Chris Hohn

TCI Fund Management Ltd

Period:  Q1, 2026
Filed Date:  May 15, 2026
Reported Date:  Mar 31, 2026
No. of Stocks:  10
Portfolio Value:  45.17B
Stock% of portfoliioActivitySharesValueRecent Price

GE - General electric co

29.847%47.51M13.48B$283.770

V - Visa inc

20.386%Add 9.90%30.47M9.21B$302.240

MCO - Moody's corp

13.843%Add 7.71%14.33M6.25B$436.250

SPGI - S&p global inc

13.216%Add 19.04%14.04M5.97B$425.340

CP - Canadian pacific kansas city ltd

8.102%Reduced 2.38%46.52M3.66B$78.665

GOOG - Alphabet inc

5.623%Add 16.55%8.85M2.54B$286.860
Ferrovial se
2.940%20.74M1.33B$64.027

CNI - Canadian national railway co

2.243%9.85M1.01B$102.864

MSFT - Microsoft corp

2.236%Reduced 83.74%2.73M1.01B$370.170

GOOGL - Alphabet inc

1.564%Buy2.46M706.53M$287.560