Tiger Global Management Long / Short Chase Coleman · Filed 2026-08-14 · CIK 0001167483 · Q2 2026
Form ADV discretionary AUM, 2026-06-01i
$77.99B
13F Equity Value
$23.98B
As of Q2 2026
13F / AUM
30.7%
Mostly non-13F assets
13F long book at a glance — % of AUM
+36 more · 10%
NON-13F · 69%
Holdings Activity Buys Sells History
% of AUMRECOMMENDED % of 13F
# Holding⇕ , sortable Ticker⇕ , sortable Value AUTO FULL K M B
% of AUM↓ , sorted descending # Shares Chg Shares⇕ , sortable % Chg⇕ , sortable % Out⇕ , sortable Source Weight 1 TAIWAN SEMICONDUCTOR MANUFAC HIST TSM $ 2.33B
3.0% 4,881,008 (684,066) (12.3%) 0.02% 13F 2 AMZN $ 2.31B
3.0% 9,683,558 (316,442) (3.2%) 0.09% 13F 3 NVDA $ 2.24B
2.9% 11,198,773 (812,979) (6.8%) 0.05% 13F 4 GOOGL $ 2.07B
2.7% 5,805,687 (4,825,715) (45.4%) 0.05% 13F 5 META $ 1.59B
2.0% 2,823,180 (263,684) (8.5%) 0.11% 13F 6 LRCX $ 1.37B
1.8% 3,163,495 (736,944) (18.9%) 0.25% 13F 7 SE $ 1.20B
1.5% 12,559,152 (2,856,683) (18.5%) 2.11% 13F 8 AMAT $ 1.18B
1.5% 1,632,210 (24,690) (1.5%) 0.21% 13F 9 GEV $ 0.94B
1.2% 797,511 (175,483) (18.0%) 0.30% 13F 10 MSFT $ 0.85B
1.1% 2,266,913 (233,087) (9.3%) 0.03% 13F 11 CPAY $ 0.72B
0.9% 2,149,877 +397,731 +22.7% 3.27% 13F 12 CBRS $ 0.66B
0.8% 2,999,000 +2,999,000 NEW 2.80% 13F 13 AVGO $ 0.66B
0.8% 1,754,062 (1,830,752) (51.1%) 0.04% 13F 14 CPNG $ 0.63B
0.8% 36,467,972 +1,872,565 +5.4% 2.01% 13F 15 INTC $ 0.59B
0.8% 4,252,690 +2,613,990 +159.5% 0.08% 13F 16 SPOTIFY TECHNOLOGY S A HIST SPOT $ 0.54B
0.7% 1,171,427 (409,334) (25.9%) 0.57% 13F 17 TAKE-TWO INTERACTIVE SOFTWAR HIST TTWO $ 0.45B
0.6% 1,809,348 (190,652) (9.5%) 0.97% 13F 18 RDDT $ 0.44B
0.6% 2,528,819 +28,819 +1.2% 1.32% 13F 19 ADVANCED MICRO DEVICES INC HIST AMD $ 0.39B
0.5% 674,727 +674,727 NEW 0.04% 13F 20 XYZ $ 0.35B
0.4% 4,576,007 +576,007 +14.4% 0.77% 13F 21 APOLLO GLOBAL MGMT INC HIST APO $ 0.32B
0.4% 2,723,110 (570,224) (17.3%) 0.46% 13F 22 SEAGATE TECHNOLOGY HLDNGS PL HIST STX $ 0.28B
0.4% 285,100 +285,100 NEW 0.13% 13F 23 V $ 0.27B
0.4% 798,697 +798,697 NEW 0.17% 13F 24 MELI $ 0.26B
0.3% 153,126 +18,120 +13.4% 0.30% 13F 25 LIBERTY MEDIA CORP DEL HIST FWONK $ 0.22B
0.3% 2,278,555 (403,445) (15.0%) 0.68% 13F 26 NU $ 0.15B
0.2% 11,032,555 — — — 13F 27 WLTH $ 0.14B
0.2% 15,156,877 — — 9.70% 13F 28 UNITEDHEALTH GROUP INC HIST UNH $ 0.12B
0.2% 297,452 (52,993) (15.1%) 0.03% 13F 29 CHYM $ 0.11B
0.1% 5,284,045 (5,797,735) (52.3%) 1.39% 13F 30 EQUIPMENTSHARE COM INC HIST EQPT $ 0.09B
0.1% 4,579,646 — — 5.87% 13F 31 SHW $ 0.09B
0.1% 257,083 — — 0.11% 13F 32 DHR $ 0.09B
0.1% 456,000 +456,000 NEW 0.06% 13F 33 NOW $ 0.09B
0.1% 873,485 (626,515) (41.8%) 0.08% 13F 34 SPACE EXPLORATION TECHN CORP HIST SPCX $ 0.06B
0.1% 375,000 +375,000 NEW 0.01% 13F 35 BULL $ 0.04B
0.1% 6,724,137 — — 1.69% 13F 36 RERE $ 0.04B
0.0% 9,831,218 — — 6.09% 13F 37 APLD $ 0.03B
0.0% 885,000 +885,000 NEW 0.30% 13F 38 CIFR $ 0.02B
0.0% 927,000 +927,000 NEW 0.22% 13F 39 CORE SCIENTIFIC INC NEW HIST CORZ $ 0.02B
0.0% 817,000 +817,000 NEW 0.25% 13F 40 UBER TECHNOLOGIES INC HIST UBER $ 0.01B
0.0% 151,178 — — 0.01% 13F 41 JD $ 0.01B
0.0% 201,500 (142,809) (41.5%) 0.01% 13F 42 DASH $ 0.00B
0.0% 25,337 — — 0.01% 13F 43 PONY $ 0.00B
0.0% 310,287 (2,589,713) (89.3%) 0.07% 13F 44 ARX $ 0.00B
0.0% 75,000 — — 0.03% 13F 45 GEMI $ 0.00B
0.0% 70,000 — — 0.06% 13F 46 MNTN $ 0.00B
0.0% 20,000 — — 0.03% 13F Positions are primarily from the latest 13F-HR. Schedule 13D/13G filings (>5% stakes) are merged in when present; they report shares and percent of class but not dollar value. Chg Shares is the absolute change vs the same position in the prior quarter's 13F. % Out is position shares ÷ issuer shares outstanding (from the issuer's latest XBRL cover-page figure; weighted-average basic shares as a fallback), or the percent of class reported on a 13D/13G. Where a figure can't be sourced from a filing it shows “—” — never an estimate.
Rockwood Research · Holdings data is sourced from SEC EDGAR 13F-HR filings and XBRL company facts. Capital denominators are reported facts (Form ADV discretionary AUM, total investment portfolio, or shareholders' equity) or omitted, and labelled by source. 13F filings disclose long US-listed equity positions only, on a ~45 day lag. Built with AI and not hand-checked figure-by-figure — verify against the linked filings. Nothing here is investment advice.
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