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MetLife Investment Management, LLC Last Quarter Change: USA Stocks, New

MetLife Investment Management, LLC quarter change: USA Stocks, New

In share positions in stocks (listed in the US), from the quarter ended 2026-03-31 to 2026-06-30, MetLife Investment Management, LLC opened 318 positions, added to 1,387, reduced 966, sold out of 197 and left 171 unchanged. The largest increase in value was GOOGL (+$560,982,630); the largest decrease was GOOGL (-$433,769,882).

  • GOOGL: Country of operation United States; Class CAP STK CL A; Shares 2026-03-31 0; Shares 2026-06-30 1,569,753.
  • GOOG: Country of operation United States; Class CAP STK CL C; Shares 2026-03-31 0; Shares 2026-06-30 1,268,522.
  • FTRE: Country of operation United States; Class COMMON STOCK; Shares 2026-03-31 0; Shares 2026-06-30 1,362,169.
  • SFNC: Country of operation United States; Class CL A $1 PAR; Shares 2026-03-31 0; Shares 2026-06-30 826,917.

Two Form 13F-HR filings compared (SEC CIK 1529735): 2026-03-31 (filed 2026-05-14) and 2026-06-30 (filed 2026-08-14). Rows for the same security, class and put/call are added together. Value change is the filed value at each quarter end, so it includes the price move; share change is the position change.

