HoldingsChannel.com
Sound Shore Management Inc. CT Top Holdings
As of  03/31/2019

   EntityAmountChange
 12/31/2018 to 03/31/2019
Position Size
($ in 1000's)
CitiGroup Inc. 3,602,040 +394,719 $224,119
     C3,602,040+394,719$224,119
Bank of America Corporation 8,032,012 +947,510 $221,603
     BAC8,032,012+947,510$221,603
Berkshire Hathaway Inc. Cl B      $213,031
     BRK.B1,060,438+27,915$213,031
Merck & Co. Inc. 2,350,293 -973,898 $195,474
     MRK2,350,293-973,898$195,474
American Intl Group Inc. 4,467,212 +561,976 $192,358
     AIG4,467,212+561,976$192,358
Capital One Financial Corp 2,311,111 +215,450 $188,795
     COF2,311,111+215,450$188,795
CBS Corporation 3,672,642 +779,563 $174,561
     CBS3,672,642+779,563$174,561
Comcast Corporation Class A 4,317,335 -120,275 $172,607
     CMCSA4,317,335-120,275$172,607
Delta Air Lines Inc. 3,267,477 +100,171 $168,765
     DAL3,267,477+100,171$168,765
Sabre Corporation 7,635,367 -327,419 $163,321
     SABR7,635,367-327,419$163,321
Alexion Pharmaceuticals Inc. 1,183,624 +142,318 $160,002
     ALXN1,183,624+142,318$160,002
TOTAL S.A. ADR 2,817,795 +335,134 $156,810
     TOT2,817,795+335,134$156,810
Eaton Corporation PLC 1,861,639 -73,727 $149,974
     ETN1,861,639-73,727$149,974
Microsoft Corporation 1,237,632 -28,772 $145,966
     MSFT1,237,632-28,772$145,966
Allergan plc 993,319 -21,494 $145,432
     AGN993,319-21,494$145,432
Applied Materials 3,645,664 -101,286 $144,587
     AMAT3,645,664-101,286$144,587
First Data Corporation 5,492,857 -4,273,040 $144,297
     FDC5,492,857-4,273,040$144,297
Mondelez International Inc 2,873,477 -651,605 $143,444
     MDLZ2,873,477-651,605$143,444
Thermo Fisher Scientific 514,728 -5,938 $140,891
     TMO514,728-5,938$140,891
Marsh & McLennan Companies Inc. 1,491,030 -263,279 $140,008
     MMC1,491,030-263,279$140,008
Pfizer Inc. 3,289,591 -6,617 $139,709
     PFE3,289,591-6,617$139,709
Chubb Ltd 946,295 -225,895 $132,557
     CB946,295-225,895$132,557
NXP Semiconductors NV 1,491,511 +106,692 $131,835
     NXPI1,491,511+106,692$131,835
Lennar Corporation 2,618,119 -71,989 $128,523
     LEN2,618,119-71,989$128,523
Alphabet Inc. Cl A 104,166 -4,639 $122,592
     GOOGL104,166-4,639$122,592
Exelon Corporation 2,445,272 -478,668 $122,581
     EXC2,445,272-478,668$122,581
nVent Electric PLC 4,471,799 -166,486 $120,649
     NVT4,471,799-166,486$120,649
EQT Corporation 5,786,391 +134,301 $120,010
     EQT5,786,391+134,301$120,010
The Goodyear Tire & Rubber Co. 6,578,014 +291,388 $119,391
     GT6,578,014+291,388$119,391
Elanco Animal Health Inc. 3,604,608 +3,604,608 $115,600
     ELAN3,604,608+3,604,608$115,600
Aon PLC 661,903 -287,907 $112,987
     AON661,903-287,907$112,987
Walmart Inc. 1,120,911 -569,221 $109,322
     WMT1,120,911-569,221$109,322
Sensata Technologies Holdi 2,336,177 +2,336,177 $105,175
     ST2,336,177+2,336,177$105,175
Equitrans Midstream Corporation 4,656,955 -477,569 $101,428
     ETRN4,656,955-477,569$101,428
Schlumberger Ltd. 1,588,047 -92,077 $69,191
     SLB1,588,047-92,077$69,191
Antero Resources Corporation 6,845,685 -1,610,543 $60,447
     AR6,845,685-1,610,543$60,447
BP PLC Sponsored ADR 10,700 +4,700 $468
     BP10,700+4,700$468

See Full List: All Stocks Held By Sound Shore Management Inc. CT
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Sound Shore Management Inc. CT

Size ($ in 1000's)
At 03/31/2019: $5,198,731
At 12/31/2018: $4,858,262

Sound Shore Management Inc. CT holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Sound Shore Management Inc. CT 13F filings. Link to 13F filings: SEC filings

Sound Shore Management Inc. CT Top Holdings 13F Filings | www.HoldingsChannel.com

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