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Tiger Global Management Portfolio

Tiger Global Management LLC is the reporting manager named in the SEC filings used here.

Tiger Global Management LLC Holdings · Q1 2026

Disclosed value
$22.8B
Holdings
54
Top sector
Technology
Filed
May 15, 2026
Performance
YTD
−1.0%
−10.0% vs S&P 500
1Y
+4.8%
−13.4% vs S&P 500
3Y
+105.4%
+41.0% vs S&P 500

Tiger Global Management LLC Holdings · 54

Q1 2026 · Showing 15 positions from the selected holding view.
Stock % Avg. buy price Estimated gain Quarter-end price Last transaction
GInternet Content & InformationAlphabet Inc. (GOOGL) 13.4%
Avg. buy price $131.18 Estimated gain+114.5%Quarter-end price $281.41 Last transaction Added· Q2 2025Increased shares by 3.1%
G 13.4% $131.18 +114.5% $281.41 Added· Q2 2025Increased shares by 3.1%
NSemiconductorsNVIDIA Corporation (NVDA) 9.2%
Avg. buy price $107.20 Estimated gain+61.5%Quarter-end price $173.10 Last transaction Added· Q1 2026Increased shares by 9.1%
N 9.2% $107.20 +61.5% $173.10 Added· Q1 2026Increased shares by 9.1%
ASpecialty RetailAmazon.com, Inc. (AMZN) 9.1%
Avg. buy price $157.97 Estimated gain+30.5%Quarter-end price $206.15 Last transaction Reduced· Q1 2026Sold 0.1% of shares
A 9.1% $157.97 +30.5% $206.15 Reduced· Q1 2026Sold 0.1% of shares
T 8.2% $195.79 +72.6% $337.95 Added· Q1 2026Increased shares by 49.4%
MInternet Content & InformationMeta Platforms, Inc. (META) 7.7%
Avg. buy price $198.76 Estimated gain+180.4%Quarter-end price $557.37 Last transaction Added· Q1 2026Increased shares by 12.2%
M 7.7% $198.76 +180.4% $557.37 Added· Q1 2026Increased shares by 12.2%
SSpecialty RetailSea Limited (SE) 5.6%
Avg. buy price $48.57 Estimated gain+70.5%Quarter-end price $82.81 Last transaction Reduced· Q4 2025Sold 3.9% of shares
S 5.6% $48.57 +70.5% $82.81 Reduced· Q4 2025Sold 3.9% of shares
ASemiconductorsBroadcom Inc. (AVGO) 4.9%
Avg. buy price $210.79 Estimated gain+46.8%Quarter-end price $309.51 Last transaction Added· Q1 2026Increased shares by 24.7%
A 4.9% $210.79 +46.8% $309.51 Added· Q1 2026Increased shares by 24.7%
MSoftware - InfrastructureMicrosoft Corporation (MSFT) 4.1%
Avg. buy price $276.70 Estimated gain+33.8%Quarter-end price $370.17 Last transaction Reduced· Q1 2026Sold 54.4% of shares
M 4.1% $276.70 +33.8% $370.17 Reduced· Q1 2026Sold 54.4% of shares
GRenewable UtilitiesGE Vernova Inc. (GEV) 3.7%
Avg. buy price $363.84 Estimated gain+133.7%Quarter-end price $850.21 Last transaction Reduced· Q4 2025Sold 15.7% of shares
G 3.7% $363.84 +133.7% $850.21 Reduced· Q4 2025Sold 15.7% of shares
LSemiconductorsLam Research Corporation (LRCX) 3.6%
Avg. buy price $75.33 Estimated gain+173.3%Quarter-end price $205.87 Last transaction Reduced· Q4 2025Sold 25.9% of shares
L 3.6% $75.33 +173.3% $205.87 Reduced· Q4 2025Sold 25.9% of shares
SInternet Content & InformationSpotify Technology S.A. (SPOT) 3.4%
Avg. buy price $442.55 Estimated gain+9.6%Quarter-end price $484.91 Last transaction Added· Q1 2026Increased shares by 25.3%
S 3.4% $442.55 +9.6% $484.91 Added· Q1 2026Increased shares by 25.3%
CSpecialty RetailCoupang, Inc. (CPNG) 2.9%
Avg. buy price $24.57 Estimated gain−23.2%Quarter-end price $18.88 Last transaction Added· Q1 2026Increased shares by 31.7%
C 2.9% $24.57 −23.2% $18.88 Added· Q1 2026Increased shares by 31.7%
ASemiconductorsApplied Materials, Inc. (AMAT) 2.5%
Avg. buy price $270.58 Estimated gain+23.6%Quarter-end price $334.55 Last transaction Added· Q1 2026Increased shares by 85.1%
A 2.5% $270.58 +23.6% $334.55 Added· Q1 2026Increased shares by 85.1%
Not classifiedCorpay Inc 2.2%
Not classifiedValue$510M
Not classifiedCorpay Inc 2.2%
ASoftware - ApplicationAppLovin Corporation (APP) 1.7%
Avg. buy price $341.19 Estimated gain+12.7%Quarter-end price $384.51 Last transaction Reduced· Q1 2026Sold 22.7% of shares
A 1.7% $341.19 +12.7% $384.51 Reduced· Q1 2026Sold 22.7% of shares
Data through Q1 2026 · filed May 15, 2026
15 of 54

