Chase Coleman

Tiger Global Management

Portfolio Value
$22845.4T
Positions
54
Quarter
2026-Q1

Portfolio Holdings

CompanyTickerSharesValue% PortfolioChange
ALPHABET INC10.6M$3057.2T0.0%
NVIDIA CORPORATION12.0M$2094.8T0.0%
AMAZON COM INC10.0M$2082.7T0.0%
TAIWAN SEMICONDUCTOR MANUFAC5.6M$1880.7T0.0%
META PLATFORMS INC3.1M$1766.1T0.0%
SEA LTD15.4M$1276.6T0.0%
BROADCOM INC3.6M$1109.5T0.0%
MICROSOFT CORP2.5M$925.4T0.0%
GE VERNOVA INC973K$849.3T0.0%
LAM RESEARCH CORP3.9M$833.4T0.0%
SPOTIFY TECHNOLOGY S A1.6M$766.5T0.0%
COUPANG INC34.6M$653.2T0.0%
APPLIED MATLS INC1.7M$566.3T0.0%
CORPAY INC1.8M$509.9T0.0%
APPLOVIN CORP1.0M$398.0T0.0%
TAKE-TWO INTERACTIVE SOFTWAR2.0M$395.0T0.0%
APOLLO GLOBAL MGMT INC3.3M$366.9T0.0%
REDDIT INC2.5M$336.6T0.0%
ZILLOW GROUP INC7.4M$304.9T0.0%
BLOCK INC4.0M$240.7T0.0%
NETFLIX INC.2.4M$234.5T0.0%
MERCADOLIBRE INC135K$233.4T0.0%
LIBERTY MEDIA CORP DEL2.7M$228.0T0.0%
ZSCALER INC1.6M$221.6T0.0%
CHIME FINL INC11.1M$207.6T0.0%
NU HLDGS LTD11.0M$158.5T0.0%
SERVICENOW INC1.5M$156.8T0.0%
WEALTHFRONT CORP15.2M$140.2T0.0%
PROCORE TECHNOLOGIES INC2.3M$133.4T0.0%
LUMENTUM HLDGS INC137K$96.1T0.0%
UNITEDHEALTH GROUP INC350K$94.8T0.0%
EQUIPMENTSHARE COM INC4.6M$93.3T0.0%
SHERWIN WILLIAMS CO257K$82.4T0.0%
INTEL CORP1.6M$72.3T0.0%
COSTAR GROUP INC1.5M$60.5T0.0%
ATRENEW INC9.8M$46.1T0.0%
ZILLOW GROUP INC1.0M$42.4T0.0%
WEBULL CORP6.7M$32.3T0.0%
PONY AI INC2.9M$27.4T0.0%
UBER TECHNOLOGIES INC151K$10.9T0.0%
ROBINHOOD VENTURES FD I400K$10.6T0.0%
JD.COM INC344K$10.2T0.0%
PAYPAY CORP400K$8.5T0.0%
FIGURE TECHNOLOGY SOLUTIO200K$6.8T0.0%
NETSKOPE INC500K$4.2T0.0%
XANADU QUANTUM TECHNOLO LTD500K$3.8T0.0%
DOORDASH INC25K$3.8T0.0%
BULLISH100K$3.6T0.0%
ETORO GROUP LTD80K$2.4T0.0%
KLARNA GROUP PLC175K$2.3T0.0%
FIGMA INC60K$1.3T0.0%
ACCELERANT HOLDINGS75K$1.0T0.0%
GEMINI SPACE STA INC70K$309.4B0.0%
MNTN INC20K$176.0B0.0%

Holdings from the latest SEC Form 13F filing. Filed quarterly — reflects positions as of quarter end, not real time. Not investment advice.