StockCountry of operationClassShares 2026-03-31Shares 2026-06-30Share changeValue 2026-03-31Value 2026-06-30Value change
GOOGL
ALPHABET INC CLASS A
United StatesCAP STK CL A01,569,753+1,569,753$0$560,982,630+$560,982,630
GOOG
ALPHABET INC CLASS C
United StatesCAP STK CL C01,268,522+1,268,522$0$448,206,878+$448,206,878
FTRE
FORTREA HOLDINGS INC
United StatesCOMMON STOCK01,362,169+1,362,169$0$23,701,741+$23,701,741
SFNC
SIMMONS FIRST NATIONAL CORP CLASS
United StatesCL A $1 PAR0826,917+826,917$0$18,729,670+$18,729,670
FRT
FEDERAL REALTY INVESTMENT TRUST RE
United StatesSH BEN INT NEW0148,600+148,600$0$18,343,184+$18,343,184
ACN
ACCENTURE PLC CLASS A
SHS CLASS A0140,451+140,451$0$17,477,722+$17,477,722
HON
HONEYWELL INTERNATIONAL INC WHEN I
United StatesCOM072,490+72,490$0$16,230,399+$16,230,399
HONA
HONEYWELL AEROSPACE INC
United StatesCOM072,489+72,489$0$16,025,868+$16,025,868
LTH
LIFE TIME GROUP HOLDINGS INC
United StatesCOMMON STOCK0342,046+342,046$0$13,969,159+$13,969,159
LEVI
LEVI STRAUSS CLASS A
United StatesCL A COM STK0524,287+524,287$0$13,018,046+$13,018,046
CR
CRANE
United StatesCOMMON STOCK055,927+55,927$0$12,475,636+$12,475,636
AKR
ACADIA REALTY TRUST REIT
United StatesCOM SH BEN INT0594,332+594,332$0$12,427,482+$12,427,482
PR
PERMIAN RESOURCES CORP CLASS A
United StatesCLASS A COM0588,455+588,455$0$10,833,457+$10,833,457
NXT
NEXTPOWER INC CLASS A
United StatesCLASS A COM071,479+71,479$0$8,516,008+$8,516,008
CCL
CARNIVAL CORP LTD
United StatesCOMMON SHARES0294,132+294,132$0$8,403,351+$8,403,351
Q
QNITY ELECTRONICS INC
United StatesCOMMON STOCK047,894+47,894$0$7,821,569+$7,821,569
DTM
DT MIDSTREAM INC
United StatesCOMMON STOCK049,111+49,111$0$7,206,548+$7,206,548
GEHC
GE HEALTHCARE TECHNOLOGIES INC
United StatesCOMMON STOCK0104,055+104,055$0$6,660,561+$6,660,561
ARES
ARES MANAGEMENT CORP CLASS A
United StatesCL A COM STK055,751+55,751$0$6,205,644+$6,205,644
FROG
JFROG LTD
United StatesORD SHS063,580+63,580$0$5,778,150+$5,778,150
NBIS
NEBIUS NV CLASS A
SHS CLASS A019,800+19,800$0$5,468,166+$5,468,166
KNF
KNIFE RIVER CORP
United StatesCOMMON STOCK060,253+60,253$0$5,040,163+$5,040,163
AAON
AAON INC
United StatesCOM PAR $0.004035,411+35,411$0$4,492,239+$4,492,239
CDP
COPT DEFENSE PROPERTIES
United StatesSHS BEN INT0123,259+123,259$0$4,485,395+$4,485,395
DD
DUPONT DE NEMOURS INC
United StatesCOMMON STOCK031,257+31,257$0$4,239,699+$4,239,699
ULS
UL SOLUTIONS INC CLASS A
United StatesCLASS A COM SHS038,488+38,488$0$3,920,388+$3,920,388
RGTI
RIGETTI COMPUTING INC
United StatesCOMMON STOCK0195,387+195,387$0$3,774,877+$3,774,877
FDXF
FEDEX FREIGHT HOLDING COMPANY INC
United StatesCOMMON STOCK024,878+24,878$0$3,756,578+$3,756,578
JOBY
JOBY AVIATION INC CLASS A
United StatesCOMMON STOCK0395,002+395,002$0$3,523,418+$3,523,418
VSXY
VICTORIA S SECRET
United StatesCOMMON STOCK041,149+41,149$0$3,435,119+$3,435,119
PECO
PHILLIPS EDISON AND COMPANY INC
United StatesCOMMON STOCK078,595+78,595$0$3,271,124+$3,271,124
PRM
PERIMETER SOLUTIONS INC
COMMON STOCK088,677+88,677$0$3,161,335+$3,161,335
TTAN
SERVICETITAN INC CLASS A
United StatesSHS CL A043,586+43,586$0$3,081,966+$3,081,966
MKC
MCCORMICK & CO NON-VOTING INC
United StatesCOM NON VTG058,113+58,113$0$2,930,057+$2,930,057
BIPC
BROOKFIELD INFRASTRUCTURE CORP CLA
COM SUB VTG A073,439+73,439$0$2,827,402+$2,827,402
RIG
TRANSOCEAN LTD
REGISTERED SHS0575,365+575,365$0$2,813,535+$2,813,535
GXO
GXO LOGISTICS INC
United StatesCOMMON STOCK055,378+55,378$0$2,807,665+$2,807,665
RXO
RXO INC
United StatesCOMMON STOCK097,880+97,880$0$2,700,509+$2,700,509
SIRI
SIRIUSXM HOLDINGS INC
United StatesCOMMON STOCK090,573+90,573$0$2,675,526+$2,675,526
AXTI
AXT INC
United StatesCOM036,358+36,358$0$2,620,685+$2,620,685
XMTR
XOMETRY INC CLASS A
United StatesCLASS A COM027,006+27,006$0$2,606,619+$2,606,619
LAUR
LAUREATE EDUCATION INC
United StatesCOMMON STOCK071,219+71,219$0$2,586,674+$2,586,674
NU
NU HOLDINGS CLASS A
ORD SHS CL A0192,790+192,790$0$2,575,674+$2,575,674
OPEN
OPENDOOR TECHNOLOGIES INC CLASS A
United StatesCOM0549,831+549,831$0$2,540,219+$2,540,219
NXST
NEXSTAR MEDIA GROUP INC
United StatesCOMMON STOCK014,206+14,206$0$2,537,050+$2,537,050
CRDO
CREDO TECHNOLOGY GROUP HOLDING LTD
Cayman IslandsORDINARY SHARES09,159+9,159$0$2,490,790+$2,490,790
ONDS
ONDAS INC
United StatesCOM NEW0285,029+285,029$0$2,348,639+$2,348,639
ACI
ALBERTSONS COMPANY INC CLASS A
United StatesCOMMON STOCK0171,037+171,037$0$2,314,131+$2,314,131
EPR
EPR PROPERTIES REIT
