Q Fund Management (Hong Kong) Ltd's ownership history for TSLA
Q Fund Management (Hong Kong) Ltd currently holds 32.7K shares with a market value of $14.7M. It started holding TSLA on 2024-12-31. At its peak, it held 48.9K shares on 2025-06-30. Its highest holding value was $21.2M on 2025-09-30. At its lowest, it held 16.2K shares on 2024-12-31, with a value of $6.5M on 2024-12-31. In the recent 180 days, Q Fund Management (Hong Kong) Ltd has decreased its shares by 14.9K. In the recent year, Q Fund Management (Hong Kong) Ltd has increased its shares by 16.5K.
Q Fund Management (Hong Kong) Ltd's ownership history for TSLA