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Focused investors/Bill Miller

Bill Miller - Miller Value Partners

As of Q2 2026, Bill Miller reported 56 long-equity positions worth $423.07M in aggregate.

Copy-investor backtest

Latest quarter
+9.98%
1-year
+28.82%
3-year
+78.91%
5-year
+53.83%
3-year vs S&P 500
+5.67%
5-year vs S&P 500
-19.86%
5-year top 5
+85.57%

Return from mechanically copying the disclosed 13F equity portfolio after each filing and rebalancing at the next. The vs S&P 500 figures subtract SPY over that manager's own rebalance dates, so both sides cover the same days; both are price return, excluding dividends. Method & limitations.

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

Live quotes available for 44 of 116 rows. Rows without a quote are marked unavailable.

1AAPLAPPLE INC8.65%Reduce -30.2%1,479,665$213.1M$144.02No quote
2RHRH6.16%Reduce -10.7%2,352,875$151.81M$64.52No quote
3VRXVALEANT PHARMACEUTICALS INTL6.14%Add +21.3%8,741,048$151.22MNo quoteNo quote
4AMZNAMAZON COM INC4.77%Reduce -1.4%121,450$117.56M$968.00No quote
5PAHPLATFORM SPECIALTY PRODS COR3.77%Reduce -3.0%7,334,450$93MNo quoteNo quote
6DALDELTA AIR LINES INC DEL3.72%Reduce -1.5%1,706,125$91.69M$53.74No quote
7OMFONEMAIN HLDGS INC3.71%Add +0.5%3,716,160$91.38M$24.59No quote
8XONINTREXON CORP3.63%Add +6.6%3,717,000$89.54MNo quoteNo quote
9WWAYFAIR INC3.59%Reduce -12.7%1,150,500$88.45M$76.88No quote
10AALAMERICAN AIRLS GROUP INC3.50%Reduce -2.6%1,714,625$86.28M$50.32No quote
11LENLENNAR CORP3.34%Reduce -1.9%1,544,000$82.33M$53.32No quote
12UALUNITED CONTL HLDGS INC3.28%Reduce -3.6%1,073,480$80.78M$75.25No quote
13ENDPQENDO INTL PLC3.27%Add +25.9%7,210,410$80.54MNo quoteNo quote
14GNWGENWORTH FINL INC3.18%Add +0.5%20,798,835$78.41MNo quoteNo quote
15JPMWSJPMORGAN CHASE & CO3.16%Reduce -1.8%1,546,550$77.78MNo quoteNo quote
16MTGMGIC INVT CORP WIS3.06%Reduce -2.7%6,729,650$75.37M$11.20No quote
17QUOTQUOTIENT TECHNOLOGY INC2.86%Reduce -0.2%6,134,141$70.54MNo quoteNo quote
18PHMPULTE GROUP INC2.81%Reduce -1.7%2,819,775$69.17M$24.53No quote
19BACBANK AMER CORP2.53%Reduce -3.6%2,568,009$62.3M$24.26No quote
20EIGIENDURANCE INTL GROUP HLDGS I2.53%Add +1.3%7,455,000$62.25MNo quoteNo quote
21ALXNALEXION PHARMACEUTICALS INC2.23%Add +25.7%450,725$54.84MNo quoteNo quote
22CCITIGROUP INC2.05%Reduce -2.1%753,700$50.41M$66.88No quote
23PPANDORA MEDIA INC1.92%Reduce -0.9%5,313,975$47.4MNo quoteNo quote
24AGNALLERGAN PLC1.63%Reduce -3.3%165,125$40.14MNo quoteNo quote
25TCRTZIOPHARM ONCOLOGY INC1.24%Add +0.0%4,926,456$30.64MNo quoteNo quote
26ATHNATHENAHEALTH INC1.09%Add +3.8%191,935$26.98MNo quoteNo quote
27GILDGILEAD SCIENCES INC1.06%Reduce -2.0%369,660$26.17M$70.78No quote
