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TIGER GLOBAL MANAGEMENT LLC

NEW YORK, NY · CIK 0001167483

Portfolio Value: $7.36B
Positions: 55
Period: 2014-03-31
Filed: 2014-05-15

Portfolio Value

$7.36B

Positions

55

New

8

Increased

16

Decreased

10

Sold Out

30

TIGER GLOBAL MANAGEMENT LLC Q1 2014 13F Filing Summary

TIGER GLOBAL MANAGEMENT LLC (NEW YORK, NY) reported a portfolio value of $7.36B across 55 positions in their Q1 2014 SEC 13F filing (period ending 2014-03-31). Top holdings include PRICELINE COM INC ($810.84M), FOXA ($615.83M), CRI ($503.56M). The top 10 positions account for 60.7% of the portfolio. This quarter saw 8 new positions, 16 increases, 10 reductions, 30 complete exits. Notable new buys: ZG ($144.07M), TRULIA INC ($56.87M), KATE SPADE & CO ($30.97M). Notable exits: GRPN, YAHOY, TAL.

All Holdings

#StockValueWeightChange
1
PRICELINE COM INC
COM NEW
$810.84M
11.01%
-3.9%
2
FOXATWENTY FIRST CENTY FOX INC
CL A
$615.83M
8.36%
+3.6%
3
CRICARTER INC
COM
$503.56M
6.84%
+14.7%
4
TDGTRANSDIGM GROUP INC
COM
$485.77M
6.60%
-
5
DGDOLLAR GEN CORP NEW
COM
$437.94M
5.95%
-
6
LBTYALIBERTY GLOBAL PLC
SHS CL C
$363.82M
4.94%
+92.6%
7
ATIFIDELITY NATL INFORMATION SV
COM
$335.78M
4.56%
-0.2%
8
VIPSVIPSHOP HLDGS LTD
SPONSORED ADR
$334.25M
4.54%
+53.3%
9
KOCOCA COLA ENTERPRISES INC NE
COM
$320.08M
4.35%
-14.5%
10
COLFAX CORP
COM
$262.13M
3.56%
+2.5%
11
MAMASTERCARD INC
CL A
$256.97M
3.49%
+882.9%
12
LTESFFLEETCOR TECHNOLOGIES INC
COM
$220.88M
3.00%
-6.2%
13
CHTRCHARTER COMMUNICATIONS INC D
CL A NEW
$200.23M
2.72%
+377.4%
14
BEKEMAKEMYTRIP LIMITED MAURITIUS
SHS
$194.57M
2.64%
-
15
BURGER KING WORLDWIDE INC
COM
$191.16M
2.60%
-
16
CARAVIS BUDGET GROUP
COM
$189.82M
2.58%
+0.0%
17
CMCSACOMCAST CORP NEW
CL A
$182.34M
2.48%
-0.1%
18
ZGZILLOW INC
CL A
$144.07M
1.96%
New
19
ATIRESTORATION HARDWARE HLDGS I
COM
$142.61M
1.94%
+6.6%
20
MSIMOTOROLA SOLUTIONS INC
COM NEW
$123.56M
1.68%
-35.6%
21
FWONALIBERTY MEDIA CORP DELAWARE
CL A
$118.31M
1.61%
-1.0%
22
GAPGAP INC DEL
COM
$110.77M
1.50%
+37.9%
23
MYGNMYRIAD GENETICS INC
COM
$80.21M
1.09%
+95.2%
24
DDD3-D SYS CORP DEL
COM NEW
$76.11M
1.03%
+65.5%
25
VVISA INC
COM CL A
$61.41M
0.83%
-0.2%
26
TRULIA INC
COM
$56.87M
0.77%
New
27
WUBAUSD58 COM INC
SPON ADR REP A
$52.55M
0.71%
+320.8%
28
UTI WORLDWIDE INC
ORD
$51.93M
0.71%
+0.0%
29
RMDRESMED INC
COM
$44.69M
0.61%
-
30
IACIEURIAC INTERACTIVECORP
COM PAR $.001
$41.34M
0.56%
+146.4%
31
SOLARCITY CORP
COM
$31.31M
0.43%
-
32
KATE SPADE & CO
COM
$30.97M
0.42%
New
33
QIWQIWI PLC
SPON ADR REP B
$29.45M
0.40%
-
34
SODASTREAM INTERNATIONAL LTD
USD SHS
$26.46M
0.36%
+50.0%
35
ZNGAEURZYNGA INC
CL A
$24.25M
0.33%
-39.9%
36
PARMARKWEST ENERGY PARTNERS L P
UNIT LTD PARTN
$23.84M
0.32%
New
37
EXONE CO
COM
$23.83M
0.32%
-
38
TWTRUSDTWITTER INC
COM
$23.34M
0.32%
-
39
VRAVERA BRADLEY INC
COM
$21.35M
0.29%
-
40
ABQQBIO-REFERENCE LABS INC
COM $.01 NEW
$19.93M
0.27%
-
41
HTZHERTZ GLOBAL HOLDINGS INC
COM
$19.31M
0.26%
New
42
CDNSCADENCE DESIGN SYSTEM INC
COM
$17.33M
0.24%
New
43
FEYECHFFIREEYE INC
COM
$12.31M
0.17%
-
44
HIMXHIMAX TECHNOLOGIES INC
SPONSORED ADR
$11.52M
0.16%
New
45
ATHMAUTOHOME INC
SP ADR RP CL A
$11.17M
0.15%
-31.7%
46
NODKNIMBLE STORAGE INC
COM
$9.47M
0.13%
-
47
QUNAR CAYMAN IS LTD
SPNS ADR CL B
$4.59M
0.06%
-
48
BURLBURLINGTON STORES INC
COM
$2.95M
0.04%
-
49
DELIA'S INC NEW
COM
$2.86M
0.04%
-
50
THCHCASTLIGHT HEALTH INC
CL B
$2.44M
0.03%
New
Showing 1-50 of 55

Position Changes

StockValueShares
ZGZILLOW INC
$144.07M1,635,268
TRULIA INC
$56.87M1,712,808
KATE SPADE & CO
$30.97M835,000
PARMARKWEST ENERGY PARTNERS L P
$23.84M365,000
HTZHERTZ GLOBAL HOLDINGS INC
$19.31M725,000
CDNSCADENCE DESIGN SYSTEM INC
$17.33M1,115,000
HIMXHIMAX TECHNOLOGIES INC
$11.52M1,000,000
THCHCASTLIGHT HEALTH INC
$2.44M115,000