C000031719 Holdings — MML Mid Cap Growth Fund

All 120 reported holdings of MML Mid Cap Growth Fund (C000031719) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Fixed Income Clearing Corp.2.84%$10.01M
Hilton Worldwide Holdings Inc2.72%$9.58M
Agilent Technologies Inc2.17%$7.63M
Lattice Semiconductor Corp2.11%$7.44M
Mettler-Toledo International Inc1.95%$6.88M
Viking Holdings Ltd1.95%$6.87M
Keysight Technologies Inc1.83%$6.46M
Yum! Brands Inc1.83%$6.43M
Burlington Stores Inc1.80%$6.34M
PTC Inc1.78%$6.27M
TechnipFMC PLC1.73%$6.08M
Alnylam Pharmaceuticals Inc1.71%$6.00M
Monolithic Power Systems Inc1.64%$5.77M
MSCI Inc1.64%$5.77M
Assurant Inc1.51%$5.33M
Liberty Media Corp-Liberty Formula One1.48%$5.22M
Old Dominion Freight Line Inc1.47%$5.17M
Tyler Technologies Inc1.47%$5.17M
Domino's Pizza Inc1.43%$5.04M
MACOM Technology Solutions Holdings Inc1.42%$5.01M
Dollar Tree Inc1.42%$4.99M
Veralto Corp1.40%$4.94M
New York Times Co/The1.38%$4.86M
Cooper Cos Inc/The1.36%$4.79M
Cencora Inc1.35%$4.74M
Ferguson Enterprises Inc1.34%$4.73M
Microchip Technology Inc1.34%$4.72M
Veeva Systems Inc1.27%$4.47M
EQT Corp1.26%$4.45M
Martin Marietta Materials Inc1.19%$4.18M
West Pharmaceutical Services Inc1.19%$4.18M
Planet Fitness Inc1.16%$4.09M
Esab Corp1.15%$4.06M
Ingersoll Rand Inc1.14%$4.03M
XPO Inc1.12%$3.93M
Cboe Global Markets Inc1.09%$3.84M
UL Solutions Inc1.08%$3.81M
Ulta Beauty Inc1.08%$3.79M
Raymond James Financial Inc1.05%$3.69M
TransUnion1.03%$3.63M
Avery Dennison Corp1.02%$3.60M
Teleflex Inc0.99%$3.50M
Ross Stores Inc0.98%$3.45M
Service Corp International/US0.98%$3.45M
Textron Inc0.98%$3.43M
Booz Allen Hamilton Holding Corp0.96%$3.37M
Manhattan Associates Inc0.95%$3.35M
Elanco Animal Health Inc0.94%$3.31M
Ionis Pharmaceuticals Inc0.94%$3.29M
Pool Corp0.92%$3.23M
Liberty Live Holdings Inc0.90%$3.15M
Paylocity Holding Corp0.89%$3.13M
Tradeweb Markets Inc0.83%$2.92M
Cheniere Energy Inc0.81%$2.85M
US Foods Holding Corp0.81%$2.84M
Insulet Corp0.80%$2.83M
Ascendis Pharma A/S0.77%$2.72M
Ball Corp0.75%$2.65M
Quanta Services Inc0.75%$2.64M
ITT Inc0.74%$2.62M
RB Global Inc0.74%$2.61M
Everpure Inc0.73%$2.55M
Zoom Communications Inc0.71%$2.48M
Birkenstock Holding Plc0.69%$2.42M
Casey's General Stores Inc0.68%$2.39M
StandardAero Inc0.64%$2.25M
Encompass Health Corp0.64%$2.24M
Reddit Inc0.62%$2.17M
McCormick & Co Inc/MD0.61%$2.14M
Equifax Inc0.61%$2.14M
Markel Group Inc0.60%$2.13M
NXP Semiconductors NV0.59%$2.09M
BWX Technologies Inc0.59%$2.09M
Wyndham Hotels & Resorts Inc0.59%$2.08M
DT Midstream Inc0.58%$2.04M
Zscaler Inc0.52%$1.84M
Cytokinetics Inc0.52%$1.82M
API Group Corp0.49%$1.71M
Natera Inc0.48%$1.69M
State Street Global Advisors0.46%$1.61M
Sportradar Group AG0.44%$1.55M
Texas Roadhouse Inc0.43%$1.50M
TopBuild Corp0.40%$1.42M
Vaxcyte Inc0.40%$1.42M
Biogen Inc0.39%$1.37M
BioNTech SE0.39%$1.36M
Guidewire Software Inc0.36%$1.28M
Atlassian Corp0.35%$1.25M
Corpay Inc0.34%$1.21M
MongoDB Inc0.34%$1.21M
Live Nation Entertainment Inc0.32%$1.11M
Fortive Corp0.31%$1.10M
Descartes Systems Group Inc/The0.31%$1.08M
Acuity Inc0.30%$1.06M
Apogee Therapeutics Inc0.30%$1.05M
Rambus Inc0.29%$1.02M
Dutch Bros Inc0.29%$1.02M
Ryan Specialty Holdings Inc0.28%$973.80K
TPG Inc0.28%$971.43K
Avantor Inc0.27%$943.24K
Broadridge Financial Solutions Inc0.27%$941.57K
Wingstop Inc0.27%$932.92K
Ralliant Corp0.23%$813.79K
CG oncology Inc0.22%$782.31K
CRISPR Therapeutics AG0.21%$752.18K
Unity Software Inc0.21%$739.31K
DraftKings Inc0.21%$738.43K
Caris Life Sciences Inc0.21%$734.71K
Amphenol Corp0.19%$673.07K
Kymera Therapeutics Inc0.19%$672.82K
McGraw Hill Inc0.18%$645.74K
Aurora Innovation Inc0.18%$623.67K
Revolution Medicines Inc0.15%$536.92K
QuidelOrtho Corp0.14%$482.09K
Nuvalent Inc0.10%$355.30K
Bullish0.10%$347.90K
T. Rowe Price Government Reserve Fund0.00%$9.62K
T. Rowe Price Government Reserve Fund0.00%$58
T. Rowe Price Government Reserve Fund0.00%$13
T. Rowe Price Government Reserve Fund0.00%$32

C000031719 overview: performance, fees, allocation and SEC filings