Bill & Melinda Gates Foundation Trust
As of Q1 2026, this manager reported 22 long-equity positions worth $31.67B in aggregate.
As of Q1 2026, Bill & Melinda Gates Foundation Trust's Bill & Melinda Gates Foundation Trust held 22 long-equity positions with a reported value of $31.67B.
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Updated 2026-05-10 from SEC 13F data.
Live quotes available for 72 of 74 rows. Rows without a quote are marked unavailable.
| 1 | MSFT | MICROSOFT CORP | 31.88% | Add +0.1% | 39,286,170 | $12.4B | $315.75 | |
| 2 | BRK-B | BERKSHIRE HATHAWAY INC DEL | 20.28% | Reduce -10.4% | 22,529,601 | $7.89B | $350.30 | |
| 3 | CNI | CANADIAN NATL RY CO | 15.26% | - | 54,826,786 | $5.94B | $108.33 | |
| 4 | WM | WASTE MGMT INC DEL | 13.80% | - | 35,234,344 | $5.37B | $152.44 | |
| 5 | CAT | CATERPILLAR INC | 5.16% | - | 7,353,614 | $2.01B | $273.00 | |
| 6 | DE | DEERE & CO | 3.80% | - | 3,917,693 | $1.48B | $377.38 | |
| 7 | ECL | ECOLAB INC | 2.27% | - | 5,218,044 | $883.94M | $169.40 | |
| 8 | KOF | COCA-COLA FEMSA SAB DE CV | 1.25% | - | 6,214,719 | $487.48M | $78.44 | |
| 9 | WMT | WALMART INC | 1.25% | Add +0.3% | 3,030,159 | $484.61M | $159.93 | |
| 10 | FDX | FEDEX CORP | 1.04% | - | 1,534,362 | $406.48M | $264.92 | |
| 11 | WCN | WASTE CONNECTIONS INC | 0.74% | - | 2,149,175 | $288.63M | $134.30 | |
| 12 | SDGR | SCHRODINGER INC | 0.51% | - | 6,981,664 | $197.37M | $28.27 | |
| 13 | CPNG | COUPANG INC | 0.40% | - | 9,248,045 | $157.22M | $17.00 | |
| 14 | CCI | CROWN CASTLE INC | 0.34% | - | 1,420,072 | $130.69M | $92.03 | |
| 15 | UPS | UNITED PARCEL SERVICE INC | 0.30% | Add +1.9% | 755,089 | $117.7M | $155.87 | |
| 16 | MSGS | MADISON SQUARE GRDN SPRT COR | 0.27% | - | 592,406 | $104.44M | $176.30 | |
| 17 | BUD | ANHEUSER BUSCH INBEV SA/NV | 0.24% | - | 1,703,000 | $94.18M | $55.30 | |
| 18 | DHR | DANAHER CORPORATION | 0.24% | - | 373,000 | $92.54M | $248.10 | |
| 19 | KHC | KRAFT HEINZ CO | 0.23% | - | 2,622,600 | $88.22M | $33.64 | |
| 20 | HRL | HORMEL FOODS CORP | 0.21% | - | 2,195,290 | $83.49M | $38.03 | |
| 21 | CVNA | CARVANA CO | 0.06% | - | 520,000 | $21.83M | $41.98 | |
| 22 | ONON | ON HLDG AG | 0.04% | - | 500,000 | $13.91M | $27.82 | |
| 23 | AAPL | APPLE INC | 0.02% | New | 52,815 | $9.04M | $171.21 | |
| 24 | META | META PLATFORMS INC | 0.02% | New | 27,035 | $8.12M | $300.21 | |
| 25 | IYW | ISHARES TR | 0.02% | New | 57,600 | $6.04M | No quote | No quote |
| 26 | AMZN | AMAZON COM INC | 0.01% | New | 44,000 | $5.59M | $127.12 | |
| 27 | ETN | EATON CORP PLC | 0.01% | New | 26,100 | $5.57M | $213.28 | |
| 28 | AVGO | BROADCOM INC | 0.01% | New | 6,500 | $5.4M | $830.58 | |
| 29 | BKNG | BOOKING HOLDINGS INC | 0.01% | New | 1,650 | $5.09M | $3083.95 | |
| 30 | GOOGL | ALPHABET INC CL A | 0.01% | New | 38,400 | $5.03M | $130.86 | |
| 31 | JPM | JPMORGAN CHASE & CO | 0.01% | New | 29,600 | $4.29M | $145.02 | |
| 32 | ORCL | ORACLE CORP | 0.01% | New | 39,800 | $4.22M | $105.92 | |
| 33 | AMP | AMERIPRISE FINL INC | 0.01% | New | 12,400 | $4.09M | $329.68 | |
