TESLA INC - PUT Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2014 to Q4 2025

Type / Class
Equity / PUT
Price per share
$226.48
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
758
Total reported value
$1,064,821
% of total 13F portfolios
0%
Share change
-20,600
Value change
-$6,467,560
Number of holders
2
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 2 institutional investors reported holding 758 shares of TESLA INC - PUT.

Institutional Holders of TESLA INC - PUT across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 $226.48 0
2025 Q3 758 $1,064,821 -$6,467,560 $444.72 2
2025 Q2 21,358 $8,257,406 +$6,734,392 $317.66 2
2025 Q1 158 $2,138,603 -$147,764,983 $259.16 1
2024 Q4 365,900 $147,765,000 +$144,291,961 $403.84 1
2024 Q3 8,600 $2,250,000 +$2,250,000 $261.63 20
2024 Q2 69 $16,146 -$2,321,854 $197.88 21
2024 Q1 13,300 $2,338,000 +$2,338,000 $175.79 25
2023 Q4 0 $0 -$10,208,001 $248.48 22
2023 Q3 40,800 $10,208,000 +$5,829,991 $250.22 29
2023 Q2 17,000 $4,378,010 +$727,010 $261.77 26
2023 Q1 17,600 $3,651,000 +$1,472,847 $207.46 29
2022 Q4 10,500 $1,293,000 -$886,629 $123.18 1
2022 Q3 11,112,300 $2,948,591,000 +$4,693,999 $265.25 2
2022 Q2 4,574,100 $3,081,342 +$1,194,697 $673.42 20
2022 Q1 $1077.60 19
2021 Q4 0 $0 -$2,867 $1056.78 21
2021 Q3 5,796,800 $4,495,575,000 +$4,489,105,772 $775.48 3
2021 Q2 8,800 $6,082,000 $0 $679.70 1
2021 Q1 44,900 $30,233,000 $0 $667.94 23
2020 Q4 $705.67 0
2020 Q3 21,800 $9,352,000 +$6,906,752 $429.01 26
2020 Q2 $1079.81 20
2020 Q1 400 $209 -$2,665 $524.00 1
2019 Q4 5,500 $2,300,000 +$2,300,000 $418.33 16
2019 Q3 $240.87 0
2019 Q2 $223.46 0
2019 Q1 $279.86 0
2018 Q4 0 $0 -$1,112,000 $332.80 18
2018 Q3 4,200 $1,112,000 $0 $264.77 20
2018 Q2 $342.95 18
2018 Q1 $266.13 19
2017 Q4 $311.35 16
2017 Q3 $341.10 15
2017 Q2 $361.61 15
2017 Q1 $278.30 13
2016 Q4 $213.69 12
2016 Q3 0 $0 -$76,746 $204.03 14
2016 Q2 361,500 $76,739 +$76,746 $212.28 17
2016 Q1 $229.77 14
2015 Q4 $240.01 16
2015 Q3 $248.40 13
2015 Q2 $268.26 15
2015 Q1 $188.77 12
2014 Q4 $222.41 12
2014 Q3 $242.68 13
2014 Q2 $240.06 9
2014 Q1 $208.45 8