HoldingsChannel.com
MetLife Investment Management LLC Top Holdings
As of  03/31/2020

   EntityAmountChange
 12/31/2019 to 03/31/2020
Position Size
($ in 1000's)
SPDR S&P ETF TRUST (SPY) 679,444 +221,953 $2,563,598
     SPY679,444+221,953$2,563,598
ISHARES MSCI CHILE ETF (ECH) 93,605 +93,605 $1,726,470
     ECH93,605+93,605$1,726,470
ISHARES LATIN AMERICA ETF (ILF) 98,834 -2,351 $1,538,190
     ILF98,834-2,351$1,538,190
ISHARES MSCI JAPAN ETF (EWJ) 14,895 +879 $627,021
     EWJ14,895+879$627,021
ISHARES EUROPE ETF TRUST (IEV) 15,872 -8 $477,945
     IEV15,872-8$477,945
ISHARES MSCI PACIFIC EX JAPAN ETF (EPP) 15,240 +1,375 $440,469
     EPP15,240+1,375$440,469
MICROSOFT CORP 1,966,424 -60,164 $310,125
     MSFT1,966,424-60,164$310,125
APPLE INC 1,076,591 -32,939 $273,766
     AAPL1,076,591-32,939$273,766
AMAZON COM INC 107,351 -3,284 $209,304
     AMZN107,351-3,284$209,304
FACEBOOK CLASS A INC 620,298 -18,979 $103,466
     FB620,298-18,979$103,466
BERKSHIRE HATHAWAY INC CLASS B      $92,182
     BRK.B504,194-15,426$92,182
ALPHABET INC CLASS A 77,233 -2,363 $89,741
     GOOGL77,233-2,363$89,741
ALPHABET INC CLASS C 77,043 -2,357 $89,586
     GOOG77,043-2,357$89,586
JOHNSON & JOHNSON 678,399 -20,756 $88,958
     JNJ678,399-20,756$88,958
JPMORGAN CHASE 808,469 -24,736 $72,786
     JPM808,469-24,736$72,786
VISA INC CLASS A 441,248 -13,501 $71,094
     V441,248-13,501$71,094
PROCTER & GAMBLE 642,812 -19,668 $70,709
     PG642,812-19,668$70,709
UNITEDHEALTH GROUP INC 244,209 -7,471 $60,901
     UNH244,209-7,471$60,901
INTEL CORPORATION CORP 1,121,268 -34,307 $60,683
     INTC1,121,268-34,307$60,683
VERIZON COMMUNICATIONS INC 1,066,051 -32,617 $57,279
     VZ1,066,051-32,617$57,279
MASTERCARD INC CLASS A 228,824 -7,001 $55,275
     MA228,824-7,001$55,275
AT&T INC 1,882,958 -57,611 $54,888
     T1,882,958-57,611$54,888
HOME DEPOT INC 281,176 -8,603 $52,498
     HD281,176-8,603$52,498
MERCK & CO INC 656,260 -20,079 $50,493
     MRK656,260-20,079$50,493
ISHARES CORE US AGGREGATE BOND ETF (AGG) 417,110 -436,300 $48,147
     AGG417,110-436,300$48,147
PFIZER INC 1,426,491 -43,645 $46,561
     PFE1,426,491-43,645$46,561
WALT DISNEY 464,591 -14,215 $44,879
     DIS464,591-14,215$44,879
BANK OF AMERICA CORP 2,086,744 -63,846 $44,302
     BAC2,086,744-63,846$44,302
COCA COLA 993,944 -30,411 $43,982
     KO993,944-30,411$43,982
PEPSICO INC 359,434 -10,997 $43,168
     PEP359,434-10,997$43,168
CISCO SYSTEMS INC 1,093,498 -33,456 $42,985
     CSCO1,093,498-33,456$42,985
NETFLIX INC 112,965 -3,456 $42,418
     NFLX112,965-3,456$42,418
NVIDIA CORP 157,751 -4,827 $41,583
     NVDA157,751-4,827$41,583
WALMART INC 365,659 -11,188 $41,546
     WMT365,659-11,188$41,546
EXXON MOBIL CORP 1,090,622 -33,368 $41,411
     XOM1,090,622-33,368$41,411
ISHARES BROAD USD INVESTMENT GRADE (USIG) 719,093 +719,093 $40,284
     USIG719,093+719,093$40,284
COMCAST CORP CLASS A 1,170,193 -35,803 $40,231
     CMCSA1,170,193-35,803$40,231
ADOBE INC 124,778 -3,818 $39,709
     ADBE124,778-3,818$39,709
ISHARES RUSSELL ETF (IWM) 340,441 +69,400 $39,074
     IWM340,441+69,400$39,074
ISHARES MSCI EAFE ETF (EFA) 694,851 +108,100 $37,147
     EFA694,851+108,100$37,147
ABBOTT LABORATORIES 455,569 -13,939 $35,949
     ABT455,569-13,939$35,949
CHEVRON CORP 487,396 -14,913 $35,317
     CVX487,396-14,913$35,317
BRISTOL MYERS SQUIBB 604,244 -18,487 $33,681
     BMY604,244-18,487$33,681
SALESFORCE.COM INC 228,636 -6,995 $32,919
     CRM228,636-6,995$32,919
COSTCO WHOLESALE CORP 113,876 -3,484 $32,469
     COST113,876-3,484$32,469
MCDONALDS CORP 194,119 -5,940 $32,098
     MCD194,119-5,940$32,098
AMGEN INC 153,159 -4,686 $31,050
     AMGN153,159-4,686$31,050
NEXTERA ENERGY INC 125,988 -3,855 $30,315
     NEE125,988-3,855$30,315
ELI LILLY 217,788 -6,663 $30,212
     LLY217,788-6,663$30,212
THERMO FISHER SCIENTIFIC INC 103,361 -3,162 $29,313
     TMO103,361-3,162$29,313

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 03/31/2020: $14,346,564
At 12/31/2019: $16,276,883

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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