C000030760 Holdings — Brighthouse/Wellington Large Cap Research Portfolio

All 200 reported holdings of Brighthouse/Wellington Large Cap Research Portfolio (C000030760) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
NVIDIA Corp8.48%$218.43M
Apple Inc5.38%$138.70M
Amazon.com Inc5.06%$130.40M
Alphabet Inc4.94%$127.30M
Microsoft Corp4.27%$110.04M
Broadcom Inc3.54%$91.26M
Micron Technology Inc2.77%$71.32M
Advanced Micro Devices Inc1.99%$51.23M
Goldman Sachs Group Inc/The1.79%$46.18M
Eli Lilly & Co1.68%$43.32M
Meta Platforms Inc1.66%$42.64M
Exxon Mobil Corp1.65%$42.55M
Mastercard Inc1.53%$39.49M
Berkshire Hathaway Inc1.34%$34.59M
US Foods Holding Corp1.24%$32.04M
Blackrock Inc1.19%$30.71M
KLA Corp1.14%$29.49M
Walmart Inc1.14%$29.30M
Airbnb Inc1.12%$28.85M
Bank of New York Mellon Corp/The1.10%$28.35M
Tesla Inc1.06%$27.31M
Seagate Technology Holdings PLC0.93%$24.02M
Welltower Inc0.86%$22.14M
Merck & Co Inc0.85%$21.78M
CMS Energy Corp0.84%$21.70M
Texas Instruments Inc0.84%$21.69M
Coca-Cola Co/The0.78%$19.98M
Philip Morris International Inc0.74%$19.05M
Wells Fargo & Co0.73%$18.81M
Hyatt Hotels Corp0.73%$18.70M
Fifth Third Bancorp0.71%$18.30M
Ross Stores Inc0.67%$17.38M
Sandisk Corp0.67%$17.25M
Dominion Energy Inc0.67%$17.13M
Linde PLC0.66%$17.06M
Clean Harbors Inc0.64%$16.46M
Shell PLC0.62%$16.09M
Marriott International Inc/MD0.62%$15.97M
Targa Resources Corp0.62%$15.86M
Marsh & McLennan Cos Inc0.60%$15.39M
Sempra0.59%$15.28M
Starbucks Corp0.59%$15.16M
Palo Alto Networks Inc0.59%$15.10M
Citigroup Global Markets Inc0.58%$15.00M
Credo Technology Group Holding Ltd0.57%$14.67M
AAON Inc0.55%$14.18M
Synopsys Inc0.54%$14.02M
Walt Disney Co/The0.54%$13.83M
QUALCOMM Inc0.51%$13.18M
James Hardie Industries PLC0.49%$12.54M
Fixed Income Clearing Corp.0.49%$12.51M
Vertiv Holdings Co0.48%$12.45M
Eaton Corp PLC0.47%$12.09M
Oracle Corp0.47%$12.09M
Flex Ltd0.46%$11.96M
UnitedHealth Group Inc0.46%$11.82M
WESCO International Inc0.45%$11.70M
Chubb Ltd0.45%$11.68M
Pool Corp0.45%$11.65M
Amgen Inc0.44%$11.32M
Royal Caribbean Cruises Ltd0.43%$11.08M
Marathon Petroleum Corp0.42%$10.79M
Primoris Services Corp0.41%$10.67M
Trex Co Inc0.41%$10.60M
Monster Beverage Corp0.40%$10.40M
Johnson & Johnson0.39%$10.17M
Barclays Capital Inc0.39%$10.00M
Kkr + Co., Inc. A0.38%$9.82M
Loar Holdings Inc0.38%$9.78M
Northrop Grumman Corp0.38%$9.74M
Cardinal Health Inc0.36%$9.28M
PPG Industries Inc0.36%$9.25M
Johnson Controls International plc0.35%$9.05M
Snowflake Inc0.35%$9.05M
Devon Energy Corp0.34%$8.81M
Waste Connections Inc0.34%$8.67M
CH Robinson Worldwide Inc0.34%$8.66M
Ares Management Corp0.34%$8.66M
Palantir Technologies Inc0.33%$8.48M
Equitable Holdings Inc0.32%$8.25M
Spotify Technology SA0.32%$8.20M
Regal Rexnord Corp0.32%$8.13M
Cerebras Systems Inc0.32%$8.13M
Alignment Healthcare Inc0.31%$8.05M
NRG Energy Inc0.31%$7.90M
Sherwin-Williams Co/The0.30%$7.80M
Vertex Pharmaceuticals Inc0.30%$7.74M
Boeing Co/The0.29%$7.49M
AstraZeneca PLC0.29%$7.38M
Atmos Energy Corp0.28%$7.21M
Arch Capital Group Ltd0.28%$7.17M
Edwards Lifesciences Corp0.28%$7.15M
Unilever PLC0.28%$7.14M
AbbVie Inc0.28%$7.12M
Humana Inc0.27%$7.08M
Icon PLC0.27%$7.07M
Jefferies LLC0.27%$6.98M
IDEX Corp0.27%$6.85M
Axon Enterprise Inc0.26%$6.73M
Intel Corp0.26%$6.72M
Ferguson Enterprises Inc0.26%$6.61M
