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Chase Coleman
Tiger Global Management13F filer
Long-duration growth; technology and internet — as the firm describes itselfPortfolio as of Jun 30, 2026Filed Aug 14, 2026
Quarter ended Jun 30, 2026, from the 13F filed Aug 14, 2026Changes are against the quarter ended Mar 31, 2026U.S.-listed shares only — no bonds, cash, shorts or foreign listings
Portfolio value
$23.98B
As reported, at quarter-end prices
Positions
46
U.S.-listed companies held
9 new · 17 exited this quarter
Concentration
67%in the top 10
Weight held in the ten largest positions
This quarter
6added · 20trimmed
Positions resized since the prior quarter
What changed this quarter
See which positions were opened, increased, reduced or closed—and how large those positions are now.
30 of 52 reported changes are available in this view.
| Company | Reported move | Change in shares | Portfolio weight now |
|---|---|---|---|
CEREBRAS SYSTEMS INCCBRS | New position | Not held in prior quarter | 2.76% |
| New position | Not held in prior quarter | 1.63% | |
| New position | Not held in prior quarter | 1.15% | |
| New position | Not held in prior quarter | 1.14% | |
| New position | Not held in prior quarter | 0.36% | |
| New position | Not held in prior quarter | 0.27% | |
| New position | Not held in prior quarter | 0.14% | |
CIPHER DIGITAL INCCIFR | New position | Not held in prior quarter | 0.09% |
APPLOVIN CORPAPP | Sold out | Position closed | No longer held |
ZILLOW GROUP INCZ | Sold out | Position closed | No longer held |
Showing 1–10 of 52 changes · Share classes count separatelyBars: square-root scale · Percentages shown · — unavailable
Changes compare reported share counts at quarter-end. The filing does not tell us when trades happened or why the investor made them.
Portfolio
| Ticker | Issuer | % of portfolio | Reported price | Value | Shares |
|---|---|---|---|---|---|
| TSM | TAIWAN SEMICONDUCTOR MANUFAC· SPONSORED ADSDECREASED -12.3% | 9.72% | $477.57 | $2.33B | 4.9M |
| AMZN | AMAZON COM INCDECREASED -3.2% | 9.62% | $238.34 | $2.31B | 9.7M |
| NVDA | NVIDIA CORPORATIONDECREASED -6.8% | 9.34% | $200.09 | $2.24B | 11.2M |
| GOOGL | ALPHABET INC· CAP STK CL ADECREASED -45.4% | 8.65% | $357.37 | $2.07B | 5.8M |
| META | META PLATFORMS INC· CL ADECREASED -8.5% | 6.63% | $563.29 | $1.59B | 2.8M |
| LRCX | LAM RESEARCH CORP· COM NEWDECREASED -18.9% | 5.72% | $433.33 | $1.37B | 3.2M |
| SE | SEA LTD SPONSORD ADS· ADRDECREASED -18.5% | 5.02% | $95.83 | $1.20B | 12.6M |
| AMAT | APPLIED MATLS INCDECREASED -1.5% | 4.92% | $723.00 | $1.18B | 1.6M |
| GEV | GE VERNOVA INCDECREASED -18.0% | 3.91% | $1,174.86 | $936.96M | 797.5K |
| MSFT | MICROSOFT CORPDECREASED -9.3% | 3.53% | $373.02 | $845.60M | 2.3M |
Showing 1–10 of 46 · the top 10 are 67.1% of the reported portfolioEach row opens the company · how we read 13F filings
Reported price is this manager's own reported value divided by its own reported shares at 2026-06-30 — not a live quote, and not what they paid. 13F reports no cost basis.
All 46 positions, with reported prices and share counts, open with a free account.
Connected research
Follow this portfolio through time.
Compare reported holdings across quarters and explore the businesses behind them with your connected AI:
- “What has Chase Coleman been buying over the last year, quarter by quarter?”
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- “Which other superinvestors moved the same way this quarter?”
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