Chase Coleman Holdings 13F: Latest Tiger Global Management Portfolio Changes
Tiger Global Management. Tiger cub, tech-focused growth investor. Chase Coleman was seeded by Julian Robertson and built Tiger Global into a massive crossover fund. He is famous for aggressive early-stage venture investments and public tech stock holdings.
As of the latest Q1 2026 13F filing, Chase Coleman (managing Tiger Global Management) reported a public portfolio value of $22.8B with 54 positions. This page tracks latest holdings, latest 13F changes, top buys, top sells, and top holdings from the public filing. The top recent buy was NVDA. The top recent sell was AMZN.
Open interactive portfolioLatest 13F portfolio changes
Chase Coleman holdings 13F summary: the latest Tiger Global Management portfolio changes show top holdings including Alphabet, NVIDIA, Amazon, TSMC, and Meta, reported top buys such as NVIDIA, TSMC, Meta, and BROADCOM, and top sells or reductions such as Amazon, Microsoft, FLUTTER ENTMT, and VEEVA SYS. Use this page to review Chase Coleman holdings 13F, Chase Coleman latest 13F changes, Tiger Global Management portfolio changes, and Chase Coleman buys and sells in one place.
Latest filing metadata: quarter Q1 2026; report date 2026-03-31; filing date 2026-05-15; disclosure source SEC 13F.
Chase Coleman 13F portfolio and latest holdings overview
Chase Coleman's Q1 2026 13F holdings show Tiger Global Management reporting 54 positions with a disclosed portfolio value of $22.8B. For readers searching Chase Coleman 13F holdings, Chase Coleman portfolio, Tiger Global Management holdings, or latest 13F changes, the latest top holdings include Alphabet, NVIDIA, Amazon, TSMC, and Meta.
The three largest reported positions add up to roughly 31.7%, which helps readers judge portfolio concentration rather than just headline AUM. The largest reported sector exposure is Information Technology at 42.1% of the disclosed portfolio. This makes the page useful for comparing the manager's actual disclosed exposure with market narratives around the same names.
The latest change data highlights reported buys such as NVIDIA, TSMC, Meta, BROADCOM, and SPOTIFY TECHNOLOGY S A and reported reductions or exits such as Amazon, Microsoft, FLUTTER ENTMT, VEEVA SYS, and GRAB HOLDINGS LIMITED. Those changes should be read as historical disclosure signals, not as real-time trade alerts.
The filing metadata lists report date 2026-03-31, filing date 2026-05-15, SEC accession 0000919574-26-003362. SEC 13F reports are normally published up to 45 days after quarter end, so the data is best used to understand institutional positioning after the fact rather than to infer today's exact portfolio.
A good way to use this page is to compare Chase Coleman's representative holdings, recent buys and sells, and sector allocation against other tracked investors. The static page gives Google and readers a readable summary, while the interactive dashboard lets users inspect the full Tiger Global Management portfolio table, charts, and stock-level holder pages.
Chase Coleman portfolio analytics
the top five positions account for 47.6% of disclosed value; the largest sector exposure is Information Technology at 42.1%; reported buy and sell activity implies roughly 75.5% turnover this period; cost-basis P&L across 54 tracked positions averages 70.1% (22/40 currently in profit).
Top reported holdings
| Holding | Reported value | Weight | Quarter change |
|---|---|---|---|
| GOOGL whale holders ALPHABET INC | $3.06B | 13.4% | Held |
| NVDA whale holders NVIDIA CORPORATION | $2.09B | 9.2% | Increased |
| AMZN whale holders AMAZON COM INC | $2.08B | 9.1% | Reduced |
| TSMWF whale holders TAIWAN SEMICONDUCTOR MANUFAC | $1.88B | 8.2% | Increased |
| META whale holders META PLATFORMS INC | $1.77B | 7.7% | Increased |
| SE whale holders SEA LTD | $1.28B | 5.6% | Held |
| AVGO whale holders BROADCOM INC | $1.11B | 4.9% | Increased |
| MSFT whale holders MICROSOFT CORP | $925.4M | 4.0% | Reduced |
| GEV whale holders GE VERNOVA INC | $849.3M | 3.7% | Held |
| LRCX whale holders LAM RESEARCH CORP | $833.4M | 3.6% | Held |
Top buys
- NVDA whale holders — NVIDIA CORPORATION ($2.09B)
- TSMWF whale holders — TAIWAN SEMICONDUCTOR MANUFAC ($1.88B)
- META whale holders — META PLATFORMS INC ($1.77B)
- AVGO whale holders — BROADCOM INC ($1.11B)
- SPOT whale holders — SPOTIFY TECHNOLOGY S A ($766.5M)
- CPNG whale holders — COUPANG INC ($653.2M)
Top sells
- AMZN whale holders — AMAZON COM INC ($2.08B)
- MSFT whale holders — MICROSOFT CORP ($925.4M)
- FLUT whale holders — FLUTTER ENTMT PLC ($860.9M)
- N/A whale holders — VEEVA SYS INC ($540.3M)
- GRABW whale holders — GRAB HOLDINGS LIMITED ($463.7M)
- APP whale holders — APPLOVIN CORP ($398.0M)
Allocation
- Information Technology: 42.1%
- Communication Services: 31.9%
- Consumer Discretionary: 13.1%
- Financials: 5.6%
- Industrials: 3.7%
- Other: 2.5%
- Health Care: 0.4%
- Materials: 0.4%
Data notes
Report date: 2026-03-31
Disclosure source: SEC 13F
SEC 13F filings are delayed public disclosures and do not include every asset class, short positions, or real-time trades.
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Frequently asked questions
Chase Coleman 13F Holdings
The Q1 2026 13F profile for Chase Coleman and Tiger Global Management shows 54 reported positions, $22.8B in disclosed portfolio value, and top holdings including Alphabet, NVIDIA, Amazon, TSMC, and Meta.
What is Chase Coleman buying? Latest 13F changes
The latest tracked change data for Chase Coleman highlights reported buys such as NVIDIA, TSMC, Meta, and BROADCOM and reported sells or reductions such as Amazon, Microsoft, FLUTTER ENTMT, and VEEVA SYS.
Tiger Global Management top holdings
Tiger Global Management top holdings are summarized from public disclosures with reported values, weights, portfolio concentration, top buys, top sells, and filing metadata where available.
Chase Coleman buys and sells
Use the top buys and top sells sections above to compare Chase Coleman's reported additions, reductions, exits, and latest portfolio activity against other tracked investors.
How delayed is Chase Coleman's 13F data?
SEC Form 13F requires institutional investment managers with $100M+ in US equities to disclose their holdings quarterly. Read our comprehensive 13F guide for timing, coverage, and limitations. Read the Whale Analyzer 13F guide.