MetLife Investment Management is a fund manager in Whippany with $557.98 bn assets under management.
Company profile
Website
Employees
Incorporated
Location
Fiscal year end
Industry
Former names
MetLife Investment Advisors Company, LLC, MetLife Investment Advisors, LLC
SEC CIK
SEC advisor number
801-67314
FINRA CRD number
142463
AUM ?
$481.20 bn
(as of 26 May 23)
Accounts
588
(as of 26 May 23)
Employees
1,081
(660 investment advisory or research)
Address
MetLife Investment Management
ONE METLIFE WAY
WHIPPANY
NJ 07981
ONE METLIFE WAY
WHIPPANY
NJ 07981
Phone
(973)355-4000
Ownership
Fund structure | AUM | Fund type |
---|---|---|
Metlife Investment Management, LLC | $557.98 bn | |
Galene Credit Fund, LP | $32.71 mm | Private Equity Fund |
Metlife Emerging Market Debt Blend Fund (Insurance Rated), LP | $136.30 mm | Hedge Fund |
Metlife Emerging Market Debt, LP | $509.63 mm | Hedge Fund |
Metlife Long Short Credit Master Fund, LP | $100.33 mm | Hedge Fund |
Metlife Long Short Credit Fund, LP | $100.25 mm | Hedge Fund |
Metlife Middle Market Private Debt Fund, LP | $303.64 mm | Private Equity Fund |
Metlife Middle Market Private Debt II Investment Fund, LP | $20.28 mm | Private Equity Fund |
Middle Market Private Debt Parallel Fund II, LP | ||
Metlife Middle Market Private Debt Parallel Fund, LP | $223.60 mm | Private Equity Fund |
Metlife Senior Direct Lending Holdings, LP | $136.17 mm | Private Equity Fund |
Metlife Senior Direct Lending Finco, LLC | ||
Middle Market Private Debt Fund II, LP | $20.19 mm | Private Equity Fund |
Metlife Middle Market Private Debt II Rated Fund, LP |
Latest filings (excl ownership)
No filings
Latest ownership filings
3
Virtus Convertible & Income Fund II
5 Jun 23
3
Virtus Convertible & Income Fund
5 Jun 23
13F-HR
Quarterly holdings report by institutional manager
15 May 23
13F-HR/A
Quarterly holdings report by institutional manager (amended)
22 Mar 23
13F-HR/A
Quarterly holdings report by institutional manager (amended)
22 Mar 23
13F-HR/A
Quarterly holdings report by institutional manager (amended)
22 Mar 23
13F-HR/A
Quarterly holdings report by institutional manager (amended)
22 Mar 23
13F-HR/A
Quarterly holdings report by institutional manager (amended)
22 Mar 23
13F-HR/A
Quarterly holdings report by institutional manager (amended)
22 Mar 23
13F-HR/A
Quarterly holdings report by institutional manager (amended)
22 Mar 23
Recent insider trades
Date | Owner | Security | Transaction | Code | Indirect | 10b5-1 | $Price | #Shares | $Value | #Remaining |
---|---|---|---|---|---|---|---|---|---|---|
6 Sep 22 | MetLife Investment Management | Series A Mandatory Redeemable Preferred Shares | Other | Dispose J | Yes | No | 0 | 652,000 | 0.00 | 0 |
2 Aug 22 | MetLife Investment Management | Series T Mandatory Redeemable Preferred Shares | Buy | Acquire P | Yes | No | 25 | 120,000 | 3.00 mm | 120,000 |
3 Jun 22 | MetLife Investment Management | Floating Rate Senior Note, Series B Note, Due Sep. 18, 2023 | Buy | Acquire P | Yes | No | 1 | 26,500,000 | 26.50 mm | - |