that track the performance of the Bloomberg Commodity Balanced WTI Crude Oil Index SM |
Line Graph [Table Text Block] | | | | | | Value Based on a $10,000 Investment Footnote Reference K-1 Free Crude Oil Strategy ETF : $10,626 Bloomberg Commodity Balanced WTI Crude Oil Index℠ : $13,656 Bloomberg Commodity Index : $14,108 9/26/2016 10,000 10,000 10,000 9/30/2016 10,502 10,424 10,057 12/31/2016 11,196 11,170 10,325 3/31/2017 10,110 10,167 10,084 6/30/2017 8,976 9,102 9,781 9/30/2017 9,969 10,120 10,028 12/31/2017 11,525 11,739 10,500 3/31/2018 12,473 12,776 10,458 6/30/2018 14,313 14,466 10,500 9/30/2018 14,643 14,938 10,288 12/31/2018 9,055 9,338 9,320 3/31/2019 11,736 12,154 9,909 6/30/2019 11,352 11,810 9,791 9/30/2019 10,534 11,027 9,611 12/31/2019 11,917 12,554 10,036 3/31/2020 3,949 4,202 7,698 6/30/2020 3,951 5,193 8,089 9/30/2020 3,959 5,236 8,823 12/31/2020 4,653 6,188 9,722 3/31/2021 5,717 7,581 10,395 6/30/2021 6,994 9,301 11,777 9/30/2021 7,341 9,799 12,554 12/31/2021 7,550 10,104 12,358 3/31/2022 10,297 13,807 15,515 6/30/2022 10,963 14,740 14,637 9/30/2022 8,909 11,996 14,035 12/31/2022 9,663 13,033 14,347 3/31/2023 9,189 12,327 13,578 6/30/2023 8,861 11,789 13,230 9/30/2023 10,917 14,399 13,854 12/31/2023 9,620 12,563 13,212 3/31/2024 10,950 14,167 13,502 5/31/2024 10,626 13,656 14,108 Footnote Description Footnote * The line graph represents historical performance of a hypothetical investment of $10,000 in the ProShares K-1 Free Crude Oil Strategy ETF from September 26, 2016 to May 31, 2024, assuming the reinvestment of distributions. |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Since Inception (9/26/16) K-1 Free Crude Oil Strategy ETF - NAV 25.68% 0.39% 0.79% K-1 Free Crude Oil Strategy ETF - Market Price 26.40% 0.54% 0.82% Bloomberg Commodity Balanced WTI Crude Oil Index℠ 27.76% 16.16% 10.04% Bloomberg Commodity Index 10.95% 8.14% 4.58% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ Bloomberg ® |
AssetsNet | $ 133,331,812 | $ 133,331,812 | $ 133,331,812 | $ 133,331,812 | $ 133,331,812 | $ 133,331,812 |
Holdings Count | Holding | 4 | 4 | 4 | 4 | 4 | 4 |
Advisory Fees Paid, Amount | | | | | | $ 799,159 |
InvestmentCompanyPortfolioTurnover | | | | | | 0% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $133,331,812 Number of Portfolio Holdings 4 Net Investment Advisory Fees $799,159 Portfolio Turnover Rate -% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Futures Contracts 100% Total 100% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets Repurchase Agreements with various counterparties 82.4% |
Material Fund Change [Text Block] | | | | | | |
C000038822 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | Short Russell2000 |
Trading Symbol | | | | | | RWM |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about Short Russell2000 (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G67"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment RWM $89 0.95% |
Expenses Paid, Amount | | | | | | $ 89 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? Short Russell2000 (the Fund) seeks daily investment results, before fees and expenses, that correspond to the inverse (-1x) of the daily performance of the Russell 2000 ® ® |
Line Graph [Table Text Block] | | | | | | Short Russell2000 : $3,343 Russell 2000 ® Russell 3000 Index : $31,307 5/31/2014 10,000 10,000 10,000 6/30/2014 9,474.470000 10,532 10,251 9/30/2014 10,141.880000 9,756.850000 10,252.030000 12/31/2014 9,128.700000 10,705.990000 10,789.230000 3/31/2015 8,668.980000 11,167.950000 10,983.440000 6/30/2015 8,571.330000 11,214.860000 10,998.810000 9/30/2015 9,608.650000 9,878.050000 10,201.400000 12/31/2015 9,165.420000 10,232.670000 10,841.030000 3/31/2016 9,156.200000 10,077.130000 10,946.190000 6/30/2016 8,720.920000 10,459.240000 11,234.070000 9/30/2016 7,939.110000 11,405.370000 11,728.370000 12/31/2016 7,236.210000 12,412.860000 12,222.130000 3/31/2017 7,025.420000 12,718.940000 12,923.680000 6/30/2017 6,834.380000 13,031.830000 13,313.980000 9/30/2017 6,460.840000 13,770.730000 13,922.430000 12/31/2017 6,251.650000 14,230.670000 14,805.110000 3/31/2018 6,227.730000 14,219.290000 14,710.360000 6/30/2018 5,788.990000 15,321.280000 15,282.590000 9/30/2018 5,613.560000 15,869.790000 16,370.710000 12/31/2018 6,970.560000 12,664.090000 14,029.700000 3/31/2019 6,092.750000 14,510.510000 15,999.470000 6/30/2019 5,983.680000 14,815.230000 16,655.450000 9/30/2019 6,126.330000 14,459.670000 16,848.650000 12/31/2019 5,586.440000 15,896.960000 18,381.880000 3/31/2020 7,299.580000 11,030.900000 14,540.070000 6/30/2020 5,479.340000 13,834.950000 17,743.240000 9/30/2020 5,147.590000 14,517.020000 19,377.390000 12/31/2020 3,857.240000 19,071.010000 22,222 3/31/2021 3,348.800000 21,493.020000 23,633.090000 6/30/2021 3,175.550000 22,415.070000 25,580.460000 9/30/2021 3,279.290000 21,437.780000 25,554.880000 12/31/2021 3,164.870000 21,896.550000 27,926.370000 3/31/2022 3,350.760000 20,247.740000 26,451.860000 6/30/2022 3,945.600000 16,765.130000 22,034.400000 9/30/2022 3,998.330000 16,397.970000 21,051.660000 12/31/2022 3,743.660000 17,419.560000 22,563.170000 3/31/2023 3,668.400000 17,896.860000 24,183.210000 6/30/2023 3,530.040000 18,829.280000 26,212.180000 9/30/2023 3,785.420000 17,863.340000 25,360.290000 12/31/2023 3,351.680000 20,369.570000 28,421.270000 3/31/2024 3,228.820000 21,424.710000 31,269.080000 5/31/2024 3,343.340000 20,916.950000 31,306.610000 |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years Short Russell2000 - NAV - -12.18% -10.38% Short Russell2000 - Market Price -12.07% -12.19% -10.38% Russell 2000 ® 20.12% 8.60% 7.65% Russell 3000 Index 27.58% 14.98% 12.07% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ "Russell 2000 ® ® |
AssetsNet | $ 167,504,528 | $ 167,504,528 | $ 167,504,528 | $ 167,504,528 | $ 167,504,528 | $ 167,504,528 |
Holdings Count | Holding | 13 | 13 | 13 | 13 | 13 | 13 |
Advisory Fees Paid, Amount | | | | | | $ 1,868,592 |
InvestmentCompanyPortfolioTurnover | | | | | | 0% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $167,504,528 Number of Portfolio Holdings 13 Net Investment Advisory Fees $1,868,592 Portfolio Turnover Rate -% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Swap Agreements (95)% Futures Contracts (5)% Total (100)% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets U.S. Treasury Bills 70.7% Repurchase Agreements with various counterparties 46.6% |
Material Fund Change [Text Block] | | | | | | |
C000074110 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | UltraPro MidCap400 |
Trading Symbol | | | | | | UMDD |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about UltraPro MidCap400 (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G91"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment UMDD $124 0.95% |
Expenses Paid, Amount | | | | | | $ 124 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? UltraPro MidCap400 (the Fund) seeks daily investment results, before fees and expenses, that correspond to three times (3x) the daily performance of the S&P MidCap 400 ® ® |
Line Graph [Table Text Block] | | | | | | UltraPro MidCap400 : $26,439 S&P MidCap 400 ® S&P 1500 Index : $32,221 5/31/2014 10,000 10,000 10,000 6/30/2014 11,260.900000 10,414 10,233 9/30/2014 9,835.330000 9,999.180000 10,278.030000 12/31/2014 11,565.750000 10,634.020000 10,812.480000 3/31/2015 13,257.510000 11,199.090000 10,962.780000 6/30/2015 12,672.540000 11,080.380000 10,981.410000 9/30/2015 9,382.290000 10,138.550000 10,246.760000 12/31/2015 9,912.360000 10,402.150000 10,922.020000 3/31/2016 10,678.720000 10,795.350000 11,093.490000 6/30/2016 11,683.520000 11,226.430000 11,381.920000 9/30/2016 12,959.940000 11,691.690000 11,834.920000 12/31/2016 15,788.060000 12,558.800000 12,346.190000 3/31/2017 17,428.100000 13,053.610000 13,054.860000 6/30/2017 18,157.680000 13,310.760000 13,441.290000 9/30/2017 19,629.830000 13,739.370000 14,038.080000 12/31/2017 23,187.090000 14,598.080000 14,954.770000 3/31/2018 21,829.670000 14,485.670000 14,847.090000 6/30/2018 24,137.080000 15,107.110000 15,389.010000 9/30/2018 26,499.100000 15,690.240000 16,520.110000 12/31/2018 14,163.230000 12,978.970000 14,212.250000 3/31/2019 20,560.960000 14,859.620000 16,150.800000 6/30/2019 21,756.070000 15,312.840000 16,822.670000 9/30/2019 20,863.890000 15,299.060000 17,080.060000 12/31/2019 25,025.830000 16,379.170000 18,603.600000 3/31/2020 6,088.590000 11,514.560000 14,776.840000 6/30/2020 9,977.870000 14,286.110000 17,845.990000 9/30/2020 11,105.290000 14,967.560000 19,373.600000 12/31/2020 20,641.740000 18,615.150000 21,938.670000 3/31/2021 28,903.940000 21,122.620000 23,454.630000 6/30/2021 31,470.680000 21,891.480000 25,363.840000 9/30/2021 29,165.260000 21,506.190000 25,452.610000 12/31/2021 35,697.710000 23,226.680000 28,178.590000 3/31/2022 29,257.660000 22,093.220000 26,871.100000 6/30/2022 16,359.950000 18,686.450000 22,566.350000 9/30/2022 14,304.560000 18,226.760000 21,492.190000 12/31/2022 18,031.860000 20,191.610000 23,166.430000 3/31/2023 19,005.420000 20,960.910000 24,825.150000 6/30/2023 20,807.520000 21,977.510000 26,907.980000 9/30/2023 17,463.160000 21,054.450000 26,003.870000 12/31/2023 22,867.860000 23,511.510000 29,067.130000 3/31/2024 28,986.820000 25,850.900000 32,063.950000 5/31/2024 26,438.950000 25,362.320000 32,221.060000 |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years UltraPro MidCap400 - NAV 62.01% 8.47% 10.21% UltraPro MidCap400 - Market Price 62.40% 8.46% 10.22% S&P MidCap 400 ® 25.97% 12.25% 9.75% S&P 1500 Index 27.86% 15.43% 12.40% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ "Standard & Poor's ® ® ® |
AssetsNet | $ 33,007,171 | $ 33,007,171 | $ 33,007,171 | $ 33,007,171 | $ 33,007,171 | $ 33,007,171 |
Holdings Count | Holding | 414 | 414 | 414 | 414 | 414 | 414 |
Advisory Fees Paid, Amount | | | | | | $ 58,867 |
InvestmentCompanyPortfolioTurnover | | | | | | 48% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $33,007,171 Number of Portfolio Holdings 414 Net Investment Advisory Fees $58,867 Portfolio Turnover Rate 48% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Equity Securities 68% Swap Agreements 219% Futures Contracts 13% Total 300% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets Carlisle Cos., Inc. 0.5% GoDaddy, Inc., Class A 0.5% Williams-Sonoma, Inc. 0.5% EMCOR Group, Inc. 0.5% Pure Storage, Inc., Class A 0.5% Reliance, Inc. 0.4% Owens Corning 0.4% Lennox International, Inc. 0.4% Burlington Stores, Inc. 0.4% Watsco, Inc. 0.4% |
Material Fund Change [Text Block] | | | | | | |
C000245659 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | Bitcoin & Ether Market Cap Weight Strategy ETF | |
Trading Symbol | | | | | BETH | |
Security Exchange Name | | | | | NYSEArca | |
Annual or Semi-Annual Statement [Text Block] | | | | | This annual shareholder report contains important information about Bitcoin & Ether Market Cap Weight Strategy ETF (the Fund) for the period of September 29, 2023 to May 31, 2024. | |
Shareholder Report Annual or Semi-Annual | | | | | Annual Shareholder Report | |
Additional Information [Text Block] | | | | | You can find additional information about the Fund at https://www.proshares.com/shareholder_reports | |
Additional Information Phone Number | | | | | 866-776-5125 | |
Additional Information Website | | | | | https://www.proshares.com/shareholder_reports</span>" id="sjs-F115"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/shareholder_reports</span> | |
Expenses [Text Block] | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Footnote Reference Costs paid as a percentage of a $10,000 investment BETH $104 0.95% Footnote Description Footnote * Amount shown reflects the expenses of the Fund from inception date through May 31, 2024. Expenses would be higher if the Fund had been in operations for the full year. | |
Expenses Paid, Amount | | | | | $ 104 | |
Expense Ratio, Percent | | | | | 0.95% | |
Factors Affecting Performance [Text Block] | | | | | How Did the Fund Perform Last Year? Bitcoin & Ether Market Cap Weight Strategy ETF (the Fund) seeks investment results, before fees and expenses, that correspond to the performance of a market-capitalization weighted basket of bitcoin and ether. The Fund invests in financial instruments that the Advisor believes, in combination, should produce daily returns consistent with the Funds investment objective. Bitcoin and ether returns were driven by factors such as a "risk-on" market and anticipation of an evolving regulatory environment leading to new crypto-related product innovation. For the period September 29, 2023, through May 31, 2024, the Fund had a total return of 127.59%. Primary factors affecting Fund performance include the total return of the derivatives held by the Fund, including the performance of the reference assets to which any derivatives are linked, expenses, transaction costs, and other miscellaneous factors. | |
Line Graph [Table Text Block] | | | | | Value Based on a $10,000 Investment Footnote Reference Bitcoin & Ether Market Cap Weight Strategy ETF : $22,759 Bloomberg Bitcoin Index : $25,138 Bloomberg Ethereum Index : $22,702 S&P 500 ® 9/29/2023 10,000 10,000 10,000 10,000 10/31/2023 12,271 12,814 10,872 9,790 11/30/2023 13,319 14,020 12,272 10,684 12/31/2023 14,683 15,601 13,830 11,169 1/31/2024 14,586 15,835 13,758 11,357 2/29/2024 21,260 23,094 20,434 11,963 3/31/2024 23,560 26,313 21,419 12,348 4/30/2024 19,370 22,080 17,607 11,844 5/31/2024 22,759 25,138 22,702 12,432 Footnote Description Footnote * The line graph represents historical performance of a hypothetical investment of $10,000 in the ProShares Bitcoin & Ether Market Cap Weight Strategy ETF from September 29, 2023 to May 31, 2024, assuming the reinvestment of distributions. | |
Average Annual Return [Table Text Block] | | | | | Average Annual Total Return Fund/Index Name Since Inception (9/29/2023) Bitcoin & Ether Market Cap Weight Strategy ETF - NAV 127.59% Bitcoin & Ether Market Cap Weight Strategy ETF - Market Price 128.49% Bloomberg Bitcoin Index 142.35% Bloomberg Ethereum Index 127.17% S&P 500 ® 24.30% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ Bloomberg ® | |
AssetsNet | $ 8,141,227 | $ 8,141,227 | $ 8,141,227 | $ 8,141,227 | $ 8,141,227 | $ 8,141,227 |
Holdings Count | Holding | 3 | 3 | 3 | 3 | 3 | 3 |
Advisory Fees Paid, Amount | | | | | $ 28,603 | |
InvestmentCompanyPortfolioTurnover | | | | | 0% | |
Additional Fund Statistics [Text Block] | | | | | Key Fund Statistics Net Assets $8,141,227 Number of Portfolio Holdings 3 Investment Advisory Fees $28,603 Portfolio Turnover Rate -% | |
Holdings [Text Block] | | | | | Market Exposure Investment Type % of Net Assets Futures Contracts 97% Total 97% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. | |
Largest Holdings [Text Block] | | | | | Largest Holdings Company % of Net Assets Repurchase Agreements with various counterparties 65.4% | |
Material Fund Change [Text Block] | | | | | | |
C000074111 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | UltraPro Russell2000 |
Trading Symbol | | | | | | URTY |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about UltraPro Russell2000 (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G139"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment URTY $112 0.95% |
Expenses Paid, Amount | | | | | | $ 112 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? UltraPro Russell2000(the Fund) seeks daily investment results, before fees and expenses, that correspond to three times (3x) the daily performance of the Russell 2000 ® ® |
Line Graph [Table Text Block] | | | | | | UltraPro Russell2000 : $11,487 Russell 2000 ® Russell 3000 Index : $31,307 5/31/2014 10,000 10,000 10,000 6/30/2014 11,633.960000 10,532 10,251 9/30/2014 9,093.510000 9,756.850000 10,252.030000 12/31/2014 11,689.820000 10,705.990000 10,789.230000 3/31/2015 12,995.590000 11,167.950000 10,983.440000 6/30/2015 12,971.750000 11,214.860000 10,998.810000 9/30/2015 8,582.300000 9,878.050000 10,201.400000 12/31/2015 9,282.120000 10,232.670000 10,841.030000 3/31/2016 8,479.570000 10,077.130000 10,946.190000 6/30/2016 9,194.670000 10,459.240000 11,234.070000 9/30/2016 11,690.010000 11,405.370000 11,728.370000 12/31/2016 14,735.570000 12,412.860000 12,222.130000 3/31/2017 15,533.450000 12,718.940000 12,923.680000 6/30/2017 16,377.160000 13,031.830000 13,313.980000 9/30/2017 18,985.800000 13,770.730000 13,922.430000 12/31/2017 20,594.190000 14,230.670000 14,805.110000 3/31/2018 19,808.740000 14,219.290000 14,710.360000 6/30/2018 24,151.220000 15,321.280000 15,282.590000 9/30/2018 26,268.600000 15,869.790000 16,370.710000 12/31/2018 12,455.080000 12,664.090000 14,029.700000 3/31/2019 18,036.190000 14,510.510000 15,999.470000 6/30/2019 18,503.040000 14,815.230000 16,655.450000 9/30/2019 16,507.370000 14,459.670000 16,848.650000 12/31/2019 21,452.830000 15,896.960000 18,381.880000 3/31/2020 4,942.280000 11,030.900000 14,540.070000 6/30/2020 8,167.220000 13,834.950000 17,743.240000 9/30/2020 9,078.160000 14,517.020000 19,377.390000 12/31/2020 19,719.230000 19,071.010000 22,222 3/31/2021 26,564.970000 21,493.020000 23,633.090000 6/30/2021 29,252.080000 22,415.070000 25,580.460000 9/30/2021 24,780.550000 21,437.780000 25,554.880000 12/31/2021 25,395.570000 21,896.550000 27,926.370000 3/31/2022 18,922.970000 20,247.740000 26,451.860000 6/30/2022 9,824.260000 16,765.130000 22,034.400000 9/30/2022 8,588.700000 16,397.970000 21,051.660000 12/31/2022 9,453.580000 17,419.560000 22,563.170000 3/31/2023 9,577.190000 17,896.860000 24,183.210000 6/30/2023 10,521.550000 18,829.280000 26,212.180000 9/30/2023 8,550.780000 17,863.340000 25,360.290000 12/31/2023 11,751.470000 20,369.570000 28,421.270000 3/31/2024 12,837.180000 21,424.710000 31,269.080000 5/31/2024 11,486.810000 20,916.950000 31,306.610000 |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years UltraPro Russell2000 - NAV 34.95% -5.50% 1.40% UltraPro Russell2000 - Market Price 35.25% -5.48% 1.41% Russell 2000 ® 20.12% 8.60% 7.65% Russell 3000 Index 27.58% 14.98% 12.07% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ "Russell 2000 ® ® |
AssetsNet | $ 489,974,900 | $ 489,974,900 | $ 489,974,900 | $ 489,974,900 | $ 489,974,900 | $ 489,974,900 |
Holdings Count | Holding | 1,952 | 1,952 | 1,952 | 1,952 | 1,952 | 1,952 |
Advisory Fees Paid, Amount | | | | | | $ 1,866,468 |
InvestmentCompanyPortfolioTurnover | | | | | | 526% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $489,974,900 Number of Portfolio Holdings 1,952 Net Investment Advisory Fees $1,866,468 Portfolio Turnover Rate 526% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Equity Securities 53% Swap Agreements 240% Futures Contracts 7% Total 300% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets Super Micro Computer, Inc. 0.8% MicroStrategy, Inc., Class A 0.5% Comfort Systems USA, Inc. 0.2% Onto Innovation, Inc. 0.2% Carvana Co., Class A 0.2% elf Beauty, Inc. 0.2% Fabrinet 0.2% Light & Wonder, Inc. 0.2% Weatherford International plc 0.2% Abercrombie & Fitch Co., Class A 0.2% |
Material Fund Change [Text Block] | | | | | | |
C000059344 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | Large Cap Core Plus |
Trading Symbol | | | | | | CSM |
Security Exchange Name | | | | | | CboeBZX |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about Large Cap Core Plus (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/shareholder_reports</span>" id="sjs-G163"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment CSM $51 0.45% |
Expenses Paid, Amount | | | | | | $ 51 |
Expense Ratio, Percent | | | | | | 0.45% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? Large Cap Core Plus ETF (the Fund) seeks investment results, before fees and expenses, that track the performance of the Credit Suisse 130/30 Large Cap Index (the Index). The Fund invests in financial instruments that the Advisor believes, in combination, should track the performance of the Index. Strong performance of large cap U.S. equities was the primary driver of performance. For the year ended May 31, 2024, the Fund had a total return of 26.99%. For the same period, the Index had a total return of 27.98% and a volatility of 11.64%. Primary factors affecting Fund performance include the total return of the securities and derivatives held by the Fund, including the performance of the reference assets to which any derivatives are linked, financing rates paid or earned, expenses, transaction costs, the volatility of the Funds index, and other miscellaneous factors. |
Line Graph [Table Text Block] | | | | | | Value Based on a $10,000 Investment Footnote Reference Large Cap Core Plus : $29,343 Credit Suisse 130/30 Large Cap Index : $30,903 S&P 500 ® 5/31/2014 10,000 10,000 10,000 6/30/2014 10,176 10,060 10,207 9/30/2014 10,311 10,211 10,322 12/31/2014 10,870 10,784 10,831 3/31/2015 10,879 10,805 10,934 6/30/2015 10,796 10,736 10,965 9/30/2015 10,113 10,068 10,259 12/31/2015 10,820 10,786 10,981 3/31/2016 11,142 11,120 11,129 6/30/2016 11,311 11,301 11,402 9/30/2016 11,706 11,711 11,842 12/31/2016 12,310 12,333 12,295 3/31/2017 13,042 13,083 13,040 6/30/2017 13,456 13,516 13,443 9/30/2017 14,100 14,182 14,046 12/31/2017 15,080 15,191 14,978 3/31/2018 15,041 15,175 14,864 6/30/2018 15,347 15,508 15,374 9/30/2018 16,469 16,671 16,560 12/31/2018 13,900 14,097 14,321 3/31/2019 15,739 15,989 16,275 6/30/2019 16,265 16,547 16,975 9/30/2019 16,428 16,739 17,264 12/31/2019 17,963 18,331 18,830 3/31/2020 13,880 14,188 15,139 6/30/2020 16,654 17,052 18,249 9/30/2020 17,914 18,373 19,878 12/31/2020 19,940 20,490 22,293 3/31/2021 21,576 22,209 23,669 6/30/2021 23,536 24,267 25,693 9/30/2021 23,841 24,619 25,842 12/31/2021 26,468 27,379 28,692 3/31/2022 25,639 26,569 27,372 6/30/2022 21,422 22,238 22,965 9/30/2022 20,295 21,106 21,845 12/31/2022 21,743 22,653 23,496 3/31/2023 23,102 24,112 25,258 6/30/2023 24,761 25,891 27,466 9/30/2023 23,775 24,910 26,568 12/31/2023 26,774 28,106 29,673 3/31/2024 29,748 31,288 32,807 5/31/2024 29,343 30,903 33,027 Footnote Description Footnote * The line graph represents historical performance of a hypothetical investment of $10,000 in the ProShares Large Cap Core Plus from May 31, 2014 to May 31, 2024, assuming the reinvestment of distributions. |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years Large Cap Core Plus - NAV 26.99% 13.92% 11.37% Large Cap Core Plus - Market Price 26.55% 13.90% 11.36% Credit Suisse 130/30 Large Cap Index 27.98% 14.71% 12.07% S&P 500 ® 28.19% 15.79% 12.68% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ "Credit Suisse" and "Credit Suisse 130/30 Large Cap Index TM |
AssetsNet | $ 432,756,249 | $ 432,756,249 | $ 432,756,249 | $ 432,756,249 | $ 432,756,249 | $ 432,756,249 |
Holdings Count | Holding | 311 | 311 | 311 | 311 | 311 | 311 |
Advisory Fees Paid, Amount | | | | | | $ 1,822,947 |
InvestmentCompanyPortfolioTurnover | | | | | | 57% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $432,756,249 Number of Portfolio Holdings 311 Net Investment Advisory Fees $1,822,947 Portfolio Turnover Rate 57% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Equity Securities 98% Swap Agreements (Long) 32% Swap Agreements (Short) (30)% Total 100% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets Microsoft Corp. 5.0% NVIDIA Corp. 4.6% Apple, Inc. 4.4% Alphabet, Inc. 2.6% Amazon.com, Inc. 2.5% Meta Platforms, Inc., Class A 1.5% Broadcom, Inc. 1.3% Visa, Inc., Class A 1.0% Berkshire Hathaway, Inc., Class B 1.0% Eli Lilly & Co. 0.8% |
Material Fund Change [Text Block] | | | | | | |
C000018466 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | ®</sup>" id="sjs-G180">Short S&P500<sup style="box-sizing: border-box; color: rgb(255, 255, 255); display: inline; flex-wrap: nowrap; font-size: 16px; font-weight: 700; grid-area: auto; line-height: 0px; margin: 0px; overflow: visible; position: relative; text-align: left; height: auto; max-height: none; min-height: 0px;">®</sup> |
Trading Symbol | | | | | | SH |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about Short S&P500 ® |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G187"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment SH $82 0.89% |
Expenses Paid, Amount | | | | | | $ 82 |
Expense Ratio, Percent | | | | | | 0.89% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? Short S&P500 ® ® |
Line Graph [Table Text Block] | | | | | | Short S&P500 ® S&P 500 ® 5/31/2014 10,000 10,000 6/30/2014 9,790.05 10,207 9/30/2014 9,644.37 10,322.12 12/31/2014 9,129.43 10,831.28 3/31/2015 8,990.97 10,934.25 6/30/2015 8,933.8 10,964.86 9/30/2015 9,430.09 10,258.73 12/31/2015 8,746.1 10,980.94 3/31/2016 8,554.98 11,129.18 6/30/2016 8,305.64 11,402.43 9/30/2016 7,974.52 11,841.66 12/31/2016 7,665.2 12,294.51 3/31/2017 7,226.86 13,040.31 6/30/2017 7,018.71 13,443.26 9/30/2017 6,734.66 14,045.52 12/31/2017 6,335.72 14,978.14 3/31/2018 6,360.86 14,864.31 6/30/2018 6,172.63 15,374.15 9/30/2018 5,770.6 16,559.5 12/31/2018 6,644.26 14,320.66 3/31/2019 5,881.33 16,275.43 6/30/2019 5,682.13 16,975.27 9/30/2019 5,608.27 17,263.85 12/31/2019 5,166.67 18,829.68 3/31/2020 5,964.74 15,139.06 6/30/2020 4,813.9 18,248.63 9/30/2020 4,378.75 19,878.23 12/31/2020 3,870.97 22,293.43 3/31/2021 3,618.3 23,668.94 6/30/2021 3,316.88 25,692.63 9/30/2021 3,282.01 25,841.65 12/31/2021 2,936.32 28,691.98 3/31/2022 3,038.26 27,372.15 6/30/2022 3,554.83 22,965.23 9/30/2022 3,725.34 21,844.53 12/31/2022 3,464.38 23,495.98 3/31/2023 3,265.62 25,258.18 6/30/2023 3,060.59 27,465.74 9/30/2023 3,230.58 26,567.61 12/31/2023 2,950.99 29,673.36 3/31/2024 2,725.62 32,806.87 5/31/2024 2,746.06 33,026.68 |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years Short S&P500 ® - -14.66% -12.12% Short S&P500 ® -15.22% -14.67% -12.13% S&P 500 ® 28.19% 15.79% 12.68% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ "Standard & Poor's ® ® ® TM |
AssetsNet | $ 987,835,174 | $ 987,835,174 | $ 987,835,174 | $ 987,835,174 | $ 987,835,174 | $ 987,835,174 |
Holdings Count | Holding | 24 | 24 | 24 | 24 | 24 | 24 |
Advisory Fees Paid, Amount | | | | | | $ 11,221,414 |
InvestmentCompanyPortfolioTurnover | | | | | | 0% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $987,835,174 Number of Portfolio Holdings 24 Net Investment Advisory Fees $11,221,414 Portfolio Turnover Rate -% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Swap Agreements (90)% Futures Contracts (10)% Total (100)% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets U.S. Treasury Bills 117.6% Repurchase Agreements with various counterparties 9.1% |
Material Fund Change [Text Block] | | | | | | |
C000231184 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | Bitcoin Strategy ETF |
Trading Symbol | | | | | | BITO |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about Bitcoin Strategy ETF (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/shareholder_reports |
Material Fund Change Notice [Text Block] | | | | | | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/shareholder_reports</span>" id="sjs-G212"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment BITO $157 0.95% |
Expenses Paid, Amount | | | | | | $ 157 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? Bitcoin Strategy ETF(the Fund) seeks investment results, before fees and expenses, that correspond to the performance of bitcoin. The Fund primarily invests in bitcoin futures contracts, which the Advisor believes should produce returns consistent with the Funds investment objective. Bitcoin returns were driven by factors such as a "risk-on" market and anticipation of an evolving regulatory environment leading to new crypto-related product innovation. For the year ended May 31, 2024, the Fund had a total return of 129.66%. Primary factors affecting Fund performance include the total return of the derivatives held by the Fund, including the performance of the reference assets to which any derivatives are linked, expenses, transaction costs, and other miscellaneous factors. |
Line Graph [Table Text Block] | | | | | | Value Based on a $10,000 Investment Footnote Reference Bitcoin Strategy ETF : $9,564 Bloomberg Bitcoin Index : $11,024 S&P 500 ® 10/18/2021 10,000 10,000 10,000 12/31/2021 7,228 7,476 10,654 3/31/2022 7,146 7,436 10,164 6/30/2022 2,903 3,077 8,528 9/30/2022 2,996 3,186 8,111 12/31/2022 2,609 2,695 8,725 3/31/2023 4,453 4,637 9,379 6/30/2023 4,685 4,952 10,199 9/30/2023 4,059 4,386 9,865 12/31/2023 6,188 6,842 11,018 3/31/2024 10,169 11,540 12,182 5/31/2024 9,564 11,024 12,264 Footnote Description Footnote * The line graph represents historical performance of a hypothetical investment of $10,000 in the ProShares Bitcoin Strategy ETF from October 18, 2021 to May 31, 2024, assuming the reinvestment of distributions. |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Since Inception (10/18/21) Bitcoin Strategy ETF - NAV 129.66% -1.69% Bitcoin Strategy ETF - Market Price 129.71% -1.71% Bloomberg Bitcoin Index 150.12% 3.80% S&P 500 ® 28.19% 8.10% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ Bloomberg ® |
AssetsNet | $ 2,079,173,810 | $ 2,079,173,810 | $ 2,079,173,810 | $ 2,079,173,810 | $ 2,079,173,810 | $ 2,079,173,810 |
Holdings Count | Holding | 5 | 5 | 5 | 5 | 5 | 5 |
Advisory Fees Paid, Amount | | | | | | $ 15,344,018 |
InvestmentCompanyPortfolioTurnover | | | | | | 0% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $2,079,173,810 Number of Portfolio Holdings 5 Investment Advisory Fees $15,344,018 Portfolio Turnover Rate -% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Swap Agreements 3% Futures Contracts 90% Total 93% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets U.S. Treasury Bills 47.6% Repurchase Agreements with various counterparties 21.3% |
Material Fund Change [Text Block] | | | | | | Material Fund Changes This is a summary of certain changes to the Fund since May 31, 2023. Effective on or about December 4, 2023, the Funds Investment Objective changed to ProShares Bitcoin Strategy ETF (the Fund) seeks investment results, before fees and expenses, that correspond to the performance of bitcoin. For more complete information, you may review the Funds prospectus, as supplemented March 15, 2024, available at www.proshares.com |
C000195298 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | Long Online/Short Stores ETF |
Trading Symbol | | | | | | CLIX |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about Long Online/Short Stores ETF (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/shareholder_reports</span>" id="sjs-G236"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment CLIX $74 0.65% |
Expenses Paid, Amount | | | | | | $ 74 |
Expense Ratio, Percent | | | | | | 0.65% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? Long Online/Short Stores ETF (the Fund) seeks investment results, before fees and expenses, that track the performance of the ProShares Long Online/Short Stores Index (the Index). The Fund invests in financial instruments that the Advisor believes, in combination, should track the performance of the Index. Outperformance of online retail compared to bricks and mortar retail drove performance. For the year ended May 31, 2024, the Fund had a total return of 26.42%. For the same period, the Index had a total return of 24.30% and a volatility of 20.61%. Primary factors affecting Fund performance include the total return of the securities and derivatives held by the Fund, including the performance of the reference assets to which any derivatives are linked, financing rates paid or earned, expenses, transaction costs, the volatility of the Funds index, and other miscellaneous factors. |
Line Graph [Table Text Block] | | | | | | Value Based on a $10,000 Investment Footnote Reference Long Online/Short Stores ETF : $10,497 ProShares Long Online/Short Stores Index : $10,498 S&P 500 ® 11/14/2017 10,000 10,000 10,000 12/31/2017 9,812 9,826 10,395 3/31/2018 11,333 11,361 10,316 6/30/2018 12,277 12,299 10,670 9/30/2018 11,906 11,930 11,492 12/31/2018 10,498 10,537 9,939 3/31/2019 12,894 12,939 11,295 6/30/2019 13,608 13,651 11,781 9/30/2019 11,796 11,831 11,981 12/31/2019 12,259 12,288 13,068 3/31/2020 13,975 14,013 10,507 6/30/2020 18,201 18,280 12,665 9/30/2020 21,182 21,305 13,796 12/31/2020 23,421 23,597 15,472 3/31/2021 21,196 21,377 16,427 6/30/2021 21,009 21,255 17,831 9/30/2021 17,425 17,661 17,934 12/31/2021 14,071 14,300 19,913 3/31/2022 11,920 12,145 18,997 6/30/2022 9,093 9,282 15,938 9/30/2022 8,330 8,511 15,160 12/31/2022 7,496 7,658 16,306 3/31/2023 8,359 8,524 17,529 6/30/2023 8,870 9,011 19,062 9/30/2023 8,900 9,002 18,438 12/31/2023 9,659 9,718 20,594 3/31/2024 10,264 10,278 22,768 5/31/2024 10,497 10,498 22,921 Footnote Description Footnote * The line graph represents historical performance of a hypothetical investment of $10,000 in the ProShares Long Online/Short Stores ETF from November 14, 2017 to May 31, 2024, assuming the reinvestment of distributions. |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Since Inception (11/14/17) Long Online/Short Stores ETF - NAV 26.42% -3.85% 0.74% Long Online/Short Stores ETF - Market Price 26.29% -3.87% 0.73% ProShares Long Online/Short Stores Index 24.30% -3.90% 0.75% S&P 500 ® 28.19% 15.79% 13.51% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ Solactive AG serves as index calculation agent for these indexes and performs routine daily calculations and maintenance (e.g., reconstitution, rebalancing, and corporate actions). "Solactive AG," a registered trademark of Solactive AG, and the Solactive-ProShares Bricks and Mortar Retail Store Index have been licensed for use by ProShare Advisors LLC ("ProShares"). |
AssetsNet | $ 10,523,384 | $ 10,523,384 | $ 10,523,384 | $ 10,523,384 | $ 10,523,384 | $ 10,523,384 |
Holdings Count | Holding | 27 | 27 | 27 | 27 | 27 | 27 |
Advisory Fees Paid, Amount | | | | | | $ 122,508 |
InvestmentCompanyPortfolioTurnover | | | | | | 95% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $10,523,384 Number of Portfolio Holdings 27 Net Investment Advisory Fees $122,508 Portfolio Turnover Rate 95% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Equity Securities 91% Swap Agreements (Long) 9% Swap Agreements (Short) (50)% Total 50% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets Amazon.com, Inc. 21.0% PDD Holdings, Inc. (ADR) 9.7% eBay, Inc. 8.4% Chewy, Inc., Class A 4.7% Coupang, Inc. 4.1% Williams-Sonoma, Inc. 4.0% Alibaba Group Holding Ltd. (ADR) 3.9% Buckle, Inc. (The) 3.9% Etsy, Inc. 3.9% Carvana Co., Class A 3.7% |
Material Fund Change [Text Block] | | | | | | |
C000038823 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | Short SmallCap600 |
Trading Symbol | | | | | | SBB |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about Short SmallCap600 (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G260"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment SBB $89 0.95% |
Expenses Paid, Amount | | | | | | $ 89 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? Short SmallCap600 (the Fund) seeks daily investment results, before fees and expenses, that correspond to the inverse (-1x) of the daily performance of the S&P SmallCap 600 ® ® |
Line Graph [Table Text Block] | | | | | | Short SmallCap600 : $2,951 S&P SmallCap 600 ® S&P 1500 Index : $32,221 5/31/2014 10,000 10,000 10,000 6/30/2014 9,531.020000 10,472 10,233 9/30/2014 10,144.840000 9,767.610000 10,278.030000 12/31/2014 9,134.660000 10,729.280000 10,812.480000 3/31/2015 8,713.790000 11,154.580000 10,962.780000 6/30/2015 8,646.090000 11,175.770000 10,981.410000 9/30/2015 9,423.010000 10,139.780000 10,246.760000 12/31/2015 8,988.130000 10,516.980000 10,922.020000 3/31/2016 8,635.140000 10,796.730000 11,093.490000 6/30/2016 8,257.930000 11,172.090000 11,381.920000 9/30/2016 7,652.310000 11,976.610000 11,834.920000 12/31/2016 6,832.290000 13,310.080000 12,346.190000 3/31/2017 6,723.580000 13,451.690000 13,054.860000 6/30/2017 6,587.490000 13,681.720000 13,441.290000 9/30/2017 6,202.040000 14,497.150000 14,038.080000 12/31/2017 5,960.460000 15,071.230000 14,954.770000 3/31/2018 5,899.020000 15,157.140000 14,847.090000 6/30/2018 5,425.130000 16,486.420000 15,389.010000 9/30/2018 5,194.390000 17,262.930000 16,520.110000 12/31/2018 6,442.480000 13,793.080000 14,212.250000 3/31/2019 5,778.010000 15,394.460000 16,150.800000 6/30/2019 5,679.010000 15,682.330000 16,822.670000 9/30/2019 5,682.440000 15,650.970000 17,080.060000 12/31/2019 5,257.900000 16,935.910000 18,603.600000 3/31/2020 7,101.140000 11,408.030000 14,776.840000 6/30/2020 5,419.880000 13,910.950000 17,845.990000 9/30/2020 5,173.090000 14,351.930000 19,373.600000 12/31/2020 3,866.580000 18,845.520000 21,938.670000 3/31/2021 3,205.400000 22,282.940000 23,454.630000 6/30/2021 3,031.960000 23,287.900000 25,363.840000 9/30/2021 3,081.720000 22,626.530000 25,452.610000 12/31/2021 2,880.210000 23,902.660000 28,178.590000 3/31/2022 3,006.280000 22,559.330000 26,871.100000 6/30/2022 3,431.270000 19,376.210000 22,566.350000 9/30/2022 3,596.210000 18,368.650000 21,492.190000 12/31/2022 3,282.600000 20,056.730000 23,166.430000 3/31/2023 3,220.960000 20,572.190000 24,825.150000 6/30/2023 3,150.870000 21,267.530000 26,907.980000 9/30/2023 3,362.720000 20,219.040000 26,003.870000 12/31/2023 2,942.130000 23,276.160000 29,067.130000 3/31/2024 2,899.800000 23,848.750000 32,063.950000 5/31/2024 2,951.240000 23,646.030000 32,221.060000 |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years Short SmallCap600 - NAV - -13.51% -11.49% Short SmallCap600 - Market Price -12.86% -13.48% -11.48% S&P SmallCap 600 ® 20.34% 10.12% 8.98% S&P 1500 Index 27.86% 15.43% 12.40% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ "Standard & Poor's ® ® ® |
AssetsNet | $ 5,949,608 | $ 5,949,608 | $ 5,949,608 | $ 5,949,608 | $ 5,949,608 | $ 5,949,608 |
Holdings Count | Holding | 6 | 6 | 6 | 6 | 6 | 6 |
Advisory Fees Paid, Amount | | | | | | $ 22,447 |
InvestmentCompanyPortfolioTurnover | | | | | | 0% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $5,949,608 Number of Portfolio Holdings 6 Net Investment Advisory Fees $22,447 Portfolio Turnover Rate -% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Swap Agreements (100)% Total (100)% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets Repurchase Agreements with various counterparties 94.6% |
Material Fund Change [Text Block] | | | | | | |
C000074109 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | ®</sup>" id="sjs-G277">UltraPro S&P500<sup style="box-sizing: border-box; color: rgb(255, 255, 255); display: inline; flex-wrap: nowrap; font-size: 16px; font-weight: 700; grid-area: auto; line-height: 0px; margin: 0px; overflow: visible; position: relative; text-align: left; height: auto; max-height: none; min-height: 0px;">®</sup> |
Trading Symbol | | | | | | UPRO |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about UltraPro S&P500 ® |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G284"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment UPRO $126 0.91% |
Expenses Paid, Amount | | | | | | $ 126 |
Expense Ratio, Percent | | | | | | 0.91% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? UltraPro S&P500 ® ® |
Line Graph [Table Text Block] | | | | | | UltraPro S&P500 ® S&P 500 ® 5/31/2014 10,000 10,000 6/30/2014 10,605.630000 10,207 9/30/2014 10,836.450000 10,322.120000 12/31/2014 12,254.720000 10,831.280000 3/31/2015 12,364.450000 10,934.250000 6/30/2015 12,307.650000 10,964.860000 9/30/2015 9,693.870000 10,258.730000 12/31/2015 11,636.190000 10,980.940000 3/31/2016 11,748.640000 11,129.180000 6/30/2016 12,385.340000 11,402.430000 9/30/2016 13,689.560000 11,841.660000 12/31/2016 15,139.360000 12,294.510000 3/31/2017 17,856.310000 13,040.310000 6/30/2017 19,294.920000 13,443.260000 9/30/2017 21,678.880000 14,045.520000 12/31/2017 25,929.010000 14,978.140000 3/31/2018 24,280.470000 14,864.310000 6/30/2018 26,141.230000 15,374.150000 9/30/2018 32,015.700000 16,559.500000 12/31/2018 19,467.830000 14,320.660000 3/31/2019 27,689.470000 16,275.430000 6/30/2019 30,563.980000 16,975.270000 9/30/2019 31,097.480000 17,263.850000 12/31/2019 39,492.900000 18,829.680000 3/31/2020 15,614.150000 15,139.060000 6/30/2020 25,151.060000 18,248.630000 9/30/2020 31,660.960000 19,878.230000 12/31/2020 43,526.830000 22,293.430000 3/31/2021 50,878.080000 23,668.940000 6/30/2021 64,134 25,692.630000 9/30/2021 64,274.330000 25,841.650000 12/31/2021 86,167.090000 28,691.980000 3/31/2022 71,860.820000 27,372.150000 6/30/2022 39,447.850000 22,965.230000 9/30/2022 32,159.630000 21,844.530000 12/31/2022 37,221.570000 23,495.980000 3/31/2023 43,950.220000 25,258.180000 6/30/2023 54,198.010000 27,465.740000 9/30/2023 47,048.070000 26,567.610000 12/31/2023 62,691.220000 29,673.360000 3/31/2024 81,209.550000 32,806.870000 5/31/2024 80,420.920000 33,026.680000 |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years UltraPro S&P500 ® 77.20% 26.20% 23.18% UltraPro S&P500 ® 77.37% 26.28% 23.22% S&P 500 ® 28.19% 15.79% 12.68% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ "Standard & Poor's ® ® ® TM |
AssetsNet | $ 3,441,238,858 | $ 3,441,238,858 | $ 3,441,238,858 | $ 3,441,238,858 | $ 3,441,238,858 | $ 3,441,238,858 |
Holdings Count | Holding | 520 | 520 | 520 | 520 | 520 | 520 |
Advisory Fees Paid, Amount | | | | | | $ 21,334,881 |
InvestmentCompanyPortfolioTurnover | | | | | | 18% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $3,441,238,858 Number of Portfolio Holdings 520 Net Investment Advisory Fees $21,334,881 Portfolio Turnover Rate 18% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Equity Securities 61% Swap Agreements 229% Futures Contracts 10% Total 300% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets Microsoft Corp. 4.2% Apple, Inc. 3.8% NVIDIA Corp. 3.7% Alphabet, Inc. 2.6% Amazon.com, Inc. 2.2% Meta Platforms, Inc., Class A 1.4% Berkshire Hathaway, Inc., Class B 1.0% Eli Lilly & Co. 0.9% JPMorgan Chase & Co. 0.8% Broadcom, Inc. 0.8% |
Material Fund Change [Text Block] | | | | | | |
C000231749 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | Ether Strategy ETF | |
Trading Symbol | | | | | EETH | |
Security Exchange Name | | | | | NYSEArca | |
Annual or Semi-Annual Statement [Text Block] | | | | | This annual shareholder report contains important information about Ether Strategy ETF (the Fund) for the period of September 29, 2023 to May 31, 2024. | |
Shareholder Report Annual or Semi-Annual | | | | | Annual Shareholder Report | |
Additional Information [Text Block] | | | | | You can find additional information about the Fund at https://www.proshares.com/shareholder_reports | |
Additional Information Phone Number | | | | | 866-776-5125 | |
Additional Information Website | | | | | https://www.proshares.com/shareholder_reports</span>" id="sjs-F308"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/shareholder_reports</span> | |
Expenses [Text Block] | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Footnote Reference Costs paid as a percentage of a $10,000 investment EETH $99 0.95% Footnote Description Footnote * Amount shown reflects the expenses of the Fund from inception date through May 31, 2024. Expenses would be higher if the Fund had been in operations for the full year. | |
Expenses Paid, Amount | | | | | $ 99 | |
Expense Ratio, Percent | | | | | 0.95% | |
Factors Affecting Performance [Text Block] | | | | | How Did the Fund Perform Last Year? Ether Strategy ETF (the Fund) seeks investment results, before fees and expenses, that correspond to the performance of ether. The Fund primarily invests in ether futures contracts, which the Advisor believes should produce returns consistent with the Funds investment objective. Ether returns were driven by factors such as a "risk-on" market and anticipation of an evolving regulatory environment leading to new crypto-related product innovation. For the period September 29, 2023, through May 31, 2024, the Fund had a total return of 113.95%. Primary factors affecting Fund performance include the total return of the derivatives held by the Fund, including the performance of the reference assets to which any derivatives are linked, expenses, transaction costs, and other miscellaneous factors. | |
Line Graph [Table Text Block] | | | | | Value Based on a $10,000 Investment Footnote Reference Ether Strategy ETF : $21,395 Bloomberg Ethereum Index : $22,702 S&P 500 ® 9/29/2023 10,000 10,000 10,000 10/31/2023 10,918 10,872 9,790 11/30/2023 12,172 12,272 10,684 12/31/2023 13,572 13,830 11,169 1/31/2024 13,292 13,758 11,357 2/29/2024 19,713 20,434 11,963 3/31/2024 20,454 21,419 12,348 4/30/2024 16,535 17,607 11,844 5/31/2024 21,395 22,702 12,432 Footnote Description Footnote * The line graph represents historical performance of a hypothetical investment of $10,000 in the ProShares Ether Strategy ETF from September 29, 2023 to May 31, 2024, assuming the reinvestment of distributions. | |
Average Annual Return [Table Text Block] | | | | | Average Annual Total Return Fund/Index Name Since Inception (9/29/2023) Ether Strategy ETF - NAV 113.95% Ether Strategy ETF - Market Price 114.26% Bloomberg Ethereum Index 127.17% S&P 500 ® 24.30% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ Bloomberg ® | |
AssetsNet | $ 102,205,664 | $ 102,205,664 | $ 102,205,664 | $ 102,205,664 | $ 102,205,664 | $ 102,205,664 |
Holdings Count | Holding | 2 | 2 | 2 | 2 | 2 | 2 |
Advisory Fees Paid, Amount | | | | | $ 239,038 | |
InvestmentCompanyPortfolioTurnover | | | | | 0% | |
Additional Fund Statistics [Text Block] | | | | | Key Fund Statistics Net Assets $102,205,664 Number of Portfolio Holdings 2 Investment Advisory Fees $239,038 Portfolio Turnover Rate -% | |
Holdings [Text Block] | | | | | Market Exposure Investment Type % of Net Assets Futures Contracts 98% Total 98% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. | |
Largest Holdings [Text Block] | | | | | Largest Holdings Company % of Net Assets Repurchase Agreements with various counterparties 63.2% | |
Material Fund Change [Text Block] | | | | | | |
C000204726 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | Online Retail ETF |
Trading Symbol | | | | | | ONLN |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about Online Retail ETF (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/shareholder_reports</span>" id="sjs-G332"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment ONLN $69 0.58% |
Expenses Paid, Amount | | | | | | $ 69 |
Expense Ratio, Percent | | | | | | 0.58% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? Online Retail ETF (the Fund) seeks investment results, before fees and expenses, that track the performance of the ProShares Online Retail Index (the Index). The Fund invests in financial instruments that the Advisor believes, in combination, should track the performance of the Index. A significant holding in Amazon as well as continued strong penetration of online retail drove performance. For the year ended May 31, 2024, the Fund had a total return of 37.88%. For the same period, the Index had a total return of 38.66% and a volatility of 24.68%. Primary factors affecting Fund performance include the total return of the securities held by the Fund, expenses, transaction costs, the volatility of the Funds index, and other miscellaneous factors. |
Line Graph [Table Text Block] | | | | | | Value Based on a $10,000 Investment Footnote Reference Online Retail ETF : $10,269 ProShares Online Retail Index : $10,603 S&P Global 1200 Index : $18,207 7/13/2018 10,000 10,000 10,000 9/30/2018 9,601 9,614 10,279 12/31/2018 7,564 7,583 8,952 3/31/2019 9,571 9,609 10,050 6/30/2019 9,522 9,570 10,463 9/30/2019 8,432 8,488 10,539 12/31/2019 9,085 9,151 11,478 3/31/2020 8,306 8,376 9,100 6/30/2020 12,891 13,024 10,794 9/30/2020 15,769 15,955 11,615 12/31/2020 19,202 19,462 13,265 3/31/2021 19,865 20,167 13,966 6/30/2021 20,475 20,818 15,018 9/30/2021 16,642 16,921 14,921 12/31/2021 14,376 14,637 16,123 3/31/2022 11,610 11,838 15,364 6/30/2022 8,233 8,405 13,012 9/30/2022 7,555 7,724 12,127 12/31/2022 7,179 7,351 13,410 3/31/2023 8,033 8,239 14,442 6/30/2023 8,300 8,526 15,433 9/30/2023 7,840 8,062 14,868 12/31/2023 9,139 9,414 16,547 3/31/2024 9,967 10,280 18,036 5/31/2024 10,269 10,603 18,207 Footnote Description Footnote * The line graph represents historical performance of a hypothetical investment of $10,000 in the ProShares Online Retail ETF from July 13, 2018 to May 31, 2024, assuming the reinvestment of distributions. |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Since Inception (7/13/18) Online Retail ETF - NAV 37.88% 3.11% 0.45% Online Retail ETF - Market Price 37.84% 3.13% 0.45% ProShares Online Retail Index 38.66% 3.67% 0.99% S&P Global 1200 Index 24.99% 13.13% 10.72% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ Solactive AG serves as index calculation agent for this index and performs routine daily calculations and maintenance (e.g., reconstitution, rebalancing, and corporate actions). "Solactive AG," a registered trademark of Solactive AG has been licensed for use by ProShare Advisors LLC ("ProShares"). |
AssetsNet | $ 98,785,694 | $ 98,785,694 | $ 98,785,694 | $ 98,785,694 | $ 98,785,694 | $ 98,785,694 |
Holdings Count | Holding | 21 | 21 | 21 | 21 | 21 | 21 |
Advisory Fees Paid, Amount | | | | | | $ 570,841 |
InvestmentCompanyPortfolioTurnover | | | | | | 81% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $98,785,694 Number of Portfolio Holdings 21 Net Investment Advisory Fees $570,841 Portfolio Turnover Rate 81% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Equity Securities 100% Total 100% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets Amazon.com, Inc. 23.1% PDD Holdings, Inc. (ADR) 10.6% eBay, Inc. 9.3% Chewy, Inc., Class A 5.2% Coupang, Inc. 4.6% Williams-Sonoma, Inc. 4.4% Alibaba Group Holding Ltd. (ADR) 4.3% Buckle, Inc. (The) 4.3% Etsy, Inc. 4.3% Carvana Co., Class A 4.1% |
Material Fund Change [Text Block] | | | | | | |
C000082080 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | Ultra 7-10 Year Treasury |
Trading Symbol | | | | | | UST |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about Ultra 7-10 Year Treasury (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G356"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment UST $90 0.95% |
Expenses Paid, Amount | | | | | | $ 90 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? Ultra 7-10 Year Treasury (the Fund) seeks daily investment results, before fees and expenses, that correspond to two times (2x) the daily performance of the ICE U.S. Treasury 7-10 Year Bond Index (the Index). The Fund invests in financial instruments that the Advisor believes, in combination, should produce daily returns consistent with the Funds investment objective. For the year ended May 31, 2024, the Fund had a total return of -10.63% and an average daily statistical correlation of over 0.99 to twice that of the return of the Index. For the same period, the Index had a total return of -2.20% and a volatility of 7.97%. The index performance was driven by factors such as quantitative tightening and lingering inflation which drove higher longer-term treasury yields. Primary factors affecting Fund performance include the total return of the derivatives held by the Fund, the performance of the reference assets to which any derivatives are linked, financing rates paid or earned, the types of derivative contracts used and their correlation to the Funds Index, expenses, transaction costs, the volatility of the Funds Index (and its impact on compounding), and other miscellaneous factors. |
Line Graph [Table Text Block] | | | | | | Ultra 7-10 Year Treasury : $8,861 ICE U.S. Treasury 7-10 Year Bond Index : $10,884 ICE U.S Treasury Core Bond Index : $10,823 5/31/2014 10,000 10,000 10,000 6/30/2014 9,946.33 9,976 9,986 9/30/2014 10,006.79 10,022.75 10,019.95 12/31/2014 10,600.91 10,336.04 10,215.34 3/31/2015 11,104.31 10,598.04 10,381.85 6/30/2015 10,532.82 10,340.5 10,215.74 9/30/2015 11,137.63 10,648.65 10,394.52 12/31/2015 10,805.13 10,504.89 10,296.81 3/31/2016 11,794.26 10,995.47 10,626.31 6/30/2016 12,408.02 11,298.69 10,853.71 9/30/2016 12,228.78 11,240.21 10,818.98 12/31/2016 10,860.01 10,613.06 10,404.61 3/31/2017 11,019.43 10,715.38 10,475.36 6/30/2017 11,274.89 10,865.39 10,598.97 9/30/2017 11,315.88 10,913.2 10,639.25 12/31/2017 11,198.11 10,885.92 10,645.63 3/31/2018 10,714.9 10,682.35 10,520.01 6/30/2018 10,606.98 10,670.6 10,531.58 9/30/2018 10,358.63 10,586.3 10,468.4 12/31/2018 11,053.5 10,983.29 10,737.43 3/31/2019 11,590.62 11,298.51 10,965.07 6/30/2019 12,416.09 11,744.8 11,295.12 9/30/2019 12,985.27 12,064.26 11,566.2 12/31/2019 12,571.17 11,915.87 11,474.83 3/31/2020 15,162.22 13,147.97 12,450.19 6/30/2020 15,329.84 13,243.95 12,477.58 9/30/2020 15,373.61 13,279.71 12,500.04 12/31/2020 14,933.13 13,107.07 12,396.28 3/31/2021 13,230.39 12,345.55 11,859.53 6/30/2021 13,864.42 12,675.18 12,083.67 9/30/2021 13,817.46 12,648.56 12,077.63 12/31/2021 13,840.06 12,704.21 12,110.24 3/31/2022 12,044.31 11,873.36 11,447.81 6/30/2022 10,926.99 11,366.37 11,029.96 9/30/2022 9,633.46 10,707.12 10,524.79 12/31/2022 9,602.04 10,812.05 10,600.57 3/31/2023 10,163.75 11,195.87 10,917.53 6/30/2023 9,610.92 10,987.63 10,765.77 9/30/2023 8,634.3 10,503.08 10,436.34 12/31/2023 9,601.85 11,177.37 11,010.34 3/31/2024 9,203.2 11,026.48 10,911.25 5/31/2024 8,861.47 10,884.24 10,822.87 |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years Ultra 7-10 Year Treasury - NAV - -6.07% -1.20% Ultra 7-10 Year Treasury - Market Price -11.03% -6.14% -1.20% ICE U.S. Treasury 7-10 Year Bond Index - -1.24% 0.85% ICE U.S Treasury Core Bond Index - -0.67% 0.79% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ The "ICE U.S. Treasury 7-10 Year Bond Index" is a trademark of Intercontinental Exchange Inc. ("ICE") and has been licensed for use by ProShares. ProShares have not been passed on by ICE as to their legality or suitability. ProShares based on ICE indexes are not sponsored, endorsed, sold or promoted by ICE or its affiliates, and they make no representation regarding the advisability of investing in ProShares, or the ability of the index to track general financial market performance. |
AssetsNet | $ 18,905,452 | $ 18,905,452 | $ 18,905,452 | $ 18,905,452 | $ 18,905,452 | $ 18,905,452 |
Holdings Count | Holding | 6 | 6 | 6 | 6 | 6 | 6 |
Advisory Fees Paid, Amount | | | | | | $ 38,530 |
InvestmentCompanyPortfolioTurnover | | | | | | 0% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $18,905,452 Number of Portfolio Holdings 6 Net Investment Advisory Fees $38,530 Portfolio Turnover Rate -% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Swap Agreements 197% Futures Contracts 3% Total 200% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets Repurchase Agreements with various counterparties 81.5% U.S. Treasury Bills 15.7% |
Material Fund Change [Text Block] | | | | | | |
C000074107 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | UltraPro Short 20+ Year Treasury |
Trading Symbol | | | | | | TTT |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about UltraPro Short 20+ Year Treasury (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G380"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment TTT $111 0.95% |
Expenses Paid, Amount | | | | | | $ 111 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? UltraPro Short 20+ Year Treasury(the Fund) seeks daily investment results, before fees and expenses, that correspond to three times the inverse (-3x) of the daily performance of the ICE U.S. Treasury 20+ Year Bond Index (the Index).The Fund invests in financial instruments that the Advisor believes, in combination, should produce daily returns consistent with the Funds investment objective. For the year ended May 31, 2024, the Fund had a total return of 33.10% and an average daily statistical correlation of over 0.99 to three times the inverse of the return of the Index. For the same period, the Index had a total return of -8.61% and a volatility of 16.39%. The index performance was driven by factors such as quantitative tightening and lingering inflation which drove higher longer-term treasury yields. Primary factors affecting Fund performance include the total return of the derivatives held by the Fund, the performance of the reference assets to which any derivatives are linked, financing rates paid or earned, the types of derivative contracts used and their correlation to the Funds Index, expenses, transaction costs, the volatility of the Funds Index (and its impact on compounding), and other miscellaneous factors. |
Line Graph [Table Text Block] | | | | | | UltraPro Short 20+ Year Treasury : $3,607 ICE U.S. Treasury 20+ Year Bond Index : $10,199 ICE U.S Treasury Core Bond Index : $10,823 5/31/2014 10,000 10,000 10,000 6/30/2014 10,003.820000 9,979 9,986 9/30/2014 8,957.570000 10,277.920000 10,019.950000 12/31/2014 6,691.190000 11,239.290000 10,215.340000 3/31/2015 5,685.090000 11,710.750000 10,381.850000 6/30/2015 7,198.150000 10,648.590000 10,215.740000 9/30/2015 5,879.170000 11,215.090000 10,394.520000 12/31/2015 5,953.920000 11,060.320000 10,296.810000 3/31/2016 4,544.700000 11,999.350000 10,626.310000 6/30/2016 3,637.540000 12,810.720000 10,853.710000 9/30/2016 3,587.360000 12,771.880000 10,818.980000 12/31/2016 5,160.620000 11,223.310000 10,404.610000 3/31/2017 4,878.820000 11,382.410000 10,475.360000 6/30/2017 4,282.370000 11,858.190000 10,598.970000 9/30/2017 4,187.200000 11,925.780000 10,639.250000 12/31/2017 3,857.740000 12,233.470000 10,645.630000 3/31/2018 4,256.400000 11,822.420000 10,520.010000 6/30/2018 4,200.990000 11,870.890000 10,531.580000 9/30/2018 4,634.220000 11,510.020000 10,468.400000 12/31/2018 4,118.010000 11,991.140000 10,737.430000 3/31/2019 3,609.160000 12,557.120000 10,965.070000 6/30/2019 3,038.070000 13,325.620000 11,295.120000 9/30/2019 2,359.160000 14,410.320000 11,566.200000 12/31/2019 2,653.260000 13,799.320000 11,474.830000 3/31/2020 1,213.130000 16,902.790000 12,450.190000 6/30/2020 1,179.790000 16,784.470000 12,477.580000 9/30/2020 1,146.570000 16,811.330000 12,500.040000 12/31/2020 1,222.220000 16,293.540000 12,396.280000 3/31/2021 1,865.200000 13,979.860000 11,859.530000 6/30/2021 1,490.940000 15,004.580000 12,083.670000 9/30/2021 1,427.660000 15,019.580000 12,077.630000 12/31/2021 1,253.260000 15,587.320000 12,110.240000 3/31/2022 1,655.190000 13,899.220000 11,447.810000 6/30/2022 2,349.100000 12,211.850000 11,029.960000 9/30/2022 3,083.990000 10,899.080000 10,524.790000 12/31/2022 3,162.400000 10,749.760000 10,600.570000 3/31/2023 2,502.210000 11,450.640000 10,917.530000 6/30/2023 2,713.460000 11,178.120000 10,765.770000 9/30/2023 4,146.650000 9,724.960000 10,436.340000 12/31/2023 2,806.770000 10,981.430000 11,010.340000 3/31/2024 3,181.270000 10,586.100000 10,911.250000 5/31/2024 3,606.580000 10,198.650000 10,822.870000 |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years UltraPro Short 20+ Year Treasury - NAV 33.10% 2.73% -9.70% UltraPro Short 20+ Year Treasury - Market Price 33.65% 2.87% -9.72% ICE U.S. Treasury 20+ Year Bond Index - -4.96% 0.19% ICE U.S Treasury Core Bond Index - -0.67% 0.79% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ The "ICE U.S. Treasury 20+ Year Bond Index" is a trademark of Intercontinental Exchange Inc. ("ICE") and has been licensed for use by ProShares. ProShares have not been passed on by ICE as to their legality or suitability. ProShares based on ICE indexes are not sponsored, endorsed, sold or promoted by ICE or its affiliates, and they make no representation regarding the advisability of investing in ProShares, or the ability of the index to track general financial market performance. |
AssetsNet | $ 38,792,979 | $ 38,792,979 | $ 38,792,979 | $ 38,792,979 | $ 38,792,979 | $ 38,792,979 |
Holdings Count | Holding | 10 | 10 | 10 | 10 | 10 | 10 |
Advisory Fees Paid, Amount | | | | | | $ 675,366 |
InvestmentCompanyPortfolioTurnover | | | | | | 0% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $38,792,979 Number of Portfolio Holdings 10 Net Investment Advisory Fees $675,366 Portfolio Turnover Rate -% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Swap Agreements (300)% Futures Contracts (2)% Total (302)% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets U.S. Treasury Bills 36.0% Repurchase Agreements with various counterparties 6.2% |
Material Fund Change [Text Block] | | | | | | |
C000236586 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | Short Bitcoin Strategy ETF |
Trading Symbol | | | | | | BITI |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about Short Bitcoin Strategy ETF (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Material Fund Change Notice [Text Block] | | | | | | This report describes changes to the Fund that occurred during the reporting period. |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G405"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment BITI $67 0.99% |
Expenses Paid, Amount | | | | | | $ 67 |
Expense Ratio, Percent | | | | | | 0.99% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? Short Bitcoin Strategy ETF (the Fund) seeks daily investment results, before fees and expenses, that correspond to the inverse (-1X) of the daily performance of the Bloomberg Galaxy Bitcoin Index (the Index). The Fund invests in financial instruments that the Advisor believes, in combination, should produce daily returns consistent with the Funds investment objective. Bitcoin returns were driven by factors such as a "risk-on" market and anticipation of an evolving regulatory environment leading to new crypto-related product innovation. For the year ended May 31, 2024, the Fund had a total return of -64.05%. For the same period, the Index had a total return of 150.31% and a volatility of 47.85%. Primary factors affecting Fund performance include the total return of the derivatives held by the Fund, including the performance of the reference assets to which any derivatives are linked, expenses, transaction costs, the volatility of the Funds index, and other miscellaneous factors. |
