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Tiger Global Management 13F holdings, Q3 2002

Holdings as of September 30, 2002 · filings on SEC EDGAR · latest filing →

Tiger Global Management disclosed 42 US equity positions worth $238.8m in its Q3 2002 13F filing. The largest position was NOC at 7.7% of the reported book, followed by LMT and D CDW COMPUTER CTRS INC. Against the Q2 2002 filing, it opened 15 new positions, added to 19 and reduced 7 among the top 42 holdings.

← Q2 2002 · Q4 2002 →

What did Tiger Global Management own in Q3 2002? Top 42 positions

#StockSectorWeightValueSharesΔ sharesvs Q2 2002
1 NOC D NORTHROP GRUMMAN COR P (FORMER Industrials 7.7%$18.4m148,000 797% added
2 LMT D LOCKHEED MARTIN CORP Industrials 6.8%$16.3m251,300 new
3 D CDW COMPUTER CTRS INC 6.7%$16.1m379,400 100% added
4 SPY D S & P DEPOSITORY RECEIPTS TR U US ETF'S - US TR 6.7%$16.0m196,200 278% added
5 D TECH DATA CORP 5.7%$13.6m516,800 72% added
6 D IRON MOUNTAIN INC 5.3%$12.6m502,300 new
7 D LEXMARK INTL GROUP INC 5.0%$12.0m255,000 112% added
8 D NOKIA CORP 4.4%$10.6m801,700 517% added
9 D DELL COMPUTER CORP 4.3%$10.3m438,600 155% added
10 D ALLIANT TECHSYSTEMS INC 3.9%$9.3m135,000 249% added
11 JBL D JABIL CIRCUIT INC Technology 3.9%$9.2m625,000 56% added
12 D OVERTURE SERVICES INC 3.5%$8.3m352,400 403% added
13 ORCL D ORACLE CORPORATION U SD.01 Technology 3.3%$7.9m1,000,000 265% added
14 D OMNIVISION TECH 2.8%$6.6m1,000,000 new
15 CSCO D CISCO SYS INC Technology 2.6%$6.3m600,000 10% added
16 IWM D RUSS 2000 INDEX 2.2%$5.3m74,600 new
17 D CONCORD EFS INC 2.2%$5.2m325,600 new
18 D DOCUCORP INTL INC 2.0%$4.9m450,000 new
19 D LAMAR ADVERTISING CO 2.0%$4.7m155,000 new
20 D PROQUEST CO (EX BELL & HOWELL 1.9%$4.6m150,000 new
21 TXN D TEXAS INSTRUMENTS IN C USD1 CO Technology 1.9%$4.4m300,000 -22% reduced
22 D ECHOSTAR COMMUNICATIONS CORP 1.8%$4.3m250,000 new
23 D INVISION TECHNOLOGIES INC 1.8%$4.3m134,125 17% added
24 D RUSS 2000 VALUE 1.7%$4.0m37,100 new
25 INTC D INTEL CORP Technology 1.5%$3.7m263,600 251% added
26 D J2 GLOBAL COMM INC 1.2%$2.8m141,500 new
27 D COMCAST CORP 1.0%$2.3m110,000 7% added
28 D MCSI INC 0.9%$2.2m438,050 2820% added
29 D BEA SYSTEMS INC 0.8%$1.9m374,855 25% added
30 D NEOWARE SYSTEMS INC 0.7%$1.8m127,850 new
31 D LEARNING TREE INTL INC 0.7%$1.6m110,000 new
32 D BROCADE COMMUNICATION 0.6%$1.5m200,000 -44% reduced
33 D REYNOLDS & REYNOLDS 0.5%$1.1m50,535 -30% reduced
34 D CSG SYSTEMS INTL INC 0.5%$1.1m100,000 new
35 D COX RADIO INC 0.4%$1.0m40,000 new
36 D SMARTFORCE PLC SPON 0.3%$719.0k217,850 -8% reduced
37 D SYCAMORE NETWORK INC 0.3%$653.0k278,000 0% held
38 D FALCONSTOR SFTW 0.2%$433.0k88,914 -62% reduced
39 D ALCATEL SPON 0.1%$305.0k141,965 -1% reduced
40 D FREEMARKETS INC 0.1%$231.0k46,652 17% added
41 D AMERICAN TOWER CORP 0.1%$185.0k116,631 17% added
42 D CLEARONE COMM INC 0.0%$95.0k27,819 -32% reduced

Weights are shares of the reported long US equity book (options excluded). Values are as filed, normalised to whole dollars. Share changes compare against the immediately preceding filing only.