Bill Miller

Miller Value Partners

Bill Miller (Miller Value Partners) is tracked through public portfolio filings, disclosed holdings, and institutional investment activity. This Bill Miller (Miller Value Partners) portfolio page tracks Miller Value Partners holdings, stock picks, latest portfolio moves, and historical 13F filing changes so readers can see which public companies Miller Value Partners owns and how disclosed positions change over time. Bill Miller (Miller Value Partners)'s public portfolio can help investors study position sizing, sector exposure, concentration, new buys, trims, exits, and the market themes behind reported capital allocation decisions. Top disclosed holdings and portfolio changes shown on this page include Crescent Energy Company Class A (CRGY), SPDR S&P 500 ETF Trust (SPY), Bloomin' Brands, Inc. (BLMN), Nabors Industries Ltd. (NBR), and UGI Corporation (UGI). Investors use Miller Value Partners 13F filings to study portfolio concentration, new buys, trims, exits, sector exposure, and the market evidence behind the latest disclosed holdings.

History Trades

CompanyValueActionChangePriceCurrent Price
Stellantis NVSTLA$-460.2KTrimQ2 2025 13F$460k--$8.16
BOISE CASCADE COBCC$-450.8KTrimQ2 2025 13F$451k--$70.29
Verizon Communications IncVZ$-413.8KTrimQ2 2025 13F$414k--$45.37
Alliance Resource Partners LPARLP$-144.8KTrimQ2 2025 13F$145k--$24.24
Viatris Inc.VTRS$136.2KAddQ2 2025 13F$136k$7.69$16.29
Bill Miller (Miller Value Partners) add Unmapped 13F securityPORTFOLIO$2.1M53k sharesAddQ2 2025 13F$135k$38.74--
Western Alliance Bancorporation Common StockWAL$96.0KAddQ2 2025 13F$96k--$78.42
Bill Miller (Miller Value Partners) trim Unmapped 13F securityPORTFOLIO$470k7.7k sharesTrimQ2 2025 13F$25k$61.39--
TechnipFMC plcFTI$20.1KAddQ2 2025 13F$20k--$67.41
Verizon Communications IncVZ$9.0MOtherQ1 2025 13F$9.0M--$45.37
AT&T IncT$-8.9MTrimQ1 2025 13F$8.9M$25.15$22.38
United Natural Foods, Inc.UNFI$-6.1MTrimQ1 2025 13F$6.1M--$51.15
Western Alliance Bancorporation Common StockWAL$-5.4MTrimQ1 2025 13F$5.4M--$78.42
Gray Media, Inc.GTN$4.8MAddQ1 2025 13F$4.8M--$4.13
JELD-WEN Holding, Inc.JELD$4.6MOtherQ1 2025 13F$4.6M--$2.05
USA TODAY Co., Inc.TDAY$-4.3MTrimQ1 2025 13F$4.3M--$7.82
Bill Miller (Miller Value Partners) other Unmapped 13F securityPORTFOLIO$3.9M367k sharesOtherQ1 2025 13F$3.9M$10.60--
Quad/Graphics, Inc.QUAD$-3.5MTrimQ1 2025 13F$3.5M--$7.40
Atkore IncATKR$-3.1MExitQ1 2025 13F$3.1M--$82.54
Bread Financial Holdings, Inc.BFH$-3.0MTrimQ1 2025 13F$3.0M--$89.92
Lincoln National CorpLNC$3.0MAddQ1 2025 13F$3.0M--$35.20
LyondellBasell Industries NVLYB$2.7MOtherQ1 2025 13F$2.7M--$64.43
Viatris Inc.VTRS$-2.3MTrimQ1 2025 13F$2.3M--$16.29
Jackson Financial Inc.JXN$-1.8MTrimQ1 2025 13F$1.8M--$103.91
UGI CorporationUGI$1.4MAddQ1 2025 13F$1.4M--$35.18
The Buckle IncBKE$-1.3MTrimQ1 2025 13F$1.3M--$49.76
Conduent IncorporatedCNDT$-1.2MTrimQ1 2025 13F$1.2M--$1.78
American Axle & Manufacturing Holdings, Inc.AXL$965.0KAddQ1 2025 13F$965k--$8.62
Bill Miller (Miller Value Partners) trim Unmapped 13F securityPORTFOLIO$3.4M3M sharesTrimQ1 2025 13F$884k$1.15--
BOISE CASCADE COBCC$-830.8KTrimQ1 2025 13F$831k--$70.29
Stellantis NVSTLA$-717.6KTrimQ1 2025 13F$718k--$8.16
Build-A-Bear Workshop, Inc.BBW$-656.8KTrimQ1 2025 13F$657k--$37.80
OneMain Holdings IncOMF$-484.3KTrimQ1 2025 13F$484k--$54.28
The Carlyle group Inc. (Cg)CG$-483.0KTrimQ1 2025 13F$483k--$45.66
Bristol-Myers Squibb CoBMY$478.4KAddQ1 2025 13F$478k--$55.57
Bill Miller (Miller Value Partners) trim Unmapped 13F securityPORTFOLIO$1.9M53k sharesTrimQ1 2025 13F$403k$36.20--
Tutor Perini CorporationTPC$259.2KAddQ1 2025 13F$259k--$74.47
Teva Pharmaceutical Industries LimitedTEVA$-241.3KExitQ1 2025 13F$241k--$34.56
Chord Energy CorporationCHRD$-221.6KTrimQ1 2025 13F$222k--$133.70
Pitney Bowes Inc.PBI$-175.6KExitQ1 2025 13F$176k--$15.61
CTO Realty Growth, Inc.CTO$-153.6KTrimQ1 2025 13F$154k--$20.64
Nabors Industries Ltd.NBR$138.6KAddQ1 2025 13F$139k--$97.64
Alliance Resource Partners LPARLP$125.7KAddQ1 2025 13F$126k--$24.24
Bill Miller (Miller Value Partners) add Unmapped 13F securityPORTFOLIO$495k7.7k sharesAddQ1 2025 13F$78k$64.69--
TechnipFMC plcFTI$22.5KAddQ1 2025 13F$23k--$67.41
Strategy IncMSTR$-20.6KTrimQ1 2025 13F$21k$317.51$94.13
Quad/Graphics, Inc.QUAD$9.0MAddQ4 2024 13F$9.0M--$7.40
Nabors Industries Ltd.NBR$7.0MAddQ4 2024 13F$7.0M--$97.64
United Natural Foods, Inc.UNFI$6.7MAddQ4 2024 13F$6.7M--$51.15
Bread Financial Holdings, Inc.BFH$6.3MAddQ4 2024 13F$6.3M--$89.92
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