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Tiger Global Management LLC 13F filings

Manager(s): Chase Coleman, Feroz Dewan

Holdings as of 2020-09-30

Filed on 2020-11-16 under CIK 1167483

Company name, stock class and CUSIPValue (x$1000) Shares
JD.COM INC
SPON ADR CL A 47215P106
$4,008,585 51,650,366 sh 
MICROSOFT CORP
COM 594918104
$2,400,651$159,77211,413,734 sh402,583 sh
4%
SUNRUN INC
COM 86771W105
$2,294,625 29,773,257 sh 
Facebook, Inc.
COM 30303M102
$2,291,756 8,750,500 sh 
AMAZON COM INC
COM 023135106
$1,904,352$268,289604,800 sh11,770 sh
2%
APOLLO GLOBAL MGMT INC
COM CL A 03768E105
$1,517,629 33,913,500 sh 
CARVANA CO
CL A 146869102
$1,341,239 6,012,907 sh 
ALIBABA GROUP HLDG LTD
SPONSORED ADS 01609W102
$1,316,461$347,6104,478,062 sh-13,600 sh
0%
SEA LTD
SPONSORED ADS 81141R100
$1,287,657 8,359,235 sh 
PINDUODUO INC
SPONSORED ADS 722304102
$1,056,865$533,41314,253,066 sh8,155,066 sh
134%
CROWDSTRIKE HLDGS
COM 22788C105
$1,034,981$529,3197,537,000 sh2,495,000 sh
49%
RingCentral, Inc.
COM 76680R206
$913,454 3,326,370 sh 
Zoom Video Comms Inc Cl A
COM 98980L101
$854,801$441,2771,818,300 sh187,300 sh
11%
TRANSDIGM GROUP INC
COM 893641100
$834,902 1,757,245 sh 
Workday, Inc. Cl. A
COM 98138H101
$797,007$233,0533,704,771 sh694,771 sh
23%
Netflix Inc
cs 64110L106
$775,547 1,551,000 sh 
SPOTIFY TECHNOLOGY S A
SHS L8681T102
$772,728 3,185,589 sh 
Peloton Interactive Inc Cl A
COM 70614W100
$771,855$465,6797,777,658 sh2,477,750 sh
47%
SERVICENOW INC
COM 81762P102
$722,117$429,2591,488,900 sh765,900 sh
106%
Salesforce.com
COM 79466L302
$575,196$138,7732,288,700 sh-41,000 sh
-2%
UBER TECHNOLOGIES INC
COM 90353T100
$566,852$256,83815,538,716 sh5,564,000 sh
56%
ATLASSIAN CORP PLC
CL A G06242104
$502,148$229,9402,762,241 sh1,252,241 sh
83%
Datadog, Inc.
COM 23804L103
$485,975 4,757,000 sh 
GDS HLDGS LTD
SPONSORED ADS 36165L108
$468,940 5,730,659 sh 
Twilio Inc Cl A
COM 90138F102
$467,371$49,1561,891,500 sh-14,500 sh
-1%
MongoDB, Inc.
COM 60937P106
$442,485 1,911,300 sh 
TAL EDUCATION GROUP
SPONSORED ADS 874080104
$438,209 5,762,873 sh 
ELASTIC N V
ORD SHS N14506104
$433,701 4,019,843 sh 
ANAPLAN INC
COM 03272L108
$425,601 6,800,903 sh 
Paypal Hldgs Inc.
COM 70450Y103
$423,615$40,1352,150,001 sh-50,999 sh
-2%
NEW ORIENTAL ED & TECH GRP I
SPON ADR 647581107
$320,154 2,141,500 sh 
SNOWFLAKE INC CL A
Stock 833445109
$313,750$313,7501,250,000 sh1,250,000 sh
NEW
FLEETCOR TECHNOLOGIES INC
COM 339041105
$308,417 1,295,325 sh 
GSX TECHEDU INC
SPONSORED ADS 36257Y109
$272,201$272,2013,020,769 sh3,020,769 sh
NEW
MasterCard, Inc.
COM 57636Q104
$244,835$61,057724,000 sh102,500 sh
16%
Smartsheet Inc Class A
COM 83200N103
$204,866 4,145,400 sh 
KE HLDGS INC
COM 482497104
$153,250$153,2502,500,000 sh2,500,000 sh
NEW
PHOENIX TREE HLDGS LTD
SPONSORED ADS 719156101
$149,752$132,63936,436,075 sh34,586,075 sh
1870%
SUMO LOGIC ORD
COM 86646P103
$117,528$117,5285,391,187 sh5,391,187 sh
NEW
BIGCOMMERCE HLDGS INC
COM SER 1 08975P108
$112,455$112,4551,350,000 sh1,350,000 sh
NEW
JAMF HLDG CORP
COM 47074L105
$104,510$104,5102,778,778 sh2,778,778 sh
NEW
SHOPIFY INC
