SEC FORM 13F-HR

The Securities and Exchange Commission has not necessarily reviewed the information in this filing and has not determined if it is accurate and complete.
The reader should not assume that the information is accurate and complete.

UNITED STATES SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 13F

FORM 13F COVER PAGE

OMB APPROVAL
OMB Number:3235-0006
Expires:Oct 31, 2018
Estimated average burden
hours per response:23.8

Report for the Calendar Year or Quarter Ended:09-30-2019
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:Loews Corp
Address:667 Madison Ave
New York, NY  10065-8087
Form 13F File Number:028-00217

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:Marc Alpert
Title:Senior Vice President & General Counsel
Phone:212-521-2923
Signature, Place, and Date of Signing:
Marc AlpertNew YorkNY11-05-2019
[Signature][City, State][Date]
Loews Corporation (Loews), by virtue of its approximately 89% ownership of voting securities of CNA Financial Corporation whose business address is 151 North Franklin Street, Chicago, Illinois 60606 (CNA), may be deemed to have investment discretion regarding certain securities (the CNA Securities) as to which investment discretion is deemed to be exercised by CNA. CNA is reporting on behalf of Loews regarding the CNA Securities.
Report Type (Check only one.):
  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).)
X13F 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).)
List of Other Managers Reporting for this Manager:
[If there are no entries in this list, omit this section.]
Form 13F File NumberName
 CNA Financial Corporation
Form 13F Summary Page
Report Summary:
Number of Other Included Managers:0
Form 13F Information Table Entry Total:115
Form 13F Information Table Value Total:12,869,747
(thousands)
List of Other Included Managers:
Provide a numbered list of the name(s) and Form 13F file number(s) of all institutional investment managers with respect to which this report is filed, other than the manager filing this report.
[If there are no entries in this list, state “NONE” and omit the column headings and list entries.]
NONE

SEC FORM 13-F Information Table

The Securities and Exchange Commission has not necessarily reviewed the information in this filing and has not determined if it is accurate and complete.
The reader should not assume that the information is accurate and complete.

UNITED STATES SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 13F

FORM 13F INFORMATION TABLE

OMB APPROVAL
OMB Number:3235-0006
Expires:Oct 31, 2018
Estimated average burden
hours per response:23.8

