C000031708 Holdings — MML Small/Mid Cap Value Fund

All 95 reported holdings of MML Small/Mid Cap Value Fund (C000031708) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
TechnipFMC PLC2.25%$2.70M
IDACORP Inc1.75%$2.09M
Reliance Inc1.68%$2.02M
US Foods Holding Corp1.68%$2.01M
BorgWarner Inc1.66%$1.99M
BJ's Wholesale Club Holdings Inc1.61%$1.93M
Jones Lang LaSalle Inc1.53%$1.84M
Hanover Insurance Group Inc/The1.52%$1.82M
Tenet Healthcare Corp1.51%$1.81M
F5 Inc1.50%$1.80M
Regal Rexnord Corp1.49%$1.79M
Globus Medical Inc1.48%$1.77M
Oshkosh Corp1.46%$1.75M
Kirby Corp1.45%$1.74M
Hasbro Inc1.43%$1.72M
CH Robinson Worldwide Inc1.42%$1.70M
TD SYNNEX Corp1.36%$1.63M
HA Sustainable Infrastructure Capital Inc1.36%$1.63M
Federated Hermes Inc1.35%$1.62M
Ciena Corp1.34%$1.60M
ON Semiconductor Corp1.33%$1.59M
Avnet Inc1.31%$1.57M
First Citizens BancShares Inc/NC1.31%$1.57M
Dollar Tree Inc1.31%$1.57M
Magnolia Oil & Gas Corp1.29%$1.55M
CACI International Inc1.29%$1.55M
Laureate Education Inc1.29%$1.54M
Envista Holdings Corp1.27%$1.52M
Matador Resources Co1.26%$1.51M
Knight-Swift Transportation Holdings Inc1.25%$1.50M
GXO Logistics Inc1.23%$1.47M
Plexus Corp1.22%$1.46M
Terex Corp1.19%$1.42M
GATX Corp1.19%$1.42M
RPM International Inc1.18%$1.42M
UMB Financial Corp1.18%$1.41M
Integer Holdings Corp1.16%$1.39M
American Financial Group Inc/OH1.14%$1.37M
Bio-Techne Corp1.12%$1.34M
ONE Gas Inc1.12%$1.34M
Crane NXT Co1.12%$1.34M
WaFd Inc1.10%$1.32M
Texas Capital Bancshares Inc1.10%$1.32M
COPT Defense Properties1.09%$1.31M
Hexcel Corp1.07%$1.28M
ArcBest Corp1.03%$1.24M
JBT Marel Corp1.03%$1.24M
Stifel Financial Corp1.02%$1.23M
Universal Display Corp1.02%$1.22M
WillScot Holdings Corp1.02%$1.22M
Robert Half Inc1.02%$1.22M
Frontdoor Inc1.00%$1.20M
Boise Cascade Co1.00%$1.19M
ADT Inc0.98%$1.18M
Calix Inc0.98%$1.18M
Independent Bank Corp0.98%$1.17M
First Advantage Corp0.98%$1.17M
Northern Oil & Gas Inc0.94%$1.13M
Core & Main Inc0.94%$1.13M
Element Solutions Inc0.94%$1.12M
O-I Glass Inc0.93%$1.11M
Chesapeake Utilities Corp0.92%$1.11M
Avient Corp0.91%$1.09M
Gibraltar Industries Inc0.90%$1.08M
FormFactor Inc0.89%$1.07M
Independence Realty Trust Inc0.89%$1.06M
STAG Industrial Inc0.89%$1.06M
Bath & Body Works Inc0.89%$1.06M
Wintrust Financial Corp0.88%$1.05M
Flagstar Bank NA0.88%$1.05M
WD-40 Co0.87%$1.04M
Encompass Health Corp0.86%$1.03M
Icon PLC0.85%$1.02M
CNH Industrial NV0.84%$1.01M
Pentair PLC0.82%$979.38K
ACI Worldwide Inc0.81%$966.61K
First BanCorp/Puerto Rico0.73%$876.98K
Brixmor Property Group Inc0.70%$843.90K
Zebra Technologies Corp0.69%$831.93K
Nice Ltd0.69%$821.44K
Taylor Morrison Home Corp0.66%$794.16K
Globant SA0.64%$768.88K
Eagle Materials Inc0.62%$747.19K
Brunswick Corp/DE0.62%$743.17K
Fixed Income Clearing Corp.0.61%$734.02K
Broadstone Net Lease Inc0.60%$723.82K
Walker & Dunlop Inc0.56%$671.20K
Ryman Hospitality Properties Inc0.53%$638.79K
CubeSmart0.52%$627.63K
American Healthcare REIT Inc0.52%$624.87K
Cboe Global Markets Inc0.51%$607.67K
First Hawaiian Inc0.44%$527.00K
CBIZ Inc0.25%$293.95K
NCR Atleos Corp0.22%$265.32K
State Street Global Advisors0.08%$90.13K

C000031708 overview: performance, fees, allocation and SEC filings