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VWO Vanguard FTSE Emerging Markets

45.615
0.045 (0.10%)
Last Updated: 15:58:52
Delayed by 15 minutes
Name Symbol Market Type
Vanguard FTSE Emerging Markets AMEX:VWO AMEX Exchange Traded Fund
  Price Change % Change Price High Price Low Price Open Price Traded Last Trade
  0.045 0.10% 45.615 45.75 45.58 45.60 2,256,833 15:58:52

Bridgewater Associates LP 3Q 13F: Largest Purchases

15/11/2013 12:04pm

Dow Jones News


Vanguard FTSE Emerging M... (AMEX:VWO)
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From Dec 2019 to Dec 2024

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DJ CFA SOURCE: SEC 13F-HR 
FILER: Bridgewater Associates LP 
QUARTER ENDED: 09/30/2013 
SEC RECEIVED: 11/13/2013 
 

Up to 200 of the largest purchases of Bridgewater Associates LP are listed below, ordered by the number of shares bought during the three months ended Sep. 30.

 
Company Name                             Value      Holdings        Change 
 
 
VANGUARD EMERGING MARKETS STOC  $4,077,762,637   101,601,162     2,412,142 
SPDR S&P 500 ETF TRUST  UNIT S  $3,475,992,492    20,689,200       870,300 
HEWLETT PACKARD CO  COM            $17,472,076       832,400       832,400 
MICRON TECHNOLOGY INC  COM         $34,898,118     1,997,717       778,557 
GENERAL ELECTRIC CO  COM           $12,226,329       511,776       511,776 
SYSCO CORP  COM                    $11,997,682       376,930       376,930 
CONAGRA FOODS INC  COM             $11,795,251       388,769       358,100 
CISCO SYSTEMS INC  COM              $8,223,812       350,980       350,980 
ANNALY CAPITAL MANAGEMENT INC       $5,075,780       438,323       295,233 
JUNIPER NETWORKS INC  COM           $5,779,061       290,990       290,990 
FORD MOTOR CO  COM                  $4,426,081       262,364       262,364 
VERIZON COMMUNICATIONS INC  CO     $10,722,368       229,724       229,724 
SOUTHERN COPPER CORP  COM          $15,083,605       553,730       225,507 
REGIONS FINANCIAL CORP  COM         $1,817,701       196,296       196,296 
CORNING INC  COM                    $5,230,515       358,500       195,900 
BAXTER INTERNATIONAL INC  COM      $16,492,328       251,063       193,983 
BCE INC  COM                       $11,482,030       268,900       181,300 
ALCOA INC  COM                      $1,452,839       178,921       178,921 
URBAN OUTFITTERS INC  COM           $8,309,432       225,984       178,800 
CVS CAREMARK CORP  COM              $9,934,088       175,050       175,050 
WALT DISNEY CO  COM                $10,925,444       169,413       169,413 
DENBURY RESOURCES INC  COM          $3,899,128       211,794       162,200 
INTEL CORP  COM                    $16,637,277       725,853       152,000 
LOWES COS INC  COM                  $6,772,665       142,253       142,253 
TJX COMPANIES INC  COM              $8,462,335       150,068       136,869 
TELUS CORP  COM                     $7,713,648       232,900       131,200 
SANDISK CORP  COM                   $7,783,908       130,800       130,800 
LINEAR TECHNOLOGY CORP  COM         $8,158,697       205,716       127,118 
ABBOTT LABS  COM                    $3,939,653       118,700       118,700 
MGM RESORTS INTERNATIONAL  COM      $2,352,399       115,088       115,088 
PMC SIERRA INC  COM                   $741,162       111,958       111,958 
ASSURED GUARANTY LTD  COM           $1,923,750       102,600       102,600 
TIFFANY & CO  COM                   $7,518,338        98,125        98,125 
ROGERS COMMUNICATIONS INC  CL       $7,617,071       177,100        96,500 
RITE AID CORP  COM                    $456,960        96,000        96,000 
