MetLife Investment Management, LLC
Location | New Jersey |
Latest Filing Date | 2024-08-13 |
Latest Quarterly Report Date | 2024-06-30 |
AUM in USD | 16.8 bil. |
Number of equities | 2880 |
Assets Under Management in USD
Number of Holdings
Top 2880 holdings for MetLife Investment Management, LLC
Stock | Amount | Change in Shares 1 yr |
Value in USD |
---|---|---|---|
MICROSOFT Corp | 2327567 | 5.9% | 1.0 bil. |
APPLE Inc | 4521351 | 3.3% | 952.3 mil. |
NVIDIA Corp | 7649958 | 955.4% | 945.1 mil. |
AMAZON.COM Inc | 2876060 | 8.8% | 555.8 mil. |
META PLATFORMS INC-CLASS A | 686183 | 5.0% | 346.0 mil. |
ALPHABET INC-CL A | 1839565 | 4.8% | 335.1 mil. |
ALPHABET INC-CL C | 1532674 | 1.3% | 281.1 mil. |
ELI LILLY & CO | 253349 | 7.2% | 229.4 mil. |
BROADCOM Inc | 137635 | 12.2% | 221.0 mil. |
BERKSHIRE HATHAWAY INC-CL B | 483253 | 6.5% | 196.6 mil. |
VANGUARD SHORT-TERM BOND ETF | 2363000 | NEW | 181.2 mil. |
TESLA Inc | 869104 | 8.6% | 172.0 mil. |
JPMORGAN CHASE & CO | 765881 | 3.2% | 154.9 mil. |
EXXON MOBIL Corp | 1196599 | 16.6% | 137.8 mil. |
VISA INC-CLASS A SHARES | 493000 | 3.1% | 129.4 mil. |
UNITEDHEALTH GROUP Inc | 248391 | -7.6% | 126.5 mil. |
SPDR S&P 500 ETF TRUST | 219000 | -7.8% | 119.2 mil. |
COSTCO WHOLESALE Corp | 138865 | 6.0% | 118.0 mil. |
MASTERCARD INC - A | 257424 | 4.1% | 113.6 mil. |
THE PROCTER & GAMBLE CO | 653934 | 6.0% | 107.8 mil. |
HOME DEPOT Inc | 301082 | 0.6% | 103.6 mil. |
MERCK & CO. Inc | 793273 | 19.5% | 98.2 mil. |
JOHNSON & JOHNSON | 642050 | -2.7% | 93.8 mil. |
NETFLIX Inc | 134734 | 2.9% | 90.9 mil. |
ABBVIE Inc | 506631 | -2.8% | 86.9 mil. |
ADOBE Inc | 140280 | 3.5% | 77.9 mil. |
ADVANCED MICRO DEVICES | 480297 | 7.5% | 77.9 mil. |
WALMART Inc | 1140645 | 219.9% | 77.2 mil. |
SALESFORCE Inc | 295351 | 6.4% | 75.9 mil. |
THE COCA-COLA CO | 1137456 | 6.5% | 72.4 mil. |
BANK OF AMERICA Corp | 1814502 | 3.1% | 72.2 mil. |
CHEVRON Corp | 457334 | 3.5% | 71.5 mil. |
ORACLE Corp | 497657 | 19.5% | 70.3 mil. |
QUALCOMM Inc | 346779 | 7.3% | 69.1 mil. |
PEPSICO Inc | 417089 | 7.1% | 68.8 mil. |
APPLIED MATERIALS Inc | 257117 | 5.3% | 60.7 mil. |
INTUIT Inc | 87224 | 5.8% | 57.3 mil. |
THERMO FISHER SCIENTIFIC Inc | 101822 | -5.6% | 56.3 mil. |
LINDE plc | 128221 | 1.6% | 56.3 mil. |
WELLS FARGO & CO | 930246 | -2.4% | 55.2 mil. |
CISCO SYSTEMS Inc | 1080164 | 3.9% | 51.3 mil. |
ACCENTURE PLC-CL A | 167683 | -10.2% | 50.9 mil. |
AMGEN Inc | 162463 | 7.8% | 50.8 mil. |
SERVICENOW Inc | 64213 | 6.7% | 50.5 mil. |
MCDONALD'S Corp | 194370 | -1.8% | 49.5 mil. |
INTUITIVE SURGICAL Inc | 110977 | 7.3% | 49.4 mil. |
THE WALT DISNEY CO | 486515 | 4.9% | 48.3 mil. |
