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Miller Value Partners (Bill Miller) - FilingSpy
Miller Value Partners
Bill Miller
$1.55B
13F
2020 Q1
24 of 53 quarters
Overview
Activity
Holdings
Buys
BA
NEW
Boeing Company (the)
$31.96M
+214.3K shares
PGEN
NEW
Precigen, Inc.
$25.32M
+7.45M shares
GOOS
NEW
Canada Goose Holdings Inc
$18.00M
+905.0K shares
TMHC
NEW
Taylor Morrison Home Corporation
$17.67M
+1.61M shares
SDCCQ
NEW
Smiledirectclub Inc
$9.37M
+2.01M shares
CG
NEW
Carlyle Group Inc.
$8.33M
+384.9K shares
ATCO
NEW
Atlas Corp
$2.67M
+347.8K shares
TWO
NEW
Two Harbors Investment Corp
$1.74M
+456.7K shares
NLY
NEW
Annaly Capital Management Inc
$1.57M
+310.0K shares
AIG
NEW
American International Group Inc
$512.0K
+640.2K shares
REAL
NEW
The Realreal Inc
$414.0K
+59.0K shares
FTCH
Farfetch Limited
$55.06M
+ $7.36M
=
$62.42M
5.32M
+2.58M (+48.53%)
BABA
Alibaba Group Holding Limited
$61.66M
- $2.52M
=
$59.14M
290.7K
+13.4K (+4.60%)
GOOGL
Alphabet Inc. (formerly Google Inc.)
$804.0K
+ $57.07M
=
$57.88M
600
+49.2K (+8201.50%)
UAL
United Airlines Holdings, Inc.
$44.43M
+ $3.25M
=
$47.67M
504.3K
+1.01M (+199.60%)
DAL
Delta Air Lines Inc
$68.03M
- $27.04M
=
$40.99M
1.16M
+273.4K (+23.51%)
BAC
Bank of America Corporation
$63.29M
- $24.11M
=
$39.18M
1.80M
+48.6K (+2.71%)
SFIX
Stitch Fix Inc.
$66.55M
- $31.77M
=
$34.77M
2.59M
+144.8K (+5.59%)
ZIOP
Ziopharm Oncology Inc (alaunos Therapeutics Inc)
$60.11M
- $28.61M
=
$31.50M
12.73M
+122.8K (+0.96%)
DXC
Dxc Technology Co
$310.0K
+ $30.95M
=
$31.26M
8.3K
+2.39M (+28936.73%)
Show all 36 buys (16 more)
Sells
ALSK
EXIT
Alaska Communications Systems Group Inc
$265.0K
- $265.0K
=
Closed
-150.0K shares (100%)
ALXN
EXIT
Alexion Pharmaceuticals Inc
$42.00M
- $42.00M
=
Closed
-388.4K shares (100%)
AAL
EXIT
American Airlines Group Inc
$77.51M
- $77.51M
=
Closed
-2.70M shares (100%)
AIEUR
EXIT
Arlington Asset Investment Corp
$2.48M
- $2.48M
=
Closed
-445.5K shares (100%)
AVP
EXIT
Avon Products, Inc.
$22.64M
- $22.64M
=
Closed
-4.02M shares (100%)
CVS
EXIT
CVS Health Corporation
$56.40M
- $56.40M
=
Closed
-759.2K shares (100%)
CG
EXIT
The Carlyle Group Inc.
$18.54M
- $18.54M
=
Closed
-577.9K shares (100%)
CDEV
EXIT
Centennial Resource Development Inc
$5.73M
- $5.73M
=
Closed
-1.24M shares (100%)
LUMN
EXIT
Lumen Technologies Inc.
$9.38M
- $9.38M
=
Closed
-710.4K shares (100%)
CHGG
EXIT
Chegg Inc
$16.11M
- $16.11M
=
Closed
-425.0K shares (100%)
CHK
EXIT
Chesapeake Energy Corporation
$33.0K
- $33.0K
=
Closed
-40.0K shares (100%)
CLDR
EXIT
Cloudera Inc
$465.0K
- $465.0K
=
Closed
-40.0K shares (100%)
CYH
EXIT
Community Health Systems Inc
$98.0K
- $98.0K
=
Closed
-34.0K shares (100%)
PRMW
EXIT
Primo Water Corporation
$8.21M
- $8.21M
=
Closed
-600.0K shares (100%)
TNA
EXIT
Direxion Shares ETF Trust
$720.0K
- $720.0K
=
Closed
-10.0K shares (100%)
EB
EXIT
Eventbrite Inc
$43.88M
- $43.88M
=
Closed
-2.18M shares (100%)
GNCIQ
EXIT
Gnc Holdings Inc
$94.0K
- $94.0K
=
Closed
-34.7K shares (100%)
GRUB
EXIT
Grubhub Inc.
$803.0K
- $803.0K
=
Closed
-16.5K shares (100%)
HALO
EXIT
Halozyme Therapeutics Inc
$355.0K
- $355.0K
=
Closed
-20.0K shares (100%)
XON
EXIT
Precigen Inc
$52.21M
- $52.21M
=
Closed
-9.53M shares (100%)
Show all 58 sells (38 more)