13F FILING · QUARTER ENDING 2026-06-30

What Tiger Global owns

Chase Coleman reported $23.98B across 46 US stock positions, filed 2026-08-14. The largest single position is 9.7% of the whole book.

What changed since 2026-03-31

Opened (9)
New positions this quarter
Cerebras Systems Inc$662.8M
Advanced Micro Devices Inc$392.0M
Seagate Technology Hldngs Pl$275.1M
Visa Inc$274.0M
Danaher Corp Del$86.9M
Space Exploration Techn Corp$64.1M
Applied Digital Corp$33.0M
Cipher Digital Inc$22.7M
Core Scientific Inc New$20.9M
Exited (10)
Sold out completely
Applovin Corp$398.0M
Zillow Group Inc$304.9M
Netflix Inc.$234.5M
Zscaler Inc$221.6M
Procore Technologies Inc$133.4M
Lumentum Hldgs Inc$96.1M
Costar Group Inc$60.5M
Zillow Group Inc$42.4M
Robinhood Ventures Fd I$10.6M
Paypay Corp$8.5M
Added to (4)
Share count up 10%+
Corpay Inc$716.5M · +22.7%
Intel Corp$593.8M · +159.5%
Block Inc$347.8M · +14.4%
Mercadolibre Inc$259.9M · +13.4%
Trimmed (10)
Share count down 10%+
Taiwan Semiconductor Manufac$2.33B · -12.3%
Alphabet Inc$2.07B · -45.4%
Lam Research Corp$1.37B · -18.9%
Sea Ltd$1.20B · -18.5%
Ge Vernova Inc$937.0M · -18%
Broadcom Inc$662.6M · -51.1%
Spotify Technology S A$537.8M · -25.9%
Apollo Global Mgmt Inc$322.2M · -17.3%
Liberty Media Corp Del$216.8M · -15%
Unitedhealth Group Inc$123.6M · -15.1%

Largest holdings

#CompanyValue% of bookShares
1Taiwan Semiconductor Manufac$2.33B9.72%4,881,008
2Amazon Com Inc$2.31B9.62%9,683,558
3Nvidia Corporation$2.24B9.34%11,198,773
4Alphabet Inc$2.07B8.65%5,805,687
5Meta Platforms Inc$1.59B6.63%2,823,180
6Lam Research Corp$1.37B5.72%3,163,495
7Sea Ltd$1.20B5.02%12,559,152
8Applied Matls Inc$1.18B4.92%1,632,210
9Ge Vernova Inc$937.0M3.91%797,511
10Microsoft Corp$845.6M3.53%2,266,913
11Corpay Inc$716.5M2.99%2,149,877
12Cerebras Systems Inc$662.8M2.76%2,999,000
13Broadcom Inc$662.6M2.76%1,754,062
14Coupang Inc$633.4M2.64%36,467,972
15Intel Corp$593.8M2.48%4,252,690
16Spotify Technology S A$537.8M2.24%1,171,427
17Take-Two Interactive Softwar$452.3M1.89%1,809,348
18Reddit Inc$439.0M1.83%2,528,819
19Advanced Micro Devices Inc$392.0M1.63%674,727
20Block Inc$347.8M1.45%4,576,007
21Apollo Global Mgmt Inc$322.2M1.34%2,723,110
22Seagate Technology Hldngs Pl$275.1M1.15%285,100
23Visa Inc$274.0M1.14%798,697
24Mercadolibre Inc$259.9M1.08%153,126
25Liberty Media Corp Del$216.8M0.90%2,278,555
Before you copy any of this: 13F filings are disclosed up to 45 days after quarter end and cover US-listed long equity positions only — no shorts, bonds, or foreign holdings. This is a record of the past, not a signal, and not advice.

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