Chris Hohn

TCI Fund Management Ltd

Period:  Q3, 2024
Filed Date:  Nov 14, 2024
Reported Date:  Sep 30, 2024
No. of Stocks:  10
Portfolio Value:  44.02B
Stock% of portfoliioActivitySharesValueRecent Price

GE - General electric co

20.640%48.18M9.09B$188.580

MCO - Moody's corp

14.281%13.25M6.29B$474.590

SPGI - S&p global inc

12.205%10.40M5.37B$516.620

MSFT - Microsoft corp

11.721%Add 13.85%11.99M5.16B$430.300

CP - Canadian pacific kansas city ltd

10.669%54.91M4.70B$85.530

V - Visa inc

10.491%16.80M4.62B$274.950

CNI - Canadian national railway co

9.428%Reduced 10.26%35.44M4.15B$117.118

GOOG - Alphabet inc

6.429%16.93M2.83B$167.190

GOOGL - Alphabet inc

2.271%6.03M999.65M$165.850
Ferrovial se
1.863%19.10M820.31M$42.959