TCI Fund Management Chris Hohn
Top positions activity
Value History
Quarterly report: Q3 2025
Total portfolio value: $52.7B
| TICKER | CORP NAME | VALUE($) | SHARES | +/- SHARES | OWNERSHIP HISTORY |
|---|---|---|---|---|---|
|
GE
|
General Electric Co. | 14.3B 27.11% | 47.5M | = | |
|
V
|
Visa Inc - Class A | 9.6B 18.17% | 28.1M | +9.0M ↑47.15% | |
|
MSFT
|
Microsoft Corporation | 8.6B 16.3% | 16.6M | -973.0K ↓5.54% | |
|
MCO
|
Moody`s Corp. | 6.3B 12.03% | 13.3M | +61.5K ↑0.46% | |
|
SPGI
|
S&P Global Inc | 5.4B 10.33% | 11.2M | +98.2K ↑0.89% | |
|
CP
|
Canadian Pacific Railway Ltd | 3.7B 7.04% | 49.9M | -3.0M ↓5.61% | |
|
GOOG
|
Alphabet Inc - Class C | 1.9B 3.51% | 7.6M | -5.4M ↓41.41% | |
|
CNI
|
Canadian National Railway Co. | 1.8B 3.35% | 18.8M | -4.2M ↓18.36% |
Sold Out Positions
| TICKER | CORP NAME | VALUE($) | SHARES | +/- SHARES |
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