Current Chase Coleman Portfolio 2021 (As of September 30, 2021)

Below is the latest current Bill Chase Coleman portfolio in 2021. This is a breakdown of his Tiger Global Management portfolio positions from his fund’s 13F filings.

No.NameValue% of total portfolioSharesPrice per share*
1MICROSOFT CORP3,702,098,0007.11%13,131,734281.92
2JD.COM INC3,694,290,0007.10%51,139,12572.24
3SEA LTD3,319,222,0006.38%10,413,900318.73
4DOORDASH INC2,275,303,0004.37%11,046,234205.98
5DOCUSIGN INC1,881,350,0003.61%7,308,200257.43
6AMAZON COM INC1,865,476,0003.58%567,8703285.04
7CARVANA CO1,853,861,0003.56%6,147,977301.54
8CROWDSTRIKE HLDGS INC1,852,444,0003.56%7,537,000245.78
9FACEBOOK INC1,714,984,0003.29%5,053,137339.39
10SNOWFLAKE INC1,564,094,0003.00%5,171,754302.43
11APOLLO GLOBAL MGMT INC1,377,329,0002.65%22,362,87361.59
12SERVICENOW INC1,372,877,0002.64%2,206,240622.27
13ROBLOX CORP1,316,899,0002.53%17,430,82275.55
14PINDUODUO INC1,274,191,0002.45%14,053,06690.67
15ZOOM VIDEO COMMUNICATIONS IN1,245,965,0002.39%4,764,683261.50
16SHOPIFY INC1,195,595,0002.30%881,8501355.78
17TRANSDIGM GROUP INC1,097,523,0002.11%1,757,245624.57
18WORKDAY INC1,054,223,0002.03%4,218,750249.89
19ATLASSIAN CORP PLC965,007,0001.85%2,465,400391.42
20UBER TECHNOLOGIES INC929,309,0001.79%20,743,49844.80
21RINGCENTRAL INC859,778,0001.65%3,953,000217.50
22PROCORE TECHNOLOGIES INC851,003,0001.63%9,525,43989.34
23WARBY PARKER INC802,789,0001.54%15,132,68153.05
24DATADOG INC740,736,0001.42%5,240,437141.35
25NETFLIX INC663,128,0001.27%1,086,490610.34
26PELOTON INTERACTIVE INC626,493,0001.20%7,196,93387.05
27ALIBABA GROUP HLDG LTD624,723,0001.20%4,219,678148.05
28COINBASE GLOBAL INC608,883,0001.17%2,676,644227.48
29ELASTIC N V598,916,0001.15%4,019,843148.99
30SPOTIFY TECHNOLOGY S A597,510,0001.15%2,651,595225.34
31ROBINHOOD MKTS INC574,981,0001.10%13,664,00142.08
32UIPATH INC554,596,0001.07%10,541,64352.61
33DOUBLEVERIFY HLDGS INC472,860,0000.91%13,842,49434.16
34ADOBE SYSTEMS INCORPORATED424,594,0000.82%737,500575.72
35FUTU HLDGS LTD381,360,0000.73%4,189,84691.02
36COUPA SOFTWARE INC328,551,0000.63%1,499,000219.18
37SUNRUN INC311,223,0000.60%7,073,25744.00
38ASANA INC299,184,0000.57%2,881,202103.84
39MASTERCARD INCORPORATED251,720,0000.48%724,000347.68
40BLEND LABS INC249,054,0000.48%18,475,79713.48
41PAYPAL HLDGS INC233,148,0000.45%896,001260.21
42VTEX232,692,0000.45%11,312,21720.57
43IRONSOURCE LTD222,835,0000.43%20,500,00010.87
44SQUARE INC219,334,0000.42%914,500239.84
451LIFE HEALTHCARE INC217,341,0000.42%10,732,88320.25
468X8 INC NEW210,510,0000.40%9,000,00023.39
47QUALTRICS INTL INC169,282,0000.33%3,960,74242.74
48FLEETCOR TECHNOLOGIES INC169,215,0000.33%647,662261.27