Line Graph [Table Text Block] | | | | | | Value Based on a $10,000 Investment Footnote Reference Short Bitcoin Strategy ETF : $1,923 Bloomberg Galaxy Bitcoin Index : $32,951 S&P 500 ® 6/19/2022 10,000 10,000 10,000 6/30/2022 10,819 9,208 10,305 9/30/2022 9,441 9,473 9,802 12/31/2022 9,818 8,084 10,543 3/31/2023 5,123 13,835 11,334 6/30/2023 4,674 14,803 12,324 9/30/2023 5,281 13,111 11,921 12/31/2023 3,320 20,451 13,315 3/31/2024 1,873 34,493 14,721 5/31/2024 1,923 32,951 14,820 Footnote Description Footnote * The line graph represents historical performance of a hypothetical investment of $10,000 in the ProShares Short Bitcoin Strategy ETF from June 19, 2022 to May 31, 2024, assuming the reinvestment of distributions. |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Since Inception (6/19/22) Short Bitcoin Strategy ETF - NAV - -57.11% Short Bitcoin Strategy ETF - Market Price -64.09% -57.14% Bloomberg Galaxy Bitcoin Index 150.31% 83.12% S&P 500 ® 28.19% 20.90% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ Bloomberg ® |
AssetsNet | $ 78,747,305 | $ 78,747,305 | $ 78,747,305 | $ 78,747,305 | $ 78,747,305 | $ 78,747,305 |
Holdings Count | Holding | 2 | 2 | 2 | 2 | 2 | 2 |
Advisory Fees Paid, Amount | | | | | | $ 737,810 |
InvestmentCompanyPortfolioTurnover | | | | | | 0% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $78,747,305 Number of Portfolio Holdings 2 Investment Advisory Fees $737,810 Portfolio Turnover Rate -% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Futures Contracts (99)% Total (99)% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets Repurchase Agreements with various counterparties 68.6% |
Material Fund Change [Text Block] | | | | | | Material Fund Changes This is a summary of certain changes to the Fund since May 31, 2023. Effective on or about March 15, 2024, the Investment Objective, Principal Investment Strategies and Principal Risks of the Fund changed. In the Funds Investment Objective, the Funds underlying index changed from the S&P CME Bitcoin Futures Index to the Bloomberg Galaxy Bitcoin Index. In the Principal Investment Strategies disclosures related to the underlying index were revised and investments in swap agreements that provide exposure to bitcoin were added. Risks associated with these changes were included under Principal Risks of the Fund. For more complete information, you may review the Funds prospectus, as supplemented March 15, 2024, available at www.proshares.com |
C000247835 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | Nasdaq-100 High Income ETF | | | | | |
Trading Symbol | IQQQ | | | | | |
Security Exchange Name | NYSEArca | | | | | |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about Nasdaq-100 High Income ETF (the Fund) for the period of March 18, 2024 to May 31, 2024. | | | | | |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report | | | | | |
Additional Information [Text Block] | You can find additional information about the Fund at https://www.proshares.com/shareholder_reports | | | | | |
Additional Information Phone Number | 866-776-5125 | | | | | |
Additional Information Website | https://www.proshares.com/shareholder_reports</span>" id="sjs-B429"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/shareholder_reports</span> | | | | | |
Expenses [Text Block] | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Footnote Reference Costs paid as a percentage of a $10,000 investment IQQQ $11 0.55% Footnote Description Footnote * Amount shown reflects the expenses of the Fund from inception date through May 31, 2024. Expenses would be higher if the Fund had been in operations for the full year. | | | | | |
Expenses Paid, Amount | $ 11 | | | | | |
Expense Ratio, Percent | 0.55% | | | | | |
Factors Affecting Performance [Text Block] | How Did the Fund Perform Last Year? Nasdaq-100 High Income ETF (the "Fund") seeks investment results, before fees and expenses, that track the performance of the Nasdaq-100 Daily Covered Call Index (the Index). The Fund invests in financial instruments that the Advisor believes, in combination, should track the performance of the Index. Technology drove strong performance of the Nasdaq-100 ® 31, 2024, the Fund had a total return of 3.10%. For the same period, the Index had a total return of 3.38% and a volatility of 15.04%. Primary factors affecting Fund performance include the total return of the securities and derivatives held by the Fund, including the performance of the reference assets to which any derivatives are linked, financing rates paid or earned, expenses, transaction costs, the volatility of the Funds index, and other miscellaneous factors. | | | | | |
Average Annual Return [Table Text Block] | Cumulative Total Return Fund/Index Name Since Inception (3/18/24) Nasdaq-100 High Income ETF - NAV 3.10% Nasdaq-100 High Income ETF - Market Price 3.03% Nasdaq-100 Daily Covered Call Index 3.38% Nasdaq-100 ® 2.76% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ Nasdaq ® ® ® ® TM TM TM TM TM TM | | | | | |
AssetsNet | $ 22,881,219 | $ 22,881,219 | $ 22,881,219 | $ 22,881,219 | $ 22,881,219 | $ 22,881,219 |
Holdings Count | Holding | 104 | 104 | 104 | 104 | 104 | 104 |
Advisory Fees Paid, Amount | $ 18,171 | | | | | |
InvestmentCompanyPortfolioTurnover | 3% | | | | | |
Additional Fund Statistics [Text Block] | Key Fund Statistics Net Assets $22,881,219 Number of Portfolio Holdings 104 Net Investment Advisory Fees $18,171 Portfolio Turnover Rate 3% | | | | | |
Holdings [Text Block] | Market Exposure Investment Type % of Net Assets Equity Securities 86% Swap Agreements 100% Futures Contracts 13% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. | | | | | |
Largest Holdings [Text Block] | Largest Holdings Company % of Net Assets Microsoft Corp. 7.3% Apple, Inc. 7.1% NVIDIA Corp. 6.5% Alphabet, Inc. 4.8% Amazon.com, Inc. 4.4% Meta Platforms, Inc., Class A 3.9% Broadcom, Inc. 3.8% Costco Wholesale Corp. 2.2% Tesla, Inc. 2.0% Netflix, Inc. 1.7% | | | | | |
Material Fund Change [Text Block] | | | | | | |
C000082081 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | Ultra 20+ Year Treasury |
Trading Symbol | | | | | | UBT |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about Ultra 20+ Year Treasury (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G452"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment UBT $84 0.95% |
Expenses Paid, Amount | | | | | | $ 84 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? Ultra 20+ Year Treasury(the Fund) seeks daily investment results, before fees and expenses, that correspond to two times (2x) the daily performance of the ICE U.S. Treasury 20+ Year Bond Index (the Index).The Fund invests in financial instruments that the Advisor believes, in combination, should produce daily returns consistent with the Funds investment objective. For the year ended May 31, 2024, the Fund had a total return of -23.91% and an average daily statistical correlation of over 0.99 to twice that of the return of the Index. For the same period, the Index had a total return of -8.61% and a volatility of 16.39%. The index performance was driven by factors such as quantitative tightening and lingering inflation which drove higher longer-term treasury yields. Primary factors affecting Fund performance include the total return of the derivatives held by the Fund, the performance of the reference assets to which any derivatives are linked, financing rates paid or earned, the types of derivative contracts used and their correlation to the Funds Index, expenses, transaction costs, the volatility of the Funds Index (and its impact on compounding), and other miscellaneous factors. |
Line Graph [Table Text Block] | | | | | | Ultra 20+ Year Treasury : $6,450 ICE U.S. Treasury 20+ Year Bond Index : $10,199 ICE U.S Treasury Core Bond Index : $10,823 5/31/2014 10,000 10,000 10,000 6/30/2014 9,945.230000 9,979 9,986 9/30/2014 10,494.230000 10,277.920000 10,019.950000 12/31/2014 12,485.760000 11,239.290000 10,215.340000 3/31/2015 13,439.860000 11,710.750000 10,381.850000 6/30/2015 11,002.750000 10,648.590000 10,215.740000 9/30/2015 12,089.470000 11,215.090000 10,394.520000 12/31/2015 11,681.370000 11,060.320000 10,296.810000 3/31/2016 13,657.590000 11,999.350000 10,626.310000 6/30/2016 15,469.190000 12,810.720000 10,853.710000 9/30/2016 15,242.870000 12,771.880000 10,818.980000 12/31/2016 11,663.250000 11,223.310000 10,404.610000 3/31/2017 11,918.860000 11,382.410000 10,475.360000 6/30/2017 12,851 11,858.190000 10,598.970000 9/30/2017 12,905.390000 11,925.780000 10,639.250000 12/31/2017 13,463.240000 12,233.470000 10,645.630000 3/31/2018 12,462.680000 11,822.420000 10,520.010000 6/30/2018 12,437.450000 11,870.890000 10,531.580000 9/30/2018 11,589.520000 11,510.020000 10,468.400000 12/31/2018 12,451.820000 11,991.140000 10,737.430000 3/31/2019 13,514.790000 12,557.120000 10,965.070000 6/30/2019 15,074.590000 13,325.620000 11,295.120000 9/30/2019 17,398.560000 14,410.320000 11,566.200000 12/31/2019 15,780.530000 13,799.320000 11,474.830000 3/31/2020 22,806.390000 16,902.790000 12,450.190000 6/30/2020 22,241.540000 16,784.470000 12,477.580000 9/30/2020 22,159.690000 16,811.330000 12,500.040000 12/31/2020 20,666.560000 16,293.540000 12,396.280000 3/31/2021 15,195.340000 13,979.860000 11,859.530000 6/30/2021 17,282.390000 15,004.580000 12,083.670000 9/30/2021 17,308.130000 15,019.580000 12,077.630000 12/31/2021 18,253.480000 15,587.320000 12,110.240000 3/31/2022 14,427.390000 13,899.220000 11,447.810000 6/30/2022 10,838.830000 12,211.850000 11,029.960000 9/30/2022 8,604.660000 10,899.080000 10,524.790000 12/31/2022 8,032.840000 10,749.760000 10,600.570000 3/31/2023 9,053.630000 11,450.640000 10,917.530000 6/30/2023 8,449.340000 11,178.120000 10,765.770000 9/30/2023 6,247.250000 9,724.960000 10,436.340000 12/31/2023 7,740.560000 10,981.430000 11,010.340000 3/31/2024 7,049.580000 10,586.100000 10,911.250000 5/31/2024 6,449.940000 10,198.650000 10,822.870000 |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years Ultra 20+ Year Treasury - NAV - -15.23% -4.29% Ultra 20+ Year Treasury - Market Price -24.25% -15.35% -4.27% ICE U.S. Treasury 20+ Year Bond Index - -4.96% 0.19% ICE U.S Treasury Core Bond Index - -0.67% 0.79% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ The "ICE U.S. Treasury 20+ Year Bond Index" is a trademark of Intercontinental Exchange Inc. ("ICE") and has been licensed for use by ProShares. ProShares have not been passed on by ICE as to their legality or suitability. ProShares based on ICE indexes are not sponsored, endorsed, sold or promoted by ICE or its affiliates, and they make no representation regarding the advisability of investing in ProShares, or the ability of the index to track general financial market performance. |
AssetsNet | $ 91,715,821 | $ 91,715,821 | $ 91,715,821 | $ 91,715,821 | $ 91,715,821 | $ 91,715,821 |
Holdings Count | Holding | 8 | 8 | 8 | 8 | 8 | 8 |
Advisory Fees Paid, Amount | | | | | | $ 508,059 |
InvestmentCompanyPortfolioTurnover | | | | | | 0% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $91,715,821 Number of Portfolio Holdings 8 Net Investment Advisory Fees $508,059 Portfolio Turnover Rate -% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Swap Agreements 198% Futures Contracts 2% Total 200% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets Repurchase Agreements with various counterparties 83.2% U.S. Treasury Bills 27.0% |
Material Fund Change [Text Block] | | | | | | |
C000074100 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | UltraPro Short Dow30℠ |
Trading Symbol | | | | | | SDOW |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about UltraPro Short Dow30℠ (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G476"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment SDOW $79 0.95% |
Expenses Paid, Amount | | | | | | $ 79 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? UltraPro Short Dow30 SM SM ® ® |
Line Graph [Table Text Block] | | | | | | UltraPro Short Dow30℠ : $110 Dow Jones Industrial Average℠ Index : $33,023 S&P 500 ® 5/31/2014 10,000 10,000 10,000 6/30/2014 9,764.450000 10,075 10,207 9/30/2014 9,122.720000 10,263.750000 10,322.120000 12/31/2014 7,611.860000 10,797.800000 10,831.280000 3/31/2015 7,300.250000 10,832.990000 10,934.250000 6/30/2015 7,253.710000 10,801.570000 10,964.860000 9/30/2015 8,466.500000 10,047.620000 10,258.730000 12/31/2015 6,560.330000 10,821.290000 10,980.940000 3/31/2016 5,877.800000 11,059.360000 11,129.180000 6/30/2016 5,395.190000 11,288.160000 11,402.430000 9/30/2016 4,908.510000 11,601.770000 11,841.660000 12/31/2016 3,792.780000 12,606.550000 12,294.510000 3/31/2017 3,251.240000 13,260.860000 13,040.310000 6/30/2017 2,894.020000 13,784.660000 13,443.260000 9/30/2017 2,467.310000 14,553.840000 14,045.520000 12/31/2017 1,813.300000 16,148.940000 14,978.140000 3/31/2018 1,827.450000 15,832.430000 14,864.310000 6/30/2018 1,743.790000 16,031.910000 15,374.150000 9/30/2018 1,336.260000 17,575.790000 16,559.500000 12/31/2018 1,800.640000 15,587.970000 14,320.660000 3/31/2019 1,282.350000 17,428.900000 16,275.430000 6/30/2019 1,172.110000 17,988.370000 16,975.270000 9/30/2019 1,098.920000 18,317.560000 17,263.850000 12/31/2019 908.250000 19,539.340000 18,829.680000 3/31/2020 1,150.740000 15,098.050000 15,139.060000 6/30/2020 572.650000 17,892.700000 18,248.630000 9/30/2020 432.770000 19,363.480000 19,878.230000 12/31/2020 304.360000 21,441.180000 22,293.430000 3/31/2021 232.610000 23,218.650000 23,668.940000 6/30/2021 196.470000 24,398.160000 25,692.630000 9/30/2021 200.790000 24,041.950000 25,841.650000 12/31/2021 155.530000 25,934.050000 28,691.980000 3/31/2022 168.920000 24,870.750000 27,372.150000 6/30/2022 221.570000 22,189.680000 22,965.230000 9/30/2022 260.140000 20,820.580000 21,844.530000 12/31/2022 161.560000 24,153.960000 23,495.980000 3/31/2023 158.910000 24,378.590000 25,258.180000 6/30/2023 145.530000 25,346.420000 27,465.740000 9/30/2023 160.980000 24,814.140000 26,567.610000 12/31/2023 115.030000 28,062.310000 29,673.360000 3/31/2024 99.890000 29,785.340000 32,806.870000 5/31/2024 109.830000 33,023.010000 33,026.680000 |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years UltraPro Short Dow30℠ - NAV - -40.29% -36.31% UltraPro Short Dow30℠ - Market Price -33.51% -40.31% -36.33% Dow Jones Industrial Average℠ Index 19.97% 11.61% 11.24% S&P 500 ® 28.19% 15.79% 12.68% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ "The Dow 30 SM SM ® |
AssetsNet | $ 287,965,923 | $ 287,965,923 | $ 287,965,923 | $ 287,965,923 | $ 287,965,923 | $ 287,965,923 |
Holdings Count | Holding | 15 | 15 | 15 | 15 | 15 | 15 |
Advisory Fees Paid, Amount | | | | | | $ 3,185,201 |
InvestmentCompanyPortfolioTurnover | | | | | | 0% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $287,965,923 Number of Portfolio Holdings 15 Net Investment Advisory Fees $3,185,201 Portfolio Turnover Rate -% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Swap Agreements (295)% Futures Contracts (5)% Total (300)% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets U.S. Treasury Bills 145.9% Repurchase Agreements with various counterparties 7.7% |
Material Fund Change [Text Block] | | | | | | |
C000245638 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | Short Ether Strategy ETF | | |
Trading Symbol | | | | SETH | | |
Security Exchange Name | | | | NYSEArca | | |
Annual or Semi-Annual Statement [Text Block] | | | | This annual shareholder report contains important information about Short Ether Strategy ETF (the Fund) for the period of November 1, 2023 to May 31, 2024. | | |
Shareholder Report Annual or Semi-Annual | | | | Annual Shareholder Report | | |
Additional Information [Text Block] | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports | | |
Material Fund Change Notice [Text Block] | | | | This report describes changes to the Fund that occurred during the reporting period. | | |
Additional Information Phone Number | | | | 866-776-5125 | | |
Additional Information Website | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-E501"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> | | |
Expenses [Text Block] | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Footnote Reference Costs paid as a percentage of a $10,000 investment SETH $39 0.95% Footnote Description Footnote * Amount shown reflects the expenses of the Fund from inception date through May 31, 2024. Expenses would be higher if the Fund had been in operations for the full year. | | |
Expenses Paid, Amount | | | | $ 39 | | |
Expense Ratio, Percent | | | | 0.95% | | |
Factors Affecting Performance [Text Block] | | | | How Did the Fund Perform Last Year? Short Ether Strategy ETF (the Fund) seeks daily investment results, before fees and expenses, that correspond to the inverse (-1x) of the daily performance of the Bloomberg Galaxy Ethereum Index (the Index). The Fund invests in financial instruments that the Advisor believes, in combination, should produce daily returns consistent with the Funds investment objective. Ether returns were driven by factors such as a "risk-on" market and anticipation of an evolving regulatory environment leading to new crypto-related product innovation. For the period November 1, 2023, through May 31, 2024, the Fund had a total return of -57.35%. For the same period, the Index had a total return of 108.82% and a volatility of 51.26%. Primary factors affecting Fund performance include the total return of the derivatives held by the Fund, including the performance of the reference assets to which any derivatives are linked, expenses, transaction costs, the volatility of the Funds index, and other miscellaneous factors. | | |
Line Graph [Table Text Block] | | | | Value Based on a $10,000 Investment Footnote Reference Short Ether Strategy ETF : $4,265 Bloomberg Galaxy Ethereum Index : $19,978 S&P 500 ® 11/1/2023 10,000 10,000 10,000 11/30/2023 8,921 10,800 11,072 12/31/2023 7,849 12,171 11,575 1/31/2024 7,774 12,107 11,769 2/29/2024 5,144 17,983 12,398 3/31/2024 4,749 18,850 12,797 4/30/2024 5,663 15,494 12,275 5/31/2024 4,265 19,978 12,884 Footnote Description Footnote * The line graph represents historical performance of a hypothetical investment of $10,000 in the ProShares Short Ether Strategy ETF from November 1, 2023 to May 31, 2024, assuming the reinvestment of distributions. | | |
Average Annual Return [Table Text Block] | | | | Average Annual Total Return Fund/Index Name Since Inception (11/1/23) Short Ether Strategy ETF - NAV -57.35% Short Ether Strategy ETF - Market Price -57.42% Bloomberg Galaxy Ethereum Index 108.82% S&P 500 ® 23.33% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ Bloomberg ® | | |
AssetsNet | $ 6,924,900 | $ 6,924,900 | $ 6,924,900 | $ 6,924,900 | $ 6,924,900 | $ 6,924,900 |
Holdings Count | Holding | 3 | 3 | 3 | 3 | 3 | 3 |
Advisory Fees Paid, Amount | | | | $ 11,038 | | |
InvestmentCompanyPortfolioTurnover | | | | 0% | | |
Additional Fund Statistics [Text Block] | | | | Key Fund Statistics Net Assets $6,924,900 Number of Portfolio Holdings 3 Investment Advisory Fees $11,038 Portfolio Turnover Rate -% | | |
Holdings [Text Block] | | | | Market Exposure Investment Type % of Net Assets Futures Contracts (100)% Total (100)% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. | | |
Largest Holdings [Text Block] | | | | Largest Holdings Company % of Net Assets Repurchase Agreements with various counterparties 63.9% | | |
Material Fund Change [Text Block] | | | | Material Fund Changes This is a summary of certain changes to the Fund since May 31, 2023. Effective on or about March 15, 2024, the Investment Objective, Principal Investment Strategies and Principal Risks of the Fund changed. In the Funds Investment Objective, the Funds underlying index changed from the S&P CME Ether Futures Index to the Bloomberg Galaxy Ethereum Index. Disclosures related to underlying index were revised in the Funds Principal Investment Strategies and Principal Risks. For more complete information, you may review the Funds prospectus, as supplemented March 15, 2024, available at www.proshares.com | | |
C000150378 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | Russell 2000 Dividend Growers ETF |
Trading Symbol | | | | | | SMDV |
Security Exchange Name | | | | | | CboeBZX |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about Russell 2000 Dividend Growers ETF (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/shareholder_reports</span>" id="sjs-G525"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment SMDV $43 0.40% |
Expenses Paid, Amount | | | | | | $ 43 |
Expense Ratio, Percent | | | | | | 0.40% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? Russell 2000 Dividend Growers ETF (the Fund) seeks investment results, before fees and expenses, that track the performance of the Russell 2000 ® ® |
Line Graph [Table Text Block] | | | | | | Value Based on a $10,000 Investment Footnote Reference Russell 2000 Dividend Growers ETF : $19,351 Russell 2000 ® Russell 3000 Index : $29,490 2/3/2015 10,000 10,000 10,000 3/31/2015 10,137 10,144 10,346 6/30/2015 10,074 10,091 10,360 9/30/2015 9,654 9,680 9,609 12/31/2015 10,245 10,284 10,212 3/31/2016 11,103 11,156 10,311 6/30/2016 12,032 12,104 10,582 9/30/2016 12,270 12,357 11,048 12/31/2016 13,889 14,007 11,513 3/31/2017 13,764 13,895 12,174 6/30/2017 14,183 14,333 12,541 9/30/2017 14,662 14,835 13,114 12/31/2017 14,542 14,728 13,946 3/31/2018 14,160 14,354 13,857 6/30/2018 15,163 15,392 14,396 9/30/2018 15,705 15,963 15,421 12/31/2018 14,439 14,689 13,215 3/31/2019 15,675 15,964 15,071 6/30/2019 16,061 16,376 15,689 9/30/2019 16,148 16,481 15,871 12/31/2019 16,947 17,316 17,315 3/31/2020 12,789 13,098 13,696 6/30/2020 13,467 13,804 16,713 9/30/2020 13,143 13,482 18,253 12/31/2020 16,112 16,556 20,932 3/31/2021 18,415 18,945 22,262 6/30/2021 18,018 18,555 24,096 9/30/2021 17,563 18,104 24,072 12/31/2021 19,192 19,808 26,306 3/31/2022 18,637 19,247 24,917 6/30/2022 17,033 17,611 20,756 9/30/2022 16,178 16,738 19,830 12/31/2022 18,082 18,729 21,254 3/31/2023 18,081 18,744 22,780 6/30/2023 17,620 18,285 24,691 9/30/2023 16,974 17,627 23,888 12/31/2023 19,690 20,470 26,772 3/31/2024 19,513 20,306 29,454 5/31/2024 19,351 20,148 29,490 Footnote Description Footnote * The line graph represents historical performance of a hypothetical investment of $10,000 in the ProShares Russell 2000 Dividend Growers ETF from February 3, 2015 to May 31, 2024, assuming the reinvestment of distributions. |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Since Inception (2/3/15) Russell 2000 Dividend Growers ETF - NAV 15.22% 4.70% 7.34% Russell 2000 Dividend Growers ETF - Market Price 15.25% 4.69% 7.34% Russell 2000 ® 15.67% 5.14% 7.80% Russell 3000 Index 27.58% 14.98% 12.11% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ 'Russell 2000 ® ® |
AssetsNet | $ 761,151,478 | $ 761,151,478 | $ 761,151,478 | $ 761,151,478 | $ 761,151,478 | $ 761,151,478 |
Holdings Count | Holding | 103 | 103 | 103 | 103 | 103 | 103 |
Advisory Fees Paid, Amount | | | | | | $ 3,149,369 |
InvestmentCompanyPortfolioTurnover | | | | | | 44% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $761,151,478 Number of Portfolio Holdings 103 Net Investment Advisory Fees $3,149,369 Portfolio Turnover Rate 44% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Equity Securities 100% Total 100% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets Kaiser Aluminum Corp. 1.3% Telephone and Data Systems, Inc. 1.3% Atrion Corp. 1.2% Hyster-Yale, Inc. 1.2% Trinity Industries, Inc. 1.2% Badger Meter, Inc. 1.2% Exponent, Inc. 1.1% LeMaitre Vascular, Inc. 1.1% Sensient Technologies Corp. 1.1% Matson, Inc. 1.1% |
Material Fund Change [Text Block] | | | | | | |
C000038820 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | Ultra Communication Services |
Trading Symbol | | | | | | LTL |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about Ultra Communication Services (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G549"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment LTL $126 0.95% |
Expenses Paid, Amount | | | | | | $ 126 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? Ultra Communication Services (the Fund) seeks daily investment results, before fees and expenses, that correspond to two times (2x) the daily performance of the S&P Communication Services Select Sector Index (the Index).The Fund invests in financial instruments that the Advisor believes, in combination, should produce daily returns consistent with the Funds investment objective. For the year ended May 31, 2024, the Fund had a total return of 65.50% and an average daily statistical correlation of over 0.99 to twice that of the return of the Index. For the same period, the Index had a total return of 35.10% and a volatility of 16.23%. The index performance was driven by factors such as inclusion of two of the "Magnificent Seven" companies which helped drive strong returns. Primary factors affecting Fund performance include the total return of the securities and derivatives held by the Fund, the performance of the reference assets to which any derivatives are linked, financing rates paid or earned, expenses, transaction costs, the volatility of the Funds Index (and its impact on compounding), and other miscellaneous factors. |
Line Graph [Table Text Block] | | | | | | Ultra Communication Services : $15,992 S&P Communication Services Select Sector Index : $17,745 S&P Total Market Index : $31,100 5/31/2014 10,000 10,000 10,000 6/30/2014 10,249.870000 10,183 10,253 9/30/2014 10,020.950000 10,110.440000 10,246.850000 12/31/2014 9,581.450000 9,948.230000 10,780.710000 3/31/2015 10,260.500000 10,341.590000 10,974.760000 6/30/2015 9,701.520000 10,097.530000 10,989.030000 9/30/2015 8,211.080000 9,357.380000 10,190.130000 12/31/2015 9,290.970000 10,023.620000 10,831.090000 3/31/2016 10,489.720000 10,742.320000 10,931.810000 6/30/2016 12,264.410000 11,689.050000 11,218.230000 9/30/2016 11,528.860000 11,414.210000 11,717.440000 12/31/2016 13,134.720000 12,256.150000 12,202.540000 3/31/2017 11,684.600000 11,629.490000 12,909.070000 6/30/2017 11,606.310000 11,665.540000 13,297.630000 9/30/2017 10,368.730000 11,098.590000 13,905.330000 12/31/2017 9,697.710000 10,802.260000 14,785.540000 3/31/2018 8,209.800000 10,026.660000 14,696.830000 6/30/2018 8,493.910000 10,266.300000 15,265.590000 9/30/2018 9,920.880000 11,170.760000 16,350.980000 12/31/2018 7,577.370000 9,888.350000 14,002.980000 3/31/2019 9,629.360000 11,237.120000 15,969 6/30/2019 9,428.780000 11,207.910000 16,622.130000 9/30/2019 9,229.950000 11,183.250000 16,811.620000 12/31/2019 9,716.510000 11,543.350000 18,331.390000 3/31/2020 6,418.760000 9,701.030000 14,489.130000 6/30/2020 7,739.420000 10,812.770000 17,689.780000 9/30/2020 7,604.920000 10,765.190000 19,294.240000 12/31/2020 9,417.740000 12,043.020000 22,142.070000 3/31/2021 10,899.500000 13,017.300000 23,570.240000 6/30/2021 11,533.490000 13,437.760000 25,524.210000 9/30/2021 11,226.680000 13,306.070000 25,493.580000 12/31/2021 13,204.850000 14,503.620000 27,823.690000 3/31/2022 11,397.140000 13,562.330000 26,321.210000 6/30/2022 8,449.560000 11,810.080000 21,888.720000 9/30/2022 6,636.650000 10,573.570000 20,890.600000 12/31/2022 7,788.790000 11,617.180000 22,390.540000 3/31/2023 8,537.300000 12,236.370000 24,011.620000 6/30/2023 10,524.630000 13,762.250000 26,026.190000 9/30/2023 10,500.120000 13,906.750000 25,169.930000 12/31/2023 12,626.430000 15,442.060000 28,223.040000 3/31/2024 15,665.800000 17,412.460000 31,059.460000 5/31/2024 15,991.970000 17,745.040000 31,099.840000 |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years Ultra Communication Services - NAV 65.50% 13.60% 4.81% Ultra Communication Services - Market Price 65.23% 13.49% 5.19% S&P Communication Services Select Sector Index 35.10% 13.14% 12.11% S&P Total Market Index 27.68% 14.88% 12.00% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ The "S&P Communication Services Select Industry Index" is a product of S&P Dow Jones Indices LLC and its affiliates and has been licensed for use by ProShares. "S&P ® ® |
AssetsNet | $ 3,213,251 | $ 3,213,251 | $ 3,213,251 | $ 3,213,251 | $ 3,213,251 | $ 3,213,251 |
Holdings Count | Holding | 28 | 28 | 28 | 28 | 28 | 28 |
Advisory Fees Paid, Amount | | | | | | $ 0 |
InvestmentCompanyPortfolioTurnover | | | | | | 298% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $3,213,251 Number of Portfolio Holdings 28 Net Investment Advisory Fees $- Portfolio Turnover Rate 298% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Equity Securities 67% Swap Agreements 132% Total 199% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets Alphabet, Inc. 17.4% Meta Platforms, Inc., Class A 14.3% T-Mobile US, Inc. 3.2% Netflix, Inc. 3.1% AT&T, Inc. 3.1% Electronic Arts, Inc. 3.0% Verizon Communications, Inc. 2.9% Comcast Corp., Class A 2.8% Charter Communications, Inc., Class A 2.7% Walt Disney Co. (The) 2.6% |
Material Fund Change [Text Block] | | | | | | |
C000074102 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | UltraPro Short MidCap400 |
Trading Symbol | | | | | | SMDD |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about UltraPro Short MidCap400 (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G573"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment SMDD $71 0.95% |
Expenses Paid, Amount | | | | | | $ 71 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? UltraPro Short MidCap400(the Fund) seeks daily investment results, before fees and expenses, that correspond to three times the inverse (-3x) of the daily performance of the SP MidCap 400 ® ® |
Line Graph [Table Text Block] | | | | | | UltraPro Short MidCap400 : $75 S&P MidCap 400 ® S&P 1500 Index : $32,221 5/31/2014 10,000 10,000 10,000 6/30/2014 8,817.170000 10,414 10,233 9/30/2014 9,777.530000 9,999.180000 10,278.030000 12/31/2014 7,818.600000 10,634.020000 10,812.480000 3/31/2015 6,488.470000 11,199.090000 10,962.780000 6/30/2015 6,581.340000 11,080.380000 10,981.410000 9/30/2015 8,107.120000 10,138.550000 10,246.760000 12/31/2015 7,238.950000 10,402.150000 10,922.020000 3/31/2016 6,073.520000 10,795.350000 11,093.490000 6/30/2016 5,170.190000 11,226.430000 11,381.920000 9/30/2016 4,472.450000 11,691.690000 11,834.920000 12/31/2016 3,535.440000 12,558.800000 12,346.190000 3/31/2017 3,101.060000 13,053.610000 13,054.860000 6/30/2017 2,889.990000 13,310.760000 13,441.290000 9/30/2017 2,607.550000 13,739.370000 14,038.080000 12/31/2017 2,170.750000 14,598.080000 14,954.770000 3/31/2018 2,144.230000 14,485.670000 14,847.090000 6/30/2018 1,878.140000 15,107.110000 15,389.010000 9/30/2018 1,686.190000 15,690.240000 16,520.110000 12/31/2018 2,811.130000 12,978.970000 14,212.250000 3/31/2019 1,848.020000 14,859.620000 16,150.800000 6/30/2019 1,665.890000 15,312.840000 16,822.670000 9/30/2019 1,626.540000 15,299.060000 17,080.060000 12/31/2019 1,319.150000 16,379.170000 18,603.600000 3/31/2020 2,155.440000 11,514.560000 14,776.840000 6/30/2020 834.180000 14,286.110000 17,845.990000 9/30/2020 684.840000 14,967.560000 19,373.600000 12/31/2020 333.950000 18,615.150000 21,938.670000 3/31/2021 211.110000 21,122.620000 23,454.630000 6/30/2021 182.700000 21,891.480000 25,363.840000 9/30/2021 185.360000 21,506.190000 25,452.610000 12/31/2021 140.010000 23,226.680000 28,178.590000 3/31/2022 149.170000 22,093.220000 26,871.100000 6/30/2022 217.370000 18,686.450000 22,566.350000 9/30/2022 220.340000 18,226.760000 21,492.190000 12/31/2022 150.300000 20,191.610000 23,166.430000 3/31/2023 131.030000 20,960.910000 24,825.150000 6/30/2023 113.800000 21,977.510000 26,907.980000 9/30/2023 131.370000 21,054.450000 26,003.870000 12/31/2023 92.870000 23,511.510000 29,067.130000 3/31/2024 70.070000 25,850.900000 32,063.950000 5/31/2024 74.810000 25,362.320000 32,221.060000 |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years UltraPro Short MidCap400 - NAV - -48.61% -38.71% UltraPro Short MidCap400 - Market Price -49.52% -48.60% -38.71% S&P MidCap 400 ® 25.97% 12.25% 9.75% S&P 1500 Index 27.86% 15.43% 12.40% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ "Standard & Poor's ® ® ® |
AssetsNet | $ 3,667,337 | $ 3,667,337 | $ 3,667,337 | $ 3,667,337 | $ 3,667,337 | $ 3,667,337 |
Holdings Count | Holding | 7 | 7 | 7 | 7 | 7 | 7 |
Advisory Fees Paid, Amount | | | | | | $ 0 |
InvestmentCompanyPortfolioTurnover | | | | | | 0% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $3,667,337 Number of Portfolio Holdings 7 Net Investment Advisory Fees $- Portfolio Turnover Rate -% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Swap Agreements (292)% Futures Contracts (8)% Total (300)% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets Repurchase Agreements with various counterparties 74.7% |
Material Fund Change [Text Block] | | | | | | |
C000248851 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | Ultra Bitcoin ETF | | | | |
Trading Symbol | | BITU | | | | |
Security Exchange Name | | NYSEArca | | | | |
Annual or Semi-Annual Statement [Text Block] | | This annual shareholder report contains important information about Ultra Bitcoin ETF (the Fund) for the period of April 1, 2024 to May 31, 2024. | | | | |
Shareholder Report Annual or Semi-Annual | | Annual Shareholder Report | | | | |
Additional Information [Text Block] | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports | | | | |
Additional Information Phone Number | | 866-776-5125 | | | | |
Additional Information Website | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-C597"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> | | | | |
Expenses [Text Block] | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Footnote Reference Costs paid as a percentage of a $10,000 investment BITU $15 0.95% Footnote Description Footnote * Amount shown reflects the expenses of the Fund from inception date through May 31, 2024. Expenses would be higher if the Fund had been in operations for the full year. | | | | |
Expenses Paid, Amount | | $ 15 | | | | |
Expense Ratio, Percent | | 0.95% | | | | |
Factors Affecting Performance [Text Block] | | How Did the Fund Perform Last Year? Ultra Bitcoin ETF(the Fund) seeks daily investment results, before fees and expenses, that correspond to two times (2x) the daily performance of the Bloomberg Bitcoin Index (the Index). The Fund invests in financial instruments that the Advisor believes, in combination, should produce daily returns consistent with the Funds investment objective. Bitcoin returns were muted during this brief two-month period after a strong rally in cryptocurrencies. For the period April 1, 2024, through May 31, 2024, the Fund had a total return of -12.64%. For the same period, the Index had a total return of -2.75% and a volatility of 473.97%. Primary factors affecting Fund performance include the total return of the derivatives held by the Fund, including the performance of the reference assets to which any derivatives are linked, financing rates paid or earned, the types of derivative contracts used (and their correlation to the Funds Index), expenses, transaction costs, the volatility of a Funds index (and its impact on compounding), and other miscellaneous factors. | | | | |
Average Annual Return [Table Text Block] | | Cumulative Total Return Fund/Index Name Since Inception (4/1/24) Ultra Bitcoin ETF - NAV -12.64% Ultra Bitcoin ETF - Market Price -12.55% Bloomberg Bitcoin Index -2.75% S&P 500 ® 0.87% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ Bloomberg ® | | | | |
AssetsNet | $ 216,941,012 | $ 216,941,012 | $ 216,941,012 | $ 216,941,012 | $ 216,941,012 | $ 216,941,012 |
Holdings Count | Holding | 5 | 5 | 5 | 5 | 5 | 5 |
Advisory Fees Paid, Amount | | $ 199,459 | | | | |
InvestmentCompanyPortfolioTurnover | | 0% | | | | |
Additional Fund Statistics [Text Block] | | Key Fund Statistics Net Assets $216,941,012 Number of Portfolio Holdings 5 Investment Advisory Fees $199,459 Portfolio Turnover Rate -% | | | | |
Holdings [Text Block] | | Market Exposure Investment Type % of Net Assets Swap Agreements 146% Futures Contracts 55% Total 201% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. | | | | |
Largest Holdings [Text Block] | | Largest Holdings Company % of Net Assets Repurchase Agreements with various counterparties 23.5% U.S. Treasury Bills 9.1% | | | | |
Material Fund Change [Text Block] | | | | | | |
C000038810 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | Ultra Consumer Discretionary |
Trading Symbol | | | | | | UCC |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about Ultra Consumer Discretionary (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G620"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment UCC $106 0.95% |
Expenses Paid, Amount | | | | | | $ 106 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? Ultra Consumer Discretionary(the Fund) seeks daily investment results, before fees and expenses, that correspond to two times (2x) the daily performance of the S&P Consumer Discretionary Select Sector Index (the Index).The Fund invests in financial instruments that the Advisor believes, in combination, should produce daily returns consistent with the Funds investment objective. For the year ended May 31, 2024, the Fund had a total return of 23.40% and an average daily statistical correlation of over 0.99 to twice that of the return of the Index. For the same period, the Index had a total return of 17.05% and a volatility of 17.33%. The index performance was driven by factors such as a resilient consumer in the face of stubborn inflation. Primary factors affecting Fund performance include the total return of the securities and derivatives held by the Fund, the performance of the reference assets to which any derivatives are linked, financing rates paid or earned, expenses, transaction costs, the volatility of the Funds Index (and its impact on compounding), and other miscellaneous factors. |
Line Graph [Table Text Block] | | | | | | Ultra Consumer Discretionary : $35,350 S&P Consumer Discretionary Select Sector Index : $26,768 S&P 500 ® 5/31/2014 10,000 10,000 10,000 6/30/2014 10,283.1 10,199 10,207 9/30/2014 10,429.82 10,306.61 10,322.12 12/31/2014 12,714.8 11,439.16 10,831.28 3/31/2015 13,930.3 12,026.25 10,934.25 6/30/2015 13,728.59 11,976.95 10,964.86 9/30/2015 12,599.07 11,560.15 10,258.73 12/31/2015 13,884.98 12,193.64 10,980.94 3/31/2016 14,023.78 12,333.87 11,129.18 6/30/2016 13,579.71 12,195.21 11,402.43 9/30/2016 14,236.49 12,529.49 11,841.66 12/31/2016 15,034.5 12,923.62 12,294.51 3/31/2017 17,079.48 13,821.89 13,040.31 6/30/2017 17,747.32 14,143.94 13,443.26 9/30/2017 17,737.56 14,201.93 14,045.52 12/31/2017 21,107.08 15,555.37 14,978.14 3/31/2018 21,565.27 15,854.03 14,864.31 6/30/2018 24,198.81 16,911.5 15,374.15 9/30/2018 28,748.42 18,546.84 16,559.5 12/31/2018 20,428.07 15,876.1 14,320.66 3/31/2019 25,855.3 18,001.9 16,275.43 6/30/2019 29,123.66 19,253.04 16,975.27 9/30/2019 28,330.96 19,116.34 17,263.85 12/31/2019 31,137.92 20,152.45 18,829.68 3/31/2020 18,850.33 16,353.71 15,139.06 6/30/2020 29,088.95 20,618.76 18,248.63 9/30/2020 37,196.24 23,478.58 19,878.23 12/31/2020 45,606.1 26,150.44 22,293.43 3/31/2021 48,538.61 27,133.7 23,668.94 6/30/2021 53,248.62 28,528.37 25,692.63 9/30/2021 52,015.89 28,311.55 25,841.65 12/31/2021 55,122.04 29,291.13 28,691.98 3/31/2022 44,382.93 26,587.56 27,372.15 6/30/2022 24,405.92 20,108.17 22,965.23 9/30/2022 24,065.54 20,299.2 21,844.53 12/31/2022 23,459.39 20,425.06 23,495.98 3/31/2023 28,310 22,555.39 25,258.18 6/30/2023 35,794.55 25,681.57 27,465.74 9/30/2023 31,410.46 24,382.08 26,567.61 12/31/2023 37,854.98 27,144.57 29,673.36 3/31/2024 39,321.18 27,996.91 32,806.87 5/31/2024 35,349.76 26,767.84 33,026.68 |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years Ultra Consumer Discretionary - NAV 23.40% 6.66% 13.46% Ultra Consumer Discretionary - Market Price 23.27% 6.61% 13.53% S&P Consumer Discretionary Select Sector Index 17.05% 10.78% 11.79% S&P 500 ® 28.19% 15.79% 12.68% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ The "S&P Consumer Discretionary Select Sector Index" is a product of S&P Dow Jones Indices LLC and its affiliates and has been licensed for use by ProShares. "S&P ® ® |
AssetsNet | $ 13,256,135 | $ 13,256,135 | $ 13,256,135 | $ 13,256,135 | $ 13,256,135 | $ 13,256,135 |
Holdings Count | Holding | 57 | 57 | 57 | 57 | 57 | 57 |
Advisory Fees Paid, Amount | | | | | | $ 16,257 |
InvestmentCompanyPortfolioTurnover | | | | | | 37% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $13,256,135 Number of Portfolio Holdings 57 Net Investment Advisory Fees $16,257 Portfolio Turnover Rate 37% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Equity Securities 76% Swap Agreements 123% Total 199% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets Amazon.com, Inc. 17.9% Tesla, Inc. 10.3% Home Depot, Inc. (The) 7.0% McDonald's Corp. 3.1% Booking Holdings, Inc. 2.9% Lowe's Cos., Inc. 2.7% TJX Cos., Inc. (The) 2.5% NIKE, Inc., Class B 2.5% Starbucks Corp. 2.0% Chipotle Mexican Grill, Inc., Class A 1.8% |
Material Fund Change [Text Block] | | | | | | |
C000214312 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | Russell U.S. Dividend Growers ETF |
Trading Symbol | | | | | | TMDV |
Security Exchange Name | | | | | | CboeBZX |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about Russell U.S. Dividend Growers ETF (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/shareholder_reports</span>" id="sjs-G644"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment TMDV $37 0.35% |
Expenses Paid, Amount | | | | | | $ 37 |
Expense Ratio, Percent | | | | | | 0.35% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? Russell U.S. Dividend Growers ETF (the Fund) seeks investment results, before fees and expenses, that track the performance of the Russell 3000 ® ® |
Line Graph [Table Text Block] | | | | | | Value Based on a $10,000 Investment Footnote Reference Russell U.S. Dividend Growers ETF : $12,969 Russell 3000 ® Russell 3000 Index : $17,932 11/5/2019 10,000 10,000 10,000 12/31/2019 10,322 10,330 10,529 3/31/2020 8,022 8,049 8,328 6/30/2020 9,210 9,253 10,163 9/30/2020 9,661 9,713 11,099 12/31/2020 10,819 10,891 12,729 3/31/2021 11,805 11,897 13,537 6/30/2021 12,332 12,440 14,652 9/30/2021 11,982 12,098 14,638 12/31/2021 13,347 13,493 15,996 3/31/2022 12,723 12,870 15,151 6/30/2022 11,756 11,903 12,621 9/30/2022 11,095 11,240 12,058 12/31/2022 12,676 12,857 12,924 3/31/2023 12,615 12,805 13,852 6/30/2023 12,767 12,972 15,014 9/30/2023 11,913 12,112 14,526 12/31/2023 12,976 13,205 16,279 3/31/2024 13,406 13,657 17,911 5/31/2024 12,969 13,217 17,932 Footnote Description Footnote * The line graph represents historical performance of a hypothetical investment of $10,000 in the ProShares Russell U.S. Dividend Growers ETF from November 5, 2019 to May 31, 2024, assuming the reinvestment of distributions. |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Since Inception (11/5/19) Russell U.S. Dividend Growers ETF - NAV 8.02% 5.85% Russell U.S. Dividend Growers ETF - Market Price 8.05% 5.85% Russell 3000 ® 8.41% 6.29% Russell 3000 Index 27.58% 13.65% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ The "Russell 3000 ® ® |
AssetsNet | $ 7,466,394 | $ 7,466,394 | $ 7,466,394 | $ 7,466,394 | $ 7,466,394 | $ 7,466,394 |
Holdings Count | Holding | 67 | 67 | 67 | 67 | 67 | 67 |
Advisory Fees Paid, Amount | | | | | | $ 32,169 |
InvestmentCompanyPortfolioTurnover | | | | | | 22% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $7,466,394 Number of Portfolio Holdings 67 Net Investment Advisory Fees $32,169 Portfolio Turnover Rate 22% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Equity Securities 100% Total 100% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets Carlisle Cos., Inc. 1.8% National Fuel Gas Co. 1.8% Archer-Daniels-Midland Co. 1.8% ABM Industries, Inc. 1.8% Air Products and Chemicals, Inc. 1.7% Walmart, Inc. 1.7% Aflac, Inc. 1.7% Dover Corp. 1.7% Black Hills Corp. 1.7% California Water Service Group 1.7% |
Material Fund Change [Text Block] | | | | | | |
C000063928 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | UltraShort MSCI Brazil Capped |
Trading Symbol | | | | | | BZQ |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about UltraShort MSCI Brazil Capped (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G668"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment BZQ $86 0.95% |
Expenses Paid, Amount | | | | | | $ 86 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? UltraShort MSCI Brazil Capped(the Fund) seeks daily investment results, before fees and expenses, that correspond to two times the inverse (-2x) of the daily performance of the MSCI Brazil 25/50 Index (the Index). The Fund invests in financial instruments that the Advisor believes, in combination, should produce daily returns consistent with the Funds investment objective. For the year ended May 31, 2024, the Fund had a total return of -19.95% and an average daily statistical correlation of over 0.99 to two times the inverse of the return of the Index. For the same period, the Index had a total return of 11.16% and a volatility of 20.66%. The index performance was driven by factors such as middling commodity prices which supported Brazilian equity performance. Primary factors affecting Fund performance include the total return of the derivatives held by the Fund, the performance of the reference assets to which any derivatives are linked, financing rates paid or earned, expenses, transaction costs, the volatility of the Funds Index (and its impact on compounding), and other miscellaneous factors. |
Line Graph [Table Text Block] | | | | | | UltraShort MSCI Brazil Capped : $214 MSCI Brazil 25/50 Index : $9,737 MSCI Emerging Markets Index : $13,009 5/31/2014 10,000 10,000 10,000 6/30/2014 8,999 10,511 10,266 9/30/2014 10,240.78 9,575.44 9,907.2 12/31/2014 12,011.36 8,190.23 9,460.88 3/31/2015 14,812.54 7,001.06 9,672.71 6/30/2015 12,407.89 7,470.13 9,739.46 9/30/2015 24,301.06 4,975.85 7,996.09 12/31/2015 23,871.11 4,836.03 8,048.87 3/31/2016 11,903.21 6,190.12 8,508.46 6/30/2016 7,835.01 7,066.94 8,564.75 9/30/2016 5,850.32 7,861.66 9,337.85 12/31/2016 5,335.99 7,987.95 8,948.98 3/31/2017 3,986.23 8,780.2 9,973.19 6/30/2017 4,130.64 8,194.56 10,598.51 9/30/2017 2,710.31 10,018.67 11,434.73 12/31/2017 2,687.22 9,790.24 12,285.48 3/31/2018 2,063.75 10,824.09 12,459.93 6/30/2018 3,660.17 8,036.89 11,468.12 9/30/2018 3,059.35 8,493.38 11,343.12 12/31/2018 2,105.38 9,692.65 10,496.92 3/31/2019 1,708.4 10,487.44 11,537.17 6/30/2019 1,411.15 11,268.76 11,607.54 9/30/2019 1,461.72 10,797.73 11,114.22 12/31/2019 1,091.01 12,369.87 12,430.15 3/31/2020 2,101.49 6,187.41 9,496.63 6/30/2020 1,044.7 7,571.54 11,213.62 9/30/2020 1,026.66 7,348.18 12,285.64 12/31/2020 514.2 10,006.74 14,705.92 3/31/2021 569.83 9,033.09 15,042.68 6/30/2021 356.81 11,052.89 15,802.34 9/30/2021 521.98 8,855.57 14,523.93 12/31/2021 548.39 8,310.07 14,333.67 3/31/2022 282.99 11,265.96 13,334.61 6/30/2022 450.48 8,542.98 11,807.8 9/30/2022 354.87 9,234.11 10,441.63 12/31/2022 305.09 9,493.58 11,454.47 3/31/2023 302.02 9,236.31 11,908.07 6/30/2023 200.3 10,790.78 12,015.24 9/30/2023 219.95 10,253.4 11,663.2 12/31/2023 155.48 11,875.48 12,579.92 3/31/2024 179.68 10,876.76 12,842.84 5/31/2024 214.42 9,736.87 13,008.52 |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years UltraShort MSCI Brazil Capped - NAV - -33.19% -31.90% UltraShort MSCI Brazil Capped - Market Price -19.94% -33.17% -31.89% MSCI Brazil 25/50 Index 11.16% -0.21% 0.65% MSCI Emerging Markets Index 12.39% 3.54% 2.66% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ "MSCI" is a service mark of MSCI and has been licensed for use by ProShares. This ETF is not sponsored, endorsed, sold or promoted by MSCI and MSCI makes no representation regarding the advisability of investing in this ETF. |
AssetsNet | $ 9,049,329 | $ 9,049,329 | $ 9,049,329 | $ 9,049,329 | $ 9,049,329 | $ 9,049,329 |
Holdings Count | Holding | 8 | 8 | 8 | 8 | 8 | 8 |
Advisory Fees Paid, Amount | | | | | | $ 0 |
InvestmentCompanyPortfolioTurnover | | | | | | 0% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $9,049,329 Number of Portfolio Holdings 8 Net Investment Advisory Fees $- Portfolio Turnover Rate -% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Swap Agreements (200)% Total (200)% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets U.S. Treasury Bills 64.7% Repurchase Agreements with various counterparties 5.9% |
Material Fund Change [Text Block] | | | | | | |
C000248847 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | UltraShort Bitcoin ETF | | | | |
Trading Symbol | | SBIT | | | | |
Security Exchange Name | | NYSEArca | | | | |
Annual or Semi-Annual Statement [Text Block] | | This annual shareholder report contains important information about UltraShort Bitcoin ETF (the Fund) for the period of April 1, 2024 to May 31, 2024. | | | | |
Shareholder Report Annual or Semi-Annual | | Annual Shareholder Report | | | | |
Additional Information [Text Block] | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports | | | | |
Additional Information Phone Number | | 866-776-5125 | | | | |
Additional Information Website | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-C692"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> | | | | |
Expenses [Text Block] | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Footnote Reference Costs paid as a percentage of a $10,000 investment SBIT $15 0.95% Footnote Description Footnote * Amount shown reflects the expenses of the Fund from inception date through May 31, 2024. Expenses would be higher if the Fund had been in operations for the full year. | | | | |
Expenses Paid, Amount | | $ 15 | | | | |
Expense Ratio, Percent | | 0.95% | | | | |
Factors Affecting Performance [Text Block] | | How Did the Fund Perform Last Year? UltraShort Bitcoin ETF (the Fund) seeks daily investment results, before fees and expenses, that correspond to two times the inverse (-2x) of the daily performance of the Bloomberg Bitcoin Index (the Index). The Fund invests in financial instruments that the Advisor believes, in combination, should produce daily returns consistent with the Funds investment objective. Bitcoin returns were muted during this brief two-month period after a strong rally in cryptocurrencies. For the period April 1, 2024, through May 31, 2024, the Fund had a total return of -6.30%. For the same period, the Index had a total return of -2.75% and a volatility of 47.97%. Primary factors affecting Fund performance include the total return of the derivatives held by the Fund, including the performance of the reference assets to which any derivatives are linked, financing rates paid or earned, the types of derivative contracts used (and their correlation to the Funds Index), expenses, transaction costs, the volatility of a Funds index (and its impact on compounding), and other miscellaneous factors. | | | | |
Average Annual Return [Table Text Block] | | Cumulative Total Return Fund/Index Name Since Inception (4/1/24) UltraShort Bitcoin ETF - NAV -6.30% UltraShort Bitcoin ETF - Market Price -6.28% Bloomberg Bitcoin Index -2.75% S&P 500 ® 0.87% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ Bloomberg ® | | | | |
AssetsNet | $ 10,489,263 | $ 10,489,263 | $ 10,489,263 | $ 10,489,263 | $ 10,489,263 | $ 10,489,263 |
Holdings Count | Holding | 3 | 3 | 3 | 3 | 3 | 3 |
Advisory Fees Paid, Amount | | $ 14,618 | | | | |
InvestmentCompanyPortfolioTurnover | | 0% | | | | |
Additional Fund Statistics [Text Block] | | Key Fund Statistics Net Assets $10,489,263 Number of Portfolio Holdings 3 Investment Advisory Fees $14,618 Portfolio Turnover Rate -% | | | | |
Holdings [Text Block] | | Market Exposure Investment Type % of Net Assets Swap Agreements (199)% Total (199)% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. | | | | |
Largest Holdings [Text Block] | | Largest Holdings Company % of Net Assets Repurchase Agreements with various counterparties 46.8% | | | | |
Material Fund Change [Text Block] | | | | | | |
C000038809 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | Ultra Consumer Staples |
Trading Symbol | | | | | | UGE |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about Ultra Consumer Staples (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G715"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment UGE $100 0.95% |
Expenses Paid, Amount | | | | | | $ 100 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? Ultra Consumer Staples(the Fund) seeks daily investment results, before fees and expenses, that correspond to two times (2x) the daily performance of the S&P Consumer Staples Select Sector Index (the Index).The Fund invests in financial instruments that the Advisor believes, in combination, should produce daily returns consistent with the Funds investment objective. For the year ended May 31, 2024, the Fund had a total return of 10.19% and an average daily statistical correlation of over 0.99 to twice that of the return of the Index. For the same period, the Index had a total return of 9.63% and a volatility of 10.55%. The index performance was driven by factors such as a market environment that generally favored leading technology companies over more defensive areas of the market. Primary factors affecting Fund performance include the total return of the securities and derivatives held by the Fund, the performance of the reference assets to which any derivatives are linked, financing rates paid or earned, expenses, transaction costs, the volatility of the Funds Index (and its impact on compounding), and other miscellaneous factors. |
Line Graph [Table Text Block] | | | | | | Ultra Consumer Staples : $26,935 S&P Consumer Staples Select Sector Index : $22,553 S&P 500 ® 5/31/2014 10,000 10,000 10,000 6/30/2014 10,161.54 9,976 10,207 9/30/2014 10,085.37 9,970.18 10,322.12 12/31/2014 11,418.79 10,650.37 10,831.28 3/31/2015 11,588.44 10,772.19 10,934.25 6/30/2015 11,541.24 10,781.88 10,964.86 9/30/2015 11,058.94 10,626.63 10,258.73 12/31/2015 12,381.05 11,295.04 10,980.94 3/31/2016 13,404.85 11,807.83 11,129.18 6/30/2016 14,150.66 12,184.1 11,402.43 9/30/2016 13,889.88 12,117.61 11,841.66 12/31/2016 13,278.51 11,892.04 12,294.51 3/31/2017 15,361.63 12,832.53 13,040.31 6/30/2017 16,199.02 13,223.92 13,443.26 9/30/2017 15,972.54 13,188.22 14,045.52 12/31/2017 17,647.83 13,916.21 14,978.14 3/31/2018 15,489.17 13,127.16 14,864.31 6/30/2018 15,397.75 13,179.67 15,374.15 9/30/2018 15,617.73 13,352.32 16,559.5 12/31/2018 12,495.1 12,050.47 14,320.66 3/31/2019 15,688.8 13,597.75 16,275.43 6/30/2019 16,265.39 13,943.13 16,975.27 9/30/2019 17,589.49 14,605.43 17,263.85 12/31/2019 19,624.87 15,508.05 18,829.68 3/31/2020 12,161.02 12,682.48 15,139.06 6/30/2020 16,639.89 15,031.27 18,248.63 9/30/2020 22,783.49 17,702.33 19,878.23 12/31/2020 30,657.52 20,653.31 22,293.43 3/31/2021 31,703.21 21,138.66 23,668.94 6/30/2021 34,227.43 22,049.74 25,692.63 9/30/2021 32,936.62 21,716.79 25,841.65 12/31/2021 43,656.33 25,158.9 28,691.98 3/31/2022 38,074.21 23,707.23 27,372.15 6/30/2022 26,806.55 20,172.48 22,965.23 9/30/2022 24,513.87 19,504.77 21,844.53 12/31/2022 23,255.17 19,266.82 23,495.98 3/31/2023 26,189.94 21,160.74 25,258.18 6/30/2023 25,669.77 21,156.51 27,465.74 9/30/2023 21,939.04 19,760.18 26,567.61 12/31/2023 23,833.5 20,841.06 29,673.36 3/31/2024 26,672.73 22,277.01 32,806.87 5/31/2024 26,935.08 22,553.25 33,026.68 |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years Ultra Consumer Staples - NAV 10.19% 13.23% 10.42% Ultra Consumer Staples - Market Price 9.45% 13.18% 10.40% S&P Consumer Staples Select Sector Index 9.63% 9.82% 8.53% S&P 500 ® 28.19% 15.79% 12.68% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ The "S&P Consumer Staples Select Sector Index" is a product of S&P Dow Jones Indices LLC and its affiliates and has been licensed for use by ProShares. "S&P ® ® |
AssetsNet | $ 7,815,575 | $ 7,815,575 | $ 7,815,575 | $ 7,815,575 | $ 7,815,575 | $ 7,815,575 |
Holdings Count | Holding | 43 | 43 | 43 | 43 | 43 | 43 |
Advisory Fees Paid, Amount | | | | | | $ 0 |
InvestmentCompanyPortfolioTurnover | | | | | | 26% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $7,815,575 Number of Portfolio Holdings 43 Net Investment Advisory Fees $- Portfolio Turnover Rate 26% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Equity Securities 76% Swap Agreements 124% Total 200% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets Procter & Gamble Co. (The) 11.1% Costco Wholesale Corp. 10.3% Walmart, Inc. 8.1% Coca-Cola Co. (The) 7.1% Philip Morris International, Inc. 3.7% PepsiCo, Inc. 3.5% Mondelez International, Inc., Class A 3.0% Altria Group, Inc. 2.7% Colgate-Palmolive Co. 2.5% Target Corp. 2.4% |
Material Fund Change [Text Block] | | | | | | |
C000131287 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | ®</sup> Dividend Aristocrats ETF" id="sjs-G732">S&P 500<sup style="box-sizing: border-box; color: rgb(255, 255, 255); display: inline; flex-wrap: nowrap; font-size: 16px; font-weight: 700; grid-area: auto; line-height: 0px; margin: 0px; overflow: visible; position: relative; text-align: left; height: auto; max-height: none; min-height: 0px;">®</sup> Dividend Aristocrats ETF |
Trading Symbol | | | | | | NOBL |
Security Exchange Name | | | | | | CboeBZX |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about S&P 500 ® |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/shareholder_reports</span>" id="sjs-G739"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment NOBL $38 0.35% |
Expenses Paid, Amount | | | | | | $ 38 |
Expense Ratio, Percent | | | | | | 0.35% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? S&P 500 ® ® performance of the Index. Performance was driven by strong performance of the S&P 500 ® |
Line Graph [Table Text Block] | | | | | | Value Based on a $10,000 Investment Footnote Reference S&P 500 ® S&P 500 ® ® S&P 500 ® 5/31/2014 10,000 10,000 10,000 6/30/2014 10,139 10,143 10,207 9/30/2014 10,240 10,254 10,322 12/31/2014 11,124 11,143 10,831 3/31/2015 11,194 11,223 10,934 6/30/2015 11,038 11,076 10,965 9/30/2015 10,480 10,523 10,259 12/31/2015 11,176 11,247 10,981 3/31/2016 11,913 12,002 11,129 6/30/2016 12,439 12,544 11,402 9/30/2016 12,487 12,604 11,842 12/31/2016 12,451 12,577 12,295 3/31/2017 13,065 13,210 13,040 6/30/2017 13,481 13,643 13,443 9/30/2017 13,954 14,136 14,046 12/31/2017 15,095 15,310 14,978 3/31/2018 14,742 14,968 14,864 6/30/2018 14,862 15,105 15,374 9/30/2018 16,021 16,300 16,560 12/31/2018 14,616 14,893 14,321 3/31/2019 16,422 16,752 16,275 6/30/2019 16,909 17,268 16,975 9/30/2019 17,527 17,916 17,264 12/31/2019 18,628 19,060 18,830 3/31/2020 14,287 14,621 15,139 6/30/2020 16,805 17,215 18,249 9/30/2020 18,106 18,565 19,878 12/31/2020 20,178 20,713 22,293 3/31/2021 21,871 22,473 23,669 6/30/2021 23,116 23,777 25,693 9/30/2021 22,688 23,356 25,842 12/31/2021 25,320 26,095 28,692 3/31/2022 24,538 25,310 27,372 6/30/2022 22,188 22,903 22,965 9/30/2022 20,877 21,561 21,845 12/31/2022 23,673 24,476 23,496 3/31/2023 24,080 24,916 25,258 6/30/2023 25,015 25,908 27,466 9/30/2023 23,638 24,499 26,568 12/31/2023 25,581 26,539 29,673 3/31/2024 27,368 28,421 32,807 5/31/2024 26,466 27,500 33,027 Footnote Description Footnote * The line graph represents historical performance of a hypothetical investment of $10,000 in the ProShares S&P 500 ® |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years S&P 500 ® 14.35% 10.89% 10.22% S&P 500 ® 14.27% 10.89% 10.21% S&P 500 ® ® 14.77% 11.27% 10.64% S&P 500 ® 28.19% 15.79% 12.68% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ The "S&P 500 ® ® ® |
AssetsNet | $ 11,808,758,037 | $ 11,808,758,037 | $ 11,808,758,037 | $ 11,808,758,037 | $ 11,808,758,037 | $ 11,808,758,037 |
Holdings Count | Holding | 67 | 67 | 67 | 67 | 67 | 67 |
Advisory Fees Paid, Amount | | | | | | $ 40,392,091 |
InvestmentCompanyPortfolioTurnover | | | | | | 21% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $11,808,758,037 Number of Portfolio Holdings 67 Net Investment Advisory Fees $40,392,091 Portfolio Turnover Rate 21% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Equity Securities 100% Total 100% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets CH Robinson Worldwide, Inc. 1.9% NextEra Energy, Inc. 1.8% Air Products and Chemicals, Inc. 1.7% Amcor plc 1.7% Walmart, Inc. 1.7% Chubb Ltd. 1.6% Brown & Brown, Inc. 1.6% Albemarle Corp. 1.6% Aflac, Inc. 1.6% Essex Property Trust, Inc. 1.6% |
Material Fund Change [Text Block] | | | | | | |
C000230310 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | Big Data Refiners ETF |
Trading Symbol | | | | | | DAT |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about Big Data Refiners ETF (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/shareholder_reports</span>" id="sjs-G763"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment DAT $66 0.58% |
Expenses Paid, Amount | | | | | | $ 66 |
Expense Ratio, Percent | | | | | | 0.58% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? Big Data Refiners ETF (the Fund) seeks investment results, before fees and expenses, that track the performance of the FactSet Big Data Refiners Index (the Index). The Fund invests in financial instruments that the Advisor believes, in combination, should track the performance of the Index. While the Funds holdings had strong positive performance, the absence of the Magnificent 7 stocks drove modest underperformance relative to the Nasdaq-100 ® ® the Fund, expenses, transaction costs, the volatility of the Funds index, and other miscellaneous factors. |
Average Annual Return [Table Text Block] | | | | | | Fund/Index Name One Year Since Inception (9/29/21) Big Data Refiners ETF - NAV 25.35% -6.19% Big Data Refiners ETF - Market Price 25.42% -6.12% FactSet Big Data Refiners Index 26.39% -5.75% S&P Global 1200 Index 24.99% 7.43% |
AssetsNet | $ 6,746,176 | $ 6,746,176 | $ 6,746,176 | $ 6,746,176 | $ 6,746,176 | $ 6,746,176 |
Holdings Count | Holding | 28 | 28 | 28 | 28 | 28 | 28 |
Advisory Fees Paid, Amount | | | | | | $ 25,300 |
