TCI Fund Management Q1 2021 13F Holdings

TCI Fund Management Q1 2021 holdings
TickerName Value Shares↓ Weighting
CHTR CHARTER COMMUNICATIONS...cl aReduce  $6,326,233
-8.1%
10,252,881
-1.5%
18.37%
-18.7%
GOOG ALPHABET INCcap stk cl c  $6,107,231
18.1%
2,952,3070.0%17.73%
4.5%
MSFT MICROSOFT CORPAdd  $4,829,372
51.7%
20,483,405
43.1%
14.02%
34.2%
CP CANADIAN PAC RY LTD  $4,260,709
10.0%
11,172,0770.0%12.37%
-2.7%
V VISA INC  $2,976,477
-3.2%
14,057,8900.0%8.64%
-14.4%
CNI CANADIAN NATL RY CO  $2,410,839
5.6%
20,773,4180.0%7.00%
-6.6%
SPGI S&P GLOBAL INCAdd  $2,065,510
166.0%
5,853,460
147.8%
6.00%
135.4%
MCO MOODYS CORPAdd  $1,959,715
3.0%
6,562,790
0.1%
5.69%
-8.8%
UNP UNION PAC CORP  $1,326,105
5.9%
6,016,5390.0%3.85%
-6.3%
GOOGL ALPHABET INCcap stk cl a  $1,274,681
17.7%
618,0210.0%3.70%
4.1%
BXP BOSTON PROPERTIES INCAdd  $886,393
12.1%
8,753,638
4.7%
2.57%
-0.8%
LRCX LAM RESEARCH CORPNew  $10,29817,3000.03%
KLAC KLA CORPNew  $10,11030,6000.03%
AMZN AMAZON COM INCSold out  $0-2,800-0.03%
VNO VORNADO RLTY TRsh ben intSold out  $0-4,904,776-0.60%