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Hedge fund · Long-only 13F filer

Tiger Global Management

$24.0B+$1.1B vs prior 13FUS long stock positions · not assets under managementSEC EDGAR · 13F-HR · filed 14 August 2026

Tiger Global Management's latest 13F filing covers the quarter ended 30 June 2026 and was filed 14 August 2026 (45 days after quarter end): 46 disclosed US-listed positions — $24.0 billion in long stock. Nine new buys, one add, seven trims and seventeen exits against the prior quarter. Holdings are up to 45 days old by the time they clear EDGAR.

Portfolio · vs S&P 500Tiger Global ManagementS&P 500
Sept 2025Tiger Global Management -26% · S&P: +12%

The line rebuilds Tiger Global Management's disclosed 13F holdings at each filing and holds them to the next, tracked against the S&P 500 where daily price history overlaps. Long US equity only — an illustrative read, not an audited return.

S&P 500 overlay: Finazon · prior-day close, most closes dollar-rounded at the source

Portfolio · vs S&P 500Tiger Global ManagementS&P 500
Sept 2024Tiger Global Management +2% · S&P from Sept 2025: +12%

The line rebuilds Tiger Global Management's disclosed 13F holdings at each filing and holds them to the next, tracked against the S&P 500 where daily price history overlaps. Long US equity only — an illustrative read, not an audited return.

S&P 500 overlay: Finazon · prior-day close, most closes dollar-rounded at the source

Long stock value$24.0B
Positions46
Top holdingTSM · 9.7%
Top sectorTechnology 63%
New buys · Q2 20269
Exits · Q2 202617

Portfolio reconstructed from SEC EDGAR 13F filings · values as reported · as of Q2 2026

Top holdings — quarter ended 30 June 2026

Largest 15 of 46 positions
PositionValueWeightSharesLast quarter
TSMTAIWAN SEMICONDUCTOR MANUFAC$2.3B9.7%4.9MHeld
AMZNAMAZON COM INC$2.3B9.6%9.7MHeld
NVDANVIDIA CORPORATION$2.2B9.3%11.2MHeld
GOOGLALPHABET INC$2.1B8.7%5.8MTrimmed
METAMETA PLATFORMS INC$1.6B6.6%2.8MHeld
LRCXLAM RESEARCH CORP$1.4B5.7%3.2MHeld
SESEA LTD$1.2B5.0%12.6MHeld
AMATAPPLIED MATLS INC$1.2B4.9%1.6MHeld
GEVGE VERNOVA INC$937.0M3.9%797.5KHeld
MSFTMICROSOFT CORP$845.6M3.5%2.3MHeld
CPAYCORPAY INC$716.5M3.0%2.1MHeld
CEREBRAS SYSTEMS INC$662.8M2.8%3.0MNew buy
AVGOBROADCOM INC$662.6M2.8%1.8MTrimmed
CPNGCOUPANG INC$633.4M2.6%36.5MHeld
INTCINTEL CORP$593.8M2.5%4.3MAdded

Quarterly changes — quarter ended 30 June 2026

34 changes vs prior quarter
New buys9
Adds1
Trims7
Exits17

What changed against the previous quarter's filing: new positions first, then adds, trims and exits, each sorted by position size.