InvestmentCompanyPortfolioTurnover | | | | | | 33% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $6,746,176 Number of Portfolio Holdings 28 Net Investment Advisory Fees $25,300 Portfolio Turnover Rate 33% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Equity Securities 100% Total 100% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets MicroStrategy, Inc., Class A 13.2% CommVault Systems, Inc. 6.5% Zebra Technologies Corp., Class A 5.9% Nutanix, Inc., Class A 5.6% Tyler Technologies, Inc. 5.3% Confluent, Inc., Class A 5.2% Informatica, Inc., Class A 5.2% Palantir Technologies, Inc., Class A 4.9% Nice Ltd. (ADR) 4.4% Elastic NV 4.3% |
Material Fund Change [Text Block] | | | | | | |
C000051858 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | UltraShort MSCI Japan |
Trading Symbol | | | | | | EWV |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about UltraShort MSCI Japan (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G786"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment EWV $83 0.95% |
Expenses Paid, Amount | | | | | | $ 83 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? UltraShort MSCI Japan(the Fund) seeks daily investment results, before fees and expenses, that correspond to two times the inverse (-2x) of the daily performance of the MSCI Japan Index (the Index).The Fund invests in financial instruments that the Advisor believes, in combination, should produce daily returns consistent with the Funds investment objective. For the year ended May 31, 2024, the Fund had a total return of -26.18% and an average daily statistical correlation of over 0.99 to two times the inverse of the return of the Index. For the same period, the Index had a total return of 18.63% and a volatility of 15.95%. The index performance was driven by factors such as decent underlying performance plus the depreciation of the Yen drove performance. Primary factors affecting Fund performance include the total return of the derivatives held by the Fund, the performance of the reference assets to which any derivatives are linked, financing rates paid or earned, expenses, transaction costs, the volatility of the Funds Index (and its impact on compounding), and other miscellaneous factors. |
Line Graph [Table Text Block] | | | | | | UltraShort MSCI Japan : $1,673 MSCI Japan Index : $18,432 MSCI EAFE Index : $15,765 5/31/2014 10,000 10,000 10,000 6/30/2014 9,079.64 10,523 10,096 9/30/2014 9,371.33 10,280.44 9,502.76 12/31/2014 9,827.15 10,031.56 9,163.32 3/31/2015 7,745.94 11,055.68 9,610.31 6/30/2015 7,190.74 11,400.61 9,669.89 9/30/2015 8,567.39 10,066.74 8,680.66 12/31/2015 7,339.53 11,011 9,089.52 3/31/2016 7,914.45 10,308.5 8,861.37 6/30/2016 7,372.47 10,415.04 8,731.8 9/30/2016 6,105.44 11,327.01 9,293.63 12/31/2016 6,232.83 11,310.71 9,227.32 3/31/2017 5,571.73 11,835.81 9,895.88 6/30/2017 5,045 12,450.09 10,501.5 9/30/2017 4,673.58 12,944.36 11,068.59 12/31/2017 3,975.31 14,043.33 11,536.79 3/31/2018 3,788.26 14,159.89 11,360.27 6/30/2018 4,095.06 13,763.42 11,219.41 9/30/2018 3,777.32 14,287.8 11,370.87 12/31/2018 5,151.54 12,258.94 9,944.96 3/31/2019 4,403.04 13,098.67 10,937.47 6/30/2019 4,343.53 13,236.21 11,339.97 9/30/2019 4,011.77 13,671.68 11,218.63 12/31/2019 3,599.93 14,720.3 12,135.19 3/31/2020 4,681.35 12,272.31 9,364.73 6/30/2020 3,514.66 13,697.13 10,758.2 9/30/2020 2,977.92 14,647.71 11,274.59 12/31/2020 2,209.35 16,882.95 13,084.17 3/31/2021 2,104.06 17,148.01 13,539.49 6/30/2021 2,088.34 17,100 14,239.49 9/30/2021 1,887.53 17,879.76 14,175.41 12/31/2021 1,981.16 17,171.72 14,556.73 3/31/2022 2,263.28 16,036.67 13,696.42 6/30/2022 2,928.93 13,690.5 11,709.07 9/30/2022 3,362.25 12,640.44 10,613.1 12/31/2022 2,649.71 14,312.77 12,453.42 3/31/2023 2,291.5 15,198.73 13,508.22 6/30/2023 2,049.56 16,174.49 13,906.71 9/30/2023 2,186.35 15,917.32 13,335.15 12/31/2023 1,897.08 17,220.94 14,724.67 3/31/2024 1,551.21 19,027.42 15,559.56 5/31/2024 1,672.62 18,431.86 15,764.94 |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years UltraShort MSCI Japan - NAV - -18.80% -16.37% UltraShort MSCI Japan - Market Price -26.05% -18.70% -16.38% MSCI Japan Index 18.63% 7.55% 6.15% MSCI EAFE Index 18.53% 8.04% 4.60% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ "MSCI" is a service mark of MSCI and has been licensed for use by ProShares. This ETF is not sponsored, endorsed, sold or promoted by MSCI and MSCI makes no representation regarding the advisability of investing in this ETF. |
AssetsNet | $ 5,118,096 | $ 5,118,096 | $ 5,118,096 | $ 5,118,096 | $ 5,118,096 | $ 5,118,096 |
Holdings Count | Holding | 5 | 5 | 5 | 5 | 5 | 5 |
Advisory Fees Paid, Amount | | | | | | $ 0 |
InvestmentCompanyPortfolioTurnover | | | | | | 0% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $5,118,096 Number of Portfolio Holdings 5 Net Investment Advisory Fees $- Portfolio Turnover Rate -% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Swap Agreements (201)% Total (201)% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets Repurchase Agreements with various counterparties 84.9% |
Material Fund Change [Text Block] | | | | | | |
C000018464 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | Ultra Dow30℠ |
Trading Symbol | | | | | | DDM |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about Ultra Dow30℠ (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G810"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment DDM $110 0.95% |
Expenses Paid, Amount | | | | | | $ 110 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? Ultra Dow30 SM SM ® ® |
Line Graph [Table Text Block] | | | | | | Ultra Dow30℠ : $44,837 Dow Jones Industrial Average℠ Index : $33,023 S&P 500 ® 5/31/2014 10,000 10,000 10,000 6/30/2014 10,136.41 10,075 10,207 9/30/2014 10,461.97 10,263.75 10,322.12 12/31/2014 11,484.16 10,797.8 10,831.28 3/31/2015 11,460.19 10,832.99 10,934.25 6/30/2015 11,317.37 10,801.57 10,964.86 9/30/2015 9,664.32 10,047.62 10,258.73 12/31/2015 11,109.11 10,821.29 10,980.94 3/31/2016 11,467.67 11,059.36 11,129.18 6/30/2016 11,845.98 11,288.16 11,402.43 9/30/2016 12,433.88 11,601.77 11,841.66 12/31/2016 14,587.1 12,606.55 12,294.51 3/31/2017 16,030.85 13,260.86 13,040.31 6/30/2017 17,203.29 13,784.66 13,443.26 9/30/2017 19,030.03 14,553.84 14,045.52 12/31/2017 23,249.47 16,148.94 14,978.14 3/31/2018 21,915.9 15,832.43 14,864.31 6/30/2018 22,146.18 16,031.91 15,374.15 9/30/2018 26,302.57 17,575.79 16,559.5 12/31/2018 20,146.88 15,587.97 14,320.66 3/31/2019 24,779.54 17,428.9 16,275.43 6/30/2019 26,019.29 17,988.37 16,975.27 9/30/2019 26,572.61 18,317.56 17,263.85 12/31/2019 29,895.37 19,539.34 18,829.68 3/31/2020 16,079.4 15,098.05 15,139.06 6/30/2020 21,790.59 17,892.7 18,248.63 9/30/2020 25,261.04 19,363.48 19,878.23 12/31/2020 30,547.91 21,441.18 22,293.43 3/31/2021 35,530.84 23,218.65 23,668.94 6/30/2021 38,939.22 24,398.16 25,692.63 9/30/2021 37,517.17 24,041.95 25,841.65 12/31/2021 43,264.78 25,934.05 28,691.98 3/31/2022 39,338.03 24,870.75 27,372.15 6/30/2022 30,709.25 22,189.68 22,965.23 9/30/2022 26,535.17 20,820.58 21,844.53 12/31/2022 34,850.86 24,153.96 23,495.98 3/31/2023 34,782.89 24,378.59 25,258.18 6/30/2023 36,845.33 25,346.42 27,465.74 9/30/2023 34,607.16 24,814.14 26,567.61 12/31/2023 43,320.95 28,062.31 29,673.36 3/31/2024 47,816.32 29,785.34 32,806.87 5/31/2024 44,837.04 33,023.01 33,026.68 |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years Ultra Dow30℠ - NAV 32.31% 14.60% 16.19% Ultra Dow30℠ - Market Price 32.36% 14.62% 16.21% Dow Jones Industrial Average℠ Index 19.97% 11.61% 11.24% S&P 500 ® 28.19% 15.79% 12.68% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ "The Dow 30 SM SM ® |
AssetsNet | $ 383,950,004 | $ 383,950,004 | $ 383,950,004 | $ 383,950,004 | $ 383,950,004 | $ 383,950,004 |
Holdings Count | Holding | 41 | 41 | 41 | 41 | 41 | 41 |
Advisory Fees Paid, Amount | | | | | | $ 2,751,312 |
InvestmentCompanyPortfolioTurnover | | | | | | 4% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $383,950,004 Number of Portfolio Holdings 41 Net Investment Advisory Fees $2,751,312 Portfolio Turnover Rate 4% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Equity Securities 71% Swap Agreements 118% Futures Contracts 11% Total 200% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets UnitedHealth Group, Inc. 6.0% Goldman Sachs Group, Inc. (The) 5.5% Microsoft Corp. 5.0% Caterpillar, Inc. 4.1% Home Depot, Inc. (The) 4.0% Amgen, Inc. 3.7% Visa, Inc., Class A 3.3% McDonald's Corp. 3.1% American Express Co. 2.9% Salesforce, Inc. 2.8% |
Material Fund Change [Text Block] | | | | | | |
C000160294 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | ®</sup> Ex-Energy ETF" id="sjs-G827">S&P 500<sup style="box-sizing: border-box; color: rgb(255, 255, 255); display: inline; flex-wrap: nowrap; font-size: 16px; font-weight: 700; grid-area: auto; line-height: 0px; margin: 0px; overflow: visible; position: relative; text-align: left; height: auto; max-height: none; min-height: 0px;">®</sup> Ex-Energy ETF |
Trading Symbol | | | | | | SPXE |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about S&P 500 ® |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/shareholder_reports</span>" id="sjs-G834"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment SPXE $10 0.09% |
Expenses Paid, Amount | | | | | | $ 10 |
Expense Ratio, Percent | | | | | | 0.09% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? S&P 500 ® ® ® |
Line Graph [Table Text Block] | | | | | | Value Based on a $10,000 Investment Footnote Reference S&P 500 ® S&P 500 ® S&P 500 ® 9/22/2015 10,000 10,000 10,000 9/30/2015 9,892 9,893 9,888 12/31/2015 10,628 10,640 10,584 3/31/2016 10,743 10,763 10,727 6/30/2016 10,928 10,956 10,990 9/30/2016 11,353 11,392 11,414 12/31/2016 11,748 11,797 11,850 3/31/2017 12,571 12,636 12,569 6/30/2017 13,032 13,110 12,957 9/30/2017 13,585 13,678 13,538 12/31/2017 14,480 14,591 14,437 3/31/2018 14,410 14,528 14,327 6/30/2018 14,803 14,938 14,819 9/30/2018 15,999 16,162 15,961 12/31/2018 13,937 14,082 13,803 3/31/2019 15,800 15,981 15,687 6/30/2019 16,535 16,734 16,362 9/30/2019 16,872 17,089 16,640 12/31/2019 18,415 18,668 18,149 3/31/2020 15,065 15,268 14,592 6/30/2020 18,096 18,363 17,589 9/30/2020 19,846 20,155 19,160 12/31/2020 22,172 22,538 21,488 3/31/2021 23,397 23,800 22,814 6/30/2021 25,358 25,816 24,764 9/30/2021 25,506 25,984 24,908 12/31/2021 28,316 28,870 27,655 3/31/2022 26,668 27,199 26,383 6/30/2022 22,266 22,700 22,135 9/30/2022 21,107 21,517 21,055 12/31/2022 22,540 22,987 22,647 3/31/2023 24,374 24,865 24,345 6/30/2023 26,607 27,155 26,473 9/30/2023 25,559 26,085 25,608 12/31/2023 28,771 29,375 28,601 3/31/2024 31,761 32,438 31,621 5/31/2024 31,993 32,682 31,833 Footnote Description Footnote * The line graph represents historical performance of a hypothetical investment of $10,000 in the ProShares S&P 500 ® |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Since Inception (9/22/15) S&P 500 ® 28.16% 15.64% 14.32% S&P 500 ® 28.02% 15.63% 14.31% S&P 500 ® 28.31% 15.85% 14.59% S&P 500 ® 28.19% 15.79% 14.24% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ The "S&P 500 Ex-Energy Index" is a product of S&P Dow Jones Indices LLC and its affiliates and has been licensed for use by ProShares. "S&P ® ® |
AssetsNet | $ 50,841,612 | $ 50,841,612 | $ 50,841,612 | $ 50,841,612 | $ 50,841,612 | $ 50,841,612 |
Holdings Count | Holding | 483 | 483 | 483 | 483 | 483 | 483 |
Advisory Fees Paid, Amount | | | | | | $ 36,399 |
InvestmentCompanyPortfolioTurnover | | | | | | 4% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $50,841,612 Number of Portfolio Holdings 483 Net Investment Advisory Fees $36,399 Portfolio Turnover Rate 4% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Equity Securities 100% Total 100% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets Microsoft Corp. 7.2% Apple, Inc. 6.6% NVIDIA Corp. 6.4% Alphabet, Inc. 4.4% Amazon.com, Inc. 3.8% Meta Platforms, Inc., Class A 2.4% Berkshire Hathaway, Inc., Class B 1.8% Eli Lilly & Co. 1.5% JPMorgan Chase & Co. 1.4% Broadcom, Inc. 1.4% |
Material Fund Change [Text Block] | | | | | | |
C000051854 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | UltraShort Nasdaq Biotechnology |
Trading Symbol | | | | | | BIS |
Security Exchange Name | | | | | | NASDAQ |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about UltraShort Nasdaq Biotechnology (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G858"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment BIS $89 0.95% |
Expenses Paid, Amount | | | | | | $ 89 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? UltraShort Nasdaq Biotechnology(the Fund) seeks daily investment results, before fees and expenses, that correspond to two times the inverse (-2x) of the daily performance of the Nasdaq Biotechnology ® ® |
Line Graph [Table Text Block] | | | | | | UltraShort Nasdaq Biotechnology : $568 Nasdaq Biotechnology ® Nasdaq-100 ® 5/31/2014 10,000 10,000 10,000 6/30/2014 8,644.850000 10,732 10,309 9/30/2014 7,333.760000 11,428.510000 10,878.940000 12/31/2014 5,591.050000 12,707.360000 11,411.650000 3/31/2015 4,184.080000 14,393.620000 11,711.240000 6/30/2015 3,487.790000 15,477.460000 11,915.020000 9/30/2015 4,668.700000 12,702.350000 11,363.350000 12/31/2015 3,494.060000 14,203.770000 12,523.550000 3/31/2016 5,293.950000 10,953.950000 12,285.600000 6/30/2016 5,024.890000 10,830.800000 12,145.660000 9/30/2016 3,825.280000 12,184.170000 13,446.070000 12/31/2016 4,264.250000 11,171.800000 13,456.230000 3/31/2017 3,382.060000 12,382.580000 15,083.510000 6/30/2017 2,950.240000 13,109.440000 15,715.510000 9/30/2017 2,500.900000 14,124.110000 16,685.160000 12/31/2017 2,677.010000 13,588.810000 17,896.500000 3/31/2018 2,577.590000 13,596.960000 18,460.240000 6/30/2018 2,368.170000 14,015.750000 19,802.300000 9/30/2018 1,900.600000 15,585.510000 21,507.280000 12/31/2018 2,810.110000 12,384.250000 17,902.660000 3/31/2019 2,044.660000 14,308.760000 20,926.420000 6/30/2019 2,094.550000 13,986.810000 29,185.210000 9/30/2019 2,473.340000 12,781.150000 22,097.210000 12/31/2019 1,663.840000 15,493.310000 24,967.640000 3/31/2020 1,751.630000 13,902.150000 22,398.470000 6/30/2020 998.680000 17,641.820000 29,185.210000 9/30/2020 964.440000 17,497.160000 32,868.380000 12/31/2020 732.320000 19,588.070000 37,170.850000 3/31/2021 699.720000 19,480.340000 37,825.060000 6/30/2021 571.050000 21,262.790000 42,129.550000 9/30/2021 561.700000 21,033.150000 42,588.760000 12/31/2021 623.980000 19,592.380000 47,392.770000 3/31/2022 748.220000 17,305.950000 43,170.080000 6/30/2022 837.010000 15,613.430000 33,543.150000 9/30/2022 784.320000 15,721.160000 32,060.540000 12/31/2022 608.120000 17,609.270000 32,047.720000 3/31/2023 629.090000 17,279.980000 38,704.030000 6/30/2023 648.360000 17,115.820000 44,660.580000 9/30/2023 700.130000 16,633.150000 43,383.290000 12/31/2023 569.540000 18,421.220000 49,717.250000 3/31/2024 558.720000 18,712.270000 54,052.590000 5/31/2024 568.130000 18,618.710000 54,960.670000 |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years UltraShort Nasdaq Biotechnology - NAV - -25.75% -24.93% UltraShort Nasdaq Biotechnology - Market Price -11.87% -25.67% -24.88% Nasdaq Biotechnology ® 8.95% 7.77% 6.40% Nasdaq-100 ® 31.12% 22.07% 18.54% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ "Nasdaq Biotechnology ® |
AssetsNet | $ 3,500,378 | $ 3,500,378 | $ 3,500,378 | $ 3,500,378 | $ 3,500,378 | $ 3,500,378 |
Holdings Count | Holding | 7 | 7 | 7 | 7 | 7 | 7 |
Advisory Fees Paid, Amount | | | | | | $ 0 |
InvestmentCompanyPortfolioTurnover | | | | | | 0% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $3,500,378 Number of Portfolio Holdings 7 Net Investment Advisory Fees $- Portfolio Turnover Rate -% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Swap Agreements (200)% Total (200)% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets Repurchase Agreements with various counterparties 83.2% |
Material Fund Change [Text Block] | | | | | | |
C000124906 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | DJ Brookfield Global Infrastructure ETF |
Trading Symbol | | | | | | TOLZ |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about DJ Brookfield Global Infrastructure ETF (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/shareholder_reports</span>" id="sjs-G882"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment TOLZ $47 0.45% |
Expenses Paid, Amount | | | | | | $ 47 |
Expense Ratio, Percent | | | | | | 0.45% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? DJ Brookfield Global Infrastructure ETF (the Fund) seeks investment results, before fees and expenses, that track the performance of the Dow Jones Brookfield Global Infrastructure Composite Index (the Index). The Fund invests in financial instruments that the Advisor believes, in combination, should track the performance of the Index. Fund performance was driven by strong energy and industrial sector performance, while the absence of technology and relative underperformance of the utility sector caused underperformance relative to the S&P 500 ® |
Line Graph [Table Text Block] | | | | | | DJ Brookfield Global Infrastructure ETF : $14,989 Dow Jones Brookfield Global Infrastructure Composite Index : $14,457 S&P Global 1200 Index : $25,156 5/31/2014 10,000 10,000 10,000 6/30/2014 10,423 10,424 10,180 9/30/2014 10,328 10,330 9,976 12/31/2014 10,364 10,365 10,072 3/31/2015 10,202 10,186 10,292 6/30/2015 9,961 9,931 10,353 9/30/2015 9,055 9,003 9,461 12/31/2015 8,921 8,857 9,986 3/31/2016 9,409 9,348 10,003 6/30/2016 10,236 10,155 10,139 9/30/2016 10,438 10,352 10,653 12/31/2016 9,978 9,892 10,875 3/31/2017 10,723 10,604 11,614 6/30/2017 11,011 10,877 12,115 9/30/2017 11,264 11,120 12,747 12/31/2017 11,294 11,151 13,469 3/31/2018 10,619 10,459 13,331 6/30/2018 11,184 11,004 13,517 9/30/2018 11,203 11,016 14,202 12/31/2018 10,393 10,199 12,368 3/31/2019 12,036 11,819 13,886 6/30/2019 12,490 12,260 14,457 9/30/2019 12,712 12,466 14,561 12/31/2019 13,167 12,905 15,858 3/31/2020 10,000 9,750 12,572 6/30/2020 11,316 11,048 14,913 9/30/2020 11,041 10,774 16,048 12/31/2020 11,968 11,677 18,327 3/31/2021 12,703 12,394 19,297 6/30/2021 13,699 13,352 20,750 9/30/2021 13,508 13,159 20,615 12/31/2021 14,420 14,040 22,276 3/31/2022 15,036 14,653 21,227 6/30/2022 14,002 13,596 17,977 9/30/2022 12,557 12,205 16,755 12/31/2022 13,772 13,350 18,528 3/31/2023 14,187 13,764 19,954 6/30/2023 14,149 13,705 21,323 9/30/2023 13,174 12,755 20,543 12/31/2023 14,662 14,182 22,862 3/31/2024 14,772 14,269 24,919 5/31/2024 14,989 14,457 25,156 |
Average Annual Return [Table Text Block] | | | | | | Fund/Index Name One Year Five Years Ten Years DJ Brookfield Global Infrastructure ETF - NAV 9.18% 4.46% 4.13% DJ Brookfield Global Infrastructure ETF - Market Price 9.33% 4.42% 4.13% Dow Jones Brookfield Global Infrastructure Composite Index 8.86% 4.12% 3.75% S&P Global 1200 Index 24.99% 13.13% 9.66% |
AssetsNet | $ 130,696,166 | $ 130,696,166 | $ 130,696,166 | $ 130,696,166 | $ 130,696,166 | $ 130,696,166 |
Holdings Count | Holding | 108 | 108 | 108 | 108 | 108 | 108 |
Advisory Fees Paid, Amount | | | | | | $ 629,519 |
InvestmentCompanyPortfolioTurnover | | | | | | 10% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $130,696,166 Number of Portfolio Holdings 108 Net Investment Advisory Fees $629,519 Portfolio Turnover Rate 10% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Equity Securities 91% Closed End Funds 1% Master Limited Partnership 8% Total 100% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets Enbridge, Inc. 6.7% American Tower Corp. 5.5% Vinci SA 5.4% National Grid plc 4.6% TC Energy Corp. 3.4% Williams Cos., Inc. (The) 3.1% Sempra 3.0% ONEOK, Inc. 2.9% Energy Transfer LP 2.8% Crown Castle, Inc. 2.7% |
Material Fund Change [Text Block] | | | | | | |
C000038814 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | Ultra Energy |
Trading Symbol | | | | | | DIG |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about Ultra Energy (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G906"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment DIG $115 0.95% |
Expenses Paid, Amount | | | | | | $ 115 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? Ultra Energy(the Fund) seeks daily investment results, before fees and expenses, that correspond to two times (2x) the daily performance of the S&P Energy Select Sector Index (the Index).The Fund invests in financial instruments that the Advisor believes, in combination, should produce daily returns consistent with the Funds investment objective. For the year ended May 31, 2024, the Fund had a total return of 42.26% and an average daily statistical correlation of over 0.99 to twice that of the return of the Index. For the same period, the Index had a total return of 25.97% and a volatility of 18.29%. The index performance was driven by factors such as volatile, though ultimately higher, oil prices and lingering inflation. Primary factors affecting Fund performance include the total return of the securities and derivatives held by the Fund, the performance of the reference assets to which any derivatives are linked, financing rates paid or earned, expenses, transaction costs, the volatility of the Funds Index (and its impact on compounding), and other miscellaneous factors. |
Line Graph [Table Text Block] | | | | | | Ultra Energy : $5,286 S&P Energy Select Sector Index : $13,588 S&P 500 ® 5/31/2014 10,000 10,000 10,000 6/30/2014 11,061.980000 10,557 10,207 9/30/2014 9,127.950000 9,638.820000 10,322.120000 12/31/2014 6,786.420000 8,426.190000 10,831.280000 3/31/2015 6,391.890000 8,250.050000 10,934.250000 6/30/2015 6,091.580000 8,090.830000 10,964.860000 9/30/2015 3,948.910000 6,606.970000 10,258.730000 12/31/2015 3,805.940000 6,569.310000 10,980.940000 3/31/2016 3,947.530000 6,802.520000 11,129.180000 6/30/2016 4,788.830000 7,555.830000 11,402.430000 9/30/2016 4,943.550000 7,741.340000 11,841.660000 12/31/2016 5,601.890000 8,294.220000 12,294.510000 3/31/2017 4,835.870000 7,747.750000 13,040.310000 6/30/2017 4,103.960000 7,179.840000 13,443.260000 9/30/2017 4,629.670000 7,666.640000 14,045.520000 12/31/2017 5,196.090000 8,164.970000 14,978.140000 3/31/2018 4,512.860000 7,695.480000 14,864.310000 6/30/2018 5,758.560000 8,775.930000 15,374.150000 9/30/2018 5,760.430000 8,845.260000 16,559.500000 12/31/2018 3,116.100000 6,620.680000 14,320.660000 3/31/2019 4,153.960000 7,718.380000 16,275.430000 6/30/2019 3,790.060000 7,443.610000 16,975.270000 9/30/2019 3,208.770000 6,928.510000 17,263.850000 12/31/2019 3,508.460000 7,308.890000 18,829.680000 3/31/2020 665.920000 3,554.310000 15,139.060000 6/30/2020 1,053.260000 4,693.820000 18,248.630000 9/30/2020 671.170000 3,803.410000 19,878.230000 12/31/2020 1,041.150000 4,879.770000 22,293.430000 3/31/2021 1,707.930000 6,352.480000 23,668.940000 6/30/2021 2,087.330000 7,106.520000 25,692.630000 9/30/2021 1,976.680000 7,009.160000 25,841.650000 12/31/2021 2,241.550000 7,536.250000 28,691.980000 3/31/2022 4,149.550000 10,387.220000 27,372.150000 6/30/2022 3,507.750000 9,795.150000 22,965.230000 9/30/2022 3,608.120000 10,139.940000 21,844.530000 12/31/2022 5,047.760000 12,226.730000 23,495.980000 3/31/2023 4,437.860000 11,663.080000 25,258.180000 6/30/2023 4,203.360000 11,531.290000 27,465.740000 9/30/2023 5,159.260000 12,946.180000 26,567.610000 12/31/2023 4,388.950000 12,124.100000 29,673.360000 3/31/2024 5,515.970000 13,766.910000 32,806.870000 5/31/2024 5,285.910000 13,587.940000 33,026.680000 |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years Ultra Energy - NAV 42.26% 10.50% -6.18% Ultra Energy - Market Price 42.64% 10.57% -6.04% S&P Energy Select Sector Index 25.97% 15.37% 3.85% S&P 500 ® 28.19% 15.79% 12.68% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ The "S&P Energy Select Sector Index" is a product of S&P Dow Jones Indices LLC and its affiliates and has been licensed for use by ProShares. "S&P ® ® |
AssetsNet | $ 118,897,387 | $ 118,897,387 | $ 118,897,387 | $ 118,897,387 | $ 118,897,387 | $ 118,897,387 |
Holdings Count | Holding | 30 | 30 | 30 | 30 | 30 | 30 |
Advisory Fees Paid, Amount | | | | | | $ 779,121 |
InvestmentCompanyPortfolioTurnover | | | | | | 22% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $118,897,387 Number of Portfolio Holdings 30 Net Investment Advisory Fees $779,121 Portfolio Turnover Rate 22% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Equity Securities 72% Swap Agreements 128% Total 200% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets Exxon Mobil Corp. 19.3% Chevron Corp. 12.5% ConocoPhillips 6.1% EOG Resources, Inc. 3.2% Schlumberger NV 2.9% Marathon Petroleum Corp. 2.9% Phillips 66 2.7% Valero Energy Corp. 2.4% Williams Cos., Inc. (The) 2.2% ONEOK, Inc. 2.1% |
Material Fund Change [Text Block] | | | | | | |
C000160295 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | ®</sup> Ex-Financials ETF" id="sjs-G923">S&P 500<sup style="box-sizing: border-box; color: rgb(255, 255, 255); display: inline; flex-wrap: nowrap; font-size: 16px; font-weight: 700; grid-area: auto; line-height: 0px; margin: 0px; overflow: visible; position: relative; text-align: left; height: auto; max-height: none; min-height: 0px;">®</sup> Ex-Financials ETF |
Trading Symbol | | | | | | SPXN |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about S&P 500 ® |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/shareholder_reports</span>" id="sjs-G930"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment SPXN $10 0.09% |
Expenses Paid, Amount | | | | | | $ 10 |
Expense Ratio, Percent | | | | | | 0.09% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? S&P 500 ® ® ® |
Line Graph [Table Text Block] | | | | | | Value Based on a $10,000 Investment Footnote Reference S&P 500 ® S&P 500 ® S&P 500 ® 9/22/2015 10,000 10,000 10,000 9/30/2015 9,861 9,862 9,888 12/31/2015 10,566 10,578 10,584 3/31/2016 10,835 10,855 10,727 6/30/2016 11,101 11,129 10,990 9/30/2016 11,496 11,534 11,414 12/31/2016 11,656 11,707 11,850 3/31/2017 12,437 12,502 12,569 6/30/2017 12,788 12,865 12,957 9/30/2017 13,350 13,441 13,538 12/31/2017 14,195 14,304 14,437 3/31/2018 14,106 14,221 14,327 6/30/2018 14,730 14,865 14,819 9/30/2018 15,967 16,129 15,961 12/31/2018 13,763 13,888 13,803 3/31/2019 15,716 15,877 15,687 6/30/2019 16,307 16,484 16,362 9/30/2019 16,528 16,719 16,640 12/31/2019 18,035 18,261 18,149 3/31/2020 14,844 15,025 14,592 6/30/2020 18,062 18,308 17,589 9/30/2020 19,793 20,080 19,160 12/31/2020 21,980 22,319 21,488 3/31/2021 23,042 23,417 22,814 6/30/2021 24,971 25,396 24,764 9/30/2021 25,028 25,472 24,908 12/31/2021 27,926 28,448 27,655 3/31/2022 26,539 27,045 26,383 6/30/2022 22,311 22,726 22,135 9/30/2022 21,218 21,612 21,055 12/31/2022 22,676 23,106 22,647 3/31/2023 24,813 25,294 24,345 6/30/2023 27,153 27,689 26,473 9/30/2023 26,223 26,742 25,608 12/31/2023 29,133 29,722 28,601 3/31/2024 32,207 32,872 31,621 5/31/2024 32,549 33,227 31,833 Footnote Description Footnote * The line graph represents historical performance of a hypothetical investment of $10,000 in the ProShares S&P 500 ® |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Since Inception (9/22/15) S&P 500 ® 27.78% 16.44% 14.55% S&P 500 ® 27.61% 16.42% 14.53% S&P 500 ® 27.94% 16.67% 14.81% S&P 500 ® 28.19% 15.79% 14.24% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ The "S&P 500 Ex-Financials and Real Estate Index" is a product of S&P Dow Jones Indices LLC and its affiliates and has been licensed for use by ProShares. "S&P ® ® |
AssetsNet | $ 60,442,739 | $ 60,442,739 | $ 60,442,739 | $ 60,442,739 | $ 60,442,739 | $ 60,442,739 |
Holdings Count | Holding | 403 | 403 | 403 | 403 | 403 | 403 |
Advisory Fees Paid, Amount | | | | | | $ 42,039 |
InvestmentCompanyPortfolioTurnover | | | | | | 4% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $60,442,739 Number of Portfolio Holdings 403 Net Investment Advisory Fees $42,039 Portfolio Turnover Rate 4% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Equity Securities 100% Total 100% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets Microsoft Corp. 8.2% Apple, Inc. 7.4% NVIDIA Corp. 7.2% Alphabet, Inc. 5.0% Amazon.com, Inc. 4.3% Meta Platforms, Inc., Class A 2.7% Eli Lilly & Co. 1.7% Broadcom, Inc. 1.6% Exxon Mobil Corp. 1.4% Tesla, Inc. 1.3% |
Material Fund Change [Text Block] | | | | | | |
C000018462 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | UltraShort QQQ |
Trading Symbol | | | | | | QID |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about UltraShort QQQ (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G954"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment QID $77 0.95% |
Expenses Paid, Amount | | | | | | $ 77 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? UltraShort QQQ ® ® |
Line Graph [Table Text Block] | | | | | | UltraShort QQQ : $114 Nasdaq-100 ® 5/31/2014 10,000 10,000 6/30/2014 9,397.29 10,309 9/30/2014 8,345.08 10,878.94 12/31/2014 7,427.73 11,411.65 3/31/2015 6,934.17 11,711.24 6/30/2015 6,611.03 11,915.02 9/30/2015 6,941.02 11,363.35 12/31/2015 5,590.41 12,523.55 3/31/2016 5,613.85 12,285.6 6/30/2016 5,633.1 12,145.66 9/30/2016 4,557.38 13,446.07 12/31/2016 4,508.03 13,456.23 3/31/2017 3,584.85 15,083.51 6/30/2017 3,282.45 15,715.51 9/30/2017 2,903.7 16,685.16 12/31/2017 2,523.15 17,896.5 3/31/2018 2,296.5 18,460.24 6/30/2018 1,977.87 19,802.3 9/30/2018 1,679.41 21,507.28 12/31/2018 2,273.02 17,902.66 3/31/2019 1,649.11 20,926.42 6/30/2019 1,512.68 21,815.79 9/30/2019 1,457.79 22,097.21 12/31/2019 1,143.73 24,967.64 3/31/2020 1,133.54 22,398.47 6/30/2020 618.91 29,185.21 9/30/2020 461.86 32,868.38 12/31/2020 346.8 37,170.85 3/31/2021 319.68 37,825.06 6/30/2021 252.19 42,129.55 9/30/2021 243.7 42,588.76 12/31/2021 191.28 47,392.77 3/31/2022 213.98 43,170.08 6/30/2022 319.92 33,543.15 9/30/2022 335.19 32,060.54 12/31/2022 317.85 32,047.72 3/31/2023 215.81 38,704.03 6/30/2023 163.78 44,660.58 9/30/2023 175.92 43,383.29 12/31/2023 135.89 49,717.25 3/31/2024 116.72 54,052.59 5/31/2024 114.26 54,960.67 |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years UltraShort QQQ - NAV - -42.12% -36.06% UltraShort QQQ - Market Price -38.25% -42.13% -36.07% Nasdaq-100 ® 31.12% 22.07% 18.54% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ "QQQ ® ® ® |
AssetsNet | $ 269,596,847 | $ 269,596,847 | $ 269,596,847 | $ 269,596,847 | $ 269,596,847 | $ 269,596,847 |
Holdings Count | Holding | 18 | 18 | 18 | 18 | 18 | 18 |
Advisory Fees Paid, Amount | | | | | | $ 2,706,162 |
InvestmentCompanyPortfolioTurnover | | | | | | 0% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $269,596,847 Number of Portfolio Holdings 18 Net Investment Advisory Fees $2,706,162 Portfolio Turnover Rate -% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Swap Agreements (199)% Futures Contracts (1)% Total (200)% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets U.S. Treasury Bills 111.5% Repurchase Agreements with various counterparties 2.6% |
Material Fund Change [Text Block] | | | | | | |
C000144590 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | MSCI EAFE Dividend Growers ETF |
Trading Symbol | | | | | | EFAD |
Security Exchange Name | | | | | | CboeBZX |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about MSCI EAFE Dividend Growers ETF (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/shareholder_reports</span>" id="sjs-G978"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment EFAD $52 0.50% |
Expenses Paid, Amount | | | | | | $ 52 |
Expense Ratio, Percent | | | | | | 0.50% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? MSCI EAFE Dividend Growers ETF (the Fund) seeks investment results, before fees and expenses, that track the performance of the MSCI EAFE Dividend Masters Index (the Index). The Fund invests in financial instruments that the Advisor believes, in combination, should track the performance of the Index. An underweight to the financial sector drove underperformance compared to the MSCI EAFE index. For the year ended May 31, 2024, the Fund had a total return of 6.20%. For the same period, the Index had a total return of 6.70% and a volatility of 10.82%. Primary factors affecting Fund performance include the total return of the securities held by the Fund, expenses, transaction costs, the volatility of the Funds index, and other miscellaneous factors. |
Line Graph [Table Text Block] | | | | | | MSCI EAFE Dividend Growers ETF : $11,812 MSCI EAFE Dividend Masters Index : $12,377 MSCI EAFE Index : $16,004 8/19/2014 10,000 10,000 10,000 9/30/2014 9,605 9,614 9,647 12/31/2014 9,296 9,322 9,302 3/31/2015 9,397 9,442 9,756 6/30/2015 9,569 9,626 9,817 9/30/2015 8,984 9,046 8,812 12/31/2015 9,237 9,319 9,228 3/31/2016 9,065 9,159 8,996 6/30/2016 9,074 9,176 8,864 9/30/2016 9,170 9,279 9,435 12/31/2016 8,577 8,694 9,367 3/31/2017 8,969 9,100 10,046 6/30/2017 9,674 9,823 10,661 9/30/2017 10,046 10,216 11,237 12/31/2017 10,441 10,635 11,712 3/31/2018 10,218 10,421 11,533 6/30/2018 10,428 10,639 11,390 9/30/2018 10,503 10,731 11,543 12/31/2018 9,239 9,443 10,096 3/31/2019 10,187 10,425 11,103 6/30/2019 10,442 10,695 11,512 9/30/2019 10,473 10,742 11,389 12/31/2019 11,462 11,786 12,319 3/31/2020 9,038 9,290 9,507 6/30/2020 10,554 10,879 10,921 9/30/2020 11,277 11,641 11,446 12/31/2020 12,528 12,963 13,283 3/31/2021 12,494 12,943 13,745 6/30/2021 13,267 13,756 14,456 9/30/2021 13,471 13,986 14,391 12/31/2021 13,510 14,046 14,778 3/31/2022 12,040 12,520 13,904 6/30/2022 10,313 10,718 11,887 9/30/2022 9,456 9,832 10,774 12/31/2022 10,659 11,103 12,642 3/31/2023 11,263 11,748 13,713 6/30/2023 11,212 11,701 14,118 9/30/2023 10,714 11,192 13,538 12/31/2023 11,934 12,491 14,948 3/31/2024 12,076 12,656 15,796 5/31/2024 11,812 12,377 16,004 |
Average Annual Return [Table Text Block] | | | | | | Fund/Index Name One Year Five Years Since Inception (8/19/14) MSCI EAFE Dividend Growers ETF - NAV 6.20% 3.53% 1.72% MSCI EAFE Dividend Growers ETF - Market Price 6.00% 3.55% 1.73% MSCI EAFE Dividend Masters Index 6.70% 4.02% 2.21% MSCI EAFE Index 18.53% 8.04% 4.87% |
AssetsNet | $ 76,312,204 | $ 76,312,204 | $ 76,312,204 | $ 76,312,204 | $ 76,312,204 | $ 76,312,204 |
Holdings Count | Holding | 74 | 74 | 74 | 74 | 74 | 74 |
Advisory Fees Paid, Amount | | | | | | $ 440,595 |
InvestmentCompanyPortfolioTurnover | | | | | | 36% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $76,312,204 Number of Portfolio Holdings 74 Net Investment Advisory Fees $440,595 Portfolio Turnover Rate 36% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Equity Securities 99% Total 99% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets Tokio Marine Holdings, Inc. 1.5% Symrise AG, Class A 1.5% Hikari Tsushin, Inc. 1.5% Pan Pacific International Holdings Corp. 1.4% ACS Actividades de Construccion y Servicios SA 1.4% Unicharm Corp. 1.4% Mercury NZ Ltd. 1.4% Astellas Pharma, Inc. 1.4% ASML Holding NV 1.4% FUJIFILM Holdings Corp. 1.4% |
Material Fund Change [Text Block] | | | | | | |
C000038811 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | Ultra Financials |
Trading Symbol | | | | | | UYG |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about Ultra Financials (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G1002"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment UYG $125 0.95% |
Expenses Paid, Amount | | | | | | $ 125 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? Ultra Financials(the Fund) seeks daily investment results, before fees and expenses, that correspond to two times (2x) the daily performance of the SP Financial Select Sector Index (the Index).The Fund invests in financial instruments that the Advisor believes, in combination, should produce daily returns consistent with the Funds investment objective. For the year ended May 31, 2024, the Fund had a total return of 63.44% and an average daily statistical correlation of over 0.99 to twice that of the return of the Index. For the same period, the Index had a total return of 33.70% and a volatility of 12.19%. The index performance was driven by factors such as a rebound driven by low valuation and previous underperformance overcame by an inverted yield curve. Primary factors affecting Fund performance include the total return of the securities and derivatives held by the Fund, the performance of the reference assets to which any derivatives are linked, financing rates paid or earned, expenses, transaction costs, the volatility of the Funds Index (and its impact on compounding), and other miscellaneous factors. |
Line Graph [Table Text Block] | | | | | | Ultra Financials : $36,795 S&P Financial Select Sector Index : $27,964 S&P 500 ® 5/31/2014 10,000 10,000 10,000 6/30/2014 10,454.270000 10,242 10,207 9/30/2014 10,633.050000 10,360.090000 10,322.120000 12/31/2014 12,343.190000 11,214.510000 10,831.280000 3/31/2015 12,039.850000 11,130.030000 10,934.250000 6/30/2015 12,256.940000 11,269.150000 10,964.860000 9/30/2015 10,717.620000 10,615.540000 10,258.730000 12/31/2015 11,841.700000 11,223.810000 10,980.940000 3/31/2016 10,775.890000 10,800.670000 11,129.180000 6/30/2016 11,089.470000 11,033.680000 11,402.430000 9/30/2016 12,193.220000 11,617.060000 11,841.660000 12/31/2016 15,534.220000 13,171.060000 12,294.510000 3/31/2017 16,380.030000 13,581.920000 13,040.310000 6/30/2017 17,515.910000 14,096.670000 13,443.260000 9/30/2017 19,064.450000 14,774.720000 14,045.520000 12/31/2017 21,637.280000 15,808.950000 14,978.140000 3/31/2018 20,846.400000 15,666.670000 14,864.310000 6/30/2018 20,601.820000 15,680.770000 15,374.150000 9/30/2018 22,107.160000 16,334.660000 16,559.500000 12/31/2018 16,763.710000 14,389.200000 14,320.660000 3/31/2019 20,625.230000 16,078.500000 16,275.430000 6/30/2019 23,251.540000 17,192.740000 16,975.270000 9/30/2019 24,275.040000 17,706.800000 17,263.850000 12/31/2019 27,834.250000 19,075.530000 18,829.680000 3/31/2020 12,420.820000 13,568.430000 15,139.060000 6/30/2020 15,208.800000 15,466.650000 18,248.630000 9/30/2020 16,201.410000 16,065.210000 19,878.230000 12/31/2020 22,229.370000 18,974.620000 22,293.430000 3/31/2021 27,652.310000 21,299.010000 23,668.940000 6/30/2021 32,412.020000 23,166.930000 25,692.630000 9/30/2021 33,219.680000 23,570.040000 25,841.650000 12/31/2021 37,230.400000 25,106.800000 28,691.980000 3/31/2022 34,698.660000 24,443.980000 27,372.150000 6/30/2022 23,800.410000 20,496.280000 22,965.230000 9/30/2022 20,926.020000 19,424.330000 21,844.530000 12/31/2022 25,315.430000 21,677.550000 23,495.980000 3/31/2023 23,469.100000 21,185.470000 25,258.180000 6/30/2023 25,414.950000 22,314.650000 27,465.740000 9/30/2023 24,309.120000 22,062.500000 26,567.610000 12/31/2023 30,862.160000 25,157.870000 29,673.360000 3/31/2024 38,218.420000 28,292.540000 32,806.870000 5/31/2024 36,794.660000 27,964.340000 33,026.680000 |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years Ultra Financials - NAV 63.44% 11.90% 13.91% Ultra Financials - Market Price 63.38% 11.90% 13.91% S&P Financial Select Sector Index 33.70% 12.22% 10.94% S&P 500 ® 28.19% 15.79% 12.68% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ The "S&P Financials Select Sector Index" is a product of S&P Dow Jones Indices LLC and its affiliates and has been licensed for use by ProShares. "S&P ® ® |
AssetsNet | $ 680,638,028 | $ 680,638,028 | $ 680,638,028 | $ 680,638,028 | $ 680,638,028 | $ 680,638,028 |
Holdings Count | Holding | 80 | 80 | 80 | 80 | 80 | 80 |
Advisory Fees Paid, Amount | | | | | | $ 4,449,648 |
InvestmentCompanyPortfolioTurnover | | | | | | 221% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $680,638,028 Number of Portfolio Holdings 80 Net Investment Advisory Fees $4,449,648 Portfolio Turnover Rate 221% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Equity Securities 61% Swap Agreements 139% Total 200% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets Berkshire Hathaway, Inc., Class B 8.0% JPMorgan Chase & Co. 6.2% Visa, Inc., Class A 4.6% Mastercard, Inc., Class A 3.9% Bank of America Corp. 2.9% Wells Fargo & Co. 2.3% Goldman Sachs Group, Inc. (The) 1.6% S&P Global, Inc. 1.5% American Express Co. 1.5% Progressive Corp. (The) 1.3% |
Material Fund Change [Text Block] | | | | | | |
C000160296 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | ®</sup> Ex-Health Care ETF" id="sjs-G1019">S&P 500<sup style="box-sizing: border-box; color: rgb(255, 255, 255); display: inline; flex-wrap: nowrap; font-size: 16px; font-weight: 700; grid-area: auto; line-height: 0px; margin: 0px; overflow: visible; position: relative; text-align: left; height: auto; max-height: none; min-height: 0px;">®</sup> Ex-Health Care ETF |
Trading Symbol | | | | | | SPXV |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about S&P 500 ® |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/shareholder_reports</span>" id="sjs-G1026"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment SPXV $10 0.09% |
Expenses Paid, Amount | | | | | | $ 10 |
Expense Ratio, Percent | | | | | | 0.09% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? S&P 500 ® ® Care Index (the Index). The Fund invests in financial instruments that the Advisor believes, in combination, should track the performance of the Index. Performance was driven by strong performance of the S&P 500 ® |
Line Graph [Table Text Block] | | | | | | Value Based on a $10,000 Investment Footnote Reference S&P 500 ® S&P 500 ® S&P 500 ® 9/22/2015 10,000 10,000 10,000 9/30/2015 9,950 9,951 9,888 12/31/2015 10,604 10,614 10,584 3/31/2016 10,867 10,887 10,727 6/30/2016 11,057 11,085 10,990 9/30/2016 11,528 11,569 11,414 12/31/2016 12,109 12,167 11,850 3/31/2017 12,787 12,861 12,569 6/30/2017 13,090 13,175 12,957 9/30/2017 13,683 13,783 13,538 12/31/2017 14,698 14,820 14,437 3/31/2018 14,586 14,718 14,327 6/30/2018 15,081 15,231 14,819 9/30/2018 16,062 16,235 15,961 12/31/2018 13,760 13,902 13,803 3/31/2019 15,801 15,981 15,687 6/30/2019 16,543 16,748 16,362 9/30/2019 16,920 17,141 16,640 12/31/2019 18,300 18,554 18,149 3/31/2020 14,509 14,706 14,592 6/30/2020 17,654 17,913 17,589 9/30/2020 19,305 19,606 19,160 12/31/2020 21,765 22,121 21,488 3/31/2021 23,181 23,590 22,814 6/30/2021 25,146 25,612 24,764 9/30/2021 25,248 25,729 24,908 12/31/2021 28,000 28,562 27,655 3/31/2022 26,621 27,160 26,383 6/30/2022 21,919 22,352 22,135 9/30/2022 20,863 21,273 21,055 12/31/2022 22,239 22,683 22,647 3/31/2023 24,393 24,890 24,345 6/30/2023 26,749 27,305 26,473 9/30/2023 25,847 26,385 25,608 12/31/2023 29,067 29,683 28,601 3/31/2024 32,194 32,888 31,621 5/31/2024 32,565 33,273 31,833 Footnote Description Footnote * The line graph represents historical performance of a hypothetical investment of $10,000 in the ProShares S&P 500 ® |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Since Inception (9/22/15) S&P 500 ® 30.19% 16.08% 14.55% S&P 500 ® 30.03% 16.06% 14.54% S&P 500 ® 30.35% 16.28% 14.83% S&P 500 ® 28.19% 15.79% 14.24% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ The "S&P 500 Ex-Health Care Index" is a product of S&P Dow Jones Indices LLC and its affiliates and has been licensed for use by ProShares. "S&P ® ® |
AssetsNet | $ 20,806,112 | $ 20,806,112 | $ 20,806,112 | $ 20,806,112 | $ 20,806,112 | $ 20,806,112 |
Holdings Count | Holding | 441 | 441 | 441 | 441 | 441 | 441 |
Advisory Fees Paid, Amount | | | | | | $ 16,059 |
InvestmentCompanyPortfolioTurnover | | | | | | 4% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $20,806,112 Number of Portfolio Holdings 441 Net Investment Advisory Fees $16,059 Portfolio Turnover Rate 4% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Equity Securities 100% Total 100% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets Microsoft Corp. 7.9% Apple, Inc. 7.1% NVIDIA Corp. 6.9% Alphabet, Inc. 4.8% Amazon.com, Inc. 4.1% Meta Platforms, Inc., Class A 2.6% Berkshire Hathaway, Inc., Class B 1.9% JPMorgan Chase & Co. 1.5% Broadcom, Inc. 1.5% Exxon Mobil Corp. 1.4% |
Material Fund Change [Text Block] | | | | | | |
C000038865 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | UltraShort Real Estate |
Trading Symbol | | | | | | SRS |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about UltraShort Real Estate (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G1050"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment SRS $89 0.95% |
Expenses Paid, Amount | | | | | | $ 89 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? UltraShort Real Estate(the Fund) seeks daily investment results, before fees and expenses, that correspond to two times the inverse (-2x) of the daily performance of the S&P Real Estate Select Sector Index (the Index). The Fund invests in financial instruments that the Advisor believes, in combination, should produce daily returns consistent with the Funds investment objective. For the year ended May 31, 2024, the Fund had a total return of -12.56% and an average daily statistical correlation of over 0.99 to two times the inverse of the return of the Index. For the same period, the Index had a total return of 9.30% and a volatility of 18.37%. The index performance was driven by factors such as a challenged office sector and rising mortgage rates which resulted in muted performance relative to the broader U.S. equity market. Primary factors affecting Fund performance include the total return of the derivatives held by the Fund, the performance of the reference assets to which any derivatives are linked, financing rates paid or earned, expenses, transaction costs, the volatility of the Funds Index (and its impact on compounding), and other miscellaneous factors. |
Line Graph [Table Text Block] | | | | | | UltraShort Real Estate : $1,330 S&P Real Estate Select Sector Index : $17,258 S&P 500 ® 5/31/2014 10,000 10,000 10,000 6/30/2014 9,754.31 10,032 10,207 9/30/2014 10,182.83 9,764.52 10,322.12 12/31/2014 7,969.85 10,964.14 10,831.28 3/31/2015 7,171.22 11,432.31 10,934.25 6/30/2015 8,536.6 10,395.4 10,964.86 9/30/2015 8,229.07 10,443.21 10,258.73 12/31/2015 7,008.88 11,198.26 10,980.94 3/31/2016 6,139.74 11,774.97 11,129.18 6/30/2016 5,310.54 12,574.94 11,402.43 9/30/2016 5,346.33 12,430.76 11,841.66 12/31/2016 5,574.15 12,044.21 12,294.51 3/31/2017 5,197.1 12,431.54 13,040.31 6/30/2017 4,927.91 12,753.51 13,443.26 9/30/2017 4,803.5 12,897.63 14,045.52 12/31/2017 4,569.84 13,229.1 14,978.14 3/31/2018 5,096.64 12,447.26 14,864.31 6/30/2018 4,390.5 13,415.65 15,374.15 9/30/2018 4,346.91 13,502.85 16,559.5 12/31/2018 4,838.76 12,696.73 14,320.66 3/31/2019 3,551.56 14,865.34 16,275.43 6/30/2019 3,443.7 15,135.89 16,975.27 9/30/2019 2,993.79 16,240.8 17,263.85 12/31/2019 2,955.69 16,369.11 18,829.68 3/31/2020 3,867.62 12,376.68 15,139.06 6/30/2020 2,542.18 14,098.28 18,248.63 9/30/2020 2,360.14 14,390.11 19,878.23 12/31/2020 1,976.33 15,501.03 22,293.43 3/31/2021 1,666.07 16,694.61 23,668.94 6/30/2021 1,314.18 18,644.54 25,692.63 9/30/2021 1,271.42 18,803.02 25,841.65 12/31/2021 948.09 21,544.5 28,691.98 3/31/2022 1,053.52 20,144.11 27,372.15 6/30/2022 1,363.38 17,231.27 22,965.23 9/30/2022 1,659.29 15,437.49 21,844.53 12/31/2022 1,463.2 16,122.92 23,495.98 3/31/2023 1,403.73 16,376.05 25,258.18 6/30/2023 1,372.26 16,672.45 27,465.74 9/30/2023 1,686.26 15,188.61 26,567.61 12/31/2023 1,188.04 18,048.62 29,673.36 3/31/2024 1,221 17,949.35 32,806.87 5/31/2024 1,330.15 17,258.3 33,026.68 |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years UltraShort Real Estate - NAV - -17.90% -18.27% UltraShort Real Estate - Market Price -12.92% -17.95% -18.30% S&P Real Estate Select Sector Index 9.30% 4.37% 6.84% S&P 500 ® 28.19% 15.79% 12.68% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ The "S&P Real Estate Select Sector Index" is a product of S&P Dow Jones Indices LLC and its affiliates and has been licensed for use by ProShares. "S&P ® ® |
AssetsNet | $ 41,211,399 | $ 41,211,399 | $ 41,211,399 | $ 41,211,399 | $ 41,211,399 | $ 41,211,399 |
Holdings Count | Holding | 8 | 8 | 8 | 8 | 8 | 8 |
Advisory Fees Paid, Amount | | | | | | $ 317,244 |
InvestmentCompanyPortfolioTurnover | | | | | | 0% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $41,211,399 Number of Portfolio Holdings 8 Net Investment Advisory Fees $317,244 Portfolio Turnover Rate -% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Swap Agreements (200)% Total (200)% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets Repurchase Agreements with various counterparties 86.1% U.S. Treasury Bills 33.6% |
Material Fund Change [Text Block] | | | | | | |
C000115055 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | Merger ETF |
Trading Symbol | | | | | | MRGR |
Security Exchange Name | | | | | | CboeBZX |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about Merger ETF (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/shareholder_reports</span>" id="sjs-G1074"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/shareholder_reports</span> |
Expenses Paid, Amount | | | | | | $ 78 |
Expense Ratio, Percent | | | | | | 0.75% |
AssetsNet | $ 10,045,437 | $ 10,045,437 | $ 10,045,437 | $ 10,045,437 | $ 10,045,437 | $ 10,045,437 |
Holdings Count | Holding | 58 | 58 | 58 | 58 | 58 | 58 |
Advisory Fees Paid, Amount | | | | | | $ 0 |
InvestmentCompanyPortfolioTurnover | | | | | | 283% |
C000160299 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | ®</sup> Ex-Technology ETF" id="sjs-G1083">S&P 500<sup style="box-sizing: border-box; color: rgb(255, 255, 255); display: inline; flex-wrap: nowrap; font-size: 16px; font-weight: 700; grid-area: auto; line-height: 0px; margin: 0px; overflow: visible; position: relative; text-align: left; height: auto; max-height: none; min-height: 0px;">®</sup> Ex-Technology ETF |
Trading Symbol | | | | | | SPXT |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about S&P 500 ® |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/shareholder_reports</span>" id="sjs-G1090"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment SPXT $10 0.09% |
Expenses Paid, Amount | | | | | | $ 10 |
Expense Ratio, Percent | | | | | | 0.09% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? S&P 500 ® ® Information Technology Index (the Index). The Fund invests in financial instruments that the Advisor believes, in combination, should track the performance of the Index. Performance was driven by strong performance of the S&P 500 ® year ended May 31, 2024, the Fund had a total return of 24.05%. For the same period, the Index had a total return of 24.20% and a volatility of 10.30%. Primary factors affecting Fund performance include the total return of the securities held by the Fund, expenses, transaction costs, the volatility of the Funds index, and other miscellaneous factors. |
Line Graph [Table Text Block] | | | | | | Value Based on a $10,000 Investment Footnote Reference S&P 500 ® S&P 500 ® S&P 500 ® 9/22/2015 10,000 10,000 10,000 9/30/2015 9,871 9,873 9,888 12/31/2015 10,500 10,511 10,584 3/31/2016 10,546 10,568 10,727 6/30/2016 10,932 10,962 10,990 9/30/2016 11,132 11,171 11,414 12/31/2016 11,626 11,677 11,850 3/31/2017 12,157 12,220 12,569 6/30/2017 12,524 12,599 12,957 9/30/2017 12,912 13,000 13,538 12/31/2017 13,675 13,781 14,437 3/31/2018 13,399 13,513 14,327 6/30/2018 13,700 13,825 14,819 9/30/2018 14,661 14,775 15,961 12/31/2018 12,827 12,927 13,803 3/31/2019 14,362 14,490 15,687 6/30/2019 14,901 15,030 16,362 9/30/2019 15,076 15,197 16,640 12/31/2019 16,204 16,314 18,149 3/31/2020 12,656 12,612 14,592 6/30/2020 14,810 14,712 17,589 9/30/2020 15,948 15,829 19,160 12/31/2020 17,886 17,730 21,488 3/31/2021 19,260 19,100 22,814 6/30/2021 20,682 20,416 24,764 9/30/2021 20,725 20,429 24,908 12/31/2021 22,543 22,576 27,655 3/31/2022 21,855 22,221 26,383 6/30/2022 18,694 19,208 22,135 9/30/2022 17,873 18,584 21,055 12/31/2022 19,399 20,403 22,647 3/31/2023 19,896 20,530 24,345 6/30/2023 21,048 21,727 26,473 9/30/2023 20,554 21,218 25,608 12/31/2023 22,524 23,259 28,601 3/31/2024 24,697 25,513 31,621 5/31/2024 24,505 25,317 31,833 Footnote Description Footnote * The line graph represents historical performance of a hypothetical investment of $10,000 in the ProShares S&P 500 ® |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Since Inception (9/22/15) S&P 500 ® 24.05% 11.85% 10.86% S&P 500 ® 24.01% 11.83% 10.86% S&P 500 ® 24.20% 12.05% 11.25% S&P 500 ® 28.19% 15.79% 14.24% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ The "S&P 500 Ex-Information Technology Index" is a product of S&P Dow Jones Indices LLC and its affiliates and has been licensed for use by ProShares. "S&P ® ® |
AssetsNet | $ 52,836,304 | $ 52,836,304 | $ 52,836,304 | $ 52,836,304 | $ 52,836,304 | $ 52,836,304 |
Holdings Count | Holding | 440 | 440 | 440 | 440 | 440 | 440 |
Advisory Fees Paid, Amount | | | | | | $ 36,854 |
InvestmentCompanyPortfolioTurnover | | | | | | 8% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $52,836,304 Number of Portfolio Holdings 440 Net Investment Advisory Fees $36,854 Portfolio Turnover Rate 8% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Equity Securities 100% Total 100% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets Alphabet, Inc. 6.1% Amazon.com, Inc. 5.2% Meta Platforms, Inc., Class A 3.3% Berkshire Hathaway, Inc., Class B 2.4% Eli Lilly & Co. 2.1% JPMorgan Chase & Co. 1.9% Exxon Mobil Corp. 1.7% Tesla, Inc. 1.6% UnitedHealth Group, Inc. 1.5% Visa, Inc., Class A 1.4% |
Material Fund Change [Text Block] | | | | | | |
C000063937 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | Ultra FTSE China 50 |
Trading Symbol | | | | | | XPP |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about Ultra FTSE China 50 (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G1114"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment XPP $92 0.95% |
Expenses Paid, Amount | | | | | | $ 92 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? Ultra FTSE China 50 (the Fund) seeks daily investment results, before fees and expenses, that correspond to two times (2x) the daily performance of the FTSE China 50 Index (the Index).The Fund invests in financial instruments that the Advisor believes, in combination, should produce daily returns consistent with the Funds investment objective. For the year ended May 31, 2024, the Fund had a total return of -5.33% and an average daily statistical correlation of over 0.99 to twice that of the return of the Index. For the same period, the Index had a total return of 5.11% and a volatility of 26.37%. The index performance was driven by factors such as geopolitical concerns and government interventionist policies, which muted returns. Primary factors affecting Fund performance include the total return of the derivatives held by the Fund, the performance of the reference assets to which any derivatives are linked, financing rates paid or earned, expenses, transaction costs, the volatility of the Funds Index (and its impact on compounding), and other miscellaneous factors. |
Line Graph [Table Text Block] | | | | | | Ultra FTSE China 50 : $3,252 FTSE China 50 Index : $9,947 S&P Global 1200 Index : $25,156 5/31/2014 10,000 10,000 10,000 6/30/2014 10,390.170000 10,274 10,180 9/30/2014 11,011.250000 10,522.300000 9,976.400000 12/31/2014 13,186.470000 11,626.250000 10,072.170000 3/31/2015 14,902.100000 12,412.720000 10,291.750000 6/30/2015 15,855.380000 13,164.930000 10,353.500000 9/30/2015 9,024.360000 9,971.120000 9,461.030000 12/31/2015 9,214.670000 10,302.160000 9,986.110000 3/31/2016 8,225.550000 9,833.410000 10,003.090000 6/30/2016 8,431.240000 9,969.950000 10,139.130000 9/30/2016 10,320.340000 11,028.790000 10,653.190000 12/31/2016 8,882.260000 10,561.750000 10,874.770000 3/31/2017 10,873.960000 11,539.960000 11,614.260000 6/30/2017 11,609.940000 12,046.560000 12,114.830000 9/30/2017 14,142.090000 13,263.260000 12,747.220000 12/31/2017 15,973.890000 14,321.670000 13,468.720000 3/31/2018 16,254.450000 14,453.430000 13,331.340000 6/30/2018 13,579.670000 13,638.260000 13,516.640000 9/30/2018 13,211.430000 13,574.160000 14,201.940000 12/31/2018 10,971.110000 12,630.760000 12,368.470000 3/31/2019 13,839.640000 14,135.080000 13,886.080000 6/30/2019 12,969.110000 13,855.200000 14,456.790000 9/30/2019 11,065.060000 13,022.510000 14,560.880000 12/31/2019 13,665.710000 14,465.400000 15,858.260000 3/31/2020 9,546.710000 12,515.460000 12,572.430000 6/30/2020 10,667.170000 13,386.540000 14,913.410000 9/30/2020 11,733.960000 13,998.310000 16,048.320000 12/31/2020 14,680.660000 16,078.450000 18,327.190000 3/31/2021 14,532.340000 15,821.200000 19,296.690000 6/30/2021 14,300.920000 15,980.990000 20,749.730000 9/30/2021 9,850.220000 13,471.980000 20,614.860000 12/31/2021 8,740.340000 12,863.040000 22,276.420000 3/31/2022 6,239.150000 11,531.720000 21,227.200000 6/30/2022 6,775.720000 11,911.110000 17,977.320000 9/30/2022 3,803.280000 9,187.040000 16,754.860000 12/31/2022 4,358.080000 10,349.200000 18,527.520000 3/31/2023 4,549.830000 10,752.820000 19,954.140000 6/30/2023 3,757.380000 9,930.230000 21,323 9/30/2023 3,439.610000 9,824.970000 20,542.570000 12/31/2023 2,850.660000 9,011.460000 22,861.830000 3/31/2024 2,726.990000 9,074.540000 24,919.390000 5/31/2024 3,252.290000 9,946.610000 25,156.130000 |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years Ultra FTSE China 50 - NAV - -22.15% -10.62% Ultra FTSE China 50 - Market Price -5.12% -22.15% -10.57% FTSE China 50 Index 5.11% -5.11% -0.05% S&P Global 1200 Index 24.99% 13.13% 9.66% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ "FTSE ® |
AssetsNet | $ 10,559,689 | $ 10,559,689 | $ 10,559,689 | $ 10,559,689 | $ 10,559,689 | $ 10,559,689 |
Holdings Count | Holding | 7 | 7 | 7 | 7 | 7 | 7 |
Advisory Fees Paid, Amount | | | | | | $ 0 |
InvestmentCompanyPortfolioTurnover | | | | | | 0% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $10,559,689 Number of Portfolio Holdings 7 Net Investment Advisory Fees $- Portfolio Turnover Rate -% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Swap Agreements 200% Total 200% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets Repurchase Agreements with various counterparties 74.1% |
Material Fund Change [Text Block] | | | | | | |
C000038846 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | UltraShort Russell2000 |
Trading Symbol | | | | | | TWM |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about UltraShort Russell2000 (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G1138"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment TWM $81 0.95% |
Expenses Paid, Amount | | | | | | $ 81 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? UltraShort Russell2000(the Fund) seeks daily investment results, before fees and expenses, that correspond to two times the inverse (-2x) of the daily performance of the Russell 2000 ® ® |
Line Graph [Table Text Block] | | | | | | UltraShort Russell2000 : $621 Russell 2000 ® Russell 3000 Index : $31,307 5/31/2014 10,000 10,000 10,000 6/30/2014 8,972.85 10,532 10,251 9/30/2014 10,263.23 9,756.85 10,252.03 12/31/2014 8,267.18 10,705.99 10,789.23 3/31/2015 7,429.54 11,167.95 10,983.44 6/30/2015 7,253.53 11,214.86 10,998.81 9/30/2015 9,048.14 9,878.05 10,201.4 12/31/2015 8,181.41 10,232.67 10,841.03 3/31/2016 8,067.83 10,077.13 10,946.19 6/30/2016 7,266.33 10,459.24 11,234.07 9/30/2016 5,999.01 11,405.37 11,728.37 12/31/2016 4,959.31 12,412.86 12,222.13 3/31/2017 4,655.17 12,718.94 12,923.68 6/30/2017 4,388.12 13,031.83 13,313.98 9/30/2017 3,905.68 13,770.73 13,922.43 12/31/2017 3,645.25 14,230.67 14,805.11 3/31/2018 3,585.78 14,219.29 14,710.36 6/30/2018 3,075.1 15,321.28 15,282.59 9/30/2018 2,871.68 15,869.79 16,370.71 12/31/2018 4,334.79 12,664.09 14,029.7 3/31/2019 3,272.9 14,510.51 15,999.47 6/30/2019 3,120.27 14,815.23 16,655.45 9/30/2019 3,230.27 14,459.67 16,848.65 12/31/2019 2,670.53 15,896.96 18,381.88 3/31/2020 4,150.9 11,030.9 14,540.07 6/30/2020 2,210.23 13,834.95 17,743.24 9/30/2020 1,930.49 14,517.02 19,377.39 12/31/2020 1,070.62 19,071.01 22,222 3/31/2021 792.14 21,493.02 23,633.09 6/30/2021 707.91 22,415.07 25,580.46 9/30/2021 748.89 21,437.78 25,554.88 12/31/2021 691.17 21,896.55 27,926.37 3/31/2022 763.62 20,247.74 26,451.86 6/30/2022 1,034.13 16,765.13 22,034.4 9/30/2022 1,040.76 16,397.97 21,051.66 12/31/2022 886.78 17,419.56 22,563.17 3/31/2023 831.91 17,896.86 24,183.21 6/30/2023 754.8 18,829.28 26,212.18 9/30/2023 851.18 17,863.34 25,360.29 12/31/2023 648.73 20,369.57 28,421.27 3/31/2024 587.03 21,424.71 31,269.08 5/31/2024 620.95 20,916.95 31,306.61 |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years UltraShort Russell2000 - NAV - -29.57% -24.26% UltraShort Russell2000 - Market Price -29.85% -29.58% -24.27% Russell 2000 ® 20.12% 8.60% 7.65% Russell 3000 Index 27.58% 14.98% 12.07% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ "Russell 2000 ® ® |
AssetsNet | $ 71,564,621 | $ 71,564,621 | $ 71,564,621 | $ 71,564,621 | $ 71,564,621 | $ 71,564,621 |
Holdings Count | Holding | 12 | 12 | 12 | 12 | 12 | 12 |
Advisory Fees Paid, Amount | | | | | | $ 530,512 |
InvestmentCompanyPortfolioTurnover | | | | | | 0% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $71,564,621 Number of Portfolio Holdings 12 Net Investment Advisory Fees $530,512 Portfolio Turnover Rate -% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Swap Agreements (195)% Futures Contracts (5)% Total (200)% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets Repurchase Agreements with various counterparties 83.6% U.S. Treasury Bills 34.7% |
Material Fund Change [Text Block] | | | | | | |
C000144591 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | MSCI Emerging Markets Dividend Growers ETF |
Trading Symbol | | | | | | EMDV |
Security Exchange Name | | | | | | CboeBZX |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about MSCI Emerging Markets Dividend Growers ETF (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/shareholder_reports</span>" id="sjs-G1162"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment EMDV $60 0.60% |
Expenses Paid, Amount | | | | | | $ 60 |
