Chris Hohn (Tci Fund Management) Portfolio March 31, 2021
Chris Hohn, revealed in a recent regulatory filing his newest positions. In his Tci Fund Management Ltd’s portfolio you can find the top 11 holdings based on Hohn’s 13F filings as of March 31, 2021.
|No.||Stock||Class||Value||% of total portfolio||Shares||Price per share*|
|1||ALPHABET INC||CAP STK CL C||6,620,336,000||18.0||2,370,340||2792.99|
|3||CANADIAN NATL RY CO||COM||4,921,414,000||13.4||36,699,825||134.1|
|4||CANADIAN PAC RY LTD||COM||4,608,767,000||12.5||55,860,385||82.51|
|5||VISA INC||COM CL A||4,418,572,000||12.0||19,924,121||221.77|
|6||S&P GLOBAL INC||COM||2,798,688,000||7.6||6,823,072||410.18|
|8||ALPHABET INC||CAP STK CL A||1,593,772,000||4.3||573,021||2781.35|
|9||BOSTON PROPERTIES INC||COM||1,508,402,000||4.1||11,711,196||128.8|
|10||UNION PAC CORP||COM||1,434,939,000||3.9||5,252,148||273.21|
|11||CHARTER COMMUNICATIONS INC N||CL A||1,151,840,000||3.1||2,111,453||545.52|
*Price per share is the stock price on the date of the portfolio.