13F.
Bridgewater Associates, LP
13F-HR

Q1 2017

Period Mar 31, 2017Filed May 11, 2017View on EDGAR ↗
Positions
236
Total value
$8.82B
Top 10 concentration
86.0%
New positions
75

Exited positionsvs. Q4 2016

  • APPLE INC ($48.24M)
  • MOLSON COORS BREWING CO ($27.7M)
  • KELLOGG CO ($18.98M)
  • GENERAL MLS INC ($15.94M)
  • PPG INDS INC ($15.18M)
  • DICKS SPORTING GOODS INC ($15.08M)
  • MANULIFE FINL CORP ($14.92M)
  • TEXAS INSTRS INC ($14.05M)

Holdings · 236

#Class
1
VANGUARD INTL EQUITY INDEX F
922042858
FTSE EMR MKT ETF$2.87B32.52%72,183,616-21.7%
2
SPDR S&P 500 ETF TR
78462F103
TR UNIT$2.33B26.39%9,872,429-2.2%
3
ISHARES TR
464287234
MSCI EMG MKT ETF$1.54B17.48%39,120,778-43.8%
4
ISHARES INC
46434G103
CORE MSCI EMKT$273.03M3.10%5,713,056
5
ISHARES
464286400
MSCI BRZ CAP ETF$220.61M2.50%5,889,241+11.2%
6
ISHARES
464286772
MSCI STH KOR ETF$117.26M1.33%1,895,209+1.7%
7
ISHARES TR
464287242
IBOXX INV CP ETF$116.93M1.33%991,655+1.3%
8
ENDO INTL PLC
G30401106
SHS$42.69M0.48%3,825,502+148.9%
9
ISHARES TR
464287200
CORE S&P500 ETF$41.52M0.47%175,000
10
EXPRESS SCRIPTS HLDG CO
30219G108
COM$35.58M0.40%539,841+53.2%
11
CLIFFS NAT RES INC
18683K101
COM$31.6M0.36%3,848,295New
12
SOUTHWESTERN ENERGY CO
845467109
COM$30.93M0.35%3,785,525+62.7%
13
MACYS INC
55616P104
COM$30.55M0.35%1,030,772+117.8%
14
INTEL CORP
458140100
COM$24.63M0.28%682,862-28.3%
15
DEVON ENERGY CORP NEW
25179M103
COM$23.81M0.27%570,774+340.1%
16
NOBLE CORP PLC
G65431101
SHS USD$22.54M0.26%3,641,870-3.2%
17
GAMESTOP CORP NEW
36467W109
CL A$21.22M0.24%940,995+7.5%
18
GENERAL ELECTRIC CO
369604103
COM$18.03M0.20%604,856New
19
INTERPUBLIC GROUP COS INC
460690100
COM$17.73M0.20%721,530+121.6%
20
BED BATH & BEYOND INC
075896100
COM$16.16M0.18%409,628-30.0%
21
ENSCO PLC
G3157S106
SHS CLASS A$15.94M0.18%1,780,978New
22
INTUIT
461202103
COM$15.9M0.18%137,040+324.3%
23
FIRSTENERGY CORP
337932107
COM$15.49M0.18%486,868+4.4%
24
CONOCOPHILLIPS
20825C104
COM$15.4M0.17%308,844
25
PETROLEO BRASILEIRO SA PETRO
71654V408
SPONSORED ADR$15.13M0.17%1,560,991+3.8%
26
BP PLC
055622104
SPONSORED ADR$15.12M0.17%438,117-1.6%
27
CHEVRON CORP NEW
166764100
COM$15.02M0.17%139,900
28
EXXON MOBIL CORP
30231G102
COM$14.84M0.17%181,004-13.5%
29
MICHAEL KORS HLDGS LTD
G60754101
SHS$14.75M0.17%387,108-2.3%
30
INTERNATIONAL BUSINESS MACHS
459200101
COM$14.74M0.17%84,646-20.3%
31
DISNEY WALT CO
254687106
COM DISNEY$14.72M0.17%129,847New
