Twin Tree Management, LP's ownership history for PSTG
Twin Tree Management, LP currently holds 27.6K shares with a market value of $2.3M. It started holding PSTG on 2024-12-31. At its peak, it held 402.3K shares on 2025-03-31. Its highest holding value was $17.8M on 2025-03-31. At its lowest, it held 27.6K shares on 2025-09-30, with a value of $2.3M on 2025-09-30. In the recent 180 days, Twin Tree Management, LP has decreased its shares by 374.6K.
It has also owned 2.6K contracts of calls, with the market value of the underlying securities totaling $21.9M on 2024-09-30. At its peak, it held 6.4K contracts of calls on 2025-06-30 and it owned calls with the market value of the underlying securities totaling $36.9M on 2025-06-30. At its lowest, it held 568 contracts of calls on 2024-09-30 and it owned calls with the market value of the underlying securities totaling $2.9M on 2024-09-30. In the recent 180 days, Twin Tree Management, LP has increased its holdings by 832 contracts. In the recent year, Twin Tree Management, LP has increased its holdings by 2.0K contracts.
It has also owned 3.1K contracts of puts, with the market value of the underlying securities totaling $26.2M on 2024-12-31. At its peak, it held 10.6K contracts of puts on 2025-03-31 and it owned puts with the market value of the underlying securities totaling $52.9M on 2024-12-31. At its lowest, it held 2.1K contracts of puts on 2025-06-30 and it owned puts with the market value of the underlying securities totaling $12.1M on 2025-06-30. In the recent 180 days, Twin Tree Management, LP has decreased its holdings by 7.5K contracts.