NEW YORK, NY · CIK 0001167483
Tiger Global Management
TIGER GLOBAL MANAGEMENT LLC
Portfolio value
$34.08B
| # | Issuer | Ticker | Weight | Value | Shares / Prin | QoQ |
|---|---|---|---|---|---|---|
| 1 | META PLATFORMS INC Class A | META |
16.3%
|
$5.56B | 7,533,525 SH | increased +1% |
| 2 | MICROSOFT CORP | MSFT |
9.6%
|
$3.26B | 6,551,368 SH | increased +5% |
| 3 | SEA LTD ADR | SE |
7.5%
|
$2.57B | 16,041,335 SH | unchanged |
| 4 | AMAZON COM INC | AMZN |
6.9%
|
$2.34B | 10,685,541 SH | increased +62% |
| 5 | ALPHABET INC Class A | GOOGL |
5.5%
|
$1.87B | 10,631,402 SH | increased +3% |
| 6 | NVIDIA CORPORATION | NVDA |
5.4%
|
$1.85B | 11,709,752 SH | increased +7% |
| 7 | TAKE-TWO INTERACTIVE SOFTWAR | TTWO |
4.2%
|
$1.42B | 5,839,256 SH | unchanged |
| 8 | ELI LILLY & CO | LLY |
3.5%
|
$1.18B | 1,511,160 SH | increased +13% |
| 9 | TAIWAN SEMICONDUCTOR MFG LTD ADR | TSM |
3.0%
|
$1.04B | 4,578,374 SH | increased +8% |
| 10 | FLUTTER ENTMT PLC | FLUT |
2.9%
|
$986.8M | 3,453,392 SH | increased +2% |
| 11 | SPOTIFY TECHNOLOGY S A | SPOT |
2.8%
|
$968.0M | 1,261,461 SH | unchanged |
| 12 | REDDIT INC Class A | RDDT |
2.7%
|
$925.9M | 6,148,984 SH | increased +89% |
| 13 | APOLLO GLOBAL MGMT INC | APO |
2.6%
|
$880.9M | 6,209,496 SH | unchanged |
| 14 | BROADCOM INC | AVGO |
2.2%
|
$745.1M | 2,703,214 SH | increased +19% |
| 15 | APPLOVIN CORP Class A | APP |
2.1%
|
$701.2M | 2,002,989 SH | increased +20% |
| 16 | VEEVA SYS INC Class A | VEEV |
2.0%
|
$697.1M | 2,420,500 SH | unchanged |
| 17 | GE VERNOVA INC | GEV |
1.7%
|
$580.9M | 1,097,794 SH | increased +4% |
| 18 | ZSCALER INC | ZS |
1.6%
|
$528.4M | 1,683,266 SH | increased +0% |
| 19 | LAM RESEARCH CORP | LRCX |
1.5%
|
$512.0M | 5,260,328 SH | increased +19% |
| 20 | CORPAY INC | CPAY |
1.5%
|
$498.3M | 1,501,646 SH | increased +20% |
| 21 | GRAB HOLDINGS LIMITED Class A | GRAB |
1.4%
|
$467.4M | 92,923,788 SH | unchanged |
| 22 | ZILLOW GROUP INC Class C | Z |
1.3%
|
$436.3M | 6,229,087 SH | increased +19% |
| 23 | CHIME FINL INC Class A | CHYM |
1.3%
|
$430.4M | 12,470,768 SH | new |
| 24 | SHERWIN WILLIAMS CO | SHW |
1.2%
|
$413.5M | 1,204,175 SH | unchanged |
| 25 | COUPANG INC Class A | CPNG |
1.2%
|
$407.0M | 13,585,579 SH | increased +2% |
| 26 | SERVICENOW INC | NOW |
0.9%
|
$308.4M | 300,000 SH | reduced -48% |
| 27 | LIBERTY MEDIA CORP DEL | FWONK |
0.8%
|
$280.3M | 2,682,000 SH | unchanged |
