Nexus AI
← All Gurus

Chase Coleman

Tiger Global Management LLC

$22.54B

Total portfolio value

As of Mar 2026

Share on X

Performance (If You Copied This Portfolio)

1y

+41.4%

+20.1% vs S&P

3y

+38.5%

+91.9% vs S&P

5y

+28.7%

+168.9% vs S&P

10y

+41.3%

+2738.1% vs S&P

all

+24.8%

+34660.9% vs S&P

Portfolio Allocation (Top Holdings)

GOOGL21.5%
NVDA14.8%
AMZN14.7%
TAIWAN SEM13.3%
META12.4%
SEA9.0%
+2 more

53

New Buys

0

Increased

0

Decreased

0

Sold Out

New Positions This Quarter

GOOGLALPHABET INC

$3.06B

10.63M shares

NVDANVIDIA CORPORATION

$2.09B

12.01M shares

AMZNAMAZON COM INC

$2.08B

10.00M shares

TAIWAN SEMTAIWAN SEMICONDUCTOR MANUFAC

$1.88B

5.57M shares

METAMETA PLATFORMS INC

$1.77B

3.09M shares

SEASEA LTD

$1.28B

15.42M shares

AVGOBROADCOM INC

$1.11B

3.58M shares

MSFTMICROSOFT CORP

$925.4M

2.50M shares

GE VERNOVAGE VERNOVA INC

$849.3M

973K shares

LRCXLAM RESEARCH CORP

$833.4M

3.90M shares

SPOTSPOTIFY TECHNOLOGY S A

$766.5M

1.58M shares

COUPANGCOUPANG INC

$653.2M

34.60M shares

AMATAPPLIED MATLS INC

$566.3M

1.66M shares

CORPAYCORPAY INC

$509.9M

1.75M shares

APPLOVINAPPLOVIN CORP

$398.0M

1.00M shares

TAKE-TWO ITAKE-TWO INTERACTIVE SOFTWAR

$395.0M

2.00M shares

APOLLO GLOAPOLLO GLOBAL MGMT INC

$366.9M

3.29M shares

REDDITREDDIT INC

$336.6M

2.50M shares

BLOCKBLOCK INC

$240.7M

4.00M shares

NFLXNETFLIX INC.