32
BHP BILLITON LTD
088606108
SPONSORED ADR$14.5M0.16%399,110-5.8%
33
RIO TINTO PLC
767204100
SPONSORED ADR$14.31M0.16%351,670-12.3%
34
EOG RES INC
26875P101
COM$14.02M0.16%143,765
35
UNITED PARCEL SERVICE INC
911312106
CL B$13.83M0.16%128,914New
36
SIMON PPTY GROUP INC NEW
828806109
COM$13.21M0.15%76,784-20.8%
37
ALLIANCE DATA SYSTEMS CORP
018581108
COM$12.89M0.15%51,763-8.6%
38
SUNCOR ENERGY INC NEW
867224107
COM$12.76M0.14%416,700-59.3%
39
CVS HEALTH CORP
126650100
COM$12.71M0.14%161,883+48.5%
40
VALE S A
91912E105
ADR$12.55M0.14%1,321,105+1.6%
41
BIOGEN INC
09062X103
COM$12.43M0.14%45,447New
42
OCCIDENTAL PETE CORP DEL
674599105
COM$12.2M0.14%192,609+0.0%
43
STAPLES INC
855030102
COM$11.94M0.14%1,361,128+33.1%
44
MICRON TECHNOLOGY INC
595112103
COM$11.71M0.13%405,342New
45
ADOBE SYS INC
00724F101
COM$11.67M0.13%89,664New
46
CENTURYLINK INC
156700106
COM$11.12M0.13%471,769-56.4%
47
TYSON FOODS INC
902494103
CL A$11.11M0.13%180,099-23.7%
48
AETNA INC NEW
00817Y108
COM$10.97M0.12%85,970-54.5%
49
FRANCO NEVADA CORP
351858105
COM$10.96M0.12%167,703-15.1%
50
KOHLS CORP
500255104
COM$10.61M0.12%266,435+312.4%
51
RED HAT INC
756577102
COM$10.42M0.12%120,418-56.0%
52
NEWMONT MINING CORP
651639106
COM$10.35M0.12%314,098-10.8%
53
GOLDCORP INC NEW
380956409
COM$10.22M0.12%700,357-22.5%
54
LULULEMON ATHLETICA INC
550021109
COM$10.16M0.12%195,934+73.2%
55
LENNAR CORP
526057104
CL A$9.76M0.11%190,617-35.4%
56
DAVITA INC
23918K108
COM$9.67M0.11%142,304+61.3%
57
AGNICO EAGLE MINES LTD
008474108
COM$9.28M0.11%218,677-14.7%
58
CANADIAN NAT RES LTD
136385101
COM$9.07M0.10%276,473-60.1%
59
SILVER WHEATON CORP
828336107
COM$9M0.10%432,011-11.1%
60
PRICE T ROWE GROUP INC
74144T108
COM$8.99M0.10%131,857+14.9%
61
ANADARKO PETE CORP
032511107
COM$8.72M0.10%140,580
62
MCKESSON CORP
58155Q103
COM$8.47M0.10%57,101-15.7%
63
UNITED STATES STL CORP NEW
912909108
COM$8.45M0.10%249,917New
64
AMGEN INC
031162100
COM$8.44M0.10%51,460New
65
CARNIVAL CORP
143658300
UNIT 99/99/9999$8.14M0.09%138,088+42.3%
66
RANDGOLD RES LTD
752344309
ADR$8.09M0.09%92,676-11.7%
67
ISHARES TR
464288513
IBOXX HI YD ETF$7.97M0.09%90,803-2.3%
68
AMERISOURCEBERGEN CORP
03073E105
COM$7.87M0.09%88,867-38.3%
69
UNITED THERAPEUTICS CORP DEL
91307C102
COM$7.86M0.09%58,092+32.3%
70
PIONEER NAT RES CO
723787107
COM$7.78M0.09%41,788-2.4%
71
LYONDELLBASELL INDUSTRIES N
N53745100
SHS - A -$7.47M0.08%81,914-11.1%
72
JUNIPER NETWORKS INC
