Filing
Spy
Filing
Spy
Home
About
Tiger Global Management (Chase Coleman) - FilingSpy
Tiger Global Management
Chase Coleman
$11.97B
13F
2023 Q2
11 of 53 quarters
Overview
Activity
Holdings
Buys
LLY
NEW
Eli Lilly and Co.
$339.59M
+724.1K shares
NVO
NEW
Novo Nordisk A/s
$102.68M
+634.5K shares
META
Meta Platforms Inc
$1.58B
+ $877.56M
=
$2.46B
7.46M
+1.11M (+14.86%)
APO
Apollo Global Management, Inc.
$165.16M
+ $782.75M
=
$947.91M
2.61M
+9.73M (+371.94%)
TTWO
Take-Two Interactive Software, Inc.
$286.35M
+ $416.44M
=
$702.78M
2.40M
+2.38M (+98.97%)
INTU
Intuit Inc
$199.91M
+ $286.83M
=
$486.74M
448.4K
+613.9K (+136.91%)
NVDA
Nvidia Corporation
$12.19M
+ $253.71M
=
$265.90M
43.9K
+584.7K (+1332.65%)
LRCX
Lam Research Corp
$53.13M
+ $166.42M
=
$219.55M
100.2K
+241.3K (+240.75%)
FLT
Fleetcor Technologies, Inc.
$35.19M
+ $162.21M
=
$197.40M
166.9K
+619.3K (+371.06%)
TSM
Taiwan Semiconductor Manufacturing Co. Ltd.
$147.77M
+ $40.81M
=
$188.57M
1.59M
+280.0K (+17.63%)
UBER
Uber Technologies Inc
$19.02M
+ $134.54M
=
$153.56M
600.0K
+2.96M (+492.83%)
GRAB
Grab Holdings Limited
$55.47M
+ $24.88M
=
$80.35M
18.43M
+5.00M (+27.11%)
Sells
AAPL
EXIT
Apple Inc
$140.33M
- $140.33M
=
Closed
-851.0K shares (100%)
AMAT
EXIT
Applied Materials, Inc.
$51.53M
- $51.53M
=
Closed
-419.5K shares (100%)
HCP
EXIT
Hashicorp, Inc.
$5.15M
- $5.15M
=
Closed
-175.7K shares (100%)
LW
EXIT
Lamb Weston Holdings Inc
$18.79M
- $18.79M
=
Closed
-179.8K shares (100%)
MA
EXIT
Mastercard Incorporated
$263.11M
- $263.11M
=
Closed
-724.0K shares (100%)
MBLY
EXIT
Mobileye Global Inc
$19.47M
- $19.47M
=
Closed
-450.0K shares (100%)
MDB
EXIT
Mongodb Inc
$50.47M
- $50.47M
=
Closed
-216.5K shares (100%)
ONTF
EXIT
On24 Inc
$734.1K
- $734.1K
=
Closed
-83.8K shares (100%)
OZON
EXIT
Ozon Holdings Plc
$40.79M
- $40.79M
=
Closed
-3.52M shares (100%)
PANW
EXIT
Palo Alto Networks Inc
$51.47M
- $51.47M
=
Closed
-257.7K shares (100%)
S
EXIT
Sentinelone Inc
$599.3K
- $599.3K
=
Closed
-36.6K shares (100%)
SHOP
EXIT
Shopify Inc
$4.58M
- $4.58M
=
Closed
-95.5K shares (100%)
XYZ
EXIT
Block Inc
$113.01M
- $113.01M
=
Closed
-1.65M shares (100%)
V
EXIT
Visa Inc
$36.75M
- $36.75M
=
Closed
-163.0K shares (100%)
WEAV
EXIT
Weave Communications Inc
$24.54M
- $24.54M
=
Closed
-4.94M shares (100%)
JOBY
EXIT
Joby Aviation Inc
$65.7K
- $65.7K
=
Closed
-101.0K shares (100%)
XP
EXIT
Xp Inc.
$86.60M
- $86.60M
=
Closed
-7.30M shares (100%)
MSFT
Microsoft Corporation
$1.71B
+ $220.35M
=
$1.93B
5.67M left
-262.9K (-4.43%)
JD
Jd.com Inc
$1.06B
- $337.50M
=
$719.28M
21.07M left
-3.00M (-12.47%)
AMZN
Amazon.com Inc
$1.00B
- $518.66M
=
$481.72M
3.70M left
-5.99M (-61.85%)
Show all 36 sells (16 more)