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Bridgewater Associates LP (Ray Dalio) - FilingSpy
Bridgewater Associates LP
Ray Dalio
$7.47B
13F
2015 Q3
42 of 53 quarters
Overview
Activity
Holdings
Buys
RL
NEW
Ralph Lauren Corp
$18.53M
+156.9K shares
T
NEW
AT&T Inc.
$18.50M
+568.0K shares
FDX
NEW
Fedex Corp.
$17.72M
+123.1K shares
HST
NEW
Host Hotels & Resorts Inc
$16.04M
+1.01M shares
ORCL
NEW
Oracle Corporation
$15.34M
+424.6K shares
WHR
NEW
Whirlpool Corp
$13.79M
+93.7K shares
WYNN
NEW
Wynn Resorts Ltd
$12.72M
+239.5K shares
CSX
NEW
Csx Corp
$11.80M
+438.8K shares
FE
NEW
Firstenergy Corp
$11.57M
+369.7K shares
PPG
NEW
Ppg Industries, Inc.
$10.87M
+124.0K shares
SPLS
NEW
Staples Inc
$9.94M
+847.1K shares
AMZN
NEW
Amazon.com Inc
$9.68M
+18.9K shares
LYB
NEW
Lyondellbasell Industries NV
$8.65M
+103.8K shares
MJN
NEW
Mead Johnson Nutrition Co
$8.36M
+118.8K shares
LUV
NEW
Southwest Airlines Co
$7.86M
+206.5K shares
DOW
NEW
Dow Inc.
$7.13M
+168.1K shares
BFH
NEW
Bread Financial Holdings Inc
$6.93M
+26.8K shares
ADI
NEW
Analog Devices Inc
$6.42M
+113.8K shares
YUM
NEW
Yum! Brands Inc
$6.34M
+79.3K shares
NRG
NEW
Nrg Energy Inc
$5.67M
+381.9K shares
Show all 362 buys (342 more)
Sells
ADT
EXIT
The Adt Corporation
$1.57M
- $1.57M
=
Closed
-46.9K shares (100%)
GAS
EXIT
Agl Resources Inc.
$400.0K
- $400.0K
=
Closed
-8.6K shares (100%)
APD
EXIT
Air Products & Chemicals, Inc.
$1.86M
- $1.86M
=
Closed
-13.6K shares (100%)
AEE
EXIT
Ameren Corporation
$568.0K
- $568.0K
=
Closed
-15.1K shares (100%)
AMP
EXIT
Ameriprise Financial Inc
$683.0K
- $683.0K
=
Closed
-5.5K shares (100%)
AZO
EXIT
Autozone Inc
$2.58M
- $2.58M
=
Closed
-3.9K shares (100%)
BK
EXIT
The Bank of New York Mellon Corporation
$1.65M
- $1.65M
=
Closed
-39.2K shares (100%)
BRK.B
EXIT
Berkshire Hathaway Inc
$8.15M
- $8.15M
=
Closed
-59.9K shares (100%)
BLK
EXIT
Blackrock Inc
$2.98M
- $2.98M
=
Closed
-8.6K shares (100%)
BXP
EXIT
Bxp, Inc.
$355.0K
- $355.0K
=
Closed
-2.9K shares (100%)
CHRW
EXIT
C.h. Robinson Worldwide, Inc.
$3.57M
- $3.57M
=
Closed
-57.2K shares (100%)
CMS
EXIT
Cms Energy Corporation
$485.0K
- $485.0K
=
Closed
-15.2K shares (100%)
CPN
EXIT
Calpine Corp
$1.06M
- $1.06M
=
Closed
-59.1K shares (100%)
CAM
EXIT
Cameron International Corporation
$4.00M
- $4.00M
=
Closed
-76.5K shares (100%)
CPB
EXIT
The Campbell'S Company
$4.00M
- $4.00M
=
Closed
-83.8K shares (100%)
CMG
EXIT
Chipotle Mexican Grill Inc
$17.36M
- $17.36M
=
Closed
-28.7K shares (100%)
CLX
EXIT
Clorox Co/the
$619.0K
- $619.0K
=
Closed
-5.9K shares (100%)
CMCSA
EXIT
Comcast Corporation
$9.29M
- $9.29M
=
Closed
-154.5K shares (100%)
ED
EXIT
Consolidated Edison Inc
$4.66M
- $4.66M
=
Closed
-80.6K shares (100%)
DTE
EXIT
Dte Energy Co
$254.0K
- $254.0K
=
Closed
-3.4K shares (100%)
Show all 154 sells (134 more)