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MetLife Investment Funds, Inc. – ‘N-Q’ for 3/31/07

On:  Thursday, 5/24/07, at 1:41pm ET   ·   Effective:  5/24/07   ·   For:  3/31/07   ·   Accession #:  1193125-7-122418   ·   File #:  811-07450

Previous ‘N-Q’:  ‘N-Q’ on 11/27/06 for 9/30/06   ·   Next & Latest:  ‘N-Q’ on 11/19/07 for 9/30/07

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  As Of                Filer                Filing    For·On·As Docs:Size              Issuer               Agent

 5/24/07  MetLife Investment Funds, Inc.    N-Q         3/31/07    2:236K                                   RR Donnelley/FAMetLife Investment Diversified Bond Fund I Shares (CDBFX) — R Shares (CDBRX)MetLife Investment International Stock Fund I Shares (CISFX) — R Shares (CISRX)MetLife Investment Large Co. Stock Fund I Shares (CLCFX) — R Shares (CLCRX)MetLife Investment Small Co. Stock Fund I Shares (CSCFX) — R Shares (CSCRX)

Quarterly Schedule of Portfolio Holdings of a Management Investment Company   —   Form N-Q
Filing Table of Contents

Document/Exhibit                   Description                      Pages   Size 

 1: N-Q         Metlife Investment Funds, Inc. Form N-Q for Period   135±   535K 
                          Ending 3/31/07                                         
 2: EX-99.CERT  Certifications                                         4     14K 


N-Q   —   Metlife Investment Funds, Inc. Form N-Q for Period Ending 3/31/07
Document Table of Contents

Page (sequential) | (alphabetic) Top
 
11st Page   -   Filing Submission
2Item 1. Schedule of Investments
65Item 2. Controls and Procedures
"Item 3. Exhibits
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UNITED STATES SECURITIES AND EXCHANGE COMMISSION WASHINGTON, D.C. 20549 FORM N-Q QUARTERLY SCHEDULE OF PORTFOLIO HOLDINGS OF REGISTERED MANAGEMENT INVESTMENT COMPANIES Investment Company Act file number 811-7450 MetLife Investment Funds, Inc. (Exact name of registrant as specified in charter) 400 Atrium Drive, Somerset, NJ 08873 (Address of principal executive offices) (Zip code) Alan C. Leland. President MetLife Investment Funds, Inc. 400 Atrium Drive Somerset, New Jersey 08873 (Name and address of agent for service) Copy To: Christopher E. Palmer Goodwin Proctor 901 New York Avenue, N.W. Washington, D.C. 20001 (Name and address of agent for service) Registrant's telephone number, including area code: 732-514-2000 Date of fiscal year end: December 31 Date of reporting period: March 31, 2007
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ITEM 1. Schedule of Investments The Registrant's schedule of investments as of the close of the reporting period prepared pursuant to Rule 12-12 of Regulation S-X is as follows:
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Portfolio of Investments MetLife Investment Funds, Inc. / International Stock Fund / March 31, 2007 (Unaudited) SHARES VALUE ------ ----------- COMMON STOCKS - 98.6% AUSTRALIA - 3.1% 6,849 Adelaide Bank Ltd. $ 76,275 4,522 AGL Energy Ltd. * 59,009 6,957 Alinta Ltd. 81,926 44,737 AMP Ltd. 375,704 11,246 APN News & Media Ltd. # 53,580 30,054 Australia & New Zealand Banking Group Ltd. # 724,149 696 Australian Stock Exchange Ltd. 24,783 39,767 BHP Billiton Ltd. 965,120 16,967 BlueScope Steel Ltd. 144,165 3,793 Caltex Australia Ltd. 73,170 50,060 Centennial Coal Co. Ltd. 131,370 35,385 Centro Properties Group 248,913 17,506 Coates Hire Ltd. 69,596 36,094 Coca-Cola Amatil Ltd. 256,682 1,120 Cochlear Ltd. 58,672 74,079 Coles Group Ltd. 974,991 24,173 Commonwealth Bank of Australia 983,849 23,974 Commonwealth Property Office Fund 26,628 1,895 CSL Ltd. 126,367 24,320 David Jones Ltd. # 89,542 18,778 Harvey Norman Holdings Ltd. 71,734 105,600 ING Industrial Fund # 201,878 14,620 John Fairfax Holdings Ltd. # 58,853 15,656 Just Group Ltd. 52,867 34,646 Kagara Zinc Ltd. 143,750 16,298 Leighton Holdings Ltd. # 439,319 9,321 Macarthur Coal Ltd. 35,728 491,111 Macquarie Airports 1,586,727 5,478 Macquarie Bank Ltd. # 365,180 1,117 Macquarie Goodman Group 6,295 19,581 Macquarie Infrastructure Group 60,718 220,206 Macquarie Office Trust 270,346 159,873 Macquarie ProLogis Trust REIT 162,511 8,850 MFS Ltd. 37,961 37,548 Minara Resources Ltd. # 224,180 90,519 National Australia Bank Ltd. 2,961,264 9,418 OneSteel Ltd. 39,351 1,698 Orica Ltd. 34,793 19,715 Oxiana Ltd. # 44,810 68,913 Pacific Brands Ltd. 170,978 17,480 Perilya Ltd. 51,128 27,528 PMP Ltd. * 40,119 66,787 Qantas Airways Ltd. 284,017 120,097 QBE Insurance Group Ltd. 3,064,234 9,184 Rinker Group Ltd. 134,121 14,474 Suncorp-Metway Ltd. 243,776 59,482 Tattersall's Ltd. # 247,671 43,716 Telstra Corp. Ltd. # 164,956 2,272 United Group Ltd. 25,069 1,451 Wesfarmers Ltd. 44,294 2,357 West Australian Newspapers Holdings Ltd. # 29,918 31,293 Westpac Banking Corp. #* 668,399 26,022 Woolworths Ltd. 571,603 74,536 Zinifex Ltd. # 950,762 ----------- 19,033,801 ----------- AUSTRIA - 1.0% 58,389 OMV AG 3,688,908 36,000 Voestalpine AG 2,619,211 ----------- 6,308,119 ----------- BELGIUM - 1.6% 1,322 Colruyt SA 303,226 15,233 Delhaize Group 1,403,677 172,759 Fortis 7,917,580 2,289 Solvay SA 352,654 ----------- 9,977,137 ----------- BERMUDA - 0.2% 5,500 Esprit Holdings Ltd. 64,205 3,600 Jardine Matheson Holdings Ltd. 75,947 16,000 Orient Overseas International Ltd. 148,422 540,000 Pacific Basin Shipping Ltd. 462,668 20,000 Shangri-La Asia Ltd. 49,459 74,000 Synear Food Holdings Ltd. 97,849 44,000 Texwinca Holdings Ltd. 29,663 41,000 VTech Holdings Ltd. 295,227 16,000 Yue Yuen Industrial Holdings 54,111 ----------- 1,277,551 ----------- CANADA - 1.2% 103,100 Gerdau Ameristeel Corp. 1,223,357 33,302 ING Canada, Inc. 1,495,398 2,326 IPSCO, Inc. 305,755 16,629 Nexen, Inc. 1,020,039 32,400 Teck Cominco Ltd. Class B 2,262,014 22,417 TELUS Corp. 1,120,364 ----------- 7,426,927 ----------- CAYMAN ISLANDS - 0.0% 2,500 ASM Pacific Technology Ltd. 14,742 11,000 Foxconn International Holdings Ltd. * 33,698 100,800 HKR International Ltd. 57,647 ----------- 106,087 ----------- DENMARK - 0.3% 16,767 Novo-Nordisk A/S 1,531,755 2,392 Novo-Nordisk A/S Class B # 218,065 ----------- 1,749,820 ----------- FINLAND - 0.8% 13,367 Elisa OYJ 388,281 23,258 Metso Corp. OYJ 1,230,344 144,807 Nokia OYJ 3,326,110 ----------- 4,944,735 ----------- FRANCE - 10.9% 62,231 Air France-KLM # 2,842,041 139,017 Alcatel SA # 1,643,344 1
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Portfolio of Investments MetLife Investment Funds, Inc. / International Stock Fund / March 31, 2007 (Unaudited) (continued) SHARES VALUE ------ ----------- 69,269 BNP Paribas SA # $ 7,258,563 12,200 Bouygues SA 945,407 20,307 Cap Gemini SA # 1,550,859 35,097 Carrefour SA* # 2,574,628 11,727 Casino Guichard-Perrachon et Compagnie SA # 1,187,375 4,180 Christian Dior 509,584 39,241 Compagnie de Saint Gobain SA # 3,849,120 5,900 Compagnie Generale des Etablissements Michelin 653,255 74,250 Credit Agricole SA # 2,905,142 13,256 Eutelsat Communications 300,218 76,382 France Telecom SA # 2,023,964 13,442 Pinault-Printemps-Redoute SA # 2,155,012 16,696 Publicis Groupe 809,375 39,100 Renault SA # 4,584,506 59,615 Sanofi-Aventis # 5,197,068 42,402 Societe Generale # 7,350,101 76,984 Suez SA # 4,073,243 13,364 Thales SA 777,945 152,333 Total SA # 10,656,513 3,165 Unibail REIT # 962,321 3,369 Vinci SA 523,745 43,914 Vivendi SA # 1,788,701 ----------- 67,122,030 ----------- GERMANY - 10.8% 46,715 Allianz AG # 9,581,433 58,619 BASF AG # 6,610,935 34,126 Bayer AG # 2,187,197 49,237 Deutsche Bank AG 6,620,553 73,500 Deutsche Lufthansa AG # 1,999,339 18,251 Deutsche Postbank AG 1,590,502 89,500 Deutsche Telekom AG # 1,482,181 38,065 E.ON AG 5,185,376 28,900 Epcos AG 503,709 102,164 Infineon Technologies AG * 1,588,290 23,386 KarstadtQuelle AG * 863,537 7,083 MAN AG 825,263 21,733 Metro AG 1,538,345 40,145 Muenchener Rueckversicherungs-Gesellschaft AG 6,802,899 51,611 RWE AG 5,459,307 6,481 Salzgitter AG 948,694 85,530 SAP AG 3,821,491 35,559 Siemens AG 3,808,587 42,271 ThyssenKrupp AG 2,088,265 48,500 TUI AG # 1,197,827 9,042 Volkswagen AG # 1,357,563 6,222 Wincor Nixdorf AG 581,002 ----------- 66,642,295 ----------- GREAT BRITAIN - 21.9% 103,533 AstraZeneca PLC 5,564,005 264,491 Aviva PLC 3,903,427 518,565 BAE Systems PLC 4,701,196 546,120 Barclays PLC 7,766,392 16,708 Barratt Developments PLC 364,144 41,820 Berkeley Group Holdings PLC * 1,301,054 61,073 BHP Billiton PLC 1,365,333 310,739 BP PLC 3,359,106 97,370 British Airways PLC * 933,506 49,900 British American Tobacco PLC 1,558,445 483,353 BT Group PLC 2,895,643 216,727 Cable & Wireless PLC 711,772 181,813 Cadbury Schweppes PLC 2,338,241 18,175 Carnival PLC 875,715 76,100 Centrica PLC 579,844 29,898 Charter PLC * 523,417 52,287 Cookson Group PLC 640,669 22,348 Countrywide PLC 261,336 81,106 Daily Mail & General Trust 1,292,945 29,202 FirstGroup PLC 382,757 490,550 Friends Provident PLC 1,861,059 23,467 Gallaher Group PLC 523,619 249,880 GlaxoSmithKline PLC 6,892,297 354,673 HBOS PLC 7,323,398 64,200 Home Retail Group 559,809 25,202 HSBC Holdings PLC 441,742 2,137 HSBC Holdings PLC (HKD) 37,123 227,757 Imperial Chemical Industries PLC 2,238,814 60,897 Imperial Tobacco Group PLC 2,733,619 20,098 Investec PLC 260,848 184,664 ITV PLC 396,977 687,832 J Sainsbury PLC 7,445,219 123,747 Kesa Electricals PLC 827,852 324,723 Kingfisher PLC 1,781,746 94,685 Land Securities Group PLC 3,994,644 191,749 Lloyds TSB Group PLC 2,117,048 100,349 Marks & Spencer Group PLC 1,337,843 64,631 Michael Page International PLC 682,225 40,687 Mitchells & Butlers PLC 631,513 158,438 National Grid PLC 2,493,155 117,774 Northern Foods PLC 287,350 174,608 Prudential PLC 2,470,483 53,940 Punch Taverns PLC 1,327,349 27,031 Reckitt Benckiser PLC 1,409,120 24,543 Rio Tinto PLC 1,399,192 190,181 Rolls-Royce Group PLC * 1,852,914 612,027 Royal & Sun Alliance Insurance Group PLC 1,948,128 227,321 Royal Bank of Scotland Group PLC 8,895,107 50,256 Royal Dutch Shell PLC Class A 1,669,990 199,869 Royal Dutch Shell PLC Class A (EUR) # 6,655,894 79,735 Royal Dutch Shell PLC Class B 2,655,287 14,139 Savills PLC 184,694 29,108 Smith & Nephew PLC 369,539 80,327 Smiths Group PLC 1,620,956 63,320 Stagecoach Group PLC 224,922 159,500 Taylor Woodrow PLC 1,539,577 171,600 TI Automotive Ltd. Class A (a) 0 79,495 Unilever PLC 2,399,185 2
