13F.
Bridgewater Associates, LP
13F-HR

Q3 2016

Period Sep 30, 2016Filed Nov 9, 2016View on EDGAR ↗
Positions
299
Total value
$10.16B
Top 10 concentration
84.1%
New positions
91

Exited positionsvs. Q2 2016

  • BARRICK GOLD CORP ($45.11M)
  • METLIFE INC ($16.53M)
  • MERCK & CO INC ($14.49M)
  • PARKER HANNIFIN CORP ($14.45M)
  • CVS HEALTH CORP ($14.33M)
  • PEPSICO INC ($10.97M)
  • LINCOLN NATL CORP IND ($10.94M)
  • NETAPP INC ($10.93M)

Holdings · 299

#Class
1
VANGUARD INTL EQUITY INDEX F
922042858
FTSE EMR MKT ETF$3.03B29.79%80,412,854+14.9%
2
ISHARES TR
464287234
MSCI EMG MKT ETF$2.66B26.18%70,996,740+85.9%
3
SPDR S&P 500 ETF TR
78462F103
TR UNIT$2.35B23.19%10,887,300+6.5%
4
ISHARES
464286400
MSCI BRZ CAP ETF$154.28M1.52%4,573,811+10.0%
5
ISHARES TR
464287242
IBOXX INV CP ETF$113.31M1.12%919,855+2.5%
6
ISHARES INC
46434G103
CORE MSCI EMKT$60.17M0.59%1,319,320New
7
INTEL CORP
458140100
COM$57.5M0.57%1,523,043+54.1%
8
APPLE INC
037833100
COM$39.18M0.39%346,600+186.0%
9
ISHARES TR
464287200
CORE S&P500 ETF$38.07M0.37%175,000
10
MICROSOFT CORP
594918104
COM$35.92M0.35%623,548+108.5%
11
EXPRESS SCRIPTS HLDG CO
30219G108
COM$28.44M0.28%403,218+29.4%
12
SUNCOR ENERGY INC NEW
867224107
COM$27.63M0.27%996,900+23.3%
13
CISCO SYS INC
17275R102
COM$27.27M0.27%859,590+133.6%
14
JUNIPER NETWORKS INC
48203R104
COM$26.12M0.26%1,085,556+24.6%
15
GILEAD SCIENCES INC
375558103
COM$24.94M0.25%315,272-15.9%
16
APPLIED MATLS INC
038222105
COM$22.27M0.22%738,683+57.3%
17
PFIZER INC
717081103
COM$21.21M0.21%626,339+11.7%
18
BRISTOL MYERS SQUIBB CO
110122108
COM$21.06M0.21%390,577+109.5%
19
NOBLE CORP PLC
G65431101
SHS USD$20.98M0.21%3,308,530+46.8%
20
CANADIAN NAT RES LTD
136385101
COM$20.84M0.21%653,119+21.0%
21
TEXAS INSTRS INC
882508104
COM$20.48M0.20%291,781+51.7%
22
SOUTHWESTERN ENERGY CO
845467109
COM$20.06M0.20%1,449,623New
23
UNITED RENTALS INC
911363109
COM$19.83M0.20%252,630+19.6%
24
ALLIANCE DATA SYSTEMS CORP
018581108
COM$18.25M0.18%85,071-49.1%
25
ENDO INTL PLC
G30401106
SHS$17.88M0.18%887,293New
26
CHEVRON CORP NEW
166764100
COM$16.57M0.16%161,000+10.3%
27
EXXON MOBIL CORP
30231G102
COM$16.5M0.16%189,000+15.8%
28
INTERNATIONAL BUSINESS MACHS
459200101
COM$16.38M0.16%103,100New
29
BP PLC
055622104
SPONSORED ADR$16.31M0.16%463,900+2.2%
30
BHP BILLITON LTD
088606108
SPONSORED ADR$16.24M0.16%468,611-15.1%
31
CAMPBELL SOUP CO
134429109
COM$16.14M0.16%295,122+445.4%
32
OCCIDENTAL PETE CORP DEL
674599105
COM$16.03M0.16%219,800+9.4%
33
PETROLEO BRASILEIRO SA PETRO
71654V408
SPONSORED ADR$15.96M0.16%1,710,200-4.9%
34
RIO TINTO PLC
767204100
