Bill Miller Holdings Activity

Miller Value Partners Portfolio 13F

Miller Value Partners has disclosed a total of 29 changes to the portfolio in the latest (2023 Q4) SEC report(s): increased the number of shares of 10, bought 2 totally new, decreased the number of shares of 11 and completely sold out 6 position(s).

What stocks is Bill Miller buying now?

In the recent quarter Bill Miller has bought 12 securities out of which top 5 purchases (by % change to portfolio) are (ADS) ALLIANCE DATA SYSTEMS CORP (added shares +40.4%), (MPW) MEDICAL PROPERTIES TRUST INC (added shares +58.31%), (CNC) CENTENE CORP (new buy), (NBR) NABORS INDUSTRIES LTD (added shares +34.86%) and (WIRE) ENCORE WIRE CORP (added shares +21.5%).

What does Bill Miller invest in?

Bill Miller's top 5 holdings (by % of portfolio) are (STLA) STELLANTIS NV (7.09%), (WAL) WESTERN ALLIANCE BANCORP (7.04%), (UPRO) PROSHARES ULTRAPRO S&P 500 (6.27%), (JXN) JACKSON FINANCIAL INC-A (6.26%) and (ADS) ALLIANCE DATA SYSTEMS CORP (6.21%).

In the latest report(s) the following changes have been made to the top investments: (WAL) WESTERN ALLIANCE BANCORP (reduced shares -4.63%), (JXN) JACKSON FINANCIAL INC-A (reduced shares -9.44%) and (ADS) ALLIANCE DATA SYSTEMS CORP (added shares +40.4%).

2023 Q3 (33 results)
FOSL
buy
+554,790
+0.73%
$2.06
50.97% $1.01
0.73%
T
+243.33%
+365,000
+3.52%
$15.02
12.18% $16.85
4.97%
CNDT
+53.09%
+220,375
+0.49%
$3.48
11.21% $3.87
1.42%
ADS
+752.38%
+193,550
+4.25%
$34.20
66.08% $56.80
4.81%
GTN
+88.17%
+156,398
+0.69%
$6.92
6.36% $6.48
1.48%
HRB
buy
+135,000
+3.73%
$43.06
10.38% $47.53
3.73%
OGN
+22.52%
+50,000
+0.56%
$17.36
12.96% $19.61
0.00%
WIRE
buy
+20,000
+2.34%
$182.46
55.12% $283.04
2.34%
EXPE
buy
+15,000
+0.99%
$103.07
11.89% $115.33
0.99%
JXN
+2.57%
+5,525
+0.14%
$38.22
86.19% $71.16
5.41%
ATKR
-20.00%
-1,000
-0.10%
$149.19
18.14% $176.25
0.38%
FTI
-2.60%
-1,185
-0.02%
$20.34
27.63% $25.96
0.58%
NBR
-2.71%
-1,355
-0.11%
$123.14
39.72% $74.23
3.85%
MED
-6.03%
-2,700
-0.13%
$74.85
64.34% $26.69
2.02%
ABNB
-36.84%
-3,500
-0.31%
$137.21
16.40% $159.71
0.53%
BLDR
-23.53%
-4,000
-0.32%
$124.49
57.29% $195.81
1.04%
CTO
-1.83%
-8,000
-0.08%
$16.21
5.00% $17.02
4.46%
BZH
-34.29%
-12,000
-0.19%
$24.91
11.20% $27.70
0.37%
CLF
-100.00%
-12,098
-0.13%
$16.76
5.01% $17.60
0.00%
RILY
-12.85%
-17,000
-0.45%
$40.99
24.13% $31.10
0.00%
OMF
-10.84%
-19,700
-0.51%
$40.09
27.71% $51.20
4.17%
MBC
-29.41%
-25,000
-0.20%
$12.15
42.22% $17.28
0.47%
MPW
-4.57%
-30,000
-0.10%
$5.45
10.64% $4.87
2.19%
CWH
-100.00%
-67,000
-1.29%
$30.10
33.22% $20.10
0.00%
TEVA
-82.68%
-67,912
-0.44%
$10.20
37.06% $13.98
0.09%
ARLP
-31.34%
-68,000
-0.98%
$22.53
3.20% $23.25
2.16%
AXL
-17.86%
-69,420
-0.32%
$7.26
3.17% $7.49
1.49%
MDC
-100.00%
-103,000
-3.09%
$46.77
34.66% $62.98
0.00%
VTRSV
-13.81%
-114,000
-0.72%
$9.86
-
4.50%
VALE
-100.00%
-115,001
-0.99%
$13.42
6.04% $12.61
0.00%
PBI
-73.93%
-121,470
-0.24%
$3.02
74.50% $5.27
0.08%
TPC
-39.22%
-148,487
-0.75%
$7.83
129.76% $17.99
1.16%
CHS
-66.79%
-913,772
-4.39%
$7.48
1.47% $7.59
0.00%
33 of 3,234

Shares, change to shares, sold shares - split-adjusted.

Reported price - this doesn't represent the actual buy or sell price.
It is the split-adjusted price of the security as of the last day of the reported period.

Value or Price - If the security is completely sold out, we show the reported value (or price) prior to the actual period.