Expense Ratio, Percent | | | | | | 0.60% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? MSCI Emerging Markets Dividend Growers ETF (the Fund") seeks investment results, before fees and expenses, that track the performance of the MSCI Emerging Markets Dividend Masters Index (the Index). The Fund invests in financial instruments that the Advisor believes, in combination, should track the performance of the Index. An overweight to Chinese equities drove underperformance relative to emerging market equities. For the year ended May 31, 2024, the Fund had a total return of -1.49%. The Fund invests in financial instruments that the Advisor believes, in combination, should track the performance of the Index. For the same period, the Index had a total return of -0.51% and a volatility of 11.90%. Primary factors affecting Fund performance include the total return of the securities held by the Fund, expenses, transaction costs, the volatility of the Funds index, and other miscellaneous factors. |
Line Graph [Table Text Block] | | | | | | MSCI Emerging Markets Dividend Growers ETF : $13,435 MSCI Emerging Markets Dividend Masters Index : $14,700 MSCI Emerging Markets Index : $16,275 1/25/2016 10,000 10,000 10,000 3/31/2016 11,793 11,822 10,611 6/30/2016 11,797 11,854 10,681 9/30/2016 12,555 12,631 11,645 12/31/2016 11,745 11,873 11,160 3/31/2017 12,962 13,098 12,438 6/30/2017 13,490 13,667 13,218 9/30/2017 14,063 14,278 14,260 12/31/2017 15,420 15,732 15,321 3/31/2018 15,900 16,241 15,539 6/30/2018 14,645 15,006 14,302 9/30/2018 14,552 14,991 14,146 12/31/2018 14,386 14,882 13,091 3/31/2019 15,437 15,998 14,388 6/30/2019 15,684 16,289 14,476 9/30/2019 15,119 15,737 13,861 12/31/2019 16,344 17,086 15,502 3/31/2020 11,590 12,131 11,843 6/30/2020 13,287 13,903 13,996 9/30/2020 13,836 14,543 15,354 12/31/2020 16,494 17,520 18,390 3/31/2021 16,905 17,979 18,820 6/30/2021 17,262 18,408 19,770 9/30/2021 16,789 17,985 18,171 12/31/2021 16,604 17,818 17,933 3/31/2022 15,199 16,349 16,683 6/30/2022 14,274 15,264 14,773 9/30/2022 12,297 13,205 13,064 12/31/2022 13,613 14,696 14,331 3/31/2023 14,135 15,266 14,898 6/30/2023 13,945 15,139 15,032 9/30/2023 13,107 14,259 14,592 12/31/2023 13,527 14,787 15,739 3/31/2024 13,350 14,596 16,068 5/31/2024 13,435 14,700 16,275 |
Average Annual Return [Table Text Block] | | | | | | Fund/Index Name One Year Five Years Since Inception (1/25/16) MSCI Emerging Markets Dividend Growers ETF - NAV - -2.26% 3.60% MSCI Emerging Markets Dividend Growers ETF - Market Price -1.65% -2.43% 3.55% MSCI Emerging Markets Dividend Masters Index - -1.21% 4.72% MSCI Emerging Markets Index 12.39% 3.54% 7.23% |
AssetsNet | $ 12,536,155 | $ 12,536,155 | $ 12,536,155 | $ 12,536,155 | $ 12,536,155 | $ 12,536,155 |
Holdings Count | Holding | 58 | 58 | 58 | 58 | 58 | 58 |
Advisory Fees Paid, Amount | | | | | | $ 86,961 |
InvestmentCompanyPortfolioTurnover | | | | | | 82% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $12,536,155 Number of Portfolio Holdings 58 Net Investment Advisory Fees $86,961 Portfolio Turnover Rate 82% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Equity Securities 99% Total 99% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets China Coal Energy Co. Ltd., Class H 2.1% PLDT, Inc. 2.0% Lepu Medical Technology Beijing Co. Ltd., Class A 2.0% China National Nuclear Power Co. Ltd., Class A 2.0% Interconexion Electrica SA ESP 1.9% Arca Continental SAB de CV 1.9% Yankuang Energy Group Co. Ltd., Class H 1.9% Asian Paints Ltd. 1.9% CSPC Pharmaceutical Group Ltd. 1.9% Huaibei Mining Holdings Co. Ltd., Class A 1.9% |
Material Fund Change [Text Block] | | | | | | |
C000244194 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | ®</sup> High Income ETF" id="sjs-D1179">S&P 500<sup style="box-sizing: border-box; color: rgb(255, 255, 255); display: inline; flex-wrap: nowrap; font-size: 16px; font-weight: 700; grid-area: auto; line-height: 0px; margin: 0px; overflow: visible; position: relative; text-align: left; height: auto; max-height: none; min-height: 0px;">®</sup> High Income ETF | | | |
Trading Symbol | | | ISPY | | | |
Security Exchange Name | | | CboeBZX | | | |
Annual or Semi-Annual Statement [Text Block] | | | This annual shareholder report contains important information about S&P 500 ® | | | |
Shareholder Report Annual or Semi-Annual | | | Annual Shareholder Report | | | |
Additional Information [Text Block] | | | You can find additional information about the Fund at https://www.proshares.com/shareholder_reports | | | |
Additional Information Phone Number | | | 866-776-5125 | | | |
Additional Information Website | | | https://www.proshares.com/shareholder_reports</span>" id="sjs-D1186"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/shareholder_reports</span> | | | |
Expenses [Text Block] | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Footnote Reference Costs paid as a percentage of a $10,000 investment ISPY $26 0.55% Footnote Description Footnote * Amount shown reflects the expenses of the Fund from inception date through May 31, 2024. Expenses would be higher if the Fund had been in operations for the full year. | | | |
Expenses Paid, Amount | | | $ 26 | | | |
Expense Ratio, Percent | | | 0.55% | | | |
Factors Affecting Performance [Text Block] | | | How Did the Fund Perform Last Year? S&P 500 ® ® Covered Call Index (the Index). The Fund invests in financial instruments that the Advisor believes, in combination, should track the performance of the Index. Performance was driven by strong performance of the S&P 500 ® Fund had a total return of 10.03%. For the same period, the Index had a total return of 10.71% and a volatility of 10.45%. Primary factors affecting Fund performance include the total return of the securities and derivatives held by the Fund, including the performance of the reference assets to which any derivatives are linked, financing rates paid or earned, expenses, transaction costs, the volatility of the Funds index, and other miscellaneous factors. | | | |
Average Annual Return [Table Text Block] | | | Cumulative Total Return Fund/Index Name Since Inception (12/18/23) S&P 500 ® 10.03% S&P 500 ® 10.00% S&P 500 Daily Covered Call Index 10.71% S&P 500 ® 12.04% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ Standard Poor's ® ® ® TM | | | |
AssetsNet | $ 149,071,682 | $ 149,071,682 | $ 149,071,682 | $ 149,071,682 | $ 149,071,682 | $ 149,071,682 |
Holdings Count | Holding | 506 | 506 | 506 | 506 | 506 | 506 |
Advisory Fees Paid, Amount | | | $ 151,635 | | | |
InvestmentCompanyPortfolioTurnover | | | 7% | | | |
Additional Fund Statistics [Text Block] | | | Key Fund Statistics Net Assets $149,071,682 Number of Portfolio Holdings 506 Net Investment Advisory Fees $151,635 Portfolio Turnover Rate 7% | | | |
Holdings [Text Block] | | | Market Exposure Investment Type % of Net Assets Equity Securities 85% Swap Agreements 99% Futures Contracts 14% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. | | | |
Largest Holdings [Text Block] | | | Largest Holdings Company % of Net Assets Microsoft Corp. 5.9% Apple, Inc. 5.4% NVIDIA Corp. 5.2% Alphabet, Inc. 3.6% Amazon.com, Inc. 3.1% Meta Platforms, Inc., Class A 2.0% Berkshire Hathaway, Inc., Class B 1.5% Eli Lilly & Co. 1.3% JPMorgan Chase & Co. 1.1% Broadcom, Inc. 1.1% | | | |
Material Fund Change [Text Block] | | | | | | |
C000038812 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | Ultra Health Care |
Trading Symbol | | | | | | RXL |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about Ultra Health Care (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G1209"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment RXL $105 0.95% |
Expenses Paid, Amount | | | | | | $ 105 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? Ultra Health Care(the Fund) seeks daily investment results, before fees and expenses, that correspond to two times (2x) the daily performance of the S&P Health Care Select Sector Index (the Index).The Fund invests in financial instruments that the Advisor believes, in combination, should produce daily returns consistent with the Funds investment objective. For the year ended May 31, 2024, the Fund had a total return of 20.50% and an average daily statistical correlation of over 0.99 to twice that of the return of the Index. For the same period, the Index had a total return of 14.36% and a volatility of 10.60%. The index performance was driven by factors such as a market environment that generally favored leading technology companies over more defensive areas of the market. Primary factors affecting Fund performance include the total return of the securities and derivatives held by the Fund, the performance of the reference assets to which any derivatives are linked, financing rates paid or earned, expenses, transaction costs, the volatility of the Funds Index (and its impact on compounding), and other miscellaneous factors. |
Line Graph [Table Text Block] | | | | | | Ultra Health Care : $43,659 S&P Health Care Select Sector Index : $28,337 S&P 500 ® 5/31/2014 10,000 10,000 10,000 6/30/2014 10,527.51 10,218 10,207 9/30/2014 11,543.39 10,740.59 10,322.12 12/31/2014 13,250.18 11,588.29 10,831.28 3/31/2015 15,108.97 12,433.04 10,934.25 6/30/2015 15,979.23 12,837.12 10,964.86 9/30/2015 12,301.45 11,376.25 10,258.73 12/31/2015 14,306.35 12,351.2 10,980.94 3/31/2016 12,449.12 11,605.18 11,129.18 6/30/2016 13,849.87 12,307.82 11,402.43 9/30/2016 14,213.13 12,518.5 11,841.66 12/31/2016 13,027.89 12,048.73 12,294.51 3/31/2017 15,230.87 13,077.22 13,040.31 6/30/2017 17,356.23 14,014.86 13,443.26 9/30/2017 18,562.24 14,554.43 14,045.52 12/31/2017 19,022.12 14,800.4 14,978.14 3/31/2018 18,413.69 14,701.24 14,864.31 6/30/2018 19,544.21 15,255.48 15,374.15 9/30/2018 25,281.02 17,447.69 16,559.5 12/31/2018 20,047.42 15,723.86 14,320.66 3/31/2019 22,835.34 16,912.58 16,275.43 6/30/2019 23,011.81 17,105.38 16,975.27 9/30/2019 21,464.78 16,638.41 17,263.85 12/31/2019 27,848.21 19,067.61 18,829.68 3/31/2020 19,801.94 16,657.47 15,139.06 6/30/2020 25,642.47 19,219.39 18,248.63 9/30/2020 28,504.74 20,372.55 19,878.23 12/31/2020 33,202.26 22,110.33 22,293.43 3/31/2021 34,869.46 22,762.58 23,668.94 6/30/2021 40,868.54 24,738.37 25,692.63 9/30/2021 41,644.6 25,079.76 25,841.65 12/31/2021 49,081.66 27,334.43 28,691.98 3/31/2022 44,838.46 26,287.52 27,372.15 6/30/2022 38,339.09 24,547.29 22,965.23 9/30/2022 33,847.53 23,275.74 21,844.53 12/31/2022 41,657.52 26,108.4 23,495.98 3/31/2023 37,722.59 25,118.89 25,258.18 6/30/2023 39,168.87 25,859.9 27,465.74 9/30/2023 36,383.43 25,174.61 26,567.61 12/31/2023 40,327.5 26,788.3 29,673.36 3/31/2024 46,876.92 29,159.07 32,806.87 5/31/2024 43,659.15 28,336.78 33,026.68 |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years Ultra Health Care - NAV 20.50% 16.64% 15.88% Ultra Health Care - Market Price 20.03% 16.62% 15.88% S&P Health Care Select Sector Index 14.36% 12.53% 11.08% S&P 500 ® 28.19% 15.79% 12.68% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ The "S&P Health Care Select Sector Index" is a product of S&P Dow Jones Indices LLC and its affiliates and has been licensed for use by ProShares. "S&P ® ® |
AssetsNet | $ 86,947,160 | $ 86,947,160 | $ 86,947,160 | $ 86,947,160 | $ 86,947,160 | $ 86,947,160 |
Holdings Count | Holding | 73 | 73 | 73 | 73 | 73 | 73 |
Advisory Fees Paid, Amount | | | | | | $ 551,671 |
InvestmentCompanyPortfolioTurnover | | | | | | 4% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $86,947,160 Number of Portfolio Holdings 73 Net Investment Advisory Fees $551,671 Portfolio Turnover Rate 4% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Equity Securities 75% Swap Agreements 125% Total 200% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets Eli Lilly & Co. 9.3% UnitedHealth Group, Inc. 6.5% Johnson & Johnson 5.0% Merck & Co., Inc. 4.5% AbbVie, Inc. 4.0% Thermo Fisher Scientific, Inc. 3.1% Abbott Laboratories 2.5% Danaher Corp. 2.4% Amgen, Inc. 2.3% Pfizer, Inc. 2.3% |
Material Fund Change [Text Block] | | | | | | |
C000018470 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | ®</sup>" id="sjs-G1226">UltraShort S&P500<sup style="box-sizing: border-box; color: rgb(255, 255, 255); display: inline; flex-wrap: nowrap; font-size: 16px; font-weight: 700; grid-area: auto; line-height: 0px; margin: 0px; overflow: visible; position: relative; text-align: left; height: auto; max-height: none; min-height: 0px;">®</sup> |
Trading Symbol | | | | | | SDS |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about UltraShort S&P500 ® |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G1233"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment SDS $75 0.89% |
Expenses Paid, Amount | | | | | | $ 75 |
Expense Ratio, Percent | | | | | | 0.89% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? UltraShort S&P500 ® ® |
Line Graph [Table Text Block] | | | | | | UltraShort S&P500 ® S&P 500 ® 5/31/2014 10,000 10,000 6/30/2014 9,589.24 10,207 9/30/2014 9,306.19 10,322.12 12/31/2014 8,313.43 10,831.28 3/31/2015 8,041.69 10,934.25 6/30/2015 7,937.4 10,964.86 9/30/2015 8,765.59 10,258.73 12/31/2015 7,515.13 10,980.94 3/31/2016 7,143 11,129.18 6/30/2016 6,711.82 11,402.43 9/30/2016 6,181.89 11,841.66 12/31/2016 5,709.84 12,294.51 3/31/2017 5,074.43 13,040.31 6/30/2017 4,781.92 13,443.26 9/30/2017 4,395.7 14,045.52 12/31/2017 3,885.8 14,978.14 3/31/2018 3,876.06 14,864.31 6/30/2018 3,626.76 15,374.15 9/30/2018 3,157.02 16,559.5 12/31/2018 4,113.38 14,320.66 3/31/2019 3,195.02 16,275.43 6/30/2019 2,959.47 16,975.27 9/30/2019 2,858.06 17,263.85 12/31/2019 2,414.82 18,829.68 3/31/2020 2,962.6 15,139.06 6/30/2020 1,883.88 18,248.63 9/30/2020 1,550.56 19,878.23 12/31/2020 1,205.84 22,293.43 3/31/2021 1,049.43 23,668.94 6/30/2021 881.06 25,692.63 9/30/2021 861.82 25,841.65 12/31/2021 687.92 28,691.98 3/31/2022 730.33 27,372.15 6/30/2022 980.92 22,965.23 9/30/2022 1,062.17 21,844.53 12/31/2022 898.09 23,495.98 3/31/2023 785.19 25,258.18 6/30/2023 680.62 27,465.74 9/30/2023 748.28 26,567.61 12/31/2023 614.94 29,673.36 3/31/2024 516.86 32,806.87 5/31/2024 519.54 33,026.68 |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years UltraShort S&P500 ® - -31.25% -25.60% UltraShort S&P500 ® -32.20% -31.28% -25.62% S&P 500 ® 28.19% 15.79% 12.68% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ "Standard & Poor's ® ® ® TM |
AssetsNet | $ 564,180,440 | $ 564,180,440 | $ 564,180,440 | $ 564,180,440 | $ 564,180,440 | $ 564,180,440 |
Holdings Count | Holding | 20 | 20 | 20 | 20 | 20 | 20 |
Advisory Fees Paid, Amount | | | | | | $ 5,848,029 |
InvestmentCompanyPortfolioTurnover | | | | | | 0% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $564,180,440 Number of Portfolio Holdings 20 Net Investment Advisory Fees $5,848,029 Portfolio Turnover Rate -% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Swap Agreements (192)% Futures Contracts (8)% Total (200)% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets U.S. Treasury Bills 123.8% Repurchase Agreements with various counterparties 6.3% |
Material Fund Change [Text Block] | | | | | | |
C000222595 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | MSCI Transformational Changes ETF |
Trading Symbol | | | | | | ANEW |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about MSCI Transformational Changes ETF (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/shareholder_reports</span>" id="sjs-G1257"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment ANEW $50 0.45% |
Expenses Paid, Amount | | | | | | $ 50 |
Expense Ratio, Percent | | | | | | 0.45% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? MSCI Transformational Changes ETF (the Fund") seeks investment results, before fees and expenses, that track the performance of the MSCI Global Transformational Changes Index (the Index). The Fund invests in financial instruments that the Advisor believes, in combination, should track the performance of the Index. Strong technology sector performance was offset by a sizeable healthcare allocation, which contributed to underperformance relative to the S&P 500 ® |
Line Graph [Table Text Block] | | | | | | MSCI Transformational Changes ETF : $10,609 MSCI Global Transformational Changes Index : $10,698 S&P Global 1200 Index : $15,123 10/14/2020 10,000 10,000 10,000 12/31/2020 10,551 10,552 11,018 3/31/2021 10,628 10,636 11,601 6/30/2021 11,572 11,598 12,474 9/30/2021 11,194 11,233 12,393 12/31/2021 11,323 11,364 13,392 3/31/2022 10,029 10,080 12,761 6/30/2022 8,024 8,049 10,808 9/30/2022 7,376 7,409 10,073 12/31/2022 7,990 8,022 11,138 3/31/2023 8,872 8,916 11,996 6/30/2023 9,371 9,423 12,819 9/30/2023 8,762 8,816 12,350 12/31/2023 9,797 9,868 13,744 3/31/2024 10,648 10,738 14,981 5/31/2024 10,609 10,698 15,123 |
Average Annual Return [Table Text Block] | | | | | | Fund/Index Name One Year Since Inception (10/14/20) MSCI Transformational Changes ETF - NAV 19.87% 1.64% MSCI Transformational Changes ETF - Market Price 19.84% 1.57% MSCI Global Transformational Changes Index 20.30% 1.87% S&P Global 1200 Index 24.99% 12.07% |
AssetsNet | $ 8,294,823 | $ 8,294,823 | $ 8,294,823 | $ 8,294,823 | $ 8,294,823 | $ 8,294,823 |
Holdings Count | Holding | 153 | 153 | 153 | 153 | 153 | 153 |
Advisory Fees Paid, Amount | | | | | | $ 37,773 |
InvestmentCompanyPortfolioTurnover | | | | | | 42% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $8,294,823 Number of Portfolio Holdings 153 Net Investment Advisory Fees $37,773 Portfolio Turnover Rate 42% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Equity Securities 100% Total 100% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets NVIDIA Corp. 2.4% Symrise AG, Class A 2.2% Nintendo Co. Ltd. 2.1% Meta Platforms, Inc., Class A 2.1% Apple, Inc. 2.0% Intuitive Surgical, Inc. 2.0% Boston Scientific Corp. 2.0% Roche Holding AG 2.0% Abbott Laboratories 2.0% AbbVie, Inc. 2.0% |
Material Fund Change [Text Block] | | | | | | |
C000150377 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | ®</sup> Dividend Aristocrats ETF" id="sjs-G1274">S&P MidCap 400<sup style="box-sizing: border-box; color: rgb(255, 255, 255); display: inline; flex-wrap: nowrap; font-size: 16px; font-weight: 700; grid-area: auto; line-height: 0px; margin: 0px; overflow: visible; position: relative; text-align: left; height: auto; max-height: none; min-height: 0px;">®</sup> Dividend Aristocrats ETF |
Trading Symbol | | | | | | REGL |
Security Exchange Name | | | | | | CboeBZX |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about S&P MidCap 400 ® |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/shareholder_reports</span>" id="sjs-G1281"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment REGL $43 0.40% |
Expenses Paid, Amount | | | | | | $ 43 |
Expense Ratio, Percent | | | | | | 0.40% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? S&P MidCap 400 ® MidCap 400 ® track the performance of the Index. Solid performance of MidCap stocks drove total return, though an underweight to the technology sector drove underperformance relative to the S&P 400. For the year ended May 31, 2024, the Fund had a total return of 15.93%. For the same period, the Index had a total return of 16.41% and a volatility of 14.89%. Primary factors affecting Fund performance include the total return of the securities held by the Fund, expenses, transaction costs, the volatility of the Funds index, and other miscellaneous factors. |
Line Graph [Table Text Block] | | | | | | Value Based on a $10,000 Investment Footnote Reference S&P MidCap 400 ® S&P MidCap 400 ® S&P 1500 Index : $29,856 2/3/2015 10,000 10,000 10,000 3/31/2015 10,019 10,025 10,158 6/30/2015 10,005 10,021 10,175 9/30/2015 9,499 9,522 9,495 12/31/2015 9,963 9,984 10,120 3/31/2016 11,040 11,077 10,279 6/30/2016 11,808 11,862 10,546 9/30/2016 11,910 11,969 10,966 12/31/2016 12,949 13,029 11,440 3/31/2017 13,337 13,433 12,097 6/30/2017 13,352 13,461 12,455 9/30/2017 13,635 13,763 13,008 12/31/2017 14,274 14,419 13,857 3/31/2018 13,928 14,083 13,757 6/30/2018 14,407 14,583 14,259 9/30/2018 15,120 15,321 15,307 12/31/2018 13,823 14,019 13,169 3/31/2019 15,104 15,331 14,965 6/30/2019 15,747 16,001 15,588 9/30/2019 15,739 16,011 15,826 12/31/2019 16,423 16,723 17,238 3/31/2020 12,377 12,598 13,692 6/30/2020 14,562 14,841 16,536 9/30/2020 14,766 15,062 17,951 12/31/2020 17,650 18,037 20,328 3/31/2021 19,615 20,068 21,733 6/30/2021 20,266 20,756 23,502 9/30/2021 19,359 19,845 23,584 12/31/2021 21,229 21,792 26,110 3/31/2022 20,927 21,502 24,898 6/30/2022 19,652 20,212 20,910 9/30/2022 18,856 19,408 19,914 12/31/2022 21,123 21,768 21,466 3/31/2023 21,000 21,659 23,003 6/30/2023 20,965 21,644 24,933 9/30/2023 20,024 20,689 24,095 12/31/2023 22,266 23,031 26,933 3/31/2024 23,885 24,733 29,710 5/31/2024 23,018 23,850 29,856 Footnote Description Footnote * The line graph represents historical performance of a hypothetical investment of $10,000 in the ProShares S&P MidCap 400 ® |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Since Inception (2/3/15) S&P MidCap 400 ® 15.93% 9.13% 9.36% S&P MidCap 400 ® 15.99% 9.13% 9.36% S&P MidCap 400 ® 16.41% 9.56% 9.77% S&P 1500 Index 27.86% 15.43% 12.44% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ "S&P MidCap 400 ® ® ® ® |
AssetsNet | $ 1,530,591,690 | $ 1,530,591,690 | $ 1,530,591,690 | $ 1,530,591,690 | $ 1,530,591,690 | $ 1,530,591,690 |
Holdings Count | Holding | 50 | 50 | 50 | 50 | 50 | 50 |
Advisory Fees Paid, Amount | | | | | | $ 6,143,791 |
InvestmentCompanyPortfolioTurnover | | | | | | 33% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $1,530,591,690 Number of Portfolio Holdings 50 Net Investment Advisory Fees $6,143,791 Portfolio Turnover Rate 33% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Equity Securities 100% Total 100% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets Carlisle Cos., Inc. 2.3% Sonoco Products Co. 2.2% Westlake Corp. 2.2% OGE Energy Corp. 2.2% Royal Gold, Inc. 2.2% National Fuel Gas Co. 2.2% Casey's General Stores, Inc. 2.2% AptarGroup, Inc. 2.2% Old Republic International Corp. 2.1% Southwest Gas Holdings, Inc. 2.1% |
Material Fund Change [Text Block] | | | | | | |
C000098413 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | Ultra High Yield |
Trading Symbol | | | | | | UJB |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about Ultra High Yield (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G1305"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment UJB $102 0.95% |
Expenses Paid, Amount | | | | | | $ 102 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? Ultra High Yield(the Fund) seeks daily investment results, before fees and expenses, that correspond to two times (2x) the daily performance of the Markit iBoxx ® |
Line Graph [Table Text Block] | | | | | | Ultra High Yield : $14,414 Markit iBoxx ® Bloomberg U.S. Aggregate Bond Index : $11,331 5/31/2014 10,000 10,000 10,000 6/30/2014 10,112.500000 10,084 10,005 9/30/2014 9,645.150000 9,843.070000 10,022.010000 12/31/2014 9,445.010000 9,804.590000 10,201.400000 3/31/2015 9,795.600000 10,027.800000 10,365.650000 6/30/2015 9,640.250000 9,962.620000 10,191.500000 9/30/2015 8,684.930000 9,451.530000 10,316.860000 12/31/2015 8,411.800000 9,311.650000 10,258.050000 3/31/2016 8,778.430000 9,620.800000 10,568.870000 6/30/2016 9,665.710000 10,080.190000 10,802.440000 9/30/2016 10,507.580000 10,592.970000 10,852.130000 12/31/2016 10,644.750000 10,737.860000 10,528.740000 3/31/2017 11,103.170000 10,987.360000 10,615.080000 6/30/2017 11,512.130000 11,214.800000 10,768.990000 9/30/2017 11,870.110000 11,405.450000 10,860.530000 12/31/2017 11,825.560000 11,415.720000 10,902.890000 3/31/2018 11,531.240000 11,296.990000 10,743.700000 6/30/2018 11,623.360000 11,452.890000 10,726.510000 9/30/2018 12,255.290000 11,739.220000 10,728.660000 12/31/2018 11,116.480000 11,244.990000 10,904.610000 3/31/2019 12,788.020000 12,088.370000 11,225.210000 6/30/2019 13,256.360000 12,380.910000 11,570.940000 9/30/2019 13,510.940000 12,545.570000 11,833.600000 12/31/2019 14,100.740000 12,893.090000 11,854.900000 3/31/2020 10,795.600000 11,347.200000 12,228.330000 6/30/2020 12,331.010000 12,226.610000 12,582.950000 9/30/2020 13,323.830000 12,747.470000 12,660.970000 12/31/2020 14,847.690000 13,495.740000 12,745.800000 3/31/2021 14,968.450000 13,587.510000 12,316.260000 6/30/2021 15,535.670000 13,905.460000 12,541.650000 9/30/2021 15,597.870000 13,995.850000 12,547.920000 12/31/2021 15,796.460000 14,099.420000 12,549.180000 3/31/2022 14,282.810000 13,481.860000 11,805.010000 6/30/2022 11,641.340000 12,148.510000 11,251.360000 9/30/2022 11,142.270000 12,063.470000 10,716.920000 12/31/2022 12,118.080000 12,583.400000 10,917.320000 3/31/2023 12,836.500000 13,042.700000 11,240.480000 6/30/2023 12,850.730000 13,201.820000 11,146.060000 9/30/2023 12,607.710000 13,250.660000 10,786.040000 12/31/2023 14,255.610000 14,206.040000 11,521.650000 3/31/2024 14,485.560000 14,366.570000 11,431.780000 5/31/2024 14,414.120000 14,393.860000 11,331.180000 |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years Ultra High Yield - NAV 15.62% 2.91% 3.72% Ultra High Yield - Market Price 15.36% 2.96% 3.73% Markit iBoxx ® 10.86% 3.57% 3.71% Bloomberg U.S. Aggregate Bond Index 1.30% -0.85% 1.25% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ Bloomberg ® |
AssetsNet | $ 7,528,593 | $ 7,528,593 | $ 7,528,593 | $ 7,528,593 | $ 7,528,593 | $ 7,528,593 |
Holdings Count | Holding | 5 | 5 | 5 | 5 | 5 | 5 |
Advisory Fees Paid, Amount | | | | | | $ 16,995 |
InvestmentCompanyPortfolioTurnover | | | | | | 0% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $7,528,593 Number of Portfolio Holdings 5 Net Investment Advisory Fees $16,995 Portfolio Turnover Rate -% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Swap Agreements 200% Total 200% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets U.S. Treasury Bills 26.3% |
Material Fund Change [Text Block] | | | | | | |
C000038866 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | UltraShort Semiconductors |
Trading Symbol | | | | | | SSG |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about UltraShort Semiconductors (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G1329"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment SSG $58 0.95% |
Expenses Paid, Amount | | | | | | $ 58 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? UltraShort Semiconductors(the Fund) seeks daily investment results, before fees and expenses, that correspond to two times the inverse (-2x) of the daily performance of the Dow Jones U.S. Semiconductors SM |
Line Graph [Table Text Block] | | | | | | UltraShort Semiconductors : $4 Dow Jones U.S. Semiconductors Index℠ : $130,140 S&P 500 ® 5/31/2014 10,000 10,000 10,000 6/30/2014 8,442.570000 10,860 10,207 9/30/2014 7,501.320000 11,398.350000 10,322.120000 12/31/2014 6,092.890000 12,318.150000 10,831.280000 3/31/2015 6,064.940000 12,103.160000 10,934.250000 6/30/2015 6,134.170000 11,859.890000 10,964.860000 9/30/2015 6,894.280000 10,841.120000 10,258.730000 12/31/2015 5,264.780000 12,201.690000 10,980.940000 3/31/2016 5,072.800000 12,100.410000 11,129.180000 6/30/2016 4,522.780000 12,588.420000 11,402.430000 9/30/2016 3,108.250000 15,013.600000 11,841.660000 12/31/2016 2,711.470000 15,853.860000 12,294.510000 3/31/2017 2,293.610000 17,142.730000 13,040.310000 6/30/2017 2,151.910000 17,471.870000 13,443.260000 9/30/2017 1,641.210000 19,818.350000 14,045.520000 12/31/2017 1,320.760000 21,907.200000 14,978.140000 3/31/2018 1,084.020000 23,396.890000 14,864.310000 6/30/2018 1,059.750000 23,261.190000 15,374.150000 9/30/2018 986.970000 23,968.330000 16,559.500000 12/31/2018 1,291.830000 20,003.970000 14,320.660000 3/31/2019 853.770000 24,050.770000 16,275.430000 6/30/2019 797.820000 24,356.210000 16,975.270000 9/30/2019 683.080000 25,785.920000 17,263.850000 12/31/2019 477.220000 30,499.590000 18,829.680000 3/31/2020 440.540000 25,976.500000 15,139.060000 6/30/2020 227.250000 33,585.020000 18,248.630000 9/30/2020 164.600000 38,172.730000 19,878.230000 12/31/2020 112.320000 44,933.120000 22,293.430000 3/31/2021 82.090000 49,390.490000 23,668.940000 6/30/2021 63.330000 54,759.230000 25,692.630000 9/30/2021 63.310000 53,779.040000 25,841.650000 12/31/2021 36.580000 67,788.480000 28,691.980000 3/31/2022 38.310000 60,718.140000 27,372.150000 6/30/2022 62.800000 43,383.110000 22,965.230000 9/30/2022 71.410000 38,658.690000 21,844.530000 12/31/2022 50.210000 43,088.980000 23,495.980000 3/31/2023 25.560000 58,372.640000 25,258.180000 6/30/2023 15.650000 72,113.560000 27,465.740000 9/30/2023 15.960000 70,116.010000 26,567.610000 12/31/2023 10.660000 84,861.410000 29,673.360000 3/31/2024 5.170000 117,380.300000 32,806.870000 5/31/2024 3.990000 130,139.540000 33,026.680000 |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years UltraShort Semiconductors - NAV - -67.14% -54.28% UltraShort Semiconductors - Market Price -78.27% -67.11% -54.32% Dow Jones U.S. Semiconductors Index℠ 94.40% 43.26% 29.22% S&P 500 ® 28.19% 15.79% 12.68% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ The "Dow Jones U.S. Semiconductors Index SM ® |
AssetsNet | $ 5,989,529 | $ 5,989,529 | $ 5,989,529 | $ 5,989,529 | $ 5,989,529 | $ 5,989,529 |
Holdings Count | Holding | 9 | 9 | 9 | 9 | 9 | 9 |
Advisory Fees Paid, Amount | | | | | | $ 0 |
InvestmentCompanyPortfolioTurnover | | | | | | 0% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $5,989,529 Number of Portfolio Holdings 9 Net Investment Advisory Fees $- Portfolio Turnover Rate -% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Swap Agreements (200)% Total (200)% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets Repurchase Agreements with various counterparties 107.0% |
Material Fund Change [Text Block] | | | | | | |
C000144592 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | MSCI Europe Dividend Growers ETF |
Trading Symbol | | | | | | EUDV |
Security Exchange Name | | | | | | CboeBZX |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about MSCI Europe Dividend Growers ETF (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/shareholder_reports</span>" id="sjs-G1353"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment EUDV $59 0.55% |
Expenses Paid, Amount | | | | | | $ 59 |
Expense Ratio, Percent | | | | | | 0.55% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? MSCI Europe Dividend Growers ETF (the Fund') seeks investment results, before fees and expenses, that track the performance of the MSCI Europe Dividend Masters Index (the Index). The Fund invests in financial instruments that the Advisor believes, in combination, should track the performance of the Index. An underweight to the financial sector drove underperformance compared to the MSCI Europe Index. For the year ended May 31, 2024, the Fund had a total return of 12.42%. For the same period, the Index had a total return of 13.06% and a volatility of 12.92%. Primary factors affecting Fund performance include the total return of the securities held by the Fund, expenses, transaction costs, the volatility of the Funds index, and other miscellaneous factors. |
Line Graph [Table Text Block] | | | | | | MSCI Europe Dividend Growers ETF : $14,422 MSCI Europe Dividend Masters Index : $15,151 MSCI EAFE Index : $17,293 9/9/2015 10,000 10,000 10,000 9/30/2015 9,680 9,685 9,522 12/31/2015 9,777 9,802 9,971 3/31/2016 9,657 9,692 9,720 6/30/2016 9,582 9,627 9,578 9/30/2016 9,622 9,682 10,194 12/31/2016 9,081 9,156 10,122 3/31/2017 9,555 9,646 10,855 6/30/2017 10,376 10,484 11,519 9/30/2017 10,852 10,986 12,141 12/31/2017 11,021 11,178 12,655 3/31/2018 10,748 10,908 12,461 6/30/2018 11,152 11,331 12,307 9/30/2018 11,214 11,414 12,473 12/31/2018 9,783 9,962 10,909 3/31/2019 10,725 10,939 11,998 6/30/2019 11,049 11,280 12,439 9/30/2019 11,053 11,302 12,306 12/31/2019 12,283 12,623 13,311 3/31/2020 9,571 9,829 10,272 6/30/2020 11,365 11,711 11,801 9/30/2020 12,123 12,514 12,367 12/31/2020 13,069 13,525 14,352 3/31/2021 13,009 13,479 14,852 6/30/2021 14,576 15,121 15,620 9/30/2021 14,658 15,229 15,549 12/31/2021 15,560 16,203 15,968 3/31/2022 13,927 14,509 15,024 6/30/2022 11,513 11,980 12,844 9/30/2022 10,284 10,709 11,642 12/31/2022 11,676 12,181 13,660 3/31/2023 13,004 13,592 14,817 6/30/2023 13,123 13,716 15,255 9/30/2023 12,470 13,047 14,628 12/31/2023 14,093 14,783 16,152 3/31/2024 14,454 15,185 17,068 5/31/2024 14,422 15,151 17,293 |
Average Annual Return [Table Text Block] | | | | | | Fund/Index Name One Year Five Years Since Inception (9/9/15) MSCI Europe Dividend Growers ETF - NAV 12.42% 6.71% 4.29% MSCI Europe Dividend Growers ETF - Market Price 11.61% 6.72% 4.29% MSCI Europe Dividend Masters Index 13.06% 7.33% 4.87% MSCI EAFE Index 18.53% 8.04% 6.41% |
AssetsNet | $ 7,046,658 | $ 7,046,658 | $ 7,046,658 | $ 7,046,658 | $ 7,046,658 | $ 7,046,658 |
Holdings Count | Holding | 43 | 43 | 43 | 43 | 43 | 43 |
Advisory Fees Paid, Amount | | | | | | $ 46,617 |
InvestmentCompanyPortfolioTurnover | | | | | | 31% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $7,046,658 Number of Portfolio Holdings 43 Net Investment Advisory Fees $46,617 Portfolio Turnover Rate 31% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Equity Securities 99% Total 99% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets Symrise AG, Class A 2.5% ACS Actividades de Construccion y Servicios SA 2.5% Givaudan SA (Registered) 2.5% ASML Holding NV 2.4% Nestle SA (Registered) 2.4% DSV A/S 2.4% Lotus Bakeries NV 2.4% Swiss Life Holding AG (Registered) 2.4% BAE Systems plc 2.4% UCB SA 2.4% |
Material Fund Change [Text Block] | | | | | | |
C000038813 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | Ultra Industrials |
Trading Symbol | | | | | | UXI |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about Ultra Industrials (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G1377"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment UXI $121 0.95% |
Expenses Paid, Amount | | | | | | $ 121 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? Ultra Industrials(the Fund) seeks daily investment results, before fees and expenses, that correspond to two times (2x) the daily performance of the S&P Industrials Select Sector Index (the Index).The Fund invests in financial instruments that the Advisor believes, in combination, should produce daily returns consistent with the Funds investment objective. For the year ended May 31, 2024, the Fund had a total return of 53.88% and an average daily statistical correlation of over 0.99 to twice that of the return of the Index. For the same period, the Index had a total return of 29.78% and a volatility of 12.59%. The index performance was driven by factors such as a cyclical recovery following the pandemic. Primary factors affecting Fund performance include the total return of the securities and derivatives held by the Fund, the performance of the reference assets to which any derivatives are linked, financing rates paid or earned, expenses, transaction costs, the volatility of the Funds Index (and its impact on compounding), and other miscellaneous factors. |
Line Graph [Table Text Block] | | | | | | Ultra Industrials : $37,974 S&P Industrials Select Sector Index : $27,909 S&P 500 ® 5/31/2014 10,000 10,000 10,000 6/30/2014 10,202.17 10,043 10,207 9/30/2014 9,700.82 9,827.03 10,322.12 12/31/2014 10,793.31 10,428.78 10,831.28 3/31/2015 11,033.52 10,594.01 10,934.25 6/30/2015 10,546.61 10,393.78 10,964.86 9/30/2015 8,787.64 9,561.24 10,258.73 12/31/2015 10,002.09 10,252.52 10,980.94 3/31/2016 10,806.59 10,733.36 11,129.18 6/30/2016 11,365.9 11,070.43 11,402.43 9/30/2016 12,305.27 11,567.74 11,841.66 12/31/2016 13,702.8 12,255.39 12,294.51 3/31/2017 14,996.17 12,872.85 13,040.31 6/30/2017 16,359.64 13,503.62 13,443.26 9/30/2017 18,177.45 14,298.98 14,045.52 12/31/2017 20,520.52 15,262.73 14,978.14 3/31/2018 19,706.33 15,097.89 14,864.31 6/30/2018 19,194.44 15,007.31 15,374.15 9/30/2018 22,611.22 16,386.48 16,559.5 12/31/2018 15,021.7 13,543.42 14,320.66 3/31/2019 20,799.82 16,076.05 16,275.43 6/30/2019 22,475.29 16,844.48 16,975.27 9/30/2019 22,430.52 16,965.76 17,263.85 12/31/2019 24,912.63 17,990.49 18,829.68 3/31/2020 12,431.01 13,408.31 15,139.06 6/30/2020 17,602.76 16,328.64 18,248.63 9/30/2020 21,509.23 18,167.25 19,878.23 12/31/2020 28,949.4 21,213.9 22,293.43 3/31/2021 33,978.12 23,121.03 23,668.94 6/30/2021 37,511.81 24,395 25,692.63 9/30/2021 34,517.38 23,511.9 25,841.65 12/31/2021 38,949.08 25,110.71 28,691.98 3/31/2022 33,201.9 23,352.96 27,372.15 6/30/2022 22,878.78 19,623.49 22,965.23 9/30/2022 20,730.9 18,913.12 21,844.53 12/31/2022 26,160.51 21,585.54 23,495.98 3/31/2023 27,368.85 22,472.71 25,258.18 6/30/2023 30,290.41 23,931.19 27,465.74 9/30/2023 26,662.28 22,696.34 26,567.61 12/31/2023 33,280.59 25,658.21 29,673.36 3/31/2024 40,128.89 28,472.92 32,806.87 5/31/2024 37,973.52 27,909.15 33,026.68 |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years Ultra Industrials - NAV 53.88% 14.28% 14.27% Ultra Industrials - Market Price 53.70% 14.26% 14.30% S&P Industrials Select Sector Index 29.78% 13.42% 10.80% S&P 500 ® 28.19% 15.79% 12.68% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ The "S&P Industrial Select Sector Index" is a product of S&P Dow Jones Indices LLC and its affiliates and has been licensed for use by ProShares. "S&P ® ® |
AssetsNet | $ 23,301,661 | $ 23,301,661 | $ 23,301,661 | $ 23,301,661 | $ 23,301,661 | $ 23,301,661 |
Holdings Count | Holding | 87 | 87 | 87 | 87 | 87 | 87 |
Advisory Fees Paid, Amount | | | | | | $ 53,045 |
InvestmentCompanyPortfolioTurnover | | | | | | 8% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $23,301,661 Number of Portfolio Holdings 87 Net Investment Advisory Fees $53,045 Portfolio Turnover Rate 8% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Equity Securities 67% Swap Agreements 133% Total 200% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets General Electric Co. 3.2% Caterpillar, Inc. 3.1% RTX Corp. 2.6% Union Pacific Corp. 2.5% Honeywell International, Inc. 2.4% Eaton Corp. plc 2.4% Uber Technologies, Inc. 2.4% Boeing Co. (The) 1.8% Lockheed Martin Corp. 1.8% Automatic Data Processing, Inc. 1.8% |
Material Fund Change [Text Block] | | | | | | |
C000214314 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | S&P Technology Dividend Aristocrats ETF |
Trading Symbol | | | | | | TDV |
Security Exchange Name | | | | | | CboeBZX |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about S&P Technology Dividend Aristocrats ETF (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/shareholder_reports</span>" id="sjs-G1401"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment TDV $50 0.45% |
Expenses Paid, Amount | | | | | | $ 50 |
Expense Ratio, Percent | | | | | | 0.45% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? S&P Technology Dividend Aristocrats ETF (the Fund) seeks investment results, before fees and expenses, that track the performance of the S&P ® Technology Dividend Aristocrats ® track the performance of the Index. Strong technology returns drove performance while the equal-weight construction and only partial representation of the Magnificent 7 drove underperformance relative to the S&P 500 ® |
Line Graph [Table Text Block] | | | | | | Value Based on a $10,000 Investment Footnote Reference S&P Technology Dividend Aristocrats ETF : $19,337 S&P ® ® S&P 1500 Index : $18,234 11/5/2019 10,000 10,000 10,000 12/31/2019 10,395 10,405 10,528 3/31/2020 8,369 8,380 8,362 6/30/2020 10,562 10,584 10,099 9/30/2020 11,269 11,306 10,964 12/31/2020 13,410 13,476 12,415 3/31/2021 14,465 14,554 13,273 6/30/2021 15,115 15,226 14,354 9/30/2021 15,262 15,392 14,404 12/31/2021 17,187 17,356 15,947 3/31/2022 16,063 16,238 15,207 6/30/2022 13,856 14,019 12,771 9/30/2022 13,127 13,291 12,163 12/31/2022 14,459 14,660 13,110 3/31/2023 16,031 16,274 14,049 6/30/2023 17,386 17,674 15,228 9/30/2023 16,372 16,659 14,716 12/31/2023 18,389 18,735 16,449 3/31/2024 19,095 19,479 18,145 5/31/2024 19,337 19,742 18,234 Footnote Description Footnote * The line graph represents historical performance of a hypothetical investment of $10,000 in the ProShares S&P Technology Dividend Aristocrats ETF from November 5, 2019 to May 31, 2024, assuming the reinvestment of distributions. |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Since Inception (11/5/19) S&P Technology Dividend Aristocrats ETF - NAV 20.17% 15.52% S&P Technology Dividend Aristocrats ETF - Market Price 20.05% 15.49% S&P ® ® 20.74% 16.03% S&P 1500 Index 27.86% 14.04% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ The "S&P ® ® ® ® |
AssetsNet | $ 269,017,175 | $ 269,017,175 | $ 269,017,175 | $ 269,017,175 | $ 269,017,175 | $ 269,017,175 |
Holdings Count | Holding | 36 | 36 | 36 | 36 | 36 | 36 |
Advisory Fees Paid, Amount | | | | | | $ 1,072,222 |
InvestmentCompanyPortfolioTurnover | | | | | | 24% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $269,017,175 Number of Portfolio Holdings 36 Net Investment Advisory Fees $1,072,222 Portfolio Turnover Rate 24% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Equity Securities 100% Total 100% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets HP, Inc. 3.5% QUALCOMM, Inc. 3.4% Analog Devices, Inc. 3.4% Texas Instruments, Inc. 3.2% KLA Corp. 3.2% Power Integrations, Inc. 3.2% Amphenol Corp., Class A 3.2% Corning, Inc. 3.1% Microchip Technology, Inc. 3.1% Cognex Corp. 3.1% |
Material Fund Change [Text Block] | | | | | | |
C000038847 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | UltraShort SmallCap600 |
Trading Symbol | | | | | | SDD |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about UltraShort SmallCap600 (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G1425"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment SDD $81 0.95% |
Expenses Paid, Amount | | | | | | $ 81 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? UltraShort SmallCap600(the Fund) seeks daily investment results, before fees and expenses, that correspond to two times the inverse (-2x) of the daily performance of the S&P SmallCap 600 ® ® |
Line Graph [Table Text Block] | | | | | | UltraShort SmallCap600 : $508 S&P SmallCap 600 ® S&P 1500 Index : $32,221 5/31/2014 10,000 10,000 10,000 6/30/2014 9,082.160000 10,472 10,233 9/30/2014 10,276.030000 9,767.610000 10,278.030000 12/31/2014 8,287.810000 10,729.280000 10,812.480000 3/31/2015 7,509.360000 11,154.580000 10,962.780000 6/30/2015 7,379.640000 11,175.770000 10,981.410000 9/30/2015 8,714.870000 10,139.780000 10,246.760000 12/31/2015 7,877.040000 10,516.980000 10,922.020000 3/31/2016 7,197.460000 10,796.730000 11,093.490000 6/30/2016 6,536.450000 11,172.090000 11,381.920000 9/30/2016 5,591.630000 11,976.610000 11,834.920000 12/31/2016 4,435.260000 13,310.080000 12,346.190000 3/31/2017 4,275.590000 13,451.690000 13,054.860000 6/30/2017 4,085.980000 13,681.720000 13,441.290000 9/30/2017 3,612.130000 14,497.150000 14,038.080000 12/31/2017 3,325.050000 15,071.230000 14,954.770000 3/31/2018 3,228.490000 15,157.140000 14,847.090000 6/30/2018 2,716.590000 16,486.420000 15,389.010000 9/30/2018 2,481.660000 17,262.930000 16,520.110000 12/31/2018 3,747.970000 13,793.080000 14,212.250000 3/31/2019 2,984.710000 15,394.460000 16,150.800000 6/30/2019 2,851.940000 15,682.330000 16,822.670000 9/30/2019 2,822.880000 15,650.970000 17,080.060000 12/31/2019 2,402.930000 16,935.910000 18,603.600000 3/31/2020 3,995.490000 11,408.030000 14,776.840000 6/30/2020 2,171.550000 13,910.950000 17,845.990000 9/30/2020 1,957.540000 14,351.930000 19,373.600000 12/31/2020 1,077.800000 18,845.520000 21,938.670000 3/31/2021 729.200000 22,282.940000 23,454.630000 6/30/2021 647.950000 23,287.900000 25,363.840000 9/30/2021 664.260000 22,626.530000 25,452.610000 12/31/2021 575.090000 23,902.660000 28,178.590000 3/31/2022 619.760000 22,559.330000 26,871.100000 6/30/2022 791.390000 19,376.210000 22,566.350000 9/30/2022 854.840000 18,368.650000 21,492.190000 12/31/2022 693.900000 20,056.730000 23,166.430000 3/31/2023 653.690000 20,572.190000 24,825.150000 6/30/2023 612.290000 21,267.530000 26,907.980000 9/30/2023 688.270000 20,219.040000 26,003.870000 12/31/2023 515.060000 23,276.160000 29,067.130000 3/31/2024 493.640000 23,848.750000 32,063.950000 5/31/2024 507.550000 23,646.030000 32,221.060000 |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years UltraShort SmallCap600 - NAV - -31.24% -25.78% UltraShort SmallCap600 - Market Price -29.55% -31.28% -25.84% S&P SmallCap 600 ® 20.34% 10.12% 8.98% S&P 1500 Index 27.86% 15.43% 12.40% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ "Standard & Poor's ® ® ® |
AssetsNet | $ 2,249,373 | $ 2,249,373 | $ 2,249,373 | $ 2,249,373 | $ 2,249,373 | $ 2,249,373 |
Holdings Count | Holding | 6 | 6 | 6 | 6 | 6 | 6 |
Advisory Fees Paid, Amount | | | | | | $ 0 |
InvestmentCompanyPortfolioTurnover | | | | | | 0% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $2,249,373 Number of Portfolio Holdings 6 Net Investment Advisory Fees $- Portfolio Turnover Rate -% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Swap Agreements (200)% Total (200)% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets Repurchase Agreements with various counterparties 44.8% U.S. Treasury Bills 44.2% |
Material Fund Change [Text Block] | | | | | | |
C000230308 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | Nanotechnology ETF |
Trading Symbol | | | | | | TINY |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about Nanotechnology ETF (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/shareholder_reports</span>" id="sjs-G1449"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment TINY $68 0.58% |
Expenses Paid, Amount | | | | | | $ 68 |
Expense Ratio, Percent | | | | | | 0.58% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? Nanotechnology ETF (the Fund) seeks investment results, before fees and expenses, that track the performance of the Solactive Nanotechnology Index (the Index). The Fund invests in financial instruments that the Advisor believes, in combination, should track the performance of the Index. Technology stocks drove strong performance in line with that of the Nasdaq-100 ® |
Average Annual Return [Table Text Block] | | | | | | Fund/Index Name One Year Since Inception (10/26/21) Nanotechnology ETF - NAV 32.92% 8.93% Nanotechnology ETF - Market Price 32.91% 8.96% Solactive Nanotechnology Index 32.99% 9.15% S&P Global 1200 Index 24.99% 5.82% |
AssetsNet | $ 6,187,923 | $ 6,187,923 | $ 6,187,923 | $ 6,187,923 | $ 6,187,923 | $ 6,187,923 |
Holdings Count | Holding | 31 | 31 | 31 | 31 | 31 | 31 |
Advisory Fees Paid, Amount | | | | | | $ 20,439 |
InvestmentCompanyPortfolioTurnover | | | | | | 42% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $6,187,923 Number of Portfolio Holdings 31 Net Investment Advisory Fees $20,439 Portfolio Turnover Rate 42% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Equity Securities 100% Total 100% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets NVIDIA Corp. 5.3% Tower Semiconductor Ltd. 4.9% Onto Innovation, Inc. 4.9% Axcelis Technologies, Inc. 4.6% Canon, Inc. 4.6% KLA Corp. 4.6% Applied Materials, Inc. 4.5% Coherent Corp. 4.4% Taiwan Semiconductor Manufacturing Co. Ltd. (ADR) 4.4% ASML Holding NV 4.4% |
Material Fund Change [Text Block] | | | | | | |
C000038872 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | Ultra Materials |
Trading Symbol | | | | | | UYM |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about Ultra Materials (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G1472"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment UYM $115 0.95% |
Expenses Paid, Amount | | | | | | $ 115 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? Ultra Materials (the Fund) seeks daily investment results, before fees and expenses, that correspond to two times (2x) the daily performance of the S&P Materials Select Sector Index (the Index).The Fund invests in financial instruments that the Advisor believes, in combination, should produce daily returns consistent with the Funds investment objective. For the year ended May 31, 2024, the Fund had a total return of 41.07% and an average daily statistical correlation of over 0.99 to twice that of the return of the Index. For the same period, the Index had a total return of 24.59% and a volatility of 14.44%. The index performance was driven by factors such as a cyclical recovery following the pandemic. Primary factors affecting Fund performance include the total return of the securities and derivatives held by the Fund, the performance of the reference assets to which any derivatives are linked, financing rates paid or earned, expenses, transaction costs, the volatility of the Funds Index (and its impact on compounding), and other miscellaneous factors. |
Line Graph [Table Text Block] | | | | | | Ultra Materials : $21,928 S&P Materials Select Sector Index : $21,999 S&P 500 ® 5/31/2014 10,000 10,000 10,000 6/30/2014 10,377.04 10,168 10,207 9/30/2014 10,057.51 10,044.12 10,322.12 12/31/2014 9,241.18 9,700.36 10,831.28 3/31/2015 9,096.02 9,677.99 10,934.25 6/30/2015 8,824.32 9,566.7 10,964.86 9/30/2015 5,649.81 7,733.72 10,258.73 12/31/2015 6,710.33 8,493.94 10,980.94 3/31/2016 7,142.18 8,854.09 11,129.18 6/30/2016 7,643.91 9,221.56 11,402.43 9/30/2016 8,282.32 9,648.73 11,841.66 12/31/2016 9,205.54 10,215.94 12,294.51 3/31/2017 10,553.8 10,988.04 13,040.31 6/30/2017 10,647.77 11,092.43 13,443.26 9/30/2017 12,247.38 11,946.54 14,045.52 12/31/2017 13,894.06 12,780.41 14,978.14 3/31/2018 12,146.15 12,073.66 14,864.31 6/30/2018 12,822.37 12,505.89 15,374.15 9/30/2018 12,614.49 12,494.64 16,559.5 12/31/2018 9,035.37 10,714.15 14,320.66 3/31/2019 10,617.62 11,722.35 16,275.43 6/30/2019 11,410.33 12,265.1 16,975.27 9/30/2019 10,715.83 11,987.91 17,263.85 12/31/2019 12,109.78 12,830.66 18,829.68 3/31/2020 5,530.16 9,117.46 15,139.06 6/30/2020 8,844.61 11,816.23 18,248.63 9/30/2020 10,738.67 13,131.38 19,878.23 12/31/2020 14,092.5 15,179.88 22,293.43 3/31/2021 17,097.69 16,863.32 23,668.94 6/30/2021 18,394.55 17,595.19 25,692.63 9/30/2021 16,492.53 16,762.94 25,841.65 12/31/2021 21,831.05 19,396.4 28,691.98 3/31/2022 22,752.6 19,980.23 27,372.15 6/30/2022 14,816.05 16,355.82 22,965.23 9/30/2022 12,703.83 15,345.03 21,844.53 12/31/2022 16,743.93 17,929.13 23,495.98 3/31/2023 18,233.74 18,979.78 25,258.18 6/30/2023 18,984.29 19,608.01 27,465.74 9/30/2023 16,822.6 18,674.67 26,567.61 12/31/2023 19,735.63 20,482.37 29,673.36 3/31/2024 22,952.81 22,336.03 32,806.87 5/31/2024 21,927.6 21,998.75 33,026.68 |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years Ultra Materials - NAV 41.07% 19.38% 8.17% Ultra Materials - Market Price 40.19% 19.32% 8.14% S&P Materials Select Sector Index 24.59% 14.03% 8.68% S&P 500 ® 28.19% 15.79% 12.68% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ The "S&P Materials Select Sector Index" is a product of S&P Dow Jones Indices LLC and its affiliates and has been licensed for use by ProShares. "S&P ® ® |
AssetsNet | $ 45,058,883 | $ 45,058,883 | $ 45,058,883 | $ 45,058,883 | $ 45,058,883 | $ 45,058,883 |
Holdings Count | Holding | 34 | 34 | 34 | 34 | 34 | 34 |
Advisory Fees Paid, Amount | | | | | | $ 213,282 |
InvestmentCompanyPortfolioTurnover | | | | | | 2% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $45,058,883 Number of Portfolio Holdings 34 Net Investment Advisory Fees $213,282 Portfolio Turnover Rate 2% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Equity Securities 74% Swap Agreements 126% Total 200% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets Linde plc 15.2% Freeport-McMoRan, Inc. 5.4% Sherwin-Williams Co. (The) 5.1% Air Products and Chemicals, Inc. 4.3% Ecolab, Inc. 4.2% Newmont Corp. 3.5% Nucor Corp. 3.0% Dow, Inc. 2.9% Corteva, Inc. 2.8% Martin Marietta Materials, Inc. 2.5% |
Material Fund Change [Text Block] | | | | | | |
C000051872 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | Short MSCI EAFE |
Trading Symbol | | | | | | EFZ |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about Short MSCI EAFE (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G1496"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment EFZ $90 0.95% |
Expenses Paid, Amount | | | | | | $ 90 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? Short MSCI EAFE (the Fund) seeks daily investment results, before fees and expenses, that correspond to the inverse (-1x) of the daily performance of the MSCI EAFE Index (the Index). The Fund invests in financial instruments that the Advisor believes, in combination, should produce daily returns consistent with the Funds investment objective. For the year ended May 31, 2024, the Fund had a total return of -9.84% and an average daily statistical correlation of over 0.99 to the inverse of the return of the Index. For the same period, the Index had a total return of 18.53% and a volatility of 11.43%. The index performance was driven by factors such as having a substantial underweight to technology compared to the S&P 500 ® ® |
Line Graph [Table Text Block] | | | | | | Value Based on a $10,000 Investment Footnote Reference Short MSCI EAFE : $5,522 MSCI EAFE Index : $15,765 5/31/2014 10,000 10,000 6/30/2014 9,898.060000 10,096 9/30/2014 10,502.860000 9,502.760000 12/31/2014 10,874.010000 9,163.320000 3/31/2015 10,218.120000 9,610.310000 6/30/2015 10,082.040000 9,669.890000 9/30/2015 11,009.170000 8,680.660000 12/31/2015 10,567.060000 9,089.520000 3/31/2016 10,736.920000 8,861.370000 6/30/2016 10,588.940000 8,731.800000 9/30/2016 9,946.060000 9,293.630000 12/31/2016 10,053.460000 9,227.320000 3/31/2017 9,297.560000 9,895.880000 6/30/2017 8,722.090000 10,501.500000 9/30/2017 8,307.680000 11,068.590000 12/31/2017 8,018.700000 11,536.790000 3/31/2018 8,063.580000 11,360.270000 6/30/2018 8,244.840000 11,219.410000 9/30/2018 8,147.440000 11,370.870000 12/31/2018 9,327.850000 9,944.960000 3/31/2019 8,499.360000 10,937.470000 6/30/2019 8,254.020000 11,339.970000 9/30/2019 8,353.300000 11,218.630000 12/31/2019 7,779.160000 12,135.190000 3/31/2020 9,548.640000 9,364.730000 6/30/2020 8,071.050000 10,758.200000 9/30/2020 7,648.520000 11,274.590000 12/31/2020 6,544.010000 13,084.170000 3/31/2021 6,250.920000 13,539.490000 6/30/2021 5,889.080000 14,239.490000 9/30/2021 5,914.910000 14,175.410000 12/31/2021 5,708.770000 14,556.730000 3/31/2022 6,011.580000 13,696.420000 6/30/2022 6,837.860000 11,709.070000 9/30/2022 7,595.020000 10,613.100000 12/31/2022 6,456.390000 12,453.420000 3/31/2023 5,987.890000 13,508.220000 6/30/2023 5,893.890000 13,906.710000 9/30/2023 6,302.260000 13,335.150000 12/31/2023 5,786.740000 14,724.670000 3/31/2024 5,548.400000 15,559.560000 5/31/2024 5,521.870000 15,764.940000 Footnote Description Footnote * The line graph represents historical performance of a hypothetical investment of $10,000 in the ProShares Short MSCI EAFE from May 31, 2014 to May 31, 2024, assuming the reinvestment of distributions. |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years Short MSCI EAFE - NAV - -8.74% -5.77% Short MSCI EAFE - Market Price -9.93% -8.75% -5.77% MSCI EAFE Index 18.53% 8.04% 4.60% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ "MSCI" and "EAFE" are service marks of MSCI and have been licensed for use by ProShares. This ETF is not sponsored, endorsed, sold or promoted by MSCI and MSCI makes no representation regarding the advisability of investing in this ETF. |
AssetsNet | $ 20,707,403 | $ 20,707,403 | $ 20,707,403 | $ 20,707,403 | $ 20,707,403 | $ 20,707,403 |
Holdings Count | Holding | 6 | 6 | 6 | 6 | 6 | 6 |
Advisory Fees Paid, Amount | | | | | | $ 212,592 |
InvestmentCompanyPortfolioTurnover | | | | | | 0% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $20,707,403 Number of Portfolio Holdings 6 Net Investment Advisory Fees $212,592 Portfolio Turnover Rate -% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Swap Agreements (100)% Total (100)% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets U.S. Treasury Bills 96.2% Repurchase Agreements with various counterparties 36.2% |
Material Fund Change [Text Block] | | | | | | |
C000038867 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | UltraShort Technology |
Trading Symbol | | | | | | REW |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about UltraShort Technology (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G1520"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment REW $77 0.95% |
Expenses Paid, Amount | | | | | | $ 77 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? UltraShort Technology(the Fund) seeks daily investment results, before fees and expenses, that correspond to two times the inverse (-2x) of the daily performance of the S&P Technology Select Sector Index (the Index). The Fund invests in financial instruments that the Advisor believes, in combination, should produce daily returns consistent with the Funds investment objective. For the year ended May 31, 2024, the Fund had a total return of -38.61% and an average daily statistical correlation of over 0.99 to two times the inverse of the return of the Index. For the same period, the Index had a total return of 29.17% and a volatility of 17.51%. The index performance was driven by factors such as enthusiasm for artificial intelligence and strength in the "Magnificent Seven" companies. Primary factors affecting Fund performance include the total return of the derivatives held by the Fund, the performance of the reference assets to which any derivatives are linked, financing rates paid or earned, expenses, transaction costs, the volatility of the Funds Index (and its impact on compounding), and other miscellaneous factors. |
Line Graph [Table Text Block] | | | | | | UltraShort Technology : $62 S&P Technology Select Sector Index : $61,433 S&P Total Market Index : $31,100 5/31/2014 10,000 10,000 10,000 6/30/2014 9,386.810000 10,189 10,253 9/30/2014 8,503.190000 10,637.200000 10,246.850000 12/31/2014 7,646.270000 11,076.750000 10,780.710000 3/31/2015 7,350.410000 11,170.500000 10,974.760000 6/30/2015 7,231.760000 11,170.500000 10,989.030000 9/30/2015 7,627.480000 10,620.910000 10,190.130000 12/31/2015 6,311.400000 11,530.060000 10,831.090000 3/31/2016 5,835.320000 11,747.980000 10,931.810000 6/30/2016 6,020.140000 11,438.650000 11,218.230000 9/30/2016 4,614.520000 12,992.470000 11,717.440000 12/31/2016 4,432.420000 13,169.370000 12,202.540000 3/31/2017 3,465.390000 14,860.780000 12,909.070000 6/30/2017 3,181.980000 15,419.540000 13,297.630000 9/30/2017 2,720.010000 16,613.020000 13,905.330000 12/31/2017 2,282.330000 18,079.940000 14,785.540000 3/31/2018 2,034.190000 18,759.750000 14,696.830000 6/30/2018 1,772.930000 19,958.500000 15,265.590000 9/30/2018 1,483.560000 21,774.720000 16,350.980000 12/31/2018 2,024.090000 17,966.320000 14,002.980000 3/31/2019 1,386.990000 21,500.300000 15,969 6/30/2019 1,259.230000 22,414.060000 16,622.130000 9/30/2019 1,155.190000 23,158.210000 16,811.620000 12/31/2019 878.730000 26,495.310000 18,331.390000 3/31/2020 856.220000 23,376.810000 14,489.130000 6/30/2020 449.080000 30,827 17,689.780000 9/30/2020 337.610000 34,483.080000 19,294.240000 12/31/2020 252.090000 39,031.400000 22,142.070000 3/31/2021 223.370000 40,381.880000 23,570.240000 6/30/2021 167.410000 45,990.930000 25,524.210000 9/30/2021 157.680000 46,970.540000 25,493.580000 12/31/2021 116.690000 53,565.200000 27,823.690000 3/31/2022 131.330000 48,240.820000 26,321.210000 6/30/2022 194.090000 37,420.400000 21,888.720000 9/30/2022 214.610000 34,640.070000 20,890.600000 12/31/2022 192.230000 35,069.600000 22,390.540000 3/31/2023 119.830000 43,749.330000 24,011.620000 6/30/2023 90.290000 50,504.230000 26,026.190000 9/30/2023 102.040000 47,701.240000 25,169.930000 12/31/2023 74.410000 56,149.130000 28,223.040000 3/31/2024 63.190000 60,927.420000 31,059.460000 5/31/2024 62.360000 61,433.120000 31,099.840000 |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years UltraShort Technology - NAV - -46.89% -39.81% UltraShort Technology - Market Price -38.27% -46.85% -39.81% S&P Technology Select Sector Index 29.17% 25.29% 20.47% S&P Total Market Index 27.68% 14.88% 12.00% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ The "S&P Technology Select Industry Index" is a product of S&P Dow Jones Indices LLC and its affiliates and has been licensed for use by ProShares. "S&P ® ® |
AssetsNet | $ 3,949,710 | $ 3,949,710 | $ 3,949,710 | $ 3,949,710 | $ 3,949,710 | $ 3,949,710 |
Holdings Count | Holding | 10 | 10 | 10 | 10 | 10 | 10 |
Advisory Fees Paid, Amount | | | | | | $ 0 |
InvestmentCompanyPortfolioTurnover | | | | | | 0% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $3,949,710 Number of Portfolio Holdings 10 Net Investment Advisory Fees $- Portfolio Turnover Rate -% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Swap Agreements (201)% Total (201)% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets U.S. Treasury Bills 86.5% Repurchase Agreements with various counterparties 8.7% |
Material Fund Change [Text Block] | | | | | | |
C000227376 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | Nasdaq-100 Dorsey Wright Momentum ETF |
Trading Symbol | | | | | | QQQA |
Security Exchange Name | | | | | | NASDAQ |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about Nasdaq-100 Dorsey Wright Momentum ETF (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/shareholder_reports</span>" id="sjs-G1544"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment QQQA $67 0.58% |
Expenses Paid, Amount | | | | | | $ 67 |
Expense Ratio, Percent | | | | | | 0.58% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? Nasdaq-100 Dorsey Wright Momentum ETF (the Fund) seeks investment results, before fees and expenses, that track the performance of the Nasdaq-100 Dorsey Wright Momentum Index (the Index). The Fund invests in financial instruments that the Advisor believes, in combination, should track the performance of the Index. Technology drove strong performance of the Nasdaq-100 ® May 31, 2024, the Fund had a total return of 28.78%. For the same period, the Index had a total return of 29.63% and a volatility of 19.88%. Primary factors affecting Fund performance include the total return of the securities held by the Fund, expenses, transaction costs, the volatility of the Funds index, and other miscellaneous factors. |
