Chase Coleman - Tiger Global
Tiger Global Management · SEC Form 13F portfolio
- Period
- 2026-06-30
- Portfolio value
- $23.98B
- Holdings
- 46
- Top 10
- 67.1%
Latest reported holdings
| Holding | % of Portfolio | Value | Shares | Change |
|---|---|---|---|---|
TAIWAN SEMICONDUCTOR MANUFAC · SPONSORED ADS | 9.72% | $2.33B | 4.88M | −12.29% |
AMAZON COM INC · COM | 9.62% | $2.31B | 9.68M | −3.16% |
NVIDIA CORPORATION · COM | 9.34% | $2.24B | 11.20M | −6.77% |
ALPHABET INC · CAP STK CL A | 8.65% | $2.07B | 5.81M | −45.39% |
META PLATFORMS INC · CL A | 6.63% | $1.59B | 2.82M | −8.54% |
LAM RESEARCH CORP · COM NEW | 5.72% | $1.37B | 3.16M | −18.89% |
SEA LTD · SPONSORD ADS | 5.02% | $1.20B | 12.56M | −18.53% |
APPLIED MATLS INC · COM | 4.92% | $1.18B | 1.63M | −1.49% |
GE VERNOVA INC · COM | 3.91% | $936.96M | 797.51K | −18.04% |
MICROSOFT CORP · COM | 3.53% | $845.60M | 2.27M | −9.32% |
CORPAY INC · COM SHS | 2.99% | $716.49M | 2.15M | +22.70% |
CEREBRAS SYSTEMS INC · COM CL A | 2.76% | $662.78M | 3.00M | New |
BROADCOM INC · COM | 2.76% | $662.60M | 1.75M | −51.07% |
COUPANG INC · CL A | 2.64% | $633.45M | 36.47M | +5.41% |
INTEL CORP · COM | 2.48% | $593.80M | 4.25M | +159.52% |
SPOTIFY TECHNOLOGY S A · SHS | 2.24% | $537.84M | 1.17M | −25.89% |
TAKE-TWO INTERACTIVE SOFTWAR · COM | 1.89% | $452.30M | 1.81M | −9.53% |
REDDIT INC · CL A | 1.83% | $438.95M | 2.53M | +1.15% |
ADVANCED MICRO DEVICES INC · COM | 1.63% | $391.96M | 674.73K | New |
BLOCK INC · CL A | 1.45% | $347.78M | 4.58M | +14.40% |
APOLLO GLOBAL MGMT INC · COM | 1.34% | $322.17M | 2.72M | −17.31% |
SEAGATE TECHNOLOGY HLDNGS PL · ORD SHS | 1.15% | $275.12M | 285.10K | New |
VISA INC · COM CL A | 1.14% | $274.02M | 798.70K | New |
MERCADOLIBRE INC · COM | 1.08% | $259.91M | 153.13K | +13.42% |
LIBERTY MEDIA CORP DEL · COM LBTY ONE S C | 0.90% | $216.78M | 2.28M | −15.04% |
NU HLDGS LTD · ORD SHS CL A | 0.61% | $147.39M | 11.03M | Unchanged |
WEALTHFRONT CORP · COM | 0.57% | $135.50M | 15.16M | Unchanged |
UNITEDHEALTH GROUP INC · COM | 0.52% | $123.63M | 297.45K | −15.12% |
CHIME FINL INC · COM SHS CL A | 0.45% | $108.22M | 5.28M | −52.32% |
EQUIPMENTSHARE COM INC · COM CL A | 0.38% | $90.04M | 4.58M | Unchanged |
SHERWIN WILLIAMS CO · COM | 0.37% | $88.52M | 257.08K | Unchanged |
DANAHER CORP DEL · COM | 0.36% | $86.86M | 456.00K | New |
SERVICENOW INC · COM | 0.36% | $86.72M | 873.49K | −41.77% |
SPACE EXPLORATION TECHN CORP · CLASS A COM STK | 0.27% | $64.07M | 375.00K | New |
WEBULL CORP · ORD SHS | 0.18% | $43.84M | 6.72M | Unchanged |
ATRENEW INC · SPONSORED ADS | 0.16% | $38.05M | 9.83M | Unchanged |
APPLIED DIGITAL CORP · COM NEW | 0.14% | $33.01M | 885.00K | New |
CIPHER DIGITAL INC · COM | 0.09% | $22.71M | 927.00K | New |
CORE SCIENTIFIC INC NEW · COM | 0.09% | $20.91M | 817.00K | New |
UBER TECHNOLOGIES INC · COM | 0.05% | $10.91M | 151.18K | Unchanged |
JD.COM INC · SPON ADS CL A | 0.02% | $5.13M | 201.50K | −41.48% |
DOORDASH INC · CL A | 0.02% | $4.68M | 25.34K | Unchanged |
PONY AI INC · SPONSORED ADS | 0.01% | $2.16M | 310.29K | −89.30% |
ACCELERANT HOLDINGS · CL A | 0.00% | $879.00K | 75.00K | Unchanged |
GEMINI SPACE STA INC · CL A COM | 0.00% | $298.20K | 70.00K | Unchanged |
MNTN INC · CL A | 0.00% | $184.00K | 20.00K | Unchanged |