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 1351–1400 of 2,808
| Ticker | Company | Shares | Value | Type |
|---|---|---|---|---|
| PPTA | PERPETUA RESOURCES CORP | 47K | $1.14M | SH |
| HCI | HCI GROUP INC | 6K | $1.14M | SH |
| GRAB | GRAB HOLDINGS LTD CLASS A | 228K | $1.14M | SH |
| CXT | CRANE NXT | 24K | $1.14M | SH |
| CRVL | CORVEL CORP | 17K | $1.13M | SH |
| UNFI | UNITED NATURAL FOODS INC | 34K | $1.13M | SH |
| AVPT | AVEPOINT INC CLASS A | 82K | $1.13M | SH |
| ACMR | ACM RESEARCH CLASS A INC | 29K | $1.13M | SH |
| EFSC | ENTERPRISE FINANCIAL SERVICES CORP | 21K | $1.13M | SH |
| EYE | NATIONAL VISION HOLDINGS INC | 43K | $1.12M | SH |
| TIC | TIC SOLUTIONS INC | 111K | $1.12M | SH |
| QGEN | QIAGEN NV | 25K | $1.12M | SH |
| FLO | FLOWERS FOODS INC | 103K | $1.12M | SH |
| IMNM | IMMUNOME INC | 52K | $1.12M | SH |
| INSW | INTERNATIONAL SEAWAYS INC | 23K | $1.12M | SH |
| XRAY | DENTSPLY SIRONA INC | 98K | $1.11M | SH |
| BUSE | FIRST BUSEY CORP | 47K | $1.11M | SH |
| CXW | CORECIVIC REIT INC | 58K | $1.11M | SH |
| ADUS | ADDUS HOMECARE CORP | 10K | $1.11M | SH |
| WD | WALKER & DUNLOP INC | 18K | $1.10M | SH |
| WVE | WAVE LIFE SCIENCES LTD | 65K | $1.10M | SH |
| IRON | DISC MEDICINE INC | 14K | $1.10M | SH |
| CTRI | CENTURI HOLDINGS INC | 43K | $1.10M | SH |
| MTX | MINERALS TECHNOLOGIES INC | 18K | $1.10M | SH |
| GRBK | GREEN BRICK PARTNERS INC | 18K | $1.10M | SH |
| CAR | AVIS BUDGET GROUP INC | 9K | $1.09M | SH |
| AVDL | AVADEL PHARMACEUTICALS PLC | 51K | $1.09M | SH |
| IOSP | INNOSPEC INC | 14K | $1.09M | SH |
| SGHC | SUPER GROUP LTD | 91K | $1.09M | SH |
| BF.B | BROWN FORMAN CORP CLASS B | 42K | $1.09M | SH |
| SMPL | THE SIMPLY GOOD FOODS COMPANY | 54K | $1.08M | SH |
| RAMP | LIVERAMP HOLDINGS INC | 37K | $1.08M | SH |
| CRGY | CRESCENT ENERGY CLASS A | 129K | $1.08M | SH |
| PK | PARK HOTELS RESORTS INC | 103K | $1.08M | SH |
| EVTC | EVERTEC INC | 37K | $1.08M | SH |
| SEI | SOLARIS OILFIELD INFRASTRUCTURE IN | 23K | $1.08M | SH |
| PGNY | PROGYNY INC | 42K | $1.07M | SH |
| NTCT | NETSCOUT SYSTEMS INC | 40K | $1.07M | SH |
| DKNG | DRAFTKINGS INC CLASS A | 31K | $1.07M | SH |
| STC | STEWART INFO SERVICES CORP | 15K | $1.07M | SH |
| LION2 | LIONSGATE STUDIOS CORP | 117K | $1.07M | SH |
| ATRC | ATRICURE INC | 27K | $1.07M | SH |
| AUPH | AURINIA PHARMACEUTICALS INC | 67K | $1.06M | SH |
| TOST | TOAST INC CLASS A | 30K | $1.06M | SH |
| HMN | HORACE MANN EDUCATORS CORP | 23K | $1.06M | SH |
| TWST | TWIST BIOSCIENCE CORP | 33K | $1.05M | SH |
| AORT | ARTIVION INC | 23K | $1.05M | SH |
| MD | PEDIATRIX MEDICAL GROUP INC | 49K | $1.05M | SH |
| NRIX | NURIX THERAPEUTICS INC | 55K | $1.05M | SH |
| KN | KNOWLES CORP | 49K | $1.05M | SH |