Line Graph [Table Text Block] | | | | | | Nasdaq-100 Dorsey Wright Momentum ETF : $10,869 Nasdaq-100 Dorsey Wright Momentum Index : $11,083 Nasdaq-100 ® 5/18/2021 10,000 10,000 10,000 6/30/2021 10,747 10,757 11,021 9/30/2021 10,709 10,735 11,141 12/31/2021 11,168 11,215 12,398 3/31/2022 10,263 10,324 11,293 6/30/2022 7,922 7,979 9,475 9/30/2022 7,542 7,607 9,013 12/31/2022 7,917 7,998 9,694 3/31/2023 8,121 8,217 10,421 6/30/2023 8,921 9,042 12,025 9/30/2023 8,441 8,569 11,681 12/31/2023 9,865 10,032 13,386 3/31/2024 10,886 11,088 14,554 5/31/2024 10,869 11,083 14,798 |
Average Annual Return [Table Text Block] | | | | | | Fund/Index Name One Year Since Inception (5/18/21) Nasdaq-100 Dorsey Wright Momentum ETF - NAV 28.78% 2.78% Nasdaq-100 Dorsey Wright Momentum ETF - Market Price 28.80% 2.75% Nasdaq-100 Dorsey Wright Momentum Index 29.63% 3.44% Nasdaq-100 ® 31.12% 12.69% |
AssetsNet | $ 12,107,094 | $ 12,107,094 | $ 12,107,094 | $ 12,107,094 | $ 12,107,094 | $ 12,107,094 |
Holdings Count | Holding | 22 | 22 | 22 | 22 | 22 | 22 |
Advisory Fees Paid, Amount | | | | | | $ 65,099 |
InvestmentCompanyPortfolioTurnover | | | | | | 129% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $12,107,094 Number of Portfolio Holdings 22 Net Investment Advisory Fees $65,099 Portfolio Turnover Rate 129% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Equity Securities 100% Total 100% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets NVIDIA Corp. 5.9% QUALCOMM, Inc. 5.6% Constellation Energy Corp. 5.4% KLA Corp. 5.3% Costco Wholesale Corp. 5.2% Booking Holdings, Inc. 5.1% Applied Materials, Inc. 4.9% Netflix, Inc. 4.9% Micron Technology, Inc. 4.8% Crowdstrike Holdings, Inc., Class A 4.8% |
Material Fund Change [Text Block] | | | | | | |
C000018463 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | Ultra MidCap400 |
Trading Symbol | | | | | | MVV |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about Ultra MidCap400 (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G1568"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment MVV $116 0.95% |
Expenses Paid, Amount | | | | | | $ 116 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? Ultra MidCap400(the Fund) seeks daily investment results, before fees and expenses, that correspond to two times (2x) the daily performance of the S&P MidCap 400 ® ® |
Line Graph [Table Text Block] | | | | | | Ultra MidCap400 : $30,690 S&P MidCap 400 ® S&P 1500 Index : $32,221 5/31/2014 10,000 10,000 10,000 6/30/2014 10,826.730000 10,414 10,233 9/30/2014 9,900.840000 9,999.180000 10,278.030000 12/31/2014 11,089.700000 10,634.020000 10,812.480000 3/31/2015 12,200.070000 11,199.090000 10,962.780000 6/30/2015 11,869.920000 11,080.380000 10,981.410000 9/30/2015 9,802.100000 10,138.550000 10,246.760000 12/31/2015 10,223.630000 10,402.150000 10,922.020000 3/31/2016 10,856.970000 10,795.350000 11,093.490000 6/30/2016 11,611.030000 11,226.430000 11,381.920000 9/30/2016 12,493.650000 11,691.690000 11,834.920000 12/31/2016 14,299.580000 12,558.800000 12,346.190000 3/31/2017 15,322.180000 13,053.610000 13,054.860000 6/30/2017 15,793.210000 13,310.760000 13,441.290000 9/30/2017 16,687.400000 13,739.370000 14,038.080000 12/31/2017 18,690.760000 14,598.080000 14,954.770000 3/31/2018 18,123.510000 14,485.670000 14,847.090000 6/30/2018 19,473.780000 15,107.110000 15,389.010000 9/30/2018 20,792.360000 15,690.240000 16,520.110000 12/31/2018 13,895.200000 12,978.970000 14,212.250000 3/31/2019 17,935.790000 14,859.620000 16,150.800000 6/30/2019 18,754.250000 15,312.840000 16,822.670000 9/30/2019 18,402.640000 15,299.060000 17,080.060000 12/31/2019 20,856.740000 16,379.170000 18,603.600000 3/31/2020 9,181.310000 11,514.560000 14,776.840000 6/30/2020 13,389.750000 14,286.110000 17,845.990000 9/30/2020 14,506.260000 14,967.560000 19,373.600000 12/31/2020 22,134.090000 18,615.150000 21,938.670000 3/31/2021 28,047.970000 21,122.620000 23,454.630000 6/30/2021 29,829.340000 21,891.480000 25,363.840000 9/30/2021 28,503.260000 21,506.190000 25,452.610000 12/31/2021 32,844.200000 23,226.680000 28,178.590000 3/31/2022 29,179.380000 22,093.220000 26,871.100000 6/30/2022 20,290.180000 18,686.450000 22,566.350000 9/30/2022 18,850.530000 18,226.760000 21,492.190000 12/31/2022 22,403.310000 20,191.610000 23,166.430000 3/31/2023 23,499.680000 20,960.910000 24,825.150000 6/30/2023 25,207.050000 21,977.510000 26,907.980000 9/30/2023 22,607.920000 21,054.450000 26,003.870000 12/31/2023 27,406.460000 23,511.510000 29,067.130000 3/31/2024 32,390.830000 25,850.900000 32,063.950000 5/31/2024 30,689.810000 25,362.320000 32,221.060000 |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years Ultra MidCap400 - NAV 43.73% 13.56% 11.87% Ultra MidCap400 - Market Price 43.61% 13.58% 11.88% S&P MidCap 400 ® 25.97% 12.25% 9.75% S&P 1500 Index 27.86% 15.43% 12.40% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ "Standard & Poor's ® ® ® |
AssetsNet | $ 137,634,287 | $ 137,634,287 | $ 137,634,287 | $ 137,634,287 | $ 137,634,287 | $ 137,634,287 |
Holdings Count | Holding | 414 | 414 | 414 | 414 | 414 | 414 |
Advisory Fees Paid, Amount | | | | | | $ 926,680 |
InvestmentCompanyPortfolioTurnover | | | | | | 27% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $137,634,287 Number of Portfolio Holdings 414 Net Investment Advisory Fees $926,680 Portfolio Turnover Rate 27% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Equity Securities 78% Swap Agreements 112% Futures Contracts 10% Total 200% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets Carlisle Cos., Inc. 0.6% GoDaddy, Inc., Class A 0.6% Williams-Sonoma, Inc. 0.6% EMCOR Group, Inc. 0.5% Pure Storage, Inc., Class A 0.5% Reliance, Inc. 0.5% Lennox International, Inc. 0.5% Owens Corning 0.5% Burlington Stores, Inc. 0.4% Watsco, Inc. 0.4% |
Material Fund Change [Text Block] | | | | | | |
C000051870 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | Short MSCI Emerging Markets |
Trading Symbol | | | | | | EUM |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about Short MSCI Emerging Markets (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G1592"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment EUM $92 0.95% |
Expenses Paid, Amount | | | | | | $ 92 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? Short MSCI Emerging Markets (the Fund) seeks daily investment results, before fees and expenses, that correspond to the inverse (-1x) of the daily performance of the MSCI Emerging Markets Index (the Index). The Fund invests in financial instruments that the Advisor believes, in combination, should produce daily returns consistent with the Funds investment objective. For the year ended May 31, 2024, the Fund had a total return of -5.94% and an average daily statistical correlation of over 0.99 to the inverse of the return of the Index. For the same period, the Index had a total return of 12.39% and a volatility of 12.68%. The index performance was muted relative to the S&P 500 ® ® |
Line Graph [Table Text Block] | | | | | | Value Based on a $10,000 Investment Footnote Reference Short MSCI Emerging Markets : $5,872 MSCI Emerging Markets Index : $13,009 5/31/2014 10,000 10,000 6/30/2014 9,749.34 10,266 9/30/2014 10,054.42 9,907.2 12/31/2014 10,365.78 9,460.88 3/31/2015 10,028.81 9,672.71 6/30/2015 9,991.63 9,739.46 9/30/2015 11,784.66 7,996.09 12/31/2015 11,607.51 8,048.87 3/31/2016 10,667.79 8,508.46 6/30/2016 10,364.6 8,564.75 9/30/2016 9,403.79 9,337.85 12/31/2016 9,834.61 8,948.98 3/31/2017 8,700.99 9,973.19 6/30/2017 8,214.81 10,598.51 9/30/2017 7,567.49 11,434.73 12/31/2017 7,072.23 12,285.48 3/31/2018 6,816.13 12,459.93 6/30/2018 7,519 11,468.12 9/30/2018 7,562.13 11,343.12 12/31/2018 8,104.85 10,496.92 3/31/2019 7,368.46 11,537.17 6/30/2019 7,319.31 11,607.54 9/30/2019 7,685.8 11,114.22 12/31/2019 6,860.77 12,430.15 3/31/2020 8,399.76 9,496.63 6/30/2020 6,941.4 11,213.62 9/30/2020 6,214.15 12,285.64 12/31/2020 5,195.54 14,705.92 3/31/2021 4,948.6 15,042.68 6/30/2021 4,719.21 15,802.34 9/30/2021 5,101.39 14,523.93 12/31/2021 5,131.1 14,333.67 3/31/2022 5,426.98 13,334.61 6/30/2022 5,964.83 11,807.8 9/30/2022 6,839.03 10,441.63 12/31/2022 6,184.65 11,454.47 3/31/2023 5,989.99 11,908.07 6/30/2023 6,006.58 12,015.24 9/30/2023 6,342.72 11,663.2 12/31/2023 5,955.52 12,579.92 3/31/2024 5,912.45 12,842.84 5/31/2024 5,871.81 13,008.52 Footnote Description Footnote * The line graph represents historical performance of a hypothetical investment of $10,000 in the ProShares Short MSCI Emerging Markets from May 31, 2014 to May 31, 2024, assuming the reinvestment of distributions. |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years Short MSCI Emerging Markets - NAV - -5.45% -5.18% Short MSCI Emerging Markets - Market Price -5.81% -5.41% -5.18% MSCI Emerging Markets Index 12.39% 3.54% 2.66% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ "MSCI" is a service mark of MSCI and has been licensed for use by ProShares. This ETF is not sponsored, endorsed, sold or promoted by MSCI and MSCI makes no representation regarding the advisability of investing in this ETF. |
AssetsNet | $ 15,250,925 | $ 15,250,925 | $ 15,250,925 | $ 15,250,925 | $ 15,250,925 | $ 15,250,925 |
Holdings Count | Holding | 8 | 8 | 8 | 8 | 8 | 8 |
Advisory Fees Paid, Amount | | | | | | $ 108,800 |
InvestmentCompanyPortfolioTurnover | | | | | | 0% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $15,250,925 Number of Portfolio Holdings 8 Net Investment Advisory Fees $108,800 Portfolio Turnover Rate -% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Swap Agreements (100)% Total (100)% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets Repurchase Agreements with various counterparties 54.9% U.S. Treasury Bills 32.5% |
Material Fund Change [Text Block] | | | | | | |
C000038869 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | UltraShort Utilities |
Trading Symbol | | | | | | SDP |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about UltraShort Utilities (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G1616"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment SDP $84 0.95% |
Expenses Paid, Amount | | | | | | $ 84 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? UltraShort Utilities (the Fund) seeks daily investment results, before fees and expenses, that correspond to two times the inverse (-2x) of the daily performance of the S&P Utilities Select Sector Index (the Index). The Fund invests in financial instruments that the Advisor believes, in combination, should produce daily returns consistent with the Funds investment objective. For the year ended May 31, 2024, the Fund had a total return of -22.27% and an average daily statistical correlation of over 0.99 to two times the inverse of the return of the Index. For the same period, the Index had a total return of 15.99% and a volatility of 17.26%. The index performance was driven by factors such as rising interest rates which muted the return of this typically interest-rate sensitive sector. Primary factors affecting Fund performance include the total return of the derivatives held by the Fund, the performance of the reference assets to which any derivatives are linked, financing rates paid or earned, expenses, transaction costs, the volatility of the Funds Index (and its impact on compounding), and other miscellaneous factors. |
Line Graph [Table Text Block] | | | | | | UltraShort Utilities : $782 S&P Utilities Select Sector Index : $23,646 S&P Total Market Index : $31,100 5/31/2014 10,000 10,000 10,000 6/30/2014 9,126.580000 10,448 10,253 9/30/2014 9,874.770000 9,964 10,246.850000 12/31/2014 7,493.130000 11,313.020000 10,780.710000 3/31/2015 8,018.880000 10,776.900000 10,974.760000 6/30/2015 9,005.270000 10,099.030000 10,989.030000 9/30/2015 7,931.620000 10,613.070000 10,190.130000 12/31/2015 7,504.880000 10,791.370000 10,831.090000 3/31/2016 5,516.890000 12,481.300000 10,931.810000 6/30/2016 4,751.420000 13,355.640000 11,218.230000 9/30/2016 5,265.280000 12,571.090000 11,717.440000 12/31/2016 5,090.790000 12,632.360000 12,202.540000 3/31/2017 4,472.020000 13,425.540000 12,909.070000 6/30/2017 4,275.410000 13,720.900000 13,297.630000 9/30/2017 4,023.880000 14,135.270000 13,905.330000 12/31/2017 3,978.670000 14,204.540000 14,785.540000 3/31/2018 4,209.320000 13,737.210000 14,696.830000 6/30/2018 3,854.800000 14,349.890000 15,265.590000 9/30/2018 3,668.750000 14,711.500000 16,350.980000 12/31/2018 3,577.130000 14,826.250000 14,002.980000 3/31/2019 2,921.330000 16,427.490000 15,969 6/30/2019 2,743.040000 16,967.950000 16,622.130000 9/30/2019 2,325.110000 18,461.130000 16,811.620000 12/31/2019 2,311.590000 18,523.900000 18,331.390000 3/31/2020 2,327.830000 15,910.180000 14,489.130000 6/30/2020 1,973.810000 16,303.160000 17,689.780000 9/30/2020 1,739.640000 17,134.620000 19,294.240000 12/31/2020 1,469.740000 18,409.440000 22,142.070000 3/31/2021 1,347.190000 18,983.810000 23,570.240000 6/30/2021 1,335.660000 18,894.590000 25,524.210000 9/30/2021 1,285.920000 19,108.100000 25,493.580000 12/31/2021 986.070000 21,615.080000 27,823.690000 3/31/2022 885.810000 22,561.820000 26,321.210000 6/30/2022 951.840000 21,422.450000 21,888.720000 9/30/2022 1,049.530000 20,149.950000 20,890.600000 12/31/2022 861.730000 21,943.300000 22,390.540000 3/31/2023 916.390000 21,258.670000 24,011.620000 6/30/2023 980.730000 20,720.820000 26,026.190000 9/30/2023 1,206.410000 18,804.150000 25,169.930000 12/31/2023 1,023.990000 20,413.780000 28,223.040000 3/31/2024 948.800000 21,346.690000 31,059.460000 5/31/2024 781.950000 23,645.730000 31,099.840000 |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years UltraShort Utilities - NAV - -23.22% -22.50% UltraShort Utilities - Market Price -22.29% -23.19% -22.51% S&P Utilities Select Sector Index 15.99% 8.02% 9.13% S&P Total Market Index 27.68% 14.88% 12.00% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ The "S&P Utilities Select Industry Index" is a product of S&P Dow Jones Indices LLC and its affiliates and has been licensed for use by ProShares. "S&P ® ® |
AssetsNet | $ 1,552,140 | $ 1,552,140 | $ 1,552,140 | $ 1,552,140 | $ 1,552,140 | $ 1,552,140 |
Holdings Count | Holding | 6 | 6 | 6 | 6 | 6 | 6 |
Advisory Fees Paid, Amount | | | | | | $ 0 |
InvestmentCompanyPortfolioTurnover | | | | | | 0% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $1,552,140 Number of Portfolio Holdings 6 Net Investment Advisory Fees $- Portfolio Turnover Rate -% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Swap Agreements (200)% Total (200)% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets Repurchase Agreements with various counterparties 76.4% U.S. Treasury Bills 32.0% |
Material Fund Change [Text Block] | | | | | | |
C000230307 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | On-Demand ETF |
Trading Symbol | | | | | | OND |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about On-Demand ETF (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/shareholder_reports</span>" id="sjs-G1640"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment OND $66 0.58% |
Expenses Paid, Amount | | | | | | $ 66 |
Expense Ratio, Percent | | | | | | 0.58% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? On-Demand ETF (the Fund) seeks investment results, before fees and expenses, that track the performance of the FactSet On-Demand Index (the Index). The Fund invests in financial instruments that the Advisor believes, in combination, should track the performance of the Index. An allocation to Technology and stocks related to artificial intelligence drove strong performance in line with the S&P 500 ® performance include the total return of the securities held by the Fund, expenses, transaction costs, the volatility of the Funds index, and other miscellaneous factors. |
Average Annual Return [Table Text Block] | | | | | | Fund/Index Name One Year Since Inception (10/26/21) On-Demand ETF - NAV 27.67% -12.66% On-Demand ETF - Market Price 28.09% -12.70% FactSet On-Demand Index 29.29% -12.07% S&P Global 1200 Index 24.99% 5.82% |
AssetsNet | $ 698,346 | $ 698,346 | $ 698,346 | $ 698,346 | $ 698,346 | $ 698,346 |
Holdings Count | Holding | 25 | 25 | 25 | 25 | 25 | 25 |
Advisory Fees Paid, Amount | | | | | | $ 3,588 |
InvestmentCompanyPortfolioTurnover | | | | | | 31% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $698,346 Number of Portfolio Holdings 25 Net Investment Advisory Fees $3,588 Portfolio Turnover Rate 31% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Equity Securities 100% Total 100% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets NVIDIA Corp. 9.3% Spotify Technology SA 6.5% Zomato Ltd. 6.1% Netflix, Inc. 5.4% Meituan, Class B 4.7% Grab Holdings Ltd., Class A 4.7% DoorDash, Inc., Class A 4.5% Lyft, Inc., Class A 4.5% Uber Technologies, Inc. 4.4% Capcom Co. Ltd. 4.4% |
Material Fund Change [Text Block] | | | | | | |
C000063940 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | Ultra MSCI EAFE |
Trading Symbol | | | | | | EFO |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about Ultra MSCI EAFE (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G1663"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment EFO $108 0.95% |
Expenses Paid, Amount | | | | | | $ 108 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? Ultra MSCI EAFE(the Fund) seeks daily investment results, before fees and expenses, that correspond to two times (2x) the daily performance of the MSCI EAFE Index (the Index).The Fund invests in financial instruments that the Advisor believes, in combination, should produce daily returns consistent with the Funds investment objective. For the year ended May 31, 2024, the Fund had a total return of 27.13% and an average daily statistical correlation of over 0.99 to twice that of the return of the Index. For the same period, the Index had a total return of 18.53% and a volatility of 11.43%. The index performance was driven by factors such as having a substantial underweight to technology compared to the S&P 500 ® ® |
Line Graph [Table Text Block] | | | | | | Value Based on a $10,000 Investment Footnote Reference Ultra MSCI EAFE : $12,417 MSCI EAFE Index : $15,765 5/31/2014 10,000 10,000 6/30/2014 10,166.250000 10,096 9/30/2014 8,861.990000 9,502.760000 12/31/2014 8,035.020000 9,163.320000 3/31/2015 8,849.310000 9,610.310000 6/30/2015 8,880.920000 9,669.890000 9/30/2015 7,124.840000 8,680.660000 12/31/2015 7,551.660000 9,089.520000 3/31/2016 7,034.090000 8,861.370000 6/30/2016 6,843.340000 8,731.810000 9/30/2016 7,618.310000 9,293.640000 12/31/2016 7,368 9,227.320000 3/31/2017 8,521.010000 9,895.880000 6/30/2017 9,555.230000 10,501.500000 9/30/2017 10,451.730000 11,068.590000 12/31/2017 11,146.270000 11,536.790000 3/31/2018 10,769.530000 11,360.270000 6/30/2018 10,213.790000 11,219.410000 9/30/2018 10,375.280000 11,370.870000 12/31/2018 7,754.210000 9,944.960000 3/31/2019 9,279.760000 10,937.470000 6/30/2019 9,782.980000 11,339.970000 9/30/2019 9,477.770000 11,218.630000 12/31/2019 10,854.720000 12,135.190000 3/31/2020 5,978.830000 9,364.730000 6/30/2020 7,753.130000 10,758.200000 9/30/2020 8,386.180000 11,274.590000 12/31/2020 11,104.610000 13,084.170000 3/31/2021 11,897.010000 13,539.490000 6/30/2021 13,097.750000 14,239.490000 9/30/2021 12,701.250000 14,175.410000 12/31/2021 13,311.650000 14,556.730000 3/31/2022 11,449.010000 13,696.420000 6/30/2022 8,437.800000 11,709.070000 9/30/2022 6,592.250000 10,613.100000 12/31/2022 8,786.800000 12,453.420000 3/31/2023 10,154.120000 13,508.220000 6/30/2023 10,564.650000 13,906.710000 9/30/2023 9,315.510000 13,335.150000 12/31/2023 11,121.930000 14,724.670000 3/31/2024 12,212.530000 15,559.560000 5/31/2024 12,417 15,764.940000 Footnote Description Footnote * The line graph represents historical performance of a hypothetical investment of $10,000 in the ProShares Ultra MSCI EAFE from May 31, 2014 to May 31, 2024, assuming the reinvestment of distributions. |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years Ultra MSCI EAFE - NAV 27.13% 7.22% 2.19% Ultra MSCI EAFE - Market Price 27.27% 7.34% 2.20% MSCI EAFE Index 18.53% 8.04% 4.60% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ "MSCI" and "EAFE" are service marks of MSCI and have been licensed for use by ProShares. This ETF is not sponsored, endorsed, sold or promoted by MSCI and MSCI makes no representation regarding the advisability of investing in this ETF. |
AssetsNet | $ 10,738,557 | $ 10,738,557 | $ 10,738,557 | $ 10,738,557 | $ 10,738,557 | $ 10,738,557 |
Holdings Count | Holding | 7 | 7 | 7 | 7 | 7 | 7 |
Advisory Fees Paid, Amount | | | | | | $ 0 |
InvestmentCompanyPortfolioTurnover | | | | | | 0% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $10,738,557 Number of Portfolio Holdings 7 Net Investment Advisory Fees $- Portfolio Turnover Rate -% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Swap Agreements 200% Total 200% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets Repurchase Agreements with various counterparties 49.4% |
Material Fund Change [Text Block] | | | | | | |
C000088638 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | Ultra MSCI Brazil Capped |
Trading Symbol | | | | | | UBR |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about Ultra MSCI Brazil Capped (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G1687"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment UBR $97 0.95% |
Expenses Paid, Amount | | | | | | $ 97 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? Ultra MSCI Brazil Capped(the Fund) seeks daily investment results, before fees and expenses, that correspond to two times (2x) the daily performance of the MSCI Brazil 25/50 Index (the Index) . |
Line Graph [Table Text Block] | | | | | | Ultra MSCI Brazil Capped : $1,667 MSCI Brazil 25/50 Index : $9,737 MSCI Emerging Markets Index : $13,009 5/31/2014 10,000 10,000 10,000 6/30/2014 10,940.79 10,511 10,266 9/30/2014 8,834.97 9,575.44 9,907.2 12/31/2014 6,057.28 8,190.23 9,460.88 3/31/2015 4,303 7,001.06 9,672.71 6/30/2015 4,775.99 7,470.13 9,739.46 9/30/2015 2,045.87 4,975.85 7,996.09 12/31/2015 1,780.33 4,836.03 8,048.87 3/31/2016 2,687.25 6,190.12 8,508.46 6/30/2016 3,422.47 7,066.94 8,564.75 9/30/2016 4,186.92 7,861.66 9,337.85 12/31/2016 4,056.86 7,987.95 8,948.98 3/31/2017 5,006.09 8,780.2 9,973.19 6/30/2017 3,966.65 8,194.56 10,598.51 9/30/2017 5,835.26 10,018.67 11,434.73 12/31/2017 5,484.89 9,790.24 12,285.48 3/31/2018 6,575.32 10,824.09 12,459.93 6/30/2018 3,339.15 8,036.89 11,468.12 9/30/2018 3,535.85 8,493.38 11,343.12 12/31/2018 4,458.69 9,692.65 10,496.92 3/31/2019 4,934.1 10,487.44 11,537.17 6/30/2019 5,578.09 11,268.76 11,607.54 9/30/2019 5,021.36 10,797.73 11,114.22 12/31/2019 6,422.48 12,369.87 12,430.15 3/31/2020 1,149.08 6,187.41 9,496.63 6/30/2020 1,596.78 7,571.54 11,213.62 9/30/2020 1,429.66 7,348.18 12,285.64 12/31/2020 2,524.88 10,006.74 14,705.92 3/31/2021 1,979.91 9,033.09 15,042.68 6/30/2021 2,940.94 11,052.89 15,802.34 9/30/2021 1,791.76 8,855.57 14,523.93 12/31/2021 1,539.09 8,310.07 14,333.67 3/31/2022 2,732.73 11,265.96 13,334.61 6/30/2022 1,515.07 8,542.98 11,807.8 9/30/2022 1,693.08 9,234.11 10,441.63 12/31/2022 1,624.39 9,493.58 11,454.47 3/31/2023 1,478.15 9,236.31 11,908.07 6/30/2023 2,100.01 10,790.78 12,015.24 9/30/2023 1,814.43 10,253.4 11,663.2 12/31/2023 2,442.78 11,875.48 12,579.92 3/31/2024 2,042.05 10,876.76 12,842.84 5/31/2024 1,667.11 9,736.87 13,008.52 |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years Ultra MSCI Brazil Capped - NAV 4.31% -19.66% -16.40% Ultra MSCI Brazil Capped - Market Price 4.02% -19.70% -16.75% MSCI Brazil 25/50 Index 11.16% -0.21% 0.65% MSCI Emerging Markets Index 12.39% 3.54% 2.66% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ "MSCI" is a service mark of MSCI and has been licensed for use by ProShares. This ETF is not sponsored, endorsed, sold or promoted by MSCI and MSCI makes no representation regarding the advisability of investing in this ETF. |
AssetsNet | $ 3,268,377 | $ 3,268,377 | $ 3,268,377 | $ 3,268,377 | $ 3,268,377 | $ 3,268,377 |
Holdings Count | Holding | 7 | 7 | 7 | 7 | 7 | 7 |
Advisory Fees Paid, Amount | | | | | | $ 0 |
InvestmentCompanyPortfolioTurnover | | | | | | 0% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $3,268,377 Number of Portfolio Holdings 7 Net Investment Advisory Fees $- Portfolio Turnover Rate -% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Swap Agreements 200% Total 200% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets Repurchase Agreements with various counterparties 78.3% |
Material Fund Change [Text Block] | | | | | | |
C000074099 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | UltraPro Short QQQ |
Trading Symbol | | | | | | SQQQ |
Security Exchange Name | | | | | | NASDAQ |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about UltraPro Short QQQ (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G1711"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment SQQQ $70 0.95% |
Expenses Paid, Amount | | | | | | $ 70 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? UltraPro Short QQQ ® ® |
Line Graph [Table Text Block] | | | | | | UltraPro Short QQQ : $6 Nasdaq-100 ® 5/31/2014 10,000 10,000 6/30/2014 9,108.630000 10,309 9/30/2014 7,592.860000 10,878.940000 12/31/2014 6,316.700000 11,411.650000 3/31/2015 5,655.990000 11,711.240000 6/30/2015 5,241.450000 11,915.020000 9/30/2015 5,516.210000 11,363.350000 12/31/2015 3,949.480000 12,523.550000 3/31/2016 3,903.400000 12,285.600000 6/30/2016 3,888.930000 12,145.660000 9/30/2016 2,819.850000 13,446.070000 12/31/2016 2,762.400000 13,456.230000 3/31/2017 1,956.780000 15,083.510000 6/30/2017 1,706.200000 15,715.510000 9/30/2017 1,412.820000 16,685.160000 12/31/2017 1,139.610000 17,896.500000 3/31/2018 969.040000 18,460.240000 6/30/2018 766.310000 19,802.300000 9/30/2018 596.150000 21,507.280000 12/31/2018 900.640000 17,902.660000 3/31/2019 548.210000 20,926.420000 6/30/2019 476.030000 21,815.790000 9/30/2019 444.060000 22,097.210000 12/31/2019 306.800000 24,967.640000 3/31/2020 268.330000 22,398.470000 6/30/2020 104.060000 29,185.210000 9/30/2020 65.410000 32,868.380000 12/31/2020 41.790000 37,170.850000 3/31/2021 36.220000 37,825.060000 6/30/2021 25.160000 42,129.550000 9/30/2021 23.790000 42,588.760000 12/31/2021 16.340000 47,392.770000 3/31/2022 18.650000 43,170.080000 6/30/2022 32.380000 33,543.150000 9/30/2022 33.720000 32,060.540000 12/31/2022 29.800000 32,047.720000 3/31/2023 16.290000 38,704.030000 6/30/2023 10.620000 44,660.580000 9/30/2023 11.690000 43,383.290000 12/31/2023 7.860000 49,717.250000 3/31/2024 6.200000 54,052.590000 5/31/2024 5.950000 54,960.670000 |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years UltraPro Short QQQ - NAV - -60.25% -52.42% UltraPro Short QQQ - Market Price -53.62% -60.26% -52.43% Nasdaq-100 ® 31.12% 22.07% 18.54% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ "QQQ ® ® ® |
AssetsNet | $ 2,765,099,418 | $ 2,765,099,418 | $ 2,765,099,418 | $ 2,765,099,418 | $ 2,765,099,418 | $ 2,765,099,418 |
Holdings Count | Holding | 27 | 27 | 27 | 27 | 27 | 27 |
Advisory Fees Paid, Amount | | | | | | $ 27,190,995 |
InvestmentCompanyPortfolioTurnover | | | | | | 0% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $2,765,099,418 Number of Portfolio Holdings 27 Net Investment Advisory Fees $27,190,995 Portfolio Turnover Rate -% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Swap Agreements (299)% Futures Contracts (1)% Total (300)% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets U.S. Treasury Bills 152.0% Repurchase Agreements with various counterparties 3.7% |
Material Fund Change [Text Block] | | | | | | |
C000202974 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | Pet Care ETF |
Trading Symbol | | | | | | PAWZ |
Security Exchange Name | | | | | | CboeBZX |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about Pet Care ETF (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/shareholder_reports</span>" id="sjs-G1735"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment PAWZ $53 0.50% |
Expenses Paid, Amount | | | | | | $ 53 |
Expense Ratio, Percent | | | | | | 0.50% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? Pet Care ETF (the Fund) seeks investment results, before fees and expenses, that track the performance of the FactSet Pet Care Index (the Index). The Fund invests in financial instruments that the Advisor believes, in combination, should track the performance of the Index. A substantial allocation to pet healthcare drove performance roughly in line with the S&P 500 ® had a total return of 12.70%. For the same period, the Index had a total return of 13.47% and a volatility of 15.73%. Primary factors affecting Fund performance include the total return of the securities held by the Fund, expenses, transaction costs, the volatility of the Funds index, and other miscellaneous factors. |
Line Graph [Table Text Block] | | | | | | Pet Care ETF : $13,638 FactSet Pet Care Index : $14,057 S&P Global 1200 Index : $18,929 11/5/2018 10,000 10,000 10,000 12/31/2018 9,086 9,089 9,307 3/31/2019 10,069 10,097 10,449 6/30/2019 10,687 10,733 10,878 9/30/2019 9,943 9,999 10,957 12/31/2019 11,155 11,228 11,933 3/31/2020 9,823 9,888 9,461 6/30/2020 12,400 12,502 11,222 9/30/2020 15,049 15,216 12,076 12/31/2020 18,002 18,229 13,791 3/31/2021 18,177 18,438 14,520 6/30/2021 20,368 20,714 15,614 9/30/2021 19,595 19,960 15,512 12/31/2021 19,949 20,351 16,763 3/31/2022 16,812 17,186 15,973 6/30/2022 13,338 13,601 13,528 9/30/2022 11,204 11,440 12,608 12/31/2022 11,942 12,197 13,942 3/31/2023 12,594 12,901 15,015 6/30/2023 12,880 13,204 16,045 9/30/2023 11,380 11,677 15,458 12/31/2023 13,447 13,813 17,203 3/31/2024 12,733 13,109 18,751 5/31/2024 13,638 14,057 18,929 |
Average Annual Return [Table Text Block] | | | | | | Fund/Index Name One Year Five Years Since Inception (11/5/18) Pet Care ETF - NAV 12.70% 6.41% 5.73% Pet Care ETF - Market Price 12.26% 6.37% 5.69% FactSet Pet Care Index 13.47% 7.01% 6.30% S&P Global 1200 Index 24.99% 13.13% 12.09% |
AssetsNet | $ 71,003,880 | $ 71,003,880 | $ 71,003,880 | $ 71,003,880 | $ 71,003,880 | $ 71,003,880 |
Holdings Count | Holding | 30 | 30 | 30 | 30 | 30 | 30 |
Advisory Fees Paid, Amount | | | | | | $ 405,925 |
InvestmentCompanyPortfolioTurnover | | | | | | 72% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $71,003,880 Number of Portfolio Holdings 30 Net Investment Advisory Fees $405,925 Portfolio Turnover Rate 72% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Equity Securities 100% Total 100% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets Chewy, Inc., Class A 12.4% Freshpet, Inc. 10.1% Zoetis, Inc., Class A 9.2% IDEXX Laboratories, Inc. 9.0% Pets at Home Group plc 7.1% CVS Group plc 5.0% Trupanion, Inc. 4.8% Virbac SACA 4.2% Nestle SA (Registered) 4.2% Merck & Co., Inc. 4.0% |
Material Fund Change [Text Block] | | | | | | |
C000063941 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | Ultra MSCI Emerging Markets |
Trading Symbol | | | | | | EET |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about Ultra MSCI Emerging Markets (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G1759"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment EET $102 0.95% |
Expenses Paid, Amount | | | | | | $ 102 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? Ultra MSCI Emerging Markets(the Fund) seeks daily investment results, before fees and expenses, that correspond to two times (2x) the daily performance of the MSCI Emerging Markets Index (the Index).The Fund invests in financial instruments that the Advisor believes, in combination, should produce daily returns consistent with the Funds investment objective. For the year ended May 31, 2024, the Fund had a total return of 14.13% and an average daily statistical correlation of over 0.99 to twice that of the return of the Index. For the same period, the Index had a total return of 12.39% and a volatility of 12.68%. The index performance was muted relative to the S&P 500 with one factor being the absence of "Magnificent Seven" companies which bolstered the returns of the S&P 500 ® |
Line Graph [Table Text Block] | | | | | | Value Based on a $10,000 Investment Footnote Reference Ultra MSCI Emerging Markets : $7,078 MSCI Emerging Markets Index : $13,009 5/31/2014 10,000 10,000 6/30/2014 10,469.89 10,266 9/30/2014 9,597.73 9,907.2 12/31/2014 8,728.94 9,460.88 3/31/2015 8,995.37 9,672.71 6/30/2015 8,823.47 9,739.46 9/30/2015 5,911.21 7,996.09 12/31/2015 5,797.56 8,048.87 3/31/2016 6,424.08 8,508.46 6/30/2016 6,450.32 8,564.75 9/30/2016 7,576.37 9,337.85 12/31/2016 6,684.06 8,948.98 3/31/2017 8,385.66 9,973.19 6/30/2017 9,255.51 10,598.51 9/30/2017 10,747.04 11,434.73 12/31/2017 12,127.76 12,285.48 3/31/2018 12,457.24 12,459.93 6/30/2018 10,008.72 11,468.12 9/30/2018 9,654.31 11,343.12 12/31/2018 8,028.27 10,496.92 3/31/2019 9,532.85 11,537.17 6/30/2019 9,525.61 11,607.54 9/30/2019 8,509.25 11,114.22 12/31/2019 10,578.77 12,430.15 3/31/2020 5,595.19 9,496.63 6/30/2020 7,567.17 11,213.62 9/30/2020 9,087.07 12,285.64 12/31/2020 12,614.77 14,705.92 3/31/2021 13,227.28 15,042.68 6/30/2021 14,151.69 15,802.34 9/30/2021 11,684 14,523.93 12/31/2021 11,222.82 14,333.67 3/31/2022 9,390.91 13,334.61 6/30/2022 7,374.31 11,807.8 9/30/2022 5,445.66 10,441.63 12/31/2022 6,381.29 11,454.47 3/31/2023 6,723.9 11,908.07 6/30/2023 6,702.44 12,015.24 9/30/2023 6,012.34 11,663.2 12/31/2023 6,823.04 12,579.92 3/31/2024 6,951.72 12,842.84 5/31/2024 7,078.02 13,008.52 Footnote Description Footnote * The line graph represents historical performance of a hypothetical investment of $10,000 in the ProShares Ultra MSCI Emerging Markets from May 31, 2014 to May 31, 2024, assuming the reinvestment of distributions. |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years Ultra MSCI Emerging Markets - NAV 14.13% -3.56% -3.40% Ultra MSCI Emerging Markets - Market Price 14.08% -3.56% -3.43% MSCI Emerging Markets Index 12.39% 3.54% 2.66% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ "MSCI" is a service mark of MSCI and has been licensed for use by ProShares. This ETF is not sponsored, endorsed, sold or promoted by MSCI and MSCI makes no representation regarding the advisability of investing in this ETF. |
AssetsNet | $ 15,696,548 | $ 15,696,548 | $ 15,696,548 | $ 15,696,548 | $ 15,696,548 | $ 15,696,548 |
Holdings Count | Holding | 8 | 8 | 8 | 8 | 8 | 8 |
Advisory Fees Paid, Amount | | | | | | $ 35,469 |
InvestmentCompanyPortfolioTurnover | | | | | | 0% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $15,696,548 Number of Portfolio Holdings 8 Net Investment Advisory Fees $35,469 Portfolio Turnover Rate -% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Swap Agreements 200% Total 200% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets U.S. Treasury Bills 44.1% Repurchase Agreements with various counterparties 32.8% |
Material Fund Change [Text Block] | | | | | | |
C000063942 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | Ultra MSCI Japan |
Trading Symbol | | | | | | EZJ |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about Ultra MSCI Japan (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G1783"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment EZJ $108 0.95% |
Expenses Paid, Amount | | | | | | $ 108 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? Ultra MSCI Japan(the Fund) seeks daily investment results, before fees and expenses, that correspond to two times (2x) the daily performance of the MSCI Japan Index (the Index).The Fund invests in financial instruments that the Advisor believes, in combination, should produce daily returns consistent with the Funds investment objective. For the year ended May 31, 2024, the Fund had a total return of 27.15% and an average daily statistical correlation of over 0.99 to twice that of the return of the Index. For the same period, the Index had a total return of 18.63% and a volatility of 15.95%. The index performance was driven by factors such as decent underlying performance plus the depreciation of the Yen drove performance. Primary factors affecting Fund performance include the total return of the securities and derivatives held by the Fund, the performance of the reference assets to which any derivatives are linked, financing rates paid or earned, expenses, transaction costs, the volatility of the Funds Index (and its impact on compounding), and other miscellaneous factors. |
Line Graph [Table Text Block] | | | | | | Ultra MSCI Japan : $15,874 MSCI Japan Index : $18,432 MSCI EAFE Index : $15,765 5/31/2014 10,000 10,000 10,000 6/30/2014 10,936.16 10,523 10,096 9/30/2014 10,385.38 10,280.44 9,502.76 12/31/2014 9,460.51 10,031.56 9,163.32 3/31/2015 11,663.59 11,055.68 9,610.31 6/30/2015 12,213.55 11,400.61 9,669.89 9/30/2015 9,531.69 10,066.74 8,680.66 12/31/2015 10,758.31 11,011 9,089.52 3/31/2016 9,340.5 10,308.5 8,861.37 6/30/2016 9,466.47 10,415.04 8,731.8 9/30/2016 11,145.95 11,327.01 9,293.63 12/31/2016 10,750.04 11,310.71 9,227.32 3/31/2017 11,855.31 11,835.81 9,895.88 6/30/2017 12,912.48 12,450.09 10,501.5 9/30/2017 13,801.67 12,944.36 11,068.59 12/31/2017 16,007.56 14,043.33 11,536.79 3/31/2018 16,086.96 14,159.89 11,360.27 6/30/2018 14,688.61 13,763.42 11,219.41 9/30/2018 15,658.29 14,287.8 11,370.87 12/31/2018 10,997.44 12,258.94 9,944.96 3/31/2019 12,617.62 13,098.67 10,937.47 6/30/2019 12,592.3 13,236.21 11,339.97 9/30/2019 13,404.04 13,671.68 11,218.63 12/31/2019 14,778.56 14,720.3 12,135.19 3/31/2020 9,800.09 12,272.31 9,364.73 6/30/2020 12,028.45 13,697.13 10,758.2 9/30/2020 13,793.87 14,647.71 11,274.59 12/31/2020 18,023.26 16,882.95 13,084.17 3/31/2021 18,348.81 17,148.01 13,539.49 6/30/2021 17,901.59 17,100 14,239.49 9/30/2021 19,119.65 17,879.76 14,175.41 12/31/2021 17,632.71 17,171.72 14,556.73 3/31/2022 14,715.21 16,036.67 13,696.42 6/30/2022 10,843.1 13,690.5 11,709.07 9/30/2022 9,042.59 12,640.44 10,613.1 12/31/2022 10,923.07 14,312.77 12,453.42 3/31/2023 12,383.64 15,198.73 13,508.22 6/30/2023 13,627.79 16,174.49 13,906.71 9/30/2023 12,624.62 15,917.32 13,335.15 12/31/2023 14,311.6 17,220.94 14,724.67 3/31/2024 17,295.48 19,027.42 15,559.56 5/31/2024 15,874.27 18,431.86 15,764.94 |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years Ultra MSCI Japan - NAV 27.15% 6.50% 4.73% Ultra MSCI Japan - Market Price 27.23% 6.44% 4.73% MSCI Japan Index 18.63% 7.55% 6.15% MSCI EAFE Index 18.53% 8.04% 4.60% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ "MSCI" is a service mark of MSCI and has been licensed for use by ProShares. This ETF is not sponsored, endorsed, sold or promoted by MSCI and MSCI makes no representation regarding the advisability of investing in this ETF. |
AssetsNet | $ 9,271,560 | $ 9,271,560 | $ 9,271,560 | $ 9,271,560 | $ 9,271,560 | $ 9,271,560 |
Holdings Count | Holding | 8 | 8 | 8 | 8 | 8 | 8 |
Advisory Fees Paid, Amount | | | | | | $ 0 |
InvestmentCompanyPortfolioTurnover | | | | | | 0% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $9,271,560 Number of Portfolio Holdings 8 Net Investment Advisory Fees $- Portfolio Turnover Rate -% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Equity Securities 34% Swap Agreements 166% Total 200% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets iShares MSCI Japan ETF 34.4% Repurchase Agreements with various counterparties 28.0% |
Material Fund Change [Text Block] | | | | | | |
C000074103 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | UltraPro Short Russell2000 |
Trading Symbol | | | | | | SRTY |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about UltraPro Short Russell2000 (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G1807"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment SRTY $74 0.95% |
Expenses Paid, Amount | | | | | | $ 74 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? UltraPro Short Russell2000(the Fund) seeks daily investment results, before fees and expenses, that correspond to three times the inverse (-3x) of the daily performance of the Russell 2000 ® ® |
Line Graph [Table Text Block] | | | | | | UltraPro Short Russell2000 : $70 Russell 2000 ® Russell 3000 Index : $31,307 5/31/2014 10,000 10,000 10,000 6/30/2014 8,487.120000 10,532 10,251 9/30/2014 10,313.550000 9,756.850000 10,252.030000 12/31/2014 7,359.220000 10,705.990000 10,789.230000 3/31/2015 6,215.060000 11,167.950000 10,983.440000 6/30/2015 5,964.250000 11,214.860000 10,998.810000 9/30/2015 8,199.100000 9,878.050000 10,201.400000 12/31/2015 6,963.100000 10,232.670000 10,841.030000 3/31/2016 6,685.860000 10,077.130000 10,946.190000 6/30/2016 5,646.350000 10,459.240000 11,234.070000 9/30/2016 4,205.300000 11,405.370000 11,728.370000 12/31/2016 3,133.650000 12,412.860000 12,222.130000 3/31/2017 2,830.460000 12,718.940000 12,923.680000 6/30/2017 2,573.410000 13,031.830000 13,313.980000 9/30/2017 2,149.930000 13,770.730000 13,922.430000 12/31/2017 1,930.100000 14,230.670000 14,805.110000 3/31/2018 1,860.430000 14,219.290000 14,710.360000 6/30/2018 1,466.220000 15,321.280000 15,282.590000 9/30/2018 1,316.660000 15,869.790000 16,370.710000 12/31/2018 2,376.880000 12,664.090000 14,029.700000 3/31/2019 1,539.940000 14,510.510000 15,999.470000 6/30/2019 1,415.190000 14,815.230000 16,655.450000 9/30/2019 1,469.340000 14,459.670000 16,848.650000 12/31/2019 1,096.880000 15,896.960000 18,381.880000 3/31/2020 1,846.990000 11,030.900000 14,540.070000 6/30/2020 656.660000 13,834.950000 17,743.240000 9/30/2020 527.240000 14,517.020000 19,377.390000 12/31/2020 213.310000 19,071.010000 22,222 3/31/2021 132.050000 21,493.020000 23,633.090000 6/30/2021 110.080000 22,415.070000 25,580.460000 9/30/2021 118.180000 21,437.780000 25,554.880000 12/31/2021 103.070000 21,896.550000 27,926.370000 3/31/2022 116.480000 20,247.740000 26,451.860000 6/30/2022 177.120000 16,765.130000 22,034.400000 9/30/2022 174.450000 16,397.970000 21,051.660000 12/31/2022 132.790000 17,419.560000 22,563.170000 3/31/2023 118.350000 17,896.860000 24,183.210000 6/30/2023 100.560000 18,829.280000 26,212.180000 9/30/2023 118.850000 17,863.340000 25,360.290000 12/31/2023 76.960000 20,369.570000 28,421.270000 3/31/2024 65.250000 21,424.710000 31,269.080000 5/31/2024 70.350000 20,916.950000 31,306.610000 |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years UltraPro Short Russell2000 - NAV - -47.41% -39.09% UltraPro Short Russell2000 - Market Price -45.24% -47.43% -39.08% Russell 2000 ® 20.12% 8.60% 7.65% Russell 3000 Index 27.58% 14.98% 12.07% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ "Russell 2000 ® ® |
AssetsNet | $ 120,150,750 | $ 120,150,750 | $ 120,150,750 | $ 120,150,750 | $ 120,150,750 | $ 120,150,750 |
Holdings Count | Holding | 13 | 13 | 13 | 13 | 13 | 13 |
Advisory Fees Paid, Amount | | | | | | $ 1,015,199 |
InvestmentCompanyPortfolioTurnover | | | | | | 0% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $120,150,750 Number of Portfolio Holdings 13 Net Investment Advisory Fees $1,015,199 Portfolio Turnover Rate -% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Swap Agreements (295)% Futures Contracts (5)% Total (300)% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets U.S. Treasury Bills 106.0% Repurchase Agreements with various counterparties 6.7% |
Material Fund Change [Text Block] | | | | | | |
C000238747 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | S&P Global Core Battery Metals ETF |
Trading Symbol | | | | | | ION |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about S&P Global Core Battery Metals ETF (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/shareholder_reports</span>" id="sjs-G1831"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment ION $55 0.58% |
Expenses Paid, Amount | | | | | | $ 55 |
Expense Ratio, Percent | | | | | | 0.58% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? S&P Global Core Battery Metals ETF (the Fund) seeks investment results, before fees and expenses, that track the performance of the S&P Global Core Battery Metals Index (the Index). The Fund invests in financial instruments that the Advisor believes, in combination, should track the performance of the Index. Falling lithium prices were a key driver of performance. For the year ended May 31, 2024, the Fund had a total return of -10.46%. For the same period, the Index had a total return of -8.85% and a volatility of 22.51%. Primary factors affecting Fund performance include the total return of the securities held by the Fund, expenses, transaction costs, the volatility of the Funds index, and other miscellaneous factors. |
Average Annual Return [Table Text Block] | | | | | | Fund/Index Name One Year Since Inception (11/29/22) S&P Global Core Battery Metals ETF - NAV - -14.02% S&P Global Core Battery Metals ETF - Market Price -10.11% -13.98% S&P Global Core Battery Metals Index - -12.02% S&P Global 1200 Index 24.99% 21.14% |
AssetsNet | $ 2,336,939 | $ 2,336,939 | $ 2,336,939 | $ 2,336,939 | $ 2,336,939 | $ 2,336,939 |
Holdings Count | Holding | 43 | 43 | 43 | 43 | 43 | 43 |
Advisory Fees Paid, Amount | | | | | | $ 13,976 |
InvestmentCompanyPortfolioTurnover | | | | | | 56% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $2,336,939 Number of Portfolio Holdings 43 Net Investment Advisory Fees $13,976 Portfolio Turnover Rate 56% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Equity Securities 99% Total 99% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets Arcadium Lithium plc 8.9% Eramet SA 4.5% IGO Ltd. 4.4% Pilbara Minerals Ltd. 4.2% Vale Indonesia Tbk. PT 3.9% Albemarle Corp. 3.8% Mineral Resources Ltd. 3.8% Sociedad Quimica y Minera de Chile SA (ADR) 3.6% Pacific Metals Co. Ltd. 3.5% Tibet Mineral Development Co., Class A 3.4% |
Material Fund Change [Text Block] | | | | | | |
C000063930 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | UltraShort FTSE Europe |
Trading Symbol | | | | | | EPV |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about UltraShort FTSE Europe (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G1854"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment EPV $81 0.95% |
Expenses Paid, Amount | | | | | | $ 81 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? UltraShort FTSE Europe(the Fund) seeks daily investment results, before fees and expenses, that correspond to two times the inverse (-2x) of the daily performance of the FTSE Developed Europe All Cap Index (the Index).The Fund invests in financial instruments that the Advisor believes, in combination, should produce daily returns consistent with the Funds investment objective. For the year ended May 31, 2024, the Fund had a total return of -28.71% and an average daily statistical correlation of over 0.99 to two times the inverse of the return of the Index. For the same period, the Index had a total return of 20.20% and a volatility of 13.06%. The index performance was driven by factors such as having a substantial underweight to technology compared to the S&P 500 ® ® |
Line Graph [Table Text Block] | | | | | | Value Based on a $10,000 Investment Footnote Reference UltraShort FTSE Europe : $1,471 FTSE Developed Europe All Cap Index : $17,252 S&P Global 1200 Index : $25,156 5/31/2014 10,000 10,000 10,000 6/30/2014 9,979.950000 9,990 10,180 9/30/2014 11,416.230000 9,288.010000 9,976.400000 12/31/2014 12,114.460000 8,890.840000 10,072.170000 3/31/2015 10,801.680000 9,198.510000 10,291.750000 6/30/2015 10,311.300000 9,244.500000 10,353.500000 9/30/2015 11,853.490000 8,455.020000 9,461.030000 12/31/2015 11,185.420000 8,673.160000 9,986.110000 3/31/2016 11,237 8,462.400000 10,003.090000 6/30/2016 10,870.400000 8,226.300000 10,139.130000 9/30/2016 9,677.500000 8,701.780000 10,653.190000 12/31/2016 9,790.910000 8,641.740000 10,874.770000 3/31/2017 8,319.730000 9,294.190000 11,614.260000 6/30/2017 6,993.480000 10,024.710000 12,114.830000 9/30/2017 6,176.710000 10,697.370000 12,747.220000 12/31/2017 5,931.690000 10,960.530000 13,468.720000 3/31/2018 5,963.660000 10,762.140000 13,331.340000 6/30/2018 6,118.740000 10,654.520000 13,516.640000 9/30/2018 6,022.240000 10,714.190000 14,201.940000 12/31/2018 7,822.900000 9,299.910000 12,368.470000 3/31/2019 6,346.230000 10,316.390000 13,886.080000 6/30/2019 5,835.870000 10,779.600000 14,456.790000 9/30/2019 6,034.180000 10,569.400000 14,560.880000 12/31/2019 4,979.990000 11,586.170000 15,858.260000 3/31/2020 7,318.010000 8,680.360000 12,572.430000 6/30/2020 4,919.590000 10,083.980000 14,913.410000 9/30/2020 4,351.080000 10,614.390000 16,048.320000 12/31/2020 3,148.440000 12,342.420000 18,327.190000 3/31/2021 2,800.280000 12,858.330000 19,296.690000 6/30/2021 2,355.350000 13,830.420000 20,749.730000 9/30/2021 2,402.150000 13,650.620000 20,614.860000 12/31/2021 2,135.500000 14,359.090000 22,276.420000 3/31/2022 2,400.230000 13,226.160000 21,227.200000 6/30/2022 3,054.560000 11,222.400000 17,977.320000 9/30/2022 3,813.230000 10,018.230000 16,754.860000 12/31/2022 2,478.650000 11,996.830000 18,527.520000 3/31/2023 2,009.620000 13,218.110000 19,954.140000 6/30/2023 1,899.620000 13,593.510000 21,323 9/30/2023 2,145.340000 14,275.900000 20,542.570000 12/31/2023 1,712.230000 15,931.900000 22,861.830000 3/31/2024 1,569.850000 16,712.570000 24,919.390000 5/31/2024 1,470.810000 17,252.380000 25,156.130000 Footnote Description Footnote * The line graph represents historical performance of a hypothetical investment of $10,000 in the ProShares UltraShort FTSE Europe from May 31, 2014 to May 31, 2024, assuming the reinvestment of distributions. |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years UltraShort FTSE Europe - NAV - -25.93% -17.44% UltraShort FTSE Europe - Market Price -28.79% -25.93% -17.44% FTSE Developed Europe All Cap Index 20.20% 9.06% 4.66% S&P Global 1200 Index 24.99% 13.13% 9.66% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ "FTSE ® |
AssetsNet | $ 21,306,205 | $ 21,306,205 | $ 21,306,205 | $ 21,306,205 | $ 21,306,205 | $ 21,306,205 |
Holdings Count | Holding | 8 | 8 | 8 | 8 | 8 | 8 |
Advisory Fees Paid, Amount | | | | | | $ 269,432 |
InvestmentCompanyPortfolioTurnover | | | | | | 0% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $21,306,205 Number of Portfolio Holdings 8 Net Investment Advisory Fees $269,432 Portfolio Turnover Rate -% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Swap Agreements (201)% Total (201)% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets U.S. Treasury Bills 102.6% Repurchase Agreements with various counterparties 84.9% |
Material Fund Change [Text Block] | | | | | | |
C000051848 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | Ultra Nasdaq Biotechnology |
Trading Symbol | | | | | | BIB |
Security Exchange Name | | | | | | NASDAQ |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about Ultra Nasdaq Biotechnology (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G1878"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment BIB $99 0.95% |
Expenses Paid, Amount | | | | | | $ 99 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? Ultra Nasdaq Biotechnology(the Fund) seeks daily investment results, before fees and expenses, that correspond to two times (2x) the daily performance of the Nasdaq Biotechnology ® ® |
Line Graph [Table Text Block] | | | | | | Ultra Nasdaq Biotechnology : $13,908 Nasdaq Biotechnology ® Nasdaq-100 ® 5/31/2014 10,000 10,000 10,000 6/30/2014 11,498.230000 10,732 10,309 9/30/2014 12,859.300000 11,428.510000 10,878.940000 12/31/2014 15,548.950000 12,707.360000 11,411.650000 3/31/2015 19,630.010000 14,393.620000 11,711.240000 6/30/2015 22,359.590000 15,477.460000 11,915.020000 9/30/2015 14,504 12,702.350000 11,363.350000 12/31/2015 17,695.460000 14,203.770000 12,523.550000 3/31/2016 10,131.850000 10,953.950000 12,285.600000 6/30/2016 9,635.090000 10,830.800000 12,145.660000 9/30/2016 12,013.800000 12,184.170000 13,446.070000 12/31/2016 9,868.690000 11,171.800000 13,456.230000 3/31/2017 11,957.650000 12,382.580000 15,083.510000 6/30/2017 13,225.250000 13,109.440000 15,715.510000 9/30/2017 15,169.320000 14,124.110000 16,685.160000 12/31/2017 13,890.940000 13,588.810000 17,896.500000 3/31/2018 13,595.830000 13,596.960000 18,460.240000 6/30/2018 14,168.660000 14,015.750000 19,802.300000 9/30/2018 17,269.830000 15,585.510000 21,507.280000 12/31/2018 10,505.020000 12,384.250000 17,902.660000 3/31/2019 13,727.220000 14,308.760000 20,926.420000 6/30/2019 12,844.660000 13,986.810000 29,185.210000 9/30/2019 10,546.870000 12,781.150000 22,097.210000 12/31/2019 15,286.580000 15,493.310000 24,967.640000 3/31/2020 11,513.150000 13,902.150000 22,398.470000 6/30/2020 17,988.400000 17,641.820000 29,185.210000 9/30/2020 17,354.740000 17,497.160000 32,868.380000 12/31/2020 21,361.630000 19,588.070000 37,170.850000 3/31/2021 20,690.850000 19,480.340000 37,825.060000 6/30/2021 24,359.850000 21,262.790000 42,129.550000 9/30/2021 23,482.990000 21,033.150000 42,588.760000 12/31/2021 20,098.930000 19,592.380000 47,392.770000 3/31/2022 15,314.490000 17,305.950000 43,170.080000 6/30/2022 11,996.630000 15,613.430000 33,543.150000 9/30/2022 11,788.930000 15,721.160000 32,060.540000 12/31/2022 14,343.450000 17,609.270000 32,047.720000 3/31/2023 13,438.660000 17,279.980000 38,704.030000 6/30/2023 12,878.060000 17,115.820000 44,660.580000 9/30/2023 11,907.120000 16,633.150000 43,383.290000 12/31/2023 14,159.940000 18,421.220000 49,717.250000 3/31/2024 14,276.410000 18,712.270000 54,052.590000 5/31/2024 13,907.980000 18,618.710000 54,960.670000 |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years Ultra Nasdaq Biotechnology - NAV 7.49% 5.15% 3.35% Ultra Nasdaq Biotechnology - Market Price 7.51% 5.15% 3.36% Nasdaq Biotechnology ® 8.95% 7.77% 6.40% Nasdaq-100 ® 31.12% 22.07% 18.54% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ "Nasdaq Biotechnology ® |
AssetsNet | $ 88,267,361 | $ 88,267,361 | $ 88,267,361 | $ 88,267,361 | $ 88,267,361 | $ 88,267,361 |
Holdings Count | Holding | 227 | 227 | 227 | 227 | 227 | 227 |
Advisory Fees Paid, Amount | | | | | | $ 492,996 |
InvestmentCompanyPortfolioTurnover | | | | | | 32% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $88,267,361 Number of Portfolio Holdings 227 Net Investment Advisory Fees $492,996 Portfolio Turnover Rate 32% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Equity Securities 69% Swap Agreements 131% Total 200% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets Amgen, Inc. 6.3% Vertex Pharmaceuticals, Inc. 6.1% Regeneron Pharmaceuticals, Inc. 5.8% Gilead Sciences, Inc. 5.1% Moderna, Inc. 3.9% AstraZeneca plc (ADR) 3.3% Biogen, Inc. 2.4% Alnylam Pharmaceuticals, Inc. 1.4% Illumina, Inc. 1.2% BioMarin Pharmaceutical, Inc. 1.0% |
Material Fund Change [Text Block] | | | | | | |
C000074101 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | ®</sup>" id="sjs-G1895">UltraPro Short S&P500<sup style="box-sizing: border-box; color: rgb(255, 255, 255); display: inline; flex-wrap: nowrap; font-size: 16px; font-weight: 700; grid-area: auto; line-height: 0px; margin: 0px; overflow: visible; position: relative; text-align: left; height: auto; max-height: none; min-height: 0px;">®</sup> |
Trading Symbol | | | | | | SPXU |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about UltraPro Short S&P500 ® |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G1902"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment SPXU $69 0.89% |
Expenses Paid, Amount | | | | | | $ 69 |
Expense Ratio, Percent | | | | | | 0.89% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? UltraPro Short S&P500 ® ® |
Line Graph [Table Text Block] | | | | | | UltraPro Short S&P500 ® S&P 500 ® 5/31/2014 10,000 10,000 6/30/2014 9,389.36 10,207 9/30/2014 8,956.59 10,322.12 12/31/2014 7,511.7 10,831.28 3/31/2015 7,100.51 10,934.25 6/30/2015 6,942.13 10,964.86 9/30/2015 7,931.26 10,258.73 12/31/2015 6,249.47 10,980.94 3/31/2016 5,724.65 11,129.18 6/30/2016 5,181.99 11,402.43 9/30/2016 4,566.66 11,841.66 12/31/2016 4,045.32 12,294.51 3/31/2017 3,386.01 13,040.31 6/30/2017 3,092.26 13,443.26 9/30/2017 2,719.78 14,045.52 12/31/2017 2,257.24 14,978.14 3/31/2018 2,216.45 14,864.31 6/30/2018 1,991.97 15,374.15 9/30/2018 1,611.7 16,559.5 12/31/2018 2,341.51 14,320.66 3/31/2019 1,588.1 16,275.43 6/30/2019 1,405.88 16,975.27 9/30/2019 1,321.18 17,263.85 12/31/2019 1,021.38 18,829.68 3/31/2020 1,232.52 15,139.06 6/30/2020 600.69 18,248.63 9/30/2020 444.12 19,878.23 12/31/2020 301.75 22,293.43 3/31/2021 242.97 23,668.94 6/30/2021 186.15 25,692.63 9/30/2021 179.43 25,841.65 12/31/2021 127.14 28,691.98 3/31/2022 136.78 27,372.15 6/30/2022 207.12 22,965.23 9/30/2022 229.13 21,844.53 12/31/2022 173.05 23,495.98 3/31/2023 139.39 25,258.18 6/30/2023 111.33 27,465.74 9/30/2023 127 26,567.61 12/31/2023 93.52 29,673.36 3/31/2024 71.37 32,806.87 5/31/2024 71.4 33,026.68 |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years UltraPro Short S&P500 ® - -47.10% -38.99% UltraPro Short S&P500 ® -46.47% -47.11% -39.01% S&P 500 ® 28.19% 15.79% 12.68% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ "Standard & Poor's ® ® ® TM |
AssetsNet | $ 614,515,097 | $ 614,515,097 | $ 614,515,097 | $ 614,515,097 | $ 614,515,097 | $ 614,515,097 |
Holdings Count | Holding | 24 | 24 | 24 | 24 | 24 | 24 |
Advisory Fees Paid, Amount | | | | | | $ 6,449,078 |
InvestmentCompanyPortfolioTurnover | | | | | | 0% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $614,515,097 Number of Portfolio Holdings 24 Net Investment Advisory Fees $6,449,078 Portfolio Turnover Rate -% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Swap Agreements (295)% Futures Contracts (5)% Total (300)% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets U.S. Treasury Bills 126.8% Repurchase Agreements with various counterparties 9.4% |
Material Fund Change [Text Block] | | | | | | |
C000230306 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | S&P Kensho Cleantech ETF |
Trading Symbol | | | | | | CTEX |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about S&P Kensho Cleantech ETF (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/shareholder_reports</span>" id="sjs-G1926"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment CTEX $53 0.58% |
Expenses Paid, Amount | | | | | | $ 53 |
Expense Ratio, Percent | | | | | | 0.58% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? S&P Kensho Cleantech ETF (the Fund) seeks investment results, before fees and expenses, that track the performance of the S&P Kensho Cleantech Index (the Index). The Fund invests in financial instruments that the Advisor believes, in combination, should track the performance of the Index. Delayed global transition to clean energy was a key driver of performance. For the year ended May 31, 2024, the Fund had a total return of -18.27%. For the same period, the Index had a total return of -18.27% and a volatility of 38.71%. Primary factors affecting Fund performance include the total return of the securities held by the Fund, expenses, transaction costs, the volatility of the Funds index, and other miscellaneous factors. |
Average Annual Return [Table Text Block] | | | | | | Fund/Index Name One Year Since Inception (9/29/21) S&P Kensho Cleantech ETF - NAV - -15.98% S&P Kensho Cleantech ETF - Market Price -18.25% -16.00% S&P Kensho Cleantech Index - -15.77% S&P Total Market Index 27.68% 7.29% |
AssetsNet | $ 3,763,486 | $ 3,763,486 | $ 3,763,486 | $ 3,763,486 | $ 3,763,486 | $ 3,763,486 |
Holdings Count | Holding | 33 | 33 | 33 | 33 | 33 | 33 |
Advisory Fees Paid, Amount | | | | | | $ 28,838 |
InvestmentCompanyPortfolioTurnover | | | | | | 37% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $3,763,486 Number of Portfolio Holdings 33 Net Investment Advisory Fees $28,838 Portfolio Turnover Rate 37% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Equity Securities 100% Total 100% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets TPI Composites, Inc. 4.0% Sunnova Energy International, Inc. 4.0% First Solar, Inc. 4.0% Array Technologies, Inc. 3.9% Canadian Solar, Inc. 3.8% SunPower Corp. 3.8% JinkoSolar Holding Co. Ltd. (ADR) 3.8% Sunrun, Inc. 3.7% Daqo New Energy Corp. (ADR) 3.6% NEXTracker, Inc., Class A 3.6% |
Material Fund Change [Text Block] | | | | | | |
C000051860 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | UltraShort MSCI EAFE |
Trading Symbol | | | | | | EFU |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about UltraShort MSCI EAFE (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G1949"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment EFU $83 0.95% |
Expenses Paid, Amount | | | | | | $ 83 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? UltraShort MSCI EAFE(the Fund) seeks daily investment results, before fees and expenses, that correspond to two times the inverse (-2x) of the daily performance of the MSCI EAFE Index (the Index). The Fund invests in financial instruments that the Advisor believes, in combination, should produce daily returns consistent with the Funds investment objective. For the year ended May 31, 2024, the Fund had a total return of -25.19% and an average daily statistical correlation of over 0.99 to two times the inverse of the return of the Index. For the same period, the Index had a total return of 18.53% and a volatility of 11.43%. The index performance was driven by factors such as having a substantial underweight to technology compared to the S&P 500 ® ® |
Line Graph [Table Text Block] | | | | | | Value Based on a $10,000 Investment Footnote Reference UltraShort MSCI EAFE : $2,089 MSCI EAFE Index : $15,765 5/31/2014 10,000 10,000 6/30/2014 9,798.59 10,096 9/30/2014 11,009.2 9,502.76 12/31/2014 11,729.9 9,163.32 3/31/2015 10,312.84 9,610.31 6/30/2015 10,000.53 9,669.89 9/30/2015 11,800.2 8,680.66 12/31/2015 10,826.14 9,089.52 3/31/2016 11,058.35 8,861.37 6/30/2016 10,584.33 8,731.8 9/30/2016 9,295.4 9,293.63 12/31/2016 9,483.4 9,227.32 3/31/2017 8,115.92 9,895.88 6/30/2017 7,138.54 10,501.5 9/30/2017 6,468.8 11,068.59 12/31/2017 6,015.65 11,536.79 3/31/2018 6,039.9 11,360.27 6/30/2018 6,292.96 11,219.41 9/30/2018 6,115.72 11,370.87 12/31/2018 7,922.33 9,944.96 3/31/2019 6,519.3 10,937.47 6/30/2019 6,104.64 11,339.97 9/30/2019 6,209.63 11,218.63 12/31/2019 5,359.45 12,135.19 3/31/2020 7,591.99 9,364.73 6/30/2020 5,312.27 10,758.2 9/30/2020 4,746.02 11,274.59 12/31/2020 3,449.78 13,084.17 3/31/2021 3,137.76 13,539.49 6/30/2021 2,777.2 14,239.49 9/30/2021 2,797.81 14,175.41 12/31/2021 2,604.97 14,556.73 3/31/2022 2,911.47 13,696.42 6/30/2022 3,722.46 11,709.07 9/30/2022 4,533.36 10,613.1 12/31/2022 3,196.85 12,453.42 3/31/2023 2,698.67 13,508.22 6/30/2023 2,570.86 13,906.71 9/30/2023 2,887.43 13,335.15 12/31/2023 2,379.14 14,724.67 3/31/2024 2,137.43 15,559.56 5/31/2024 2,089.12 15,764.94 Footnote Description Footnote * The line graph represents historical performance of a hypothetical investment of $10,000 in the ProShares UltraShort MSCI EAFE from May 31, 2014 to May 31, 2024, assuming the reinvestment of distributions. |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years UltraShort MSCI EAFE - NAV - -21.11% -14.49% UltraShort MSCI EAFE - Market Price -24.98% -21.06% -14.47% MSCI EAFE Index 18.53% 8.04% 4.60% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ "MSCI" and "EAFE" are service marks of MSCI and have been licensed for use by ProShares. This ETF is not sponsored, endorsed, sold or promoted by MSCI and MSCI makes no representation regarding the advisability of investing in this ETF. |
