13F Filings/TIGER GLOBAL MANAGEMENT LLC

TIGER GLOBAL MANAGEMENT LLC

Hedge FundCIK0001167483LocationNEW YORK, NY 10019, United States

Long U.S. equity positions disclosed to the SEC on Form 13F-HR.

Latest filingQ2 2026Quarter ended30 Jun 2026Filed14 Aug 2026
Firm profile · Form ADV
SEC adviser registration

Tiger Global Management, LLC is an investment adviser that provides discretionary advisory services to various private investment funds, including open-ended long/short, long-focused, and closed-end funds, as well as other client accounts. The firm's investment strategy involves providing advice based on specific investment objectives and strategies, without tailoring services to individual client needs or accepting client-imposed investment restrictions.Summarised from the firm’s Form ADV Part 2A brochure.

CRD
160318 · 801-73973
Portfolio Turnover
18%
Of book traded, QoQ
Positions
46
Long U.S. equities
Top 10 Concentration
67%
Of reported value
QoQ Change
$1.1B
Value change
Assets under management
Form ADV RAUM · client mix · 13F over time
Regulatory AUM
$78.0B
Form ADV, as of Mar 2026
100% discretionary ($78.0B)
By client type
Pooled investment vehicles: $78.0B (100.0%) · 45 clients
Pooled investment vehicles
$78.0B · 100%
13F AUM over time
$24.0B
Q2 ’26 · 13F AUM
317%
53 quarters
Reported Holdings
Q2 2026 · upgrade to Pro for past quarters
★ Position spotlightTSMTAIWAN SEMICONDUCTOR MANUFAC · 9.7% of bookThis highlighted stock and its 1Y chart are public
Loading position history…
SecuritySharesMarket ValueEst. CostLast PxEst. Return% PortfolioΔ SharesAction
TAIWAN SEMICONDUCTOR MANUFAC
TSM· Information Technology
4.88MSH$2.3B~$477.57$418.9512.3%9.7% 12.3%Reduced
AMAZON COM INC
AMZN· Consumer Discretionary
9.68MSH$2.3B~$238.34$258.638.5%9.6% 3.2%Reduced
NVIDIA CORPORATION
NVDA· Information Technology
11.20MSH$2.2B~$200.09$214.727.3%9.3% 6.8%Reduced
ALPHABET INC
GOOGL· Communication Services
5.81MSH$2.1B~$357.37$344.823.5%8.7% 45.4%Reduced
META PLATFORMS INC
META· Communication Services
2.82MSH$1.6B~$563.29$549.902.4%6.6% 8.5%Reduced
LAM RESEARCH CORP
LRCX· Information Technology
3.16MSH$1.4B~$433.33$314.0027.5%5.7% 18.9%Reduced
SEA LTD
SE· Communication Services
12.56MSH$1.2B~$95.83$117.5322.6%5.0% 18.5%Reduced
APPLIED MATLS INC
AMAT· Information Technology
1.63MSH$1.2B~$723.00$492.3231.9%4.9% 1.5%Reduced
GE VERNOVA INC
GEV· Utilities
798KSH$937.0M~$1174.86$956.8518.6%3.9% 18.0%Reduced
MICROSOFT CORP
MSFT· Information Technology
2.27MSH$845.6M~$373.02$483.2429.5%3.5% 9.3%Reduced
TSMTAIWAN SEMICONDUCTOR MANUFACReduced
$2.3B· 9.7%· 4.88M SH· 12.3%· cost $477.57· last $418.95· 12.3%
Information Technology · SPONSORED ADS · SOLE
AMZNAMAZON COM INCReduced
$2.3B· 9.6%· 9.68M SH· 3.2%· cost $238.34· last $258.63· 8.5%
Consumer Discretionary · COM · SOLE
NVDANVIDIA CORPORATIONReduced
$2.2B· 9.3%· 11.20M SH· 6.8%· cost $200.09· last $214.72· 7.3%
Information Technology · COM · SOLE
GOOGLALPHABET INCReduced
$2.1B· 8.7%· 5.81M SH· 45.4%· cost $357.37· last $344.82· 3.5%
Communication Services · CAP STK CL A · SOLE
METAMETA PLATFORMS INCReduced
$1.6B· 6.6%· 2.82M SH· 8.5%· cost $563.29· last $549.90· 2.4%
Communication Services · CL A · SOLE
LRCXLAM RESEARCH CORPReduced
$1.4B· 5.7%· 3.16M SH· 18.9%· cost $433.33· last $314.00· 27.5%
Information Technology · COM NEW · SOLE
SESEA LTDReduced
$1.2B· 5.0%· 12.56M SH· 18.5%· cost $95.83· last $117.53· 22.6%
Communication Services · SPONSORD ADS · SOLE
AMATAPPLIED MATLS INCReduced
$1.2B· 4.9%· 1.63M SH· 1.5%· cost $723.00· last $492.32· 31.9%
Information Technology · COM · SOLE
GEVGE VERNOVA INCReduced
$937.0M· 3.9%· 798K SH· 18.0%· cost $1174.86· last $956.85· 18.6%
Utilities · COM · SOLE
MSFTMICROSOFT CORPReduced
$845.6M· 3.5%· 2.27M SH· 9.3%· cost $373.02· last $483.24· 29.5%
Information Technology · COM · SOLE
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Sector Breakdown
Q2 2026
Information Technology40.7% · $9.8B
Communication Services24.9% · $6.0B
Consumer Discretionary13.5% · $3.2B
Unclassified7.2% · $1.7B
Financials6.6% · $1.6B
Utilities3.9% · $937.0M
Industrials1.9% · $448.7M
Other1.2% · $299.0M