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      • In Bill Gates's current portfolio as of 2024-03-31, the top 5 holdings are Microsoft Corp (MSFT), Waste Management Inc (WM), Berkshire Hathaway Inc (BRK.B), Canadian National Railway Co (CNI), Caterpillar Inc (CAT), not including call and put options.
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    • Thomas Greaney And Finanzen.Net
    • Microsoft. Ticker: MSFT. Market Value: $14.37 billion. Change in Shares: -1,075,301 (-3%)
    • Berkshire Hathaway. Ticker: BRK-B. Market Value: $7.10 billion. Change in Shares: -2,613,252 (-12%)
    • Canadian National Railway. Ticker: CNI. Market Value: $6.89 billion. Change in Shares: No change.
    • Waste Management. Ticker: WM. Market Value: $6.31 billion. Change in Shares: No change.
    • Table of Contents
    • #1—Microsoft
    • #2—Berkshire Hathaway
    • #3—Canadian National Railway
    • #4—Waste Management
    • #5—Caterpillar
    • #6—Deere & Company
    • #7—Ecolab
    • #8—Coca-Cola Femsa Sab
    • #9—Walmart Inc.
    • GeneratedCaptionsTabForHeroSec

    You can skip to the analysis for each of the Gates Foundation’s 23 stock holdings, with the table of contents below. Stocks are listed in order of the portfolio’s largest positions to smallest positions. 1. Microsoft (MSFT) 2. Berkshire Hathaway (BRK.B) 3. Canadian National Railway (CNI) 4. Waste Management (WM) 5. Caterpillar Inc. (CAT) 6. Deere &...

    Dividend Yield: 0.8% Percentage of Bill Gates’ Portfolio: 30.7% Microsoft Corporation, founded in 1975 and headquartered in Redmond, WA, develops, manufactures, and sells both software and hardware to businesses and consumers. Microsoft is a mega-cap stockwith a market capitalization of $2.4 trillion. Its offerings include operating systems, busine...

    Dividend Yield: N/A (Berkshire Hathaway does not currently pay a dividend) Percentage of Bill Gates’ Portfolio: 21.7% Berkshire Hathaway stock is the third-largest individual holding of the Gates Foundation’s investment portfolio, and it is easy to see why. It’s safe to say the money is in good hands. Berkshire, under the stewardship of Warren Buff...

    Dividend Yield: 1.8% Percentage of Bill Gates’ Portfolio: 15.3% Canadian National Railway is the only transcontinental railroad in North America. Ithas a network of approximately 20,000 route miles and connects three coasts: the Atlantic, the Pacific, and the Gulf of Mexico. It handles over $200 billion worth of goods annually and carries over 300 ...

    Dividend Yield: 1.7% Percentage of Bill Gates’ Portfolio: 13.6% Waste Management is the embodiment of a company with a wide economic “moat”, a term popularized by Warren Buffett to describe a strong competitive advantage that protects a company from the full ravages of market competition. Waste Management operates in waste removal and recycling ser...

    Dividend Yield:1.7% Percentage of Bill Gates’ Portfolio: 5.0% Caterpillar is the global leader in heavy machinery. It has a strong brand with a dominant industry position. Caterpillar manufactures and markets heavy machinery, mostly for the construction and mining sectors. The company operates in three primary segments: Construction Industries, Res...

    Dividend Yield: 1.1% Percentage of Bill Gates’ Portfolio: 4.1% Deere & Company is the largest manufacturer of farm equipment in the world. The company also makes equipment used in construction, forestry & turf care, produces engines, and provides financial solutions to its customers. Deere was founded in 1837. Source: Investor Fact Book In mid-May,...

    Dividend Yield: 1.1% Percentage of Bill Gates’ Portfolio: 2.3% Ecolab was created in 1923 when its founder Merritt J. Osborn invented a new cleaning product called “Absorbit”. This product cleaned carpets without the need for businesses to shut down operations to conduct carpet cleaning. Osborn created a company revolving around the product called ...

    Dividend Yield: 3.6% Percentage of Bill Gates’ Portfolio: 1.2% Coca-Cola FEMSA produces, markets, and distributes Coca-Cola (KO) beverages. It offers a full line of sparkling and still beverages. It sells its products through distribution centers and retailers in Mexico, Guatemala, Nicaragua, Costa Rica, Panama, Colombia, Venezuela, Brazil, Argenti...

    Dividend Yield: 1.4% Percentage of Bill Gates’ Portfolio: 1.2% Walmart is another great example of a company with durable competitive advantages. It is the largest retailer in the U.S., with annual revenue above $600 billion. The company came to dominate the retail industry by keeping a laser-like focus on reducing costs everywhere, particularly in...

    See the latest stock holdings of the Bill & Melinda Gates Foundation, worth nearly $42.3 billion. The portfolio includes Microsoft, Berkshire Hathaway, Coca-Cola, Walmart, and more.

  2. Mar 31, 2024 · See the latest stock holdings of Bill Gates, one of the richest and smartest businessmen in the world, as of 2024-02-14. Find out his top holdings, valuations, sector breakdown, and more.

    Ticker
    Company
    Shares
    Value ($1000)
    Waste Management Inc
    35,234,344
    7510200.42
    Canadian National Railway Co
    54,826,786
    7221235.98
    Caterpillar Inc
    7,353,614
    2694584.78
    Deere & Co
    3,557,378
    1461157.44
    • Canadian National Railway Company. The largest holding in the Foundation’s portfolio is Canadian National Railway Company (CNI). The Foundation holds approximately 54.8 million shares of Canadian National Railway Company with a market value of nearly $6 billion.
    • Microsoft Corp. (MSFT) is the second-largest holding in the Foundation’s portfolio. The Foundation holds approximately 39.3 million shares with a market value of just over $12.4 billion.
    • Waste Management, Inc. (WM) is the third-largest holding in the Foundation’s portfolio. The Foundation owns over 35.2 million shares with a market value of $5.3 billion.
    • Berkshire Hathaway. Berkshire Hathaway (BRK.B) is the fourth-largest in the Foundation’s portfolio. The Foundation holds approximately 22.5 million shares with a market value of nearly $8 billion.
  3. May 22, 2024 · Bill Gates Portfolio: 7 Best Stocks to Buy Now. The top-heavy Gates portfolio continues to rack up gains by leaning on tech giants and industrial stalwarts. By Brian O'Connell. |. Reviewed...

  4. Feb 29, 2024 · The Bill & Melinda Gates Foundation Trust owns stakes in dozens of companies, but four dominate the portfolio: Microsoft, Berkshire Hathaway, Canadian National Railway, and Nike. Learn why these stocks are important for Gates' charitable mission and how they generate income and growth.

  5. Dec 1, 2022 · See the latest holdings of Bill & Melinda Gates Foundation Trust, the investment arm of the Gates Foundation, as of September 2022. The portfolio includes Microsoft, Berkshire Hathaway, Walmart, and more.

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