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Focused investors/Chase Coleman

Chase Coleman - Tiger Global Management

As of Q2 2026, Chase Coleman reported 46 long-equity positions worth $23.98B in aggregate.

Copy-investor backtest

Latest quarter
+3.09%
1-year
+1.87%
3-year
+99.67%
5-year
+26.63%
3-year vs S&P 500
+26.43%
5-year vs S&P 500
-47.05%
5-year top 5
+28.37%

Return from mechanically copying the disclosed 13F equity portfolio after each filing and rebalancing at the next. The vs S&P 500 figures subtract SPY over that manager's own rebalance dates, so both sides cover the same days; both are price return, excluding dividends. Method & limitations.

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Updated 2026-06-06 from SEC 13F data.

Live quotes available for 20 of 73 rows. Rows without a quote are marked unavailable.

1FOXATWENTY FIRST CENTY FOX INC7.65%-16,805,219$645.4M$38.41No quote
2MAMASTERCARD INC7.37%Reduce -4.9%7,214,060$621.56M$86.16No quote
3BABAALIBABA GROUP HLDG LTD7.16%New5,815,690$604.48M$103.94No quote
4TDGTRANSDIGM GROUP INC5.92%Reduce -0.2%2,543,612$499.44M$196.35No quote
5BITABITAUTO HLDGS LTD5.48%-6,565,000$462.24MNo quoteNo quote
6FLTFLEETCOR TECHNOLOGIES INC5.20%Add +1.2%2,950,583$438.78MNo quoteNo quote
7LBTYKLIBERTY GLOBAL PLC5.13%-8,953,698$432.55M$48.31No quote
8HTZHERTZ GLOBAL HOLDINGS INC4.21%Reduce -10.0%14,260,000$355.64M$24.94No quote
9CARAVIS BUDGET GROUP4.00%Add +50.7%5,094,800$337.94MNo quoteNo quote
10VIPSVIPSHOP HLDGS LTD3.99%Add +905.8%17,250,000$337.07M$19.54No quote
11CHTRCHARTER COMMUNICATIONS INC D3.80%Reduce -4.4%1,924,086$320.59M$166.62No quote
12ATHMAUTOHOME INC3.76%Add +29.7%8,735,000$317.61MNo quoteNo quote
13ZZILLOW INC3.70%Reduce -6.1%2,946,081$311.96M$105.89No quote
14RHRESTORATION HARDWARE HLDGS I3.63%-3,193,410$306.6M$96.01No quote
15CFXCOLFAX CORP2.51%Add +2.9%4,115,000$212.21MNo quoteNo quote
16LVNTALIBERTY INTERACTIVE CORP2.36%New5,290,000$199.54MNo quoteNo quote
17DATATABLEAU SOFTWARE INC1.81%Add +25.3%1,805,000$152.99MNo quoteNo quote
18ONDKON DECK CAP INC1.69%New6,350,000$142.43MNo quoteNo quote
19LBRDKLIBERTY BROADBAND CORP1.42%New2,399,400$119.54M$49.82No quote
20JDJD COM INC1.40%New5,115,392$118.37M$23.14No quote
21GPROGOPRO INC1.35%Add +243.2%1,795,992$113.54M$63.22No quote
22WUBA58 COM INC1.21%New2,450,000$101.8MNo quoteNo quote
23SAFMSANDERSON FARMS INC1.12%New1,125,000$94.53MNo quoteNo quote
24MMYTMAKEMYTRIP LIMITED MAURITIUS1.11%Reduce -47.1%3,607,688$93.76M$25.99No quote
25QSRRESTAURANT BRANDS INTL INC1.08%New2,345,012$91.55M$39.04No quote
26KINGKING DIGITAL ENTMT PLC0.91%Add +5.5%4,999,500$76.79MNo quoteNo quote
27GMEGAMESTOP CORP NEW0.80%New2,000,000$67.6MNo quoteNo quote
