Chris Hohn - TCI Fund Management
Holding/activity history for  S&P Global Inc. (SPGI)
Period | Shares | % of Portfolio | Activity | % Change to Portfolio | Reported Price |
2024   Q3 | 10,400,077 | 12.21 | $516.62 | ||
2024   Q2 | 10,400,077 | 11.33 | Add 15.14% | 1.49 | $446.00 |
2024   Q1 | 9,032,611 | 9.69 | $425.45 | ||
2023   Q4 | 9,032,611 | 11.06 | Reduce 0.29% | 0.03 | $440.52 |
2023   Q3 | 9,058,611 | 12.01 | Reduce 2.90% | 0.36 | $365.41 |
2023   Q2 | 9,329,611 | 11.11 | $400.89 | ||
2023   Q1 | 9,329,611 | 11.01 | Add 1.58% | 0.17 | $344.77 |
2022   Q4 | 9,184,573 | 10.28 | Add 4.75% | 0.47 | $334.94 |
2022   Q3 | 8,768,321 | 9.37 | $305.35 | ||
2022   Q2 | 8,768,321 | 9.35 | Add 28.51% | 2.07 | $337.06 |
2022   Q1 | 6,823,072 | 7.60 | Add 82.08% | 3.43 | $410.18 |
2021   Q4 | 3,747,284 | 3.98 | Reduce 22.15% | 1.13 | $471.93 |
2021   Q3 | 4,813,438 | 4.91 | Reduce 17.77% | 1.06 | $424.89 |
2021   Q2 | 5,853,460 | 5.99 | $410.45 | ||
2021   Q1 | 5,853,460 | 6.00 | Add 147.79% | 3.58 | $352.87 |
2020   Q4 | 2,362,294 | 2.55 | $328.73 | ||
2020   Q3 | 2,362,294 | 3.06 | Reduce 2.58% | 0.08 | $360.60 |
2020   Q2 | 2,424,946 | 3.17 | $329.48 | ||
2020   Q1 | 2,424,946 | 2.82 | Add 22.32% | 0.51 | $245.05 |
2019   Q4 | 1,982,414 | 2.39 | $273.05 | ||
2019   Q3 | 1,982,414 | 2.52 | $244.98 | ||
2019   Q2 | 1,982,414 | 2.44 | $227.79 | ||
2019   Q1 | 1,982,414 | 2.73 | Reduce 2.87% | 0.08 | $210.55 |
2018   Q4 | 2,040,954 | 1.74 | Add 359.03% | 1.36 | $169.94 |
2018   Q3 | 444,619 | 0.45 | $195.39 | ||
2018   Q2 | 444,619 | 0.43 | $203.89 | ||
2018   Q1 | 444,619 | 0.47 | Add 6.72% | 0.03 | $191.06 |
2017   Q4 | 416,619 | 0.44 | $169.40 | ||
2017   Q3 | 416,619 | 0.45 | Reduce 15.10% | 0.08 | $156.31 |
2017   Q2 | 490,729 | 0.54 | Add 168.26% | 0.34 | $145.99 |
2017   Q1 | 182,929 | 0.20 | Buy | 0.20 | $130.74 |