GF

Gateway Fund | GATEX

Mutual Fund
Gateway Trust
Last update 2025-06-25 206 Stocks (28 new)
Value $6.49 Bil Turnover 5 %
Countries:
Gateway Fund Top Holdings of 2025-03-31 View Full List
Ticker
Company
Shares
Value ($1000)
Shares Change %
Weighting %
Trade Impact %
% of Shares outstanding
3M Change %
YTD Change %
Market Cap $Mil
Industry
AAPL
Apple Inc
2,075,563
461,044.8
+1.50%
7.100
+0.10%
0.010
+7.35%
-15.47%
3,154,147.7
Hardware
MSFT
Microsoft Corp
1,058,595
397,386.0
+0.44%
6.120
+0.03%
0.010
+38.94%
+21.47%
3,790,969.0
Software
NVDA
NVIDIA Corp
3,391,063
367,523.4
+1.92%
5.660
+0.11%
0.010
+69.89%
+28.41%
4,204,658.7
Semiconductors
AMZN
Amazon.com Inc
1,352,552
257,336.5
+0.48%
3.960
+0.02%
0.010
+31.01%
+3.07%
2,400,675.8
Retail - Cyclical
META
Meta Platforms Inc
313,959
180,953.4
-0.37%
2.790
-0.01%
0.010
+40.55%
+20.48%
1,770,790.4
Interactive Media
GOOG
Alphabet Inc
1,153,318
180,182.9
-1.04%
2.780
-0.03%
0.010
+21.39%
-2.13%
2,250,461.0
Interactive Media
BRK.B
Berkshire Hathaway Inc
320,405
170,641.3
+4.05%
2.630
+0.10%
0.010
-8.57%
+4.53%
1,022,296.6
Insurance
JPM
JPMorgan Chase & Co
545,287
133,758.9
+0.79%
2.060
+0.02%
0.020
+26.17%
+23.48%
800,897.6
Banks
V
Visa Inc
366,493
128,441.1
+2.88%
1.980
+0.06%
0.020
+6.07%
+10.81%
681,869.3
Credit Services
AVGO
Broadcom Inc
661,073
110,683.4
-0.48%
1.710
-0.01%
0.010
+66.10%
+22.87%
1,332,681.5
Semiconductors

Gateway Fund's Historical Top Holdings Breakdowns

Gateway Fund's Top Stock Picks View Full List
Ticker
Company
Date
Action
Impact %
Price Range
Price
Price Change from Avrg%
Comment
Current Shares
Share Change
CCI
Crown Castle Inc
2025-03-31
New Buy
New Buy
+0.46%
84.33 ($93.37) 106.39
$105.14
12.61%
New holding
287,853
287,853
TMO
Thermo Fisher Scientific Inc
2025-03-31
Sold Out
Sold Out
-0.40%
497.6 ($541.6) 606.74
$414.75
-23.42%
Sold Out
0
-50,986
VZ
Verizon Communications Inc
2025-03-31
New Buy
New Buy
+0.38%
37.81 ($41.63) 46.49
$40.84
-1.90%
New holding
544,795
544,795
PLTR
Palantir Technologies Inc
2025-03-31
New Buy
New Buy
+0.34%
64.98 ($87.82) 124.62
$153.52
74.81%
New holding
264,582
264,582
UBER
Uber Technologies Inc
2025-03-31
New Buy
New Buy
+0.33%
63.17 ($72.04) 81.49
$90.59
25.75%
New holding
290,041
290,041
ED
Consolidated Edison Inc
2025-03-31
Reduce
Reduce
-0.29%
88 ($98.07) 110.59
$101.08
3.07%
Reduce -51.43%
206,097
-218,261
CE
Celanese Corp
2025-03-31
Sold Out
Sold Out
-0.23%
47.02 ($62.46) 74.12
$57.31
-8.25%
Sold Out
0
-224,684
STZ
Constellation Brands Inc
2025-03-31
New Buy
New Buy
+0.21%
161.05 ($181.67) 222.93
$170.57
-6.11%
New holding
75,887
75,887
PANW
Palo Alto Networks Inc
2025-03-31
Sold Out
Sold Out
-0.21%
167.82 ($184.92) 208.28
$195.78
5.87%
Sold Out
0
-78,604
WEC
WEC Energy Group Inc
2025-03-31
Reduce
Reduce
-0.18%
92.12 ($102.13) 108.98
$107.82
5.57%
Reduce -36.25%
227,581
-129,410

Gateway Fund Total Holding History ($B)

To

Gateway Fund's Asset Allocation

To

Gateway Fund Past Portfolios

Portfolio Date Number of Stocks New Stocks Total Value ($Mil) Q/Q Turnover

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Gateway Fund's Hypothetical Growth since 2025-03-31

Gateway Fund's Yearly Returns

Year Portfolio % % Excess Gain %

Gateway Fund's Holdings Heat Map

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Gateway Fund's Holdings Bubble Chart

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