13F.
Bridgewater Associates, LP
13F-HR

Q1 2019

Period Mar 31, 2019Filed May 14, 2019View on EDGAR ↗
Positions
303
Total value
$16.33B
Top 10 concentration
79.1%
New positions
91

Exited positionsvs. Q4 2018

  • UNITED STATES STL CORP NEW ($66.94M)
  • CELGENE CORP ($56.28M)
  • GENERAL ELECTRIC CO ($36.43M)
  • AMERIPRISE FINL INC ($35.05M)
  • INVESCO LTD ($32.83M)
  • ALEXION PHARMACEUTICALS INC ($27.06M)
  • WHIRLPOOL CORP ($23.75M)
  • LAM RESEARCH CORP ($21.62M)

Holdings · 303

#Class
1
VANGUARD INTL EQUITY INDEX F
922042858
FTSE EMR MKT ETF$3.13B19.17%73,633,612+44.9%
2
ISHARES TR
464287234
MSCI EMG MKT ETF$3.07B18.82%71,575,042+726.6%
3
SPDR S&P 500 ETF TR
78462F103
TR UNIT$2.25B13.79%7,968,119+6.1%
4
ISHARES INC
46434G103
CORE MSCI EMKT$2.12B13.01%41,087,297+185.4%
5
ISHARES TR
464287200
CORE S&P500 ETF$625.37M3.83%2,197,677-0.4%
6
SPDR GOLD TRUST
78463V107
GOLD SHS$491.45M3.01%4,027,972+3.0%
7
ISHARES INC
464286400
MSCI BRAZIL ETF$382.21M2.34%9,324,499+821.4%
8
ISHARES TR
464287242
IBOXX INV CP ETF$312.22M1.91%2,622,354+4.5%
9
ISHARES TR
464287432
20 YR TR BD ETF$282.28M1.73%2,232,543+14.2%
10
ISHARES TR
464288513
IBOXX HI YD ETF$245.79M1.51%2,842,430+19.1%
11
ISHARES INC
464286772
MSCI STH KOR ETF$229.66M1.41%3,767,959+13.8%
12
ISHARES TR
464288281
JPMORGAN USD EMG$203.4M1.25%1,848,066+5.0%
13
ISHARES TR
464287465
MSCI EAFE ETF$168.23M1.03%2,593,664+5.9%
14
VANGUARD TAX MANAGED INTL FD
921943858
FTSE DEV MKT ETF$167.06M1.02%4,087,594+5.7%
15
ISHARES TR
464287176
TIPS BD ETF$158.14M0.97%1,398,613+33.6%
16
ISHARES TR
46432F842
CORE MSCI EAFE$154.46M0.95%2,541,766+6.5%
17
ISHARES GOLD TRUST
464285105
ISHARES$143.72M0.88%11,609,220+2.6%
18
BIOGEN INC
09062X103
COM$56.82M0.35%240,378+423.8%
19
BRISTOL MYERS SQUIBB CO
110122108
COM$47.2M0.29%989,293+78.1%
20
ALLIANCE DATA SYSTEMS CORP
018581108
COM$45.67M0.28%261,001-47.7%
21
EASTMAN CHEMICAL CO
277432100
COM$45.53M0.28%600,024-3.9%
22
UNITED RENTALS INC
911363109
COM$42.86M0.26%375,118-32.6%
23
MACYS INC
55616P104
COM$37.2M0.23%1,547,952+204.0%
24
NUCOR CORP
670346105
COM$37.08M0.23%635,546+597.8%
25
ROYAL BK CDA MONTREAL QUE
780087102
COM$35.83M0.22%474,832-18.8%
26
PVH CORP
693656100
COM$34.32M0.21%281,398-45.7%
27
CVS HEALTH CORP
126650100
COM$34.31M0.21%636,180+6.5%
28
TORONTO DOMINION BK ONT
891160509
COM NEW$32.94M0.20%606,735-18.7%
29
MONSTER BEVERAGE CORP NEW
61174X109
COM$30.03M0.18%550,267+126.4%
30
LYONDELLBASELL INDUSTRIES N
N53745100
SHS - A -$29.03M0.18%345,245-51.0%
31
CITRIX SYS INC
177376100
COM$28.93M0.18%290,266New
32
MICRON TECHNOLOGY INC
595112103
COM$28.89M0.18%698,985-34.1%
33
TD AMERITRADE HLDG CORP
87236Y108
COM$28.74M0.18%574,854New
