13F

Investor

Tiger Global

CIK 0001167483 · filed 2026-08-14 · SEC filing

13F book

$24B

Positions

46

9 new · 17 sold

Largest name

9.7%

Taiwan Semiconductor Mfg Ltd

Est. mark

$3.97B

Price effect on 37 names still held. Flow −$2.83B.
NameTickerSharesValueWeightEst. markChange
Taiwan Semiconductor Mfg Ltd4.88M$2.33B9.7%$681.5MCut$450.3M
Amazon Com IncAMZN9.68M$2.31B9.6%$291.2MCut$225.3M
Nvidia CorpNVDA11.2M$2.24B9.3%$287.7MCut$145.9M
Alphabet Inc5.81M$2.07B8.7%$405.3MCut−$982.4M
Meta Platforms, Inc.META2.82M$1.59B6.6%−$25MCut−$175.8M
Lam Research CorpLRCX3.16M$1.37B5.7%$694.9MCut$537.5M
Sea LtdSE12.6M$1.2B5.0%$163.5MCut−$73M
Applied Matls Inc1.63M$1.18B4.9%$622.2MCut$613.8M
GE Vernova Inc.GEV797.5K$937M3.9%$240.8MCut$87.6M
Microsoft CorpMSFT2.27M$845.6M3.5%$6.46MCut−$79.8M
Corpay, Inc.CPAY2.15M$716.5M3.0%$74.1MAdded$206.6M
Cerebras Systems Inc.CBRS3M$662.8M2.8%New
Broadcom Inc.AVGO1.75M$662.6M2.8%$119.7MCut−$446.9M
Coupang, Inc.CPNG36.5M$633.4M2.6%−$52.2MAdded−$19.7M
Intel CorpINTC4.25M$593.8M2.5%$156.5MAdded$521.5M
Spotify Technology S.A.SPOT1.17M$537.8M2.2%−$30.2MCut−$228.7M
Take-Two Interactive Softwar1.81M$452.3M1.9%$95MCut$57.3M
Reddit, Inc.RDDT2.53M$439M1.8%$97.3MAdded$102.3M
Advanced Micro Devices IncAMD674.7K$392M1.6%New
Block Inc4.58M$347.8M1.5%$63.3MAdded$107.1M
Apollo Global Mgmt Inc2.72M$322.2M1.3%$18.8MCut−$44.8M
Seagate Technology Hldngs Pl285.1K$275.1M1.1%New
Visa Inc.V798.7K$274M1.1%New
Mercadolibre IncMELI153.1K$259.9M1.1%−$4.27MAdded$26.5M
Liberty Media Corp Del2.28M$216.8M0.9%$23.1MCut−$11.2M
Nu Hldgs Ltd11M$147.4M0.6%−$11.1MHeld
Wealthfront CorpWLTH15.2M$135.5M0.6%−$4.7MHeld
Unitedhealth Group IncUNH297.5K$123.6M0.5%$43.1MCut$28.8M
Chime Finl Inc5.28M$108.2M0.5%$9.25MCut−$99.3M
EquipmentShare.com IncEQPT4.58M$90M0.4%−$3.25MHeld
Sherwin Williams CoSHW257.1K$88.5M0.4%$6.11MHeld
Danaher Corporation456K$86.9M0.4%New
ServiceNow, Inc.NOW873.5K$86.7M0.4%−$4.6MCut−$70.1M
Space Exploration Techn Corp375K$64.1M0.3%New
Webull Corp6.72M$43.8M0.2%$11.6MHeld
ATRenew Inc.RERE9.83M$38M0.2%−$8.06MHeld
Applied Digital Corp.APLD885K$33M0.1%New
Cipher Mining IncCIFR927K$22.7M0.1%New
Core Scientific Inc New817K$20.9M0.1%New
Uber Technologies, IncUBER151.2K$10.9M0.0%$34.8KHeld
Jd.Com Inc201.5K$5.13M0.0%−$824.1KCut−$5.05M
DoorDash, Inc.DASH25.3K$4.68M0.0%$871.1KHeld
Pony Ai Inc310.3K$2.16M0.0%−$772.6KCut−$25.2M
Accelerant HoldingsARX75K$879K0.0%−$123KHeld
Gemini Space Sta Inc70K$298.2K0.0%−$11.2KHeld
MNTN, Inc.MNTN20K$184K0.0%$8KHeld

Positions as of Q2 2026. 13F filings arrive up to 45 days after quarter-end and omit shorts. Values are quarter-end marks, as filed. Estimated mark is the price effect on shares still held — not realized P&L or investment advice.