— Know what they know.
Not Investment Advice

TSLP Holdings Changes

Kurv Yield Premium Strategy Tesla ETF
1W: -1.2% 1M: +4.3% 3M: -18.8% YTD: -32.2% 1Y: -35.3%
$15.16
+0.78 (+5.42%)
 
Weekly Expected Move ±5.8%
$13 $14 $15 $16 $17
ETF CBOE · AUM $15.9M
Total Changes (90d)
74
New Holdings
20
Removed Holdings
20
164 changes · Page 1 of 4
Date Holding Name Ticker Change Type Old Value New Value
2026-10-01 FIGXX FIGXX shares 132297 88903
2026-09-28 2TSLA 260925C00380000 2TSLA 260925C00380000 Removed -50 shares —
2026-09-28 2TSLA 261218P00300000 2TSLA 261218P00300000 Removed 71 shares —
2026-09-28 2TSLA 261009C00415000 2TSLA 261009C00415000 New — -38 shares
2026-09-28 2TSLA 261218P00330000 2TSLA 261218P00330000 New — 71 shares
2026-09-25 FIGXX FIGXX shares 271396 132297
2026-09-25 2TSLA 261218P00300000 2TSLA 261218P00300000 shares 56 71
2026-09-25 2TSLA 261218C00350000 2TSLA 261218C00350000 shares 484 459
2026-09-25 2TSLA 261218P00350000 2TSLA 261218P00350000 shares -484 -459
2026-09-25 912797UD7 912797UD7 shares 6300000 6100000
2026-09-25 2TSLA 261002C00392500 2TSLA 261002C00392500 New — -50 shares
2026-09-25 2TSLA 260925C00380000 2TSLA 260925C00380000 New — -50 shares
2026-09-25 2TSLA 260918C00380000 2TSLA 260918C00380000 Removed -121 shares —
2026-09-25 2TSLA 261218C00210000 2TSLA 261218C00210000 shares 60 85
2026-09-17 FIGXX FIGXX shares 272789 271396
2026-09-14 FIGXX FIGXX shares 232559 272789
2026-09-14 2TSLA 260911C00370000 2TSLA 260911C00370000 Removed -121 shares —
2026-09-07 FIGXX FIGXX shares 273528 232559
2026-09-07 912797RS8 912797RS8 Removed 5900000 shares —
2026-09-07 2TSLA 260918P00400000 2TSLA 260918P00400000 Removed -484 shares —
2026-09-07 2TSLA 260918C00400000 2TSLA 260918C00400000 Removed 484 shares —
2026-09-07 2TSLA 260904C00370000 2TSLA 260904C00370000 Removed -121 shares —
2026-09-07 912797VF1 912797VF1 New — 3000000 shares
2026-09-07 2TSLA 260918C00380000 2TSLA 260918C00380000 New — -121 shares
2026-09-07 2TSLA 261218P00350000 2TSLA 261218P00350000 New — -484 shares
2026-09-07 2TSLA 261218C00210000 2TSLA 261218C00210000 New — 60 shares
2026-09-07 2TSLA 261218C00350000 2TSLA 261218C00350000 New — 484 shares
2026-09-07 2TSLA 260918C00210000 2TSLA 260918C00210000 Removed 60 shares —
2026-09-03 FIGXX FIGXX shares 162312 273528
2026-08-31 2TSLA 260911C00370000 2TSLA 260911C00370000 New — -121 shares
2026-08-31 2TSLA 260918P00370000 2TSLA 260918P00370000 Removed 49 shares —
2026-08-31 2TSLA 260828C00365000 2TSLA 260828C00365000 Removed -252 shares —
2026-08-31 2TSLA 261218P00300000 2TSLA 261218P00300000 New — 56 shares
2026-08-31 2TSLA 260904C00370000 2TSLA 260904C00370000 New — -121 shares
2026-08-28 FIGXX FIGXX shares 76255 162312
2026-08-27 912797RS8 912797RS8 shares 6100000 5900000
2026-08-24 2TSLA 260821C00360000 2TSLA 260821C00360000 Removed -230 shares —
2026-08-20 FIGXX FIGXX shares 96258 76255
2026-08-19 912797RS8 912797RS8 shares 6200000 6100000
2026-08-17 2TSLA 260814C00330000 2TSLA 260814C00330000 Removed -252 shares —
2026-08-17 2TSLA 260828C00365000 2TSLA 260828C00365000 New — -252 shares
2026-08-17 2TSLA 260918P00370000 2TSLA 260918P00370000 shares 82 49
2026-08-13 FIGXX FIGXX New — 96258 shares
2026-08-12 FIGXX FIGXX Removed 247169 shares —
2026-08-12 912797TC1 912797TC1 shares 6500000 6000000
2026-08-10 2TSLA 260821C00360000 2TSLA 260821C00360000 New — -230 shares
2026-08-10 2TSLA 260918C00400000 2TSLA 260918C00400000 shares 504 484
2026-08-10 2TSLA 260807C00352500 2TSLA 260807C00352500 Removed -252 shares —
2026-08-10 2TSLA 260918P00400000 2TSLA 260918P00400000 shares -504 -484
2026-08-10 FIGXX FIGXX shares 627969 247169

Sign in to InsiderStreet

You'll also get our free weekly newsletter with
smart money signals, market insights, and alpha ideas.
Unsubscribe anytime.

For informational purposes only. Not investment advice. Data sourced from SEC filings. Privacy Terms