Holders — by stockHoldings — by fund
MetLife Investment Management, LLC
Everything this manager disclosed owning in US-listed stocks — its complete Form 13F portfolio · as of 2026-06-30 · filed with the SEC up to 45 days after quarter end · CIK 1529735
$22.07B
disclosed book value
2,884
positions
5.8%
largest position share
Positions, as of 2026-06-30
top 100 of 2,884 · 13F covers long US-listed positions only — cash, bonds, private and foreign stakes are not disclosed · PUT/CALL tags = options positions (share-equivalents), not shares held
| # | Issuer | Shares | Value | % of book |
|---|---|---|---|---|
| 1 | NVDANVIDIA CORP | 6.4M | $1.29B | 5.8% |
| 2 | AAPLAPPLE INC | 3.7M | $1.06B | 4.8% |
| 3 | MSFTMICROSOFT CORP | 1.8M | $688.4M | 3.1% |
| 4 | GOOGLALPHABET INC CLASS A | 1.6M | $561.0M | 2.5% |
| 5 | AMZNAMAZON COM INC | 2.3M | $541.0M | 2.5% |
| 6 | AVGOBROADCOM INC | 1.3M | $477.7M | 2.2% |
| 7 | GOOGALPHABET INC CLASS C | 1.3M | $448.2M | 2% |
| 8 | MUMICRON TECHNOLOGY INC | 302,272 | $348.9M | 1.6% |
| 9 | METAMETA PLATFORMS INC CLASS A | 573,082 | $322.8M | 1.5% |
| 10 | TSLATESLA INC | 760,555 | $319.9M | 1.4% |
| 11 | LLYELI LILLY | 212,458 | $254.8M | 1.2% |
| 12 | AMDADVANCED MICRO DEVICES INC | 436,872 | $253.8M | 1.1% |
| 13 | BRK/BBERKSHIRE HATHAWAY INC CLASS B | 419,900 | $210.1M | 1% |
| 14 | JPMJPMORGAN CHASE | 612,924 | $200.6M | 0.9% |
| 15 | BSVVANGUARD SHORT-TERM BOND INDEX FUN | 2.5M | $191.6M | 0.9% |
| 16 | AMATAPPLIED MATERIAL INC | 212,686 | $153.8M | 0.7% |
| 17 | VVISA INC CLASS A | 444,424 | $152.5M | 0.7% |
| 18 | INTCINTEL CORPORATION CORP | 1.1M | $150.1M | 0.7% |
| 19 | LRCXLAM RESEARCH CORP | 335,179 | $145.2M | 0.7% |
| 20 | SPYSTATE STREET SPDR S&P ETF TRUST | 189,780 | $141.7M | 0.6% |
| 21 | JNJJOHNSON & JOHNSON | 550,760 | $139.9M | 0.6% |
| 22 | CATCATERPILLAR INC | 123,114 | $131.1M | 0.6% |
| 23 | EXMOCEXXON MOBIL CORP | 948,549 | $129.7M | 0.6% |
| 24 | WMTWALMART INC | 1.0M | $115.3M | 0.5% |
| 25 | MAMASTERCARD INC CLASS A | 216,339 | $111.1M | 0.5% |
| 26 | CSCOCISCO SYSTEMS INC | 903,668 | $106.1M | 0.5% |
| 27 | KLACKLA CORP | 350,255 | $105.7M | 0.5% |
| 28 | GEGE AEROSPACE | 279,091 | $104.3M | 0.5% |
| 29 | ABBVABBVIE INC | 409,814 | $103.1M | 0.5% |
| 30 | COSTCOSTCO WHOLESALE CORP | 109,127 | $102.1M | 0.5% |
| 31 | HDHOME DEPOT INC | 256,895 | $90.6M | 0.4% |
| 32 | SNDKSANDISK CORP | 39,554 | $89.9M | 0.4% |
| 33 | UNHUNITEDHEALTH GROUP INC | 207,681 | $86.3M | 0.4% |
| 34 | BACBANK OF AMERICA CORP | 1.5M | $86.2M | 0.4% |
| 35 | GEVGE VERNOVA INC | 72,054 | $84.7M | 0.4% |
| 36 | NFLXNETFLIX INC | 1.1M | $80.5M | 0.4% |
| 37 | PGPROCTER & GAMBLE | 532,786 | $78.1M | 0.4% |
| 38 | PANWPALO ALTO NETWORKS INC | 217,137 | $74.0M | 0.3% |
| 39 | KOCOCA-COLA | 903,648 | $73.4M | 0.3% |
| 40 | TXNTEXAS INSTRUMENT INC | 243,916 | $72.7M | 0.3% |
| 41 | MRKMERCK & CO INC | 565,110 | $72.6M | 0.3% |
| 42 | IWFISHARES RUSSELL GROWTH | 577,300 | $71.7M | 0.3% |
| 43 | PLTRPALANTIR TECHNOLOGIES INC CLASS A | 611,279 | $71.3M | 0.3% |
| 44 | CVXCHEVRON CORP | 428,022 | $70.9M | 0.3% |
| 45 | MRVLMARVELL TECHNOLOGY INC | 234,515 | $69.9M | 0.3% |
| 46 | GSGOLDMAN SACHS GROUP INC | 67,385 | $68.2M | 0.3% |
