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Tiger Global Management 13F holdings, Q2 2026

Tiger Global Management (technology-focused investment firm) reported 46 US-listed positions worth $24.0B in its Form 13F for the quarter ended June 30, 2026, filed with the SEC on August 14, 2026. Compared with Q1 2026, the filing shows 9 new positions, 6 increased, 20 reduced, and 17 exited.

Reported value$24.0B
Positions46
New / exited9 / 17
Quarter endedQ2 2026

Largest holdings

CompanyValueWeightShares
Taiwan Semiconductor Manufac$2.3B9.7%4,881,008
Amazon Com Inc$2.3B9.6%9,683,558
Nvidia Corporation$2.2B9.3%11,198,773
Alphabet Inc$2.1B8.7%5,805,687
Meta Platforms Inc$1.6B6.6%2,823,180
Lam Research Corp$1.4B5.7%3,163,495
Sea Ltd$1.2B5.0%12,559,152
Applied Matls Inc$1.2B4.9%1,632,210
Ge Vernova Inc$937.0M3.9%797,511
Microsoft Corp$845.6M3.5%2,266,913
Corpay Inc$716.5M3.0%2,149,877
Cerebras Systems Inc$662.8M2.8%2,999,000
Broadcom Inc$662.6M2.8%1,754,062
Coupang Inc$633.4M2.6%36,467,972
Intel Corp$593.8M2.5%4,252,690
Spotify Technology S A$537.8M2.2%1,171,427
Take-Two Interactive Softwar$452.3M1.9%1,809,348
Reddit Inc$439.0M1.8%2,528,819
Advanced Micro Devices Inc$392.0M1.6%674,727
Block Inc$347.8M1.5%4,576,007
Apollo Global Mgmt Inc$322.2M1.3%2,723,110
Seagate Technology Hldngs Pl$275.1M1.1%285,100
Visa Inc$274.0M1.1%798,697
Mercadolibre Inc$259.9M1.1%153,126
Liberty Media Corp Del$216.8M0.9%2,278,555

New positions in Q2 2026

Company Value Shares
Cerebras Systems Inc $662.8M 2,999,000
Advanced Micro Devices Inc $392.0M 674,727
Seagate Technology Hldngs Pl $275.1M 285,100
Visa Inc $274.0M 798,697
Danaher Corp Del $86.9M 456,000
Space Exploration Techn Corp $64.1M 375,000
Applied Digital Corp $33.0M 885,000
Cipher Digital Inc $22.7M 927,000
Core Scientific Inc New $20.9M 817,000

Positions increased

Company Value Share change Shares
Corpay Inc $716.5M +23% 2,149,877
Coupang Inc $633.4M +5% 36,467,972
Intel Corp $593.8M +160% 4,252,690
Reddit Inc $439.0M +1% 2,528,819
Block Inc $347.8M +14% 4,576,007
Mercadolibre Inc $259.9M +13% 153,126

Positions reduced

Company Value Share change Shares
Taiwan Semiconductor Manufac $2.3B -12% 4,881,008
Amazon Com Inc $2.3B -3% 9,683,558
Nvidia Corporation $2.2B -7% 11,198,773
Alphabet Inc $2.1B -45% 5,805,687
Meta Platforms Inc $1.6B -9% 2,823,180
Lam Research Corp $1.4B -19% 3,163,495
Sea Ltd $1.2B -19% 12,559,152
Applied Matls Inc $1.2B -1% 1,632,210
Ge Vernova Inc $937.0M -18% 797,511
Microsoft Corp $845.6M -9% 2,266,913
Broadcom Inc $662.6M -51% 1,754,062
Spotify Technology S A $537.8M -26% 1,171,427
Take-Two Interactive Softwar $452.3M -10% 1,809,348
Apollo Global Mgmt Inc $322.2M -17% 2,723,110
Liberty Media Corp Del $216.8M -15% 2,278,555

Positions exited (held in Q1 2026)

Company Value in Q1 2026 Shares
Applovin Corp $398.0M 1,000,000
Zillow Group Inc (Class C) $304.9M 7,368,957
Netflix Inc. $234.5M 2,439,000
Zscaler Inc $221.6M 1,579,766
Procore Technologies Inc $133.4M 2,339,500
Lumentum Hldgs Inc $96.1M 136,800
Costar Group Inc $60.5M 1,500,000
Zillow Group Inc (Class A) $42.4M 1,023,733
Robinhood Ventures Fd I $10.6M 400,000
Paypay Corp $8.5M 400,000
Figure Technology Solutio $6.8M 200,000
Netskope Inc $4.2M 500,000
Xanadu Quantum Technolo Ltd $3.8M 500,000
Bullish $3.6M 100,000
Etoro Group Ltd $2.4M 80,000

How to read this. A Form 13F lists long positions in US-listed securities at quarter-end. It is filed up to 45 days later and does not show short positions, most derivatives, non-US holdings, cash, or trades made after the quarter ended, so it is a historical snapshot—not a current portfolio. Values are as reported in the filing. This page is not investment advice and does not suggest buying or selling any security.
Source: SEC EDGAR filing (Q2 2026), previous filing (Q1 2026). Updated 2026-09-29.