Chase Coleman III

Chase Coleman III

Tiger Global Management

Value

29.7B

Stocks

54 Stocks (1 new)

Turnover

0.68%

CIK

1167483

Top Holdings

GOOGL(11.20%) MSFT(8.92%) AMZN(7.78%) NVDA(6.91%) SE(6.62%)

About Investor

Established investor leading Tiger Global Management, with expertise in fundamental analysis and long-term value creation. Has built a strong track record by focusing on fundamental research and maintaining a consistent investment approach through various market environments.

Investor Philosophy

Specializes in fundamental analysis and long-term value creation through a disciplined investment approach. Emphasizes thorough research, risk management, and identifying opportunities across market cycles. Known for maintaining a consistent strategy while adapting to changing market conditions.

Ticker Put/Call Company Name Industry Value Shares Weighting % Share Change Change in Share % Market Cap
GOOGL - ALPHABET INC Communication Services 3,327.63M 10,631,402 11.20% 0 - 3,657,770M
MSFT - MICROSOFT CORP Information Technology 2,649.15M 5,477,747 8.92% -1,073,621 -16.39% 2,969,829M
AMZN - AMAZON COM INC Consumer Discretionary 2,310.83M 10,011,379 7.78% -1,032,062 -9.35% 2,196,633M
NVDA - NVIDIA CORPORATION Information Technology 2,053.69M 11,011,752 6.91% -698,000 -5.96% 4,560,802M
SE - SEA LTD Consumer Discretionary 1,966.60M 15,415,835 6.62% -625,500 -3.90% 66,330M
META - META PLATFORMS INC Communication Services 1,815.65M 2,750,615 6.11% -68,386 -2.43% 1,614,716M
TTWO - TAKE-TWO INTERACTIVE SOFTWAR Communication Services 1,495.02M 5,839,256 5.03% 0 - 36,807M
TSM - TAIWAN SEMICONDUCTOR MFG LTD Information Technology 1,132.13M 3,725,474 3.81% -852,900 -18.63% 1,880,212M
AVGO - BROADCOM INC Information Technology 995.25M 2,875,614 3.35% -14,000 -0.48% 1,575,667M
APO - APOLLO GLOBAL MGMT INC Financials 898.89M 6,209,496 3.03% 0 - 72,773M
RDDT - REDDIT INC Communication Services 883.60M 3,843,915 2.97% -828,600 -17.73% 27,889M
APP - APPLOVIN CORP Communication Services 871.24M 1,292,984 2.93% -710,005 -35.45% 136,415M
FLUT - FLUTTER ENTMT PLC Consumer Discretionary 860.92M 4,003,542 2.90% 345,350 9.44% 22,100M
SPOT - SPOTIFY TECHNOLOGY S A Communication Services 732.54M 1,261,461 2.47% 0 - 98,434M
LRCX - LAM RESEARCH CORP Information Technology 667.68M 3,900,439 2.25% -1,359,889 -25.85% 301,542M
GEV - GE VERNOVA INC Industrials 635.92M 972,994 2.14% -181,600 -15.73% 221,001M
CPNG - COUPANG INC Consumer Discretionary 619.64M 26,267,259 2.09% 10,429,680 65.85% 32,989M
VEEV - VEEVA SYS INC Health Care 540.33M 2,420,500 1.82% 0 - 29,784M
CPAY - CORPAY INC Information Technology 527.27M 1,752,146 1.77% -19,000 -1.07% 24,677M
GRAB - GRAB HOLDINGS LIMITED Information Technology 463.69M 92,923,788 1.56% 0 - 18,196M
XYZ - BLOCK INC Information Technology 414.29M 6,364,840 1.39% 1,941,528 43.89% 32,655M
Z - ZILLOW GROUP INC Communication Services 413.21M 6,056,957 1.39% 1,011,813 20.06% 10,870M
CHYM - CHIME FINL INC Information Technology 357.23M 14,192,499 1.20% 1,721,731 13.81% 7,713M
ZS - ZSCALER INC Information Technology 355.32M 1,579,766 1.20% -103,500 -6.15% 27,325M
NOW - SERVICENOW INC Information Technology 325.82M 2,126,890 1.10% 1,826,890 608.96% 113,375M
FWONK - LIBERTY MEDIA CORP DEL Communication Services 264.20M 2,682,000 0.89% 0 - 22,407M
AMAT - APPLIED MATLS INC Information Technology 230.06M 895,200 0.77% 0 - 291,447M
NFLX - NETFLIX INC Communication Services 228.68M 2,439,000 0.77% 2,237,100 1,108.02% 329,065M
WDAY - WORKDAY INC Information Technology 214.78M 1,000,000 0.72% 0 - 38,213M
WLTH - WEALTHFRONT CORP Information Technology 205.98M 15,156,877 0.69% 15,156,877 New Buy 1,389M
NU - NU HLDGS LTD Financials 184.68M 11,032,555 0.62% 0 - 83,126M
PCOR - PROCORE TECHNOLOGIES INC Information Technology 170.18M 2,339,500 0.57% 0 - 8,203M
CSGP - COSTAR GROUP INC Real Estate 151.90M 2,259,109 0.51% -986,000 -30.38% 20,677M
UNH - UNITEDHEALTH GROUP INC Health Care 138.71M 420,205 0.47% -18,595 -4.24% 261,362M
ESTC - ELASTIC N V Information Technology 127.55M 1,690,700 0.43% 0 - 6,473M
HNGE - HINGE HEALTH INC Health Care 83.88M 1,805,751 0.28% 1,253,743 227.12% 3,193M
SHW - SHERWIN WILLIAMS CO Materials 83.30M 257,083 0.28% -72,092 -21.90% 91,151M
ZG - ZILLOW GROUP INC Communication Services 69.85M 1,023,733 0.24% 240,690 30.74% 11,230M
BULL - WEBULL CORP Information Technology 52.25M 6,724,137 0.18% -5,000,000 -42.65% 2,991M
RERE - ATRENEW INC Consumer Discretionary 52.11M 9,831,218 0.18% 0 - 1,262M
PONY - PONY AI INC Information Technology 42.05M 2,900,000 0.14% 2,530,000 683.78% 5,932M
CRCL - CIRCLE INTERNET GROUP INC Financials 39.65M 500,000 0.13% 375,000 300.00% 16,068M
UBER - UBER TECHNOLOGIES INC Information Technology 12.35M 151,178 0.04% 0 - 151,923M
JD - JD.COM INC Consumer Discretionary 9.88M 344,309 0.03% 0 - 40,411M
NTSK - NETSKOPE INC Information Technology 8.77M 500,000 0.03% 0 - 4,534M
FIGR - FIGURE TECHNOLOGY SOLUTIO Financials 8.17M 200,000 0.03% 0 - 7,661M
DASH - DOORDASH INC Consumer Discretionary 5.74M 25,337 0.02% 0 - 74,257M
KLAR - KLARNA GROUP PLC Information Technology 5.06M 175,000 0.02% 0 - 7,149M
BLSH - BULLISH Information Technology 3.79M 100,000 0.01% 0 - 4,799M
ETOR - ETORO GROUP LTD Financials 2.81M 80,000 0.01% 0 - 2,665M
FIG - FIGMA INC Information Technology 2.24M 60,000 0.01% 0 - 11,988M
ARX - ACCELERANT HOLDINGS Financials 1.23M 75,000 0.00% 0 - 2,345M
GEMI - GEMINI SPACE STA INC Financials 0.69M 70,000 0.00% 0 - 750M
MNTN - MNTN INC Information Technology 0.24M 20,000 0.00% 0 - 764M