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TIGER GLOBAL MANAGEMENT LLC 13F

Latest reported portfolio for Q1 2026, straight from the SEC information table. Not investment advice.

Portfolio value
$22.8B
Positions
54
Top 10 weight
70%
Quarter
Q1 2026

Versus Q4 2025: 7 new, 8 added, 11 trimmed, 7 sold out.

HoldingValue% of bookSharesvs prior Q
ALPHABET INC
CAP STK CL A · 02079K305
$3.1B13.4%10,631,402HELD
NVIDIA CORPORATION
COM · 67066G104
$2.1B9.2%12,011,752ADDED +9%
AMAZON COM INC
COM · 023135106
$2.1B9.1%10,000,000REDUCED -0%
TAIWAN SEMICONDUCTOR MANUFAC
SPONSORED ADS · 874039100
$1.9B8.2%5,565,074ADDED +49%
META PLATFORMS INC
CL A · 30303M102
$1.8B7.7%3,086,864ADDED +12%
SEA LTD
SPONSORD ADS · 81141R100
$1.3B5.6%15,415,835HELD
BROADCOM INC
COM · 11135F101
$1.1B4.9%3,584,814ADDED +25%
MICROSOFT CORP
COM · 594918104
$925.4M4.0%2,500,000REDUCED -54%
GE VERNOVA INC
COM · 36828A101
$849.3M3.7%972,994HELD
LAM RESEARCH CORP
COM NEW · 512807306
$833.4M3.6%3,900,439HELD
SPOTIFY TECHNOLOGY S A
SHS · L8681T102
$766.5M3.4%1,580,761ADDED +25%
COUPANG INC
CL A · 22266T109
$653.2M2.9%34,595,407ADDED +32%
APPLIED MATLS INC
COM · 038222105
$566.3M2.5%1,656,900ADDED +85%
CORPAY INC
COM SHS · 219948106
$509.9M2.2%1,752,146HELD
APPLOVIN CORP
COM CL A · 03831W108
$398M1.7%1,000,000REDUCED -23%
TAKE-TWO INTERACTIVE SOFTWAR
COM · 874054109
$395M1.7%2,000,000REDUCED -66%
APOLLO GLOBAL MGMT INC
COM · 03769M106
$366.9M1.6%3,293,334REDUCED -47%
REDDIT INC
CL A · 75734B100
$336.6M1.5%2,500,000REDUCED -35%
ZILLOW GROUP INC
CL C CAP STK · 98954M200
$304.9M1.3%7,368,957ADDED +22%
BLOCK INC
CL A · 852234103
$240.7M1.1%4,000,000REDUCED -37%
NETFLIX INC.
COM · 64110L106
$234.5M1.0%2,439,000HELD
MERCADOLIBRE INC
COM · 58733R102
$233.4M1.0%135,006NEW
LIBERTY MEDIA CORP DEL
COM LBTY ONE S C · 531229755
$228M1.0%2,682,000HELD
ZSCALER INC
COM · 98980G102
$221.6M1.0%1,579,766HELD
CHIME FINL INC
COM SHS CL A · 16935C109
$207.6M0.9%11,081,780REDUCED -22%
NU HLDGS LTD
ORD SHS CL A · G6683N103
$158.5M0.7%11,032,555HELD
SERVICENOW INC
COM · 81762P102
$156.8M0.7%1,500,000REDUCED -30%
WEALTHFRONT CORP
COM · 947002101
$140.2M0.6%15,156,877HELD
PROCORE TECHNOLOGIES INC
COM · 74275K108
$133.4M0.6%2,339,500HELD
LUMENTUM HLDGS INC
COM · 55024U109
$96.1M0.4%136,800NEW
UNITEDHEALTH GROUP INC
COM · 91324P102
$94.8M0.4%350,445REDUCED -17%
EQUIPMENTSHARE COM INC
COM CL A · 29445S100
$93.3M0.4%4,579,646NEW
SHERWIN WILLIAMS CO
COM · 824348106
$82.4M0.4%257,083HELD
INTEL CORP
COM · 458140100
$72.3M0.3%1,638,700NEW
COSTAR GROUP INC
COM · 22160N109
$60.5M0.3%1,500,000REDUCED -34%
ATRENEW INC
SPONSORED ADS · 00138L108
$46.1M0.2%9,831,218HELD
ZILLOW GROUP INC
CL A · 98954M101
$42.4M0.2%1,023,733HELD
WEBULL CORP
ORD SHS · G9572D103
$32.3M0.1%6,724,137HELD
PONY AI INC
SPONSORED ADS · 732908108
$27.4M0.1%2,900,000HELD
UBER TECHNOLOGIES INC
COM · 90353T100
$10.9M0.1%151,178HELD

Sold out entirely last quarter

Get this in your code: free API key, then GET /v1/holdings/tiger-global. Full quarter-over-quarter diff, options flagged, JSON. See also insider cluster buys and the live buy radar.

View the raw 13F on SEC EDGAR → · 13F is filed up to 45 days after quarter-end, so it reflects positions as of Q1 2026, not today.