34
AT&T INC
00206R102
COM$27.37M0.17%872,821-54.9%
35
AMERISOURCEBERGEN CORP
03073E105
COM$26.51M0.16%333,371+45.4%
36
BED BATH & BEYOND INC
075896100
COM$26.32M0.16%1,549,370-58.8%
37
FEDEX CORP
31428X106
COM$26.19M0.16%144,346+6.7%
38
CARDINAL HEALTH INC
14149Y108
COM$25.84M0.16%536,618-31.4%
39
EQT CORP
26884L109
COM$25.34M0.16%1,221,875+2.9%
40
DAVITA INC
23918K108
COM$23.24M0.14%428,075-6.9%
41
PHILLIPS 66
718546104
COM$22.79M0.14%239,410-29.0%
42
BANK N S HALIFAX
064149107
COM$22.15M0.14%416,027-18.4%
43
MOSAIC CO NEW
61945C103
COM$21.65M0.13%792,697+89.0%
44
CANADIAN NATL RY CO
136375102
COM$21.5M0.13%240,057-18.8%
45
NORDSTROM INC
655664100
COM$21.42M0.13%482,540+1026.0%
46
INTL PAPER CO
460146103
COM$21.41M0.13%462,620-68.7%
47
ISHARES INC
464286822
MSCI MEXICO ETF$21.27M0.13%487,976New
48
REALOGY HLDGS CORP
75605Y106
COM$20.44M0.13%1,793,024New
49
URBAN OUTFITTERS INC
917047102
COM$19.78M0.12%667,373-27.3%
50
SUNCOR ENERGY INC NEW
867224107
COM$19.65M0.12%606,200-16.7%
51
PULTE GROUP INC
745867101
COM$18.87M0.12%674,925-39.0%
52
CLEVELAND CLIFFS INC
185899101
COM$18.75M0.11%1,876,999-40.1%
53
CBS CORP NEW
124857202
CL B$18.61M0.11%391,469-28.4%
54
MCKESSON CORP
58155Q103
COM$18.38M0.11%156,995+73.3%
55
HOLLYFRONTIER CORP
436106108
COM$17.89M0.11%363,078-58.5%
56
INTEL CORP
458140100
COM$16.69M0.10%310,789-42.1%
57
INTERPUBLIC GROUP COS INC
460690100
COM$16.69M0.10%794,178+390.3%
58
ALIBABA GROUP HLDG LTD
01609W102
SPONSORED ADS$16.65M0.10%91,238+1.4%
59
TEXTRON INC
883203101
COM$16.48M0.10%325,345New
60
DISH NETWORK CORP
25470M109
CL A$16.28M0.10%513,771-67.6%
61
F5 NETWORKS INC
315616102
COM$16.23M0.10%103,448+1882.5%
62
NETAPP INC
64110D104
COM$15.9M0.10%229,338-61.7%
63
BANK MONTREAL QUE
063671101
COM$15.69M0.10%209,582-18.9%
64
AUTONATION INC
05329W102
COM$15.65M0.10%438,167New
65
LAUDER ESTEE COS INC
518439104
CL A$15.44M0.09%93,241-39.7%
66
KOHLS CORP
500255104
COM$14.93M0.09%217,153+7.5%
67
SOUTHWESTERN ENERGY CO
845467109
COM$14.92M0.09%3,181,528-75.4%
68
THE CHARLES SCHWAB CORPORATI
808513105
COM$14.14M0.09%330,575New
69
TRANSCANADA CORP
89353D107
COM$14.13M0.09%314,592-18.2%
70
CONOCOPHILLIPS
20825C104
COM$13.59M0.08%203,575+22.1%
71
MOHAWK INDS INC
608190104
COM$13.41M0.08%106,261New
72
BROOKFIELD ASSET MGMT INC
112585104
CL A LTD VT SH$13.1M0.08%281,063-18.3%
73
CANADIAN NAT RES LTD
136385101
COM$12.93M0.08%470,906-16.1%
74
CAPRI HOLDINGS LIMITED
G1890L107
SHS$12.84M0.08%280,671New
75
CONSTELLATION BRANDS INC
21036P108
CL A$12.7M0.08%72,452+7.0%
76
GOLDMAN SACHS GROUP INC
38141G104
COM$12.37M0.08%64,423-69.8%
77
WESTERN UN CO
959802109
COM$12.11M0.07%655,652-57.0%
78
EDISON INTL
281020107