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PORTFOLIO OF INVESTMENTS MetLife Investment Funds, Inc. / International Stock Fund / March 31, 2007 (Unaudited) (continued) SHARES VALUE ------ ------------ 6,662 Venture Production PLC * $ 87,096 1,748,662 Vodafone Group PLC 4,671,800 57,858 Whitbread PLC 2,152,771 277,689 WM Morrison Supermarkets PLC 1,689,391 798,175 Woolworths Group PLC 482,560 55,110 Xstrata PLC 2,819,224 ------------ 134,712,026 ------------ GREECE - 0.3% 78,244 Hellenic Telecommunication Organisation SA * 2,140,739 ------------ 2,140,739 ------------ HONG KONG - 0.6% 15,200 Bank of East Asia Ltd. 88,324 29,000 BOC Hong Kong (Holdings) Ltd. 70,232 57,500 CLP Holdings Ltd. 420,609 81,000 Hang Lung Group Ltd. 287,034 13,000 Hang Seng Bank Ltd. # 184,617 5,000 Henderson Land Development Co. Ltd. # 29,054 31,000 Hong Kong & China Gas Ltd. # 69,250 14,000 Hong Kong Electric Holdings Ltd. 71,709 10,000 Hong Kong Exchanges & Clearing Ltd. 97,152 50,000 Hong Kong & Shanghai Hotels Ltd. 78,676 19,000 Hutchison Whampoa Ltd. 182,721 13,500 Link REIT 32,428 12,000 Melco International Development Ltd. 21,578 40,000 New World Development Co. Ltd. # 90,631 58,000 PCCW Ltd. # 34,788 616,634 Sino Land Co. Ltd. # 1,329,182 11,000 Sun Hung Kai Properties Ltd. 127,061 21,200 Swire Pacific Ltd. 238,033 5,000 Television Broadcasts Ltd. 31,317 30,000 Wharf (Holdings) Ltd. 110,313 4,400 Wing Lung Bank Ltd. 48,385 ------------ 3,643,094 ------------ IRELAND - 0.4% 52,892 Anglo Irish Bank Corp. PLC 1,129,111 68,026 Bank of Ireland 1,468,964 ------------ 2,598,075 ------------ ITALY - 3.6% 50,713 Assicurazioni Generali SpA # 2,161,462 50,512 Autogrill SpA # 969,564 15,000 Buzzi Unicem SpA 455,899 271,025 Enel SpA 2,905,482 299,994 ENI SpA 9,747,669 37,612 Fiat SpA * 952,854 37,000 Fondiaria-Sai SpA 1,702,069 57,700 Italcementi SpA # 1,731,917 30,087 UniCredito Italiano SpA 286,993 151,309 UniCredito Italiano SpA new 1,433,627 ------------ 22,347,536 ------------ JAPAN - 23.9% 2,400 Acom Co. Ltd. 102,241 26,000 Aioi Insurance Co. Ltd. # 180,901 15,700 Alps Electric Co. Ltd. # 184,081 28,000 Amada Co. Ltd. # 318,077 4,500 Aoyama Trading Co. Ltd. 142,694 21,700 Asahi Breweries Ltd. 348,482 35,000 Asahi Kasei Corp. # 253,725 4,700 Astellas Pharma, Inc. 202,225 2,800 Autobacs Seven Co. Ltd. # 99,956 278,000 Bank of Yokohama Ltd. 2,075,457 73,400 Bridgestone Corp. # 1,472,441 24,000 Brother Industries Ltd. 323,655 98,600 Canon, Inc. 5,301,874 9,800 Capcom Co. Ltd. # 139,715 28,000 Central Glass Co. Ltd. # 188,815 35 Central Japan Railway Co. 396,906 17,000 Chiba Bank Ltd. 149,147 11,200 Chubu Electric Power Co., Inc. # 384,167 3,500 Circle K Sunkus Co. Ltd. 65,285 67,000 Cosmo Oil Co. Ltd. 279,629 3,700 CSK Corp. # 154,512 15,000 Dai Nippon Printing Co. Ltd. # 235,790 10,000 Daikyo, Inc. #* 55,006 135,000 Daiwa Securities Group, Inc. # 1,617,940 78,000 Denki Kagaku Kogyo Kabushiki Kaisha 365,662 8,500 Denso Corp. 314,485 369 East Japan Railway Co. 2,867,619 69,300 EDION Corp. 962,337 5,400 Eisai Co. Ltd. # 258,607 3,300 Electric Power Development Co. Ltd. # 165,187 14,900 Fanuc Ltd. 1,379,784 22,200 Fast Retailing Co. Ltd. 1,726,454 37,000 Fuji Electric Holdings Co. Ltd. 170,976 44,000 Fujitsu Ltd. # 291,713 20,000 Hankyu Department Stores, Inc. # 185,800 3,800 Hisamitsu Pharmaceutical Co., Inc. 111,903 4,500 Hitachi Capital Corp. 90,061 37,000 Hitachi Ltd. # 286,103 118,700 Honda Motor Co. Ltd. 4,151,621 10,300 Isetan Co. Ltd. 178,864 674 Japan Tobacco, Inc. 3,302,271 89,300 JFE Holdings, Inc. 5,291,889 37,000 Joyo Bank Ltd. 230,076 64,700 JSR Corp. # 1,485,680 3,200 K's Holdings Corp. 85,819 18,000 Kamigumi Co. Ltd. # 155,091 11,200 Kansai Electric Power Co., Inc. # 322,546 22,000 Kawasaki Kisen Kaisha Ltd. # 208,828 48 KDDI Corp. 382,408 6,500 Keyence Corp. 1,472,274 12,000 Kikkoman Corp. # 153,238 11,000 Kitz Corp. 99,150 9,400 Koa Corp. 137,438 30,300 Komatsu Ltd. 631,693 29,000 Kubota Corp. 251,367 22,000 KUREHA Corp. 110,131 2,700 Kyocera Corp. 253,489 12,000 Kyowa Exeo Corp. 130,737 53,300 Kyushu Electric Power Co., Inc. 1,517,132 3
