Chris Hohn

TCI Fund Management

Chris Hohn (TCI Fund Management) is tracked through public portfolio filings, disclosed holdings, and institutional investment activity. This Chris Hohn (TCI Fund Management) portfolio page tracks TCI Fund Management holdings, stock picks, latest portfolio moves, and historical 13F filing changes so readers can see which public companies TCI Fund Management owns and how disclosed positions change over time. Chris Hohn (TCI Fund Management)'s public portfolio can help investors study position sizing, sector exposure, concentration, new buys, trims, exits, and the market themes behind reported capital allocation decisions. Top disclosed holdings and portfolio changes shown on this page include Microsoft Corp (MSFT), General Electric Co (GE), Alphabet Inc (GOOGL), Moody's Corporation Common Stock (MCO), and Visa Inc (V). Investors use TCI Fund Management 13F filings to study portfolio concentration, new buys, trims, exits, sector exposure, and the market evidence behind the latest disclosed holdings.

History Trades

CompanyValueActionChangePriceCurrent Price
Canadian National Railway Co (2)CNI$-795.6MTrimQ4 2025 13F$796M--$120.81
S&P Global IncSPGI$715.3MAddQ4 2025 13F$715M--$417.09
Alphabet Cl CGOOG$533.7MAddQ4 2025 13F$534M$286.47$334.69
Microsoft CorpMSFT$-477.8MTrimQ4 2025 13F$478M$501.12$372.97
Moody's Corporation Common StockMCO$457.4MAddQ4 2025 13F$457M$487.90$450.01
General Electric CoGE$342.6MAddQ4 2025 13F$343M$301.12$322.04
Chris Hohn (TCI Fund Management) add Unmapped 13F securityPORTFOLIO$1.3B20.7M sharesAddQ4 2025 13F$234M$65.00--
Chris Hohn (TCI Fund Management) trim Unmapped 13F securityPORTFOLIO$3.5B47.7M sharesTrimQ4 2025 13F$205M$73.63--
Visa IncV$144.9MAddQ4 2025 13F$145M$337.67$336.23
Visa IncV$2.8BAddQ3 2025 13F$2.8B$346.34$336.23
General Electric CoGE$2.1BAddQ3 2025 13F$2.1B$273.34$322.04
Canadian National Railway Co (2)CNI$-624.7MTrimQ3 2025 13F$625M--$120.81
Alphabet IncGOOGL$-556.0MExitQ3 2025 13F$556M$209.46$337.39
Chris Hohn (TCI Fund Management) trim Unmapped 13F securityPORTFOLIO$3.7B49.9M sharesTrimQ3 2025 13F$475M$74.47--
Alphabet Cl CGOOG$-449.9MTrimQ3 2025 13F$450M$210.20$334.69
S&P Global IncSPGI$-402.3MTrimQ3 2025 13F$402M$496.76$417.09
Moody's Corporation Common StockMCO$-303.3MTrimQ3 2025 13F$303M$504.09$450.01
Microsoft CorpMSFT$-143.2MTrimQ3 2025 13F$143M$510.13$372.97
Chris Hohn (TCI Fund Management) add Unmapped 13F securityPORTFOLIO$1.1B19.5M sharesAddQ3 2025 13F$76M$57.24--
General Electric CoGE$2.7BAddQ2 2025 13F$2.7B$219.12$322.04
Microsoft CorpMSFT$2.2BAddQ2 2025 13F$2.2B$433.34$372.97
Visa IncV$939.1MAddQ2 2025 13F$939M$335.18$336.23
S&P Global IncSPGI$583.9MAddQ2 2025 13F$584M--$417.09
Moody's Corporation Common StockMCO$514.6MAddQ2 2025 13F$515M$463.23$450.01
Chris Hohn (TCI Fund Management) add Unmapped 13F securityPORTFOLIO$4.2B52.8M sharesAddQ2 2025 13F$334M$79.29--
Canadian National Railway Co (2)CNI$-225.2MTrimQ2 2025 13F$225M--$120.81
Chris Hohn (TCI Fund Management) add Unmapped 13F securityPORTFOLIO$1.0B19.5M sharesAddQ2 2025 13F$178M$53.35--
Alphabet Cl CGOOG$135.4MAddQ2 2025 13F$135M$165.11$334.69
Alphabet IncGOOGL$-75.7MTrimQ2 2025 13F$76M$163.55$337.39
General Electric CoGE$1.8BAddQ1 2025 13F$1.8B$196.75$322.04
Alphabet Cl CGOOG$-978.9MTrimQ1 2025 13F$979M$183.12$334.69
Microsoft CorpMSFT$595.9MAddQ1 2025 13F$596M$407.71$372.97
Visa IncV$522.2MAddQ1 2025 13F$522M--$336.23
Alphabet IncGOOGL$-509.3MTrimQ1 2025 13F$509M$181.36$337.39
Canadian National Railway Co (2)CNI$-394.0MTrimQ1 2025 13F$394M--$120.81
Moody's Corporation Common StockMCO$-140.7MTrimQ1 2025 13F$141M$481.85$450.01
Chris Hohn (TCI Fund Management) trim Unmapped 13F securityPORTFOLIO$3.9B54.9M sharesTrimQ1 2025 13F$119M$70.19--
S&P Global IncSPGI$85.0MAddQ1 2025 13F$85M--$417.09
Chris Hohn (TCI Fund Management) add Unmapped 13F securityPORTFOLIO$861M19.3M sharesAddQ1 2025 13F$48M$44.54--
General Electric CoGE$-1.4BTrimQ4 2024 13F$1.4B$178.44$322.04
Canadian National Railway Co (2)CNI$-1.1BTrimQ4 2024 13F$1.1B--$120.81
Microsoft CorpMSFT$738.8MAddQ4 2024 13F$739M$425.95$372.97
Chris Hohn (TCI Fund Management) trim Unmapped 13F securityPORTFOLIO$4.0B54.9M sharesTrimQ4 2024 13F$723M$72.36--
Visa IncV$690.2MAddQ4 2024 13F$690M$283.76$336.23
Alphabet Cl CGOOG$313.6MAddQ4 2024 13F$314M$176.50$334.69
S&P Global IncSPGI$-193.3MTrimQ4 2024 13F$193M--$417.09
Alphabet IncGOOGL$141.3MAddQ4 2024 13F$141M$174.97$337.39
Moody's Corporation Common StockMCO$-16.2MTrimQ4 2024 13F$16M$477.26$450.01
Chris Hohn (TCI Fund Management) trim Unmapped 13F securityPORTFOLIO$813M19.3M sharesTrimQ4 2024 13F$7.6M$42.04--
General Electric CoGE$1.4BAddQ3 2024 13F$1.4B$169.43$322.04
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