COM$12.03M0.07%194,336-42.8%
79
BCE INC
05534B760
COM NEW$11.56M0.07%260,225-20.8%
80
NUTRIEN LTD
67077M108
COM$11.11M0.07%210,584-18.1%
81
CDN IMPERIAL BK COMM TORONTO
136069101
COM$10.93M0.07%138,276-19.6%
82
BOOKING HLDGS INC
09857L108
COM$10.74M0.07%6,154-28.1%
83
WALGREENS BOOTS ALLIANCE INC
931427108
COM$10.72M0.07%169,501+267.4%
84
CARNIVAL CORP
143658300
UNIT 99/99/9999$10.62M0.07%209,407-60.4%
85
REGIONS FINL CORP NEW
7591EP100
COM$10.49M0.06%741,587+333.7%
86
MANULIFE FINL CORP
56501R106
COM$10.26M0.06%606,507-19.7%
87
CANADIAN PAC RY LTD
13645T100
COM$10M0.06%48,517-18.2%
88
COMERICA INC
200340107
COM$9.51M0.06%129,744+64.6%
89
NRG ENERGY INC
629377508
COM NEW$9.45M0.06%222,507+241.4%
90
L BRANDS INC
501797104
COM$9.22M0.06%334,117-59.5%
91
BARRICK GOLD CORPORATION
067901108
COM$9.21M0.06%671,783+4.0%
92
PARKER HANNIFIN CORP
701094104
COM$8.82M0.05%51,369+1045.9%
93
BOEING CO
097023105
COM$8.72M0.05%22,860New
94
KEYCORP NEW
493267108
COM$8.55M0.05%542,629+124.4%
95
CLOROX CO DEL
189054109
COM$8.38M0.05%52,199New
96
SUN LIFE FINL INC
866796105
COM$8.11M0.05%211,056-17.8%
97
GILEAD SCIENCES INC
375558103
COM$8.1M0.05%124,628-21.8%
98
C H ROBINSON WORLDWIDE INC
12541W209
COM NEW$7.96M0.05%91,461New
99
LINCOLN NATL CORP IND
534187109
COM$7.95M0.05%135,462-79.8%
100
GRAINGER W W INC
384802104
COM$7.85M0.05%26,075New
101
TARGET CORP
87612E106
COM$7.67M0.05%95,591-74.3%
102
TELUS CORP
87971M103
COM$7.66M0.05%207,021-18.1%
103
HELMERICH & PAYNE INC
423452101
COM$7.61M0.05%136,961New
104
V F CORP
918204108
COM$7.6M0.05%87,452New
105
BERKSHIRE HATHAWAY INC DEL
084670702
CL B NEW$7.5M0.05%37,325New
106
CAPITAL ONE FINL CORP
14040H105
COM$7.41M0.05%90,677-79.0%
107
AKAMAI TECHNOLOGIES INC
00971T101
COM$7.26M0.04%101,210-63.2%
108
KELLOGG CO
487836108
COM$7.15M0.04%124,686New
109
INTUIT
461202103
COM$7.12M0.04%27,251New
110
MASCO CORP
574599106
COM$7.07M0.04%179,851-68.7%
111
CIMAREX ENERGY CO
171798101
COM$7.02M0.04%100,426-90.9%
112
MAGNA INTL INC
559222401
COM$7.02M0.04%144,114+22.0%
113
FRANCO NEVADA CORP
351858105
COM$6.74M0.04%89,817-12.8%
114
BB&T CORP
054937107
COM$6.69M0.04%143,814+277.6%
115
3M CO
88579Y101
COM$6.6M0.04%31,753New
116
DEVON ENERGY CORP NEW
25179M103
COM$6.59M0.04%208,722-52.7%
117
CGI INC
12532H104
CL A SUB VTG$6.33M0.04%92,070New
118
RALPH LAUREN CORP
751212101
CL A$6.33M0.04%48,814-58.4%
119
CABOT OIL & GAS CORP
127097103
COM$6.29M0.04%240,876+106.5%
120
INTERNATIONAL BUSINESS MACHS
459200101
COM$6.24M0.04%44,244-71.5%
121
ALTRIA GROUP INC
02209S103
COM$6.23M0.04%108,515-31.8%
122
SOUTHWEST AIRLS CO
844741108
COM$6.2M0.04%119,439-64.0%
123
ROGERS COMMUNICATIONS INC
775109200
CL B$6.18M0.04%114,817-19.3%
