C000010688 Holdings — MML Equity Fund

All 222 reported holdings of MML Equity Fund (C000010688) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Exxon Mobil Corp5.05%$45.47M
JPMorgan Chase & Co4.93%$44.42M
Johnson & Johnson4.02%$36.18M
Bank of America Corp2.54%$22.84M
Morgan Stanley2.16%$19.40M
Goldman Sachs Group Inc/The2.15%$19.40M
Walt Disney Co/The2.05%$18.50M
Wells Fargo & Co1.98%$17.80M
Verizon Communications Inc1.83%$16.48M
AT&T Inc1.78%$15.98M
Procter & Gamble Co/The1.65%$14.86M
QUALCOMM Inc1.65%$14.82M
PepsiCo Inc1.59%$14.32M
Lowe's Cos Inc1.50%$13.54M
Amgen Inc1.47%$13.23M
Merck & Co Inc1.46%$13.17M
Citigroup Inc1.44%$12.96M
HCA Healthcare Inc1.35%$12.11M
Altria Group Inc1.32%$11.90M
Gilead Sciences Inc1.31%$11.75M
Micron Technology Inc1.25%$11.22M
Newmont Corp1.16%$10.42M
Medtronic PLC1.15%$10.34M
T-Mobile US Inc1.14%$10.25M
Chubb Ltd1.13%$10.20M
American Express Co1.02%$9.20M
FedEx Corp1.00%$9.01M
3M Co0.92%$8.28M
Travelers Cos Inc/The0.89%$8.05M
Kinder Morgan Inc0.89%$8.01M
Phillips 660.88%$7.89M
United Parcel Service Inc0.87%$7.81M
Duke Energy Corp0.84%$7.56M
EOG Resources Inc0.82%$7.34M
General Dynamics Corp0.81%$7.31M
Charles Schwab Corp/The0.81%$7.29M
CVS Health Corp0.78%$7.06M
Meta Platforms Inc0.75%$6.75M
General Motors Co0.75%$6.73M
Bank of New York Mellon Corp/The0.71%$6.38M
Diamondback Energy Inc0.68%$6.09M
iShares Russell 1000 Value ETF0.66%$5.98M
Mondelez International Inc0.66%$5.96M
Dell Technologies Inc0.65%$5.89M
Target Corp0.65%$5.89M
Cencora Inc0.63%$5.65M
PNC Financial Services Group Inc/The0.60%$5.37M
Corteva Inc0.59%$5.32M
Ford Motor Co0.54%$4.85M
Pfizer Inc0.54%$4.84M
Aflac Inc0.52%$4.68M
Kroger Co/The0.50%$4.48M
eBay Inc0.49%$4.42M
US Bancorp0.48%$4.34M
Public Service Enterprise Group Inc0.48%$4.34M
United Rentals Inc0.48%$4.33M
DR Horton Inc0.48%$4.31M
Nucor Corp0.46%$4.16M
ConocoPhillips0.45%$4.03M
Fixed Income Clearing Corp.0.44%$3.95M
MetLife Inc0.43%$3.89M
Sysco Corp0.41%$3.67M
Regeneron Pharmaceuticals Inc0.39%$3.55M
Southern Co/The0.39%$3.55M
Halliburton Co0.39%$3.53M
American International Group Inc0.39%$3.47M
Devon Energy Corp0.38%$3.39M
Ameriprise Financial Inc0.37%$3.29M
United Airlines Holdings Inc0.36%$3.20M
Delta Air Lines Inc0.35%$3.19M
Truist Financial Corp0.35%$3.16M
FirstEnergy Corp0.35%$3.14M
Crh PLC0.35%$3.11M
Aon PLC0.34%$3.07M
Steel Dynamics Inc0.33%$3.01M
Hartford Insurance Group Inc/The0.33%$3.00M
Allstate Corp/The0.32%$2.90M
Expedia Group Inc0.32%$2.89M
State Street Corp0.32%$2.85M
Tapestry Inc0.30%$2.70M
DTE Energy Co0.29%$2.62M
PPG Industries Inc0.29%$2.58M
Comcast Corp0.29%$2.57M
PulteGroup Inc0.27%$2.47M
Darden Restaurants Inc0.27%$2.41M
Prudential Financial Inc0.26%$2.38M
United Therapeutics Corp0.26%$2.37M
Raymond James Financial Inc0.26%$2.33M
Arch Capital Group Ltd0.26%$2.31M
NetApp Inc0.24%$2.18M
Quest Diagnostics Inc0.24%$2.16M
Northern Trust Corp0.24%$2.15M
Leidos Holdings Inc0.24%$2.14M
Lennar Corp0.23%$2.08M
Labcorp Holdings Inc0.23%$2.08M
Dollar Tree Inc0.23%$2.08M
Williams-Sonoma Inc0.23%$2.08M
Synchrony Financial0.23%$2.07M
Snap-on Inc0.23%$2.03M
Evergy Inc0.22%$2.02M
Willis Towers Watson PLC0.22%$2.01M
First Citizens BancShares Inc/NC0.22%$2.00M
Alliant Energy Corp0.22%$1.98M
NVR Inc0.22%$1.98M
Albemarle Corp0.22%$1.97M
First Solar Inc0.22%$1.97M
W R Berkley Corp0.22%$1.97M
CF Industries Holdings Inc0.22%$1.96M
Cincinnati Financial Corp0.21%$1.94M
M&T Bank Corp0.21%$1.86M
Southwest Airlines Co0.21%$1.85M
