Chase Coleman
Tiger Global
Portfolio (13F)
$22.85B
Holdings
54
As of
Mar 31, 2026
Latest moves — news scan (AI)
A daily AI scan of news & filings — beyond the official (lagged) 13F.
Scanning recent news…
AI insight on these moves
New buys
7Mercadolibre INC
135.01K shares · 1.02% of port.
$233.43M
New
Lumentum Hldgs INC
136.80K shares · 0.42% of port.
$96.14M
New
Equipmentshare COM INC
4.58M shares · 0.41% of port.
$93.29M
New
Intel CORP
1.64M shares · 0.32% of port.
$72.32M
New
Robinhood Ventures Fd I
400.00K shares · 0.05% of port.
$10.62M
New
Paypay CORP
400.00K shares · 0.04% of port.
$8.54M
New
Xanadu Quantum Technolo LTD
500.00K shares · 0.02% of port.
$3.83M
New
Sold out
7Flutter Entmt PLC
0 shares
$860.92M
Exited
Veeva Sys INC
0 shares
$540.33M
Exited
Grab Holdings Limited
0 shares
$463.69M
Exited
Workday INC
0 shares
$214.78M
Exited
Elastic N V
0 shares
$127.55M
Exited
Hinge Health INC
0 shares
$83.88M
Exited
Circle Internet Group INC
0 shares
$39.65M
Exited
Added
8Nvidia Corporation
12.01M shares · 9.17% of port.
$2.09B
+9.08%
Taiwan Semiconductor Manufac
5.57M shares · 8.23% of port.
$1.88B
+49.38%
Meta Platforms INC
3.09M shares · 7.73% of port.
$1.77B
+12.22%
Broadcom INC
3.58M shares · 4.86% of port.
$1.11B
+24.66%
Spotify Technology S A
1.58M shares · 3.36% of port.
$766.53M
+25.31%
Coupang INC
34.60M shares · 2.86% of port.
$653.16M
+31.71%
Applied Matls INC
1.66M shares · 2.48% of port.
$566.31M
+85.09%
Zillow Group INC
7.37M shares · 1.33% of port.
$304.93M
+21.66%
Trimmed
11Amazon COM INC
10.00M shares · 9.12% of port.
$2.08B
-0.11%
Microsoft CORP
2.50M shares · 4.05% of port.
$925.42M
-54.36%
Applovin CORP
1.00M shares · 1.74% of port.
$398.00M
-22.66%
Take-Two Interactive Softwar
2.00M shares · 1.73% of port.
$395.00M
-65.75%
Apollo Global Mgmt INC
3.29M shares · 1.61% of port.
$366.94M
-46.96%
Reddit INC
2.50M shares · 1.47% of port.
$336.63M
-34.96%
Block INC
4.00M shares · 1.05% of port.
$240.72M
-37.15%
Chime Finl INC
11.08M shares · 0.91% of port.
$207.56M
-21.92%
Servicenow INC
1.50M shares · 0.69% of port.
$156.82M
-29.47%
Unitedhealth Group INC
350.44K shares · 0.42% of port.
$94.83M
-16.60%
Costar Group INC
1.50M shares · 0.26% of port.
$60.51M
-33.60%
Top holdings
25Alphabet INC
10.63M shares · 13.38% of port.
$3.06B
0.00%
Nvidia Corporation
12.01M shares · 9.17% of port.
$2.09B
+9.08%
Amazon COM INC
10.00M shares · 9.12% of port.
$2.08B
-0.11%
Taiwan Semiconductor Manufac
5.57M shares · 8.23% of port.
$1.88B
+49.38%
Meta Platforms INC
3.09M shares · 7.73% of port.
$1.77B
+12.22%
Sea LTD
15.42M shares · 5.59% of port.
$1.28B
0.00%
Broadcom INC
3.58M shares · 4.86% of port.
$1.11B
+24.66%
Microsoft CORP
2.50M shares · 4.05% of port.
$925.42M
-54.36%
Ge Vernova INC
972.99K shares · 3.72% of port.
$849.33M
0.00%
Lam Research CORP
3.90M shares · 3.65% of port.
$833.37M
0.00%
Spotify Technology S A
1.58M shares · 3.36% of port.
$766.53M
+25.31%
Coupang INC
34.60M shares · 2.86% of port.
$653.16M
+31.71%
Applied Matls INC
1.66M shares · 2.48% of port.
$566.31M
+85.09%
Corpay INC
1.75M shares · 2.23% of port.
$509.86M
0.00%
Applovin CORP
1.00M shares · 1.74% of port.
$398.00M
-22.66%
Take-Two Interactive Softwar
2.00M shares · 1.73% of port.
$395.00M
-65.75%
Apollo Global Mgmt INC
3.29M shares · 1.61% of port.
$366.94M
-46.96%
Reddit INC
2.50M shares · 1.47% of port.
$336.63M
-34.96%
Zillow Group INC
7.37M shares · 1.33% of port.
$304.93M
+21.66%
Block INC
4.00M shares · 1.05% of port.
$240.72M
-37.15%
Netflix INC.
2.44M shares · 1.03% of port.
$234.51M
0.00%
Mercadolibre INC
135.01K shares · 1.02% of port.
$233.43M
—
Liberty Media CORP Del
2.68M shares · 1.00% of port.
$228.02M
0.00%
Zscaler INC
1.58M shares · 0.97% of port.
$221.63M
0.00%
Chime Finl INC
11.08M shares · 0.91% of port.
$207.56M
-21.92%
13F data from SEC EDGAR: a snapshot of US long equity positions, lagged up to ~45 days after quarter-end. Excludes shorts, cash, bonds and non-US holdings. For research only — not investment advice.
