Bill Gates Portfolio Trends: Quarterly Analysis of Major Holdings

Bill Gates' portfolio saw both Berkshire Hathaway and Waste Management shares decrease in the quarter ending March 31, 2026, reflecting shifts in his major holdings.

By AI Generated.Jun 9, 2026, 9:43 PM
Bill Gates Portfolio Trends: Quarterly Analysis of Major Holdings

According to the latest portfolio data available as of March 31, 2026, Bill Gates' holdings, managed through the Bill & Melinda Gates Foundation Trust, showed specific changes in his top positions during the quarter.

The largest holding, Berkshire Hathaway (BRK-B), experienced a decrease in shares held by 1.25% during the quarter, resulting in a slight reduction in its portfolio allocation to 25.8%. This translates to a decrease of approximately $12.15 billion in the stock's value within the portfolio. You can view the complete profile of Bill Gates' investment activities here: Bill Gates Investor Profile.

Conversely, Waste Management (WM) shares decreased by a more significant 4.47% during the quarter. This resulted in a larger dollar decrease of approximately $315 million in the stock's value within the portfolio. The stock's allocation in the portfolio remained unchanged at 20.06%. For more details on this stock, visit: WM Stock Profile.

It's important to note that these changes represent movements in just two of Gates' top holdings. The overall portfolio value stood at approximately $31.7 billion as of the reporting date.