Bill & Melinda Gates Foundation Trust 2026Q1 Holdings

比尔及梅琳达·盖茨基金会信托 Bill Gates 13F portfolio details.

Total market value: $31,665,505,891; holdings: 22; previous report: 2025-12-31

#TickerNameMarket ValueSharesWeight
1 BERKSHIRE HATHAWAY INC DEL CL B NEW $8,169,547,277 17048304 25.8%
2 WM 美国废物管理公司 $6,351,934,228 27642344 20.06%
3 CNI 加拿大国家铁路公司 $5,326,238,797 51826786 16.82%
4 CAT 卡特彼勒公司 $4,501,281,374 6353614 14.22%
5 DE 迪尔股份有限公司 $2,003,871,027 3557378 6.33%
6 ECL 艺康集团 $1,388,104,065 5218044 4.38%
7 WMT 沃尔玛公司 $1,042,768,482 8390477 3.29%
8 FDX 联邦快递集团 $849,262,057 2384362 2.68%
9 KOF 可口可乐凡萨瓶装 $606,245,838 6214719 1.91%
10 WCN Waste Connections, Inc. $331,243,587 2039175 1.05%
11 MSGS Madison Square Garden Sports Corp. $190,399,288 592406 0.6%
12 CPNG Coupang, Inc. $174,603,090 9248045 0.55%
13 BUD 百威英博公司 $118,137,110 1703000 0.37%
14 PCAR 帕卡公司 $115,500,000 1000000 0.36%
15 LW Lamb Weston Holdings, Inc. $111,409,480 444500 0.35%
16 MCDONALDS CORP COM $104,083,571 334900 0.33%
17 SDGR Schr枚dinger, Inc. $79,311,703 6981664 0.25%
18 DHR 丹纳赫公司 $70,720,800 373000 0.22%
19 KHC 卡夫亨氏 $55,608,774 2472600 0.18%
20 HRL 荷美尔食品 $47,231,819 2085290 0.15%
21 ONON On Holding AG $17,010,000 500000 0.05%
22 VLTO Veralto Corp. $10,993,524 124333 0.03%

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