Tiger Global Management - Performance Analysis

Investment performance metrics based on historical 13F filings data.

📊 Data Coverage: June 2013 to December 2025 • Initial Portfolio Value: $0.00B

Performance calculated from first filing in our database. This may not represent the investor's entire career.

Portfolio Growth (Since First Filing)

+29.48B

+9,999%+

Winning Positions

+51.42%

127 wins / 247 positions

Average Gain (Winners)

$237.41M

+9,999%+ avg per position

Active Positions

46

89 losing positions

Portfolio Value Over Time

Current: $29.5B
Change: +$29.5B (1159125.90%)
$34.1B$17.0B$2.4M
Jun 2013Sep 2019Dec 2025

Total Positions Tracked

247

All holdings over time

Win/Loss Ratio

1.43

127 gains / 89 losses

Active vs. Exited

46 / 201

Current positions / Exited

Position Performance

127 Gains / 89 Losses

Performance calculated from first appearance in 13F filings. Initial values represent position value when first tracked, not actual purchase prices.

SymbolCompanySectorEntryStatusInitial ValueCurrent ValueGain/LossReturn %
GOOGLAlphabet Inc.Communication ServicesDec 2016ACTIVE$147.47K$3.33B$3.33B+9,999%+
MSFTMicrosoft CorporationTechnologyDec 2015ACTIVE$22.75K$2.65B$2.65B+9,999%+
AMZNAmazon.com, Inc.Consumer CyclicalJun 2013ACTIVE$273.25K$2.31B$2.31B+9,999%+
NVDANVIDIA CorporationTechnologyMar 2023ACTIVE$12.19M$2.05B$2.04B+9,999%+
SESea LimitedConsumer CyclicalMar 2018ACTIVE$26.24K$1.97B$1.97B+9,999%+
METAMeta Platforms, Inc.Communication ServicesDec 2016ACTIVE$42.20K$1.82B$1.82B+9,999%+
TTWOTake-Two Interactive Software, Communication ServicesDec 2022ACTIVE$74.35M$1.50B$1.42B+1910.83%
TSMTaiwan Semiconductor ManufacturTechnologySep 2022ACTIVE$90.16K$1.13B$1.13B+9,999%+
APOApollo Global Management, Inc. Financial ServicesMar 2022ACTIVE$46.14K$898.89M$898.84M+9,999%+
APPApplovin CorporationTechnologyJun 2021ACTIVE$69.76K$871.24M$871.17M+9,999%+
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Important Note: Data Limitations

These metrics are based on 13F filing data which has significant limitations:

  • Quarterly Snapshots Only: 13F filings show positions at quarter-end, not actual transaction prices
  • No Transaction Prices: We cannot determine actual buy/sell prices, only end-of-quarter values
  • Performance Estimates: Gains/losses are calculated from first appearance to last update using quarterly values
  • Missing Data: Intra-quarter trades, dividends, corporate actions, and exact timing are not captured
  • Educational Only: These metrics are estimates for understanding general investment patterns, not actual realized returns

Use these metrics for informational and educational purposes only. They represent broad trends, not precise investment performance.