C000017772 Holdings — Brighthouse/Wellington Core Equity Opportunities Portfolio

All 52 reported holdings of Brighthouse/Wellington Core Equity Opportunities Portfolio (C000017772) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Microsoft Corp4.98%$129.96M
Broadcom Inc4.95%$129.34M
Eli Lilly & Co4.03%$105.33M
Mastercard Inc3.54%$92.47M
Apple Inc3.39%$88.63M
Northrop Grumman Corp3.11%$81.23M
Visa Inc3.09%$80.63M
Texas Instruments Inc2.91%$76.08M
Wells Fargo & Co2.79%$72.96M
Honeywell International Inc2.72%$70.91M
NIKE Inc2.66%$69.58M
Home Depot Inc/The2.64%$68.80M
Linde PLC2.57%$67.13M
TJX Cos Inc/The2.57%$67.11M
KLA Corp2.44%$63.75M
Blackrock Inc2.42%$63.22M
Stryker Corp2.29%$59.76M
Merck & Co Inc2.14%$55.90M
Danaher Corp2.14%$55.76M
Marsh & McLennan Cos Inc2.12%$55.23M
Chubb Ltd2.10%$54.90M
Automatic Data Processing Inc1.98%$51.68M
American Express Co1.95%$50.88M
Johnson & Johnson1.91%$50.00M
S&P Global Inc1.88%$49.02M
Canadian National Railway Co1.75%$45.57M
McDonald's Corp1.74%$45.30M
Coca-Cola Co/The1.68%$43.95M
Procter & Gamble Co/The1.66%$43.25M
Caterpillar Inc1.56%$40.72M
Amphenol Corp1.52%$39.60M
Trane Technologies PLC1.51%$39.43M
Kroger Co/The1.50%$39.06M
Abbott Laboratories1.44%$37.53M
QUALCOMM Inc1.43%$37.29M
Alphabet Inc1.30%$34.04M
AMETEK Inc1.11%$29.08M
Exxon Mobil Corp1.08%$28.24M
Elevance Health Inc1.07%$27.94M
Deere & Co1.02%$26.70M
Fixed Income Clearing Corp.1.02%$26.51M
Marriott International Inc/MD1.00%$26.16M
Meta Platforms Inc0.99%$25.83M
Accenture PLC0.93%$24.37M
Zoetis Inc0.92%$24.04M
PepsiCo Inc0.88%$22.89M
Intuit Inc0.87%$22.79M
Colgate-Palmolive Co0.85%$22.12M
Unilever PLC0.72%$18.74M
Walmart Inc0.61%$15.81M
American Water Works Co Inc0.50%$13.17M
Sino Forest Corporation0.00%$0

C000017772 overview: performance, fees, allocation and SEC filings