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Bridgewater Associates LP (Ray Dalio) - FilingSpy
Bridgewater Associates LP
Ray Dalio
$11.43B
13F
2013 Q2
51 of 53 quarters
Overview
Activity
Holdings
Buys
BRK.B
NEW
Berkshire Hathaway Inc
$18.75M
+167.5K shares
MU
NEW
Micron Technology Inc
$17.47M
+1.22M shares
MXIM
NEW
Maxim Integrated Products, Inc.
$10.04M
+361.5K shares
AXP
NEW
American Express Company
$9.68M
+129.5K shares
FE
NEW
Firstenergy Corp
$8.87M
+237.4K shares
WYNN
NEW
Wynn Resorts Ltd
$7.99M
+62.4K shares
MAR
NEW
Marriott International Inc
$6.82M
+169.0K shares
MET
NEW
Metlife, Inc.
$5.58M
+121.9K shares
PRU
NEW
Prudential Financial Inc
$4.90M
+67.1K shares
PEP
NEW
Pepsico Inc
$4.29M
+52.5K shares
CCE
NEW
Coca-Cola Enterprises Inc
$4.16M
+118.3K shares
BAX
NEW
Baxter International Inc.
$3.95M
+57.1K shares
AFL
NEW
Aflac Incorporated
$3.61M
+62.1K shares
BCE
NEW
Bce Inc.
$3.58M
+87.6K shares
COF
NEW
Capital One Financial Corporation
$3.53M
+56.2K shares
LB
NEW
L Brands Inc
$3.36M
+68.2K shares
AIG
NEW
American International Group Inc
$3.17M
+71.0K shares
RCI
NEW
Rogers Communications Inc.
$3.15M
+80.6K shares
XLNX
NEW
Xilinx Inc
$3.09M
+78.0K shares
TU
NEW
Telus Corporation
$2.96M
+101.7K shares
Show all 255 buys (235 more)
Sells
AAP
EXIT
Advance Auto Parts Inc
$1.94M
- $1.94M
=
Closed
-23.4K shares (100%)
AGU
EXIT
Agrium Inc
$1.35M
- $1.35M
=
Closed
-13.8K shares (100%)
ATI
EXIT
Ati Inc
$242.0K
- $242.0K
=
Closed
-7.6K shares (100%)
ANV
EXIT
Allied Nevada Gold Corp
$189.0K
- $189.0K
=
Closed
-11.5K shares (100%)
ACAS
EXIT
American Capital, Ltd.
$1.91M
- $1.91M
=
Closed
-130.6K shares (100%)
ADI
EXIT
Analog Devices Inc
$2.36M
- $2.36M
=
Closed
-50.7K shares (100%)
ADSK
EXIT
Autodesk Inc
$6.88M
- $6.88M
=
Closed
-166.8K shares (100%)
BMC
EXIT
Bmc Software Inc
$7.67M
- $7.67M
=
Closed
-165.6K shares (100%)
BEAV
EXIT
B/e Aerospace Inc
$1.96M
- $1.96M
=
Closed
-32.6K shares (100%)
BIGGQ
EXIT
Big Lots Inc
$1.87M
- $1.87M
=
Closed
-52.9K shares (100%)
HRB
EXIT
H&R Block, Inc.
$2.17M
- $2.17M
=
Closed
-73.8K shares (100%)
BWA
EXIT
Borgwarner Inc
$412.0K
- $412.0K
=
Closed
-5.3K shares (100%)
BMY
EXIT
Bristol-Myers Squibb Co.
$7.46M
- $7.46M
=
Closed
-181.1K shares (100%)
CBS
EXIT
Cbs Corp
$453.0K
- $453.0K
=
Closed
-9.7K shares (100%)
CVS
EXIT
CVS Health Corporation
$18.72M
- $18.72M
=
Closed
-340.4K shares (100%)
CRC
EXIT
Caci International Inc
$1.43M
- $1.43M
=
Closed
-24.7K shares (100%)
CNI
EXIT
Canadian National Railway Company
$3.26M
- $3.26M
=
Closed
-31.9K shares (100%)
CP
EXIT
Canadian Pacific Railway Limited
$1.60M
- $1.60M
=
Closed
-12.1K shares (100%)
CSCO
EXIT
Cisco Systems Inc
$6.56M
- $6.56M
=
Closed
-313.8K shares (100%)
COH
EXIT
Coach Inc
$11.03M
- $11.03M
=
Closed
-220.6K shares (100%)
Show all 165 sells (145 more)