Tiger Global Management, LLC
Fund · 13F holdings

Tiger Global Management, LLC

Chase Coleman · New York, NY · Founded 2001

Tiger Global Management is a New York technology-focused firm founded in 2001 by Chase Coleman, a protege of Julian Robertson and one of the best-known "Tiger cubs." It runs a crossover strategy — a public long/short equity book alongside one of the largest venture portfolios in technology — concentrated in internet, software and consumer-internet businesses worldwide.

The firm was an aggressive private-market investor during the 2020-21 boom and repriced through the subsequent drawdown. The 13F reflects the US-listed equity portion of the book.

How to read these tables. A Form 13F reports each holding's market value as of the quarter-end date and the share count — not the price the fund paid, when it bought, or any short positions. Buys and sells are inferred by comparing share counts across quarters. Put/call lines are options (often hedges), and their value is notional rather than a straight equity stake. Figures are the fund's US-listed 13(f) holdings only; private positions appear when the manager reports them.
Background

History

2001
Tiger Global founded

Chase Coleman launches the firm with backing from Julian Robertson's Tiger Management.

2020-21
Venture blitz

Tiger becomes the most active investor in tech startups globally before the 2022 downturn forces a reset.

2020s
Public-book concentration

The listed portfolio stays concentrated in mega-cap internet and software names.

Latest filing

Q2 2026 holdings

Period end
2026-06-30
Filed
2026-08-14
Portfolio value
$23.98B
Positions
46
We track
15
# Company Class Value Shares % Port. vs prior
1 Taiwan Semiconductor Manufac SPONSORED ADS $2.33B 4.9M 9.7% TRIM
2 AMZNAmazon.com, Inc. COM $2.31B 9.7M 9.6% TRIM
3 NVDANVIDIA Corporation COM $2.24B 11.2M 9.3% TRIM
4 GOOGLAlphabet Inc. CAP STK CL A $2.07B 5.8M 8.7% TRIM
5 METAMeta Platforms, Inc. CL A $1.59B 2.8M 6.6% TRIM
6 Lam Research Corp COM NEW $1.37B 3.2M 5.7% TRIM
7 Sea Ltd SPONSORD ADS $1.20B 12.6M 5.0% TRIM
8 Applied Matls Inc COM $1.18B 1.6M 4.9% TRIM
9 Ge Vernova Inc COM $937.0M 798K 3.9% TRIM
10 MSFTMicrosoft Corporation COM $845.6M 2.3M 3.5% TRIM
11 Corpay Inc COM SHS $716.5M 2.1M 3.0% ADD
12 Cerebras Systems Inc COM CL A $662.8M 3.0M 2.8% NEW
13 AVGOBroadcom Inc. COM $662.6M 1.8M 2.8% TRIM
14 Coupang Inc CL A $633.4M 36.5M 2.6% ADD
15 INTCIntel Corporation COM $593.8M 4.3M 2.5% ADD
16 Spotify Technology S A SHS $537.8M 1.2M 2.2% TRIM
17 Take-two Interactive Softwar COM $452.3M 1.8M 1.9% TRIM
18 Reddit Inc CL A $439.0M 2.5M 1.8% ADD
19 AMDAdvanced Micro Devices, Inc. COM $392.0M 675K 1.6% NEW
20 XYZBlock, Inc. CL A $347.8M 4.6M 1.5% ADD
21 Apollo Global Mgmt Inc COM $322.2M 2.7M 1.3% TRIM
22 Seagate Technology Hldngs Pl ORD SHS $275.1M 285K 1.1% NEW
23 VVisa Inc. COM CL A $274.0M 799K 1.1% NEW
24 Mercadolibre Inc COM $259.9M 153K 1.1% ADD
25 Liberty Media Corp Del COM LBTY ONE S C $216.8M 2.3M 0.9% TRIM
26 Nu Hldgs Ltd ORD SHS CL A $147.4M 11.0M 0.6% HOLD
27 Wealthfront Corp COM $135.5M 15.2M 0.6% HOLD
28 UNHUnitedHealth Group Incorporated COM $123.6M 297K 0.5% TRIM
29 Chime Finl Inc COM SHS CL A $108.2M 5.3M 0.5% TRIM
30 Equipmentshare Com Inc COM CL A $90.0M 4.6M 0.4% HOLD
31 Sherwin Williams Co COM $88.5M 257K 0.4% HOLD
32 Danaher Corp Del COM $86.9M 456K 0.4% NEW
33 NOWServiceNow, Inc. COM $86.7M 873K 0.4% TRIM
34 SPCXSpaceX CLASS A COM STK $64.1M 375K 0.3% NEW
35 Webull Corp ORD SHS $43.8M 6.7M 0.2% HOLD
36 Atrenew Inc SPONSORED ADS $38.0M 9.8M 0.2% HOLD
37 Applied Digital Corp COM NEW $33.0M 885K 0.1% NEW
38 Cipher Digital Inc COM $22.7M 927K 0.1% NEW
39 Core Scientific Inc New COM $20.9M 817K 0.1% NEW
40 UBERUber Technologies, Inc. COM $10.9M 151K 0.0% HOLD
41 JD.COM Inc SPON ADS CL A $5.1M 202K 0.0% TRIM
42 DASHDoorDash, Inc. CL A $4.7M 25K 0.0% HOLD
43 Pony Ai Inc SPONSORED ADS $2.2M 310K 0.0% TRIM
44 Accelerant Holdings CL A $879K 75K 0.0% HOLD
45 Gemini Space Sta Inc CL A COM $298K 70K 0.0% HOLD
46 Mntn Inc CL A $184K 20K 0.0% HOLD
Movement

