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SEC 13F manager · CIK 0001167483

Tiger Global 13F holdings

Tiger Global's latest SEC 13F top holdings and quarterly rebalancing. 13F data is a report-period snapshot, not a live portfolio.

Tiger Global's 13F is useful for reading concentration and growth-expectation shifts across internet, software, and platform companies.

Watch

What to watch in this manager's 13F

The useful signal is not the holding change alone, but the company question it creates.

  • -Whether platform-growth exposure is expanding or contracting again.
  • -Which companies show both slowing growth and cost discipline.
  • -How public holdings may relate to broader private growth investing themes.

Questions

Representative questions

Use these as starting points to move from a 13F signal into company filing research.

  1. 01Review revenue deceleration and cost discipline together for Tiger Global growth holdings.
  2. 02Summarize long-term margin structure for platform companies Chase Coleman increased.
  3. 03Check whether reduced Tiger holdings show growth-thesis break signals.
  4. 04Find the strongest filing-backed internet or software holdings in the Tiger portfolio.

Filing summary

Report period

Mar 31, 2026

13F-HR

Filing date

May 15, 2026

0000919574-26-003362

Top holdings value

$22.2B

30 positions

Top 10 weight

69.49%

Dec 31, 2025

Top holdings

Public 13F information table summary sorted by reported market value.

IssuerMarket valueWeightChange

알파벳

GOOGL

View company
$3.1B13.38%Decreased

엔비디아

NVDA

View company
$2.1B9.17%Increased

아마존

AMZN

View company
$2.1B9.12%Decreased

TAIWAN SEMICONDUCTOR MANUFAC

874039100

$1.9B8.23%Increased

메타

META

View company
$1.8B7.73%Increased

SEA LTD

81141R100

$1.3B5.59%Decreased

브로드컴

AVGO

View company
$1.1B4.86%Increased

마이크로소프트

MSFT

View company
$925.4M4.05%Decreased

GE 버노바

GEV

View company
$849.3M3.72%Increased

램리서치

LRCX

View company
$833.4M3.65%Increased

SPOTIFY TECHNOLOGY S A

L8681T102

$766.5M3.36%Increased

COUPANG INC

22266T109

$653.2M2.86%Increased

Quarterly rebalancing signals

Weight increases

TAIWAN SEMICONDUCTOR MANUFAC

874039100

+4.42%

엔비디아

NVDA

+2.26%

알파벳

GOOGL

+2.18%

어플라이드 머티어리얼즈

AMAT

+1.7%

메타

META

+1.62%

Weight decreases

마이크로소프트

MSFT

-4.86%

테이크투 인터랙티브

TTWO

-3.3%

FLUTTER ENTMT PLC

G3643J108

-2.9%

VEEVA SYS INC

922475108

-1.82%

GRAB HOLDINGS LIMITED

G4124C109

-1.56%

How to interpret 13F data

  • Tiger Global's private investment exposure is not shown alongside public 13F holdings.
  • For growth portfolios, valuation compression and business quality need separate analysis.
  • 13F data is published after quarter end, so holdings may have changed.
  • Short positions, some non-U.S. holdings, and confidential treatment items may not be visible.
  • KRW Ontology treats 13F as input for follow-up filing research, not as a buy signal.

FAQ

What is this 13F page for?

Use it to see which U.S. listed equities a manager disclosed, then turn those holdings into follow-up company and risk research questions.