C000030660 Holdings — Brighthouse Small Cap Value Portfolio

All 141 reported holdings of Brighthouse Small Cap Value Portfolio (C000030660) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Fixed Income Clearing Corp.3.40%$23.95M
Franklin Electric Co Inc3.34%$23.52M
Innospec Inc3.25%$22.88M
UMB Financial Corp3.10%$21.84M
J & J Snack Foods Corp2.83%$19.90M
Avient Corp2.46%$17.33M
Hancock Whitney Corp2.30%$16.21M
Southstate Bank Corp.2.28%$16.02M
Alamo Group Inc2.22%$15.66M
UFP Industries Inc2.13%$14.97M
Stewart Information Services Corp2.12%$14.95M
TriMas Corp2.05%$14.46M
Belden Inc1.97%$13.85M
Chord Energy Corp1.97%$13.85M
Douglas Dynamics Inc1.93%$13.61M
Prestige Consumer Healthcare Inc1.89%$13.30M
Novanta Inc1.83%$12.86M
Korn Ferry1.72%$12.11M
Magnolia Oil & Gas Corp1.71%$12.01M
Mueller Industries Inc1.68%$11.82M
Eagle Materials Inc1.66%$11.70M
Central Garden & Pet Co1.60%$11.26M
National Bank Of Canada1.56%$11.00M
Silgan Holdings Inc1.51%$10.62M
The Bank Of Nova Scotia, Toronto1.42%$10.00M
Cantor Fitzgeral & Co1.42%$10.00M
The Bank Of Nova Scotia, Toronto1.42%$10.00M
Goldman Sachs Fin Square Govt Fd1.42%$10.00M
Renasant Corp1.30%$9.18M
Hanover Insurance Group Inc/The1.24%$8.72M
Hillman Solutions Corp1.21%$8.49M
Simpson Manufacturing Co Inc1.19%$8.37M
Diebold Nixdorf Inc1.15%$8.09M
Old National Bancorp/IN1.13%$7.94M
Ecovyst Inc1.12%$7.87M
Pursuit Attractions and Hospitality Inc1.10%$7.77M
Quanex Building Products Corp1.09%$7.64M
Deutsche Bank Securities Inc.1.03%$7.24M
Myers Industries Inc0.97%$6.84M
Haemonetics Corp0.96%$6.74M
Vistance Networks Inc0.95%$6.71M
White Mountains Insurance Group Ltd0.93%$6.52M
Nomad Foods Ltd0.89%$6.30M
CNO Financial Group Inc0.85%$6.01M
National Bank Financial Inc0.85%$6.00M
Marex Group PLC0.84%$5.90M
Associated Banc-Corp0.83%$5.84M
Sanmina Corp0.82%$5.76M
Mativ Holdings Inc0.79%$5.59M
Ennis Inc0.78%$5.48M
Titan America SA0.77%$5.40M
Compass Diversified Holdings0.76%$5.39M
Mayville Engineering Co Inc0.75%$5.29M
Globus Medical Inc0.75%$5.27M
Quaker Chemical Corp0.72%$5.10M
Bank Of Nova Scotia NY Agency0.71%$5.00M
Citigroup Global Markets Inc0.71%$5.00M
Chemed Corp0.69%$4.86M
BOK Financial Corp0.69%$4.84M
Knowles Corp0.68%$4.77M
Matthews International Corp0.65%$4.54M
StandardAero Inc0.64%$4.49M
Holley Inc0.63%$4.45M
Charles River Laboratories International Inc0.63%$4.41M
UFP Technologies Inc0.63%$4.40M
Boyd Gaming Corp0.62%$4.33M
Steven Madden Ltd0.61%$4.30M
Varex Imaging Corp0.61%$4.29M
MDU Resources Group Inc0.60%$4.26M
Group 1 Automotive Inc0.58%$4.05M
Credit Agricole Cib, Ny0.57%$4.00M
Svenska Ny0.57%$4.00M
Dz Bank AG New York0.57%$4.00M
Minerals Technologies Inc0.57%$3.98M
Levi Strauss & Co0.56%$3.94M
La-Z-Boy Inc0.54%$3.80M
Patterson-UTI Energy Inc0.54%$3.80M
Garrett Motion Inc0.53%$3.76M
Enovis Corp0.53%$3.74M
Axcelis Technologies Inc0.53%$3.73M
Werner Enterprises Inc0.53%$3.70M
Ingram Micro Holding Corp0.52%$3.65M
ACCO Brands Corp0.52%$3.64M
IAC Inc0.51%$3.61M
CSW Industrials Inc0.50%$3.53M
Adamas Trust Inc0.50%$3.49M
Pattern Group Inc0.48%$3.41M
CONMED Corp0.47%$3.29M
Azenta Inc0.46%$3.22M
Custom Truck One Source Inc0.45%$3.15M
Matador Resources Co0.45%$3.14M
Liberty Energy Inc0.44%$3.12M
Onto Innovation Inc0.44%$3.07M
California Resources Corp0.43%$3.01M
National Bank Financial Inc0.43%$3.00M
Royal Bank Canada Toronto0.43%$3.00M
NBC Global Finance Limited0.43%$3.00M
Bank Of Montreal Toronto0.43%$3.00M
Standex International Corp0.41%$2.91M
Insight Enterprises Inc0.41%$2.88M
Central Garden & Pet Co0.40%$2.84M
Graham Holdings Co0.38%$2.67M
Visteon Corp0.37%$2.64M
Diodes Inc0.37%$2.63M
Tootsie Roll Industries Inc0.36%$2.53M
Janus International Group Inc0.34%$2.41M
Atmus Filtration Technologies Inc0.34%$2.38M
Genius Sports Ltd0.31%$2.20M
Lazard Inc0.31%$2.19M
Forum Energy Technologies Inc0.31%$2.18M
The Bank Of Nova Scotia, Toronto0.28%$2.00M
ING (US) Funding LLC0.28%$2.00M
Bank Of Montreal, London0.28%$2.00M
Natl Bank Canada0.28%$2.00M
Barclays Capital Inc0.28%$2.00M
Tfdxx Lex Blackrock Fed Fund0.28%$2.00M
Verto Capital I Compartment A0.28%$1.99M
Sumitomo Mitsui Trust Bank Ltd, Ldn0.28%$1.98M
Capri Holdings Ltd0.26%$1.86M
Middleby Corp/The0.25%$1.79M
Agree Realty Corp0.24%$1.72M
Maximus Inc0.24%$1.66M
Abacus Global Management Inc0.23%$1.63M
Westwood Holdings Group Inc0.22%$1.56M
Bit Digital Inc0.17%$1.19M
NewMarket Corp0.16%$1.14M
Progress Software Corp0.16%$1.14M
Ingevity Corp0.15%$1.04M
Bank Of Montreal Chicago0.14%$1.00M
Dreyfus Treasury & Agency Lex0.14%$1.00M
Sumitomo Mitsui Trust Bank Ltd, Ldn0.14%$1.00M
Ionic Ser Iii Cl A0.14%$999.89K
Invesco Govt And Agcy Lex0.14%$1.00M
Figxx Fid Inst Govt Lex0.14%$1.00M
Bnp Paribas, Ny0.14%$999.97K
Verto Capital I Compartment C0.14%$999.79K
Mitsubishi UFJ Trust & Bank Co0.14%$992.23K
Mattel Inc0.09%$606.69K
GlassBridge Enterprises Inc0.00%$0
Pershing Square Sparc Holdings0.00%$0
Esc Pershing Square To0.00%$0

C000030660 overview: performance, fees, allocation and SEC filings