SPONSORED ADR$15.95M0.16%477,500-8.3%
35
IMPERIAL OIL LTD
453038408
COM NEW$15.91M0.16%509,450+21.2%
36
ROGERS COMMUNICATIONS INC
775109200
CL B$15.74M0.15%371,700New
37
V F CORP
918204108
COM$15.64M0.15%279,041+72.4%
38
MACYS INC
55616P104
COM$15.61M0.15%421,380+16.3%
39
EOG RES INC
26875P101
COM$15.06M0.15%155,765-4.5%
40
CONOCOPHILLIPS
20825C104
COM$14.84M0.15%341,444-0.6%
41
CONAGRA FOODS INC
205887102
COM$14.38M0.14%305,276New
42
MONDELEZ INTL INC
609207105
CL A$14.11M0.14%321,483+5.9%
43
TELUS CORP
87971M103
COM$14.01M0.14%425,300New
44
KOHLS CORP
500255104
COM$13.7M0.13%313,136-11.4%
45
ADOBE SYS INC
00724F101
COM$13.67M0.13%125,900+90.2%
46
BED BATH & BEYOND INC
075896100
COM$13.62M0.13%315,810-30.7%
47
UNITED THERAPEUTICS CORP DEL
91307C102
COM$13.44M0.13%113,805+77.5%
48
NEWMONT MINING CORP
651639106
COM$13.33M0.13%339,164+16.9%
49
LYONDELLBASELL INDUSTRIES N
N53745100
SHS - A -$13.18M0.13%163,398-53.7%
50
UNITED PARCEL SERVICE INC
911312106
CL B$12.92M0.13%118,100New
51
MCDONALDS CORP
580135101
COM$12.61M0.12%109,287+2.1%
52
COCA COLA CO
191216100
COM$12.38M0.12%292,606+261.2%
53
CENTURYLINK INC
156700106
COM$12.2M0.12%444,625-31.4%
54
MOTOROLA SOLUTIONS INC
620076307
COM NEW$11.82M0.12%154,998-21.8%
55
GOLDCORP INC NEW
380956409
COM$11.72M0.12%709,119-58.8%
56
MOHAWK INDS INC
608190104
COM$11.51M0.11%57,457+88.0%
57
HOME DEPOT INC
437076102
COM$11.22M0.11%87,200+123.6%
58
KELLOGG CO
487836108
COM$10.88M0.11%140,442+2094.4%
59
L BRANDS INC
501797104
COM$10.76M0.11%152,076New
60
FOOT LOCKER INC
344849104
COM$10.64M0.10%157,156-22.1%
61
DARDEN RESTAURANTS INC
237194105
COM$10.54M0.10%171,858+76.9%
62
DISH NETWORK CORP
25470M109
CL A$10.52M0.10%192,006-11.6%
63
FRANCO NEVADA CORP
351858105
COM$10.46M0.10%149,928+20.8%
64
PENNEY J C INC
708160106
COM$10.46M0.10%1,134,000New
65
LOWES COS INC
548661107
COM$10.4M0.10%144,000+167.7%
66
TRANSCANADA CORP
89353D107
COM$10.39M0.10%218,600+69.7%
67
WHIRLPOOL CORP
963320106
COM$10.38M0.10%64,000+89.3%
68
GAP INC DEL
364760108
COM$10.36M0.10%465,605+29.4%
69
AGNICO EAGLE MINES LTD
008474108
COM$10.07M0.10%185,932-59.5%
70
SILVER WHEATON CORP
828336107
COM$9.94M0.10%367,874-56.5%
71
ANADARKO PETE CORP
032511107
COM$9.85M0.10%155,480+4.1%
72
MAXIM INTEGRATED PRODS INC
57772K101
COM$9.8M0.10%245,496-8.7%
73
LAM RESEARCH CORP
512807108
COM$9.74M0.10%102,880+26.9%
74
DISCOVERY COMMUNICATNS NEW
25470F104
COM SER A$9.62M0.09%357,335-37.1%
75
ORACLE CORP
68389X105
COM$9.5M0.09%241,828+171.0%
76
TE CONNECTIVITY LTD
H84989104
REG SHS$9.48M0.09%147,200+39.0%
77
KIMBERLY CLARK CORP
494368103
COM$9.37M0.09%74,300New
78
ANTHEM INC
