C000135666 Holdings — MML International Equity Fund

All 75 reported holdings of MML International Equity Fund (C000135666) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Taiwan Semiconductor Manufacturing Co Ltd3.44%$7.67M
Air Liquide SA2.77%$6.18M
Novartis AG2.75%$6.14M
Roche Holding AG2.66%$5.94M
TotalEnergies SE2.49%$5.54M
Schneider Electric SE2.48%$5.52M
Hitachi Ltd2.46%$5.48M
Rolls-Royce Holdings PLC2.06%$4.60M
Deutsche Boerse AG2.03%$4.54M
BNP Paribas SA2.00%$4.47M
Mitsubishi Electric Corp1.99%$4.43M
British American Tobacco PLC1.97%$4.39M
Intesa Sanpaolo SpA1.96%$4.38M
Engie SA1.95%$4.35M
Cie Financiere Richemont SA1.91%$4.26M
NatWest Group PLC1.85%$4.12M
Sompo Holdings Inc1.84%$4.11M
ING Groep NV1.82%$4.07M
AIA Group Ltd1.74%$3.88M
Sumitomo Mitsui Financial Group Inc1.73%$3.86M
Sap SE1.72%$3.83M
AIB Group PLC1.69%$3.77M
Compass Group PLC1.67%$3.72M
Shin-Etsu Chemical Co Ltd1.65%$3.69M
Gsk PLC1.59%$3.56M
Eni SpA1.56%$3.48M
UBS Group AG1.52%$3.39M
Tencent Holdings Ltd1.50%$3.35M
Ryanair Holdings PLC1.46%$3.26M
Seven & i Holdings Co Ltd1.41%$3.15M
Capgemini SE1.40%$3.12M
Relx PLC1.38%$3.08M
Kone Oyj1.35%$3.02M
Sony Group Corp1.35%$3.01M
Zurich Insurance Group AG1.35%$3.00M
LVMH Moet Hennessy Louis Vuitton SE1.27%$2.84M
Merck KGaA1.27%$2.84M
DBS Group Holdings Ltd1.25%$2.78M
Experian PLC1.21%$2.70M
Toronto-Dominion Bank/The1.19%$2.66M
Tesco PLC1.19%$2.65M
Carlsberg AS1.18%$2.64M
Cie de Saint-Gobain SA1.15%$2.57M
Daikin Industries Ltd1.14%$2.55M
Amadeus IT Group SA1.12%$2.50M
Check Point Software Technologies Ltd1.11%$2.48M
Legrand SA1.05%$2.35M
Nestle SA1.00%$2.23M
Beiersdorf AG0.98%$2.18M
Rio Tinto PLC0.97%$2.16M
Suzuki Motor Corp0.95%$2.12M
Denso Corp0.94%$2.09M
Terumo Corp0.89%$1.97M
Pernod Ricard SA0.83%$1.85M
NetEase Inc0.83%$1.85M
FUJIFILM Holdings Corp0.77%$1.71M
London Stock Exchange Group PLC0.75%$1.67M
LY Corp0.74%$1.66M
Prudential PLC0.73%$1.64M
Hoya Corp0.70%$1.57M
Sonova Holding AG0.65%$1.44M
Cie Generale des Etablissements Michelin SCA0.63%$1.41M
Qiagen NV0.62%$1.38M
Intact Financial Corp0.59%$1.32M
ZOZO Inc0.58%$1.30M
Bank of Ireland Group PLC0.58%$1.29M
MTU Aero Engines AG0.51%$1.14M
Olympus Corp0.45%$1.01M
Edenred SE0.43%$952.58K
Novo Nordisk A/S0.42%$943.67K
Fixed Income Clearing Corp.0.38%$852.33K
Galp Energia SGPS SA0.38%$843.90K
Kose Holdings Corp0.33%$738.51K
HDFC Bank Ltd0.31%$693.28K
Canadian National Railway Co0.24%$532.76K

C000135666 overview: performance, fees, allocation and SEC filings