TCI Fund Management Q2 2021 13F Holdings

TCI Fund Management Q2 2021 holdings
TickerName Value Shares↓ Weighting
CHTR CHARTER COMMUNICATIONS...cl aAdd  $7,492,568
18.4%
10,385,430
1.3%
18.69%
1.7%
GOOG ALPHABET INCcap stk cl c  $7,399,426
21.2%
2,952,3070.0%18.45%
4.1%
MSFT MICROSOFT CORP  $5,548,954
14.9%
20,483,4050.0%13.84%
-1.3%
CP CANADIAN PAC RY LTDAdd  $4,295,203
0.8%
55,860,385
400.0%
10.71%
-13.4%
V VISA INC  $3,287,016
10.4%
14,057,8900.0%8.20%
-5.1%
CNI CANADIAN NATL RY COAdd  $3,176,525
31.8%
30,107,803
44.9%
7.92%
13.2%
SPGI S&P GLOBAL INC  $2,402,553
16.3%
5,853,4600.0%5.99%
-0.1%
MCO MOODYS CORP  $2,378,158
21.4%
6,562,7900.0%5.93%
4.2%
GOOGL ALPHABET INCcap stk cl a  $1,509,077
18.4%
618,0210.0%3.76%
1.7%
BXP BOSTON PROPERTIES INCAdd  $1,310,038
47.8%
11,432,392
30.6%
3.27%
27.0%
UNP UNION PAC CORPReduce  $1,258,266
-5.1%
5,721,210
-4.9%
3.14%
-18.5%
ARE ALEXANDRIA REAL ESTATE...New  $29,656163,0000.07%
KRC KILROY RLTY CORPNew  $8,363120,0830.02%
KLAC KLA CORPSold out  $0-30,600-0.03%
LRCX LAM RESEARCH CORPSold out  $0-17,300-0.03%
  • TCI Fund Management Q2 2021 Portfolio
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  • Quarter
    Q2 2021
  • Total value
    $40.1 Billion
  • Holdings
    13
  • Turnover
    30.8%
  • EDGAR