UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
Form 13F
Form 13F COVER PAGE
Report for the Calendar Year or Quarter Ended: March 31, 2000
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Check here if Amendment [ ] ; Amendment Number:
This Amendment (Check only one.): [ ] is a restatement.
[ ] adds new holdings entries.
Institutional Investment Manager Filing this Report:
Name: Sound Shore Management, Inc.
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Address: P.O. Box 1810
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8 Sound Shore Drive, Suite 180
Greenwich, CT 06836
Form 13F File Number: 028-02101
The institutional investment manager filing this report and the person by whom
it is signed hereby represent that the person signing the report is authorized
to submit it, that all information contained herein is true, correct, and
complete, and that it is understood that all required items, statements,
schedules, lists, and tables, are considered integral parts of this form.
Person Signing this Report on Behalf of Reporting Manager:
Name: Shanna S. Sullivan
Title: Vice President
Phone: (203) 629-1980
Signature, Place, and Date of Signing:
/s/Shanna S. Sullivan Greenwich, CT April 6, 2000
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(Signature) (City, State) (Date)
Report Type (Check only one.):
[X ] 13F HOLDINGS REPORT. (Check here if all holdings of this reporting
manager are reported in this report.)
[ ] 13F NOTICE. (Check here if no holdings reported are in this report,
and all holdings are reported by other reporting manager(s).)
[ ] 13F COMBINATION REPORT. (Check here if a portion of the holdings for
this reporting manager are reported in this report and a portion are
reported by other reporting manager(s).)
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Form 13F SUMMARY PAGE
Report Summary: Sound Shore Management, Inc.
Number of Other Included Managers: 0
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Form 13F Information Table Entry Total: 54
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Form 13F Information Table Value Total: $3,116,697
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(thousands)
List of Other Included Managers:
NONE
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Form 13F
Reporting Manager: Sound Shore Management, Inc., 8 Sound Shore Drive, Suite 180, Greenwich, CT 06836
3/31/00
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Item 1 Item 2 Item 3 Item 4 Item 5 Item 6 Item 7 Item 8
Name of Issuer Title Cusip Mkt. Value Shares Investment Discretion Mgrs. Voting Authority
of Number x $1000 Sole Shared Other Sole Shared None
Class (A) (B) (C) (A) (B) (C)
AT&T Corporation COMMON 001957109 90,203 1,603,600 X 1,459,600 0 144,000
Allstate Corporation COMMON 020002101 41,693 1,750,900 X 1,596,400 0 154,500
Ambac Financial Group, Inc COMMON 023139108 63,714 1,264,800 X 1,155,800 0 109,000
American Standard Cos., In COMMON 029712106 92,115 2,489,600 X 2,264,800 0 224,800
BCE, Inc. COMMON 05534B109 1,004 8,000 X 0 0 8,000
BMC Software COMMON 055921100 79,988 1,620,000 X 1,477,500 0 142,500
Bellsouth Corporation COMMON 079860102 87,952 1,876,300 X 1,719,800 0 156,500
Boeing Company COMMON 097023105 54,209 1,428,900 X 1,287,400 0 141,500
Borg-Warner Automotive, In COMMON 099724106 7,198 182,800 X 166,300 0 16,500
