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.StockClassValue% of total portfolioSharesPrice per share*
1ALPHABET INCCAP STK CL C6,620,336,00018.02,370,3402792.99
2MICROSOFT CORPCOM5,322,900,00014.417,264,766308.31
3CANADIAN NATL RY COCOM4,921,414,00013.436,699,825134.1
4CANADIAN PAC RY LTDCOM4,608,767,00012.555,860,38582.51
5VISA INCCOM CL A4,418,572,00012.019,924,121221.77
6S&P GLOBAL INCCOM2,798,688,0007.66,823,072410.18
7MOODYS CORPCOM2,458,313,0006.77,285,832337.41
8ALPHABET INCCAP STK CL A1,593,772,0004.3573,0212781.35
9BOSTON PROPERTIES INCCOM1,508,402,0004.111,711,196128.8
10UNION PAC CORPCOM1,434,939,0003.95,252,148273.21
11CHARTER COMMUNICATIONS INC NCL A1,151,840,0003.12,111,453545.52

*Price per share is the stock price on the date of the portfolio.

Leave a Reply

Your email address will not be published.