TCI Fund Management (Chris Hohn)
TCI Fund Management (Chris Hohn) (TCI Fund Management Ltd) reported 11 positions worth $52.77B as of June 30, 2026 (13F filed August 14, 2026). Largest holding: GE (33.6%). Biggest move: exit MSFT ($1.01B).
| # | Symbol | Company | Type | Value ↓ | % Port. | Time Held | Shares | 1Y | YTD |
|---|---|---|---|---|---|---|---|---|---|
| ▸ 1 | GE | SH | $17.73B | 33.59% | 3.5 Years | 47,428,233 | — | — | |
| ▸ 2 | V | SH | $10.46B | 19.83% | 7.3 Years | 30,494,133 | — | — | |
| ▸ 3 | MCO | SH | $6.49B | 12.30% | >10 Years | 14,334,027 | — | — | |
| ▸ 4 | SPGI | SH | $5.74B | 10.87% | 9.5 Years | 14,081,957 | — | — | |
| ▸ 5 | CP | SH | $3.93B | 7.44% | 3.3 Years | 45,325,726 | — | — | |
| ▸ 6 | GOOG | SH | $3.51B | 6.65% | 9 Years | 9,938,819 | — | — | |
| ▸ 7 | FER | SH | $1.43B | 2.72% | 2.3 Years | 20,940,441 | — | — | |
| ▸ 8 | CNI | SH | $1.12B | 2.13% | 8 Years | 9,433,422 | — | — | |
| ▸ 9 | GOOGL | SH | $878.1M | 1.66% | 2 Q | 2,457,000 | — | — | |
| ▸ 10 | MLM | SH | $758.4M | 1.44% | 1 Q | 1,315,109 | — | — |
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Five closest superinvestors by Jaccard overlap of tickers held in the latest quarter (computed nightly).
| Manager | Overlap | Shared holdings |
|---|---|---|
| Valley Forge Capital (Dev Kantesaria) | 20.0% | MCO, SPGI, V |
| Egerton Capital (UK) | 17.2% | MCO, VMC, SPGI, GOOG, V |
| Stockbridge Partners | 16.7% | MLM, VMC, GOOGL, V |
| Cantillon Capital Management | 15.2% | MCO, SPGI, GOOGL, V, CP |
| Himalaya Capital (Li Lu) | 11.8% | GOOG, GOOGL |
Read the 2026-Q2 quarterly report · 13F Filing Calendar
Frequently Asked Questions
What stocks does TCI Fund Management (Chris Hohn) hold as of Q2 2026?
TCI Fund Management (Chris Hohn) reported 11 positions worth $52.77B in its Q2 2026 13F filing. Largest positions: GE (33.6%), V (19.8%), MCO (12.3%), SPGI (10.9%) and CP (7.4%).
What did TCI Fund Management (Chris Hohn) buy in Q2 2026?
No previous quarter is available yet; the comparison appears with the next filing.
What did TCI Fund Management (Chris Hohn) sell in Q2 2026?
No previous quarter is available yet.
13F data shows quarter-end positions, is delayed by up to 45 days and covers only long positions in US-listed securities; short positions, most derivatives and non-US assets are not reported.