Bill Miller - Miller Value Partners Portfolio (Q1 2026)

Published:
Last Updated:

Miller Value Partners, Bill Miller, has built a diversified portfolio of 53 publicly traded holdings with a total market value of $383.2M as of Mar 31, 2026. This comprehensive analysis examines the latest 13F filing data to understand the investment strategy and recent portfolio adjustments.

The portfolio demonstrates a diversified approach to stock selection, with the top holding representing 10.0% of the total portfolio value. The top 5 holdings account for 33.5% of the overall portfolio allocation.

Recent portfolio activity shows 10 significant position adjustments, indicating active portfolio management and strategic repositioning. These changes reflect the investor's response to market conditions and evolving investment thesis.

Portfolio Statistics

53
Total Holdings
$383.2M
Portfolio Value
Mar 31, 2026
Latest Filing
10.0%
Largest Position

Top Holdings Analysis

The portfolio's top holdings reveal the investor's core investment thesis and sector preferences. The largest position in NABORS INDUSTRIES LTD (NBR) represents 10.0% of the total portfolio, valued at $38.2M.

Rank Symbol Company Value Portfolio % Change
1 NBR NABORS INDUSTRIES LTD $38.2M 10.0% -26.3%
2 CRGY CRESCENT ENERGY COMPANY $27.0M 7.1% +100.0%
3 GTN GRAY MEDIA INC $23.3M 6.1% +34.6%
4 LNC LINCOLN NATL CORP IND $20.3M 5.3% +13.1%
5 SPY STATE STR SPDR S&P 500 ETF T $19.5M 5.1% +49.8%

For a complete analysis of all holdings and detailed portfolio breakdown by sector and market cap, visit our comprehensive holdings page.

Recent Portfolio Activity

Recent portfolio adjustments provide insights into the investor's evolving strategy and market outlook. The following table shows the top 10 most significant position changes from recent reporting periods (out of 143 total transactions), sorted by the magnitude of change.

For a complete history of all portfolio transactions and detailed activity analysis, visit our comprehensive activity page.

Symbol Company Quantity Change Date Action
CNDT Conduent Incorporated +4,440,545 Mar 31, 2026 BUY
JELD JELD-WEN Holding, Inc. +2,485,675 Mar 31, 2026 BUY
BLMN Bloomin' Brands, Inc. +2,036,734 Mar 31, 2026 BUY
CRGY Crescent Energy Company +2,003,132 Mar 31, 2026 BUY
GCI Gannett Co., Inc. -1,434,065 Mar 31, 2026 SELL
GTN Gray Television, Inc. +1,381,605 Mar 31, 2026 BUY
FOSL Fossil Group, Inc. -759,230 Mar 31, 2026 SELL
ABR Arbor Realty Trust +604,000 Mar 31, 2026 BUY
STLA Stellantis -429,000 Mar 31, 2026 SELL
AXL American Axle & Manufacturing H -338,875 Mar 31, 2026 SELL

Options Activity

Options trading activity provides insights into the investor's derivative strategies and hedging approaches. The following table shows options positions from the latest reporting period, sorted by notional value.

Symbol Company Type Contracts Notional Value Date
DB Deutsche Bank CALL 150,000 $1.7M Dec 31, 2022
BCS Barclays PLC CALL 36,500 $284.7K Dec 31, 2022
PBI Pitney Bowes Inc. CALL 50,000 $190.0K Dec 31, 2022

Note: Notional value represents the total exposure value of the options position. For a complete analysis of all options strategies and historical options activity, visit our comprehensive options page.

Investment Strategy Insights

Miller Value Partners's investment approach can be analyzed through several key metrics. The portfolio's concentration in top holdings suggests a diversified investment strategy, with significant positions in companies that align with the investor's long-term thesis.

The largest position in NABORS INDUSTRIES LTD (NBR) demonstrates strong conviction in this particular investment opportunity. Recent activity shows a decrease of 26.3% in this position, indicating active portfolio management and strategic positioning.

Portfolio turnover can be assessed through recent activity patterns. The 10 most significant transactions shown here (out of 143 total transactions) suggest a highly active approach to portfolio management, with frequent strategic adjustments and position changes.

Additional Analysis

Miller Value Partners's portfolio as of Mar 31, 2026 reflects a strategic approach to equity investing with 53 holdings valued at $383.2M. The concentrated position in NABORS INDUSTRIES LTD and other top holdings demonstrates the investor's confidence in specific investment themes and long-term value creation opportunities. Recent activity indicates ongoing portfolio optimization and strategic repositioning.

For the most current portfolio data and detailed analysis, refer to the latest SEC 13F filings and our comprehensive holdings and activity pages, which are updated regularly with the latest filing information.

Other Investor Portfolios