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Bridgewater Associates LP (Ray Dalio) - FilingSpy
Bridgewater Associates LP
Ray Dalio
$8.82B
13F
2017 Q1
36 of 53 quarters
Overview
Activity
Holdings
Buys
CLF
NEW
Cleveland-Cliffs Inc.
$31.59M
+3.85M shares
GE
NEW
General Electric Company
$18.02M
+604.9K shares
ESV
NEW
Ensco Plc
$15.94M
+1.78M shares
DIS
NEW
Walt Disney Co. (the)
$14.72M
+129.8K shares
UPS
NEW
United Parcel Service Inc
$13.83M
+128.9K shares
BIIB
NEW
Biogen Inc
$12.43M
+45.4K shares
MU
NEW
Micron Technology Inc
$11.71M
+405.3K shares
ADBE
NEW
Adobe Inc.
$11.67M
+89.7K shares
X
NEW
United States Steel Corporation
$8.45M
+249.9K shares
AMGN
NEW
Amgen Inc
$8.44M
+51.5K shares
DISH
NEW
Dish Network Corporation
$6.87M
+108.2K shares
ILMN
NEW
Illumina Inc
$6.80M
+39.8K shares
CELG
NEW
Celgene Corporation
$5.40M
+43.4K shares
BMY
NEW
Bristol-Myers Squibb Co.
$5.26M
+96.7K shares
PX
NEW
Praxair, Inc.
$4.96M
+41.8K shares
FLR
NEW
Fluor Corporation
$4.81M
+91.5K shares
RIG
NEW
Transocean Ltd
$4.81M
+386.2K shares
ACN
NEW
Accenture Plc
$4.53M
+37.8K shares
DE
NEW
Deere & Company
$4.44M
+40.8K shares
NFX
NEW
Newfield Exploration Company
$4.33M
+117.3K shares
Show all 124 buys (104 more)
Sells
BSX
EXIT
Boston Scientific Corporation
$1.97M
- $1.97M
=
Closed
-91.0K shares (100%)
CBS
EXIT
Cbs Corp
$4.94M
- $4.94M
=
Closed
-77.7K shares (100%)
CHRW
EXIT
C.h. Robinson Worldwide, Inc.
$1.65M
- $1.65M
=
Closed
-22.5K shares (100%)
CNP
EXIT
Centerpoint Energy Inc
$973.0K
- $973.0K
=
Closed
-39.5K shares (100%)
CERN
EXIT
Cerner Corporation
$11.80M
- $11.80M
=
Closed
-249.2K shares (100%)
CHK
EXIT
Chesapeake Energy Corporation
$5.42M
- $5.42M
=
Closed
-771.6K shares (100%)
CTAS
EXIT
Cintas Corporation
$2.77M
- $2.77M
=
Closed
-24.0K shares (100%)
C
EXIT
Citigroup Inc
$4.64M
- $4.64M
=
Closed
-78.0K shares (100%)
CTXS
EXIT
Citrix Systems Inc
$6.06M
- $6.06M
=
Closed
-67.9K shares (100%)
CLX
EXIT
Clorox Co/the
$2.80M
- $2.80M
=
Closed
-23.4K shares (100%)
AFL
EXIT
Aflac Incorporated
$3.17M
- $3.17M
=
Closed
-45.6K shares (100%)
ABT
EXIT
Abbott Laboratories
$3.08M
- $3.08M
=
Closed
-80.2K shares (100%)
ATVI
EXIT
Activision Blizzard, Inc.
$857.0K
- $857.0K
=
Closed
-23.7K shares (100%)
AMG
EXIT
Affiliated Managers Group Inc
$3.01M
- $3.01M
=
Closed
-20.7K shares (100%)
AMP
EXIT
Ameriprise Financial Inc
$2.11M
- $2.11M
=
Closed
-19.0K shares (100%)
ADI
EXIT
Analog Devices Inc
$6.18M
- $6.18M
=
Closed
-85.1K shares (100%)
ANSS
EXIT
Ansys Inc
$305.0K
- $305.0K
=
Closed
-3.3K shares (100%)
ELV
EXIT
Anthem Inc.
$10.73M
- $10.73M
=
Closed
-74.6K shares (100%)
AAPL
EXIT
Apple Inc
$48.24M
- $48.24M
=
Closed
-416.5K shares (100%)
AMAT
EXIT
Applied Materials, Inc.
$7.61M
- $7.61M
=
Closed
-235.7K shares (100%)
Show all 207 sells (187 more)