C000010669 Holdings — MML Small Cap Growth Equity Fund

All 188 reported holdings of MML Small Cap Growth Equity Fund (C000010669) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Modine Manufacturing Co1.87%$2.49M
American Healthcare REIT Inc1.63%$2.17M
Seacoast Banking Corp of Florida1.44%$1.91M
Nextpower Inc1.41%$1.88M
HA Sustainable Infrastructure Capital Inc1.39%$1.86M
Phillips Edison & Co Inc1.38%$1.84M
Alignment Healthcare Inc1.34%$1.78M
Viper Energy Inc1.30%$1.73M
Fixed Income Clearing Corp.1.28%$1.71M
DXP Enterprises Inc/TX1.28%$1.71M
Champion Homes Inc1.20%$1.60M
MKS Inc1.19%$1.59M
Chord Energy Corp1.18%$1.57M
Zurn Elkay Water Solutions Corp1.11%$1.49M
Rush Enterprises Inc1.11%$1.48M
Cargurus Inc1.06%$1.41M
State Street Global Advisors1.05%$1.40M
Curtiss-Wright Corp1.01%$1.35M
Credo Technology Group Holding Ltd0.98%$1.31M
Cabot Corp0.98%$1.31M
Bloom Energy Corp0.98%$1.30M
Protagonist Therapeutics Inc0.96%$1.28M
SiriusPoint Ltd0.92%$1.23M
Vita Coco Co Inc/The0.86%$1.14M
Applied Industrial Technologies Inc0.83%$1.11M
Cactus Inc0.82%$1.10M
Apogee Therapeutics Inc0.82%$1.10M
Five Below Inc0.82%$1.09M
Huntington Bancshares Inc/OH0.81%$1.08M
IDACORP Inc0.79%$1.06M
Kymera Therapeutics Inc0.79%$1.05M
Amplitude Inc0.78%$1.04M
SiTime Corp0.77%$1.03M
Axsome Therapeutics Inc0.77%$1.02M
Verra Mobility Corp0.76%$1.01M
UMB Financial Corp0.75%$1.00M
Intapp Inc0.75%$996.03K
PTC Therapeutics Inc0.75%$995.45K
CG oncology Inc0.74%$981.83K
iShares Russell 2000 ETF0.74%$980.34K
Ameresco Inc0.73%$979.28K
Revolution Medicines Inc0.71%$944.69K
Advanced Energy Industries Inc0.70%$929.73K
Hancock Whitney Corp0.69%$922.63K
MYR Group Inc0.69%$914.15K
Scholar Rock Holding Corp0.68%$901.99K
Agilysys Inc0.68%$900.35K
Kirby Corp0.67%$898.93K
Ensign Group Inc/The0.66%$884.59K
Cytokinetics Inc0.66%$884.05K
Eastern Bankshares Inc0.66%$880.30K
Ameris Bancorp0.66%$879.88K
Ryder System Inc0.66%$878.82K
Xometry Inc0.64%$857.31K
Fabrinet0.64%$855.29K
Life Time Group Holdings Inc0.64%$854.81K
Belden Inc0.64%$853.30K
Crinetics Pharmaceuticals Inc0.63%$839.25K
ONE Gas Inc0.63%$838.13K
First Interstate BancSystem Inc0.62%$826.15K
TransMedics Group Inc0.62%$825.30K
Terex Corp0.62%$823.56K
Comfort Systems USA Inc0.62%$823.26K
Casella Waste Systems Inc0.62%$821.01K
Cogent Biosciences Inc0.61%$817.10K
Semtech Corp0.61%$813.03K
Spyre Therapeutics Inc0.61%$810.02K
Calix Inc0.61%$808.63K
Simmons First National Corp0.60%$805.19K
WisdomTree Inc0.60%$802.14K
GATX Corp0.60%$801.97K
Terreno Realty Corp0.60%$795.76K
PJT Partners Inc0.60%$794.59K
Methanex Corp0.59%$784.92K
DigitalOcean Holdings Inc0.59%$784.80K
Apellis Pharmaceuticals Inc0.59%$781.51K
Enpro Inc0.58%$778.77K
AAR Corp0.58%$774.32K
OSI Systems Inc0.57%$764.14K
Avient Corp0.57%$757.36K
AAON Inc0.56%$740.03K
Matador Resources Co0.55%$729.03K
Shake Shack Inc0.54%$726.43K
Guardian Pharmacy Services Inc0.54%$722.58K
Atmus Filtration Technologies Inc0.54%$722.00K
National Vision Holdings Inc0.54%$719.29K
ESCO Technologies Inc0.54%$717.21K
Boot Barn Holdings Inc0.53%$710.58K
James Hardie Industries PLC0.53%$706.42K
Chefs' Warehouse Inc/The0.53%$706.03K
Korn Ferry0.53%$704.35K
Valvoline Inc0.53%$702.36K
Nuvalent Inc0.53%$701.88K
