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Tiger Global 13F portfolio summary

Tiger Global of TIGER GLOBAL MANAGEMENT LLC has 54 current stock holdings with a reported portfolio value of $22.85B. The portfolio 1 year return is +10.97%. Top holdings include GOOGL (13.38%), NVDA (9.17%), AMZN (9.12%), TSM (8.23%), META (7.73%).

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Tiger Global

TIGER GLOBAL MANAGEMENT LLC
Latest filing: 2026-03-31

Tiger Global runs TIGER GLOBAL MANAGEMENT LLC and currently holds 54 stock positions, which is fewer than the average of 496 among the investors we track. The portfolio is valued at approximately $22.85B. Their top 5 holdings are various securities, which collectively represent 0.0% of the portfolio's total weight. Tiger Global ranks #75 out of 75 investors tracked based on their composite Alpha Score. Their current best-performing position is GEV (GE VERNOVA INC) with returns of +33.56% from their average buy price, held for approximately 5.0 quarters. Over the past year, Tiger Global's portfolio at TIGER GLOBAL MANAGEMENT LLC has delivered returns of +10.97%. Their 3-year annualized return is +100.67%. Looking at the 5-year horizon, Tiger Global has achieved -519.69% annualized returns at TIGER GLOBAL MANAGEMENT LLC.

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Top 5 Holdings
No holdings data available
Portfolio Returns
1 Year
+10.97%
#62/75
3 Year
+100.67%
#26/75
5 Year
-519.69%
#75/75

Portfolio Value

$22.85B

Alpha Score

-176.9

#75 of 75

Holdings

54

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0 stock holdings

HoldingWeightAvg BuyCurrentReturnQuarter Change