Tiger Management as of June 30, 2013
Portfolio Holdings for Tiger Management
Tiger Management holds 49 positions in its portfolio as reported in the June 2013 quarterly 13F filing
Company (Ticker) | Portfolio Weight | Valued At | Change in Shares | Share Count | Share Price |
---|---|---|---|---|---|
Valeant Pharmaceuticals Int | 3.3 | $26M | 299k | 86.08 | |
Sirius XM Radio | 3.1 | $25M | 7.3M | 3.35 | |
Digitalglobe Com New | 3.0 | $24M | 770k | 31.01 | |
Google Cl A | 3.0 | $23M | 27k | 880.37 | |
Charter Communications Inc D Cl A New | 2.9 | $23M | 184k | 123.85 | |
Howard Hughes | 2.9 | $23M | 202k | 112.09 | |
H&R Block (HRB) | 2.7 | $22M | 779k | 27.75 | |
Ocwen Finl Corp Com New | 2.7 | $21M | 510k | 41.22 | |
Ryman Hospitality Pptys (RHP) | 2.7 | $21M | 536k | 39.01 | |
Monsanto Company | 2.6 | $21M | 211k | 98.80 | |
Mastercard Cl A (MA) | 2.6 | $21M | 36k | 574.50 | |
Realogy Hldgs (HOUS) | 2.6 | $20M | 425k | 48.04 | |
Priceline Com New | 2.6 | $20M | 24k | 826.68 | |
Gilead Sciences (GILD) | 2.5 | $20M | 387k | 51.27 | |
Hertz Global Holdings | 2.5 | $20M | 800k | 24.80 | |
Navistar International Corporation | 2.5 | $20M | 702k | 27.76 | |
Toyota Motor Corp Sp Adr Rep2com (TM) | 2.4 | $19M | 319k | 60.40 | |
Newcastle Investment | 2.4 | $19M | 3.7M | 5.23 | |
Kinder Morgan Inc Del *w Exp 05/25/2017 | 2.4 | $19M | 3.7M | 5.12 | |
Dish Network Corp Cl A | 2.4 | $19M | 443k | 42.52 | |
Wuxi Pharmatech Cayman Spons Adr Shs | 2.4 | $19M | 892k | 21.00 | |
Chicago Bridge And Iron Co N V N Y Registry Sh | 2.4 | $19M | 311k | 59.66 | |
JPMorgan Chase & Co. (JPM) | 2.3 | $18M | 349k | 52.79 | |
Citigroup Com New (C) | 2.3 | $18M | 383k | 47.97 | |
Macquarie Infrastr Membership Int | 2.3 | $18M | 340k | 53.45 | |
Royal Caribbean Cruises (RCL) | 2.3 | $18M | 539k | 33.34 | |
Verisign (VRSN) | 2.2 | $18M | 394k | 44.66 | |
Liberty Global Shs Cl A | 2.2 | $17M | 232k | 73.49 | |
Dunkin' Brands Group | 2.1 | $17M | 395k | 42.82 | |
Qualcomm (QCOM) | 2.1 | $17M | 271k | 61.09 | |
Capital One Financial (COF) | 2.1 | $16M | 260k | 62.81 | |
FleetCor Technologies | 2.0 | $16M | 199k | 81.30 | |
Workday Cl A (WDAY) | 2.0 | $16M | 250k | 64.09 | |
Xpo Logistics Inc equity (XPO) | 2.0 | $16M | 881k | 18.09 | |
URS Corporation | 1.9 | $15M | 312k | 47.22 | |
DaVita (DVA) | 1.9 | $15M | 121k | 120.80 | |
Dollar Tree (DLTR) | 1.8 | $14M | 280k | 50.84 | |
Dollar General (DG) | 1.7 | $14M | 272k | 50.43 | |
McGraw-Hill Companies | 1.5 | $12M | 225k | 53.19 | |
Visa Com Cl A (V) | 1.5 | $12M | 64k | 182.76 | |
American Intl Group Com New (AIG) | 1.2 | $9.6M | 214k | 44.70 | |
Market Vectors Etf Tr Jr Gold Miners E | 1.2 | $9.6M | 1.0M | 9.16 | |
Moody's Corporation (MCO) | 1.0 | $7.5M | 123k | 60.93 | |
Ryanair Hldgs Sponsored Adr | 0.8 | $6.3M | 123k | 51.53 | |
Goldman Sachs (GS) | 0.3 | $2.3M | 15k | 151.27 | |
Suncor Energy (SU) | 0.3 | $2.0M | 69k | 29.49 | |
Spdr S&p 500 Etf Tr Tr Unit Put Option (SPY) | 0.3 | $2.0M | 12k | 160.41 | |
Sealed Air (SEE) | 0.1 | $1.2M | 49k | 23.95 | |
Carnival Corp Paired Ctf (CCL) | 0.0 | $341k | 10k | 34.27 |