Latticework
Chase Coleman

Chase Coleman's 2025Q3 portfolio

Chase Coleman (Tiger Global Management) held 33 positions as of Sep 30, 2025, with the largest position at 10.5% of the portfolio.

Showing positions still held at the most recent quarter so their historical weights can be reconstructed. Positions that were held in 2025Q3but have since been exited aren't included in this table — for a full point-in-time reconstruction, use the SEC EDGAR filing directly.

Holdings as of Sep 30, 2025 (33)

  1. 1MSFTMicrosoft Corp
    % port
    10.5%
    +0.9pp vs prior Qnow 4.1%
  2. 2SESea Ltd-adr
    % port
    8.9%
    +1.3pp vs prior Qnow 5.6%
  3. 3GOOGLAlphabet Inc-cl A
    % port
    8.0%
    +2.5pp vs prior Qnow 13.4%
  4. 4AMZNAmazon.com Inc
    % port
    7.5%
    +0.6pp vs prior Qnow 9.1%
  5. 5NVDANvidia Corp
    % port
    6.8%
    +1.3pp vs prior Qnow 9.2%
  6. 6METAMeta Platforms Inc-class A
    % port
    6.4%
    -9.9pp vs prior Qnow 7.7%
  7. 7TTWOTake-two Interactive Softwre
    % port
    4.7%
    +0.5pp vs prior Qnow 1.7%
  8. 8APPApplovin Corp-class A
    % port
    4.4%
    +2.4pp vs prior Qnow 1.7%
  9. 9TSMTaiwan Semiconductor-sp Adr
    % port
    4.0%
    +0.9pp vs prior Qnow 8.2%
  10. 10RDDTReddit Inc-cl A
    % port
    3.3%
    +0.6pp vs prior Qnow 1.5%
  11. 11AVGOBroadcom Inc
    % port
    2.9%
    +0.8pp vs prior Qnow 4.9%
  12. 12SPOTSpotify Technology S A
    % port
    2.7%
    -0.1pp vs prior Qnow 3.4%
  13. 13APOApollo Global Management Inc
    % port
    2.6%
    now 1.6%
  14. 14GEVGE Vernova Inc
    % port
    2.2%
    +0.5pp vs prior Qnow 3.7%
  15. 15LRCXLam Research Corp
    % port
    2.2%
    +0.7pp vs prior Qnow 3.6%
  16. 16CPAYCorpay Inc
    % port
    1.6%
    +0.1pp vs prior Qnow 2.2%
  17. 17CPNGCoupang Inc
    % port
    1.6%
    +0.4pp vs prior Qnow 2.9%
  18. 18ZSZscaler Inc
    % port
    1.6%
    now 1.0%
  19. 19ZZillow Group Inc - C
    % port
    1.2%
    now 1.3%
  20. 20XYZBlock Inc
    % port
    1.0%
    +0.2pp vs prior Q
  21. 21FWONKLiberty Media Corp-formula-c
    % port
    0.9%
    now 1.0%
  22. 22NOWServicenow Inc
    % port
    0.9%
    now 0.7%
  23. 23CSGPCostar Group Inc
    % port
    0.8%
    now 0.3%
  24. 24CHYMChime Financial Inc-cl A
    % port
    0.8%
    -0.5pp vs prior Qnow 0.9%
  25. 25NFLXNetflix Inc
    % port
    0.7%
    now 1.0%
  26. 26AMATApplied Materials Inc
    % port
    0.6%
    now 2.5%
  27. 27NUNU Hldgs Ltd
    % port
    0.5%
    +0.1pp vs prior Qnow 0.7%
  28. 28(cusip)Webull Corp
    % port
    0.5%
    +0.1pp vs prior Qnow 0.1%
  29. 29PCORProcore Technologies Inc
    % port
    0.5%
  30. 30UNHUnitedhealth Group Inc
    % port
    0.5%
  31. 31SHWSherwin-williams Co/the
    % port
    0.4%
    -0.9pp vs prior Q
  32. 32ZGZillow Group Inc - A
    % port
    0.2%
  33. 33REREAtrenew Inc
    % port
    0.1%

13F-HR filings disclose long US-equity positions only. 13Fs don't cover shorts, bonds, derivatives, or non-US listings, so the picture here is the public part of the portfolio — not the whole.

Not investment advice.