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.StockClassValue% of total portfolioSharesPrice per share*
1JD.COM INCSPON ADR CL A2,822,609,00010.648,774,99557.87
2MICROSOFT CORPCOM2,254,529,0008.57,312,539308.31
3CROWDSTRIKE HLDGS INCCL A2,000,306,0007.58,808,818227.08
4NU HLDGS LTDORD SHS CL A1,966,968,0007.4254,788,5647.72
5SEA LTDSPONSORD ADS1,619,565,0006.113,520,038119.79
6SNOWFLAKE INCCL A1,567,655,0005.96,841,769229.13
7SERVICENOW INCCOM1,361,599,0005.12,445,005556.89
8CARVANA COCL A1,017,684,0003.88,531,177119.29
9DOORDASH INCCL A960,932,0003.68,199,780117.19
10META PLATFORMS INCCL A867,756,0003.33,902,482222.36
11WORKDAY INCCL A712,736,0002.72,976,432239.46
12SHOPIFY INCCL A619,298,0002.3916,175675.96
13RINGCENTRAL INCCL A580,307,0002.24,951,000117.21
14ATLASSIAN CORP PLCCL A514,585,0001.91,751,301293.83
15LI AUTO INCSPONSORED ADS510,824,0001.919,791,71425.81
16AMAZON COM INCCOM481,635,0001.8147,7433259.95
17XPENG INCADS378,658,0001.413,724,47727.59
18BLOCK INCCL A371,310,0001.42,738,276135.6
19DOCUSIGN INCCOM363,458,0001.43,393,000107.12
20DATADOG INCCL A COM337,955,0001.32,231,169151.47
21MONDAY COM LTDSHS328,129,0001.22,075,846158.07
22TOAST INCCL A275,373,0001.012,672,46321.73
23PROCORE TECHNOLOGIES INCCOM267,438,0001.04,614,18557.96
24MASTERCARD INCORPORATEDCL A258,743,0001.0724,000357.38
25QUALTRICS INTL INCCOM CL A233,345,0000.98,173,19328.55
26PINDUODUO INCSPONSORED ADS231,520,0000.95,772,12640.11
27SENTINELONE INCCL A228,948,0000.95,909,85538.74
281LIFE HEALTHCARE INCCOM195,819,0000.717,673,23411.08
29STARRY GROUP HOLDINGS INCCL A COM181,877,0000.722,018,9918.26
30KANZHUN LIMITEDSPONSORED ADS181,359,0000.77,280,57524.91
31DOUBLEVERIFY HLDGS INCCOM161,591,0000.66,420,00025.17
32COINBASE GLOBAL INCCOM CL A158,836,0000.6836,597189.86
33ELASTIC N VORD SHS127,362,0000.51,431,84388.95
34EMBARK TECHNOLOGY INCCOM125,418,0000.521,293,3205.89
35ZOOM VIDEO COMMUNICATIONS INCL A121,919,0000.51,040,000117.23
36ROBLOX CORPCL A121,138,0000.52,619,76046.24
378X8 INC NEWCOM113,310,0000.49,000,00012.59
38BLEND LABS INCCL A112,770,0000.419,784,2345.7
39DAVE INCCLASS A COM98,988,0000.413,844,4597.15
40IRONSOURCE LTDCL A ORD SHS98,400,0000.420,500,0004.8
41ANAPLAN INCCOM97,306,0000.41,495,86865.05
42PERIMETER SOLUTIONS SACOMMON STOCK88,569,0000.37,313,69312.11
43ZENDESK INCCOM85,887,0000.3714,000120.29
44SALESFORCE COM INCCOM82,316,0000.3387,700212.32
45FUTU HLDGS LTDSPON ADS CL A80,747,0000.32,479,95032.56
46OZON HLDGS PLCSPONSORED ADS80,724,0000.36,958,98811.6
47SPOTIFY TECHNOLOGY S ASHS80,646,0000.3534,077151.0
48DLOCAL LTDCLASS A COM73,310,0000.32,345,18031.26
49WARBY PARKER INCCL A COM70,194,0000.32,076,11733.81
50CONFLUENT INCCLASS A COM55,624,0000.21,356,67241.0

*Price per share is the stock price on the date of the portfolio.