Bill Miller Holdings Activity

Miller Value Partners Portfolio 13F

Miller Value Partners has disclosed a total of 51 changes to the portfolio in the latest (2026 Q1) SEC report(s): increased the number of shares of 13, bought 22 totally new, decreased the number of shares of 15 and completely sold out 1 position(s).

What stocks is Bill Miller buying now?

In the recent quarter Bill Miller has bought 35 securities out of which top 5 purchases (by % change to portfolio) are (CRGY) CRESCENT ENERGY INC-A (new buy), (SPY) SPDR S&P 500 ETF TRUST (new buy), (BLMN) BLOOMIN' BRANDS INC (new buy), (GTN) GRAY TELEVISION INC (added shares +34.64%) and (CNDT) CONDUENT INC (added shares +79.53%).

What does Bill Miller invest in?

Bill Miller's top 5 holdings (by % of portfolio) are (NBR) NABORS INDUSTRIES LTD (9.98%), (CRGY) CRESCENT ENERGY INC-A (7.06%), (GTN) GRAY TELEVISION INC (6.08%), (LNC) LINCOLN NATIONAL CORP (5.29%) and (SPY) SPDR S&P 500 ETF TRUST (5.1%).

In the latest report(s) the following changes have been made to the top investments: (NBR) NABORS INDUSTRIES LTD (reduced shares -26.26%), (CRGY) CRESCENT ENERGY INC-A (new buy), (GTN) GRAY TELEVISION INC (added shares +34.64%), (LNC) LINCOLN NATIONAL CORP (added shares +13.06%) and (SPY) SPDR S&P 500 ETF TRUST (new buy).

2024 Q3 (24 results)
TTE
buy
+7,650
+0.28%
$64.62
-
0.28%
MSTR
buy
+50,250
+4.78%
$168.60
28.56% $120.44
4.78%
BBW
+114.29%
+80,000
+1.55%
$34.37
1.16% $33.97
2.91%
GTN
+88.85%
+685,995
+2.08%
$5.36
25.19% $4.01
4.41%
NBR
+36.04%
+37,345
+1.36%
$64.47
-
5.13%
BMY
+33.33%
+20,000
+0.58%
$51.74
10.69% $57.27
2.34%
UNFI
+32.53%
+66,545
+0.63%
$16.82
230.08% $55.52
2.57%
QUAD
+30.19%
+436,800
+1.12%
$4.54
64.10% $7.45
4.83%
FOSL
+22.47%
+244,575
+0.16%
$1.17
238.46% $3.96
0.88%
AXL
+21.61%
+41,510
+0.14%
$6.18
-
0.82%
CNDT
+20.55%
+153,560
+0.35%
$4.03
62.03% $1.53
2.05%
OAS
+17.34%
+7,796
+0.57%
$130.23
-
3.88%
LNC
+16.20%
+53,440
+0.95%
$31.51
10.25% $34.74
6.82%
ADS
+1.47%
+3,745
+0.10%
$47.58
-
6.94%
WAL
-6.45%
-9,160
-0.45%
$86.49
7.33% $80.15
6.49%
STLA
-7.14%
-30,000
-0.24%
$14.05
49.40% $7.11
3.09%
T
-9.35%
-55,000
-0.68%
$22.00
3.41% $22.75
6.62%
GCI
-9.96%
-151,675
-0.48%
$5.62
-
4.35%
JXN
-10.63%
-15,500
-0.80%
$91.23
18.23% $107.86
6.71%
CTO
-13.52%
-60,000
-0.64%
$19.02
-
4.12%
UGI
-14.77%
-35,000
-0.49%
$25.02
39.29% $34.85
2.85%
BKE
-16.67%
-25,000
-0.62%
$43.97
1.93% $44.82
3.10%
PBI
-22.83%
-7,175
-0.03%
$7.13
136.47% $16.86
0.10%
TPC
-36.91%
-32,060
-0.49%
$27.16
159.68% $70.53
0.84%
2024 Q2 (23 results)
BBW
buy
+70,000
+1.18%
$25.27
34.43% $33.97
1.18%
UNFI
buy
+204,570
+1.79%
$13.10
323.82% $55.52
1.79%
LNC
+65.72%
+130,785
+2.72%
$31.10
11.70% $34.74
6.85%
GTN
+57.84%
+282,937
+0.98%
$5.20
22.88% $4.01
2.68%
NBR
+48.54%
+33,859
+1.61%
$71.16
-
4.93%
UGI
+41.92%
+70,000
+1.07%
$22.90
52.18% $34.85
3.63%
OAS
+29.71%
+10,300
+1.15%
$167.68
-
5.04%
CNDT
+4.00%
+28,775
+0.06%
$3.26
53.07% $1.53
1.63%
QUAD
+1.17%
+16,715
+0.06%
$5.45
36.70% $7.45
5.27%
ADS
+0.01%
+15
+0.00%
$44.56
-
7.59%
FOSL
-0.29%
-3,125
-0.00%
$1.44
175.00% $3.96
1.05%
WAL
-1.52%
-2,200
-0.09%
$62.82
27.59% $80.15
5.96%
STLA
-2.33%
-10,000
-0.13%
$19.85
64.18% $7.11
5.57%
OMF
-2.61%
-4,000
-0.13%
$48.49
14.17% $55.36
4.83%
AXL
-3.14%
-6,225
-0.03%
$6.99
-
0.90%
JXN
-4.44%
-6,775
-0.34%
$74.26
45.25% $107.86
7.24%
TEVA
-5.60%
-650
-0.01%
$16.25
-
0.12%
PBI
-22.55%
-9,150
-0.03%
$5.08
231.89% $16.86
0.11%
GCI
-38.30%
-945,465
-2.91%
$4.61
-
4.69%
TPC
-59.52%
-127,700
-1.86%
$21.78
223.83% $70.53
1.26%
CLF
-100.00%
-9,198
-0.14%
$22.74
40.50% $13.53
0.00%
WIRE
-100.00%
-11,000
-1.93%
$262.78
-
0.00%
GEO
-100.00%
-145,000
-1.37%
$14.12
79.25% $25.31
0.00%
47 of 3,494

Shares, change to shares, sold shares - split-adjusted.

Reported price - this doesn't represent the actual buy or sell price.
It is the split-adjusted price of the security as of the last day of the reported period.

Value or Price - If the security is completely sold out, we show the reported value (or price) prior to the actual period.