HoldingsChannel.com
MetLife Investment Management LLC Top Holdings
As of  06/30/2019

   EntityAmountChange
 03/31/2019 to 06/30/2019
Position Size
($ in 1000's)
SPDR S&P ETF TRUST (SPY) 688,270 +169,588 $2,468,733
     SPY688,270+169,588$2,468,733
ISHARES LATIN AMERICA ETF (ILF) 105,221 -4,671 $2,410,378
     ILF105,221-4,671$2,410,378
ISHARES MSCI JAPAN ETF (EWJ) 12,950 +267 $479,889
     EWJ12,950+267$479,889
ISHARES EUROPE ETF TRUST (IEV) 15,945 -16 $477,095
     IEV15,945-16$477,095
ISHARES MSCI PACIFIC EX JAPAN ETF (EPP) 12,499 +317 $400,803
     EPP12,499+317$400,803
MICROSOFT CORP 2,112,172 -68,625 $282,947
     MSFT2,112,172-68,625$282,947
APPLE INC 1,204,824 -68,907 $238,459
     AAPL1,204,824-68,907$238,459
AMAZON COM INC 113,993 -3,296 $215,861
     AMZN113,993-3,296$215,861
ISHARES PLUS YEAR TREASURY BOND E (TLT) 995,984 UNCH $132,277
     TLT995,984UNCH$132,277
FACEBOOK CLASS A INC 662,235 -15,873 $127,811
     FB662,235-15,873$127,811
BERKSHIRE HATHAWAY INC CLASS B      $113,861
     BRK.B534,134-18,621$113,861
JOHNSON & JOHNSON 731,837 -25,224 $101,930
     JNJ731,837-25,224$101,930
JPMORGAN CHASE 894,166 -36,627 $99,968
     JPM894,166-36,627$99,968
ISHARES CORE US AGGREGATE BOND ETF (AGG) 852,710 -35,784 $94,949
     AGG852,710-35,784$94,949
ALPHABET INC CLASS C 84,476 -2,896 $91,311
     GOOG84,476-2,896$91,311
ALPHABET INC CLASS A 82,537 -2,560 $89,371
     GOOGL82,537-2,560$89,371
EXXON MOBIL CORP 1,166,254 -38,166 $89,370
     XOM1,166,254-38,166$89,370
VISA INC CLASS A 479,333 -18,193 $83,188
     V479,333-18,193$83,188
PROCTER & GAMBLE 691,394 -19,697 $75,811
     PG691,394-19,697$75,811
BANK OF AMERICA CORP 2,437,374 -116,099 $70,684
     BAC2,437,374-116,099$70,684
AT&T INC 2,011,613 -59,103 $67,409
     T2,011,613-59,103$67,409
WALT DISNEY 481,185 -15,215 $67,193
     DIS481,185-15,215$67,193
PFIZER INC 1,530,294 -48,127 $66,292
     PFE1,530,294-48,127$66,292
MASTERCARD INC CLASS A 247,738 -8,867 $65,534
     MA247,738-8,867$65,534
CHEVRON CORP 525,068 -15,055 $65,339
     CVX525,068-15,055$65,339
VERIZON COMMUNICATIONS INC 1,139,962 -34,622 $65,126
     VZ1,139,962-34,622$65,126
CISCO SYSTEMS INC 1,179,937 -71,577 $64,578
     CSCO1,179,937-71,577$64,578
UNITEDHEALTH GROUP INC 261,952 -10,805 $63,919
     UNH261,952-10,805$63,919
HOME DEPOT INC 303,282 -17,801 $63,074
     HD303,282-17,801$63,074
MERCK & CO INC 709,672 -24,102 $59,506
     MRK709,672-24,102$59,506
INTEL CORPORATION CORP 1,234,036 -44,300 $59,073
     INTC1,234,036-44,300$59,073
COCA COLA 1,058,317 -35,439 $53,890
     KO1,058,317-35,439$53,890
COMCAST CORP CLASS A 1,248,465 -35,380 $52,785
     CMCSA1,248,465-35,380$52,785
WELLS FARGO 1,114,934 -49,022 $52,759
     WFC1,114,934-49,022$52,759
BOEING 144,227 -5,150 $52,500
     BA144,227-5,150$52,500
PEPSICO INC 386,397 -12,919 $50,668
     PEP386,397-12,919$50,668
CITIGROUP INC 637,406 -31,069 $44,638
     C637,406-31,069$44,638
NETFLIX INC 120,515 -3,567 $44,268
     NFLX120,515-3,567$44,268
MCDONALDS CORP 210,466 -7,101 $43,705
     MCD210,466-7,101$43,705
ENTERPRISE PRODUCTS PARTNERS UNITS 1,481,270 UNCH $42,764
     EPD1,481,270UNCH$42,764
WALMART INC 385,568 -19,074 $42,601
     WMT385,568-19,074$42,601
ISHARES RUSSELL ETF (IWM) 266,041 -51,510 $41,082
     IWM266,041-51,510$41,082
ABBOTT LABORATORIES 486,277 -12,920 $40,896
     ABT486,277-12,920$40,896
ADOBE INC 134,499 -4,149 $39,630
     ADBE134,499-4,149$39,630
ORACLE CORP 668,847 -55,306 $38,104
     ORCL668,847-55,306$38,104
ENERGY TRANSFER UNITS 2,640,519 UNCH $37,179
     ET2,640,519UNCH$37,179
PAYPAL HOLDINGS INC 323,857 -9,643 $37,069
     PYPL323,857-9,643$37,069
HONEYWELL INTERNATIONAL INC 200,594 -6,656 $35,022
     HON200,594-6,656$35,022
INTERNATIONAL BUSINESS MACHINES CO 244,393 -8,602 $33,702
     IBM244,393-8,602$33,702
PHILIP MORRIS INTERNATIONAL INC 428,840 -13,051 $33,677
     PM428,840-13,051$33,677

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 06/30/2019: $15,197,837
At 03/31/2019: $15,129,675

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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