"Bill & Melinda Gates Foundation's $39 Billion Portfolio: 86% Invested in 5 Stocks"

TL;DR Summary
The Bill & Melinda Gates Foundation has 86% of its $39 billion portfolio invested in just 5 stocks, with Microsoft and Berkshire Hathaway comprising 52% of the total value. While this concentrated approach may work for the foundation, it's not a good model for most investors who should aim for diversification with at least 25 stocks to mitigate risk. However, the foundation's focus on dependable blue chip companies like Waste Management serves as a reminder of the importance of including reliable stocks in a portfolio for long-term positive returns.
Topics:business#bill-and-melinda-gates-foundation#bill-gates#diversification#finance#investment-portfolio#stock-market
Reading Insights
Total Reads
0
Unique Readers
1
Time Saved
3 min
vs 4 min read
Condensed
88%
714 → 89 words
Want the full story? Read the original article
Read on The Motley Fool