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Miller Value Partners (Bill Miller) - FilingSpy
Miller Value Partners
Bill Miller
$2.71B
13F
2014 Q4
45 of 53 quarters
Overview
Activity
Holdings
Buys
PAH
NEW
Element Solutions Inc
$83.63M
+3.60M shares
FCAU
NEW
Fiat Chrysler Automobiles N.v.
$69.29M
+5.98M shares
PCLN
NEW
Booking Holdings Inc
$52.26M
+45.8K shares
EIGI
NEW
Endurance International Group Holdings Inc
$43.02M
+2.33M shares
ARCP
NEW
Vereit Inc
$3.21M
+355.0K shares
OXLC
NEW
Oxford Lane Capital Corp
$972.0K
+65.0K shares
SNR1USD
NEW
New Senior Investment Group Inc.
$592.0K
+36.0K shares
RITM
NEW
New Residential Investment Corp
$559.0K
+43.8K shares
AAL
American Airlines Group Inc
$81.12M
+ $47.66M
=
$128.78M
2.29M
+115.0K (+5.03%)
AMZN
Amazon.com Inc
$40.79M
+ $78.65M
=
$119.44M
126.5K
+1.20M (+946.02%)
GNW
Genworth Financial Inc
$72.62M
+ $15.52M
=
$88.14M
5.54M
+4.83M (+87.05%)
PHM
Pultegroup Inc
$57.47M
+ $30.58M
=
$88.05M
3.25M
+848.8K (+26.08%)
NXPI
Nxp Semiconductors N.v.
$46.31M
+ $37.31M
=
$83.62M
676.7K
+417.8K (+61.74%)
LEN
Lennar Corporation
$43.05M
+ $39.15M
=
$82.19M
1.11M
+725.6K (+65.45%)
XON
Precigen Inc
$53.66M
+ $27.33M
=
$80.98M
2.89M
+53.8K (+1.86%)
BABA
Alibaba Group Holding Limited
$2.22M
+ $50.64M
=
$52.86M
25.0K
+483.6K (+1934.40%)
KBH
Kb Home
$30.64M
+ $14.30M
=
$44.94M
2.05M
+664.4K (+32.40%)
COUP
Coupons.com Incorporated
$25.56M
+ $17.60M
=
$43.16M
2.14M
+294.4K (+13.77%)
P
Pandora Media LLC
$49.11M
- $6.05M
=
$43.06M
2.03M
+382.2K (+18.80%)
NSM
Nationstar Mortgage Holdings Inc
$42.16M
- $1.55M
=
$40.62M
1.23M
+209.4K (+17.00%)
Show all 34 buys (14 more)
Sells
BWP
EXIT
Boardwalk Pipeline Partners, LP
$741.0K
- $741.0K
=
Closed
-39.6K shares (100%)
LUMN
EXIT
Lumen Technologies Inc.
$1.15M
- $1.15M
=
Closed
-28.0K shares (100%)
CSCO
EXIT
Cisco Systems Inc
$15.43M
- $15.43M
=
Closed
-612.8K shares (100%)
CLCT
EXIT
Collectors Universe Inc
$583.0K
- $583.0K
=
Closed
-26.5K shares (100%)
CVA
EXIT
Covanta Holding Corp
$1.49M
- $1.49M
=
Closed
-70.0K shares (100%)
DIN
EXIT
Dine Brands Global Inc
$1.14M
- $1.14M
=
Closed
-14.0K shares (100%)
EARN
EXIT
Ellington Credit Company
$1.46M
- $1.46M
=
Closed
-89.9K shares (100%)
ETP
EXIT
Energy Transfer Partners L.p.
$653.0K
- $653.0K
=
Closed
-10.2K shares (100%)
F
EXIT
Ford Motor Company
$22.92M
- $22.92M
=
Closed
-1.55M shares (100%)
FTR
EXIT
Frontier Communications Corp
$645.0K
- $645.0K
=
Closed
-99.0K shares (100%)
GE
EXIT
General Electric Company
$897.0K
- $897.0K
=
Closed
-35.0K shares (100%)
HIG
EXIT
The Hartford Insurance Group, Inc.
$53.43M
- $53.43M
=
Closed
-1.43M shares (100%)
HTGC
EXIT
Hercules Capital Inc
$992.0K
- $992.0K
=
Closed
-68.6K shares (100%)
IBM
EXIT
International Business Machines Corporation
$10.23M
- $10.23M
=
Closed
-53.9K shares (100%)
MCC
EXIT
Medley Capital Corporation
$388.0K
- $388.0K
=
Closed
-32.8K shares (100%)
MSFT
EXIT
Microsoft Corporation
$34.58M
- $34.58M
=
Closed
-746.0K shares (100%)
NCMI
EXIT
National Cinemedia Inc
$526.0K
- $526.0K
=
Closed
-36.2K shares (100%)
NRZ
EXIT
New Residential Investment Corp
$511.0K
- $511.0K
=
Closed
-87.5K shares (100%)
NCT
EXIT
Newcastle Investment Corp
$47.44M
- $47.44M
=
Closed
-3.74M shares (100%)
RHNO
EXIT
Rhino Resource Partners LP
$978.0K
- $978.0K
=
Closed
-81.8K shares (100%)
Show all 49 sells (29 more)