036752103
COM$9.36M0.09%74,679+73.7%
79
F5 NETWORKS INC
315616102
COM$9.21M0.09%73,910-15.5%
80
TWENTY FIRST CENTY FOX INC
90130A101
CL A$9.11M0.09%376,300+607.3%
81
STAPLES INC
855030102
COM$9.11M0.09%1,065,425-59.6%
82
PIONEER NAT RES CO
723787107
COM$8.95M0.09%48,200-6.0%
83
CITRIX SYS INC
177376100
COM$8.8M0.09%103,295-8.0%
84
INTL PAPER CO
460146103
COM$8.45M0.08%176,140+21.1%
85
NVIDIA CORP
67066G104
COM$8.45M0.08%123,321+50.2%
86
AMERISOURCEBERGEN CORP
03073E105
COM$8.26M0.08%102,192-68.0%
87
ISHARES TR
464288513
IBOXX HI YD ETF$8.24M0.08%94,400+18.4%
88
RANDGOLD RES LTD
752344309
ADR$7.8M0.08%77,981+18.9%
89
VALE S A
91912E105
ADR$7.78M0.08%1,415,300-1.7%
90
CLOROX CO DEL
189054109
COM$7.63M0.08%60,980New
91
CARDINAL HEALTH INC
14149Y108
COM$7.56M0.07%97,257-32.3%
92
DIAMOND OFFSHORE DRILLING IN
25271C102
COM$7.5M0.07%425,690New
93
TARGET CORP
87612E106
COM$7.49M0.07%109,075-26.0%
94
MASCO CORP
574599106
COM$7.27M0.07%211,998+14.3%
95
CENOVUS ENERGY INC
15135U109
COM$7.27M0.07%507,297+21.3%
96
KANSAS CITY SOUTHERN
485170302
COM NEW$6.95M0.07%74,498+241.0%
97
MCKESSON CORP
58155Q103
COM$6.9M0.07%41,359+24.0%
98
D R HORTON INC
23331A109
COM$6.79M0.07%224,718-22.2%
99
ANALOG DEVICES INC
032654105
COM$6.78M0.07%105,239+56.4%
100
APACHE CORP
037411105
COM$6.69M0.07%104,800-5.5%
101
DR PEPPER SNAPPLE GROUP INC
26138E109
COM$6.6M0.06%72,295+105.5%
102
WAL-MART STORES INC
931142103
COM$6.5M0.06%90,100New
103
PRICE T ROWE GROUP INC
74144T108
COM$6.46M0.06%97,200New
104
KROGER CO
501044101
COM$6.37M0.06%214,610New
105
DEVON ENERGY CORP NEW
25179M103
COM$6.34M0.06%143,800-5.1%
106
ISHARES
464286772
MSCI STH KOR ETF$6.33M0.06%108,820New
107
TOLL BROTHERS INC
889478103
COM$6.02M0.06%201,739-66.6%
108
DANAHER CORP DEL
235851102
COM$5.93M0.06%75,600+245.4%
109
GENERAL MLS INC
370334104
COM$5.92M0.06%92,600New
110
SOUTHERN COPPER CORP
84265V105
COM$5.9M0.06%224,497-4.5%
111
XILINX INC
983919101
COM$5.7M0.06%104,915+136.7%
112
CONCHO RES INC
20605P101
COM$5.57M0.05%40,538+2.2%
113
ANGLOGOLD ASHANTI LTD
035128206
SPONSORED ADR$5.46M0.05%342,678+20.5%
114
EDWARDS LIFESCIENCES CORP
28176E108
COM$5.43M0.05%45,065+33.3%
115
ALPHABET INC
02079K305
CAP STK CL A$5.39M0.05%6,700+9.8%
116
VALERO ENERGY CORP NEW
91913Y100
COM$5.39M0.05%101,600-40.0%
117
INTUITIVE SURGICAL INC
46120E602
COM NEW$5.36M0.05%7,400New
118
CONTINENTAL RESOURCES INC
212015101
COM$5.31M0.05%102,260-3.0%
119
JOHNSON & JOHNSON
478160104
COM$5.25M0.05%44,400-65.8%
120
TIFFANY & CO NEW
886547108
COM$5.17M0.05%71,204+210.9%
121
ENSCO PLC
G3157S106
SHS CLASS A$5.1M0.05%599,804-54.5%
122
WESTERN UN CO
