Tiger Global·High-Beta Growth

Chase Coleman / Tiger Global

고베타 성장주에서 위험 선호가 어디로 이동하는지 확인하기 좋은 포트폴리오입니다.

AI 소프트웨어와 소비자 AI를 늘렸지만 일부 고평가 소프트웨어는 축소했습니다. 확신도보다는 성장주 수급 온도계로 보는 편이 적절합니다.
13F Value
$14.26B
$490M
AI Exposure
49.3%
+5.5p
Filing
2026-05-15
Mock accession
실제 SEC 13F 캐시

TIGER GLOBAL MANAGEMENT LLC · 2025-12-31 2026-03-31 · accession 0000919574-26-003362

13F Value
$22.85B
-$6.87B
Holdings
54
0
Unmapped CUSIP
33
raw rows 54

SEC Top 매수

ADD
TSM TAIWAN SEMICONDUCTOR MANUFAC
Shares +49.4%
$749M
ADD
AMAT APPLIED MATLS INC
Shares +85.1%
$336M
NEW
58733R102 MERCADOLIBRE INC
Shares +100.0%
$233M
ADD
AVGO BROADCOM INC
Shares +24.7%
$114M
NEW
LITE LUMENTUM HLDGS INC
Shares +100.0%
$96M

SEC Top 매도

TRIM
MSFT MICROSOFT CORP
Shares -54.4%
-$1.72B
TRIM
874054109 TAKE-TWO INTERACTIVE SOFTWAR
Shares -65.7%
-$1.10B
EXIT
G3643J108 FLUTTER ENTMT PLC
Shares -100.0%
-$861M
TRIM
RDDT REDDIT INC
Shares -35.0%
-$547M
EXIT
922475108 VEEVA SYS INC
Shares -100.0%
-$540M

최근 4개 분기 변화

Q2 2025
Q3 2025
Q4 2025
Q1 2026

AI 세그먼트별 비중

Consumer AI32.6% · -$1.52B
Cloud Platform13.2% · -$1.95B
AI Semiconductor9.2% · $41M
Foundry8.5% · $821M
Semiconductor Equipment6.1% · $502M
AI Networking5.3% · $210M
Power & Energy3.7% · $213M
AI Software2.4% · -$642M

