Featured 13F manager
Sound Shore Management Inc. Harry Burn
Greenwich, CT 20 processed 13Fs on this site · 2021 Q3–2026 Q2
- $3.2B
- 40 Positions
- 2026 Q2
- +8.8% QoQ
- Top 5 17.9%
Portfolio
top 5 17.9% · top 10 32.5%
- TEVA - Teva Pharm 4.0%
- LUV - Southwest Airlines 3.9%
- BAC - Bank of America 3.6%
- AAL — 3.3%
- BRK.B - Berkshire Hathaway · CLASS B 3.1%
- QCOM - QUALCOMM 3.1%
- ELV - Elevance Health 2.9%
- DIS - The Walt Disney 2.9%
- GLW - Owens Corning 2.9%
- PFE - Pfizer 2.8%
- VST - Vistra 2.8%
- TEL - TE Connectivity 2.8%
- Other 61.9%
AUM over time
Latest book
| TEVA - Teva Pharm | 3.97% | Reduce −2.1% | 3,804,497 | $33.88 | $129M | −81,186 | +$12M |
| LUV - Southwest Airlines | 3.87% | Add +22.0% | 2,441,564 | $51.42 | $126M | +439,587 | +$50M |
| BAC - Bank of America | 3.58% | Reduce −1.3% | 2,038,298 | $56.98 | $116M | −27,284 | +$15M |
| AAL — | 3.31% | New | 5,952,846 | $18.07 | $108M | +5,952,846 | +$108M |
| BRK.B - Berkshire Hathaway · CLASS B | 3.14% | Add +2.2% | 203,903 | $500.39 | $102M | +4,418 | +$6M |
| QCOM - QUALCOMM | 3.12% | Add +29.0% | 547,812 | $184.79 | $101M | +123,016 | +$47M |
| ELV - Elevance Health | 2.90% | New | 243,452 | $386.73 | $94M | +243,452 | +$94M |
| DIS - The Walt Disney | 2.87% | Reduce −0.3% | 967,830 | $96.25 | $93M | −2,606 | −$377K |
| GLW - Owens Corning | 2.86% | Reduce −1.3% | 584,629 | $158.96 | $93M | −7,701 | +$29M |
| PFE - Pfizer | 2.83% | Add +33.1% | 3,820,117 | $24.08 | $92M | +949,696 | +$11M |
| VST - Vistra | 2.82% | Add +20.3% | 577,385 | $158.63 | $92M | +97,623 | +$19M |
| TEL - TE Connectivity | 2.78% | New | 447,360 | $201.61 | $90M | +447,360 | +$90M |
| QXO - QXO Inc | 2.77% | Add +32.3% | 5,198,401 | $17.28 | $90M | +1,268,591 | +$14M |
| BA - Boeing | 2.71% | Add +14.7% | 407,058 | $216.47 | $88M | +52,049 | +$17M |
| UPS - United Parcel · CL B | 2.65% | Add +10.1% | 801,772 | $107.50 | $86M | +73,706 | +$15M |
| C - Citigroup | 2.65% | Reduce −20.4% | 615,635 | $139.96 | $86M | −157,964 | −$2M |
| INCY - Incyte | 2.64% | Reduce −1.3% | 757,723 | $113.36 | $86M | −10,106 | +$14M |
| WRK - Westrock | 2.61% | Add +21.6% | 1,835,817 | $46.26 | $85M | +326,681 | +$25M |
| AMZN - Amazon | 2.57% | Reduce −7.6% | 350,136 | $238.34 | $83M | −28,739 | +$5M |
| EQT - EQT Corp | 2.56% | Add +26.7% | 1,565,288 | $53.17 | $83M | +329,723 | +$5M |
| GOOGL - Alphabet · CLASS A | 2.56% | Reduce −9.0% | 232,766 | $357.37 | $83M | −22,905 | +$10M |
| TMO - Thermo Fisher Scientific | 2.55% | New | 165,318 | $501.36 | $83M | +165,318 | +$83M |
| BP - BP Sponsored | 2.55% | Add +34.1% | 2,241,317 | $36.95 | $83M | +569,634 | +$4M |
| OMC - Omnicom Group | 2.53% | Add +34.0% | 1,129,610 | $72.83 | $82M | +286,648 | +$19M |
| NXPI - NXP Semiconductors | 2.48% | Reduce −30.2% | 286,699 | $281.03 | $81M | −123,954 | −$270K |
| REGN - Regeneron Pharmaceuticals | 2.44% | Reduce −15.9% | 126,994 | $623.54 | $79M | −23,966 | −$37M |
| GM - General Motors | 2.43% | Reduce −1.3% | 1,024,187 | $77.08 | $79M | −13,175 | +$2M |
| PEG - Public Service Enterprise Group | 2.42% | Reduce −1.5% | 969,513 | $81.16 | $79M | −15,145 | −$1M |
| MHK - Mohawk Industries | 2.37% | Reduce −1.3% | 634,336 | $121.33 | $77M | −8,201 | +$14M |
| WFC - Wells Fargo & | 2.27% | Reduce −1.3% | 890,946 | $82.64 | $74M | −11,484 | +$2M |
| GEHC - GE HealthCare | 2.21% | Reduce −6.2% | 1,119,193 | $64.01 | $72M | −73,548 | −$13M |
