MML Investors Services

MML Investors Services Portfolio holdings

AUM $34.6B
1-Year Return 16.47%
This Quarter Return
-11.73%
1 Year Return
+16.47%
3 Year Return
+59.3%
5 Year Return
+91.96%
10 Year Return
+167.87%
AUM
$5.56B
AUM Growth
-$365M
Cap. Flow
+$394M
Cap. Flow %
7.09%
Top 10 Hldgs %
15.59%
Holding
1,683
New
91
Increased
774
Reduced
613
Closed
194
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
RMD icon
851
ResMed
RMD
$39.6B
$558K 0.01%
4,899
+204
+4% +$23.2K
IGHG icon
852
ProShares Investment Grade-Interest Rate Hedged
IGHG
$264M
$557K 0.01%
7,827
-10,359
-57% -$737K
EOG icon
853
EOG Resources
EOG
$64.5B
$556K 0.01%
6,374
-1,363
-18% -$119K
GIL icon
854
Gildan
GIL
$8.03B
$555K 0.01%
18,266
-1,419
-7% -$43.1K
SLF icon
855
Sun Life Financial
SLF
$33.3B
$555K 0.01%
16,711
-1,218
-7% -$40.5K
IYZ icon
856
iShares US Telecommunications ETF
IYZ
$607M
$554K 0.01%
21,026
-425
-2% -$11.2K
NAN icon
857
Nuveen New York Quality Municipal Income Fund
NAN
$356M
$554K 0.01%
45,236
-13,076
-22% -$160K
VFC icon
858
VF Corp
VFC
$5.8B
$553K 0.01%
8,236
+922
+13% +$61.9K
BDCS
859
DELISTED
UBS AG Exchange Traded Access Securities (E-TRACS)Linked to the Wells Fargo Business Development Com
BDCS
$553K 0.01%
31,269
-531
-2% -$9.39K
JWN
860
DELISTED
Nordstrom
JWN
$549K 0.01%
11,779
-7,208
-38% -$336K
LEMB icon
861
iShares JPMorgan EM Local Currency Bond ETF
LEMB
$395M
$548K 0.01%
12,711
-1,439
-10% -$62K
QQQX icon
862
Nuveen NASDAQ 100 Dynamic Overwrite Fund
QQQX
$1.35B
$548K 0.01%
27,419
+712
+3% +$14.2K
UHS icon
863
Universal Health Services
UHS
$12.2B
$547K 0.01%
4,695
-516
-10% -$60.1K
CHE icon
864
Chemed
CHE
$6.5B
$546K 0.01%
1,926
-1,055
-35% -$299K
CSD icon
865
Invesco S&P Spin-Off ETF
CSD
$77.1M
$545K 0.01%
12,857
-306
-2% -$13K
WCG
866
DELISTED
Wellcare Health Plans, Inc.
WCG
$544K 0.01%
2,306
+305
+15% +$72K
GUNR icon
867
FlexShares Global Upstream Natural Resources Index Fund
GUNR
$5.08B
$543K 0.01%
18,553
+2,798
+18% +$81.9K
VTWG icon
868
Vanguard Russell 2000 Growth ETF
VTWG
$1.09B
$542K 0.01%
4,445
-1,180
-21% -$144K
PXD
869
DELISTED
Pioneer Natural Resource Co.
PXD
$539K 0.01%
4,096
+639
+18% +$84.1K
CTXS
870
DELISTED
Citrix Systems Inc
CTXS
$539K 0.01%
5,259
+2,444
+87% +$250K
IDEV icon
871
iShares Core MSCI International Developed Markets ETF
IDEV
$21.9B
$538K 0.01%
11,016
+2,911
+36% +$142K
WY icon
872
Weyerhaeuser
WY
$18B
$538K 0.01%
24,620
-2,740
-10% -$59.9K
SNN icon
873
Smith & Nephew
SNN
$16.4B
$537K 0.01%
14,377
+535
+4% +$20K
SMFG icon
874
Sumitomo Mitsui Financial
SMFG
$107B
$536K 0.01%
82,331
+2,421
+3% +$15.8K
HAS icon
875
Hasbro
HAS
$11B
$535K 0.01%
6,587
-303
-4% -$24.6K