← Back to Gurus
C

Coleman

Tiger Global Management LLC

CIK: 0001167483 | AUM: ~$54B

Latest 13F: Q2 2026 Filed Aug 14, 2026

Chase Coleman's growth-focused Tiger fund

13F filings have a ~45-day lag. Positions may have changed since the filing date.
Positions 42
New Buys 9
Sold 30
Increased 6
Decreased 20
Total Value $23.9B

Sector Allocation

Latest Trades (Quarter-over-Quarter Changes)

ACTION SYMBOL NAME SHARES CHG VALUE WEIGHT %
SOLD RERE -9,831,218 -- --
SOLD Z -7,368,957 -- --
DECREASED CHYM CHIME FINL INC -5,797,735
avg ~$20.48 · ~$118.7M
$108.2M 0.5%
DECREASED GOOGL ALPHABET INC -4,825,715
avg ~$357.37 · ~$1.7B
$2.1B 8.7%
NEW CBRS CEREBRAS SYSTEMS INC +2,999,000
avg ~$221.00 · ~$662.8M
$662.8M 2.8%
DECREASED SE SEA LTD -2,856,683
avg ~$95.83 · ~$273.8M
$1.2B 5.0%
INCREASED INTC INTEL CORP +2,613,990
avg ~$139.63 · ~$365.0M
$593.8M 2.5%
DECREASED PONY PONY AI INC -2,589,713
avg ~$6.95 · ~$18.0M
$2.2M 0.0%
SOLD NFLX -2,439,000 -- --
SOLD PCOR -2,339,500 -- --
INCREASED CPNG COUPANG INC +1,872,565
avg ~$17.37 · ~$32.5M
$633.4M 2.6%
DECREASED AVGO BROADCOM INC -1,830,752
avg ~$377.75 · ~$691.6M
$662.6M 2.8%
SOLD ZS -1,579,766 -- --
SOLD CSGP -1,500,000 -- --
SOLD ZG -1,023,733 -- --
SOLD APP -1,000,000 -- --
NEW CIFR CIPHER DIGITAL INC +927,000
avg ~$24.50 · ~$22.7M
$22.7M 0.1%
NEW APLD APPLIED DIGITAL CORP +885,000
avg ~$37.30 · ~$33.0M
$33.0M 0.1%
NEW CORZ CORE SCIENTIFIC INC NEW +817,000
avg ~$25.59 · ~$20.9M
$20.9M 0.1%
DECREASED NVDA NVIDIA CORPORATION -812,979
avg ~$200.09 · ~$162.7M
$2.2B 9.3%
NEW V VISA INC +798,697
avg ~$343.09 · ~$274.0M
$274.0M 1.1%
DECREASED LRCX LAM RESEARCH CORP -736,944
avg ~$433.33 · ~$319.3M
$1.4B 5.7%
DECREASED TSM TAIWAN SEMICONDUCTOR MANUFAC -684,066
avg ~$477.57 · ~$326.7M
$2.3B 9.7%
NEW AMD ADVANCED MICRO DEVICES INC +674,727
avg ~$580.91 · ~$392.0M
$392.0M 1.6%
DECREASED NOW SERVICENOW INC -626,515
avg ~$99.28 · ~$62.2M
$86.7M 0.4%

Full Holdings (42 positions)

SYMBOL NAME SHARES VALUE WEIGHT % ACTION
TSM TAIWAN SEMICONDUCTOR MANUFAC 4,881,008
$477.57/sh
cost $178.19 (+168.0%)
$2.3B 9.7% DECREASED
AMZN AMAZON COM INC 9,683,558
$238.34/sh
cost $414.77 (-42.5%)
$2.3B 9.6% DECREASED
NVDA NVIDIA CORPORATION 11,198,773
$200.09/sh
cost $164.13 (+21.9%)
$2.2B 9.3% DECREASED
GOOGL ALPHABET INC 5,805,687
$357.37/sh
cost $153.68 (+132.5%)
$2.1B 8.7% DECREASED
META META PLATFORMS INC 2,823,180
$563.29/sh
cost $285.32 (+97.4%)
$1.6B 6.6% DECREASED
LRCX LAM RESEARCH CORP 3,163,495
$433.33/sh
cost $172.43 (+151.3%)
$1.4B 5.7% DECREASED
SE SEA LTD 12,559,152
$95.83/sh
cost $101.49 (-5.6%)
$1.2B 5.0% DECREASED
AMAT APPLIED MATLS INC 1,632,210
$723.00/sh
cost $202.47 (+257.1%)
$1.2B 4.9% DECREASED
GEV GE VERNOVA INC 797,511
$1174.86/sh
cost $487.66 (+140.9%)
$937.0M 3.9% DECREASED
MSFT MICROSOFT CORP 2,266,913
$373.02/sh
cost $203.52 (+83.3%)
$845.6M 3.5% DECREASED
CPAY CORPAY INC 2,149,877
$333.27/sh
cost $314.37 (+6.0%)
$716.5M 3.0% INCREASED
CBRS CEREBRAS SYSTEMS INC 2,999,000
$221.00/sh
cost $221.00 (+0.0%)
$662.8M 2.8% NEW
AVGO BROADCOM INC 1,754,062
$377.75/sh
cost $295.23 (+28.0%)
$662.6M 2.8% DECREASED
CPNG COUPANG INC 36,467,972
$17.37/sh
cost $27.37 (-36.5%)
$633.4M 2.6% INCREASED
INTC INTEL CORP 4,252,690
$139.63/sh
cost $46.03 (+203.3%)
$593.8M 2.5% INCREASED
SPOT SPOTIFY TECHNOLOGY S A 1,171,427
$459.13/sh
cost $201.91 (+127.4%)
$537.8M 2.2% DECREASED
TTWO TAKE-TWO INTERACTIVE SOFTWAR 1,809,348
$249.98/sh
cost $177.87 (+40.5%)
$452.3M 1.9% DECREASED
RDDT REDDIT INC 2,528,819
$173.58/sh
cost $156.99 (+10.6%)
$439.0M 1.8% INCREASED
AMD ADVANCED MICRO DEVICES INC 674,727
$580.91/sh
cost $580.91 (+0.0%)
$392.0M 1.6% NEW
XYZ BLOCK INC 4,576,007
$76.00/sh
cost $67.36 (+12.8%)
$347.8M 1.5% INCREASED
APO APOLLO GLOBAL MGMT INC 2,723,110
$118.31/sh
cost $113.56 (+4.2%)
$322.2M 1.3% DECREASED
STX SEAGATE TECHNOLOGY HLDNGS PL 285,100
$965.00/sh
cost $965.00 (+0.0%)
$275.1M 1.1% NEW
V VISA INC 798,697
$343.09/sh
cost $36.89 (+830.0%)
$274.0M 1.1% NEW
MELI MERCADOLIBRE INC 153,126
$1697.39/sh
cost $36.67 (+4528.8%)
$259.9M 1.1% INCREASED
FWONK LIBERTY MEDIA CORP DEL 2,278,555
$95.14/sh
cost $87.39 (+8.9%)
$216.8M 0.9% DECREASED