Harry Burn Holdings Activity

Sound Shore Management Portfolio 13F

Sound Shore Management has disclosed a total of 41 changes to the portfolio in the latest (2025 Q1) SEC report(s): increased the number of shares of 24, bought 1 totally new, decreased the number of shares of 12 and completely sold out 4 position(s).

What stocks is Harry Burn buying now?

In the recent quarter Harry Burn has bought 25 securities out of which top 5 purchases (by % change to portfolio) are (MHK) MOHAWK INDUSTRIES INC (new buy), (CSX) CSX CORP (added shares +47.99%), (EOG) EOG RESOURCES INC (added shares +41.23%), (FIS) FIDELITY NATIONAL INFO SERV (added shares +37.08%) and (HOLX) HOLOGIC INC (added shares +42.61%).

What does Harry Burn invest in?

Harry Burn's top 5 holdings (by % of portfolio) are (COG) CABOT OIL & GAS CORP (3.97%), (COF) CAPITAL ONE FINANCIAL CORP (3.77%), (FIS) FIDELITY NATIONAL INFO SERV (3.4%), (BAX) BAXTER INTERNATIONAL INC (3.39%) and (C) CITIGROUP INC COM NEW (3.38%).

In the latest report(s) the following changes have been made to the top investments: (COG) CABOT OIL & GAS CORP (reduced shares -0.46%), (COF) CAPITAL ONE FINANCIAL CORP (reduced shares -15.63%), (FIS) FIDELITY NATIONAL INFO SERV (added shares +37.08%), (BAX) BAXTER INTERNATIONAL INC (added shares +13.74%) and (C) CITIGROUP INC COM NEW (added shares +10.71%).

2015 Q4 (42 results)
EQT
buy
+3,007,561
+2.85%
$52.13
6.70% $55.62
2.85%
TTE
buy
+23,300
+0.02%
$44.94
30.88% $58.81
0.02%
GOOG
buy
+8,300
+0.01%
$37.95
306.78% $154.38
0.01%
LBTYK
buy
+3,524,201
+2.61%
$40.77
76.67% $9.51
2.61%
GOOGL
buy
+3,746,160
+2.65%
$38.90
292.67% $152.75
2.65%
EXC
+42.89%
+1,609,370
+0.81%
$27.77
62.84% $45.22
2.71%
ADI
+23.28%
+492,943
+0.50%
$55.32
275.07% $207.49
2.63%
KEYS
+17.09%
+763,751
+0.39%
$28.33
444.02% $154.12
2.70%
IP
+10.85%
+402,110
+0.28%
$37.70
17.43% $44.27
2.82%
BP
+5.12%
+237,911
+0.14%
$31.26
4.77% $29.77
2.78%
SNY
+4.26%
+145,775
+0.11%
$42.65
17.00% $49.90
0.00%
MMC
+0.89%
+24,752
+0.02%
$55.45
309.11% $226.85
2.84%
CBS1EUR
+0.23%
+7,566
+0.01%
$47.13
-
2.84%
MRK
+0.12%
+4,192
+0.00%
$52.82
43.83% $75.97
3.28%
IVZ
+0.08%
+3,764
+0.00%
$33.48
55.71% $14.83
2.85%
CMCSA
-0.02%
-886
-0.00%
$28.21
21.39% $34.25
2.95%
ORCL
-0.05%
-2,348
-0.00%
$36.53
311.55% $150.34
3.19%
C
-0.10%
-3,472
-0.00%
$51.75
38.07% $71.45
3.19%
COF
-0.11%
-2,612
-0.00%
$72.18
160.13% $187.76
3.06%
MSFT
-0.16%
-5,341
-0.01%
$55.48
690.77% $438.72
3.32%
CIT
-1.25%
-57,483
-0.04%
$39.70
34.76% $53.50
3.28%
VOD
-1.84%
-87,192
-0.05%
$32.26
71.17% $9.30
2.73%
A
-2.15%
-87,896
-0.07%
$41.81
155.75% $106.93
3.05%
FLEX
-3.55%
-491,748
-0.10%
$11.21
243.26% $38.48
2.73%
PG
-3.58%
-71,114
-0.10%
$79.41
98.54% $157.66
2.77%
9991734D
-3.85%
-73,500
-0.12%
$92.21
-
3.08%
AER
-6.05%
-212,985
-0.17%
$43.16
153.87% $109.57
2.60%
CFG
-6.14%
-414,278
-0.20%
$26.19
49.37% $39.12
3.02%
AMAT
-7.71%
-787,645
-0.27%
$18.67
733.48% $155.61
3.20%
TMO
-8.54%
-128,041
-0.33%
$141.85
184.19% $403.13
3.54%
RLGY
-9.00%
-363,649
-0.24%
$36.67
67.06% $12.08
2.45%
BAC
-9.69%
-1,088,674
-0.33%
$16.83
148.31% $41.79
3.11%
LOW
-15.36%
-288,550
-0.40%
$76.04
192.29% $222.26
2.20%
TWX
-18.73%
-393,019
-0.46%
$64.67
-
2.01%
AIG
-20.26%
-617,217
-0.70%
$61.97
32.98% $82.41
0.00%
GE
-22.83%
-187,339
-0.85%
$249.20
13.74% $214.96
2.87%
TXN
-27.19%
-957,078
-0.95%
$54.81
214.30% $172.27
2.56%
8765432D
-100.00%
-5,557,748
-2.10%
$20.72
-
0.00%
CVS
-100.00%
-1,320,493
-2.32%
$96.48
30.59% $66.97
0.00%
VIVHY
-100.00%
-30,900
-0.01%
$23.62
87.17% $3.03
0.00%
8888000D
-100.00%
-200,955
-2.33%
$638.37
-
0.00%
9999000D
-100.00%
-63,331
-0.70%
$608.42
-
0.00%
42 of 1,990

Shares, change to shares, sold shares - split-adjusted.

Reported price - this doesn't represent the actual buy or sell price.
It is the split-adjusted price of the security as of the last day of the reported period.

Value or Price - If the security is completely sold out, we show the reported value (or price) prior to the actual period.