Coleman's Tiger Global Management 13F Shows New Stakes in Kate (KATE), Vasco (VDSI), Increased Stake in Fleetcor Tech (FLT) ...

May 15, 2015 2:15 PM EDT

Chsae Coleman's Tiger Global Management released its 13F for the quarter ended March 31, 2015. Below is a summary:

New Stakes International, Ltd. (NASDAQ: CTRP) new 330,000 share position
International Bus. Machines (NYSE: IBM) new 141,823 share position
INTREXON CORP (NYSE: XON) new 300,000 share position
KATE SPADE & COMPANY (NYSE: KATE) new 3,576,165 share position Inc (NASDAQ: PCLN) new 414,817 share position
TriNet Group (NYSE: TNET) new 2,318,590 share position
Vasco Data Security Internatio (NASDAQ: VDSI) new 1,900,000 share position
ZIOPHARM Oncology, Inc. (NASDAQ: ZIOP) new 200,000 share position

Raised Stakes
51job, Inc. (NASDAQ: JOBS) raised from 937,400 shares to 1,125,623 shares
BABY AL (NYSE: BABA) raised from 5,815,690 shares to 6,689,926 shares
COLFAX CORPORATION (NYSE: CFX) raised from 4,115,000 shares to 5,108,326 shares
FLEETCOR TECHNOLOGIES, Inc. (NYSE: FLT) raised from 2,950,583 shares to 3,293,300 shares
HD Partners Acquisition Corporation Warrants (NASDAQ: HDP) raised from 130,000 shares to 260,400 shares

JD (NASDAQ: JD) raised from 5,115,392 shares to 20,921,329 shares
Liberty Broadband (NASDAQ: LBRDA) raised from 2,399,400 shares to 2,751,951 shares
LIBERTY GLOBAL -C- (NASDAQ: LBTYK) raised from 8,953,698 shares to 9,288,326 shares, Inc. (NASDAQ: MOMO) raised from 1,750,000 shares to 2,180,000 shares
NetFlix Inc. (NASDAQ: NFLX) raised from 130,000 shares to 155,877 shares
On Deck Capital (NYSE: ONDK) raised from 6,350,000 shares to 6,850,000 shares
TRANSDIGM GROUP INCORPORATED (NYSE: TDG) raised from 2,543,612 shares to 2,568,615 shares
Visa Inc. (NYSE: V) raised from 172,479 shares to 838,089 shares
Zillow (NASDAQ: Z) raised from 2,946,081 shares to 3,582,691 shares *

Lowered Stakes
3D SYSTEMS CORP (NYSE: DDD) lowered from 2,036,483 shares to 700,000 shares
Avis Budget Group, Inc. (NASDAQ: CAR) lowered from 5,094,800 shares to 4,850,254 shares
BITAUTO HOLDINGS LIMITED (NYSE: BITA) lowered from 6,565,000 shares to 5,922,953 shares
CHARTER COMM-A (NASDAQ: CHTR) lowered from 1,924,086 shares to 1,192,541 shares
HERTZ GLOBAL HOLDINGS, Inc. (NYSE: HTZ) lowered from 14,260,000 shares to 14,207,250 shares
MAKEMYTRIP (NASDAQ: MMYT) lowered from 3,607,688 shares to 1,904,391 shares
Mastercard Inc. (NYSE: MA) lowered from 7,214,060 shares to 7,111,093 shares
Myriad Genetics, Inc. (NASDAQ: MYGN) lowered from 1,900,000 shares to 291,097 shares
Sanderson Farms, Inc. (NASDAQ: SAFM) lowered from 1,125,000 shares to 925,000 shares
TABLEAU SOFTWARE, Inc. (NYSE: DATA) lowered from 1,805,000 shares to 1,687,316 shares
VIPSHOP HOLDINGS LIMITED (NYSE: VIPS) lowered from 17,250,000 shares to 15,950,149 shares

Liquidated Stakes
Gen-Probe, Inc. (NASDAQ: GPRO) liquidated
GRUBHUB, Inc. (NYSE: GRUB) liquidated
King Digital (NYSE: KING) liquidated
Mobileye N.V. (NYSE: MBLY) liquidated
Organovo (NYSE: ONVO) liquidated
Sierra Wireless (NASDAQ: SWIR) liquidated
TRULIA, Inc. (NYSE: TRLA) liquidated

Maintained Stakes
58.COM, Inc. (NYSE: WUBA) maintained 2,450,000 share stake
AUTOHOME, Inc. (NYSE: ATHM) maintained 8,735,000 share stake
FIREEYE (NASDAQ: FEYE) maintained 200,000 share stake
GameStop Corp. (NYSE: GME) maintained 2,000,000 share stake
iDreamSky (NASDAQ: DSKY) maintained 100,000 share stake
CLARCOR, Inc. (NYSE: LC) maintained 275,000 share stake
LIBERTY INTER-A (NASDAQ: LVNTA) maintained 5,290,000 share stake
MASONITE INTERNATIONAL CORP (NYSE: DOOR) maintained 1,025,000 share stake
New Relic (NYSE: NEWR) maintained 25,000 share stake
NIMBLE STORAGE, Inc. (NYSE: NMBL) maintained 250,000 share stake
PILGRIMS PRIDE (NASDAQ: PPC) maintained 2,000,000 share stake
QUNAR CAYM SP ADS-B (NASDAQ: QUNR) maintained 150,000 share stake
Restaurant Brands (NYSE: QSR) maintained 2,345,012 share stake
RESTORATION HARDWARE HOLDINGS, Inc. (NYSE: RH) maintained 3,193,410 share stake
Twenty-First Century Fox (NASDAQ: FOXA) maintained 16,805,219 share stake
Twitter, Inc. (NYSE: TWTR) maintained 500,000 share stake
UTI Worldwide, Inc. (NASDAQ: UTIW) maintained 5,129,000 share stake
VEEVA SYSTEMS, Inc. (NYSE: VEEV) maintained 75,000 share stake
Yodlee (NASDAQ: YDLE) maintained 350,000 share stake
Zhaopin (NYSE: ZPIN) maintained 1,275,000 share stake

* Since the original filing these positions have been updated further.

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