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Bridgewater Associates LP (Ray Dalio) - FilingSpy
Bridgewater Associates LP
Ray Dalio
$16.19B
13F
2023 Q2
11 of 53 quarters
Overview
Activity
Holdings
Buys
T
NEW
AT&T Inc.
$31.62M
+1.98M shares
DASH
NEW
Doordash, Inc.
$28.15M
+368.3K shares
MU
NEW
Micron Technology Inc
$13.79M
+218.6K shares
SPOT
NEW
Spotify Technology S.a.
$11.05M
+68.8K shares
ENPH
NEW
Enphase Energy Inc
$10.89M
+65.1K shares
CMI
NEW
Cummins, Inc.
$9.67M
+39.5K shares
CP
NEW
Canadian Pacific Kansas City Limited
$8.39M
+103.8K shares
KLAC
NEW
Kla Corporation
$7.70M
+15.9K shares
MSI
NEW
Motorola Solutions Inc
$6.11M
+20.8K shares
WSM
NEW
Williams-Sonoma Inc
$6.04M
+48.3K shares
PGR
NEW
The Progressive Corporation
$5.85M
+44.2K shares
TXN
NEW
Texas Instruments Incorporated
$5.26M
+29.2K shares
NKE
NEW
Nike Inc
$4.98M
+45.1K shares
NEE
NEW
Nextera Energy Inc
$4.32M
+58.2K shares
DOCU
NEW
Docusign Inc
$4.26M
+83.5K shares
LHX
NEW
L3harris Technologies Inc
$3.94M
+20.1K shares
CAT
NEW
Caterpillar Inc
$3.88M
+15.8K shares
VST
NEW
Vistra Energy Corp
$3.83M
+145.8K shares
DBX
NEW
Dropbox Inc
$3.20M
+120.0K shares
KEYS
NEW
Keysight Technologies, Inc.
$3.12M
+18.6K shares
Show all 348 buys (328 more)
Sells
AGNC
EXIT
Agnc Investment Corp
$1.44M
- $1.44M
=
Closed
-143.0K shares (100%)
AMCX
EXIT
Amc Networks Inc
$1.01M
- $1.01M
=
Closed
-57.7K shares (100%)
AAP
EXIT
Advance Auto Parts Inc
$1.43M
- $1.43M
=
Closed
-11.8K shares (100%)
API
EXIT
Agora, Inc.
$356.0K
- $356.0K
=
Closed
-98.3K shares (100%)
LNT
EXIT
Alliant Energy Corporation
$640.5K
- $640.5K
=
Closed
-12.0K shares (100%)
AIG
EXIT
American International Group Inc
$7.88M
- $7.88M
=
Closed
-156.6K shares (100%)
AMT
EXIT
American Tower Corporation
$6.47M
- $6.47M
=
Closed
-31.7K shares (100%)
AR
EXIT
Antero Resources Corp
$2.19M
- $2.19M
=
Closed
-94.8K shares (100%)
AMAT
EXIT
Applied Materials, Inc.
$232.0K
- $232.0K
=
Closed
-1.9K shares (100%)
AROC
EXIT
Archrock Inc
$103.1K
- $103.1K
=
Closed
-10.5K shares (100%)
BZUN
EXIT
Baozun Inc
$189.8K
- $189.8K
=
Closed
-31.5K shares (100%)
BHE
EXIT
Benchmark Electronics Inc
$921.1K
- $921.1K
=
Closed
-38.9K shares (100%)
BILL
EXIT
Bill Holdings Inc
$2.34M
- $2.34M
=
Closed
-28.8K shares (100%)
BKI
EXIT
Black Knight Inc
$4.36M
- $4.36M
=
Closed
-75.8K shares (100%)
BLMN
EXIT
Bloomin Brands Inc
$273.9K
- $273.9K
=
Closed
-10.7K shares (100%)
AVGO
EXIT
Broadcom Inc
$10.19M
- $10.19M
=
Closed
-15.9K shares (100%)
CP
EXIT
Canadian Pacific Railway Limited
$8.97M
- $8.97M
=
Closed
-116.6K shares (100%)
CSII
EXIT
Cardiovascular Systems Inc
$984.6K
- $984.6K
=
Closed
-49.6K shares (100%)
CINF
EXIT
Cincinnati Financial Corporation
$594.5K
- $594.5K
=
Closed
-5.3K shares (100%)
CRUS
EXIT
Cirrus Logic Inc
$2.24M
- $2.24M
=
Closed
-20.5K shares (100%)
Show all 434 sells (414 more)