Tiger Global Management
Managed by Chase Coleman
- Portfolio value
- $22.85B
- Holdings
- 53
- Top 5 weight
- 47.63%
- Latest filing
Portfolio
Reported 13F holdings, largest positions first
53holdings
GOOGL 13.38%NVDA 9.17%AMZN 9.12%TSM 8.23%META 7.73%SE 5.59%Other 46.78%
Company% PortfolioSharesValue
GOOGLALPHABET INC13.38%10,631,000$3.06BNVDANVIDIA CORP9.17%12,012,000$2.09BAMZNAMAZON COM INC9.12%10,000,000$2.08BTSMTAIWAN SEMICONDUCTOR MANUFACTURING CO LTD8.23%5,565,000$1.88BMETAMETA PLATFORMS INC7.73%3,087,000$1.77BSESEA LTD5.59%15,416,000$1.28BAVGOBROADCOM INC4.86%3,585,000$1.11BMSFTMICROSOFT CORP4.05%2,500,000$925.40MGEVGE VERNOVA INC3.72%973,000$849.30MLRCXLAM RESEARCH CORP3.65%3,900,000$833.40MSPOTSPOTIFY TECHNOLOGY SA3.36%1,581,000$766.50MCPNGCOUPANG INC2.86%34,595,000$653.20MAMATAPPLIED MATERIALS INC2.48%1,657,000$566.30MCPAYCORPAY INC2.23%1,752,000$509.90MAPPAPPLOVIN CORP1.74%1,000,000$398.00MTTWOTAKE TWO INTERACTIVE SOFTWARE INC1.73%2,000,000$395.00MAPOAPOLLO GLOBAL MANAGEMENT INC1.61%3,293,000$366.90MZGZILLOW GROUP INC1.52%8,393,000$347.30MRDDTREDDIT INC1.47%2,500,000$336.60MXYZBLOCK INC1.05%4,000,000$240.70MNFLXNETFLIX INC1.03%2,439,000$234.50MMELIMERCADOLIBRE INC1.02%135,000$233.40MFWONALIBERTY MEDIA CORP1%2,682,000$228.00MZSZSCALER INC0.97%1,580,000$221.60MCHYMCHIME FINANCIAL INC0.91%11,082,000$207.60MNUNU HOLDINGS LTD0.69%11,033,000$158.50MNOWSERVICENOW INC0.69%1,500,000$156.80MWLTHWEALTHFRONT CORP0.61%15,157,000$140.20MPCORPROCORE TECHNOLOGIES INC0.58%2,340,000$133.40MLITELUMENTUM HOLDINGS INC0.42%137,000$96.10MUNHUNITEDHEALTH GROUP INC0.41%350,000$94.80MEQPTEQUIPMENTSHARECOM INC0.41%4,580,000$93.30MSHWSHERWIN WILLIAMS CO0.36%257,000$82.40MINTCINTEL CORP0.32%1,639,000$72.30MCSGPCOSTAR GROUP INC0.26%1,500,000$60.50MREREATRENEW INC0.2%9,831,000$46.10MBULLWEBULL CORP0.14%6,724,000$32.30MPONYPONY AI INC0.12%2,900,000$27.40MUBERUBER TECHNOLOGIES INC0.05%151,000$10.90M
RVIRVI0.05%400,000$10.60M
JDJDCOM INC0.04%344,000$10.20MPAYPPAYPAY CORP0.04%400,000$8.50MFIGRFIGURE TECHNOLOGY SOLUTIONS INC0.03%200,000$6.80MNTSKNETSKOPE INC0.02%500,000$4.20MDASHDOORDASH INC0.02%25,000$3.80MXNDUXANADU QUANTUM TECHNOLOGIES LTD0.02%500,000$3.80MBLSHBULLISH0.02%100,000$3.60METORETORO GROUP LTD0.01%80,000$2.40MKLARKLARNA GROUP PLC0.01%175,000$2.30MFIGFIGMA INC0.01%60,000$1.30MARXACCELERANT HOLDINGS0%75,000$1.00MGEMIGEMINI SPACE STATION INC0%70,000$300.00KMNTNMNTN INC0%20,000$200.00KFrom the fund's Q1 '26 13F filingWhat is a 13F?
Activity
Buys and sells, quarter by quarter
filing - 33 moves · 15 buy-side · 18 sell-side
CompanyChangeValue
NVDANVIDIA CORP9.1%$2.09BAMZNAMAZON COM INC0.1%$2.08BTSMTAIWAN SEMICONDUCTOR MANUFACTURING CO LTD49.4%$1.88BMETAMETA PLATFORMS INC12.2%$1.77BAVGOBROADCOM INC24.7%$1.11BMSFTMICROSOFT CORP54.4%$925.40MFLUTFLUTTER ENTERTAINMENT PLCSold$860.90MSPOTSPOTIFY TECHNOLOGY SA25.4%$766.50MCPNGCOUPANG INC31.7%$653.20MAMATAPPLIED MATERIALS INC85.1%$566.30MVEEVVEEVA SYSTEMS INCSold$540.30MGRABGRAB HOLDINGS LTDSold$463.70MAPPAPPLOVIN CORP22.7%$398.00MTTWOTAKE TWO INTERACTIVE SOFTWARE INC65.7%$395.00MAPOAPOLLO GLOBAL MANAGEMENT INC47.0%$366.90MZGZILLOW GROUP INC18.5%$347.30MRDDTREDDIT INC35.0%$336.60MXYZBLOCK INC37.2%$240.70MMELIMERCADOLIBRE INCNew$233.40MWDAYWORKDAY INCSold$214.80MCHYMCHIME FINANCIAL INC21.9%$207.60MNOWSERVICENOW INC29.5%$156.80MESTCELASTIC NVSold$127.50MLITELUMENTUM HOLDINGS INCNew$96.10MUNHUNITEDHEALTH GROUP INC16.7%$94.80MEQPTEQUIPMENTSHARECOM INCNew$93.30MHNGEHINGE HEALTH INCSold$83.90MINTCINTEL CORPNew$72.30MCSGPCOSTAR GROUP INC33.6%$60.50MCRCLCIRCLE INTERNET GROUP INCSold$39.60M
RVIRVINew$10.60M
PAYPPAYPAY CORPNew$8.50MXNDUXANADU QUANTUM TECHNOLOGIES LTDNew$3.80MChanges are share-count changes vs. the prior quarter



























































