Bill Miller's top holdings (June 2026) include Nabors Industries Ltd (NBR), a global provider of drilling and rig technologies for the energy sector. Bill Miller is the Chairman of Miller Value Partners, an investment firm where he leads the focus on value-oriented equity research. He previously served as the chief investment officer of Legg Mason Capital Management, where he oversaw broad equity investment strategies for several decades.

Nabors Industries Ltd (NBR)

Nabors Industries operates one of the world's largest land-based drilling rig fleets and provides offshore platform rigs in the United States and international markets. The company specializes in directional drilling services and the manufacturing of advanced drilling equipment for the oil and gas industry. The company's market cap stands at $1.37B, while the current value of Bill Miller's holding is $41.17M. Analysts have established a price target of $86.0 for Nabors Industries. Furthermore, the discounted cash flow analysis for the company indicates a value of $277.6 per share.

Here's an overview of Bill Miller's trades in Nabors Industries Ltd:

Crescent Energy Company (CRGY)

Crescent Energy is an independent energy company focused on the acquisition, development, and production of crude oil and natural gas properties. Its operations are primarily concentrated in the Eagle Ford and Rockies regions of the United States, managing a diverse portfolio of upstream and midstream assets. Crescent Energy has a market capitalization of $3.82B, with Bill Miller's position currently valued at $23.16M. For this stock, analysts have set a price target of $17.5. The company's discounted cash flow analysis shows a value of -6.3 per share.

Here's an overview of Bill Miller's trades in Crescent Energy Company:

SPDR S&P 500 ETF Trust (SPY)

This exchange-traded fund tracks the S&P 500 Index, providing exposure to 500 large-cap U.S. companies across various industries. It is designed to mirror the performance of the broader equity market by holding a representative basket of stocks. This holding in Bill Miller's portfolio is currently worth $22.73M. The market capitalization for the fund is listed at $780.6B.

Here's an overview of Bill Miller's trades in State Street My2026 Municipal Bond ETF:

Gray Television, Inc. (GTN)

Gray Television is a multimedia company that owns and operates television stations and digital assets in numerous markets across the United States. The company is a significant broadcaster of local news and provides advertising solutions for regional businesses through its extensive broadcast network. The position is currently valued at $21.53M within Bill Miller's portfolio. Gray Television maintains a market cap of $411.98M. Market analysts have provided a price target of $7.5 for the shares, and the discounted cash flow value is calculated at 16.53 per share.

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

Lincoln National Corp. (LNC)

Operating under the marketing name Lincoln Financial Group, this company provides multiple financial services including life insurance, annuities, and retirement plan services. It serves millions of customers through its diversified insurance and investment management subsidiaries across the country. Lincoln National's market cap is approximately $6.75B, and the current value of Bill Miller's position is $20.14M. An analyst price target of $41.6 has been set for the company. Additionally, the discounted cash flow analysis suggests a value of -40.44 per share.

Here's an overview of Bill Miller's trades in Lincoln National Corp.: