Instuitional Investor - Sound Shore Management Inc

Fund Profile
Filing Period:
Fund Name: Sound Shore Management Inc
Portfolio Value $2,854,639,048
Filing Period:
No. Security Ticker Shares Value % Port
1. CTRA 3,923,633 $113,392,994 3.97%
2. COF 600,140 $107,605,102 3.77%
3. FIS 1,300,242 $97,102,072 3.4%
4. BAX 2,825,902 $96,730,626 3.39%
5. C 1,357,898 $96,397,179 3.38%