Logo: Four dots and StockDot set in typeface Coolvetica
An interactive map about institutional investors and their engagement in the stock market
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
stockdot.io
+ - C

Assets Under Management in USD

1.0 mil. 22.0 mil. 485.9 mil. 10.7 bil. 236.1 bil. 5.2 tril.

Number of Holdings

1 6 39 251 1585 10002

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.