48203R104
COM$7.46M0.08%268,087-26.8%
73
DISH NETWORK CORP
25470M109
CL A$6.87M0.08%108,196New
74
ILLUMINA INC
452327109
COM$6.8M0.08%39,843New
75
SOUTHERN COPPER CORP
84265V105
COM$6.78M0.08%188,795-3.1%
76
GAP INC DEL
364760108
COM$6.75M0.08%278,000-28.5%
77
FOOT LOCKER INC
344849104
COM$6.64M0.08%88,686-27.4%
78
TJX COS INC NEW
872540109
COM$6.52M0.07%82,387-8.3%
79
IMPERIAL OIL LTD
453038408
COM NEW$6.5M0.07%213,877-58.6%
80
PENNEY J C INC
708160106
COM$6.45M0.07%1,047,139-34.4%
81
PVH CORP
693656100
COM$6.44M0.07%62,242-11.3%
82
FREEPORT-MCMORAN INC
35671D857
CL B$6.13M0.07%458,486-40.1%
83
WAL-MART STORES INC
931142103
COM$5.91M0.07%81,964-60.3%
84
NETAPP INC
64110D104
COM$5.9M0.07%140,942-29.9%
85
MICROCHIP TECHNOLOGY INC
595017104
COM$5.72M0.06%77,459-33.6%
86
KANSAS CITY SOUTHERN
485170302
COM NEW$5.64M0.06%65,765-19.3%
87
VERISIGN INC
92343E102
COM$5.52M0.06%63,346-33.2%
88
ORACLE CORP
68389X105
COM$5.46M0.06%122,290-55.6%
89
GRAINGER W W INC
384802104
COM$5.41M0.06%23,226+107.4%
90
CELGENE CORP
151020104
COM$5.4M0.06%43,412New
91
DARDEN RESTAURANTS INC
237194105
COM$5.37M0.06%64,214+56.1%
92
BRISTOL MYERS SQUIBB CO
110122108
COM$5.26M0.06%96,670New
93
APACHE CORP
037411105
COM$5.06M0.06%98,500+1.4%
94
CONCHO RES INC
20605P101
COM$5.06M0.06%39,439+7.1%
95
PRAXAIR INC
74005P104
COM$4.96M0.06%41,800New
96
FLUOR CORP NEW
343412102
COM$4.81M0.05%91,450New
97
TRANSOCEAN LTD
H8817H100
REG SHS$4.81M0.05%386,224New
98
NORTHROP GRUMMAN CORP
666807102
COM$4.76M0.05%19,996+308.1%
99
ACCENTURE PLC IRELAND
G1151C101
SHS CLASS A$4.53M0.05%37,774New
100
ROYAL GOLD INC
780287108
COM$4.48M0.05%63,938-17.9%
101
DEERE & CO
244199105
COM$4.44M0.05%40,786New
102
ANGLOGOLD ASHANTI LTD
035128206
SPONSORED ADR$4.44M0.05%411,794-10.6%
103
UNITED RENTALS INC
911363109
COM$4.38M0.05%34,999-67.4%
104
CONTINENTAL RESOURCES INC
212015101
COM$4.35M0.05%95,660
105
NEWFIELD EXPL CO
651290108
COM$4.33M0.05%117,281New
106
EDWARDS LIFESCIENCES CORP
28176E108
COM$4.27M0.05%45,415New
107
KINROSS GOLD CORP
496902404
COM NO PAR$4.26M0.05%1,212,288-14.6%
108
CAPITAL ONE FINL CORP
14040H105
COM$4.11M0.05%47,425New
109
CIMAREX ENERGY CO
171798101
COM$4.06M0.05%33,987+45.5%
110
HESS CORP
42809H107
COM$4.02M0.05%83,280+8.9%
111
STANLEY BLACK & DECKER INC
854502101
COM$3.87M0.04%29,133+62.8%
112
S&P GLOBAL INC
78409V104
COM$3.86M0.04%29,524New
113
CARDINAL HEALTH INC
14149Y108
COM$3.83M0.04%46,958-62.1%
