Chris Hohn - TCI Fund Management 13F Activity & Position Changes (Q2 2017)

As of Jun 30, 2017, the TCI Fund Management portfolio activity showed several notable changes in holdings, according to the latest SEC 13F filing reported on May 15, 2026. The activity included new positions, additions to existing holdings, reductions, and complete exits, providing a clear view of how the portfolio evolved during the quarter.

During Q2 2017, the filing reported:

Reductions - None reported
Complete Exits - None reported

These updates highlight how the portfolio adjusted across different sectors and market conditions, offering insights into allocation shifts and investment trends.

Date Symbol Type Change Qty
Q2 2017
CHTR
Charter Communications, Inc.
Buy
+1,170,578
Q2 2017
CMCSA
Comcast Corporation
Buy
+717,100
Q2 2017
MCO
Moody's Corporation
Buy
+841,370
Q2 2017
NSC
Norfolk Southern Corporation
Buy - Position Entry
+283,000
Q2 2017
SPGI
S&P Global Inc.
Buy
+307,800
Q2 2017
UNP
Union Pacific Corporation
Buy - Position Entry
+200,000