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sec filings

Tiger Global

Chase Coleman · period Tue 30 Jun 2026 · filed Fri 14 Aug 2026 · $23.98B

View filing (opens in a new window)

StockChangeValueShares
TSM

TAIWAN SEMICONDUCTOR MANUFAC

9.7%Trimmed -12%$2.33B4,881,008
AMZN

AMAZON COM INC

9.6%Trimmed -3%$2.31B9,683,558
NVDA

NVIDIA CORPORATION

9.3%Trimmed -7%$2.24B11,198,773
GOOGL

ALPHABET INC

8.7%Trimmed -45%$2.07B5,805,687
META

META PLATFORMS INC

6.6%Trimmed -9%$1.59B2,823,180
LRCX

LAM RESEARCH CORP

5.7%Trimmed -19%$1.37B3,163,495
SE

SEA LTD

5.0%Trimmed -19%$1.20B12,559,152
AMAT

APPLIED MATLS INC

4.9%Trimmed -1%$1.18B1,632,210
GEV

GE VERNOVA INC

3.9%Trimmed -18%$936.96M797,511
MSFT

MICROSOFT CORP

3.5%Trimmed -9%$845.60M2,266,913
CPAY

CORPAY INC

3.0%Added +23%$716.49M2,149,877
CBRS

CEREBRAS SYSTEMS INC

2.8%New$662.78M2,999,000
AVGO

BROADCOM INC

2.8%Trimmed -51%$662.60M1,754,062
CPNG

COUPANG INC

2.6%Added +5%$633.45M36,467,972
INTC

INTEL CORP

2.5%Added +160%$593.80M4,252,690
SPOT

SPOTIFY TECHNOLOGY S A

2.2%Trimmed -26%$537.84M1,171,427
TTWO

TAKE-TWO INTERACTIVE SOFTWAR

1.9%Trimmed -10%$452.30M1,809,348
RDDT

REDDIT INC

1.8%Added +1%$438.95M2,528,819
AMD

ADVANCED MICRO DEVICES INC

1.6%New$391.96M674,727
XYZ

BLOCK INC

1.5%Added +14%$347.78M4,576,007
APO

APOLLO GLOBAL MGMT INC

1.3%Trimmed -17%$322.17M2,723,110
STX

SEAGATE TECHNOLOGY HLDNGS PL

1.1%New$275.12M285,100
V

VISA INC

1.1%New$274.02M798,697
MELI

MERCADOLIBRE INC

1.1%Added +13%$259.91M153,126
FWONK

LIBERTY MEDIA CORP DEL

0.9%Trimmed -15%$216.78M2,278,555
NU

NU HLDGS LTD

0.6%Same$147.39M11,032,555
WLTH

WEALTHFRONT CORP

0.6%Same$135.50M15,156,877
UNH

UNITEDHEALTH GROUP INC

0.5%Trimmed -15%$123.63M297,452
CHYM

CHIME FINL INC

0.5%Trimmed -52%$108.22M5,284,045
EQPT

EQUIPMENTSHARE COM INC

0.4%Same$90.04M4,579,646
SHW

SHERWIN WILLIAMS CO

0.4%Same$88.52M257,083
DHR

DANAHER CORP DEL

0.4%New$86.86M456,000
NOW

SERVICENOW INC

0.4%Trimmed -42%$86.72M873,485
SPCX

SPACE EXPLORATION TECHN CORP

0.3%New$64.07M375,000
BULL

WEBULL CORP

0.2%Same$43.84M6,724,137
RERE

ATRENEW INC

0.2%Same$38.05M9,831,218
APLD

APPLIED DIGITAL CORP

0.1%New$33.01M885,000
CIFR

CIPHER DIGITAL INC

0.1%New$22.71M927,000
CORZ

CORE SCIENTIFIC INC NEW

0.1%New$20.91M817,000
UBER

UBER TECHNOLOGIES INC

0.0%Same$10.91M151,178
JD

JD.COM INC

0.0%Trimmed -41%$5.13M201,500
DASH

DOORDASH INC

0.0%Same$4.68M25,337
PONY

PONY AI INC

0.0%Trimmed -89%$2.16M310,287
ARX

ACCELERANT HOLDINGS

0.0%Same$879,00075,000
GEMI

GEMINI SPACE STA INC

0.0%Same$298,20070,000
MNTN

MNTN INC

0.0%Same$184,00020,000

Sold this quarter

  • APP

    APPLOVIN CORP

    held 1,000,000 sh · $398.00M
  • Z

    ZILLOW GROUP INC

    held 7,368,957 sh · $304.93M
  • NFLX

    NETFLIX INC.

    held 2,439,000 sh · $234.51M
  • ZS

    ZSCALER INC

    held 1,579,766 sh · $221.63M
  • PCOR

    PROCORE TECHNOLOGIES INC

    held 2,339,500 sh · $133.35M
  • LITE

    LUMENTUM HLDGS INC

    held 136,800 sh · $96.14M
  • CSGP

    COSTAR GROUP INC

    held 1,500,000 sh · $60.51M
  • ZG

    ZILLOW GROUP INC

    held 1,023,733 sh · $42.37M
  • RVI

    ROBINHOOD VENTURES FD I

    held 400,000 sh · $10.62M
  • PAYP

    PAYPAY CORP

    held 400,000 sh · $8.54M
  • FIGR

    FIGURE TECHNOLOGY SOLUTIO

    held 200,000 sh · $6.79M
  • NTSK

    NETSKOPE INC

    held 500,000 sh · $4.25M
  • XNDU

    XANADU QUANTUM TECHNOLO LTD

    held 500,000 sh · $3.83M
  • BLSH

    BULLISH

    held 100,000 sh · $3.57M
  • ETOR

    ETORO GROUP LTD

    held 80,000 sh · $2.40M
  • KLAR

    KLARNA GROUP PLC

    held 175,000 sh · $2.29M
  • FIG

    FIGMA INC

    held 60,000 sh · $1.27M

Read from public SEC filings. Not financial advice.

Tiger Global 13F holdings · Nakagai