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Miller Value Partners (Bill Miller) - FilingSpy
Miller Value Partners
Bill Miller
$2.63B
13F
2019 Q2
27 of 53 quarters
Overview
Activity
Holdings
Buys
TVTY
NEW
Tivity Health Inc.
$44.27M
+2.69M shares
CVS
NEW
CVS Health Corporation
$41.39M
+759.6K shares
EB
NEW
Eventbrite Inc
$26.82M
+1.66M shares
CHS
NEW
Chico'S Fas, Inc.
$3.88M
+1.15M shares
ANF
NEW
Abercrombie & Fitch Co.
$3.21M
+200.0K shares
SCU
NEW
Och-Ziff Capital Management Group LLC (sculptor Capital Management)
$2.74M
+119.5K shares
CHAPQ
NEW
Chaparral Energy Inc
$917.0K
+194.6K shares
GRUB
NEW
Grubhub Inc.
$702.0K
+9.0K shares
XOG
NEW
Extraction Oil & Gas, Inc.
$346.0K
+80.0K shares
AR
NEW
Antero Resources Corp
$191.0K
+34.5K shares
OBE
NEW
Obsidian Energy Ltd.
$27.0K
+22.5K shares
ENDP
Endo Intl Plc
$72.70M
+ $68.49M
=
$141.19M
9.05M
+944.7K (+10.43%)
RH
Rh
$94.94M
+ $11.98M
=
$106.92M
922.2K
+2.7K (+0.29%)
ADT
Adt Inc.
$72.45M
+ $26.65M
=
$99.11M
11.34M
+4.86M (+42.82%)
META
Meta Platforms Inc
$74.68M
+ $11.85M
=
$86.53M
448.0K
+310 (+0.07%)
BHF
Brighthouse Financial Inc.
$82.98M
+ $1.09M
=
$84.07M
2.29M
+4.9K (+0.21%)
GNW
Genworth Financial Inc
$78.64M
+ $1.75M
=
$80.39M
20.53M
+1.13M (+5.53%)
QUOT
Quotient Technology Inc
$70.54M
+ $7.10M
=
$77.64M
7.15M
+82.1K (+1.15%)
MU
Micron Technology Inc
$77.71M
- $4.97M
=
$72.74M
1.88M
+4.7K (+0.25%)
XON
Precigen Inc
$43.10M
+ $27.05M
=
$70.16M
8.19M
+964.2K (+11.77%)
Show all 44 buys (24 more)
Sells
CODI
EXIT
Compass Diversified Holdings
$2.20M
- $2.20M
=
Closed
-140.0K shares (100%)
EIGI
EXIT
Endurance International Group Holdings Inc
$25.56M
- $25.56M
=
Closed
-3.53M shares (100%)
GTYH
EXIT
Gty Technology Holdings Inc
$373.0K
- $373.0K
=
Closed
-617.9K shares (100%)
JMP
EXIT
Jmp Group LLC
$1.13M
- $1.13M
=
Closed
-300.0K shares (100%)
KKR
EXIT
Kkr & Co Inc
$940.0K
- $940.0K
=
Closed
-40.0K shares (100%)
LVS
EXIT
Las Vegas Sands Corp.
$366.0K
- $366.0K
=
Closed
-6.0K shares (100%)
RITM
EXIT
New Residential Investment Corp
$5.98M
- $5.98M
=
Closed
-353.8K shares (100%)
OBE
EXIT
Obsidian Energy Ltd.
$43.0K
- $43.0K
=
Closed
-157.5K shares (100%)
STWD
EXIT
Starwood Property Trust, Inc.
$3.25M
- $3.25M
=
Closed
-145.2K shares (100%)
WFC
EXIT
Wells Fargo & Company
$287.0K
- $287.0K
=
Closed
-5.9K shares (100%)
WMC
EXIT
Western Asset Mortgage Capital Corporation
$1.46M
- $1.46M
=
Closed
-142.9K shares (100%)
AGN
EXIT
Allergan Plc
$40.80M
- $40.80M
=
Closed
-278.7K shares (100%)
AHT
EXIT
Ashford Hospitality Trust Inc
$2.30M
- $2.30M
=
Closed
-485.0K shares (100%)
CVNA
EXIT
Carvana Co.
$232.0K
- $232.0K
=
Closed
-4.0K shares (100%)
CELG
EXIT
Celgene Corporation
$39.93M
- $39.93M
=
Closed
-423.3K shares (100%)
CCS
EXIT
Century Communities Inc
$407.0K
- $407.0K
=
Closed
-17.0K shares (100%)
AMZN
Amazon.com Inc
$136.65M
- $608.0K
=
$136.04M
71.8K left
-4.9K (-6.38%)
BHC
Bausch Health Companies Inc.
$117.90M
- $649.0K
=
$117.25M
4.65M left
-124.2K (-2.60%)
OMF
Onemain Holdings Inc
$100.86M
+ $2.60M
=
$103.46M
3.06M left
-116.6K (-3.67%)
JPM
JPMorgan Chase & Co.
$77.68M
+ $1.25M
=
$78.93M
706.0K left
-61.4K (-8.00%)
Show all 43 sells (23 more)