0000950123-20-010961.txt : 20201106
0000950123-20-010961.hdr.sgml : 20201106
20201106140337
ACCESSION NUMBER: 0000950123-20-010961
CONFORMED SUBMISSION TYPE: 13F-HR
PUBLIC DOCUMENT COUNT: 2
CONFORMED PERIOD OF REPORT: 20200930
FILED AS OF DATE: 20201106
DATE AS OF CHANGE: 20201106
EFFECTIVENESS DATE: 20201106
FILER:
COMPANY DATA:
COMPANY CONFORMED NAME: SOUND SHORE MANAGEMENT INC /CT/
CENTRAL INDEX KEY: 0000820124
IRS NUMBER: 132509799
STATE OF INCORPORATION: DE
FISCAL YEAR END: 0930
FILING VALUES:
FORM TYPE: 13F-HR
SEC ACT: 1934 Act
SEC FILE NUMBER: 028-03697
FILM NUMBER: 201293725
BUSINESS ADDRESS:
STREET 1: 8 SOUND SHORE DRIVE
STREET 2: SUITE 180
CITY: GREENWICH
STATE: CT
ZIP: 06830
BUSINESS PHONE: (203) 629-1980
MAIL ADDRESS:
STREET 1: 8 SOUND SHORE DRIVE
STREET 2: SUITE 180
CITY: GREENWICH
STATE: CT
ZIP: 06830
13F-HR
1
primary_doc.xml
13F-HR
LIVE
0000820124
XXXXXXXX
09-30-2020
09-30-2020
false
Sound Shore Management Inc /CT/
8 Sound Shore Drive
Suite 180
Greenwich
CT
06830
13F HOLDINGS REPORT
028-03697
N
Lowell Haims
Chief Adminstrative Officer
203 629-1980
/s/ Lowell Haims
Greenwich
CT
11-05-2020
0
40
3201880
false
INFORMATION TABLE
2
1569.xml
INFORMATION TABLE FOR FORM 13F
Analog Devices, Inc.
COMMON
032654105
537
4600
SH
SOLE
4600
0
0
Alleghany Corporation
COMMON
017175100
94657
181876
SH
SOLE
134516
0
47360
Alphabet Inc. Cl A
COMMON
02079K305
60491
41274
SH
SOLE
30329
0
10945
Applied Materials
COMMON
038222105
85071
1430964
SH
SOLE
1052264
0
378700
Bank of America Corporation
COMMON
060505104
110431
4584116
SH
SOLE
3405616
0
1178500
Berkshire Hathaway, Inc. Cl B
COMMON
084670702
93402
438632
SH
SOLE
320567
0
118065
The Blackstone Group Inc.
COMMON
09260D107
81871
1568401
SH
SOLE
1154151
0
414250
Booking Holdings Inc.
COMMON
09857L108
81218
47477
SH
SOLE
35007
0
12470
CIGNA Corporation
COMMON
125523100
110756
653776
SH
SOLE
480216
0
173560
Cabot Oil & Gas Corporatio
COMMON
127097103
68565
3949616
SH
SOLE
2929466
0
1020150
Capital One Financial Corp
COMMON
14040H105
107444
1495189
SH
SOLE
1107589
0
387600
CitiGroup, Inc.
COMMON
172967424
95699
2219884
SH
SOLE
1645134
0
574750
Comcast Corporation Class A
COMMON
20030N101
110921
2397771
SH
SOLE
1755521
0
642250
Dentsply Sirona Inc.
COMMON
24906P109
74944
1713800
SH
SOLE
1263400
0
450400
Elanco Animal Health Inc.
COMMON
28414H103
83004
2971851
SH
SOLE
2190751
0
781100
EOG Resources, Inc.
COMMON
26875P101
61894
1722158
SH
SOLE
1261658
0
460500
Fiserv, Inc.
COMMON
337738108
71395
692822
SH
SOLE
509222
0
183600
International Paper Company
COMMON
460146103
70604
1741597
SH
SOLE
1280747
0
460850
Lam Research Corporation
COMMON
512807108
59774
180179
SH
SOLE
132974
0
47205
Lennar Corporation
COMMON
526057104
75343
922412
SH
SOLE
682962
0
239450
Magna International Inc.
COMMON
559222401
73212
1600259
SH
SOLE
1191359
0
408900
Merck & Co. Inc.
COMMON
58933Y105
87011
1048956
SH
SOLE
773056
0
275900
Morgan Stanley
COMMON
617446448
108105
2235887
SH
SOLE
1649987
0
585900
Oracle Corporation
COMMON
68389X105
138422
2318626
SH
SOLE
1693826
0
624800
Pfizer Inc.
COMMON
717081103
98841
2693226
SH
SOLE
1990826
0
702400
SVB Financial Group
COMMON
78486Q101
80610
335011
SH
SOLE
246171
0
88840
Henry Schein Inc.
COMMON
806407102
64563
1098380
SH
SOLE
808380
0
290000
Thermo Fisher Scientific, Inc.
COMMON
883556102
70666
160052
SH
SOLE
116652
0
43400
UnitedHealth Group Inc.
COMMON
91324P102
73526
235833
SH
SOLE
172833
0
63000
Verizon Communications Inc.
COMMON
92343V104
964
16200
SH
SOLE
16200
0
0
Wabtec Corporation
COMMON
929740108
70356
1136967
SH
SOLE
847017
0
289950
Walmart Inc.
COMMON
931142103
70151
501402
SH
SOLE
368502
0
132900
Whirlpool Corporation
COMMON
963320106
69519
378045
SH
SOLE
278495
0
99550
Eaton Corporation PLC
COMMON
G29183103
85812
841051
SH
SOLE
620851
0
220200
Aptiv PLC
COMMON
G6095L109
72324
788878
SH
SOLE
583978
0
204900
Sensata Technologies Holdings plc
COMMON
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91445
2119726
SH
SOLE
1598326
0
521400
Perrigo Company plc
COMMON
G97822103
100534
2189810
SH
SOLE
1658010
0
531800
Chubb Limited
COMMON
H1467J104
94505
813857
SH
SOLE
609607
0
204250
NXP Semiconductors NV
COMMON
N6596X109
85167
682375
SH
SOLE
507525
0
174850
Flex Ltd.
COMMON
Y2573F102
68123
6115145
SH
SOLE
4507845
0
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