Bill Miller - Miller Value Partners,
Period:    Q1 2026
Portfolio date:    31 Mar 2026
No. of stocks:    55
Portfolio value:    $383,178,520
Holdings Activity Buys Sells    History
Holding/activity history for  Boyd Gaming Corp. (BYD)
Period Shares % of Portfolio Activity % Change to Portfolio Reported Price Value Filing
2016   Q1 0 0.00 Sell 100.00% 3.03 SEC
2015   Q4 3,798,250 3.03 Add 2.47% 0.07 $19.87 $75,472,000 SEC
2015   Q3 3,706,675 1.80 $16.30 $60,419,000 SEC
2015   Q2 3,706,675 2.27 $14.95 $55,415,000 SEC
2015   Q1 3,706,675 2.15 Reduce 3.27% 0.07 $14.20 $52,635,000 SEC
2014   Q4 3,831,975 2.06 Reduce 0.38% <0.01 $12.78 $48,973,000 SEC
2014   Q3 3,846,575 1.82 Add 3.31% 0.06 $10.16 $39,082,000 SEC
2014   Q2 3,723,375 1.94 Reduce 1.53% 0.03 $12.13 $45,165,000 SEC
2014   Q1 3,781,175 2.14 Add 0.38% <0.01 $13.20 $49,912,000 SEC
2013   Q4 3,766,725 2.12 Add 3.96% 0.08 $11.26 $42,414,000 SEC
2013   Q3 3,623,200 3.34 Add 3.56% 0.11 $14.15 $51,269,000 SEC
2013   Q2 3,498,800 2.90 Add 2.48% 0.07 $11.30 $39,537,000 SEC
2013   Q1 3,414,100 2.38 Add 6.69% 0.15 $8.27 $28,235,000 SEC
2012   Q4 3,199,900 2.13 Add 0.89% 0.02 $6.64 $21,247,000 SEC
2012   Q3 3,171,790 2.61 Reduce 9.06% 0.24 $7.06 $22,393,000 SEC
2012   Q2 3,487,840 2.63 Reduce 9.66% 0.27 $7.20 $25,113,000 SEC
2012   Q1 3,860,690 2.84 Reduce 2.77% 0.09 $7.84 $30,268,000 SEC
2011   Q4 3,970,590 3.37 Reduce 11.65% 0.31 $7.46 $29,621,000 SEC
2011   Q3 4,494,390 2.67 Reduce 1.30% 0.03 $8.70 $39,102,000 SEC
2011   Q2 4,553,390 2.50 Reduce 4.16% 0.11 $9.37 $42,666,000 SEC
2011   Q1 4,751,190 2.76 Reduce 0.64% 0.01 $10.60 $50,363,000 SEC
2010   Q4 4,781,800 1.98 Add 16.63% 0.28 $7.25 $34,669,000 SEC
2010   Q3 4,100,000 2.57 Add 43.48% 0.78 $8.49 $34,809,000 SEC
2010   Q1 2,857,468 1.46 Add 41.46% 0.43 $8.37 $23,918,000 SEC
2009   Q3 2,020,000 1.35 $10.93 $22,079,000 SEC
2009   Q2 2,020,000 1.52 $8.50 $17,170,000 SEC
2009   Q1 2,020,000 1.02 $3.73 $7,535,000 SEC
2008   Q4 2,020,000 0.96 Add 1.00% <0.01 $4.73 $9,555,000 SEC
2008   Q3 2,000,000 0.92 Buy 0.92 $9.36 $18,720,000 SEC