Universe · entity

MetLife Investment Management, LLC

Institutional manager (13F) · CIK 1529735
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $9.1B
#IssuerValueShares
1NVIDIA CORP$1.1B6,543,607
2APPLE INC$1.0B3,971,879
3MICROSOFT CORP$748M2,019,849
4AMAZON COM INC$531M2,547,175
5ALPHABET INC CLASS A$434M1,508,450
6BROADCOM INC$401M1,294,054
7ALPHABET INC CLASS C$348M1,214,375
8META PLATFORMS INC CLASS A$334M584,643
9TESLA INC$288M773,884
10BERKSHIRE HATHAWAY INC CLASS B$205M428,650
11ELI LILLY$204M221,464
12STATE STREET SPDR S&P ETF TRUST$196M301,550
13JPMORGAN CHASE$185M630,335
14VANGUARD SHORT-TERM BOND INDEX FUN$178M2,274,500
15EXXON MOBIL CORP$166M977,222
16VISA INC CLASS A$142M468,826
17JOHNSON & JOHNSON$138M563,045
18WALMART INC$130M1,043,359
19COSTCO WHOLESALE CORP$123M123,754
20NETFLIX INC$113M1,178,112
21MASTERCARD INC CLASS A$113M226,444
22ABBVIE INC$107M493,002
23PALANTIR TECHNOLOGIES INC CLASS A$92M630,714
24CHEVRON CORP$91M437,986
25MICRON TECHNOLOGY INC$89M262,856
26HOME DEPOT INC$88M266,866
27ADVANCED MICRO DEVICES INC$86M423,156
28GE AEROSPACE$83M291,875
29CATERPILLAR INC$79M111,257
30PROCTER & GAMBLE$78M543,436
31BANK OF AMERICA CORP$77M1,572,900
32COCA-COLA$75M990,664
33LAM RESEARCH CORP$74M348,574
34CISCO SYSTEMS INC$72M923,696
35MERCK & CO INC$70M580,004
36ORACLE CORP$69M471,999
37APPLIED MATERIAL INC$67M195,613
38GE VERNOVA INC$66M75,175
39RTX CORP$60M313,567
40PHILIP MORRIS INTERNATIONAL INC$60M363,757
41GOLDMAN SACHS GROUP INC$60M70,698
42WELLS FARGO$58M722,691
43UNITEDHEALTH GROUP INC$57M211,728
44LINDE PLC$54M109,153
45KLA CORP$54M36,580
46INTERNATIONAL BUSINESS MACHINES CO$53M218,342
47MCDONALDS CORP$52M168,273
48PEPSICO INC$51M327,860
49AMGEN INC$51M143,722
50VERIZON COMMUNICATIONS INC$49M985,457
All filings on EDGAR ↗

Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.