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Focused investors/Bill Miller

Bill Miller - Miller Value Partners

As of Q1 2026, Bill Miller reported 55 long-equity positions worth $383.18M in aggregate.

Copy-investor backtest

Latest quarter
+4.97%
1-year
+34.24%
3-year
+90.13%
3-year top 5
+191.22%

Return from mechanically copying the disclosed 13F equity portfolio after each filing and rebalancing at the next. Method & limitations.

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Updated 2026-06-06 from SEC 13F data.

Live quotes available for 29 of 31 rows. Rows without a quote are marked unavailable.

1BFHBREAD FINANCIAL HOLDINGS INC6.94%Add +1.5%258,530$12.3M$47.5852w: $26.08 - $59.66; reported $47.58
2LNCLINCOLN NATL CORP IND6.82%Add +16.2%383,215$12.08M$31.5152w: $20.85 - $36.46; reported $31.51
3JXNJACKSON FINANCIAL INC6.71%Reduce -10.6%130,335$11.89M$91.2352w: $35.27 - $92.65; reported $91.23
4TAT&T INC6.62%Reduce -9.3%533,000$11.73M$22.0052w: $14.12 - $22.34; reported $22.00
5WALWESTERN ALLIANCE BANCORP6.49%Reduce -6.5%132,945$11.5M$86.4952w: $38.81 - $88.92; reported $86.49
6NBRNABORS INDUSTRIES LTD5.13%Add +36.0%140,965$9.09M$64.4752w: $59.67 - $127.56; reported $64.47
7QUADQUAD / GRAPHICS INC4.83%Add +30.2%1,883,815$8.55M$4.5452w: $3.96 - $6.75; reported $4.54
8MSTRMICROSTRATEGY INC4.78%New50,250$8.47M$168.6052w: $30.71 - $200.00; reported $168.60
9GTNGRAY TELEVISION INC4.41%Add +88.8%1,458,120$7.82M$5.3652w: $4.15 - $10.07; reported $5.36
10GCIGANNETT CO INC4.35%Reduce -10.0%1,371,435$7.71MNo quoteNo quote
11CTOCTO RLTY GROWTH INC NEW4.12%Reduce -13.5%383,900$7.3M$19.0252w: $15.63 - $21.15; reported $19.02
12VTRSVIATRIS INC4.06%-619,000$7.19M$11.6152w: $8.74 - $13.62; reported $11.61
13OMFONEMAIN HLDGS INC3.96%-149,000$7.01M$47.0752w: $35.00 - $54.94; reported $47.07
14CHRDCHORD ENERGY CORPORATION3.88%Add +17.3%52,766$6.87M$130.2352w: $126.97 - $190.23; reported $130.23
15BCCBOISE CASCADE CO DEL3.18%-40,000$5.64M$140.9852w: $87.32 - $154.67; reported $140.98
16BKEBUCKLE INC3.10%Reduce -16.7%125,000$5.5M$43.9752w: $30.31 - $48.15; reported $43.97
17STLASTELLANTIS N.V3.09%Reduce -7.1%390,000$5.48M$14.0552w: $13.76 - $29.51; reported $14.05
18BBWBUILD-A-BEAR WORKSHOP INC2.91%Add +114.3%150,000$5.16M$34.3752w: $21.24 - $34.80; reported $34.37
19UGIUGI CORP NEW2.85%Reduce -14.8%202,000$5.05M$25.0252w: $20.19 - $26.15; reported $25.02
20UNFIUNITED NAT FOODS INC2.57%Add +32.5%271,115$4.56M$16.8252w: $8.58 - $17.33; reported $16.82
21BMYBRISTOL-MYERS SQUIBB CO2.34%Add +33.3%80,000$4.14M$51.7452w: $39.35 - $58.06; reported $51.74
22CNDTCONDUENT INC2.05%Add +20.6%900,935$3.63M$4.0352w: $2.40 - $4.20; reported $4.03
23ARLPALLIANCE RESOURCE PARTNERS L1.65%-117,000$2.93M$25.0052w: $18.32 - $26.21; reported $25.00
24FOSLFOSSIL GROUP INC0.88%Add +22.5%1,333,200$1.56M$1.1752w: $0.75 - $2.04; reported $1.17
25TPCTUTOR PERINI CORP0.84%Reduce -36.9%54,800$1.49M$27.1652w: $6.85 - $27.21; reported $27.16
26DCHAMERICAN AXLE & MFG HLDGS IN0.82%Add +21.6%233,640$1.44M$6.1852w: $5.43 - $8.99; reported $6.18
27TTETOTALENERGIES SE0.28%New7,650$494.34K$64.6252w: $62.28 - $74.97; reported $64.62
28FTITECHNIPFMC PLC0.12%-8,185$214.69K$26.2352w: $18.33 - $29.85; reported $26.23
29TEVATEVA PHARMACEUTICAL INDS LTD0.11%-10,950$197.32K$18.0252w: $8.06 - $19.08; reported $18.02
30PBIPITNEY BOWES INC0.10%Reduce -22.8%24,259$172.97K$7.1352w: $3.03 - $7.70; reported $7.13

Other instruments

Bonds, warrants, or non-share principal positions reported alongside the equity portfolio.

1MSTRWMICROSTRATEGY INCNOTE 0.750%12/1OTHER0$0