
METLIFE INVESTMENT MANAGEMENT, LLC
Latest 13F filing data - Q3 2025
Holdings (Top positions)
| Stock | Ticker | ||
|---|---|---|---|
![]() | CSX | 463K | $16.43M |
![]() | TRS | 455K | $17.60M |
![]() | BRK-B | 455K | $228.83M |
![]() | LNC | 452K | $18.22M |
![]() | AMD | 447K | $72.33M |
![]() | DIS | 446K | $51.10M |
![]() | STAG | 444K | $15.67M |
![]() | EXLS | 437K | $19.25M |
![]() | ABT | 432K | $57.82M |
![]() | SCHW | 430K | $41.09M |
![]() | HLIO | 423K | $22.06M |
![]() | SNV | 422K | $20.72M |
![]() | POR | 421K | $18.52M |
![]() | MO | 417K | $27.54M |
![]() | GFR | 404K | $1.87M |
![]() | ZION | 398K | $22.53M |
![]() | CMG | 396K | $15.53M |
![]() | PM | 386K | $62.65M |
![]() | USB | 386K | $18.67M |
![]() | BSX | 380K | $37.06M |

CSX Corporation
CSX
Shares Held
463K
Value
$16.43M

TriMas Corporation
TRS
Shares Held
455K
Value
$17.60M

Berkshire Hathaway Inc.
BRK-B
Shares Held
455K
Value
$228.83M

Lincoln National Corporation
LNC
Shares Held
452K
Value
$18.22M

Advanced Micro Devices, Inc.
AMD
Shares Held
447K
Value
$72.33M

The Walt Disney Company
DIS
Shares Held
446K
Value
$51.10M

STAG Industrial, Inc.
STAG
Shares Held
444K
Value
$15.67M

ExlService Holdings, Inc.
EXLS
Shares Held
437K
Value
$19.25M

Abbott Laboratories
ABT
Shares Held
432K
Value
$57.82M

The Charles Schwab Corporation
SCHW
Shares Held
430K
Value
$41.09M

Helios Technologies, Inc.
HLIO
Shares Held
423K
Value
$22.06M

Synovus Financial Corp.
SNV
Shares Held
422K
Value
$20.72M

Portland General Electric Company
POR
Shares Held
421K
Value
$18.52M

Altria Group, Inc.
MO
Shares Held
417K
Value
$27.54M

Greenfire Resources Ltd.
GFR
Shares Held
404K
Value
$1.87M

Zions Bancorporation, National Association
ZION
Shares Held
398K
Value
$22.53M

Chipotle Mexican Grill, Inc.
CMG
Shares Held
396K
Value
$15.53M

Philip Morris International Inc.
PM
Shares Held
386K
Value
$62.65M

U.S. Bancorp
USB
Shares Held
386K
Value
$18.67M

Boston Scientific Corporation
BSX
Shares Held
380K
Value
$37.06M
