Bill Gates / Portfolio / 2023-Q3

    Company Shares Market value Share price
    Microsoft Corporation 39M $12B $316
    Berkshire Hathaway Inc. 23M $7.9B $350
    CANADIAN NATL RY CO 55M $5.9B $108
    Waste Management, Inc. 35M $5.4B $152
    Caterpillar Inc. 7.4M $2B $273
    Deere & Company 3.9M $1.5B $377
    Ecolab Inc. 5.2M $884M $169
    Coca-Cola FEMSA, S.A.B. de C.V. 6.2M $487M $78
    Walmart Inc. 3M $485M $160
    FedEx Corporation 1.5M $406M $265
    WASTE CONNECTIONS INC 2.1M $289M $134
    Schrödinger, Inc. 7M $197M $28
    Coupang, Inc. 9.2M $157M $17
    Crown Castle Inc. 1.4M $131M $92
    United Parcel Service, Inc. 755K $118M $156
    Madison Square Garden Sports Corp. 592K $104M $176
    Anheuser-Busch InBev SA/NV 1.7M $94M $55
    Danaher Corporation 373K $93M $248
    The Kraft Heinz Company 2.6M $88M $34
    Hormel Foods Corporation 2.2M $83M $38
    Carvana Co. 520K $22M $42
    ON HLDG AG 500K $14M $28
    Apple Inc. 53K $9M $171
    Meta Platforms, Inc. 27K $8.1M $300
    ISHARES TR 58K $6M $105
    Amazon.com, Inc. 44K $5.6M $127
    EATON CORP PLC 26K $5.6M $213
    Broadcom Inc. 6.5K $5.4M $831
    Booking Holdings Inc. 1.7K $5.1M $3.1K
    Alphabet Inc. 38K $5M $131
    JPMorgan Chase & Co. 30K $4.3M $145
    Oracle Corporation 40K $4.2M $106
    Ameriprise Financial, Inc. 12K $4.1M $330
    NVIDIA Corporation 9.2K $4M $435
    SELECT SECTOR SPDR TR 24K $4M $164
    PulteGroup, Inc. 54K $4M $74
    The TJX Companies, Inc. 43K $3.8M $89
    Elevance Health Inc. 8.5K $3.7M $435
    Chevron Corporation 22K $3.6M $169
    Unilever PLC 73K $3.6M $49
    The Procter & Gamble Company 23K $3.4M $146
    Cisco Systems Inc 62K $3.3M $54
    TRANE TECHNOLOGIES PLC 16K $3.2M $203
    Visa Inc. 14K $3.2M $230
    Applied Materials, Inc. 23K $3.2M $138
    Amgen Inc. 11K $3M $269
    Thermo Fisher Scientific Inc. 5.7K $2.9M $506
    UnitedHealth Group Incorporated 5.7K $2.9M $504
    VROOM INC 2.5M $2.8M $1.1
    Adobe Inc. 5.5K $2.8M $510
    SCHLUMBERGER LTD 47K $2.7M $58
    TotalEnergies SE 39K $2.5M $66
    Lockheed Martin Corporation 5.9K $2.4M $409
    Johnson & Johnson 15K $2.3M $156
    Norfolk Southern Corporation 12K $2.3M $197
    The Goldman Sachs Group, Inc. 7.1K $2.3M $324
    Morgan Stanley 28K $2.3M $82
    CVS Health Corporation 33K $2.3M $70
    Pfizer Inc. 68K $2.3M $33
    The PNC Financial Services Group, Inc. 17K $2.1M $123
    CHUBB LIMITED 10K $2.1M $208
    INVESCO EXCH TRADED FD TR II 50K $2M $40
    Exxon Mobil Corporation 17K $2M $118
    Eastman Chemical Company 25K $1.9M $77
    Lowe's Companies, Inc. 9K $1.9M $208
    Alphabet Inc. 14K $1.8M $132
    Merck & Co., Inc. 18K $1.8M $103
    American Tower Corporation 11K $1.8M $164
    SELECT SECTOR SPDR TR 26K $1.8M $69
    The Home Depot, Inc. 5.7K $1.7M $302
    Target Corporation 15K $1.7M $111
    PepsiCo, Inc. 9.7K $1.6M $169
    RTX Corporation 20K $1.5M $72
    The Walt Disney Company 17K $1.4M $81

    Notifications