SEC 13F Intelligence

Cigna Investments Inc /New / TSLA

Cigna Investments Inc /New’s Tesla Inc Position

Does Cigna Investments Inc /New own Tesla Inc (TSLA)? Yes26.9K shares worth $10M (+1.54% of its 13F portfolio) as of Q1 2026, down from 27.3K shares the prior filed quarter.

Position Value
$10M
Q1 2026
Shares
26.9K
% of Portfolio
+1.54%
Quarters Held
30
currently held

Position History TSLA

Reported value by quarter
Q4 ’18: $484,000Q4 ’18Q1 ’19: $407,000Q2 ’19: $360,000Q3 ’19: $469,000Q4 ’19: $942,000Q4 ’19Q1 ’20: $881,000Q2 ’20: $2MQ3 ’20: $3MQ4 ’20: $19MQ4 ’20Q1 ’21: $18MQ2 ’21: $16MQ3 ’21: $19MQ4 ’21: $20MQ4 ’21Q1 ’22: $16MQ2 ’22: $7MQ3 ’22: $8MQ4 ’22: $4MQ4 ’22Q1 ’23: $7MQ2 ’23: $9MQ3 ’23: $7MQ4 ’23: $7MQ4 ’23Q1 ’24: $5MQ2 ’24: $6MQ3 ’24: $8MQ4 ’24: $12MQ4 ’24Q1 ’25: $7MQ2 ’25: $9MQ3 ’25: $12MQ4 ’25: $12MQ4 ’25Q1 ’26: $10Mfilingsflow.com
QuarterSharesValue% of Portfolio
Q1 202626.9K$10M+1.54%
Q4 202527.3K$12M+1.77%
Q3 202527.6K$12M+1.73%
Q2 202527.8K$9M+1.50%
Q1 202528.1K$7M+1.35%
Q4 202428.6K$12M+2.02%
Q3 202428.8K$8M+1.33%
Q2 202429.1K$6M+1.07%
Q1 202429.4K$5M+0.97%
Q4 202329.6K$7M+1.51%
Q3 202329.8K$7M+1.70%
Q2 202333.5K$9M+1.63%
Q1 202331.8K$7M+1.31%
Q4 202232.3K$4M+0.83%
Q3 202231.7K$8M+1.86%
Q2 202211.0K$7M+1.48%
Q1 202214.8K$16M+1.96%
Q4 202118.5K$20M+1.53%
Q3 202124.9K$19M+1.44%
Q2 202124.2K$16M+1.17%
Q1 202127.6K$18M+1.27%
Q4 202026.5K$19M+1.45%
Q3 20207.5K$3M+0.31%
Q2 20202.2K$2M+0.23%
Q1 20201.7K$881,000+0.11%
Q4 20191.4K$942,000+0.10%
Q3 20191.5K$469,000+0.05%
Q2 20191.5K$360,000+0.04%
Q1 20191.5K$407,000+0.05%
Q4 20181.5K$484,000+0.04%

Common-stock position only; options are excluded. Quarters where the fund filed no 13F or reported no position are absent. See Cigna Investments Inc /New’s full portfolio or all institutional holders of TSLA.