MLICM
AGG icon

Metropolitan Life Insurance Company (MetLife)’s iShares Core US Aggregate Bond ETF AGG Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$85.8M Buy
865,233
+404,430
+88% +$40.1M 25.65% 2
2025
Q1
$45.6M Sell
460,803
-3,900
-0.8% -$386K 21.08% 2
2024
Q4
$45M Sell
464,703
-106,500
-19% -$10.3M 17.85% 2
2024
Q3
$57.8M Buy
571,203
+34,269
+6% +$3.47M 20.56% 2
2024
Q2
$52.1M Sell
536,934
-17,600
-3% -$1.71M 20.57% 2
2024
Q1
$54.3M Buy
554,534
+34,800
+7% +$3.41M 2.37% 6
2023
Q4
$51.6M Buy
519,734
+400,200
+335% +$39.7M 2.42% 5
2023
Q3
$11.2M Hold
119,534
0.58% 26
2023
Q2
$11.7M Buy
119,534
+26,992
+29% +$2.64M 0.57% 27
2023
Q1
$9.22M Hold
92,542
0.47% 35
2022
Q4
$8.98M Hold
92,542
0.4% 46
2022
Q3
$8.92M Hold
92,542
0.42% 44
2022
Q2
$9.41M Sell
92,542
-4,354
-4% -$443K 0.41% 45
2022
Q1
$10.4M Hold
96,896
0.37% 51
2021
Q4
$11.1M Hold
96,896
0.15% 110
2021
Q3
$11.1M Hold
96,896
0.16% 105
2021
Q2
$11.2M Buy
96,896
+6,530
+7% +$752K 0.16% 103
2021
Q1
$10.3M Hold
90,366
0.15% 107
2020
Q4
$10.7M Hold
90,366
0.16% 107
2020
Q3
$10.7M Hold
90,366
0.18% 93
2020
Q2
$10.7M Buy
90,366
+17,056
+23% +$2.01M 0.19% 93
2020
Q1
$8.46M Hold
73,310
0.17% 109
2019
Q4
$8.25M Hold
73,310
0.13% 138
2019
Q3
$8.29M Hold
73,310
0.14% 130
2019
Q2
$8.16M Hold
73,310
0.14% 133
2019
Q1
$7.99M Hold
73,310
0.14% 120
2018
Q4
$7.77M Hold
73,310
0.16% 112
2018
Q3
$7.74M Sell
73,310
-956,980
-93% -$101M 0.13% 133
2018
Q2
$110M Sell
1,030,290
-7,070
-0.7% -$752K 1.77% 6
2018
Q1
$111M Sell
1,037,360
-21,900
-2% -$2.35M 1.57% 7
2017
Q4
$116M Sell
1,059,260
-83,569
-7% -$9.14M 1.54% 7
2017
Q3
$125M Sell
1,142,829
-19,631
-2% -$2.15M 0.78% 13
2017
Q2
$127M Sell
1,162,460
-53,776
-4% -$5.89M 0.88% 13
2017
Q1
$132M Buy
1,216,236
+20,962
+2% +$2.27M 0.91% 12
2016
Q4
$129M Sell
1,195,274
-114,000
-9% -$12.3M 0.93% 12
2016
Q3
$147M Sell
1,309,274
-8,391
-0.6% -$943K 1.08% 8
2016
Q2
$148M Buy
1,317,665
+30,100
+2% +$3.39M 1.1% 8
2016
Q1
$143M Buy
1,287,565
+38,200
+3% +$4.23M 1.1% 9
2015
Q4
$135M Sell
1,249,365
-40,080
-3% -$4.33M 1.04% 10
2015
Q3
$141M Sell
1,289,445
-3,000
-0.2% -$329K 1.02% 9
2015
Q2
$141M Buy
1,292,445
+32,000
+3% +$3.48M 0.99% 9
2015
Q1
$140M Buy
1,260,445
+52,452
+4% +$5.84M 1.03% 8
2014
Q4
$133M Sell
1,207,993
-35,200
-3% -$3.88M 0.92% 12
2014
Q3
$136M Buy
1,243,193
+13,790
+1% +$1.5M 0.98% 10
2014
Q2
$134M Buy
1,229,403
+36,200
+3% +$3.96M 0.93% 10
2014
Q1
$129M Buy
1,193,203
+49,647
+4% +$5.36M 0.89% 13
2013
Q4
$122M Buy
1,143,556
+248,752
+28% +$26.5M 0.86% 15
2013
Q3
$95.9M Buy
894,804
+12,851
+1% +$1.38M 0.73% 16
2013
Q2
$94.6M Buy
+881,953
New +$94.6M 0.75% 18