Holdings Channel
Size ($ in 1000's)
At 03/31/2019: $15,129,675
At 12/31/2018: $13,820,594

Combined Holding Report Includes:
MetLife Investment Advisors LLC
METLIFE INC

MetLife Investment Advisors LLC holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from MetLife Investment Advisors LLC 13F filings. Link to 13F filings: SEC filings

MetLife Investment Advisors LLC Top Holdings
As of  03/31/2019

   EntityAmountChange
 12/31/2018 to 03/31/2019
Position Size
($ in 1000's)
ISHARES LATIN AMERICA ETF (ILF) 109,892 -1,296 $2,484,898
     ILF109,892-1,296$2,484,898
SPDR S&P ETF TRUST (SPY) 518,682 -57,741 $2,358,603
     SPY518,682-57,741$2,358,603
ISHARES MSCI JAPAN ETF (EWJ) 12,683 -582 $472,259
     EWJ12,683-582$472,259
ISHARES EUROPE ETF TRUST (IEV) 15,961 -298 $471,261
     IEV15,961-298$471,261
ISHARES MSCI PACIFIC EX JAPAN ETF (EPP) 12,182 -710 $380,490
     EPP12,182-710$380,490
MICROSOFT CORP 2,180,797 -32,558 $257,203
     MSFT2,180,797-32,558$257,203
APPLE INC 1,273,731 -15,845 $241,945
     AAPL1,273,731-15,845$241,945
AMAZON COM INC 117,289 -168 $208,862
     AMZN117,289-168$208,862
ISHARES PLUS YEAR TREASURY BOND E (TLT) 995,984 UNCH $125,932
     TLT995,984UNCH$125,932
FACEBOOK CLASS A INC 678,108 -8,922 $113,034
     FB678,108-8,922$113,034
BERKSHIRE HATHAWAY INC CLASS B      $111,043
     BRK.B552,755-3,582$111,043
JOHNSON & JOHNSON 757,061 -9,941 $105,830
     JNJ757,061-9,941$105,830
ALPHABET INC CLASS C 87,372 -611 $102,514
     GOOG87,372-611$102,514
ALPHABET INC CLASS A 85,097 -404 $100,150
     GOOGL85,097-404$100,150
EXXON MOBIL CORP 1,204,420 -6,377 $97,317
     XOM1,204,420-6,377$97,317
ISHARES CORE US AGGREGATE BOND ETF (AGG) 888,494 -3,050 $96,819
     AGG888,494-3,050$96,819
JPMORGAN CHASE 930,793 -20,194 $94,224
     JPM930,793-20,194$94,224
VISA INC CLASS A 497,526 -5,020 $77,709
     V497,526-5,020$77,709
PROCTER & GAMBLE 711,091 -1,406 $73,989
     PG711,091-1,406$73,989
BANK OF AMERICA CORP 2,553,473 -56,773 $70,450
     BAC2,553,473-56,773$70,450
VERIZON COMMUNICATIONS INC 1,174,584 -7,105 $69,453
     VZ1,174,584-7,105$69,453
INTEL CORPORATION CORP 1,278,336 -26,893 $68,647
     INTC1,278,336-26,893$68,647
CISCO SYSTEMS INC 1,251,514 -34,304 $67,569
     CSCO1,251,514-34,304$67,569
UNITEDHEALTH GROUP INC 272,757 -2,360 $67,442
     UNH272,757-2,360$67,442
PFIZER INC 1,578,421 -74,721 $67,036
     PFE1,578,421-74,721$67,036
CHEVRON CORP 540,123 -6,317 $66,532
     CVX540,123-6,317$66,532
AT&T INC 2,070,716 -10,650 $64,938
     T2,070,716-10,650$64,938
HOME DEPOT INC 321,083 -1,974 $61,613
     HD321,083-1,974$61,613
MERCK & CO INC 733,774 -9,890 $61,028
     MRK733,774-9,890$61,028
MASTERCARD INC CLASS A 256,605 -3,261 $60,418
     MA256,605-3,261$60,418
BOEING 149,377 -1,670 $56,975
     BA149,377-1,670$56,975
WELLS FARGO 1,163,956 -47,621 $56,242
     WFC1,163,956-47,621$56,242
WALT DISNEY 496,400 +70,664 $55,115
     DIS496,400+70,664$55,115
COMCAST CORP CLASS A 1,283,845 -14,571 $51,328
     CMCSA1,283,845-14,571$51,328
COCA COLA 1,093,756 -1,794 $51,253
     KO1,093,756-1,794$51,253
PEPSICO INC 399,316 -4,375 $48,936
     PEP399,316-4,375$48,936
ISHARES RUSSELL ETF (IWM) 317,551 -16,800 $48,537
     IWM317,551-16,800$48,537
NETFLIX INC 124,082 -604 $44,243
     NFLX124,082-604$44,243
ENTERPRISE PRODUCTS PARTNERS UNITS 1,481,270 UNCH $43,105
     EPD1,481,270UNCH$43,105
CITIGROUP INC 668,475 -29,933 $41,593
     C668,475-29,933$41,593
MCDONALDS CORP 217,567 -2,908 $41,316
     MCD217,567-2,908$41,316
ENERGY TRANSFER UNITS 2,640,519 +2,640,519 $40,585
     ET2,640,519+2,640,519$40,585
ABBOTT LABORATORIES 499,197 -3,021 $39,906
     ABT499,197-3,021$39,906
WALMART INC 404,642 -2,479 $39,465
     WMT404,642-2,479$39,465
PHILIP MORRIS INTERNATIONAL INC 441,891 -2,673 $39,059
     PM441,891-2,673$39,059
ORACLE CORP 724,153 -4,566 $38,894
     ORCL724,153-4,566$38,894
ADOBE INC 138,648 -955 $36,948
     ADBE138,648-955$36,948
INTERNATIONAL BUSINESS MACHINES CO 252,995 -6,918 $35,698
     IBM252,995-6,918$35,698
ISHARES MSCI EAFE ETF (EFA) 545,039 -108,200 $35,351
     EFA545,039-108,200$35,351
PAYPAL HOLDINGS INC 333,500 -3,502 $34,631
     PYPL333,500-3,502$34,631

See Full List: All Stocks Held By MetLife Investment Advisors LLC
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By MetLife Investment Advisors LLC

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