Fund HoldingsMILLER VALUE PARTNERS, LLC

Total Portfolio Value
$423.07M
Total Bought
$88.87M
Total Sold
$40.61M
Net Transaction
+$48.26M
Filing Period:
Securities
SharesValue ($K)
Q1 2026
Q2 2026
Change
Q1 2026
Q2 2026
Weight (%)
Change
DIREXION SHARES ETF TRUST
DAILY 500 2X ETF
0114,078+114,078024,5965.81%+24,596
BLOOMIN BRANDS INC2,036,7342,585,909+549,17510,99823,6355.59%+12,637
COTY INC(COTY)03,917,705+3,917,70508,4622.00%+8,462
CONDUENT INC10,023,93012,986,100+2,962,17012,83118,9604.48%+6,129
GRAY MEDIA INC5,370,1007,243,390+1,873,29023,30628,7566.80%+5,450
DAUCH CORP1,395,9052,282,090+886,1858,27812,3692.92%+4,091
QUAD / GRAPHICS INC2,651,0392,538,299-112,74017,52321,3985.06%+3,874
META PLATFORMS INC(META)06,412+6,41203,6120.85%+3,612
UPBOUND GROUP INC(UPBD)120,000258,000+138,0002,1665,4751.29%+3,309
JELD-WEN HLDG INC6,619,8857,139,095+519,2108,20910,7092.53%+2,500
AMERIPRISE FINL INC(AMP)04,428+4,42802,0310.48%+2,031
MILLROSE PPTYS INC(MRP)180,800229,300+48,5005,0626,8901.63%+1,828
VIATRIS INC(VTRS)731,676733,164+1,4889,88511,6432.75%+1,758
CTO RLTY GROWTH INC NEW(CTO)556,053539,900-16,15310,28111,6132.74%+1,332
LINCOLN NATL CORP IND(LNC)570,690603,160+32,47020,25921,3225.04%+1,062
CITI TRENDS INC53,76354,200+4372,3293,1350.74%+806
UNITED PARCEL SVCS INC(UPS)119,108116,003-3,10511,71812,4702.95%+752
ONEMAIN HLDGS INC(OMF)82,94182,94104,4375,0571.20%+620
MAPLEBEAR INC(CART)45,55745,645+881,7072,1610.51%+455
SHARKNINJA INC(SN)5,7755,932+1576129030.21%+292
CROCS INC(CROX)38,54828,856-9,6923,2003,4810.82%+281
BUILD-A-BEAR WORKSHOP INC(BBW)103,734133,567+29,8333,8854,0880.97%+204
BUILDERS FIRSTSOURCE INC(BLDR)18,89319,115+2221,5551,7100.40%+155
SHIFT4 PMTS INC(FOUR)30,03529,965-701,3131,4570.34%+144
LITHIA MTRS INC(LAD)2,6542,712+586637880.19%+125
PINTEREST INC(PINS)59,99057,860-2,1301,1001,2170.29%+117
CAL MAINE FOODS INC(CALM)62,00062,00004,9074,9951.18%+87
BOISE CASCADE CO DEL(BCC)37,00037,00002,8062,8720.68%+66
TECHNIPFMC PLC(FTI)3,1703,17002192100.05%-9
TUTOR PERINI CORP(TPC)2,7952,470-3252162050.05%-11
UNITED NAT FOODS INC(UNFI)5,2504,705-5452372150.05%-22
COUPANG INC(CPNG)62,52864,124+1,5961,1811,1140.26%-67
BREAD FINANCIAL HOLDINGS INC193,697132,798-60,89914,50614,3893.40%-117
ZIFF DAVIS INC(ZD)68,05850,602-17,4562,8562,6500.63%-206
RESIDEO TECHNOLOGIES INC(REZI)69,76268,931-8312,3522,1440.51%-208
BRISTOL-MYERS SQUIBB CO(BMY)69,50069,50004,2154,0050.95%-211
PERDOCEO ED CORP(PRDO)40,39540,288-1071,5031,2890.30%-214
UGI CORP NEW(UGI)121,000121,00004,4074,1790.99%-227
CARLYLE GROUP INC(CG)40,00040,00001,9361,6840.40%-251
JACKSON FINANCIAL INC(JXN)80,68080,142-5388,5298,2061.94%-324
VROOM INC58,48858,48807784500.11%-328
FIGURE TECHNOLOGY SOLUTIO(FGRS)91,00989,668-1,3413,0902,7540.65%-336
WESTERN ALLIANCE BANCORP(WAL)55,25241,755-13,4973,9153,4320.81%-482
ALLIANCE RESOURCE PARTNERS L(ARLP)185,256186,981+1,7255,1224,4841.06%-639
PORTILLOS INC129,3230-129,3236840-684
AIRBNB INC16,1348,921-7,2132,0371,2770.30%-761
NABORS INDUSTRIES LTD(NBR)444,430445,460+1,03038,24837,4238.85%-825
MASTERBRAND INC(MBC)104,8540-104,8548710-871
MERCADOLIBRE INC(MELI)2,2151,712-5033,8302,9060.69%-924
LYONDELLBASELL INDUSTRIES NV
SHS - A -
38,00038,00003,0612,0010.47%-1,061
VERIZON COMMUNICATIONS INC(VZ)168,000168,00008,4347,1131.68%-1,320
ARBOR REALTY TRUST INC604,000611,000+7,0004,6573,3120.78%-1,345
FOSSIL GROUP INC2,425,1852,143,445-281,74010,4538,8742.10%-1,579
ITURAN LOCATION AND CONTROL
SHS
203,900133,700-70,2009,9938,1571.93%-1,836
USA TODAY CO INC(TDAY)1,969,2801,401,080-568,20013,88311,9792.83%-1,904
CHORD ENERGY CORPORATION(CHRD)69,33069,096-2349,8577,8981.87%-1,960
STRATEGY INC(MSTR)52,05850,203-1,8556,4974,3641.03%-2,133
CRESCENT ENERGY COMPANY(CRGY)2,003,1322,092,679+89,54727,04220,5504.86%-6,492
STATE STR SPDR S&P 500 ETF T(SPY)30,0440-30,04419,5390-19,539
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