959802109
COM$5.03M0.05%241,400-53.8%
123
C H ROBINSON WORLDWIDE INC
12541W209
COM NEW$4.86M0.05%69,000+470.2%
124
MEAD JOHNSON NUTRITION CO
582839106
COM$4.67M0.05%59,126+678.0%
125
NRG ENERGY INC
629377508
COM NEW$4.62M0.05%412,274+243.1%
126
HESS CORP
42809H107
COM$4.62M0.05%86,100-5.2%
127
NUCOR CORP
670346105
COM$4.55M0.04%92,083-55.3%
128
GOLDMAN SACHS GROUP INC
38141G104
COM$4.53M0.04%28,100New
129
KINROSS GOLD CORP
496902404
COM NO PAR$4.38M0.04%1,041,700+14.9%
130
NOBLE ENERGY INC
655044105
COM$4.38M0.04%122,562-3.0%
131
DAVITA INC
23918K108
COM$4.31M0.04%65,300-14.0%
132
ROYAL GOLD INC
780287108
COM$4.3M0.04%55,500+16.6%
133
SKYWORKS SOLUTIONS INC
83088M102
COM$4.29M0.04%56,310-46.1%
134
FIRSTENERGY CORP
337932107
COM$4.28M0.04%129,245+20.4%
135
LABORATORY CORP AMER HLDGS
50540R409
COM NEW$4.24M0.04%30,844+58.1%
136
BANK NEW YORK MELLON CORP
064058100
COM$4.23M0.04%106,000New
137
LEVEL 3 COMMUNICATIONS INC
52729N308
COM NEW$4.12M0.04%88,800+144.0%
138
NIKE INC
654106103
CL B$4.11M0.04%78,028+544.9%
139
MARATHON PETE CORP
56585A102
COM$4.06M0.04%100,100New
140
MICROCHIP TECHNOLOGY INC
595017104
COM$4M0.04%64,369-35.2%
141
RED HAT INC
756577102
COM$3.96M0.04%48,963New
142
EQT CORP
26884L109
COM$3.96M0.04%54,486+1.5%
143
S&P GLOBAL INC
78409V104
COM$3.94M0.04%31,100-42.7%
144
HERSHEY CO
427866108
COM$3.87M0.04%40,471New
145
FEDEX CORP
31428X106
COM$3.87M0.04%22,136-79.0%
146
ILLINOIS TOOL WKS INC
452308109
COM$3.8M0.04%31,705+42.3%
147
O REILLY AUTOMOTIVE INC NEW
67103H107
COM$3.77M0.04%13,469+64.9%
148
CELGENE CORP
151020104
COM$3.73M0.04%35,700+389.0%
149
EASTMAN CHEM CO
277432100
COM$3.64M0.04%53,800-61.2%
150
MARATHON OIL CORP
565849106
COM$3.64M0.04%230,200-4.4%
151
SHERWIN WILLIAMS CO
824348106
COM$3.62M0.04%13,100New
152
CIMAREX ENERGY CO
171798101
COM$3.61M0.04%26,859-2.9%
153
CABOT OIL & GAS CORP
127097103
COM$3.57M0.04%138,480+0.2%
154
TAHOE RES INC
873868103
COM$3.46M0.03%270,300+27.8%
155
BLACKROCK INC
09247X101
COM$3.44M0.03%9,500New
156
GOLD FIELDS LTD NEW
38059T106
SPONSORED ADR$3.44M0.03%709,200+21.1%
157
MONSTER BEVERAGE CORP NEW
61174X109
COM$3.42M0.03%23,310New
158
YAMANA GOLD INC
98462Y100
COM$3.42M0.03%792,668-59.6%
159
ACTIVISION BLIZZARD INC
00507V109
COM$3.41M0.03%76,910-17.8%
160
EATON CORP PLC
G29183103
SHS$3.35M0.03%50,992-54.6%
161
PUBLIC STORAGE
74460D109
COM$3.34M0.03%14,979+836.2%
162
EXELON CORP
30161N101
COM$3.3M0.03%99,000New
163
GAMESTOP CORP NEW
36467W109
CL A$3.25M0.03%117,700New
164
FACEBOOK INC
30303M102
CL A$3.17M0.03%24,700+4.7%
165
CONSTELLATION BRANDS INC
21036P108
CL A$3.15M0.03%18,913+754.6%
166
TECK RESOURCES LTD
878742204
CL B$3.08M0.03%171,100-2.5%
167
PETROCHINA CO LTD
71646E100
SPONSORED ADR$3M0.03%44,956+116.0%
168
RANGE RES CORP
75281A109
COM$2.94M0.03%75,804+46.9%
169
VERIZON COMMUNICATIONS INC
92343V104
COM$2.89M0.03%55,600New
170
PANERA BREAD CO
69840W108
CL A$2.86M0.03%14,700New
171
SIBANYE GOLD LTD
825724206
SPONSORED ADR$2.78M0.03%196,826+21.4%
172
NORTHERN TR CORP
665859104
COM$2.75M0.03%40,500+216.4%
173
MORGAN STANLEY
617446448
COM NEW$2.74M0.03%85,500New
174
ENCANA CORP
292505104
COM$2.72M0.03%260,800+64.5%
175
MEDTRONIC PLC
G5960L103
SHS$2.68M0.03%31,000New
176
ABBOTT LABS
002824100
COM$2.62M0.03%62,000-40.4%
177
TESORO CORP
881609101
COM$2.59M0.03%32,600-79.6%
178
BORGWARNER INC
099724106
COM$2.55M0.03%72,400-61.6%
179
AUTOZONE INC
053332102
COM$2.52M0.02%3,280New
180
STARBUCKS CORP
855244109
COM$2.43M0.02%44,900-77.5%
181
ELDORADO GOLD CORP NEW
284902103
COM$2.35M0.02%597,900+14.2%
182
FACTSET RESH SYS INC
303075105
COM$2.33M0.02%14,400+269.2%
183
PUBLIC SVC ENTERPRISE GROUP
744573106
COM$2.32M0.02%55,457New
184
CHESAPEAKE ENERGY CORP
165167107
COM$2.31M0.02%367,600New
185
B2GOLD CORP
11777Q209
COM$2.28M0.02%872,500+29.6%
186
FLUOR CORP NEW
343412102
COM$2.25M0.02%43,866New
187
SBA COMMUNICATIONS CORP
78388J106
COM$2.2M0.02%19,604New
188
FASTENAL CO
311900104
COM$2.19M0.02%52,411New
189
CA INC
12673P105
COM$2.13M0.02%64,500New
190
SCHWAB CHARLES CORP NEW
808513105
COM$2.12M0.02%67,200New
191
LEGGETT & PLATT INC
524660107
COM$2.11M0.02%46,300+464.6%
192
CRESCENT PT ENERGY CORP
22576C101
COM$2.03M0.02%153,800+0.5%
193
CERNER CORP
156782104
COM$1.97M0.02%31,900-40.9%
194
CORNING INC
219350105
COM$1.94M0.02%81,900-14.2%
195
NEW GOLD INC CDA
644535106
COM$1.89M0.02%437,400+21.9%
196
TURQUOISE HILL RES LTD
900435108
COM$1.79M0.02%605,500-1.9%
197
THERMO FISHER SCIENTIFIC INC
883556102
COM$1.69M0.02%10,600-15.0%
198
COACH INC
189754104
COM$1.67M0.02%45,700New
199
LENNAR CORP
526057104
CL A$1.63M0.02%38,471+49.7%
200
LILLY ELI & CO
532457108
COM$1.6M0.02%19,881-74.3%
201
CARNIVAL CORP
143658300
UNIT 99/99/9999$1.57M0.02%32,229-76.1%
202
BARD C R INC
067383109
COM$1.55M0.02%6,915-66.8%
203
URBAN OUTFITTERS INC
917047102
COM$1.53M0.02%44,210-77.5%
204
ELECTRONIC ARTS INC
285512109
COM$1.49M0.01%17,400-75.1%
205
INTERCONTINENTAL EXCHANGE IN
45866F104
COM$1.43M0.01%5,300New
206
WEATHERFORD INTL PLC
G48833100
ORD SHS$1.42M0.01%252,400New
207
MARSH & MCLENNAN COS INC
571748102
COM$1.34M0.01%19,900+5.3%
208
AMERICAN EXPRESS CO
025816109
COM$1.33M0.01%20,700-74.5%
209
TJX COS INC NEW
872540109
COM$1.29M0.01%17,241New
210
STATE STR CORP
857477103
COM$1.24M0.01%17,800-70.7%
211
SYMANTEC CORP
871503108
COM$1.22M0.01%48,764+146.7%
212
BOSTON SCIENTIFIC CORP
101137107
COM$1.21M0.01%50,900+425.6%
213
NEW YORK CMNTY BANCORP INC
649445103
COM$1.2M0.01%84,500+116.1%
214
ROSS STORES INC
778296103
COM$1.19M0.01%18,561New
215
AON PLC
G0408V102
SHS CL A$1.19M0.01%10,569New
216
ALTRIA GROUP INC
02209S103
COM$1.14M0.01%18,000New
217
TEVA PHARMACEUTICAL INDS LTD
881624209
ADR$1.14M0.01%24,700
218
MASTERCARD INCORPORATED
57636Q104
CL A$1.13M0.01%11,109+102.0%
219
AMERIPRISE FINL INC
03076C106
COM$1.09M0.01%10,900-58.4%
220
EMERSON ELEC CO
291011104
COM$1.08M0.01%19,800-87.5%
221
FORTUNE BRANDS HOME & SEC IN
34964C106
COM$1.07M0.01%18,400+106.7%
222
FLOWSERVE CORP
34354P105
COM$1.07M0.01%22,100-31.8%
223
CME GROUP INC
12572Q105
COM$1.04M0.01%9,900New
224
PRICELINE GRP INC
741503403
COM NEW$1.03M0.01%700-80.0%
225
CAMECO CORP
13321L108
COM$1.02M0.01%119,700-5.7%
226
SMUCKER J M CO
832696405
COM NEW$976K0.01%7,200New
227
FORTIVE CORP
34959J108
COM$972K0.01%19,092New
228
WASTE MGMT INC DEL
94106L109
COM$948K0.01%14,863-7.5%
229
FRANKLIN RES INC
354613101
COM$935K0.01%26,300+174.0%
230
WYNDHAM WORLDWIDE CORP
98310W108
COM$916K0.01%13,600+240.0%
231
BECTON DICKINSON & CO
075887109
COM$899K0.01%5,000+33.8%
232
NASDAQ INC
631103108
COM$885K0.01%13,100+89.9%
233
AMC NETWORKS INC
00164V103
CL A$856K0.01%16,500-24.1%
234
BIOMARIN PHARMACEUTICAL INC
09061G101
COM$826K0.01%8,926New
235
DDR CORP
23317H102
COM$678K0.01%38,900New
236
BOEING CO
097023105
COM$640K0.01%4,856-91.5%
237
PACCAR INC
693718108
COM$623K0.01%10,600-87.0%
238
SPLUNK INC
848637104
COM$622K0.01%10,600New
239
CHARTER COMMUNICATIONS INC N
16119P108
CL A$594K0.01%2,200
240
AIR PRODS & CHEMS INC
009158106
COM$541K0.01%3,600-78.2%
241
EQUINIX INC
29444U700
COM PAR $0.001$504K0.00%1,400New
242
ABERCROMBIE & FITCH CO
002896207
CL A$485K0.00%30,500New
243
INVESCO LTD
G491BT108
SHS$472K0.00%15,100-95.0%
244
AUTONATION INC
05329W102
COM$468K0.00%9,618New
245
MARTIN MARIETTA MATLS INC
573284106
COM$466K0.00%2,600-91.4%
246
COCA COLA EUROPEAN PARTNERS
G25839104
SHS$454K0.00%11,384New
247
KILROY RLTY CORP
49427F108
COM$451K0.00%6,500New
248
DICKS SPORTING GOODS INC
253393102
COM$437K0.00%7,700-8.3%
249
GNC HLDGS INC
36191G107
COM CL A$434K0.00%21,261New
250
LAUDER ESTEE COS INC
518439104
CL A$434K0.00%4,900-86.3%
251
CSRA INC
12650T104
COM$401K0.00%14,900New
252
SL GREEN RLTY CORP
78440X101
COM$400K0.00%3,700New
253
STERICYCLE INC
858912108
COM$393K0.00%4,900New
254
ASHLAND GLOBAL HLDGS INC
044186104
COM$383K0.00%3,300New
255
GENERAL GROWTH PPTYS INC NEW
370023103
COM$375K0.00%13,600New
256
TRIPADVISOR INC
896945201
COM$370K0.00%5,852-5.6%
257
LIBERTY INTERACTIVE CORP
53071M104
QVC GP COM SER A$342K0.00%17,100-13.6%
258
MOLSON COORS BREWING CO
60871R209
CL B$341K0.00%3,104-56.9%
259
CINTAS CORP
172908105
COM$327K0.00%2,900-9.4%
260
AVALONBAY CMNTYS INC
053484101
COM$320K0.00%1,800New
261
CAPITAL ONE FINL CORP
14040H105
COM$316K0.00%4,400-94.0%
262
MCCORMICK & CO INC
579780206
COM NON VTG$310K0.00%3,100New
263
DUNKIN BRANDS GROUP INC
265504100
COM$307K0.00%5,900New
264
OASIS PETE INC NEW
674215108
COM$298K0.00%26,000New
265
PENTAIR PLC
G7S00T104
SHS$296K0.00%4,600New
266
FLEETCOR TECHNOLOGIES INC
339041105
COM$295K0.00%1,700New
267
SENSATA TECHNOLOGIES HLDG NV
N7902X106
SHS$293K0.00%7,556-51.9%
268
REALOGY HLDGS CORP
75605Y106
COM$292K0.00%11,300New
269
MADISON SQUARE GARDEN CO NEW
55825T103
CL A$288K0.00%1,700New
270
CALPINE CORP
131347304
COM NEW$287K0.00%22,700New
271
CBRE GROUP INC
12504L109
CL A$283K0.00%10,100-70.9%
272
BIOGEN INC
09062X103
COM$282K0.00%900-98.3%
273
FLEX LTD
Y2573F102
ORD$282K0.00%20,729+21.9%
274
FIDELITY NATIONAL FINANCIAL
31620R303
FNF GROUP COM$277K0.00%7,500New
275
AGCO CORP
001084102
COM$276K0.00%5,600-70.4%
276
TAUBMAN CTRS INC
876664103
COM$275K0.00%3,700New
277
SIGNATURE BK NEW YORK N Y
82669G104
COM$272K0.00%2,300-74.2%
278
COMMUNITY HEALTH SYS INC NEW
203668108
COM$270K0.00%23,400New
279
WELLCARE HEALTH PLANS INC
94946T106
COM$269K0.00%2,300New
280
DENTSPLY SIRONA INC
24906P109
COM$267K0.00%4,500-25.0%
281
SEALED AIR CORP NEW
81211K100
COM$263K0.00%5,730New
282
COSTCO WHSL CORP NEW
22160K105
COM$259K0.00%1,700New
283
F M C CORP
302491303
COM NEW$257K0.00%5,323-65.0%
284
BRINKS CO
109696104
COM$256K0.00%6,893New
285
VERISK ANALYTICS INC
92345Y106
COM$252K0.00%3,100-16.2%
286
OWENS CORNING NEW
690742101
COM$246K0.00%4,600New
287
WILLIS TOWERS WATSON PUB LTD
G96629103
SHS$242K0.00%1,823-53.3%
288
MANPOWERGROUP INC
56418H100
COM$240K0.00%3,319-86.1%
289
AUTOMATIC DATA PROCESSING IN
053015103
COM$238K0.00%2,700New
290
TRI POINTE GROUP INC
87265H109
COM$238K0.00%18,091New
291
ULTA SALON COSMETCS & FRAG I
90384S303
COM$238K0.00%1,000New
292
DEVRY ED GROUP INC
251893103
COM$233K0.00%10,100New
293
BEMIS INC
081437105
COM$230K0.00%4,500New
294
BALL CORP
058498106
COM$229K0.00%2,800New
295
LINKEDIN CORP
53578A108
COM CL A$229K0.00%1,200
296
TIME INC NEW
887228104
COM$225K0.00%15,526New
297
LAS VEGAS SANDS CORP
517834107
COM$219K0.00%3,800New
298
NEW YORK TIMES CO
650111107
CL A$215K0.00%18,000New
299
NUANCE COMMUNICATIONS INC
67020Y100
COM$183K0.00%12,648-54.8%
Total filing value: $10.16B