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Tiger Global Management 13F holdings, Q1 2006

Holdings as of March 31, 2006 · filings on SEC EDGAR · latest filing →

Tiger Global Management disclosed 35 US equity positions worth $691.4m in its Q1 2006 13F filing. The largest position was D AMERICAN TOWER CORP at 16.5% of the reported book, followed by D PALM INC and D NUTRI SYS INC NEW. Against the Q4 2005 filing, it opened 13 new positions, added to 7 and reduced 5 among the top 35 holdings.

← Q4 2005 · Q2 2006 →

What did Tiger Global Management own in Q1 2006? Top 35 positions

#StockSectorWeightValueSharesΔ sharesvs Q4 2005
1 D AMERICAN TOWER CORP 16.5%$113.9m3,755,000 -1% reduced
2 D PALM INC 8.4%$58.3m2,516,000 100% added
3 D NUTRI SYS INC NEW 7.7%$53.5m1,125,000 0% held
4 D J2 GLOBAL COMMUNICATIONS INC 6.3%$43.5m925,932 0% held
5 D ECOLLEGE.COM 5.5%$37.8m2,008,306 -1% reduced
6 D CENTRAL EUROPEAN MEDIA 5.0%$34.3m500,000 0% held
7 D SPRINT NEXTEL CORP 4.7%$32.3m1,250,000 17% added
8 PHM D PULTE HOMES INC Consumer Cyclical 4.1%$28.6m744,400 -48% reduced
9 D AMERICAN SCIENCE & ENGR INC 4.1%$28.0m300,000 new
10 D BANKRATE INC 4.0%$27.5m631,000 new
11 D IRON MTN INC 2.8%$19.4m475,000 new
12 TOL D TOLL BROTHERS INC Consumer Cyclical 2.6%$18.2m525,000 new
13 LZB D LA Z BOY INC Consumer Cyclical 2.4%$16.7m980,000 new
14 IMAX D Imax Corp Communication Services 1.9%$13.0m1,280,000 47% added
15 D OPTIMAL GROUP 1.8%$12.5m863,412 -8% reduced
16 D IRSA INVERSIONES Y REP SA GLOBL DEP RCPT 1.8%$12.4m1,046,800 new
17 D LEVEL 3 COMMUNICATIONS INC 1.8%$12.1m2,341,170 0% held
18 D PARLUX FRAGNANCES INC 1.7%$12.0m371,000 68% added
19 D NESS TECHNOLOGIES INC 1.7%$11.9m948,600 0% held
20 CROX D CROCS INC Consumer Cyclical 1.7%$11.9m472,300 new
21 SGI D TEMPUR PEDIC INTL INC Consumer Cyclical 1.7%$11.7m830,000 new
22 D ORCKIT COMMUNICATIONS INC 1.6%$10.8m492,000 209% added
23 MDRX D ALLSCRIPTS HEALTHCARE SOLUTI Healthcare 1.5%$10.6m580,000 new
24 D CLICK COMMERCE INC 1.5%$10.5m440,000 new
25 D KONINKLIJKE PHILIPS ELECTRS NY REG SH NEW 1.4%$9.5m283,600 new
26 D TELKONET INC 1.0%$7.1m1,680,500 203% added
27 D TRAFFIC 1.0%$7.0m835,000 new
28 D COMCAST CORP NEW 0.9%$5.9m225,300 0% held
29 D TIVO INC 0.8%$5.8m800,000 0% held
30 D PORTALPLAYER INC 0.6%$3.9m175,000 0% held
31 ZIXI D ZIX CORP 0.4%$2.8m1,925,350 1% added
32 D CGI HLDG CORP 0.4%$2.7m1,428,571 0% held
33 D IONATRON INC 0.4%$2.6m195,000 -15% reduced
34 D TRUE RELIGION APPAREL INC 0.2%$1.6m85,000 0% held
35 D AUDIBLE INC 0.1%$1.0m98,348 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.