Biggest position changes

In Q1 2026: 7 new, 8 added, 11 reduced, 7 exited.
Largest disclosed changes in Q1 2026, ranked by estimated dollar change using the quarter's average market price.
Reduced or exitedBought or added
M Microsoft Corporation (MSFT) −$1.2B T Take-Two Interactive Software, Inc. (TTWO) −$835M F Flutter Entertainment plc (FLUT) Exited−$577M V Veeva Systems Inc. (VEEV) Exited−$476M G Grab Holdings Limited (GRAB) Exited−$394M A Apollo Global Management, Inc. (APO) −$361M R Reddit, Inc. (RDDT) −$229M W Workday, Inc. (WDAY) Exited−$159M T Taiwan Semiconductor Manufacturing Company Limited (TSM) +$633M M MercadoLibre, Inc. (MELI) New+$260M A Applied Materials, Inc. (AMAT) +$256M A Broadcom Inc. (AVGO) +$233M M Meta Platforms, Inc. (META) +$216M N NVIDIA Corporation (NVDA) +$184M C Coupang, Inc. (CPNG) +$163M S Spotify Technology S.A. (SPOT) +$160M
Other share changes without a dollar estimate, ranked by size.
Reduced or exitedBought or added
C Chime Financial, Inc. Class A Common Stock (CHYM) −3.1M
Block Inc −2.4M
E EquipmentShare.com Inc. (EQPT) New+4.6M
Xanadu Quantum Technolo Ltd New+500K
Paypay Corp New+400K
Robinhood Ventures Fd I New+400K

New this quarter

Portfolio composition

Largest holdings in Q1 2026, sized by their share of the disclosed portfolio. This shows what is owned, not what changed.

Alphabet Inc. (GOOGL): 13.4%NVIDIA Corporation (NVDA): 9.2%Amazon.com, Inc. (AMZN): 9.1%Taiwan Semiconductor Manufacturing Company Limited (TSM): 8.2%Meta Platforms, Inc. (META): 7.7%Other holdings: 52.4%
Show more

Portfolio over time

Each band is a top holding's share of the disclosed portfolio, quarter by quarter; the rest is grouped as other.
0%50%100%202120222023202420252026
Alphabet Inc. (GOOGL)NVIDIA Corporation (NVDA)Amazon.com, Inc. (AMZN)Taiwan Semiconductor Manufacturing Company Limited (TSM)Meta Platforms, Inc. (META)Sea Limited (SE)Broadcom Inc. (AVGO)Microsoft Corporation (MSFT)Other holdings

Investors with similar portfolios

About Tiger Global Management and Tiger Global Management LLC

Tiger Global Management LLC is the reporting manager named in the SEC filings used here. This page reports its quarterly Form 13F holdings and does not represent every asset class or client account managed by the firm.

