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Wednesday, September 16, 2026Closing data · 4:00 PM ET
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Bridgewater Associates · Ray Dalio

Period 2026-06-30 · Filed 2026-08-14 · Value of constituent holdings $8.8BNotable Institutional Holdings
New
49
Added
106
Reduced
88
Sold out
37
TickerCompanyValueWeightSharesvs. 2026-03
NVDANvidia$774M8.7%3,866,195Reduced−18%
AVGOBroadcom$498M5.6%1,317,923Reduced−28%
AMZNAmazon$483M5.5%2,025,481Reduced−54%
GOOGLAlphabet Inc. (Class A)$473M5.3%1,322,176Reduced−34%
LRCXLam Research$407M4.6%938,224Reduced−40%
AMDAdvanced Micro Devices$313M3.5%538,632Reduced−58%
MSFTMicrosoft$266M3.0%711,896Reduced−34%
ORCLOracle Corporation$210M2.4%1,432,967Reduced−10%
GEVGE Vernova$144M1.6%122,768Reduced−72%
MUMicron Technology$135M1.5%116,666Reduced−92%
APHAmphenol$123M1.4%697,612Reduced−19%
NUENucor$114M1.3%513,423Reduced−17%
WDCWestern Digital$110M1.2%172,415Reduced−31%
CSXCSX Corporation$106M1.2%2,229,965Reduced−6%
AAPLApple Inc.$105M1.2%364,377Reduced−35%
STLDSteel Dynamics$86.8M1.0%378,490Reduced−14%
ESEversource Energy$86.4M1.0%1,195,140New
APPAppLovin$75.5M0.9%146,602New
CCitigroup$73.2M0.8%522,666Reduced−34%
EDConsolidated Edison$69.0M0.8%623,641New
BKRBaker Hughes$67.7M0.8%1,220,482Reduced−12%
NINiSource$67.0M0.8%1,410,001New
NOWServiceNow$63.1M0.7%635,381New
METAMeta Platforms$62.0M0.7%110,083Reduced−62%
MNSTMonster Beverage$58.2M0.7%605,394Reduced−21%
DUKDuke Energy$56.0M0.6%442,098New
MRVLMarvell Technology$54.0M0.6%181,176Reduced−91%
METMetLife$52.6M0.6%621,519Reduced−1%
CIENCiena$49.6M0.6%101,038Reduced−30%
TERTeradyne$47.7M0.5%98,627Reduced−71%
APAAPA Corporation$47.0M0.5%1,444,176New
CVSCVS Health$45.6M0.5%440,972Reduced−29%
ANETArista Networks$43.2M0.5%254,275Reduced−81%
EXEExpand Energy$40.8M0.5%447,886New
NRGNRG Energy$40.6M0.5%277,935Reduced−53%
GEGE Aerospace$38.0M0.4%101,569Reduced−16%
DVNDevon Energy$30.4M0.3%735,174New
QCOMQualcomm$30.0M0.3%162,466Reduced−27%
EMEEmcor$26.8M0.3%32,248Reduced−56%
GOOGAlphabet Inc. (Class C)$26.2M0.3%74,207Reduced−81%
CICigna$24.2M0.3%87,905Reduced−62%
VRTVertiv$23.8M0.3%71,078Reduced−83%
CMCSAComcast$22.6M0.3%920,357Reduced−23%
SWSmurfit Westrock$21.8M0.2%471,953New
PSXPhillips 66$21.2M0.2%125,491Reduced−18%
HASHasbro$20.8M0.2%251,786New
CTVACorteva$20.6M0.2%243,050New
FEFirstEnergy$18.1M0.2%381,107New
SNPSSynopsys$17.9M0.2%40,180Reduced−81%
EQTEQT Corporation$17.5M0.2%328,455New
CMICummins$15.2M0.2%21,316Reduced−46%
VRSKVerisk Analytics$14.9M0.2%83,031New
MCOMoody's Corporation$13.7M0.2%30,139New
ALLAllstate$13.4M0.2%56,149Reduced−73%
PHParker Hannifin$11.8M0.1%12,017Reduced−44%
SYFSynchrony Financial$11.7M0.1%153,894New
XELXcel Energy$11.6M0.1%144,263New
EQIXEquinix$10.4M0.1%9,966Reduced−60%
MSCIMSCI$9.8M0.1%17,418New
ROKRockwell Automation$9.3M0.1%18,697Reduced−51%
ADSKAutodesk$8.6M0.1%44,165New
AMCRAmcor$8.5M0.1%196,767New
CATCaterpillar Inc.$7.8M0.1%7,329Reduced−91%
CLColgate-Palmolive$7.1M0.1%77,094Reduced−9%
KRKroger$6.9M0.1%125,009Reduced−39%
TMOThermo Fisher Scientific$6.5M0.1%12,948Reduced−11%
NDAQNasdaq, Inc.$6.4M0.1%80,751New
COHRCoherent Corp.$6.0M0.1%15,206Reduced−91%
GDGeneral Dynamics$6.0M0.1%16,888New
AMTAmerican Tower$5.9M0.1%35,924Reduced−37%
CEGConstellation Energy$5.7M0.1%23,123Reduced−89%
FLEXFlex Ltd.$5.6M0.1%34,390Reduced−39%
CBRECBRE Group$5.6M0.1%41,377New
ABTAbbott Laboratories$5.4M0.1%59,775Reduced−49%
VRTXVertex Pharmaceuticals$5.4M0.1%10,865Reduced−19%
DELLDell Technologies$5.3M0.1%12,230Reduced−95%
