C000030760 Holdings — Brighthouse/Wellington Large Cap Research Portfolio

All 217 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 Corp8.77%$201.79M
Apple Inc5.66%$130.15M
Microsoft Corp4.89%$112.42M
Amazon.com Inc4.81%$110.74M
Alphabet Inc4.45%$102.43M
Broadcom Inc3.27%$75.24M
Meta Platforms Inc2.75%$63.26M
Exxon Mobil Corp2.51%$57.71M
Wells Fargo & Co2.03%$46.74M
Mastercard Inc1.80%$41.36M
Eli Lilly & Co1.73%$39.78M
Tesla Inc1.70%$39.06M
Walmart Inc1.67%$38.51M
Berkshire Hathaway Inc1.63%$37.49M
Goldman Sachs Group Inc/The1.32%$30.41M
Blackrock Inc1.28%$29.51M
Advanced Micro Devices Inc1.27%$29.11M
Kkr + Co., Inc. A1.23%$28.22M
Merck & Co Inc1.16%$26.73M
The Bank Of Nova Scotia, Toronto1.09%$25.00M
US Foods Holding Corp0.99%$22.68M
Shell PLC0.92%$21.21M
Micron Technology Inc0.91%$21.05M
Welltower Inc0.91%$21.04M
Fixed Income Clearing Corp.0.90%$20.76M
Sempra0.86%$19.79M
T-Mobile US Inc0.83%$19.10M
Cantor Fitzgeral & Co0.83%$19.00M
KLA Corp0.77%$17.76M
Marsh & McLennan Cos Inc0.76%$17.53M
Linde PLC0.75%$17.24M
Targa Resources Corp0.73%$16.84M
Coca-Cola Co/The0.71%$16.39M
Dominion Energy Inc0.71%$16.23M
Clean Harbors Inc0.68%$15.76M
AAON Inc0.67%$15.51M
Marriott International Inc/MD0.67%$15.35M
Hyatt Hotels Corp0.65%$14.97M
Philip Morris International Inc0.63%$14.58M
Palantir Technologies Inc0.63%$14.41M
Bank Of Montreal Toronto0.61%$14.00M
Walt Disney Co/The0.60%$13.85M
James Hardie Industries PLC0.55%$12.76M
Synopsys Inc0.55%$12.61M
Northrop Grumman Corp0.53%$12.27M
Chubb Ltd0.53%$12.13M
Marvell Technology Inc0.53%$12.12M
KeyCorp0.52%$12.03M
NBC Global Finance Limited0.52%$12.00M
Starbucks Corp0.51%$11.69M
Primoris Services Corp0.49%$11.33M
Coterra Energy Inc0.49%$11.30M
Marathon Petroleum Corp0.49%$11.22M
Haleon PLC0.47%$10.89M
Pool Corp0.47%$10.83M
Unilever PLC0.46%$10.57M
Eaton Corp PLC0.46%$10.47M
Arista Networks Inc0.45%$10.33M
CMS Energy Corp0.45%$10.26M
PG&E Corp0.44%$10.20M
Intuitive Surgical Inc0.44%$10.03M
PACCAR Inc0.43%$10.00M
Figxx Fid Inst Govt Lex0.43%$10.00M
Citigroup Global Markets Inc0.43%$10.00M
Ms Govt US Lex0.43%$10.00M
National Bank Financial Inc0.43%$10.00M
Goldman Sachs Fin Square Govt Fd0.43%$10.00M
Citigroup Global Markets Inc0.43%$10.00M
WESCO International Inc0.42%$9.72M
Royal Caribbean Cruises Ltd0.42%$9.69M
NRG Energy Inc0.40%$9.24M
Atmos Energy Corp0.40%$9.13M
Palo Alto Networks Inc0.40%$9.11M
Ferguson Enterprises Inc0.39%$9.02M
Johnson & Johnson0.39%$9.00M
PPG Industries Inc0.38%$8.85M
Snowflake Inc0.38%$8.83M
Boeing Co/The0.38%$8.73M
DoorDash Inc0.38%$8.66M
Cardinal Health Inc0.37%$8.44M
Samsara Inc0.36%$8.27M
The Bank Of Nova Scotia, Toronto0.35%$8.00M
Flex Ltd0.34%$7.93M
New York Times Co/The0.34%$7.91M
Arch Capital Group Ltd0.33%$7.65M
Vertex Pharmaceuticals Inc0.33%$7.56M
Lowe's Cos Inc0.32%$7.37M
Trex Co Inc0.32%$7.34M
Equitable Holdings Inc0.31%$7.23M
Knight-Swift Transportation Holdings Inc0.31%$7.21M
Nucor Corp0.31%$7.15M
Gsk PLC0.30%$7.00M
Waste Connections Inc0.30%$6.90M
Autodesk Inc0.30%$6.86M
Edwards Lifesciences Corp0.29%$6.78M
Oracle Corp0.29%$6.66M
AbbVie Inc0.29%$6.61M
IDEX Corp0.29%$6.56M
Regal Rexnord Corp0.28%$6.55M
Datadog Inc0.28%$6.52M
Danaher Corp0.26%$6.05M
Loar Holdings Inc0.26%$6.01M
Everest Group Ltd0.25%$5.82M
Monster Beverage Corp0.24%$5.57M
Spotify Technology SA0.23%$5.22M
Abbott Laboratories0.22%$5.16M
Stryker Corp0.22%$5.12M
O'Reilly Automotive Inc0.22%$5.07M
Fifth Third Bancorp0.22%$5.00M
Dz Bank AG New York0.22%$5.00M
Barclays Capital Inc0.22%$5.00M
National Bank Of Canada0.22%$5.00M