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PORTFOLIO OF INVESTMENTS MetLife Investment Funds, Inc. / International Stock Fund / March 31, 2007 (Unaudited) (continued) SHARES VALUE ------ ------------ 2,900 Lawson, Inc. $ 111,367 9,000 Leopalace21 Corp. 298,371 19,000 Maeda Road Construction Co. Ltd. # 149,516 9,500 Makita Corp. 354,434 73,000 Marubeni Corp. 443,589 76,700 Marui Co. Ltd. #* 937,422 128,000 Matsushita Electric Industrial Co. Ltd. 2,580,270 25,000 Mazda Motor Corp. 137,311 78,700 Millea Holdings, Inc. 2,900,562 38,000 Mitsubishi Chemical Holdings Corp. 322,604 50,000 Mitsubishi Corp. # 1,161,690 47,000 Mitsubishi Electric Corp. 481,328 180,000 Mitsubishi Estate Co. Ltd. 5,915,207 22,000 Mitsubishi Gas Chemical Co., Inc. # 209,244 32,000 Mitsubishi Materials Corp. # 151,757 27,000 Mitsubishi Rayon Co. Ltd. # 178,998 460 Mitsubishi Tokyo Financial Group, Inc. 5,196,160 30,000 Mitsui & Co. Ltd. 554,279 268,000 Mitsui Chemicals, Inc. 2,343,103 5,000 Mitsui Fudosan Co. Ltd. REIT 145,753 38,000 Mitsui Mining & Smelting Co. Ltd. # 209,011 311,000 Mitsui OSK Lines Ltd. # 3,425,867 12,000 Mitsui Sumitomo Insurance Co. Ltd. 151,281 147 Mizuho Financial Group, Inc. 942,838 13,000 NGK Spark Plug Co. Ltd. # 241,847 14,000 Nikon Corp. 295,441 1,100 Nintendo Co. Ltd. 319,798 273,000 Nippon Mining Holdings, Inc. # 2,340,620 24,000 Nippon Paint Co. Ltd. 134,486 34,000 Nippon Sheet Glass Co. Ltd. 177,175 17,000 Nippon Shokubai Co. # 182,794 128,000 Nippon Steel Corp. 901,468 586 Nippon Telegraph & Telephone Corp. 3,101,780 42,000 Nippon Yusen Kabushiki Kaisha 337,913 392,800 Nissan Motor Co. Ltd. # 4,214,653 17,000 Nisshin Oillio Group Ltd. 108,081 17,000 Nisshin Seifun Group, Inc. # 172,791 191,700 Nomura Holdings, Inc. 3,983,713 30,000 NSK Ltd. 284,774 640 NTT Data Corp. # 3,246,320 1,210 NTT DoCoMo, Inc. # 2,230,987 30,000 Obayashi Corp. # 192,674 3,900 OMRON Corp. 105,009 16,300 Orix Corp. 4,248,907 62,000 Osaka Gas Co. Ltd. # 239,781 14,000 Pacific Metals Co. Ltd. # 195,537 112,000 Pioneer Corp. # 1,458,484 108,000 Rengo Co. Ltd. # 615,076 67 Resona Holdings, Inc. # 179,443 22,000 Ricoh Co. Ltd. 492,920 11,800 Sankyo Co. Ltd. # 517,435 4,600 Santen Pharmaceutical Co. Ltd. # 118,237 14,000 Sanwa Shutter Corp. 87,341 30,500 Secom Co. Ltd. # 1,413,079 71,900 Seven & I Holdings Co. Ltd. 2,183,118 267,000 Sharp Corp. # 5,146,860 5,700 Shimachu Co. Ltd. 167,972 12,000 Shimizu Corp. # 73,188 5,700 Shin-Etsu Chemical Co. Ltd. 346,753 14,500 Showa Shell Sekiyu K.K. 177,829 8,200 Sony Corp. 415,217 58,000 Sumitomo Chemical Co. Ltd. 438,337 42,300 Sumitomo Corp. # 753,318 284,000 Sumitomo Heavy Industries Ltd. 2,805,014 95,000 Sumitomo Metal Industries Ltd. # 486,538 17,000 Sumitomo Metal Mining Co. Ltd. # 325,052 794 Sumitomo Mitsui Financial Group, Inc. # 7,220,494 5,000 Sumitomo Realty & Development Co. Ltd. 189,795 24,000 Sumitomo Trust and Banking Co. Ltd. # 250,503 28,200 T&D Holdings, Inc. # 1,939,828 39,000 Taiheiyo Cement Corp. # 171,277 15,200 Takeda Pharmaceutical Co. Ltd. 994,914 23,000 Tanabe Seiyaku Co. Ltd. 313,173 16,300 TDK Corp. 1,420,624 46,000 Teijin Ltd. 260,138 25,000 Toagosei Co. Ltd. 103,541 32,000 Tobu Railway Co. Ltd. # 153,153 6,200 Tohoku Electric Power Co., Inc. 156,918 91,600 Tokyo Electric Power Co., Inc. # 3,126,855 5,400 Tokyo Electron Ltd. # 378,009 25,000 Tokyo Gas Co. Ltd. 138,755 174,000 Toshiba Corp. # 1,156,942 59,000 Tosoh Corp. 304,213 12,000 Toyo Suisan Kaisha Ltd. # 236,258 128,900 Toyota Motor Corp. # 8,274,670 23,000 UNY Co. Ltd. 317,635 1,880 USS Co. Ltd. 122,856 40 West Japan Railway Co. # 184,169 11,300 Yamaha Corp. # 251,560 8,700 Yamaha Motor Co. Ltd. 242,185 25,000 Yokohama Rubber Co. Ltd. # 154,256 ------------ 147,223,597 ------------ NETHERLANDS - 6.3% 109,147 ABN AMRO Holding NV 4,705,234 76,336 Aegon NV 1,527,044 27,345 Akzo Nobel NV 2,078,956 15,678 ASML Holding NV * 388,659 66,800 Buhrmann NV 901,940 106,144 European Aeronautic Defence and Space Co. NV # 3,304,019 236,809 ING Groep NV 10,028,557 101,529 Mittal Steel Co. NV # 5,393,632 5,636 Randstad Holding NV 438,258 382,041 Royal KPN NV 5,968,336 41,412 Royal Philips Electronics NV # 1,586,986 20,525 Unilever NV 599,516 56,800 Wolters Kluwer NV 1,707,576 ------------ 38,628,713 ------------ NEW ZEALAND - 0.1% 13,550 Auckland International Airport Ltd. 23,352 44,759 Fletcher Building Ltd. 351,611 4
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PORTFOLIO OF INVESTMENTS MetLife Investment Funds, Inc. / International Stock Fund / March 31, 2007 (Unaudited) (continued) SHARES VALUE ------ ------------ 12,831 Kiwi Income Property Trust REIT $ 15,140 116,962 Telecom Corp. of New Zealand Ltd. 397,312 37,888 Vector Ltd. 80,759 ------------ 868,174 ------------ NORWAY - 1.3% 26,077 Orkla ASA 1,831,479 66,310 Petroleum Geo-Services ASA * 1,724,632 100,703 Statoil ASA 2,729,265 22,600 Tandberg ASA 470,333 7,744 Telenor ASA 137,429 25,800 TGS Nopec Geophysical Co. ASA * 591,177 12,700 Yara International ASA 348,720 ------------ 7,833,035 ------------ PORTUGAL - 0.5% 524,562 Energias de Portugal SA 2,819,014 ------------ 2,819,014 ------------ SINGAPORE - 0.8% 10,000 Chartered Semiconductor Manufacturing Ltd. * 9,516 39,000 ComfortDelGro Corp. Ltd. 51,137 208,000 DBS Group Holdings