114
NOBLE ENERGY INC
655044105
COM$3.68M0.04%107,164+1.3%
115
CABOT OIL & GAS CORP
127097103
COM$3.66M0.04%152,844+29.8%
116
UNITEDHEALTH GROUP INC
91324P102
COM$3.6M0.04%21,941-86.6%
117
MASCO CORP
574599106
COM$3.49M0.04%102,537-46.8%
118
MARATHON OIL CORP
565849106
COM$3.37M0.04%213,337+3.8%
119
ALPHABET INC
02079K305
CAP STK CL A$3.37M0.04%3,970-33.8%
120
L BRANDS INC
501797104
COM$3.3M0.04%70,033-6.4%
121
PETROCHINA CO LTD
71646E100
SPONSORED ADR$3.18M0.04%43,470
122
TECK RESOURCES LTD
878742204
CL B$3.18M0.04%145,943-0.9%
123
FACTSET RESH SYS INC
303075105
COM$3.04M0.03%18,401+1214.4%
124
SALESFORCE COM INC
79466L302
COM$3.01M0.03%36,447-72.1%
125
MORGAN STANLEY
617446448
COM NEW$2.99M0.03%69,834-53.9%
126
SOUTHWEST AIRLS CO
844741108
COM$2.87M0.03%53,414New
127
GOLD FIELDS LTD NEW
38059T106
SPONSORED ADR$2.84M0.03%804,805-11.7%
128
URBAN OUTFITTERS INC
917047102
COM$2.71M0.03%114,103New
129
B2GOLD CORP
11777Q209
COM$2.69M0.03%946,262-4.4%
130
EQT CORP
26884L109
COM$2.68M0.03%43,786
131
JONES LANG LASALLE INC
48020Q107
COM$2.64M0.03%23,670New
132
YAMANA GOLD INC
98462Y100
COM$2.62M0.03%950,539-9.1%
133
HERSHEY CO
427866108
COM$2.55M0.03%23,342New
134
SIGNATURE BK NEW YORK N Y
82669G104
COM$2.52M0.03%16,999New
135
CENOVUS ENERGY INC
15135U109
COM$2.5M0.03%221,487-57.3%
136
CA INC
12673P105
COM$2.43M0.03%76,696-14.9%
137
TAHOE RES INC
873868103
COM$2.39M0.03%297,797-7.8%
138
FORD MTR CO DEL
345370860
COM PAR $0.01$2.34M0.03%201,176New
139
CISCO SYS INC
17275R102
COM$2.33M0.03%68,861-91.9%
140
ELDORADO GOLD CORP NEW
284902103
COM$2.33M0.03%681,599-17.3%
141
AMERICAN TOWER CORP NEW
03027X100
COM$2.24M0.03%18,425-18.1%
142
CULLEN FROST BANKERS INC
229899109
COM$2.21M0.03%24,890New
143
CAMPBELL SOUP CO
134429109
COM$2.19M0.02%38,259-73.3%
144
GOLDMAN SACHS GROUP INC
38141G104
COM$2.19M0.02%9,520New
145
SMUCKER J M CO
832696405
COM NEW$2.14M0.02%16,354New
146
SALLY BEAUTY HLDGS INC
79546E104
COM$2.13M0.02%104,377+204.1%
147
CBRE GROUP INC
12504L109
CL A$2.13M0.02%61,266New
148
PFIZER INC
717081103
COM$2.12M0.02%62,095-78.0%
149
SIBANYE GOLD LTD
825724206
SPONSORED ADR$2.02M0.02%228,704-2.4%
150
FLEETCOR TECHNOLOGIES INC
339041105
COM$2M0.02%13,223New
151
LAS VEGAS SANDS CORP
517834107
COM$1.98M0.02%34,667-75.7%
152
MCDONALDS CORP
580135101
COM$1.93M0.02%14,886-35.4%
153
EXELON CORP
30161N101
COM$1.91M0.02%53,094-76.8%
154
ASSURANT INC
04621X108
COM$1.9M0.02%19,819New