28METAFACEBOOK INC1.05%New172,075$25.98M$150.98No quote
29GMEGAMESTOP CORP NEW1.02%Reduce -7.1%1,168,890$25.26MNo quoteNo quote
30STXSEAGATE TECHNOLOGY PLC0.84%Reduce -12.4%532,362$20.63M$38.75No quote
31GTYHUGTY TECHNOLOGY HOLDINGS INC0.83%Reduce -0.1%1,948,575$20.38MNo quoteNo quote
32SPYSPDR S&P 500 ETF TR0.50%New50,942$12.32M$241.80No quote
33HALOHALOZYME THERAPEUTICS INC0.49%New949,800$12.18M$12.82No quote
34FLXNFLEXION THERAPEUTICS INC0.43%New527,800$10.67MNo quoteNo quote
35TBTPROSHARES TR0.36%Add +42.9%250,000$8.97MNo quoteNo quote
36COTCOTT CORP QUE0.32%-550,000$7.94MNo quoteNo quote
37APOAPOLLO GLOBAL MGMT LLC0.31%Add +20.0%288,000$7.62M$26.45No quote
38CHGGCHEGG INC0.27%-550,000$6.76MNo quoteNo quote
39CGCARLYLE GROUP L P0.27%-335,000$6.62M$19.75No quote
40NEWMNEW MEDIA INVT GROUP INC0.24%Add +55.8%439,245$5.92MNo quoteNo quote
41CSCREDIT SUISSE GROUP0.23%Add +12.1%392,389$5.73MNo quoteNo quote
42FCAUFIAT CHRYSLER AUTOMOBILES N0.22%-500,000$5.32MNo quoteNo quote
43CIMCHIMERA INVT CORP0.21%-280,000$5.22MNo quoteNo quote
44RITMNEW RESIDENTIAL INVT CORP0.20%Add +11.0%311,750$4.85MNo quoteNo quote
45CLNSCOLONY NORTHSTAR INC0.19%-339,500$4.78MNo quoteNo quote
46FTAIFORTRESS TRANS INFRST INVS L0.19%Add +0.6%294,792$4.7M$15.94No quote
47SSWSEASPAN CORP0.18%Add +26.4%632,185$4.51MNo quoteNo quote
48CAACALATLANTIC GROUP INC0.14%-100,000$3.54MNo quoteNo quote
49FSCFIFTH STREET FINANCE CORP0.14%-700,000$3.4MNo quoteNo quote
50STWDSTARWOOD PPTY TR INC0.13%-145,200$3.25M$22.39No quote
51AAICARLINGTON ASSET INVT CORP0.12%-210,000$2.87MNo quoteNo quote
52ANFABERCROMBIE & FITCH CO0.12%New230,665$2.87M$12.44No quote
53BGCPBGC PARTNERS INC0.12%-226,400$2.86MNo quoteNo quote
54WFCWSWELLS FARGO CO NEW0.11%Add +13.6%125,000$2.78MNo quoteNo quote
55FLFOOT LOCKER INC0.10%New50,000$2.46MNo quoteNo quote
56CODICOMPASS DIVERSIFIED HOLDINGS0.10%-140,000$2.44MNo quoteNo quote
57GHLGREENHILL & CO INC0.10%New120,000$2.41MNo quoteNo quote
58WPGWASHINGTON PRIME GROUP NEW0.10%New280,000$2.34MNo quoteNo quote
59TCAPTRIANGLE CAP CORP0.09%-124,278$2.19MNo quoteNo quote
60MGPMGM GROWTH PPTYS LLC0.09%-75,000$2.19MNo quoteNo quote
61FTRFRONTIER COMMUNICATIONS CORP0.08%Add +152.2%1,790,414$2.08MNo quoteNo quote
62ONDKON DECK CAP INC0.08%New425,000$1.98MNo quoteNo quote
63MCCMEDLEY CAP CORP0.07%-262,834$1.68MNo quoteNo quote
64JMPJMP GROUP LLC0.07%Add +2.4%307,234$1.68MNo quoteNo quote
65TPVGTRIPLEPOINT VENTURE GROWTH B0.07%-122,711$1.63MNo quoteNo quote
66CBLCBL & ASSOC PPTYS INC0.05%New150,000$1.26M$8.43No quote
67ABALLIANCEBERNSTEIN HOLDING LP0.05%-50,000$1.18MNo quoteNo quote
68FTRPRFRONTIER COMMUNICATIONS CORP0.04%-38,000$1.1MNo quoteNo quote
69NCMINATIONAL CINEMEDIA INC0.04%New130,000$965K$7.42No quote
70DBDEUTSCHE BANK AG0.04%New53,180$946K$17.79No quote