Ltd. 2,932,688 50,000 Flextronics International Ltd. #* 547,000 13,000 Fraser and Neave Ltd. 43,376 6,000 Keppel Corp. Ltd. 75,113 325,000 MMI Holding Ltd. 358,465 7,000 Neptune Orient Lines Ltd. # 14,943 40,000 Overseas-Chinese Banking Corp. Ltd. 237,199 7,000 SIA Engineering Co. 21,679 12,000 Singapore Airlines Ltd. * 130,629 13,000 Singapore Exchange Ltd. 56,092 6,000 Singapore Land Ltd. 41,613 50,000 Singapore Petroleum Co. Ltd. 158,921 23,000 Singapore Post Ltd. 16,822 23,000 Singapore Press Holdings Ltd. # 66,390 16,000 Singapore Technologies Engineering Ltd. 34,779 6,000 Singapore Telecommunications Ltd. 12,967 52,000 SMRT Corp. Ltd. 51,052 21,000 STATS ChipPAC Ltd. * 25,233 29,000 Suntec REIT 37,835 3,000 United Overseas Bank Ltd. 41,510 263,000 United Test and Assembly Center Ltd. #* 156,183 19,000 UOL Group Ltd. 63,834 7,000 Want Want Holdings Ltd. 13,540 ------------ 5,198,516 ------------ SPAIN - 2.4% 108,610 Banco Santander Central Hispano SA 1,938,427 17,216 Gestevision Telecinco SA # 498,728 71,838 Iberia Lineas Aereas de Espana SA # 384,298 12,205 Industria de Diseno Textil SA 761,146 231,150 Repsol YPF SA 7,778,214 141,819 Telefonica SA 3,136,042 ------------ 14,496,855 ------------ SWEDEN - 1.8% 23,000 Electrolux AB 584,255 255,204 Nordea Bank AB 4,080,899 67,800 Sandvik AB 1,207,834 4,900 Scania AB 385,194 44,300 Svenska Cellulosa AB Class B 2,376,241 485,383 Telefon LM Ericsson AB 1,800,813 32,000 TeliaSonera AB 276,601 6,194 Volvo AB Class B 520,669 ------------ 11,232,506 ------------ SWITZERLAND - 4.8% 14,980 ABB Ltd. 257,705 3,567 Actelion Ltd. * 833,908 11,875 Compagnie Financiere Richmont AG Class A 666,329 110,225 Credit Suisse Group 7,940,660 20,293 Logitech International SA * 565,780 5,822 Nestle SA 2,268,251 100,615 Novartis AG # 5,695,475 19,065 Roche Holding AG 3,384,575 33,109 Swiss Reinsurance 3,023,655 20,572 UBS AG 1,227,880 11,827 Zurich Financial Services AG 3,427,930 ------------ 29,292,148 ------------ TOTAL COMMON STOCKS (Cost $448,896,766 ) 607,622,530 ------------ PREFERRED STOCKS - 0.1% GERMANY - 0.1% 7,053 Fresenius Medical Care AG Pfd. 0.88% 561,557 ------------ 561,557 ------------ GREAT BRITAIN- 0.0% 16,206,473 Rolls Royce Group PLC B Shares Pfd. 1.35% 31,902 ------------ 31,902 ------------ TOTAL PREFERRED STOCKS (Cost $337,231 ) 593,459 ------------ DEPOSITARY RECEIPTS - 0.1% TELECOMMUNICATIONS - 0.1% 30,682 Nokia OYJ ADR 703,232 5
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PORTFOLIO OF INVESTMENTS MetLife Investment Funds, Inc. / International Stock Fund / March 31, 2007 (Unaudited) (continued) SHARES / PRINCIPAL AMOUNT VALUE --------- ------------ 20,203 Telstra Corp. Ltd. $ 52,488 ------------ 755,720 ------------ Total Depositary Receipts (Cost $533,968 ) 755,720 ------------ RIGHTS - 0.0% 1,780 Suncorp Metway, Exp 04/05/07 7,647 ------------ Total Rights (Cost $0 ) 7,647 ------------ SHORT-TERM INVESTMENTS - 0.8% MUTUAL FUND - 0.8% $4,924,003 Goldman Sachs Prime Obligations Fund 5.214%(b) 4,924,003 ------------ TOTAL SHORT-TERM INVESTMENTS (Cost $4,924,004 ) 4,924,003 ------------ TOTAL INVESTMENTS - 99.6% (Cost $454,691,969@ ) 613,903,359 ------------ Assets in excess of other liabilities - 0.4% 2,576,871 ------------ TOTAL NET ASSETS - 100.0% $616,480,230 ============ -------- NOTES TO THE PORTFOLIO OF INVESTMENTS: * - Non-income producing security. @ - Aggregate unrealized appreciation and depreciation based on cost for federal income tax purpose, are $162,617,693 and $3,406,303 respectively, resulting in a net unrealized appreciation of $159,211,390. # - A portion of the security was held on loan. As of March 31, 2007, the market value of the securities loaned was $131,922,914 and the collateral received consisted of cash in the amount of $136,115,635 and securities with a market value of $2,524,483. (a) - Represents a security which is fair-valued. (b) - Rate quoted represents the seven day yield of the Fund. For Information regarding the Fund's policy regarding Valuation of Investments and other significant accounting policies, please refer to the Fund's most recent Annual Reports. SECURITY ABBREVIATIONS: ADR--American Depositary Receipt REIT--Real Estate Investment Trust EUR--Euro Dollar HKD--Hong Kong Dollar 6