AssetsNet | $ 828,246 | $ 828,246 | $ 828,246 | $ 828,246 | $ 828,246 | $ 828,246 |
Holdings Count | Holding | 6 | 6 | 6 | 6 | 6 | 6 |
Advisory Fees Paid, Amount | | | | | | $ 0 |
InvestmentCompanyPortfolioTurnover | | | | | | 0% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $828,246 Number of Portfolio Holdings 6 Net Investment Advisory Fees $- Portfolio Turnover Rate -% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Swap Agreements (200)% Total (200)% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets U.S. Treasury Bills 76.6% Repurchase Agreements with various counterparties 6.1% |
Material Fund Change [Text Block] | | | | | | |
C000224813 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | Ultra Nasdaq Cybersecurity |
Trading Symbol | | | | | | UCYB |
Security Exchange Name | | | | | | NASDAQ |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about Ultra Nasdaq Cybersecurity (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G1973"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment UCYB $109 0.95% |
Expenses Paid, Amount | | | | | | $ 109 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? Ultra Nasdaq Cybersecurity(the Fund) seeks daily investment results, before fees and expenses, that correspond to two times (2x) the daily performance of the Nasdaq CTA Cybersecurity Index SM |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Since Inception (1/19/21) Ultra Nasdaq Cybersecurity - NAV 29.95% -2.18% Ultra Nasdaq Cybersecurity - Market Price 30.02% -2.16% Nasdaq CTA Cybersecurity Index℠ 22.84% 6.25% Nasdaq-100 ® 31.12% 12.04% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ Nasdaq ® SM |
AssetsNet | $ 3,297,031 | $ 3,297,031 | $ 3,297,031 | $ 3,297,031 | $ 3,297,031 | $ 3,297,031 |
Holdings Count | Holding | 5 | 5 | 5 | 5 | 5 | 5 |
Advisory Fees Paid, Amount | | | | | | $ 0 |
InvestmentCompanyPortfolioTurnover | | | | | | 0% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $3,297,031 Number of Portfolio Holdings 5 Net Investment Advisory Fees $- Portfolio Turnover Rate -% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Swap Agreements 200% Total 200% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets Repurchase Agreements with various counterparties 72.5% |
Material Fund Change [Text Block] | | | | | | |
C000051863 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | UltraShort 20+ Year Treasury |
Trading Symbol | | | | | | TBT |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about UltraShort 20+ Year Treasury (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G1996"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment TBT $103 0.91% |
Expenses Paid, Amount | | | | | | $ 103 |
Expense Ratio, Percent | | | | | | 0.91% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? UltraShort 20+ Year Treasury(the Fund) seeks daily investment results, before fees and expenses, that correspond to two times the inverse (-2x) of the daily performance of the ICE U.S. Treasury 20+ Year Bond Index (the Index).The Fund invests in financial instruments that the Advisor believes, in combination, should produce daily returns consistent with the Funds investment objective. For the year ended May 31, 2024, the Fund had a total return of 27.43% and an average daily statistical correlation of over 0.99 to two times the inverse of the return of the Index. For the same period, the Index had a total return of -8.61% and a volatility of 16.39%. The index performance was driven by factors such as quantitative tightening and lingering inflation which drove higher longer-term treasury yields. Primary factors affecting Fund performance include the total return of the derivatives held by the Fund, the performance of the reference assets to which any derivatives are linked, financing rates paid or earned, the types of derivative contracts used and their correlation to the Funds Index, expenses, transaction costs, the volatility of the Funds Index (and its impact on compounding), and other miscellaneous factors. |
Line Graph [Table Text Block] | | | | | | UltraShort 20+ Year Treasury : $6,570 ICE U.S. Treasury 20+ Year Bond Index : $10,199 ICE U.S Treasury Core Bond Index : $10,823 5/31/2014 10,000 10,000 10,000 6/30/2014 10,006.66 9,979 9,986 9/30/2014 9,315.42 10,277.92 10,019.95 12/31/2014 7,685.72 11,239.29 10,215.34 3/31/2015 6,929.98 11,710.75 10,381.85 6/30/2015 8,167.77 10,648.59 10,215.74 9/30/2015 7,183.17 11,215.09 10,394.52 12/31/2015 7,269.47 11,060.32 10,296.81 3/31/2016 6,092.96 11,999.35 10,626.31 6/30/2016 5,272.5 12,810.72 10,853.71 9/30/2016 5,242.29 12,771.88 10,818.98 12/31/2016 6,703.86 11,223.31 10,404.61 3/31/2017 6,473.65 11,382.41 10,475.36 6/30/2017 5,947.64 11,858.19 10,598.97 9/30/2017 5,874.41 11,925.78 10,639.25 12/31/2017 5,576.03 12,233.47 10,645.63 3/31/2018 5,972.48 11,822.42 10,520.01 6/30/2018 5,942.76 11,870.89 10,531.58 9/30/2018 6,363.13 11,510.02 10,468.4 12/31/2018 5,901.69 11,991.14 10,737.43 3/31/2019 5,425.92 12,557.12 10,965.07 6/30/2019 4,859.93 13,325.62 11,295.12 9/30/2019 4,136.6 14,410.32 11,566.2 12/31/2019 4,497.37 13,799.32 11,474.83 3/31/2020 2,748.19 16,902.79 12,450.19 6/30/2020 2,713.5 16,784.47 12,477.58 9/30/2020 2,671.33 16,811.33 12,500.04 12/31/2020 2,799.14 16,293.54 12,396.28 3/31/2021 3,722.77 13,979.86 11,859.53 6/30/2021 3,213.94 15,004.58 12,083.67 9/30/2021 3,134.04 15,019.58 12,077.63 12/31/2021 2,887.63 15,587.32 12,110.24 3/31/2022 3,503.24 13,899.22 11,447.81 6/30/2022 4,469.84 12,211.85 11,029.96 9/30/2022 5,425.97 10,899.08 10,524.79 12/31/2022 5,602.58 10,749.76 10,600.57 3/31/2023 4,857.74 11,450.64 10,917.53 6/30/2023 5,178.31 11,178.12 10,765.77 9/30/2023 6,953.42 9,724.96 10,436.34 12/31/2023 5,459.96 10,981.43 11,010.34 3/31/2024 5,999.55 10,586.1 10,911.25 5/31/2024 6,570.41 10,198.65 10,822.87 |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years UltraShort 20+ Year Treasury - NAV 27.43% 5.73% -4.11% UltraShort 20+ Year Treasury - Market Price 27.67% 5.83% -4.14% ICE U.S. Treasury 20+ Year Bond Index - -4.96% 0.19% ICE U.S Treasury Core Bond Index - -0.67% 0.79% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ The "ICE U.S. Treasury 20+ Year Bond Index" is a trademark of Intercontinental Exchange Inc. ("ICE") and has been licensed for use by ProShares. ProShares have not been passed on by ICE as to their legality or suitability. ProShares based on ICE indexes are not sponsored, endorsed, sold or promoted by ICE or its affiliates, and they make no representation regarding the advisability of investing in ProShares, or the ability of the index to track general financial market performance. |
AssetsNet | $ 362,567,813 | $ 362,567,813 | $ 362,567,813 | $ 362,567,813 | $ 362,567,813 | $ 362,567,813 |
Holdings Count | Holding | 13 | 13 | 13 | 13 | 13 | 13 |
Advisory Fees Paid, Amount | | | | | | $ 3,292,757 |
InvestmentCompanyPortfolioTurnover | | | | | | 0% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $362,567,813 Number of Portfolio Holdings 13 Net Investment Advisory Fees $3,292,757 Portfolio Turnover Rate -% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Swap Agreements (199)% Futures Contracts (3)% Total (202)% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets U.S. Treasury Bills 80.4% Repurchase Agreements with various counterparties 21.8% |
Material Fund Change [Text Block] | | | | | | |
C000230304 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | S&P Kensho Smart Factories ETF |
Trading Symbol | | | | | | MAKX |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about S&P Kensho Smart Factories ETF (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/shareholder_reports</span>" id="sjs-G2020"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment MAKX $61 0.58% |
Expenses Paid, Amount | | | | | | $ 61 |
Expense Ratio, Percent | | | | | | 0.58% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? S&P Kensho Smart Factories ETF (the Fund) seeks investment results, before fees and expenses, that track the performance of the S&P Kensho Smart Factories Index (the Index). The Fund invests in financial instruments that the Advisor believes, in combination, should track the performance of the Index. Technology stocks drove positive returns but the absence of Magnificent 7 exposure drove underperformance compared to the S&P 500 ® ® had a total return of 8.81% and a volatility of 22.19%. Primary factors affecting Fund performance include the total return of the securities held by the Fund, expenses, transaction costs, the volatility of the Funds index, and other miscellaneous factors. |
Average Annual Return [Table Text Block] | | | | | | Fund/Index Name One Year Since Inception (9/29/21) S&P Kensho Smart Factories ETF - NAV 8.94% -2.06% S&P Kensho Smart Factories ETF - Market Price 8.84% -2.10% S&P Kensho Smart Factories Index 8.81% -1.86% S&P Total Market Index 27.68% 7.29% |
AssetsNet | $ 937,434 | $ 937,434 | $ 937,434 | $ 937,434 | $ 937,434 | $ 937,434 |
Holdings Count | Holding | 24 | 24 | 24 | 24 | 24 | 24 |
Advisory Fees Paid, Amount | | | | | | $ 5,177 |
InvestmentCompanyPortfolioTurnover | | | | | | 32% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $937,434 Number of Portfolio Holdings 24 Net Investment Advisory Fees $5,177 Portfolio Turnover Rate 32% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Equity Securities 100% Total 100% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets Ouster, Inc. 6.7% Aspen Technology, Inc. 6.0% Emerson Electric Co. 5.6% Cognex Corp. 5.5% Rockwell Automation, Inc. 5.3% Autodesk, Inc. 5.3% Hollysys Automation Technologies Ltd. 5.1% 3D Systems Corp. 4.8% Ambarella, Inc. 4.8% SK Telecom Co. Ltd. (ADR) 4.4% |
Material Fund Change [Text Block] | | | | | | |
C000051857 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | UltraShort MSCI Emerging Markets |
Trading Symbol | | | | | | EEV |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about UltraShort MSCI Emerging Markets (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G2043"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment EEV $87 0.95% |
Expenses Paid, Amount | | | | | | $ 87 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? UltraShort MSCI Emerging Markets(the Fund) seeks daily investment results, before fees and expenses, that correspond to two times the inverse (-2x) of the daily performance of the MSCI Emerging Markets Index (the Index).The Fund invests in financial instruments that the Advisor believes, in combination, should produce daily returns consistent with the Funds investment objective. For the year ended May 31, 2024, the Fund had a total return of -16.71% and an average daily statistical correlation of over 0.99 to two times the inverse of the return of the Index. For the same period, the Index had a total return of 12.39% and a volatility of 12.68%. The index performance was muted relative to the S&P 500 ® ® |
Line Graph [Table Text Block] | | | | | | Value Based on a $10,000 Investment Footnote Reference UltraShort MSCI Emerging Markets : $2,128 MSCI Emerging Markets Index : $13,009 5/31/2014 10,000 10,000 6/30/2014 9,504.06 10,266 9/30/2014 10,074.47 9,907.2 12/31/2014 10,643.33 9,460.88 3/31/2015 9,882.31 9,672.71 6/30/2015 9,775.01 9,739.45 9/30/2015 13,365.45 7,996.09 12/31/2015 12,865.81 8,048.87 3/31/2016 10,685.51 8,508.46 6/30/2016 9,954.55 8,564.75 9/30/2016 8,138.19 9,337.85 12/31/2016 8,838.3 8,948.98 3/31/2017 6,897.57 9,973.19 6/30/2017 6,126.08 10,598.51 9/30/2017 5,187.67 11,434.73 12/31/2017 4,510.39 12,285.48 3/31/2018 4,116.9 12,459.93 6/30/2018 4,961.78 11,468.12 9/30/2018 4,963.07 11,343.12 12/31/2018 5,595.07 10,496.92 3/31/2019 4,574.15 11,537.17 6/30/2019 4,470.87 11,607.54 9/30/2019 4,882.1 11,114.22 12/31/2019 3,864.17 12,430.15 3/31/2020 5,367.98 9,496.63 6/30/2020 3,578.69 11,213.62 9/30/2020 2,841.79 12,285.64 12/31/2020 1,976.08 14,705.92 3/31/2021 1,770.21 15,042.68 6/30/2021 1,604.73 15,802.34 9/30/2021 1,864.9 14,523.93 12/31/2021 1,881.12 14,333.67 3/31/2022 2,078.56 13,334.61 6/30/2022 2,476.1 11,807.8 9/30/2022 3,219.6 10,441.63 12/31/2022 2,572.15 11,454.47 3/31/2023 2,373.42 11,908.07 6/30/2023 2,353.46 12,015.24 9/30/2023 2,582.54 11,663.2 12/31/2023 2,242.36 12,579.92 3/31/2024 2,181.58 12,842.84 5/31/2024 2,127.62 13,008.52 Footnote Description Footnote * The line graph represents historical performance of a hypothetical investment of $10,000 in the ProShares UltraShort MSCI Emerging Markets from May 31, 2014 to May 31, 2024, assuming the reinvestment of distributions. |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years UltraShort MSCI Emerging Markets - NAV - -15.89% -14.34% UltraShort MSCI Emerging Markets - Market Price -16.51% -15.85% -14.33% MSCI Emerging Markets Index 12.39% 3.54% 2.66% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ "MSCI" is a service mark of MSCI and has been licensed for use by ProShares. This ETF is not sponsored, endorsed, sold or promoted by MSCI and MSCI makes no representation regarding the advisability of investing in this ETF. |
AssetsNet | $ 5,382,685 | $ 5,382,685 | $ 5,382,685 | $ 5,382,685 | $ 5,382,685 | $ 5,382,685 |
Holdings Count | Holding | 5 | 5 | 5 | 5 | 5 | 5 |
Advisory Fees Paid, Amount | | | | | | $ 0 |
InvestmentCompanyPortfolioTurnover | | | | | | 0% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $5,382,685 Number of Portfolio Holdings 5 Net Investment Advisory Fees $- Portfolio Turnover Rate -% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Swap Agreements (200)% Total (200)% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets Repurchase Agreements with various counterparties 82.3% |
Material Fund Change [Text Block] | | | | | | |
C000224815 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | Ultra Nasdaq Cloud Computing |
Trading Symbol | | | | | | SKYU |
Security Exchange Name | | | | | | NASDAQ |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about Ultra Nasdaq Cloud Computing (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G2067"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment SKYU $113 0.95% |
Expenses Paid, Amount | | | | | | $ 113 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? Ultra Nasdaq Cloud Computing(the Fund) seeks daily investment results, before fees and expenses, that correspond to two times (2x) the daily performance of the ISE CTA Cloud Computing Index (the Index).The Fund invests in financial instruments that the Advisor believes, in combination, should produce daily returns consistent with the Funds investment objective. For the year ended May 31, 2024, the Fund had a total return of 38.39% and an average daily statistical correlation of over 0.99 to twice that of the return of the Index. For the same period, the Index had a total return of 24.85% and a volatility of 21.89%. The index performance was driven by factors such as strength from several "Magnificent Seven" constituents and enthusiasm around AI-related opportunities. Primary factors affecting Fund performance include the total return of the securities and derivatives held by the Fund, the performance of the reference assets to which any derivatives are linked, financing rates paid or earned, expenses, transaction costs, the volatility of the Funds Index (and its impact on compounding), and other miscellaneous factors. |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Since Inception (1/19/21) Ultra Nasdaq Cloud Computing - NAV 38.39% -16.55% Ultra Nasdaq Cloud Computing - Market Price 38.46% -16.54% ISE CTA Cloud Computing Index 24.85% -1.88% Nasdaq-100 ® 31.12% 12.04% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ Nasdaq ® |
AssetsNet | $ 2,721,171 | $ 2,721,171 | $ 2,721,171 | $ 2,721,171 | $ 2,721,171 | $ 2,721,171 |
Holdings Count | Holding | 71 | 71 | 71 | 71 | 71 | 71 |
Advisory Fees Paid, Amount | | | | | | $ 0 |
InvestmentCompanyPortfolioTurnover | | | | | | 59% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $2,721,171 Number of Portfolio Holdings 71 Net Investment Advisory Fees $- Portfolio Turnover Rate 59% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Equity Securities 83% Swap Agreements 117% Total 200% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets Alphabet, Inc., Class A 4.1% Pure Storage, Inc., Class A 3.8% Arista Networks, Inc. 3.6% Oracle Corp. 3.5% Microsoft Corp. 3.3% Amazon.com, Inc. 3.3% International Business Machines Corp. 3.0% Nutanix, Inc., Class A 2.9% Dell Technologies, Inc., Class C 2.4% AppLovin Corp., Class A 2.3% |
Material Fund Change [Text Block] | | | | | | |
C000051862 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | UltraShort 7-10 Year Treasury |
Trading Symbol | | | | | | PST |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about UltraShort 7-10 Year Treasury (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G2090"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment PST $103 0.95% |
Expenses Paid, Amount | | | | | | $ 103 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? UltraShort 7-10 Year Treasury(the Fund) seeks daily investment results, before fees and expenses, that correspond to two times the inverse (-2x) of the daily performance of the ICE U.S. Treasury 7-10 Year Bond Index (the Index). The Fund invests in financial instruments that the Advisor believes, in combination, should produce daily returns consistent with the Funds investment objective. For the year ended May 31, 2024, the Fund had a total return of 17.44% and an average daily statistical correlation of over 0.99 to two times the inverse of the return of the Index. For the same period, the Index had a total return of -2.20% and a volatility of 7.97%. The index performance was driven by factors such as quantitative tightening and lingering inflation which drove higher longer-term treasury yields. Primary factors affecting Fund performance include the total return of the derivatives held by the Fund, the performance of the reference assets to which any derivatives are linked, financing rates paid or earned, the types of derivative contracts used and their correlation to the Funds Index, expenses, transaction costs, the volatility of the Funds Index (and its impact on compounding), and other miscellaneous factors. |
Line Graph [Table Text Block] | | | | | | UltraShort 7-10 Year Treasury : $9,717 ICE U.S. Treasury 7-10 Year Bond Index : $10,884 ICE U.S Treasury Core Bond Index : $10,823 5/31/2014 10,000 10,000 10,000 6/30/2014 10,027.75 9,976 9,986 9/30/2014 9,877.2 10,022.75 10,019.95 12/31/2014 9,222.02 10,336.04 10,215.34 3/31/2015 8,702.86 10,598.04 10,381.85 6/30/2015 9,072.3 10,340.5 10,215.74 9/30/2015 8,489.15 10,648.65 10,394.52 12/31/2015 8,667.85 10,504.89 10,296.81 3/31/2016 7,875.64 10,995.47 10,626.31 6/30/2016 7,431.47 11,298.69 10,853.71 9/30/2016 7,489.28 11,240.21 10,818.98 12/31/2016 8,373 10,613.06 10,404.61 3/31/2017 8,207.66 10,715.38 10,475.36 6/30/2017 7,995.56 10,865.39 10,598.97 9/30/2017 7,951.31 10,913.2 10,639.25 12/31/2017 8,025.14 10,885.92 10,645.63 3/31/2018 8,382.83 10,682.35 10,520.01 6/30/2018 8,469.38 10,670.6 10,531.58 9/30/2018 8,692.88 10,586.3 10,468.4 12/31/2018 8,174.46 10,983.29 10,737.43 3/31/2019 7,822.23 11,298.51 10,965.07 6/30/2019 7,331.97 11,744.8 11,295.12 9/30/2019 7,019.64 12,064.26 11,566.2 12/31/2019 7,246.23 11,915.87 11,474.83 3/31/2020 5,934.91 13,147.97 12,450.19 6/30/2020 5,826.85 13,243.95 12,477.58 9/30/2020 5,770.6 13,279.71 12,500.04 12/31/2020 5,894.58 13,107.07 12,396.28 3/31/2021 6,595.88 12,345.55 11,859.53 6/30/2021 6,244.36 12,675.18 12,083.67 9/30/2021 6,208.99 12,648.56 12,077.63 12/31/2021 6,140.18 12,704.21 12,110.24 3/31/2022 6,952.87 11,873.36 11,447.81 6/30/2022 7,555.5 11,366.37 11,029.96 9/30/2022 8,496.22 10,707.12 10,524.79 12/31/2022 8,508 10,812.05 10,600.57 3/31/2023 8,036.52 11,195.87 10,917.53 6/30/2023 8,570.23 10,987.63 10,765.77 9/30/2023 9,663.49 10,503.08 10,436.34 12/31/2023 8,764.34 11,177.37 11,010.34 3/31/2024 9,267.59 11,026.48 10,911.25 5/31/2024 9,716.87 10,884.24 10,822.87 |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years UltraShort 7-10 Year Treasury - NAV 17.44% 5.30% -0.29% UltraShort 7-10 Year Treasury - Market Price 17.56% 5.37% -0.30% ICE U.S. Treasury 7-10 Year Bond Index - -1.24% 0.85% ICE U.S Treasury Core Bond Index - -0.67% 0.79% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ The "ICE U.S. Treasury 7-10 Year Bond Index" is a trademark of Intercontinental Exchange Inc. ("ICE") and has been licensed for use by ProShares. ProShares have not been passed on by ICE as to their legality or suitability. ProShares based on ICE indexes are not sponsored, endorsed, sold or promoted by ICE or its affiliates, and they make no representation regarding the advisability of investing in ProShares, or the ability of the index to track general financial market performance. |
AssetsNet | $ 17,063,084 | $ 17,063,084 | $ 17,063,084 | $ 17,063,084 | $ 17,063,084 | $ 17,063,084 |
Holdings Count | Holding | 6 | 6 | 6 | 6 | 6 | 6 |
Advisory Fees Paid, Amount | | | | | | $ 127,135 |
InvestmentCompanyPortfolioTurnover | | | | | | 0% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $17,063,084 Number of Portfolio Holdings 6 Net Investment Advisory Fees $127,135 Portfolio Turnover Rate -% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Swap Agreements (198)% Futures Contracts (3)% Total (201)% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets Repurchase Agreements with various counterparties 75.4% |
Material Fund Change [Text Block] | | | | | | |
C000230303 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | Smart Materials ETF |
Trading Symbol | | | | | | TINT |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about Smart Materials ETF (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/shareholder_reports</span>" id="sjs-G2114"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment TINT $61 0.58% |
Expenses Paid, Amount | | | | | | $ 61 |
Expense Ratio, Percent | | | | | | 0.58% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? Smart Materials ETF (the Fund) seeks investment results, before fees and expenses, that track the performance of the Solactive Smart Materials Index (the Index). The Fund invests in financial instruments that the Advisor believes, in combination, should track the performance of the Index. Strong technology returns drove performance, though a material allocation to South Korea was a relative detractor. For the year ended May 31, 2024, the Fund had a total return of 10.26%. For the same period, the Index had a total return of 10.85% and a volatility of 14.12%. Primary factors affecting Fund performance include the total return of the securities held by the Fund, expenses, transaction costs, the volatility of the Funds index, and other miscellaneous factors. |
Average Annual Return [Table Text Block] | | | | | | Fund/Index Name One Year Since Inception (10/26/21) Smart Materials ETF - NAV 10.26% -5.37% Smart Materials ETF - Market Price 10.21% -5.31% Solactive Smart Materials Index 10.85% -5.08% S&P Global 1200 Index 24.99% 5.82% |
AssetsNet | $ 1,690,916 | $ 1,690,916 | $ 1,690,916 | $ 1,690,916 | $ 1,690,916 | $ 1,690,916 |
Holdings Count | Holding | 30 | 30 | 30 | 30 | 30 | 30 |
Advisory Fees Paid, Amount | | | | | | $ 9,373 |
InvestmentCompanyPortfolioTurnover | | | | | | 44% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $1,690,916 Number of Portfolio Holdings 30 Net Investment Advisory Fees $9,373 Portfolio Turnover Rate 44% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Equity Securities 99% Total 99% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets Corning, Inc. 5.1% Axalta Coating Systems Ltd. 4.9% DuPont de Nemours, Inc. 4.8% Universal Display Corp. 4.8% NIDEC Corp. 4.8% Cabot Corp. 4.7% 3M Co. 4.7% Hexcel Corp. 4.6% Applied Materials, Inc. 4.6% Sika AG (Registered) 4.5% |
Material Fund Change [Text Block] | | | | | | |
C000088640 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | Ultra FTSE Europe |
Trading Symbol | | | | | | UPV |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about Ultra FTSE Europe (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G2137"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment UPV $110 0.95% |
Expenses Paid, Amount | | | | | | $ 110 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? Ultra FTSE Europe(the Fund) seeks daily investment results, before fees and expenses, that correspond to two times (2x) the daily performance of the FTSE Developed Europe All Cap Index (the Index) . ® ® |
Line Graph [Table Text Block] | | | | | | Value Based on a $10,000 Investment Footnote Reference Ultra FTSE Europe : $12,751 FTSE Developed Europe All Cap Index : $17,252 S&P Global 1200 Index : $25,156 5/31/2014 10,000 10,000 10,000 6/30/2014 9,974.210000 9,990 10,180 9/30/2014 8,485.840000 9,288.010000 9,976.400000 12/31/2014 7,664.730000 8,890.840000 10,072.170000 3/31/2015 8,223.830000 9,198.510000 10,291.750000 6/30/2015 8,337.650000 9,244.500000 10,353.500000 9/30/2015 6,895.520000 8,455.020000 9,461.030000 12/31/2015 7,096.640000 8,673.160000 9,986.110000 3/31/2016 6,700.230000 8,462.400000 10,003.090000 6/30/2016 6,250.990000 8,226.300000 10,139.130000 9/30/2016 6,832.540000 8,701.780000 10,653.190000 12/31/2016 6,629.370000 8,641.740000 10,874.770000 3/31/2017 7,707.400000 9,294.190000 11,614.260000 6/30/2017 8,981.800000 10,024.710000 12,114.830000 9/30/2017 10,060.010000 10,697.370000 12,747.220000 12/31/2017 10,376.550000 10,960.530000 13,468.720000 3/31/2018 9,967.070000 10,762.140000 13,331.340000 6/30/2018 9,531.660000 10,654.520000 13,516.640000 9/30/2018 9,498.070000 10,714.190000 14,201.940000 12/31/2018 7,035.620000 9,299.910000 12,368.470000 3/31/2019 8,516.850000 10,316.390000 13,886.080000 6/30/2019 9,121.710000 10,779.600000 14,456.790000 9/30/2019 8,683.640000 10,569.400000 14,560.880000 12/31/2019 10,371.360000 11,586.170000 15,858.260000 3/31/2020 5,251.140000 8,680.360000 12,572.430000 6/30/2020 6,989.490000 10,083.980000 14,913.410000 9/30/2020 7,583.530000 10,614.390000 16,048.320000 12/31/2020 10,008.120000 12,342.420000 18,327.190000 3/31/2021 10,945.270000 12,858.330000 19,296.690000 6/30/2021 12,653.030000 13,830.420000 20,749.730000 9/30/2021 12,080.270000 13,650.620000 20,614.860000 12/31/2021 13,240.010000 14,359.090000 22,276.420000 3/31/2022 10,839.140000 13,226.160000 21,227.200000 6/30/2022 7,933.620000 11,222.400000 17,977.320000 9/30/2022 5,939.590000 10,018.230000 16,754.860000 12/31/2022 8,414.630000 11,996.830000 18,527.520000 3/31/2023 10,014.910000 13,218.110000 19,954.140000 6/30/2023 10,412.720000 13,593.510000 21,323 9/30/2023 9,062.060000 14,275.900000 20,542.570000 12/31/2023 11,119.500000 15,931.900000 22,861.830000 3/31/2024 12,016.670000 16,712.570000 24,919.390000 5/31/2024 12,750.670000 17,252.380000 25,156.130000 Footnote Description Footnote * The line graph represents historical performance of a hypothetical investment of $10,000 in the ProShares Ultra FTSE Europe from May 31, 2014 to May 31, 2024, assuming the reinvestment of distributions. |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years Ultra FTSE Europe - NAV 32.12% 9.50% 2.46% Ultra FTSE Europe - Market Price 31.90% 9.58% 2.43% FTSE Developed Europe All Cap Index 20.20% 9.06% 4.66% S&P Global 1200 Index 24.99% 13.13% 9.66% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ "FTSE ® |
AssetsNet | $ 5,021,081 | $ 5,021,081 | $ 5,021,081 | $ 5,021,081 | $ 5,021,081 | $ 5,021,081 |
Holdings Count | Holding | 7 | 7 | 7 | 7 | 7 | 7 |
Advisory Fees Paid, Amount | | | | | | $ 0 |
InvestmentCompanyPortfolioTurnover | | | | | | 0% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $5,021,081 Number of Portfolio Holdings 7 Net Investment Advisory Fees $- Portfolio Turnover Rate -% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Swap Agreements 199% Total 199% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets Repurchase Agreements with various counterparties 50.2% |
Material Fund Change [Text Block] | | | | | | |
C000018465 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | Ultra QQQ |
Trading Symbol | | | | | | QLD |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about Ultra QQQ (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G2161"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment QLD $121 0.95% |
Expenses Paid, Amount | | | | | | $ 121 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? Ultra QQQ ® ( ® |
Line Graph [Table Text Block] | | | | | | Ultra QQQ : $134,553 Nasdaq-100 ® 5/31/2014 10,000 10,000 6/30/2014 10,610.710000 10,309 9/30/2014 11,730.210000 10,878.940000 12/31/2014 12,773.760000 11,411.650000 3/31/2015 13,324.520000 11,711.240000 6/30/2015 13,677.790000 11,915.020000 9/30/2015 12,199.280000 11,363.350000 12/31/2015 14,656.440000 12,523.550000 3/31/2016 13,815.210000 12,285.600000 6/30/2016 13,348.660000 12,145.660000 9/30/2016 16,234.720000 13,446.070000 12/31/2016 16,123.250000 13,456.230000 3/31/2017 20,116.560000 15,083.510000 6/30/2017 21,627.690000 15,715.510000 9/30/2017 24,125.810000 16,685.160000 12/31/2017 27,498.670000 17,896.500000 3/31/2018 28,613.420000 18,460.240000 6/30/2018 32,421.770000 19,802.300000 9/30/2018 37,744.940000 21,507.280000 12/31/2018 25,192.640000 17,902.660000 3/31/2019 33,787.290000 20,926.420000 6/30/2019 36,100.920000 21,815.790000 9/30/2019 36,362.240000 22,097.210000 12/31/2019 45,869.090000 24,967.640000 3/31/2020 33,726.310000 22,398.470000 6/30/2020 55,631.720000 29,185.210000 9/30/2020 68,971.160000 32,868.380000 12/31/2020 86,707.950000 37,170.850000 3/31/2021 88,060.990000 37,825.060000 6/30/2021 108,041.330000 42,129.550000 9/30/2021 109,518.800000 42,588.760000 12/31/2021 133,811.680000 47,392.770000 3/31/2022 107,831.880000 43,170.080000 6/30/2022 62,263.450000 33,543.150000 9/30/2022 55,149.400000 32,060.540000 12/31/2022 52,866.430000 32,047.720000 3/31/2023 74,817.920000 38,704.030000 6/30/2023 97,210 44,660.580000 9/30/2023 89,540.390000 43,383.290000 12/31/2023 114,762.760000 49,717.250000 3/31/2024 132,393.400000 54,052.590000 5/31/2024 134,553.370000 54,960.670000 |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years Ultra QQQ - NAV 55.71% 33.86% 29.68% Ultra QQQ - Market Price 55.74% 33.91% 29.70% Nasdaq-100 ® 31.12% 22.07% 18.54% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ "QQQ ® ® ® |
AssetsNet | $ 6,315,590,871 | $ 6,315,590,871 | $ 6,315,590,871 | $ 6,315,590,871 | $ 6,315,590,871 | $ 6,315,590,871 |
Holdings Count | Holding | 119 | 119 | 119 | 119 | 119 | 119 |
Advisory Fees Paid, Amount | | | | | | $ 38,923,286 |
InvestmentCompanyPortfolioTurnover | | | | | | 24% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $6,315,590,871 Number of Portfolio Holdings 119 Net Investment Advisory Fees $38,923,286 Portfolio Turnover Rate 24% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Equity Securities 75% Swap Agreements 115% Futures Contracts 10% Total 200% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets Microsoft Corp. 6.4% Apple, Inc. 6.2% NVIDIA Corp. 5.7% Alphabet, Inc. 4.2% Amazon.com, Inc. 3.8% Meta Platforms, Inc., Class A 3.4% Broadcom, Inc. 3.3% Costco Wholesale Corp. 1.9% Tesla, Inc. 1.8% Netflix, Inc. 1.5% |
Material Fund Change [Text Block] | | | | | | |
C000038858 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | UltraShort Consumer Discretionary |
Trading Symbol | | | | | | SCC |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about UltraShort Consumer Discretionary (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G2185"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment SCC $83 0.95% |
Expenses Paid, Amount | | | | | | $ 83 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? UltraShort Consumer Discretionary(the Fund) seeks daily investment results, before fees and expenses, that correspond to two times the inverse (-2x) of the daily performance of the S&P Consumer Discretionary Select Sector Index (the Index). The Fund invests in financial instruments that the Advisor believes, in combination, should produce daily returns consistent with the Funds investment objective. For the year ended May 31, 2024, the Fund had a total return of -25.26% and an average daily statistical correlation of over 0.99 to two times the inverse of the return of the Index. For the same period, the Index had a total return of 17.05% and a volatility of 17.33%. The index performance was driven by factors such as a resilient consumer in the face of stubborn inflation. Primary factors affecting Fund performance include the total return of the derivatives held by the Fund, the performance of the reference assets to which any derivatives are linked, financing rates paid or earned, expenses, transaction costs, the volatility of the Funds Index (and its impact on compounding), and other miscellaneous factors. |
Line Graph [Table Text Block] | | | | | | UltraShort Consumer Discretionary : $618 S&P Consumer Discretionary Select Sector Index : $26,768 S&P 500 ® 5/31/2014 10,000 10,000 10,000 6/30/2014 9,684.630000 10,199 10,207 9/30/2014 9,377.820000 10,306.610000 10,322.120000 12/31/2014 7,466.720000 11,439.160000 10,831.280000 3/31/2015 6,639.510000 12,026.250000 10,934.250000 6/30/2015 6,621.390000 11,976.950000 10,964.860000 9/30/2015 6,868.040000 11,560.150000 10,258.730000 12/31/2015 6,051.020000 12,193.640000 10,980.940000 3/31/2016 5,757 12,333.870000 11,129.180000 6/30/2016 5,803.270000 12,195.210000 11,402.430000 9/30/2016 5,451.410000 12,529.490000 11,841.660000 12/31/2016 5,083.710000 12,923.620000 12,294.510000 3/31/2017 4,435.690000 13,821.890000 13,040.310000 6/30/2017 4,223.700000 14,143.940000 13,443.260000 9/30/2017 4,186.500000 14,201.930000 14,045.520000 12/31/2017 3,493.860000 15,555.370000 14,978.140000 3/31/2018 3,301.480000 15,854.030000 14,864.310000 6/30/2018 2,886.800000 16,911.500000 15,374.150000 9/30/2018 2,410.640000 18,546.840000 16,559.500000 12/31/2018 3,132.280000 15,876.100000 14,320.660000 3/31/2019 2,430.150000 18,001.900000 16,275.430000 6/30/2019 2,121.830000 19,253.040000 16,975.270000 9/30/2019 2,134.060000 19,116.340000 17,263.850000 12/31/2019 1,925.420000 20,152.450000 18,829.680000 3/31/2020 2,524.620000 16,353.710000 15,139.060000 6/30/2020 1,495.810000 20,618.760000 18,248.630000 9/30/2020 1,117.200000 23,478.580000 19,878.230000 12/31/2020 876.760000 26,150.440000 22,293.430000 3/31/2021 795.160000 27,133.700000 23,668.940000 6/30/2021 710.300000 28,528.370000 25,692.630000 9/30/2021 710.700000 28,311.550000 25,841.650000 12/31/2021 650.530000 29,291.130000 28,691.980000 3/31/2022 746.110000 26,587.560000 27,372.150000 6/30/2022 1,188.190000 20,108.170000 22,965.230000 9/30/2022 1,113.710000 20,299.200000 21,844.530000 12/31/2022 1,062.530000 20,425.060000 23,495.980000 3/31/2023 844.950000 22,555.390000 25,258.180000 6/30/2023 656.310000 25,681.570000 27,465.740000 9/30/2023 729.630000 24,382.080000 26,567.610000 12/31/2023 590.620000 27,144.570000 29,673.360000 3/31/2024 560.310000 27,996.910000 32,806.870000 5/31/2024 617.740000 26,767.840000 33,026.680000 |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years UltraShort Consumer Discretionary - NAV - -23.93% -24.30% UltraShort Consumer Discretionary - Market Price -25.12% -23.92% -24.34% S&P Consumer Discretionary Select Sector Index 17.05% 10.78% 11.79% S&P 500 ® 28.19% 15.79% 12.68% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ The "S&P Consumer Discretionary Select Sector Index" is a product of S&P Dow Jones Indices LLC and its affiliates and has been licensed for use by ProShares. "S&P ® ® |
AssetsNet | $ 1,851,976 | $ 1,851,976 | $ 1,851,976 | $ 1,851,976 | $ 1,851,976 | $ 1,851,976 |
Holdings Count | Holding | 6 | 6 | 6 | 6 | 6 | 6 |
Advisory Fees Paid, Amount | | | | | | $ 0 |
InvestmentCompanyPortfolioTurnover | | | | | | 0% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $1,851,976 Number of Portfolio Holdings 6 Net Investment Advisory Fees $- Portfolio Turnover Rate -% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Swap Agreements (200)% Total (200)% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets U.S. Treasury Bills 63.2% Repurchase Agreements with various counterparties 14.1% |
Material Fund Change [Text Block] | | | | | | |
C000234857 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | Supply Chain Logistics ETF |
Trading Symbol | | | | | | SUPL |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about Supply Chain Logistics ETF (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/shareholder_reports</span>" id="sjs-G2209"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment SUPL $62 0.58% |
Expenses Paid, Amount | | | | | | $ 62 |
Expense Ratio, Percent | | | | | | 0.58% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? Supply Chain Logistics ETF (the Fund) seeks investment results, before fees and expenses, that track the performance of the FactSet Supply Chain Logistics Index (the Index). The Fund invests in financial instruments that the Advisor believes, in combination, should track the performance of the Index. Strong industrial sector returns drove performance, though a material allocation to Canadian stocks was a relative detractor. For the year ended May 31, 2024, the Fund had a total return of 13.00%. For the same period, the Index had a total return of 13.79% and a volatility of 13.19%. Primary factors affecting Fund performance include the total return of the securities held by the Fund, expenses, transaction costs, the volatility of the Funds index, and other miscellaneous factors. |
Average Annual Return [Table Text Block] | | | | | | Fund/Index Name One Year Since Inception (4/6/22) Supply Chain Logistics ETF - NAV 13.00% 3.86% Supply Chain Logistics ETF - Market Price 13.10% 3.74% FactSet Supply Chain Logistics Index 13.79% 4.23% S&P Global 1200 Index 24.99% 8.81% |
AssetsNet | $ 2,002,068 | $ 2,002,068 | $ 2,002,068 | $ 2,002,068 | $ 2,002,068 | $ 2,002,068 |
Holdings Count | Holding | 42 | 42 | 42 | 42 | 42 | 42 |
Advisory Fees Paid, Amount | | | | | | $ 11,374 |
InvestmentCompanyPortfolioTurnover | | | | | | 23% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $2,002,068 Number of Portfolio Holdings 42 Net Investment Advisory Fees $11,374 Portfolio Turnover Rate 23% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Equity Securities 99% Total 99% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets Brambles Ltd. 4.5% Amadeus IT Group SA 4.4% CSX Corp. 4.3% Expeditors International of Washington, Inc. 4.3% Union Pacific Corp. 4.3% XPO, Inc. 4.2% Kuehne + Nagel International AG (Registered) 4.1% FedEx Corp. 4.1% Evergreen Marine Corp. Taiwan Ltd. 4.1% United Parcel Service, Inc., Class B 3.9% |
Material Fund Change [Text Block] | | | | | | |
C000038816 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | Ultra Real Estate |
Trading Symbol | | | | | | URE |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about Ultra Real Estate (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G2232"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment URE $98 0.95% |
Expenses Paid, Amount | | | | | | $ 98 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? Ultra Real Estate (the Fund) seeks daily investment results, before fees and expenses, that correspond to two times (2x) the daily performance of the S&P Real Estate Select Sector Index (the Index). The Fund invests in financial instruments that the Advisor believes, in combination, should produce daily returns consistent with the Funds investment objective. For the year ended May 31, 2024, the Fund had a total return of 7.23% and an average daily statistical correlation of over 0.99 to twice that of the return of the Index. For the same period, the Index had a total return of 9.30% and a volatility of 18.37%. %. The index performance was driven by factors such as a challenged office sector and rising mortgage rates which resulted in muted performance relative to the broader U.S. equity market. Primary factors affecting Fund performance include the total return of the securities and derivatives held by the Fund, the performance of the reference assets to which any derivatives are linked, financing rates paid or earned, expenses, transaction costs, the volatility of the Funds Index (and its impact on compounding), and other miscellaneous factors. |
Line Graph [Table Text Block] | | | | | | Ultra Real Estate : $13,995 S&P Real Estate Select Sector Index : $17,258 S&P 500 ® 5/31/2014 10,000 10,000 10,000 6/30/2014 10,205.28 10,032 10,207 9/30/2014 9,603.73 9,764.52 10,322.12 12/31/2014 12,012.54 10,964.14 10,831.28 3/31/2015 12,914.31 11,432.31 10,934.25 6/30/2015 10,576.27 10,395.4 10,964.86 9/30/2015 10,534.13 10,443.21 10,258.73 12/31/2015 11,989.37 11,198.26 10,980.94 3/31/2016 13,056.51 11,774.97 11,129.18 6/30/2016 14,760.5 12,574.94 11,402.43 9/30/2016 14,275.48 12,430.76 11,841.66 12/31/2016 13,233.95 12,044.21 12,294.51 3/31/2017 13,978.38 12,431.54 13,040.31 6/30/2017 14,601.19 12,753.51 13,443.26 9/30/2017 14,792.4 12,897.63 14,045.52 12/31/2017 15,426.71 13,229.1 14,978.14 3/31/2018 13,438.97 12,447.26 14,864.31 6/30/2018 15,416.19 13,415.65 15,374.15 9/30/2018 15,399.02 13,502.85 16,559.5 12/31/2018 13,338.97 12,696.73 14,320.66 3/31/2019 18,034.31 14,865.34 16,275.43 6/30/2019 18,393.05 15,135.89 16,975.27 9/30/2019 20,928.07 16,240.8 17,263.85 12/31/2019 20,994.78 16,369.11 18,829.68 3/31/2020 10,514.27 12,376.68 15,139.06 6/30/2020 12,880.96 14,098.28 18,248.63 9/30/2020 13,208.39 14,390.11 19,878.23 12/31/2020 15,128.24 15,501.03 22,293.43 3/31/2021 17,366.42 16,694.61 23,668.94 6/30/2021 21,469.81 18,644.54 25,692.63 9/30/2021 21,838.94 18,803.02 25,841.65 12/31/2021 28,363.56 21,544.5 28,691.98 3/31/2022 24,434.52 20,144.11 27,372.15 6/30/2022 17,405.16 17,231.27 22,965.23 9/30/2022 13,649.01 15,437.49 21,844.53 12/31/2022 14,352.86 16,122.92 23,495.98 3/31/2023 14,273.56 16,376.05 25,258.18 6/30/2023 14,423.95 16,672.45 27,465.74 9/30/2023 11,681.39 15,188.61 26,567.61 12/31/2023 15,954.23 18,048.62 29,673.36 3/31/2024 15,415.09 17,949.35 32,806.87 5/31/2024 13,994.94 17,258.3 33,026.68 |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years Ultra Real Estate - NAV 7.23% -4.74% 3.42% Ultra Real Estate - Market Price 7.06% -4.74% 3.41% S&P Real Estate Select Sector Index 9.30% 4.37% 6.84% S&P 500 ® 28.19% 15.79% 12.68% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ The "S&P Real Estate Select Sector Index" is a product of S&P Dow Jones Indices LLC and its affiliates and has been licensed for use by ProShares. "S&P ® ® |
AssetsNet | $ 57,552,067 | $ 57,552,067 | $ 57,552,067 | $ 57,552,067 | $ 57,552,067 | $ 57,552,067 |
Holdings Count | Holding | 39 | 39 | 39 | 39 | 39 | 39 |
Advisory Fees Paid, Amount | | | | | | $ 359,116 |
InvestmentCompanyPortfolioTurnover | | | | | | 25% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $57,552,067 Number of Portfolio Holdings 39 Net Investment Advisory Fees $359,116 Portfolio Turnover Rate 25% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Equity Securities 75% Swap Agreements 125% Total 200% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets Prologis, Inc. 7.9% American Tower Corp. 7.1% Equinix, Inc. 5.6% Welltower, Inc. 4.5% Simon Property Group, Inc. 3.8% Digital Realty Trust, Inc. 3.6% Crown Castle, Inc. 3.5% Realty Income Corp. 3.4% Public Storage 3.4% CoStar Group, Inc. 2.5% |
Material Fund Change [Text Block] | | | | | | |
C000051850 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | Short 7-10 Year Treasury |
Trading Symbol | | | | | | TBX |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about Short 7-10 Year Treasury (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G2256"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment TBX $100 0.95% |
Expenses Paid, Amount | | | | | | $ 100 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? Short 7-10 Year Treasury (the Fund) seeks daily investment results, before fees and expenses, that correspond to the inverse (-1x) of the daily performance of the ICE U.S. Treasury 7-10 Year Bond Index (the Index). The Fund invests in financial instruments that the Advisor believes, in combination, should produce daily returns consistent with the Funds investment objective. For the year ended May 31, 2024, the Fund had a total return of 10.87% and an average daily statistical correlation of over 0.99 to the inverse of the return of the Index. For the same period, the Index had a total return of -2.20% and a volatility of 7.97%. The index performance was driven by factors such as quantitative tightening and lingering inflation which drove higher longer-term treasury yields. Primary factors affecting Fund performance include the total return of the derivatives held by the Fund, the performance of the reference assets to which any derivatives are linked, financing rates paid or earned, the types of derivative contracts used and their correlation to the Funds Index, expenses, transaction costs, the volatility of the Funds Index (and its impact on compounding), and other miscellaneous factors. |
Line Graph [Table Text Block] | | | | | | Short 7-10 Year Treasury : $10,200 ICE U.S. Treasury 7-10 Year Bond Index : $10,884 ICE U.S Treasury Core Bond Index : $10,823 5/31/2014 10,000 10,000 10,000 6/30/2014 10,011.12 9,976 9,986 9/30/2014 9,926.92 10,022.75 10,019.95 12/31/2014 9,586.6 10,336.04 10,215.34 3/31/2015 9,309.55 10,598.04 10,381.85 6/30/2015 9,500.58 10,340.5 10,215.74 9/30/2015 9,188.1 10,648.65 10,394.52 12/31/2015 9,282.68 10,504.89 10,296.81 3/31/2016 8,845.05 10,995.47 10,626.31 6/30/2016 8,586.53 11,298.69 10,853.71 9/30/2016 8,612.11 11,240.21 10,818.98 12/31/2016 9,100.47 10,613.06 10,404.61 3/31/2017 9,005.18 10,715.38 10,475.36 6/30/2017 8,884.26 10,865.39 10,598.97 9/30/2017 8,858.73 10,913.2 10,639.25 12/31/2017 8,900.17 10,885.92 10,645.63 3/31/2018 9,098.43 10,682.35 10,520.01 6/30/2018 9,153.29 10,670.6 10,531.58 9/30/2018 9,283.93 10,586.3 10,468.4 12/31/2018 9,017.34 10,983.29 10,737.43 3/31/2019 8,836.16 11,298.51 10,965.07 6/30/2019 8,569.74 11,744.8 11,295.12 9/30/2019 8,397.97 12,064.26 11,566.2 12/31/2019 8,540.3 11,915.87 11,474.83 3/31/2020 7,740.32 13,147.97 12,450.19 6/30/2020 7,662.46 13,243.95 12,477.58 9/30/2020 7,616.36 13,279.71 12,500.04 12/31/2020 7,689.32 13,107.07 12,396.28 3/31/2021 8,126.51 12,345.55 11,859.53 6/30/2021 7,897.9 12,675.18 12,083.67 9/30/2021 7,867.78 12,648.56 12,077.63 12/31/2021 7,817.03 12,704.21 12,110.24 3/31/2022 8,317.42 11,873.36 11,447.81 6/30/2022 8,675.32 11,366.37 11,029.96 9/30/2022 9,215.34 10,707.12 10,524.79 12/31/2022 9,256.56 10,812.05 10,600.57 3/31/2023 9,039.09 11,195.87 10,917.53 6/30/2023 9,380.57 10,987.63 10,765.77 9/30/2023 10,014.99 10,503.08 10,436.34 12/31/2023 9,594.07 11,177.37 11,010.34 3/31/2024 9,919.15 11,026.48 10,911.25 5/31/2024 10,200.31 10,884.24 10,822.87 |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years Short 7-10 Year Treasury - NAV 10.87% 3.32% 0.20% Short 7-10 Year Treasury - Market Price 11.03% 3.35% 0.19% ICE U.S. Treasury 7-10 Year Bond Index - -1.24% 0.85% ICE U.S Treasury Core Bond Index - -0.67% 0.79% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ The "ICE U.S. Treasury 7-10 Year Bond Index" is a trademark of Intercontinental Exchange Inc. ("ICE") and has been licensed for use by ProShares. ProShares have not been passed on by ICE as to their legality or suitability. ProShares based on ICE indexes are not sponsored, endorsed, sold or promoted by ICE or its affiliates, and they make no representation regarding the advisability of investing in ProShares, or the ability of the index to track general financial market performance. |
AssetsNet | $ 19,566,601 | $ 19,566,601 | $ 19,566,601 | $ 19,566,601 | $ 19,566,601 | $ 19,566,601 |
Holdings Count | Holding | 6 | 6 | 6 | 6 | 6 | 6 |
Advisory Fees Paid, Amount | | | | | | $ 131,119 |
InvestmentCompanyPortfolioTurnover | | | | | | 0% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $19,566,601 Number of Portfolio Holdings 6 Net Investment Advisory Fees $131,119 Portfolio Turnover Rate -% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Swap Agreements (98)% Futures Contracts (3)% Total (101)% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets Repurchase Agreements with various counterparties 79.3% U.S. Treasury Bills 10.1% |
Material Fund Change [Text Block] | | | | | | |
C000038857 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | UltraShort Consumer Staples |
Trading Symbol | | | | | | SZK |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about UltraShort Consumer Staples (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G2280"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment SZK $91 0.95% |
Expenses Paid, Amount | | | | | | $ 91 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? UltraShort Consumer Staples(the Fund) seeks daily investment results, before fees and expenses, that correspond to two times the inverse (-2x) of the daily performance of the S&P Consumer Staples Select Sector Index (the Index). The Fund invests in financial instruments that the Advisor believes, in combination, should produce daily returns consistent with the Funds investment objective. For the year ended May 31, 2024, the Fund had a total return of -7.43% and an average daily statistical correlation of over 0.99 to two times the inverse of the return of the Index. For the same period, the Index had a total return of 9.63% and a volatility of 10.55%. The index performance was driven by factors such as a market environment that generally favored leading technology companies over more defensive areas of the market. Primary factors affecting Fund performance include the total return of the derivatives held by the Fund, the performance of the reference assets to which any derivatives are linked, financing rates paid or earned, expenses, transaction costs, the volatility of the Funds Index (and its impact on compounding), and other miscellaneous factors. |
Line Graph [Table Text Block] | | | | | | UltraShort Consumer Staples : $1,158 S&P Consumer Staples Select Sector Index : $22,553 S&P 500 ® 5/31/2014 10,000 10,000 10,000 6/30/2014 9,806.16 9,976 10,207 9/30/2014 9,732.05 9,970.18 10,322.12 12/31/2014 8,416.03 10,650.37 10,831.28 3/31/2015 8,097.45 10,772.19 10,934.25 6/30/2015 8,017.98 10,781.88 10,964.86 9/30/2015 8,023.85 10,626.63 10,258.73 12/31/2015 6,969.05 11,295.04 10,980.94 3/31/2016 6,269.41 11,807.83 11,129.18 6/30/2016 5,810.51 12,184.1 11,402.43 9/30/2016 5,820.96 12,117.61 11,841.66 12/31/2016 5,986 11,892.04 12,294.51 3/31/2017 5,127.62 12,832.53 13,040.31 6/30/2017 4,822.97 13,223.92 13,443.26 9/30/2017 4,854.02 13,188.22 14,045.52 12/31/2017 4,365.39 13,916.21 14,978.14 3/31/2018 4,854.14 13,127.16 14,864.31 6/30/2018 4,798.17 13,179.67 15,374.15 9/30/2018 4,697.36 13,352.32 16,559.5 12/31/2018 5,721.22 12,050.47 14,320.66 3/31/2019 4,511.36 13,597.75 16,275.43 6/30/2019 4,313.2 13,943.13 16,975.27 9/30/2019 3,924.79 14,605.43 17,263.85 12/31/2019 3,497.52 15,508.05 18,829.68 3/31/2020 4,330.5 12,682.48 15,139.06 6/30/2020 2,897.35 15,031.27 18,248.63 9/30/2020 2,030.9 17,702.33 19,878.23 12/31/2020 1,458.33 20,653.31 22,293.43 3/31/2021 1,350.75 21,138.66 23,668.94 6/30/2021 1,223.98 22,049.74 25,692.63 9/30/2021 1,249.27 21,716.79 25,841.65 12/31/2021 906.29 25,158.9 28,691.98 3/31/2022 978.99 23,707.23 27,372.15 6/30/2022 1,268.04 20,172.48 22,965.23 9/30/2022 1,324.88 19,504.77 21,844.53 12/31/2022 1,332.04 19,266.82 23,495.98 3/31/2023 1,162.27 21,160.74 25,258.18 6/30/2023 1,194.12 21,156.51 27,465.74 9/30/2023 1,405.9 19,760.18 26,567.61 12/31/2023 1,293.56 20,841.06 29,673.36 3/31/2024 1,164.72 22,277.01 32,806.87 5/31/2024 1,157.91 22,553.25 33,026.68 |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years UltraShort Consumer Staples - NAV - -24.95% -19.39% UltraShort Consumer Staples - Market Price -7.23% -24.93% -19.38% S&P Consumer Staples Select Sector Index 9.63% 9.82% 8.53% S&P 500 ® 28.19% 15.79% 12.68% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ The "S&P Consumer Staples Select Sector Index" is a product of S&P Dow Jones Indices LLC and its affiliates and has been licensed for use by ProShares. "S&P ® ® |
AssetsNet | $ 819,032 | $ 819,032 | $ 819,032 | $ 819,032 | $ 819,032 | $ 819,032 |
Holdings Count | Holding | 6 | 6 | 6 | 6 | 6 | 6 |
Advisory Fees Paid, Amount | | | | | | $ 0 |
InvestmentCompanyPortfolioTurnover | | | | | | 0% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $819,032 Number of Portfolio Holdings 6 Net Investment Advisory Fees $- Portfolio Turnover Rate -% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Swap Agreements (200)% Total (200)% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets Repurchase Agreements with various counterparties 77.9% U.S. Treasury Bills 60.6% |
Material Fund Change [Text Block] | | | | | | |
C000115056 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | Global Listed Private Equity ETF |
Trading Symbol | | | | | | PEX |
Security Exchange Name | | | | | | CboeBZX |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about Global Listed Private Equity ETF (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/shareholder_reports</span>" id="sjs-G2304"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment PEX $67 0.60% |
Expenses Paid, Amount | | | | | | $ 67 |
Expense Ratio, Percent | | | | | | 0.60% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? Global Listed Private Equity ETF (the Fund) seeks investment results, before fees and expenses, that track the performance of the LPX Direct Listed Private Equity Index (the Index). The Fund invests in financial instruments that the Advisor believes, in combination, should track the performance of the Index. A strong public equity market drove performance, though the lagging of international public equity performance generated modest underperformance relative to the S&P 500 ® |
Line Graph [Table Text Block] | | | | | | Value Based on a $10,000 Investment Footnote Reference Global Listed Private Equity ETF : $17,134 LPX Direct Listed Private Equity Index : $17,827 S&P Global 1200 Index : $25,156 5/31/2014 10,000 10,000 10,000 6/30/2014 10,218 10,221 10,180 9/30/2014 9,343 9,351 9,976 12/31/2014 9,399 9,419 10,072 3/31/2015 9,701 9,739 10,292 6/30/2015 9,957 10,008 10,353 9/30/2015 9,304 9,354 9,461 12/31/2015 9,814 9,879 9,986 3/31/2016 9,903 10,002 10,003 6/30/2016 9,841 9,950 10,139 9/30/2016 10,572 10,699 10,653 12/31/2016 10,900 11,055 10,875 3/31/2017 11,360 11,518 11,614 6/30/2017 12,305 12,359 12,115 9/30/2017 12,679 12,772 12,747 12/31/2017 12,536 12,619 13,469 3/31/2018 12,378 12,462 13,331 6/30/2018 12,560 12,659 13,517 9/30/2018 12,875 13,005 14,202 12/31/2018 10,878 10,972 12,368 3/31/2019 12,096 12,242 13,886 6/30/2019 12,835 13,018 14,457 9/30/2019 13,046 13,247 14,561 12/31/2019 13,590 13,817 15,858 3/31/2020 8,434 8,517 12,572 6/30/2020 10,312 10,457 14,913 9/30/2020 11,137 11,319 16,048 12/31/2020 13,509 13,757 18,327 3/31/2021 15,000 15,315 19,297 6/30/2021 16,153 16,505 20,750 9/30/2021 16,668 17,064 20,615 12/31/2021 17,211 17,644 22,276 3/31/2022 15,763 16,229 21,227 6/30/2022 12,747 13,081 17,977 9/30/2022 11,317 11,625 16,755 12/31/2022 12,809 13,165 18,528 3/31/2023 13,469 13,908 19,954 6/30/2023 14,319 14,799 21,323 9/30/2023 14,215 14,722 20,543 12/31/2023 15,748 16,331 22,862 3/31/2024 16,656 17,319 24,919 5/31/2024 17,134 17,827 25,156 Footnote Description Footnote * The line graph represents historical performance of a hypothetical investment of $10,000 in the ProShares Global Listed Private Equity ETF from May 31, 2014 to May 31, 2024, assuming the reinvestment of distributions. |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years Global Listed Private Equity ETF - NAV 23.78% 6.93% 5.53% Global Listed Private Equity ETF - Market Price 24.18% 7.06% 5.57% LPX Direct Listed Private Equity Index 24.88% 7.52% 5.95% S&P Global 1200 Index 24.99% 13.13% 9.66% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ "LPX ® ® ® |
AssetsNet | $ 10,873,872 | $ 10,873,872 | $ 10,873,872 | $ 10,873,872 | $ 10,873,872 | $ 10,873,872 |
Holdings Count | Holding | 31 | 31 | 31 | 31 | 31 | 31 |
Advisory Fees Paid, Amount | | | | | | $ 0 |
InvestmentCompanyPortfolioTurnover | | | | | | 18% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $10,873,872 Number of Portfolio Holdings 31 Net Investment Advisory Fees $- Portfolio Turnover Rate 18% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Equity Securities 87% Closed End Funds 13% Total 100% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets Ares Capital Corp. 10.2% 3i Group plc 10.1% FS KKR Capital Corp. 8.3% Onex Corp. 6.8% Main Street Capital Corp. 6.1% Hercules Capital, Inc. 4.5% Kinnevik AB, Class B 4.3% Wendel SE 4.3% Golub Capital BDC, Inc. 4.1% Eurazeo SE 4.1% |
Material Fund Change [Text Block] | | | | | | |
C000038807 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | Ultra Russell2000 |
Trading Symbol | | | | | | UWM |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about Ultra Russell2000 (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G2328"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment UWM $109 0.95% |
Expenses Paid, Amount | | | | | | $ 109 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? Ultra Russell2000(the Fund) seeks daily investment results, before fees and expenses, that correspond to two times (2x) the daily performance of the Russell 2000 ® ® |
Line Graph [Table Text Block] | | | | | | Ultra Russell2000 : $19,599 Russell 2000 ® Russell 3000 Index : $31,307 5/31/2014 10,000 10,000 10,000 6/30/2014 11,070.44 10,532 10,251 9/30/2014 9,435.4 9,756.85 10,252.03 12/31/2014 11,238.22 10,705.99 10,789.23 3/31/2015 12,127.76 11,167.95 10,983.44 6/30/2015 12,152.2 11,214.86 10,998.81 9/30/2015 9,314.45 9,878.05 10,201.4 12/31/2015 9,890.4 10,232.67 10,841.03 3/31/2016 9,440.92 10,077.13 10,946.19 6/30/2016 10,053.94 10,459.24 11,234.07 9/30/2016 11,857.96 11,405.37 11,728.37 12/31/2016 13,917.36 12,412.86 12,222.13 3/31/2017 14,484.47 12,718.94 12,923.68 6/30/2017 15,076.02 13,031.83 13,313.98 9/30/2017 16,698.42 13,770.73 13,922.43 12/31/2017 17,681.36 14,230.67 14,805.11 3/31/2018 17,378.84 14,219.29 14,710.36 6/30/2018 19,941.76 15,321.28 15,282.59 9/30/2018 21,173.83 15,869.79 16,370.71 12/31/2018 13,128.64 12,664.09 14,029.7 3/31/2019 16,960.6 14,510.51 15,999.47 6/30/2019 17,398.96 14,815.23 16,655.45 9/30/2019 16,294.54 14,459.67 16,848.65 12/31/2019 19,493.4 15,896.96 18,381.88 3/31/2020 8,332.39 11,030.9 14,540.07 6/30/2020 12,325.97 13,834.95 17,743.24 9/30/2020 13,378.81 14,517.02 19,377.39 12/31/2020 22,713.61 19,071.01 22,222 3/31/2021 28,214.89 21,493.02 23,633.09 6/30/2021 30,329.21 22,415.07 25,580.46 9/30/2021 27,394.41 21,437.78 25,554.88 12/31/2021 28,149.37 21,896.55 27,926.37 3/31/2022 23,547.74 20,247.74 26,451.86 6/30/2022 15,633.92 16,765.13 22,034.4 9/30/2022 14,560.87 16,397.97 21,051.66 12/31/2022 15,855.85 17,419.56 22,563.17 3/31/2023 16,228.87 17,896.86 24,183.21 6/30/2023 17,512.78 18,829.28 26,212.18 9/30/2023 15,412.15 17,863.34 25,360.29 12/31/2023 19,416.03 20,369.57 28,421.27 3/31/2024 20,907.43 21,424.71 31,269.08 5/31/2024 19,598.88 20,916.95 31,306.61 |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years Ultra Russell2000 - NAV 29.56% 5.14% 6.96% Ultra Russell2000 - Market Price 30.05% 5.19% 6.98% Russell 2000 ® 20.12% 8.60% 7.65% Russell 3000 Index 27.58% 14.98% 12.07% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ "Russell 2000 ® ® |
AssetsNet | $ 205,065,269 | $ 205,065,269 | $ 205,065,269 | $ 205,065,269 | $ 205,065,269 | $ 205,065,269 |
Holdings Count | Holding | 1,950 | 1,950 | 1,950 | 1,950 | 1,950 | 1,950 |
Advisory Fees Paid, Amount | | | | | | $ 1,096,287 |
InvestmentCompanyPortfolioTurnover | | | | | | 40% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $205,065,269 Number of Portfolio Holdings 1,950 Net Investment Advisory Fees $1,096,287 Portfolio Turnover Rate 40% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Equity Securities 76% Swap Agreements 114% Futures Contracts 10% Total 200% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets Super Micro Computer, Inc. 1.2% MicroStrategy, Inc., Class A 0.7% Comfort Systems USA, Inc. 0.3% Onto Innovation, Inc. 0.3% Carvana Co., Class A 0.3% elf Beauty, Inc. 0.3% Fabrinet 0.3% Light & Wonder, Inc. 0.3% Weatherford International plc 0.3% Abercrombie & Fitch Co., Class A 0.3% |
Material Fund Change [Text Block] | | | | | | |
C000051851 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | Short 20+ Year Treasury |
Trading Symbol | | | | | | TBF |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about Short 20+ Year Treasury (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G2352"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment TBF $103 0.95% |
Expenses Paid, Amount | | | | | | $ 103 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? Short 20+ Year Treasury (the Fund) seeks daily investment results, before fees and expenses, that correspond to the inverse (-1x) of the daily performance of the ICE U.S. Treasury 20+ Year Bond Index (the Index). The Fund invests in financial instruments that the Advisor believes, in combination, should produce daily returns consistent with the Funds investment objective. For the year ended May 31, 2024, the Fund had a total return of 16.68% and an average daily statistical correlation of over 0.99 to the inverse of the return of the Index. For the same period, the Index had a total return of -8.61% and a volatility of 16.39. The index performance was driven by factors such as quantitative tightening and lingering inflation which drove higher longer-term treasury yields. Primary factors affecting Fund performance include the total return of the derivatives held by the Fund, the performance of the reference assets to which any derivatives are linked, financing rates paid or earned, the types of derivative contracts used and their correlation to the Funds Index, expenses, transaction costs, the volatility of the Funds Index (and its impact on compounding), and other miscellaneous factors. |
Line Graph [Table Text Block] | | | | | | Short 20+ Year Treasury : $9,258 ICE U.S. Treasury 20+ Year Bond Index : $10,199 ICE U.S Treasury Core Bond Index : $10,823 5/31/2014 10,000 10,000 10,000 6/30/2014 10,002.53 9,979 9,986 9/30/2014 9,653.55 10,277.92 10,019.95 12/31/2014 8,768.27 11,239.29 10,215.34 3/31/2015 8,345.92 11,710.75 10,381.85 6/30/2015 9,087.08 10,648.59 10,215.74 9/30/2015 8,540.57 11,215.09 10,394.52 12/31/2015 8,600.37 11,060.32 10,296.81 3/31/2016 7,882.62 11,999.35 10,626.31 6/30/2016 7,341.74 12,810.72 10,853.71 9/30/2016 7,331 12,771.88 10,818.98 12/31/2016 8,301 11,223.31 10,404.61 3/31/2017 8,163.99 11,382.41 10,475.36 6/30/2017 7,832.67 11,858.19 10,598.97 9/30/2017 7,793.53 11,925.78 10,639.25 12/31/2017 7,603.63 12,233.47 10,645.63 3/31/2018 7,884.5 11,822.42 10,520.01 6/30/2018 7,883.57 11,870.89 10,531.58 9/30/2018 8,174.26 11,510.02 10,468.4 12/31/2018 7,890.79 11,991.14 10,737.43 3/31/2019 7,586.6 12,557.12 10,965.07 6/30/2019 7,201.41 13,325.62 11,295.12 9/30/2019 6,673.48 14,410.32 11,566.2 12/31/2019 6,979.47 13,799.32 11,474.83 3/31/2020 5,538.9 16,902.79 12,450.19 6/30/2020 5,523.61 16,784.47 12,477.58 9/30/2020 5,483.27 16,811.33 12,500.04 12/31/2020 5,619.42 16,293.54 12,396.28 3/31/2021 6,486.98 13,979.86 11,859.53 6/30/2021 6,029.15 15,004.58 12,083.67 9/30/2021 5,960.54 15,019.58 12,077.63 12/31/2021 5,731.59 15,587.32 12,110.24 3/31/2022 6,328.27 13,899.22 11,447.81 6/30/2022 7,176.2 12,211.85 11,029.96 9/30/2022 7,959.35 10,899.08 10,524.79 12/31/2022 8,157.95 10,749.76 10,600.57 3/31/2023 7,660.81 11,450.64 10,917.53 6/30/2023 7,972.08 11,178.12 10,765.77 9/30/2023 9,315.71 9,724.96 10,436.34 12/31/2023 8,339.9 10,981.43 11,010.34 3/31/2024 8,801.41 10,586.1 10,911.25 5/31/2024 9,257.58 10,198.65 10,822.87 |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years Short 20+ Year Treasury - NAV 16.68% 4.93% -0.77% Short 20+ Year Treasury - Market Price 16.84% 4.98% -0.78% ICE U.S. Treasury 20+ Year Bond Index - -4.96% 0.19% ICE U.S Treasury Core Bond Index - -0.67% 0.79% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ The "ICE U.S. Treasury 20+ Year Bond Index" is a trademark of Intercontinental Exchange Inc. ("ICE") and has been licensed for use by ProShares. ProShares have not been passed on by ICE as to their legality or suitability. ProShares based on ICE indexes are not sponsored, endorsed, sold or promoted by ICE or its affiliates, and they make no representation regarding the advisability of investing in ProShares, or the ability of the index to track general financial market performance. |
AssetsNet | $ 98,680,967 | $ 98,680,967 | $ 98,680,967 | $ 98,680,967 | $ 98,680,967 | $ 98,680,967 |
Holdings Count | Holding | 9 | 9 | 9 | 9 | 9 | 9 |
Advisory Fees Paid, Amount | | | | | | $ 1,115,947 |
InvestmentCompanyPortfolioTurnover | | | | | | 0% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $98,680,967 Number of Portfolio Holdings 9 Net Investment Advisory Fees $1,115,947 Portfolio Turnover Rate -% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Swap Agreements (99)% Futures Contracts (2)% Total (101)% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets Repurchase Agreements with various counterparties 57.8% U.S. Treasury Bills 40.4% |
Material Fund Change [Text Block] | | | | | | |
C000018461 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | UltraShort Dow30℠ |
Trading Symbol | | | | | | DXD |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about UltraShort Dow30℠ (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G2376"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment DXD $84 0.95% |
Expenses Paid, Amount | | | | | | $ 84 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? UltraShort Dow30 SM SM ® ® |
Line Graph [Table Text Block] | | | | | | UltraShort Dow30℠ : $682 Dow Jones Industrial Average℠ Index : $33,023 S&P 500 ® 5/31/2014 10,000 10,000 10,000 6/30/2014 9,842.61 10,075 10,207 9/30/2014 9,419.38 10,263.75 10,322.12 12/31/2014 8,382.94 10,797.8 10,831.28 3/31/2015 8,191.83 10,832.99 10,934.25 6/30/2015 8,173.12 10,801.57 10,964.86 9/30/2015 9,151.47 10,047.62 10,258.73 12/31/2015 7,763.65 10,821.29 10,980.94 3/31/2016 7,268.61 11,059.36 11,129.18 6/30/2016 6,889.8 11,288.16 11,402.43 9/30/2016 6,481.81 11,601.77 11,841.66 12/31/2016 5,468.43 12,606.55 12,294.51 3/31/2017 4,940.24 13,260.86 13,040.31 6/30/2017 4,577.33 13,784.66 13,443.26 9/30/2017 4,121.1 14,553.84 14,045.52 12/31/2017 3,359.97 16,148.94 14,978.14 3/31/2018 3,413.35 15,832.43 14,864.31 6/30/2018 3,324.43 16,031.91 15,374.15 9/30/2018 2,789.46 17,575.79 16,559.5 12/31/2018 3,454.48 15,587.97 14,320.66 3/31/2019 2,769.56 17,428.9 16,275.43 6/30/2019 2,618.7 17,988.37 16,975.27 9/30/2019 2,523.8 18,317.56 17,263.85 12/31/2019 2,229.08 19,539.34 18,829.68 3/31/2020 2,866.46 15,098.05 15,139.06 6/30/2020 1,858.53 17,892.7 18,248.63 9/30/2020 1,552.32 19,363.48 19,878.23 12/31/2020 1,236.9 21,441.18 22,293.43 3/31/2021 1,039.1 23,218.65 23,668.94 6/30/2021 931.49 24,398.16 25,692.63 9/30/2021 948.28 24,041.95 25,841.65 12/31/2021 803.28 25,934.05 28,691.98 3/31/2022 855.11 24,870.75 27,372.15 6/30/2022 1,037.73 22,189.68 22,965.23 9/30/2022 1,165.32 20,820.58 21,844.53 12/31/2022 859.31 24,153.96 23,495.98 3/31/2023 855.78 24,378.59 25,258.18 6/30/2023 810.66 25,346.42 27,465.74 9/30/2023 869.69 24,814.14 26,567.61 12/31/2023 697.85 28,062.31 29,673.36 3/31/2024 637.03 29,785.34 32,806.87 5/31/2024 682.1 33,023.01 33,026.68 |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years UltraShort Dow30℠ - NAV - -25.68% -23.55% UltraShort Dow30℠ - Market Price -22.57% -25.69% -23.55% Dow Jones Industrial Average℠ Index 19.97% 11.61% 11.24% S&P 500 ® 28.19% 15.79% 12.68% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ "The Dow 30 SM SM ® |
AssetsNet | $ 74,397,328 | $ 74,397,328 | $ 74,397,328 | $ 74,397,328 | $ 74,397,328 | $ 74,397,328 |
Holdings Count | Holding | 11 | 11 | 11 | 11 | 11 | 11 |
Advisory Fees Paid, Amount | | | | | | $ 573,653 |
InvestmentCompanyPortfolioTurnover | | | | | | 0% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $74,397,328 Number of Portfolio Holdings 11 Net Investment Advisory Fees $573,653 Portfolio Turnover Rate -% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Swap Agreements (196)% Futures Contracts (4)% Total (200)% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets U.S. Treasury Bills 66.8% Repurchase Agreements with various counterparties 59.2% |
Material Fund Change [Text Block] | | | | | | |
C000234747 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | Metaverse ETF |
Trading Symbol | | | | | | VERS |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about Metaverse ETF (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/shareholder_reports</span>" id="sjs-G2400"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment VERS $63 0.58% |
Expenses Paid, Amount | | | | | | $ 63 |
Expense Ratio, Percent | | | | | | 0.58% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? Metaverse ETF (the Fund) seeks investment results, before fees and expenses, that track the performance of the Solactive Metaverse Theme Index (the Index). The Fund invests in financial instruments that the Advisor believes, in combination, should track the performance of the Index. Several Magnificent Seven and stocks related to artificial intelligence drove performance. For the year ended May 31, 2024, the Fund had a total return of 16.21%. For the same period, the Index had a total return of 16.12% and a volatility of 22.20%. Primary factors affecting Fund performance include the total return of the securities held by the Fund, expenses, transaction costs, the volatility of the Funds index, and other miscellaneous factors. |
Line Graph [Table Text Block] | | | | | | Value Based on a $10,000 Investment Footnote Reference Metaverse ETF : $10,636 Solactive Metaverse Theme Index : $10,678 MSCI ACWI Index : $12,440 3/15/2022 10,000 10,000 10,000 3/31/2022 11,168 11,166 10,721 6/30/2022 8,211 8,229 9,056 9/30/2022 7,474 7,501 8,448 12/31/2022 7,071 7,103 9,283 3/31/2023 8,636 8,676 9,974 6/30/2023 9,893 9,932 10,607 9/30/2023 8,875 8,907 10,257 12/31/2023 10,687 10,728 11,401 3/31/2024 10,463 10,504 12,342 5/31/2024 10,636 10,678 12,440 Footnote Description Footnote * The line graph represents historical performance of a hypothetical investment of $10,000 in the ProShares Metaverse ETF from March 15, 2022 to May 31, 2024, assuming the reinvestment of distributions. |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Since Inception (3/15/22) Metaverse ETF - NAV 16.21% 2.83% Metaverse ETF - Market Price 16.07% 2.77% Solactive Metaverse Theme Index 16.12% 3.01% MSCI ACWI Index 24.13% 10.36% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ "Solactive AG," a registered trademark of Solactive AG, and the "Solactive Metaverse Theme Index" has been licensed for use by ProShare Advisors LLC. ProShares based on the Solactive Metaverse Theme Index are not sponsored, endorsed, sold, or promoted by Solactive AG and they make no representation regarding the legality or suitability of ProShares, or the advisability of investing in ProShares. |
AssetsNet | $ 5,884,785 | $ 5,884,785 | $ 5,884,785 | $ 5,884,785 | $ 5,884,785 | $ 5,884,785 |
Holdings Count | Holding | 41 | 41 | 41 | 41 | 41 | 41 |
Advisory Fees Paid, Amount | | | | | | $ 35,325 |
InvestmentCompanyPortfolioTurnover | | | | | | 55% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $5,884,785 Number of Portfolio Holdings 41 Net Investment Advisory Fees $35,325 Portfolio Turnover Rate 55% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Equity Securities 100% Total 100% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets NVIDIA Corp. 5.4% Immersion Corp. 4.8% Apple, Inc. 4.6% Himax Technologies, Inc. (ADR) 4.5% Alphabet, Inc., Class A 4.5% Microsoft Corp. 4.3% Amazon.com, Inc. 4.1% Snap, Inc., Class A 3.9% Advanced Micro Devices, Inc. 3.9% PTC, Inc. 3.9% |
Material Fund Change [Text Block] | | | | | | |
C000018468 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | Short Dow30℠ |
Trading Symbol | | | | | | DOG |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about Short Dow30℠ (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G2424"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment DOG $91 0.95% |
Expenses Paid, Amount | | | | | | $ 91 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? Short Dow30 SM SM ® ® |
Line Graph [Table Text Block] | | | | | | Short Dow30℠ : $3,141 Dow Jones Industrial Average℠ Index : $33,023 S&P 500 ® 5/31/2014 10,000 10,000 10,000 6/30/2014 9,918.350000 10,075 10,207 9/30/2014 9,701.160000 10,263.750000 10,322.120000 12/31/2014 9,162.170000 10,797.800000 10,831.280000 3/31/2015 9,073.450000 10,832.990000 10,934.250000 6/30/2015 9,065.560000 10,801.570000 10,964.860000 9/30/2015 9,630.420000 10,047.620000 10,258.730000 12/31/2015 8,884.280000 10,821.290000 10,980.940000 3/31/2016 8,621.990000 11,059.360000 11,129.180000 6/30/2016 8,404.970000 11,288.160000 11,402.430000 9/30/2016 8,154.930000 11,601.770000 11,841.660000 12/31/2016 7,491.730000 12,606.550000 12,294.510000 3/31/2017 7,121.230000 13,260.860000 13,040.310000 6/30/2017 6,857.660000 13,784.660000 13,443.260000 9/30/2017 6,511.150000 14,553.840000 14,045.520000 12/31/2017 5,883.600000 16,148.940000 14,978.140000 3/31/2018 5,966.420000 15,832.430000 14,864.310000 6/30/2018 5,908.580000 16,031.910000 15,374.150000 9/30/2018 5,423.540000 17,575.790000 16,559.500000 12/31/2018 6,086.740000 15,587.970000 14,320.660000 3/31/2019 5,474.590000 17,428.900000 16,275.430000 6/30/2019 5,344.150000 17,988.370000 16,975.270000 9/30/2019 5,268.460000 18,317.560000 17,263.850000 12/31/2019 4,962.690000 19,539.340000 18,829.680000 3/31/2020 5,894.440000 15,098.050000 15,139.060000 6/30/2020 4,814.180000 17,892.700000 18,248.630000 9/30/2020 4,411.440000 19,363.480000 19,878.230000 12/31/2020 3,948.210000 21,441.180000 22,293.430000 3/31/2021 3,623.610000 23,218.650000 23,668.940000 6/30/2021 3,432.040000 24,398.160000 25,692.630000 9/30/2021 3,465.310000 24,041.950000 25,841.650000 12/31/2021 3,192.090000 25,934.050000 28,691.980000 3/31/2022 3,296.650000 24,870.750000 27,372.150000 6/30/2022 3,652.290000 22,189.680000 22,965.230000 9/30/2022 3,891.370000 20,820.580000 21,844.530000 12/31/2022 3,371.600000 24,153.960000 23,495.980000 3/31/2023 3,389.610000 24,378.590000 25,258.180000 6/30/2023 3,323.490000 25,346.420000 27,465.740000 9/30/2023 3,469 24,814.140000 26,567.610000 12/31/2023 3,134.790000 28,062.310000 29,673.360000 3/31/2024 3,019.030000 29,785.340000 32,806.870000 5/31/2024 3,140.720000 33,023.010000 33,026.680000 |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years Short Dow30℠ - NAV - -11.30% -10.94% Short Dow30℠ - Market Price -9.04% -11.31% -10.94% Dow Jones Industrial Average℠ Index 19.97% 11.61% 11.24% S&P 500 ® 28.19% 15.79% 12.68% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ "The Dow 30 SM SM ® |
AssetsNet | $ 181,754,173 | $ 181,754,173 | $ 181,754,173 | $ 181,754,173 | $ 181,754,173 | $ 181,754,173 |
Holdings Count | Holding | 13 | 13 | 13 | 13 | 13 | 13 |
Advisory Fees Paid, Amount | | | | | | $ 1,404,080 |
InvestmentCompanyPortfolioTurnover | | | | | | 0% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $181,754,173 Number of Portfolio Holdings 13 Net Investment Advisory Fees $1,404,080 Portfolio Turnover Rate -% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Swap Agreements (97)% Futures Contracts (3)% Total (100)% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets U.S. Treasury Bills 71.1% Repurchase Agreements with various counterparties 41.1% |
Material Fund Change [Text Block] | | | | | | |
C000018459 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | ®</sup>" id="sjs-G2441">Ultra S&P500<sup style="box-sizing: border-box; color: rgb(255, 255, 255); display: inline; flex-wrap: nowrap; font-size: 16px; font-weight: 700; grid-area: auto; line-height: 0px; margin: 0px; overflow: visible; position: relative; text-align: left; height: auto; max-height: none; min-height: 0px;">®</sup> |
Trading Symbol | | | | | | SSO |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about Ultra S&P500 ® |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G2448"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment SSO $112 0.89% |
Expenses Paid, Amount | | | | | | $ 112 |
Expense Ratio, Percent | | | | | | 0.89% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? Ultra S&P500 ® ® |
Line Graph [Table Text Block] | | | | | | Ultra S&P500 ® S&P 500 ® 5/31/2014 10,000 10,000 6/30/2014 10,402.56 10,207 9/30/2014 10,578.05 10,322.12 12/31/2014 11,546.44 10,831.28 3/31/2015 11,669.28 10,934.25 6/30/2015 11,661.03 10,964.86 9/30/2015 10,059.35 10,258.73 12/31/2015 11,421.47 10,980.94 3/31/2016 11,589.34 11,129.18 6/30/2016 12,060.62 11,402.43 9/30/2016 12,922.7 11,841.66 12/31/2016 13,847.1 12,294.51 3/31/2017 15,473.13 13,040.31 6/30/2017 16,327.96 13,443.26 9/30/2017 17,687.34 14,045.52 12/31/2017 19,967.73 14,978.14 3/31/2018 19,315.64 14,864.31 6/30/2018 20,409.65 15,374.15 9/30/2018 23,425.35 16,559.5 12/31/2018 17,084.82 14,320.66 3/31/2019 21,736.36 16,275.43 6/30/2019 23,317.25 16,975.27 9/30/2019 23,766.15 17,263.85 12/31/2019 27,976.87 18,829.68 3/31/2020 16,527.37 15,139.06 6/30/2020 23,285.67 18,248.63 9/30/2020 27,346.22 19,878.23 12/31/2020 34,019.23 22,293.43 3/31/2021 37,983.71 23,668.94 6/30/2021 44,432.64 25,692.63 9/30/2021 44,635.86 25,841.65 12/31/2021 54,526.38 28,691.98 3/31/2022 48,863.92 27,372.15 6/30/2022 33,480.12 22,965.23 9/30/2022 29,639.5 21,844.53 12/31/2022 33,295.85 23,495.98 3/31/2023 37,602.87 25,258.18 6/30/2023 43,571.72 27,465.74 9/30/2023 39,955.74 26,567.61 12/31/2023 48,769.32 29,673.36 3/31/2024 58,364 32,806.87 5/31/2024 58,339.62 33,026.68 |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years Ultra S&P500 ® 51.06% 23.33% 19.29% Ultra S&P500 ® 51.04% 23.38% 19.31% S&P 500 ® 28.19% 15.79% 12.68% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ "Standard & Poor's ® ® ® TM |
AssetsNet | $ 5,108,941,229 | $ 5,108,941,229 | $ 5,108,941,229 | $ 5,108,941,229 | $ 5,108,941,229 | $ 5,108,941,229 |
Holdings Count | Holding | 521 | 521 | 521 | 521 | 521 | 521 |
Advisory Fees Paid, Amount | | | | | | $ 31,021,717 |
InvestmentCompanyPortfolioTurnover | | | | | | 4% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $5,108,941,229 Number of Portfolio Holdings 521 Net Investment Advisory Fees $31,021,717 Portfolio Turnover Rate 4% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Equity Securities 72% Swap Agreements 118% Futures Contracts 10% Total 200% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets Microsoft Corp. 5.0% Apple, Inc. 4.6% NVIDIA Corp. 4.4% Alphabet, Inc. 3.1% Amazon.com, Inc. 2.6% Meta Platforms, Inc., Class A 1.7% Berkshire Hathaway, Inc., Class B 1.2% Eli Lilly & Co. 1.1% Broadcom, Inc. 1.0% JPMorgan Chase & Co. 1.0% |
Material Fund Change [Text Block] | | | | | | |
C000195295 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | Decline of the Retail Store ETF |
Trading Symbol | | | | | | EMTY |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about Decline of the Retail Store ETF (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G2472"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment EMTY $60 0.65% |
Expenses Paid, Amount | | | | | | $ 60 |
Expense Ratio, Percent | | | | | | 0.65% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? Decline of the Retail Store ETF (the Fund) seeks capital appreciation from the decline of bricks and mortar retailers through short exposure (-1x) to the Solactive-ProShares Bricks and Mortar Retail Store Index (the Index). The Fund invests in financial instruments that the Advisor believes, in combination, should produce daily returns consistent with the Funds investment objectives. A continued post-pandemic recovery of bricks and mortar retailing drove strong performance of the underlying Index and negative returns for the Fund, which seeks inverse exposure to the Index. For the year ended May 31, 2024, the Fund had a total return of -17.33%. For the same period, the Index had a total return of 26.19% and a volatility of 19.92%. Primary factors affecting Fund performance include the total return of the derivatives held by the Fund, including the performance of the reference assets to which any derivatives are linked, financing rates paid or earned, expenses, transaction costs, the volatility of the Funds index (and its impact on compounding), and other miscellaneous factors. |
Line Graph [Table Text Block] | | | | | | Value Based on a $10,000 Investment Footnote Reference Decline of the Retail Store ETF : $3,551 Solactive-ProShares Bricks and Mortar Retail Store Index : $20,294 S&P 500 ® 11/14/2017 10,000 10,000 10,000 12/31/2017 8,398 11,803 10,395 3/31/2018 8,778 11,168 10,316 6/30/2018 8,014 12,212 10,670 9/30/2018 7,572 12,904 11,492 12/31/2018 9,289 10,380 9,939 3/31/2019 8,646 11,138 11,295 6/30/2019 9,665 9,932 11,781 9/30/2019 9,213 10,312 11,981 12/31/2019 8,513 11,120 13,068 3/31/2020 12,739 6,832 10,507 6/30/2020 8,053 9,943 12,665 9/30/2020 7,160 11,047 13,796 12/31/2020 5,806 13,444 15,472 3/31/2021 4,435 17,297 16,427 6/30/2021 4,048 18,660 17,831 9/30/2021 4,165 17,874 17,934 12/31/2021 3,626 20,225 19,913 3/31/2022 3,894 18,390 18,997 6/30/2022 4,340 15,967 15,938 9/30/2022 4,230 16,192 15,160 12/31/2022 3,784 18,010 16,306 3/31/2023 3,698 18,574 17,529 6/30/2023 3,930 17,628 19,062 9/30/2023 4,421 15,903 18,438 12/31/2023 3,792 18,716 20,594 3/31/2024 3,572 20,149 22,768 5/31/2024 3,551 20,294 22,921 Footnote Description Footnote * The line graph represents historical performance of a hypothetical investment of $10,000 in the ProShares Decline of the Retail Store ETF from November 14, 2017 to May 31, 2024, assuming the reinvestment of distributions. |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Since Inception (11/14/17) Decline of the Retail Store ETF - NAV - -18.66% -14.64% Decline of the Retail Store ETF - Market Price -17.13% -18.64% -14.62% Solactive-ProShares Bricks and Mortar Retail Store Index 26.19% 16.07% 11.42% S&P 500 ® 28.19% 15.79% 13.51% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ "Solactive AG," a registered trademark of Solactive AG, and the Solactive-ProShares Bricks and Mortar Retail Store Index have been licensed for use by ProShare Advisors LLC. The fund is not sponsored, endorsed, sold, or promoted by Solactive AG and they make no representation regarding the legality or suitability of the fund, or the advisability of investing in the fund. |
AssetsNet | $ 4,086,659 | $ 4,086,659 | $ 4,086,659 | $ 4,086,659 | $ 4,086,659 | $ 4,086,659 |
Holdings Count | Holding | 5 | 5 | 5 | 5 | 5 | 5 |
Advisory Fees Paid, Amount | | | | | | $ 53,000 |
InvestmentCompanyPortfolioTurnover | | | | | | 0% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $4,086,659 Number of Portfolio Holdings 5 Net Investment Advisory Fees $53,000 Portfolio Turnover Rate -% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Swap Agreements (100)% Total (100)% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets Repurchase Agreements with various counterparties 90.8% |
Material Fund Change [Text Block] | | | | | | |
C000038863 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | UltraShort Energy |
Trading Symbol | | | | | | DUG |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about UltraShort Energy (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G2496"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment DUG $78 0.95% |
Expenses Paid, Amount | | | | | | $ 78 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? UltraShort Energy(the Fund) seeks daily investment results, before fees and expenses, that correspond to two times the inverse (-2x) of the daily performance of the S&P Energy Select Sector Index (the Index). The Fund invests in financial instruments that the Advisor believes, in combination, should produce daily returns consistent with the Funds investment objective. For the year ended May 31, 2024, the Fund had a total return of -35.03% and an average daily statistical correlation of over 0.99 to two times the inverse of the return of the Index. For the same period, the Index had a total return of 25.97% and a volatility of 18.29%.The index performance was driven by factors such as volatile, though ultimately higher, oil prices and lingering inflation. Primary factors affecting Fund performance include the total return of the derivatives held by the Fund, the performance of the reference assets to which any derivatives are linked, financing rates paid or earned, expenses, transaction costs, the volatility of the Funds Index (and its impact on compounding), and other miscellaneous factors. |
Line Graph [Table Text Block] | | | | | | UltraShort Energy : $485 S&P Energy Select Sector Index : $13,588 S&P 500 ® 5/31/2014 10,000 10,000 10,000 6/30/2014 8,988.25 10,557 10,207 9/30/2014 10,592.42 9,638.82 10,322.12 12/31/2014 12,949.03 8,426.19 10,831.28 3/31/2015 12,940.05 8,250.05 10,934.25 6/30/2015 13,217.99 8,090.83 10,964.86 9/30/2015 18,414.47 6,606.97 10,258.73 12/31/2015 17,425.72 6,569.31 10,980.94 3/31/2016 14,874.92 6,802.52 11,129.18 6/30/2016 11,616.32 7,555.83 11,402.43 9/30/2016 10,691.49 7,741.34 11,841.66 12/31/2016 9,081.16 8,294.22 12,294.51 3/31/2017 10,254.93 7,747.75 13,040.31 6/30/2017 11,761.18 7,179.84 13,443.26 9/30/2017 10,241.08 7,666.64 14,045.52 12/31/2017 8,988.21 8,164.97 14,978.14 3/31/2018 9,799.52 7,695.48 14,864.31 6/30/2018 7,377.7 8,775.93 15,374.15 9/30/2018 7,224.08 8,845.26 16,559.5 12/31/2018 12,192.7 6,620.68 14,320.66 3/31/2019 8,852.98 7,718.38 16,275.43 6/30/2019 9,406.1 7,443.61 16,975.27 9/30/2019 10,598.33 6,928.51 17,263.85 12/31/2019 9,352.96 7,308.89 18,829.68 3/31/2020 23,712.11 3,554.31 15,139.06 6/30/2020 10,104.9 4,693.82 18,248.63 9/30/2020 14,081.34 3,803.41 19,878.23 12/31/2020 7,057.06 4,879.77 22,293.43 3/31/2021 3,795.64 6,352.48 23,668.94 6/30/2021 2,847.52 7,106.52 25,692.63 9/30/2021 2,728.53 7,009.16 25,841.65 12/31/2021 2,246.33 7,536.25 28,691.98 3/31/2022 1,103.49 10,387.22 27,372.15 6/30/2022 1,093.08 9,795.15 22,965.23 9/30/2022 936.7 10,139.94 21,844.53 12/31/2022 607.2 12,226.73 23,495.98 3/31/2023 645.71 11,663.08 25,258.18 6/30/2023 653.65 11,531.29 27,465.74 9/30/2023 521.2 12,946.18 26,567.61 12/31/2023 593.85 12,124.1 29,673.36 3/31/2024 467.29 13,766.91 32,806.87 5/31/2024 485.46 13,587.94 33,026.68 |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years UltraShort Energy - NAV - -46.64% -26.10% UltraShort Energy - Market Price -34.86% -46.64% -26.08% S&P Energy Select Sector Index 25.97% 15.37% 3.85% S&P 500 ® 28.19% 15.79% 12.68% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ The "S&P Energy Select Sector Index" is a product of S&P Dow Jones Indices LLC and its affiliates and has been licensed for use by ProShares. "S&P ® ® |
AssetsNet | $ 19,871,532 | $ 19,871,532 | $ 19,871,532 | $ 19,871,532 | $ 19,871,532 | $ 19,871,532 |
Holdings Count | Holding | 7 | 7 | 7 | 7 | 7 | 7 |
Advisory Fees Paid, Amount | | | | | | $ 88,652 |
InvestmentCompanyPortfolioTurnover | | | | | | 0% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $19,871,532 Number of Portfolio Holdings 7 Net Investment Advisory Fees $88,652 Portfolio Turnover Rate -% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Swap Agreements (200)% Total (200)% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets U.S. Treasury Bills 69.7% Repurchase Agreements with various counterparties 52.6% |
Material Fund Change [Text Block] | | | | | | |
C000038817 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | Ultra Semiconductors |
Trading Symbol | | | | | | USD |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about Ultra Semiconductors (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G2520"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment USD $199 0.95% |
Expenses Paid, Amount | | | | | | $ 199 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? Ultra Semiconductors(the Fund) seeks daily investment results, before fees and expenses, that correspond to two times (2x) the daily performance of the Dow Jones U.S. Semiconductors SM |
Line Graph [Table Text Block] | | | | | | Ultra Semiconductors : $455,153 Dow Jones U.S. Semiconductors Index℠ : $130,140 S&P 500 ® 5/31/2014 10,000 10,000 10,000 6/30/2014 11,764.38 10,860 10,207 9/30/2014 12,830.49 11,398.35 10,322.12 12/31/2014 14,664.49 12,318.15 10,831.28 3/31/2015 13,928.09 12,103.16 10,934.25 6/30/2015 13,200.78 11,859.89 10,964.86 9/30/2015 10,766.62 10,841.12 10,258.73 12/31/2015 13,442.77 12,201.69 10,980.94 3/31/2016 12,927.48 12,100.41 11,129.18 6/30/2016 13,764.59 12,588.42 11,402.43 9/30/2016 19,343.37 15,013.6 11,841.66 12/31/2016 21,259.94 15,853.86 12,294.51 3/31/2017 24,618.36 17,142.73 13,040.31 6/30/2017 25,171.95 17,471.87 13,443.26 9/30/2017 31,932.26 19,818.35 14,045.52 12/31/2017 38,465.62 21,907.2 14,978.14 3/31/2018 42,436.59 23,396.89 14,864.31 6/30/2018 40,917.18 23,261.19 15,374.15 9/30/2018 42,694.23 23,968.33 16,559.5 12/31/2018 28,358.76 20,003.97 14,320.66 3/31/2019 39,815.02 24,050.77 16,275.43 6/30/2019 39,702.21 24,356.21 16,975.27 9/30/2019 43,266.64 25,785.92 17,263.85 12/31/2019 59,349.42 30,499.59 18,829.68 3/31/2020 36,940.63 25,976.5 15,139.06 6/30/2020 58,591.97 33,585.02 18,248.63 9/30/2020 73,726.75 38,172.73 19,878.23 12/31/2020 99,988.13 44,933.12 22,293.43 3/31/2021 115,634.21 49,390.49 23,668.94 6/30/2021 139,293.73 54,759.23 25,692.63 9/30/2021 132,277.61 53,779.04 25,841.65 12/31/2021 203,824.14 67,788.48 28,691.98 3/31/2022 153,738.26 60,718.14 27,372.15 6/30/2022 73,295.29 43,383.11 22,965.23 9/30/2022 55,245.65 38,658.69 21,844.53 12/31/2022 64,073.82 43,088.98 23,495.98 3/31/2023 111,903.54 58,372.64 25,258.18 6/30/2023 163,552.3 72,113.56 27,465.74 9/30/2023 148,992.18 70,116.01 26,567.61 12/31/2023 210,926.36 84,861.41 29,673.36 3/31/2024 384,583.17 117,380.3 32,806.87 5/31/2024 455,152.65 130,139.54 33,026.68 |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years Ultra Semiconductors - NAV 219.24% 70.82% 46.49% Ultra Semiconductors - Market Price 219.26% 70.73% 46.52% Dow Jones U.S. Semiconductors Index℠ 94.40% 43.26% 29.22% S&P 500 ® 28.19% 15.79% 12.68% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ The "Dow Jones U.S. Semiconductors Index SM ® |
AssetsNet | $ 1,002,454,748 | $ 1,002,454,748 | $ 1,002,454,748 | $ 1,002,454,748 | $ 1,002,454,748 | $ 1,002,454,748 |
Holdings Count | Holding | 45 | 45 | 45 | 45 | 45 | 45 |
Advisory Fees Paid, Amount | | | | | | $ 3,435,579 |
InvestmentCompanyPortfolioTurnover | | | | | | 104% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $1,002,454,748 Number of Portfolio Holdings 45 Net Investment Advisory Fees $3,435,579 Portfolio Turnover Rate 104% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Equity Securities 64% Swap Agreements 136% Total 200% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets NVIDIA Corp. 33.7% Broadcom, Inc. 7.3% Advanced Micro Devices, Inc. 3.4% QUALCOMM, Inc. 2.8% Applied Materials, Inc. 2.2% Texas Instruments, Inc. 2.2% Micron Technology, Inc. 1.7% Intel Corp. 1.6% Lam Research Corp. 1.5% Analog Devices, Inc. 1.4% |
Material Fund Change [Text Block] | | | | | | |
C000038835 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | Short Financials |
Trading Symbol | | | | | | SEF |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about Short Financials (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G2544"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment SEF $86 0.95% |
Expenses Paid, Amount | | | | | | $ 86 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? Short Financials (the Fund) seeks daily investment results, before fees and expenses, that correspond to the inverse (-1x) of the daily performance of the S&P Financial Select Sector Index (the Index). The Fund invests in financial instruments that the Advisor believes, in combination, should produce daily returns consistent with the Funds investment objective. For the year ended May 31, 2024, the Fund had a total return of -19.70% and an average daily statistical correlation of over 0.99 to the inverse of the return of the Index. For the same period, the Index had a total return of 33.70% and a volatility of 12.19%. The index performance was driven by factors such as a rebound driven by low valuation and previous underperformance overcame an inverted yield curve. Primary factors affecting Fund performance include the total return of the derivatives held by the Fund, the performance of the reference assets to which any derivatives are linked, financing rates paid or earned, expenses, transaction costs, the volatility of the Funds Index (and its impact on compounding), and other miscellaneous factors. |
Line Graph [Table Text Block] | | | | | | Short Financials : $2,812 S&P Financial Select Sector Index : $27,964 S&P 500 ® 5/31/2014 10,000 10,000 10,000 6/30/2014 9,760.8 10,242 10,207 9/30/2014 9,604.39 10,360.09 10,322.12 12/31/2014 8,806.18 11,214.51 10,831.28 3/31/2015 8,804.53 11,130.03 10,934.25 6/30/2015 8,655.81 11,269.15 10,964.86 9/30/2015 9,064.21 10,615.54 10,258.73 12/31/2015 8,490.93 11,223.81 10,980.94 3/31/2016 8,700.31 10,800.67 11,129.18 6/30/2016 8,430.88 11,033.68 11,402.43 9/30/2016 7,973.29 11,617.06 11,841.66 12/31/2016 6,999.79 13,171.06 12,294.51 3/31/2017 6,766.53 13,581.92 13,040.31 6/30/2017 6,509.87 14,096.67 13,443.26 9/30/2017 6,208.01 14,774.72 14,045.52 12/31/2017 5,808.77 15,808.95 14,978.14 3/31/2018 5,827.44 15,666.67 14,864.31 6/30/2018 5,834.82 15,680.77 15,374.15 9/30/2018 5,629.8 16,334.66 16,559.5 12/31/2018 6,369.66 14,389.2 14,320.66 3/31/2019 5,732.64 16,078.5 16,275.43 6/30/2019 5,393.93 17,192.74 16,975.27 9/30/2019 5,250.96 17,706.8 17,263.85 12/31/2019 4,893.29 19,075.53 18,829.68 3/31/2020 6,165.77 13,568.43 15,139.06 6/30/2020 5,119.7 15,466.65 18,248.63 9/30/2020 4,876.97 16,065.21 19,878.23 12/31/2020 4,068.53 18,974.62 22,293.43 3/31/2021 3,586.23 21,299.01 23,668.94 6/30/2021 3,274.12 23,166.93 25,692.63 9/30/2021 3,192.83 23,570.04 25,841.65 12/31/2021 2,968.9 25,106.8 28,691.98 3/31/2022 3,005.91 24,443.98 27,372.15 6/30/2022 3,526.08 20,496.28 22,965.23 9/30/2022 3,707.71 19,424.33 21,844.53 12/31/2022 3,318.57 21,677.55 23,495.98 3/31/2023 3,425.26 21,185.47 25,258.18 6/30/2023 3,301.97 22,314.65 27,465.74 9/30/2023 3,397.52 22,062.5 26,567.61 12/31/2023 3,026.68 25,157.87 29,673.36 3/31/2024 2,742.14 28,292.54 32,806.87 5/31/2024 2,812.32 27,964.34 33,026.68 |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years Short Financials - NAV - -13.12% -11.91% Short Financials - Market Price -19.51% -13.10% -11.91% S&P Financial Select Sector Index 33.70% 12.22% 10.94% S&P 500 ® 28.19% 15.79% 12.68% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ The "S&P Financials Select Sector Index" is a product of S&P Dow Jones Indices LLC and its affiliates and has been licensed for use by ProShares. "S&P ® ® |
AssetsNet | $ 11,751,962 | $ 11,751,962 | $ 11,751,962 | $ 11,751,962 | $ 11,751,962 | $ 11,751,962 |
Holdings Count | Holding | 9 | 9 | 9 | 9 | 9 | 9 |
Advisory Fees Paid, Amount | | | | | | $ 103,936 |
InvestmentCompanyPortfolioTurnover | | | | | | 0% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $11,751,962 Number of Portfolio Holdings 9 Net Investment Advisory Fees $103,936 Portfolio Turnover Rate -% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Swap Agreements (100)% Total (100)% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets Repurchase Agreements with various counterparties 69.7% U.S. Treasury Bills 59.0% |
Material Fund Change [Text Block] | | | | | | |
C000182948 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | Equities for Rising Rates ETF |
Trading Symbol | | | | | | EQRR |
Security Exchange Name | | | | | | NASDAQ |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about Equities for Rising Rates ETF (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/shareholder_reports</span>" id="sjs-G2568"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment EQRR $41 0.35% |
Expenses Paid, Amount | | | | | | $ 41 |
Expense Ratio, Percent | | | | | | 0.35% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? Equities for Rising Rates ETF (the Fund) seeks investment results, before fees and expenses, that track the performance of the Nasdaq U.S. Large Cap Equities for Rising Rates Index (the Index). The Fund invests in financial instruments that the Advisor believes, in combination, should track the performance of the Index. Rising interest rates drove strong performance and outperformance relative to the S&P 500 ® |
Line Graph [Table Text Block] | | | | | | Value Based on a $10,000 Investment Footnote Reference Equities for Rising Rates ETF : $17,407 Nasdaq U.S. Large Cap Equities for Rising Rates Index : $17,868 Nasdaq-100 ® 7/24/2017 10,000 10,000 10,000 9/30/2017 10,568 10,578 10,088 12/31/2017 11,702 11,727 10,820 3/31/2018 11,688 11,725 11,161 6/30/2018 12,147 12,198 11,973 9/30/2018 12,623 12,688 13,003 12/31/2018 9,609 9,661 10,824 3/31/2019 10,643 10,710 12,652 6/30/2019 10,718 10,810 13,190 9/30/2019 10,276 10,373 13,360 12/31/2019 11,473 11,598 15,096 3/31/2020 6,322 6,382 13,542 6/30/2020 7,888 7,971 17,646 9/30/2020 7,889 7,979 19,873 12/31/2020 10,351 10,491 22,474 3/31/2021 12,373 12,556 22,869 6/30/2021 13,333 13,544 25,472 9/30/2021 13,215 13,437 25,750 12/31/2021 13,985 14,236 28,654 3/31/2022 14,902 15,185 26,101 6/30/2022 12,445 12,685 20,280 9/30/2022 12,333 12,580 19,384 12/31/2022 14,319 14,622 19,376 3/31/2023 13,992 14,296 23,401 6/30/2023 14,098 14,418 27,002 9/30/2023 14,570 14,916 26,230 12/31/2023 15,619 16,003 30,060 3/31/2024 17,868 18,330 32,681 5/31/2024 17,407 17,868 33,230 Footnote Description Footnote * The line graph represents historical performance of a hypothetical investment of $10,000 in the ProShares Equities for Rising Rates ETF from July 24, 2017 to May 31, 2024, assuming the reinvestment of distributions. |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Since Inception (7/24/17) Equities for Rising Rates ETF - NAV 35.02% 12.21% 8.43% Equities for Rising Rates ETF - Market Price 34.94% 12.25% 8.42% Nasdaq U.S. Large Cap Equities for Rising Rates Index 35.61% 12.64% 8.83% Nasdaq-100 ® 31.12% 22.07% 19.14% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ Nasdaq ® |
AssetsNet | $ 16,119,733 | $ 16,119,733 | $ 16,119,733 | $ 16,119,733 | $ 16,119,733 | $ 16,119,733 |
Holdings Count | Holding | 51 | 51 | 51 | 51 | 51 | 51 |
Advisory Fees Paid, Amount | | | | | | $ 94,312 |
InvestmentCompanyPortfolioTurnover | | | | | | 144% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $16,119,733 Number of Portfolio Holdings 51 Net Investment Advisory Fees $94,312 Portfolio Turnover Rate 144% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Equity Securities 100% Total 100% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets Coterra Energy, Inc. 3.2% Marathon Oil Corp. 3.2% Diamondback Energy, Inc. 3.1% EOG Resources, Inc. 3.0% Halliburton Co. 2.9% Valero Energy Corp. 2.9% ConocoPhillips 2.9% McKesson Corp. 2.8% Marathon Petroleum Corp. 2.7% Bunge Global SA 2.7% |
Material Fund Change [Text Block] | | | | | | |
C000038859 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | UltraShort Financials |
Trading Symbol | | | | | | SKF |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about UltraShort Financials (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G2592"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment SKF $77 0.95% |
Expenses Paid, Amount | | | | | | $ 77 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? UltraShort Financials(the Fund) seeks daily investment results, before fees and expenses, that correspond to two times the inverse (-2x) of the daily performance of the SP Financial Select Sector Index (the Index). The Fund invests in financial instruments that the Advisor believes, in combination, should produce daily returns consistent with the Funds investment objective. For the year ended May 31, 2024, the Fund had a total return of -38.87% and an average daily statistical correlation of over 0.99 to two times the inverse of the return of the Index. For the same period, the Index had a total return of 33.70% and a volatility of 12.19%. The index performance was driven by factors such as a rebound driven by low valuation and previous underperformance overcame an inverted yield curve. Primary factors affecting Fund performance include the total return of the derivatives held by the Fund, the performance of the reference assets to which any derivatives are linked, financing rates paid or earned, expenses, transaction costs, the volatility of the Funds Index (and its impact on compounding), and other miscellaneous factors. |
Line Graph [Table Text Block] | | | | | | UltraShort Financials : $501 S&P Financial Select Sector Index : $27,964 S&P 500 ® 5/31/2014 10,000 10,000 10,000 6/30/2014 9,530.9 10,242 10,207 9/30/2014 9,229.21 10,360.09 10,322.12 12/31/2014 7,737.93 11,214.51 10,831.28 3/31/2015 7,707.7 11,130.03 10,934.25 6/30/2015 7,446.74 11,269.15 10,964.86 9/30/2015 8,097.52 10,615.54 10,258.73 12/31/2015 7,069.58 11,223.81 10,980.94 3/31/2016 7,343.84 10,800.67 11,129.18 6/30/2016 6,851.15 11,033.68 11,402.43 9/30/2016 6,123.08 11,617.06 11,841.66 12/31/2016 4,711.42 13,171.06 12,294.51 3/31/2017 4,397.33 13,581.92 13,040.31 6/30/2017 4,064.49 14,096.67 13,443.26 9/30/2017 3,691.28 14,774.72 14,045.52 12/31/2017 3,224.08 15,808.95 14,978.14 3/31/2018 3,208.21 15,666.67 14,864.31 6/30/2018 3,194.94 15,680.77 15,374.15 9/30/2018 2,959.19 16,334.66 16,559.5 12/31/2018 3,728.85 14,389.2 14,320.66 3/31/2019 2,995.49 16,078.5 16,275.43 6/30/2019 2,629.79 17,192.74 16,975.27 9/30/2019 2,471.07 17,706.8 17,263.85 12/31/2019 2,135.97 19,075.53 18,829.68 3/31/2020 3,035.06 13,568.43 15,139.06 6/30/2020 1,987.29 15,466.65 18,248.63 9/30/2020 1,791.89 16,065.21 19,878.23 12/31/2020 1,231.55 18,974.62 22,293.43 3/31/2021 950.86 21,299.01 23,668.94 6/30/2021 790.66 23,166.93 25,692.63 9/30/2021 749.39 23,570.04 25,841.65 12/31/2021 644.71 25,106.8 28,691.98 3/31/2022 656.76 24,443.98 27,372.15 6/30/2022 888.86 20,496.28 22,965.23 9/30/2022 969.02 19,424.33 21,844.53 12/31/2022 757.74 21,677.55 23,495.98 3/31/2023 791.48 21,185.47 25,258.18 6/30/2023 724.25 22,314.65 27,465.74 9/30/2023 756.91 22,062.5 26,567.61 12/31/2023 592.1 25,157.87 29,673.36 3/31/2024 480.46 28,292.54 32,806.87 5/31/2024 500.71 27,964.34 33,026.68 |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years UltraShort Financials - NAV - -29.75% -25.88% UltraShort Financials - Market Price -38.81% -29.74% -25.88% S&P Financial Select Sector Index 33.70% 12.22% 10.94% S&P 500 ® 28.19% 15.79% 12.68% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ The "S&P Financials Select Sector Index" is a product of S&P Dow Jones Indices LLC and its affiliates and has been licensed for use by ProShares. "S&P ® ® |
AssetsNet | $ 14,743,285 | $ 14,743,285 | $ 14,743,285 | $ 14,743,285 | $ 14,743,285 | $ 14,743,285 |
Holdings Count | Holding | 9 | 9 | 9 | 9 | 9 | 9 |
Advisory Fees Paid, Amount | | | | | | $ 76,289 |
InvestmentCompanyPortfolioTurnover | | | | | | 0% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $14,743,285 Number of Portfolio Holdings 9 Net Investment Advisory Fees $76,289 Portfolio Turnover Rate -% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Swap Agreements (200)% Total (200)% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets U.S. Treasury Bills 80.6% Repurchase Agreements with various counterparties 80.6% |
Material Fund Change [Text Block] | | | | | | |
C000038818 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | Ultra SmallCap600 |
Trading Symbol | | | | | | SAA |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about Ultra SmallCap600 (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G2616"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment SAA $109 0.95% |
Expenses Paid, Amount | | | | | | $ 109 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? Ultra SmallCap600(the Fund) seeks daily investment results, before fees and expenses, that correspond to two times (2x) the daily performance of the SP SmallCap 600 ® ® |
Line Graph [Table Text Block] | | | | | | Ultra SmallCap600 : $24,824 S&P SmallCap 600 ® S&P 1500 Index : $32,221 5/31/2014 10,000 10,000 10,000 6/30/2014 10,942.270000 10,472 10,233 9/30/2014 9,451.260000 9,767.610000 10,278.030000 12/31/2014 11,279.980000 10,729.280000 10,812.480000 3/31/2015 12,085.090000 11,154.580000 10,962.780000 6/30/2015 12,057.540000 11,175.770000 10,981.410000 9/30/2015 9,817.630000 10,139.780000 10,246.760000 12/31/2015 10,451.230000 10,516.980000 10,922.020000 3/31/2016 10,848.580000 10,796.730000 11,093.490000 6/30/2016 11,471.900000 11,172.090000 11,381.920000 9/30/2016 13,061.760000 11,976.610000 11,834.920000 12/31/2016 15,957.740000 13,310.080000 12,346.190000 3/31/2017 16,137.980000 13,451.690000 13,054.860000 6/30/2017 16,526.720000 13,681.720000 13,441.290000 9/30/2017 18,377.370000 14,497.150000 14,038.080000 12/31/2017 19,672.720000 15,071.230000 14,954.770000 3/31/2018 19,590.420000 15,157.140000 14,847.090000 6/30/2018 22,888.130000 16,486.420000 15,389.010000 9/30/2018 24,815.090000 17,262.930000 16,520.110000 12/31/2018 15,425.520000 13,793.080000 14,212.250000 3/31/2019 18,883.440000 15,394.460000 16,150.800000 6/30/2019 19,252.990000 15,682.330000 16,822.670000 9/30/2019 18,830.060000 15,650.970000 17,080.060000 12/31/2019 21,785.210000 16,935.910000 18,603.600000 3/31/2020 8,796.040000 11,408.030000 14,776.840000 6/30/2020 12,132.740000 13,910.950000 17,845.990000 9/30/2020 12,701.660000 14,351.930000 19,373.600000 12/31/2020 21,482.110000 18,845.520000 21,938.670000 3/31/2021 29,419.520000 22,282.940000 23,454.630000 6/30/2021 31,740.950000 23,287.900000 25,363.840000 9/30/2021 29,579.380000 22,626.530000 25,452.610000 12/31/2021 32,547.300000 23,902.660000 28,178.590000 3/31/2022 28,501.630000 22,559.330000 26,871.100000 6/30/2022 20,465.800000 19,376.210000 22,566.350000 9/30/2022 17,963.370000 18,368.650000 21,492.190000 12/31/2022 20,761.340000 20,056.730000 23,166.430000 3/31/2023 21,237.140000 20,572.190000 24,825.150000 6/30/2023 22,107.040000 21,267.530000 26,907.980000 9/30/2023 19,537.520000 20,219.040000 26,003.870000 12/31/2023 25,085.800000 23,276.160000 29,067.130000 3/31/2024 25,677.550000 23,848.750000 32,063.950000 5/31/2024 24,824.050000 23,646.030000 32,221.060000 |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years Ultra SmallCap600 - NAV 30.10% 8.16% 9.52% Ultra SmallCap600 - Market Price 29.80% 8.17% 9.53% S&P SmallCap 600 ® 20.34% 10.12% 8.98% S&P 1500 Index 27.86% 15.43% 12.40% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ "Standard & Poor's ® ® ® |
AssetsNet | $ 32,757,886 | $ 32,757,886 | $ 32,757,886 | $ 32,757,886 | $ 32,757,886 | $ 32,757,886 |
Holdings Count | Holding | 609 | 609 | 609 | 609 | 609 | 609 |
Advisory Fees Paid, Amount | | | | | | $ 86,018 |
InvestmentCompanyPortfolioTurnover | | | | | | 38% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $32,757,886 Number of Portfolio Holdings 609 Net Investment Advisory Fees $86,018 Portfolio Turnover Rate 38% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Equity Securities 76% Swap Agreements 124% Total 200% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets Abercrombie & Fitch Co., Class A 0.6% Fabrinet 0.6% ATI, Inc. 0.5% SPS Commerce, Inc. 0.4% Ensign Group, Inc. (The) 0.4% Mueller Industries, Inc. 0.4% Meritage Homes Corp. 0.4% SPX Technologies, Inc. 0.4% SM Energy Co. 0.4% Badger Meter, Inc. 0.4% |
Material Fund Change [Text Block] | | | | | | |
C000051849 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | Short FTSE China 50 |
Trading Symbol | | | | | | YXI |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about Short FTSE China 50 (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G2640"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment YXI $92 0.95% |
Expenses Paid, Amount | | | | | | $ 92 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? Short FTSE China 50 (the Fund) seeks daily investment results, before fees and expenses, that correspond to the inverse (-1x) of the daily performance of the FTSE China 50 Index (the Index). The Fund invests in financial instruments that the Advisor believes, in combination, should produce daily returns consistent with the Funds investment objective. For the year ended May 31, 2024, the Fund had a total return of -5.98% and an average daily statistical correlation of over 0.99 to the inverse of the return of the Index. For the same period, the Index had a total return of 5.11% and a volatility of 26.37%. The index performance was driven by factors such as geopolitical concerns and government interventionist policies, which muted returns. Primary factors affecting Fund performance include the total return of the derivatives held by the Fund, the performance of the reference assets to which any derivatives are linked, financing rates paid or earned, expenses, transaction costs, the volatility of the Funds Index (and its impact on compounding), and other miscellaneous factors. |
Line Graph [Table Text Block] | | | | | | Short FTSE China 50 : $5,262 FTSE China 50 Index : $9,947 S&P Global 1200 Index : $25,156 5/31/2014 10,000 10,000 10,000 6/30/2014 9,783.020000 10,274 10,180 9/30/2014 9,344.480000 10,522.300000 9,976.400000 12/31/2014 8,321.220000 11,626.250000 10,072.170000 3/31/2015 7,672.570000 12,412.720000 10,291.750000 6/30/2015 7,176.070000 13,164.930000 10,353.500000 9/30/2015 8,908.770000 9,971.120000 9,461.030000 12/31/2015 8,597.860000 10,302.160000 9,986.110000 3/31/2016 8,743.970000 9,833.410000 10,003.090000 6/30/2016 8,394.330000 9,969.950000 10,139.130000 9/30/2016 7,474.340000 11,028.790000 10,653.190000 12/31/2016 7,934.700000 10,561.750000 10,874.770000 3/31/2017 7,113.240000 11,539.960000 11,614.260000 6/30/2017 6,831.230000 12,046.560000 12,114.830000 9/30/2017 6,121.240000 13,263.260000 12,747.220000 12/31/2017 5,681.210000 14,321.670000 13,468.720000 3/31/2018 5,435.230000 14,453.430000 13,331.340000 6/30/2018 5,848.660000 13,638.260000 13,516.640000 9/30/2018 5,812.550000 13,574.160000 14,201.940000 12/31/2018 6,216.880000 12,630.760000 12,368.470000 3/31/2019 5,465.060000 14,135.080000 13,886.080000 6/30/2019 5,580.930000 13,855.200000 14,456.790000 9/30/2019 5,976.990000 13,022.510000 14,560.880000 12/31/2019 5,335.250000 14,465.400000 15,858.260000 3/31/2020 5,892.440000 12,515.460000 12,572.430000 6/30/2020 5,392.750000 13,386.540000 14,913.410000 9/30/2020 4,968 13,998.310000 16,048.320000 12/31/2020 4,360.750000 16,078.450000 18,327.190000 3/31/2021 4,228.950000 15,821.200000 19,296.690000 6/30/2021 4,190.560000 15,980.990000 20,749.730000 9/30/2021 4,840.160000 13,471.980000 20,614.860000 12/31/2021 4,981.430000 12,863.040000 22,276.420000 3/31/2022 5,232.370000 11,531.720000 21,227.200000 6/30/2022 4,711.790000 11,911.110000 17,977.320000 9/30/2022 6,086.980000 9,187.040000 16,754.860000 12/31/2022 5,200.790000 10,349.200000 18,527.520000 3/31/2023 4,931.510000 10,752.820000 19,954.140000 6/30/2023 5,313.590000 9,930.230000 21,323 9/30/2023 5,433.970000 9,824.970000 20,542.570000 12/31/2023 5,858.330000 9,011.460000 22,861.830000 3/31/2024 5,820.070000 9,074.540000 24,919.390000 5/31/2024 5,262.060000 9,946.600000 25,156.130000 |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years Short FTSE China 50 - NAV - -2.53% -6.22% Short FTSE China 50 - Market Price -5.92% -2.47% -6.20% FTSE China 50 Index 5.11% -5.11% -0.05% S&P Global 1200 Index 24.99% 13.13% 9.66% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ "FTSE ® |
AssetsNet | $ 6,802,450 | $ 6,802,450 | $ 6,802,450 | $ 6,802,450 | $ 6,802,450 | $ 6,802,450 |
Holdings Count | Holding | 6 | 6 | 6 | 6 | 6 | 6 |
Advisory Fees Paid, Amount | | | | | | $ 0 |
InvestmentCompanyPortfolioTurnover | | | | | | 0% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $6,802,450 Number of Portfolio Holdings 6 Net Investment Advisory Fees $- Portfolio Turnover Rate -% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Swap Agreements (100)% Total (100)% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets Repurchase Agreements with various counterparties 65.2% |
Material Fund Change [Text Block] | | | | | | |
C000051861 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | UltraShort FTSE China 50 |
Trading Symbol | | | | | | FXP |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about UltraShort FTSE China 50 (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G2664"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment FXP $85 0.95% |
Expenses Paid, Amount | | | | | | $ 85 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? UltraShort FTSE China 50(the Fund) seeks daily investment results, before fees and expenses, that correspond to two times the inverse (-2x) of the daily performance of the FTSE China 50 Index (the Index).The Fund invests in financial instruments that the Advisor believes, in combination, should produce daily returns consistent with the Funds investment objective. For the year ended May 31, 2024, the Fund had a total return of -21.55% and an average daily statistical correlation of over 0.99 to two times the inverse of the return of the Index. For the same period, the Index had a total return of 5.11% and a volatility of 26.37%. The index performance was driven by factors such as geopolitical concerns and government interventionist policies, which muted returns. Primary factors affecting Fund performance include the total return of the derivatives held by the Fund, the performance of the reference assets to which any derivatives are linked, financing rates paid or earned, expenses, transaction costs, the volatility of the Funds Index (and its impact on compounding), and other miscellaneous factors. |
Line Graph [Table Text Block] | | | | | | UltraShort FTSE China 50 : $1,248 FTSE China 50 Index : $9,947 S&P Global 1200 Index : $25,156 5/31/2014 10,000 10,000 10,000 6/30/2014 9,563.590000 10,274 10,180 9/30/2014 8,686.590000 10,522.300000 9,976.400000 12/31/2014 6,809.070000 11,626.250000 10,072.170000 3/31/2015 5,747.110000 12,412.720000 10,291.750000 6/30/2015 4,941.280000 13,164.930000 10,353.500000 9/30/2015 7,324.800000 9,971.120000 9,461.030000 12/31/2015 6,759.430000 10,302.160000 9,986.110000 3/31/2016 6,833.730000 9,833.410000 10,003.090000 6/30/2016 6,208.480000 9,969.950000 10,139.130000 9/30/2016 4,886.810000 11,028.790000 10,653.190000 12/31/2016 5,476.070000 10,561.750000 10,874.770000 3/31/2017 4,390.490000 11,539.960000 11,614.260000 6/30/2017 4,035.630000 12,046.560000 12,114.830000 9/30/2017 3,220.900000 13,263.260000 12,747.220000 12/31/2017 2,750.330000 14,321.670000 13,468.720000 3/31/2018 2,465.180000 14,453.430000 13,331.340000 6/30/2018 2,831.590000 13,638.260000 13,516.640000 9/30/2018 2,758.540000 13,574.160000 14,201.940000 12/31/2018 3,092.870000 12,630.760000 12,368.470000 3/31/2019 2,363.040000 14,135.080000 13,886.080000 6/30/2019 2,439.460000 13,855.200000 14,456.790000 9/30/2019 2,773 13,022.510000 14,560.880000 12/31/2019 2,198.530000 14,465.400000 15,858.260000 3/31/2020 2,540.430000 12,515.460000 12,572.430000 6/30/2020 2,087.440000 13,386.540000 14,913.410000 9/30/2020 1,738.050000 13,998.310000 16,048.320000 12/31/2020 1,329.530000 16,078.450000 18,327.190000 3/31/2021 1,226.600000 15,821.200000 19,296.690000 6/30/2021 1,198.240000 15,980.990000 20,749.730000 9/30/2021 1,570.060000 13,471.980000 20,614.860000 12/31/2021 1,641.770000 12,863.040000 22,276.420000 3/31/2022 1,639.520000 11,531.720000 21,227.200000 6/30/2022 1,288.840000 11,911.110000 17,977.320000 9/30/2022 2,114.240000 9,187.040000 16,754.860000 12/31/2022 1,446.460000 10,349.200000 18,527.520000 3/31/2023 1,259.350000 10,752.820000 19,954.140000 6/30/2023 1,420.470000 9,930.230000 21,323 9/30/2023 1,441.590000 9,824.970000 20,542.570000 12/31/2023 1,631.170000 9,011.460000 22,861.830000 3/31/2024 1,560.760000 9,074.540000 24,919.390000 5/31/2024 1,248.320000 9,946.600000 25,156.130000 |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years UltraShort FTSE China 50 - NAV - -14.97% -18.79% UltraShort FTSE China 50 - Market Price -21.87% -14.96% -18.79% FTSE China 50 Index 5.11% -5.11% -0.05% S&P Global 1200 Index 24.99% 13.13% 9.66% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ "FTSE ® |
AssetsNet | $ 14,973,096 | $ 14,973,096 | $ 14,973,096 | $ 14,973,096 | $ 14,973,096 | $ 14,973,096 |
Holdings Count | Holding | 8 | 8 | 8 | 8 | 8 | 8 |
Advisory Fees Paid, Amount | | | | | | $ 50,808 |
InvestmentCompanyPortfolioTurnover | | | | | | 0% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $14,973,096 Number of Portfolio Holdings 8 Net Investment Advisory Fees $50,808 Portfolio Turnover Rate -% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Swap Agreements (199)% Total (199)% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets U.S. Treasury Bills 42.4% Repurchase Agreements with various counterparties 4.6% |
Material Fund Change [Text Block] | | | | | | |
C000096244 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | Hedge Replication ETF |
Trading Symbol | | | | | | HDG |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about Hedge Replication ETF (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/shareholder_reports</span>" id="sjs-G2688"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment HDG $98 0.95% |
Expenses Paid, Amount | | | | | | $ 98 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? Hedge Replication ETF (the Fund) seeks investment results, before fees and expenses, that track the performance of the Merrill Lynch Factor Model ® |
Line Graph [Table Text Block] | | | | | | Value Based on a $10,000 Investment Footnote Reference Hedge Replication ETF : $12,547 Merrill Lynch Factor Model ® S&P 500 ® 5/31/2014 10,000 10,000 10,000 6/30/2014 10,085 10,095 10,207 9/30/2014 9,978 10,018 10,322 12/31/2014 10,046 10,126 10,831 3/31/2015 10,267 10,358 10,934 6/30/2015 10,225 10,341 10,965 9/30/2015 9,883 10,009 10,259 12/31/2015 10,013 10,191 10,981 3/31/2016 9,958 10,140 11,129 6/30/2016 9,992 10,177 11,402 9/30/2016 10,185 10,407 11,842 12/31/2016 10,236 10,506 12,295 3/31/2017 10,442 10,723 13,040 6/30/2017 10,526 10,838 13,443 9/30/2017 10,689 11,033 14,046 12/31/2017 10,795 11,183 14,978 3/31/2018 10,759 11,155 14,864 6/30/2018 10,762 11,209 15,374 9/30/2018 10,884 11,361 16,560 12/31/2018 10,341 10,826 14,321 3/31/2019 10,839 11,365 16,275 6/30/2019 10,962 11,523 16,975 9/30/2019 10,948 11,532 17,264 12/31/2019 11,323 11,959 18,830 3/31/2020 10,350 10,958 15,139 6/30/2020 11,105 11,779 18,249 9/30/2020 11,123 11,815 19,878 12/31/2020 12,152 12,958 22,293 3/31/2021 12,520 13,366 23,669 6/30/2021 12,701 13,608 25,693 9/30/2021 12,392 13,320 25,842 12/31/2021 12,485 13,465 28,692 3/31/2022 12,035 13,031 27,372 6/30/2022 11,280 12,227 22,965 9/30/2022 10,933 11,914 21,845 12/31/2022 11,448 12,500 23,496 3/31/2023 11,761 12,838 25,258 6/30/2023 11,913 13,028 27,466 9/30/2023 11,856 13,020 26,568 12/31/2023 12,275 13,507 29,673 3/31/2024 12,520 13,797 32,807 5/31/2024 12,547 13,833 33,027 Footnote Description Footnote * The line graph represents historical performance of a hypothetical investment of $10,000 in the ProShares Hedge Replication ETF from May 31, 2014 to May 31, 2024, assuming the reinvestment of distributions. |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years Hedge Replication ETF - NAV 6.94% 3.24% 2.30% Hedge Replication ETF - Market Price 7.03% 3.22% 2.29% Merrill Lynch Factor Model ® 7.87% 4.24% 3.30% S&P 500 ® 28.19% 15.79% 12.68% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ "Merrill Lynch Factor Model ® ® TM TM |
AssetsNet | $ 27,919,054 | $ 27,919,054 | $ 27,919,054 | $ 27,919,054 | $ 27,919,054 | $ 27,919,054 |
Holdings Count | Holding | 1,944 | 1,944 | 1,944 | 1,944 | 1,944 | 1,944 |
Advisory Fees Paid, Amount | | | | | | $ 0 |
InvestmentCompanyPortfolioTurnover | | | | | | 57% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $27,919,054 Number of Portfolio Holdings 1,944 Net Investment Advisory Fees $- Portfolio Turnover Rate 57% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Equity Securities 18% Swap Agreements (Long) 17% Swap Agreements (Short) (9)% Futures Contracts (10)% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets Super Micro Computer, Inc. 0.3% MicroStrategy, Inc., Class A 0.2% Comfort Systems USA, Inc. 0.1% Onto Innovation, Inc. 0.1% Carvana Co., Class A 0.1% elf Beauty, Inc. 0.1% Fabrinet 0.1% Light & Wonder, Inc. 0.1% Weatherford International plc 0.1% Abercrombie & Fitch Co., Class A 0.1% |
Material Fund Change [Text Block] | | | | | | |
C000051853 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | Short High Yield |
Trading Symbol | | | | | | SJB |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about Short High Yield (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G2712"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment SJB $93 0.95% |
Expenses Paid, Amount | | | | | | $ 93 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? Short High Yield (the Fund) seeks daily investment results, before fees and expenses, that correspond to the inverse (-1x) of the daily performance of the Markit iBoxx ® |
Line Graph [Table Text Block] | | | | | | Short High Yield : $6,662 Markit iBoxx ® Bloomberg U.S. Aggregate Bond Index : $11,331 5/31/2014 10,000 10,000 10,000 6/30/2014 9,919.190000 10,000 10,005 9/30/2014 10,062.360000 9,761.080000 10,022.010000 12/31/2014 10,059.300000 9,722.910000 10,201.400000 3/31/2015 9,796.950000 9,944.270000 10,365.650000 6/30/2015 9,800.240000 9,879.630000 10,191.500000 9/30/2015 10,232.630000 9,372.800000 10,316.860000 12/31/2015 10,284.310000 9,234.090000 10,258.050000 3/31/2016 9,965.950000 9,540.660000 10,568.870000 6/30/2016 9,423.690000 9,996.220000 10,802.440000 9/30/2016 8,980.940000 10,504.730000 10,852.130000 12/31/2016 8,857.890000 10,648.420000 10,528.740000 3/31/2017 8,631.650000 10,895.840000 10,615.080000 6/30/2017 8,448.460000 11,121.380000 10,768.990000 9/30/2017 8,299.570000 11,310.450000 10,860.530000 12/31/2017 8,301.550000 11,320.620000 10,902.890000 3/31/2018 8,388.980000 11,202.890000 10,743.700000 6/30/2018 8,344.250000 11,357.490000 10,726.510000 9/30/2018 8,120.620000 11,641.430000 10,728.660000 12/31/2018 8,509.390000 11,151.320000 10,904.610000 3/31/2019 7,936.490000 11,987.670000 11,225.210000 6/30/2019 7,797.970000 12,277.770000 11,570.940000 9/30/2019 7,717.900000 12,441.070000 11,833.600000 12/31/2019 7,537.260000 12,785.690000 11,854.900000 3/31/2020 8,373.860000 11,252.680000 12,228.330000 6/30/2020 7,659.100000 12,124.770000 12,582.950000 9/30/2020 7,301.840000 12,641.280000 12,660.970000 12/31/2020 6,847.860000 13,383.320000 12,745.800000 3/31/2021 6,758.990000 13,474.330000 12,316.260000 6/30/2021 6,569.610000 13,789.630000 12,541.650000 9/30/2021 6,488.180000 13,879.260000 12,547.920000 12/31/2021 6,380.410000 13,981.970000 12,549.180000 3/31/2022 6,629.350000 13,369.560000 11,805.010000 6/30/2022 7,232.370000 12,047.310000 11,251.360000 9/30/2022 7,325.720000 11,962.980000 10,716.920000 12/31/2022 6,991.940000 12,478.580000 10,917.320000 3/31/2023 6,800.040000 12,934.050000 11,240.480000 6/30/2023 6,837.160000 13,091.850000 11,146.060000 9/30/2023 6,958.620000 13,140.290000 10,786.040000 12/31/2023 6,595.290000 14,087.700000 11,521.650000 3/31/2024 6,601.610000 14,246.890000 11,431.780000 5/31/2024 6,661.820000 14,273.960000 11,331.180000 |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years Short High Yield - NAV - -3.68% -3.98% Short High Yield - Market Price -3.76% -3.66% -3.99% Markit iBoxx ® 10.86% 3.57% 3.71% Bloomberg U.S. Aggregate Bond Index 1.30% -0.85% 1.25% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ Bloomberg ® |
