At Miller Value Partners, we believe that to consistently outperform over the long term, we much find market mispricings and capitalize on those gaps between price and intrinsic value. We tend to find the best opportunities during periods of uncertainty. We use a rigorous valuation-based research process to try to assess the long term free cash flow potential of a business.
Miller Opportunity Fund is a highly differentiated portfolio built from the bottom up, with high active share and a long-term focus. It’s designed as a flexible, contrarian, value-oriented fund seeking to maximize returns over a 3-5 year period. It aims to add diversification and enhance long-term performance potential in an investor’s portfolio.