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SUMMARY OF TOTAL FOREIGN SECURITIES BY INDUSTRY CLASSIFICATION 03/31/07 (UNAUDITED) Percent Value of INDUSTRY (000) Net Assets -------- -------- ---------- Advertising $ 809 0.1% Aerospace & Defense 10,668 1.7 Airlines 6,574 1.1 Apparel & Textiles 523 0.1 Automotive 27,415 4.4 Banking 108,720 17.6 Building & Construction 13,124 2.1 Business Services & Supplies 6,118 1.0 Chemicals 20,418 3.3 Commercial Services 1,787 0.3 Computers & Information 4,564 0.7 Cosmetics & Personal Care 510 0.1 Distribution & Wholesale 3,879 0.6 Diversified Financial Services 13,998 2.3 Diversified Operations 523 0.1 Electrical Equipment 7,071 1.1 Electronics 5,996 1.0 Entertainment & Leisure 3,899 0.6 Food, Beverage & Tobacco 35,986 5.8 Forest Products & Paper 2,991 0.5 Health Care 990 0.2 Hotels & Restaurants 128 0.0* Household Products 6,870 1.1 Industrial Machinery 8,438 1.4 Insurance 58,546 9.5 Manufacturing 6,968 1.1 Metals & Mining 30,816 5.0 Multimedia 5,466 0.9 Oil & Gas 55,394 9.0 Pharmaceuticals 31,443 5.1 Real Estate 14,793 2.4 Retail 22,994 3.7 Semiconductors 2,561 0.4 Software 3,961 0.7 Telecommunications 44,737 7.3 Transportation 8,951 1.5 Utilities - Electric 25,167 4.1 Utilities - Gas 1,110 0.2 Utilities - Water 4,073 0.7 -------- ---- TOTAL $608,979 98.8% ======== ==== -------- * Percentage is less than 0.1% 7
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PORTFOLIO OF INVESTMENTS MetLife Investment Funds, Inc. / Small Company Stock Fund / March 31, 2007 (Unaudited) (continued) SHARES VALUE ------ ---------- COMMON STOCKS - 97.5% ADVERTISING - 1.0% 2,626 Catalina Marketing Corp. $ 82,929 500 FTD Group, Inc. * 8,265 900 Gaiam, Inc. Class A * 14,166 3,000 Getty Images, Inc. * 145,890 2,914 Harte-Hanks, Inc. 80,397 26,900 Interpublic Group of Cos., Inc. * 331,139 102,665 inVentiv Health, Inc. #* 3,931,043 1,328 Marchex, Inc. Class B 20,345 2,976 R.H. Donnelley Corp. 210,969 2,076 Valuevision Media, Inc. * 25,659 ---------- 4,850,802 ---------- AEROSPACE & DEFENSE - 1.3% 2,105 AAR Corp. * 58,014 1,869 Alliant Techsystems, Inc. * 164,322 600 ARGON ST, Inc. * 15,876 47,384 Armor Holdings, Inc. * 3,190,365 4,341 BE Aerospace, Inc. * 137,610 2,438 Curtiss-Wright Corp. 93,960 2,247 DRS Technologies, Inc. 117,226 885 EDO Corp. 23,187 1,380 Esterline Technologies Corp. * 56,677 3,175 GenCorp, Inc. * 43,942 52,265 Heico Corp. # 1,907,150 669 Herley Industries, Inc. * 10,450 831 Innovative Solutions & Support, Inc. * 21,041 1,200 K&F Industries Holdings, Inc. * 32,316 1,292 Kaman Corp. 30,116 2,090 Moog, Inc. * 87,048 400 MTC Technologies, Inc. * 8,412 3,352 Orbital Sciences Corp. * 62,816 335 Sequa Corp. * 40,123 3,600 Spirit Aerosystems Holdings, Inc. Class A * 114,660 2,115 Teledyne Technologies, Inc. * 79,186 700 TransDigm Group, Inc. * 25,466 933 Triumph Group, Inc. 51,632 639 United Industrial Corp. 35,273 ---------- 6,406,868 ---------- AIRLINES - 0.8% 5,635 Airtran Holdings, Inc. * 57,871 2,363 Alaska Air Group, Inc. * 90,030 5,491 Continental Airlines, Inc. Class B * 199,818 3,439 ExpressJet Holdings, Inc. * 20,084 2,269 Frontier Airlines Holdings, Inc. * 13,637 10,095 JetBlue Airways Corp. * 116,193 1,688 Mesa Air Group, Inc. * 12,711 2,000 Republic Airways Holdings, Inc. * 45,920 113,358 Skywest, Inc. # 3,041,395 6,500 UAL Corp. * 248,105 3,500 US Airways Group, Inc. * 159,180 ---------- 4,004,944 ---------- APPAREL & TEXTILES - 0.8% 2,882 Carter's, Inc. * 73,030 491 Cherokee, Inc. 21,142 855 Columbia Sportswear Co. 53,275 500 Crocs, Inc. * 23,625 710 Deckers Outdoor Corp. * 50,424 1,121 G&K Services, Inc. 40,670 2,414 Guess ?, Inc. 97,743 1,843 Gymboree Corp. * 73,849 1,189 Hartmarx Corp. * 8,799 3,000 Iconix Brand Group, Inc. * 61,200 6,600 Jones Apparel Group, Inc. 202,818 1,524 K-Swiss, Inc. 41,178 1,621 Kellwood Co. 47,544 6,130 Liz Claiborne, Inc. 262,671 1,000 Maidenform Brands, Inc. * 23,070 857 Oxford Industries, Inc. 42,370 511 Perry Ellis International, Inc. * 16,347 3,191 Phillips-Van Heusen Corp. 187,631 7,286 Quiksilver, Inc. * 84,518 657 Skechers U.S.A., Inc. * 22,056 1,191 Steven Madden Ltd. 34,777 2,329 Stride Rite Corp. 35,843 33,700 Timberland Co. #* 877,211 900 True Religion Apparel, Inc. * 14,616 479 Unifirst Corp. 18,379 2,753 Warnaco Group, Inc. * 78,185 544 Weyco Group, Inc. 14,133 46,468 Wolverine World Wide, Inc. 1,327,591 ---------- 3,834,695 ---------- AUTOMOTIVE - 0.4% 900 Accuride Corp. * 13,140 1,366 Aftermarket Technology Corp. * 33,166 2,937 American Axle & Manufacturing Holdings, Inc. 80,327 4,073 ArvinMeritor, Inc. 74,332 1,306 ASV, Inc. * 19,930 4,809 Autoliv, Inc. 274,642 594 Bandag, Inc. 30,110 3,258 BorgWarner, Inc. 245,718 1,300 Commercial Vehicle Group, Inc. * 26,780 3,868 Cooper Tire & Rubber Co. 70,746 750 Fuel Systems Solutions, Inc. * 13,890 10,300 Goodyear Tire & Rubber Co. * 321,257 963 Keystone Automotive Industries, Inc. * 32,453 4,300 Lear Corp. * 156,993 700 Miller Industries, Inc. * 15,267 2,093 Modine Manufacturing Co. 47,930 885 Noble International Ltd. 14,850 4,252 Oshkosh Truck Corp. 225,356 1,550 Superior Industries International 32,287 2,491 Tenneco Automotive, Inc. * 63,421 900 Titan International, Inc. 22,797 2,477 TRW Automotive Holdings Corp. * 86,249 1