SEC filing history for Tiger Global Management LLC

Tiger Global Management FAQ

Profile refreshed July 20, 2026

What stocks does Tiger Global Management own?

As of the Q1 2026 filing, Tiger Global Management's largest disclosed holdings are Alphabet Inc. (GOOGL), NVIDIA Corporation (NVDA), Amazon.com, Inc. (AMZN). The table shows 15 of 54 positions by default, with an exact-count control for the remaining rows. Disclosed shares and values remain visible even when a separate market-price estimate is unavailable.

What did Tiger Global Management buy last quarter?

The biggest disclosed buys in Q1 2026 were Taiwan Semiconductor Manufacturing Company Limited (TSM), MercadoLibre, Inc. (MELI), Applied Materials, Inc. (AMAT), based on the Tiger Global Management LLC 13F filing. New positions are marked "new" in the table above.

What did Tiger Global Management sell last quarter?

The biggest reductions in Q1 2026 were Microsoft Corporation (MSFT), Take-Two Interactive Software, Inc. (TTWO), Apollo Global Management, Inc. (APO). The filing comparison contains 7 full exits, summarized in the activity view above.

How big is Tiger Global Management's portfolio?

The latest 13F discloses $22.8B across 54 positions in Q1 2026. 13F filings cover US-listed long positions only; cash and short positions are not disclosed.

How up to date is this?

Funds file 13Fs up to 45 days after each quarter ends, so this portfolio reflects Q1 2026, the latest disclosed quarter. The filing date is shown with every table.

Where does the Tiger Global Management LLC portfolio data come from?

Non-rejected, non-superseded SEC Form 13F filings for Tiger Global Management LLC provide the Q1 2026 holdings, disclosed values, and filing date shown here. WhoBought prefers filings whose value units validate and labels a sparse filing when validation is unavailable. Industry labels come from the local company classification record.

How is performance calculated?

Performance uses daily closing prices for holdings with available market-price history. It covers the priced share of disclosed value (93%); holdings without sufficient price history are excluded from the calculation.

What is Tiger Global Management?

Tiger Global Management is an American investment firm founded in 2001. It is a firm, not the name of an individual investor.

Who founded Tiger Global?

Chase Coleman III founded the firm in March 2001 after working as a technology analyst at Julian Robertson's Tiger Management.

Is Tiger Global the same firm as Tiger Management?

No. Tiger Management was Julian Robertson's firm. Coleman had worked there before starting his own business, first called Tiger Technology and later renamed Tiger Global Management.

Why is Chase Coleman called a Tiger Cub?

When Robertson closed Tiger Management in 2000, he entrusted Coleman with more than $25 million to manage. Coleman became one of the former Tiger Management investors known as Tiger Cubs.

What does Tiger Global invest in?

The firm mainly focuses on internet, software, consumer, and financial-technology companies.

Is Tiger Global a hedge fund or a venture-capital investor?

It operates in both areas. The firm began with a hedge fund investing in public equities, then expanded into private-equity investing in 2003.

What is Tiger Global's track record?

The record has included sharp swings: a very strong 2020, major losses in its hedge fund and long-only fund in 2022, and a 24 percent rebound in 2024 while the firm was still recovering earlier losses.

Does this page include Tiger Global's private-company investments?

No. A Form 13F covers specified US-listed long securities, so Tiger Global's venture and other private investments are outside the holdings table.

Can I copy Tiger Global's whole strategy from its 13F?

No. The filing is a delayed quarter-end snapshot and leaves out shorts, private investments, many derivatives, and positions opened and closed inside the quarter. It is useful evidence, but not the firm's complete playbook.