TIGER GLOBAL MANAGEMENT LLC

TIGER GLOBAL MANAGEMENT LLC is based out of NEW YORK, NY. Their last reported 13F filing for 2020-12-31 included $39,029,530,000 in managed 13F securities and a top 10 holdings concentration of 57.94%. TIGER GLOBAL MANAGEMENT LLC's largest holding is JD.COM INC with shares held of 51,650,366 with total value $4,540,067,000. TIGER GLOBAL MANAGEMENT LLC has met the qualifications for inclusion in our system.

Quarter# of InvestmentsPortofolio Value (Million USD)
Current Quarter2020-12-319739,029
Previous Quarter2020-09-309035,532

New Buys


TickerNameSharesValueTotal Asset Value %
DOORDASH INC 1,596,000$227,829,0000.58%
COUPCOUPA SOFTWARE INC 665,000$225,375,0000.58%
ONEM1LIFE HEALTHCARE INC 3,930,000$171,545,0000.44%
C3 AI INC 1,000,000$138,750,0000.36%
YATSEN HLDG LTD 5,714,000$97,138,0000.25%
AIRBNB INC 650,000$95,420,0000.24%
SQSQUARE INC 408,500$88,906,0000.23%
INTUINTUIT 221,287$84,056,0000.22%
DATTO HLDG CORP 1,500,000$40,500,0000.10%
ACADEMY SPORTS & OUTDOORS IN 1,750,000$36,278,0000.09%

Top Buys


TickerNameCurrent SharesCurrent ValuePrevious SharesPrevious ValueShares % ChangeValue % ChangePortfolio % Change
AGORA INC 1,726,123$68,285,00070,000$3,009,0002,365.89%2,169.36%0.17%
DOCUDOCUSIGN INC 1,773,000$394,138,000300,000$64,572,000491.00%510.39%0.83%
ASANA INC 2,419,454$71,495,000926,202$26,675,000161.22%168.02%0.11%
SHOPSHOPIFY INC 193,816$219,390,00087,501$89,511,000121.50%145.10%0.31%
EGHT8X8 INC NEW 9,000,000$310,230,0004,950,000$76,973,00081.82%303.04%0.58%
UBERUBER TECHNOLOGIES INC 27,681,399$1,411,751,00015,538,716$566,852,00078.14%149.05%2.02%
GOODRX HLDGS INC 2,145,000$86,529,0001,400,000$77,840,00053.21%11.16%0.00%
SNOWFLAKE INC 1,753,597$493,462,0001,250,000$313,750,00040.29%57.28%0.38%
WDAYWORKDAY INC 4,127,450$988,978,0003,704,771$797,007,00011.41%24.09%0.29%
SESEA LTD 9,226,500$1,836,535,0008,359,235$1,287,657,00010.37%42.63%1.08%

Sold Out


TickerNamePrevious SharesPrevious Valueprevious Asset Value %
GOOGLALPHABET INC 30,500$44,701,0000.13%
TMETENCENT MUSIC ENTMT GROUP 2,700,000$39,879,0000.11%
CDAYCERIDIAN HCM HLDG INC 170,000$14,051,0000.04%
FTCHFARFETCH LTD 500,000$12,580,0000.04%
CDLXCARDLYTICS INC 124,940$8,817,0000.02%
TENBTENABLE HLDGS INC 150,000$5,663,0000.02%
DOYUDOUYU INTERNATIONAL HLDNGS L 400,000$5,284,0000.01%
BILIBILIBILI INC 100,000$4,160,0000.01%

