Tesla, Inc. - COM (TSLA)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / COM
Shares, excl. options Q3 2024
1.43B
Holdings value Q3 2024
$373B
Value change Q3 2024
-$1.87B
Grand Portfolio weight change Q3 2024
-0.004%
Number of holders
3091
Number of buys Q3 2024
1524
Number of sells Q3 2024
-1242
Average buys Q3 2024 %
+0.048%
Average sells Q3 2024 %
-0.047%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 1.43B $373B -$1.87B $261.63 3,126
2024 Q2 1.42B $281B +$14.5B $197.88 2,860
2024 Q1 1.36B $238B -$7.46B $175.79 2,811
2023 Q4 1.38B $343B +$12.5B $248.48 3,055
2023 Q3 1.33B $332B -$6.89B $250.22 2,893
2023 Q2 1.34B $351B +$4.8B $261.77 2,867
2023 Q1 1.33B $276B -$2.11B $207.46 2,637
2022 Q4 1.35B $166B -$4.72B $123.18 2,411
2022 Q3 1.38B $366B +$244B $265.25 2,670
2022 Q2 452M $305B +$13.5B $673.42 2,557
2022 Q1 437M $469B +$4.28B $1,077.60 2,767
2021 Q4 432M $456B +$10.4B $1,056.78 2,716
2021 Q3 419M $325B +$13.6B $775.48 2,207
2021 Q2 403M $274B -$1.56B $679.70 2,168
2021 Q1 405M $270B -$19.5B $667.93 2,153
2020 Q4 435M $307B +$24.2B $705.67 2,098
2020 Q3 402M $172B +$131B $429.01 1,693
2020 Q2 91M $98.2B -$1.16B $1,079.81 1,339
2020 Q1 93.1M $48.8B -$2.11B $524.00 1,073
2019 Q4 97.4M $40.7B +$675M $418.33 917
2019 Q3 95.8M $23.1B -$721M $240.87 742
2019 Q2 99.1M $22.1B +$373M $223.46 775
2019 Q1 98.2M $27.5B -$1.42B $279.86 826
2018 Q4 103M $34.2B -$2.77B $332.80 867
2018 Q3 103M $27.2B +$1.87B $264.77 747
2018 Q2 95.6M $32.8B -$2.66B $342.95 817
2018 Q1 104M $27.6B +$1.38B $266.13 802
2017 Q4 98.4M $30.6B +$356M $311.35 812
2017 Q3 96.8M $33B +$583M $341.10 733
2017 Q2 95.1M $34.4B -$3.41B $361.61 708
2017 Q1 105M $29.2B +$2.26B $278.30 637
2016 Q4 102M $21.7B +$2.16B $213.69 607
2016 Q3 90.9M $18.5B -$1.66B $204.03 545
2016 Q2 99.9M $21.2B +$1.52B $212.28 570
2016 Q1 91.6M $21B +$1.26B $229.77 566
2015 Q4 87M $20.9B +$702M $240.00 548
2015 Q3 83.3M $20.7B +$1.26B $248.40 520
2015 Q2 78.6M $21.1B -$45.6M $268.26 506
2015 Q1 78.4M $14.8B -$136M $188.77 457
2014 Q4 79.2M $17.6B +$1.8B $222.41 479
2014 Q3 69.1M $16.8B +$303M $242.68 460
2014 Q2 67.9M $16.3B +$150M $240.06 429
2014 Q1 67.9M $14.2B -$1.27B $208.45 418