Chris Hohn

TCI Fund Management Ltd

Period:  Q3, 2025
Filed Date:  Nov 14, 2025
Reported Date:  Sep 30, 2025
No. of Stocks:  9
Portfolio Value:  52.70B
StockActivityShare Change% Change to protfolio
Q3 2025
Moodys corp
Add 0.46%13308479-0.576
S&p global inc
Add 0.89%11189870-0.763
Visa inc
Add 47.15%280573515.329
Q2 2025
Ferrovial se
Add 0.71%194706660.350

MSFT - Microsoft corp

Add 1.53%175652314.423

MCO - Moody's corp

Add 0.64%132469791.015

SPGI - S&p global inc

Add 7.05%110916231.152

V - Visa inc

Add 14.61%190675581.852
Q1 2025

GE - General electric co

Add 3.42%475709474.263

MSFT - Microsoft corp

Add 23.63%172998811.374
Q4 2024
Ferrovial se
Add 1.25%19333428-0.018

MSFT - Microsoft corp

Add 16.71%139936371.742
Q3 2024

MSFT - Microsoft corp

Add 13.85%119905901.028
Q2 2024

GOOGL - Alphabet inc

Add 397.89%60274102.236
Ferrovial se
Buy190952441.813

GE - General electric co

Add 2.93%48180376-1.362

MCO - Moody's corp

Add 8.59%132467691.909

SPGI - S&p global inc

Add 15.14%104000771.944
Q1 2024

GOOGL - Alphabet inc

Add 669.12%12105910.405

GE - General electric co

Add 12.39%468092157.314

MCO - Moody's corp

Add 1.24%121989110.223
Q4 2023

GOOGL - Alphabet inc

Buy1574000.061

MSFT - Microsoft corp

Buy1063816511.122

MCO - Moody's corp

Add 16.19%120496113.968
Q3 2023