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Portfolio diff

Tiger Global Management

Q1 2026 ⇄ Q2 2026

+9Added
−15Removed
26Resized
11Unchanged

Added (Q2 2026)

SecurityValueShares
CBRS CEREBRAS SYSTEMS INC $662.78M3.00M
AMD ADVANCED MICRO… $391.96M674.73K
STX SEAGATE TECHNOLOGY… $275.12M285.10K
V VISA INC $274.02M798.70K
DHR DANAHER CORP DEL $86.86M456.00K
SPCX SPACE EXPLORATION… $64.07M375.00K
APLD APPLIED DIGITAL CORP $33.01M885.00K
CIFR CIPHER DIGITAL INC $22.71M927.00K
CORZ CORE SCIENTIFIC INC… $20.91M817.00K

Removed (was held in Q1 2026)

SecurityValue thenShares then
APP APPLOVIN CORP $398.00M1.00M
NFLX NETFLIX INC. $234.51M2.44M
ZS ZSCALER INC $221.63M1.58M
PCOR PROCORE TECHNOLOGIES… $133.35M2.34M
LITE LUMENTUM HLDGS INC $96.14M136.80K
CSGP COSTAR GROUP INC $60.51M1.50M
Z ZILLOW GROUP INC $42.37M1.02M
PAYP PAYPAY CORP $8.54M400.00K
FIGR FIGURE TECHNOLOGY… $6.79M200.00K
NTSK NETSKOPE INC $4.25M500.00K
XNDU XANADU QUANTUM… $3.83M500.00K
BLSH BULLISH $3.57M100.00K
ETOR ETORO GROUP LTD $2.40M80.00K
KLAR KLARNA GROUP PLC $2.29M175.00K
FIG FIGMA INC $1.27M60.00K

Resized positions

SecurityQ1 2026 sharesQ2 2026 sharesChange
INTC INTEL CORP 1.64M 4.25M +159.5%
PONY PONY AI INC 2.90M 310.29K -89.3%
CHYM CHIME FINL INC 11.08M 5.28M -52.3%
AVGO BROADCOM INC 3.58M 1.75M -51.1%
GOOGL ALPHABET INC 10.63M 5.81M -45.4%
NOW SERVICENOW INC 1.50M 873.49K -41.8%
JD JD.COM INC 344.31K 201.50K -41.5%
SPOT SPOTIFY TECHNOLOGY S A 1.58M 1.17M -25.9%
CPAY CORPAY INC 1.75M 2.15M +22.7%
LRCX LAM RESEARCH CORP 3.90M 3.16M -18.9%
SE SEA LTD 15.42M 12.56M -18.5%
GEV GE VERNOVA INC 972.99K 797.51K -18.0%
APO APOLLO GLOBAL MGMT INC 3.29M 2.72M -17.3%
UNH UNITEDHEALTH GROUP INC 350.44K 297.45K -15.1%
FWONA LIBERTY MEDIA CORP DEL 2.68M 2.28M -15.0%
XYZ BLOCK INC 4.00M 4.58M +14.4%
MELI MERCADOLIBRE INC 135.01K 153.13K +13.4%
TSM TAIWAN SEMICONDUCTOR… 5.57M 4.88M -12.3%
TTWO TAKE-TWO INTERACTIVE… 2.00M 1.81M -9.5%
MSFT MICROSOFT CORP 2.50M 2.27M -9.3%
META META PLATFORMS INC 3.09M 2.82M -8.5%
NVDA NVIDIA CORPORATION 12.01M 11.20M -6.8%
CPNG COUPANG INC 34.60M 36.47M +5.4%
AMZN AMAZON COM INC 10.00M 9.68M -3.2%
AMAT APPLIED MATLS INC 1.66M 1.63M -1.5%
RDDT REDDIT INC 2.50M 2.53M +1.2%

Raw share-count comparison between the two selected quarters (as reported; splits between distant quarters are not adjusted here — the quarterly change tabs on the manager page are split-adjusted). Common-stock positions with mapped tickers only.

Provenance: Both snapshots come from the manager's parsed 13F information tables (latest accepted versions). ← Back to the manager record