Chase Coleman (Tiger Global)

Chase Coleman's Tiger Global — Tiger Cub fund famous for growth and tech bets.

Latest filing
2026-03-31
Filed on
2026-05-15
Positions
54
13F AUM
$22.85B

Alert me when Chase Coleman (Tiger Global) files next

New 13Fs drop with 0 warning. Get an email within minutes of the SEC posting.

Top 20 Current Positions

IssuerCUSIPSharesValue
ALPHABET INC02079K30510.63M$3.06B
NVIDIA CORPORATION67066G10412.01M$2.09B
AMAZON COM INC02313510610.00M$2.08B
TAIWAN SEMICONDUCTOR MANUFAC8740391005.57M$1.88B
META PLATFORMS INC30303M1023.09M$1.77B
SEA LTD81141R10015.42M$1.28B
BROADCOM INC11135F1013.58M$1.11B
MICROSOFT CORP5949181042.50M$925.4M
GE VERNOVA INC36828A101973.0K$849.3M
LAM RESEARCH CORP5128073063.90M$833.4M
SPOTIFY TECHNOLOGY S AL8681T1021.58M$766.5M
COUPANG INC22266T10934.60M$653.2M
APPLIED MATLS INC0382221051.66M$566.3M
CORPAY INC2199481061.75M$509.9M
APPLOVIN CORP03831W1081.00M$398.0M
TAKE-TWO INTERACTIVE SOFTWAR8740541092.00M$395.0M
APOLLO GLOBAL MGMT INC03769M1063.29M$366.9M
REDDIT INC75734B1002.50M$336.6M
ZILLOW GROUP INC98954M2007.37M$304.9M
BLOCK INC8522341034.00M$240.7M

Q-over-Q Changes (2025-12-31 → 2026-03-31)

New positions (7 total)

IssuerPrior sharesLatest sharesΔ Value
MERCADOLIBRE INC135.0K+$233.4M
LUMENTUM HLDGS INC136.8K+$96.1M
EQUIPMENTSHARE COM INC4.58M+$93.3M
INTEL CORP1.64M+$72.3M
ROBINHOOD VENTURES FD I400.0K+$10.6M
PAYPAY CORP400.0K+$8.5M
XANADU QUANTUM TECHNOLO LTD500.0K+$3.8M

Added to (8 total)

IssuerPrior sharesLatest sharesΔ Value
TAIWAN SEMICONDUCTOR MANUFAC3.73M5.57M+$748.6M
APPLIED MATLS INC895.2K1.66M+$336.3M
BROADCOM INC2.88M3.58M+$114.3M
ZILLOW GROUP INC6.06M7.37M−$108.3M
META PLATFORMS INC2.75M3.09M−$49.6M
NVIDIA CORPORATION11.01M12.01M+$41.2M
SPOTIFY TECHNOLOGY S A1.26M1.58M+$34.0M
COUPANG INC26.27M34.60M+$33.5M

Reduced (10 total)

IssuerPrior sharesLatest sharesΔ Value
MICROSOFT CORP5.48M2.50M−$1.72B
TAKE-TWO INTERACTIVE SOFTWAR5.84M2.00M−$1.10B
REDDIT INC3.84M2.50M−$547.0M
APOLLO GLOBAL MGMT INC6.21M3.29M−$531.9M
APPLOVIN CORP1.29M1.00M−$473.2M
BLOCK INC6.36M4.00M−$173.6M
SERVICENOW INC2.13M1.50M−$169.0M
CHIME FINL INC14.19M11.08M−$149.7M
COSTAR GROUP INC2.26M1.50M−$91.4M
UNITEDHEALTH GROUP INC420.2K350.4K−$43.9M

Sold out entirely (7 total)

IssuerPrior sharesLatest sharesΔ Value
FLUTTER ENTMT PLC4.00M−$860.9M
VEEVA SYS INC2.42M−$540.3M
GRAB HOLDINGS LIMITED92.92M−$463.7M
WORKDAY INC1.00M−$214.8M
ELASTIC N V1.69M−$127.5M
HINGE HEALTH INC1.81M−$83.9M
CIRCLE INTERNET GROUP INC500.0K−$39.6M

View this filer's raw filings on SEC EDGAR →

Data from SEC EDGAR quarterly 13F-HR filings. 13F filings are due 45 days after quarter end and reflect equity positions only (no shorts, no options, no non-US listings). By law they lag reality by up to 6 weeks — treat as historical, not real-time.