CL A 82509L107
$89,511$23,06787,501 sh17,501 sh
25%
JFROG LTD
ORD SHS M6191J100
$84,650$84,6501,000,000 sh1,000,000 sh
NEW
Adobe Inc Com
cs 00724F101
$82,883 169,000 sh 
GOODRX HLDGS INC
COM CL A 38246G108
$77,840$77,8401,400,000 sh1,400,000 sh
NEW
8X8 INC NEW
COM 282914100
$76,973 4,950,000 sh 
ZENDESK, INC. CMN
COM 98936J101
$73,485 714,000 sh 
DOCUSIGN INC
COM 256163106
$64,572 300,000 sh 
DESPEGAR COM CORP
ORD SHS G27358103
$58,872 9,256,550 sh 
Alphabet Inc., Cl. A
COM 02079K305
$44,701 30,500 sh 
STONECO LTD
COM CL A G85158106
$40,502 765,783 sh 
TENCENT MUSIC ENTMT GROUP
SPON ADS 88034P109
$39,879 2,700,000 sh 
Visa Inc.
COM 92826C839
$32,595 163,000 sh 
CHINDATA GROUP HOLDING ADR REP 2 ORD
SPONSORED ADR 16955F107
$30,026$30,0261,850,000 sh1,850,000 sh
NEW
ASANA INC
CL A 04342Y104
$26,675$26,675926,202 sh926,202 sh
NEW
REINVENT TECHNOLOGY PARTNERS UNT
COM G7483N111
$22,980$22,9802,000,000 sh2,000,000 sh
NEW
NCINO INC
COM 63947U107
$21,912$21,912275,000 sh275,000 sh
NEW
LINX S A
SPONSORED ADS 53619W101
$20,603 3,350,000 sh 
DYNATRACE INC
COM 268150109
$20,510 500,000 sh 
DUCK CREEK TECHNOLOGIES INC
SHS 264120106
$15,901$15,901350,000 sh350,000 sh
NEW
SVMK INC
COM 78489X103
$15,575-$1,308704,440 sh-12,769 sh
-2%
CERIDIAN H C M HOLDING I
COM 15677J108
$14,051 170,000 sh 
XPENG INC
ADR 98422D105
$13,046$13,046650,000 sh650,000 sh
NEW
Avalara Inc
COM 05338G106
$12,734 100,000 sh 
FARFETCH LTD
ORD SH CL A 30744W107
$12,580 500,000 sh 
AMERICAN WELL CORP
CL A 03044L105
$11,856$11,856400,000 sh400,000 sh
NEW
Cardlytics Inc.
COM 14161W105
$8,817 124,940 sh 
HUYA INC
ADS REP SHS A 44852D108
$8,670 362,000 sh 
XP INC
CL A G98239109
$8,338 200,000 sh 
VERTEX INC
CL A 92538J106
$7,475$7,475325,000 sh325,000 sh
NEW
CLOUDFLARE INC
CL A COM 18915M107
$7,186 175,000 sh 
ZOOMINFO TECHNOLOGIES INC CL A
COMMON STOCK 98980F104
$6,449 150,000 sh 
LI AUTO INC
SPONSORED ADS 50202M102
$6,087$6,087350,000 sh350,000 sh
NEW
TENABLE HLDGS INC
COM 88025T102
$5,663 150,000 sh 
DOUYU INTERNATIONAL HLDNGS L
SPONSORED ADS 25985W105
$5,284 400,000 sh 
BILIBILI INC
SPONS ADS REP Z 090040106
$4,160 100,000 sh 
SOLARWINDS CORP
COM 83417Q105
$4,068 200,000 sh 
PAGERDUTY INC
COM 69553P100
$4,067 150,000 sh 
DROPBOX INC
CL A 26210C104
$3,852 200,000 sh 
AGORA INC
ADS 00851L103
$3,009 70,000 sh 
OUTSET MED INC
COM 690145107
$2,750$2,75055,000 sh55,000 sh
NEW
YALLA GROUP ADR REP CL A ORD
SPONSORED ADR 98459U103
$2,450$2,450350,000 sh350,000 sh
NEW
Redfin Corp
COM 75737F108
$2,002 40,087 sh 
HEALTH CATALYST INC
COM 42225T107
$1,830 50,000 sh 
ONESMART INTL ED GROUP LTD
SPONSORED ADS 68276W103
$1,437 320,000 sh 
MEDALLIA INC
COM 584021109
$1,371 50,000 sh 
OAK STREET HEALTH
COM 67181A107
$1,336$1,33625,000 sh25,000 sh
NEW
DADA NEXUS LTD - ADR
Foreign Stock 23344D108
$1,324 50,000 sh 
FARMLAND PARTNERS INC
COM 31154R109
$296 44,502 sh 
KINGSOFT CLOUD HLDGS LTD
ADS 49639K101
$295 10,000 sh 
NEW RELIC INC COM
COM 64829B100
$0-$92,7390 sh-1,346,000 sh
-100%
ATHENE HLDG LTD
CL A G0684D107
$0-$44,8510 sh-1,438,000 sh
-100%
Chewy, Inc.
COM 16679L109
$0-$35,7520 sh-800,000 sh
-100%