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Tiger Global Management

Chase Coleman

Latest 13F filed May 15, 2026 for the quarter ending Mar 31, 2026 · $22.85B across 54 positions · view on SEC EDGAR

Recent SEC filings · past 3 months

FiledFormSubject / period
May 22, 2026SCHEDULE 13GCerebras Systems Inc.SEC
May 15, 202613F-HRQuarter ending Mar 31, 2026SEC

Top holdings

#HoldingValue% of bookShares
1ALPHABET INC$3.06B13.4%10,631,402
2NVIDIA CORPORATION$2.09B9.2%12,011,752
3AMAZON COM INC$2.08B9.1%10,000,000
4TAIWAN SEMICONDUCTOR MANUFAC$1.88B8.2%5,565,074
5META PLATFORMS INC$1.77B7.7%3,086,864
6SEA LTD$1.28B5.6%15,415,835
7BROADCOM INC$1.11B4.9%3,584,814
8MICROSOFT CORP$925.4M4.1%2,500,000
9GE VERNOVA INC$849.3M3.7%972,994
10LAM RESEARCH CORP$833.4M3.6%3,900,439
11SPOTIFY TECHNOLOGY S A$766.5M3.4%1,580,761
12COUPANG INC$653.2M2.9%34,595,407
13APPLIED MATLS INC$566.3M2.5%1,656,900
14CORPAY INC$509.9M2.2%1,752,146
15APPLOVIN CORP$398.0M1.7%1,000,000
16TAKE-TWO INTERACTIVE SOFTWAR$395.0M1.7%2,000,000
17APOLLO GLOBAL MGMT INC$366.9M1.6%3,293,334
18REDDIT INC$336.6M1.5%2,500,000
19ZILLOW GROUP INC$304.9M1.3%7,368,957
20BLOCK INC$240.7M1.1%4,000,000
21NETFLIX INC.$234.5M1.0%2,439,000
22MERCADOLIBRE INC$233.4M1.0%135,006
23LIBERTY MEDIA CORP DEL$228.0M1.0%2,682,000
24ZSCALER INC$221.6M1.0%1,579,766
25CHIME FINL INC$207.6M0.9%11,081,780

Showing top 25 of 54 reported positions. Put/Call tags mark options positions.

Latest-quarter moves · from the most recent 13F vs. the prior quarter

New buys (7)
  • MERCADOLIBRE INC$233.4M
  • LUMENTUM HLDGS INC$96.1M
  • EQUIPMENTSHARE COM INC$93.3M
  • INTEL CORP$72.3M
  • ROBINHOOD VENTURES FD I$10.6M
  • PAYPAY CORP$8.5M
  • XANADU QUANTUM TECHNOLO LTD$3.8M
Added to (8)
  • NVIDIA CORPORATION$2.09B
  • TAIWAN SEMICONDUCTOR MANUFAC$1.88B
  • META PLATFORMS INC$1.77B
  • BROADCOM INC$1.11B
  • SPOTIFY TECHNOLOGY S A$766.5M
  • COUPANG INC$653.2M
  • APPLIED MATLS INC$566.3M
  • ZILLOW GROUP INC$304.9M
Trimmed (11)
  • AMAZON COM INC$2.08B
  • MICROSOFT CORP$925.4M
  • APPLOVIN CORP$398.0M
  • TAKE-TWO INTERACTIVE SOFTWAR$395.0M
  • APOLLO GLOBAL MGMT INC$366.9M
  • REDDIT INC$336.6M
  • BLOCK INC$240.7M
  • CHIME FINL INC$207.6M
  • SERVICENOW INC$156.8M
  • UNITEDHEALTH GROUP INC$94.8M
  • COSTAR GROUP INC$60.5M
Exited (7)
  • FLUTTER ENTMT PLC$860.9M
  • VEEVA SYS INC$540.3M
  • GRAB HOLDINGS LIMITED$463.7M
  • WORKDAY INC$214.8M
  • ELASTIC N V$127.5M
  • HINGE HEALTH INC$83.9M
  • CIRCLE INTERNET GROUP INC$39.6M

Data from SEC EDGAR filings. 13Fs are quarterly and lag by up to 45 days, cover only US-listed long positions and certain options, and exclude shorts and non-US holdings. Not investment advice.