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Bridgewater Associates LP (Ray Dalio) - FilingSpy
Bridgewater Associates LP
Ray Dalio
$7.90B
13F
2016 Q1
40 of 53 quarters
Overview
Activity
Holdings
Buys
EWZ
NEW
iShares Msci South Korea Capped ETF
$26.79M
+1.02M shares
DIS
NEW
Walt Disney Co. (the)
$20.89M
+210.3K shares
MCD
NEW
Mcdonald'S Corporation
$15.81M
+125.8K shares
POT
NEW
Potash Corporation of Saskatchewan Inc
$12.33M
+721.3K shares
DISH
NEW
Dish Network Corporation
$11.69M
+252.8K shares
AGU
NEW
Agrium Inc
$9.54M
+108.1K shares
MDLZ
NEW
Mondelez International Inc
$9.49M
+236.6K shares
CCL
NEW
Carnival Corporation
$8.91M
+168.8K shares
GOOGL
NEW
Alphabet Inc. (formerly Google Inc.)
$8.34M
+10.9K shares
LNC
NEW
Lincoln National Corp
$7.88M
+201.0K shares
DHR
NEW
Danaher Corporation
$7.47M
+78.8K shares
MMM
NEW
3m Co.
$7.07M
+42.4K shares
AMAT
NEW
Applied Materials, Inc.
$7.05M
+333.1K shares
HD
NEW
The Home Depot Inc
$6.95M
+52.1K shares
AXP
NEW
American Express Company
$6.87M
+111.9K shares
ORLY
NEW
O'Reilly Automotive Inc
$6.42M
+23.5K shares
AZO
NEW
Autozone Inc
$6.35M
+8.0K shares
AMT
NEW
American Tower Corporation
$6.29M
+61.5K shares
D
NEW
Dominion Energy, Inc.
$6.11M
+81.3K shares
FDX
NEW
Fedex Corp.
$6.03M
+37.0K shares
Show all 153 buys (133 more)
Sells
ADT
EXIT
The Adt Corporation
$841.0K
- $841.0K
=
Closed
-25.5K shares (100%)
AAP
EXIT
Advance Auto Parts Inc
$854.0K
- $854.0K
=
Closed
-5.7K shares (100%)
AMZN
EXIT
Amazon.com Inc
$5.55M
- $5.55M
=
Closed
-8.2K shares (100%)
ANSS
EXIT
Ansys Inc
$207.0K
- $207.0K
=
Closed
-2.2K shares (100%)
ADM
EXIT
Archer-Daniels-Midland Company
$5.67M
- $5.67M
=
Closed
-154.6K shares (100%)
ADP
EXIT
Automatic Data Processing Inc
$997.0K
- $997.0K
=
Closed
-11.8K shares (100%)
BCE
EXIT
Bce Inc.
$29.72M
- $29.72M
=
Closed
-772.3K shares (100%)
BRK.B
EXIT
Berkshire Hathaway Inc
$10.17M
- $10.17M
=
Closed
-77.0K shares (100%)
TECH
EXIT
Bio-Techne Corp
$223.0K
- $223.0K
=
Closed
-2.5K shares (100%)
BRCD
EXIT
Brocade Communications Systems, Inc.
$120.0K
- $120.0K
=
Closed
-13.1K shares (100%)
CBS
EXIT
Cbs Corp
$8.51M
- $8.51M
=
Closed
-180.5K shares (100%)
CVS
EXIT
CVS Health Corporation
$8.13M
- $8.13M
=
Closed
-83.1K shares (100%)
CA
EXIT
Ca, Inc.
$6.55M
- $6.55M
=
Closed
-229.3K shares (100%)
CRI
EXIT
Carter'S, Inc.
$228.0K
- $228.0K
=
Closed
-2.6K shares (100%)
CRL
EXIT
Charles River Laboratories International, Inc.
$216.0K
- $216.0K
=
Closed
-2.7K shares (100%)
CHK
EXIT
Chesapeake Energy Corporation
$827.0K
- $827.0K
=
Closed
-183.8K shares (100%)
COH
EXIT
Coach Inc
$1.34M
- $1.34M
=
Closed
-40.9K shares (100%)
KO
EXIT
The Coca-Cola Company
$12.78M
- $12.78M
=
Closed
-297.6K shares (100%)
CL
EXIT
Colgate-Palmolive Co.
$8.18M
- $8.18M
=
Closed
-122.7K shares (100%)
COLM
EXIT
Columbia Sportswear Company
$228.0K
- $228.0K
=
Closed
-4.7K shares (100%)
Show all 168 sells (148 more)