Cirrus Logic Inc0.52%$691.43K
Perella Weinberg Partners0.52%$687.57K
Viavi Solutions Inc0.52%$687.33K
PACS Group Inc0.51%$682.71K
Power Integrations Inc0.51%$677.48K
Bridgebio Pharma Inc0.51%$673.54K
Patrick Industries Inc0.50%$669.86K
Acuity Inc0.50%$667.20K
StepStone Group Inc0.50%$665.12K
Hamilton Insurance Group Ltd0.50%$661.30K
Excelerate Energy Inc0.49%$649.92K
Disc Medicine Inc0.47%$622.71K
Structure Therapeutics Inc0.47%$621.97K
AtriCure Inc0.46%$618.87K
Insmed Inc0.46%$617.94K
Option Care Health Inc0.46%$614.48K
Essential Properties Realty Trust Inc0.45%$602.19K
Stride Inc0.45%$598.50K
McGrath RentCorp0.45%$593.97K
Voyager Technologies Inc0.44%$591.28K
Palo Alto Networks Inc0.42%$559.20K
Magnite Inc0.42%$555.64K
Taseko Mines Ltd0.41%$546.22K
Leonardo DRS Inc0.40%$535.80K
Wolverine World Wide Inc0.40%$532.06K
Hinge Health Inc0.40%$528.73K
Vaxcyte Inc0.39%$525.95K
Kratos Defense & Security Solutions Inc0.39%$524.52K
Alkermes PLC0.38%$513.29K
YETI Holdings Inc0.38%$502.89K
Glaukos Corp0.38%$501.37K
Freshworks Inc0.38%$500.21K
Progyny Inc0.37%$499.01K
Freshpet Inc0.37%$498.33K
Ollie's Bargain Outlet Holdings Inc0.37%$496.10K
Clear Secure Inc0.36%$482.89K
Mirum Pharmaceuticals Inc0.36%$476.68K
H2O America0.36%$474.93K
Silicon Motion Technology Corp0.35%$467.13K
Rubrik Inc0.35%$464.09K
StandardAero Inc0.34%$455.02K
Celldex Therapeutics Inc0.34%$450.20K
Enphase Energy Inc0.34%$449.83K
ExlService Holdings Inc0.33%$440.09K
Visteon Corp0.31%$409.18K
GeneDx Holdings Corp0.30%$404.71K
AvePoint Inc0.30%$399.55K
LTC Properties Inc0.29%$389.18K
Veracyte Inc0.29%$387.13K
Celcuity Inc0.29%$386.48K
HealthEquity Inc0.28%$367.71K
Acadia Realty Trust0.27%$362.00K
Trex Co Inc0.27%$358.34K
Dianthus Therapeutics Inc0.27%$353.30K
Century Communities Inc0.26%$353.12K
Axogen Inc0.26%$348.66K
EchoStar Corp0.26%$340.09K
Trevi Therapeutics Inc0.24%$319.86K
Commvault Systems Inc0.23%$307.04K
Alliance Laundry Holdings Inc0.23%$304.59K
Kornit Digital Ltd0.21%$279.26K
Ionis Pharmaceuticals Inc0.20%$264.62K
Adaptive Biotechnologies Corp0.20%$261.89K
Coeur Mining Inc0.19%$256.74K
Loar Holdings Inc0.19%$252.82K
Doximity Inc0.18%$244.25K
Corvus Pharmaceuticals Inc0.18%$242.13K
Lantheus Holdings Inc0.17%$232.10K
TriNet Group Inc0.17%$220.80K
Mineralys Therapeutics Inc0.16%$219.43K
Dave Inc0.16%$216.57K
Oculis Holding AG0.15%$206.60K
Xenon Pharmaceuticals Inc0.15%$197.19K
Core Scientific Inc0.15%$193.72K
Terns Pharmaceuticals Inc0.14%$187.79K
Ultragenyx Pharmaceutical Inc0.14%$186.48K
Universal Display Corp0.13%$174.06K
ServiceTitan Inc0.12%$165.76K
MBX Biosciences Inc0.12%$160.35K
Graphic Packaging Holding Co0.12%$159.28K
Pharvaris NV0.12%$153.74K
IonQ Inc0.11%$151.33K
Hims & Hers Health Inc0.11%$148.64K
Soleno Therapeutics Inc0.11%$147.75K
Terawulf Inc0.10%$132.64K
Viridian Therapeutics Inc0.10%$127.73K
Cheesecake Factory Inc/The0.09%$125.82K
Genius Sports Ltd0.09%$116.96K
Inspire Medical Systems Inc0.08%$108.63K
Janus Living Inc0.08%$108.42K
Wingstop Inc0.08%$104.76K
Innovex International Inc0.07%$90.49K
Contra Cyberark Softwa0.05%$72.58K
Crane NXT Co0.05%$71.52K
Contra Akero Therapeut0.00%$4.59K

C000010669 overview: performance, fees, allocation and SEC filings