COLUMN 1COLUMN 2COLUMN 3COLUMN 4COLUMN 5COLUMN 6COLUMN 7COLUMN 8
VALUESHRS ORSH/PUT/INVESTMENTOTHERVOTING AUTHORITY
NAME OF ISSUERTITLE OF CLASSCUSIP(x$1000)PRN AMTPRNCALLDISCRETIONMANAGERSOLESHAREDNONE
ADIENT PLCCOMG0084W1015,740250,000SH SOLE 250,00000
AERIE PHARMACEUTICALCOM00771V10839820,695SH SOLE 20,69500
ALAMOS GOLD INC NEWCOM0115321086,6041,135,516SH SOLE 1,135,51600
ALIO GOLD INCCOM01627X10881130,891SH SOLE 130,89100
ALPHABET INCCOM02079K30511,7199,597SH SOLE 9,59700
ALPHABET INCCOM02079K107610500SH SOLE 50000
AMERICAN INTL GROUPCOM0268747842925,237SH SOLE 5,23700
ANALOG DEVICES INCCOM0326541055084,550SH SOLE 4,55000
ANTHEM INCCOM0367521034151,727SH SOLE 1,72700
APPLE INCCOM0378331003581,600SH SOLE 1,60000
ARCHER DANIELS MIDLACOM0394831022385,800SH SOLE 5,80000
ASANKO GOLD INCCOM04341Y1053,0003,228,506SH SOLE 3,228,50600
AVAYA HLDGS CORPCOM05351X1017,161700,000SH SOLE 700,00000
AVNET INCCOM0538071032756,175SH SOLE 6,17500
AXA EQUITABLE HLDGSCOM05456110522910,341SH SOLE 10,34100
AXIS CAPITAL HOLDINGCOMG0692U1092173,248SH SOLE 3,24800
BANK AMER CORPCOM0605051049,556327,581SH SOLE 327,58100
BARRICK GOLD CORPORACOM06790110816,565955,845SH SOLE 955,84500
BERKSHIRE HATHAWAY ICOM0846707022601,250SH SOLE 1,25000
BERRY GLOBAL GROUP ICOM08579W10311,977305,000SH SOLE 305,00000
BLACKSTONE GROUP INCCOM09260D10749310,100SH SOLE 10,10000
BOEING COCOM097023105304800SH SOLE 80000
BRIGHTHOUSE FINL INCCOM10922N9534,047100,000SHPutSOLE 100,00000
BRISTOL MYERS SQUIBBCOM11012210823,327460,000SH SOLE 460,00000
BROOKDALE SR LIVINGCOM11246310410113,377SH SOLE 13,37700
CAPITAL ONE FINL CORCOM14040H1052903,191SH SOLE 3,19100
CENOVUS ENERGY INCCOM15135U10913814,675SH SOLE 14,67500
CHESAPEAKE ENERGY COCOM1651671074028,114SH SOLE 28,11400
CIGNA CORP NEWCOM12552310019,186126,400SH SOLE 126,40000
CISCO SYS INCCOM17275R10210,129205,000SH SOLE 205,00000
CITIGROUP INCCOM1729674242,64038,216SH SOLE 38,21600
CITIGROUP INCCOM1729679545,52680,000SHPutSOLE 80,00000
CNA FINL CORPCOM12611710011,950,501242,649,773SH SOLE 242,649,77300
COGNIZANT TECHNOLOGYCOM1924461022413,993SH SOLE 3,99300
COMCAST CORP NEWCOM20030N10120,737460,000SH SOLE 460,00000
COOPER STD HLDGS INCCOM21676P1032566,252SH SOLE 6,25200
CORNING INCCOM2193501052177,625SH SOLE 7,62500
COVANTA HLDG CORPCOM22282E10279445,896SH SOLE 45,89600
CSX CORPCOM1264081035377,750SH SOLE 7,75000
CUMULUS MEDIA INCCOM2310828014,643319,300SH SOLE 319,30000
CVS HEALTH CORPCOM1266501004,41570,000SH SOLE 70,00000
D R HORTON INCCOM23331A1092645,000SH SOLE 5,00000
DELTA AIR LINES INCCOM24736170264011,110SH SOLE 11,11000
DIAMOND OFFSHORE DRICOM25271C102406,54273,119,047SH SOLE 73,119,04700
DISNEY WALT COCOM2546871068066,184SH SOLE 6,18400
DUPONT DE NEMOURS INCOM26614N10210,222143,346SH SOLE 143,34600
ELDORADO GOLD CORP NCOM2849025091,228158,399SH SOLE 158,39900
EOG RES INCCOM26875P1012192,950SH SOLE 2,95000
FLEX LTDCOMY2573F1025,233500,000SH SOLE 500,00000
FORD MTR CO DELCOM34537086019821,593SH SOLE 21,59300
FUELCELL ENERGY INCCOM35952H601619,808SH SOLE 19,80800
GENERAL ELECTRIC COCOM36960410326,8203,000,000SH SOLE 3,000,00000
GENERAL MTRS COCOM37045V1008,697232,055SH SOLE 232,05500
GENERAL MTRS COCOM37045V9503,748100,000SHPutSOLE 100,00000
GOLDMAN SACHS GROUP INCCOM38141G95412,43460,000SHPutSOLE 60,00000
