TCI Fund Management Q3 2021 13F Holdings

TCI Fund Management Q3 2021 holdings
TickerName Value Shares↓ Weighting
GOOG ALPHABET INCcap stk cl c  $7,868,813
6.3%
2,952,3070.0%18.90%
2.4%
CHTR CHARTER COMMUNICATIONS...cl aReduce  $7,536,861
0.6%
10,359,092
-0.3%
18.10%
-3.1%
MSFT MICROSOFT CORPReduce  $4,703,284
-15.2%
16,683,044
-18.6%
11.30%
-18.4%
V VISA INCAdd  $4,441,482
35.1%
19,939,311
41.8%
10.67%
30.1%
CNI CANADIAN NATL RY COAdd  $4,246,357
33.7%
36,699,825
21.9%
10.20%
28.7%
CP CANADIAN PAC RY LTD  $3,640,850
-15.2%
55,860,3850.0%8.74%
-18.4%
MCO MOODYS CORP  $2,330,512
-2.0%
6,562,7900.0%5.60%
-5.6%
SPGI S&P GLOBAL INCReduce  $2,045,182
-14.9%
4,813,438
-17.8%
4.91%
-18.0%
GOOGL ALPHABET INCcap stk cl a  $1,652,292
9.5%
618,0210.0%3.97%
5.4%
BXP BOSTON PROPERTIES INCAdd  $1,407,331
7.4%
12,988,749
13.6%
3.38%
3.5%
UNP UNION PAC CORP  $1,121,414
-10.9%
5,721,2100.0%2.69%
-14.2%
INFO IHS MARKIT LTDNew  $447,7323,839,2421.08%
ARE ALEXANDRIA REAL ESTATE...Add  $199,546
572.9%
1,044,359
540.7%
0.48%
547.3%
KRC KILROY RLTY CORPSold out  $0-120,083-0.02%
  • TCI Fund Management Q3 2021 Portfolio
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  • Quarter
    Q3 2021
  • Total value
    $41.6 Billion
  • Holdings
    13
  • Turnover
    15.4%
  • EDGAR