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Chase Coleman - Tiger Global Management Holdings – 2025 Q3

Explore the latest portfolio disclosure for Chase Coleman - Tiger Global Management, with insights into sector exposure, position sizes, and overall investment structure for 2025 Q3.

The latest 2025 Q3 filing shows that Chase Coleman - Tiger Global Management maintains its largest exposure in Technology, which represents approximately 58.38% 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 20.81%) and Communication Services (approximately 5.28%) , 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 Q3 quarter.

Breakdown by Sector

Technology
58.4%
Consumer Cyclical
20.8%
Communication Services
5.3%
ETF
4.9%
Financial Services
3.9%
Unclassified Sector
2.6%
Utilities
2.2%
Real Estate
0.8%
Healthcare
0.5%
Basic Materials
0.4%
Industrials
0.0%
Symbol Shares Reported Price(USD) Action Change % Portfolio Weight Position Value Filing Period
FIG 60,000 $51.87 Buy 100.00% 0.01% $3.11M 2025 Q3
TFIN 43,708 $50.04 No Change No Change 0.01% $2.19M 2025 Q3
GEMI 70,000 $23.96 Buy 100.00% 0.01% $1.68M 2025 Q3
ARX 75,000 $14.89 Buy 100.00% 0.00% $1.12M 2025 Q3
VIA 15,000 $48.07 Buy 100.00% 0.00% $721.05K 2025 Q3
MNTN 20,000 $18.55 No Change No Change 0.00% $371K 2025 Q3
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