13F filing recap · Q1 1999
What did Sound Shore Management buy in Q1 1999?
Reported stock-position changes between this filing and the previous one. US-listed stocks across every Sound Shore account, including accounts that belong to no fund below.
Stock value
$3.85B
Positions
46
Estimated turnover
—
Turnover is a proxy: verified trade-origin share changes valued at period-end and divided by average reported stock value. SEC holdings reports do not disclose execution dates or prices. Corporate actions and unreconciled activity are excluded.
New positions
FNMAFederal National Mortgage Association$170.11Mreported value+2.46M sharesPTCPtc Inc$167.83Mreported value+8.50M sharesONEBank One Corporation$140.37Mreported value+2.55M sharesTXNTexas Instruments Incorporated$137.81Mreported value+1.39M sharesTXUTexas Utilities Company$135.93Mreported value+3.24M sharesMECMidamerican Energy Holdings Company$134.83Mreported value+4.82M sharesFTUFirst Union Corp.$134.63Mreported value+2.52M sharesHASHasbro, Inc.$133.55Mreported value+4.62M sharesLUVSouthwest Airlines Co.$132.53Mreported value+4.38M sharesANAutonation, Inc.$130.16Mreported value+10.52M sharesALLAllstate Corp$128.92Mreported value+3.48M sharesTAT&T Corp$128.39Mreported value+1.61M sharesMGAMagna International Inc.$125.67Mreported value+2.17M sharesYUMYum! Brands, Inc.$120.80Mreported value+1.72M sharesENEEnron Corporation$119.77Mreported value+1.86M sharesKMBKimberly-Clark Corporation$114.51Mreported value+2.39M sharesLLoews Corp$113.36Mreported value+1.52M sharesMNKMallinckrodt Inc$113.15Mreported value+4.25M sharesUSTUst Inc$112.85Mreported value+4.32M sharesFFord Motor Co$110.77Mreported value+1.95M sharesIBMInternational Business Machines Corp$108.02Mreported value+609.4K sharesBMCBmc Software Inc$94.61Mreported value+2.55M sharesMBIMbia Inc.$93.01Mreported value+1.60M sharesASDAmerican Standard Cos., Inc$88.72Mreported value+2.58M sharesCIACitizens Utilities Co$85.27Mreported value+11.00M sharesKBHKb Home$83.45Mreported value+3.70M sharesCTLCentury Telephone Enterprise$81.16Mreported value+1.16M sharesWFRDWeatherford International Plc$76.45Mreported value+2.93M sharesCKCrompton & Knowles Corp$72.92Mreported value+4.63M sharesMMM3m Company$65.42Mreported value+924.6K sharesSESterling Commerce Inc$65.22Mreported value+2.12M sharesAMBCAmbac Financial Group, Inc.$63.80Mreported value+1.18M sharesDALDelta Air Lines, Inc.$61.30Mreported value+882.0K sharesBWABorgwarner Inc$60.38Mreported value+1.26M sharesTDSTelephone and Data Systems, Inc.$51.88Mreported value+920.3K sharesBCBrunswick Corporation$50.93Mreported value+2.67M sharesPIIPolaris Inc.$34.36Mreported value+1.08M sharesCCitigroup Inc$6.04Mreported value+94.5K sharesMOAltria Group, Inc.$1.34Mreported value+38.1K sharesMRKMerck & Co., Inc.$1.15Mreported value+14.4K sharesTJXThe Tjx Companies, Inc.$1.02Mreported value+30.0K sharesDANDana Incorporated$424.0Kreported value+11.2K sharesBCEBce Inc$355.0Kreported value+8.0K sharesRNBRepublic New York Corporation$284.0Kreported value+6.2K sharesPLFEPresidential Life Corporation$179.0Kreported value+10.0K sharesIGTInternational Game Technology$146.0Kreported value+10.0K shares