Gsk PLC0.26%$6.58M
Mettler-Toledo International Inc0.25%$6.54M
Gilead Sciences Inc0.25%$6.33M
Thermo Fisher Scientific Inc0.24%$6.23M
Everest Group Ltd0.23%$6.05M
International Business Machines Corp0.23%$6.01M
National Bank Financial Inc0.23%$6.00M
Haleon PLC0.23%$5.99M
Waters Corp0.23%$5.90M
Mondelez International Inc0.23%$5.86M
Packaging Corp of America0.22%$5.75M
Crowdstrike Holdings Inc0.22%$5.56M
West Pharmaceutical Services Inc0.21%$5.38M
Vita Coco Co Inc/The0.20%$5.28M
Datadog Inc0.20%$5.09M
Invesco Govt And Agcy Lex0.19%$5.00M
The Bank Of Nova Scotia, Toronto0.19%$5.00M
National Bank Of Canada0.19%$5.00M
Dreyfus Treasury & Agency Lex0.19%$5.00M
Tfdxx Lex Blackrock Fed Fund0.19%$5.00M
Ms Govt US Lex0.19%$5.00M
New York Times Co/The0.19%$4.87M
Steris PLC0.18%$4.74M
Cummins Inc0.18%$4.59M
T-Mobile US Inc0.18%$4.56M
Revvity Inc0.17%$4.47M
British American Tobacco PLC0.17%$4.45M
Cytokinetics Inc0.17%$4.40M
EquipmentShare.com Inc0.17%$4.26M
Okta Inc0.16%$4.20M
Casey's General Stores Inc0.16%$4.20M
Space Exploration Technologies Corp0.16%$4.19M
Guardian Pharmacy Services Inc0.16%$4.07M
Figxx Fid Inst Govt Lex0.16%$4.00M
Standard Chartered Ny0.16%$4.00M
Rbc US Govt Money Mkt Fund0.16%$4.00M
Bank Of Montreal Toronto0.16%$4.00M
Goldman Sachs Fin Square Govt Fd0.16%$4.00M
Regeneron Pharmaceuticals Inc0.15%$3.96M
Samsara Inc0.15%$3.90M
Hamilton Insurance Group Ltd0.15%$3.85M
Insmed Inc0.15%$3.78M
Knight-Swift Transportation Holdings Inc0.15%$3.74M
Middleby Corp/The0.14%$3.73M
Church & Dwight Co Inc0.14%$3.71M
Tetra Tech Inc0.14%$3.71M
Hub Group Inc0.14%$3.70M
Parsons Corp0.14%$3.68M
Kymera Therapeutics Inc0.14%$3.60M
MongoDB Inc0.14%$3.57M
Freshpet Inc0.13%$3.37M
Abbott Laboratories0.13%$3.36M
Illumina Inc0.13%$3.31M
Netflix Inc0.12%$3.13M
Danaher Corp0.12%$3.01M
Intuitive Surgical Inc0.12%$2.99M
Newmont Corp0.11%$2.92M
Anheuser-Busch InBev SA/NV0.11%$2.90M
Akamai Technologies Inc0.11%$2.86M
Structure Therapeutics Inc0.11%$2.84M
WW Grainger Inc0.11%$2.78M
Twilio Inc0.11%$2.77M
Freeport-McMoRan Inc0.10%$2.64M
Modine Manufacturing Co0.10%$2.62M
Delta Air Lines Inc0.10%$2.45M
Celanese Corp0.09%$2.44M
Stryker Corp0.09%$2.42M
LivaNova PLC0.09%$2.40M
Builders FirstSource Inc0.08%$2.02M
Mizuho Bank Limited New York0.08%$2.00M
NBC Global Finance Limited0.08%$2.00M
Virtu Americas LLC0.08%$2.00M
Ionic Ser Iii Cl A0.08%$2.00M
Natera Inc0.07%$1.90M
Dexcom Inc0.07%$1.90M
Societe Generale0.06%$1.52M
Navan Inc0.06%$1.47M
Iron Mountain Inc0.05%$1.39M
Moderna Inc0.05%$1.37M
EchoStar Corp0.05%$1.26M
Biogen Inc0.05%$1.19M
Fortinet Inc0.04%$1.03M
Nordea Bank Abp, New York Branch0.04%$1.00M
ING (US) Funding LLC0.04%$1.00M
Sumitomo Mitsui Banking Corp. Ny0.04%$1.00M
Intrepid Funding0.04%$1000.00K
Mitsubishi UFJ Trust & Bank Co0.04%$991.88K
ServiceNow Inc0.04%$956.07K
Goodyear Tire & Rubber Co/The0.03%$828.02K
Viatris Inc0.03%$749.14K
Definium Therapeutics Inc0.03%$663.69K
Zenas Biopharma Inc0.02%$606.81K
Spyre Therapeutics Inc0.02%$599.44K
Bridgebio Pharma Inc0.02%$515.77K
Western Asst Gov Fd0.02%$500.00K
Dpc Holdings Ltd0.02%$457.48K
Teva Pharmaceutical Industries Ltd0.02%$448.71K
Revolution Medicines Inc0.02%$406.96K
Avalyn Pharma Inc0.01%$381.35K

C000030760 overview: performance, fees, allocation and SEC filings