C000067770 Holdings — MML Equity Income Fund

All 119 reported holdings of MML Equity Income Fund (C000067770) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Amazon.com Inc4.21%$13.80M
Microsoft Corp3.92%$12.88M
Apple Inc3.10%$10.19M
MetLife Inc2.03%$6.67M
Intel Corp2.02%$6.63M
Southern Co/The1.94%$6.35M
Citigroup Inc1.80%$5.92M
QUALCOMM Inc1.76%$5.79M
JPMorgan Chase & Co1.71%$5.62M
TotalEnergies SE1.62%$5.32M
Colgate-Palmolive Co1.57%$5.16M
Charles Schwab Corp/The1.57%$5.15M
Applied Materials Inc1.54%$5.04M
CVS Health Corp1.51%$4.97M
Stanley Black & Decker Inc1.49%$4.89M
Elevance Health Inc1.47%$4.83M
Chubb Ltd1.45%$4.76M
US Bancorp1.41%$4.62M
Siemens AG1.38%$4.53M
CSX Corp1.33%$4.37M
ConocoPhillips1.32%$4.33M
Equitable Holdings Inc1.27%$4.17M
Procter & Gamble Co/The1.23%$4.04M
Fortive Corp1.22%$4.01M
Loews Corp1.22%$4.00M
Exxon Mobil Corp1.18%$3.86M
Philip Morris International Inc1.15%$3.77M
Huntington Bancshares Inc/OH1.14%$3.73M
Southwest Airlines Co1.11%$3.63M
CF Industries Holdings Inc1.10%$3.62M
Becton Dickinson & Co1.09%$3.59M
Equity Residential1.09%$3.58M
Bank of America Corp1.08%$3.55M
International Paper Co1.06%$3.49M
Cisco Systems Inc1.05%$3.43M
Boeing Co/The1.00%$3.27M
Merck & Co Inc0.99%$3.26M
Viatris Inc0.99%$3.24M
L3Harris Technologies Inc0.98%$3.23M
Fifth Third Bancorp0.98%$3.22M
American International Group Inc0.96%$3.13M
General Electric Co0.95%$3.10M
UnitedHealth Group Inc0.94%$3.08M
Alliant Energy Corp0.93%$3.05M
Home Depot Inc/The0.87%$2.86M
Sempra0.85%$2.79M
Zimmer Biomet Holdings Inc0.84%$2.75M
Ameren Corp0.84%$2.74M
Samsung Electronics Co Ltd0.83%$2.74M
Wells Fargo & Co0.82%$2.71M
Las Vegas Sands Corp0.80%$2.61M
Chevron Corp0.80%$2.61M
United Parcel Service Inc0.79%$2.58M
Rayonier Inc0.78%$2.55M
Allstate Corp/The0.73%$2.39M
Cigna Group/The0.71%$2.34M
Johnson & Johnson0.70%$2.31M
Walt Disney Co/The0.70%$2.28M
NextEra Energy Inc0.69%$2.25M
Bristol-Myers Squibb Co0.67%$2.21M
Kimberly-Clark Corp0.67%$2.20M
Kenvue Inc0.67%$2.18M
T-Mobile US Inc0.66%$2.18M
News Corp0.65%$2.14M
EOG Resources Inc0.64%$2.09M
AstraZeneca PLC0.64%$2.09M
AGCO Corp0.63%$2.07M
Union Pacific Corp0.62%$2.02M
Medtronic PLC0.61%$2.00M
Rockwell Automation Inc0.61%$1.99M
SLB Ltd0.57%$1.88M
Rexford Industrial Realty Inc0.55%$1.80M
Expand Energy Corp0.53%$1.75M
State Street Corp0.53%$1.75M
Salesforce Inc0.53%$1.74M
West Fraser Timber Co Ltd0.51%$1.67M
Walmart Inc0.50%$1.64M
Waters Corp0.49%$1.59M
Novo Nordisk A/S0.47%$1.55M
Thermo Fisher Scientific Inc0.47%$1.53M
Boeing Co/the0.43%$1.40M
Meta Platforms Inc0.41%$1.35M
StandardAero Inc0.40%$1.33M
Williams Cos Inc/The0.40%$1.31M
TC Energy Corp0.39%$1.29M
Unilever PLC0.39%$1.29M
Texas Instruments Inc0.38%$1.26M
Ralliant Corp0.37%$1.22M
Booz Allen Hamilton Holding Corp0.37%$1.21M
Fixed Income Clearing Corp.0.35%$1.16M
Avery Dennison Corp0.33%$1.08M
Advanced Micro Devices Inc0.29%$953.85K
Kinder Morgan Inc0.27%$901.94K
Biogen Inc0.26%$859.05K
South Bow Corp0.26%$857.62K
EQT Corp0.26%$845.93K
Tyson Foods Inc0.26%$844.90K
Capital One Financial Corp0.26%$841.40K
Xcel Energy Inc0.26%$839.62K
Fiserv Inc0.25%$819.33K
Southern Co.0.24%$778.03K
Weyerhaeuser Co0.23%$765.86K
3M Co0.22%$708.03K
Morgan Stanley0.20%$669.14K
TE Connectivity PLC0.19%$619.14K
Norfolk Southern Corp0.18%$604.96K
Apollo Global Management Inc0.18%$589.66K
Middleby Corp/The0.17%$568.15K
Public Storage0.15%$499.75K
Sun Communities Inc0.15%$492.59K
Alphabet Inc0.15%$486.89K
Skyworks Solutions Inc0.11%$345.78K
Accenture PLC0.09%$301.64K
Mattel Inc0.09%$296.70K
Phillips 660.07%$237.52K
Global Payments Inc0.07%$232.63K
Airbus SE0.06%$180.51K
Dover Corp0.05%$156.10K
T. Rowe Price Government Reserve Fund0.00%$112

C000067770 overview: performance, fees, allocation and SEC filings