Harry Burn - Sound Shore
Sound Shore Management · SEC Form 13F portfolio
- Period
- 2026-06-30
- Portfolio value
- $3.25B
- Holdings
- 40
- Top 10
- 32.4%
Latest reported holdings
| Holding | % of Portfolio | Value | Shares | Change |
|---|---|---|---|---|
Teva Pharmaceutical Industries Ltd. - ADR COMMON Ticker unresolved | 3.97% | $128.90M | 3.80M | First tracked quarter |
Southwest Airlines Co. · COMMON | 3.87% | $125.55M | 2.44M | +21.96% |
Bank of America Corporation · COMMON | 3.58% | $116.14M | 2.04M | −1.32% |
American Airlines Group Inc. · COMMON | 3.31% | $107.57M | 5.95M | New |
Berkshire Hathaway Inc. - Class B · COMMON | 3.14% | $102.03M | 203.90K | +2.21% |
QUALCOMM Incorporated · COMMON | 3.12% | $101.23M | 547.81K | +28.96% |
Elevance Health, Inc. · COMMON | 2.90% | $94.15M | 243.45K | New |
The Walt Disney Company · COMMON | 2.87% | $93.15M | 967.83K | −0.27% |
Owens Corning · COMMON | 2.86% | $92.93M | 584.63K | −1.30% |
Pfizer Inc · COMMON | 2.83% | $91.99M | 3.82M | +33.09% |
Vistra Corp. · COMMON | 2.82% | $91.59M | 577.38K | +20.35% |
TE Connectivity PLC · COMMON | 2.78% | $90.19M | 447.36K | New |
QXO, Inc. · COMMON | 2.77% | $89.83M | 5.20M | +32.28% |
The Boeing Company · COMMON | 2.71% | $88.12M | 407.06K | +14.66% |
United Parcel Service, Inc. Cl B · COMMON | 2.65% | $86.19M | 801.77K | +10.12% |
Citigroup Inc. · COMMON | 2.65% | $86.16M | 615.63K | −20.42% |
Incyte Corporation · COMMON | 2.64% | $85.90M | 757.72K | −1.32% |
Smurfit WestRock Public Limited Company · COMMON | 2.61% | $84.92M | 1.84M | +21.65% |
Amazon.com, Inc. · COMMON | 2.57% | $83.45M | 350.14K | −7.59% |
EQT Corporation · COMMON | 2.56% | $83.23M | 1.57M | +26.69% |
Alphabet Inc. - Class A · COMMON | 2.56% | $83.18M | 232.77K | −8.96% |
Thermo Fisher Scientific, Inc. · COMMON | 2.55% | $82.88M | 165.32K | New |
BP PLC Sponsored ADR · COMMON | 2.55% | $82.82M | 2.24M | +34.08% |
Omnicom Group Inc. · COMMON | 2.53% | $82.27M | 1.13M | +34.00% |
NXP Semiconductors NV · COMMON | 2.48% | $80.57M | 286.70K | −30.18% |
Regeneron Pharmaceuticals, Inc. · COMMON | 2.44% | $79.19M | 126.99K | −15.88% |
General Motors Company · COMMON | 2.43% | $78.94M | 1.02M | −1.27% |
Public Service Enterprise Group Incorporated · COMMON | 2.42% | $78.69M | 969.51K | −1.54% |
Mohawk Industries, Inc. · COMMON | 2.37% | $76.96M | 634.34K | −1.28% |
Wells Fargo & Company · COMMON | 2.27% | $73.63M | 890.95K | −1.27% |
GE HealthCare Technologies Inc. · COMMON | 2.21% | $71.64M | 1.12M | −6.17% |
CSX Corporation · COMMON | 2.15% | $69.99M | 1.47M | −26.46% |
National Fuel Gas Company · COMMON | 2.15% | $69.70M | 902.78K | New |
Zimmer Biomet Holdings Inc. · COMMON | 2.11% | $68.41M | 794.60K | −24.48% |
Genuine Parts Company · COMMON | 2.10% | $68.35M | 579.34K | New |
Oracle Corporation · COMMON | 2.05% | $66.64M | 454.71K | New |
Medtronic, PLC · COMMON | 2.02% | $65.60M | 838.57K | +1.62% |
Kyndryl Holdings, Inc. · COMMON | 0.87% | $28.32M | 2.50M | −39.62% |
Packaging Corporation of America · COMMON | 0.45% | $14.54M | 61.02K | +11.46% |
Chevron Corporation · COMMON | 0.07% | $2.23M | 13.47K | +36.73% |