Chase Coleman (Tiger Global Management Llc) Portfolio March 31, 2022
Chase Coleman, revealed in a recent regulatory filing his newest positions. In his Tiger Global Management’s portfolio you can find the top 50 holdings based on Coleman’s 13F filings as of March 31, 2021.
No. | Stock | Class | Value | % of total portfolio | Shares | Price per share* |
1 | JD.COM INC | SPON ADR CL A | 2,822,609,000 | 10.6 | 48,774,995 | 57.87 |
2 | MICROSOFT CORP | COM | 2,254,529,000 | 8.5 | 7,312,539 | 308.31 |
3 | CROWDSTRIKE HLDGS INC | CL A | 2,000,306,000 | 7.5 | 8,808,818 | 227.08 |
4 | NU HLDGS LTD | ORD SHS CL A | 1,966,968,000 | 7.4 | 254,788,564 | 7.72 |
5 | SEA LTD | SPONSORD ADS | 1,619,565,000 | 6.1 | 13,520,038 | 119.79 |
6 | SNOWFLAKE INC | CL A | 1,567,655,000 | 5.9 | 6,841,769 | 229.13 |
7 | SERVICENOW INC | COM | 1,361,599,000 | 5.1 | 2,445,005 | 556.89 |
8 | CARVANA CO | CL A | 1,017,684,000 | 3.8 | 8,531,177 | 119.29 |
9 | DOORDASH INC | CL A | 960,932,000 | 3.6 | 8,199,780 | 117.19 |
10 | META PLATFORMS INC | CL A | 867,756,000 | 3.3 | 3,902,482 | 222.36 |
11 | WORKDAY INC | CL A | 712,736,000 | 2.7 | 2,976,432 | 239.46 |
12 | SHOPIFY INC | CL A | 619,298,000 | 2.3 | 916,175 | 675.96 |
13 | RINGCENTRAL INC | CL A | 580,307,000 | 2.2 | 4,951,000 | 117.21 |
14 | ATLASSIAN CORP PLC | CL A | 514,585,000 | 1.9 | 1,751,301 | 293.83 |
15 | LI AUTO INC | SPONSORED ADS | 510,824,000 | 1.9 | 19,791,714 | 25.81 |
16 | AMAZON COM INC | COM | 481,635,000 | 1.8 | 147,743 | 3259.95 |
17 | XPENG INC | ADS | 378,658,000 | 1.4 | 13,724,477 | 27.59 |
18 | BLOCK INC | CL A | 371,310,000 | 1.4 | 2,738,276 | 135.6 |
19 | DOCUSIGN INC | COM | 363,458,000 | 1.4 | 3,393,000 | 107.12 |
20 | DATADOG INC | CL A COM | 337,955,000 | 1.3 | 2,231,169 | 151.47 |
21 | MONDAY COM LTD | SHS | 328,129,000 | 1.2 | 2,075,846 | 158.07 |
22 | TOAST INC | CL A | 275,373,000 | 1.0 | 12,672,463 | 21.73 |
23 | PROCORE TECHNOLOGIES INC | COM | 267,438,000 | 1.0 | 4,614,185 | 57.96 |
24 | MASTERCARD INCORPORATED | CL A | 258,743,000 | 1.0 | 724,000 | 357.38 |
25 | QUALTRICS INTL INC | COM CL A | 233,345,000 | 0.9 | 8,173,193 | 28.55 |
26 | PINDUODUO INC | SPONSORED ADS | 231,520,000 | 0.9 | 5,772,126 | 40.11 |
27 | SENTINELONE INC | CL A | 228,948,000 | 0.9 | 5,909,855 | 38.74 |
28 | 1LIFE HEALTHCARE INC | COM | 195,819,000 | 0.7 | 17,673,234 | 11.08 |
29 | STARRY GROUP HOLDINGS INC | CL A COM | 181,877,000 | 0.7 | 22,018,991 | 8.26 |
30 | KANZHUN LIMITED | SPONSORED ADS | 181,359,000 | 0.7 | 7,280,575 | 24.91 |
31 | DOUBLEVERIFY HLDGS INC | COM | 161,591,000 | 0.6 | 6,420,000 | 25.17 |
32 | COINBASE GLOBAL INC | COM CL A | 158,836,000 | 0.6 | 836,597 | 189.86 |
33 | ELASTIC N V | ORD SHS | 127,362,000 | 0.5 | 1,431,843 | 88.95 |
34 | EMBARK TECHNOLOGY INC | COM | 125,418,000 | 0.5 | 21,293,320 | 5.89 |
35 | ZOOM VIDEO COMMUNICATIONS IN | CL A | 121,919,000 | 0.5 | 1,040,000 | 117.23 |
36 | ROBLOX CORP | CL A | 121,138,000 | 0.5 | 2,619,760 | 46.24 |
37 | 8X8 INC NEW | COM | 113,310,000 | 0.4 | 9,000,000 | 12.59 |
38 | BLEND LABS INC | CL A | 112,770,000 | 0.4 | 19,784,234 | 5.7 |
39 | DAVE INC | CLASS A COM | 98,988,000 | 0.4 | 13,844,459 | 7.15 |
40 | IRONSOURCE LTD | CL A ORD SHS | 98,400,000 | 0.4 | 20,500,000 | 4.8 |
41 | ANAPLAN INC | COM | 97,306,000 | 0.4 | 1,495,868 | 65.05 |
42 | PERIMETER SOLUTIONS SA | COMMON STOCK | 88,569,000 | 0.3 | 7,313,693 | 12.11 |
43 | ZENDESK INC | COM | 85,887,000 | 0.3 | 714,000 | 120.29 |
44 | SALESFORCE COM INC | COM | 82,316,000 | 0.3 | 387,700 | 212.32 |
45 | FUTU HLDGS LTD | SPON ADS CL A | 80,747,000 | 0.3 | 2,479,950 | 32.56 |
46 | OZON HLDGS PLC | SPONSORED ADS | 80,724,000 | 0.3 | 6,958,988 | 11.6 |
47 | SPOTIFY TECHNOLOGY S A | SHS | 80,646,000 | 0.3 | 534,077 | 151.0 |
48 | DLOCAL LTD | CLASS A COM | 73,310,000 | 0.3 | 2,345,180 | 31.26 |
49 | WARBY PARKER INC | CL A COM | 70,194,000 | 0.3 | 2,076,117 | 33.81 |
50 | CONFLUENT INC | CLASS A COM | 55,624,000 | 0.2 | 1,356,672 | 41.0 |
*Price per share is the stock price on the date of the portfolio.