Home › 13F investors › Tiger Global Management (Chase Coleman)
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
| Issuer | Shares | Value | % of 13F | Change |
|---|---|---|---|---|
| TAIWAN SEMICONDUCTOR MANUFAC | 4,881,008 | $2.3B | 9.72% | Reduced 12% |
| AMAZON COM INC | 9,683,558 | $2.3B | 9.62% | Reduced 3% |
| NVIDIA CORPORATION | 11,198,773 | $2.2B | 9.34% | Reduced 7% |
| ALPHABET INC | 5,805,687 | $2.1B | 8.65% | Reduced 45% |
| META PLATFORMS INC | 2,823,180 | $1.6B | 6.63% | Reduced 9% |
| LAM RESEARCH CORP | 3,163,495 | $1.4B | 5.72% | Reduced 19% |
| SEA LTD | 12,559,152 | $1.2B | 5.02% | Reduced 19% |
| APPLIED MATLS INC | 1,632,210 | $1.2B | 4.92% | Reduced 1% |
| GE VERNOVA INC | 797,511 | $937.0M | 3.91% | Reduced 18% |
| MICROSOFT CORP | 2,266,913 | $845.6M | 3.53% | Reduced 9% |
| CORPAY INC | 2,149,877 | $716.5M | 2.99% | Added 23% |
| CEREBRAS SYSTEMS INC | 2,999,000 | $662.8M | 2.76% | New position |
| BROADCOM INC | 1,754,062 | $662.6M | 2.76% | Reduced 51% |
| COUPANG INC | 36,467,972 | $633.4M | 2.64% | Added 5% |
| INTEL CORP | 4,252,690 | $593.8M | 2.48% | Added 160% |
| SPOTIFY TECHNOLOGY S A | 1,171,427 | $537.8M | 2.24% | Reduced 26% |
| TAKE-TWO INTERACTIVE SOFTWAR | 1,809,348 | $452.3M | 1.89% | Reduced 10% |
| REDDIT INC | 2,528,819 | $439.0M | 1.83% | Added 1% |
| ADVANCED MICRO DEVICES INC | 674,727 | $392.0M | 1.63% | New position |
| BLOCK INC | 4,576,007 | $347.8M | 1.45% | Added 14% |
| APOLLO GLOBAL MGMT INC | 2,723,110 | $322.2M | 1.34% | Reduced 17% |
| SEAGATE TECHNOLOGY HLDNGS PL | 285,100 | $275.1M | 1.15% | New position |
| VISA INC | 798,697 | $274.0M | 1.14% | New position |
| MERCADOLIBRE INC | 153,126 | $259.9M | 1.08% | Added 13% |
| LIBERTY MEDIA CORP DEL | 2,278,555 | $216.8M | 0.9% | Reduced 15% |
| NU HLDGS LTD | 11,032,555 | $147.4M | 0.61% | No change |
| WEALTHFRONT CORP | 15,156,877 | $135.5M | 0.57% | No change |
| UNITEDHEALTH GROUP INC | 297,452 | $123.6M | 0.52% | Reduced 15% |
| CHIME FINL INC | 5,284,045 | $108.2M | 0.45% | Reduced 52% |
| EQUIPMENTSHARE COM INC | 4,579,646 | $90.0M | 0.38% | No change |
| SHERWIN WILLIAMS CO | 257,083 | $88.5M | 0.37% | No change |
| DANAHER CORP DEL | 456,000 | $86.9M | 0.36% | New position |
| SERVICENOW INC | 873,485 | $86.7M | 0.36% | Reduced 42% |
| SPACE EXPLORATION TECHN CORP | 375,000 | $64.1M | 0.27% | New position |
| WEBULL CORP | 6,724,137 | $43.8M | 0.18% | No change |
| ATRENEW INC | 9,831,218 | $38.0M | 0.16% | No change |
| APPLIED DIGITAL CORP | 885,000 | $33.0M | 0.14% | New position |
| CIPHER DIGITAL INC | 927,000 | $22.7M | 0.09% | New position |
| CORE SCIENTIFIC INC NEW | 817,000 | $20.9M | 0.09% | New position |
| UBER TECHNOLOGIES INC | 151,178 | $10.9M | 0.05% | No change |
| JD.COM INC | 201,500 | $5.1M | 0.02% | Reduced 41% |
| DOORDASH INC | 25,337 | $4.7M | 0.02% | No change |
| PONY AI INC | 310,287 | $2.2M | 0.01% | Reduced 89% |
| ACCELERANT HOLDINGS | 75,000 | $879.0K | 0.0% | No change |
| GEMINI SPACE STA INC | 70,000 | $298.2K | 0.0% | No change |
| MNTN INC | 20,000 | $184.0K | 0.0% | No change |
Sold out since prior quarter
| Issuer | Shares in prior quarter | Prior value |
|---|---|---|
| APPLOVIN CORP | 1,000,000 | $398.0M |
| BULLISH | 100,000 | $3.6M |
| COSTAR GROUP INC | 1,500,000 | $60.5M |
| ETORO GROUP LTD | 80,000 | $2.4M |
| FIGMA INC | 60,000 | $1.3M |
| FIGURE TECHNOLOGY SOLUTIO | 200,000 | $6.8M |
| KLARNA GROUP PLC | 175,000 | $2.3M |
| LUMENTUM HLDGS INC | 136,800 | $96.1M |
| NETFLIX INC. | 2,439,000 | $234.5M |
| NETSKOPE INC | 500,000 | $4.2M |
| PAYPAY CORP | 400,000 | $8.5M |
| PROCORE TECHNOLOGIES INC | 2,339,500 | $133.4M |
| ROBINHOOD VENTURES FD I | 400,000 | $10.6M |
| XANADU QUANTUM TECHNOLO LTD | 500,000 | $3.8M |
| ZILLOW GROUP INC | 7,368,957 | $304.9M |
| ZILLOW GROUP INC | 1,023,733 | $42.4M |
| ZSCALER INC | 1,579,766 | $221.6M |