Chris Hohn — TCI Fund Management Ltd

Chris HohnTCI Fund Management Ltd

13F portfolio as reported for Q2 2026 · total reported value $52.77B · source: public SEC filings

Top 10 reported holdings
TickerCompanyShares Reported valuePortfolio weight
GEGE Aerospace47,428,233$17.73B33.6%
VVisa Inc.30,494,133$10.46B19.8%
MCOMoody's Corporation14,334,027$6.49B12.3%
SPGIS&P Global Inc.14,081,957$5.74B10.9%
CPCanadian Pacific Kansas City Ltd.45,325,726$3.93B7.4%
GOOGAlphabet Inc.9,938,819$3.51B6.7%
FERFerrovial SE20,940,441$1.43B2.7%
CNICanadian National Railway Company9,433,422$1.12B2.1%
GOOGLAlphabet Inc.2,457,000$878.1M1.7%
MLMMartin Marietta Materials, Inc.1,315,109$758.4M1.4%

13F filings are quarterly, published up to 45 days after quarter end, and report only long U.S.-listed equity positions. They are not a complete or current picture of any portfolio.