Dark
Light
System
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 (2015Q4)
Original 13F HR (0000950123-16-014089) filed in 2016.02.11
#
Name
Shares
Value ($)
%
Options
Notes
2251 GARTNER INC 76,778 6,964 0.05%
2252 NEW YORK CMNTY BANCORP INC 427,079 6,970 0.05%
2253 ROCKWELL COLLINS INC 75,617 6,979 0.05%
2254 CDK GLOBAL INC 147,773 7,015 0.05%
2255 LAM RESEARCH CORP 88,965 7,066 0.05%
2256 SIGNATURE BANK 46,450 7,124 0.05%
2257 FIRSTENERGY CORP 227,491 7,218 0.06%
2258 CENTENE CORP DEL 110,417 7,267 0.06%
2259 CASEY'S GENERAL STORES INC COM 60,385 7,273 0.06%
2260 ANSYS 79,174 7,324 0.06%
2261 AMETEK INC NEW 137,008 7,342 0.06%
2262 PARKER HANNIFIN CORP 76,090 7,379 0.06%
2263 ENERGY TRANSFER L P 538,460 7,398 0.06%
2264 AGILENT TECHNOLOGIES INC 177,199 7,409 0.06%
2265 HERSHEY CO 83,310 7,437 0.06%
2266 LUMEN TECHNOLOGIES INC 295,695 7,440 0.06%
2267 WESTERN DIGITAL CORP 124,418 7,471 0.06%
2268 MARRIOTT INTL INC NEW 111,661 7,486 0.06%
2269 FRANKLIN RESOURCES INC 204,060 7,513 0.06%
2270 GENUINE PARTS CO 87,603 7,524 0.06%
2271 REALTY INCOME CORP 145,929 7,534 0.06%
2272 NOBLE ENERGY INC 229,006 7,541 0.06%
2273 MANHATTAN ASSOCS INC 114,338 7,566 0.06%
2274 HENRY SCHEIN INC 47,946 7,585 0.06%
2275 EQUIFAX INC 68,141 7,589 0.06%
2276 SYMANTEC CORP 363,464 7,633 0.06%
2277 DTE ENERGY CO 96,523 7,740 0.06%
2278 GLOBAL PMTS INC 120,564 7,778 0.06%
2279 ISHARES TR 55,857 7,787 0.06%
2280 AUTODESK INC 128,205 7,812 0.06%
2281 MOLSON COORS BREWING CO 83,409 7,834 0.06%
2282 SMUCKER J M CO 63,753 7,863 0.06%
2283 ROCKWELL AUTOMATION INC 76,680 7,868 0.06%
2284 TOWERS WATSON & CO 61,718 7,928 0.06%
2285 FORTUNE BRANDS HOME & SEC IN 143,188 7,947 0.06%
2286 BARD C R INC 42,499 8,051 0.06%
2287 SANDISK CORP 107,405 8,162 0.06%
2288 WEYERHAEUSER CO 274,528 8,230 0.06%
2289 FOOT LOCKER INC 126,501 8,234 0.06%
2290 MICRON TECHNOLOGY INC 583,135 8,257 0.06%
2291 UNDER ARMOUR INC 103,421 8,337 0.06%
2292 VIACOM INC NEW 202,570 8,338 0.06%
2293 EXPEDIA INC DEL 67,083 8,338 0.06%
2294 CUMMINS INC 95,019 8,363 0.06%
2295 NORTHERN TRUST 116,173 8,375 0.06%
2296 LKQ CORP 282,932 8,383 0.06%
2297 SKYWORKS SOLUTIONS INC 109,871 8,441 0.06%
2298 LEVEL 3 COMMUNICATIONS INC 155,751 8,467 0.07%
2299 TYSON FOODS INC 159,665 8,515 0.07%
2300 STANLEY BLACK &DECKER INC 79,971 8,535 0.07%
Page 46 of 52