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
Stock% of portfoliioActivitySharesValueRecent Price

GE - General electric co

27.120%47.51M14.29B$300.820

V - Visa inc

18.175%Add 47.15%28.06M9.58B$341.380

MSFT - Microsoft corp

16.307%Reduced 5.54%16.59M8.59B$517.950

MCO - Moody's corp

12.033%Add 0.46%13.31M6.34B$476.480

SPGI - S&p global inc

10.334%Add 0.89%11.19M5.45B$486.710

CP - Canadian pacific kansas city ltd

7.047%Reduced 5.61%49.87M3.71B$74.470

GOOG - Alphabet inc

3.511%Reduced 41.41%7.60M1.85B$243.550

CNI - Canadian national railway co

3.358%Reduced 18.36%18.77M1.77B$94.293
Ferrovial se
2.115%19.47M1.11B$57.238