Chris Hohn Holdings Activity

TCI Fund Management Portfolio 13F

TCI Fund Management has disclosed a total of 2 changes to the portfolio in the latest (2024 Q3) SEC report(s): increased the number of shares of 1 and decreased the number of shares of 1 position(s).

What stocks is Chris Hohn buying now?

In the recent quarter Chris Hohn has bought (MSFT) MICROSOFT CORP (added shares +13.85%).

What does Chris Hohn invest in?

Chris Hohn's top 5 holdings (by % of portfolio) are (GE) GENERAL ELECTRIC CO (20.64%), (MCO) MOODY'S CORP (14.28%), (SPGI) S&P GLOBAL INC (12.21%), (MSFT) MICROSOFT CORP (11.72%) and (CP) CANADIAN PACIFIC KANSAS CITY (10.67%).

In the latest report(s) the following change has been made to the top investments: (MSFT) MICROSOFT CORP (added shares +13.85%).

2018 Q4 (12 results)
FWONK
+815.92%
+2,162,070
+0.33%
$30.70
177.30% $85.13
0.00%
CNI
+504.99%
+8,948,483
+3.32%
$74.12
47.32% $109.20
3.98%
SPGI
+359.03%
+1,596,335
+1.36%
$169.94
200.91% $511.37
1.74%
MCO
+194.49%
+3,948,485
+2.77%
$140.04
241.27% $477.92
4.19%
MSFT
+65.13%
+8,605,697
+4.37%
$101.57
306.49% $412.87
11.09%
CP
+59.52%
+14,618,115
+2.60%
$35.52
111.67% $75.19
6.96%
UNP
+51.29%
+2,610,091
+1.81%
$138.23
72.91% $239.02
5.32%
GOOGL
+13.14%
+1,000,000
+0.26%
$52.25
220.84% $167.63
2.25%
GOOG
+4.75%
+2,526,000
+0.65%
$51.78
226.84% $169.24
14.45%
CHTR
-13.27%
-1,801,430
-2.57%
$284.97
34.69% $383.84
16.78%
NSC
-100.00%
-3,753,454
-3.39%
$180.50
46.40% $264.26
0.00%
PCG
-100.00%
-1,400,611
-0.32%
$46.01
53.86% $21.23
0.00%
2018 Q3 (11 results)
FWONK
buy
+264,987
+0.05%
$37.19
128.90% $85.13
0.05%
CNI
buy
+1,772,000
+0.83%
$89.78
21.63% $109.20
0.83%
PCG
buy
+1,400,611
+0.34%
$46.01
53.86% $21.23
0.00%
UNP
+191.88%
+3,345,294
+2.85%
$162.83
46.79% $239.02
4.34%
CP
+112.50%
+13,001,715
+2.88%
$42.36
77.51% $75.19
5.45%
NSC
+48.47%
+1,225,366
+1.16%
$180.50
46.40% $264.26
0.00%
MCO
+19.94%
+337,569
+0.30%
$167.20
185.84% $477.92
1.78%
CHTR
-0.25%
-34,000
-0.06%
$325.88
17.79% $383.84
23.16%
GOOG
-4.00%
-2,219,240
-0.69%
$59.67
183.61% $169.24
16.63%
MSFT
-4.33%
-598,342
-0.36%
$114.37
261.00% $412.87
7.91%
AABA
-100.00%
-57,057,273
-21.87%
$73.21
-
0.00%
2018 Q2 (11 results)
CP
+2,327.89%
+11,080,750
+1.91%
$36.69
104.95% $75.19
1.99%
UNP
+2,321.43%
+1,671,433
+1.11%
$141.68
68.70% $239.02
1.16%
NSC
+325.96%
+1,934,588
+1.37%
$150.87
75.16% $264.26
1.79%
NWS
+91.74%
+10,617,156
+2.46%
$49.27
34.83% $32.11
5.14%
NWS.A
+60.11%
+42,986,879
+10.04%
$49.69
-
26.75%
CHTR
+28.13%
+2,987,140
+4.12%
$293.21
30.91% $383.84
18.76%
GOOG
+17.50%
+8,260,160
+2.17%
$55.78
203.39% $169.24
14.55%
AABA
-28.48%
-22,716,000
-7.82%
$73.21
-
0.00%
TWX
-100.00%
-7,496,849
-3.33%
$94.58
-
0.00%
CMCSA
-100.00%
-11,897,380
-1.91%
$34.17
27.30% $43.50
0.00%
1856613D
-100.00%
-476,500
-0.26%
$116.69
-
0.00%
2018 Q1 (16 results)
1856613D
buy
+476,500
+0.31%
$116.69
-
0.00%
CP
buy
+476,000
+0.09%
$35.24
113.36% $75.19
0.09%
TWX
+2,268.67%
+7,180,349
+3.78%
$94.58
-
0.00%
NWS
+897.56%
+10,412,545
+2.11%
$36.37
11.71% $32.11
2.34%
NWS.A
+864.44%
+64,100,760
+13.08%
$36.69
-
14.59%
MSFT
+71.23%
+5,745,100
+2.92%
$91.27
352.36% $412.87
7.01%
GOOG
+22.99%
+8,822,300
+2.53%
$51.59
228.05% $169.24
13.54%
CHTR
+6.98%
+692,867
+1.20%
$311.22
23.33% $383.84
18.38%
SPGI
+6.72%
+28,000
+0.03%
$191.06
167.65% $511.37
0.47%
MCO
+1.96%
+32,500
+0.03%
$161.30
196.29% $477.92
1.52%
GOOGL
-1.30%
-100,000
-0.03%
$51.86
223.25% $167.63
2.20%
AABA
-7.16%
-6,150,679
-2.53%
$74.04
-
32.85%
CMCSA
-83.21%
-58,963,191
-11.20%
$34.17
27.30% $43.50
0.00%
UNP
-88.80%
-570,700
-0.43%
$134.43
77.80% $239.02
0.05%
EFX
-100.00%
-50,000
-0.03%
$117.92
114.47% $252.90
0.00%
AMBC
-100.00%
-1,985,785
-0.18%
$15.98
22.97% $12.31
0.00%
50 of 331

Shares, change to shares, sold shares - split-adjusted.

Reported price - this doesn't represent the actual buy or sell price.
It is the split-adjusted price of the security as of the last day of the reported period.

Value or Price - If the security is completely sold out, we show the reported value (or price) prior to the actual period.