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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 2026-08-13 from SEC 13F data.

Live quotes available for 40 of 47 rows. Rows without a quote are marked unavailable.

1TEVATeva Pharmaceutical Industries Ltd. - ADR3.97%Reduce -2.1%3,804,497$128.9M$33.8852w: $14.99 - $37.35; reported $33.88
2LUVSouthwest Airlines Co.3.87%Add +22.0%2,441,564$125.55M$51.4252w: $28.98 - $55.11; reported $51.42
3BACBank of America Corporation3.58%Reduce -1.3%2,038,298$116.14M$56.9852w: $44.75 - $59.20; reported $56.98
4AALAmerican Airlines Group Inc.3.31%New5,952,846$107.57M$18.0752w: $10.09 - $18.36; reported $18.07
5BRK-BBerkshire Hathaway Inc. - Class B3.14%Add +2.2%203,903$102.03M$500.3952w: $455.19 - $516.85; reported $500.39
6QCOMQUALCOMM Incorporated3.12%Add +29.0%547,812$101.23M$184.7952w: $121.99 - $259.92; reported $184.79
7ELVElevance Health, Inc.2.90%New243,452$94.15M$386.7352w: $273.71 - $426.79; reported $386.73
8DISThe Walt Disney Company2.87%Reduce -0.3%967,830$93.15M$96.2552w: $92.19 - $124.61; reported $96.25
9OCOwens Corning2.86%Reduce -1.3%584,629$92.93M$158.9652w: $97.53 - $159.90; reported $158.96
10PFEPfizer Inc2.83%Add +33.1%3,820,117$91.99M$24.0852w: $23.11 - $28.75; reported $24.08
11VSTVistra Corp.2.82%Add +20.4%577,385$91.59M$158.6352w: $132.66 - $219.82; reported $158.63
12TELTE Connectivity PLC2.78%New447,360$90.19M$201.6152w: $167.37 - $252.56; reported $201.61
13QXOQXO, Inc.2.77%Add +32.3%5,198,401$89.83M$17.2852w: $14.75 - $27.61; reported $17.28
14BAThe Boeing Company2.71%Add +14.7%407,058$88.12M$216.4752w: $176.77 - $254.35; reported $216.47
15UPSUnited Parcel Service, Inc. Cl B2.65%Add +10.1%801,772$86.19M$107.5052w: $82.00 - $122.41; reported $107.50
16CCitigroup Inc.2.65%Reduce -20.4%615,635$86.16M$139.9652w: $84.77 - $147.96; reported $139.96
17INCYIncyte Corporation2.64%Reduce -1.3%757,723$85.9M$113.3652w: $66.83 - $115.56; reported $113.36
18SWSmurfit WestRock Public Limited Company2.61%Add +21.6%1,835,817$84.92M$46.2652w: $32.73 - $52.65; reported $46.26
19AMZNAmazon.com, Inc.2.57%Reduce -7.6%350,136$83.45M$238.3452w: $196.00 - $278.56; reported $238.34
20EQTEQT Corporation2.56%Add +26.7%1,565,288$83.23M$53.1752w: $48.47 - $68.24; reported $53.17
21GOOGLAlphabet Inc. - Class A2.56%Reduce -9.0%232,766$83.18M$357.3752w: $172.77 - $408.61; reported $357.37
22TMOThermo Fisher Scientific, Inc.2.55%New165,318$82.88M$501.3652w: $403.36 - $643.99; reported $501.36
23BPBP PLC Sponsored ADR2.55%Add +34.1%2,241,317$82.82M$36.9552w: $29.96 - $48.27; reported $36.95
24OMCOmnicom Group Inc.2.53%Add +34.0%1,129,610$82.27M$72.8352w: $66.33 - $87.17; reported $72.83
25NXPINXP Semiconductors NV2.48%Reduce -30.2%286,699$80.57M$281.0352w: $183.00 - $339.95; reported $281.03
26REGNRegeneron Pharmaceuticals, Inc.2.44%Reduce -15.9%126,994$79.19M$623.5452w: $521.00 - $821.11; reported $623.54
27GMGeneral Motors Company2.43%Reduce -1.3%1,024,187$78.94M$77.0852w: $48.80 - $87.62; reported $77.08
28PEGPublic Service Enterprise Group Incorporated2.42%Reduce -1.5%969,513$78.69M$81.1652w: $76.05 - $91.26; reported $81.16
29MHKMohawk Industries, Inc.2.37%Reduce -1.3%634,336$76.96M$121.3352w: $92.99 - $143.13; reported $121.33
30WFCWells Fargo & Company2.27%Reduce -1.3%890,946$73.63M$82.6452w: $72.78 - $97.76; reported $82.64
31GEHCGE HealthCare Technologies Inc.2.21%Reduce -6.2%1,119,193$71.64M$64.0152w: $58.75 - $89.77; reported $64.01
32CSXCSX Corporation2.15%Reduce -26.5%1,472,441$69.99M$47.5352w: $31.80 - $48.41; reported $47.53
33NFGNational Fuel Gas Company2.15%New902,778$69.7M$77.21No quote
34ZBHZimmer Biomet Holdings Inc.2.11%Reduce -24.5%794,602$68.41M$86.0952w: $79.12 - $108.29; reported $86.09
35GPCGenuine Parts Company2.10%New579,343$68.35M$117.9852w: $90.78 - $151.57; reported $117.98
36ORCLOracle Corporation2.05%New454,708$66.64M$146.5552w: $134.57 - $345.72; reported $146.55
37MDTMedtronic, PLC2.02%Add +1.6%838,573$65.6M$78.2352w: $73.32 - $106.33; reported $78.23
38KDKyndryl Holdings, Inc.0.87%Reduce -39.6%2,504,350$28.32M$11.3152w: $10.10 - $44.20; reported $11.31
39PKGPackaging Corporation of America0.45%Add +11.5%61,025$14.54M$238.2852w: $189.03 - $249.51; reported $238.28
40CVXChevron Corporation0.07%Add +36.7%13,475$2.23M$165.7652w: $142.51 - $214.71; reported $165.76
47MRVLMarvell Technology, Inc.-Sold0$0No quoteNo quote
46KMIKinder Morgan, Inc.-Sold0$0No quoteNo quote
45ICLRICON Plc-Sold0$0No quoteNo quote
44FLEXFlex Ltd.-Sold0$0No quoteNo quote
43CTRACoterra Energy Inc.-Sold0$0No quoteNo quote
42CHKPCheck Point Software Technologies Ltd.-Sold0$0No quoteNo quote
41ACIAlbertsons Companies, Inc.-Sold0$0No quoteNo quote