13F
CCChase Coleman III
Tiger Global Management
61 Holdings • Total Value: $24.0B
Portfolio Allocation
Current portfolio weight
13F Holdings Changes
Position changes versus the prior reported quarter
14.08.2026 · Q2 202647
| Time | Ticker | Current Price | Action | Est. Buy Price | Value |
|---|---|---|---|---|---|
| $351.66 | REDUCED | Est. Range $289.45 - $408.61 | $1.4B 4,825,715 sh · -45.4% | ||
| $164.17 | NEW BUY | Est. Range $160.81 - $386.34 | $662.8M 2,999,000 sh · +100.0% | ||
| $361.54 | REDUCED | Est. Range $301.75 - $495.00 | $566.6M 1,830,752 sh · -51.1% | ||
| $277.04 | CLOSED | — | $398.0M 1,000,000 sh · -100.0% | ||
| $608.10 | NEW BUY | Est. Range $200.62 - $584.73 | $392.0M 674,727 sh · +100.0% | ||
| $104.70 | INCREASED | Est. Range $44.98 - $142.35 | $365.0M 2,613,990 sh · +159.5% | ||
| $29.01 | CLOSED | — | $347.3M 8,392,690 sh · -100.0% | ||
| $783.00 | NEW BUY | Est. Range $396.31 - $1145.00 | $275.1M 285,100 sh · +100.0% | ||
| $385.45 | NEW BUY | Est. Range $293.89 - $345.81 | $274.0M 798,697 sh · +100.0% | ||
| $95.25 | REDUCED | Est. Range $79.00 - $99.97 | $236.6M 2,856,683 sh · -18.5% | ||
| $70.30 | CLOSED | — | $234.5M 2,439,000 sh · -100.0% | ||
| $453.31 | REDUCED | Est. Range $326.80 - $479.00 | $231.2M 684,066 sh · -12.3% | ||
| $233.73 | CLOSED | — | $221.6M 1,579,766 sh · -100.0% | ||
UN Unlisted holding | — | REDUCED | — | $218.2M 6,583,301 sh | |
| $529.14 | REDUCED | Est. Range $411.24 - $543.69 | $198.5M 409,334 sh · -25.9% | ||
| $318.84 | REDUCED | Est. Range $208.80 - $438.50 | $157.5M 736,944 sh · -18.9% | ||
| $1004.73 | REDUCED | Est. Range $856.01 - $1181.95 | $153.2M 175,483 sh · -18.0% | ||
| $718.67 | REDUCED | Est. Range $540.18 - $691.52 | $150.9M 263,684 sh · -8.5% | ||
| $229.28 | REDUCED | Est. Range $171.37 - $236.54 | $141.8M 812,979 sh · -6.8% | ||
| $56.21 | CLOSED | — | $133.4M 2,339,500 sh · -100.0% | ||
| $397.92 | INCREASED | Est. Range $283.79 - $367.43 | $132.6M 397,731 sh · +22.7% | ||
| $1103.35 | CLOSED | — | $96.1M 136,800 sh · -100.0% | ||
| $219.81 | NEW BUY | Est. Range $160.93 - $200.50 | $86.9M 456,000 sh · +100.0% | ||
| $535.07 | REDUCED | Est. Range $349.20 - $466.32 | $86.3M 233,087 sh · -9.3% | ||
| $262.43 | REDUCED | Est. Range $204.90 - $278.56 | $65.9M 316,442 sh · -3.2% | ||
| $140.86 | REDUCED | Est. Range $81.24 - $139.20 | $65.5M 626,515 sh · -41.8% | ||
| $162.57 | NEW BUY | Est. Range $147.11 - $225.64 | $64.1M 375,000 sh · +100.0% | ||
| $29.67 | CLOSED | — | $60.5M 1,500,000 sh · -100.0% | ||
