Chris Hohn - TCI Fund Management Ltd
Period:    Q1 2026
Portfolio date:    31 Mar 2026
No. of stocks:    10
Portfolio value:    $45,170,870,798
Holdings Activity Buys Sells    History
Holding/activity history for  Comcast Corp. (CMCSA)
Period Shares % of Portfolio Activity % Change to Portfolio Reported Price Value Filing
2018   Q2 0 0.00 Sell 100.00% 2.26 SEC
2018   Q1 11,897,380 2.26 Reduce 83.21% 14.65 $34.17 $406,533,000 SEC
2017   Q4 70,860,571 17.60 Reduce 22.93% 5.61 $40.05 $2,837,966,000 SEC
2017   Q3 91,942,165 24.48 Add 0.41% 0.10 $38.48 $3,537,935,000 SEC
2017   Q2 91,565,333 26.84 Add 0.79% 0.21 $38.92 $3,563,723,000 SEC
2017   Q1 90,848,233 29.17 Add 153.90% 17.68 $37.59 $3,414,985,000 SEC
2016   Q4 35,780,552 26.00 Add 22.99% 4.86 $69.05 $2,470,647,000 SEC
2016   Q3 29,092,107 21.54 $66.34 $1,929,970,000 SEC
2016   Q2 29,092,107 25.82 Add 45.48% 8.07 $65.19 $1,896,514,000 SEC
2016   Q1 19,997,460 22.96 Reduce 0.64% 0.15 $61.08 $1,221,445,000 SEC
2015   Q4 20,126,160 23.21 Reduce 3.61% 0.85 $56.43 $1,135,719,000 SEC
2015   Q3 20,880,160 23.40 Add 55.29% 8.33 $56.88 $1,187,664,000 SEC
2015   Q2 13,446,161 18.70 $60.14 $808,652,000 SEC