Chris Hohn’s TCI Fund Management 13F Portfolio – Q2 2022 Update
TCI Fund Management’s 13F portfolio value decreased from $36.84B to $31.60B in Q2. SP Global was increased substantially while dropping Charter Communications.
Chris Hohn’s TCI Fund Management 13F Portfolio – Q2 2022 Update
TCI Fund Management’s 13F portfolio value decreased from $36.84B to $31.60B in Q2. SP Global was increased substantially while dropping Charter Communications.