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SEC FORM 13F LEDGER

Tiger Global Management LLC reported 13F holdings, quarter ended September 30, 2025

TIGER GLOBAL MANAGEMENT LLC reported 56 13(f) positions held on September 30, 2025, as filed with the SEC on November 14, 2025 under accession 0000919574-25-006931.

The filing on record

Legal name as filedTIGER GLOBAL MANAGEMENT LLC
Quarter end, positions held onSeptember 30, 2025 (2025-09-30)
Filing date, reported to the SEC onNovember 14, 2025 (2025-11-14)
Form type13F-HR, 13F HOLDINGS REPORT
Snapshot revision1 of 1
Positions reported56
Total reported value (USD)$32,359,754,158
Completenessconfidential omission not stated. This filing does not state whether any positions were omitted under a confidential treatment request, so completeness is unknown.
Comparison basisThe immediately preceding quarter is not on record, so no comparison is published.

Reported positions

Where the two quarters cannot be compared honestly, the row says so and names the rule that withheld it. An absent security is not evidence of a sale: it may have left 13(f) scope, been granted confidential treatment, moved to a different reporting manager, or changed CUSIP in a corporate action.

Issuer as reportedTitle of classCUSIPAmount reportedReported value (USD)Reported change since the prior quarter on record
MICROSOFT CORPCOM5949181046,551,368 shares$3,393,281,056not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SEA LTDSPONSORD ADS81141R10016,041,335 shares$2,867,067,805not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ALPHABET INCCAP STK CL A02079K30510,631,402 shares$2,584,493,826not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AMAZON COM INCCOM02313510611,043,441 shares$2,424,808,340not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NVIDIA CORPORATIONCOM67066G10411,709,752 shares$2,184,805,528not comparableThe immediately preceding quarter is not on record, so no comparison is published.
META PLATFORMS INCCL A30303M1022,819,001 shares$2,070,217,954not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TAKE-TWO INTERACTIVE SOFTWARCOM8740541095,839,256 shares$1,508,630,180not comparableThe immediately preceding quarter is not on record, so no comparison is published.
APPLOVIN CORPCOM CL A03831W1082,002,989 shares$1,439,227,716not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TAIWAN SEMICONDUCTOR MFG LTDSPONSORED ADS8740391004,578,374 shares$1,278,694,074not comparableThe immediately preceding quarter is not on record, so no comparison is published.
REDDIT INCCL A75734B1004,672,515 shares$1,074,631,725not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BROADCOM INCCOM11135F1012,889,614 shares$953,312,555not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FLUTTER ENTMT PLCSHSG3643J1083,658,192 shares$929,180,768not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SPOTIFY TECHNOLOGY S ASHSL8681T1021,261,461 shares$880,499,778not comparableThe immediately preceding quarter is not on record, so no comparison is published.
APOLLO GLOBAL MGMT INCCOM03769M1066,209,496 shares$827,539,532not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VEEVA SYS INCCL A COM9224751082,420,500 shares$721,091,155not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GE VERNOVA INCCOM36828A1011,154,594 shares$709,959,851not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LAM RESEARCH CORPCOM NEW5128073065,260,328 shares$704,357,919not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GRAB HOLDINGS LIMITEDCLASS A ORDG4124C10992,923,788 shares$559,401,204not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CORPAY INCCOM SHS2199481061,771,146 shares$510,196,317not comparableThe immediately preceding quarter is not on record, so no comparison is published.
COUPANG INCCL A22266T10915,837,579 shares$509,970,044not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ZSCALER INCCOM98980G1021,683,266 shares$504,407,490not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ZILLOW GROUP INCCL C CAP STK98954M2005,045,144 shares$388,728,345not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BLOCK INCCL A8522341034,423,312 shares$319,672,758not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LIBERTY MEDIA CORP DELCOM LBTY ONE S C5312297552,682,000 shares$280,134,900not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SERVICENOW INCCOM81762P102300,000 shares$276,084,000not comparableThe immediately preceding quarter is not on record, so no comparison is published.
COSTAR GROUP INCCOM22160N1093,245,109 shares$273,789,846not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CHIME FINL INCCOM SHS CL A16935C10912,470,768 shares$251,535,391not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NETFLIX INCCOM64110L106201,900 shares$242,061,948not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WORKDAY INCCL A98138H1011,000,000 shares$240,730,000not comparableThe immediately preceding quarter is not on record, so no comparison is published.
