C000010692 Holdings — MML Small Cap Equity Fund

All 101 reported holdings of MML Small Cap Equity Fund (C000010692) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
State Street Global Advisors2.66%$3.31M
Enpro Inc2.11%$2.62M
American Healthcare REIT Inc1.86%$2.31M
Columbia Banking System Inc1.81%$2.24M
BrightSpring Health Services Inc1.78%$2.20M
Helmerich & Payne Inc1.77%$2.20M
Kodiak Gas Services Inc1.77%$2.20M
Northern Oil & Gas Inc1.71%$2.12M
Wintrust Financial Corp1.69%$2.10M
Outfront Media Inc1.65%$2.05M
Essential Properties Realty Trust Inc1.63%$2.03M
Zurn Elkay Water Solutions Corp1.60%$1.98M
Guardant Health Inc1.56%$1.94M
AutoNation Inc1.51%$1.88M
Webster Financial Corp1.49%$1.85M
Fixed Income Clearing Corp.1.49%$1.85M
AAR Corp1.48%$1.83M
Bridgebio Pharma Inc1.46%$1.81M
Atmus Filtration Technologies Inc1.45%$1.80M
Cheesecake Factory Inc/The1.45%$1.80M
Lattice Semiconductor Corp1.44%$1.79M
Cathay General Bancorp1.40%$1.74M
PennyMac Financial Services Inc1.40%$1.74M
Terreno Realty Corp1.40%$1.73M
Belden Inc1.38%$1.72M
Silicon Laboratories Inc1.38%$1.71M
Commercial Metals Co1.29%$1.59M
Esab Corp1.28%$1.59M
MKS Inc1.27%$1.58M
Casella Waste Systems Inc1.25%$1.55M
Gates Industrial Corp PLC1.25%$1.55M
Allison Transmission Holdings Inc1.25%$1.55M
Visteon Corp1.21%$1.50M
Allegro MicroSystems Inc1.20%$1.49M
Bloom Energy Corp1.19%$1.47M
Banc of California Inc1.18%$1.46M
MACOM Technology Solutions Holdings Inc1.17%$1.45M
Sanmina Corp1.16%$1.43M
Skyward Specialty Insurance Group Inc1.09%$1.35M
Wyndham Hotels & Resorts Inc1.08%$1.34M
Itron Inc1.07%$1.33M
Dorman Products Inc1.07%$1.32M
ASGN Inc1.06%$1.32M
BGC Group Inc1.06%$1.31M
Steven Madden Ltd1.04%$1.28M
Silgan Holdings Inc1.03%$1.28M
Ameris Bancorp1.03%$1.27M
Champion Homes Inc1.02%$1.26M
KB Home0.99%$1.23M
Federal Signal Corp0.98%$1.22M
Portland General Electric Co0.97%$1.21M
Twist Bioscience Corp0.93%$1.15M
Stride Inc0.89%$1.11M
Chesapeake Utilities Corp0.87%$1.08M
Encompass Health Corp0.86%$1.07M
AGCO Corp0.86%$1.06M
WSFS Financial Corp0.85%$1.05M
Ralliant Corp0.85%$1.05M
Kontoor Brands Inc0.83%$1.03M
Weatherford International PLC0.81%$1.01M
United Community Banks Inc/GA0.81%$1.00M
Fluor Corp0.80%$988.42K
Adaptive Biotechnologies Corp0.78%$973.58K
Manhattan Associates Inc0.78%$964.32K
Korn Ferry0.77%$955.27K
Arrowhead Pharmaceuticals Inc0.75%$932.60K
Repligen Corp0.75%$931.84K
BioLife Solutions Inc0.74%$919.69K
ATI Inc0.74%$916.54K
Eagle Materials Inc0.74%$914.48K
Federated Hermes Inc0.74%$914.22K
Life Time Group Holdings Inc0.72%$894.54K
Hayward Holdings Inc0.72%$887.66K
Miami International Holdings Inc0.71%$886.87K
Bank of NT Butterfield & Son Ltd/The0.70%$865.40K
Definity Financial Corp0.67%$831.49K
OceanFirst Financial Corp0.66%$822.28K
Badger Meter Inc0.65%$812.33K
Applied Optoelectronics Inc0.60%$750.57K
Nektar Therapeutics0.59%$735.40K
Tarsus Pharmaceuticals Inc0.59%$733.63K
Chefs' Warehouse Inc/The0.59%$733.08K
Addus HomeCare Corp0.58%$723.35K
Interparfums Inc0.58%$714.64K
Marqeta Inc0.58%$714.18K
Credo Technology Group Holding Ltd0.57%$703.74K
Coeur Mining Inc0.54%$666.79K
Collegium Pharmaceutical Inc0.53%$655.55K
Kratos Defense & Security Solutions Inc0.52%$643.40K
Dutch Bros Inc0.50%$620.99K
Unity Software Inc0.49%$611.03K
Paymentus Holdings Inc0.48%$593.17K
Bullish0.48%$591.87K
MP Materials Corp0.48%$590.27K
Alumis Inc0.47%$586.99K
Rambus Inc0.47%$578.47K
Bright Horizons Family Solutions Inc0.43%$533.68K
ADMA Biologics Inc0.40%$498.55K
Upwork Inc0.26%$324.84K
Lumexa Imaging Holdings Inc0.24%$295.76K
Cushman & Wakefield Ltd0.20%$246.82K

C000010692 overview: performance, fees, allocation and SEC filings