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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%

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.