Frühlingsrabtatt -> 10% Rabatt! Code: "SPRING"
Harry Burn
Harry Burn (Sound Shore Management Inc): Laut dem letzten 13F-Filing (Stand 30.06.2026) umfasst das Depot 40 Positionen mit einem Gesamtwert von $3,2 Mrd. Wertentwicklung: 1 Jahr +23,84 %, 3 Jahre +99,72 %, 5 Jahre +113,99 %.

Harry Burn
Sound Shore Management Inc
Echtzeit-Einblicke & Depot-Analyse
Gesamtwert (USD) $3,2 Mrd.
Größte Position Teva Pharmaceutical Inds Ltd
Letztes Update Q2 2026
Gesamtrendite · 1 Jahr +23,84 %
Gesamtrendite · 3 Jahre +99,72 %
Gesamtrendite · 5 Jahre +113,99 %
40 Positionen
| Aktie | % Depot | Market Value $ | Shares | Q2 vs. Q1 2026 | Last Transaction | Kurs | |
|---|---|---|---|---|---|---|---|
N/A TEVTeva Pharmaceutical Inds Ltd | 3,97% | $128.896.358 | 3.804.497 | SOLD Q2 · 2026-2,1% · 81 Tsd. Stk. | ← | – | |
LUVSouthwest Airls Co | 3,87% | $125.545.221 | 2.441.564 | BUY Q2 · 2026+22,0% · 440 Tsd. Stk. | ← | $40,98 | |
BACBank Of Amer Corp | 3,58% | $116.142.220 | 2.038.298 | SOLD Q2 · 2026-1,3% · 27 Tsd. Stk. | ← | $57,73 | |
AALAmerican Airls Group Inc | 3,31% | $107.567.927 | 5.952.846 | NEW Q2 · 20266,0 Mio. Stk. | – | $12,96 | |
BRK-BBerkshire Hathaway Inc Del | 3,14% | $102.031.022 | 203.903 | BUY Q2 · 2026+2,2% · 4 Tsd. Stk. | ← | $509,77 | |
QCOMQualcomm Inc | 3,12% | $101.230.179 | 547.812 | BUY Q2 · 2026+29,0% · 123 Tsd. Stk. | ← | $177,72 | |
ELVElevance Health Inc Formerly | 2,90% | $94.150.192 | 243.452 | NEW Q2 · 2026243 Tsd. Stk. | ← | $410,95 | |
DISDisney Walt Co | 2,87% | $93.153.638 | 967.830 | SOLD Q2 · 2026-0,3% · 3 Tsd. Stk. | ← | $102,67 | |
OCOwens Corning New | 2,86% | $92.932.626 | 584.629 | SOLD Q2 · 2026-1,3% · 8 Tsd. Stk. | ← | $123,90 | |
PFEPfizer Inc | 2,83% | $91.988.417 | 3.820.117 | BUY Q2 · 2026+33,1% · 950 Tsd. Stk. | ← | $27,66 | |
VSTVistra Corp | 2,82% | $91.590.583 | 577.385 | BUY Q2 · 2026+20,3% · 98 Tsd. Stk. | ← | $140,67 | |
TELTe Connectivity Plc | 2,78% | $90.192.250 | 447.360 | NEW Q2 · 2026447 Tsd. Stk. | – | $205,42 | |
N/A QXOQxo Inc | 2,77% | $89.828.369 | 5.198.401 | BUY Q2 · 2026+32,3% · 1,3 Mio. Stk. | ← | $11,38 | |
BABoeing Co | 2,71% | $88.115.845 | 407.058 | BUY Q2 · 2026+14,7% · 52 Tsd. Stk. | ← | $198,20 | |
CCitigroup Inc | 2,65% | $86.164.275 | 615.635 | SOLD Q2 · 2026-20,4% · 158 Tsd. Stk. | ← | $131,77 | |
UPSUnited Parcel Service Inc | 2,65% | $86.190.490 | 801.772 | BUY Q2 · 2026+10,1% · 74 Tsd. Stk. | ← | $99,06 | |
INCYIncyte Corp | 2,64% | $85.895.479 | 757.723 | SOLD Q2 · 2026-1,3% · 10 Tsd. Stk. | ← | $125,31 | |
N/A SWSmurfit Westrock Plc | 2,61% | $84.924.894 | 1.835.817 | BUY Q2 · 2026+21,6% · 327 Tsd. Stk. | ← | $44,33 | |
AMZNAmazon Com Inc | 2,57% | $83.451.414 | 350.136 | SOLD Q2 · 2026-7,6% · 29 Tsd. Stk. | ← | $253,71 | |
GOOGLAlphabet Inc | 2,56% | $83.183.585 | 232.766 | SOLD Q2 · 2026-9,0% · 23 Tsd. Stk. | ← | $349,54 | |