49PLAYTIKA HLDG CORP151,965,0000.29%5,500,00027.63
50GDS HLDGS LTD145,647,0000.28%2,572,81156.61
51DLOCAL LTD141,965,0000.27%2,602,00054.56
52MATTERPORT INC141,825,0000.27%7,500,00018.91
53OZON HLDGS PLC138,932,0000.27%2,753,86150.45
54DIGITALOCEAN HLDGS INC131,971,0000.25%1,700,00077.63
55OSCAR HEALTH INC130,678,0000.25%7,514,56717.39
56AIRBNB INC109,038,0000.21%650,000167.75
57JAMF HLDG CORP107,039,0000.21%2,778,77838.52
58SALESFORCE COM INC105,152,0000.20%387,700271.22
59COUPANG INC99,464,0000.19%3,571,42827.85
60BRIGHT HEALTH GROUP INC96,678,0000.19%11,847,8088.16
61GOODRX HLDGS INC96,192,0000.18%2,345,00041.02
62SUMO LOGIC INC89,420,0000.17%5,547,15016.12
63YATSEN HLDG LTD84,158,0000.16%22,088,7133.81
64ZENDESK INC83,102,0000.16%714,000116.39
65SENTINELONE INC80,987,0000.16%1,511,80153.57
66ANAPLAN INC77,992,0000.15%1,280,86860.89
67KE HLDGS INC68,846,0000.13%3,770,30218.26
68BIGCOMMERCE HLDGS INC68,364,0000.13%1,350,00050.64
69MONDAY COM LTD65,240,0000.13%200,000326.20
70SPIRE GLOBAL INC62,650,0000.12%5,000,00012.53
71TOAST INC62,438,0000.12%1,250,00049.95
72DOXIMITY INC60,525,0000.12%750,00080.70
73BLACKSKY TECHNOLOGY INC51,750,0000.10%5,000,00010.35
74AGORA INC50,058,0000.10%1,726,12329.00
75BUMBLE INC49,980,0000.10%1,000,00049.98
76JUST EAT TAKEAWAY COM N V46,466,0000.09%3,197,95714.53
77C3 AI INC46,340,0000.09%1,000,00046.34
78ON24 INC45,064,0000.09%2,260,00019.94
79INTUIT44,905,0000.09%83,232539.52
80APPLOVIN CORP43,422,0000.08%600,00072.37
81AVEPOINT INC42,450,0000.08%5,000,0008.49
82ALTC ACQUISITION CORP39,320,0000.08%4,000,0009.83
83MONGODB INC38,664,0000.07%82,000471.51
84KANZHUN LIMITED37,790,0000.07%1,050,00035.99
85VISA INC36,308,0000.07%163,000222.75
86DATTO HLDG CORP35,850,0000.07%1,500,00023.90
87DYNATRACE INC35,485,0000.07%500,00070.97
88JFROG LTD33,500,0000.06%1,000,00033.50
89FRESHWORKS INC29,883,0000.06%700,00042.69
90GINKGO BIOWORKS HOLDINGS INC29,750,0000.06%2,910,00010.22
91SQUARESPACE INC28,237,0000.05%730,77738.64
92LOGISTICS INNOVTN TECHNLGS C27,765,0000.05%2,800,0009.92
93KATAPULT HOLDINGS INC27,150,0000.05%5,000,0005.43
94TUYA INC25,850,0000.05%2,850,0009.07
95DEFINITIVE HEALTHCARE CORP25,698,0000.05%600,00042.83
96STONECO LTD25,374,0000.05%730,82734.72
97DUOLINGO INC24,954,0000.05%150,000166.36
98DINGDONG CAYMAN LTD24,854,0000.05%1,050,00023.67
99SMARTSHEET INC24,775,0000.05%360,00068.82
100TCV ACQUISITION CORP24,500,0000.05%2,500,0009.80
101CONFLUENT INC23,860,0000.05%400,00059.65
102TWILIO INC23,833,0000.05%74,701319.05
103AFFIRM HLDGS INC23,826,0000.05%200,000119.13
104XPENG INC23,101,0000.04%650,00035.54
105REVOLUTION HEALTHCAR AQ CORP22,163,0000.04%2,250,0009.85