124
ANTHEM INC
036752103
COM$6.09M0.04%21,217New
125
LIBERTY GLOBAL PLC
G5480U104
SHS CL A$6.01M0.04%241,068New
126
FACEBOOK INC
30303M102
CL A$5.99M0.04%35,925-69.4%
127
COMCAST CORP NEW
20030N101
CL A$5.91M0.04%147,791New
128
PEMBINA PIPELINE CORP
706327103
COM$5.76M0.04%156,702-19.8%
129
EAST WEST BANCORP INC
27579R104
COM$5.68M0.03%118,394+685.9%
130
THOMSON REUTERS CORP
884903709
COM NEW$5.44M0.03%91,921-12.8%
131
PRUDENTIAL FINL INC
744320102
COM$5.44M0.03%59,174-81.0%
132
CUMMINS INC
231021106
COM$5.28M0.03%33,436-75.6%
133
WHEATON PRECIOUS METALS CORP
962879102
COM$5.19M0.03%218,018-14.6%
134
RESTAURANT BRANDS INTL INC
76131D103
COM$5.15M0.03%79,156-18.9%
135
ZIONS BANCORPORATION N A
989701107
COM$5.15M0.03%113,301+281.9%
136
TECK RESOURCES LTD
878742204
CL B$5.07M0.03%219,250-16.3%
137
BAIDU INC
056752108
SPON ADR REP A$5.06M0.03%30,666+1.4%
138
FORTIS INC
349553107
COM$5.05M0.03%136,548-19.1%
139
AGNICO EAGLE MINES LTD
008474108
COM$4.95M0.03%113,796-16.8%
140
QUEST DIAGNOSTICS INC
74834L100
COM$4.89M0.03%54,358-61.6%
141
GOLDCORP INC NEW
380956409
COM$4.79M0.03%418,220-17.2%
142
GENERAL DYNAMICS CORP
369550108
COM$4.77M0.03%28,170+32.7%
143
CF INDS HLDGS INC
125269100
COM$4.72M0.03%115,519+351.0%
144
XILINX INC
983919101
COM$4.66M0.03%36,757New
145
CAMPBELL SOUP CO
134429109
COM$4.54M0.03%119,088New
146
WASTE CONNECTIONS INC
94106B101
COM$4.53M0.03%51,172-33.1%
147
ROCKWELL AUTOMATION INC
773903109
COM$4.49M0.03%25,589New
148
MARATHON PETE CORP
56585A102
COM$4.47M0.03%74,609-69.8%
149
RAYTHEON CO
755111507
COM NEW$4.4M0.03%24,144-68.5%
150
JD COM INC
47215P106
SPON ADR CL A$4.36M0.03%144,586+1.4%
151
UNITED CONTL HLDGS INC
910047109
COM$4.24M0.03%53,093New
152
AUTOMATIC DATA PROCESSING IN
053015103
COM$4.23M0.03%26,455New
153
BANK AMER CORP
060505104
COM$4.05M0.02%146,634+9.0%
154
LOCKHEED MARTIN CORP
539830109
COM$4.04M0.02%13,472New
155
VERTEX PHARMACEUTICALS INC
92532F100
COM$4.03M0.02%21,889New
156
CATERPILLAR INC DEL
149123101
COM$3.95M0.02%29,120-64.4%
157
EMERSON ELEC CO
291011104
COM$3.86M0.02%56,434New
158
ANALOG DEVICES INC
032654105
COM$3.86M0.02%36,691New
159
NETEASE INC
64110W102
SPONSORED ADR$3.77M0.02%15,611+1.4%
160
VALERO ENERGY CORP NEW
91913Y100
COM$3.73M0.02%43,927-86.2%
161
SIGNATURE BK NEW YORK N Y
82669G104
COM$3.71M0.02%28,981+394.1%
162
RAYMOND JAMES FINANCIAL INC
754730109
COM$3.54M0.02%43,994New
163
HUNTINGTON BANCSHARES INC
446150104
COM$3.49M0.02%275,384+9.9%
164
IMPERIAL OIL LTD
453038408
COM NEW$3.49M0.02%127,760-10.7%
165
HOST HOTELS & RESORTS INC
44107P104
COM$3.44M0.02%182,221-79.3%
166
UNITEDHEALTH GROUP INC
91324P102
COM$3.37M0.02%13,632New
167
ANNALY CAP MGMT INC
