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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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Sectors

This breakdown groups the manager’s latest reported 13F holdings by industry sector, so you can see where their conviction is concentrated and how diversified the portfolio is.

Technology: 48.9% ($11.74B)Communication Services: 22.1% ($5.31B)Consumer Cyclical: 18.6% ($4.45B)Industrials: 4.5% ($1.09B)Financial Services: 3.1% ($744.77M)Unclassified: 1.5% ($347.78M)Healthcare: 0.9% ($210.49M)Basic Materials: 0.4% ($88.52M)

Sector breakdown

  • Technology(21)48.9%
  • Communication Services(6)22.1%
  • Consumer Cyclical(7)18.6%
  • Industrials(3)4.5%
  • Financial Services(5)3.1%
  • Unclassified(1)1.5%
  • Healthcare(2)0.9%
  • Basic Materials(1)0.4%