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 18 security holdings in their (2019 Q3) SEC 13F filing(s) with portfolio value of $21,225,872,000.

What stocks does Bill Gates own?

In Bill Gates's portfolio as of 30 Sep 2019, the top 5 holdings are (BRK.B) BERKSHIRE HATHAWAY INC CL-B (53.82%), (WM) WASTE MANAGEMENT INC (10.10%), (CNI) CANADIAN NATL RAILWAY CO (7.25%), (CAT) CATERPILLAR INC (6.70%) and (WMT) WALMART INC (6.49%).

To see the historical data of Bill & Melinda Gates Foundation Trust's portfolio holdings please click on the "2019 Q3" dropdown menu and select the date.

To see Bill & Melinda Gates Foundation Trust's original 13F reports (2019 Q3), please click on the "important" button.

Portfolio value: $21B+
Period: 2019 Q3
Number of stock: 18
Update: 14 Nov 2019
ARCO
0.10%
3,131,289
$6.57
27.58% $8.38
$20,567,000
BRK.B
53.82%
54,912,525
$208.02
-
$11,422,903,000
+16.64% (+7,833,551)
+7.68%
BYND
0.07%
96,542
$148.62
99.54% $0.68
$14,348,000
buy
+0.07%
CNI
7.25%
17,126,874
$89.86
32.63% $119.18
$1,539,021,000
CAT
6.70%
11,260,857
$126.31
577.82% $856.16
$1,422,359,000
KOF
1.77%
6,214,719
$60.62
-
$376,736,000
CNR
0.00%
13,731
$6.04
1K+% $91.28
$83,000
buy
+0.00%
CCI
3.49%
5,332,900
$139.01
32.82% $93.38
$741,326,000
ECL
4.07%
4,366,426
$198.04
29.77% $256.99
$864,727,000
FDX
2.07%
3,024,999
$145.57
119.31% $319.25
$440,349,000
TV
0.78%
16,879,104
$9.78
-
$165,078,000
LBTYK
0.41%
3,639,349
$23.79
52.21% $11.37
$86,580,000
LBTYA
0.25%
2,119,515
$24.75
52.40% $11.78
$52,458,000
LILA
0.03%
370,424
$17.07
53.95% $7.86
$6,323,000
LILAK
0.05%
636,044
$17.09
53.90% $7.88
$10,873,000
UPS
2.55%
4,525,329
$119.82
13.82% $103.26
$542,225,000
WMT
6.49%
34,809,000
$39.56
204.83% $120.59
$1,377,044,000
WM
10.10%
18,633,672
$115.00
95.03% $224.28
$2,142,872,000
18 of 18

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.