Tiger Global Management Chase Coleman III
Top positions activity
Value History
Quarterly report: Q4 2025
Total portfolio value: $29.7B
| TICKER | CORP NAME | VALUE($) | SHARES | +/- SHARES | OWNERSHIP HISTORY |
|---|---|---|---|---|---|
|
GOOGL
|
Alphabet Inc - Class A | 3.3B 11.19% | 10.6M | = | |
|
MSFT
|
Microsoft Corporation | 2.6B 8.91% | 5.5M | -1.1M ↓16.39% | |
|
AMZN
|
Amazon.com Inc. | 2.3B 7.77% | 10.0M | -1.0M ↓9.35% | |
|
NVDA
|
NVIDIA Corp | 2.1B 6.91% | 11.0M | -698.0K ↓5.96% | |
|
SE
|
Sea Ltd - ADR | 2.0B 6.61% | 15.4M | -625.5K ↓3.90% | |
|
FB
|
Meta Platforms Inc - Class A | 1.8B 6.11% | 2.8M | -68.4K ↓2.43% | |
|
TTWO
|
Take-Two Interactive Software, Inc. | 1.5B 5.03% | 5.8M | = | |
|
TSM
|
Taiwan Semiconductor Manufacturing - ADR | 1.1B 3.81% | 3.7M | -852.9K ↓18.63% | |
|
AVGO
|
Broadcom Inc | 995.3M 3.34% | 2.9M | -14.0K ↓0.48% | |
|
APO
|
Apollo Global Management Inc - Class A (New) | 898.9M 3.02% | 6.2M | = | |
|
AP+
|
Ampco-Pittsburgh Corp. - Warrants (01/08/2025) | 871.2M 2.93% | 1.3M | -710.0K ↓35.45% | |
|
SPOT
|
Spotify Technology S.A. | 732.5M 2.46% | 1.3M | = | |
|
LRCX
|
Lam Research Corp. | 667.7M 2.24% | 3.9M | -1.4M ↓25.85% | |
|
CPNG
|
Coupang Inc - Class A | 619.6M 2.08% | 26.3M | +10.4M ↑65.85% | |
|
VEEV
|
Veeva Systems Inc - Class A | 540.3M 1.81% | 2.4M | = | |
|
GRAB
|
Grab Holdings Limited - Class A | 463.7M 1.56% | 92.9M | = | |
|
SQ
|
Block Inc - Class A | 414.3M 1.39% | 6.4M | +1.9M ↑43.89% | |
|
Z
|
Zillow Group Inc - Class C | 413.2M 1.39% | 6.1M | +1.0M ↑20.06% | |
|
ZS
|
Zscaler Inc | 355.3M 1.19% | 1.6M | -103.5K ↓6.15% | |
|
NOW
|
ServiceNow Inc | 325.8M 1.09% | 2.1M | +1.8M ↑608.96% | |
|
FWONK
|
Liberty Media Corp. (Tracking Stock -Liberty Formula 1) Series C | 264.2M 0.88% | 2.7M | = | |
|
AMAT
|
Applied Materials Inc. | 230.1M 0.77% | 895.2K | = | |
|
NFLX
|
NetFlix Inc | 228.7M 0.76% | 2.4M | +2.2M ↑1108.02% | |
|
WDAY
|
Workday Inc - Class A | 214.8M 0.72% | 1000.0K | = | |
|
WLTH
|
Northern Lights Fund Trust II - LifeGoal Wealth Builder ETF | 206.0M 0.69% | 15.2M | +15.2M Newly Added | |
|
NU
|
Nu Holdings Ltd Class A | 184.7M 0.62% | 11.0M | = | |
|
PCOR
|
Procore Technologies Inc | 170.2M 0.57% | 2.3M | = | |
|
CSGP
|
Costar Group, Inc. | 151.9M 0.51% | 2.3M | -986.0K ↓30.38% |