C000140956 Holdings — Brighthouse/Artisan International Portfolio

All 79 reported holdings of Brighthouse/Artisan International Portfolio (C000140956) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Taiwan Semiconductor Manufacturing Co Ltd4.46%$36.78M
National Grid PLC4.40%$36.25M
UBS Group AG4.33%$35.67M
Contemporary Amperex Technology Co Ltd4.22%$34.75M
Tesco PLC3.28%$27.00M
Safran SA3.17%$26.11M
Air Liquide SA2.96%$24.39M
HSBC Holdings PLC2.86%$23.57M
British American Tobacco PLC2.78%$22.90M
Spie SA2.51%$20.71M
J Sainsbury PLC2.48%$20.44M
Mitsubishi UFJ Financial Group Inc2.42%$19.96M
Danske Bank A/S2.17%$17.91M
BNP Paribas SA2.15%$17.75M
LIG Defense&Aerospace Co Ltd2.15%$17.72M
Piraeus Bank SA1.98%$16.28M
Babcock International Group PLC1.94%$15.97M
Japan Post Bank Co Ltd1.87%$15.40M
Samsung Electronics Co Ltd1.86%$15.29M
Sse PLC1.83%$15.10M
AIA Group Ltd1.77%$14.62M
Enel SpA1.72%$14.18M
Tencent Holdings Ltd1.70%$14.04M
Vonovia SE1.70%$14.02M
MTU Aero Engines AG1.60%$13.15M
Sumitomo Electric Industries Ltd1.56%$12.82M
Lloyds Banking Group PLC1.45%$11.92M
Unilever PLC1.32%$10.91M
Hyosung Heavy Industries Corp1.29%$10.63M
Elia Group SA/NV1.25%$10.28M
Aena SME SA1.21%$9.97M
Ucb SA1.20%$9.91M
Korea Electric Power Corp1.19%$9.80M
Fixed Income Clearing Corp.1.17%$9.68M
Sgs SA1.16%$9.55M
CaixaBank SA1.15%$9.45M
Fujikura Ltd1.07%$8.83M
Tencent Holdings Ltd1.06%$8.77M
Ryanair Holdings PLC1.06%$8.74M
Techtronic Industries Co Ltd1.05%$8.62M
Diageo PLC1.04%$8.59M
Nkt A/s1.03%$8.48M
AstraZeneca PLC0.98%$8.05M
Airbus SE0.94%$7.74M
Deutsche Boerse AG0.93%$7.65M
Toyota Motor Corp0.84%$6.92M
Melrose Industries PLC0.83%$6.85M
ASML Holding NV0.82%$6.74M
HD Hyundai Electric Co Ltd0.82%$6.74M
Argenx SE0.79%$6.48M
Sun Hung Kai Properties Ltd0.72%$5.95M
Medacta Group SA0.69%$5.71M
Public Power Corp SA0.62%$5.13M
Crh PLC0.50%$4.09M
Otsuka Holdings Co Ltd0.48%$3.95M
Astor Transformator Enerji Turizm Insaat Ve Petrol Sanayi Ticaret AS0.43%$3.53M
London Stock Exchange Group PLC0.41%$3.40M
Balfour Beatty PLC0.39%$3.22M
Csg NV0.35%$2.92M
Magnum Ice Cream Co NV/The0.34%$2.83M
BFF Bank SpA0.32%$2.61M
Rwe AG0.32%$2.60M
Samsung Electronics Co Ltd0.31%$2.52M
Accor SA0.25%$2.08M
Siemens Energy AG0.19%$1.59M
Singapore Technologies Engineering Ltd0.15%$1.26M
MNC Solution Co Ltd0.14%$1.13M
BE Semiconductor Industries NV0.10%$788.40K
Argenx SE0.09%$719.83K
Siemens Healthineers AG0.09%$702.21K
Allspring Govt Fund Lex0.06%$500.00K
Figxx Fid Inst Govt Lex0.06%$500.00K
Goldman Sachs Fin Square Govt Fd0.06%$500.00K
HSBC Bank PLC0.06%$500.00K
Dreyfus Treasury & Agency Lex0.05%$400.00K
Invesco Govt And Agcy Lex0.04%$300.00K
The Bank Of Nova Scotia, Toronto0.02%$200.00K
Jefferies LLC0.01%$95.66K
Societe Generale0.01%$50.00K

C000140956 overview: performance, fees, allocation and SEC filings