Notable Q2 2026 moves

New positions

Exited

  • Applovin Corp was $398.0M
  • Zillow Group Inc was $304.9M
  • NFLX Netflix, Inc. was $234.5M
  • Zscaler Inc was $221.6M
  • Procore Technologies Inc was $133.4M
  • Lumentum Hldgs Inc was $96.1M
  • Costar Group Inc was $60.5M
  • Zillow Group Inc was $42.4M
  • Robinhood Ventures Fd I was $10.6M
  • Paypay Corp was $8.5M
  • Figure Technology Solutio was $6.8M
  • Netskope Inc was $4.2M
  • Xanadu Quantum Technolo Ltd was $3.8M
  • Bullish was $3.6M
  • Etoro Group Ltd was $2.4M
  • Klarna Group Plc was $2.3M
  • Figma Inc was $1.3M
Stocks we cover

Position history in tracked names

Quarter-end value of each holding that has a page on R40, most recent first.

Stock Q2 2026 Q1 2026Q4 2025Q3 2025
AMZNAmazon Com Inc $2.31B$2.08B$2.31B$2.42B
NVDANvidia Corporation $2.24B$2.09B$2.05B$2.18B
GOOGLAlphabet Inc $2.07B$3.06B$3.33B$2.58B
METAMeta Platforms Inc $1.59B$1.77B$1.82B$2.07B
MSFTMicrosoft Corp $845.6M$925.4M$2.65B$3.39B
AVGOBroadcom Inc $662.6M$1.11B$995.3M$953.3M
INTCIntel Corp $593.8M$72.3M
AMDAdvanced Micro Devices Inc $392.0M
XYZBlock Inc $347.8M$240.7M$414.3M$319.7M
VVisa Inc $274.0M
UNHUnitedhealth Group Inc $123.6M$94.8M$138.7M$151.5M
NOWServicenow Inc $86.7M$156.8M$325.8M$276.1M
SPCXSpace Exploration Techn Corp $64.1M
UBERUber Technologies Inc $10.9M$10.9M$12.4M$14.8M
DASHDoordash Inc $4.7M$3.8M$5.7M$6.9M
Archive