PositionChangeShares movedValue after
CEREBRAS SYSTEMS INCNew buy+3.0M$662.8M
AMDADVANCED MICRO DEVICES INCNew buy+674.7K$392.0M
STXSEAGATE TECHNOLOGY HLDNGS PLNew buy+285.1K$275.1M
VVISA INCNew buy+798.7K$274.0M
DHRDANAHER CORP DELNew buy+456.0K$86.9M
SPCXSPACE EXPLORATION TECHN CORPNew buy+375.0K$64.1M
APLDAPPLIED DIGITAL CORPNew buy+885.0K$33.0M
CIFRCIPHER DIGITAL INCNew buy+927.0K$22.7M
CORZCORE SCIENTIFIC INC NEWNew buy+817.0K$20.9M
INTCINTEL CORPAdded+2.6M$593.8M
GOOGLALPHABET INCTrimmed−4.8M$2.1B
AVGOBROADCOM INCTrimmed−1.8M$662.6M
SPOTSPOTIFY TECHNOLOGY S ATrimmed−409.3K$537.8M
CHYMCHIME FINL INCTrimmed−5.8M$108.2M
NOWSERVICENOW INCTrimmed−626.5K$86.7M
JDJD.COM INCTrimmed−142.8K$5.1M
PONYPONY AI INCTrimmed−2.6M$2.2M
APPAPPLOVIN CORPSold out−1.0Mwas $398.0M
ZZILLOW GROUP INCSold out−7.4Mwas $304.9M
NFLXNETFLIX INC.Sold out−2.4Mwas $234.5M
ZSZSCALER INCSold out−1.6Mwas $221.6M
PCORPROCORE TECHNOLOGIES INCSold out−2.3Mwas $133.4M
LITELUMENTUM HLDGS INCSold out−136.8Kwas $96.1M
CSGPCOSTAR GROUP INCSold out−1.5Mwas $60.5M
ZGZILLOW GROUP INCSold out−1.0Mwas $42.4M
RVIROBINHOOD VENTURES FD ISold out−400.0Kwas $10.6M
PAYPAY CORPSold out−400.0Kwas $8.5M
FIGRFIGURE TECHNOLOGY SOLUTIOSold out−200.0Kwas $6.8M
NTSKNETSKOPE INCSold out−500.0Kwas $4.2M
XANADU QUANTUM TECHNOLO LTDSold out−500.0Kwas $3.8M
BLSHBULLISHSold out−100.0Kwas $3.6M
ETORETORO GROUP LTDSold out−80.0Kwas $2.4M
KLARKLARNA GROUP PLCSold out−175.0Kwas $2.3M
FIGFIGMA INCSold out−60.0Kwas $1.3M

Rows sharing a company name are separate securities of the same issuer — different share classes or option positions, as filed.

Sector allocation

Technology63%
Consumer Cyclical14%
Communication Services8%
Other / unclassified6%
Utilities4%
Financial Services3%
Healthcare1%
Basic Materials0%
Industrials0%

Holdings by sector

Technology carries the largest share of disclosed value, at 63%.

Technology63%
AMAT · AMD · APLD · AVGO · CORZ · CPAY · GOOGL · INTC · LRCX · MSFT · NOW · NVDA · SE · SPOT · STX · TSM · TTWO · UBER
Consumer Cyclical14%
AMZN · CPNG · FWONK · JD · MELI
Communication Services8%
DASH · META · RDDT
Other / unclassified6%
ARX · BULL · CHYM · EQPT · GEMI · MNTN · PONY · RERE · WLTH · XYZ
Utilities4%
GEV
Financial Services3%
APO · CIFR · NU · V
Healthcare1%
DHR · UNH
Basic Materials0%
SHW
Industrials0%
SPCX
What is Tiger Global Management's biggest holding?

As of the quarter ended 30 June 2026, the largest disclosed position was TSM (TAIWAN SEMICONDUCTOR MANUFAC), about 9.7% of the disclosed US-listed portfolio by reported value.

What did Chase Coleman's Tiger Global Management buy in Q2 2026?

9 new positions were disclosed for the quarter ended 30 June 2026; the largest were CEREBRAS SYSTEMS INC, AMD, STX. Adds and trims are listed in the quarterly-changes table on this page.

How concentrated is the portfolio?

Fairly concentrated. The top five positions are 44% of disclosed value and the top ten are 67%.

When is Tiger Global Management's next 13F due?

13F filings for the quarter ended 30 September 2026 are due by 16 November 2026 — managers have 45 days after each calendar quarter ends. Whether Tiger Global Management files is up to the manager; we show whatever EDGAR receives.

Does this show the whole portfolio?

No. Form 13F covers US-listed long equity and some options only — no short bets, bonds, cash, private businesses, non-US holdings or timing inside the quarter. Amended filings replace originals; this page always shows the latest canonical version.

Read the form itself on SEC EDGAR or see our plain-words guide to 13F filings — Tiger Global Management may have already changed these positions since 30 June 2026.

Tiger Global Management 13F portfolio — holdings and quarterly moves · The Distributed