HoldingsChannel.com
MetLife Investment Management LLC Top Holdings
As of  06/30/2020

   EntityAmountChange
 03/31/2020 to 06/30/2020
Position Size
($ in 1000's)
SPDR S&P ETF TRUST (SPY) 292,713 -386,731 $2,789,489
     SPY292,713-386,731$2,789,489
ISHARES MSCI CHILE ETF (ECH) 93,162 -443 $1,927,987
     ECH93,162-443$1,927,987
ISHARES LATIN AMERICA ETF (ILF) 98,658 -176 $1,747,621
     ILF98,658-176$1,747,621
ISHARES MSCI JAPAN ETF (EWJ) 14,162 -733 $638,734
     EWJ14,162-733$638,734
ISHARES EUROPE ETF TRUST (IEV) 15,670 -202 $519,894
     IEV15,670-202$519,894
ISHARES MSCI PACIFIC EX JAPAN ETF (EPP) 14,198 -1,042 $463,595
     EPP14,198-1,042$463,595
MICROSOFT CORP 1,983,354 +16,930 $403,632
     MSFT1,983,354+16,930$403,632
APPLE INC 1,065,576 -11,015 $388,722
     AAPL1,065,576-11,015$388,722
AMAZON COM INC 109,578 +2,227 $302,306
     AMZN109,578+2,227$302,306
FACEBOOK CLASS A INC 628,880 +8,582 $142,800
     FB628,880+8,582$142,800
ALPHABET INC CLASS A 78,475 +1,242 $111,281
     GOOGL78,475+1,242$111,281
ALPHABET INC CLASS C 75,848 -1,195 $107,219
     GOOG75,848-1,195$107,219
JOHNSON & JOHNSON 689,045 +10,646 $96,900
     JNJ689,045+10,646$96,900
BERKSHIRE HATHAWAY INC CLASS B      $90,761
     BRK.B508,436+4,242$90,761
VISA INC CLASS A 441,243 -5 $85,235
     V441,243-5$85,235
PROCTER & GAMBLE 647,473 +4,661 $77,418
     PG647,473+4,661$77,418
JPMORGAN CHASE 796,910 -11,559 $74,957
     JPM796,910-11,559$74,957
UNITEDHEALTH GROUP INC 248,037 +3,828 $73,159
     UNH248,037+3,828$73,159
HOME DEPOT INC 281,290 +114 $70,466
     HD281,290+114$70,466
MASTERCARD INC CLASS A 231,149 +2,325 $68,351
     MA231,149+2,325$68,351
INTEL CORPORATION CORP 1,107,348 -13,920 $66,253
     INTC1,107,348-13,920$66,253
NVIDIA CORP 160,881 +3,130 $61,120
     NVDA160,881+3,130$61,120
VERIZON COMMUNICATIONS INC 1,082,241 +16,190 $59,664
     VZ1,082,241+16,190$59,664
AT&T INC 1,863,454 -19,504 $56,332
     T1,863,454-19,504$56,332
ADOBE INC 126,010 +1,232 $54,853
     ADBE126,010+1,232$54,853
PAYPAL HOLDINGS INC 307,087 +4,424 $53,504
     PYPL307,087+4,424$53,504
WALT DISNEY 472,406 +7,815 $52,678
     DIS472,406+7,815$52,678
NETFLIX INC 115,026 +2,061 $52,341
     NFLX115,026+2,061$52,341
CISCO SYSTEMS INC 1,109,148 +15,650 $51,731
     CSCO1,109,148+15,650$51,731
ISHARES CORE US AGGREGATE BOND ETF (AGG) 437,466 +20,356 $51,608
     AGG437,466+20,356$51,608
MERCK & CO INC 660,146 +3,886 $51,049
     MRK660,146+3,886$51,049
EXXON MOBIL CORP 1,105,835 +15,213 $49,453
     XOM1,105,835+15,213$49,453
BANK OF AMERICA CORP 2,042,096 -44,648 $48,500
     BAC2,042,096-44,648$48,500
PEPSICO INC 362,883 +3,449 $47,995
     PEP362,883+3,449$47,995
PFIZER INC 1,452,797 +26,306 $47,506
     PFE1,452,797+26,306$47,506
COMCAST CORP CLASS A 1,191,227 +21,034 $46,434
     CMCSA1,191,227+21,034$46,434
ABBVIE INC 460,918 +79,733 $45,253
     ABBV460,918+79,733$45,253
COCA COLA 1,010,946 +17,002 $45,169
     KO1,010,946+17,002$45,169
WALMART INC 370,330 +4,671 $44,358
     WMT370,330+4,671$44,358
SALESFORCE.COM INC 235,645 +7,009 $44,143
     CRM235,645+7,009$44,143
CHEVRON CORP 488,284 +888 $43,570
     CVX488,284+888$43,570
ISHARES BROAD USD INVESTMENT GRADE (USIG) 719,093 UNCH $43,448
     USIG719,093UNCH$43,448
ISHARES RUSSELL ETF (IWM) 299,723 -40,718 $42,616
     IWM299,723-40,718$42,616
ABBOTT LABORATORIES 462,618 +7,049 $42,297
     ABT462,618+7,049$42,297
THERMO FISHER SCIENTIFIC INC 103,295 -66 $37,428
     TMO103,295-66$37,428
AMGEN INC 153,848 +689 $36,287
     AMGN153,848+689$36,287
ELI LILLY 220,265 +2,477 $36,163
     LLY220,265+2,477$36,163
MCDONALDS CORP 194,468 +349 $35,874
     MCD194,468+349$35,874
ISHARES MSCI EAFE ETF (EFA) 581,188 -113,663 $35,377
     EFA581,188-113,663$35,377
COSTCO WHOLESALE CORP 115,475 +1,599 $35,013
     COST115,475+1,599$35,013

See Full List: All Stocks Held By MetLife Investment Management LLC
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By MetLife Investment Management LLC

Size ($ in 1000's)
At 06/30/2020: $16,628,264
At 03/31/2020: $14,346,564

Combined Holding Report Includes:
MetLife Investment Management LLC
METLIFE INC

MetLife Investment Management LLC holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from MetLife Investment Management LLC 13F filings. Link to 13F filings: SEC filings

MetLife Investment Management LLC Top Holdings 13F Filings | www.HoldingsChannel.com

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