Bill Miller's top dividend stocks (May 2025) include Buckle, Inc. (BKE), a retailer focused on denim, casual apparel, and accessories.

Bill Miller is a well-known investor and fund manager. He is associated with Miller Value Partners, where he likely plays a key role in investment decisions. His investment strategy often emphasizes identifying undervalued companies with significant long-term potential.

Buckle, Inc. (BKE)

Buckle operates as a retailer, primarily offering denim, casual clothing, and accessories for young men and women. With numerous stores across the United States, Buckle aims to provide a personalized shopping experience. The current value of Bill Miller's position in Buckle is $3.65 million. The company's TTM dividend rate is $3.9, and it offers a dividend yield of 11.18%. Currently, the analyst price target is $41.0, and the discounted cash flow value is $103.17.

Here's an overview of Bill Miller's trades in Buckle, Inc.:

Alliance Resource Partners, LP (ARLP)

Alliance Resource Partners is a diversified natural resource company, producing and marketing coal primarily to utilities and industrial users. Their operations are largely concentrated in the Illinois Basin. Bill Miller's current portfolio position in Alliance Resource Partners is valued at $3.36 million. The company has a dividend yield of 10.32%, and its TTM dividend rate stands at $2.8. The discounted cash flow value is $72.74.

Here's an overview of Bill Miller's trades in Alliance Resource Partners, LP:

Gray Television, Inc. (GTN)

Gray Television operates as a broadcasting company, owning and operating television stations across the United States. They deliver local news, weather, and sports content to viewers in various markets. The value of Bill Miller's holdings in Gray Television is currently $11.34 million. The company's TTM dividend rate is $0.32, with a dividend yield of 9.44%. The discounted cash flow value is $5.1.

Here's an overview of Bill Miller's trades in Gray Television, Inc.:

Stellantis N.V (STLA)

Stellantis is a global automotive manufacturer, producing a wide range of vehicles under brands such as Jeep, Ram, Chrysler, and Fiat. With a significant global presence, Stellantis focuses on developing and selling passenger cars, light commercial vehicles, and related parts and services. Miller's position in Stellantis is currently worth $3.62 million. The company provides a dividend yield of 9.35%, and the TTM dividend rate is $0.77.

Here's an overview of Bill Miller's trades in Stellantis N.V:

Oasis Petroleum Inc. (OAS)

Oasis Petroleum is an independent exploration and production company focused on developing oil and natural gas resources. Their operations are primarily located in the Williston Basin of North Dakota and Montana. Bill Miller's current portfolio value in Oasis Petroleum amounts to $5.77 million. The company's TTM dividend rate is $6.21, and it offers a dividend yield of 8.67%. The discounted cash flow value is $117.64.

Here's an overview of Bill Miller's trades in Oasis Petroleum Inc.: