StockScan > Holders > Tci Fund Management

Tci Fund Management's Portfolio and 13F Filing

Value: $23.11B
CIK: 0001647251
Phone: 44-20-7440-2330
Address: 7 Clifford Street, London, X0 (W1S2FT)
Latest 13F Filing: 2020-10-01
Tci Fund Management's Stock Holdings & 13F Form
# Stock Name Symbol Current Price

Previous Holdings

(# Shares)

Current Holdings

(# Shares)

Current Value Percent
1 Microsoft Corporation MSFT $420.21 N/A 14,455,440 $6,074,320,442 26.28%
2 Visa Inc. V $280.10 N/A 11,215,385 $3,141,429,339 13.59%
3 Charter Communications, Inc. CHTR $273.02 N/A 10,444,772 $2,851,631,651 12.34%
4 Moody's Corporation MCO $413.92 N/A 6,793,240 $2,811,857,901 12.17%
5 Canadian National Railway Compa CNI $127.34 N/A 21,002,370 $2,674,441,796 11.57%
6 Union Pacific Corporation UNP $244.97 N/A 6,016,539 $1,473,871,559 6.38%
7 Raytheon Technologies Corporation RTX $104.18 N/A 11,551,993 $1,203,486,631 5.21%
8 S&P Global Inc. SPGI $441.88 N/A 2,424,946 $1,071,535,138 4.64%
9 Canadian Pacific Railway Limite CP $82.06 N/A 11,243,124 $922,610,755 3.99%
10 Alphabet Inc. GOOG $177.29 N/A 2,984,174 $529,064,208 2.29%
11 Alphabet Inc. GOOGL $176.06 N/A 618,021 $108,808,777 0.47%
12 Vornado Realty Trust VNO $24.73 N/A 4,189,142 $103,597,482 0.45%
13 Boston Properties, Inc. BXP $63.20 N/A 1,540,193 $97,340,198 0.42%
14 Mastercard Incorporated MA $460.27 N/A 97,450 $44,853,312 0.19%
15 Adobe Inc. ADBE $483.43 N/A 3,430 $1,658,165 0.01%
16 Autodesk, Inc. ADSK $221.21 N/A 5,000 $1,106,050 0.00%
17 Amazon.com, Inc. AMZN $184.70 N/A 5,700 $1,052,790 0.00%
18 Univar Inc. UNVR $0.00 N/A 12,632,780 $0 0.00%