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Tiger Global Management (Chase Coleman) - FilingSpy
Tiger Global Management
Chase Coleman
$26.59B
13F
2025 Q1
4 of 53 quarters
Overview
Activity
Holdings
Buys
APP
NEW
Applovin Corporation
$442.03M
+1.67M shares
Z
NEW
Zillow Group Inc.
$357.54M
+5.21M shares
GEV
NEW
GE Vernova Inc
$322.16M
+1.06M shares
XYZ
NEW
Block Inc
$102.40M
+1.88M shares
ZG
NEW
Zillow Group Inc.
$60.35M
+902.6K shares
MSFT
Microsoft Corporation
$2.25B
+ $90.19M
=
$2.34B
5.34M
+896.7K (+16.78%)
AMZN
Amazon.com Inc
$1.41B
- $153.97M
=
$1.25B
6.42M
+173.0K (+2.70%)
NVDA
Nvidia Corporation
$1.30B
- $111.74M
=
$1.19B
9.68M
+1.28M (+13.26%)
LLY
Eli Lilly and Co.
$1.01B
+ $91.27M
=
$1.10B
1.31M
+25.0K (+1.91%)
TSM
Taiwan Semiconductor Manufacturing Co. Ltd.
$717.87M
- $13.79M
=
$704.08M
3.63M
+606.5K (+16.68%)
VEEV
Veeva Systems Inc
$79.47M
+ $481.19M
=
$560.66M
378.0K
+2.04M (+540.34%)
PDD
Pdd Holdings Inc
$254.96M
+ $267.64M
=
$522.60M
2.63M
+1.79M (+67.98%)
SHW
The Sherwin-Williams Company
$341.39M
+ $79.09M
=
$420.49M
1.00M
+199.9K (+19.90%)
AVGO
Broadcom Inc
$427.86M
- $47.54M
=
$380.32M
1.85M
+426.0K (+23.08%)
RDDT
Reddit Inc
$331.95M
+ $8.94M
=
$340.88M
2.03M
+1.22M (+60.00%)
ZS
Zscaler Inc
$261.59M
+ $71.55M
=
$333.15M
1.45M
+229.0K (+15.79%)
LRCX
Lam Research Corp
$285.86M
+ $35.81M
=
$321.68M
3.96M
+467.0K (+11.80%)
CPNG
Coupang Inc.
$178.48M
+ $113.81M
=
$292.29M
8.12M
+5.21M (+64.14%)
NU
Nu Holdings Ltd
$91.98M
+ $20.99M
=
$112.97M
8.88M
+2.15M (+24.26%)
Sells
OKLO
EXIT
Oklo Inc
$64.90M
- $64.90M
=
Closed
-3.06M shares (100%)
ARM
EXIT
Arm Holdings Plc
$37.01M
- $37.01M
=
Closed
-300.0K shares (100%)
TEAM
EXIT
Atlassian Corporation
$97.48M
- $97.48M
=
Closed
-400.5K shares (100%)
DDOG
EXIT
Datadog, Inc.
$139.95M
- $139.95M
=
Closed
-979.4K shares (100%)
DDL
EXIT
Dingdong (cayman) Limited
$388.8K
- $388.8K
=
Closed
-118.5K shares (100%)
KVYO
EXIT
Klaviyo Inc
$1.44M
- $1.44M
=
Closed
-35.0K shares (100%)
QCOM
EXIT
Qualcomm Inc
$285.38M
- $285.38M
=
Closed
-1.86M shares (100%)
RBRK
EXIT
Rubrik, Inc.
$16.34M
- $16.34M
=
Closed
-250.0K shares (100%)
SARO
EXIT
Standardaero Inc
$3.96M
- $3.96M
=
Closed
-160.0K shares (100%)
APO
Apollo Global Management, Inc.
$2.03B
- $1.18B
=
$850.33M
6.21M left
-6.06M (-49.40%)
UBER
Uber Technologies Inc
$156.70M
- $145.69M
=
$11.01M
151.2K left
-2.45M (-94.18%)