Chris Hohn Holdings Activity

TCI Fund Management Portfolio 13F

TCI Fund Management has disclosed a total of 5 changes to the portfolio in the latest (2024 Q4) SEC report(s): increased the number of shares of 2 and decreased the number of shares of 3 position(s).

What stocks is Chris Hohn buying now?

In the recent quarter Chris Hohn has purchased 2 securities: (MSFT) MICROSOFT CORP (added shares +16.71%) and (FER) FERROVIAL SE (added shares +1.25%).

What does Chris Hohn invest in?

Chris Hohn's top 5 holdings (by % of portfolio) are (GE) GENERAL ELECTRIC CO (18.09%), (MCO) MOODY'S CORP (14.78%), (MSFT) MICROSOFT CORP (13.91%), (V) VISA INC-CLASS A SHARES (12.52%) and (SPGI) S&P GLOBAL INC (12.21%).

In the latest report(s) the following changes have been made to the top investments: (GE) GENERAL ELECTRIC CO (reduced shares -4.53%) and (MSFT) MICROSOFT CORP (added shares +16.71%).

2016 Q4 (4 results)
CMCSA
+22.99%
+13,376,890
+4.86%
$34.53
6.13% $36.64
26.00%
CHTR
+5.90%
+706,191
+2.14%
$287.92
26.65% $364.64
38.42%
MCO
-89.80%
-91,811
-0.09%
$94.27
388.47% $460.46
0.01%
AY
-100.00%
-1,842,903
-0.37%
$19.01
15.67% $21.99
0.00%
2016 Q3 (3 results)
YHOO
+21.09%
+15,017,700
+7.22%
$43.10
-
41.47%
CHTR
+3.28%
+380,219
+1.15%
$269.97
35.07% $364.64
36.07%
AY
-58.33%
-2,579,681
-0.55%
$19.01
15.67% $21.99
0.00%
2016 Q2 (7 results)
AY
buy
+4,422,584
+1.12%
$18.58
18.35% $21.99
1.12%
CHTR
buy
+11,592,824
+36.08%
$228.64
59.48% $364.64
36.08%
YHOO
+394.35%
+56,802,588
+29.04%
$37.56
-
36.41%
CMCSA
+45.48%
+18,189,294
+8.07%
$32.60
12.41% $36.64
25.82%
BIDU
-100.00%
-1,194,094
-3.10%
$190.88
51.89% $91.83
0.00%
TWC
-100.00%
-16,126,180
-44.92%
$204.62
-
0.00%
ABY
-100.00%
-4,422,584
-1.07%
$17.78
-
0.00%
2016 Q1 (6 results)
YHOO
buy
+14,403,985
+9.82%
$36.81
-
9.82%
BIDU
+2.78%
+32,261
+0.11%
$190.88
51.89% $91.83
0.00%
CMCSA
-0.64%
-257,400
-0.15%
$30.54
19.97% $36.64
22.62%
TWC
-0.66%
-107,352
-0.41%
$204.62
-
0.00%
MCO
-96.67%
-2,965,316
-5.30%
$96.56
376.87% $460.46
0.18%
AXP
-100.00%
-2,725,004
-3.51%
$69.55
282.43% $265.98
0.00%
2015 Q4 (6 results)
ABY
buy
+4,422,584
+1.71%
$19.29
-
1.71%
TWC
-2.21%
-366,255
-1.37%
$185.59
-
60.51%
CMCSA
-3.61%
-1,508,000
-0.85%
$28.22
29.86% $36.64
22.81%
BIDU
-20.76%
-304,393
-1.16%
$189.04
51.42% $91.83
4.41%
MCO
-21.23%
-826,549
-1.67%
$100.34
358.90% $460.46
6.18%
AXP
-32.38%
-1,304,788
-1.82%
$69.55
282.43% $265.98
0.00%
2015 Q3 (3 results)
BIDU
buy
+1,466,226
+3.97%
$137.41
33.17% $91.83
3.97%
AXP
+199.37%
+2,683,723
+3.92%
$74.13
258.80% $265.98
5.88%
CMCSA
+55.29%
+14,867,998
+8.33%
$28.44
28.83% $36.64
23.40%
29 of 336

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.