AONAon plc$5.2M0.1%15,663Reduced−23%
RTXRTX Corporation$5.0M0.1%26,182New
INTCIntel$4.5M0.1%32,371New
BLKBlackRock$4.5M0.1%4,683New
DASHDoorDash$4.4M0.0%23,591Reduced−13%
PFEPfizer$4.3M0.0%180,092New
SYKStryker Corporation$3.8M0.0%12,155Reduced−54%
VLTOVeralto$3.7M0.0%42,120New
HUMHumana$3.6M0.0%9,152New
HPQHP Inc.$3.6M0.0%164,316Reduced−60%
HPEHewlett Packard Enterprise$3.5M0.0%78,658Reduced−95%
TGTTarget Corporation$3.4M0.0%25,874Reduced−1%
WABWabtec$3.2M0.0%11,749New
AAgilent Technologies$3.0M0.0%22,889Reduced−69%
NTAPNetApp$3.0M0.0%19,260Reduced−83%
ABBVAbbVie$3.0M0.0%11,775Reduced−61%
NVRNVR, Inc.$2.9M0.0%431Reduced−55%
WECWEC Energy Group$2.9M0.0%24,998New
RVTYRevvity$2.7M0.0%24,161Reduced−35%
WDAYWorkday, Inc.$2.7M0.0%21,774New
KMIKinder Morgan$2.6M0.0%81,910Reduced−30%
UNHUnitedHealth Group$2.6M0.0%6,197New
CPAYCorpay$2.6M0.0%7,655New
CMGChipotle Mexican Grill$2.5M0.0%73,870Reduced−2%
TDGTransDigm Group$2.5M0.0%1,855Reduced−20%
GDDYGoDaddy$2.5M0.0%28,963New
TTTrane Technologies$2.5M0.0%4,989New
DVADaVita$2.4M0.0%10,996Reduced−47%
COPConocoPhillips$2.4M0.0%22,937New
ITGartner$2.3M0.0%17,444New
WTWWillis Towers Watson$2.2M0.0%8,236Reduced−63%
STESteris$2.1M0.0%9,809Reduced−12%
ORLYO'Reilly Automotive$1.9M0.0%21,026Reduced−69%
BALLBall Corporation$1.9M0.0%30,004New
CDWCDW Corporation$1.8M0.0%13,149Reduced−53%
JJacobs Solutions$1.6M0.0%12,878Reduced−87%
NOCNorthrop Grumman$1.6M0.0%3,091Reduced−73%
HSYHershey Company (The)$1.5M0.0%8,635Reduced−40%
DRIDarden Restaurants$1.4M0.0%6,765Reduced−10%
LENLennar$1.4M0.0%15,239New
TDYTeledyne Technologies$1.2M0.0%1,806New
IPInternational Paper$1.2M0.0%31,310New
SNASnap-on$1.1M0.0%2,823Reduced−83%
SBACSBA Communications$1.1M0.0%6,385Reduced−56%
HUBBHubbell Incorporated$1.1M0.0%2,084Reduced−75%
BABoeing$1.1M0.0%4,995New
CPRTCopart$1.0M0.0%36,999New
TSCOTractor Supply$1.0M0.0%32,944New
MRNAModerna$807,2360.0%11,527Reduced−85%
PNRPentair$797,2640.0%10,400Reduced−77%
LHLabcorp$783,4400.0%2,798Reduced−75%
SNDKSandisk$720,7720.0%317Reduced−97%
CLXClorox$668,5570.0%7,005Reduced−33%
ATOAtmos Energy$617,9320.0%3,587New
RCLRoyal Caribbean Group$408,6610.0%1,287New
BENFranklin Resources$393,9500.0%11,841Reduced−71%
ECHOEchoStar$360,7310.0%3,554Reduced−90%
GLWCorning Inc.$333,8470.0%1,307New
AFLAflac$290,3110.0%2,476Reduced−96%
SHWSherwin-Williams$272,7010.0%792Reduced−93%
NDSNNordson Corporation$234,1110.0%776Reduced−88%
XYLXylem Inc.Sold out
WBDWarner Bros. DiscoverySold out
VTRVentasSold out
ULTAUlta BeautySold out
UDRUDR, Inc.Sold out
TSLATesla, Inc.Sold out
ORealty IncomeSold out
PLDPrologisSold out
PANWPalo Alto NetworksSold out
PLTRPalantir TechnologiesSold out
OKEOneokSold out
NKENike, Inc.Sold out
NEENextEra EnergySold out
NFLXNetflixSold out
MAMastercardSold out
KIMKimco RealtySold out
IRIngersoll RandSold out
DOCHealthpeak PropertiesSold out
GSGoldman SachsSold out
FOXAFox Corporation (Class A)Sold out
FSLRFirst SolarSold out
FICOFair IsaacSold out
FFIVF5, Inc.Sold out
EXRExtra Space StorageSold out
ECLEcolabSold out
ETNEaton CorporationSold out
DTEDTE EnergySold out
DOVDover CorporationSold out
CCICrown CastleSold out
CMSCMS EnergySold out
BMYBristol Myers SquibbSold out
BXBlackstone Inc.Sold out
BBYBest BuySold out
ARESAres ManagementSold out
ADMArcher Daniels MidlandSold out
ALLEAllegionSold out
AESAES CorporationSold out

Institutional holdings come from filings made within 45 days of quarter-end and reflect positions at quarter-end. Short positions and non-US stocks are excluded; values are as reported in the filing.