C

Chase Coleman

Tiger Global Management

growth
Portfolio Value $29.71B
Holdings 56
Quarter Q1 2026
Filing Date Feb 16, 2026
1yr Return +31.2%
3yr Return +216.0%
Sector Allocation
Technology35.7%Communication Services34.0%Consumer Cyclical19.6%Financial Services3.8%Healthcare2.6%Industrials2.1%
Stock 56 % of Portfolio i Weight of this holding as a percentage of the total portfolio Value i Total dollar value of the position (shares x price) Shares i Number of shares held Reported Price i Price per share as reported in the SEC filing Recent Activity i Activity in the most recent 13F filing with percentage change Current Price within 52W Range i Current stock price positioned within the 52-week high/low range +/- Reported Price i Percentage change from the filing reported price to the current price. Green = gain, Red = loss
GOOGL ALPHABET INC 11.20% $3.33B 10,631,402 $313.00
$295.77
$144.20 $343.45
-5.50%
MSFT Microsoft 8.92% $2.65B 5,477,747 $483.62 Reduce 16.39%
$373.46
$351.87 $539.83
-22.78%
AMZN Amazon.com 7.78% $2.31B 10,011,379 $230.82 Reduce 9.35%
$209.77
$167.32 $254.00
-9.12%
NVDA NVIDIA 6.91% $2.05B 11,011,752 $186.50 Reduce 5.96%
$177.39
$94.29 $207.02
-4.88%
SE SEA LTD 6.62% $1.97B 15,415,835 $127.57 Reduce 3.90%
$82.28
$78.16 $196.50
-35.50%
META Meta Platforms, Inc. 6.11% $1.82B 2,750,615 $660.09 Reduce 2.43%
$574.46
$483.15 $788.15
-12.97%
TTWO TAKE-TWO INTERACTIVE SOFTWAR 5.03% $1.50B 5,839,256 $256.03
$199.87
$189.69 $262.29
-21.93%
TSM Taiwan Semiconductor 3.81% $1.13B 3,725,474 $303.89 Reduce 18.63%
$339.04
$139.64 $386.64
+11.57%
AVGO Broadcom Limited 3.35% $995.25M 2,875,614 $346.10 Reduce 0.48%
$314.55
$145.11 $411.32
-9.12%
APO APOLLO GLOBAL MANAGEMENT INC 3.03% $898.89M 6,209,496 $144.76
$107.04
$100.30 $154.24
-26.06%
RDDT REDDIT INC 2.97% $883.60M 3,843,915 $229.87 Reduce 17.73%
$136.00
$86.91 $270.71
-40.84%
APP APPLOVIN CORP 2.93% $871.24M 1,292,984 $673.82 Reduce 35.45%
$386.37
$219.37 $733.60
-42.66%
FLUT Flutter Entertainment PLC 2.90% $860.92M 4,003,542 $215.04 Add 9.44%
$106.38
$99.50 $308.60
-50.53%
SPOT SPOTIFY TECHNOLOGY S A 2.47% $732.54M 1,261,461 $580.71
$488.97
$412.75 $775.90
-15.80%
LRCX Lam Research Corporation 2.25% $667.68M 3,900,439 $171.18 Reduce 25.85%
$218.44
$58.66 $249.18
+27.61%
GEV GE Vernova, Inc. 2.14% $635.92M 972,994 $653.57 Reduce 15.73%
$898.57
$270.68 $923.69
+37.49%
CPNG Coupang, Inc. 2.09% $619.64M 26,267,259 $23.59 Add 65.85%
$18.95
$16.79 $33.53
-19.67%
VEEV Veeva Systems 1.82% $540.33M 2,420,500 $223.23
$173.98
$171.99 $306.22
-22.06%
CPAY CORPAY INC 1.77% $527.27M 1,752,146 $300.93 Reduce 1.07%
$293.34
$255.00 $356.38
-2.52%
Z ZILLOW GROUP INC 1.63% $483.05M 7,080,690 $68.22 Add 21.49%
$40.60
$40.44 $90.32
-40.49%
GRAB GRAB HOLDINGS LIMITED 1.56% $463.69M 92,923,788 $4.99
$3.62
$3.48 $6.45
-27.45%
SQ BLOCK INC 1.39% $414.29M 6,364,840 $65.09 Add 43.89% -100.00%
CHYM Chime Financial, Inc. 1.20% $357.23M 14,192,499 $25.17 Add 13.81%
$19.24
$16.99 $37.11
-23.56%
ZS ZSCALER INC 1.20% $355.32M 1,579,766 $224.92 Reduce 6.15%
$138.56
$133.16 $336.27
-38.40%
NOW ServiceNow 1.10% $325.82M 2,126,890 $153.19 Add 608.96%
$102.00
$99.41 $208.94
-33.42%
FWONK Liberty Media Corp., Series C 0.89% $264.20M 2,682,000 $98.51
$87.86
$77.19 $108.33
-10.81%
AMAT Applied Materials 0.77% $230.06M 895,200 $256.99
$348.47
$125.82 $394.95
+35.60%
NFLX NETFLIX INC 0.77% $228.68M 2,439,000 $93.76 Add 1108.02%
$98.66
$75.86 $133.91
+5.23%
WDAY WORKDAY INC 0.72% $214.78M 1,000,000 $214.78
$132.26
$124.18 $274.71
-38.42%
WLTH WEALTHFRONT CORP 0.69% $205.98M 15,156,877 $13.59 Buy
$9.57
$7.20 $13.95
-29.58%
NU NU HLDGS LTD 0.62% $184.68M 11,032,555 $16.74
$14.15
$9.60 $18.76
-15.47%
PCOR PROCORE TECHNOLOGIES INC 0.57% $170.18M 2,339,500 $72.74
$58.02
$47.88 $79.60
-20.24%
CSGP COSTAR GROUP INC 0.51% $151.90M 2,259,109 $67.24 Reduce 30.38%
$39.95
$39.63 $96.83
-40.59%
UNH UnitedHealth Group 0.47% $138.71M 420,205 $330.11 Reduce 4.24%
$277.26
$232.89 $583.03
-16.01%
ESTC ELASTIC N V 0.43% $127.55M 1,690,700 $75.44
$50.67
$48.52 $94.47
-32.83%
HNGE HINGE HEALTH INC 0.28% $83.88M 1,805,751 $46.45 Add 227.12%
$38.98
$31.17 $60.55
-16.08%
SHW Sherwin-Williams 0.28% $83.30M 257,083 $324.03 Reduce 21.90%
$318.00
$303.53 $373.53
-1.86%
BULL WEBULL CORP 0.18% $52.25M 6,724,137 $7.77 Reduce 42.65%
$4.82
$4.63 $62.90
-37.97%
RERE ATRENEW INC 0.18% $52.10M 9,831,218 $5.30
$4.42
$2.00 $6.34
-16.60%
PONY PONY AI INC 0.14% $42.05M 2,900,000 $14.50 Add 683.78%
$9.22
$4.16 $24.06
-36.41%
CRCL CIRCLE INTERNET GROUP INC 0.13% $39.65M 500,000 $79.30 Add 300.00%
$90.26
$50.23 $263.45
+13.82%
UBER UBER TECHNOLOGIES INC 0.04% $12.35M 151,178 $81.71
$71.84
$64.62 $100.10
-12.07%
JD JD.com, Inc. 0.03% $9.88M 344,309 $28.70
$28.46
$25.40 $38.76
-0.83%
NTSK NETSKOPE INC 0.03% $8.77M 500,000 $17.54
$9.07
$7.73 $25.79
-48.29%
FIGR FIGURE TECHNOLOGY SOLUTIO 0.03% $8.17M 200,000 $40.84
$34.51
$25.28 $73.91
-15.50%
DASH Doordash Inc Cl A 0.02% $5.74M 25,337 $226.47
$156.45
$146.60 $281.74
-30.92%
KLAR KLARNA GROUP PLC 0.02% $5.06M 175,000 $28.91
$13.35
$12.27 $45.48
-53.82%
BLSH BULLISH 0.01% $3.79M 100,000 $37.87
$36.37
$24.90 $74.63
-3.96%
ETOR ETORO GROUP LTD 0.01% $2.81M 80,000 $35.13
$29.88
$24.76 $75.97
-14.93%
FIG FIGMA INC 0.01% $2.24M 60,000 $37.37
$21.27
$20.16 $122.00
-43.08%
ARX ACCELERANT HOLDINGS 0.00% $1.23M 75,000 $16.35
$13.41
$9.36 $30.05
-17.96%
GEMI GEMINI SPACE STA INC 0.00% $694.00K 70,000 $9.91
$4.29
$4.04 $32.52
-56.73%
MNTN MNTN INC 0.00% $238.00K 20,000 $11.90
$8.95
$7.88 $31.47
-24.79%
MDB MONGODB INC 0.00% $0 0 $0.00 Sold
$253.12
$145.85 $440.60
VIA VIA TRANSN INC 0.00% $0 0 $0.00 Sold
$18.94
$15.48 $56.31
TFIN TRIUMPH FINANCIAL INC 0.00% $0 0 $0.00 Sold
$56.85
$42.90 $77.84