$234.5M

2.44M shares

MELIMERCADOLIBRE INC

$233.4M

135K shares

LLYVKLIBERTY MEDIA CORP DEL

$228.0M

2.68M shares

ZSCALERZSCALER INC

$221.6M

1.58M shares

CHIME FINLCHIME FINL INC

$207.6M

11.08M shares

NU HLDGSNU HLDGS LTD

$158.5M

11.03M shares

NOWSERVICENOW INC

$156.8M

1.50M shares

WEALTHFRONWEALTHFRONT CORP

$140.2M

15.16M shares

PROCORE TEPROCORE TECHNOLOGIES INC

$133.4M

2.34M shares

LUMENTUM HLUMENTUM HLDGS INC

$96.1M

137K shares

UNHUNITEDHEALTH GROUP INC

$94.8M

350K shares

EQUIPMENTSEQUIPMENTSHARE COM INC

$93.3M

4.58M shares

SHERWIN WISHERWIN WILLIAMS CO

$82.4M

257K shares

INTCINTEL CORP

$72.3M

1.64M shares

COSTAR GROCOSTAR GROUP INC

$60.5M

1.50M shares

ATRENEWATRENEW INC

$46.1M

9.83M shares

ZILLOW GROZILLOW GROUP INC

$42.4M

1.02M shares

WEBULLWEBULL CORP

$32.3M

6.72M shares

PONY AIPONY AI INC

$27.4M

2.90M shares

UBERUBER TECHNOLOGIES INC

$10.9M

151K shares

ROBINHOOD ROBINHOOD VENTURES FD I

$10.6M

400K shares

JD.COMJD.COM INC

$10.2M

344K shares

PAYPAYPAYPAY CORP

$8.5M

400K shares

FIGURE TECFIGURE TECHNOLOGY SOLUTIO

$6.8M

200K shares

NETSKOPENETSKOPE INC

$4.2M

500K shares

XANADU QUAXANADU QUANTUM TECHNOLO LTD

$3.8M

500K shares

DOORDASHDOORDASH INC

$3.8M

25K shares

BULLISHBULLISH

$3.6M

100K shares

ETORO GROUETORO GROUP LTD

$2.4M

80K shares

KLARNA GROKLARNA GROUP PLC

$2.3M

175K shares

FIGMAFIGMA INC

$1.3M

60K shares

ACCELERANTACCELERANT HOLDINGS

$1.0M

75K shares

GEMINI SPAGEMINI SPACE STA INC

$309,400

70K shares

MNTNMNTN INC

$176,000

20K shares

All Holdings (53)

StockValue% of PortfolioSharesChange
GOOGLALPHABET INCNEW$3.06B13.4%10.63M+%
NVDANVIDIA CORPORATIONNEW$2.09B9.2%12.01M+%
AMZNAMAZON COM INCNEW$2.08B9.1%10.00M+%
TAIWAN SEMTAIWAN SEMICONDUCTOR MANUFACNEW$1.88B8.2%5.57M+%
METAMETA PLATFORMS INCNEW$1.77B7.7%3.09M+%
SEASEA LTDNEW$1.28B5.6%15.42M+%
AVGOBROADCOM INCNEW$1.11B4.9%3.58M+%
MSFTMICROSOFT CORPNEW$925.4M4.1%2.50M+%
GE VERNOVAGE VERNOVA INCNEW$849.3M3.7%973K+%
LRCXLAM RESEARCH CORPNEW$833.4M3.6%3.90M+%
SPOTSPOTIFY TECHNOLOGY S ANEW$766.5M3.4%1.58M+%
COUPANGCOUPANG INCNEW$653.2M2.9%34.60M+%
AMATAPPLIED MATLS INCNEW$566.3M2.5%1.66M+%
CORPAYCORPAY INCNEW$509.9M2.2%1.75M+%
APPLOVINAPPLOVIN CORPNEW$398.0M1.7%1.00M+%
TAKE-TWO ITAKE-TWO INTERACTIVE SOFTWARNEW$395.0M1.7%2.00M+%
APOLLO GLOAPOLLO GLOBAL MGMT INCNEW$366.9M1.6%3.29M+%
REDDITREDDIT INCNEW$336.6M1.5%2.50M+%
BLOCKBLOCK INCNEW$240.7M1.1%4.00M+%
NFLXNETFLIX INC.NEW$234.5M1.0%2.44M+%
MELIMERCADOLIBRE INCNEW$233.4M1.0%135K+%
LLYVKLIBERTY MEDIA CORP DELNEW$228.0M1.0%2.68M+%
ZSCALERZSCALER INCNEW$221.6M1.0%1.58M+%
CHIME FINLCHIME FINL INCNEW$207.6M0.9%11.08M+%
NU HLDGSNU HLDGS LTDNEW$158.5M0.7%11.03M+%
NOWSERVICENOW INCNEW$156.8M0.7%1.50M+%
WEALTHFRONWEALTHFRONT CORPNEW$140.2M0.6%15.16M+%
PROCORE TEPROCORE TECHNOLOGIES INCNEW$133.4M0.6%2.34M+%
LUMENTUM HLUMENTUM HLDGS INCNEW$96.1M0.4%137K+%
UNHUNITEDHEALTH GROUP INCNEW$94.8M0.4%350K+%

Filing History

Q1 2026

$22.85B

54 positions

Get alerted when Chase Coleman buys or sells

Sign up to get notified within 24 hours of new 13F filings.

Sign up free →

Data from SEC 13F filings. Holdings reported with ~45 day delay from quarter-end. Not investment advice.

Chase Coleman Portfolio 2026 — What They're Holding · Nexus AI