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 1601–1650 of 2,808
| Ticker | Company | Shares | Value | Type |
|---|---|---|---|---|
| CNOB | CONNECTONE BANCORP INC | 28K | $723K | SH |
| USLM | UNITED STATES LIME AND MINERALS IN | 6K | $721K | SH |
| LNN | LINDSAY CORP | 6K | $719K | SH |
| UVV | UNIVERSAL CORP | 14K | $719K | SH |
| LOB | LIVE OAK BANCSHARES INC | 21K | $716K | SH |
| SGRY | SURGERY PARTNERS INC | 46K | $716K | SH |
| DCO | DUCOMMUN INC | 8K | $716K | SH |
| ENR | ENERGIZER HOLDINGS INC | 36K | $715K | SH |
| IOT | SAMSARA INC CLASS A | 20K | $715K | SH |
| AAMI | ACADIAN ASSET MANAGEMENT INC | 15K | $714K | SH |
| HG | HAMILTON INSURANCE GROUP LTD CLASS | 26K | $712K | SH |
| PZZA | PAPA JOHNS INTERNATIONAL INC | 18K | $712K | SH |
| UTI | UNIVERSAL TECHNICAL INSTITUTE INC | 27K | $712K | SH |
| LZ | LEGALZOOM COM INC | 71K | $708K | SH |
| RVLV | REVOLVE GROUP CLASS A INC | 23K | $708K | SH |
| TNK | TEEKAY TANKERS LTD CLASS A | 13K | $707K | SH |
| USPH | US PHYSICAL THERAPY INC | 9K | $707K | SH |
| MICC | MAGNUM ICE CREAM NV | 45K | $706K | SH |
| HOPE | HOPE BANCORP INC | 64K | $706K | SH |
| WLY | JOHN WILEY AND SONS INC CLASS A | 23K | $705K | SH |
| MKL | MARKEL GROUP INC | 328 | $705K | SH |
| FLNC | FLUENCE ENERGY INC CLASS A | 36K | $705K | SH |
| DFTX | MIND MEDICINE SUBORDINATE VOTING I | 53K | $704K | SH |
| XPEL | XPEL INC | 14K | $703K | SH |
| WINA | WINMARK CORP | 2K | $702K | SH |
| MLKN | MILLERKNOLL INC | 38K | $699K | SH |
| VVX | V2X INC | 13K | $697K | SH |
| MCRI | MONARCH CASINO AND RESORT INC | 7K | $697K | SH |
| HLF | HERBALIFE LTD | 54K | $696K | SH |
| ARDX | ARDELYX INC | 119K | $694K | SH |
| CTS | CTS CORP | 16K | $694K | SH |
| MDB | MONGODB INC CLASS A | 2K | $694K | SH |
| FA | FIRST ADVANTAGE CORP | 48K | $694K | SH |
| DCOM | DIME COMMUNITY BANCSHARES INC | 23K | $694K | SH |
| ATEN | A10 NETWORKS INC | 39K | $693K | SH |
| THR | THERMON GROUP HOLDINGS INC | 19K | $693K | SH |
| BBNX | BETA BIONICS INC | 23K | $692K | SH |
| DOLE | DOLE PLC | 46K | $691K | SH |
| CRI | CARTERS INC | 21K | $691K | SH |
| ASAN | ASANA INC CLASS A | 50K | $690K | SH |
| STAA | STAAR SURGICAL | 30K | $689K | SH |
| ALGT | ALLEGIANT TRAVEL | 8K | $686K | SH |
| PRLB | PROTO LABS INC | 14K | $685K | SH |
| CSR | CENTERSPACE | 10K | $685K | SH |
| COLM | COLUMBIA SPORTSWEAR | 12K | $682K | SH |
| DFIN | DONNELLEY FINANCIAL SOLUTIONS INC | 15K | $682K | SH |
| PRA | PROASSURANCE CORP | 28K | $681K | SH |
| WS | WORTHINGTON STEEL INC | 20K | $681K | SH |
| ECPG | ENCORE CAPITAL GROUP INC | 12K | $679K | SH |
| ENVX | ENOVIX CORP | 93K | $679K | SH |