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Tiger Global

CIK 0001167483
$22.85B
Reported AUM
54
Positions
Q1 2026
Period
2026-05-15
Filed

The Brief · Tiger Global · Q1 2026

AI · grounded in 13F

Tiger Global closed its position in Flutter Entmt PLC, reducing its exposure by $860.9M. The fund also exited its position in Veeva Sys Inc for $540.3M and trimmed its holding in MSFT by 54.36%. On the buy side, the fund established a new position in MercadoLibre Inc worth $233.4M and increased its stake in AMAT by 85.09%.

Portfolio · Q1 2026

GOOGL$3.06BNVDA$2.09BAMZN$2.08BTSM$1.88BMETA$1.77BSE$1.28BAVGOMSFTGEVLRCXSPOTCPNGOther$5.55BCC
Chase Coleman · top 12 of 54 positions · AUM $22.85B

Top holdings

#StockIssuerPriceDay %1Y Gr.5Y Gr.Value% of bookΔ shares (QoQ)Status
1GOOGLALPHABET INC$335.782.82%76.51%132.04%$3.06B13.38%HELD
2NVDANVIDIA CORPORATION$191.82-2.39%13.56%782.99%$2.09B9.17%HELD
3AMZNAMAZON COM INC$229.30-0.90%7.50%33.03%$2.08B9.12%HELD
4TSMTAIWAN SEMICONDUCTOR MANUFAC$377.50-5.41%68.64%257.61%$1.88B8.23%HELD
5METAMETA PLATFORMS INC$591.60-0.38%-20.62%57.79%$1.77B7.73%HELD
6SESEA LTD$108.113.56%-30.35%-68.25%$1.28B5.59%HELD
7AVGOBROADCOM INC$373.90-2.43%32.39%738.05%$1.11B4.86%HELD
8MSFTMICROSOFT CORP$395.841.73%-24.35%35.51%$925.4M4.05%HELD
9GEVGE VERNOVA INC$906.67-9.02%44.02%516.33%$849.3M3.72%HELD
10LRCXLAM RESEARCH CORP$254.47-12.74%181.31%369.59%$833.4M3.65%HELD
11SPOTSPOTIFY TECHNOLOGY S A$515.114.12%-18.43%118.30%$766.5M3.36%HELD
12CPNGCOUPANG INC$15.32-3.80%-46.28%-48.46%$653.2M2.86%HELD
13AMATAPPLIED MATLS INC$445.55-13.80%152.89%248.14%$566.3M2.48%HELD
14CPAYCORPAY INC$392.113.26%21.47%45.97%$509.9M2.23%HELD
15APPAPPLOVIN CORP$404.00-2.12%10.30%494.06%$398.0M1.74%HELD
16TTWOTAKE-TWO INTERACTIVE SOFTWAR$248.611.91%12.26%53.59%$395.0M1.73%HELD
17APOAPOLLO GLOBAL MGMT INC$120.57-2.95%-8.39%128.82%$366.9M1.61%HELD
18RDDTREDDIT INC$181.761.41%-5.41%301.53%$336.6M1.47%HELD
19ZZILLOW GROUP INC$34.166.75%-58.01%-64.84%$304.9M1.33%HELD
20XYZBLOCK INC$82.431.46%12.25%-69.00%$240.7M1.05%HELD
21NFLXNETFLIX INC.$73.324.15%-37.52%27.18%$234.5M1.03%HELD
22MELIMERCADOLIBRE INC$1866.022.54%-21.62%-0.28%$233.4M1.02%HELD
23FWONKLIBERTY MEDIA CORP DEL$102.203.94%2.28%107.10%$228.0M1.00%HELD
24ZSZSCALER INC$152.543.56%-45.90%-45.52%$221.6M0.97%HELD
25CHYMCHIME FINL INC$22.472.79%-31.44%-34.99%$207.6M0.91%HELD
26NUNU HLDGS LTD$14.20-2.27%21.83%97.84%$158.5M0.69%HELD
27NOWSERVICENOW INC$116.2810.16%-39.51%-14.07%$156.8M0.69%HELD
28WLTHWEALTHFRONT CORP$9.361.30%-26.33%9.91%$140.2M0.61%HELD
29PCORPROCORE TECHNOLOGIES INC$49.816.92%-21.28%-46.15%$133.4M0.58%HELD
30LITELUMENTUM HLDGS INC$597.80-16.03%511.11%652.46%$96.1M0.42%HELD
31UNHUNITEDHEALTH GROUP INC$425.641.92%$94.8M0.42%HELD
32EQPTEQUIPMENTSHARE COM INC$18.20-5.41%$93.3M0.41%HELD
33SHWSHERWIN WILLIAMS CO$344.625.30%$82.4M0.36%HELD
34INTCINTEL CORP$83.60-8.81%$72.3M0.32%HELD
35CSGPCOSTAR GROUP INC$29.741.94%$60.5M0.26%HELD
36REREATRENEW INC$4.222.31%$46.1M0.20%HELD
37ZGZILLOW GROUP INC$34.337.30%$42.4M0.19%HELD
38BULLWEBULL CORP$7.07-6.17%$32.3M0.14%HELD
39PONYPONY AI INC$7.694.20%$27.4M0.12%HELD
40UBERUBER TECHNOLOGIES INC$70.503.40%$10.9M0.05%HELD
41RVIROBINHOOD VENTURES FD I$24.42-3.86%$10.6M0.05%HELD
42JDJD.COM INC$32.083.64%$10.2M0.04%HELD
43PAYPPAYPAY CORP$14.80-7.65%$8.5M0.04%HELD
44FIGRFIGURE TECHNOLOGY SOLUTIO$25.12-12.87%$6.8M0.03%HELD
45NTSKNETSKOPE INC$11.89-0.42%$4.2M0.02%HELD
46XNDUXANADU QUANTUM TECHNOLO LTD$9.80-3.90%$3.8M0.02%HELD
47DASHDOORDASH INC$194.565.53%$3.8M0.02%HELD
48BLSHBULLISH$22.34-2.02%$3.6M0.02%HELD
49ETORETORO GROUP LTD$36.65-3.07%$2.4M0.01%HELD
50KLARKLARNA GROUP PLC$18.530.22%$2.3M0.01%HELD
51FIGFIGMA INC$25.059.20%$1.3M0.01%HELD
52ARXACCELERANT HOLDINGS$12.86-11.98%$1.0M0.00%HELD
53GEMIGEMINI SPACE STA INC$4.07-8.54%$309K0.00%HELD
54MNTNMNTN INC$9.572.68%$176K0.00%HELD

Source: SEC EDGAR · accession 0000919574-26-003362. 13F discloses long positions only — shorts, foreign equities, and options are excluded.