| 34 | NVDA | NVIDIA CORPORATION | 0.01% | New | 9,165 | $3.99M | $434.99 | |
| 35 | XLK | SELECT SECTOR SPDR TR | 0.01% | New | 24,300 | $3.98M | $163.93 | |
| 36 | PHM | PULTE GROUP INC | 0.01% | New | 53,500 | $3.96M | $74.05 | |
| 37 | TJX | TJX COS INC NEW | 0.01% | New | 42,500 | $3.78M | $88.88 | |
| 38 | ELV | ELEVANCE HEALTH INC | 0.01% | New | 8,500 | $3.7M | $435.42 | |
| 39 | CVX | CHEVRON CORP NEW | 0.01% | New | 21,500 | $3.63M | $168.62 | |
| 40 | UL | UNILEVER PLC | 0.01% | New | 72,610 | $3.59M | $49.40 | |
| 41 | PG | PROCTER AND GAMBLE CO | 0.01% | New | 22,975 | $3.35M | $145.86 | |
| 42 | CSCO | CISCO SYS INC | 0.01% | New | 62,000 | $3.33M | $53.76 | |
| 43 | TT | TRANE TECHNOLOGIES PLC | 0.01% | New | 15,900 | $3.23M | $202.91 | |
| 44 | V | VISA INC | 0.01% | New | 14,000 | $3.22M | $230.01 | |
| 45 | AMAT | APPLIED MATLS INC | 0.01% | New | 22,800 | $3.16M | $138.45 | |
| 46 | AMGN | AMGEN INC | 0.01% | New | 11,050 | $2.97M | $268.76 | |
| 47 | TMO | THERMO FISHER SCIENTIFIC INC | 0.01% | New | 5,675 | $2.87M | $506.17 | |
| 48 | UNH | UNITEDHEALTH GROUP INC | 0.01% | New | 5,665 | $2.86M | $504.19 | |
| 49 | VRM | VROOM INC | 0.01% | - | 2,500,000 | $2.8M | $1.12 | No quote |
| 50 | ADBE | ADOBE INC | 0.01% | New | 5,485 | $2.8M | $509.90 | |
| 51 | SLB | SCHLUMBERGER LTD | 0.01% | New | 47,005 | $2.74M | $58.30 | |
| 52 | TTE | TOTALENERGIES SE | 0.01% | New | 38,500 | $2.53M | $65.76 | |
| 53 | LMT | LOCKHEED MARTIN CORP | 0.01% | New | 5,900 | $2.41M | $408.96 | |
| 54 | JNJ | JOHNSON & JOHNSON | 0.01% | New | 14,945 | $2.33M | $155.75 | |
| 55 | NSC | NORFOLK SOUTHN CORP | 0.01% | New | 11,700 | $2.3M | $196.93 | |
| 56 | GS | GOLDMAN SACHS GROUP INC | 0.01% | New | 7,060 | $2.28M | $323.57 | |
| 57 | MS | MORGAN STANLEY | 0.01% | New | 27,880 | $2.28M | $81.67 | |
| 58 | CVS | CVS HEALTH CORP | 0.01% | New | 32,500 | $2.27M | $69.82 | |
| 59 | PFE | PFIZER INC | 0.01% | New | 68,000 | $2.26M | $33.17 | |
| 60 | PNC | PNC FINL SVCS GROUP INC | 0.01% | New | 17,400 | $2.14M | $122.77 | |
| 61 | CB | CHUBB LIMITED | 0.01% | New | 10,250 | $2.13M | $208.18 | |
| 62 | KBWB | INVESCO EXCH TRADED FD TR II | 0.01% | New | 50,270 | $2.01M | No quote | No quote |
| 63 | XOM | EXXON MOBIL CORP | 0.01% | New | 17,000 | $2M | $117.58 | |
| 64 | EMN | EASTMAN CHEM CO | 0.00% | New | 25,000 | $1.92M | $76.72 | |
| 65 | LOW | LOWES COS INC | 0.00% | New | 8,983 | $1.87M | $207.84 | |
| 66 | GOOG | ALPHABET INC CL C | 0.00% | New | 14,000 | $1.85M | $131.85 | |
| 67 | MRK | MERCK & CO INC | 0.00% | New | 17,740 | $1.83M | $102.95 | |
| 68 | AMT | AMERICAN TOWER CORP NEW | 0.00% | New | 11,000 | $1.81M | $164.45 | |
| 69 | XLP | SELECT SECTOR SPDR TR | 0.00% | New | 25,500 | $1.75M | $68.81 | |
| 70 | HD | HOME DEPOT INC | 0.00% | New | 5,692 | $1.72M | $302.16 | |
| 71 | TGT | TARGET CORP | 0.00% | New | 15,200 | $1.68M | $110.57 | |
| 72 | PEP | PEPSICO INC | 0.00% | New | 9,700 | $1.64M | $169.44 | |
| 73 | RTX | RTX CORPORATION | 0.00% | New | 20,200 | $1.45M | $71.97 | |
| 74 | DIS | DISNEY WALT CO | 0.00% | New | 16,800 | $1.36M | $81.05 |