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Tiger Global Management 13F holdings, Q3 2005

Holdings as of September 30, 2005 · filings on SEC EDGAR · latest filing →

Tiger Global Management disclosed 41 US equity positions worth $788.0m in its Q3 2005 13F filing. The largest position was D APPLIED FILMS CORP at 19.4% of the reported book, followed by D AMERICAN TOWER CORP and PHM. Against the Q2 2005 filing, it opened 15 new positions, added to 11 and reduced 5 among the top 41 holdings.

← Q2 2005 · Q4 2005 →

What did Tiger Global Management own in Q3 2005? Top 41 positions

#StockSectorWeightValueSharesΔ sharesvs Q2 2005
1 D APPLIED FILMS CORP 19.4%$152.9m3,211 -99% reduced
2 D AMERICAN TOWER CORP 14.2%$112.3m4,500,000 240% added
3 PHM D PULTE HOMES INC Consumer Cyclical 8.6%$67.4m1,570,000 128% added
4 TOL D TOLL BROTHERS Consumer Cyclical 6.0%$47.1m1,055,400 98% added
5 DLB D Dolby Laboratories Inc Industrials 5.3%$41.5m2,594,100 9% added
6 D CENTRAL EUROPEAN MEDIA 4.2%$33.0m625,000 4% added
7 D ECOLLEGE.COM 3.8%$30.1m2,025,000 0% held
8 D J2 Global Communications Inc 3.2%$25.0m617,932 0% held
9 D NEWS CORP 3.0%$23.9m1,535,000 -17% reduced
10 KBH D KB HOME Consumer Cyclical 2.9%$22.7m310,000 new
11 D SPRINT NEXTEL CORP 2.8%$22.4m940,000 new
12 D OPTIMAL GROUP 2.4%$19.3m933,500 -15% reduced
13 D INPHONIC INC 2.4%$18.9m1,376,000 53% added
14 D GLOBAL CROSSING LTD 1.7%$13.3m904,500 0% held
15 D AGILE SOFTWARE CORP DEL 1.6%$13.0m1,809,676 new
16 D PARLUX FRAGNANCES INC 1.5%$12.1m416,000 new
17 D LIFE TIME FITNESS INC 1.4%$10.8m326,900 0% held
18 D JAMDAT MOBILE 1.3%$10.6m505,000 216% added
19 D TIVO INC 1.3%$9.9m1,800,000 0% held
20 D NESS TECHNOLOGIES INC 1.2%$9.5m948,600 new
21 IMAX D Imax Corp Communication Services 1.2%$9.1m875,000 4275% added
22 D PLAINS EXPL&PRODTN CO 1.1%$9.0m210,000 new
23 D Educate Inc 1.1%$8.9m594,224 -2% reduced
24 D HOUSEVALUES INC 1.1%$8.5m595,800 -10% reduced
25 D PORTALPLAYER INC 1.0%$7.5m275,000 0% held
26 D FORWARD INDUSTRIES INC NEW 0.9%$7.0m297,000 new
27 D LEVEL 3 COMMUNICATIONS INC 0.8%$6.6m2,841,170 0% held
28 D CERNER CORP 0.8%$6.5m75,000 0% held
29 D CHARLES & COLVARD LIMITED 0.6%$5.0m200,000 0% held
30 D CENTRAL EURO DIST 0.5%$4.3m100,000 0% held
31 D TELKONET INC 0.4%$3.1m783,000 360% added
32 ZIXI D Zix Corp 0.4%$3.0m1,506,900 653% added
33 Omitted Records 0.3%$2.6m33 43% added
34 D CGI HLDG CORP 0.3%$2.4m1,428,571 new
35 LSAK D NET 1 UEPS TECHNOLOGIES INC Technology 0.3%$2.2m100,000 new
36 D IONATRON INC 0.2%$1.6m160,000 new
37 D DOBSON COMMUNICATIONS CORP 0.2%$1.5m200,000 new
38 D MEDIS TECHNOLOGIES LTD 0.2%$1.3m70,000 new
39 D ESCALA GROUP INC 0.1%$1.2m70,000 new
40 D ENDWAVE CORP 0.1%$839.0k65,000 new
41 D TRUE RELIGION APPAREL INC 0.0%$166.0k10,000 new

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.