| $74.33 | INCREASED | Est. Range $54.02 - $75.00 | $43.8M 576,007 sh · +14.4% | ||
| $85.00 | REDUCED | Est. Range $77.00 - $82.41 | $34.3M 403,445 sh · -15.0% | ||
| $23.68 | NEW BUY | Est. Range $22.62 - $50.72 | $33.0M 885,000 sh · +100.0% | ||
| $15.82 | INCREASED | Est. Range $14.92 - $22.24 | $32.5M 1,872,565 sh · +5.4% | ||
| $1889.85 | INCREASED | Est. Range $1495.00 - $1903.00 | $30.8M 18,120 sh · +13.4% | ||
| $13.70 | REDUCED | — | $24.4M 2,589,713 sh · -89.3% | ||
| $13.52 | NEW BUY | Est. Range $11.90 - $30.14 | $22.7M 927,000 sh · +100.0% | ||
UN Unlisted holding | — | NEW BUY | — | $20.9M 817,000 sh · +100.0% | |
| $379.30 | REDUCED | Est. Range $270.76 - $427.93 | $14.3M 52,993 sh · -15.1% | ||
UN Unlisted holding | — | CLOSED | — | $10.6M 400,000 sh · -100.0% | |
| $15.71 | CLOSED | — | $8.5M 400,000 sh · -100.0% | ||
| $22.50 | CLOSED | — | $8.1M 260,000 sh · -100.0% | ||
| $159.91 | INCREASED | Est. Range $128.63 - $187.34 | $5.0M 28,819 sh · +1.2% | ||
| $20.75 | CLOSED | — | $4.2M 500,000 sh · -100.0% | ||
| $13.72 | REDUCED | Est. Range $13.67 - $16.36 | $4.2M 142,809 sh · -41.5% | ||
| $3.90 | CLOSED | — | $3.8M 500,000 sh · -100.0% | ||
| $32.59 | CLOSED | — | $3.6M 100,000 sh · -100.0% | ||
| $25.90 | CLOSED | — | $2.4M 80,000 sh · -100.0% | ||
| $14.06 | CLOSED | — | $2.3M 175,000 sh · -100.0% |
15.05.2026 · Q1 202631
| Time | Ticker | Current Price | Action | Est. Buy Price | Value |
|---|---|---|---|---|---|
UN Unlisted holding | — | REDUCED | — | $1.5B 9,866,137 sh | |
| $535.07 | REDUCED | Est. Range $356.28 - $489.70 | $1.4B 2,977,747 sh · -56.8% | ||
| $79.78 | CLOSED | — | $860.9M 4,003,542 sh · -100.0% | ||
| $453.31 | INCREASED | Est. Range $311.70 - $390.21 | $621.7M 1,839,600 sh · +60.5% | ||
| — | CLOSED | — | $540.3M 2,420,500 sh · -100.0% | ||
| — | CLOSED | — | $463.7M 92,923,788 sh · -100.0% | ||
| $159.91 | REDUCED | Est. Range $119.27 - $263.50 | $308.9M 1,343,915 sh · -34.7% | ||
UN Unlisted holding | — | INCREASED | — | $260.3M 761,700 sh | |
| $1889.85 | NEW BUY | Est. Range $1593.21 - $2342.00 | $233.4M 135,006 sh · +100.0% | ||
| $361.54 | INCREASED | Est. Range $289.96 - $360.66 | $219.5M 709,200 sh · +67.9% | ||
| $186.59 | CLOSED | — | $214.8M 1,000,000 sh · -100.0% | ||
| $277.04 | REDUCED | Est. Range $359.00 - $683.50 | $197.4M 292,984 sh | ||
| $718.67 | INCREASED | Est. Range $520.26 - $744.00 | $192.4M 336,249 sh · +13.5% | ||
| $229.28 | INCREASED | Est. Range $164.27 - $197.63 | $174.4M 1,000,000 sh · +9.8% | ||