INTERNATIONAL BUSINESS MACHINE     $22,799,362       123,120        90,900 
EXPRESS SCRIPTS HOLDING CO  CO     $13,508,738       218,588        84,300 
SEALED AIR CORP  COM                $2,765,196       101,699        84,100 
HONEYWELL INTERNATIONAL INC  C      $6,933,425        83,495        83,495 
RALPH LAUREN CORP  CL A            $13,596,155        82,536        82,536 
ZIONS BANCORPORATION  COM           $2,199,084        80,200        80,200 
VENTAS INC  COM                     $5,742,071        93,367        79,939 
H&R BLOCK INC  COM                  $2,042,156        76,600        76,600 
SOUTHERN CO  COM                    $3,100,854        75,300        75,300 
MACYS INC  COM                      $8,700,342       201,071        75,200 
RED HAT INC  COM                   $14,649,727       317,506        73,664 
KEYCORP  COM                          $947,819        83,142        72,800 
FLEXTRONICS INTERNATIONAL LTD         $639,900        70,396        70,396 
TEXAS INSTRUMENTS INCORPORATED     $10,493,853       260,458        70,058 
BROCADE COMMUNICATIONS SYSTEMS        $643,895        79,987        69,400 
DAVITA HEALTHCARE PARTNERS INC      $5,086,860        89,400        66,600 
HOME DEPOT INC  COM                $13,628,728       179,680        65,600 
SAFEWAY INC  COM                    $2,009,580        62,819        62,819 
ON SEMICONDUCTOR CORP  COM            $450,359        61,617        61,617 
BANK OF AMERICA CORP  COM           $3,710,696       268,891        59,800 
WESTERN DIGITAL CORP  COM           $4,989,580        78,700        59,700 
CREE INC  COM                       $3,543,927        58,879        58,879 
PFIZER INC  COM                     $1,568,615        54,608        54,608 
ALTRIA GROUP INC  COM               $1,875,510        54,600        54,600 
EASTMAN CHEMICAL CO  COM            $4,228,957        54,287        54,287 
METLIFE INC  COM                    $8,247,425       175,664        53,800 
TYSON FOODS INC  CL A               $1,479,044        52,300        52,300 
MARATHON PETROLEUM CORP  COM        $4,502,400        70,000        52,200 
AMERICAN ELECTRIC POWER INC  C      $2,623,239        60,513        50,200 
HALLIBURTON CO  COM                 $2,214,900        46,000        46,000 
ANADARKO PETROLEUM CORP  COM       $10,317,798       110,956        44,157 
AETNA INC  COM                      $4,748,812        74,177        43,600 
CABLEVISION SYSTEMS CORP  CL A        $734,005        43,587        43,587 
DOW CHEMICAL CO  COM                $1,659,187        43,208        43,208 
ROCKWELL COLLINS INC  COM           $2,906,512        42,831        42,831 
CHICOS FAS INC  COM                   $653,089        39,201        39,201 
E TRADE FINANCIAL CORP  COM           $646,355        39,173        39,173 
CALPINE CORP  COM NEW                 $749,532        38,576        38,576 
PRAXAIR INC  COM                    $4,632,413        38,536        38,536 
NABORS INDUSTRIES LTD  ORD            $600,114        37,367        37,367 
GENERAL GROWTH PROPERTIES INC         $706,014        36,600        36,600 
NUCOR CORP  COM                     $1,720,602        35,100        35,100 
AMERICAN EXPRESS CO  COM           $12,312,554       163,037        33,500 
NUANCE COMMUNICATIONS INC  COM        $609,678        32,638        32,638 
CBRE GROUP INC  COM                   $746,660        32,281        32,281 
BORGWARNER INC  COM                 $3,269,321        32,245        32,245 
PRECISION CASTPARTS CORP  COM       $6,978,313        30,709        30,709 
ANALOG DEVICES INC  COM             $1,430,320        30,400        30,400 
