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Miller Value Partners (Bill Miller) - FilingSpy
Miller Value Partners
Bill Miller
$1.97B
13F
2022 Q2
15 of 53 quarters
Overview
Activity
Holdings
Buys
EXPE
NEW
Expedia Group Inc.
$58.48M
+616.7K shares
UAL
NEW
United Airlines Holdings, Inc.
$42.05M
+1.19M shares
SPY
NEW
SPDR S&P 500 ETF Trust
$8.28M
+21.9K shares
CHK
NEW
Chesapeake Energy Corporation
$4.05M
+50.0K shares
BKE
NEW
The Buckle Inc
$3.32M
+120.0K shares
SPG
NEW
Simon Property Group Inc
$2.75M
+29.0K shares
APAM
NEW
Artisan Partners Asset Management Inc
$1.96M
+55.0K shares
WES
NEW
Western Midstream Partners LP
$1.13M
+46.3K shares
CROX
NEW
Crocs Inc
$584.0K
+12.0K shares
VTLE
NEW
Vital Energy Inc (formerly Laredo Petroleum Inc)
$517.0K
+7.5K shares
DO
NEW
Diamond Offshore Drilling, Inc.
$294.0K
+50.0K shares
NFLX
NEW
Netflix Inc
$262.0K
+1.5K shares
GREE
NEW
Greenidge Generation Holdings Inc.
$25.0K
+10.0K shares
DSEUR
NEW
Drive Shack Inc
$14.0K
+10.0K shares
AMZN
Amazon.com Inc
$123.03M
- $48.58M
=
$74.45M
37.7K
+663.2K (+1757.26%)
OMF
Onemain Holdings Inc
$79.24M
- $5.59M
=
$73.64M
1.67M
+298.8K (+17.88%)
ET
Energy Transfer LP
$56.61M
+ $1.94M
=
$58.55M
5.06M
+808.0K (+15.97%)
C
Citigroup Inc
$51.84M
- $1.94M
=
$49.90M
970.8K
+114.3K (+11.77%)
VNT
Vontier Corp
$47.85M
- $1.13M
=
$46.72M
1.88M
+147.6K (+7.83%)
GM
General Motors Company
$61.36M
- $16.48M
=
$44.88M
1.40M
+10.2K (+0.72%)
Show all 41 buys (21 more)
Sells
CG
EXIT
Carlyle Group Inc.
$4.30M
- $4.30M
=
Closed
-88.0K shares (100%)
CIM
EXIT
Chimera Investment Corporation
$4.11M
- $4.11M
=
Closed
-341.4K shares (100%)
DBD
EXIT
Diebold Nixdorf Inc
$3.23M
- $3.23M
=
Closed
-480.0K shares (100%)
EBAY
EXIT
Ebay Inc
$1.49M
- $1.49M
=
Closed
-26.0K shares (100%)
MFA
EXIT
Mfa Financial, Inc.
$3.12M
- $3.12M
=
Closed
-773.9K shares (100%)
MILE
EXIT
Metromile Inc
$20.0K
- $20.0K
=
Closed
-15.0K shares (100%)
MSTR
EXIT
Microstrategy Inc.
$486.0K
- $486.0K
=
Closed
-1.0K shares (100%)
EDU
EXIT
New Oriental Education & Technology Group Inc.
$11.0K
- $11.0K
=
Closed
-10.0K shares (100%)
UPRO
EXIT
Proshares Trust
$9.79M
- $9.79M
=
Closed
-153.9K shares (100%)
SAVE
EXIT
Spirit Airlines, Inc.
$437.0K
- $437.0K
=
Closed
-20.0K shares (100%)
TEN
EXIT
Tenneco Inc
$711.0K
- $711.0K
=
Closed
-38.8K shares (100%)
TVTY
EXIT
Tivity Health Inc.
$92.75M
- $92.75M
=
Closed
-2.88M shares (100%)
TWTR
EXIT
Twitter Inc.
$1.94M
- $1.94M
=
Closed
-50.0K shares (100%)
UNM
EXIT
Unum Group
$212.0K
- $212.0K
=
Closed
-6.7K shares (100%)
WGHTQ
EXIT
Ww International Inc
$42.32M
- $42.32M
=
Closed
-4.14M shares (100%)
HLF
EXIT
Herbalife Ltd
$61.24M
- $61.24M
=
Closed
-2.02M shares (100%)
TLT
iShares Trust
$330.53M
- $164.32M
=
$166.21M
1.45M left
-1.06M (-42.18%)
BABA
Alibaba Group Holding Limited
$90.47M
+ $3.98M
=
$94.45M
830.9K left
-706 (-0.08%)
OVV
Ovintiv Inc.
$119.28M
- $31.32M
=
$87.95M
1.99M left
-215.7K (-9.78%)
MAT
Mattel, Inc.
$89.72M
- $7.23M
=
$82.48M
3.69M left
-345.6K (-8.56%)
Show all 59 sells (39 more)