155
RANGE RES CORP
75281A109
COM$1.86M0.02%63,947+2.5%
156
DR PEPPER SNAPPLE GROUP INC
26138E109
COM$1.82M0.02%18,541New
157
INTL PAPER CO
460146103
COM$1.79M0.02%35,330-43.8%
158
HUNTINGTON BANCSHARES INC
446150104
COM$1.77M0.02%132,196+345.1%
159
FACEBOOK INC
30303M102
CL A$1.76M0.02%12,411-87.6%
160
MAXIM INTEGRATED PRODS INC
57772K101
COM$1.7M0.02%37,908-88.6%
161
WHIRLPOOL CORP
963320106
COM$1.7M0.02%9,944+297.8%
162
WALGREENS BOOTS ALLIANCE INC
931427108
COM$1.68M0.02%20,187New
163
ALEXION PHARMACEUTICALS INC
015351109
COM$1.62M0.02%13,370New
164
VORNADO RLTY TR
929042109
SH BEN INT$1.62M0.02%16,107New
165
LOWES COS INC
548661107
COM$1.61M0.02%19,612+2.1%
166
NEW GOLD INC CDA
644535106
COM$1.58M0.02%529,566-6.4%
167
MICROSOFT CORP
594918104
COM$1.56M0.02%23,710-96.4%
168
TURQUOISE HILL RES LTD
900435108
COM$1.54M0.02%505,204-0.4%
169
SCANA CORP NEW
80589M102
COM$1.47M0.02%22,498New
170
CRESCENT PT ENERGY CORP
22576C101
COM$1.46M0.02%135,178+1.0%
171
BLACKROCK INC
09247X101
COM$1.43M0.02%3,730-91.7%
172
DANAHER CORP DEL
235851102
COM$1.42M0.02%16,638New
173
SYSCO CORP
871829107
COM$1.42M0.02%27,417New
174
THERMO FISHER SCIENTIFIC INC
883556102
COM$1.36M0.02%8,844-69.2%
175
LAUDER ESTEE COS INC
518439104
CL A$1.35M0.02%15,863-82.1%
176
MOTOROLA SOLUTIONS INC
620076307
COM NEW$1.32M0.01%15,327New
177
US BANCORP DEL
902973304
COM NEW$1.31M0.01%25,425-58.3%
178
WASTE MGMT INC DEL
94106L109
COM$1.3M0.01%17,831+88.9%
179
ZIONS BANCORPORATION
989701107
COM$1.28M0.01%30,547New
180
LKQ CORP
501889208
COM$1.28M0.01%43,738-11.0%
181
COGNIZANT TECHNOLOGY SOLUTIO
192446102
CL A$1.28M0.01%21,477-53.3%
182
TOTAL SYS SVCS INC
891906109
COM$1.27M0.01%23,801New
183
SEALED AIR CORP NEW
81211K100
COM$1.23M0.01%28,227New
184
SCHWAB CHARLES CORP NEW
808513105
COM$1.17M0.01%28,638-80.4%
185
GGP INC
36174X101
COM$1.17M0.01%50,389New
186
VULCAN MATLS CO
929160109
COM$1.14M0.01%9,420New
187
ROYAL CARIBBEAN CRUISES LTD
V7780T103
COM$1.12M0.01%11,380-36.8%
188
AT&T INC
00206R102
COM$1.09M0.01%26,331New
189
HONEYWELL INTL INC
438516106
COM$1.09M0.01%8,753New
190
MARSH & MCLENNAN COS INC
571748102
COM$1.09M0.01%14,744+298.5%
191
CAMECO CORP
13321L108
COM$1.08M0.01%97,654+1.1%
192
BB&T CORP
054937107
COM$1.06M0.01%23,790+23.3%
193
KROGER CO
501044101
COM$1.05M0.01%35,466New
194
MOODYS CORP
615369105
COM$1.02M0.01%9,098-94.8%
195
BANK AMER CORP
060505104
COM$998K0.01%42,308-87.4%
196