106JOBY AVIATION INC21,245,0000.04%2,500,0008.50
107OLO INC20,450,0000.04%681,00030.03
108SVF INVESTMENT CORP19,900,0000.04%2,000,0009.95
109ALTIMETER GROWTH CORP 219,740,0000.04%1,996,0009.89
110CLOUDFLARE INC19,714,0000.04%175,000112.65
111NCINO INC19,533,0000.04%275,00071.03
112ROOT INC19,417,0000.04%3,684,4555.27
113ALTIMETER GROWTH CORP19,152,0000.04%1,800,00010.64
114NEW ORIENTAL ED & TECHNOLOGY18,896,0000.04%9,217,5002.05
115AIHUISHOU INTL CO LTD17,966,0000.03%1,791,19310.03
116LIBERTY MEDIA ACQUISITION CO17,561,0000.03%1,700,00010.33
117AVALARA INC17,477,0000.03%100,000174.77
118SPORTRADAR GROUP AG16,973,0000.03%750,00022.63
119MELI KASZEK PIONEER CORP16,575,0000.03%1,500,00011.05
120CAZOO GROUP LTD16,285,0000.03%2,500,0006.51
121DIDI GLOBAL INC15,580,0000.03%2,000,0007.79
122CHINDATA GROUP HLDGS LTD15,559,0000.03%1,850,0008.41
123DUCK CREEK TECHNOLOGIES INC15,484,0000.03%350,00044.24
124DESPEGAR COM CORP14,407,0000.03%1,197,59912.03
125ENDEAVOR GROUP HLDGS INC11,468,0000.02%400,00028.67
126SVF INVESTMENT CORP 310,813,0000.02%1,100,0009.83
127LEAD EDGE GROWTH OPRTUNTS LT9,990,0000.02%1,000,0009.99
128LDH GROWTH CORP I9,456,0000.02%960,0009.85
129WILLIAMS ROWLAND ACQUISITION9,389,0000.02%925,00010.15
130LI AUTO INC9,202,0000.02%350,00026.29
131ZOOMINFO TECHNOLOGIES INC9,179,0000.02%150,00061.19
132XP INC8,034,0000.02%200,00040.17
133PROVIDENT ACQUISITION CORP8,016,0000.02%800,00010.02
134SVF INVESTMENT CORP 27,611,0000.01%775,0009.82
135KNOWBE4 INC7,137,0000.01%325,00021.96
136SPLUNK INC6,545,0000.01%45,228144.71
137VERTEX INC6,247,0000.01%325,00019.22
138PAGERDUTY INC6,213,0000.01%150,00041.42
139DROPBOX INC5,844,0000.01%200,00029.22
140ALKAMI TECHNOLOGY INC3,702,0000.01%150,00024.68
141AMERICAN WELL CORP3,644,0000.01%400,0009.11
142HUYA INC3,019,0000.01%362,0008.34
143OUTSET MED INC2,719,0000.01%55,00049.44
144HEALTH CATALYST INC2,501,0000.00%50,00050.02
145MEDALLIA INC1,694,0000.00%50,00033.88
146SOLARWINDS CORP1,673,0000.00%100,00016.73
147OKTA INC1,327,0000.00%5,590237.39
148DOUYU INTL HLDGS LTD1,316,0000.00%400,0003.29
149N-ABLE INC1,241,0000.00%100,00012.41
150OAK STR HEALTH INC1,063,0000.00%25,00042.52
151DADA NEXUS LTD1,002,0000.00%50,00020.04
152REDFIN CORP851,0000.00%16,98150.11
153FARMLAND PARTNERS INC534,0000.00%44,50212.00
15417 ED & TECHNOLOGY GROUP INC432,0000.00%480,0000.90
155KINGSOFT CLOUD HLDGS LTD283,0000.00%10,00028.30
156SEMRUSH HLDGS INC231,0000.00%10,00023.10
157MOMENTIVE GLOBAL INC207,0000.00%10,57319.58
158ONESMART INTL ED GROUP LTD157,0000.00%320,0000.49

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

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