HALLIBURTON COCOM40621610123412,395SH SOLE 12,39500
HCA HEALTHCARE INCCOM40412C10111,44095,000SH SOLE 95,00000
HCA HEALTHCARE INCCOM40412C9519,63480,000SHPutSOLE 80,00000
HERTZ GLOBAL HLDGS ICOM42806J10612,033869,466SH SOLE 869,46600
HESS CORPCOM42809H1074487,400SH SOLE 7,40000
HEWLETT PACKARD ENTECOM42824C10920913,752SH SOLE 13,75200
IAMGOLD CORPCOM4509131082,372694,759SH SOLE 694,75900
IHEARTMEDIA INCCOM45174J50910,875725,000SH SOLE 725,00000
INFINERA CORPORATIONCOM45667G1032,344430,000SH SOLE 430,00000
INGREDION INCCOM4571871024,28352,395SH SOLE 52,39500
INTL PAPER COCOM4601469532,50960,000SHPutSOLE 60,00000
JACOBS ENGR GROUP INCOM4698141077,77885,000SH SOLE 85,00000
JELD-WEN HLDG INCCOM47580P10326513,740SH SOLE 13,74000
JPMORGAN CHASE & COCOM46625H10013,887117,995SH SOLE 117,99500
KBR INCCOM48242W1062048,320SH SOLE 8,32000
KINDER MORGAN INC DECOM49456B10120,6101,000,000SH SOLE 1,000,00000
L3HARRIS TECHNOLOGIECOM5024311092501,200SH SOLE 1,20000
LAUREATE EDUCATION ICOM5186132036,216375,000SH SOLE 375,00000
LEAR CORPCOM5218652042532,145SH SOLE 2,14500
LENNAR CORPCOM5260571043105,556SH SOLE 5,55600
LENNAR CORPCOM5260579544,46880,000SHPutSOLE 80,00000
LINCOLN NATL CORP INCOM5341871092383,950SH SOLE 3,95000
LKQ CORPCOM50188920813,838440,000SH SOLE 440,00000
LYONDELLBASELL INDUSCOMN5374510019,334216,100SH SOLE 216,10000
MARATHON PETE CORPCOM56585A10223,996395,000SH SOLE 395,00000
MARATHON PETE CORPCOM56585A9522,43040,000SHPutSOLE 40,00000
MCKESSON CORPCOM58155Q1033062,242SH SOLE 2,24200
MEDTRONIC PLCCOMG5960L9538,69080,000SHPutSOLE 80,00000
METLIFE INCCOM59156R1082134,513SH SOLE 4,51300
MICROSOFT CORPCOM59491810414,334103,100SH SOLE 103,10000
MICROSOFT CORPCOM59491895413,903100,000SHPutSOLE 100,00000
MORGAN STANLEYCOM6174464482104,919SH SOLE 4,91900
MOTOROLA SOLUTIONS ICOM6200763072981,750SH SOLE 1,75000
NATIONAL OILWELL VARCOM63707110125211,872SH SOLE 11,87200
NEWELL BRANDS INCCOM65122910623012,301SH SOLE 12,30100
NEWMONT GOLDCORP CORCOM6516391061,24432,800SH SOLE 32,80000
NOVAGOLD RES INCCOM66987E20619932,832SH SOLE 32,83200
OCCIDENTAL PETE CORPCOM67459910545210,155SH SOLE 10,15500
ORACLE CORPCOM68389X1054708,537SH SOLE 8,53700
PFIZER INCCOM71708110350914,158SH SOLE 14,15800
PITNEY BOWES INCCOM72447910012928,258SH SOLE 28,25800
PROCTER & GAMBLE COCOM7427181091,24410,000SH SOLE 10,00000
PVH CORPCOM6936561002532,866SH SOLE 2,86600
RYDER SYS INCCOM7835491082424,673SH SOLE 4,67300
SCHLUMBERGER LTDCOM8068579583,417100,000SHPutSOLE 100,00000
SPDR S&P 500 ETF TRCOM78462F10313,05844,000SH SOLE 44,00000
SSR MNG INCCOM7847301032,327160,259SH SOLE 160,25900
T MOBILE US INCCOM8725901042893,663SH SOLE 3,66300
TEEKAY TANKERS LTDCOMY8565N1021914,613SH SOLE 14,61300
UNION PACIFIC CORPCOM9078181082591,600SH SOLE 1,60000
UNITED TECHNOLOGIESCOM9130171092391,750SH SOLE 1,75000
US FOODS HLDG CORPCOM91200810911,303275,000SH SOLE 275,00000
VERIZON COMMUNICATIOCOM92343V1043025,005SH SOLE 5,00500
VISTA GOLD CORPCOM9279263032,4333,203,217SH SOLE 3,203,21700
VISTRA ENERGY CORPCOM92840M10228710,750SH SOLE 10,75000
VORNADO RLTY TRCOM9290421093836,012SH SOLE 6,01200
WABTEC CORPCOM9297401081,59322,174SH SOLE 22,17400
WELLS FARGO CO NEWCOM9497461012374,699SH SOLE 4,69900
WESTERN DIGITAL CORPCOM95810210517,892300,000SH SOLE 300,00000
XEROX HOLDINGS CORPCOM98421M1062518,390SH SOLE 8,39000