Crowdstrike Holdings Inc0.22%$4.96M
Packaging Corp of America0.21%$4.76M
UnitedHealth Group Inc0.20%$4.69M
Dexcom Inc0.20%$4.69M
WW Grainger Inc0.20%$4.66M
Elevance Health Inc0.20%$4.59M
Guardian Pharmacy Services Inc0.20%$4.58M
KBR Inc0.20%$4.56M
Netflix Inc0.20%$4.54M
Vertiv Holdings Co0.19%$4.36M
Regeneron Pharmaceuticals Inc0.19%$4.29M
StandardAero Inc0.18%$4.22M
Newmont Corp0.18%$4.13M
United Therapeutics Corp0.18%$4.06M
Svenska Ny0.17%$4.00M
National Bank Of Canada0.17%$4.00M
Credit Agricole Cib, Ny0.17%$4.00M
Middleby Corp/The0.17%$4.00M
Tetra Tech Inc0.17%$3.86M
Casey's General Stores Inc0.17%$3.85M
Cytokinetics Inc0.17%$3.80M
Gilead Sciences Inc0.16%$3.70M
PepsiCo Inc0.16%$3.69M
Ross Stores Inc0.16%$3.64M
AstraZeneca PLC0.16%$3.62M
Celanese Corp0.15%$3.49M
Thermo Fisher Scientific Inc0.15%$3.44M
Hamilton Insurance Group Ltd0.15%$3.39M
Freshpet Inc0.15%$3.36M
EquipmentShare.com Inc0.14%$3.28M
Waters Corp0.14%$3.26M
Elanco Animal Health Inc0.14%$3.23M
Steris PLC0.14%$3.20M
Xenon Pharmaceuticals Inc0.14%$3.18M
CVS Health Corp0.14%$3.14M
Amgen Inc0.13%$3.08M
The Bank Of Nova Scotia, Toronto0.13%$3.00M
Dreyfus Treasury & Agency Lex0.13%$3.00M
Structure Therapeutics Inc0.12%$2.78M
Newamsterdam Pharma Co NV0.11%$2.64M
Johnson Controls International plc0.11%$2.63M
Vita Coco Co Inc/The0.11%$2.58M
Performance Food Group Co0.11%$2.55M
National Bank Financial Inc0.11%$2.50M
Bank Of Montreal Chicago0.11%$2.50M
Icon PLC0.11%$2.47M
British American Tobacco PLC0.10%$2.41M
Argenx SE0.10%$2.32M
Boston Scientific Corp0.10%$2.28M
ServiceNow Inc0.10%$2.26M
Axon Enterprise Inc0.10%$2.20M
Sap SE0.09%$2.12M
Revolution Medicines Inc0.09%$2.07M
Medtronic PLC0.09%$2.05M
VeraDermics Inc0.09%$2.00M
Concord Minutemen Cc LLC Ser C0.09%$2.00M
Invesco Govt And Agcy Lex0.09%$2.00M
Tfdxx Lex Blackrock Fed Fund0.09%$2.00M
Verto Capital I Compartment A0.09%$1.99M
Builders FirstSource Inc0.09%$1.99M
Sumitomo Mitsui Trust Bank Ltd, Ldn0.09%$1.98M
Sumitomo Mitsui Trust Bank Ltd, Ldn0.09%$1.98M
Natera Inc0.08%$1.92M
Goodyear Tire & Rubber Co/The0.08%$1.91M
Bank of New York Mellon Corp/The0.08%$1.90M
Hub Group Inc0.08%$1.89M
Navan Inc0.07%$1.68M
BellRing Brands Inc0.07%$1.62M
Alignment Healthcare Inc0.07%$1.58M
EchoStar Corp0.07%$1.54M
Ascendis Pharma A/S0.07%$1.52M
LivaNova PLC0.06%$1.32M
Cencora Inc0.06%$1.29M
Deutsche Bank Securities Inc.0.05%$1.20M
Bio-Techne Corp0.05%$1.08M
Celsius Holdings Inc0.05%$1.06M
ING (US) Funding LLC0.04%$999.95K
Sumitomo Mitsui Trust Bank Ltd, Ldn0.04%$1.00M
Verto Capital I Compartment C0.04%$999.79K
Bnp Paribas, Ny0.04%$999.97K
Commonwealth Bank Aus, New York0.04%$1.00M
Ionic Ser Iii Cl A0.04%$999.89K
Mitsubishi UFJ Trust & Bank Co0.04%$992.23K
Spyre Therapeutics Inc0.04%$964.87K
Protagonist Therapeutics Inc0.04%$960.40K
Ingevity Corp0.04%$959.40K
West Pharmaceutical Services Inc0.04%$902.30K
elf Beauty Inc0.04%$864.18K
Incyte Corp0.04%$859.22K
Apogee Therapeutics Inc0.04%$807.53K
Ionis Pharmaceuticals Inc0.03%$797.61K
Mirum Pharmaceuticals Inc0.03%$780.80K
Dianthus Therapeutics Inc0.03%$739.92K
Cogent Biosciences Inc0.03%$691.40K
Magnum Ice Cream Co NV/The0.03%$636.97K
Acadia Healthcare Co Inc0.03%$607.63K
York Space Systems Inc0.03%$601.41K
Disc Medicine Inc0.03%$595.35K
Scholar Rock Holding Corp0.02%$547.69K
Champion Homes Inc0.02%$521.41K
Western Asst Gov Fd0.02%$500.00K
Corvus Pharmaceuticals Inc0.02%$369.14K
Oddity Tech Ltd0.02%$357.83K
HCA Healthcare Inc0.00%$92.28K
Chicago Mercantile Exchange-0.01%$-170.16K

C000030760 overview: performance, fees, allocation and SEC filings