035710409
COM$3.36M0.02%335,950-22.4%
168
CME GROUP INC
12572Q105
COM CL A$3.34M0.02%20,302New
169
FOOT LOCKER INC
344849104
COM$3.32M0.02%54,759New
170
LABORATORY CORP AMER HLDGS
50540R409
COM NEW$3.3M0.02%21,565-87.2%
171
FLIR SYS INC
302445101
COM$3.24M0.02%68,057+219.9%
172
MURPHY OIL CORP
626717102
COM$3.2M0.02%109,161-79.7%
173
FIFTH THIRD BANCORP
316773100
COM$3.18M0.02%126,152-10.9%
174
CENOVUS ENERGY INC
15135U109
COM$3.01M0.02%347,071-18.3%
175
TOLL BROTHERS INC
889478103
COM$2.92M0.02%80,530-70.6%
176
BHP GROUP LTD
088606108
SPONSORED ADS$2.86M0.02%52,253-6.9%
177
BAUSCH HEALTH COS INC
071734107
COM$2.85M0.02%115,412-18.8%
178
RIO TINTO PLC
767204100
SPONSORED ADR$2.81M0.02%47,739-11.3%
179
TRIPADVISOR INC
896945201
COM$2.81M0.02%54,578New
180
BOSTON PROPERTIES INC
101121101
COM$2.8M0.02%20,936-73.6%
181
EOG RES INC
26875P101
COM$2.79M0.02%29,289-4.0%
182
VALE S A
91912E105
SPONSORED ADS$2.78M0.02%212,687New
183
SHAW COMMUNICATIONS INC
82028K200
CL B CONV$2.76M0.02%132,460-20.5%
184
EXXON MOBIL CORP
30231G102
COM$2.73M0.02%33,755-1.1%
185
GILDAN ACTIVEWEAR INC
375916103
COM$2.71M0.02%75,369-17.1%
186
PETROLEO BRASILEIRO SA PETRO
71654V408
SPONSORED ADR$2.7M0.02%169,526-8.9%
187
DOVER CORP
260003108
COM$2.7M0.02%28,745New
188
CITIGROUP INC
172967424
COM NEW$2.69M0.02%43,256-61.3%
189
MARTIN MARIETTA MATLS INC
573284106
COM$2.68M0.02%13,326New
190
CHEVRON CORP NEW
166764100
COM$2.67M0.02%21,640-5.4%
191
ORACLE CORP
68389X105
COM$2.6M0.02%48,445-83.1%
192
MARATHON OIL CORP
565849106
COM$2.57M0.02%153,949-44.7%
193
BP PLC
055622104
SPONSORED ADR$2.51M0.02%57,339+6.0%
194
NEWMONT MNG CORP
651639106
COM$2.5M0.02%69,773+19.1%
195
HUAZHU GROUP LTD
44332N106
SPONSORED ADS$2.49M0.02%59,071+8.1%
196
HUNT J B TRANS SVCS INC
445658107
COM$2.49M0.02%24,569New
197
OPEN TEXT CORP
683715106
COM$2.44M0.01%63,508-24.0%
198
VIACOM INC NEW
92553P201
CL B$2.41M0.01%85,971New
199
ENCANA CORP
292505104
COM$2.38M0.01%328,820-18.1%
200
VISA INC
92826C839
COM CL A$2.31M0.01%14,789New
201
OCCIDENTAL PETE CORP
674599105
COM$2.3M0.01%34,735-69.1%
202
PROLOGIS INC
74340W103
COM$2.2M0.01%30,586-71.6%
203
ACCENTURE PLC IRELAND
G1151C101
SHS CLASS A$2.15M0.01%12,229New
204
MANPOWERGROUP INC
56418H100
COM$2.15M0.01%26,039+45.7%
205
EXPEDIA GROUP INC
30212P303
COM NEW$2.14M0.01%17,947New
206
HARLEY DAVIDSON INC
412822108
COM$2.12M0.01%59,440New
207
STATE STR CORP
857477103
COM$2.11M0.01%32,016-72.2%
208
KINROSS GOLD CORP
496902404
COM$2.1M0.01%610,194New
209
CVR ENERGY INC
12662P108
COM$2.08M0.01%50,390New
210
ANADARKO PETE CORP
032511107
COM$2.05M0.01%45,133+83.7%
211
DISCOVER FINL SVCS
254709108
COM$2.03M0.01%28,466-93.4%
212