EQTEqt Corp | 2,56% | $83.226.363 | 1.565.288 | BUY Q2 · 2026+26,7% · 330 Tsd. Stk. | ← | $50,00 | |
BPBp Plc | 2,55% | $82.816.663 | 2.241.317 | BUY Q2 · 2026+34,1% · 570 Tsd. Stk. | ← | $44,58 | |
TMOThermo Fisher Scientific Inc | 2,55% | $82.883.832 | 165.318 | NEW Q2 · 2026165 Tsd. Stk. | ← | $651,45 | |
OMCOmnicom Group Inc | 2,53% | $82.269.496 | 1.129.610 | BUY Q2 · 2026+34,0% · 287 Tsd. Stk. | ← | $76,57 | |
NXPINxp Semiconductors N V | 2,48% | $80.571.020 | 286.699 | SOLD Q2 · 2026-30,2% · 124 Tsd. Stk. | ← | $227,99 | |
REGNRegeneron Pharmaceuticals | 2,44% | $79.185.839 | 126.994 | SOLD Q2 · 2026-15,9% · 24 Tsd. Stk. | ← | $784,85 | |
GMGeneral Mtrs Co | 2,43% | $78.944.334 | 1.024.187 | SOLD Q2 · 2026-1,3% · 13 Tsd. Stk. | ← | $82,20 | |
PEGPublic Svc Enterprise Group | 2,42% | $78.685.675 | 969.513 | SOLD Q2 · 2026-1,5% · 15 Tsd. Stk. | ← | $69,77 | |
MHKMohawk Inds Inc | 2,37% | $76.963.987 | 634.336 | SOLD Q2 · 2026-1,3% · 8 Tsd. Stk. | ← | $126,09 | |
WFCWells Fargo & Co New | 2,27% | $73.627.777 | 890.946 | SOLD Q2 · 2026-1,3% · 11 Tsd. Stk. | ← | $86,12 | |
GEHCGe Healthcare Technologies I | 2,21% | $71.639.544 | 1.119.193 | SOLD Q2 · 2026-6,2% · 74 Tsd. Stk. | ← | $64,13 | |
CSXCsx Corp | 2,15% | $69.985.121 | 1.472.441 | SOLD Q2 · 2026-26,5% · 530 Tsd. Stk. | ← | $47,10 | |
N/A NFGNational Fuel Gas Co | 2,15% | $69.703.489 | 902.778 | NEW Q2 · 2026903 Tsd. Stk. | – | $80,92 | |
ZBHZimmer Biomet Holdings Inc | 2,11% | $68.407.286 | 794.602 | SOLD Q2 · 2026-24,5% · 258 Tsd. Stk. | ← | $95,36 | |
GPCGenuine Parts Co | 2,10% | $68.350.887 | 579.343 | NEW Q2 · 2026579 Tsd. Stk. | – | $128,08 | |
ORCLOracle Corp | 2,05% | $66.637.457 | 454.708 | NEW Q2 · 2026455 Tsd. Stk. | ← | $147,61 | |
MDTMedtronic Plc | 2,02% | $65.601.566 | 838.573 | BUY Q2 · 2026+1,6% · 13 Tsd. Stk. | ← | $92,13 | |
KDKyndryl Hldgs Inc | 0,87% | $28.324.199 | 2.504.350 | SOLD Q2 · 2026-39,6% · 1,6 Mio. Stk. | ← | $12,07 | |
PKGPackaging Corp Amer | 0,45% | $14.541.037 | 61.025 | BUY Q2 · 2026+11,5% · 6 Tsd. Stk. | ← | $232,77 | |
CVXChevron Corporation | 0,07% | $2.233.616 | 13.475 | BUY Q2 · 2026+36,7% · 4 Tsd. Stk. | ← | $209,51 | |
ACIAlbertsons Companies Inc Ausgestiegen | - | - | 0 | SOLD Q2 · 2026-100% · 4,1 Mio. Stk. | ← | $12,35 | |
CHKPCheck Point Software Tech Lt Ausgestiegen | - | - | 0 | SOLD Q2 · 2026-100% · 519 Tsd. Stk. | ← | – | |
CTRACoterra Energy Inc Ausgestiegen | - | - | 0 | SOLD Q2 · 2026-100% · 2,1 Mio. Stk. | ← | – | |
FLEXFlex Ltd Ausgestiegen | - | - | 0 | SOLD Q2 · 2026-100% · 925 Tsd. Stk. | ← | $108,51 | |
ICLRIcon Plc Ausgestiegen | - | - | 0 | SOLD Q2 · 2026-100% · 627 Tsd. Stk. | ← | $164,11 | |
KMIKinder Morgan Inc Del Ausgestiegen | - | - | 0 | SOLD Q2 · 2026-100% · 1,9 Mio. Stk. | ← | – | |
MRVLMarvell Technology Inc Ausgestiegen | - | - | 0 | SOLD Q2 · 2026-100% · 1,1 Mio. Stk. | ← | $244,25 |


