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Institutional Investment Manager
METROPOLITAN LIFE INSURANCE CO/NY
METROPOLITAN LIFE INSURANCE CO/NY (CIK: 0000728618) incorporated in New York, registered under Insurance Agents, Brokers & Service, located at 200 Park Avenue, New York, NY. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q3)
Portfolio Summary: 2,683 holdings with a total value of $13,891,151,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 MET SERIES BARCLAYS AGGREGATE BOND 47,688,789 524,100,000 3.77%
2 APPLE INC 3,322,359 366,456,000 2.64%
3 SPDR S&P 500 ETF TR 1,217,209 233,254,000 1.68%
4 MET SERIES METLIFE STOCK INDEX 5,081,265 209,196,000 1.51%
5 MICROSOFT CORP 4,506,847 199,473,000 1.44%
6 EXXON MOBIL CORP 2,282,726 169,721,000 1.22%
7 JOHNSON & JOHNSON 1,516,776 141,591,000 1.02%
8 ISHARES TR 1,289,445 141,297,000 1.02%
9 GENERAL ELECTRIC CO 5,526,258 139,372,000 1.00%
10 MET SERIES MORGAN STANLEY EAFE IND 11,535,712 135,545,000 0.98%
11 BERKSHIRE HATHAWAY INC DEL 1,030,415 134,366,000 0.97%
12 WELLS FARGO & CO NEW 2,539,275 130,392,000 0.94%
13 JPMORGAN CHASE & CO 2,024,728 123,448,000 0.89%
14 FACEBOOK INC 1,307,836 117,574,000 0.85%
15 AMAZON COM INC 222,982 114,142,000 0.82%
16 AT&T INC 3,404,416 110,916,000 0.80%
17 ISHARES TR 892,610 110,273,000 0.79%
18 ISHARES NASDAQ BIOTECHNOLOGY ETF 168,552 107,599,000 0.77%
19 PFIZER INC 3,375,765 106,033,000 0.76%
20 PROCTER AND GAMBLE CO 1,472,445 105,928,000 0.76%
21 GOOGLE INC 171,980 104,636,000 0.75%
22 VERIZON COMMUNICATIONS INC 2,391,737 104,064,000 0.75%
23 DISNEY WALT CO 914,272 93,439,000 0.67%
24 COCA COLA CO 2,294,507 92,056,000 0.66%
25 BANK AMER CORP 5,731,532 89,297,000 0.64%
26 HOME DEPOT INC 748,235 86,414,000 0.62%
27 GILEAD SCIENCES INC 854,067 83,861,000 0.60%
28 CITIGROUP INC 1,648,318 81,773,000 0.59%
29 CHEVRON CORP NEW 1,030,039 81,249,000 0.58%
30 PEPSICO INC 860,745 81,168,000 0.58%
31 VISA INC 1,135,846 79,123,000 0.57%
32 INTEL CORP 2,572,119 77,524,000 0.56%
33 MERCK & CO INC 1,541,172 76,118,000 0.55%
34 INTERNATIONAL BUSINESS MACHS 515,580 74,744,000 0.54%
35 CISCO SYS INC 2,753,576 72,281,000 0.52%
36 COMCAST CORP NEW 1,228,583 69,882,000 0.50%
37 PHILIP MORRIS INTL INC 873,849 69,322,000 0.50%
38 MET SERIES METLIFE MIDCAP STK INDX 3,971,705 66,725,000 0.48%
39 ORACLE CORP 1,840,932 66,494,000 0.48%
40 UNITEDHEALTH GROUP INC 557,175 64,638,000 0.47%
41 CVS HEALTH CORP 645,861 62,313,000 0.45%
42 ALTRIA GROUP INC 1,136,166 61,807,000 0.44%
43 AMGEN INC 441,337 61,046,000 0.44%
44 BRISTOL MYERS SQUIBB CO 977,527 57,870,000 0.42%
45 WAL-MART STORES INC 863,890 56,015,000 0.40%
46 MCDONALDS CORP 553,439 54,530,000 0.39%
47 ABBVIE INC 963,113 52,403,000 0.38%
48 MASTERCARD INCORPORATED 580,800 52,342,000 0.38%
49 3M CO 366,137 51,907,000 0.37%
50 CELGENE CORP 460,162 49,776,000 0.36%
Page 1 of 54

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0000950123-15-012292, filed 2015.11.17).

From 2023-01-03 onward, the SEC requires values to be reported in nearest dollars. Earlier filings reported values in thousands; therefore, positions shown as $0 in older filings may represent actual values between $0–$999.