Gates Foundation Trust
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Gates Foundation Trust’s FedEx FDX Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$576M Hold
2,534,362
1.21% 10
2025
Q1
$618M Hold
2,534,362
1.48% 9
2024
Q4
$713M Hold
2,534,362
1.7% 9
2024
Q3
$694M Buy
2,534,362
+1,000,000
+65% +$274M 1.54% 9
2024
Q2
$460M Hold
1,534,362
0.97% 10
2024
Q1
$445M Hold
1,534,362
0.97% 10
2023
Q4
$388M Hold
1,534,362
0.92% 10
2023
Q3
$406M Hold
1,534,362
1.04% 10
2023
Q2
$380M Hold
1,534,362
0.9% 10
2023
Q1
$351M Hold
1,534,362
0.96% 10
2022
Q4
$266M Hold
1,534,362
0.74% 11
2022
Q3
$228M Buy
1,534,362
+1,000,000
+187% +$148M 0.67% 11
2022
Q2
$121M Hold
534,362
0.69% 13
2022
Q1
$124M Sell
534,362
-959,350
-64% -$222M 0.63% 13
2021
Q4
$386M Hold
1,493,712
1.68% 10
2021
Q3
$328M Hold
1,493,712
1.41% 14
2021
Q2
$446M Hold
1,493,712
1.87% 10
2021
Q1
$424M Sell
1,493,712
-1,531,287
-51% -$435M 2.02% 10
2020
Q4
$785M Hold
3,024,999
3.52% 8
2020
Q3
$761M Hold
3,024,999
3.45% 8
2020
Q2
$424M Hold
3,024,999
2.37% 10
2020
Q1
$367M Hold
3,024,999
2.11% 9
2019
Q4
$457M Hold
3,024,999
2.14% 9
2019
Q3
$440M Hold
3,024,999
2.07% 9
2019
Q2
$497M Hold
3,024,999
2.5% 8
2019
Q1
$549M Hold
3,024,999
2.63% 9
2018
Q4
$488M Hold
3,024,999
2.23% 9
2018
Q3
$728M Hold
3,024,999
2.82% 7
2018
Q2
$687M Hold
3,024,999
3.11% 7
2018
Q1
$726M Hold
3,024,999
2.97% 7
2017
Q4
$755M Hold
3,024,999
2.85% 7
2017
Q3
$682M Hold
3,024,999
2.65% 7
2017
Q2
$657M Hold
3,024,999
2.85% 7
2017
Q1
$590M Hold
3,024,999
3.13% 6
2016
Q4
$563M Hold
3,024,999
2.96% 6
2016
Q3
$528M Hold
3,024,999
2.86% 7
2016
Q2
$459M Hold
3,024,999
2.73% 10
2016
Q1
$492M Hold
3,024,999
2.86% 7
2015
Q4
$451M Hold
3,024,999
2.7% 9
2015
Q3
$436M Hold
3,024,999
2.53% 9
2015
Q2
$515M Hold
3,024,999
3.03% 7
2015
Q1
$500M Hold
3,024,999
2.69% 7
2014
Q4
$525M Hold
3,024,999
2.63% 8
2014
Q3
$488M Hold
3,024,999
2.25% 12
2014
Q2
$458M Hold
3,024,999
2.29% 12
2014
Q1
$401M Hold
3,024,999
2.02% 12
2013
Q4
$435M Hold
3,024,999
2.17% 12
2013
Q3
$345M Hold
3,024,999
1.77% 13
2013
Q2
$298M Buy
+3,024,999
New +$298M 1.68% 13