C000067568 Holdings — MML Strategic Emerging Markets Fund

All 84 reported holdings of MML Strategic Emerging Markets Fund (C000067568) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Taiwan Semiconductor Manufac9.49%$3.93M
Tencent Holdings Ltd.8.50%$3.52M
H World Group Ltd. ADR5.25%$2.17M
Kotak Mahindra Bank Ltd.5.24%$2.17M
Meituan Class B4.63%$1.92M
Hdfc Bank Limited3.19%$1.32M
Grupo Mexico Sab De Cv Ser B2.66%$1.10M
Galp Energia Sgps SA2.58%$1.07M
Tata Consultancy Svcs Ltd.2.27%$940.67K
Fomento Economico Mexica Ubd2.16%$892.96K
Repurchase Agreement2.06%$851.16K
Bank Central Asia Tbk Pt1.83%$758.13K
Samsung Biologics Co. Ltd.1.73%$718.44K
Sm Investments Corp.1.72%$710.32K
Firstrand Ltd.1.62%$671.19K
Astrazeneca PLC1.59%$657.50K
Daiichi Sankyo Co. Ltd.1.59%$657.05K
Alibaba Group Holding Sp ADR1.55%$641.84K
Prada S.p.a.1.50%$622.05K
Oberoi Realty Ltd.1.50%$619.16K
Sk Hynix, Inc.1.40%$579.78K
Contemporary Amperex Techn A1.39%$574.79K
Pdd Holdings, Inc.1.27%$527.01K
Mercadolibre, Inc.1.26%$520.88K
Aia Group Ltd.1.23%$511.00K
Samsung Electronics Co. Ltd.1.23%$509.04K
Itau Unibanco Holding S Pref1.21%$500.84K
Totalenergies SE1.19%$493.71K
Argenx SE ADR1.17%$486.51K
Netease, Inc. ADR1.14%$470.34K
Chugai Pharmaceutical Co. Ltd.1.05%$433.90K
Weg SA1.04%$430.74K
Macrotech Developers Ltd.1.02%$422.11K
Wuxi Biologics Cayman, Inc.1.00%$412.66K
Mediatek, Inc.0.92%$379.50K
Credicorp Ltd.0.90%$371.58K
Localiza Rent A Car0.82%$339.10K
Allegro.eu SA0.79%$325.22K
Wuxi Apptec Co. Ltd. H0.77%$318.39K
Infosys Ltd.0.73%$304.34K
Icici Bank Ltd.0.70%$289.12K
Airtac International Group0.67%$278.68K
Hong Kong Exchanges + Clear0.64%$266.91K
Naver Corp.0.64%$266.14K
Legend Biotech Corp. ADR0.64%$265.67K
Antofagasta PLC0.61%$253.79K
Zabka Group SA0.60%$249.54K
Banco Btg Pactual SA Unit0.58%$240.95K
Voltronic Power Technology0.56%$231.44K
Byd Co. Ltd. H0.55%$227.46K
Raia Drogasil SA0.54%$225.67K
Zto Express Cayman, Inc. ADR0.53%$218.62K
Hcl Technologies Ltd.0.50%$208.50K
Banco De Chile0.50%$208.48K
Mahindra + Mahindra Ltd.0.50%$206.48K
Moncler Spa0.49%$201.63K
Nu Holdings Ltd/cayman Isl A0.48%$200.81K
Zealand Pharma A/s0.48%$200.05K
Kering0.46%$190.03K
Havells India Ltd.0.45%$184.92K
Sm Prime Holdings, Inc.0.41%$169.30K
Cie Financiere Richemo A Reg0.37%$151.92K
Grupo Aeroport Del Sureste B0.33%$135.00K
Biontech SE ADR0.32%$133.22K
Americana Restaurants Intern0.31%$129.83K
Bajaj Finserv Ltd.0.28%$114.41K
Yum China Holdings, Inc.0.26%$106.20K
Applied Materials, Inc.0.25%$104.05K
Asml Holding NV Ny Reg Shs0.24%$100.72K
Bajaj Finance Ltd.0.24%$97.88K
Ermenegildo Zegna NV0.23%$96.63K
Cholamandalam Investment And0.21%$88.22K
Capitec Bank Holdings Ltd.0.17%$70.34K
Akbank T.a.s.0.11%$47.10K
Delta Electronics, Inc.0.11%$44.09K
Dlf Ltd.0.10%$42.74K
America Movil Sab De Cv0.09%$38.04K
Trip.com Group Ltd. ADR0.07%$27.72K
Vale SA Sp ADR0.06%$23.28K
H World Group Ltd.0.05%$21.80K
New Horizon Health Ltd.0.03%$11.45K
B3 SA Brasil Bolsa Balcao0.02%$10.21K
Sberbank Of Russia Pjsc0.00%$0
Novatek Pjsc Spons Gdr Reg S0.00%$0

C000067568 overview: performance, fees, allocation and SEC filings