| $15.82 | INCREASED | Est. Range $16.74 - $23.70 | $157.2M 8,328,148 sh · +29.6% | ||
| $529.14 | INCREASED | Est. Range $405.00 - $609.20 | $154.8M 319,300 sh · +37.5% | ||
| $74.33 | REDUCED | Est. Range $53.00 - $79.08 | $153.9M 2,364,840 sh · -34.1% | ||
| — | CLOSED | — | $127.5M 1,690,700 sh · -100.0% | ||
| $1103.35 | NEW BUY | Est. Range $317.44 - $808.80 | $96.1M 136,800 sh · +100.0% | ||
| $140.86 | REDUCED | Est. Range $98.00 - $153.20 | $96.0M 626,890 sh · -41.8% | ||
| $15.09 | NEW BUY | Est. Range $18.80 - $35.50 | $93.3M 4,579,646 sh · +100.0% | ||
| — | CLOSED | — | $83.9M 1,805,751 sh · -100.0% | ||
| $104.70 | NEW BUY | Est. Range $37.76 - $54.60 | $72.3M 1,638,700 sh · +100.0% | ||
| $29.01 | INCREASED | Est. Range $40.06 - $72.53 | $54.3M 1,312,000 sh | ||
| $29.67 | REDUCED | Est. Range $39.18 - $70.57 | $51.0M 759,109 sh | ||
| $84.51 | CLOSED | — | $39.6M 500,000 sh · -100.0% | ||
| $379.30 | REDUCED | Est. Range $255.97 - $357.87 | $23.0M 69,760 sh · -19.0% | ||
UN Unlisted holding | — | NEW BUY | — | $10.6M 400,000 sh · +100.0% | |
| $15.71 | NEW BUY | Est. Range $17.00 - $24.89 | $8.5M 400,000 sh · +100.0% | ||
| $3.90 | NEW BUY | Est. Range $7.35 - $12.80 | $3.8M 500,000 sh · +100.0% | ||
| $262.43 | REDUCED | Est. Range $196.00 - $248.94 | $2.6M 11,379 sh · -0.1% |
17.02.2026 · Q4 202531
| Time | Ticker | Current Price | Action | Est. Buy Price | Value |
|---|---|---|---|---|---|
| $535.07 | REDUCED | Est. Range $464.89 - $553.72 | $556.1M 1,073,621 sh · -32.1% | ||
| $277.04 | REDUCED | Est. Range $489.30 - $738.01 | $510.2M 710,005 sh | ||
| $140.86 | INCREASED | Est. Range $151.15 - $192.97 | $279.9M 1,826,890 sh | ||
| $15.82 | INCREASED | Est. Range $22.08 - $32.96 | $246.0M 10,429,680 sh · +40.1% | ||
| $453.31 | REDUCED | Est. Range $266.82 - $313.98 | $238.2M 852,900 sh · -14.9% | ||
| $262.43 | REDUCED | Est. Range $211.03 - $258.60 | $226.6M 1,032,062 sh · -9.6% | ||
| $70.30 | INCREASED | Est. Range $91.33 - $124.86 | $209.8M 2,237,100 sh | ||
| $10.82 | NEW BUY | Est. Range $11.95 - $14.75 | $206.0M 15,156,877 sh · +100.0% | ||
| $159.91 | REDUCED | Est. Range $173.56 - $246.15 | $190.6M 828,600 sh · -24.7% | ||
| $318.84 | REDUCED | Est. Range $131.02 - $179.80 | $182.1M 1,359,889 sh · -30.1% | ||
| $229.28 | REDUCED | Est. Range $169.55 - $212.19 | $130.2M 698,000 sh · -5.9% | ||
| $74.33 | INCREASED | Est. Range $67.32 - $80.00 | $126.4M 1,941,528 sh · +73.7% | ||
| $95.25 | REDUCED | Est. Range $118.86 - $193.48 | $111.8M 625,500 sh · -4.7% | ||
