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Harry Burn - Sound Shore

As of Q2 2026, Harry Burn reported 40 long-equity positions worth $3.25B in aggregate.

Copy-investor backtest

Latest quarter
+6.39%
1-year
+29.18%
3-year
+64.21%
5-year
+76.25%
3-year vs S&P 500
-9.09%
5-year vs S&P 500
+1.39%
5-year top 5
+123.64%

Return from mechanically copying the disclosed 13F equity portfolio after each filing and rebalancing at the next. The vs S&P 500 figures subtract SPY over that manager's own rebalance dates, so both sides cover the same days; both are price return, excluding dividends. Method & limitations.

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Updated 2026-06-06 from SEC 13F data.

Live quotes available for 34 of 46 rows. Rows without a quote are marked unavailable.

1BRK/BBerkshire Hathaway, Inc. Cl BCUSIP 0846707024.69%Reduce -6.5%736,180$134.6MNo quoteNo quote
2MRKMerck & Co. Inc.4.49%Add +6.8%1,674,297$128.82M$76.9452w: $62.26 - $87.92; reported $76.94
3PRGOPerrigo Company plc4.16%Reduce -9.1%2,481,522$119.34M$48.0952w: $40.17 - $63.86; reported $48.09
4CMCSAComcast Corporation Class A4.05%Add +26.3%3,379,149$116.18M$34.3852w: $29.72 - $44.74; reported $34.38
5ORCLOracle Corporation4.03%Add +11.3%2,394,476$115.73M$48.3352w: $39.71 - $55.89; reported $48.33
6MSMorgan Stanley3.99%Reduce -3.0%3,369,641$114.57M$34.0052w: $27.20 - $57.57; reported $34.00
7PFEPfizer Inc.3.82%Add +46.9%3,361,494$109.72M$32.6452w: $26.45 - $38.87; reported $32.64
8MDLZMondelez International Inc3.54%Add +33.5%2,029,614$101.64M$50.0852w: $41.19 - $59.96; reported $50.08
9STSensata Technologies Holdings plc3.35%Add +32.9%3,327,728$96.27M$28.9352w: $18.25 - $54.37; reported $28.93
10LENLennar Corporation3.35%Add +23.4%2,516,837$96.14M$38.2052w: $24.61 - $69.10; reported $38.20
11WMTWalmart Inc.3.19%Add +11.8%805,547$91.53M$113.6252w: $34.00 - $42.69; reported $113.62
12TMOThermo Fisher Scientific, Inc.3.13%Reduce -11.6%316,933$89.88M$283.6052w: $250.21 - $342.26; reported $283.60
13SIVBQSVB Financial Group3.09%Add +9.4%587,267$88.72MNo quoteNo quote
14UNHUnitedHealth Group Inc.3.09%Reduce -25.8%355,683$88.7M$249.3852w: $187.72 - $306.71; reported $249.38
15ELANElanco Animal Health Inc.2.97%Add +6.8%3,809,871$85.3M$22.3952w: $15.17 - $32.66; reported $22.39
16GOOGLAlphabet Inc. Cl A2.95%Reduce -3.3%72,835$84.63M$1161.9652w: $50.44 - $76.54; reported $1161.96
17CVXChevron Corporation2.92%Add +24.4%1,158,755$83.96M$72.4652w: $51.60 - $122.72; reported $72.46
18MSFTMicrosoft Corporation2.79%Reduce -16.4%507,016$79.96M$157.7152w: $132.52 - $190.70; reported $157.71
19CSCOCisco Systems, Inc.2.61%New1,906,144$74.93M$39.3152w: $32.40 - $50.28; reported $39.31
20VZVerizon Communications Inc.2.60%New1,388,950$74.63M$53.7352w: $48.84 - $61.45; reported $53.73
21CICIGNA Corporation2.56%New414,653$73.47M$177.1852w: $118.50 - $224.64; reported $177.18
22BACBank of America Corporation2.53%Reduce -5.4%3,427,833$72.77M$21.2352w: $17.95 - $35.67; reported $21.23
23YAlleghany Corporation2.45%New127,452$70.4MNo quoteNo quote
24CCitiGroup, Inc.2.40%Reduce -21.8%1,639,191$69.04M$42.1252w: $32.00 - $83.11; reported $42.12
25ETNEaton Corporation PLC2.15%Reduce -41.2%793,550$61.65M$77.6952w: $56.42 - $105.78; reported $77.69
26AONAon PLC2.13%Reduce -10.7%369,894$61.05M$165.0452w: $143.93 - $238.19; reported $165.04
27COFCapital One Financial Corp2.11%Reduce -35.1%1,202,699$60.64M$50.4252w: $38.00 - $107.59; reported $50.42
28ADIAnalog Devices, Inc.2.07%New664,102$59.54M$89.6552w: $79.08 - $127.30; reported $89.65
29TTETOTAL S.A. - ADR2.05%Reduce -38.6%1,580,463$58.86M$37.2452w: $22.13 - $56.91; reported $37.24
30NXPINXP Semiconductors NV2.04%Reduce -31.3%704,576$58.43M$82.9352w: $58.41 - $139.59; reported $82.93
31AMATApplied Materials2.03%Reduce -31.6%1,269,788$58.18M$45.8252w: $36.64 - $69.44; reported $45.82
32HSICHenry Schein Inc.1.91%New1,086,788$54.91M$50.5252w: $41.85 - $73.99; reported $50.52
33LRCXLam Research Corporation1.71%New204,771$49.15M$240.0052w: $18.14 - $34.43; reported $240.00
34WFCWells Fargo & Company1.53%New1,526,032$43.8M$28.7052w: $25.11 - $54.04; reported $28.70
35APTVAptiv PLC1.50%New872,185$42.95M$49.2452w: $29.22 - $96.34; reported $49.24
36BPBP PLC Sponsored ADR0.02%Reduce -17.9%23,100$563K$24.3752w: $15.51 - $40.08; reported $24.37
37PKGPackaging Corporation of America0.02%New5,400$469K$86.8552w: $71.05 - $112.89; reported $86.85
46PARAViacomCBS Inc.-Sold0$0No quoteNo quote
45SABRSabre Corporation-Sold0$0No quoteNo quote
44MMCMarsh & McLennan Companies Inc.-Sold0$0No quoteNo quote
43JBLUJetBlue Airways Corporation-Sold0$0No quoteNo quote
42GMGeneral Motors Company-Sold0$0No quoteNo quote
41EQTEQT Corporation-Sold0$0No quoteNo quote
40DALDelta Air Lines, Inc.-Sold0$0No quoteNo quote
39CBChubb Ltd-Sold0$0No quoteNo quote
38AIGAmerican Intl Group, Inc.-Sold0$0No quoteNo quote