Top Funds / Bill & Melinda Gates Foundation Trust


Bill Gates

2020Q4 Portfolio

SEC 13F Filing

Position #Shares $Value % # vs. 2020Q3 $ vs. 2020Q3
BERKSHIRE HATHAWAY INC CL B 42,104,399 $9,762,747,000 43.71% -5,000,000 -$267,664,000
WASTE MANAGEMENT INC 18,633,672 $2,197,469,000 9.84% No Change +$88,696,000
CATERPILLAR INC 11,260,857 $2,049,701,000 9.18% No Change +$370,144,000
CANADIAN NATIONAL RAILWAY CO 16,979,268 $1,865,173,000 8.35% -147,606 +$41,846,000
Walmart Inc. 11,603,000 $1,672,572,000 7.49% No Change +$49,196,000
ECOLAB INC. 4,366,426 $944,720,000 4.23% No Change +$72,133,000
CROWN CASTLE INTERNATIONAL CORP 5,332,900 $848,944,000 3.80% No Change -$38,984,000
FEDEX CORP 3,024,999 $785,350,000 3.52% No Change +$24,502,000
UNITED PARCEL SERVICE INC CL B 4,525,329 $762,065,000 3.41% No Change +$8,009,000
Schrodinger, Inc. 6,981,664 $552,808,000 2.47% +2,000,000 +$316,129,000
COCA COLA FEMSA SAB DE CV SPONS ADR REP 6,214,719 $286,499,000 1.28% No Change +$33,436,000
GRUPO TELEVISA, S.A.B. SPON ADR REP 16,879,104 $139,084,000 0.62% No Change +$34,771,000
Apple Inc. 1,002,088 $132,967,000 0.60% -1,002,088 -$99,137,000
AMAZON COM INC 30,230 $98,457,000 0.44% -30,230 -$91,915,000
Liberty Global plc CL C 3,639,349 $86,071,000 0.39% No Change +$11,337,000
Liberty Global plc CL A 2,119,515 $51,335,000 0.23% No Change +$6,804,000
Alphabet Inc. CAP STK CL A 21,554 $37,776,000 0.17% -21,553 -$25,402,000
Alphabet Inc. CAP STK CL C 21,491 $37,650,000 0.17% -21,490 -$25,515,000
TWITTER, INC. 272,420 $14,752,000 0.07% No Change +$2,629,000
Liberty Latin America Ltd. CL C 676,979 $7,508,000 0.03% -258,303 -$105,000
Liberty Latin America Ltd. CL A 276,443 $3,077,000 0.01% -93,981 +$21,000
Alibaba Group Holding Ltd SPONSORED ADS 0 $0 0% Closed -$162,390,000
BOSTON PROPERTIES INC 0 $0 0% Closed -$88,275,000
Uber Technologies, Inc 0 $0 0% Closed -$976,000