Tesla, Inc. - Common Stock, $0.001 par value per share (TSLA)

Historical Holders from Q1 2014 to Q4 2025

Type / Class
Equity / Common Stock, $0.001 par value per share
Symbol
TSLA on Nasdaq
Shares outstanding
3,533,612,995
Price per share
$449.72
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
1,543,228,322
Total reported value
$685,969,514,167
% of total 13F portfolios
0.4%
Share change
-36,028,452
Value change
-$11,131,252,062
Number of holders
3,910
Price from insider filings
$449.72
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of Tesla, Inc. - Common Stock, $0.001 par value per share (TSLA) based on Schedule 13D/G filings

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
Musk Elon 20% $319,008,079,347 717,323,438 Elon R. Musk 30 Sep 2025
As of 30 Sep 2025, Tesla, Inc. - Common Stock, $0.001 par value per share (TSLA) has 3,910 institutional shareholders filing 13F forms. They hold 1,543,228,322 shares. of 3,533,612,995 outstanding shares (44%) .

Top 25 institutional shareholders own 31% of the company.

Filer Ownership Nb Shares Share Change % Portfolio % Holdings Value
VANGUARD GROUP INC 7.1% 252,386,304 +0.4% 1.7% $112,241,237,115
BlackRock, Inc. 5.9% 206,739,699 +0.38% 1.6% $91,941,279,063
STATE STREET CORP 3.2% 113,762,849 +0.3% 1.8% $50,592,614,207
GEODE CAPITAL MANAGEMENT, LLC 1.8% 65,325,029 +0.86% 1.8% $28,923,112,271
JPMORGAN CHASE & CO 1.3% 44,639,505 -3% 1.3% $19,852,243,542
Capital World Investors 1.2% 44,035,949 +5.8% 2.7% $19,583,547,155
MORGAN STANLEY 1% 36,146,709 -16% 0.97% $16,075,165,533
FMR LLC 1% 36,091,120 +21% 0.83% $16,050,442,992
GOLDMAN SACHS GROUP INC 0.85% 29,884,403 -2.2% 1.9% $13,290,191,937
PRICE T ROWE ASSOCIATES INC /MD/ 0.79% 27,983,601 +15% 1.3% $12,444,868,000
NORTHERN TRUST CORP 0.74% 26,224,278 -0.47% 1.5% $11,662,460,912
BANK OF AMERICA CORP /DE/ 0.56% 19,846,513 -24% 0.66% $8,826,141,209
UBS AM, A DISTINCT BUSINESS UNIT OF UBS ASSET MANAGEMENT AMERICAS LLC 0.56% 19,798,871 -20% 1.9% $8,804,953,911
CHARLES SCHWAB INVESTMENT MANAGEMENT INC 0.55% 19,356,307 +4.2% 1.4% $8,608,136,849
Legal & General Group Plc 0.54% 19,138,014 -5.4% 1.9% $8,511,057,585
Amundi 0.52% 18,391,511 -8.9% 2.7% $8,335,952,363
BARCLAYS PLC 0.46% 16,315,731 -20% 2.7% $7,255,931,892
Bank of New York Mellon Corp 0.43% 15,257,573 -1.9% 1.2% $6,785,347,585
Invesco Ltd. 0.42% 14,897,309 -5.2% 1% $6,625,131,055
Nuveen, LLC 0.38% 13,543,092 +0.33% 1.6% $6,022,883,874
LOOMIS SAYLES & CO L P 0.36% 12,742,156 -1.3% 6.8% $5,666,691,492
BAMCO INC /NY/ 0.34% 11,947,614 -8.2% 14% $5,313,342,898
JENNISON ASSOCIATES LLC 0.31% 10,909,666 +38% 2.8% $4,851,746,847
CITIGROUP INC 0.27% 9,576,947 +2.4% 2.9% $4,259,059,697
WELLINGTON MANAGEMENT GROUP LLP 0.26% 9,082,638 +6.6% 0.71% $4,039,230,770