Top Sells


TickerNameCurrent SharesCurrent ValuePrevious SharesPrevious ValueShares % ChangeValue % ChangePortfolio % Change
TWLOTWILIO INC 74,701$25,286,0001,891,500$467,371,000-96.05%-94.59%-1.25%
MDBMONGODB INC 82,000$29,441,0001,911,300$442,485,000-95.71%-93.35%-1.17%
SMARSMARTSHEET INC 360,000$24,944,0004,145,400$204,866,000-91.32%-87.82%-0.51%
PLANANAPLAN INC 1,280,867$92,030,0006,800,903$425,601,000-81.17%-78.38%-0.96%
RUNSUNRUN INC 8,073,257$560,123,00029,773,257$2,294,625,000-72.88%-75.59%-5.02%
PYPLPAYPAL HLDGS INC 896,001$209,843,0002,150,001$423,615,000-58.33%-50.46%-0.65%
FLTFLEETCOR TECHNOLOGIES INC 647,662$176,702,0001,295,325$308,417,000-50.00%-42.71%-0.42%
NFLXNETFLIX INC 1,056,290$571,168,0001,551,000$775,547,000-31.90%-26.35%-0.72%
FBFACEBOOK INC 6,326,800$1,728,229,0008,750,500$2,291,756,000-27.70%-24.59%-2.02%
GDSGDS HLDGS LTD 4,360,516$408,319,0005,730,659$468,940,000-23.91%-12.93%-0.27%

