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TIGER GLOBAL MANAGEMENT LLC

NEW YORK, NY · CIK 0001167483

Portfolio Value: $6.93B
Positions: 26
Period: 2016-03-31
Filed: 2016-05-16

Portfolio Value

$6.93B

Positions

26

New

1

Increased

4

Decreased

9

Sold Out

126

TIGER GLOBAL MANAGEMENT LLC Q1 2016 13F Filing Summary

TIGER GLOBAL MANAGEMENT LLC (NEW YORK, NY) reported a portfolio value of $6.93B across 26 positions in their Q1 2016 SEC 13F filing (period ending 2016-03-31). Top holdings include NFLX ($1.84B), JD ($1.17B), PRICELINE GRP INC ($710.09M). The top 10 positions account for 90.4% of the portfolio. This quarter saw 1 new positions, 4 increases, 9 reductions, 126 complete exits. Notable new buy: Z ($23.65M). Notable exits: VIPS, ATHM, ATI.

All Holdings

#StockValueWeightChange
1
NFLXNETFLIX INC
COM
$1.84B
26.53%
-
2
JDJD COM INC
SPON ADR CL A
$1.17B
16.82%
-26.2%
3
PRICELINE GRP INC
COM NEW
$710.09M
10.24%
-27.4%
4
AMZNAMAZON COM INC
COM
$618.72M
8.92%
-67.4%
5
AAPLAPPLE INC
COM
$616.58M
8.89%
-46.6%
6
LTESFFLEETCOR TECHNOLOGIES INC
COM
$537.68M
7.75%
-20.9%
7
CHTRCHARTER COMMUNICATIONS INC D
CL A NEW
$396.96M
5.72%
+180.5%
8
MAMASTERCARD INC
CL A
$181.32M
2.62%
-18.9%
9
EHI CAR SVCS LTD
SPON ADS CL A
$104.10M
1.50%
+77.3%
10
XYZSQUARE INC
CL A
$100.11M
1.44%
-5.7%
11
ETSYETSY INC
COM
$96.50M
1.39%
+29.0%
12
QSRRESTAURANT BRANDS INTL INC
COM
$95.52M
1.38%
-61.6%
13
TALTAL ED GROUP
ADS REPSTG COM
$85.20M
1.23%
-
14
DATATABLEAU SOFTWARE INC
CL A
$77.43M
1.12%
-28.1%
15
PSTGPURE STORAGE INC
CL A
$71.77M
1.04%
-
16
TREXINTREXON CORP
COM
$70.94M
1.02%
+25.0%
17
GMEGAMESTOP CORP NEW
CL A
$55.53M
0.80%
-
18
ON DECK CAP INC
COM
$53.75M
0.78%
-
19
ZZILLOW GROUP INC
CL C CAP STK
$23.65M
0.34%
New
20
TEAMATLASSIAN CORP PLC
CL A
$12.57M
0.18%
-
21
FITEURFITBIT INC
CL A
$7.58M
0.11%
-
22
CALMCAL MAINE FOODS INC
COM NEW
$3.65M
0.05%
-
23
FEYECHFFIREEYE INC
COM
$3.60M
0.05%
-
24
LCLENDINGCLUB CORP
COM
$2.28M
0.03%
-
25
SHOPSHOPIFY INC
CL A
$1.98M
0.03%
-
26
AIGAMERICAN FARMLAND CO
COM
$377.00K
0.01%
-

Position Changes

StockValueShares
ZZILLOW GROUP INC
$23.65M996,708