13F.
TIGER GLOBAL MANAGEMENT LLC
Backtest

TIGER GLOBAL MANAGEMENT LLC

What you'd have made by mirroring TIGER GLOBAL MANAGEMENT LLC's public 13F filings, starting with $10,000 on Aug 14, 2013 and rebalancing at every disclosure through May 18, 2026.

52 filings replayed309 of 445 CUSIPs mapped to tickers464 closed trades54 still open

Equity curve

$10,000 mirrored · vs SPY
$10k$20k$30k$40k$50k$60k2015201720192021202320252026
Mirror portfolio$10k in SPY
Mirror — final
$57.52K
SPY — final
$43.81K
Mirror return
+475.2%
Alpha vs SPY
+137.2%

Realized P&L · closed trades

Cumulative profit from positions opened and later sold
−$60.0B−$40.0B−$20.0B$0$20.0B$40.0B$60.0BGTM −$116.3BMDB +$26.6BKKR +$25.6BMTCH −$17.0B2015201720192021202320252026
Realized P&L
−$51.54B
Closed trades
464
Win rate
24%
Avg return / closed
+10.8%

Biggest closed trades

IssuerEntryExitHeldReturnP&L
ZOOMINFO TECHNOLOGIES INC
GTM
Q1 2023Q1 20258Q-62%$116.26B
MONGODB INC
MDB
Q1 2023Q3 20232Q+59%+$26.59B
KKR & CO INC
KKR
Q2 2023Q1 20243Q+95%+$25.6B
MATCH GROUP INC NEW
MTCH
Q1 2023Q2 20231Q-28%$16.96B
ATLASSIAN CORPORATION
TEAM
Q1 2023Q2 20259Q+21%+$11.06B
APPLIED MATLS INC
AMAT
Q2 2023Q3 20231Q+17%+$8.84B
PALO ALTO NETWORKS INC
PANW
Q2 2023Q3 20231Q+14%+$7.02B
APPLE INC
AAPL
Q2 2023Q3 20231Q+4%+$6.03B
MOBILEYE GLOBAL INC
MBLY
Q1 2023Q3 20232Q-18%$2.82B
MASTERCARD INC
MA
Q3 2013Q3 202341Q+533%+$1.53B

Every trade · entry date × return

Bubble = position size at entry
-50%-25%0%+25%+50%+100%+200%+500%SHOP · +1520%BILI · +1124%AMZN · +894%2015201720192021202320252026
PositiveNegativeStill open (marked to market)
Best closed pick
SHOP +1520%
Worst closed pick
PTON -90%
Total trades
518
Open trades
54