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PORTFOLIO OF INVESTMENTS MetLife Investment Funds, Inc. / Small Company Stock Fund / March 31, 2007 (Unaudited) (continued) SHARES VALUE ------ ---------- 7,599 Visteon Corp. * $ 64,895 1,854 Wabash National Corp. 28,589 ---------- 1,995,125 ---------- BANKING - 7.0% 773 1st Source Corp. 20,229 920 Alabama National Bancorp 65,145 1,256 Amcore Financial, Inc. 39,878 660 AmericanWest Bancorp 14,216 600 Ameris Bancorp 14,688 678 Arrow Financial Corp. 15,187 7,793 Associated Banc-Corp 261,845 400 Bancfirst Corp. 18,540 4,596 Bancorpsouth, Inc. 112,372 400 BancTrust Financial Group, Inc. 8,464 996 Bank of Granite Corp. 17,848 42,441 Bank of Hawaii Corp. 2,250,646 674 Bank of the Ozarks, Inc. 19,357 1,600 BankFinancial Corp. 26,032 749 Banner Corp. 31,121 1,242 BOK Financial Corp. 61,516 166,728 Boston Private Financial Holdings, Inc. # 4,655,046 400 Cadence Financial Corp. 8,000 400 Camden National Corp. 17,360 850 Capital City Bank Group, Inc. 28,305 540 Capital Corp. of the West 14,337 800 Capitol Bancorp Ltd. 29,480 1,000 Cardinal Financial Corp. 9,980 1,796 Cascade Bancorp 46,588 450 Cass Information Systems, Inc. 15,192 3,046 Cathay General Bancorp 103,503 3,600 Centennial Bank Holdings, Inc. * 31,140 800 Center Financial Corp. 15,816 600 Centerstate Banks of Florida, Inc. 10,602 1,776 Central Pacific Financial Corp. 64,948 1,393 Chemical Financial Corp. 41,497 2,641 Chittenden Corp. 79,732 4,199 Citizens Banking Corp. 93,050 751 City Bank 24,115 1,118 City Holding Co. 45,223 2,427 City National Corp. 178,627 899 Coastal Financial Corp. 14,051 967 CoBiz, Inc. 19,253 100,508 Colonial BancGroup, Inc. 2,487,573 700 Columbia Bancorp 16,807 1,007 Columbia Banking System, Inc. 33,966 4,064 Commerce Bancshares, Inc. 196,332 360 Community Bancorp, Inc. * 11,070 1,624 Community Bank System, Inc. 33,974 1,385 Community Banks, Inc. 33,060 971 Community Trust Bancorp, Inc. 35,179 2,162 Corus Bankshares, Inc. 36,884 3,369 Cullen/Frost Bankers, Inc. 176,300 3,861 CVB Financial Corp. 45,946 3,576 East-West Bancorp, Inc. 131,490 621 Enterprise Financial Services Corp. 17,388 400 Farmers Capital Bank Corp. 11,752 727 First Bancorp (North Carolina) 15,543 3,962 First Bancorp (Puerto Rico) 52,536 1,005 First Busey Corp. 21,537 2,188 First Charter Corp. 47,042 300 First Citizens BancShares, Inc. 60,300 4,118 First Commonwealth Financial Corp. 48,387 79,532 First Community Bancorp, Inc. # 4,496,739 622 First Community Bancshares, Inc. 24,258 2,037 First Financial Bancorp 30,779 1,300 First Financial Bankshares, Inc. 54,366 880 First Financial Corp. 27,236 7,100 First Horizon National Corp. 294,863 586 First Indiana Corp. 12,804 1,219 First Merchants Corp. 28,915 28,828 First Midwest Bancorp, Inc. # 1,059,429 387 First Regional Bancorp * 11,494 1,579 First Republic Bank 84,792 481 First South Bancorp, Inc. 14,762 1,200 First State Bancorp 27,060 4,572 FirstMerit Corp. 96,515 3,622 FNB Corp. (Pennsylvania) 61,031 545 FNB Corp. (Virginia) 19,527 4,012 Fremont General Corp. 27,803 2,407 Frontier Financial Corp. 60,055 9,949 Fulton Financial Corp. 144,559 875 GB&T Bancshares, Inc. 15,864 3,255 Glacier Bancorp, Inc. 78,250 674 Great Southern Bancorp, Inc. 19,735 60,986 Greater Bay Bancorp # 1,639,914 493 Greene County Bancshares, Inc. 16,718 1,662 Hancock Holding Co. 73,095 2,392 Hanmi Financial Corp. 45,592 1,863 Harleysville National Corp. 33,199 900 Heartland Financial USA, Inc. 24,075 605 Heritage Commerce Corp. 15,421 800 Home Bancshares, Inc. 17,640 625 IBERIA BANK Corp. 34,788 19,401 Independent Bank Corp. (Massachusetts) # 639,069 1,339 Independent Bank Corp. (Michigan) 27,275 980 Integra Bank Corp. 21,844 2,632 International Bancshares Corp. 78,091 300 Intervest Bancshares Corp. * 8,610 3,733 Investors Financial Services Corp. 217,074 1,138 Irwin Financial Corp. 21,212 1,363 Lakeland Bancorp, Inc. 18,469 800 Lakeland Financial Corp. 18,160 693 Macatawa Bank Corp. 12,751 1,069 MainSource Financial Group, Inc. 18,152 82,022 MB Financial Corp. # 2,953,612 928 MBT Financial Corp. 11,980 551 Mercantile Bank Corp. 17,896 450 MetroCorp Bancshares, Inc. 9,540 2
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PORTFOLIO OF INVESTMENTS MetLife Investment Funds, Inc. / Small Company Stock Fund / March 31, 2007 (Unaudited) (continued) SHARES VALUE ------ ----------- 1,306 Mid-State Bancshares $ 47,917 1,077 Midwest Banc Holdings, Inc. 19,074 1,200 Nara Bancorp, Inc. 21,012 2,725 National Penn Bancshares, Inc. 51,502 30,703 NBT Bancorp, Inc. # 719,371 3,798 Old National Bancorp 69,048 760 Old Second Bancorp, Inc. 20,824 882 Omega Financial Corp. 25,146 1,065 Oriental Financial Group 12,546 2,841 Pacific Capital Bancorp 91,253 746 Park National Corp. 70,482 640 Peoples Bancorp, Inc. 16,902 52,405 Pinnacle Financial Partners, Inc. #* 1,598,877 500 Placer Sierra Bancshares 13,530 1 PNC Financial Services Group, Inc. 45 450 Preferred Bank (Los Angeles) 17,645 578 Premierwest Bancorp 7,809 1,100 PrivateBancorp, Inc. 40,216 2,026 Prosperity Bancshares, Inc. 70,383 45,791 Provident Bankshares Corp. # 1,504,692 975 Renasant Corp. 24,063 629 Republic Bancorp, Inc. (Kentucky) 14,221 279 Royal Bancshares of Pennsylvania 6,626 1,576 S&T Bancorp, Inc. 52,071 