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Institutional Investment Manager
Bridgewater Associates, LP
Bridgewater Associates, LP (CIK: 0001350694) incorporated in Delaware, located at One Nyala Farms Road, Westport, CT. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q2)
Original 13F HR (0001140361-16-075565) filed in 2016.08.10
#
Name
Shares
Value ($)
%
Options
Notes
251 PPG INDS INC 69,020 7,188 0.09%
252 VALE S A 1,439,700 7,285 0.09%
253 RANDGOLD RES LTD 65,581 7,348 0.09%
254 BOEING CO 57,456 7,462 0.09%
255 GAP 359,813 7,635 0.10%
256 INVESCO LTD 300,822 7,683 0.10%
257 PIONEER NAT RES CO 51,300 7,757 0.10%
258 AMERICAN TOWER CORP NEW 69,800 7,930 0.10%
259 ANADARKO PETR 149,380 7,954 0.10%
260 VMWARE INC 141,162 8,077 0.10%
261 EMERSON ELEC CO 158,317 8,258 0.10%
262 PVH CORPORATION 87,792 8,273 0.10%
263 VALERO ENERGY CORP NEW 169,291 8,634 0.11%
264 CITRIX SYS INC 112,338 8,997 0.11%
265 D R HORTON INC 288,718 9,089 0.11%
266 FRANCO NEVADA CORP 124,128 9,390 0.12%
267 EASTMAN CHEM CO 138,800 9,425 0.12%
268 MAXIM INTEGR 268,844 9,595 0.12%
269 ROYAL CARIBBEAN GROUP 144,274 9,688 0.12%
270 V F CORP 161,900 9,955 0.12%
271 F5 NETWORKS INC 87,460 9,956 0.12%
272 WESTERN UN CO 523,041 10,032 0.13%
273 NUCOR CORP 205,983 10,178 0.13%
274 YAMANA GOLD INC 1,959,868 10,191 0.13%
275 TARGET CORP 147,382 10,290 0.13%
276 CISCO SYS INC 367,990 10,558 0.13%
277 NETAPP INC 444,638 10,934 0.14%
278 LINCOLN NATL CORP IND 282,200 10,941 0.14%
279 PEPSICO INC 103,500 10,965 0.14%
280 FOOT LOCKER INC 201,656 11,063 0.14%
281 CARDINAL HEALTH INC 143,581 11,201 0.14%
282 APPLIED MATLS INC 469,583 11,256 0.14%
283 NEWMONT CORP 290,179 11,352 0.14%
284 STARBUCKS CORP 199,175 11,377 0.14%
285 DISH NETWORK A 217,195 11,381 0.14%
286 APPLE INC 121,200 11,587 0.15%
287 TESORO CORP 159,508 11,950 0.15%
288 TEXAS INSTRS INC 192,381 12,053 0.15%
289 MACYS INC 362,280 12,176 0.15%
290 BIOGEN INC 51,461 12,444 0.16%
291 ENSCO PLC 1,319,514 12,812 0.16%
292 PETROLEO BRASILEIRO SA PETRO 1,797,900 12,873 0.16%
293 MCDONALDS CORP 106,987 12,875 0.16%
294 MOTOROLA SOLUTIONS INC 198,230 13,077 0.16%
295 IMPERIAL OIL LTD 420,500 13,236 0.17%
296 KOHLS CORP 353,509 13,405 0.17%
297 EOG RES INC 163,065 13,603 0.17%
298 BRISTOL MYERS SQUIBB CO 186,454 13,714 0.17%
299 MONDELEZ INTL INC 303,700 13,821 0.17%
300 UNITED RENTALS INC 211,276 14,177 0.18%
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