| 47 | ORCLORACLE CORP | 455,801 | $66.8M | 0.3% |
| 48 | PMPHILIP MORRIS INTERNATIONAL INC | 356,579 | $64.5M | 0.3% |
| 49 | EFAISHARES MSCI EAFE ETF | 606,500 | $63.0M | 0.3% |
| 50 | IBMINTERNATIONAL BUSINESS MACHINES CO | 215,042 | $60.5M | 0.3% |
| 51 | WDCWESTERN DIGITAL CORP | 92,026 | $58.8M | 0.3% |
| 52 | RTXRTX CORP | 308,126 | $58.5M | 0.3% |
| 53 | APHAMPHENOL CORP CLASS A | 329,562 | $58.1M | 0.3% |
| 54 | WFCWELLS FARGO | 700,156 | $57.9M | 0.3% |
| 55 | MSMORGAN STANLEY | 272,972 | $57.1M | 0.3% |
| 56 | CCITIGROUP INC | 400,540 | $56.1M | 0.3% |
| 57 | LINDE PLC | 105,758 | $54.9M | 0.2% |
| 58 | GLWCORNING INC | 210,350 | $53.7M | 0.2% |
| 59 | CRWDCROWDSTRIKE HOLDINGS INC CLASS A | 69,431 | $53.0M | 0.2% |
| 60 | AMGNAMGEN INC | 138,472 | $50.1M | 0.2% |
| 61 | ANETARISTA NETWORKS INC | 277,433 | $47.1M | 0.2% |
| 62 | LQDISHARES IBOXX $ INV GRADE CORPORAT | 426,500 | $46.5M | 0.2% |
| 63 | SEAGATE TECHNOLOGY HOLDINGS PLC | 47,641 | $46.0M | 0.2% |
| 64 | ADIANALOG DEVICES INC | 113,050 | $44.9M | 0.2% |
| 65 | QCOMQUALCOMM INC | 241,148 | $44.6M | 0.2% |
| 66 | MCDMCDONALDS CORP | 162,543 | $43.9M | 0.2% |
| 67 | AXPAMERICAN EXPRESS | 127,810 | $43.2M | 0.2% |
| 68 | PEPPEPSICO INC | 318,993 | $43.2M | 0.2% |
| 69 | BABOEING | 199,218 | $43.1M | 0.2% |
| 70 | TMOTHERMO FISHER SCIENTIFIC INC | 85,023 | $42.6M | 0.2% |
| 71 | NEENEXTERA ENERGY INC | 477,118 | $41.9M | 0.2% |
| 72 | TJXTJX INC | 272,830 | $41.3M | 0.2% |
| 73 | WELLWELLTOWER INC | 181,409 | $41.2M | 0.2% |
| 74 | VZVERIZON COMMUNICATIONS INC | 955,463 | $40.5M | 0.2% |
| 75 | EATON PLC | 91,200 | $38.9M | 0.2% |
| 76 | MDYSTATE STREET SPDR S&P MIDCAP ETF | 54,500 | $38.3M | 0.2% |
| 77 | DISWALT DISNEY | 397,890 | $38.3M | 0.2% |
| 78 | ISRGINTUITIVE SURGICAL INC | 94,845 | $37.7M | 0.2% |
| 79 | UNPUNION PACIFIC CORP | 137,402 | $37.4M | 0.2% |
| 80 | BKNGBOOKING HOLDINGS INC | 207,669 | $37.0M | 0.2% |
| 81 | DEDEERE | 57,401 | $36.4M | 0.2% |
| 82 | APPAPPLOVIN CORP CLASS A | 70,504 | $36.3M | 0.2% |
| 83 | ABTABBOTT LABORATORIES | 398,341 | $36.1M | 0.2% |
| 84 | GILDGILEAD SCIENCES INC | 284,053 | $35.9M | 0.2% |
| 85 | SCHWCHARLES SCHWAB CORP | 378,808 | $35.0M | 0.2% |
| 86 | VRTVERTIV HOLDINGS CLASS A | 102,937 | $34.5M | 0.2% |
| 87 | ONBOLD NATIONAL BANCORP | 1.3M | $34.3M | 0.2% |
| 88 | UBERUBER TECHNOLOGIES INC | 472,038 | $34.1M | 0.2% |
| 89 | TAT&T INC | 1.6M | $32.8M | 0.1% |
| 90 | PLDPROLOGIS REIT INC | 239,565 | $32.5M | 0.1% |
| 91 | BLKBLACKROCK INC | 33,168 | $31.9M | 0.1% |
| 92 | HALOHALOZYME THERAPEUTICS INC | 402,605 | $31.5M | 0.1% |
| 93 | PFEPFIZER INC | 1.3M | $31.4M | 0.1% |
| 94 | ZIONZIONS BANCORPORATION | 440,011 | $30.4M | 0.1% |
| 95 | PRAXPRAXIS PRECISION MEDICINES INC | 90,543 | $30.3M | 0.1% |
| 96 | CVSCVS HEALTH CORP | 292,024 | $30.2M | 0.1% |
| 97 | KTBKONTOOR BRANDS INC | 359,764 | $30.0M | 0.1% |
| 98 | CRMSALESFORCE INC | 186,772 | $29.3M | 0.1% |
| 99 | DELLDELL TECHNOLOGIES INC CLASS C | 67,770 | $29.2M | 0.1% |
| 100 | PGRPROGRESSIVE CORP | 133,680 | $29.2M | 0.1% |
Source: SEC Form 13F-HR, reporting period 2026-06-30. Values are the manager's filed June-30-style quarter-end marks, not live prices. Research, not investment advice.