SIGNAL13FINSTITUTIONAL HOLDINGS INTELLIGENCE
PERSISTED SEC DATA
MANAGER TIGER GLOBAL MANAGEMENTCIK 0001167483FORM 13F-HRPERIOD 30 Jun 2026 VERIFIED SOURCE

13F MONITOR / MANAGER PROFILE

Tiger Global Management

CHASE COLEMAN · NEW YORK, NEW YORK
LATEST SEC ACCEPTANCE14 Aug 2026 · 10:03 ETACCESSION 0000919574-26-005427
DISCLOSED VALUE$24.0B+5.0% VS PRIOR REPORT
REPORTABLE POSITIONS469 NEW · 17 SOLD
TOP 10 CONCENTRATION67.1%OF REPORTED 13F VALUE
REPORTING PERIOD30 Jun 2026FILED 14 Aug 2026
CHART 01 / PORTFOLIO DISTRIBUTION

Holdings Allocation

% OF DISCLOSED VALUE
DISCLOSED VALUE$24.0B46 POSITIONS
  1. 01TAIWAN SEMICONDUCTOR MANUFAC9.72%$2.3B
  2. 02AMAZON COM INC9.62%$2.3B
  3. 03NVIDIA CORPORATION9.34%$2.2B
  4. 04ALPHABET INC8.65%$2.1B
  5. 05META PLATFORMS INC6.63%$1.6B
  6. 06LAM RESEARCH CORP5.72%$1.4B
  7. 07SEA LTD5.02%$1.2B
  8. 08APPLIED MATLS INC4.92%$1.2B
  9. 09GE VERNOVA INC3.91%$937.0M
  10. 10OTHER REPORTED POSITIONS36.47%$8.7B
TABLE 01 / QUARTERLY ACTIVITY

Position Changes

NEW POSITIONS9
ADDED6
REDUCED20
SOLD OUT17
CURRENT PERIOD
30 Jun 2026
PRIOR PERIOD
31 Mar 2026
UNCHANGED
11 POSITIONS
VALUE CHANGE
+5.0%
TABLE 02 / COMPLETE INFORMATION TABLE

Reported Holdings

46 CURRENT POSITIONS
#ISSUERWEIGHTSHARES / PRNDISCLOSED VALUEACTIVITYQ/Q SHARES
01TAIWAN SEMICONDUCTOR MANUFAC
9.72%
4,881,008$2.33BREDUCED-12.29%
02AMAZON COM INC
9.62%
9,683,558$2.31BREDUCED-3.16%
03NVIDIA CORPORATION
9.34%
11,198,773$2.24BREDUCED-6.77%
04ALPHABET INC
8.65%
5,805,687$2.07BREDUCED-45.39%
05META PLATFORMS INC
6.63%
2,823,180$1.59BREDUCED-8.54%
06LAM RESEARCH CORP
5.72%
3,163,495$1.37BREDUCED-18.89%
07SEA LTD
5.02%
12,559,152$1.20BREDUCED-18.53%
08APPLIED MATLS INC
4.92%
1,632,210$1.18BREDUCED-1.49%
09GE VERNOVA INC
3.91%
797,511$936.96MREDUCED-18.04%
10MICROSOFT CORP
3.53%
2,266,913$845.60MREDUCED-9.32%
11CORPAY INC
2.99%
2,149,877$716.49MADDED+22.70%
12CEREBRAS SYSTEMS INC
2.76%
2,999,000$662.78MNEWNEW
13BROADCOM INC
2.76%
1,754,062$662.60MREDUCED-51.07%
14COUPANG INC
2.64%
36,467,972$633.45MADDED+5.41%
15INTEL CORP
2.48%
4,252,690$593.80MADDED+159.52%
16SPOTIFY TECHNOLOGY S A
2.24%
1,171,427$537.84MREDUCED-25.89%
17TAKE-TWO INTERACTIVE SOFTWAR
1.89%
1,809,348$452.30MREDUCED-9.53%
18REDDIT INC
1.83%
2,528,819$438.95MADDED+1.15%
19ADVANCED MICRO DEVICES INC
1.63%
674,727$391.96MNEWNEW
20BLOCK INC
1.45%
4,576,007$347.78MADDED+14.40%
21APOLLO GLOBAL MGMT INC
1.34%
2,723,110$322.17MREDUCED-17.31%
22SEAGATE TECHNOLOGY HLDNGS PL
1.15%
285,100$275.12MNEWNEW
23VISA INC
1.14%
798,697$274.02MNEWNEW
24MERCADOLIBRE INC
1.08%
153,126$259.91MADDED+13.42%
25LIBERTY MEDIA CORP DEL
0.90%
2,278,555$216.78MREDUCED-15.04%
26NU HLDGS LTD
0.61%
11,032,555$147.39MUNCHANGED0.00%
27WEALTHFRONT CORP
0.57%
15,156,877$135.50MUNCHANGED0.00%
28UNITEDHEALTH GROUP INC
0.52%
297,452$123.63MREDUCED-15.12%
29CHIME FINL INC
0.45%
5,284,045$108.22MREDUCED-52.32%
30EQUIPMENTSHARE COM INC
0.38%
4,579,646$90.04MUNCHANGED0.00%
31SHERWIN WILLIAMS CO
0.37%
257,083$88.52MUNCHANGED0.00%
32DANAHER CORP DEL
0.36%
456,000$86.86MNEWNEW
33SERVICENOW INC
0.36%
873,485$86.72MREDUCED-41.77%
34SPACE EXPLORATION TECHN CORP
0.27%
375,000$64.07MNEWNEW
35WEBULL CORP
0.18%
6,724,137$43.84MUNCHANGED0.00%
36ATRENEW INC
0.16%
9,831,218$38.05MUNCHANGED0.00%
37APPLIED DIGITAL CORP
0.14%
885,000$33.01MNEWNEW
38CIPHER DIGITAL INC
0.09%
927,000$22.71MNEWNEW
39CORE SCIENTIFIC INC NEW
0.09%
817,000$20.91MNEWNEW
40UBER TECHNOLOGIES INC
0.05%
151,178$10.91MUNCHANGED0.00%
41JD.COM INC
0.02%
201,500$5.13MREDUCED-41.48%
42DOORDASH INC
0.02%
25,337$4.68MUNCHANGED0.00%
43PONY AI INC
0.01%
310,287$2.16MREDUCED-89.30%
44ACCELERANT HOLDINGS
0.00%
75,000$879,000UNCHANGED0.00%
45GEMINI SPACE STA INC
0.00%
70,000$298,200UNCHANGED0.00%
46MNTN INC
0.00%
20,000$184,000UNCHANGED0.00%
DATA CONTROL / SOURCE VERIFIED

Official SEC filing record

Positions are parsed from the filing's public XML information table and normalized by security identity. Activity compares reported share counts with the immediately preceding reporting period. No mock positions, inferred tickers, or estimated market prices are used.

SEC ACCEPTED
14 Aug 2026 · 10:03 ET
REPORT DATE
30 Jun 2026
ACCESSION
0000919574-26-005427
DATA PIPELINE
PRE-FETCHED / PERSISTED
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