ROCK TENN CO  CL A                  $3,017,846        29,800        29,800 
DISH NETWORK CORP  CL A             $1,341,298        29,800        29,800 
JOHNSON CONTROLS INC  COM           $1,220,681        29,414        29,414 
CARDINAL HEALTH INC  COM            $3,929,294        75,346        29,000 
GOODYEAR TIRE & RUBBER CO  COM        $649,238        28,918        28,918 
TRIUMPH GROUP INC  COM              $1,917,006        27,300        27,300 
JOHNSON & JOHNSON  COM              $2,366,030        27,293        27,293 
EDWARDS LIFESCIENCES CORP  COM      $1,789,143        25,695        25,695 
INTUITIVE SURGICAL INC  COM        $13,469,713        35,798        25,439 
OCCIDENTAL PETROLEUM CORP  COM     $11,131,260       119,000        24,900 
CIGNA CORP  COM                     $4,287,328        55,781        24,700 
VCA ANTECH INC  COM                   $648,056        23,600        23,600 
ROSS STORES INC  COM                $9,481,108       130,235        23,424 
GOLDCORP INC  COM                   $9,010,046       346,407        23,400 
WELLPOINT INC  COM                  $4,935,164        59,026        22,900 
PVH CORP  COM                       $2,706,132        22,800        22,800 
COPART INC  COM                       $715,275        22,500        22,500 
ELDORADO GOLD CORP  COM             $3,024,197       450,700        22,400 
GENERAL CABLE CORP  COM               $684,911        21,572        21,572 
GAP INC  COM                        $4,139,898       102,778        21,100 
PG&E CORP  COM                        $862,348        21,074        21,074 
TIBCO SOFTWARE INC  COM               $519,528        20,302        20,302 
WELLS FARGO & CO  COM               $4,379,135       105,981        20,100 
LEGG MASON INC  COM                   $659,872        19,733        19,733 
OWENS CORNING  COM                    $993,215        26,151        19,451 
ELI LILLY & CO  COM                   $958,233        19,039        19,039 
JABIL CIRCUIT INC  COM                $407,931        18,816        18,816 
L BRANDS INC  COM                   $5,303,175        86,795        18,595 
JACK IN THE BOX INC  COM              $742,214        18,560        18,560 
LEXMARK INTERNATIONAL INC  CL         $611,985        18,545        18,545 
JPMORGAN CHASE & CO INC  COM        $4,328,624        83,742        18,400 
CAPITAL ONE FINANCIAL CORP  CO      $5,124,086        74,543        18,377 
AMERISOURCEBERGEN CORP  COM         $2,803,818        45,889        18,244 
NCR CORP  COM                         $709,970        17,924        17,924 
DEVON ENERGY CORP  COM              $4,091,603        70,838        17,638 
KELLOGG CO  COM                     $1,033,648        17,600        17,600 
HEALTH CARE REIT INC  COM           $1,090,777        17,486        17,486 
CHENIERE ENERGY INC  COM              $593,285        17,378        17,378 
LINCOLN NATIONAL CORP  COM          $1,134,486        27,018        17,300 
MEDTRONIC INC  COM                  $2,425,271        45,545        16,500 
TENET HEALTHCARE CORP  COM            $678,523        16,473        16,473 
PETROBRAS  ADR                      $7,890,606       509,400        16,400 
WILLIS GROUP HOLDINGS PLC  COM        $706,279        16,300        16,300 
ALLIANCE DATA SYSTEMS CORP  CO      $3,441,463        16,274        16,274 
SOLARWINDS INC  COM                   $567,972        16,200        16,200 
LAMAR ADVERTISING CO  CL A            $738,277        15,698        15,698 

1 Year Vanguard FTSE Emerging M... Chart

1 Year Vanguard FTSE Emerging M... Chart

1 Month Vanguard FTSE Emerging M... Chart

1 Month Vanguard FTSE Emerging M... Chart