Tiger Global Management

Tiger Global Management Portfolio holdings

AUM $34.1B
This Quarter Return
-8.39%
1 Year Return
+43.04%
3 Year Return
+192.76%
5 Year Return
+221.1%
10 Year Return
+1,234.41%
AUM
$45.9B
AUM Growth
+$45.9B
Cap. Flow
-$1.01B
Cap. Flow %
-2.21%
Top 10 Hldgs %
47.44%
Holding
177
New
16
Increased
29
Reduced
22
Closed
8

Sector Composition

1 Technology 49.18%
2 Consumer Discretionary 30.12%
3 Financials 10.11%
4 Communication Services 8.08%
5 Healthcare 1.46%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
REVHU
101
DELISTED
Revolution Healthcare Acquisition Corp. SAIL Units
REVHU
$22.3M 0.05%
2,250,000
SQSP
102
DELISTED
Squarespace, Inc.
SQSP
$21.6M 0.05%
730,777
FRSH icon
103
Freshworks
FRSH
$3.8B
$21.2M 0.05%
809,071
+109,071
+16% +$2.86M
SVFAU
104
DELISTED
SVF Investment Corp. Unit
SVFAU
$20.6M 0.04%
2,000,000
DNA icon
105
Ginkgo Bioworks
DNA
$661M
$20.2M 0.04%
2,425,000
AFRM icon
106
Affirm
AFRM
$27.5B
$20.1M 0.04%
200,000
NXDR
107
Nextdoor Holdings
NXDR
$805M
$19.7M 0.04%
+2,500,000
New +$19.7M
AGCB
108
DELISTED
Altimeter Growth Corp. 2
AGCB
$19.7M 0.04%
1,996,000
TWLO icon
109
Twilio
TWLO
$16.1B
$19.7M 0.04%
74,701
EDU icon
110
New Oriental
EDU
$7.99B
$19.4M 0.04%
9,217,500
LMACU
111
DELISTED
Liberty Media Acquisition Corporation Unit
LMACU
$18M 0.04%
1,700,000
MEKA
112
DELISTED
MELI Kaszek Pioneer Corp Class A Ordinary Shares
MEKA
$17.3M 0.04%
1,500,000
DDL
113
Dingdong
DDL
$451M
$17M 0.04%
1,050,000
SPIR icon
114
Spire Global
SPIR
$270M
$16.9M 0.04%
5,000,000
KPLT icon
115
Katapult Holdings
KPLT
$88M
$16.9M 0.04%
5,000,000
OSCR icon
116
Oscar Health
OSCR
$4.51B
$16.7M 0.04%
2,127,454
-5,387,113
-72% -$42.3M
DH icon
117
Definitive Healthcare
DH
$401M
$16.4M 0.04%
600,000
DUOL icon
118
Duolingo
DUOL
$12.9B
$15.9M 0.03%
150,000
NCNO icon
119
nCino
NCNO
$3.54B
$15.1M 0.03%
275,000
AVDX icon
120
AvidXchange
AVDX
$2.06B
$15.1M 0.03%
+1,000,000
New +$15.1M
JOBY icon
121
Joby Aviation
JOBY
$11.3B
$14.6M 0.03%
2,000,000
EDR
122
DELISTED
Endeavor Group Holdings, Inc.
EDR
$14M 0.03%
400,000
BEKE icon
123
KE Holdings
BEKE
$21.9B
$13.4M 0.03%
665,416
-3,104,886
-82% -$62.5M
SRAD icon
124
Sportradar
SRAD
$9.09B
$13.2M 0.03%
750,000
AVLR
125
DELISTED
Avalara, Inc.
AVLR
$12.9M 0.03%
100,000