| $1004.73 | REDUCED | Est. Range $530.16 - $731.00 | $111.7M 181,600 sh · -18.5% | ||
| — | CLOSED | — | $105.8M 341,000 sh · -100.0% | ||
| $29.01 | INCREASED | Est. Range $65.07 - $79.40 | $85.4M 1,252,503 sh | ||
| $29.67 | REDUCED | Est. Range $62.00 - $85.24 | $83.2M 986,000 sh | ||
| $79.78 | INCREASED | Est. Range $189.33 - $261.22 | $74.3M 345,350 sh | ||
| $1.80 | REDUCED | Est. Range $2.76 - $6.16 | $73.9M 5,000,000 sh · -42.6% | ||
| — | INCREASED | Est. Range $39.19 - $54.40 | $58.2M 1,253,743 sh | ||
| $718.67 | REDUCED | Est. Range $581.25 - $759.16 | $50.2M 68,386 sh · -2.4% | ||
UN Unlisted holding | — | INCREASED | — | $43.3M 1,721,731 sh | |
| $13.70 | INCREASED | — | $36.7M 2,530,000 sh | ||
| $233.73 | REDUCED | Est. Range $224.88 - $336.99 | $31.0M 103,500 sh | ||
| $84.51 | INCREASED | Est. Range $64.92 - $159.47 | $29.7M 375,000 sh | ||
| $319.36 | REDUCED | Est. Range $318.22 - $368.62 | $25.0M 72,092 sh · -21.9% | ||
| $379.30 | REDUCED | Est. Range $304.53 - $381.00 | $6.4M 18,595 sh · -5.9% | ||
| $397.92 | REDUCED | Est. Range $252.84 - $319.56 | $5.5M 19,000 sh · -0.9% | ||
| $361.54 | REDUCED | Est. Range $321.42 - $414.61 | $4.6M 14,000 sh · -0.8% | ||
| — | CLOSED | — | $2.2M 43,708 sh · -100.0% | ||
UN Unlisted holding | — | CLOSED | — | $721.2K 15,000 sh · -100.0% |
14.11.2025 · Q3 202549
| Time | Ticker | Current Price | Action | Est. Buy Price | Value |
|---|---|---|---|---|---|
| $535.07 | NEW BUY | Est. Range $488.70 - $555.45 | $3.4B 6,551,368 sh · +100.0% | ||
UN Unlisted holding | — | NEW BUY | — | $2.9B 36,462,275 sh · +100.0% | |
| $95.25 | NEW BUY | Est. Range $145.24 - $199.30 | $2.9B 16,041,335 sh · +100.0% | ||
| $351.66 | NEW BUY | Est. Range $172.77 - $256.00 | $2.6B 10,631,402 sh · +100.0% | ||
| $262.43 | NEW BUY | Est. Range $211.42 - $238.85 | $2.4B 11,043,441 sh · +100.0% | ||
| $229.28 | NEW BUY | Est. Range $151.49 - $187.35 | $2.2B 11,709,752 sh · +100.0% | ||
| $718.67 | NEW BUY | Est. Range $691.20 - $796.25 | $2.1B 2,819,001 sh · +100.0% | ||
| $277.04 | NEW BUY | Est. Range $325.58 - $745.61 | $1.4B 2,002,989 sh · +100.0% | ||
| $453.31 | NEW BUY | Est. Range $221.18 - $286.00 | $1.3B 4,578,374 sh · +100.0% | ||
| $159.91 | NEW BUY | Est. Range $138.11 - $282.95 | $1.1B 4,672,515 sh · +100.0% | ||
| $361.54 | NEW BUY | Est. Range $262.66 - $374.23 | $953.3M 2,889,614 sh · +100.0% | ||
| $79.78 | NEW BUY | Est. Range $251.32 - $313.68 | $929.2M 3,658,192 sh · +100.0% | ||
