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Bridgewater Associates LP (Ray Dalio) - FilingSpy
Bridgewater Associates LP
Ray Dalio
$18.26B
13F
2021 Q3
18 of 53 quarters
Overview
Activity
Holdings
Buys
DIDIY
NEW
Didi Global Inc.
$70.03M
+8.99M shares
COUR
NEW
Coursera Inc
$6.93M
+218.9K shares
PM
NEW
Philip Morris International Inc.
$6.84M
+72.1K shares
RH
NEW
Rh
$6.79M
+10.2K shares
ACN
NEW
Accenture Plc
$5.39M
+16.8K shares
AMZN
NEW
Amazon.com Inc
$5.32M
+1.6K shares
TMO
NEW
Thermo Fisher Scientific Inc
$5.02M
+8.8K shares
FIGS
NEW
Figs Inc
$4.48M
+120.7K shares
AGL
NEW
Agilon Health Inc
$4.16M
+158.6K shares
WAL
NEW
Western Alliance Bancorp
$4.15M
+38.2K shares
AMT
NEW
American Tower Corporation
$3.95M
+14.9K shares
LMT
NEW
Lockheed Martin Corp
$3.77M
+10.9K shares
MOMO
NEW
Hello Group Inc
$3.70M
+349.4K shares
SU
NEW
Suncor Energy Inc.
$3.64M
+175.5K shares
LEVI
NEW
Levi Strauss & Co
$3.32M
+135.4K shares
PBA
NEW
Pembina Pipeline Corporation
$3.21M
+101.2K shares
MRNA
NEW
Moderna, Inc.
$3.20M
+8.3K shares
MO
NEW
Altria Group Inc
$3.02M
+66.3K shares
BKNG
NEW
Booking Holdings Inc
$3.00M
+1.3K shares
FISV
NEW
Fiserv, Inc.
$2.77M
+25.5K shares
Show all 460 buys (440 more)
Sells
SEDG
EXIT
Solaredge Technologies Inc
$1.24M
- $1.24M
=
Closed
-4.5K shares (100%)
SCCO
EXIT
Southern Copper Corporation
$15.03M
- $15.03M
=
Closed
-233.7K shares (100%)
SPTN
EXIT
Spartannash Company
$1.29M
- $1.29M
=
Closed
-66.8K shares (100%)
SWK
EXIT
Stanley Black & Decker Inc
$7.65M
- $7.65M
=
Closed
-37.3K shares (100%)
SUI
EXIT
Sun Communities, Inc.
$733.0K
- $733.0K
=
Closed
-4.3K shares (100%)
TFII
EXIT
Tfi International Inc.
$607.0K
- $607.0K
=
Closed
-6.6K shares (100%)
TDY
EXIT
Teledyne Technologies, Inc.
$716.0K
- $716.0K
=
Closed
-1.7K shares (100%)
TER
EXIT
Teradyne Inc
$5.57M
- $5.57M
=
Closed
-41.5K shares (100%)
TXN
EXIT
Texas Instruments Incorporated
$17.19M
- $17.19M
=
Closed
-89.4K shares (100%)
AGCO
EXIT
Agco Corporation
$2.38M
- $2.38M
=
Closed
-18.3K shares (100%)
ATVI
EXIT
Activision Blizzard, Inc.
$26.50M
- $26.50M
=
Closed
-277.6K shares (100%)
AMD
EXIT
Advanced Micro Devices Inc
$10.41M
- $10.41M
=
Closed
-110.9K shares (100%)
APD
EXIT
Air Products & Chemicals, Inc.
$23.08M
- $23.08M
=
Closed
-80.2K shares (100%)
ARE
EXIT
Alexandria Real Estate Equities, Inc.
$990.0K
- $990.0K
=
Closed
-5.4K shares (100%)
ALXN
EXIT
Alexion Pharmaceuticals Inc
$790.0K
- $790.0K
=
Closed
-4.3K shares (100%)
COLD
EXIT
Americold Realty Trust Inc
$500.0K
- $500.0K
=
Closed
-13.2K shares (100%)
AME
EXIT
Ametek Inc
$8.47M
- $8.47M
=
Closed
-63.5K shares (100%)
APH
EXIT
Amphenol Corp
$13.23M
- $13.23M
=
Closed
-193.5K shares (100%)
ADI
EXIT
Analog Devices Inc
$16.39M
- $16.39M
=
Closed
-95.2K shares (100%)
ANSS
EXIT
Ansys Inc
$12.56M
- $12.56M
=
Closed
-36.2K shares (100%)
Show all 355 sells (335 more)