71TWTRTWITTER INC0.04%Reduce -97.2%48,500$867KNo quoteNo quote
72TMHCTAYLOR MORRISON HOME CORP0.04%New36,000$864K$24.00No quote
73UNITUNITI GROUP INC0.03%-33,940$853K$25.13No quote
74UPBDRENT A CTR INC NEW0.03%New72,678$852K$11.72No quote
75AVTABLUCORA INC0.03%New40,000$848KNo quoteNo quote
76MUMICRON TECHNOLOGY INC0.03%New25,000$747K$29.88No quote
77KKRKKR & CO L P DEL0.03%New40,000$744K$18.60No quote
78ILGILG INC0.03%New25,000$687KNo quoteNo quote
79MBIMBIA INC0.03%New70,000$660K$9.43No quote
80BABAALIBABA GROUP HLDG LTD0.03%New4,500$634K$140.89No quote
82HHCHOWARD HUGHES CORP0.02%New5,000$614KNo quoteNo quote
81CVNACARVANA CO0.02%New30,000$614K$20.47No quote
83WLHLYON WILLIAM HOMES0.02%New25,000$603KNo quoteNo quote
84PNKPINNACLE ENTMT INC NEW0.02%New30,000$593KNo quoteNo quote
85WMCWESTERN ASSET MTG CAP CORP0.02%New55,000$566KNo quoteNo quote
86GOOGLALPHABET INC0.02%New600$558K$930.00No quote
87HOUSREALOGY HLDGS CORP0.02%New17,000$552KNo quoteNo quote
88GOOGALPHABET INC0.02%New601$546K$908.49No quote
89BACWSABANK AMER CORP0.02%New40,000$482KNo quoteNo quote
90CCSCENTURY CMNTYS INC0.02%New19,000$471K$24.79No quote
91CMGCHIPOTLE MEXICAN GRILL INC0.02%New1,060$441K$416.04No quote
93UPROPROSHARES TR0.02%New4,000$415KNo quoteNo quote
92LVSLAS VEGAS SANDS CORP0.02%New6,500$415K$63.85No quote
94CYHCOMMUNITY HEALTH SYS INC NEW0.02%New38,255$381KNo quoteNo quote
95ALSKALASKA COMMUNICATIONS SYS GR0.01%New150,000$330KNo quoteNo quote
96NENOBLE CORP PLC0.01%New90,210$327K$3.62No quote
97CELGCELGENE CORP0.01%New2,200$286KNo quoteNo quote
98MTARCELORMITTAL SA LUXEMBOURG0.01%New11,583$263K$22.71No quote
99GNCGNC HLDGS INC0.01%New30,995$261KNo quoteNo quote
100AFSIAMTRUST FINL SVCS INC0.01%New15,000$227KNo quoteNo quote
101CLFCLIFFS NAT RES INC0.01%New30,226$209K$6.91No quote
102RFPRESOLUTE FST PRODS INC0.01%New37,919$167KNo quoteNo quote
103MHLDMAIDEN HOLDINGS LTD0.01%New15,000$166KNo quoteNo quote
104SVUSUPERVALU INC0.01%New47,332$156KNo quoteNo quote
105OBEOBSIDIAN ENERGY LTD0.01%New118,243$150KNo quoteNo quote
106NBRNABORS INDUSTRIES LTD0.01%New16,955$138K$8.14No quote
107SPLSSTAPLES INC0.00%New11,781$119KNo quoteNo quote
108RTRUBY TUESDAY INC0.00%New58,040$117KNo quoteNo quote
109SNDSMART SAND INC0.00%New10,000$89K$8.90No quote
110AVPAVON PRODS INC0.00%New18,541$70KNo quoteNo quote
115PFSIPENNYMAC FINL SVCS INC-Sold0$0No quoteNo quote
114NSMNATIONSTAR MTG HLDGS INC-Sold0$0No quoteNo quote
113MVCMVC CAPITAL INC-Sold0$0No quoteNo quote
112GEOGEO GROUP INC NEW-Sold0$0No quoteNo quote
111DWTCITIGROUP GLOBAL MKTS HLDGS-Sold0$0No quoteNo quote

Other instruments

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

1-WALTER INVT MGMT CORPNOTE 4.500%11/0OTHER3,000,000$1.04M