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Bridgewater Associates LP (Ray Dalio) - FilingSpy
Bridgewater Associates LP
Ray Dalio
$18.32B
13F
2022 Q4
13 of 53 quarters
Overview
Activity
Holdings
Buys
JPM
NEW
JPMorgan Chase & Co.
$92.84M
+692.4K shares
C
NEW
Citigroup Inc
$58.05M
+1.28M shares
NEE
NEW
Nextera Energy Inc
$21.88M
+261.7K shares
FNV
NEW
Franco-Nevada Corp.
$14.63M
+107.4K shares
BLK
NEW
Blackrock Inc
$13.87M
+19.6K shares
WPM
NEW
Wheaton Precious Metals Corp.
$11.54M
+295.3K shares
RGLD
NEW
Royal Gold, Inc.
$10.31M
+91.5K shares
NOC
NEW
Northrop Grumman Corp
$9.91M
+18.2K shares
FTCH
NEW
Farfetch Limited
$8.93M
+1.89M shares
AGI
NEW
Alamos Gold Inc
$8.78M
+868.0K shares
AEM
NEW
Agnico Eagle Mines Ltd.
$7.29M
+140.2K shares
PL
NEW
Planet Labs Pbc
$6.52M
+1.50M shares
MS
NEW
Morgan Stanley
$5.31M
+62.5K shares
ESS
NEW
Essex Property Trust, Inc.
$4.50M
+21.2K shares
ZTS
NEW
Zoetis Inc
$4.06M
+27.7K shares
CC
NEW
The Chemours Company
$3.65M
+119.3K shares
SYNH
NEW
Syneos Health Inc
$3.60M
+98.1K shares
BR
NEW
Broadridge Financial Solutions Inc
$3.33M
+24.8K shares
OVV
NEW
Ovintiv Inc.
$3.16M
+62.3K shares
TROW
NEW
T Rowe Price Group Inc
$2.46M
+22.6K shares
Show all 354 buys (334 more)
Sells
ADT
EXIT
Adt Inc.
$114.0K
- $114.0K
=
Closed
-15.2K shares (100%)
AGCO
EXIT
Agco Corporation
$1.27M
- $1.27M
=
Closed
-13.2K shares (100%)
ABMD
EXIT
Abiomed Inc
$22.69M
- $22.69M
=
Closed
-92.4K shares (100%)
AYI
EXIT
Acuity Brands Inc
$255.0K
- $255.0K
=
Closed
-1.6K shares (100%)
AMD
EXIT
Advanced Micro Devices Inc
$45.79M
- $45.79M
=
Closed
-722.7K shares (100%)
APD
EXIT
Air Products & Chemicals, Inc.
$8.06M
- $8.06M
=
Closed
-34.6K shares (100%)
ALNY
EXIT
Alnylam Pharmaceuticals, Inc.
$257.0K
- $257.0K
=
Closed
-1.3K shares (100%)
UHAL
EXIT
U-Haul Holding Co
$216.0K
- $216.0K
=
Closed
-425 shares (100%)
AME
EXIT
Ametek Inc
$505.0K
- $505.0K
=
Closed
-4.5K shares (100%)
APH
EXIT
Amphenol Corp
$224.0K
- $224.0K
=
Closed
-3.3K shares (100%)
AMAT
EXIT
Applied Materials, Inc.
$12.01M
- $12.01M
=
Closed
-146.6K shares (100%)
ATR
EXIT
Aptargroup Inc
$956.0K
- $956.0K
=
Closed
-10.1K shares (100%)
CAR
EXIT
Avis Budget Group Inc
$821.0K
- $821.0K
=
Closed
-5.5K shares (100%)
BKR
EXIT
Baker Hughes Company
$1.78M
- $1.78M
=
Closed
-85.1K shares (100%)
BBY
EXIT
Best Buy Co., Inc.
$3.59M
- $3.59M
=
Closed
-56.6K shares (100%)
BLFS
EXIT
Biolife Solutions Inc
$1.43M
- $1.43M
=
Closed
-62.6K shares (100%)
BLMN
EXIT
Bloomin Brands Inc
$2.16M
- $2.16M
=
Closed
-117.9K shares (100%)
BKD
EXIT
Brookdale Senior Living Inc
$361.0K
- $361.0K
=
Closed
-84.5K shares (100%)
CDW
EXIT
Cdw Corporation
$6.37M
- $6.37M
=
Closed
-40.8K shares (100%)
CDNS
EXIT
Cadence Design Systems Inc
$5.40M
- $5.40M
=
Closed
-33.1K shares (100%)
Show all 589 sells (569 more)