Tiger Global Management
Managed by Chase Coleman
- Portfolio value
- $23.98B
- Holdings
- 46
- Top 5 weight
- 43.97%
- Latest filing
Portfolio
Reported 13F holdings, largest positions first
46holdings
TSM 9.72%AMZN 9.62%NVDA 9.34%GOOGL 8.65%META 6.63%Other 56.03%
Company% PortfolioSharesValue
TSMTAIWAN SEMICONDUCTOR MANUFACTURING CO LTD9.72%4,881,000$2.33BAMZNAMAZON COM INC9.62%9,684,000$2.31BNVDANVIDIA CORP9.34%11,199,000$2.24BGOOGLALPHABET INC8.65%5,806,000$2.07BMETAMETA PLATFORMS INC6.63%2,823,000$1.59BLRCXLAM RESEARCH CORP5.72%3,163,000$1.37BSESEA LTD5.02%12,559,000$1.20BAMATAPPLIED MATERIALS INC4.92%1,632,000$1.18BGEVGE VERNOVA INC3.91%798,000$937.00MMSFTMICROSOFT CORP3.53%2,267,000$845.60MCPAYCORPAY INC2.99%2,150,000$716.50MCBRSCEREBRAS SYSTEMS INC2.76%2,999,000$662.80MAVGOBROADCOM INC2.76%1,754,000$662.60MCPNGCOUPANG INC2.64%36,468,000$633.40MINTCINTEL CORP2.48%4,253,000$593.80MSPOTSPOTIFY TECHNOLOGY SA2.24%1,171,000$537.80MTTWOTAKE TWO INTERACTIVE SOFTWARE INC1.89%1,809,000$452.30MRDDTREDDIT INC1.83%2,529,000$439.00MAMDADVANCED MICRO DEVICES INC1.63%675,000$392.00MXYZBLOCK INC1.45%4,576,000$347.80MAPOAPOLLO GLOBAL MANAGEMENT INC1.34%2,723,000$322.20MSTXSEAGATE TECHNOLOGY HOLDINGS PLC1.15%285,000$275.10MVVISA INC1.14%799,000$274.00MMELIMERCADOLIBRE INC1.08%153,000$259.90MFWONALIBERTY MEDIA CORP0.9%2,279,000$216.80MNUNU HOLDINGS LTD0.61%11,033,000$147.40MWLTHWEALTHFRONT CORP0.57%15,157,000$135.50MUNHUNITEDHEALTH GROUP INC0.52%297,000$123.60MCHYMCHIME FINANCIAL INC0.45%5,284,000$108.20MEQPTEQUIPMENTSHARECOM INC0.38%4,580,000$90.00MSHWSHERWIN WILLIAMS CO0.37%257,000$88.50MDHRDANAHER CORP0.36%456,000$86.90MNOWSERVICENOW INC0.36%873,000$86.70MSPCXSPACE EXPLORATION TECHNOLOGIES CORP0.27%375,000$64.10MBULLWEBULL CORP0.18%6,724,000$43.80MREREATRENEW INC0.16%9,831,000$38.00MAPLDAPPLIED DIGITAL CORP0.14%885,000$33.00MCIFRCIPHER DIGITAL INC0.09%927,000$22.70MCORZCORE SCIENTIFIC INC0.09%817,000$20.90MUBERUBER TECHNOLOGIES INC0.05%151,000$10.90MJDJDCOM INC0.02%202,000$5.10MDASHDOORDASH INC0.02%25,000$4.70MPONYPONY AI INC0.01%310,000$2.20MARXACCELERANT HOLDINGS0%75,000$900.00KGEMIGEMINI SPACE STATION INC0%70,000$300.00KMNTNMNTN INC0%20,000$200.00K
From the fund's Q2 '26 13F filingWhat is a 13F?
Activity
Buys and sells, quarter by quarter
filing - 51 moves · 15 buy-side · 36 sell-side
CompanyChangeValue
TSMTAIWAN SEMICONDUCTOR MANUFACTURING CO LTD12%$2.33BAMZNAMAZON COM INC3%$2.31BNVDANVIDIA CORP7%$2.24BGOOGLALPHABET INC45%$2.07BMETAMETA PLATFORMS INC9%$1.59BLRCXLAM RESEARCH CORP19%$1.37BSESEA LTD19%$1.20BAMATAPPLIED MATERIALS INC2%$1.18BGEVGE VERNOVA INC18%$937.00MMSFTMICROSOFT CORP9%$845.60MCPAYCORPAY INC23%$716.50MCBRSCEREBRAS SYSTEMS INCNew$662.80MAVGOBROADCOM INC51%$662.60MCPNGCOUPANG INC5%$633.40MINTCINTEL CORP159%$593.80MSPOTSPOTIFY TECHNOLOGY SA26%$537.80MTTWOTAKE TWO INTERACTIVE SOFTWARE INC10%$452.30MRDDTREDDIT INC1%$439.00MAPPAPPLOVIN CORPSold$398.00MAMDADVANCED MICRO DEVICES INCNew$392.00MXYZBLOCK INC14%$347.80MZGZILLOW GROUP INCSold$347.30MAPOAPOLLO GLOBAL MANAGEMENT INC17%$322.20MSTXSEAGATE TECHNOLOGY HOLDINGS PLCNew$275.10MVVISA INCNew$274.00MMELIMERCADOLIBRE INC13%$259.90MNFLXNETFLIX INCSold$234.50MZSZSCALER INCSold$221.60MFWONALIBERTY MEDIA CORP15%$216.80MPCORPROCORE TECHNOLOGIES INCSold$133.40MUNHUNITEDHEALTH GROUP INC15%$123.60MCHYMCHIME FINANCIAL INC52%$108.20MLITELUMENTUM HOLDINGS INCSold$96.10MDHRDANAHER CORPNew$86.90MNOWSERVICENOW INC42%$86.70MSPCXSPACE EXPLORATION TECHNOLOGIES CORPNew$64.10MCSGPCOSTAR GROUP INCSold$60.50MAPLDAPPLIED DIGITAL CORPNew$33.00MCIFRCIPHER DIGITAL INCNew$22.70MCORZCORE SCIENTIFIC INCNew$20.90M
RVIRVISold$10.60M
PAYPPAYPAY CORPSold$8.50MFIGRFIGURE TECHNOLOGY SOLUTIONS INCSold$6.80MJDJDCOM INC41%$5.10MNTSKNETSKOPE INCSold$4.20MXNDUXANADU QUANTUM TECHNOLOGIES LTDSold$3.80MBLSHBULLISHSold$3.60METORETORO GROUP LTDSold$2.40MKLARKLARNA GROUP PLCSold$2.30MPONYPONY AI INC89%$2.20MFIGFIGMA INCSold$1.30MChanges are share-count changes vs. the prior quarter





























































