Bill Gates

Gates Foundation Trust

Bill Gates (Gates Foundation Trust) is tracked through public portfolio filings, disclosed holdings, and institutional investment activity. This Bill Gates (Gates Foundation Trust) portfolio page tracks Gates Foundation Trust holdings, stock picks, latest portfolio moves, and historical 13F filing changes so readers can see which public companies Gates Foundation Trust owns and how disclosed positions change over time. Bill Gates (Gates Foundation Trust)'s public portfolio can help investors study position sizing, sector exposure, concentration, new buys, trims, exits, and the market themes behind reported capital allocation decisions. Top disclosed holdings and portfolio changes shown on this page include Microsoft Corp (MSFT), Berkshire Hathaway Inc. (BRK-B), Caterpillar, Inc. Common Stock (CAT), Deere & Company Common Stock (DE), and Canadian National Railway Co (2) (CNI). Investors use Gates Foundation Trust 13F filings to study portfolio concentration, new buys, trims, exits, sector exposure, and the market evidence behind the latest disclosed holdings.

Latest Trades

CompanyValueActionChangePriceCurrent Price
Microsoft CorpMSFT$-3.7BExitQ1 2026 13F$3.7B$418.44$372.97
Berkshire Hathaway Inc.BRK-B$8.2B17M sharesTrimQ1 2026 13F$1.6B$490.90$498.66
Caterpillar, Inc. Common StockCAT$4.5B6.4M sharesAddQ1 2026 13F$861M$723.66$915.64
Deere & Company Common StockDE$2.0B3.6M sharesAddQ1 2026 13F$348M$597.54$573.66
Canadian National Railway Co (2)CNI$5.3B51.8M sharesAddQ1 2026 13F$203M$106.04$120.81
FedEx CorporationFDX$849M2.4M sharesAddQ1 2026 13F$161M$295.96$316.83
Walmart IncWMT$1.0B8.4M sharesAddQ1 2026 13F$108M$122.77$115.69
Schrödinger, Inc.SDGR$79M7M sharesTrimQ1 2026 13F$46M$11.36$13.24
Coupang, Inc. Class A Common StockCPNG$175M9.2M sharesTrimQ1 2026 13F$44M$18.74$17.58
Madison Square Garden Sports Corp.MSGS$190M592.4k sharesAddQ1 2026 13F$37M$321.40$366.33
Waste Connections, Inc. Common SharesWCN$331M2M sharesTrimQ1 2026 13F$26M$165.45$153.71
Ecolab IncECL$1.4B5.2M sharesAddQ1 2026 13F$18M$285.25$257.41
COCA COLA FEMSA SAB DE CVKOF$606M6.2M sharesAddQ1 2026 13F$18M$97.55$109.90
Danaher CorpDHR$71M373k sharesTrimQ1 2026 13F$15M$200.33$183.53
West Pharmaceutical Services IncWST$111M444.5k sharesTrimQ1 2026 13F$11M$250.64$312.71
Anheuser-Busch InBev SA/NVBUD$118M1.7M sharesAddQ1 2026 13F$9.1M$74.37$78.66
ON HOLDING AGONON$17M500k sharesTrimQ1 2026 13F$6.2M$45.29$39.62
PACCAR IncPCAR$116M1M sharesAddQ1 2026 13F$6.0M$120.68$118.44
Waste Management, Inc.WM$6.4B27.6M sharesTrimQ1 2026 13F$5.2M$233.87$216.14
The Kraft Heinz CoKHC$56M2.5M sharesTrimQ1 2026 13F$4.4M$23.52$23.70
Hormel Foods CorporationHRL$47M2.1M sharesTrimQ1 2026 13F$2.2M$22.65$20.96
McDonald's CorpMCD$104M334.9k sharesAddQ1 2026 13F$1.7M$323.45$277.78
VERALTO CORPVLTO$11M124.3k sharesTrimQ1 2026 13F$1.4M$98.72$84.46