Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q1
$725M Buy
1,946,600
+276,400
+17% +$114M 0.38% 41
2025
Q4
$758M Buy
1,670,200
+400,500
+32% +$178M 0.39% 38
2025
Q3
$555M Buy
1,269,700
+561,100
+79% +$195M 0.31% 48
2025
Q2
$227M Buy
708,600
+439,600
+163% +$132M 0.14% 137
2025
Q1
$68.8M Sell
269,000
-180,800
-40% -$60.3M 0.04% 390
2024
Q4
$185M Buy
449,800
+115,800
+35% +$37.3M 0.11% 169
2024
Q3
$86.9M Buy
334,000
+92,700
+38% +$21.1M 0.05% 341
2024
Q2
$47.4M Sell
241,300
-150,600
-38% -$26.3M 0.03% 464
2024
Q1
$68.9M Buy
391,900
+133,600
+52% +$26.1M 0.05% 373
2023
Q4
$64.1M Buy
258,300
+43,900
+20% +$10.4M 0.06% 338
2023
Q3
$53.4M Buy
214,400
+13,400
+7% +$3.44M 0.06% 348
2023
Q2
$52.7M Sell
201,000
-30,200
-13% -$6.04M 0.05% 345
2023
Q1
$47.5M Sell
231,200
-893,200
-79% -$156M 0.06% 350
2022
Q4
$137M Sell
1,124,400
-783,800
-41% -$148M 0.16% 125
2022
Q3
$510M Sell
1,908,200
-279,700
-13% -$78.1M 0.83% 14
2022
Q2
$498M Sell
2,187,900
-3,510,600
-62% -$958M 0.69% 17
2022
Q1
$2.07B Buy
5,698,500
+872,400
+18% +$272M 2.52% 4
2021
Q4
$1.72B Buy
4,826,100
+1,653,600
+52% +$555M 1.58% 8
2021
Q3
$826M Sell
3,172,500
-1,414,500
-31% -$333M 0.83% 16
2021
Q2
$1.05B Buy
4,587,000
+69,900
+2% +$15.2M 1.11% 10
2021
Q1
$999M Buy
4,517,100
+316,500
+8% +$79.5M 1.18% 10
2020
Q4
$998M Sell
4,200,600
-882,000
-17% -$151M 1.33% 9
2020
Q3
$728M Buy
5,082,600
+528,600
+12% +$62.4M 1.16% 9
2020
Q2
$328M Buy
4,554,000
+1,575,000
+53% +$85.2M 0.62% 19
2020
Q1
$105M Sell
2,979,000
-852,600
-22% -$35.3M 0.24% 79
2019
Q4
$107M Buy
3,831,600
+1,892,100
+98% +$41M 0.19% 95
2019
Q3
$31.1M Sell
1,939,500
-2,746,500
-59% -$43M 0.06% 359
2019
Q2
$69.8M Buy
4,686,000
+3,480,000
+289% +$54.2M 0.13% 147
2019
Q1
$22.5M Sell
1,206,000
-108,000
-8% -$2.17M 0.04% 469
2018
Q4
$29.2M Sell
1,314,000
-370,500
-22% -$7.97M 0.05% 365
2018
Q3
$29.7M Sell
1,684,500
-31,500
-2% -$656K 0.05% 404
2018
Q2
$39.2M Buy
1,716,000
+937,500
+120% +$19.1M 0.07% 278
2018
Q1
$13.8M Buy
778,500
+462,000
+146% +$10.2M 0.02% 703
2017
Q4
$6.57M Sell
316,500
-300,000
-49% -$6.53M 0.01% 785
2017
Q3
$14M Sell
616,500
-111,000
-15% -$2.56M 0.02% 674
2017
Q2
$17.5M Buy
727,500
+390,000
+116% +$8.58M 0.03% 556
2017
Q1
$6.26M Sell
337,500
-1,746,000
-84% -$29.5M 0.01% 866
2016
Q4
$29.7M Buy
2,083,500
+1,933,500
+1,289% +$25.4M 0.07% 340
2016
Q3
$2.04M Buy
150,000
+3,000
+2% +$43.3K 0.01% 1177
2016
Q2
$2.08M Buy
+147,000
New +$2.23M 0.01% 1179
2016
Q1
Sell
-577,500
Closed -$9.24M 2241
2015
Q4
$9.24M Buy
+577,500
New +$8.64M 0.02% 720
2015
Q1
Sell
-1,200,000
Closed -$17.8M 2122
2014
Q4
$17.8M Buy
1,200,000
+600,000
+100% +$9.38M 0.04% 486
2014
Q3
$9.71M Hold
600,000
0.02% 668
2014
Q2
$9.6M Sell
600,000
-78,000
-12% -$1.09M 0.02% 636
2014
Q1
$9.42M Buy
678,000
+153,000
+29% +$2.05M 0.02% 591
2013
Q4
$5.26M Hold
525,000
0.01% 838
2013
Q3
$6.77M Buy
+525,000
New +$5.19M 0.02% 743

Other funds holding TSLA

HSBC Holdings's TSLA Position: Q1 2026 in Review

HSBC Holdings reduced its Tesla (TSLA) stake by 3.1% in Q1 2026, selling an estimated $98.8M and leaving 7,597,433 shares worth $2.83B. The position accounts for 1.48% of the portfolio, ranked #9.

HSBC Holdings first reported a position in TSLA in Q2 2013 and has held it in 52 quarters since. The position peaked at $3.55B in Q3 2025. 4,175 funds tracked by Wall St. Rank hold TSLA as of Q1 2026.

  • HSBC Holdings held 7,597,433 shares of Tesla worth $2.83B as of Q1 2026.
  • HSBC Holdings sold 239,879 Tesla shares in Q1 2026, an estimated $98.8M.
  • Tesla made up 1.48% of HSBC Holdings's portfolio in Q1 2026, its #9 holding.
  • HSBC Holdings first reported a position in Tesla in Q2 2013 and has held it in 52 quarters since.
  • HSBC Holdings's Tesla position peaked at $3.55B in Q3 2025.
  • 4,175 funds tracked by Wall St. Rank held Tesla as of Q1 2026.

Based on HSBC Holdings's 13F filing for Q1 2026, filed 30 Apr 2026.