EATON VANCE MANAGEMENT – Tesla, Inc. Transaction History
EATON VANCE MANAGEMENT portfolio value:
$597.57M
portfolio value
EATON VANCE MANAGEMENT quarter portfolio value change:
-60.61%
quarter
Tesla, Inc. 13F transactions
Quarter | Transaction type | Change | Relative change | Absolute change | Change value | Avg. price | Shares |
---|---|---|---|---|---|---|---|
Q3 2022 | share | Increase | +32.08% | 547.16K shares | 214.68M | $265.25 | 2.25M |
Q2 2022 | share | Increase | +193.13% | 1.12M shares | -244.17M | $673.42 | 1.70M |
Q1 2022 | share | Increase | +32.09% | 141.35K shares | 161.49M | $1,077.6 | 581.9K |
Q4 2021 | share | Increase | +44.83% | 136.37K shares | 222.53M | $1,070.34 | 440.54K |
Q3 2021 | share | Increase | +15.82% | 41.54K shares | 41.10M | $775.48 | 304.17K |
Q2 2021 | share | Decrease | -9.95% | -29.01K shares | -16.28M | $679.7 | 262.63K |
Q1 2021 | share | Increase | +166.03% | 182.01K shares | 117.43M | $667.93 | 291.64K |
Q4 2020 | share | Increase | +0.74% | 800 shares | 30.67M | $705.67 | 109.62K |
Q3 2020 | share | Decrease | -1.04% | -1.13K shares | 22.93M | $429.01 | 108.82K |
Q2 2020 | share | Increase | +1.39% | 1.50K shares | 12.38M | $215.96 | 109.96K |
Q1 2020 | share | Increase | +4.42% | 4.59K shares | 2.67M | $104.8 | 108.46K |
Q4 2019 | share | Decrease | -0.51% | -530 shares | 3.66M | $83.67 | 103.87K |
Q3 2019 | share | Increase | +73.57% | 44.25K shares | 2.34M | $48.17 | 104.4K |
Q2 2019 | share | Decrease | -36.04% | -33.89K shares | -2.57M | $44.69 | 60.15K |
Q1 2019 | share | Increase | +0.04% | 35 shares | -993K | $55.97 | 94.04K |
Q4 2018 | share | Increase | +59.63% | 35.11K shares | 3.13M | $66.56 | 94.00K |
Q3 2018 | share | Decrease | -0.98% | -580 shares | -961K | $52.95 | 58.89K |
Q2 2018 | share | Decrease | -0.88% | -525 shares | 886K | $68.59 | 59.47K |
Q1 2018 | share | Decrease | -30.89% | -26.81K shares | -2.21M | $53.23 | 59.99K |
Q4 2017 | share | Increase | +131.49% | 49.31K shares | 2.84M | $62.27 | 86.81K |
Q3 2017 | share | Increase | +0.13% | 50 shares | -150K | $68.22 | 37.5K |
Q2 2017 | share | Decrease | -75.22% | -113.68K shares | -5.70M | $72.32 | 37.45K |
Q1 2017 | share | Increase | +374.45% | 119.28K shares | 7.05M | $55.66 | 151.13K |
Q4 2016 | share | Increase | +92.94% | 15.34K shares | 687K | $42.74 | 31.85K |
Q3 2016 | share | Decrease | -4.07% | -700 shares | -57K | $40.81 | 16.51K |
Q2 2016 | share | Decrease | -9.47% | -1.8K shares | -143K | $42.46 | 17.21K |
Q1 2016 | share | Decrease | -61.00% | -29.73K shares | -1.46M | $45.95 | 19.01K |