| 28 | BLOCK INC Class A | XYZ |
0.8%
|
$267.9M | 3,944,440 SH | increased +109% |
| 29 | COSTAR GROUP INC | CSGP |
0.8%
|
$260.9M | 3,245,109 SH | unchanged |
| 30 | CROWDSTRIKE HLDGS INC Class A | CRWD |
0.7%
|
$254.7M | 500,000 SH | reduced -44% |
| 31 | WORKDAY INC Class A | WDAY |
0.7%
|
$240.0M | 1,000,000 SH | reduced -47% |
| 32 | APPLIED MATLS INC | AMAT |
0.5%
|
$163.9M | 895,200 SH | unchanged |
| 33 | PROCORE TECHNOLOGIES INC | PCOR |
0.5%
|
$160.1M | 2,339,500 SH | unchanged |
| 34 | NU HLDGS LTD Class A | G6683N103 |
0.4%
|
$151.4M | 11,032,555 SH | unchanged |
| 35 | ELASTIC N V | ESTC |
0.4%
|
$142.6M | 1,690,700 SH | unchanged |
| 36 | WEBULL CORP | BULL |
0.4%
|
$140.2M | 11,724,137 SH | new |
| 37 | UNITEDHEALTH GROUP INC | UNH |
0.4%
|
$136.9M | 438,800 SH | unchanged |
| 38 | NOVO-NORDISK A S ADR | NVO |
0.3%
|
$87.6M | 1,269,000 SH | unchanged |
| 39 | ZILLOW GROUP INC Class A | ZG |
0.2%
|
$68.8M | 1,004,643 SH | increased +11% |
| 40 | ATRENEW INC ADR | RERE |
0.1%
|
$32.5M | 9,831,218 SH | reduced -14% |
| 41 | HINGE HEALTH INC Class A | HNGE |
0.1%
|
$28.6M | 552,008 SH | new |
| 42 | ZKH GROUP LTD ADR | ZKH |
0.1%
|
$24.6M | 7,996,846 SH | reduced -2% |
| 43 | CIRCLE INTERNET GROUP INC Class A | CRCL |
0.1%
|
$22.7M | 125,000 SH | new |
| 44 | UBER TECHNOLOGIES INC | UBER |
0.0%
|
$14.1M | 151,178 SH | unchanged |
| 45 | JD.COM INC Class A | JD |
0.0%
|
$11.2M | 344,309 SH | unchanged |
| 46 | DOORDASH INC Class A | DASH |
0.0%
|
$6.2M | 25,337 SH | reduced -99% |
| 47 | ETORO GROUP LTD Class A | ETOR |
0.0%
|
$5.3M | 80,000 SH | new |
| 48 | PONY AI INC ADR | PONY |
0.0%
|
$4.9M | 370,000 SH | unchanged |
| 49 | TRIUMPH FINANCIAL INC | TFIN |
0.0%
|
$2.4M | 43,708 SH | new |
| 50 | MNTN INC Class A | MNTN |
0.0%
|
$437K | 20,000 SH | new |
New this quarter
| Issuer | Ticker | Value | Shares |
|---|---|---|---|
| CHIME FINL INC | CHYM | $430.4M | 12,470,768 |
| WEBULL CORP | BULL | $140.2M | 11,724,137 |
| HINGE HEALTH INC | HNGE | $28.6M | 552,008 |
| CIRCLE INTERNET GROUP INC | CRCL | $22.7M | 125,000 |
| ETORO GROUP LTD | ETOR | $5.3M | 80,000 |
| TRIUMPH FINANCIAL INC | TFIN | $2.4M | 43,708 |
| MNTN INC | MNTN | $437K | 20,000 |
Exited this quarter
| Issuer | Ticker | Prior value | Prior shares |
|---|---|---|---|
| PDD HOLDINGS INC | PDD | $522.6M | 4,415,681 |
| SERVICETITAN INC | TTAN | $123.8M | 1,301,398 |