Institutional Holders of Tesla, Inc. - Common Stock, $0.001 par value per share (TSLA) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2025 Q4 8,770,581 $3,939,357,796 -$469,525,383 $449.72 277
2025 Q3 1,543,228,322 $685,969,514,167 -$11,131,252,062 $444.72 3,910
2025 Q2 1,579,644,800 $501,668,292,709 +$20,640,624,092 $317.66 3,691
2025 Q1 1,517,262,830 $393,266,139,599 -$7,819,352,645 $259.16 3,510
2024 Q4 1,521,000,833 $614,291,894,807 +$23,441,141,581 $403.84 3,853
2024 Q3 1,456,621,524 $380,520,777,533 +$4,314,051,909 $261.63 3,146
2024 Q2 1,417,935,140 $280,534,395,032 +$8,226,510,588 $197.88 2,867
2024 Q1 1,387,010,060 $243,655,454,459 +$182,773,786 $175.79 2,835
2023 Q4 1,378,510,115 $342,270,509,412 +$4,184,413,256 $248.48 3,085
2023 Q3 1,358,945,589 $339,977,431,138 +$635,123,886 $250.22 2,907
2023 Q2 1,341,328,856 $351,172,953,813 +$4,716,810,658 $261.77 2,877
2023 Q1 1,335,317,425 $276,603,708,578 -$1,997,668,537 $207.46 2,642
2022 Q4 1,360,373,584 $167,478,372,400 -$4,666,251,167 $123.18 2,413
2022 Q3 1,386,707,565 $367,756,706,355 +$246,529,021,556 $265.25 2,669
2022 Q2 452,230,378 $304,874,169,634 +$13,353,658,814 $673.42 2,552
2022 Q1 436,935,191 $469,848,596,364 +$4,263,325,528 $1077.60 2,768
2021 Q4 431,975,238 $456,554,802,211 +$10,447,101,699 $1056.78 2,719
2021 Q3 419,376,307 $325,140,420,048 +$13,576,218,956 $775.48 2,193
2021 Q2 402,999,799 $273,756,863,518 -$1,554,641,368 $679.70 2,153
2021 Q1 405,091,533 $270,430,513,563 -$19,591,585,486 $667.93 2,129
2020 Q4 434,691,378 $306,713,800,579 +$24,184,189,206 $705.67 2,066
2020 Q3 401,729,206 $172,128,015,015 +$131,474,038,805 $429.01 1,668
2020 Q2 91,047,569 $98,258,902,799 -$1,163,651,990 $1079.81 1,317
2020 Q1 93,088,089 $48,762,896,361 -$2,114,017,814 $524.00 1,048
2019 Q4 97,414,902 $40,739,734,236 +$674,341,650 $418.33 891
2019 Q3 95,811,395 $23,067,417,108 -$722,217,622 $240.87 705
2019 Q2 99,104,849 $22,131,026,863 +$373,332,467 $223.46 730
2019 Q1 98,238,242 $27,487,456,876 -$1,417,990,560 $279.86 786
2018 Q4 102,961,135 $34,251,505,549 -$2,770,973,549 $332.80 836
2018 Q3 102,875,552 $27,255,478,986 +$1,872,265,129 $264.77 701
2018 Q2 95,589,193 $32,773,350,870 -$2,660,986,122 $342.95 771
2018 Q1 103,689,005 $27,584,931,647 +$1,376,526,974 $266.13 760
2017 Q4 98,388,443 $30,622,554,539 +$359,039,761 $311.35 770
2017 Q3 96,806,258 $33,019,376,187 +$560,096,194 $341.10 735
2017 Q2 95,118,279 $34,387,706,746 -$3,410,255,141 $361.61 706
2017 Q1 105,110,970 $29,252,866,159 +$2,264,996,222 $278.30 633
2016 Q4 101,854,680 $21,686,288,029 +$2,109,601,705 $213.69 609
2016 Q3 91,775,305 $18,720,447,442 -$1,665,221,074 $204.03 547
2016 Q2 99,955,843 $21,220,105,590 +$1,545,841,905 $212.28 569
2016 Q1 92,445,240 $21,239,477,783 +$1,266,066,593 $229.77 569
2015 Q4 87,034,342 $20,885,009,255 +$677,794,034 $240.00 553
2015 Q3 83,690,170 $20,783,832,973 +$1,302,853,481 $248.40 522
2015 Q2 78,653,061 $21,097,820,231 -$36,865,375 $268.26 504
2015 Q1 79,070,512 $14,934,407,109 -$85,573,729 $188.77 457
2014 Q4 79,430,483 $17,659,408,682 +$1,817,390,327 $222.41 481
2014 Q3 69,093,009 $16,766,623,192 +$274,510,610 $242.68 461
2014 Q2 68,061,768 $16,337,074,530 +$101,362,565 $240.06 430
2014 Q1 68,270,702 $14,226,261,949 -$1,316,258,224 $208.45 420