Earlier filings

Q1 2026 · 54 positions · $22.85B · filed 2026-05-15
# Company Class Value Shares % Port. vs prior
1 GOOGLAlphabet Inc. CAP STK CL A $3.06B 10.6M 13.4% HOLD
2 NVDANVIDIA Corporation COM $2.09B 12.0M 9.2% ADD
3 AMZNAmazon.com, Inc. COM $2.08B 10.0M 9.1% TRIM
4 Taiwan Semiconductor Manufac SPONSORED ADS $1.88B 5.6M 8.2% ADD
5 METAMeta Platforms, Inc. CL A $1.77B 3.1M 7.7% ADD
6 Sea Ltd SPONSORD ADS $1.28B 15.4M 5.6% HOLD
7 AVGOBroadcom Inc. COM $1.11B 3.6M 4.9% ADD
8 MSFTMicrosoft Corporation COM $925.4M 2.5M 4.1% TRIM
9 Ge Vernova Inc COM $849.3M 973K 3.7% HOLD
10 Lam Research Corp COM NEW $833.4M 3.9M 3.6% HOLD
11 Spotify Technology S A SHS $766.5M 1.6M 3.4% ADD
12 Coupang Inc CL A $653.2M 34.6M 2.9% ADD
13 Applied Matls Inc COM $566.3M 1.7M 2.5% ADD
14 Corpay Inc COM SHS $509.9M 1.8M 2.2% HOLD
15 Applovin Corp COM CL A $398.0M 1.0M 1.7% TRIM
16 Take-two Interactive Softwar COM $395.0M 2.0M 1.7% TRIM
17 Apollo Global Mgmt Inc COM $366.9M 3.3M 1.6% TRIM
18 Reddit Inc CL A $336.6M 2.5M 1.5% TRIM
19 Zillow Group Inc CL C CAP STK $304.9M 7.4M 1.3% ADD
20 XYZBlock, Inc. CL A $240.7M 4.0M 1.1% TRIM
21 NFLXNetflix, Inc. COM $234.5M 2.4M 1.0% HOLD
22 Mercadolibre Inc COM $233.4M 135K 1.0% NEW
23 Liberty Media Corp Del COM LBTY ONE S C $228.0M 2.7M 1.0% HOLD
24 Zscaler Inc COM $221.6M 1.6M 1.0% HOLD
25 Chime Finl Inc COM SHS CL A $207.6M 11.1M 0.9% TRIM
26 Nu Hldgs Ltd ORD SHS CL A $158.5M 11.0M 0.7% HOLD
27 NOWServiceNow, Inc. COM $156.8M 1.5M 0.7% TRIM
28 Wealthfront Corp COM $140.2M 15.2M 0.6% HOLD
29 Procore Technologies Inc COM $133.4M 2.3M 0.6% HOLD
30 Lumentum Hldgs Inc COM $96.1M 137K 0.4% NEW
31 UNHUnitedHealth Group Incorporated COM $94.8M 350K 0.4% TRIM
32 Equipmentshare Com Inc COM CL A $93.3M 4.6M 0.4% NEW
33 Sherwin Williams Co COM $82.4M 257K 0.4% HOLD
34 INTCIntel Corporation COM $72.3M 1.6M 0.3% NEW
35 Costar Group Inc COM $60.5M 1.5M 0.3% TRIM
36 Atrenew Inc SPONSORED ADS $46.1M 9.8M 0.2% HOLD
37 Zillow Group Inc CL A $42.4M 1.0M 0.2% HOLD
38 Webull Corp ORD SHS $32.3M 6.7M 0.1% HOLD
39 Pony Ai Inc SPONSORED ADS $27.4M 2.9M 0.1% HOLD
40 UBERUber Technologies, Inc. COM $10.9M 151K 0.0% HOLD
41 Robinhood Ventures Fd I COM SHS $10.6M 400K 0.0% NEW
42 JD.COM Inc SPON ADS CL A $10.2M 344K 0.0% HOLD
43 Paypay Corp SPONSORED ADS $8.5M 400K 0.0% NEW
44 Figure Technology Solutio COM CL A $6.8M 200K 0.0% HOLD
45 Netskope Inc CL A $4.2M 500K 0.0% HOLD
46 Xanadu Quantum Technolo Ltd SUB VTG B $3.8M 500K 0.0% NEW
47 DASHDoorDash, Inc. CL A $3.8M 25K 0.0% HOLD
48 Bullish ORD SHS $3.6M 100K 0.0% HOLD
49 Etoro Group Ltd SHS CL A $2.4M 80K 0.0% HOLD
50 Klarna Group Plc SHS $2.3M 175K 0.0% HOLD
51 Figma Inc CLASS A COM STK $1.3M 60K 0.0% HOLD
52 Accelerant Holdings CL A $1.0M 75K 0.0% HOLD