BARD C R INC
067383109
COM$985K0.01%3,964New
197
FIDELITY NATL INFORMATION SV
31620M106
COM$960K0.01%12,062New
198
LEAR CORP
521865204
COM NEW$928K0.01%6,557New
199
COMERICA INC
200340107
COM$895K0.01%13,056-11.2%
200
LOEWS CORP
540424108
COM$840K0.01%17,961New
201
PEOPLES UNITED FINANCIAL INC
712704105
COM$826K0.01%45,412New
202
TEVA PHARMACEUTICAL INDS LTD
881624209
SPONSORED ADR$793K0.01%24,700New
203
REINSURANCE GROUP AMER INC
759351604
COM NEW$768K0.01%6,051New
204
ILLINOIS TOOL WKS INC
452308109
COM$736K0.01%5,557-92.3%
205
RALPH LAUREN CORP
751212101
CL A$680K0.01%8,336-61.0%
206
PROGRESSIVE CORP OHIO
743315103
COM$673K0.01%17,169+172.5%
207
VERIZON COMMUNICATIONS INC
92343V104
COM$651K0.01%13,349+115.3%
208
AIR PRODS & CHEMS INC
009158106
COM$644K0.01%4,759New
209
CROWN HOLDINGS INC
228368106
COM$638K0.01%12,053+151.1%
210
CME GROUP INC
12572Q105
COM$635K0.01%5,342+18.7%
211
AUTOLIV INC
052800109
COM$619K0.01%6,049New
212
ELECTRONIC ARTS INC
285512109
COM$612K0.01%6,835-89.8%
213
BECTON DICKINSON & CO
075887109
COM$569K0.01%3,100-89.5%
214
MCCORMICK & CO INC
579780206
COM NON VTG$554K0.01%5,677New
215
INTERCONTINENTAL EXCHANGE IN
45866F104
COM$540K0.01%9,022-73.5%
216
JPMORGAN CHASE & CO
46625H100
COM$522K0.01%5,944-95.1%
217
TE CONNECTIVITY LTD
H84989104
REG SHS$516K0.01%6,915-85.9%
218
HORMEL FOODS CORP
440452100
COM$515K0.01%14,883New
219
INVESCO LTD
G491BT108
SHS$512K0.01%16,706-93.1%
220
DISCOVER FINL SVCS
254709108
COM$494K0.01%7,230New
221
SNAP ON INC
833034101
COM$490K0.01%2,903New
222
LINCOLN NATL CORP IND
534187109
COM$476K0.01%7,272New
223
PACKAGING CORP AMER
695156109
COM$460K0.01%5,017New
224
OGE ENERGY CORP
670837103
COM$390K0.00%11,157New
225
ROPER TECHNOLOGIES INC
776696106
COM$378K0.00%1,829New
226
MSC INDL DIRECT INC
553530106
CL A$372K0.00%3,621New
227
CELANESE CORP DEL
150870103
COM SER A$371K0.00%4,131New
228
COACH INC
189754104
COM$367K0.00%8,891-96.3%
229
NRG ENERGY INC
629377508
COM NEW$357K0.00%19,071-80.0%
230
EMERSON ELEC CO
291011104
COM$351K0.00%5,867New
231
MONSTER BEVERAGE CORP NEW
61174X109
COM$345K0.00%7,481-78.8%
232
LAMAR ADVERTISING CO NEW
512816109
CL A$330K0.00%4,414+0.3%
233
NATIONAL RETAIL PPTYS INC
637417106
COM$319K0.00%7,312New
234
CONSOL ENERGY INC
20854P109
COM$311K0.00%18,547New
235
AUTOMATIC DATA PROCESSING IN
053015103
COM$263K0.00%2,565New
236
QUANTA SVCS INC
74762E102
COM$249K0.00%6,716New
Total filing value: $8.82B