| $529.14 | NEW BUY | Est. Range $615.63 - $769.71 | $880.5M 1,261,461 sh · +100.0% | ||
| — | NEW BUY | Est. Range $262.85 - $299.95 | $721.1M 2,420,500 sh · +100.0% | ||
| $1004.73 | NEW BUY | Est. Range $482.20 - $677.29 | $710.0M 1,154,594 sh · +100.0% | ||
| $318.84 | NEW BUY | Est. Range $90.94 - $134.21 | $704.4M 5,260,328 sh · +100.0% | ||
| — | NEW BUY | Est. Range $0.35 - $0.58 | $559.4M 92,923,788 sh · +100.0% | ||
| $397.92 | NEW BUY | Est. Range $286.72 - $345.46 | $510.2M 1,771,146 sh · +100.0% | ||
| $15.82 | NEW BUY | Est. Range $27.23 - $34.08 | $510.0M 15,837,579 sh · +100.0% | ||
| $233.73 | NEW BUY | Est. Range $260.40 - $318.46 | $504.4M 1,683,266 sh · +100.0% | ||
| $29.01 | NEW BUY | Est. Range $69.14 - $93.88 | $447.0M 5,828,187 sh · +100.0% | ||
| $74.33 | NEW BUY | Est. Range $60.00 - $80.00 | $319.7M 4,423,312 sh · +100.0% | ||
| $85.00 | NEW BUY | Est. Range $87.25 - $95.00 | $280.1M 2,682,000 sh · +100.0% | ||
| $140.86 | NEW BUY | Est. Range $168.01 - $211.48 | $276.1M 300,000 sh · +100.0% | ||
| $29.67 | NEW BUY | Est. Range $79.94 - $97.43 | $273.8M 3,245,109 sh · +100.0% | ||
| $70.30 | NEW BUY | Est. Range $114.47 - $133.88 | $242.1M 201,900 sh · +100.0% | ||
| $186.59 | NEW BUY | Est. Range $206.77 - $249.85 | $240.7M 1,000,000 sh · +100.0% | ||
| $1.80 | NEW BUY | Est. Range $3.61 - $8.19 | $173.4M 11,724,137 sh · +100.0% | ||
| $56.21 | NEW BUY | Est. Range $60.55 - $77.89 | $170.6M 2,339,500 sh · +100.0% | ||
| $379.30 | NEW BUY | Est. Range $234.60 - $362.31 | $151.5M 438,800 sh · +100.0% | ||
| — | NEW BUY | Est. Range $72.07 - $94.44 | $142.8M 1,690,700 sh · +100.0% | ||
| $319.36 | NEW BUY | Est. Range $327.54 - $379.65 | $114.0M 329,175 sh · +100.0% | ||
| — | NEW BUY | Est. Range $198.47 - $344.85 | $105.8M 341,000 sh · +100.0% | ||
| $3.76 | NEW BUY | Est. Range $3.07 - $4.93 | $45.2M 9,831,218 sh · +100.0% | ||
| — | NEW BUY | Est. Range $41.12 - $62.18 | $27.1M 552,008 sh · +100.0% | ||
| $84.51 | NEW BUY | Est. Range $108.02 - $262.97 | $16.6M 125,000 sh · +100.0% | ||
| $71.51 | NEW BUY | Est. Range $85.42 - $101.99 | $14.8M 151,178 sh · +100.0% | ||
| $13.72 | NEW BUY | Est. Range $14.10 - $19.60 | $12.0M 344,309 sh · +100.0% | ||
| $20.75 | NEW BUY | Est. Range $21.71 - $27.99 | $11.4M 500,000 sh · +100.0% | ||
| $22.50 | NEW BUY | Est. Range $50.49 - $142.92 | $10.4M 260,000 sh · +100.0% | ||
| $13.70 | NEW BUY | — | $8.3M 370,000 sh · +100.0% | ||
| $196.50 | NEW BUY | Est. Range $232.10 - $278.15 | $6.9M 25,337 sh · +100.0% | ||