53 Gemini Space Sta Inc CL A COM $309K 70K 0.0% HOLD
54 Mntn Inc CL A $176K 20K 0.0% HOLD
Q4 2025 · 54 positions · $29.71B · filed 2026-02-17
# Company Class Value Shares % Port. vs prior
1 GOOGLAlphabet Inc. CAP STK CL A $3.33B 10.6M 11.2% HOLD
2 MSFTMicrosoft Corporation COM $2.65B 5.5M 8.9% TRIM
3 AMZNAmazon.com, Inc. COM $2.31B 10.0M 7.8% TRIM
4 NVDANVIDIA Corporation COM $2.05B 11.0M 6.9% TRIM
5 Sea Ltd SPONSORD ADS $1.97B 15.4M 6.6% TRIM
6 METAMeta Platforms, Inc. CL A $1.82B 2.8M 6.1% TRIM
7 Take-two Interactive Softwar COM $1.50B 5.8M 5.0% HOLD
8 Taiwan Semiconductor Mfg Ltd SPONSORED ADS $1.13B 3.7M 3.8% TRIM
9 AVGOBroadcom Inc. COM $995.3M 2.9M 3.3% TRIM
10 Apollo Global Mgmt Inc COM $898.9M 6.2M 3.0% HOLD
11 Reddit Inc CL A $883.6M 3.8M 3.0% TRIM
12 Applovin Corp COM CL A $871.2M 1.3M 2.9% TRIM
13 Flutter Entmt Plc SHS $860.9M 4.0M 2.9% ADD
14 Spotify Technology S A SHS $732.5M 1.3M 2.5% HOLD
15 Lam Research Corp COM NEW $667.7M 3.9M 2.2% TRIM
16 Ge Vernova Inc COM $635.9M 973K 2.1% TRIM
17 Coupang Inc CL A $619.6M 26.3M 2.1% ADD
18 Veeva Sys Inc CL A COM $540.3M 2.4M 1.8% HOLD
19 Corpay Inc COM SHS $527.3M 1.8M 1.8% TRIM
20 GRABGrab Holdings Limited CLASS A ORD $463.7M 92.9M 1.6% HOLD
21 XYZBlock, Inc. CL A $414.3M 6.4M 1.4% ADD
22 Zillow Group Inc CL C CAP STK $413.2M 6.1M 1.4% ADD
23 Chime Finl Inc COM SHS CL A $357.2M 14.2M 1.2% ADD
24 Zscaler Inc COM $355.3M 1.6M 1.2% TRIM
25 NOWServiceNow, Inc. COM $325.8M 2.1M 1.1% ADD
26 Liberty Media Corp Del COM LBTY ONE S C $264.2M 2.7M 0.9% HOLD
27 Applied Matls Inc COM $230.1M 895K 0.8% HOLD
28 NFLXNetflix, Inc. COM $228.7M 2.4M 0.8% ADD
29 Workday Inc CL A $214.8M 1.0M 0.7% HOLD
30 Wealthfront Corp COM $206.0M 15.2M 0.7% NEW
31 Nu Hldgs Ltd ORD SHS CL A $184.7M 11.0M 0.6% HOLD
32 Procore Technologies Inc COM $170.2M 2.3M 0.6% HOLD
33 Costar Group Inc COM $151.9M 2.3M 0.5% TRIM
34 UNHUnitedHealth Group Incorporated COM $138.7M 420K 0.5% TRIM
35 Elastic N V ORD SHS $127.5M 1.7M 0.4% HOLD
36 Hinge Health Inc CL A $83.9M 1.8M 0.3% ADD
37 Sherwin Williams Co COM $83.3M 257K 0.3% TRIM
38 Zillow Group Inc CL A $69.8M 1.0M 0.2% ADD
39 Webull Corp ORD SHS $52.2M 6.7M 0.2% TRIM
40 Atrenew Inc SPONSORED ADS $52.1M 9.8M 0.2% HOLD
41 Pony Ai Inc SPONSORED ADS $42.0M 2.9M 0.1% ADD
42 Circle Internet Group Inc COM CL A $39.6M 500K 0.1% ADD
43 UBERUber Technologies, Inc. COM $12.4M 151K 0.0% HOLD
44 JD.COM Inc SPON ADS CL A $9.9M 344K 0.0% HOLD
45 Netskope Inc CL A $8.8M 500K 0.0% HOLD
46 Figure Technology Solutio COM CL A $8.2M 200K 0.0% HOLD
47 DASHDoorDash, Inc. CL A $5.7M 25K 0.0% HOLD
48 Klarna Group Plc SHS $5.1M 175K 0.0% HOLD
49 Bullish ORD SHS $3.8M 100K 0.0% HOLD
50 Etoro Group Ltd SHS CL A $2.8M 80K 0.0% HOLD
51 Figma Inc CLASS A COM STK $2.2M 60K 0.0% HOLD
