CIK 1529735
MetLife Investment Management, LLC
Institutional 13F holdings & portfolio
Holdings
2,808
Portfolio Value
$20.67B
Latest Report
Dec 31, 2025
Report Periods
8
Holdings
13F filings as of Dec 31, 2025 · Showing 1151–1200 of 2,808
| Ticker | Company | Shares | Value | Type |
|---|---|---|---|---|
| BGC | BGC GROUP INC CLASS A | 196K | $1.75M | SH |
| CALX | CALIX NETWORKS INC | 33K | $1.75M | SH |
| NVST | ENVISTA HOLDINGS CORP | 80K | $1.74M | SH |
| TVTX | TRAVERE THERAPEUTICS INC | 45K | $1.74M | SH |
| TEAM | ATLASSIAN CORP CLASS A | 11K | $1.74M | SH |
| WSBC | WESBANCO INC | 52K | $1.74M | SH |
| SLGN | SILGAN HOLDINGS INC | 43K | $1.73M | SH |
| TGNA | TEGNA INC | 89K | $1.73M | SH |
| WSFS | WSFS FINANCIAL CORP | 31K | $1.72M | SH |
| FIBK | FIRST INTERSTATE BANCSYSTEM INC | 50K | $1.72M | SH |
| GSAT | GLOBALSTAR VOTING INC | 28K | $1.71M | SH |
| POWL | POWELL INDUSTRIES INC | 5K | $1.71M | SH |
| OTTR | OTTER TAIL CORP | 21K | $1.70M | SH |
| AGYS | AGILYSYS INC | 14K | $1.70M | SH |
| CBU | COMMUNITY FINANCIAL SYSTEM INC | 29K | $1.69M | SH |
| RRR | RED ROCK RESORTS ORS CLASS A INC | 27K | $1.69M | SH |
| PBH | PRESTIGE CONSUMER HEALTHCARE INC | 27K | $1.68M | SH |
| GRAL | GRAIL INC | 19K | $1.66M | SH |
| REVG | REV GROUP INC | 27K | $1.66M | SH |
| LBRT | LIBERTY ENERGY INC CLASS A | 90K | $1.66M | SH |
| SHOO | STEVEN MADDEN LTD | 40K | $1.66M | SH |
| YOU | CLEAR SECURE INC CLASS A | 47K | $1.66M | SH |
| HRL | HORMEL FOODS CORP | 70K | $1.66M | SH |
| HURN | HURON CONSULTING GROUP INC | 10K | $1.65M | SH |
| NTST | NETSTREIT CORP | 93K | $1.65M | SH |
| BRBR | BELLRING BRANDS INC | 62K | $1.65M | SH |
| TPC | TUTOR PERINI CORP | 25K | $1.64M | SH |
| TENB | TENABLE HOLDINGS INC | 69K | $1.63M | SH |
| ERIE | ERIE INDEMNITY CLASS A | 6K | $1.63M | SH |
| NBIS | NEBIUS NV CLASS A | 19K | $1.62M | SH |
| MGEE | MGE ENERGY INC | 21K | $1.62M | SH |
| BRZE | BRAZE INC CLASS A | 47K | $1.62M | SH |
| BL | BLACKLINE INC | 29K | $1.61M | SH |
| APGE | APOGEE THERAPEUTICS INC | 21K | $1.61M | SH |
| PSN | PARSONS CORP | 26K | $1.61M | SH |
| AMBA | AMBARELLA INC | 23K | $1.61M | SH |
| CLSK | CLEANSPARK INC | 158K | $1.60M | SH |
| CPK | CHESAPEAKE UTILITIES CORP | 13K | $1.60M | SH |
| ALGM | ALLEGRO MICROSYSTEMS INC | 61K | $1.60M | SH |
| CCEP | COCA COLA EUROPACIFIC PARTNERS PLC | 18K | $1.60M | SH |
| AKR | ACADIA REALTY TRUST REIT | 77K | $1.59M | SH |
| GFF | GRIFFON CORP | 22K | $1.59M | SH |
| LCII | LCI INDUSTRIES | 13K | $1.59M | SH |
| NATL | NCR ATLEOS CORP | 42K | $1.59M | SH |
| IDYA | IDEAYA BIOSCIENCES INC | 46K | $1.58M | SH |
| OSCR | OSCAR HEALTH INC CLASS A | 110K | $1.58M | SH |
| PRVA | PRIVIA HEALTH GROUP INC | 67K | $1.58M | SH |
| LNG | CHENIERE ENERGY INC | 8K | $1.58M | SH |
| TBBK | BANCORP INC | 23K | $1.58M | SH |
| PVH | PVH CORP | 24K | $1.58M | SH |