Chase Coleman - Tiger Global Management Holdings – 2025 Q4
Explore the latest portfolio disclosure for Chase Coleman - Tiger Global Management, with insights into sector exposure, position sizes, and overall investment structure for 2025 Q4.
The latest 2025 Q4 filing shows that Chase Coleman - Tiger Global Management maintains its largest exposure in Technology, which represents approximately 59.31% of the portfolio. This sector forms the core of Chase Coleman - Tiger Global Management's investment stance during this reporting period.
Additional major allocations include Consumer Cyclical (about 19.42%) and Communication Services (approximately 5.16%) , reflecting how Chase Coleman - Tiger Global Management diversifies beyond its primary sector focus.
These sector weightings provide a clear view into Chase Coleman - Tiger Global Management's positioning and conviction areas for the 2025 Q4 quarter.
Breakdown by Sector
| Symbol | Shares | Reported Price(USD) | Action | Change % | Portfolio Weight | Position Value | Filing Period |
|---|---|---|---|---|---|---|---|
| FIG | 60,000 | $37.37 | No Change | No Change | 0.01% | $2.24M | 2025 Q4 |
| ARX | 75,000 | $16.35 | No Change | No Change | 0.00% | $1.23M | 2025 Q4 |
| GEMI | 70,000 | $9.91 | No Change | No Change | 0.00% | $693.7K | 2025 Q4 |
| MNTN | 20,000 | $11.95 | No Change | No Change | 0.00% | $239K | 2025 Q4 |