News about Chase Coleman's top holdings

Frequently Asked Questions

What stocks does Chase Coleman own in 2026?

As of Q1 2026, Chase Coleman's Tiger Global Management holds 56 stocks worth $29.71B. The largest position is GOOGL. Data from SEC 13F filing dated 2026-02-17 00:00:00.000Z.

What did Chase Coleman buy and sell recently?

View the Activity tab above to see which positions Chase Coleman added, increased, decreased, or sold in Q1 2026. The activity data comes from comparing consecutive 13F filings.

What is Chase Coleman's top stock holding?

The largest position is GOOGL. Chase Coleman's Tiger Global Management holds 56 total positions worth $29.71B. Visit the holdings table above to see the complete portfolio ranked by position size.

What sectors does Chase Coleman invest in?

Chase Coleman's portfolio of 56 stocks is diversified across multiple sectors. The portfolio is most concentrated in the Technology sector. The sector chart above shows the full allocation breakdown by portfolio value.

What is Chase Coleman's investment strategy?

Chase Coleman manages Tiger Global Management using a growth investment approach. The portfolio currently holds 56 positions with total assets of $29.71B. The portfolio is most concentrated in the Technology sector.

What is Chase Coleman's portfolio worth in 2026?

Chase Coleman's Tiger Global Management manages $29.71B in disclosed 13F holdings across 56 positions as of Q1 2026. This represents the total market value of equity positions reported to the SEC.

How often does Chase Coleman update portfolio holdings?

Chase Coleman's Tiger Global Management files 13F reports with the SEC quarterly. The most recent filing is dated 2026-02-17 00:00:00.000Z, covering holdings as of Q1 2026. New data appears within 24 hours of each filing.

How do I track Chase Coleman's portfolio changes over time?

Use the Activity tab to compare Chase Coleman's holdings across quarters. You can see new positions, additions, reductions, and exits for each quarter going back multiple years. The data comes from Tiger Global Management's SEC 13F filings.