| CSX - CSX Corp | 2.15% | Reduce −26.5% | 1,472,441 | $47.53 | $70M | −529,718 | −$12M |
| NFG - National Fuel Gas | 2.15% | New | 902,778 | $77.21 | $70M | +902,778 | +$70M |
| ZBH - Zimmer Biomet | 2.11% | Reduce −24.5% | 794,602 | $86.09 | $68M | −257,600 | −$27M |
| GPC - Genuine Parts | 2.10% | New | 579,343 | $117.98 | $68M | +579,343 | +$68M |
| ORCL - Oracle | 2.05% | New | 454,708 | $146.55 | $67M | +454,708 | +$67M |
| MDT - Medtronic | 2.02% | Add +1.6% | 838,573 | $78.23 | $66M | +13,334 | −$6M |
| KD - Kyndryl | 0.87% | Reduce −39.6% | 2,504,350 | $11.31 | $28M | −1,643,634 | −$26M |
| PKG - Packaging | 0.45% | Add +11.5% | 61,025 | $238.28 | $15M | +6,275 | +$3M |
| CVX - Chevron | 0.07% | Add +36.7% | 13,475 | $165.76 | $2M | +3,620 | +$195K |
Exits / last held
not current holdings · last reported size, unchanged · gone vs 2026 Q1
| Stock | % of portfolio | Recent activity | Shares | Reported price* | Value | Share change | $ change |
|---|---|---|---|---|---|---|---|
| MRVL - Marvell Technology | 3.81% | Exit | 0 | $99.05 | $114M | −1,148,590 | −$114M |
| CTRA - Coterra Energy | 2.51% | Exit | 0 | $35.14 | $75M | −2,128,868 | −$75M |
| CHKP - Check Point Software Technologies | 2.48% | Exit | 0 | $142.85 | $74M | −518,529 | −$74M |
| ACI - Albertsons Companies | 2.36% | Exit | 0 | $17.04 | $70M | −4,134,360 | −$70M |
| ICLR - ICON | 2.32% | Exit | 0 | $110.66 | $69M | −626,958 | −$69M |
| KMI - Kinder Morgan | 2.15% | Exit | 0 | $33.53 | $64M | −1,914,405 | −$64M |
| FLEX - Flextronics | 2.03% | Exit | 0 | $65.46 | $61M | −924,882 | −$61M |
Filings history
20 periods · normalized AUM · open a period for holdings
| Period | Holdings | AUM | QoQ | Form | Filed | Filing ID |
|---|---|---|---|---|---|---|
| 2026 Q2 | 40 | $3.2B | +8.8% | 13F-HR | 8/12/2026 | 000119312526346754 |
| 2026 Q1 | 40 | $3B | −5.1% | 13F-HR | 5/7/2026 | 000119312526211648 |
| 2025 Q4 | 37 | $3.1B | +3.9% | 13F-HR | 2/10/2026 | 000119312526044656 |
| 2025 Q3 | 38 | $3B | +3.1% | 13F-HR | 11/6/2025 | 000119312525268947 |
| 2025 Q2 | 36 | $2.9B | +2.8% | 13F-HR | 8/6/2025 | 000095012325007068 |
| 2025 Q1 | 37 | $2.9B | −5.7% | 13F-HR | 5/6/2025 | 000095012325004108 |
| 2024 Q4 | 40 | $3B | −1.5% | 13F-HR | 2/11/2025 | 000095012325001578 |
| 2024 Q3 | 40 | $3.1B | +2.5% | 13F-HR | 11/12/2024 | 000095012324010937 |
| 2024 Q2 | 39 | $3B | −6.2% | 13F-HR | 8/13/2024 | 000095012324008032 |
| 2024 Q1 | 38 | $3.2B | +10.9% | 13F-HR | 5/10/2024 | 000095012324004294 |
| 2023 Q4 | 36 | $2.9B | +10.4% | 13F-HR | 2/7/2024 | 000095012324000927 |
| 2023 Q3 | 38 | $2.6B | −3.7% | 13F-HR | 11/6/2023 | 000095012323009436 |
| 2023 Q2 | 37 | $2.7B | +2.1% | 13F-HR | 8/9/2023 | 000095012323007009 |
| 2023 Q1 | 35 | $2.7B | −0.1% | 13F-HR | 5/5/2023 | 000095012323003826 |
| 2022 Q4 | 35 | $2.7B | +7.6% | 13F-HR | 2/6/2023 | 000095012323000794 |
| 2022 Q3 | 35 | $2.5B | −9.5% | 13F-HR | 11/4/2022 | 000095012322010858 |
| 2022 Q2 | 36 | $2.7B | −20.7% | 13F-HR | 8/5/2022 | 000095012322007804 |
| 2022 Q1 | 35 | $3.4B | −4.4% | 13F-HR | 5/6/2022 | 000095012322004681 |
| 2021 Q4 | 35 | $3.6B | +1.7% | 13F-HR | 2/4/2022 | 000095012322001006 |
| 2021 Q3 | 36 | $3.5B | — | 13F-HR | 11/4/2021 | 000095012321013926 |
About
SOUND SHORE MANAGEMENT INC
SEC: SOUND SHORE MANAGEMENT INC /CT/
20 processed 13Fs on this site · 2021 Q3–2026 Q2