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Bridgewater Associates LP (Ray Dalio) - FilingSpy
Bridgewater Associates LP
Ray Dalio
$14.91B
13F
2017 Q3
34 of 53 quarters
Overview
Activity
Holdings
Buys
CLF
NEW
Cleveland-Cliffs Inc.
$19.82M
+2.77M shares
DGX
NEW
Quest Diagnostics Incorporated
$19.49M
+208.1K shares
RIG
NEW
Transocean Ltd
$18.95M
+1.76M shares
KMB
NEW
Kimberly-Clark Corporation
$15.86M
+134.8K shares
VIAB
NEW
Viacom Inc.
$12.71M
+456.6K shares
X
NEW
United States Steel Corporation
$12.42M
+483.9K shares
REGN
NEW
Regeneron Pharmaceuticals, Inc.
$11.49M
+25.7K shares
META
NEW
Meta Platforms Inc
$10.74M
+62.8K shares
KSU
NEW
Kansas City Southern
$9.02M
+83.0K shares
ECL
NEW
Ecolab Inc
$7.86M
+61.1K shares
MA
NEW
Mastercard Incorporated
$7.72M
+54.7K shares
CA
NEW
Ca, Inc.
$7.33M
+219.6K shares
ATVI
NEW
Activision Blizzard, Inc.
$7.28M
+112.8K shares
LRCX
NEW
Lam Research Corp
$6.86M
+37.1K shares
LH
NEW
Labcorp Holdings Inc
$6.44M
+42.7K shares
CTSH
NEW
Cognizant Technology Solutions Corp
$6.22M
+85.7K shares
CAT
NEW
Caterpillar Inc
$6.02M
+48.3K shares
AMT
NEW
American Tower Corporation
$5.75M
+42.1K shares
VFC
NEW
Vf Corp.
$5.17M
+81.3K shares
NVDA
NEW
Nvidia Corporation
$4.78M
+26.7K shares
Show all 164 buys (144 more)
Sells
ENOV
EXIT
Enovis Corporation
$246.0K
- $246.0K
=
Closed
-6.2K shares (100%)
AFL
EXIT
Aflac Incorporated
$619.0K
- $619.0K
=
Closed
-8.0K shares (100%)
AGCO
EXIT
Agco Corporation
$248.0K
- $248.0K
=
Closed
-3.7K shares (100%)
AMCX
EXIT
Amc Networks Inc
$659.0K
- $659.0K
=
Closed
-12.3K shares (100%)
AYI
EXIT
Acuity Brands Inc
$244.0K
- $244.0K
=
Closed
-1.2K shares (100%)
ADBE
EXIT
Adobe Inc.
$11.94M
- $11.94M
=
Closed
-84.4K shares (100%)
ALB
EXIT
Albemarle Corp
$1.58M
- $1.58M
=
Closed
-14.9K shares (100%)
GOOGL
EXIT
Alphabet Inc. (formerly Google Inc.)
$4.24M
- $4.24M
=
Closed
-4.6K shares (100%)
ABC
EXIT
Amerisourcebergen Corporation
$2.06M
- $2.06M
=
Closed
-21.8K shares (100%)
ALV
EXIT
Autoliv Inc
$674.0K
- $674.0K
=
Closed
-6.1K shares (100%)
AVY
EXIT
Avery Dennison Corp
$253.0K
- $253.0K
=
Closed
-2.9K shares (100%)
BALL
EXIT
Ball Corporation
$478.0K
- $478.0K
=
Closed
-11.3K shares (100%)
HRB
EXIT
H&R Block, Inc.
$251.0K
- $251.0K
=
Closed
-8.1K shares (100%)
BMY
EXIT
Bristol-Myers Squibb Co.
$7.30M
- $7.30M
=
Closed
-131.1K shares (100%)
BF.B
EXIT
Brown-Forman Corp
$257.0K
- $257.0K
=
Closed
-5.3K shares (100%)
CBL
EXIT
Cbl & Associates Properties, Inc.
$150.0K
- $150.0K
=
Closed
-17.8K shares (100%)
CHRW
EXIT
C.h. Robinson Worldwide, Inc.
$8.66M
- $8.66M
=
Closed
-126.2K shares (100%)
CERN
EXIT
Cerner Corporation
$337.0K
- $337.0K
=
Closed
-5.1K shares (100%)
CAKE
EXIT
The Cheesecake Factory Incorporated
$606.0K
- $606.0K
=
Closed
-12.1K shares (100%)
CHK
EXIT
Chesapeake Energy Corporation
$26.11M
- $26.11M
=
Closed
-5.25M shares (100%)
Show all 233 sells (213 more)