2020-12-31 13F Holdings Details


Stock Sector Shares Held Market Value % of Portfolio Previous % of Portfolio Rank Change in Shares % Change in Shares
JD51,650,366$4,540,067,00011.63%11.28%100.00%
MSFT11,891,734$2,644,959,0006.78%6.76%2478,0004.19%
PDD14,053,066$2,496,808,0006.40%2.97%3-200,000-1.40%
AMZN613,095$1,996,808,0005.12%5.36%48,2951.37%
SE9,226,500$1,836,535,0004.71%3.62%5867,26510.37%
FB6,326,800$1,728,229,0004.43%6.45%6-2,423,700-27.70%
APO33,913,500$1,661,083,0004.26%4.27%700.00%
CRWD7,537,000$1,596,487,0004.09%2.91%800.00%
CVNA6,012,907$1,440,332,0003.69%3.77%900.00%
UBER27,681,399$1,411,751,0003.62%1.60%1012,142,68378.14%
RNG3,326,370$1,260,594,0003.23%2.57%1100.00%
PTON7,857,758$1,192,179,0003.05%2.17%1280,1001.03%
TDG1,757,245$1,087,471,0002.79%2.35%1300.00%
BABA4,478,062$1,042,179,0002.67%3.70%1400.00%
SPOT3,184,013$1,001,882,0002.57%2.17%15-1,576-0.05%
WDAY4,127,450$988,978,0002.53%2.24%16422,67911.41%
NOW1,643,000$904,356,0002.32%2.03%17154,10010.35%
ESTC4,019,843$587,420,0001.51%1.22%1800.00%
TEAM2,465,400$576,583,0001.48%1.41%19-296,841-10.75%
NFLX1,056,290$571,168,0001.46%2.18%20-494,710-31.90%
RUN8,073,257$560,123,0001.44%6.46%21-21,700,000-72.88%
CRM2,288,700$509,304,0001.30%1.62%2200.00%
1,753,597$493,462,0001.26%0.88%23503,59740.29%
ZM1,444,973$487,418,0001.25%2.41%24-373,327-20.53%
DDOG4,757,000$468,279,0001.20%1.37%2500.00%
TAL5,762,873$412,103,0001.06%1.23%2600.00%
GDS4,360,516$408,319,0001.05%1.32%27-1,370,143-23.91%
DOCU1,773,000$394,138,0001.01%0.18%281,473,000491.00%
EDU1,843,500$342,541,0000.88%0.90%29-298,000-13.92%
EGHT9,000,000$310,230,0000.79%0.22%304,050,00081.82%
MA724,000$258,425,0000.66%0.69%3100.00%
1,596,000$227,829,0000.58%321,596,000New
COUP665,000$225,375,0000.58%33665,000New
SHOP193,816$219,390,0000.56%0.25%34106,315121.50%
PYPL896,001$209,843,0000.54%1.19%35-1,254,000-58.33%
FLT647,662$176,702,0000.45%0.87%36-647,663-50.00%
ONEM3,930,000$171,545,0000.44%373,930,000New
GSX3,020,769$156,204,0000.40%0.77%3800.00%
5,391,187$154,080,0000.39%0.33%3900.00%
2,500,000$153,850,0000.39%0.43%4000.00%
1,000,000$138,750,0000.36%411,000,000New
DESP9,256,550$118,576,0000.30%0.17%4200.00%
DNK36,436,075$106,029,0000.27%0.42%4300.00%
ZEN714,000$102,188,0000.26%0.21%4400.00%
5,714,000$97,138,0000.25%455,714,000New
650,000$95,420,0000.24%46650,000New
PLAN1,280,867$92,030,0000.24%1.20%47-5,520,036-81.17%
SQ408,500$88,906,0000.23%48408,500New
1,350,000$86,603,0000.22%0.32%4900.00%
2,145,000$86,529,0000.22%0.22%50745,00053.21%
INTU221,287$84,056,0000.22%51221,287New
ADBE167,500$83,770,0000.21%0.23%52-1,500-0.89%
2,778,778$83,141,0000.21%0.29%5300.00%
2,419,454$71,495,0000.18%0.08%541,493,252161.22%
1,726,123$68,285,0000.17%0.01%551,656,1232,365.89%
STNE765,783$64,265,0000.16%0.11%5600.00%
1,000,000$62,830,0000.16%0.24%5700.00%
1,850,000$44,326,0000.11%0.08%5800.00%
1,500,000$40,500,0000.10%591,500,000New
1,750,000$36,278,0000.09%601,750,000New
V163,000$35,653,0000.09%0.09%6100.00%
750,000$31,058,0000.08%62750,000New
MDB82,000$29,441,0000.08%1.25%63-1,829,300-95.71%
650,000$27,840,0000.07%0.04%6400.00%
TWLO74,701$25,286,0000.06%1.32%65-1,816,799-96.05%
SMAR360,000$24,944,0000.06%0.58%66-3,785,400-91.32%
2,000,000$24,820,0000.06%672,000,000New
2,000,000$24,500,0000.06%0.06%6800.00%
LINX3,350,000$23,785,0000.06%0.06%6900.00%
1,800,000$23,400,0000.06%701,800,000New
DT500,000$21,635,0000.06%0.06%7100.00%
275,000$19,913,0000.05%0.06%7200.00%
SVMK698,871$17,856,0000.05%0.04%73-5,569-0.79%
AVLR100,000$16,489,0000.04%0.04%7400.00%
350,000$15,155,0000.04%0.04%7500.00%
NET175,000$13,298,0000.03%0.02%7600.00%
325,000$11,326,0000.03%0.02%7700.00%
400,000$10,132,0000.03%0.03%7800.00%
350,000$10,091,0000.03%0.02%7900.00%
XP200,000$7,934,0000.02%0.02%8000.00%
150,000$7,235,0000.02%0.02%8100.00%
HUYA362,000$7,215,0000.02%0.02%8200.00%
PD150,000$6,255,0000.02%0.01%8300.00%
480,000$6,149,0000.02%84480,000New
350,000$5,016,0000.01%0.01%8500.00%
DBX200,000$4,438,0000.01%0.01%8600.00%
DOYU400,000$4,424,0000.01%0.01%8700.00%
55,000$3,126,0000.01%0.01%8800.00%
SWI200,000$2,990,0000.01%0.01%8900.00%
RDFN40,087$2,751,0000.01%0.01%9000.00%
HCAT50,000$2,177,0000.01%0.01%9100.00%
50,000$1,825,0000.00%0.00%9200.00%
MDLA50,000$1,661,0000.00%0.00%9300.00%
25,000$1,529,0000.00%0.00%9400.00%
ONE320,000$1,216,0000.00%0.00%9500.00%
10,000$436,0000.00%0.00%9600.00%
FPI44,502$387,0000.00%0.00%9700.00%
GOOGL0.13%Sold All30,500-100%
TME0.11%Sold All2,700,000-100%
CDAY0.04%Sold All170,000-100%
FTCH0.04%Sold All500,000-100%
CDLX0.02%Sold All124,940-100%
TENB0.02%Sold All150,000-100%
DOYU0.01%Sold All400,000-100%
BILI0.01%Sold All100,000-100%