28DDD3-D SYS CORP DEL0.79%Add +8.0%2,036,483$66.94MNo quoteNo quote
29TRLATRULIA INC0.78%-1,433,808$66MNo quoteNo quote
30PPCPILGRIMS PRIDE CORP NEW0.78%New2,000,000$65.58MNo quoteNo quote
31MYGNMYRIAD GENETICS INC0.77%-1,900,000$64.71MNo quoteNo quote
32DOORMASONITE INTL CORP NEW0.75%Add +5.1%1,025,000$63MNo quoteNo quote
33UTIWUTI WORLDWIDE INC0.73%-5,129,000$61.91MNo quoteNo quote
34SSYSSTRATASYS LTD0.59%New600,000$49.87M$83.11No quote
35VVISA INC0.54%Reduce -39.4%172,479$45.22M$262.20No quote
36GRUBGRUBHUB INC0.53%New1,240,000$45.04MNo quoteNo quote
37NFLXNETFLIX INC0.53%New130,000$44.41M$341.61No quote
38SFUNSOUFUN HLDGS LTD0.49%Reduce -60.2%5,566,700$41.14MNo quoteNo quote
39MBBYFMOBILEYE N V AMSTELVEEN0.48%-1,000,000$40.56MNo quoteNo quote
40JOBS51JOB INC0.40%New937,400$33.61MNo quoteNo quote
41SWIRSIERRA WIRELESS INC0.28%New500,000$23.7MNo quoteNo quote
42TSLTRINA SOLAR LIMITED0.28%-2,550,000$23.61MNo quoteNo quote
43BRLIBIO-REFERENCE LABS INC0.27%-720,000$23.13MNo quoteNo quote
44MOMOMOMO INC0.25%New1,750,000$21M$12.00No quote
45ZPINZHAOPIN LTD0.23%Add +2.1%1,275,000$19.36MNo quoteNo quote
46TWTRTWITTER INC0.21%-500,000$17.94MNo quoteNo quote
47LCLENDINGCLUB CORP0.08%New275,000$6.96MNo quoteNo quote
48NMBLNIMBLE STORAGE INC0.08%-250,000$6.88MNo quoteNo quote
49FEYEFIREEYE INC0.07%-200,000$6.32MNo quoteNo quote
50YDLEYODLEE INC0.05%New350,000$4.27MNo quoteNo quote
51QUNRQUNAR CAYMAN IS LTD0.05%-150,000$4.27MNo quoteNo quote
52ONVOORGANOVO HLDGS INC0.04%New500,000$3.63MNo quoteNo quote
53HDPHORTONWORKS INC0.04%New130,000$3.51MNo quoteNo quote
54LBRKRLIBERTY BROADBAND CORP0.02%New220,001$2.09MNo quoteNo quote
55VEEVVEEVA SYS INC0.02%-75,000$1.98M$26.41No quote
56DSKYIDREAMSKY TECHNOLOGY LIMITED0.02%-100,000$1.71MNo quoteNo quote
57CSLTCASTLIGHT HEALTH INC0.02%-115,000$1.35MNo quoteNo quote
58SZYMSOLAZYME INC0.02%New500,000$1.29MNo quoteNo quote
59NEWRNEW RELIC INC0.01%New25,000$871KNo quoteNo quote
71ZNGAZYNGA INC-Sold0$0No quoteNo quote
70XHBSPDR SERIES TRUST-Sold0$0No quoteNo quote
69RMDRESMED INC-Sold0$0No quoteNo quote
68PCLNPRICELINE GRP INC-Sold0$0No quoteNo quote
67INSYINSYS THERAPEUTICS INC NEW-Sold0$0No quoteNo quote
66GLUUGLU MOBILE INC-Sold0$0No quoteNo quote
65DLIAQDELIA'S INC NEW-Sold0$0No quoteNo quote
64CXDCCHINA XD PLASTICS CO LTD-Sold0$0No quoteNo quote
63CBSCBS CORP NEW-Sold0$0No quoteNo quote
62BKWBURGER KING WORLDWIDE INC-Sold0$0No quoteNo quote
61ABMDABIOMED INC-Sold0$0No quoteNo quote
60VNET21VIANET GROUP INC-Sold0$0No quoteNo quote

Other instruments

Bonds, warrants, or non-share principal positions reported alongside the equity portfolio.

1FWONK 1 01/30/23LIBERTY MEDIA CORP DELAWARENOTE 1.375%10/1OTHER32,500,000$31.98M
2-TRULIA INCNOTE 2.750%12/1OTHER2,000,000$2.89M