| $14.06 | NEW BUY | Est. Range $35.60 - $47.48 | $6.4M 175,000 sh · +100.0% | ||
| $32.59 | NEW BUY | Est. Range $47.88 - $118.00 | $6.4M 100,000 sh · +100.0% | ||
| $25.90 | NEW BUY | Est. Range $40.15 - $65.95 | $3.3M 80,000 sh · +100.0% | ||
| — | NEW BUY | Est. Range $21.30 - $22.73 | $2.2M 43,708 sh · +100.0% | ||
| $4.39 | NEW BUY | Est. Range $22.61 - $45.89 | $1.7M 70,000 sh · +100.0% | ||
| $19.80 | NEW BUY | Est. Range $14.33 - $31.18 | $1.1M 75,000 sh · +100.0% | ||
| $10.19 | NEW BUY | Est. Range $17.22 - $32.00 | $371.0K 20,000 sh · +100.0% |
Full Holdings
| Ticker | Weight | Action | Position Change % | Value | Div. Yield | Current Price |
|---|---|---|---|---|---|---|
TSM TAIWAN SEMICONDUCTOR MANUFAC | 9.7% | REDUCED | -12.3% | $2.3B | 0.85% | $453.31 |
AMZN AMAZON COM INC | 9.6% | REDUCED | -3.2% | $2.3B | - | $262.43 |
NVDA NVIDIA CORPORATION | 9.3% | REDUCED | -6.8% | $2.2B | 0.23% | $229.28 |
GOOGL ALPHABET INC | 8.7% | REDUCED | -45.4% | $2.1B | 0.24% | $351.66 |
META META PLATFORMS INC | 6.6% | REDUCED | -8.5% | $1.6B | 0.29% | $718.67 |
LRCX LAM RESEARCH CORP | 5.7% | REDUCED | -18.9% | $1.4B | 0.35% | $318.84 |
SE SEA LTD | 5.0% | REDUCED | -18.5% | $1.2B | - | $95.25 |
AP APPLIED MATLS INC | 4.9% | REDUCED | -1.5% | $1.2B | - | — |
GEV GE VERNOVA INC | 3.9% | REDUCED | -18.0% | $937.0M | 0.17% | $1004.73 |
MSFT MICROSOFT CORP | 3.5% | REDUCED | -9.3% | $845.6M | 0.68% | $535.07 |
CPAY CORPAY INC | 3.0% | INCREASED | +22.7% | $716.5M | - | — |
CBRS CEREBRAS SYSTEMS INC | 2.8% | NEW BUY | +100.0% | $662.8M | - | — |
AVGO BROADCOM INC | 2.8% | REDUCED | -51.1% | $662.6M | 0.72% | $361.54 |
CPNG COUPANG INC | 2.6% | INCREASED | +5.4% | $633.4M | - | $15.82 |
INTC INTEL CORP | 2.5% | INCREASED | +159.5% | $593.8M | - | $104.70 |
SPOT SPOTIFY TECHNOLOGY S A | 2.2% | REDUCED | -25.9% | $537.8M | - | $529.14 |
TA TAKE-TWO INTERACTIVE SOFTWAR | 1.9% | REDUCED | -9.5% | $452.3M | - | — |
RDDT REDDIT INC | 1.8% | INCREASED | +1.2% | $439.0M | - | $159.91 |
AMD ADVANCED MICRO DEVICES INC | 1.6% | NEW BUY | +100.0% | $392.0M | - | $608.10 |
BSQKZ BLOCK INC | 1.5% | INCREASED | +14.4% | $347.8M | - | — |
AP APOLLO GLOBAL MGMT INC | 1.3% | REDUCED | -17.3% | $322.2M | - | — |
STX SEAGATE TECHNOLOGY HLDNGS PL | 1.1% | NEW BUY | +100.0% | $275.1M | 0.38% | $783.00 |
V VISA INC | 1.1% | NEW BUY | +100.0% | $274.0M | 0.70% | $385.45 |
MELI MERCADOLIBRE INC | 1.1% | INCREASED | +13.4% | $259.9M | - | $1889.85 |
FWONB LIBERTY MEDIA CORP DEL | 0.9% | REDUCED | -15.0% | $216.8M | - | — |
