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SPGI is 10.87% of Chris Hohn's portfolio as of 2026 Q2, a stake worth $5.74B.

Holds 14,081,957 shares worth $5.74B.
Published · Based on SEC filings

Low impact
Outsized position
2026 Q2

S&P Global Inc (SPGI) is 10.87% of Chris Hohn's TCI Fund Management portfolio as of June 30, 2026, according to the 13F-HR filed with the SEC on August 14, 2026: 14.1M shares worth about $5.7B, the 4th largest of 11 stock positions. Chris Hohn added 0% to the share count in 2026 Q2.

What did the 2026 Q2 filing report for SPGI?

As of June 30, 2026, from the 13F-HR filed August 14, 2026.

Value
Portfolio weight 10.87%
Shares 14.1M
Reported value $5.7B
Rank in portfolio 4th of 11
Largest holding GE at 33.59%
Top three holdings 65.72% of the book
Change this quarter +0% shares

How concentrated is Chris Hohn in SPGI?

SPGI at 10.87% is 1.2 times the average stock position in the Chris Hohn portfolio, which is 9%. The largest holding is GE at 33.59%. The three largest stocks together are 65.72% of the reported book. A quarter earlier SPGI was 13.22% of the book.

Where does SPGI sit in the Chris Hohn portfolio?

SPGI ranks 4th of 11 stock positions in the Chris Hohn portfolio at 10.87%, about the fund's average stock position of 9%. The SPGI addition was the 8th largest of the quarter's 10 position changes by percent change to portfolio. Across the 2026 Q2 portfolio, Chris Hohn reported 11 stock positions, with 2 opened and 1 closed. The total portfolio value is about $52.8B, up 17% from the prior quarter.

Chris Hohn top holdings, 2026 Q2

How long has Chris Hohn held SPGI?

Chris Hohn first reported SPGI in the quarter ended March 31, 2017. The weight peaked at 13.22% in 2026 Q1. Last quarter the fund added to the position by 19%. Every reported trade is on the Chris Hohn SPGI trade history page.

Chris Hohn shares of SPGI by quarter

Did other funds buy or sell SPGI in 2026 Q2?

Among the other tracked funds that had filed for 2026 Q2 as of August 14, 2026, 13 hold SPGI. Of those, 5 opened it this quarter. Another 2 sold out of it. The largest buyers of SPGI this quarter were Eagle Capital Management, Bill Ackman and Nathaniel Simons. The largest sellers were Dev Kantesaria, William Von Mueffling and Parnassus Endeavor Fund. Every tracked holder of SPGI is on the SPGI ownership page.

FAQ

What share of the Chris Hohn portfolio is SPGI?

SPGI is 10.87% of the Chris Hohn portfolio as of 2026 Q2, the 4th largest of 11 stock positions.

What is the SPGI stake of Chris Hohn worth?

Chris Hohn holds 14.1M shares of SPGI, worth about $5.7B at June 30, 2026 prices, 10.87% of the reported portfolio.

What are the largest holdings of Chris Hohn?

The largest stock positions of Chris Hohn as of 2026 Q2 are GE (33.59%), V (19.83%) and MCO (12.3%), together 65.72% of the book.

Did Chris Hohn's TCI Fund Management change its SPGI position in 2026 Q2?

Chris Hohn added 0% to the share count in 2026 Q2.

Source: based on original SEC filings

Figures are from the fund's 13F, which lists long US-listed positions at quarter-end prices. Cash, short positions and most non-US holdings are not reported.
Stocks mentioned
Amelia Ingram
Amelia Ingram
Valuesider analyst