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Sound Shore Fund Inc

 
Page Created: 2008-12-04 08:47:00-08
Fund Type: SPECIALTY & MISC Report Date: 2008-11-25 Current Value: $95,225,174 Total Performance: 2.71 %
Family of: Sound Shore Fund Inc
 
   
 

Sound Shore Fund Inc
Highlights

Worst Move: Sound Shore Fund Inc potentially lost $24,924 on changes made with Texas Instruments Inc (TXN) buying shares when price went down.
Best Move: Sound Shore Fund Inc potentially made $2,358,609 on changes made with Aes Corpthe (AES) buying shares when price went up.
Good Save: Sound Shore Fund Inc potentially saved $3,008,310 on changes made with National City Corp (NCC) selling shares when price went down.
Missed Move: Sound Shore Fund Inc potentially missed $-3,788,560 on changes made with General Electric Co(GE) selling shares when price went up.
 

Sound Shore Fund Inc
Contact Information

Citigroup Global Transaction Svcs, Two Portland Square,Portland Me 04101-4049,
Phone: (800)551-1980, Fax: , Website:

Sound Shore Fund Inc
Symbols

SSHFX

Sound Shore Fund Inc
Recent Source SEC Filings

2008-11-25 http://www.sec.gov/Archives/edgar/data/764157/0001193125-08-243299.txt
2008-10-03 http://www.sec.gov/Archives/edgar/data/764157/0001193125-08-205732.txt
2008-09-04 http://www.sec.gov/Archives/edgar/data/764157/0001193125-08-190311.txt
 

Sound Shore Fund Inc
Holding and Details

Click on column headings to sort!
Stock Country Symbol Industry Current Shares Current Value Value Chng. Return Activity Shares Chng. Shares Chg.% Results
Aes Corpthe (AES) US AES Electric-Generatio ... 7,147,300 $55,891,886 $2,358,609 4.40 % New Holding 7,147,300 100.00 $2,358,609
Aon Corp (AOC) US AOC Insurance Brokers None - - - % Sold All -1,221,000 -100.00 $805,860
Bank Of America Corp (BAC) US BAC Super-Regional Ban ... None - - - % Sold All -1,897,700 -100.00 $816,011
Barrick Gold Corp (ABX) CA ABX Gold Mining None - - - % Sold All -1,340,300 -100.00 $120,627
Baxter International Inc (BAX) US BAX Medical Products None - - - % Sold All -628,700 -100.00 $207,471
Cardinal Health Inc (CAH) US CAH Medical-Whsle Drug ... None - - - % Sold All -1,063,600 -100.00 $-861,516
Cigna Corp (CI) US CI Life/Health Insura ... None - - - % Sold All -2,022,100 -100.00 $-909,945
Comcast Corp (CCT) US CCT - None - - - % Sold All -3,670,900 -100.00 $-1,762,032
El Paso Corp (EP) US EP Pipelines None - - - % Sold All -2,892,000 -100.00 $86,760
General Electric Co (GE) US GE Diversified Manufa ... None - - - % Sold All -2,059,000 -100.00 $-3,788,560
Hewlett-Packard Co (HPQ) US HPQ Computers None - - - % Sold All -874,300 -100.00 $-585,781
Invesco Ltd (AVZ) US AVZ Invest Mgmnt/Advis ... None - - - % Sold All -2,424,400 -100.00
Kimberly-Clark Corp (KMB) US KMB Consumer Products- ... None - - - % Sold All -1,003,300 -100.00 $-240,792
Marsh And Mclennan Cos Inc (MMC) US MMC Insurance Brokers None - - - % Sold All -2,004,500 -100.00 $-240,540
National City Corp (NCC) US NCC Super-Regional Ban ... None - - - % Sold All -10,027,700 -100.00 $3,008,310
Newmont Mining Corp (NEM) AU NEM Gold Mining None - - - % Sold All -1,186,400 -100.00 $-391,512
Pfizer Inc (PFE) US PFE Medical-Drugs None - - - % Sold All -4,114,100 -100.00 $-329,128
Pioneer Natural Resources Co (PXD) PH PXD Oil Comp-Explor An ... None - - - % Sold All -776,400 -100.00 $434,784
Royal Dutch Shell Plc (RDS.A) US RDS.A Oil Comp-Integrate ... None - - - % Sold All -873,500 -100.00
Southwest Airlines Co (LUV) US LUV Airlines None - - - % Sold All -4,388,700 -100.00 $746,079
Spectra Energy Corp (SE) US SE Pipelines None - - - % Sold All -2,637,700 -100.00 $633,048
Texas Instruments Inc (TXN) US TXN Electronic Compo-S ... 2,686,700 $39,333,288 $161,202 0.41 % Added More 415,400 18.28 $24,924
Time Warner Inc (TWX) US TWX Multimedia None - - - % Sold All -5,087,100 -100.00 $-3,306,615
Unum Group (UNM) US UNM Life/Health Insura ... None - - - % Sold All -3,076,900 -100.00 $-1,292,298
Walt Disney Cothe (DIS) US DIS Multimedia None - - - % Sold All -1,862,900 -100.00 $1,061,853
Waste Management Inc (WMI) US WMI Non-Hazardous Wast ... None - - - % Sold All -1,235,600 -100.00 $1,915,180
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Listed 26 holdings.
 

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