Bill Gates's Portfolio

Bill & Melinda Gates Foundation Trust 13F holdings

What is Bill Gates's portfolio?

Bill & Melinda Gates Foundation Trust has disclosed a total of 23 security holdings in their (2023 Q2) SEC 13F filing(s) with portfolio value of $42,060,666,208.

What stocks does Bill Gates own?

In Bill Gates's portfolio as of 30 Jun 2023, the top 5 holdings are (MSFT) MICROSOFT CORP (31.79%), (BRK.B) BERKSHIRE HATHAWAY INC CL-B (20.38%), (CNI) CANADIAN NATL RAILWAY CO (15.78%), (WM) WASTE MANAGEMENT INC (14.53%) and (CAT) CATERPILLAR INC (4.30%).

To see the historical data of Bill & Melinda Gates Foundation Trust's portfolio holdings please click on the "2023 Q2" dropdown menu and select the date.

To see Bill & Melinda Gates Foundation Trust's original 13F reports (2023 Q2), please click on the "important" button.

Portfolio value: $42B+
Period: 2023 Q2
Number of stock: 23
Update: 14 Aug 2023
BUD
0.23%
1,703,000
$56.72
13.21% $64.21
$96,594,160
buy
+0.23%
BRK.B
20.38%
25,142,853
$341.00
20.84% $412.05
$8,573,712,873
+27.69% (+5,453,008)
+4.42%
CNI
15.78%
29,880,598
$121.07
5.24% $127.42
$3,617,644,044
CVNA
0.03%
520,000
$25.92
351.39% $117.00
$13,478,400
CAT
4.30%
7,353,614
$246.05
44.19% $354.79
$1,809,356,725
KOF
1.23%
3,293,801
$83.31
19.90% $99.89
$274,406,567
CPNG
0.38%
9,248,045
$17.40
29.31% $22.50
$160,915,983
CCI
0.38%
1,420,072
$113.94
12.66% $99.51
$161,803,004
DHR
0.21%
192,095
$240.00
5.58% $253.38
$46,102,800
DE
3.77%
3,917,693
$405.19
0.67% $407.89
$1,587,410,027
ECL
2.32%
5,218,044
$186.69
25.08% $233.52
$974,156,634
FDX
0.90%
1,534,362
$247.90
7.19% $265.73
$380,368,340
HRL
0.21%
2,195,290
$40.22
11.41% $35.63
$88,294,564
KHC
0.22%
2,622,600
$35.50
2.08% $36.24
$93,102,300
MSGS
0.26%
583,519
$188.05
0.52% $189.03
$109,730,918
MSFT
31.79%
39,264,670
$340.54
21.79% $414.74
$13,371,190,722
ONON
0.04%
500,000
$33.00
7.88% $30.40
$16,500,000
SDGR
0.83%
6,772,214
$49.92
54.47% $22.73
$338,068,926
UPS
0.32%
740,689
$179.25
17.79% $147.37
$132,768,503
VRM
0.01%
2,500,000
$1.44
761.11% $12.40
$3,600,000
20 of 23

Shares, change to shares, sold shares - split-adjusted.

Reported price - this doesn't represent the actual buy or sell price.
It is the split-adjusted price of the security as of the last day of the reported period.