METLIFE INC 5.625 - Common Stock (METPRE) Institutional Ownership

13F Institutional Holders and Ownership History from Q2 2018 to Q4 2025

Type / Class
Equity / Common Stock
Symbol
METPRE
Price per share
$24.31
All holders as of 31 Dec 2025
Q4 2025
Total 13F shares
44,805
Total reported value
$1,064,139
% of total 13F portfolios
0%
Share change
+42,354
Value change
+$1,005,920
Number of holders
5
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 31 Dec 2025, 5 institutional investors reported holding 44,805 shares of METLIFE INC 5.625 - Common Stock (METPRE).

Institutional Holders of METLIFE INC 5.625 - Common Stock (METPRE) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 44,805 $1,064,139 +$1,005,920 $23.75 5
2025 Q3 2,451 $60,980 -$924,915 $24.88 4
2025 Q2 41,700 $982,926 +$11,843 $23.59 5
2025 Q1 41,165 $970,670 -$7,117,415 $23.58 4
2024 Q4 343,521 $8,086,436 +$56,848 $23.54 5
2024 Q3 340,992 $8,435,552 +$903,932 $24.74 4
2024 Q2 304,455 $7,437,065 -$660,220 $24.43 3
2024 Q1 332,150 $7,978,333 +$1,119,094 $24.02 4
2023 Q4 285,560 $6,935,893 -$159,789 $24.29 2
2023 Q3 292,139 $6,559,636 +$137,198 $23.43 3
2023 Q2 286,027 $6,871,064 +$183,611 $24.37 2
2023 Q1 278,284 $6,939,954 +$34,186 $24.94 2
2022 Q4 277,244 $6,382,258 +$19,613 $23.02 4
2022 Q3 273,292 $6,613,000 -$359,969 $24.20 1
2022 Q2 287,630 $7,329,000 -$464,049 $25.49 2
2022 Q1 305,723 $7,866,000 +$115,958 $25.74 2
2021 Q4 301,216 $7,952,000 +$619,586 $26.41 2
2021 Q3 277,620 $7,558,000 -$183,897 $27.25 3
2021 Q2 283,884 $7,896,000 +$641,332 $27.82 4
2021 Q1 260,832 $7,127,000 +$212,194 $27.32 3
2020 Q4 253,066 $7,155,000 -$10,821,193 $28.29 3
2020 Q3 648,329 $17,745,000 +$1,118,091 $27.37 4
2020 Q2 607,477 $15,898,000 +$10,229,537 $26.17 4
2020 Q1 218,772 $5,496,000 +$1,750,732 $24.94 4
2019 Q4 147,082 $4,021,000 +$1,476,348 $27.33 5
2019 Q3 93,075 $2,218,335 -$356,604 $27.41 4
2019 Q2 97,908 $2,537,000 -$799,535 $25.90 4
2019 Q1 129,534 $3,305,000 +$1,196,493 $25.52 3
2018 Q4 82,650 $1,947,000 -$17,666 $23.56 2
2018 Q3 83,400 $2,102,000 +$1,446,348 $25.21 2
2018 Q2 26,000 $662,000 +$662,000 $25.46 1