NU NU HLDGS LTD | 0.6% | HOLD | 0.0% | $147.4M | - | — |
WLTH WEALTHFRONT CORP | 0.6% | HOLD | 0.0% | $135.5M | - | — |
UNH UNITEDHEALTH GROUP INC | 0.5% | REDUCED | -15.1% | $123.6M | 2.39% | $379.30 |
CH CHIME FINL INC | 0.5% | REDUCED | -52.3% | $108.2M | - | — |
EQPT EQUIPMENTSHARE COM INC | 0.4% | HOLD | 0.0% | $90.0M | - | $15.09 |
SHW SHERWIN WILLIAMS CO | 0.4% | HOLD | 0.0% | $88.5M | 1.00% | $319.36 |
DHR DANAHER CORP DEL | 0.4% | NEW BUY | +100.0% | $86.9M | 0.69% | $219.81 |
NOW SERVICENOW INC | 0.4% | REDUCED | -41.8% | $86.7M | - | $140.86 |
SPCX SPACE EXPLORATION TECHN CORP | 0.3% | NEW BUY | +100.0% | $64.1M | - | $162.57 |
BULLW WEBULL CORP | 0.2% | HOLD | 0.0% | $43.8M | - | — |
RERE ATRENEW INC | 0.2% | HOLD | 0.0% | $38.0M | - | — |
APLD APPLIED DIGITAL CORP | 0.1% | NEW BUY | +100.0% | $33.0M | - | $23.68 |
CIFR CIPHER DIGITAL INC | 0.1% | NEW BUY | +100.0% | $22.7M | - | — |
CO CORE SCIENTIFIC INC NEW | 0.1% | NEW BUY | +100.0% | $20.9M | - | — |
UBER UBER TECHNOLOGIES INC | 0.0% | HOLD | 0.0% | $10.9M | - | $71.51 |
JDCMF JD.COM INC | 0.0% | REDUCED | -41.5% | $5.1M | - | $13.72 |
DASH DOORDASH INC | 0.0% | HOLD | 0.0% | $4.7M | - | $196.50 |
PYAIF PONY AI INC | 0.0% | REDUCED | -89.3% | $2.2M | - | — |
ARX ACCELERANT HOLDINGS | 0.0% | HOLD | 0.0% | $879.0K | - | — |
GEMI GEMINI SPACE STA INC | 0.0% | HOLD | 0.0% | $298.2K | - | — |
MNTN MNTN INC | 0.0% | HOLD | 0.0% | $184.0K | - | — |
APP APPLOVIN CORP | 0.0% | CLOSED | -100.0% | $0 | - | $277.04 |
BLSH BULLISH | 0.0% | CLOSED | -100.0% | $0 | - | — |
CSGP COSTAR GROUP INC | 0.0% | CLOSED | -100.0% | $0 | - | $29.67 |
ETOR ETORO GROUP LTD | 0.0% | CLOSED | -100.0% | $0 | - | — |
FIG FIGMA INC | 0.0% | CLOSED | -100.0% | $0 | - | $22.50 |
KLAR KLARNA GROUP PLC | 0.0% | CLOSED | -100.0% | $0 | - | — |
LITE LUMENTUM HLDGS INC | 0.0% | CLOSED | -100.0% | $0 | - | $1103.35 |
NFLX NETFLIX INC. | 0.0% | CLOSED | -100.0% | $0 | - | $70.30 |
NTSK NETSKOPE INC | 0.0% | CLOSED | -100.0% | $0 | - | — |
PAYP PAYPAY CORP | 0.0% | CLOSED | -100.0% | $0 | - | — |
PCOR PROCORE TECHNOLOGIES INC | 0.0% | CLOSED | -100.0% | $0 | - | — |
RO ROBINHOOD VENTURES FD I | 0.0% | CLOSED | -100.0% | $0 | - | — |
XNDU XANADU QUANTUM TECHNOLO LTD | 0.0% | CLOSED | -100.0% | $0 | - | — |
Z ZILLOW GROUP INC | 0.0% | CLOSED | -100.0% | $0 | - | $29.01 |
ZS ZSCALER INC | 0.0% | CLOSED | -100.0% | $0 | - | — |
This page is for educational and informational purposes only. Data is sourced from public SEC records and is not financial, investment, tax, or legal advice.