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Harry Burn's portfolio (2026 Q1)

Sound Shore Management

Sound Shore Management 13F holdings

Portfolio details

Portfolio value:
$2.98B
# of holdings:
40 (+3)
Reported for:
31 Mar 2026 (Q1)
Latest filing date:
07 May 2026

What stocks did Harry Burn own in 2026 Q1?

In Harry Burn's portfolio as of 31 Mar, 2026, the top 5 holdings were (TEVA) Teva Pharma Industries Ltd ADR (3.92%), (REGN) Regeneron Pharmaceuticals Inc (3.91%), (MRVL) Marvell Technology Group Ltd (3.81%), (BAC) Bank of America Corp (3.37%) and (BRK-B) Berkshire Hathaway Inc (3.20%).

What was Harry Burn's 2026 Q1 portfolio?

Sound Shore Management has disclosed a total of 40 security holdings in their (2026 Q1) SEC 13F filing(s) with portfolio value of $2,984,059,912.

What stocks has Sound Shore Management ever held a position in historically?

Sound Shore Management has held positions in TEVA, REGN, MRVL, BAC, BRK-B, and others historically — complete purchase and sale transaction data is available for each SEC-filed position.
Sound Shore Management's portfolio holdings are tracked quarterly based on SEC 13F filings. Snapshots for each reporting period document the full list of disclosed positions and their portfolio allocations.
What Sound Shore Management bought and sold recently is covered separately in Sound Shore Management's buys & sells page, which lists every position change reported in the latest filing.
Harry Burn's original 13F reports (2026 Q1) are the official SEC institutional disclosure documents covering all reported equity positions.
Completely sold out

Insights | News

Funds were net sellers of GOOGL 21-to-5 in 2026 Q1.
—
Consensus shift · 2026 Q1
Funds were net sellers of BAC 9-to-1 in 2026 Q1.
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Consensus shift · 2026 Q1
Funds were net sellers of COF 13-to-0 in 2026 Q1.
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Consensus shift · 2026 Q1
Funds were net sellers of WFC 10-to-0 in 2026 Q1.
—
Consensus shift · 2026 Q1

Original SEC filing source

Date Form
07 May 2026 13F-HR
* Shares, change to shares, sold shares, shares held after: 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.
* Current price: this can be a delayed price and may not reflect the real-time market value, however it is too close.
* New buy or own: this means there is no earlier reporting (for us or in general). So we can't know if the actual purchase of the security happened at the reported period or earlier.
* Held since / Held for: calculated since the latest "new buy" position. If the security was previously exited and re-entered, only the most recent holding period is counted. 2013 Q2 is the earliest period we have data for, so "2013 Q2*" means "2013 Q2 or earlier".
* % of portfolio: the total can exceed 100%, e.g. when there are also options positions, which can be short.