TEXAS INSTRUMENTS Inc | 247962 | 0.9% | 48.2 mil. |
ABBOTT LABORATORIES | 463844 | 4.1% | 48.2 mil. |
GENERAL ELECTRIC CO | 302716 | 9.6% | 48.1 mil. |
UBER TECHNOLOGIES Inc | 649113 | 444.3% | 47.2 mil. |
VERIZON COMMUNICATIONS Inc | 1122848 | 5.2% | 46.3 mil. |
CATERPILLAR Inc | 133667 | -9.1% | 44.5 mil. |
DANAHER Corp | 175885 | 4.4% | 43.9 mil. |
LAM RESEARCH Corp | 40933 | 3.9% | 43.6 mil. |
ISHARES RUSSELL 2000 ETF | 213930 | -22.7% | 43.4 mil. |
INTL BUSINESS MACHINES Corp | 245000 | 6.3% | 42.4 mil. |
PFIZER Inc | 1511544 | 5.5% | 42.3 mil. |
PHILIP MORRIS INTERNATIONAL | 414654 | 5.2% | 42.0 mil. |
BOOKING HOLDINGS Inc | 10541 | -3.5% | 41.8 mil. |
ISHARES MSCI EAFE ETF | 526400 | 48.7% | 41.2 mil. |
COMCAST CORP-CLASS A | 1043650 | -1.1% | 40.9 mil. |
GOLDMAN SACHS GROUP Inc | 89823 | 6.7% | 40.6 mil. |
UNION PACIFIC Corp | 176295 | 6.4% | 39.9 mil. |
MICRON TECHNOLOGY Inc | 295282 | 6.3% | 38.8 mil. |
NEXTERA ENERGY Inc | 548046 | 6.7% | 38.8 mil. |
HONEYWELL INTERNATIONAL Inc | 178389 | 3.4% | 38.1 mil. |
S&P GLOBAL Inc | 85255 | 1.2% | 38.0 mil. |
AMERICAN EXPRESS CO | 161440 | 1.6% | 37.4 mil. |
PROGRESSIVE Corp | 179064 | 7.4% | 37.2 mil. |
TJX COMPANIES Inc | 333151 | -2.1% | 36.7 mil. |
AT&T Inc | 1912703 | 5.4% | 36.6 mil. |
CONOCOPHILLIPS | 311994 | 1.6% | 35.7 mil. |
RTX Corp | 354628 | -4.4% | 35.6 mil. |
INTEL Corp | 1135574 | 7.3% | 35.2 mil. |
VERTEX PHARMACEUTICALS Inc | 74839 | -0.5% | 35.1 mil. |
KLA Corp | 42165 | 4.0% | 34.8 mil. |
ELEVANCE HEALTH Inc | 63724 | 3.6% | 34.5 mil. |
PALO ALTO NETWORKS Inc | 100195 | 12.4% | 34.0 mil. |
LOWE'S COS Inc | 152632 | -10.0% | 33.6 mil. |
SPDR S&P MIDCAP 400 ETF TRST | 62700 | -33.4% | 33.5 mil. |
EATON CORP plc | 106632 | 5.4% | 33.4 mil. |
STRYKER Corp | 95831 | 6.6% | 32.6 mil. |
MORGAN STANLEY | 335339 | 2.0% | 32.6 mil. |
CITIGROUP Inc | 508944 | 3.0% | 32.3 mil. |
PROLOGIS Inc | 275188 | 17.4% | 30.9 mil. |
AUTOMATIC DATA PROCESSING | 126898 | 6.1% | 30.3 mil. |
BOSTON SCIENTIFIC Corp | 392122 | 7.5% | 30.2 mil. |
ANALOG DEVICES Inc | 132267 | 3.0% | 30.2 mil. |
REGENERON PHARMACEUTICALS | 28675 | 3.9% | 30.1 mil. |
SCHWAB (CHARLES) Corp | 405097 | 7.4% | 29.9 mil. |
BLACKROCK Inc | 37402 | -1.6% | 29.4 mil. |
THE BOEING CO | 158414 | 8.1% | 28.8 mil. |
AMERICAN TOWER Corp | 146210 | 6.2% | 28.4 mil. |
SYNOPSYS Inc | 47743 | 6.1% | 28.4 mil. |
MARSH & MCLENNAN COS | 134564 | -5.3% | 28.4 mil. |
LOCKHEED MARTIN Corp | 60131 | -9.8% | 28.1 mil. |
ARISTA NETWORKS Inc | 79718 | 8.0% | 27.9 mil. |
MEDTRONIC plc | 354202 | 4.9% | 27.9 mil. |
BLACKSTONE Inc | 223675 | 415.6% | 27.7 mil. |