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
ESS icon
1176
Essex Property Trust
ESS
$17.2B
$298K 0.01%
1,216
+8
+0.7% +$1.96K
FM
1177
DELISTED
iShares Frontier and Select EM ETF
FM
$297K 0.01%
11,347
-2,420
-18% -$63.3K
GSBD icon
1178
Goldman Sachs BDC
GSBD
$1.3B
$296K 0.01%
16,112
+2,577
+19% +$47.3K
QVCGA
1179
QVC Group, Inc. Series A Common Stock
QVCGA
$92M
$296K 0.01%
313
-2
-0.6% -$1.89K
DNKN
1180
DELISTED
Dunkin' Brands Group, Inc.
DNKN
$296K 0.01%
4,620
-4
-0.1% -$256
CENTA icon
1181
Central Garden & Pet Class A
CENTA
$2.03B
$295K 0.01%
+11,805
New +$295K
SPYD icon
1182
SPDR Portfolio S&P 500 High Dividend ETF
SPYD
$7.43B
$295K 0.01%
+8,647
New +$295K
HFRO
1183
Highland Opportunities and Income Fund
HFRO
$360M
$294K 0.01%
22,971
+7,250
+46% +$92.8K
MGM icon
1184
MGM Resorts International
MGM
$9.4B
$294K 0.01%
12,129
-502
-4% -$12.2K
MT icon
1185
ArcelorMittal
MT
$26.4B
$294K 0.01%
14,203
-118
-0.8% -$2.44K
SSRM icon
1186
SSR Mining
SSRM
$4.54B
$294K 0.01%
+24,324
New +$294K
FAX
1187
abrdn Asia-Pacific Income Fund
FAX
$681M
$291K 0.01%
12,552
-1,325
-10% -$30.7K
IDLV icon
1188
Invesco S&P International Developed Low Volatility ETF
IDLV
$328M
$291K 0.01%
9,769
+392
+4% +$11.7K
MYN icon
1189
BlackRock MuniYield New York Quality Fund
MYN
$379M
$291K 0.01%
25,270
+2,315
+10% +$26.7K
PCG icon
1190
PG&E
PCG
$34B
$290K 0.01%
12,213
+3,100
+34% +$73.6K
PYZ icon
1191
Invesco Dorsey Wright Basic Materials Momentum ETF
PYZ
$54.6M
$290K 0.01%
5,483
+1,075
+24% +$56.9K
QLYS icon
1192
Qualys
QLYS
$4.82B
$289K 0.01%
3,866
-5,863
-60% -$438K
IEO icon
1193
iShares US Oil & Gas Exploration & Production ETF
IEO
$469M
$288K 0.01%
5,570
+1,494
+37% +$77.2K
WTI icon
1194
W&T Offshore
WTI
$257M
$288K 0.01%
69,797
-6,649
-9% -$27.4K
DNR
1195
DELISTED
Denbury Resources, Inc.
DNR
$288K 0.01%
168,676
+35,222
+26% +$60.1K
CBRL icon
1196
Cracker Barrel
CBRL
$1.14B
$287K 0.01%
1,798
-63
-3% -$10.1K
EVF
1197
Eaton Vance Senior Income Trust
EVF
$100M
$287K 0.01%
47,890
-285
-0.6% -$1.71K
UTG icon
1198
Reaves Utility Income Fund
UTG
$3.41B
$287K 0.01%
+9,752
New +$287K
STT icon
1199
State Street
STT
$31.9B
$284K 0.01%
4,502
+112
+3% +$7.07K
VAC icon
1200
Marriott Vacations Worldwide
VAC
$2.67B
$283K 0.01%
4,013
+994
+33% +$70.1K