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Tiger Global Management (Chase Coleman) 13F holdings — 2026-06-30

Filed by TIGER GLOBAL MANAGEMENT LLC on 2026-08-14 for the quarter ending 2026-06-30, compared with the quarter ending 2026-03-31. Original filing.

46positions
$24.0Breported value
9new positions
17positions sold out

Holdings

IssuerClassSharesValue% of 13FChange
TAIWAN SEMICONDUCTOR MANUFACSPONSORED ADS4,881,008$2.3B9.72%Reduced 12%
AMAZON COM INCCOM9,683,558$2.3B9.62%Reduced 3%
NVIDIA CORPORATIONCOM11,198,773$2.2B9.34%Reduced 7%
ALPHABET INCCAP STK CL A5,805,687$2.1B8.65%Reduced 45%
META PLATFORMS INCCL A2,823,180$1.6B6.63%Reduced 9%
LAM RESEARCH CORPCOM NEW3,163,495$1.4B5.72%Reduced 19%
SEA LTDSPONSORD ADS12,559,152$1.2B5.02%Reduced 19%
APPLIED MATLS INCCOM1,632,210$1.2B4.92%Reduced 1%
GE VERNOVA INCCOM797,511$937.0M3.91%Reduced 18%
MICROSOFT CORPCOM2,266,913$845.6M3.53%Reduced 9%
CORPAY INCCOM SHS2,149,877$716.5M2.99%Added 23%
CEREBRAS SYSTEMS INCCOM CL A2,999,000$662.8M2.76%New position
BROADCOM INCCOM1,754,062$662.6M2.76%Reduced 51%
COUPANG INCCL A36,467,972$633.4M2.64%Added 5%
INTEL CORPCOM4,252,690$593.8M2.48%Added 160%
SPOTIFY TECHNOLOGY S ASHS1,171,427$537.8M2.24%Reduced 26%
TAKE-TWO INTERACTIVE SOFTWARCOM1,809,348$452.3M1.89%Reduced 10%
REDDIT INCCL A2,528,819$439.0M1.83%Added 1%
ADVANCED MICRO DEVICES INCCOM674,727$392.0M1.63%New position
BLOCK INCCL A4,576,007$347.8M1.45%Added 14%
APOLLO GLOBAL MGMT INCCOM2,723,110$322.2M1.34%Reduced 17%
SEAGATE TECHNOLOGY HLDNGS PLORD SHS285,100$275.1M1.15%New position
VISA INCCOM CL A798,697$274.0M1.14%New position
MERCADOLIBRE INCCOM153,126$259.9M1.08%Added 13%
LIBERTY MEDIA CORP DELCOM LBTY ONE S C2,278,555$216.8M0.9%Reduced 15%
NU HLDGS LTDORD SHS CL A11,032,555$147.4M0.61%No change
WEALTHFRONT CORPCOM15,156,877$135.5M0.57%No change
UNITEDHEALTH GROUP INCCOM297,452$123.6M0.52%Reduced 15%
CHIME FINL INCCOM SHS CL A5,284,045$108.2M0.45%Reduced 52%
EQUIPMENTSHARE COM INCCOM CL A4,579,646$90.0M0.38%No change
SHERWIN WILLIAMS COCOM257,083$88.5M0.37%No change
DANAHER CORP DELCOM456,000$86.9M0.36%New position
SERVICENOW INCCOM873,485$86.7M0.36%Reduced 42%
SPACE EXPLORATION TECHN CORPCLASS A COM STK375,000$64.1M0.27%New position
WEBULL CORPORD SHS6,724,137$43.8M0.18%No change
ATRENEW INCSPONSORED ADS9,831,218$38.0M0.16%No change
APPLIED DIGITAL CORPCOM NEW885,000$33.0M0.14%New position
CIPHER DIGITAL INCCOM927,000$22.7M0.09%New position
CORE SCIENTIFIC INC NEWCOM817,000$20.9M0.09%New position
UBER TECHNOLOGIES INCCOM151,178$10.9M0.05%No change
JD.COM INCSPON ADS CL A201,500$5.1M0.02%Reduced 41%
DOORDASH INCCL A25,337$4.7M0.02%No change
PONY AI INCSPONSORED ADS310,287$2.2M0.01%Reduced 89%
ACCELERANT HOLDINGSCL A75,000$879.0K0.0%No change
GEMINI SPACE STA INCCL A COM70,000$298.2K0.0%No change
MNTN INCCL A20,000$184.0K0.0%No change

Sold out since prior quarter

IssuerShares in prior quarterPrior value
APPLOVIN CORP1,000,000$398.0M
BULLISH100,000$3.6M
COSTAR GROUP INC1,500,000$60.5M
ETORO GROUP LTD80,000$2.4M
FIGMA INC60,000$1.3M
FIGURE TECHNOLOGY SOLUTIO200,000$6.8M
KLARNA GROUP PLC175,000$2.3M
LUMENTUM HLDGS INC136,800$96.1M
NETFLIX INC.2,439,000$234.5M
NETSKOPE INC500,000$4.2M
PAYPAY CORP400,000$8.5M
PROCORE TECHNOLOGIES INC2,339,500$133.4M
ROBINHOOD VENTURES FD I400,000$10.6M
XANADU QUANTUM TECHNOLO LTD500,000$3.8M
ZILLOW GROUP INC7,368,957$304.9M
ZILLOW GROUP INC1,023,733$42.4M
ZSCALER INC1,579,766$221.6M

Options (puts/calls) are omitted. Values are as reported by the filer at quarter end. A 13F shows only certain U.S.-listed long positions and may be filed up to 45 days after the quarter ends, so it may not reflect current holdings.