EATON CORP PLC
G29183103
SHS$2.01M0.01%24,909-69.2%
213
PEOPLES UTD FINL INC
712704105
COM$2M0.01%121,350+215.2%
214
YUM CHINA HLDGS INC
98850P109
COM$1.97M0.01%43,897+0.3%
215
INTERCONTINENTAL EXCHANGE IN
45866F104
COM$1.91M0.01%25,091New
216
AFFILIATED MANAGERS GROUP IN
008252108
COM$1.86M0.01%17,374+34.8%
217
PUBLIC STORAGE
74460D109
COM$1.86M0.01%8,546-51.9%
218
BLACKBERRY LTD
09228F103
COM$1.82M0.01%180,009-18.5%
219
CAMECO CORP
13321L108
COM$1.81M0.01%153,568-16.3%
220
WESTLAKE CHEM CORP
960413102
COM$1.79M0.01%26,372New
221
TAPESTRY INC
876030107
COM$1.76M0.01%54,095New
222
CINTAS CORP
172908105
COM$1.68M0.01%8,305-27.2%
223
SIMON PPTY GROUP INC NEW
828806109
COM$1.64M0.01%9,023-73.8%
224
DUKE ENERGY CORP NEW
26441C204
COM NEW$1.6M0.01%17,729New
225
ADVANCE AUTO PARTS INC
00751Y106
COM$1.59M0.01%9,308New
226
BOSTON SCIENTIFIC CORP
101137107
COM$1.59M0.01%41,325New
227
LEAR CORP
521865204
COM NEW$1.57M0.01%11,536New
228
ALBEMARLE CORP
012653101
COM$1.56M0.01%19,033-42.1%
229
CTRIP COM INTL LTD
22943F100
SPONSORED ADS$1.49M0.01%34,065New
230
AMC NETWORKS INC
00164V103
CL A$1.49M0.01%26,191-49.9%
231
AUTOHOME INC
05278C107
SP ADR RP CL A$1.47M0.01%13,983+1.4%
232
SOUTHERN COPPER CORP
84265V105
COM$1.42M0.01%35,763-4.8%
233
AUTOZONE INC
053332102
COM$1.4M0.01%1,370-40.4%
234
FORTUNE BRANDS HOME & SEC IN
34964C106
COM$1.36M0.01%28,526-51.6%
235
NEW YORK CMNTY BANCORP INC
649445103
COM$1.35M0.01%116,774+159.4%
236
TYSON FOODS INC
902494103
CL A$1.35M0.01%19,425-96.1%
237
NEW ORIENTAL ED & TECH GRP I
647581107
SPON ADR$1.3M0.01%14,416+1.4%
238
KROGER CO
501044101
COM$1.16M0.01%47,033New
239
CELANESE CORP DEL
150870103
COM$1.09M0.01%11,035+49.6%
240
UNITED THERAPEUTICS CORP DEL
91307C102
COM$1.07M0.01%9,124New
241
KIRKLAND LAKE GOLD LTD
49741E100
COM$1M0.01%32,981-7.4%
242
EXPEDITORS INTL WASH INC
302130109
COM$971K0.01%12,790New
243
CARLISLE COS INC
142339100
COM$933K0.01%7,607+5.0%
244
TAL EDUCATION GROUP
874080104
SPONSORED ADS$929K0.01%25,740+1.4%
245
ROYAL GOLD INC
780287108
COM$892K0.01%9,815-46.8%
246
NEWELL BRANDS INC
651229106
COM$890K0.01%58,022New
247
WELLS FARGO CO NEW
949746101
COM$890K0.01%18,426-65.9%
248
JBG SMITH PPTYS
46590V100
COM$887K0.01%21,460New
249
DARDEN RESTAURANTS INC
237194105
COM$885K0.01%7,289-96.2%
250
ANGLOGOLD ASHANTI LTD
035128206
SPONSORED ADR$855K0.01%65,255-7.4%
251
NVENT ELECTRIC PLC
G6700G107
SHS$843K0.01%31,233New
252
BRINKS CO
109696104
COM$842K0.01%11,168New
253
HESS CORP
42809H107
COM$838K0.01%13,907-4.6%
254
WYNDHAM HOTELS & RESORTS INC
98311A105
COM$838K0.01%16,767New
255
LOGMEIN INC
54142L109
COM$836K0.01%10,431New
256
WABTEC CORP
929740108
COM$825K0.01%11,197-69.0%
257