APPLIED MATLS INCCOM038222105895,200 shares$183,283,248not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NU HLDGS LTDORD SHS CL AG6683N10311,032,555 shares$176,631,206not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WEBULL CORPORD SHSG9572D10311,724,137 shares$173,399,986not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PROCORE TECHNOLOGIES INCCOM74275K1082,339,500 shares$170,596,340not comparableThe immediately preceding quarter is not on record, so no comparison is published.
UNITEDHEALTH GROUP INCCOM91324P102438,800 shares$151,517,640not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ELASTIC N VORD SHSN145061041,690,700 shares$142,847,243not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SHERWIN WILLIAMS COCOM824348106329,175 shares$113,980,136not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MONGODB INCCL A60937P106341,000 shares$105,839,580not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ZILLOW GROUP INCCL A98954M101783,043 shares$58,289,721not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ATRENEW INCSPONSORED ADS00138L1089,831,218 shares$45,223,603not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HINGE HEALTH INCCL A433313103552,008 shares$27,092,553not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CIRCLE INTERNET GROUP INCCOM CL A172573107125,000 shares$16,572,500not comparableThe immediately preceding quarter is not on record, so no comparison is published.
UBER TECHNOLOGIES INCCOM90353T100151,178 shares$14,810,909not comparableThe immediately preceding quarter is not on record, so no comparison is published.
JD.COM INCSPON ADS CL A47215P106344,309 shares$12,043,929not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NETSKOPE INCCL A64119N608500,000 shares$11,365,000not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PONY AI INCSPONSORED ADS732908108370,000 shares$8,321,300not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FIGURE TECHNOLOGY SOLUTIOCOM CL A349381103200,000 shares$7,274,000not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DOORDASH INCCL A25809K10525,337 shares$6,891,411not comparableThe immediately preceding quarter is not on record, so no comparison is published.
KLARNA GROUP PLCSHSG5279N105175,000 shares$6,413,750not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BULLISHORD SHSG16910120100,000 shares$6,361,000not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ETORO GROUP LTDSHS CL AG3208910780,000 shares$3,301,600not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FIGMA INCCLASS A COM STK31684110560,000 shares$3,112,200not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TRIUMPH FINANCIAL INCCOM89679E30043,708 shares$2,187,148not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GEMINI SPACE STA INCCL A COM36866J10570,000 shares$1,677,200not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ACCELERANT HOLDINGSCL AG0089410875,000 shares$1,116,750not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VIA TRANSN INCCOM CL A92556W10415,000 shares$721,200not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MNTN INCCL A55318A10820,000 shares$371,000not comparableThe immediately preceding quarter is not on record, so no comparison is published.

Revision history

RevisionBasisForm typeFiling dateAccessionPositions reported
1 currentoriginal13F-HR2025-11-140000919574-25-00693156

Form 13F reports long positions in 13(f) securities held on the last day of the quarter. It excludes short positions, cash, and assets outside 13(f) scope. An absent security is not evidence of a sale.

Ledger last ingested 2026-09-15T16:14:17+00:00 (32 filings ingested, 8 quarantined). Form 13F is filed within 45 days of quarter end, so every figure here is at least that old, and amendments can change a closed quarter months later.

How to read this

A Form 13F is filed within 45 days of the quarter end it describes, so every figure on these pages was already at least that old the day it published. The quarter end and the filing date are labelled separately on every row and neither of them is today.

Form 13F is two quarter-end snapshots. It states no transaction, no transaction date and no transaction price, so a difference between two quarters is a difference between two reports and nothing more.

The filer is the entity named on the cover page. Where a filing lists other managers, that is an attribution of reporting responsibility, not an attribution of a decision to any individual.

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Every quarter on record for Tiger Global Management LLC