52 Accelerant Holdings CL A $1.2M 75K 0.0% HOLD
53 Gemini Space Sta Inc CL A COM $694K 70K 0.0% HOLD
54 Mntn Inc CL A $239K 20K 0.0% HOLD
Q3 2025 · 56 positions · $32.36B · filed 2025-11-14
# Company Class Value Shares % Port. vs prior
1 MSFTMicrosoft Corporation COM $3.39B 6.6M 10.5%
2 Sea Ltd SPONSORD ADS $2.87B 16.0M 8.9%
3 GOOGLAlphabet Inc. CAP STK CL A $2.58B 10.6M 8.0%
4 AMZNAmazon.com, Inc. COM $2.42B 11.0M 7.5%
5 NVDANVIDIA Corporation COM $2.18B 11.7M 6.8%
6 METAMeta Platforms, Inc. CL A $2.07B 2.8M 6.4%
7 Take-two Interactive Softwar COM $1.51B 5.8M 4.7%
8 Applovin Corp COM CL A $1.44B 2.0M 4.4%
9 Taiwan Semiconductor Mfg Ltd SPONSORED ADS $1.28B 4.6M 4.0%
10 Reddit Inc CL A $1.07B 4.7M 3.3%
11 AVGOBroadcom Inc. COM $953.3M 2.9M 2.9%
12 Flutter Entmt Plc SHS $929.2M 3.7M 2.9%
13 Spotify Technology S A SHS $880.5M 1.3M 2.7%
14 Apollo Global Mgmt Inc COM $827.5M 6.2M 2.6%
15 Veeva Sys Inc CL A COM $721.1M 2.4M 2.2%
16 Ge Vernova Inc COM $710.0M 1.2M 2.2%
17 Lam Research Corp COM NEW $704.4M 5.3M 2.2%
18 GRABGrab Holdings Limited CLASS A ORD $559.4M 92.9M 1.7%
19 Corpay Inc COM SHS $510.2M 1.8M 1.6%
20 Coupang Inc CL A $510.0M 15.8M 1.6%
21 Zscaler Inc COM $504.4M 1.7M 1.6%
22 Zillow Group Inc CL C CAP STK $388.7M 5.0M 1.2%
23 XYZBlock, Inc. CL A $319.7M 4.4M 1.0%
24 Liberty Media Corp Del COM LBTY ONE S C $280.1M 2.7M 0.9%
25 NOWServiceNow, Inc. COM $276.1M 300K 0.9%
26 Costar Group Inc COM $273.8M 3.2M 0.8%
27 Chime Finl Inc COM SHS CL A $251.5M 12.5M 0.8%
28 NFLXNetflix, Inc. COM $242.1M 202K 0.7%
29 Workday Inc CL A $240.7M 1.0M 0.7%
30 Applied Matls Inc COM $183.3M 895K 0.6%
31 Nu Hldgs Ltd ORD SHS CL A $176.6M 11.0M 0.5%
32 Webull Corp ORD SHS $173.4M 11.7M 0.5%
33 Procore Technologies Inc COM $170.6M 2.3M 0.5%
34 UNHUnitedHealth Group Incorporated COM $151.5M 439K 0.5%
35 Elastic N V ORD SHS $142.8M 1.7M 0.4%
36 Sherwin Williams Co COM $114.0M 329K 0.4%
37 Mongodb Inc CL A $105.8M 341K 0.3%
38 Zillow Group Inc CL A $58.3M 783K 0.2%
39 Atrenew Inc SPONSORED ADS $45.2M 9.8M 0.1%
40 Hinge Health Inc CL A $27.1M 552K 0.1%
41 Circle Internet Group Inc COM CL A $16.6M 125K 0.1%
42 UBERUber Technologies, Inc. COM $14.8M 151K 0.0%
43 JD.COM Inc SPON ADS CL A $12.0M 344K 0.0%
44 Netskope Inc CL A $11.4M 500K 0.0%
45 Pony Ai Inc SPONSORED ADS $8.3M 370K 0.0%
46 Figure Technology Solutio COM CL A $7.3M 200K 0.0%
47 DASHDoorDash, Inc. CL A $6.9M 25K 0.0%
48 Klarna Group Plc SHS $6.4M 175K 0.0%
49 Bullish ORD SHS $6.4M 100K 0.0%
50 Etoro Group Ltd SHS CL A $3.3M 80K 0.0%
51 Figma Inc CLASS A COM STK $3.1M 60K 0.0%
52 Triumph Financial Inc COM $2.2M 44K 0.0%
53 Gemini Space Sta Inc CL A COM $1.7M 70K 0.0%
54 Accelerant Holdings CL A $1.1M 75K 0.0%
55 Via Transn Inc COM CL A $721K 15K 0.0%
56 Mntn Inc CL A $371K 20K 0.0%