Marathon Petroleum Corp0.20%$1.81M
Loews Corp0.20%$1.77M
Block Inc0.20%$1.77M
Packaging Corp of America0.20%$1.76M
Citizens Financial Group Inc0.19%$1.75M
Markel Group Inc0.19%$1.74M
Tyson Foods Inc0.19%$1.72M
Ball Corp0.19%$1.70M
GE HealthCare Technologies Inc0.19%$1.68M
Zimmer Biomet Holdings Inc0.19%$1.67M
Textron Inc0.18%$1.65M
Dover Corp0.18%$1.63M
Tenet Healthcare Corp0.18%$1.62M
APA Corp0.18%$1.62M
Alcoa Corp0.18%$1.61M
Genuine Parts Co0.18%$1.59M
Principal Financial Group Inc0.18%$1.59M
Coca-Cola Consolidated Inc0.17%$1.55M
Regions Financial Corp0.17%$1.54M
Fox Corp0.17%$1.54M
Reliance Inc0.17%$1.49M
TD SYNNEX Corp0.16%$1.47M
Viatris Inc0.16%$1.46M
Best Buy Co Inc0.16%$1.44M
Avery Dennison Corp0.16%$1.43M
Toll Brothers Inc0.15%$1.39M
RPM International Inc0.15%$1.36M
Regal Rexnord Corp0.15%$1.35M
Masco Corp0.15%$1.35M
Allegion plc0.15%$1.34M
T Rowe Price Group Inc0.15%$1.33M
Carlisle Cos Inc0.14%$1.30M
Jones Lang LaSalle Inc0.14%$1.25M
Service Corp International/US0.14%$1.25M
HF Sinclair Corp0.14%$1.24M
Crown Holdings Inc0.14%$1.23M
WESCO International Inc0.14%$1.23M
AutoNation Inc0.14%$1.23M
Antero Resources Corp0.14%$1.23M
WEC Energy Group Inc0.14%$1.22M
Aecom0.13%$1.18M
KeyCorp0.13%$1.17M
Antero Midstream Corp0.13%$1.17M
Constellation Brands Inc0.13%$1.16M
Range Resources Corp0.13%$1.15M
Mueller Industries Inc0.13%$1.15M
Dollar General Corp0.13%$1.15M
CACI International Inc0.13%$1.14M
RenaissanceRe Holdings Ltd0.13%$1.13M
Exelixis Inc0.12%$1.09M
BorgWarner Inc0.12%$1.09M
Everest Group Ltd0.12%$1.08M
AES Corp/The0.12%$1.08M
Penske Automotive Group Inc0.12%$1.06M
Universal Health Services Inc0.12%$1.06M
News Corp0.11%$1.00M
Oshkosh Corp0.11%$1.00M
Twilio Inc0.11%$993.98K
Toro Co/The0.11%$981.12K
Hasbro Inc0.11%$973.44K
Gap Inc/The0.11%$968.00K
Unum Group0.11%$949.39K
East West Bancorp Inc0.10%$928.81K
AGCO Corp0.10%$926.96K
Jazz Pharmaceuticals PLC0.10%$926.35K
Acuity Inc0.10%$924.73K
TopBuild Corp0.10%$913.38K
Core & Main Inc0.10%$874.38K
Corpay Inc0.10%$872.97K
UGI Corp0.09%$841.30K
Henry Schein Inc0.09%$840.18K
Assurant Inc0.09%$827.68K
Reinsurance Group of America Inc0.09%$816.03K
A O Smith Corp0.09%$804.47K
Fidelity National Financial Inc0.09%$802.37K
SEI Investments Co0.09%$784.70K
Carlyle Group Inc/The0.09%$774.24K
Old Republic International Corp0.09%$770.07K
Stifel Financial Corp0.08%$731.81K
IQVIA Holdings Inc0.08%$716.27K
Halozyme Therapeutics Inc0.08%$710.93K
American Financial Group Inc/OH0.08%$702.40K
Match Group Inc0.08%$700.19K
Ally Financial Inc0.08%$686.52K
Ingredion Inc0.08%$675.96K
Primerica Inc0.07%$651.25K
Axis Capital Holdings Ltd0.07%$638.88K
Deckers Outdoor Corp0.07%$630.57K
Dillard's Inc0.07%$629.32K
Cooper Cos Inc/The0.07%$614.90K
Globe Life Inc0.07%$598.43K
First Horizon Corp0.07%$594.04K
Bio-Rad Laboratories Inc0.07%$585.38K
BJ's Wholesale Club Holdings Inc0.06%$551.15K
F5 Inc0.06%$520.79K
State Street Global Advisors0.05%$490.31K
Popular Inc0.05%$469.60K
Cullen/Frost Bankers Inc0.05%$466.07K
DaVita Inc0.05%$461.07K
GameStop Corp0.05%$456.19K
J M Smucker Co/The0.05%$453.27K
Revvity Inc0.05%$429.29K
Zions Bancorp NA0.04%$374.53K
Ryder System Inc0.04%$348.01K
CNH Industrial NV0.04%$337.70K
Molson Coors Beverage Co0.04%$335.87K
Western Alliance Bancorp0.04%$325.91K
Allison Transmission Holdings Inc0.03%$292.65K
Encompass Health Corp0.03%$290.19K
Hormel Foods Corp0.02%$194.79K
Skyworks Solutions Inc0.02%$149.94K

C000010688 overview: performance, fees, allocation and SEC filings