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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 (2016Q1)
Portfolio Summary: 2,509 holdings with a total value of $13,011,906,000.
#
Name
Shares
Value ($)
%
Options
Notes
201 SYNCHRONY FINL 437,303 12,533,000 0.10%
202 V F CORP 193,369 12,523,000 0.10%
203 BAXTER INTL INC 304,288 12,500,000 0.10%
204 CARNIVAL CORP 236,597 12,485,000 0.10%
205 ANADARKO PETE CORP 266,585 12,415,000 0.10%
206 DEERE & CO 160,874 12,386,000 0.10%
207 STATE STR CORP 211,030 12,349,000 0.09%
208 EDISON INTL 171,604 12,337,000 0.09%
209 UNITED CONTL HLDGS INC 205,808 12,320,000 0.09%
210 CORNING INC 586,135 12,244,000 0.09%
211 VENTAS INC 193,859 12,205,000 0.09%
212 MPLX LP 408,377 12,125,000 0.09%
213 BOSTON PROPERTIES INC 94,932 12,064,000 0.09%
214 PIONEER NAT RES CO 85,071 11,973,000 0.09%
215 CONSOLIDATED EDISON INC 154,613 11,846,000 0.09%
216 LAUDER ESTEE COS INC 124,953 11,784,000 0.09%
217 ZOETIS INC 263,459 11,679,000 0.09%
218 ELECTRONIC ARTS INC 175,827 11,624,000 0.09%
219 JARDEN CORP 197,139 11,621,000 0.09%
220 ARCHER DANIELS MIDLAND CO 314,289 11,412,000 0.09%
221 OMNICOM GROUP INC 136,895 11,394,000 0.09%
222 MONSTER BEVERAGE CORP NEW 85,126 11,354,000 0.09%
223 TE CONNECTIVITY LTD 183,102 11,338,000 0.09%
224 HP INC 909,437 11,204,000 0.09%
225 XCEL ENERGY INC 267,310 11,179,000 0.09%
226 DISCOVER FINL SVCS 218,983 11,151,000 0.09%
227 VERTEX PHARMACEUTICALS INC 140,206 11,145,000 0.09%
228 DOLLAR TREE INC 132,827 10,953,000 0.08%
229 PACCAR INC 199,851 10,930,000 0.08%
230 KELLOGG CO 142,296 10,893,000 0.08%
231 Spectra Energy Corp Com 353,673 10,822,000 0.08%
232 PROGRESSIVE CORP OHIO 306,398 10,767,000 0.08%
233 EDWARDS LIFESCIENCES CORP 121,751 10,740,000 0.08%
234 MARATHON PETE CORP 281,019 10,448,000 0.08%
235 PRICE T ROWE GROUP INC 142,126 10,441,000 0.08%
236 ANALOG DEVICES INC 174,874 10,351,000 0.08%
237 TYSON FOODS INC 155,108 10,339,000 0.08%
238 CONAGRA BRANDS INC 229,788 10,253,000 0.08%
239 PHILLIPS 66 PARTNERS LP 163,150 10,212,000 0.08%
240 CUMMINS INC 92,127 10,128,000 0.08%
241 AMPHENOL CORP NEW 174,774 10,105,000 0.08%
242 BAKER HUGHES INC 230,525 10,104,000 0.08%
243 ZIMMER BIOMET HLDGS INC 94,069 10,031,000 0.08%
244 WEC ENERGY GROUP INC 166,255 9,987,000 0.08%
245 GENERAL GROWTH 335,580 9,977,000 0.08%
246 ROPER TECHNOLOGIES INC 54,440 9,950,000 0.08%
247 ALASKA AIR GROUP INC 119,125 9,771,000 0.08%
248 PAYCHEX INC 180,534 9,751,000 0.07%
249 EVERSOURCE ENERGY 167,077 9,747,000 0.07%
250 VORNADO REALTY 102,626 9,691,000 0.07%
Page 5 of 51

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0000950123-16-017421, filed 2016.05.16).

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.