Chris Hohn

TCI Fund Management Ltd

Period:  Q4, 2024
Filed Date:  Feb 14, 2025
Reported Date:  Dec 31, 2024
No. of Stocks:  10
Portfolio Value:  42.41B
Stock% of portfoliioActivitySharesValueRecent Price

GE - General electric co

18.089%Reduced 4.53%46.00M7.67B$166.790

MCO - Moody's corp

14.784%13.25M6.27B$473.370

MSFT - Microsoft corp

13.907%Add 16.71%13.99M5.90B$421.500

V - Visa inc

12.516%16.80M5.31B$316.040

SPGI - S&p global inc

12.212%10.40M5.18B$498.030

GOOG - Alphabet inc

7.412%Reduced 2.48%16.51M3.14B$190.440

CNI - Canadian national railway co

7.105%Reduced 16.21%29.69M3.01B$101.491

GOOGL - Alphabet inc

2.690%6.03M1.14B$189.300
Ferrovial se
1.916%Add 1.25%19.33M812.72M$42.037