Tiger Global Management 13F holdings, Q2 2021
Holdings as of June 30, 2021 · filings on SEC EDGAR · latest filing →
Tiger Global Management disclosed 141 US equity positions worth $53.8bn in its Q2 2021 13F filing. The largest position was JD at 7.7% of the reported book, followed by MSFT and SE. Against the Q1 2021 filing, it opened 7 new positions, added to 18 and reduced 8 among the top 50 holdings.
What did Tiger Global Management own in Q2 2021? Top 50 positions
| # | Stock | Sector | Weight | Value | Shares | Δ shares | vs Q1 2021 |
|---|---|---|---|---|---|---|---|
| 1 | JD JD.COM INC | Consumer Cyclical | 7.7% | $4.1bn | 51,594,753 | -0% | held |
| 2 | MSFT MICROSOFT CORP | Technology | 6.6% | $3.6bn | 13,131,734 | -4% | reduced |
| 3 | SE SEA LTD | Consumer Cyclical | 5.2% | $2.8bn | 10,148,500 | 7% | added |
| 4 | RBLX ROBLOX CORP | Communication Services | 4.6% | $2.5bn | 27,392,297 | -32% | reduced |
| 5 | DOCU DOCUSIGN INC | Technology | 3.8% | $2.0bn | 7,280,000 | 41% | added |
| 6 | AMZN AMAZON COM INC | Consumer Cyclical | 3.6% | $2.0bn | 567,870 | -7% | reduced |
| 7 | DASH DOORDASH INC | Consumer Cyclical | 3.6% | $1.9bn | 10,913,734 | 88% | added |
| 8 | APOLLO GLOBAL MGMT INC | 3.6% | $1.9bn | 31,052,476 | -11% | reduced | |
| 9 | CVNA CARVANA CO | Consumer Cyclical | 3.6% | $1.9bn | 6,355,107 | 6% | added |
| 10 | CRWD CROWDSTRIKE HLDGS INC | Technology | 3.5% | $1.9bn | 7,537,000 | 0% | held |
| 11 | PDD PINDUODUO INC | Consumer Cyclical | 3.3% | $1.8bn | 14,053,066 | 0% | held |
| 12 | META FACEBOOK INC | Communication Services | 3.3% | $1.8bn | 5,053,137 | -9% | reduced |
| 13 | ZM ZOOM VIDEO COMMUNICATIONS IN | Technology | 3.1% | $1.7bn | 4,283,073 | 75% | added |
| 14 | SHOP SHOPIFY INC | Technology | 2.4% | $1.3bn | 872,300 | 69% | added |
| 15 | NOW SERVICENOW INC | Technology | 2.3% | $1.2bn | 2,206,240 | 2% | added |
| 16 | RNG RINGCENTRAL INC | Technology | 2.1% | $1.1bn | 3,940,000 | 18% | added |
| 17 | TDG TRANSDIGM GROUP INC | Industrials | 2.1% | $1.1bn | 1,757,245 | 0% | held |
| 18 | PTON PELOTON INTERACTIVE INC | Consumer Cyclical | 2.0% | $1.1bn | 8,826,164 | 12% | added |
| 19 | UBER UBER TECHNOLOGIES INC | Technology | 1.9% | $1.0bn | 20,747,855 | -0% | held |
| 20 | SNOW SNOWFLAKE INC | Technology | 1.9% | $1.0bn | 4,189,254 | 88% | added |
| 21 | WDAY WORKDAY INC | Technology | 1.8% | $985.4m | 4,127,450 | 0% | held |
| 22 | BABA ALIBABA GROUP HLDG LTD | Consumer Cyclical | 1.8% | $956.9m | 4,219,678 | -6% | reduced |
| 23 | PCOR PROCORE TECHNOLOGIES INC | Technology | 1.7% | $904.4m | 9,525,439 | – | new |
| 24 | SPOT SPOTIFY TECHNOLOGY S A | Communication Services | 1.6% | $870.4m | 3,158,195 | -1% | reduced |
| 25 | PATH UIPATH INC | Technology | 1.3% | $708.1m | 10,423,632 | – | new |
| 26 | COIN COINBASE GLOBAL INC | Financial Services | 1.2% | $665.0m | 2,625,294 | – | new |
| 27 | TEAM ATLASSIAN CORP PLC | Technology | 1.2% | $633.3m | 2,465,400 | 0% | held |
| 28 | FUTU FUTU HLDGS LTD | Financial Services | 1.2% | $621.1m | 3,468,000 | 4% | added |
| 29 | DV DOUBLEVERIFY HLDGS INC | Communication Services | 1.1% | $586.1m | 13,842,494 | – | new |
| 30 | ESTC ELASTIC N V | Technology | 1.1% | $585.9m | 4,019,843 | 0% | held |
| 31 | NFLX NETFLIX INC | Communication Services | 1.1% | $573.9m | 1,086,490 | 3% | added |
| 32 | DDOG DATADOG INC | Technology | 1.0% | $519.6m | 4,992,437 | 5% | added |
| 33 | ADBE ADOBE SYSTEMS INCORPORATED | Technology | 0.8% | $431.9m | 737,500 | 0% | held |
| 34 | RUN SUNRUN INC | Technology | 0.7% | $394.5m | 7,073,257 | 0% | held |
| 35 | COUPA SOFTWARE INC | 0.7% | $392.9m | 1,499,000 | 5% | added | |
| 36 | YATSEN HLDG LTD | 0.5% | $264.4m | 28,213,701 | 394% | added | |
| 37 | MA MASTERCARD INCORPORATED | Financial Services | 0.5% | $264.3m | 724,000 | 0% | held |
| 38 | PYPL PAYPAL HLDGS INC | Financial Services | 0.5% | $261.2m | 896,001 | 0% | held |
| 39 | 1LIFE HEALTHCARE INC | 0.5% | $251.9m | 7,620,000 | 0% | held | |
| 40 | EGHT 8X8 INC NEW | Technology | 0.5% | $249.8m | 9,000,000 | 0% | held |
| 41 | IRONSOURCE LTD | 0.4% | $215.2m | 20,500,000 | – | new | |
| 42 | XYZ SQUARE INC | Technology | 0.4% | $212.6m | 872,000 | 13% | added |
| 43 | BRIGHT HEALTH GROUP INC | 0.4% | $203.3m | 11,847,808 | – | new | |
| 44 | GDS GDS HLDGS LTD | Technology | 0.4% | $201.9m | 2,572,811 | -30% | reduced |
| 45 | ASAN ASANA INC | Technology | 0.3% | $178.7m | 2,881,202 | 0% | held |
| 46 | FLEETCOR TECHNOLOGIES INC | 0.3% | $165.8m | 647,662 | 0% | held | |
| 47 | CPNG COUPANG INC | Consumer Cyclical | 0.3% | $149.4m | 3,571,428 | 0% | held |
| 48 | QUALTRICS INTL INC | 0.3% | $138.3m | 3,615,750 | 119% | added | |
| 49 | DLO DLOCAL LTD | Technology | 0.3% | $136.7m | 2,602,000 | – | new |
| 50 | OSCR OSCAR HEALTH INC | Healthcare | 0.2% | $132.9m | 6,179,409 | 11% | added |
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.