Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2022
Q1
Sell
-5,874,300
Closed -$2.07B 4311
2021
Q4
$2.07B Buy
5,874,300
+876,000
+18% +$294M 1.1% 11
2021
Q3
$1.29B Buy
4,998,300
+821,400
+20% +$193M 0.71% 20
2021
Q2
$946M Sell
4,176,900
-1,749,300
-30% -$380M 0.5% 28
2021
Q1
$1.32B Buy
5,926,200
+129,900
+2% +$32.6M 0.68% 15
2020
Q4
$1.36B Buy
5,796,300
+857,100
+17% +$146M 0.67% 17
2020
Q3
$706M Buy
4,939,200
+2,390,700
+94% +$282M 0.43% 34
2020
Q2
$183M Sell
2,548,500
-942,000
-27% -$51M 0.13% 147
2020
Q1
$122M Sell
3,490,500
-5,251,500
-60% -$218M 0.11% 175
2019
Q4
$244M Buy
8,742,000
+2,998,500
+52% +$65M 0.18% 101
2019
Q3
$92.2M Sell
5,743,500
-912,000
-14% -$14.3M 0.08% 253
2019
Q2
$99.1M Buy
6,655,500
+3,301,500
+98% +$51.4M 0.09% 225
2019
Q1
$62.6M Sell
3,354,000
-3,853,500
-53% -$77.4M 0.06% 334
2018
Q4
$160M Sell
7,207,500
-2,104,500
-23% -$45.3M 0.17% 107
2018
Q3
$164M Buy
9,312,000
+5,505,000
+145% +$115M 0.15% 117
2018
Q2
$87M Buy
3,807,000
+2,007,000
+112% +$40.8M 0.09% 217
2018
Q1
$31.9M Sell
1,800,000
-300,000
-14% -$6.6M 0.03% 607
2017
Q4
$43.6M Buy
2,100,000
+1,035,000
+97% +$22.5M 0.04% 492
2017
Q3
$24.2M Sell
1,065,000
-210,000
-16% -$4.85M 0.02% 722
2017
Q2
$30.7M Buy
1,275,000
+525,000
+70% +$11.6M 0.03% 595
2017
Q1
$13.9M Sell
750,000
-15,000
-2% -$254K 0.01% 1036
2016
Q4
$10.9M Buy
765,000
+412,500
+117% +$5.42M 0.01% 1155
2016
Q3
$4.79M Sell
352,500
-3,135,000
-90% -$45.3M ﹤0.01% 1690
2016
Q2
$49.4M Sell
3,487,500
-135,000
-4% -$2.05M 0.05% 373
2016
Q1
$55.5M Buy
+3,622,500
New +$47.7M 0.07% 305
2015
Q2
Sell
-4,500,000
Closed -$56.6M 4638
2015
Q1
$56.6M Buy
4,500,000
+3,157,500
+235% +$42.6M 0.06% 373
2014
Q4
$19.9M Buy
1,342,500
+742,500
+124% +$11.6M 0.02% 884
2014
Q3
$9.71M Buy
+600,000
New +$9.9M 0.01% 1306
2014
Q1
Sell
-1,725,000
Closed -$17.3M 4847
2013
Q4
$17.3M Sell
1,725,000
-3,852,000
-69% -$39.3M 0.02% 901
2013
Q3
$71.9M Buy
5,577,000
+2,577,000
+86% +$25.5M 0.07% 249
2013
Q2
$21.5M Buy
+3,000,000
New +$15.1M 0.02% 730

Other funds holding TSLA

Credit Suisse's TSLA Position: Q1 2024 in Review

Credit Suisse reduced its Tesla (TSLA) stake by 3.8% in Q1 2024, selling an estimated $39.7M and leaving 5,192,687 shares worth $913M. The position accounts for 0.87% of the portfolio, ranked #14.

Credit Suisse first reported a position in TSLA in Q2 2013 and has held it in 44 quarters since. The position peaked at $1.69B in Q4 2021. 2,884 funds tracked by Wall St. Rank hold TSLA as of Q1 2024.

  • Credit Suisse held 5,192,687 shares of Tesla worth $913M as of Q1 2024.
  • Credit Suisse sold 202,963 Tesla shares in Q1 2024, an estimated $39.7M.
  • Tesla made up 0.87% of Credit Suisse's portfolio in Q1 2024, its #14 holding.
  • Credit Suisse first reported a position in Tesla in Q2 2013 and has held it in 44 quarters since.
  • Credit Suisse's Tesla position peaked at $1.69B in Q4 2021.
  • 2,884 funds tracked by Wall St. Rank held Tesla as of Q1 2024.

Based on Credit Suisse's 13F filing for Q1 2024, filed 10 May 2024.