Institutions

Tiger Global Management

Growth / tech · filed as “TIGER GLOBAL MANAGEMENT LLC” · CIK 1167483

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Disclosed portfolio

$23.98B

period 2026-06-30

Positions

46

distinct issuer/class lines

Filed

2026-08-14

13F-HR — up to 45d after quarter end

Top holdings (25 of 46 — % of the full disclosed portfolio)

#IssuerClassValueSharesWeight
1TAIWAN SEMICONDUCTOR MANUFACTSMSPONSORED ADS$2.33B4,881,0089.7%
2AMAZON COM INCAMZNCOM$2.31B9,683,5589.6%
3NVIDIA CORPORATIONNVDACOM$2.24B11,198,7739.3%
4ALPHABET INCGOOGLCAP STK CL A$2.07B5,805,6878.7%
5META PLATFORMS INCMETACL A$1.59B2,823,1806.6%
6LAM RESEARCH CORPLRCXCOM NEW$1.37B3,163,4955.7%
7SEA LTDSESPONSORD ADS$1.20B12,559,1525.0%
8APPLIED MATLS INCAMATCOM$1.18B1,632,2104.9%
9GE VERNOVA INCGEVCOM$937.0M797,5113.9%
10MICROSOFT CORPMSFTCOM$845.6M2,266,9133.5%
11CORPAY INCCPAYCOM SHS$716.5M2,149,8773.0%
12CEREBRAS SYSTEMS INCCBRSCOM CL A$662.8M2,999,0002.8%
13BROADCOM INCAVGOCOM$662.6M1,754,0622.8%
14COUPANG INCCPNGCL A$633.4M36,467,9722.6%
15INTEL CORPINTCCOM$593.8M4,252,6902.5%
16SPOTIFY TECHNOLOGY S ASHS$537.8M1,171,4272.2%
17TAKE-TWO INTERACTIVE SOFTWARTTWOCOM$452.3M1,809,3481.9%
18REDDIT INCRDDTCL A$439.0M2,528,8191.8%
19ADVANCED MICRO DEVICES INCAMDCOM$392.0M674,7271.6%
20BLOCK INCXYZCL A$347.8M4,576,0071.5%
21APOLLO GLOBAL MGMT INCAPOCOM$322.2M2,723,1101.3%
22SEAGATE TECHNOLOGY HLDNGS PLORD SHS$275.1M285,1001.1%
23VISA INCVCOM CL A$274.0M798,6971.1%
24MERCADOLIBRE INCMELICOM$259.9M153,1261.1%
25LIBERTY MEDIA CORP DELFWONKCOM LBTY ONE S C$216.8M2,278,5550.9%

As filed with the SEC (original filing). 13F discloses long US equity positions only — no shorts, bonds, cash or non-US holdings — and reflects the position at quarter end, not today. Historical observation, not an endorsement, never advice.