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  Canadian Pacific Kansas City Ltd. (CP)
Period Shares % of Portfolio Activity % Change to Portfolio Reported Price Value Filing
2026   Q1 46,521,923 8.10 Reduce 2.38% 0.16 $78.66 $3,659,637,907 SEC
2025   Q4 47,654,423 6.54 Reduce 4.43% 0.31 $73.63 $3,508,630,329 SEC
2025   Q3 49,865,735 7.05 Reduce 5.61% 0.46 $74.47 $3,713,514,827 SEC
2025   Q2 52,826,885 8.26 Reduce 3.80% 0.34 $79.29 $4,188,853,262 SEC
2025   Q1 54,913,285 8.89 $70.19 $3,854,575,745 SEC
2024   Q4 54,913,285 9.37 $72.36 $3,973,526,128 SEC
2024   Q3 54,913,285 10.67 $85.53 $4,696,733,365 SEC
2024   Q2 54,913,285 10.57 $78.75 $4,324,450,705 SEC
2024   Q1 54,913,285 12.21 Reduce 1.08% 0.13 $88.19 $4,842,877,121 SEC
2023   Q4 55,514,385 12.21 Reduce 0.62% 0.09 $79.14 $4,393,255,694 SEC
2023   Q3 55,860,385 15.06 $74.33 $4,151,920,207 SEC
2023   Q2 55,860,385 13.41 Buy 13.41 $80.80 $4,513,334,435 SEC