United StatesCOM SH BEN INT038,964+38,964$0$2,260,302+$2,260,302
DAVE
DAVE INC CLASS A
United StatesCLASS A COM NEW05,996+5,996$0$2,234,050+$2,234,050
GPOR
GULFPORT ENERGY CORP
United StatesCOMMON SHARES012,092+12,092$0$2,052,012+$2,052,012
CON
CONCENTRA GROUP HOLDINGS PARENT IN
United StatesCOMMON STOCK068,888+68,888$0$2,049,418+$2,049,418
HNGE
HINGE HEALTH INC CLASS A
United StatesCL A024,420+24,420$0$2,026,860+$2,026,860
KEEL
KEEL INFRASTRUCTURE CORP
COM SHS0344,804+344,804$0$1,979,175+$1,979,175
CRWV
COREWEAVE INC CLASS A
United StatesCOM CL A019,338+19,338$0$1,924,905+$1,924,905
KALU
KAISER ALUMINIUM CORP
United StatesCOM PAR $0.0109,635+9,635$0$1,884,895+$1,884,895
CWK
CUSHMAN AND WAKEFIELD LTD
BermudaCOMMON SHARES0139,081+139,081$0$1,862,295+$1,862,295
PHIN
PHINIA INC
United StatesCOMMON STOCK021,721+21,721$0$1,789,159+$1,789,159
VGNT
VERSIGENT PLC
ORDINARY SHARES042,215+42,215$0$1,773,452+$1,773,452
AMRX
AMNEAL PHARMACEUTICALS INC CLASS A
COM STK CL A099,455+99,455$0$1,721,566+$1,721,566
STUB
STUBHUB HOLDINGS INC CLASS A
United StatesCL A0130,702+130,702$0$1,682,135+$1,682,135
NSA
NATIONAL STORAGE AFFILIATES TRUST
United StatesCOM SHS BEN IN036,195+36,195$0$1,609,592+$1,609,592
LUNR
INTUITIVE MACHINES INC CLASS A
United StatesCLASS A COM074,939+74,939$0$1,602,945+$1,602,945
KNSA
KINIKSA PHARMACEUTICALS INTERNATIO
United KingdomORD SHS CL A024,696+24,696$0$1,579,309+$1,579,309
MANE
VERADERMICS INC
United StatesCOMMON STOCK012,740+12,740$0$1,566,256+$1,566,256
SOUN
SOUNDHOUND AI INC CLASS A
United StatesCLASS A COM0234,208+234,208$0$1,515,326+$1,515,326
KNTK
KINETIK HOLDINGS INC CLASS A
United StatesCOM NEW CL A030,155+30,155$0$1,457,693+$1,457,693
NKTR
NEKTAR THERAPEUTICS
United StatesCOM NEW020,087+20,087$0$1,402,273+$1,402,273
ESTA
ESTABLISHMENT LABS INC
COM015,868+15,868$0$1,361,633+$1,361,633
FRSH
FRESHWORKS INC CLASS A
United StatesCLASS A COM0125,886+125,886$0$1,273,966+$1,273,966
INSM
INSMED INC
United StatesCOM PAR $.01011,926+11,926$0$1,271,550+$1,271,550
DHC
DIVERSIFIED HEALTHCARE TRUST
United StatesCOM SH BEN INT0136,171+136,171$0$1,266,390+$1,266,390
KD
KYNDRYL HOLDINGS INC
United StatesCOMMON STOCK0108,981+108,981$0$1,232,575+$1,232,575
MBC
MASTERBRAND INC
United StatesCOMMON STOCK0119,275+119,275$0$1,227,340+$1,227,340
BBUC
BROOKFIELD BUSINESS CORP CLASS A
BermudaCL A SUB VTG SH041,003+41,003$0$1,223,940+$1,223,940
BTDR
BITDEER TECHNOLOGIES GROUP CLASS A
CL A ORD SHS076,055+76,055$0$1,206,993+$1,206,993
ENLT
ENLIGHT RENEWABLE ENERGY LTD
SHS013,642+13,642$0$1,205,871+$1,205,871
FCEL
FUELCELL ENERGY INC
United StatesCOM NEW031,816+31,816$0$1,145,694+$1,145,694
CENTA
CENTRAL GARDEN AND PET CLASS A
United StatesCL A NON-VTG029,439+29,439$0$1,141,350+$1,141,350
SMA
SMARTSTOP SELF STORAGE REIT INC
United StatesCOMMON STOCK034,698+34,698$0$1,127,685+$1,127,685
AMPX
AMPRIUS TECHNOLOGIES INC
United StatesCOMMON STOCK080,714+80,714$0$1,118,696+$1,118,696
BW
BABCOCK AND WILCOX ENTERPRISES INC
United StatesCOM078,284+78,284$0$1,103,804+$1,103,804
NN
NEXTNAV INC
United StatesCOMMON STOCK059,597+59,597$0$1,062,615+$1,062,615
SILA
SILA RLTY TR INC TRUST
United StatesCOMMON STOCK032,809+32,809$0$996,081+$996,081
ATAI
ATAIBECKLEY INC
United StatesCOM SHS0188,676+188,676$0$994,323+$994,323
AMBQ
AMBIQ MICRO INC
United StatesCOMMON STOCK010,932+10,932$0$965,296+$965,296
GRAB
GRAB HOLDINGS LTD CLASS A
CLASS A ORD0245,900+245,900$0$927,043+$927,043
INFQ
INFLEQTION INC
United StatesCOM SHS069,125+69,125$0$920,745+$920,745
BAM
BROOKFIELD ASSET MANAGEMENT VOTING
United StatesCL A LMT VTG SHS020,072+20,072$0$900,229+$900,229
LWLG
LIGHTWAVE LOGIC INC
United StatesCOM094,684+94,684$0$895,711+$895,711
BRBR
BELLRING BRANDS INC
United StatesCOMMON STOCK068,976+68,976$0$892,549+$892,549
GENI
GENIUS SPORTS LTD
SHARES CL A0140,374+140,374$0$850,666+$850,666
WSE
WISE PLC CLASS A
ORD SHS CLASS A069,390+69,390$0$833,047+$833,047
FERG
FERGUSON ENTERPRISES INC
COMMON STOCK NEW03,501+3,501$0$830,892+$830,892
WOLF
WOLFSPEED INC
United StatesCOMMON STOCK016,883+16,883$0$814,605+$814,605
AGL
AGILON HEALTH
United StatesCOM NEW07,327+7,327$0$785,308+$785,308
HYMC
HYCROFT MINING HOLDING CLASS A
United StatesCL A NEW032,204+32,204$0$753,574+$753,574
SLVM
SYLVAMO CORP
United StatesCOMMON STOCK019,902+19,902$0$752,296+$752,296
ASND
ASCENDIS PHARMA
ORD SHS02,660+2,660$0$709,475+$709,475
NP
NEPTUNE INSURANCE HOLDINGS INC CLA
United StatesCL A022,520+22,520$0$709,380+$709,380

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