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Miller Value Partners (Bill Miller) - FilingSpy
Miller Value Partners
Bill Miller
$1.65B
13F
2022 Q3
14 of 53 quarters
Overview
Activity
Holdings
Buys
SI
NEW
Silvergate Capital Corporation
$19.57M
+259.8K shares
MPW
NEW
Medical Properties Trust Inc
$3.94M
+332.0K shares
TROW
NEW
T Rowe Price Group Inc
$2.01M
+19.2K shares
CWH
NEW
Camping World Holdings, Inc.
$1.70M
+67.0K shares
IHRT
NEW
Iheartmedia Inc
$220.0K
+30.0K shares
WGHTQ
NEW
Ww International Inc
$39.0K
+10.0K shares
AMPS
NEW
Altus Power Inc
$30.0K
+10.0K shares
QUOT
NEW
Quotient Technology Inc
$23.0K
+10.0K shares
PRCH
NEW
Porch Group Inc
$22.0K
+10.0K shares
UPGBP
NEW
Wheels Up Experience Inc
$11.0K
+10.0K shares
EXPE
Expedia Group Inc.
$58.48M
+ $16.59M
=
$75.07M
616.7K
+184.6K (+29.94%)
ET
Energy Transfer LP
$58.55M
+ $6.59M
=
$65.15M
5.87M
+39.5K (+0.67%)
GOOGL
Alphabet Inc
$72.99M
- $8.43M
=
$64.57M
33.5K
+641.5K (+1915.36%)
OMF
Onemain Holdings Inc
$73.64M
- $10.57M
=
$63.07M
1.97M
+166.5K (+8.45%)
UBER
Uber Technologies Inc
$32.29M
+ $16.08M
=
$48.37M
1.58M
+247.1K (+15.66%)
DAL
Delta Air Lines Inc
$48.37M
- $433.0K
=
$47.94M
1.67M
+38.7K (+2.32%)
NCLH
Norwegian Cruise Line Holdings Ltd.
$45.41M
+ $1.35M
=
$46.75M
4.08M
+32.2K (+0.79%)
FTCH
Farfetch Limited
$27.40M
+ $15.06M
=
$42.46M
3.83M
+1.87M (+48.95%)
JPM
JPMorgan Chase & Co.
$43.90M
- $2.96M
=
$40.94M
389.8K
+2.0K (+0.50%)
CLF
Cleveland-Cliffs Inc.
$40.10M
- $3.20M
=
$36.89M
2.61M
+130.2K (+4.99%)
Show all 40 buys (20 more)
Sells
T
EXIT
AT&T Inc.
$1.15M
- $1.15M
=
Closed
-55.0K shares (100%)
BIDU
EXIT
Baidu Inc
$1.34M
- $1.34M
=
Closed
-9.0K shares (100%)
BBBY
EXIT
Bed Bath & Beyond Inc
$677.0K
- $677.0K
=
Closed
-136.2K shares (100%)
HRB
EXIT
H&R Block, Inc.
$5.46M
- $5.46M
=
Closed
-154.5K shares (100%)
CCL
EXIT
Carnival Corporation
$173.0K
- $173.0K
=
Closed
-20.0K shares (100%)
CXW
EXIT
Corecivic Inc
$389.0K
- $389.0K
=
Closed
-35.0K shares (100%)
CPNG
EXIT
Coupang Inc.
$191.0K
- $191.0K
=
Closed
-15.0K shares (100%)
F
EXIT
Ford Motor Company
$1.67M
- $1.67M
=
Closed
-150.0K shares (100%)
GREE
EXIT
Greenidge Generation Holdings Inc.
$25.0K
- $25.0K
=
Closed
-10.0K shares (100%)
HP
EXIT
Helmerich & Payne Inc
$344.0K
- $344.0K
=
Closed
-8.0K shares (100%)
HMPT
EXIT
Home Point Capital Inc.
$3.98M
- $3.98M
=
Closed
-1.01M shares (100%)
TLT
EXIT
iShares Trust
$166.21M
- $166.21M
=
Closed
-1.45M shares (100%)
JD
EXIT
Jd.com Inc
$321.0K
- $321.0K
=
Closed
-5.0K shares (100%)
KHC
EXIT
Kraft Heinz Co. (the)
$763.0K
- $763.0K
=
Closed
-20.0K shares (100%)
NOV
EXIT
Nov, Inc.
$169.0K
- $169.0K
=
Closed
-10.0K shares (100%)
NFLX
EXIT
Netflix Inc
$262.0K
- $262.0K
=
Closed
-1.5K shares (100%)
PTON
EXIT
Peloton Interactive Inc
$367.0K
- $367.0K
=
Closed
-40.0K shares (100%)
PFE
EXIT
Pfizer Inc.
$524.0K
- $524.0K
=
Closed
-10.0K shares (100%)
PGEN
EXIT
Precigen, Inc.
$7.50M
- $7.50M
=
Closed
-5.60M shares (100%)
BITO
EXIT
Proshares Trust
$261.0K
- $261.0K
=
Closed
-22.5K shares (100%)
Show all 70 sells (50 more)