METLIFE INC - Common Stock, par value $.01 per share (MET)

Historical Holders from Q1 2014 to Q1 2025

Symbol
MET on NYSE
CUSIP
59156R108
Type / Class
Equity / Common Stock, par value $.01 per share
Shares outstanding
680M
All holders as of December 31, 2024
Q4 2024
Shares, excl. options
500M
Holdings value
$40.9B
% of all portfolios
0.025%
Grand Portfolio weight change
+0.001%
Number of holders
1377
Number of buys
581
Number of sells
-575
Average Value change %
-0.01%
Average buys %
+0.003%
Average sells %
-0.013%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of METLIFE INC - Common Stock, par value $.01 per share (MET)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
BOARD OF DIRECTORS OF METLIFE INC 16.3% $8.89B 111M Board of Directors of MetLife, Inc., as an entity Feb 20, 2025

Institutional Holders of METLIFE INC - Common Stock, par value $.01 per share (MET)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q1 9.58M $767M +$14.5M $80.29 291
2024 Q4 500M $40.9B +$373M $81.88 1,377
2024 Q3 496M $40.9B -$1.74B $82.48 1,307
2024 Q2 517M $36.3B +$329M $70.19 1,287
2024 Q1 513M $38B -$1.47B $74.11 1,265
2023 Q4 532M $35.2B -$192M $66.13 1,231
2023 Q3 533M $33.6B -$579M $62.91 1,152
2023 Q2 541M $30.6B -$1.11B $56.53 1,144
2023 Q1 560M $32.4B -$469M $57.94 1,177
2022 Q4 567M $41B -$596M $72.37 1,286
2022 Q3 572M $34.8B -$299M $60.78 1,159
2022 Q2 570M $35.7B -$1.01B $62.79 1,167
2022 Q1 599M $42.1B -$676M $70.28 1,195
2021 Q4 610M $38.1B -$933M $62.49 1,162
2021 Q3 610M $37.7B -$1.25B $61.73 1,081
2021 Q2 644M $38.5B -$1.4B $59.85 1,096
2021 Q1 667M $40.5B +$66.9M $60.79 1,053
2020 Q4 668M $31.4B -$80.8M $46.95 1,011
2020 Q3 675M $25.1B -$766M $37.17 937
2020 Q2 677M $24.8B +$299M $36.52 950
2020 Q1 671M $20.5B -$416M $30.57 918
2019 Q4 687M $35B -$50.3M $50.97 1,080
2019 Q3 689M $32.5B -$1.22B $47.16 1,021
2019 Q2 714M $35.5B +$191M $49.67 1,017
2019 Q1 722M $30.7B -$161M $42.57 1,018
2018 Q4 731M $30B -$1.44B $41.06 986
2018 Q3 757M $35.4B -$559M $46.72 987
2018 Q2 777M $33.9B -$467M $43.60 1,009
2018 Q1 778M $35.7B -$70.6M $45.89 1,007
2017 Q4 808M $40.8B -$168M $50.56 1,065
2017 Q3 809M $42B +$777M $51.95 964
2017 Q2 794M $43.6B -$586M $54.94 1,011
2017 Q1 806M $42.6B +$2.01B $52.82 1,032
2016 Q4 832M $44.8B +$178M $53.89 1,019
2016 Q3 820M $36.4B +$25.7M $44.43 940
2016 Q2 818M $32.6B +$107M $39.83 962
2016 Q1 817M $35.9B -$533M $43.94 949
2015 Q4 813M $39.2B -$805M $48.21 971
2015 Q3 831M $39.2B -$302M $47.15 949
2015 Q2 837M $46.9B +$788M $55.99 961
2015 Q1 835M $42.2B -$899M $50.55 922
2014 Q4 853M $46.1B +$1.67B $54.09 941
2014 Q3 818M $43.9B -$1.65B $53.72 877
2014 Q2 847M $47.1B +$1.88B $55.56 890
2014 Q1 812M $42.9B +$230M $52.80 897