전체 보유 종목 변화

TickerChangeShares NowShares PrevShares %Value NowValue ChangeWeightAI SegmentAIConvictionFreshness
MSFT
MICROSOFT CORP
TRIM2,500,0005,477,747-54.4%$925M-$1.72B4.1%Cloud Platform8669신선도 보통
미매핑
TAKE-TWO INTERACTIVE SOFTWAR
TRIM2,000,0005,839,256-65.7%$395M-$1.10B1.7%Unmapped / Non-AI050신선도 보통
미매핑
FLUTTER ENTMT PLC
EXITN/A4,003,542-100.0%N/A-$861MN/AUnmapped / Non-AI070신선도 보통
TSM
TAIWAN SEMICONDUCTOR MANUFAC
ADD5,565,0743,725,474+49.4%$1.88B$749M8.2%Foundry9081신선도 보통
SE
SEA LTD
HOLD15,415,83515,415,8350.0%$1.28B-$690M5.6%Consumer AI4531신선도 보통
RDDT
REDDIT INC
TRIM2,500,0003,843,915-35.0%$337M-$547M1.5%Consumer AI4827신선도 보통
미매핑
VEEVA SYS INC
EXITN/A2,420,500-100.0%N/A-$540MN/AUnmapped / Non-AI057신선도 보통
미매핑
APOLLO GLOBAL MGMT INC
TRIM3,293,3346,209,496-47.0%$367M-$532M1.6%Unmapped / Non-AI030신선도 보통
APP
APPLOVIN CORP
TRIM1,000,0001,292,984-22.7%$398M-$473M1.7%AI Software6022신선도 보통
미매핑
GRAB HOLDINGS LIMITED
EXITN/A92,923,788-100.0%N/A-$464MN/AUnmapped / Non-AI054신선도 보통
AMAT
APPLIED MATLS INC
ADD1,656,900895,200+85.1%$566M$336M2.5%Semiconductor Equipment8445신선도 보통
GOOGL
ALPHABET INC
HOLD10,631,40210,631,4020.0%$3.06B-$270M13.4%Consumer AI8071신선도 보통
미매핑
MERCADOLIBRE INC
NEW135,006N/A+100.0%$233M$233M1.0%Unmapped / Non-AI047신선도 보통
AMZN
AMAZON COM INC
HOLD10,000,00010,011,379-0.1%$2.08B-$228M9.1%Cloud Platform8347신선도 보통
미매핑
WORKDAY INC
EXITN/A1,000,000-100.0%N/A-$215MN/AUnmapped / Non-AI044신선도 보통
GEV
GE VERNOVA INC
HOLD972,994972,9940.0%$849M$213M3.7%Power & Energy5827신선도 보통
미매핑
BLOCK INC
TRIM4,000,0006,364,840-37.2%$241M-$174M1.1%Unmapped / Non-AI016신선도 보통
NOW
SERVICENOW INC
TRIM1,500,0002,126,890-29.5%$157M-$169M0.7%AI Software6613신선도 보통
LRCX
LAM RESEARCH CORP
HOLD3,900,4393,900,4390.0%$833M$166M3.6%Semiconductor Equipment8226신선도 보통
미매핑
CHIME FINL INC
TRIM11,081,78014,192,499-21.9%$208M-$150M0.9%Unmapped / Non-AI012신선도 보통
미매핑
ZSCALER INC
HOLD1,579,7661,579,7660.0%$222M-$134M1.0%Unmapped / Non-AI012신선도 보통
미매핑
ELASTIC N V
EXITN/A1,690,700-100.0%N/A-$128MN/AUnmapped / Non-AI040신선도 보통
AVGO
BROADCOM INC
ADD3,584,8142,875,614+24.7%$1.11B$114M4.9%AI Networking9238신선도 보통
미매핑
ZILLOW GROUP INC
ADD7,368,9576,056,957+21.7%$305M-$108M1.3%Unmapped / Non-AI012신선도 보통
LITE
LUMENTUM HLDGS INC
NEW136,800N/A+100.0%$96M$96M0.4%AI Networking6440신선도 보통
미매핑
EQUIPMENTSHARE COM INC
NEW4,579,646N/A+100.0%$93M$93M0.4%Unmapped / Non-AI040신선도 보통
미매핑
COSTAR GROUP INC
TRIM1,500,0002,259,109-33.6%$61M-$91M0.3%Unmapped / Non-AI012신선도 보통
미매핑
HINGE HEALTH INC
EXITN/A1,805,751-100.0%N/A-$84MN/AUnmapped / Non-AI038신선도 보통
INTC
INTEL CORP
NEW1,638,700N/A+100.0%$72M$72M0.3%Foundry4439신선도 보통
미매핑
WEALTHFRONT CORP
HOLD15,156,87715,156,8770.0%$140M-$66M0.6%Unmapped / Non-AI012신선도 보통
META
