XOOMAR

Tiger Global Management 13F Holdings

Chase Coleman · Quarter ended 2026-03-31 · Reported value $22.85B

As of the quarter ended 2026-03-31, Tiger Global Management reported 54 US-listed positions worth $22.85B. The largest is ALPHABET INC at 13.4% of the reported portfolio, and the top five holdings make up 48% of it, a moderately concentrated book. Trimmed: AMAZON COM INC, MICROSOFT CORP, APPLOVIN CORP.

New positions

None detected

Added to
  • NVIDIA CORPORATION
  • META PLATFORMS INC
  • BROADCOM INC
  • SPOTIFY TECHNOLOGY S A
  • COUPANG INC
Reduced
  • AMAZON COM INC
  • MICROSOFT CORP
  • APPLOVIN CORP
  • TAKE-TWO INTERACTIVE SOFTWAR
  • APOLLO GLOBAL MGMT INC

Holdings

#IssuerValue% of PortfolioSharesQoQ Shares
1ALPHABET INC$3.06B13.4%10.63M0
2NVIDIA CORPORATION$2.09B9.2%12.01M+1.00M
3AMAZON COM INC$2.08B9.1%10.00M-11.4K
4TAIWAN SEMICONDUCTOR MANUFAC$1.88B8.2%5.57M-
5META PLATFORMS INC$1.77B7.7%3.09M+336.2K
6SEA LTD$1.28B5.6%15.42M0
7BROADCOM INC$1.11B4.9%3.58M+709.2K
8MICROSOFT CORP$925.4M4.1%2.50M-2.98M
9GE VERNOVA INC$849.3M3.7%973.0K0
10LAM RESEARCH CORP$833.4M3.6%3.90M0
11SPOTIFY TECHNOLOGY S A$766.5M3.4%1.58M+319.3K
12COUPANG INC$653.2M2.9%34.60M+8.33M
13APPLIED MATLS INC$566.3M2.5%1.66M+761.7K
14CORPAY INC$509.9M2.2%1.75M0
15APPLOVIN CORP$398.0M1.7%1.00M-293.0K
16TAKE-TWO INTERACTIVE SOFTWAR$395.0M1.7%2.00M-3.84M
17APOLLO GLOBAL MGMT INC$366.9M1.6%3.29M-2.92M
18REDDIT INC$336.6M1.5%2.50M-1.34M
19ZILLOW GROUP INC$304.9M1.3%7.37M+6.35M
20BLOCK INC$240.7M1.1%4.00M-2.36M
21NETFLIX INC.$234.5M1.0%2.44M-
22MERCADOLIBRE INC$233.4M1.0%135.0K-
23LIBERTY MEDIA CORP DEL$228.0M1.0%2.68M0
24ZSCALER INC$221.6M1.0%1.58M0
25CHIME FINL INC$207.6M0.9%11.08M-3.11M
26NU HLDGS LTD$158.5M0.7%11.03M0
27SERVICENOW INC$156.8M0.7%1.50M-626.9K
28WEALTHFRONT CORP$140.2M0.6%15.16M0
29PROCORE TECHNOLOGIES INC$133.4M0.6%2.34M0
30LUMENTUM HLDGS INC$96.1M0.4%136.8K-
31UNITEDHEALTH GROUP INC$94.8M0.4%350.4K-69.8K
32EQUIPMENTSHARE COM INC$93.3M0.4%4.58M-
33SHERWIN WILLIAMS CO$82.4M0.4%257.1K0
34INTEL CORP$72.3M0.3%1.64M-
35COSTAR GROUP INC$60.5M0.3%1.50M-759.1K
36ATRENEW INC$46.1M0.2%9.83M0
37ZILLOW GROUP INC$42.4M0.2%1.02M-5.03M
38WEBULL CORP$32.3M0.1%6.72M0
39PONY AI INC$27.4M0.1%2.90M0
40UBER TECHNOLOGIES INC$10.9M0.0%151.2K0
41ROBINHOOD VENTURES FD I$10.6M0.0%400.0K-
42JD.COM INC$10.2M0.0%344.3K0
43PAYPAY CORP$8.5M0.0%400.0K-
44FIGURE TECHNOLOGY SOLUTIO$6.8M0.0%200.0K0
45NETSKOPE INC$4.2M0.0%500.0K0
46XANADU QUANTUM TECHNOLO LTD$3.8M0.0%500.0K-
47DOORDASH INC$3.8M0.0%25.3K0
48BULLISH$3.6M0.0%100.0K0
49ETORO GROUP LTD$2.4M0.0%80.0K0
50KLARNA GROUP PLC$2.3M0.0%175.0K0
51FIGMA INC$1.3M0.0%60.0K0
52ACCELERANT HOLDINGS$1.0M0.0%75.0K0
53GEMINI SPACE STA INC$3094000.0%70.0K0
54MNTN INC$1760000.0%20.0K0
13F filings arrive up to 45 days after quarter end and cover US-listed long positions only. Positions may have changed since. This is observation data, not a recommendation.
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Understanding

Reading Tiger Global Management's 13F

Managers running over $100M in US equities must disclose their long positions to the SEC within 45 days of each quarter end. This page parses Tiger Global Management's actual filing, the same document Bloomberg terminals and paid trackers repackage.

Read the QoQ column before the position list. A fund's largest holding is usually old news priced in years ago; what moved this quarter (new stakes, exits, big adds and trims) is where the information lives. New positions equal fresh conviction at recent prices.

Mind the blind spots: 13Fs exclude shorts, bonds, options hedges, and non-US listings, and arrive six-plus weeks stale. A fund that looks all-in long here may be market neutral in reality. Use this as a record of what they bought, never as proof of what they believe today.

Frequently Asked Questions

How current is Tiger Global Management's portfolio here?
It reflects the latest 13F-HR filing, which funds submit up to 45 days after each quarter ends. Positions may have changed since.
Why do share counts change quarter to quarter?
The QoQ column shows shares bought or sold versus the prior quarter's filing. A position equal to its change is brand new.
Does this show short positions?
No. 13F filings only disclose US-listed long positions. Shorts, bonds, and non-US holdings are not reported.

Data on this page is provided for informational purposes only and is not financial advice. See our editorial policy.