Arbiter Partners Capital Management’s Tesla TSLA Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q1
$18.4M Buy
49,400
+20,600
+72% +$8.49M 12.46% 2
2025
Q4
$13M Sell
28,800
-3,700
-11% -$1.64M 6.97% 3
2025
Q3
$14.5M Buy
+32,500
New +$11.3M 9.91% 2
2025
Q2
Sell
-205,900
Closed -$53.4M 35
2025
Q1
$53.4M Sell
205,900
-10,300
-5% -$3.43M 64.93% 1
2024
Q4
$87.3M Buy
216,200
+11,200
+5% +$3.6M 129.21% 1
2024
Q3
$53.6M Buy
205,000
+13,600
+7% +$3.1M 105.95% 1
2024
Q2
$37.9M Buy
191,400
+161,000
+530% +$28.1M 76.62% 1
2024
Q1
$5.34M Sell
30,400
-2,000
-6% -$391K 9.68% 5
2023
Q4
$8.05M Buy
32,400
+17,200
+113% +$4.09M 16.25% 2
2023
Q3
$3.8M Sell
15,200
-4,500
-23% -$1.16M 6.84% 5
2023
Q2
$5.16M Buy
19,700
+11,300
+135% +$2.26M 8.64% 5
2023
Q1
$1.74M Sell
8,400
-51,000
-86% -$8.9M 2.21% 20
2022
Q4
$7.32M Sell
59,400
-150,000
-72% -$28.4M 8.71% 3
2022
Q3
$55.5M Sell
209,400
-28,500
-12% -$7.96M 79.02% 1
2022
Q2
$53.4M Buy
237,900
+105,000
+79% +$28.7M 52.21% 1
2022
Q1
$47.7M Sell
132,900
-1,759,500
-93% -$548M 34.96% 1
2021
Q4
$667M Buy
1,892,400
+7,800
+0.4% +$2.62M 466.22% 1
2021
Q3
$487M Hold
1,884,600
338.28% 1
2021
Q2
$427M Sell
1,884,600
-3,338,400
-64% -$725M 258.72% 1
2021
Q1
$1.16B Buy
5,223,000
+2,611,500
+100% +$656M 617.68% 1
2020
Q4
$614M Sell
2,611,500
-11,554,500
-82% -$1.97B 361.8% 1
2020
Q3
$2.03B Sell
14,166,000
-2,967,000
-17% -$350M 1,440.18% 1
2020
Q2
$1.05B Sell
17,133,000
-1,222,500
-7% -$66.1M 795.38% 1
2020
Q1
$489M Buy
18,355,500
+267,000
+1% +$11.1M 580.63% 1
2019
Q4
$420M Buy
18,088,500
+5,023,500
+38% +$109M 333.6% 1
2019
Q3
$147M Buy
13,065,000
+2,971,500
+29% +$46.5M 109.07% 2
2019
Q2
$150M Buy
10,093,500
+454,500
+5% +$7.07M 111.78% 2
2019
Q1
$180M Sell
9,639,000
-9,204,000
-49% -$185M 141.52% 1
2018
Q4
$418M Buy
18,843,000
+60,000
+0.3% +$1.29M 240.3% 1
2018
Q3
$332M Buy
18,783,000
+895,500
+5% +$18.7M 123.46% 1
2018
Q2
$409M Buy
17,887,500
+1,024,500
+6% +$20.8M 156.69% 1
2018
Q1
$299M Sell
16,863,000
-492,000
-3% -$10.8M 102.23% 1
2017
Q4
$360M Buy
17,355,000
+4,114,500
+31% +$89.5M 102.67% 1
2017
Q3
$301M Buy
13,240,500
+750,000
+6% +$17.3M 84.29% 1
2017
Q2
$301M Hold
12,490,500
82.74% 1
2017
Q1
$232M Buy
12,490,500
+7,633,500
+157% +$129M 64.66% 1
2016
Q4
$69.2M Sell
4,857,000
-750,000
-13% -$9.86M 21.44% 1
2016
Q3
$76.3M Sell
5,607,000
-567,000
-9% -$8.19M 26.15% 2
2016
Q2
$87.4M Buy
6,174,000
+1,039,500
+20% +$15.8M 30.34% 2
2016
Q1
$78.7M Sell
5,134,500
-750,000
-13% -$9.87M 25.12% 1
2015
Q4
$94.2M Sell
5,884,500
-6,150,000
-51% -$92M 24.7% 2
2015
Q3
$199M Sell
12,034,500
-300,000
-2% -$5.1M 54.06% 2
2015
Q2
$221M Buy
12,334,500
+957,000
+8% +$15.1M 58.22% 1
2015
Q1
$143M Hold
11,377,500
43.9% 2
2014
Q4
$169M Buy
11,377,500
+487,500
+4% +$7.62M 46.71% 1
2014
Q3
$176M Buy
10,890,000
+2,581,500
+31% +$42.6M 51.11% 1
2014
Q2
$133M Buy
8,308,500
+3,058,500
+58% +$42.7M 37.64% 1
2014
Q1
$73M Buy
+5,250,000
New +$70.3M 19.77% 1

Other funds holding TSLA