META PLATFORMS INC
ADD3,086,8642,750,615+12.2%$1.77B-$50M7.7%Consumer AI7847신선도 보통
UNH
UNITEDHEALTH GROUP INC
TRIM350,445420,205-16.6%$95M-$44M0.4%Unmapped / Non-AI012신선도 보통
NVDA
NVIDIA CORPORATION
ADD12,011,75211,011,752+9.1%$2.09B$41M9.2%AI Semiconductor10057신선도 보통
미매핑
CIRCLE INTERNET GROUP INC
EXITN/A500,000-100.0%N/A-$40MN/AUnmapped / Non-AI037신선도 보통
미매핑
PROCORE TECHNOLOGIES INC
HOLD2,339,5002,339,5000.0%$133M-$37M0.6%Unmapped / Non-AI012신선도 보통
미매핑
LIBERTY MEDIA CORP DEL
HOLD2,682,0002,682,0000.0%$228M-$36M1.0%Unmapped / Non-AI012신선도 보통
SPOT
SPOTIFY TECHNOLOGY S A
ADD1,580,7611,261,461+25.3%$767M$34M3.4%Consumer AI4527신선도 보통
CPNG
COUPANG INC
ADD34,595,40726,267,259+31.7%$653M$34M2.9%Unmapped / Non-AI026신선도 보통
미매핑
ZILLOW GROUP INC
HOLD1,023,7331,023,7330.0%$42M-$27M0.2%Unmapped / Non-AI012신선도 보통
미매핑
NU HLDGS LTD
HOLD11,032,55511,032,5550.0%$159M-$26M0.7%Unmapped / Non-AI012신선도 보통
미매핑
WEBULL CORP
HOLD6,724,1376,724,1370.0%$32M-$20M0.1%Unmapped / Non-AI012신선도 보통
미매핑
CORPAY INC
HOLD1,752,1461,752,1460.0%$510M-$17M2.2%Unmapped / Non-AI013신선도 보통
미매핑
PONY AI INC
HOLD2,900,0002,900,0000.0%$27M-$15M0.1%Unmapped / Non-AI012신선도 보통
미매핑
ROBINHOOD VENTURES FD I
NEW400,000N/A+100.0%$11M$11M0.0%Unmapped / Non-AI036신선도 보통
미매핑
PAYPAY CORP
NEW400,000N/A+100.0%$9M$9M0.0%Unmapped / Non-AI035신선도 보통
미매핑
ATRENEW INC
HOLD9,831,2189,831,2180.0%$46M-$6M0.2%Unmapped / Non-AI012신선도 보통
NFLX
NETFLIX INC.
HOLD2,439,0002,439,0000.0%$235M$6M1.0%Consumer AI4612신선도 보통
미매핑
NETSKOPE INC
HOLD500,000500,0000.0%$4M-$5M0.0%Unmapped / Non-AI012신선도 보통
미매핑
XANADU QUANTUM TECHNOLO LTD
NEW500,000N/A+100.0%$4M$4M0.0%Unmapped / Non-AI035신선도 보통
미매핑
KLARNA GROUP PLC
HOLD175,000175,0000.0%$2M-$3M0.0%Unmapped / Non-AI012신선도 보통
미매핑
DOORDASH INC
HOLD25,33725,3370.0%$4M-$2M0.0%Unmapped / Non-AI012신선도 보통
UBER
UBER TECHNOLOGIES INC
HOLD151,178151,1780.0%$11M-$1M0.0%Consumer AI5012신선도 보통
미매핑
FIGURE TECHNOLOGY SOLUTIO
HOLD200,000200,0000.0%$7M-$1M0.0%Unmapped / Non-AI012신선도 보통
미매핑
FIGMA INC
HOLD60,00060,0000.0%$1M-$974K0.0%Unmapped / Non-AI012신선도 보통
미매핑
SHERWIN WILLIAMS CO
HOLD257,083257,0830.0%$82M-$895K0.4%Unmapped / Non-AI012신선도 보통
미매핑
ETORO GROUP LTD
HOLD80,00080,0000.0%$2M-$408K0.0%Unmapped / Non-AI012신선도 보통
미매핑
GEMINI SPACE STA INC
HOLD70,00070,0000.0%$309K-$385K0.0%Unmapped / Non-AI012신선도 보통
미매핑
JD.COM INC
HOLD344,309344,3090.0%$10M$300K0.0%Unmapped / Non-AI012신선도 보통
미매핑
ACCELERANT HOLDINGS
HOLD75,00075,0000.0%$1M-$224K0.0%Unmapped / Non-AI012신선도 보통
미매핑
BULLISH
HOLD100,000100,0000.0%$4M-$214K0.0%Unmapped / Non-AI012신선도 보통
미매핑
MNTN INC
HOLD20,00020,0000.0%$176K-$63K0.0%Unmapped / Non-AI012신선도 보통
해석 주의

대형 운용사는 여러 전략과 팀의 포지션이 합쳐질 수 있습니다. 특히 멀티전략/퀀트 펀드는 Conviction Score보다 flow/crowdedness 지표로 해석하는 편이 적절합니다.