Capital One Financial Corp COMMON 14040H105 4,266 89,000 X 65,000 0 24,000
Cendant Corporation COMMON 151313103 80,599 4,356,700 X 3,977,700 0 379,000
CenturyTel, Inc. COMMON 156700106 95,240 2,565,400 X 2,337,400 0 228,000
CitiGroup, Inc. COMMON 172967101 3,191 53,290 X 29,250 0 24,040
Citizen's Utilities Co. COMMON 177342201 126,932 7,751,600 X 7,111,400 0 640,200
Columbia/HCA Healthcare Co COMMON 197677107 74,550 2,945,200 X 2,707,200 0 238,000
Compaq Computer Corporatio COMMON 204493100 76,256 2,824,300 X 2,578,300 0 246,000
Cypress Semiconductor Corp COMMON 232806109 71,609 1,461,400 X 1,343,800 0 117,600
Dana Corporation COMMON 235811106 314 11,151 X 0 0 11,151
Delta Air, Inc. COMMON 247361108 41,663 782,400 X 718,400 0 64,000
Walt Disney Holding Compan COMMON 254687106 83,627 2,021,200 X 1,844,200 0 177,000
Du Pont E I De Nemours & C COMMON 263534109 53,547 1,012,700 X 930,700 0 82,000
Duke Energy Corporation COMMON 264399106 80,005 1,523,900 X 1,389,400 0 134,500
Dynegy Inc. (Hldg Co.) COMMON 26816Q101 161,224 2,569,300 X 2,366,300 0 203,000
Eaton Corporation COMMON 278058102 70,387 902,400 X 822,900 0 79,500
Engelhard Corporation COMMON 292845104 30,245 1,999,700 X 1,812,200 0 187,500
Enron Corp. COMMON 293561106 19,789 264,300 X 235,300 0 29,000
Freddie Mac COMMON 313400301 63,294 1,432,400 X 1,293,900 0 138,500
Fannie Mae COMMON 313586109 116,498 2,064,200 X 1,868,500 0 195,700
Ford Motor Company COMMON 345370100 60,160 1,309,600 X 1,196,100 0 113,500
Franklin Resources, Inc. COMMON 354613101 2,508 75,000 X 29,000 0 46,000
Hasbro Inc. COMMON 418056107 43,040 2,608,500 X 2,337,000 0 271,500
Intl Business Machines Cor COMMON 459200101 96,931 821,448 X 748,200 0 73,248
Kaufman & Broad Home Corp. COMMON 486168107 70,446 3,286,100 X 3,005,800 0 280,300
Kimberly-Clark Company COMMON 494368103 95,906 1,712,600 X 1,577,600 0 135,000
Lehman Brothers Holdings I COMMON 524908100 94,236 971,500 X 892,500 0 79,000
MBIA Inc. COMMON 55262C100 83,701 1,607,700 X 1,468,700 0 139,000
Magna Entertainment Corp. COMMON 559211107 262 76,200 X 70,540 0 5,660
Magna International, Inc. COMMON 559222401 6,464 161,600 X 135,800 0 25,800
Mallinckrodt Inc. COMMON 561232109 87,642 3,048,400 X 2,768,900 0 279,500
Merck & Co. Inc. COMMON 589331107 895 14,400 X 0 0 14,400
Minnesota Mining & Manufac COMMON 604059105 65,589 740,600 X 677,100 0 63,500
Office Depot, Inc. COMMON 676220106 43,822 3,790,000 X 3,498,000 0 292,000
Parametric Technology Corp COMMON 699173100 42,506 2,018,100 X 1,860,600 0 157,500
Philip Morris Co.s Inc. COMMON 718154107 594 28,100 X 0 0 28,100
Polaris Industries Inc. COMMON 731068102 241 8,000 X 0 0 8,000
Presidential Life Corporat COMMON 740884101 138 10,000 X 0 0 10,000
Providian Financial Corp. COMMON 74406A102 59,555 687,500 X 630,000 0 57,500
Safeway, Inc. COMMON 786514208 88,921 1,965,100 X 1,803,600 0 161,500
SCANA Corporation New COMMON 80589M102 6,398 260,489 X 247,237 0 13,252
TJX Companies, Inc. COMMON 872540109 87,685 3,940,900 X 3,595,900 0 345,000
TRW Inc. COMMON 872649108 64,777 1,107,300 X 1,017,800 0 89,500
Telephone & Data Systems, COMMON 879433100 89,899 809,900 X 739,400 0 70,500
Weatherford International, COMMON 947074100 102,100 1,745,300 X 1,601,300 0 144,000
Williams Cos. Inc. COMMON 969457100 50,972 1,160,100 X 1,051,600 0 108,500
Totals: 54 3,116,697
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