SEC 13F Intelligence

Parallel Advisors, LLC / TSLA

Parallel Advisors, LLC’s Tesla Inc Position

Does Parallel Advisors, LLC own Tesla Inc (TSLA)? Yes82.3K shares worth $31M (+0.55% of its 13F portfolio) as of Q2 2026.

Position Value
$31M
Q2 2026
Shares
82.3K
% of Portfolio
+0.55%
Quarters Held
31
currently held

Position History TSLA

Reported value by quarter
Q4 ’18: $755,000Q4 ’18Q1 ’19: $488,000Q2 ’19: $353,000Q3 ’19: $370,000Q4 ’19: $622,000Q4 ’19Q1 ’20: $1MQ2 ’20: $3MQ3 ’20: $5MQ4 ’20: $8MQ4 ’20Q1 ’21: $9MQ2 ’21: $8MQ3 ’21: $11MQ4 ’21: $19MQ4 ’21Q1 ’22: $16MQ2 ’22: $10MQ3 ’22: $13MQ4 ’22: $5MQ4 ’22Q1 ’23: $9MQ2 ’23: $12MQ3 ’23: $12MQ4 ’23: $12MQ4 ’23Q1 ’24: $12MQ2 ’24: $10MQ3 ’24: $15MQ4 ’24: $26MQ4 ’24Q1 ’25: $18MQ2 ’25: $24MQ3 ’25: $36MQ4 ’25: $37MQ4 ’25Q1 ’26: $31MQ2 ’26: $31Mfilingsflow.com
QuarterSharesValue% of Portfolio
Q2 202682.3K$31M+0.55%
Q1 202682.3K$31M+0.55%
Q4 202582.9K$37M+0.68%
Q3 202581.0K$36M+0.66%
Q2 202574.8K$24M+0.48%
Q1 202569.3K$18M+0.41%
Q4 202465.3K$26M+0.59%
Q3 202457.9K$15M+0.36%
Q2 202448.7K$10M+0.25%
Q1 202448.1K$12M+0.40%
Q4 202348.0K$12M+0.35%
Q3 202348.1K$12M+0.40%
Q2 202345.8K$12M+0.39%
Q1 202345.7K$9M+0.32%
Q4 202241.7K$5M+0.22%
Q3 202247.6K$13M+0.58%
Q2 202214.7K$10M+0.45%
Q1 202214.7K$16M+0.64%
Q4 202117.6K$19M+0.69%
Q3 202113.7K$11M+0.43%
Q2 202112.4K$8M+0.36%
Q1 202113.0K$9M+0.41%
Q4 202010.8K$8M+0.41%
Q3 202012.6K$5M+0.33%
Q2 20202.8K$3M+0.20%
Q1 20202.5K$1M+0.11%
Q4 20191.5K$622,000+0.05%
Q3 20191.5K$370,000+0.03%
Q2 20191.6K$353,000+0.03%
Q1 20191.7K$488,000+0.05%
Q4 20182.3K$755,000+0.11%

Common-stock position only; options are excluded. Quarters where the fund filed no 13F or reported no position are absent. See Parallel Advisors, LLC’s full portfolio or all institutional holders of TSLA.