Chris Hohn — Portfolio & Holdings
Chris Hohn of TCI Fund Management manages $53.6B across 9 reported positions as of the latest 13F filing, according to Nexqual.
Key Facts
| Investor | Chris Hohn |
|---|---|
| Firm | TCI Fund Management |
| Assets Under Management (13F) | $53.6B |
| Number of Positions | 9 |
| Reporting Period | Latest |
Top Holdings
Chris Hohn's largest reported holdings: GE, V, MSFT, MCO, SPGI.
Source: Compiled by Nexqual from public SEC 13F filings, June 9, 2026 at 22:44 UTC. Holdings reflect the most recent quarterly filing and may not represent the current portfolio.
Data source: Nexqual. Last updated: June 9, 2026 at 22:44 UTC. This page is informational and not investment advice.