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Tiger Global Management (Chase Coleman) - FilingSpy
Tiger Global Management
Chase Coleman
$26.64B
13F
2022 Q1
16 of 53 quarters
Overview
Activity
Holdings
Buys
STRYQ
NEW
Starry Group Holdings Inc
$181.88M
+22.02M shares
DAVE
NEW
Dave Inc.
$98.99M
+13.84M shares
APO
NEW
Apollo Global Management, Inc.
$46.14M
+744.2K shares
CRWD
Crowdstrike Holdings Inc
$1.54B
+ $457.11M
=
$2.00B
7.54M
+1.27M (+16.87%)
SE
Sea Limited
$2.55B
- $928.52M
=
$1.62B
11.39M
+2.13M (+18.70%)
SNOW
Snowflake Inc.
$2.04B
- $471.85M
=
$1.57B
6.02M
+821.1K (+13.64%)
NOW
Servicenow Inc
$1.43B
- $70.49M
=
$1.36B
2.21M
+238.8K (+10.82%)
CVNA
Carvana Co.
$1.68B
- $665.78M
=
$1.02B
7.26M
+1.27M (+17.46%)
SHOP
Shopify Inc
$1.11B
- $492.05M
=
$619.30M
806.9K
+109.3K (+13.55%)
LI
Li Auto Inc
$237.64M
+ $273.19M
=
$510.82M
7.40M
+12.39M (+167.35%)
XPEV
Xpeng Inc
$313.51M
+ $65.15M
=
$378.66M
6.23M
+7.50M (+120.33%)
XYZ
Block Inc
$223.53M
+ $147.78M
=
$371.31M
1.38M
+1.35M (+97.85%)
MNDY
Monday.com Ltd
$61.74M
+ $266.38M
=
$328.13M
200.0K
+1.88M (+937.92%)
TOST
Toast, Inc.
$156.19M
+ $119.18M
=
$275.37M
4.50M
+8.17M (+181.61%)
S
Sentinelone Inc
$89.11M
+ $139.84M
=
$228.95M
1.76M
+4.15M (+234.87%)
ONEM
1life Healthcare Inc
$242.34M
- $46.53M
=
$195.82M
13.79M
+3.88M (+28.13%)
BZ
Kanzhun Limited
$36.62M
+ $144.74M
=
$181.36M
1.05M
+6.23M (+593.39%)
OZON
Ozon Holdings Plc
$189.83M
- $109.11M
=
$80.72M
6.41M
+548.0K (+8.55%)
OLO
Olo Inc.
$44.78M
+ $3.10M
=
$47.87M
2.15M
+1.46M (+67.91%)
FRSH
Freshworks Inc.
$21.25M
+ $22.30M
=
$43.54M
809.1K
+1.62M (+200.33%)
Show all 24 buys (4 more)
Sells
ADBE
EXIT
Adobe Inc.
$418.21M
- $418.21M
=
Closed
-737.5K shares (100%)
AFRM
EXIT
Affirm Holdings Inc
$20.11M
- $20.11M
=
Closed
-200.0K shares (100%)
API
EXIT
Agora, Inc.
$1.14M
- $1.14M
=
Closed
-70.0K shares (100%)
ABNB
EXIT
Airbnb Inc
$108.22M
- $108.22M
=
Closed
-650.0K shares (100%)
ALKT
EXIT
Alkami Technology Inc
$3.01M
- $3.01M
=
Closed
-150.0K shares (100%)
AMWL
EXIT
American Well Corporation
$2.42M
- $2.42M
=
Closed
-400.0K shares (100%)
APO
EXIT
Apollo Global Management, Inc.
$461.35M
- $461.35M
=
Closed
-6.37M shares (100%)
APP
EXIT
Applovin Corporation
$56.56M
- $56.56M
=
Closed
-600.0K shares (100%)
ASAN
EXIT
Asana Inc
$145.75M
- $145.75M
=
Closed
-1.96M shares (100%)
AVLR
EXIT
Avalara Inc
$12.91M
- $12.91M
=
Closed
-100.0K shares (100%)
AVPT
EXIT
Avepoint Inc
$31.45M
- $31.45M
=
Closed
-5.00M shares (100%)
CMRC
EXIT
Commerce.com, Inc.
$47.75M
- $47.75M
=
Closed
-1.35M shares (100%)
BKSY
EXIT
Blacksky Technology Inc
$22.45M
- $22.45M
=
Closed
-5.00M shares (100%)
BRZE
EXIT
Braze Inc
$27.01M
- $27.01M
=
Closed
-350.0K shares (100%)
BHG
EXIT
Bright Health Group Inc
$11.52M
- $11.52M
=
Closed
-3.35M shares (100%)
BMBL
EXIT
Bumble Inc
$33.86M
- $33.86M
=
Closed
-1.00M shares (100%)
AI
EXIT
C3.ai Inc
$31.25M
- $31.25M
=
Closed
-1.00M shares (100%)
CD
EXIT
Chindata Group Holdings Ltd
$12.19M
- $12.19M
=
Closed
-1.85M shares (100%)
NET
EXIT
Cloudflare Inc
$23.01M
- $23.01M
=
Closed
-175.0K shares (100%)
COUP
EXIT
Coupa Software Inc
$320.59M
- $320.59M
=
Closed
-2.03M shares (100%)
Show all 129 sells (109 more)