Chris Hohn TCI Fund Management Portfolio Update: March 2026

Chris Hohn's TCI Fund Management portfolio, as of March 31, 2026, totals $45.2 billion with significant changes in holdings like Visa and S&P Global.

By AI Generated.May 16, 2026, 7:00 AM
Chris Hohn TCI Fund Management Portfolio Update: March 2026

Chris Hohn's TCI Fund Management portfolio, valued at $45.2 billion as of March 31, 2026, shows notable shifts in its top holdings.

The fund increased its stake in Visa (V) by 9.9%, Moody's Corporation (MCO) by 7.71%, and S&P Global (SPGI) by 19.04%. Conversely, positions in Canadian Pacific Kansas City (CP) decreased by 2.38%, Alphabet (GOOG) by 22.13%, and Microsoft (MSFT) significantly by 83.74%. Other major holdings like Alphabet (GOOGL) also saw a reduction. For detailed information on Chris Hohn's investment activities, visit TCI Fund Management. For insights into specific stock holdings, explore Visa, Moody's Corporation, S&P Global, Canadian Pacific Kansas City, Alphabet, and Microsoft.