13F.
TIGER GLOBAL MANAGEMENT LLC
13F-HR

Q1 2014

Period Mar 31, 2014Filed May 15, 2014View on EDGAR ↗
Positions
55
Total value
$7.36B
Top 10 concentration
60.7%
New positions
10

Exited positionsvs. Q4 2013

  • YAHOO INC ($364.02M)
  • AMAZON COM INC ($329.2M)
  • NETFLIX INC ($244.1M)
  • GROUPON INC ($134.87M)
  • TRIPADVISOR INC ($122.51M)
  • LIBERTY INTERACTIVE CORP ($71.1M)
  • TAL ED GROUP ($69.27M)
  • ROYAL CARIBBEAN CRUISES LTD ($66.39M)

Holdings · 55

#Class
1
PRICELINE COM INC
741503403
COM NEW$810.84M11.01%680,300-3.9%
2
TWENTY FIRST CENTY FOX INC
90130A101
CL A$615.83M8.36%19,262,616+3.6%
3
CARTER INC
146229109
COM$503.56M6.84%6,485,031+14.7%
4
TRANSDIGM GROUP INC
893641100
COM$485.77M6.60%2,622,972
5
DOLLAR GEN CORP NEW
256677105
COM$437.94M5.95%7,893,663
6
LIBERTY GLOBAL PLC
G5480U120
SHS CL C$363.83M4.94%8,936,990+92.6%
7
FIDELITY NATL INFORMATION SV
31620M106
COM$335.78M4.56%6,282,114-0.2%
8
VIPSHOP HLDGS LTD
92763W103
SPONSORED ADR$334.25M4.54%2,238,788+53.3%
9
COCA COLA ENTERPRISES INC NE
19122T109
COM$320.08M4.35%6,701,918-14.5%
10
COLFAX CORP
194014106
COM$262.13M3.56%3,674,937+2.5%
11
MASTERCARD INC
57636Q104
CL A$256.97M3.49%3,440,000+882.9%
12
FLEETCOR TECHNOLOGIES INC
339041105
COM$220.88M3.00%1,919,000-6.2%
13
CHARTER COMMUNICATIONS INC D
16117M305
CL A NEW$200.23M2.72%1,625,248+377.4%
14
MAKEMYTRIP LIMITED MAURITIUS
V5633W109
SHS$194.57M2.64%7,184,866
15
BURGER KING WORLDWIDE INC
121220107
COM$191.16M2.60%7,200,000
16
AVIS BUDGET GROUP
053774105
COM$189.82M2.58%3,897,800New
17
COMCAST CORP NEW
20030N101
CL A$182.34M2.48%3,643,831-0.1%
18
ZILLOW INC
98954A107
CL A$144.07M1.96%1,635,268New
19
RESTORATION HARDWARE HLDGS I
761283100
COM$142.61M1.94%1,937,935+6.6%
20
MOTOROLA SOLUTIONS INC
620076307
COM NEW$123.57M1.68%1,922,000-35.6%
21
LIBERTY MEDIA CORP DELAWARE
531229102
CL A$118.31M1.61%905,000-1.0%
22
GAP INC DEL
364760108
COM$110.77M1.50%2,765,000+37.9%
23
MYRIAD GENETICS INC
62855J104
COM$80.21M1.09%2,345,921+95.2%
24
3-D SYS CORP DEL
88554D205
COM NEW$76.11M1.03%1,286,800+65.5%
25
VISA INC
92826C839
COM CL A$61.41M0.83%284,479-0.2%
26
TRULIA INC
897888103
COM$56.87M0.77%1,712,808New
27
58 COM INC
31680Q104
SPON ADR REP A$52.55M0.71%1,262,300+320.8%
28
UTI WORLDWIDE INC
G87210103
ORD$51.93M0.71%4,904,000New
29
RESMED INC
761152107
COM$44.69M0.61%1,000,000
30
IAC INTERACTIVECORP
44919P508
COM PAR $.001$41.34M0.56%579,000+146.4%
31
SOLARCITY CORP
83416T100
COM$31.31M0.43%500,000
32
KATE SPADE & CO
485865109
COM$30.97M0.42%835,000New
33
QIWI PLC
74735M108
SPON ADR REP B$29.45M0.40%850,000
34
SODASTREAM INTERNATIONAL LTD
M9068E105
USD SHS$26.46M0.36%600,000+50.0%
35
ZYNGA INC
98986T108
CL A$24.25M0.33%5,640,000-39.9%
36
MARKWEST ENERGY PARTNERS L P
570759100
UNIT LTD PARTN$23.84M0.32%365,000New
37
EXONE CO
302104104
COM$23.83M0.32%665,000
38
TWITTER INC
90184L102
COM$23.34M0.32%500,000
39
VERA BRADLEY INC
92335C106
COM$21.35M0.29%790,884
40
BIO-REFERENCE LABS INC
09057G602
COM $.01 NEW$19.93M0.27%720,000
41
HERTZ GLOBAL HOLDINGS INC
42805T105
COM$19.31M0.26%725,000New
42
CADENCE DESIGN SYSTEM INC
127387108
COM$17.33M0.24%1,115,000New
43
FIREEYE INC
31816Q101
COM$12.31M0.17%200,000
44
HIMAX TECHNOLOGIES INC
43289P106
SPONSORED ADR$11.52M0.16%1,000,000New
45
AUTOHOME INC
05278C107
SP ADR RP CL A$11.17M0.15%290,873-31.7%
46
NIMBLE STORAGE INC
65440R101
COM$9.47M0.13%250,000
47
QUNAR CAYMAN IS LTD
74906P104
SPNS ADR CL B$4.59M0.06%150,000
48
BURLINGTON STORES INC
122017106
COM$2.95M0.04%100,000
49
DELIA'S INC NEW
246911101
COM$2.86M0.04%3,400,000
50
CASTLIGHT HEALTH INC
14862Q100
CL B$2.44M0.03%115,000New
51
VEEVA SYS INC
922475108
CL A COM$2M0.03%75,000
52
CRITEO S A
226718104
SPONS ADS$1.62M0.02%40,000
53
POTBELLY CORP
73754Y100
COM$894K0.01%50,000
54
VINCE HLDG CORP
92719W108
COM$659K0.01%25,000
55
ZULILY INC
989774104
CL A$502K0.01%10,000
Total filing value: $7.36B