Chris Hohn

TCI Fund Management Ltd

Period:  Q4, 2025
Filed Date:  Feb 17, 2026
Reported Date:  Dec 31, 2025
No. of Stocks:  9
Portfolio Value:  53.65B
Stock% of portfoliioActivitySharesValueRecent Price

GE - General electric co

27.279%47.51M14.63B$308.030

V - Visa inc

18.124%Reduced 1.19%27.72M9.72B$350.710

MSFT - Microsoft corp

15.128%Add 1.14%16.78M8.12B$483.620

MCO - Moody's corp

12.672%13.31M6.80B$510.850

SPGI - S&p global inc

11.485%Add 5.37%11.79M6.16B$522.590

CP - Canadian pacific kansas city ltd

6.540%Reduced 4.43%47.65M3.51B$73.627

GOOG - Alphabet inc

4.443%7.60M2.38B$313.800
Ferrovial se
2.513%Add 6.52%20.74M1.35B$65.002

CNI - Canadian national railway co

1.816%Reduced 47.52%9.85M974.11M$98.896