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 1701–1750 of 2,808
| Ticker | Company | Shares | Value | Type |
|---|---|---|---|---|
| ORC | ORCHID ISLAND CAPITAL INC | 85K | $611K | SH |
| HLIT | HARMONIC INC | 62K | $610K | SH |
| BTDR | BITDEER TECHNOLOGIES GROUP CLASS A | 54K | $610K | SH |
| THRM | GENTHERM INC | 17K | $609K | SH |
| KW | KENNEDY WILSON HOLDINGS INC | 63K | $609K | SH |
| VRE | VERIS RESIDENTIAL INC | 40K | $602K | SH |
| AMLX | AMYLYX PHARMACEUTICALS INC | 50K | $600K | SH |
| SCL | STEPAN | 13K | $600K | SH |
| IMKTA | INGLES MARKETS INC CLASS A | 9K | $599K | SH |
| FIGS | FIGS INC CLASS A | 53K | $597K | SH |
| ECVT | ECOVYST INC | 61K | $596K | SH |
| AMPL | AMPLITUDE INC CLASS A | 51K | $595K | SH |
| ASTE | ASTEC INDUSTRIES INC | 14K | $594K | SH |
| BHVN | BIOHAVEN LTD | 53K | $594K | SH |
| MNDY | MONDAYCOM LTD | 4K | $593K | SH |
| VRTS | VIRTUS INVESTMENT PARTNERS INC | 4K | $593K | SH |
| PAX | PATRIA INVESTMENTS LTD CLASS A | 37K | $589K | SH |
| SDGR | SCHRODINGER INC | 33K | $589K | SH |
| PRKS | UNITED PARKS AND RESORTS INC | 16K | $588K | SH |
| ASTH | ASTRANA HEALTH INC | 24K | $587K | SH |
| GIII | G III APPAREL GROUP LTD | 20K | $586K | SH |
| USAR | USA RARE EARTH INC CLASS A | 49K | $585K | SH |
| MIAX | MIAMI INTERNATIONAL HOLDINGS INC | 13K | $585K | SH |
| PMT | PENNYMAC MORTGAGE INVESTMENT TRUST | 47K | $584K | SH |
| PGY | PAGAYA TECHNOLOGIES LTD CLASS A | 28K | $582K | SH |
| DHC | DIVERSIFIED HEALTHCARE TRUST | 120K | $581K | SH |
| GRC | GORMAN-RUPP | 12K | $579K | SH |
| TWO | TWO HARBORS INVESTMENT CORP | 55K | $579K | SH |
| COUR | COURSERA INC | 78K | $574K | SH |
| COHU | COHU INC | 25K | $573K | SH |
| SEZL | SEZZLE INC | 9K | $572K | SH |
| AHCO | ADAPTHEALTH CORP | 57K | $571K | SH |
| BORR | BORR DRILLING LTD | 141K | $570K | SH |
| PHR | PHREESIA INC | 33K | $566K | SH |
| DLX | DELUXE CORP | 25K | $565K | SH |
| AMPH | AMPHASTAR PHARMACEUTICALS INC | 21K | $564K | SH |
| CFLT | CONFLUENT INC CLASS A | 19K | $564K | SH |
| CCOI | COGENT COMMUNICATIONS HOLDINGS INC | 26K | $563K | SH |
| TMP | TOMPKINS FINANCIAL CORP | 8K | $561K | SH |
| PLYM | PLYMOUTH INDUSTRIAL REIT INC | 26K | $561K | SH |
| GBTG | GLOBAL BUSINESS TRAVEL GROUP INC C | 73K | $559K | SH |
| DNTH | DIANTHUS THERAPEUTICS INC | 14K | $559K | SH |
| GCT | GIGACLOUD TECHNOLOGY INC CLASS A | 14K | $556K | SH |
| CDNA | CAREDX INC | 29K | $554K | SH |
| NESR | NATIONAL ENERGY SERVICES REUNITED | 35K | $553K | SH |
| OSBC | OLD SECOND BANCORP INC | 28K | $553K | SH |
| PNTG | PENNANT GROUP INC | 20K | $552K | SH |
| SAH | SONIC AUTOMOTIVE INC CLASS A | 9K | $552K | SH |
| COTY | COTY INC CLASS A | 179K | $552K | SH |
| EIG | EMPLOYERS HOLDINGS INC | 13K | $551K | SH |