FLEETCOR TECHNOLOGIES INC
339041105
COM$814K0.00%3,301New
258
CONTINENTAL RESOURCES INC
212015101
COM$800K0.00%17,870-77.7%
259
MEDNAX INC
58502B106
COM$774K0.00%28,491New
260
F M C CORP
302491303
COM NEW$769K0.00%10,008New
261
ISHARES TR
46429B598
MSCI INDIA ETF$768K0.00%21,784New
262
CROWN HOLDINGS INC
228368106
COM$764K0.00%13,992New
263
VULCAN MATLS CO
929160109
COM$738K0.00%6,229New
264
TRINITY INDS INC
896522109
COM$733K0.00%33,720New
265
CBRE GROUP INC
12504L109
CL A$722K0.00%14,606New
266
ALPHABET INC
02079K305
CAP STK CL A$707K0.00%601-88.5%
267
SEALED AIR CORP NEW
81211K100
COM$698K0.00%15,152New
268
SKYWORKS SOLUTIONS INC
83088M102
COM$686K0.00%8,313-98.1%
269
LKQ CORP
501889208
COM$678K0.00%23,892New
270
FLEX LTD
Y2573F102
ORD$677K0.00%67,718New
271
NORTHERN TR CORP
665859104
COM$665K0.00%7,359-89.1%
272
VORNADO RLTY TR
929042109
SH BEN INT$642K0.00%9,513-55.4%
273
WORLDPAY INC
981558109
CL A$638K0.00%5,617New
274
NEW YORK TIMES CO
650111107
CL A$636K0.00%19,366New
275
M & T BK CORP
55261F104
COM$631K0.00%4,017-76.3%
276
APACHE CORP
037411105
COM$601K0.00%17,350-43.9%
277
CRESCENT PT ENERGY CORP
22576C101
COM$600K0.00%185,233-18.3%
278
US BANCORP DEL
902973304
COM NEW$590K0.00%12,238New
279
QEP RES INC
74733V100
COM$589K0.00%75,652New
280
AMERICAN FINL GROUP INC OHIO
025932104
COM$583K0.00%6,056-44.7%
281
MOMO INC
60879B107
ADR$566K0.00%14,792+5.3%
282
MADISON SQUARE GARDEN CO NEW
55825T103
CL A$565K0.00%1,927New
283
NOBLE ENERGY INC
655044105
COM$551K0.00%22,285-4.7%
284
VIPSHOP HLDGS LTD
92763W103
SPONSORED ADS A$479K0.00%59,711New
285
TORCHMARK CORP
891027104
COM$458K0.00%5,592-61.4%
286
SINA CORP
G81477104
ORD$451K0.00%7,612+1.4%
287
B2GOLD CORP
11777Q209
COM$448K0.00%160,113-4.5%
288
COMMVAULT SYSTEMS INC
204166102
COM$431K0.00%6,662New
289
PTC INC
69370C100
COM$427K0.00%4,634New
290
51JOB INC
316827104
SPONSORED ADS$424K0.00%5,447New
291
DOMINOS PIZZA INC
25754A201
COM$421K0.00%1,632New
292
SIBANYE STILLWATER
825724206
SPONSORED ADR$393K0.00%95,231+3.0%
293
NUANCE COMMUNICATIONS INC
67020Y100
COM$373K0.00%22,038New
294
CHENIERE ENERGY INC
16411R208
COM NEW$334K0.00%4,879New
295
YY INC
98426T106
SPONSORED ADS A$317K0.00%3,769New
296
GDS HLDGS LTD
36165L108
SPONSORED ADS$311K0.00%8,705New
297
JACK IN THE BOX INC
466367109
COM$306K0.00%3,775New
298
TOTAL SYS SVCS INC
891906109
COM$299K0.00%3,149-86.2%
299
PRETIUM RES INC
74139C102
COM$239K0.00%27,944-7.2%
300
COLGATE PALMOLIVE CO
194162103
COM$216K0.00%3,145-99.5%
301
TURQUOISE HILL RES LTD
900435108
COM$161K0.00%97,920+4.1%
302
YAMANA GOLD INC
98462Y100
COM$71K0.00%27,161-63.8%
303
FANG HLDGS LTD
30711Y102
ADR$32K0.00%23,796-8.2%
Total filing value: $16.33B