AssetsNet | $ 94,835,023 | $ 94,835,023 | $ 94,835,023 | $ 94,835,023 | $ 94,835,023 | $ 94,835,023 |
Holdings Count | Holding | 8 | 8 | 8 | 8 | 8 | 8 |
Advisory Fees Paid, Amount | | | | | | $ 1,101,880 |
InvestmentCompanyPortfolioTurnover | | | | | | 0% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $94,835,023 Number of Portfolio Holdings 8 Net Investment Advisory Fees $1,101,880 Portfolio Turnover Rate -% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Swap Agreements (100)% Total (100)% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets U.S. Treasury Bills 92.3% Repurchase Agreements with various counterparties 20.3% |
Material Fund Change [Text Block] | | | | | | |
C000038819 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | Ultra Technology |
Trading Symbol | | | | | | ROM |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about Ultra Technology (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G2736"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment ROM $119 0.95% |
Expenses Paid, Amount | | | | | | $ 119 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? Ultra Technology(the Fund) seeks daily investment results, before fees and expenses, that correspond to two times (2x) the daily performance of the S&P Technology Select Sector Index (the Index).The Fund invests in financial instruments that the Advisor believes, in combination, should produce daily returns consistent with the Funds investment objective. For the year ended May 31, 2024, the Fund had a total return of 50.42% and an average daily statistical correlation of over 0.99 to twice that of the return of the Index. For the same period, the Index had a total return of 29.17% and a volatility of 17.51%. The index performance was driven by factors such as enthusiasm for artificial intelligence and strength in the "Magnificent Seven" companies. Primary factors affecting Fund performance include the total return of the securities and derivatives held by the Fund, the performance of the reference assets to which any derivatives are linked, financing rates paid or earned, expenses, transaction costs, the volatility of the Funds Index (and its impact on compounding), and other miscellaneous factors. |
Line Graph [Table Text Block] | | | | | | Ultra Technology : $158,497 S&P Technology Select Industry Index : $61,433 S&P Total Market Index : $31,100 5/31/2014 10,000 10,000 10,000 6/30/2014 10,611.840000 10,189 10,253 9/30/2014 11,474.720000 10,637.200000 10,246.850000 12/31/2014 12,295.060000 11,076.750000 10,780.710000 3/31/2015 12,366.560000 11,170.500000 10,974.760000 6/30/2015 12,259.470000 11,170.500000 10,989.030000 9/30/2015 10,860.420000 10,620.910000 10,190.130000 12/31/2015 12,649.040000 11,530.060000 10,831.090000 3/31/2016 12,900.260000 11,747.980000 10,931.810000 6/30/2016 12,084.510000 11,438.650000 11,218.230000 9/30/2016 15,450.860000 12,992.470000 11,717.440000 12/31/2016 15,732.640000 13,169.370000 12,202.540000 3/31/2017 19,886.840000 14,860.780000 12,909.070000 6/30/2017 21,174.410000 15,419.540000 13,297.630000 9/30/2017 24,318.850000 16,613.020000 13,905.330000 12/31/2017 28,509.440000 18,079.940000 14,785.540000 3/31/2018 29,963.580000 18,759.750000 14,696.830000 6/30/2018 33,354.280000 19,958.500000 15,265.590000 9/30/2018 39,168.410000 21,774.720000 16,350.980000 12/31/2018 25,648.540000 17,966.320000 14,002.980000 3/31/2019 35,967.490000 21,500.300000 15,969 6/30/2019 38,344.230000 22,414.060000 16,622.130000 9/30/2019 40,155.650000 23,158.210000 16,811.620000 12/31/2019 51,858.850000 26,495.310000 18,331.390000 3/31/2020 36,294.260000 23,376.810000 14,489.130000 6/30/2020 60,901 30,827 17,689.780000 9/30/2020 74,346.460000 34,483.080000 19,294.240000 12/31/2020 93,529.480000 39,031.400000 22,142.070000 3/31/2021 98,023.070000 40,381.880000 23,570.240000 6/30/2021 125,607.280000 45,990.930000 25,524.210000 9/30/2021 129,776.900000 46,970.540000 25,493.580000 12/31/2021 166,153.290000 53,565.200000 27,823.690000 3/31/2022 130,206.560000 48,240.820000 26,321.210000 6/30/2022 74,689.200000 37,420.400000 21,888.720000 9/30/2022 61,790.890000 34,640.070000 20,890.600000 12/31/2022 60,123.410000 35,069.600000 22,390.540000 3/31/2023 90,754.200000 43,749.330000 24,011.620000 6/30/2023 117,737.670000 50,504.230000 26,026.190000 9/30/2023 102,354.240000 47,701.240000 25,169.930000 12/31/2023 138,335.030000 56,149.130000 28,223.040000 3/31/2024 158,709.020000 60,927.420000 31,059.460000 5/31/2024 158,497.040000 61,433.120000 31,099.840000 |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years Ultra Technology - NAV 50.42% 36.74% 31.83% Ultra Technology - Market Price 49.69% 36.68% 31.78% S&P Technology Select Industry Index 29.17% 25.29% 20.47% S&P Total Market Index 27.68% 14.88% 12.00% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ The "S&P Technology Select Industry Index" is a product of S&P Dow Jones Indices LLC and its affiliates and has been licensed for use by ProShares. "S&P ® ® |
AssetsNet | $ 662,540,779 | $ 662,540,779 | $ 662,540,779 | $ 662,540,779 | $ 662,540,779 | $ 662,540,779 |
Holdings Count | Holding | 75 | 75 | 75 | 75 | 75 | 75 |
Advisory Fees Paid, Amount | | | | | | $ 4,559,526 |
InvestmentCompanyPortfolioTurnover | | | | | | 17% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $662,540,779 Number of Portfolio Holdings 75 Net Investment Advisory Fees $4,559,526 Portfolio Turnover Rate 17% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Equity Securities 70% Swap Agreements 130% Total 200% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets Microsoft Corp. 15.8% Apple, Inc. 15.2% NVIDIA Corp. 3.8% Broadcom, Inc. 3.2% Advanced Micro Devices, Inc. 2.0% QUALCOMM, Inc. 1.7% Salesforce, Inc. 1.7% Adobe, Inc. 1.5% Cisco Systems, Inc. 1.4% Oracle Corp. 1.4% |
Material Fund Change [Text Block] | | | | | | |
C000038860 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | UltraShort Health Care |
Trading Symbol | | | | | | RXD |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about UltraShort Health Care (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G2760"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment RXD $88 0.95% |
Expenses Paid, Amount | | | | | | $ 88 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? UltraShort Health Care(the Fund) seeks daily investment results, before fees and expenses, that correspond to two times the inverse (-2x) of the daily performance of the S&P Health Care Select Sector Index (the Index). The Fund invests in financial instruments that the Advisor believes, in combination, should produce daily returns consistent with the Funds investment objective. For the year ended May 31, 2024, the Fund had a total return of -15.68% and an average daily statistical correlation of over 0.99 to two times the inverse of the return of the Index. For the same period, the Index had a total return of 14.36% and a volatility of 10.60%. The index performance was driven by factors such as a market environment that generally favored leading technology companies over more defensive areas of the market. Primary factors affecting Fund performance include the total return of the derivatives held by the Fund, the performance of the reference assets to which any derivatives are linked, financing rates paid or earned, expenses, transaction costs, the volatility of the Funds Index (and its impact on compounding), and other miscellaneous factors. |
Line Graph [Table Text Block] | | | | | | UltraShort Health Care : $682 S&P Health Care Select Sector Index : $28,337 S&P 500 ® 5/31/2014 10,000 10,000 10,000 6/30/2014 9,460.85 10,218 10,207 9/30/2014 8,449.02 10,740.59 10,322.12 12/31/2014 7,057.35 11,588.29 10,831.28 3/31/2015 6,011.35 12,433.04 10,934.25 6/30/2015 5,562.42 12,837.12 10,964.86 9/30/2015 6,750.09 11,376.25 10,258.73 12/31/2015 5,555.17 12,351.2 10,980.94 3/31/2016 6,096.78 11,605.18 11,129.18 6/30/2016 5,314.4 12,307.82 11,402.43 9/30/2016 5,085.04 12,518.5 11,841.66 12/31/2016 5,401.69 12,048.73 12,294.51 3/31/2017 4,562.23 13,077.22 13,040.31 6/30/2017 3,963.68 14,014.86 13,443.26 9/30/2017 3,667.03 14,554.43 14,045.52 12/31/2017 3,544.82 14,800.4 14,978.14 3/31/2018 3,514.54 14,701.24 14,864.31 6/30/2018 3,249.1 15,255.48 15,374.15 9/30/2018 2,497.92 17,447.69 16,559.5 12/31/2018 2,984.35 15,723.86 14,320.66 3/31/2019 2,571.56 16,912.58 16,275.43 6/30/2019 2,513.96 17,105.38 16,975.27 9/30/2019 2,653.69 16,638.41 17,263.85 12/31/2019 2,019.92 19,067.61 18,829.68 3/31/2020 2,218.47 16,657.47 15,139.06 6/30/2020 1,564.82 19,219.39 18,248.63 9/30/2020 1,363.71 20,372.55 19,878.23 12/31/2020 1,129.14 22,110.33 22,293.43 3/31/2021 1,046.88 22,762.58 23,668.94 6/30/2021 877.26 24,738.37 25,692.63 9/30/2021 843.92 25,079.76 25,841.65 12/31/2021 700.71 27,334.43 28,691.98 3/31/2022 738.2 26,287.52 27,372.15 6/30/2022 814.35 24,547.29 22,965.23 9/30/2022 893.69 23,275.74 21,844.53 12/31/2022 707.67 26,108.4 23,495.98 3/31/2023 776.45 25,118.89 25,258.18 6/30/2023 748.55 25,859.9 27,465.74 9/30/2023 808.58 25,174.61 26,567.61 12/31/2023 730.97 26,788.3 29,673.36 3/31/2024 633.67 29,159.07 32,806.87 5/31/2024 682.08 28,336.78 33,026.68 |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years UltraShort Health Care - NAV - -24.97% -23.55% UltraShort Health Care - Market Price -16.56% -25.11% -23.69% S&P Health Care Select Sector Index 14.36% 12.53% 11.08% S&P 500 ® 28.19% 15.79% 12.68% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ The "S&P Health Care Select Sector Index" is a product of S&P Dow Jones Indices LLC and its affiliates and has been licensed for use by ProShares. "S&P ® ® |
AssetsNet | $ 774,395 | $ 774,395 | $ 774,395 | $ 774,395 | $ 774,395 | $ 774,395 |
Holdings Count | Holding | 8 | 8 | 8 | 8 | 8 | 8 |
Advisory Fees Paid, Amount | | | | | | $ 0 |
InvestmentCompanyPortfolioTurnover | | | | | | 0% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $774,395 Number of Portfolio Holdings 8 Net Investment Advisory Fees $- Portfolio Turnover Rate -% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Swap Agreements (201)% Total (201)% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets U.S. Treasury Bills 102.7% Repurchase Agreements with various counterparties 29.6% |
Material Fund Change [Text Block] | | | | | | |
C000107655 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | Inflation Expectations ETF |
Trading Symbol | | | | | | RINF |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about Inflation Expectations ETF (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/shareholder_reports</span>" id="sjs-G2784"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment RINF $31 0.30% |
Expenses Paid, Amount | | | | | | $ 31 |
Expense Ratio, Percent | | | | | | 0.30% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? Inflation Expectations ETF (the Fund) seeks investment results, before fees and expenses, that track the performance of the FTSE 30-Year TIPS (Treasury Rate-Hedged) Index (the Index). The Fund invests in financial instruments that the Advisor believes, in combination, should track the performance of the Index. Performance was driven by a modest uptick in breakeven inflation which offset a higher risk-free rate. For the year ended May 31, 2024, the Fund had a total return of 7.56%. For the same period, the Index had a total return of 1.00% and a volatility of 7.33%. Primary factors affecting Fund performance include the total return of the securities and derivatives held by the Fund, including the performance of the reference assets to which any derivatives are linked, financing rates paid or earned, expenses, transaction costs, the volatility of the Funds index, and other miscellaneous factors. |
Line Graph [Table Text Block] | | | | | | Value Based on a $10,000 Investment Footnote Reference Inflation Expectations ETF : $11,647 FTSE 30-Year TIPS (Treasury Rate-Hedged) Index : $10,379 ICE U.S Treasury Core Bond Index : $10,823 5/31/2014 10,000 10,000 10,000 6/30/2014 10,123 10,105 9,986 9/30/2014 9,473 9,488 10,020 12/31/2014 8,855 8,898 10,215 3/31/2015 8,530 8,592 10,382 6/30/2015 8,896 8,991 10,216 9/30/2015 7,968 8,074 10,395 12/31/2015 8,148 8,280 10,297 3/31/2016 8,035 8,182 10,626 6/30/2016 7,764 7,924 10,854 9/30/2016 8,072 8,233 10,819 12/31/2016 8,394 8,601 10,405 3/31/2017 8,420 8,617 10,475 6/30/2017 7,939 8,096 10,599 9/30/2017 8,073 8,217 10,639 12/31/2017 8,367 8,486 10,646 3/31/2018 8,499 8,603 10,520 6/30/2018 8,745 8,782 10,532 9/30/2018 8,923 8,903 10,468 12/31/2018 8,257 8,194 10,737 3/31/2019 8,420 8,311 10,965 6/30/2019 8,212 8,071 11,295 9/30/2019 7,859 7,743 11,566 12/31/2019 8,398 8,242 11,475 3/31/2020 6,961 6,834 12,450 6/30/2020 7,697 7,539 12,478 9/30/2020 8,119 7,970 12,500 12/31/2020 8,582 8,433 12,396 3/31/2021 9,394 9,259 11,860 6/30/2021 9,454 9,335 12,084 9/30/2021 9,552 9,442 12,078 12/31/2021 9,968 9,882 12,110 3/31/2022 10,609 10,537 11,448 6/30/2022 10,196 10,123 11,030 9/30/2022 10,180 10,040 10,525 12/31/2022 10,790 10,519 10,601 3/31/2023 10,711 10,264 10,918 6/30/2023 10,932 10,329 10,766 9/30/2023 11,529 10,736 10,436 12/31/2023 10,911 10,011 11,010 3/31/2024 11,282 10,169 10,911 5/31/2024 11,647 10,379 10,823 Footnote Description Footnote * The line graph represents historical performance of a hypothetical investment of $10,000 in the ProShares Inflation Expectations ETF from May 31, 2014 to May 31, 2024, assuming the reinvestment of distributions. |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years Inflation Expectations ETF - NAV 7.56% 6.92% 1.54% Inflation Expectations ETF - Market Price 8.09% 6.90% 1.39% FTSE 30-Year TIPS (Treasury Rate-Hedged) Index 1.00% 4.79% 1.75% ICE U.S Treasury Core Bond Index - -0.67% 0.79% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ "FTSE ® |
AssetsNet | $ 22,027,437 | $ 22,027,437 | $ 22,027,437 | $ 22,027,437 | $ 22,027,437 | $ 22,027,437 |
Holdings Count | Holding | 6 | 6 | 6 | 6 | 6 | 6 |
Advisory Fees Paid, Amount | | | | | | $ 0 |
InvestmentCompanyPortfolioTurnover | | | | | | 0% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $22,027,437 Number of Portfolio Holdings 6 Net Investment Advisory Fees $- Portfolio Turnover Rate -% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Swap Agreements 100% Swap Agreements (Long exposure to inverse index) 134% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets Repurchase Agreements with various counterparties 71.5% U.S. Treasury Bills 22.6% |
Material Fund Change [Text Block] | | | | | | |
C000018467 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | Short MidCap400 |
Trading Symbol | | | | | | MYY |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about Short MidCap400 (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G2808"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment MYY $88 0.95% |
Expenses Paid, Amount | | | | | | $ 88 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? Short MidCap400 (the Fund) seeks daily investment results, before fees and expenses, that correspond to the inverse (-1x) of the daily performance of the S&P MidCap 400 ® ® |
Line Graph [Table Text Block] | | | | | | Short MidCap400 : $3,090 S&P MidCap 400 ® S&P 1500 Index : $32,221 5/31/2014 10,000 10,000 10,000 6/30/2014 9,589.600000 10,414 10,233 9/30/2014 9,941.960000 9,999.180000 10,278.030000 12/31/2014 9,268.360000 10,634.020000 10,812.480000 3/31/2015 8,741.840000 11,199.090000 10,962.780000 6/30/2015 8,794.150000 11,080.380000 10,981.410000 9/30/2015 9,500.640000 10,138.550000 10,246.760000 12/31/2015 9,188.440000 10,402.150000 10,922.020000 3/31/2016 8,751.470000 10,795.350000 11,093.490000 6/30/2016 8,346.030000 11,226.430000 11,381.920000 9/30/2016 7,976.370000 11,691.690000 11,834.920000 12/31/2016 7,395.550000 12,558.800000 12,346.190000 3/31/2017 7,096.860000 13,053.610000 13,054.860000 6/30/2017 6,949.550000 13,310.760000 13,441.290000 9/30/2017 6,730.110000 13,739.370000 14,038.080000 12/31/2017 6,343.760000 14,598.080000 14,954.770000 3/31/2018 6,372.230000 14,485.670000 14,847.090000 6/30/2018 6,127.350000 15,107.110000 15,389.010000 9/30/2018 5,930.810000 15,690.240000 16,520.110000 12/31/2018 7,138.390000 12,978.970000 14,212.250000 3/31/2019 6,257.470000 14,859.620000 16,150.800000 6/30/2019 6,091.150000 15,312.840000 16,822.670000 9/30/2019 6,102.870000 15,299.060000 17,080.060000 12/31/2019 5,716.900000 16,379.170000 18,603.600000 3/31/2020 7,386.140000 11,514.560000 14,776.840000 6/30/2020 5,657.590000 14,286.110000 17,845.990000 9/30/2020 5,339.310000 14,967.560000 19,373.600000 12/31/2020 4,240.490000 18,615.150000 21,938.670000 3/31/2021 3,682.020000 21,122.620000 23,454.630000 6/30/2021 3,523.440000 21,891.480000 25,363.840000 9/30/2021 3,557.080000 21,506.190000 25,452.610000 12/31/2021 3,259.210000 23,226.680000 28,178.590000 3/31/2022 3,372.710000 22,093.220000 26,871.100000 6/30/2022 3,904.290000 18,686.450000 22,566.350000 9/30/2022 3,981.380000 18,226.760000 21,492.190000 12/31/2022 3,585.060000 20,191.610000 23,166.430000 3/31/2023 3,483.060000 20,960.910000 24,825.150000 6/30/2023 3,371.920000 21,977.510000 26,907.980000 9/30/2023 3,582.070000 21,054.450000 26,003.870000 12/31/2023 3,249.210000 23,511.510000 29,067.130000 3/31/2024 3,000.420000 25,850.900000 32,063.950000 5/31/2024 3,090.340000 25,362.320000 32,221.060000 |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years Short MidCap400 - NAV - -13.96% -11.08% Short MidCap400 - Market Price -15.71% -13.98% -11.08% S&P MidCap 400 ® 25.97% 12.25% 9.75% S&P 1500 Index 27.86% 15.43% 12.40% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ "Standard & Poor's ® ® ® |
AssetsNet | $ 5,442,473 | $ 5,442,473 | $ 5,442,473 | $ 5,442,473 | $ 5,442,473 | $ 5,442,473 |
Holdings Count | Holding | 7 | 7 | 7 | 7 | 7 | 7 |
Advisory Fees Paid, Amount | | | | | | $ 0 |
InvestmentCompanyPortfolioTurnover | | | | | | 0% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $5,442,473 Number of Portfolio Holdings 7 Net Investment Advisory Fees $- Portfolio Turnover Rate -% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Swap Agreements (89)% Futures Contracts (11)% Total (100)% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets Repurchase Agreements with various counterparties 93.9% |
Material Fund Change [Text Block] | | | | | | |
C000038821 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | Ultra Utilities |
Trading Symbol | | | | | | UPW |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about Ultra Utilities (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G2832"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment UPW $105 0.95% |
Expenses Paid, Amount | | | | | | $ 105 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? Ultra Utilities(the Fund) seeks daily investment results, before fees and expenses, that correspond to two times (2x) the daily performance of the S&P Utilities Select Sector Index (the Index).The Fund invests in financial instruments that the Advisor believes, in combination, should produce daily returns consistent with the Funds investment objective. For the year ended May 31, 2024, the Fund had a total return of 20.18% and an average daily statistical correlation of over 0.99 to twice that of the return of the Index. For the same period, the Index had a total return of 15.99% and a volatility of 17.26%. For the period, the Fund had an average statistical correlation of over 0.99 to twice that of the return of the Index. The index performance was driven by factors such as rising interest rates which muted the return of this typically interest-rate sensitive sector. Primary factors affecting Fund performance include the total return of the securities and derivatives held by the Fund, the performance of the reference assets to which any derivatives are linked, financing rates paid or earned, expenses, transaction costs, the volatility of the Funds Index (and its impact on compounding), and other miscellaneous factors. |
Line Graph [Table Text Block] | | | | | | Ultra Utilities : $27,687 S&P Utilities Select Industry Index : $23,646 S&P Total Market Index : $31,100 5/31/2014 10,000 10,000 10,000 6/30/2014 10,888.520000 10,448 10,253 9/30/2014 9,818.060000 9,964 10,246.850000 12/31/2014 12,519.660000 11,313.020000 10,780.710000 3/31/2015 11,214.670000 10,776.900000 10,974.760000 6/30/2015 9,772.130000 10,099.030000 10,989.030000 9/30/2015 10,650.530000 10,613.070000 10,190.130000 12/31/2015 10,889.320000 10,791.370000 10,831.090000 3/31/2016 14,422.990000 12,481.300000 10,931.810000 6/30/2016 16,370.330000 13,355.640000 11,218.230000 9/30/2016 14,347.270000 12,571.090000 11,717.440000 12/31/2016 14,295.760000 12,632.360000 12,202.540000 3/31/2017 16,022.920000 13,425.540000 12,909.070000 6/30/2017 16,598.500000 13,720.900000 13,297.630000 9/30/2017 17,469.400000 14,135.270000 13,905.330000 12/31/2017 17,481.440000 14,204.540000 14,785.540000 3/31/2018 16,126.290000 13,737.210000 14,696.830000 6/30/2018 17,370.410000 14,349.890000 15,265.590000 9/30/2018 18,008.770000 14,711.500000 16,350.980000 12/31/2018 17,952.590000 14,826.250000 14,002.980000 3/31/2019 21,716.320000 16,427.490000 15,969 6/30/2019 22,827.090000 16,967.950000 16,622.130000 9/30/2019 26,685.280000 18,461.130000 16,811.620000 12/31/2019 26,560.920000 18,523.900000 18,331.390000 3/31/2020 17,578.930000 15,910.180000 14,489.130000 6/30/2020 17,667.900000 16,303.160000 17,689.780000 9/30/2020 19,271.680000 17,134.620000 19,294.240000 12/31/2020 21,948.190000 18,409.440000 22,142.070000 3/31/2021 23,074.030000 18,983.810000 23,570.240000 6/30/2021 22,637.260000 18,894.590000 25,524.210000 9/30/2021 22,955.830000 19,108.100000 25,493.580000 12/31/2021 29,111.300000 21,615.080000 27,823.690000 3/31/2022 31,397.830000 22,561.820000 26,321.210000 6/30/2022 27,841.680000 21,422.450000 21,888.720000 9/30/2022 24,112.400000 20,149.950000 20,890.600000 12/31/2022 27,783.300000 21,943.300000 22,390.540000 3/31/2023 25,427.460000 21,258.670000 24,011.620000 6/30/2023 23,606.380000 20,720.820000 26,026.190000 9/30/2023 18,910.320000 18,804.150000 25,169.930000 12/31/2023 21,578.870000 20,413.780000 28,223.040000 3/31/2024 22,965.630000 21,346.690000 31,059.460000 5/31/2024 27,687.430000 23,645.730000 31,099.840000 |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years Ultra Utilities - NAV 20.18% 5.19% 10.72% Ultra Utilities - Market Price 20.12% 5.25% 10.77% S&P Utilities Select Industry Index 15.99% 8.02% 9.13% S&P Total Market Index 27.68% 14.88% 12.00% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ The "S&P Utilities Select Industry Index" is a product of S&P Dow Jones Indices LLC and its affiliates and has been licensed for use by ProShares. "S&P ® ® |
AssetsNet | $ 15,909,739 | $ 15,909,739 | $ 15,909,739 | $ 15,909,739 | $ 15,909,739 | $ 15,909,739 |
Holdings Count | Holding | 36 | 36 | 36 | 36 | 36 | 36 |
Advisory Fees Paid, Amount | | | | | | $ 0 |
InvestmentCompanyPortfolioTurnover | | | | | | 4% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $15,909,739 Number of Portfolio Holdings 36 Net Investment Advisory Fees $- Portfolio Turnover Rate 4% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Equity Securities 82% Swap Agreements 118% Total 200% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets NextEra Energy, Inc. 12.3% Southern Co. (The) 6.5% Duke Energy Corp. 6.0% Constellation Energy Corp. 5.2% Sempra 3.6% American Electric Power Co., Inc. 3.6% Dominion Energy, Inc. 3.4% PG&E Corp. 3.0% Public Service Enterprise Group, Inc. 2.8% Exelon Corp. 2.8% |
Material Fund Change [Text Block] | | | | | | |
C000123089 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | High Yield-Interest Rate Hedged |
Trading Symbol | | | | | | HYHG |
Security Exchange Name | | | | | | CboeBZX |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about High Yield-Interest Rate Hedged (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/shareholder_reports</span>" id="sjs-G2856"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment HYHG $54 0.50% |
Expenses Paid, Amount | | | | | | $ 54 |
Expense Ratio, Percent | | | | | | 0.50% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? High Yield-Interest Rate Hedged (the Fund) seeks investment results, before fees and expenses, that track the performance of the FTSE High Yield (Treasury Rate-Hedged) Index (the Index). The Fund invests in financial instruments that the Advisor believes, in combination, should track the performance of the Index. Narrowing credit spreads drove strong performance while the interest rate hedge contributed outperformance relative to unhedged high yield bonds. For the year ended May 31, 2024, the Fund had a total return of 16.33%. For the same period, the Index had a total return of 16.19% and a volatility of 4.27%. Primary factors affecting Fund performance include the total return of the securities and derivatives held by the Fund, including the performance of the reference assets to which any derivatives are linked, expenses, transaction costs, the volatility of the Funds index, and other miscellaneous factors. |
Line Graph [Table Text Block] | | | | | | Value Based on a $10,000 Investment Footnote Reference High Yield-Interest Rate Hedged : $14,231 FTSE High Yield (Treasury Rate-Hedged) Index : $14,911 Bloomberg U.S. Aggregate Bond Index : $11,328 5/31/2014 10,000 10,000 10,000 6/30/2014 10,099 10,100 10,005 9/30/2014 9,836 9,860 10,022 12/31/2014 9,609 9,686 10,201 3/31/2015 9,588 9,682 10,365 6/30/2015 9,595 9,710 10,191 9/30/2015 8,809 8,907 10,316 12/31/2015 8,694 8,784 10,258 3/31/2016 8,722 8,856 10,568 6/30/2016 8,998 9,278 10,802 9/30/2016 9,506 9,814 10,852 12/31/2016 9,965 10,249 10,529 3/31/2017 10,127 10,458 10,615 6/30/2017 10,225 10,574 10,768 9/30/2017 10,365 10,731 10,860 12/31/2017 10,406 10,811 10,902 3/31/2018 10,407 10,824 10,743 6/30/2018 10,604 11,047 10,726 9/30/2018 10,955 11,437 10,728 12/31/2018 10,178 10,658 10,903 3/31/2019 10,899 11,448 11,224 6/30/2019 11,020 11,590 11,570 9/30/2019 11,002 11,586 11,832 12/31/2019 11,366 11,968 11,854 3/31/2020 9,772 10,279 12,227 6/30/2020 10,356 10,858 12,581 9/30/2020 10,831 11,411 12,659 12/31/2020 11,427 12,080 12,743 3/31/2021 11,653 12,322 12,314 6/30/2021 11,821 12,497 12,539 9/30/2021 11,942 12,633 12,545 12/31/2021 12,056 12,806 12,547 3/31/2022 12,096 12,820 11,802 6/30/2022 11,056 11,714 11,248 9/30/2022 11,505 12,225 10,714 12/31/2022 11,875 12,546 10,915 3/31/2023 12,200 12,728 11,238 6/30/2023 12,680 13,295 11,143 9/30/2023 13,009 13,618 10,783 12/31/2023 13,609 14,251 11,518 3/31/2024 14,002 14,703 11,429 5/31/2024 14,231 14,911 11,328 Footnote Description Footnote * The line graph represents historical performance of a hypothetical investment of $10,000 in the ProShares High Yield-Interest Rate Hedged from May 31, 2014 to May 31, 2024, assuming the reinvestment of distributions. |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years High Yield-Interest Rate Hedged - NAV 16.33% 5.72% 3.59% High Yield-Interest Rate Hedged - Market Price 16.45% 5.83% 3.59% FTSE High Yield (Treasury Rate-Hedged) Index 16.19% 6.05% 4.27% Bloomberg U.S. Aggregate Bond Index 1.30% -0.85% 1.25% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ Bloomberg ® |
AssetsNet | $ 136,646,937 | $ 136,646,937 | $ 136,646,937 | $ 136,646,937 | $ 136,646,937 | $ 136,646,937 |
Holdings Count | Holding | 220 | 220 | 220 | 220 | 220 | 220 |
Advisory Fees Paid, Amount | | | | | | $ 615,312 |
InvestmentCompanyPortfolioTurnover | | | | | | 61% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $136,646,937 Number of Portfolio Holdings 220 Net Investment Advisory Fees $615,312 Portfolio Turnover Rate 61% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Corporate Bonds 95% Futures Contracts (97)% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets TransDigm, Inc. 5.50%, due 11/15/27 1.8% Organon & Co. 4.13%, due 04/30/28 1.4% Directv Financing LLC 5.88%, due 08/15/27 1.3% Caesars Entertainment, Inc. 7.00%, due 02/15/30 1.2% Cloud Software Group, Inc. 6.50%, due 03/31/29 1.2% CCO Holdings LLC 4.25%, due 02/01/31 1.1% HUB International Ltd. 7.38%, due 01/31/32 1.1% DISH Network Corp. 11.75%, due 11/15/27 1.1% Venture Global LNG, Inc. 9.50%, due 02/01/29 1.0% Tenet Healthcare Corp. 6.13%, due 10/01/28 1.0% |
Material Fund Change [Text Block] | | | | | | |
C000038861 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | UltraShort Industrials |
Trading Symbol | | | | | | SIJ |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about UltraShort Industrials (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G2880"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment SIJ $78 0.95% |
Expenses Paid, Amount | | | | | | $ 78 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? UltraShort Industrials(the Fund) seeks daily investment results, before fees and expenses, that correspond to two times the inverse (-2x) of the daily performance of the S&P Industrials Select Sector Index (the Index). The Fund invests in financial instruments that the Advisor believes, in combination, should produce daily returns consistent with the Funds investment objective. For the year ended May 31, 2024, the Fund had a total return of -35.53% and an average daily statistical correlation of over 0.99 to two times the inverse of the return of the Index. For the same period, the Index had a total return of 29.78% and a volatility of 12.59%. The index performance was driven by factors such as a cyclical recovery following the pandemic. Primary factors affecting Fund performance include the total return of the derivatives held by the Fund, the performance of the reference assets to which any derivatives are linked, financing rates paid or earned, expenses, transaction costs, the volatility of the Funds Index (and its impact on compounding), and other miscellaneous factors. |
Line Graph [Table Text Block] | | | | | | UltraShort Industrials : $540 S&P Industrials Select Sector Index : $27,909 S&P 500 ® 5/31/2014 10,000 10,000 10,000 6/30/2014 9,749.8 10,043 10,207 9/30/2014 10,069.86 9,827.03 10,322.12 12/31/2014 8,711.15 10,428.78 10,831.28 3/31/2015 8,286.31 10,594.01 10,934.25 6/30/2015 8,517.41 10,393.78 10,964.86 9/30/2015 9,718.28 9,561.24 10,258.73 12/31/2015 8,278.05 10,252.52 10,980.94 3/31/2016 7,331.28 10,733.36 11,129.18 6/30/2016 6,758.53 11,070.43 11,402.43 9/30/2016 6,126.45 11,567.74 11,841.66 12/31/2016 5,408.02 12,255.39 12,294.51 3/31/2017 4,874.75 12,872.85 13,040.31 6/30/2017 4,411.1 13,503.62 13,443.26 9/30/2017 3,929.7 14,298.98 14,045.52 12/31/2017 3,448.46 15,262.73 14,978.14 3/31/2018 3,449.17 15,097.89 14,864.31 6/30/2018 3,467.47 15,007.31 15,374.15 9/30/2018 2,918.19 16,386.48 16,559.5 12/31/2018 4,116.51 13,543.42 14,320.66 3/31/2019 2,901.7 16,076.05 16,275.43 6/30/2019 2,634.7 16,844.48 16,975.27 9/30/2019 2,573.83 16,965.76 17,263.85 12/31/2019 2,284.64 17,990.49 18,829.68 3/31/2020 3,137.34 13,408.31 15,139.06 6/30/2020 1,870.85 16,328.64 18,248.63 9/30/2020 1,469.37 18,167.25 19,878.23 12/31/2020 1,047.59 21,213.9 22,293.43 3/31/2021 857.5 23,121.03 23,668.94 6/30/2021 758.65 24,395 25,692.63 9/30/2021 802.65 23,511.9 25,841.65 12/31/2021 688.24 25,110.71 28,691.98 3/31/2022 771.06 23,352.96 27,372.15 6/30/2022 1,036.48 19,623.49 22,965.23 9/30/2022 1,086.45 18,913.12 21,844.53 12/31/2022 812.76 21,585.54 23,495.98 3/31/2023 758.74 22,472.71 25,258.18 6/30/2023 679.64 23,931.19 27,465.74 9/30/2023 773.75 22,696.34 26,567.61 12/31/2023 616.53 25,658.21 29,673.36 3/31/2024 511.22 28,472.92 32,806.87 5/31/2024 539.98 27,909.15 33,026.68 |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years UltraShort Industrials - NAV - -29.31% -25.31% UltraShort Industrials - Market Price -35.47% -29.30% -25.35% S&P Industrials Select Sector Index 29.78% 13.42% 10.80% S&P 500 ® 28.19% 15.79% 12.68% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ The "S&P Industrial Select Sector Index" is a product of S&P Dow Jones Indices LLC and its affiliates and has been licensed for use by ProShares. "S&P ® ® |
AssetsNet | $ 1,230,064 | $ 1,230,064 | $ 1,230,064 | $ 1,230,064 | $ 1,230,064 | $ 1,230,064 |
Holdings Count | Holding | 6 | 6 | 6 | 6 | 6 | 6 |
Advisory Fees Paid, Amount | | | | | | $ 0 |
InvestmentCompanyPortfolioTurnover | | | | | | 0% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $1,230,064 Number of Portfolio Holdings 6 Net Investment Advisory Fees $- Portfolio Turnover Rate -% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Swap Agreements (199)% Total (199)% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets Repurchase Agreements with various counterparties 110.5% |
Material Fund Change [Text Block] | | | | | | |
C000018469 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | Short QQQ |
Trading Symbol | | | | | | PSQ |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about Short QQQ (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G2904"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment PSQ $86 0.95% |
Expenses Paid, Amount | | | | | | $ 86 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? Short QQQ ® ® |
Line Graph [Table Text Block] | | | | | | Short QQQ : $1,394 Nasdaq-100 ® 5/31/2014 10,000 10,000 6/30/2014 9,691.53 10,309 9/30/2014 9,138.04 10,878.94 12/31/2014 8,638.11 11,411.65 3/31/2015 8,358.61 11,711.24 6/30/2015 8,168.52 11,915.02 9/30/2015 8,424.57 11,363.35 12/31/2015 7,578.77 12,523.55 3/31/2016 7,636.21 12,285.6 6/30/2016 7,668.37 12,145.66 9/30/2016 6,902.57 13,446.07 12/31/2016 6,871.41 13,456.23 3/31/2017 6,128.35 15,083.51 6/30/2017 5,873.23 15,715.51 9/30/2017 5,533.67 16,685.16 12/31/2017 5,166.14 17,896.5 3/31/2018 4,966.2 18,460.24 6/30/2018 4,629.25 19,802.3 9/30/2018 4,279.94 21,507.28 12/31/2018 5,051.84 17,902.66 3/31/2019 4,330.22 20,926.42 6/30/2019 4,169.57 21,815.79 9/30/2019 4,117.39 22,097.21 12/31/2019 3,656.93 24,967.64 3/31/2020 3,789.13 22,398.47 6/30/2020 2,833.79 29,185.21 9/30/2020 2,467.18 32,868.38 12/31/2020 2,149.71 37,170.85 3/31/2021 2,077.56 37,825.06 6/30/2021 1,849.6 42,129.55 9/30/2021 1,819.5 42,588.76 12/31/2021 1,617.49 47,392.77 3/31/2022 1,729.18 43,170.08 6/30/2022 2,150.2 33,543.15 9/30/2022 2,225.15 32,060.54 12/31/2022 2,203.61 32,047.72 3/31/2023 1,836.81 38,704.03 6/30/2023 1,614.1 44,660.58 9/30/2023 1,687.84 43,383.29 12/31/2023 1,497.04 49,717.25 3/31/2024 1,400.7 54,052.59 5/31/2024 1,393.9 54,960.67 |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years Short QQQ - NAV - -20.85% -17.88% Short QQQ - Market Price -18.47% -20.86% -17.89% Nasdaq-100 ® 31.12% 22.07% 18.54% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ "QQQ ® ® ® |
AssetsNet | $ 569,807,010 | $ 569,807,010 | $ 569,807,010 | $ 569,807,010 | $ 569,807,010 | $ 569,807,010 |
Holdings Count | Holding | 20 | 20 | 20 | 20 | 20 | 20 |
Advisory Fees Paid, Amount | | | | | | $ 5,567,267 |
InvestmentCompanyPortfolioTurnover | | | | | | 0% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $569,807,010 Number of Portfolio Holdings 20 Net Investment Advisory Fees $5,567,267 Portfolio Turnover Rate -% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Swap Agreements (97)% Futures Contracts (3)% Total (100)% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets U.S. Treasury Bills 127.8% Repurchase Agreements with various counterparties 11.6% |
Material Fund Change [Text Block] | | | | | | |
C000074108 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | UltraPro Dow30℠ |
Trading Symbol | | | | | | UDOW |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about UltraPro Dow30℠ (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G2928"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment UDOW $117 0.95% |
Expenses Paid, Amount | | | | | | $ 117 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? UltraPro Dow30 SM SM ® ® |
Line Graph [Table Text Block] | | | | | | UltraPro Dow30℠ : $55,652 Dow Jones Industrial Average℠ Index : $33,023 S&P 500 ® 5/31/2014 10,000 10,000 10,000 6/30/2014 10,201.880000 10,075 10,207 9/30/2014 10,656.590000 10,263.750000 10,322.120000 12/31/2014 12,164.530000 10,797.800000 10,831.280000 3/31/2015 12,018.570000 10,832.990000 10,934.250000 6/30/2015 11,748.040000 10,801.570000 10,964.860000 9/30/2015 9,112.280000 10,047.620000 10,258.730000 12/31/2015 11,148.320000 10,821.290000 10,980.940000 3/31/2016 11,560.550000 11,059.360000 11,129.180000 6/30/2016 12,064.490000 11,288.160000 11,402.430000 9/30/2016 12,931.220000 11,601.770000 11,841.660000 12/31/2016 16,390.640000 12,606.550000 12,294.510000 3/31/2017 18,857.500000 13,260.860000 13,040.310000 6/30/2017 20,892.740000 13,784.660000 13,443.260000 9/30/2017 24,228.750000 14,553.840000 14,045.520000 12/31/2017 32,598.070000 16,148.940000 14,978.140000 3/31/2018 29,260.570000 15,832.430000 14,864.310000 6/30/2018 29,482.390000 16,031.910000 15,374.150000 9/30/2018 38,026.490000 17,575.790000 16,559.500000 12/31/2018 24,932.680000 15,587.970000 14,320.660000 3/31/2019 33,763.150000 17,428.900000 16,275.430000 6/30/2019 36,083.330000 17,988.370000 16,975.270000 9/30/2019 36,866.340000 18,317.560000 17,263.850000 12/31/2019 43,770.420000 19,539.340000 18,829.680000 3/31/2020 14,724.740000 15,098.050000 15,139.060000 6/30/2020 22,223.660000 17,892.700000 18,248.630000 9/30/2020 27,464.970000 19,363.480000 19,878.230000 12/31/2020 36,285.910000 21,441.180000 22,293.430000 3/31/2021 45,176.900000 23,218.650000 23,668.940000 6/30/2021 51,676.440000 24,398.160000 25,692.630000 9/30/2021 48,644.600000 24,041.950000 25,841.650000 12/31/2021 59,902.210000 25,934.050000 28,691.980000 3/31/2022 51,409.400000 24,870.750000 27,372.150000 6/30/2022 34,743.450000 22,189.680000 22,965.230000 9/30/2022 27,477.450000 20,820.580000 21,844.530000 12/31/2022 40,529.020000 24,153.960000 23,495.980000 3/31/2023 39,857.510000 24,378.590000 25,258.180000 6/30/2023 43,009.090000 25,346.420000 27,465.740000 9/30/2023 38,789.910000 24,814.140000 26,567.610000 12/31/2023 53,739.340000 28,062.310000 29,673.360000 3/31/2024 61,781.770000 29,785.340000 32,806.870000 5/31/2024 55,652.130000 33,023.010000 33,026.680000 |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years UltraPro Dow30℠ - NAV 46.22% 13.58% 18.73% UltraPro Dow30℠ - Market Price 46.34% 13.65% 18.76% Dow Jones Industrial Average℠ Index 19.97% 11.61% 11.24% S&P 500 ® 28.19% 15.79% 12.68% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ "The Dow 30 SM SM ® |
AssetsNet | $ 722,062,437 | $ 722,062,437 | $ 722,062,437 | $ 722,062,437 | $ 722,062,437 | $ 722,062,437 |
Holdings Count | Holding | 40 | 40 | 40 | 40 | 40 | 40 |
Advisory Fees Paid, Amount | | | | | | $ 4,622,038 |
InvestmentCompanyPortfolioTurnover | | | | | | 87% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $722,062,437 Number of Portfolio Holdings 40 Net Investment Advisory Fees $4,622,038 Portfolio Turnover Rate 87% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Equity Securities 62% Swap Agreements 231% Futures Contracts 7% Total 300% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets UnitedHealth Group, Inc. 5.2% Goldman Sachs Group, Inc. (The) 4.8% Microsoft Corp. 4.4% Caterpillar, Inc. 3.6% Home Depot, Inc. (The) 3.5% Amgen, Inc. 3.2% Visa, Inc., Class A 2.9% McDonald's Corp. 2.7% American Express Co. 2.5% Salesforce, Inc. 2.5% |
Material Fund Change [Text Block] | | | | | | |
C000132381 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | Investment Grade-Interest Rate Hedged |
Trading Symbol | | | | | | IGHG |
Security Exchange Name | | | | | | CboeBZX |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about Investment Grade-Interest Rate Hedged (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/shareholder_reports</span>" id="sjs-G2952"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment IGHG $32 0.30% |
Expenses Paid, Amount | | | | | | $ 32 |
Expense Ratio, Percent | | | | | | 0.30% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? Investment GradeInterest Rate Hedged (the Fund) seeks investment results, before fees and expenses, that track the performance of the FTSE Corporate Investment Grade (Treasury Rate-Hedged) Index (the Index). The Fund invests in financial instruments that the Advisor believes, in combination, should track the performance of the Index. Narrowing credit spreads drove strong performance while the interest rate hedge contributed outperformance relative to unhedged investment grade bonds. For the year ended May 31, 2024, the Fund had a total return of 13.78%. For the same period, the Index had a total return of 14.09% and a volatility of 4.62%. Primary factors affecting Fund performance include the total return of the securities and derivatives held by the Fund, including the performance of the reference assets to which any derivatives are linked, expenses, transaction costs, the volatility of the Funds index, and other miscellaneous factors. |
Line Graph [Table Text Block] | | | | | | Value Based on a $10,000 Investment Footnote Reference Investment Grade-Interest Rate Hedged : $13,642 FTSE Corporate Investment Grade (Treasury Rate-Hedged) Index : $13,824 Bloomberg U.S. Aggregate Bond Index : $11,328 5/31/2014 10,000 10,000 10,000 6/30/2014 10,049 10,046 10,005 9/30/2014 9,937 9,944 10,022 12/31/2014 9,742 9,788 10,201 3/31/2015 9,760 9,800 10,365 6/30/2015 9,729 9,739 10,191 9/30/2015 9,440 9,450 10,316 12/31/2015 9,532 9,582 10,258 3/31/2016 9,559 9,562 10,568 6/30/2016 9,618 9,667 10,802 9/30/2016 9,914 9,971 10,852 12/31/2016 10,224 10,288 10,529 3/31/2017 10,290 10,353 10,615 6/30/2017 10,447 10,530 10,768 9/30/2017 10,610 10,702 10,860 12/31/2017 10,801 10,929 10,902 3/31/2018 10,693 10,815 10,743 6/30/2018 10,502 10,622 10,726 9/30/2018 10,862 11,000 10,728 12/31/2018 10,333 10,467 10,903 3/31/2019 10,844 10,967 11,224 6/30/2019 11,101 11,222 11,570 9/30/2019 11,120 11,255 11,832 12/31/2019 11,641 11,780 11,854 3/31/2020 9,898 9,964 12,227 6/30/2020 10,843 10,893 12,581 9/30/2020 11,024 11,094 12,659 12/31/2020 11,719 11,820 12,743 3/31/2021 11,906 12,010 12,314 6/30/2021 12,003 12,138 12,539 9/30/2021 11,962 12,119 12,545 12/31/2021 11,863 12,024 12,547 3/31/2022 11,574 11,745 11,802 6/30/2022 11,126 11,279 11,248 9/30/2022 11,069 11,265 10,714 12/31/2022 11,716 11,987 10,915 3/31/2023 11,885 11,990 11,238 6/30/2023 12,231 12,344 11,143 9/30/2023 12,675 12,777 10,783 12/31/2023 13,084 13,248 11,518 3/31/2024 13,394 13,580 11,429 5/31/2024 13,642 13,824 11,328 Footnote Description Footnote * The line graph represents historical performance of a hypothetical investment of $10,000 in the ProShares Investment Grade-Interest Rate Hedged from May 31, 2014 to May 31, 2024, assuming the reinvestment of distributions. |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years Investment Grade-Interest Rate Hedged - NAV 13.78% 4.76% 3.15% Investment Grade-Interest Rate Hedged - Market Price 13.80% 4.81% 3.08% FTSE Corporate Investment Grade (Treasury Rate-Hedged) Index 14.09% 5.13% 3.46% Bloomberg U.S. Aggregate Bond Index 1.30% -0.85% 1.25% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ Bloomberg ® |
AssetsNet | $ 293,273,957 | $ 293,273,957 | $ 293,273,957 | $ 293,273,957 | $ 293,273,957 | $ 293,273,957 |
Holdings Count | Holding | 202 | 202 | 202 | 202 | 202 | 202 |
Advisory Fees Paid, Amount | | | | | | $ 874,765 |
InvestmentCompanyPortfolioTurnover | | | | | | 62% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $293,273,957 Number of Portfolio Holdings 202 Net Investment Advisory Fees $874,765 Portfolio Turnover Rate 62% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Corporate Bonds 94% Futures Contracts (91)% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets Goldman Sachs Group, Inc. (The) 6.25%, due 02/01/41 1.7% JPMorgan Chase & Co. 5.50%, due 10/15/40 1.6% Morgan Stanley 4.38%, due 01/22/47 1.6% Oracle Corp. 6.50%, due 04/15/38 1.5% Apple, Inc. 3.45%, due 02/09/45 1.4% Bank of America Corp. 5.88%, due 02/07/42 1.3% Pfizer, Inc. 7.20%, due 03/15/39 1.3% Cisco Systems, Inc. 5.90%, due 02/15/39 1.3% Wells Fargo & Co. 5.61%, due 01/15/44 1.2% Vodafone Group plc 6.15%, due 02/27/37 1.2% |
Material Fund Change [Text Block] | | | | | | |
C000018460 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | UltraShort MidCap400 |
Trading Symbol | | | | | | MZZ |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about UltraShort MidCap400 (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G2976"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment MZZ $79 0.95% |
Expenses Paid, Amount | | | | | | $ 79 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? UltraShort MidCap400(the Fund) seeks daily investment results, before fees and expenses, that correspond to two times the inverse (-2x) of the daily performance of the S&P MidCap 400 ® ® |
Line Graph [Table Text Block] | | | | | | UltraShort MidCap400 : $609 S&P MidCap 400 ® S&P 1500 Index : $32,221 5/31/2014 10,000 10,000 10,000 6/30/2014 9,199.110000 10,414 10,233 9/30/2014 9,884.880000 9,999.180000 10,278.030000 12/31/2014 8,563.780000 10,634.020000 10,812.480000 3/31/2015 7,597.920000 11,199.090000 10,962.780000 6/30/2015 7,686.410000 11,080.380000 10,981.410000 9/30/2015 8,907.830000 10,138.550000 10,246.760000 12/31/2015 8,302 10,402.150000 10,922.020000 3/31/2016 7,463.210000 10,795.350000 11,093.490000 6/30/2016 6,749.400000 11,226.430000 11,381.920000 9/30/2016 6,151.890000 11,691.690000 11,834.920000 12/31/2016 5,276.980000 12,558.800000 12,346.190000 3/31/2017 4,846.090000 13,053.610000 13,054.860000 6/30/2017 4,632.860000 13,310.760000 13,441.290000 9/30/2017 4,333.140000 13,739.370000 14,038.080000 12/31/2017 3,843.830000 14,598.080000 14,954.770000 3/31/2018 3,844.680000 14,485.670000 14,847.090000 6/30/2018 3,535.440000 15,107.110000 15,389.010000 9/30/2018 3,298.150000 15,690.240000 16,520.110000 12/31/2018 4,704.700000 12,978.970000 14,212.250000 3/31/2019 3,584.980000 14,859.620000 16,150.800000 6/30/2019 3,371.740000 15,312.840000 16,822.670000 9/30/2019 3,349.310000 15,299.060000 17,080.060000 12/31/2019 2,926.070000 16,379.170000 18,603.600000 3/31/2020 4,446.810000 11,514.560000 14,776.840000 6/30/2020 2,487.460000 14,286.110000 17,845.990000 9/30/2020 2,198.990000 14,967.560000 19,373.600000 12/31/2020 1,375.430000 18,615.150000 21,938.670000 3/31/2021 1,025.710000 21,122.620000 23,454.630000 6/30/2021 935.660000 21,891.480000 25,363.840000 9/30/2021 949.560000 21,506.190000 25,452.610000 12/31/2021 793.100000 23,226.680000 28,178.590000 3/31/2022 843.550000 22,093.220000 26,871.100000 6/30/2022 1,106.080000 18,686.450000 22,566.350000 9/30/2022 1,131.330000 18,226.760000 21,492.190000 12/31/2022 894.600000 20,191.610000 23,166.430000 3/31/2023 827.310000 20,960.910000 24,825.150000 6/30/2023 761.470000 21,977.510000 26,907.980000 9/30/2023 847.190000 21,054.450000 26,003.870000 12/31/2023 684.810000 23,511.510000 29,067.130000 3/31/2024 577.850000 25,850.900000 32,063.950000 5/31/2024 609.330000 25,362.320000 32,221.060000 |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years UltraShort MidCap400 - NAV - -31.05% -24.41% UltraShort MidCap400 - Market Price -32.66% -31.07% -24.40% S&P MidCap 400 ® 25.97% 12.25% 9.75% S&P 1500 Index 27.86% 15.43% 12.40% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ "Standard & Poor's ® ® ® |
AssetsNet | $ 1,534,134 | $ 1,534,134 | $ 1,534,134 | $ 1,534,134 | $ 1,534,134 | $ 1,534,134 |
Holdings Count | Holding | 8 | 8 | 8 | 8 | 8 | 8 |
Advisory Fees Paid, Amount | | | | | | $ 0 |
InvestmentCompanyPortfolioTurnover | | | | | | 0% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $1,534,134 Number of Portfolio Holdings 8 Net Investment Advisory Fees $- Portfolio Turnover Rate -% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Swap Agreements (180)% Futures Contracts (20)% Total (200)% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets U.S. Treasury Bills 64.8% Repurchase Agreements with various counterparties 60.3% |
Material Fund Change [Text Block] | | | | | | |
C000038841 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | Short Real Estate |
Trading Symbol | | | | | | REK |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about Short Real Estate (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G3000"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment REK $94 0.95% |
Expenses Paid, Amount | | | | | | $ 94 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? Short Real Estate (the Fund) seeks daily investment results, before fees and expenses, that correspond to the inverse (-1x) of the daily performance of the S&P Real Estate Select Sector Index (the Index). The Fund invests in financial instruments that the Advisor believes, in combination, should produce daily returns consistent with the Funds investment objective. For the year ended May 31, 2024, the Fund had a total return of -3.02% and an average daily statistical correlation of over 0.99 to the inverse of the return of the Index. For the same period, the Index had a total return of 9.30% and a volatility of 18.37%. The index performance was driven by factors such as a challenged office sector and rising mortgage rates which resulted in muted performance relative to the broader U.S. equity market. Primary factors affecting Fund performance include the total return of the derivatives held by the Fund, the performance of the reference assets to which any derivatives are linked, financing rates paid or earned, expenses, transaction costs, the volatility of the Funds Index (and its impact on compounding), and other miscellaneous factors. |
Line Graph [Table Text Block] | | | | | | Short Real Estate : $4,560 S&P Real Estate Select Sector Index : $17,258 S&P 500 ® 5/31/2014 10,000 10,000 10,000 6/30/2014 9,876.11 10,032 10,207 9/30/2014 10,095.08 9,764.52 10,322.12 12/31/2014 8,941.34 10,964.14 10,831.28 3/31/2015 8,500.13 11,432.31 10,934.25 6/30/2015 9,284.25 10,395.4 10,964.86 9/30/2015 9,142.77 10,443.21 10,258.73 12/31/2015 8,456.95 11,198.26 10,980.94 3/31/2016 7,951.78 11,774.97 11,129.18 6/30/2016 7,405.49 12,574.94 11,402.43 9/30/2016 7,442.32 12,430.76 11,841.66 12/31/2016 7,618.76 12,044.21 12,294.51 3/31/2017 7,362.63 12,431.54 13,040.31 6/30/2017 7,173.65 12,753.51 13,443.26 9/30/2017 7,091.1 12,897.63 14,045.52 12/31/2017 6,922.78 13,229.1 14,978.14 3/31/2018 7,336.75 12,447.26 14,864.31 6/30/2018 6,826.06 13,415.65 15,374.15 9/30/2018 6,807.06 13,502.85 16,559.5 12/31/2018 7,228.2 12,696.73 14,320.66 3/31/2019 6,212.74 14,865.34 16,275.43 6/30/2019 6,132.78 15,135.89 16,975.27 9/30/2019 5,741.27 16,240.8 17,263.85 12/31/2019 5,712.66 16,369.11 18,829.68 3/31/2020 6,832.2 12,376.68 15,139.06 6/30/2020 5,690.25 14,098.28 18,248.63 9/30/2020 5,505.72 14,390.11 19,878.23 12/31/2020 5,057.57 15,501.03 22,293.43 3/31/2021 4,657.15 16,694.61 23,668.94 6/30/2021 4,140.87 18,644.54 25,692.63 9/30/2021 4,076.77 18,803.02 25,841.65 12/31/2021 3,527.92 21,544.5 28,691.98 3/31/2022 3,728.44 20,144.11 27,372.15 6/30/2022 4,279.41 17,231.27 22,965.23 9/30/2022 4,756.82 15,437.49 21,844.53 12/31/2022 4,531.71 16,122.92 23,495.98 3/31/2023 4,491.14 16,376.05 25,258.18 6/30/2023 4,478.57 16,672.45 27,465.74 9/30/2023 5,001.21 15,188.61 26,567.61 12/31/2023 4,248.38 18,048.62 29,673.36 3/31/2024 4,340.9 17,949.35 32,806.87 5/31/2024 4,560.01 17,258.3 33,026.68 |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years Short Real Estate - NAV - -6.08% -7.55% Short Real Estate - Market Price -3.12% -6.12% -7.54% S&P Real Estate Select Sector Index 9.30% 4.37% 6.84% S&P 500 ® 28.19% 15.79% 12.68% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ The "S&P Real Estate Select Sector Index" is a product of S&P Dow Jones Indices LLC and its affiliates and has been licensed for use by ProShares. "S&P ® ® |
AssetsNet | $ 17,962,157 | $ 17,962,157 | $ 17,962,157 | $ 17,962,157 | $ 17,962,157 | $ 17,962,157 |
Holdings Count | Holding | 8 | 8 | 8 | 8 | 8 | 8 |
Advisory Fees Paid, Amount | | | | | | $ 187,739 |
InvestmentCompanyPortfolioTurnover | | | | | | 0% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $17,962,157 Number of Portfolio Holdings 8 Net Investment Advisory Fees $187,739 Portfolio Turnover Rate -% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Swap Agreements (100)% Total (100)% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets Repurchase Agreements with various counterparties 84.9% U.S. Treasury Bills 38.6% |
Material Fund Change [Text Block] | | | | | | |
C000074098 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | UltraPro QQQ |
Trading Symbol | | | | | | TQQQ |
Security Exchange Name | | | | | | NASDAQ |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about UltraPro QQQ (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G3024"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment TQQQ $118 0.84% |
Expenses Paid, Amount | | | | | | $ 118 |
Expense Ratio, Percent | | | | | | 0.84% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? UltraPro QQQ ® ® |
Line Graph [Table Text Block] | | | | | | UltraPro QQQ : $225,645 Nasdaq-100 ® 5/31/2014 10,000 10,000 6/30/2014 10,926.62 10,309 9/30/2014 12,639.88 10,878.94 12/31/2014 14,221.17 11,411.65 3/31/2015 15,031.16 11,711.24 6/30/2015 15,543.22 11,915.02 9/30/2015 12,808.79 11,363.35 12/31/2015 16,696.68 12,523.55 3/31/2016 14,986.79 12,285.6 6/30/2016 14,098.21 12,145.66 9/30/2016 18,833.2 13,446.07 12/31/2016 18,541.86 13,456.23 3/31/2017 25,796.82 15,083.51 6/30/2017 28,560.71 15,715.51 9/30/2017 33,480.41 16,685.16 12/31/2017 40,539.87 17,896.5 3/31/2018 42,074.88 18,460.24 6/30/2018 50,061.2 19,802.3 9/30/2018 62,419.56 21,507.28 12/31/2018 32,574.89 17,902.66 3/31/2019 49,865.67 20,926.42 6/30/2019 54,389.72 21,815.79 9/30/2019 54,128.74 22,097.21 12/31/2019 76,200.2 24,967.64 3/31/2020 42,013.47 22,398.47 6/30/2020 85,913.6 29,185.21 9/30/2020 115,575.46 32,868.38 12/31/2020 159,907.57 37,170.85 3/31/2021 160,007.28 37,825.06 6/30/2021 215,441.39 42,129.55 9/30/2021 218,690.18 42,588.76 12/31/2021 291,518.38 47,392.77 3/31/2022 203,108.46 43,170.08 6/30/2022 84,080.62 33,543.15 9/30/2022 67,855.02 32,060.54 12/31/2022 61,144.24 32,047.72 3/31/2023 100,599.57 38,704.03 6/30/2023 146,551.74 44,660.58 9/30/2023 127,607.71 43,383.29 12/31/2023 182,328.93 49,717.25 3/31/2024 222,616.27 54,052.59 5/31/2024 225,645.36 54,960.67 |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years UltraPro QQQ - NAV 82.84% 38.60% 36.57% UltraPro QQQ - Market Price 82.67% 38.61% 36.59% Nasdaq-100 ® 31.12% 22.07% 18.54% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ "QQQ ® ® ® |
AssetsNet | $ 21,486,427,377 | $ 21,486,427,377 | $ 21,486,427,377 | $ 21,486,427,377 | $ 21,486,427,377 | $ 21,486,427,377 |
Holdings Count | Holding | 128 | 128 | 128 | 128 | 128 | 128 |
Advisory Fees Paid, Amount | | | | | | $ 118,708,915 |
InvestmentCompanyPortfolioTurnover | | | | | | 32% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $21,486,427,377 Number of Portfolio Holdings 128 Net Investment Advisory Fees $118,708,915 Portfolio Turnover Rate 32% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Equity Securities 41% Swap Agreements 247% Futures Contracts 12% Total 300% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets Microsoft Corp. 3.5% Apple, Inc. 3.3% NVIDIA Corp. 3.1% Alphabet, Inc. 2.2% Amazon.com, Inc. 2.1% Meta Platforms, Inc., Class A 1.8% Broadcom, Inc. 1.8% Costco Wholesale Corp. 1.0% Tesla, Inc. 1.0% Netflix, Inc. 0.8% |
Material Fund Change [Text Block] | | | | | | |
C000038855 | | | | | | |
Shareholder Report [Line Items] | | | | | | |
Fund Name | | | | | | UltraShort Materials |
Trading Symbol | | | | | | SMN |
Security Exchange Name | | | | | | NYSEArca |
Annual or Semi-Annual Statement [Text Block] | | | | | | This annual shareholder report contains important information about UltraShort Materials (the Fund) for the period of June 1, 2023 to May 31, 2024. |
Shareholder Report Annual or Semi-Annual | | | | | | Annual Shareholder Report |
Additional Information [Text Block] | | | | | | You can find additional information about the Fund at https://www.proshares.com/geared_shareholder_reports |
Additional Information Phone Number | | | | | | 866-776-5125 |
Additional Information Website | | | | | | https://www.proshares.com/geared_shareholder_reports</span>" id="sjs-G3048"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 400; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left; height: auto; max-height: none; min-height: 0px;">https://www.proshares.com/geared_shareholder_reports</span> |
Expenses [Text Block] | | | | | | What were the Fund's costs for the year? (based on a hypothetical $10,000 investment) Ticker Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment SMN $80 0.95% |
Expenses Paid, Amount | | | | | | $ 80 |
Expense Ratio, Percent | | | | | | 0.95% |
Factors Affecting Performance [Text Block] | | | | | | How Did the Fund Perform Last Year? UltraShort Materials (the Fund) seeks daily investment results, before fees and expenses, that correspond to two times the inverse (-2x) of the daily performance of the S&P Materials Select Sector Index (the Index).The Fund invests in financial instruments that the Advisor believes, in combination, should produce daily returns consistent with the Funds investment objective. For the year ended May 31, 2024, the Fund had a total return of -31.13% and an average daily statistical correlation of over 0.99 to two times the inverse of the return of the Index. For the same period, the Index had a total return of 24.59% and a volatility of 14.44%. The index performance was driven by factors such as a cyclical recovery following the pandemic. Primary factors affecting Fund performance include the total return of the derivatives held by the Fund, the performance of the reference assets to which any derivatives are linked, financing rates paid or earned, expenses, transaction costs, the volatility of the Funds Index (and its impact on compounding), and other miscellaneous factors. |
Line Graph [Table Text Block] | | | | | | UltraShort Materials : $655 S&P Materials Select Sector Index : $21,999 S&P 500 ® 5/31/2014 10,000 10,000 10,000 6/30/2014 9,585.81 10,168 10,207 9/30/2014 9,722.84 10,044.12 10,322.12 12/31/2014 10,074.44 9,700.36 10,831.28 3/31/2015 9,886.84 9,677.99 10,934.25 6/30/2015 10,003.54 9,566.7 10,964.86 9/30/2015 14,564.77 7,733.72 10,258.73 12/31/2015 11,670.13 8,493.94 10,980.94 3/31/2016 10,224.34 8,854.09 11,129.18 6/30/2016 9,144.76 9,221.56 11,402.43 9/30/2016 8,213.69 9,648.73 11,841.66 12/31/2016 7,243.59 10,215.94 12,294.51 3/31/2017 6,198.63 10,988.04 13,040.31 6/30/2017 6,025.61 11,092.43 13,443.26 9/30/2017 5,172.71 11,946.54 14,045.52 12/31/2017 4,508.82 12,780.41 14,978.14 3/31/2018 4,907.45 12,073.66 14,864.31 6/30/2018 4,503.58 12,505.89 15,374.15 9/30/2018 4,485.08 12,494.64 16,559.5 12/31/2018 5,888.42 10,714.15 14,320.66 3/31/2019 4,850.59 11,722.35 16,275.43 6/30/2019 4,382.11 12,265.1 16,975.27 9/30/2019 4,540.78 11,987.91 17,263.85 12/31/2019 3,945.44 12,830.66 18,829.68 3/31/2020 6,030.82 9,117.46 15,139.06 6/30/2020 3,153.7 11,816.23 18,248.63 9/30/2020 2,449.46 13,131.38 19,878.23 12/31/2020 1,749.15 15,179.88 22,293.43 3/31/2021 1,357.31 16,863.32 23,668.94 6/30/2021 1,213.22 17,595.19 25,692.63 9/30/2021 1,298.69 16,762.94 25,841.65 12/31/2021 946.17 19,396.4 28,691.98 3/31/2022 858.72 19,980.23 27,372.15 6/30/2022 1,199.98 16,355.82 22,965.23 9/30/2022 1,314.21 15,345.03 21,844.53 12/31/2022 921.83 17,929.13 23,495.98 3/31/2023 814.27 18,979.78 25,258.18 6/30/2023 772.98 19,608.01 27,465.74 9/30/2023 867.17 18,674.67 26,567.61 12/31/2023 731.09 20,482.37 29,673.36 3/31/2024 626.23 22,336.03 32,806.87 5/31/2024 655.04 21,998.75 33,026.68 |
Average Annual Return [Table Text Block] | | | | | | Average Annual Total Return Fund/Index Name One Year Five Years Ten Years UltraShort Materials - NAV - -34.87% -23.86% UltraShort Materials - Market Price -32.37% -35.02% -23.95% S&P Materials Select Sector Index 24.59% 14.03% 8.68% S&P 500 ® 28.19% 15.79% 12.68% Past performance does not guarantee future results. Return calculations assume the reinvestment of distributions and do not reflect taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. www.ProShares.com/ The "S&P Materials Select Sector Index" is a product of S&P Dow Jones Indices LLC and its affiliates and has been licensed for use by ProShares. "S&P ® ® |
AssetsNet | $ 1,160,753 | $ 1,160,753 | $ 1,160,753 | $ 1,160,753 | $ 1,160,753 | $ 1,160,753 |
Holdings Count | Holding | 7 | 7 | 7 | 7 | 7 | 7 |
Advisory Fees Paid, Amount | | | | | | $ 0 |
InvestmentCompanyPortfolioTurnover | | | | | | 0% |
Additional Fund Statistics [Text Block] | | | | | | Key Fund Statistics Net Assets $1,160,753 Number of Portfolio Holdings 7 Net Investment Advisory Fees $- Portfolio Turnover Rate -% |
Holdings [Text Block] | | | | | | Market Exposure Investment Type % of Net Assets Swap Agreements (201)% Total (201)% Market Exposure includes the value of total investments (including the contract value of any derivatives) and excludes any short-term investments and cash equivalents. |
Largest Holdings [Text Block] | | | | | | Largest Holdings Company % of Net Assets U.S. Treasury Bills 85.6% Repurchase Agreements with various counterparties 26.7% |
Material Fund Change [Text Block] | | | | | | |