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Chase Coleman

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Tiger Global Management

HistoryStock% of PortfolioRecent ActivitySharesReported Price*ValueCurrent Price+/- Reported Price52 Week Low52 Week High
GOOGL - Alphabet11.20%Hold10,631,402$313.00$3,327,628,826$295.77-5.50%$140.53$349.00
MSFT - Microsoft8.92%Reduce 16.39%5,477,747$483.62$2,649,148,004$373.46-22.78%$344.79$555.45
AMZN - Amazon7.78%Reduce 9.35%10,011,379$230.82$2,310,826,501$209.77-9.12%$161.38$258.60
NVDA - NVIDIA6.91%Reduce 5.96%11,011,752$186.50$2,053,691,748$177.39-4.88%$86.62$212.19
SE - SEA LTD6.62%Reduce 3.90%15,415,835$127.57$1,966,598,071
META - Meta Platforms6.11%Reduce 2.43%2,750,615$660.09$1,815,653,455$574.46-12.97%$479.80$796.25
TTWO - TAKE-TWO INTERACTIVE SOFTWAR5.03%Hold5,839,256$256.03$1,495,024,714$199.87-21.93%$187.63$264.79
TSM - Taiwan Semiconductor3.81%Reduce 18.63%3,725,474$303.89$1,132,134,294$339.04+11.57%$134.25$390.21
AVGO - BROADCOM INC3.35%Reduce 0.48%2,875,614$346.10$995,250,005
APO - APOLLO GLOBAL MGMT INC3.03%Hold6,209,496$144.76$898,886,641$107.04-26.06%$99.56$157.28
RDDT - REDDIT INC2.97%Reduce 17.73%3,843,915$229.87$883,600,741
APP - APPLOVIN CORP2.93%Reduce 35.45%1,292,984$673.82$871,238,479
G3643J108 - FLUTTER ENTMT PLC2.90%Add 9.44%4,003,542$215.04$860,921,672
L8681T102 - SPOTIFY TECHNOLOGY S A2.47%Hold1,261,461$580.71$732,543,017
LRCX - LAM RESEARCH CORP2.25%Reduce 25.85%3,900,439$171.18$667,677,148
GEV - GE VERNOVA INC2.14%Reduce 15.73%972,994$653.57$635,919,689
CPNG - COUPANG INC2.09%Add 65.85%26,267,259$23.59$619,644,640
VEEV - VEEVA SYS INC1.82%Hold2,420,500$223.23$540,328,215$173.98-22.06%$168.14$310.50
CPAY - CORPAY INC1.77%Reduce 1.07%1,752,146$300.93$527,273,296
G4124C109 - GRAB HOLDINGS LIMITED1.56%Hold92,923,788$4.99$463,689,702
XYZ - BLOCK INC1.39%Add 43.89%6,364,840$65.09$414,287,436
Z - ZILLOW GROUP INC1.39%Add 20.06%6,056,957$68.22$413,205,607
CHYM - CHIME FINL INC1.20%Add 13.81%14,192,499$25.17$357,225,199$19.24-23.56%$16.17$44.94
ZS - ZSCALER INC1.20%Reduce 6.15%1,579,766$224.92$355,320,969
NOW - SERVICENOW INC1.10%Add 608.96%2,126,890$153.19$325,818,279
FWONK - LIBERTY MEDIA CORP DEL0.89%Hold2,682,000$98.51$264,203,820$87.86-10.81%$75.26$109.36
AMAT - APPLIED MATLS INC0.77%Hold895,200$256.99$230,057,448$348.47+35.60%$123.74$395.95
NFLX - NETFLIX INC0.77%Add 1,108.02%2,439,000$93.76$228,680,640
WDAY - WORKDAY INC0.72%Hold1,000,000$214.78$214,780,000
WLTH - WEALTHFRONT CORP0.69%Buy15,156,877$13.59$205,981,958
G6683N103 - NU HLDGS LTD0.62%Hold11,032,555$16.74$184,684,970
PCOR - PROCORE TECHNOLOGIES INC0.57%Hold2,339,500$72.74$170,175,230
CSGP - COSTAR GROUP INC0.51%Reduce 30.38%2,259,109$67.24$151,902,489
UNH - UNITEDHEALTH GROUP INC0.47%Reduce 4.24%420,205$330.11$138,713,873$277.26-16.01%$234.60$606.36
N14506104 - ELASTIC N V0.43%Hold1,690,700$75.44$127,546,408
HNGE - HINGE HEALTH INC0.28%Add 227.12%1,805,751$46.45$83,877,134
SHW - SHERWIN WILLIAMS CO0.28%Reduce 21.90%257,083$324.03$83,302,604
ZG - ZILLOW GROUP INC0.24%Add 30.74%1,023,733$68.23$69,849,303$40.64-40.44%$39.14$90.22
G9572D103 - WEBULL CORP0.18%Reduce 42.65%6,724,137$7.77$52,246,544
RERE - ATRENEW INC0.18%Hold9,831,218$5.30$52,105,455
PONY - PONY AI INC0.14%Add 683.78%2,900,000$14.50$42,050,000
CRCL - CIRCLE INTERNET GROUP INC0.13%Add 300.00%500,000$79.30$39,650,000
UBER - Uber Technologies0.04%Hold151,178$81.71$12,352,754$71.84-12.08%$60.63$101.99
JD - JD.COM INC0.03%Hold344,309$28.70$9,881,668
NTSK - NETSKOPE INC0.03%Hold500,000$17.54$8,770,000
FIGR - FIGURE TECHNOLOGY SOLUTIO0.03%Hold200,000$40.84$8,168,000$34.51-15.50%$25.01$78.00
DASH - DOORDASH INC0.02%Hold25,337$226.48$5,738,324
G5279N105 - KLARNA GROUP PLC0.02%Hold175,000$28.91$5,059,250
G16910120 - BULLISH0.01%Hold100,000$37.87$3,787,000
G32089107 - ETORO GROUP LTD0.01%Hold80,000$35.13$2,810,400
FIG - FIGMA INC0.01%Hold60,000$37.37$2,242,200
G00894108 - ACCELERANT HOLDINGS0.00%Hold75,000$16.35$1,226,250
GEMI - GEMINI SPACE STA INC0.00%Hold70,000$9.92$694,400$4.29-56.75%$3.91$45.89
MNTN - MNTN INC0.00%Hold20,000$11.94$238,800
54 visible rowsPrice data as of Apr 2, 2026

* Reported price is computed as filing value divided by reported shares.