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 Q3 (42 results)
MSFT
buy
+3,289,613
+2.74%
$44.26
1K+% $503.32
2.74%
ADI
buy
+2,117,689
+2.25%
$56.41
333.75% $244.68
2.25%
VIVHY
+159.66%
+19,000
+0.01%
$23.62
85.95% $3.32
0.00%
CBS1EUR
+13.68%
+397,317
+0.30%
$39.90
-
2.48%
AER
+13.49%
+265,652
+0.30%
$38.24
199.48% $114.52
2.53%
CFG
+12.28%
+738,246
+0.33%
$23.86
99.79% $47.67
3.03%
AMAT
+10.76%
+778,552
+0.27%
$14.69
1K+% $197.93
2.82%
A
+9.38%
+281,150
+0.23%
$34.33
259.10% $123.28
2.65%
GE
+9.00%
+67,735
+0.26%
$201.76
26.60% $255.42
3.12%
TWX
+8.95%
+112,074
+0.22%
$68.75
43.67% $98.77
2.72%
IVZ
+8.42%
+363,079
+0.21%
$31.23
44.19% $17.43
2.75%
TXN
+7.10%
+233,311
+0.22%
$49.52
346.79% $221.25
3.28%
CIT
+6.83%
+294,239
+0.22%
$40.03
33.65% $53.50
3.47%
9991734D
+6.01%
+108,361
+0.18%
$88.61
-
3.19%
IP
+3.37%
+120,831
+0.09%
$37.79
38.69% $52.41
2.64%
RLGY
+3.36%
+131,326
+0.09%
$37.63
67.90% $12.08
2.86%
CMCSA
+3.34%
+186,086
+0.10%
$28.44
23.03% $34.99
3.08%
COF
+1.88%
+33,173
+0.06%
$72.52
203.07% $219.79
3.19%
CVS
+0.73%
+7,121
+0.02%
$96.48
32.86% $64.78
0.00%
BP
+0.55%
+25,325
+0.01%
$30.56
6.81% $32.64
2.67%
LOW
+0.36%
+6,690
+0.01%
$68.92
225.20% $224.13
2.44%
KEYS
-0.00%
-51
-0.00%
$30.84
430.77% $163.69
2.59%
PG
-0.72%
-14,457
-0.02%
$71.94
118.31% $157.05
2.69%
8888000D
-2.08%
-3,099
-0.05%
$638.37
-
0.00%
ORCL
-2.74%
-135,221
-0.09%
$36.12
538.32% $230.56
3.26%
AIG
-2.91%
-91,222
-0.10%
$56.82
43.93% $81.78
3.26%
TMO
-3.00%
-46,331
-0.11%
$122.28
255.63% $434.86
3.45%
C
-3.42%
-90,467
-0.11%
$49.61
74.82% $86.73
3.16%
MMC
-3.74%
-108,641
-0.11%
$52.22
305.48% $211.74
2.75%
FLEX
-4.40%
-395,695
-0.13%
$10.54
395.16% $52.19
2.75%
BAC
-4.84%
-571,202
-0.17%
$15.58
199.94% $46.73
3.30%
EXC
-4.90%
-193,391
-0.11%
$29.70
46.50% $43.51
2.10%
SNY
-5.07%
-121,591
-0.16%
$47.47
2.40% $48.61
3.06%
MRK
-5.08%
-126,933
-0.17%
$49.39
68.78% $83.36
3.17%
VOD
-5.90%
-297,632
-0.18%
$31.74
65.85% $10.84
2.83%
8765432D
-7.34%
-299,344
-0.17%
$20.72
-
0.00%
9999000D
-53.39%
-72,553
-0.83%
$608.42
-
0.00%
AES
-100.00%
-12,115,748
-3.02%
$13.26
5.05% $12.59
0.00%
RDS.A
-100.00%
-5,900
-0.01%
$56.95
10.38% $51.04
0.00%
ANTM
-100.00%
-987,841
-3.05%
$164.14
194.01% $482.58
0.00%
QCOM
-100.00%
-2,275,355
-2.68%
$62.63
151.41% $157.46
0.00%
RS
-100.00%
-1,723,248
-2.28%
$60.48
443.12% $328.48
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.