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Tiger Global Management 13F holdings, Q2 2026

Holdings as of June 30, 2026 · filings on SEC EDGAR · this is the latest filing on record

Tiger Global Management disclosed 46 US equity positions worth $24.0bn in its Q2 2026 13F filing. The largest position was TSM at 9.7% of the reported book, followed by AMZN and NVDA. Against the Q1 2026 filing, it opened 9 new positions, added to 6 and reduced 20 among the top 46 holdings.

← Q1 2026

What did Tiger Global Management own in Q2 2026? Top 46 positions

#StockSectorWeightValueSharesΔ sharesvs Q1 2026
1 TSM TAIWAN SEMICONDUCTOR MANUFAC Technology 9.7%$2.3bn4,881,008 -12% reduced
2 AMZN AMAZON COM INC Consumer Cyclical 9.6%$2.3bn9,683,558 -3% reduced
3 NVDA NVIDIA CORPORATION Technology 9.3%$2.2bn11,198,773 -7% reduced
4 GOOGL ALPHABET INC Communication Services 8.7%$2.1bn5,805,687 -45% reduced
5 META META PLATFORMS INC Communication Services 6.6%$1.6bn2,823,180 -9% reduced
6 LRCX LAM RESEARCH CORP Technology 5.7%$1.4bn3,163,495 -19% reduced
7 SE SEA LTD Consumer Cyclical 5.0%$1.2bn12,559,152 -19% reduced
8 AMAT APPLIED MATLS INC Technology 4.9%$1.2bn1,632,210 -1% reduced
9 GEV GE VERNOVA INC Industrials 3.9%$937.0m797,511 -18% reduced
10 MSFT MICROSOFT CORP Technology 3.5%$845.6m2,266,913 -9% reduced
11 CPAY CORPAY INC 3.0%$716.5m2,149,877 23% added
12 CBRS CEREBRAS SYSTEMS INC 2.8%$662.8m2,999,000 new
13 AVGO BROADCOM INC Technology 2.8%$662.6m1,754,062 -51% reduced
14 CPNG COUPANG INC Consumer Cyclical 2.6%$633.4m36,467,972 5% added
15 INTC INTEL CORP Technology 2.5%$593.8m4,252,690 160% added
16 SPOT SPOTIFY TECHNOLOGY S A Communication Services 2.2%$537.8m1,171,427 -26% reduced
17 TTWO TAKE-TWO INTERACTIVE SOFTWAR Communication Services 1.9%$452.3m1,809,348 -10% reduced
18 RDDT REDDIT INC Communication Services 1.8%$439.0m2,528,819 1% added
19 AMD ADVANCED MICRO DEVICES INC Technology 1.6%$392.0m674,727 new
20 XYZ BLOCK INC Technology 1.5%$347.8m4,576,007 14% added
21 APO APOLLO GLOBAL MGMT INC Financial Services 1.3%$322.2m2,723,110 -17% reduced
22 STX SEAGATE TECHNOLOGY HLDNGS PL Technology 1.1%$275.1m285,100 new
23 V VISA INC Financial Services 1.1%$274.0m798,697 new
24 MELI MERCADOLIBRE INC Consumer Cyclical 1.1%$259.9m153,126 13% added
25 LIBERTY MEDIA CORP DEL 0.9%$216.8m2,278,555 -15% reduced
26 NU NU HLDGS LTD Financial Services 0.6%$147.4m11,032,555 0% held
27 WLTH WEALTHFRONT CORP 0.6%$135.5m15,156,877 0% held
28 UNH UNITEDHEALTH GROUP INC Healthcare 0.5%$123.6m297,452 -15% reduced
29 CHYM CHIME FINL INC Technology 0.5%$108.2m5,284,045 -52% reduced
30 EQPT EQUIPMENTSHARE COM INC 0.4%$90.0m4,579,646 0% held
31 SHW SHERWIN WILLIAMS CO Basic Materials 0.4%$88.5m257,083 0% held
32 DHR DANAHER CORP DEL Healthcare 0.4%$86.9m456,000 new
33 NOW SERVICENOW INC Technology 0.4%$86.7m873,485 -42% reduced
34 SPACE EXPLORATION TECHN CORP 0.3%$64.1m375,000 new
35 WEBULL CORP 0.2%$43.8m6,724,137 0% held
36 RERE ATRENEW INC 0.2%$38.0m9,831,218 0% held
37 APLD APPLIED DIGITAL CORP Technology 0.1%$33.0m885,000 new
38 CIFR CIPHER DIGITAL INC Technology 0.1%$22.7m927,000 new
39 CORZ CORE SCIENTIFIC INC NEW Technology 0.1%$20.9m817,000 new
40 UBER UBER TECHNOLOGIES INC Technology 0.0%$10.9m151,178 0% held
41 JD JD.COM INC Consumer Cyclical 0.0%$5.1m201,500 -41% reduced
42 DASH DOORDASH INC Consumer Cyclical 0.0%$4.7m25,337 0% held
43 PONY PONY AI INC Technology 0.0%$2.2m310,287 -89% reduced
44 ARX ACCELERANT HOLDINGS 0.0%$879.0k75,000 0% held
45 GEMINI SPACE STA INC 0.0%$298.2k70,000 0% held
46 MNTN MNTN INC 0.0%$184.0k20,000 0% held

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.