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 20 security holdings in their (2022 Q2) SEC 13F filing(s) with portfolio value of $17,683,289,000.

What stocks does Bill Gates own?

In Bill Gates's portfolio as of 30 Jun 2022, the top 5 holdings are (BRK.B) BERKSHIRE HATHAWAY INC CL-B (53.56%), (WM) WASTE MANAGEMENT INC (16.12%), (CAT) CATERPILLAR INC (7.43%), (CNI) CANADIAN NATL RAILWAY CO (6.54%) and (ECL) ECOLAB INC (3.80%).

To see the historical data of Bill & Melinda Gates Foundation Trust's portfolio holdings please click on the "2022 Q2" dropdown menu and select the date.

To see Bill & Melinda Gates Foundation Trust's original 13F reports (2022 Q2), please click on the "important" button.

Portfolio value: $17B+
Period: 2022 Q2
Number of stock: 20
Update: 15 Aug 2022
BRK.B
53.56%
34,689,845
$273.02
-
$9,471,021,000
+20.93% (+6,003,166)
+9.27%
CNI
6.54%
10,278,630
$112.47
6.19% $119.43
$1,156,038,000
-21.33% (-2,787,539)
-1.77%
CVNA
0.07%
520,000
$22.58
208.18% $69.59
$11,742,000
buy
+0.07%
CAT
7.43%
7,353,614
$178.76
393.79% $882.70
$1,314,532,000
KOF
1.94%
6,214,719
$55.28
-
$343,550,000
CPNG
0.41%
5,714,285
$12.75
24.55% $15.88
$72,857,000
CCI
1.35%
1,420,072
$168.38
45.24% $92.21
$239,112,000
DE
1.52%
899,655
$299.47
91.45% $573.34
$269,420,000
ECL
3.80%
4,366,427
$153.76
69.22% $260.20
$671,382,000
FDX
0.69%
534,362
$226.71
42.50% $323.07
$121,145,000
MSGS
0.51%
592,406
$151.00
157.19% $388.36
$89,453,000
+112.98% (+314,259)
+0.27%
MSFT
1.37%
944,620
$256.83
56.77% $402.63
$242,607,000
ONON
0.05%
500,000
$17.69
115.60% $38.14
$8,845,000
SAFM
0.64%
524,236
$215.53
-
$112,989,000
SDGR
1.04%
6,981,664
$26.41
45.13% $14.49
$184,386,000
UPS
0.76%
740,689
$182.54
42.38% $105.18
$135,205,000
VRM
0.02%
2,500,000
$1.25
548.80% $8.11
$3,125,000
buy
+0.02%
WMT
2.08%
9,062,577
$40.53
193.68% $119.02
$367,276,000
WM
16.12%
18,633,672
$152.98
45.93% $223.24
$2,850,579,000
WEBR
0.10%
2,500,000
$7.21
-
$18,025,000
20 of 20

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.