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Miller Value Partners (Bill Miller) - FilingSpy
Miller Value Partners
Bill Miller
$152.02M
13F
2023 Q2
11 of 53 quarters
Overview
Activity
Holdings
Buys
STLA
NEW
Stellantis N.v.
$8.70M
+496.0K shares
T
NEW
AT&T Inc.
$2.39M
+150.0K shares
GTN
NEW
Gray Television Inc
$1.40M
+177.4K shares
BFH
NEW
Bread Financial Holdings Inc
$807.5K
+25.7K shares
CTO
Cto Realty Growth Inc
$7.11M
+ $379.1K
=
$7.49M
411.9K
+25.0K (+6.07%)
CHS
Chico'S Fas, Inc.
$7.46M
- $138.2K
=
$7.32M
1.36M
+12.2K (+0.90%)
WAL
Western Alliance Bancorp
$2.08M
+ $4.60M
=
$6.68M
58.4K
+124.7K (+213.54%)
JXN
Jackson Financial Inc.
$7.83M
- $1.24M
=
$6.58M
209.2K
+5.8K (+2.78%)
QUAD
Quad/graphics Inc
$6.49M
- $459.2K
=
$6.03M
1.51M
+91.1K (+6.02%)
TDAY
USA Today Co Inc
$4.36M
+ $1.33M
=
$5.69M
2.33M
+196.1K (+8.41%)
NBR
Nabors Industries Ltd.
$5.29M
- $637.1K
=
$4.65M
43.4K
+6.6K (+15.26%)
MSTR
Microstrategy Inc.
$1.74M
+ $1.61M
=
$3.35M
1.90M
+1.20M (+63.16%)
AXL
American Axle & Manufacturing Holdings, Inc. (now Dauch Corporation)
$2.93M
+ $285.6K
=
$3.21M
374.9K
+13.7K (+3.65%)
TPC
Tutor Perini Corporation
$2.18M
+ $529.9K
=
$2.71M
352.8K
+25.8K (+7.30%)
CROX
Crocs Inc
$1.71M
+ $148.3K
=
$1.86M
13.5K
+3.0K (+22.22%)
CNDT
Conduent Inc
$1.24M
+ $171.2K
=
$1.41M
361.6K
+53.5K (+14.81%)
MBC
Masterbrand Inc
$321.6K
+ $667.0K
=
$988.5K
40.0K
+45.0K (+112.50%)
LAD
Lithia Motors Inc
$228.9K
+ $379.3K
=
$608.2K
1.0K
+1.0K (+100.00%)
RICK
Rci Hospitality Holdings Inc
$390.9K
+ $72.7K
=
$463.5K
5.0K
+1.1K (+22.00%)
Sells
ADT
EXIT
Adt Inc.
$14.83M
- $14.83M
=
Closed
-2.05M shares (100%)
BABA
EXIT
Alibaba Group Holding Limited
$53.83M
- $53.83M
=
Closed
-526.8K shares (100%)
GOOGL
EXIT
Alphabet Inc
$62.11M
- $62.11M
=
Closed
-598.8K shares (100%)
AMZN
EXIT
Amazon.com Inc
$71.78M
- $71.78M
=
Closed
-695.0K shares (100%)
APAM
EXIT
Artisan Partners Asset Management Inc
$2.01M
- $2.01M
=
Closed
-63.0K shares (100%)
GOOS
EXIT
Canada Goose Holdings Inc
$44.64M
- $44.64M
=
Closed
-2.32M shares (100%)
COF
EXIT
Capital One Financial Corporation
$33.97M
- $33.97M
=
Closed
-353.3K shares (100%)
CC
EXIT
The Chemours Company
$2.84M
- $2.84M
=
Closed
-95.0K shares (100%)
C
EXIT
Citigroup Inc
$51.55M
- $51.55M
=
Closed
-1.10M shares (100%)
COIN
EXIT
Coinbase Global Inc
$37.36M
- $37.36M
=
Closed
-552.9K shares (100%)
DAL
EXIT
Delta Air Lines Inc
$58.03M
- $58.03M
=
Closed
-1.66M shares (100%)
DM
EXIT
Desktop Metal Inc
$23.0K
- $23.0K
=
Closed
-10.0K shares (100%)
ET
EXIT
Energy Transfer LP
$61.74M
- $61.74M
=
Closed
-4.95M shares (100%)
EXPE
EXIT
Expedia Group Inc.
$75.50M
- $75.50M
=
Closed
-778.1K shares (100%)
META
EXIT
Meta Platforms Inc
$61.19M
- $61.19M
=
Closed
-288.7K shares (100%)
FTCH
EXIT
Farfetch Limited
$29.70M
- $29.70M
=
Closed
-6.05M shares (100%)
FISV
EXIT
Fiserv, Inc.
$32.51M
- $32.51M
=
Closed
-287.6K shares (100%)
FL
EXIT
Foot Locker Inc
$497.7K
- $497.7K
=
Closed
-12.5K shares (100%)
GM
EXIT
General Motors Company
$44.70M
- $44.70M
=
Closed
-1.22M shares (100%)
GREE
EXIT
Greenidge Generation Holdings Inc.
$4.5K
- $4.5K
=
Closed
-10.0K shares (100%)
Show all 64 sells (44 more)