Sound Shore Management
Long Only- Manager
- Harry Burn
- Quarter
- Q2 2026
- Filed
- 2026-08-12
- 13F value
- $3.25B
- Positions
- 40
- CIK
- 0000820124
| # | # Shares | Source | ||||||
|---|---|---|---|---|---|---|---|---|
| 1 | Teva Pharmaceutical Industries Ltd. - ADRTEVAHISTORY | 3.97% | (2.1%) | $128.9M | 3,804,497 | (81,186) | 0.33% | 13F |
| 2 | Southwest Airlines Co.LUVHISTORY | 3.87% | +22.0% | $125.5M | 2,441,564 | +439,587 | 0.50% | 13F |
| 3 | Bank of America CorporationBACHISTORY | 3.58% | (1.3%) | $116.1M | 2,038,298 | (27,284) | 0.03% | 13F |
| 4 | American Airlines Group Inc.AALHISTORY | 3.31% | NEW | $107.6M | 5,952,846 | +5,952,846 | 0.90% | 13F |
| 5 | Berkshire Hathaway Inc. - Class BBRK-BHISTORY | 3.14% | +2.2% | $102.0M | 203,903 | +4,418 | 21.66% | 13F |
| 6 | QUALCOMM IncorporatedQCOMHISTORY | 3.12% | +29.0% | $101.2M | 547,812 | +123,016 | 0.05% | 13F |
| 7 | Elevance Health, Inc.ELVHISTORY | 2.90% | NEW | $94.2M | 243,452 | +243,452 | 0.11% | 13F |
| 8 | The Walt Disney CompanyDISHISTORY | 2.87% | (0.3%) | $93.2M | 967,830 | (2,606) | 0.06% | 13F |
| 9 | Owens CorningOCHISTORY | 2.86% | (1.3%) | $92.9M | 584,629 | (7,701) | 0.74% | 13F |
| 10 | Pfizer IncPFEHISTORY | 2.83% | +33.1% | $92.0M | 3,820,117 | +949,696 | 0.07% | 13F |
| 11 | Vistra Corp.VSTHISTORY | 2.82% | +20.3% | $91.6M | 577,385 | +97,623 | 0.17% | 13F |
| 12 | TE Connectivity PLCTELHISTORY | 2.78% | NEW | $90.2M | 447,360 | +447,360 | 0.15% | 13F |
| 13 | QXO, Inc.QXOHISTORY | 2.77% | +32.3% | $89.8M | 5,198,401 | +1,268,591 | 0.50% | 13F |
| 14 | The Boeing CompanyBAHISTORY | 2.71% | +14.7% | $88.1M | 407,058 | +52,049 | 0.05% | 13F |
| 15 | United Parcel Service, Inc. Cl BUPSHISTORY | 2.65% | +10.1% | $86.2M | 801,772 | +73,706 | 0.11% | 13F |
| 16 | Citigroup Inc.CHISTORY | 2.65% | (20.4%) | $86.2M | 615,635 | (157,964) | 0.04% | 13F |
| 17 | Incyte CorporationINCYHISTORY | 2.64% | (1.3%) | $85.9M | 757,723 | (10,106) | — | 13F |
| 18 | Smurfit WestRock Public Limited CompanySWHISTORY | 2.61% | +21.6% | $84.9M | 1,835,817 | +326,681 | 0.35% | 13F |
| 19 | Amazon.com, Inc.AMZNHISTORY | 2.57% | (7.6%) | $83.5M | 350,136 | (28,739) | 0.00% | 13F |
| 20 | EQT CorporationEQTHISTORY | 2.56% | +26.7% | $83.2M | 1,565,288 | +329,723 | 0.25% | 13F |
| 21 | Alphabet Inc. - Class AGOOGLHISTORY | 2.56% | (9.0%) | $83.2M | 232,766 | (22,905) | 0.00% | 13F |
| 22 | Thermo Fisher Scientific, Inc.TMOHISTORY | 2.55% | NEW | $82.9M | 165,318 | +165,318 | 0.04% | 13F |
| 23 | BP PLC Sponsored ADRBPHISTORY | 2.55% | +34.1% | $82.8M | 2,241,317 | +569,634 | — | 13F |
| 24 | Omnicom Group Inc.OMCHISTORY | 2.53% | +34.0% | $82.3M | 1,129,610 | +286,648 | — | 13F |
| 25 | NXP Semiconductors NVNXPIHISTORY | 2.48% | (30.2%) | $80.6M | 286,699 | (123,954) | — | 13F |
| 26 | Regeneron Pharmaceuticals, Inc.REGNHISTORY | 2.44% | (15.9%) | $79.2M | 126,994 | (23,966) | 0.14% | 13F |
| 27 | General Motors CompanyGMHISTORY | 2.43% | (1.3%) | $78.9M | 1,024,187 | (13,175) | 0.12% | 13F |
| 28 | Public Service Enterprise Group IncorporatedPEGHISTORY | 2.42% | (1.5%) | $78.7M | 969,513 | (15,145) | 0.19% | 13F |
| 29 | Mohawk Industries, Inc.MHKHISTORY | 2.37% | (1.3%) | $77.0M | 634,336 | (8,201) | 0.94% | 13F |
| 30 | Wells Fargo & CompanyWFCHISTORY | 2.27% | (1.3%) | $73.6M | 890,946 | (11,484) | 0.03% | 13F |
| 31 | GE HealthCare Technologies Inc.GEHCHISTORY | 2.21% | (6.2%) | $71.6M | 1,119,193 | (73,548) | — | 13F |
| 32 | CSX CorporationCSXHISTORY | 2.15% | (26.5%) | $70.0M | 1,472,441 | (529,718) | 0.08% | 13F |
| 33 | National Fuel Gas CompanyNFGHISTORY | 2.15% | NEW | $69.7M | 902,778 | +902,778 | 0.95% | 13F |
| 34 | Zimmer Biomet Holdings Inc.ZBHHISTORY | 2.11% | (24.5%) | $68.4M | 794,602 | (257,600) | 0.42% | 13F |
| 35 | Genuine Parts CompanyGPCHISTORY | 2.10% | NEW | $68.4M | 579,343 | +579,343 | 0.42% | 13F |
| 36 | Oracle CorporationORCLHISTORY | 2.05% | NEW | $66.6M | 454,708 | +454,708 | 0.02% | 13F |
| 37 | Medtronic, PLCMDTHISTORY | 2.02% | +1.6% | $65.6M | 838,573 | +13,334 | 0.07% | 13F |
| 38 | Kyndryl Holdings, Inc.KDHISTORY | 0.87% | (39.6%) | $28.3M | 2,504,350 | (1,643,634) | 1.15% | 13F |
| 39 | Packaging Corporation of AmericaPKGHISTORY | 0.45% | +11.5% | $14.5M | 61,025 | +6,275 | 0.07% | 13F |
| 40 | Chevron CorporationCVXHISTORY | 0.07% | +36.7% | $2.2M | 13,475 | +3,620 | 0.00% | 13F |
Positions are from the latest 13F-HR (period end 2026-06-30). Weights are calculated: position value ÷ the 13F book. Schedule 13D/13G stakes are merged in when present (shares and percent of class, no dollar value). Chg Shares and % Chg compare with the adjacent prior quarter's 13F only. % Out is either calculated (position shares ÷ issuer shares outstanding from the issuer's XBRL cover page; weighted-average basic shares as a fallback) or reported (percent of class on a Schedule 13D/13G newer than the 13F period) — hover a value for its source and date. Unavailable figures show “—”, never an estimate. Methodology