887 Sandy Spring Bancorp, Inc. 30,726 427 Santander BanCorp 7,519 633 SCBT Financial Corp. 22,958 991 Seacoast Banking Corp. of Florida 22,466 906 Security Bank Corp. 18,247 600 Shore Bancshares, Inc. 15,870 283 Sierra Bancorp 7,941 1,773 Signature Bank * 57,693 957 Simmons First National Corp. 28,777 6,086 Sky Financial Group, Inc. 163,470 550 Smithtown Bancorp, Inc. 14,300 4,534 South Financial Group, Inc. 112,080 606 Southside Bancshares, Inc. 13,883 1,000 Southwest Bancorp, Inc. 25,690 1,203 Sterling Bancorp 21,774 4,081 Sterling Bancshares, Inc. 45,626 1,352 Sterling Financial Corp. 30,014 670 Suffolk Bancorp 21,628 1,106 Sun Bancorp, Inc. * 20,561 2,200 Superior Bancorp * 23,760 2,841 Susquehanna Bancshares, Inc. 65,883 2,084 SVB Financial Group * 101,262 598 SY Bancorp, Inc. 14,866 300 Taylor Capital Group, Inc. 10,500 7,878 TCF Financial Corp. 207,664 1,410 Texas Capital Bancshares, Inc. * 28,905 425 The Bancorp, Inc. * 11,050 368 Tompkins Trustco, Inc. 15,404 1,000 Trico Bancshares 23,670 4,298 Trustco Bank Corp. 41,175 2,893 Trustmark Corp. 81,120 5,722 UCBH Holdings, Inc. 106,544 1,982 UMB Financial Corp. 74,840 3,328 Umpqua Holdings Corp. 89,091 783 Union Bankshares Corp. 20,311 2,085 United Bankshares, Inc. 73,038 2,100 United Community Banks, Inc. 68,859 500 United Security Bancshares/CA 9,535 840 Univest Corp. of Pennsylvania 20,807 487 USB Holding Co., Inc. 11,050 6,946 Valley National Bancorp 175,386 437 Vineyard National Bancorp 10,068 23,389 Virginia Commerce Bancorp, Inc. #* 506,372 711 Virginia Financial Group, Inc. 18,436 6,534 W Holding Co., Inc. 32,670 495 Washington Trust Bancorp, Inc. 13,271 3,180 Webster Financial Corp. 152,672 1,250 WesBanco, Inc. 38,588 1,088 West Bancorp, Inc. 16,418 1,013 West Coast Bancorp 32,386 1,803 Westamerica Bancorp 86,851 800 Western Alliance Bancorp * 24,832 3,953 Whitney Holding Corp. 120,883 3,999 Wilmington Trust Corp. 168,638 652 Wilshire Bancorp, Inc. 10,693 22,509 Wintrust Financial Corp. # 1,004,126 597 Yardville National Bancorp 21,677 ----------- 33,430,787 ----------- BIOTECHNOLOGY - 0.6% 500 Advanced Magnetics, Inc. * 30,135 3,800 ADVENTRX Pharmaceuticals, Inc. * 9,500 3,901 Affymetrix, Inc. * 117,303 2,138 Alexion Pharmaceuticals, Inc. * 92,447 2,300 American Oriental Bioengineering, Inc. * 21,597 4,342 Applera Corp. - Celera Genomics Group * 61,656 3,800 Arena Pharmaceuticals, Inc. * 41,268 3,113 Ariad Pharmaceuticals, Inc. * 13,977 1,132 Bio-Rad Laboratories, Inc. * 79,059 1,676 Cambrex Corp. 41,230 2,405 Cell Genesys, Inc. * 10,101 4,016 Charles River Laboratories International, Inc. * 185,780 1,200 Coley Pharmaceutical Group, Inc. * 11,496 1,800 Cytokinetics, Inc. * 12,528 3,000 deCODE genetics, Inc. * 10,950 1,134 Digene Corp. * 48,093 2,181 Diversa Corp. * 17,034 3,361 Encysive Pharmaceuticals, Inc. * 9,108 1,604 Enzo Biochem, Inc. * 24,188 2,704 Enzon Pharmaceuticals, Inc. * 22,038 4,925 Exelixis, Inc. * 48,955 1,377 Genitope Corp. * 5,715 900 Genomic Health, Inc. * 15,606 3,503 Geron Corp. * 24,521 483 GTx, Inc. * 9,853 3
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PORTFOLIO OF INVESTMENTS MetLife Investment Funds, Inc. / Small Company Stock Fund / March 31, 2007 (Unaudited) (continued) SHARES VALUE ------ ----------- 1,900 Hana Biosciences, Inc. * $ 3,629 8,100 Human Genome Sciences, Inc. * 86,022 3,125 Illumina, Inc. * 91,563 5,463 Incyte Corp. * 36,001 1,185 Integra LifeSciences Holdings Corp. * 54,012 1,659 InterMune, Inc. * 40,911 2,733 Invitrogen Corp. * 173,955 2,869 Keryx Biopharmaceuticals, Inc. * 30,182 4,391 Lexicon Genetics, Inc. * 15,939 1,984 Lifecell Corp. * 49,540 1,980 Martek Biosciences Corp. * 40,828 1,458 Maxygen, Inc. * 16,257 1,400 Metabasis Therapeutics, Inc. * 10,290 18,600 Millennium Pharmaceuticals, Inc. * 211,296 3,087 Millipore Corp. * 223,715 1,400 Momenta Pharmaceuticals, Inc. * 18,144 8,000 Monogram Biosciences, Inc. * 15,520 2,637 Myriad Genetics, Inc. * 90,871 5,234 Nektar Therapeutics * 68,356 1,739 Northfield Laboratories, Inc. * 6,278 4,000 Novavax, Inc. * 10,360 3,300 Panacos Pharmaceuticals, Inc. * 15,279 6,516 PDL BioPharma, Inc. * 141,397 11,300 Peregrine Pharmaceuticals, Inc. * 11,074 2,934 Regeneron Pharmaceuticals, Inc. * 63,433 1,800 Sangamo BioSciences, Inc. * 12,240 2,720 Savient Pharmaceuticals, Inc. * 32,694 2,637 SuperGen, Inc. * 15,558 3,085 Telik, Inc. * 16,752 7,190 Vertex Pharmaceuticals, Inc. * 201,608 ----------- 2,767,842 ----------- BUILDING & CONSTRUCTION - 2.1% 527 Aaon, Inc. 13,770 100 AMREP Corp. 7,725 1,804 Apogee Enterprises, Inc. 36,152 42,927 Beazer Homes USA, Inc. # 1,246,171 763 Brookfield Homes Corp. 24,492 900 Builders FirstSource, Inc. * 14,463 400 Cavco Industries, Inc. * 13,980 4,311 Champion Enterprises, Inc. * 37,937 2,459 Comfort Systems USA, Inc. 29,459 1,120 Drew Industries, Inc. * 32,122 2,343 Dycom Industries, Inc. * 61,059 2,893 Eagle Materials, Inc. 129,115 1,896 EMCOR Group, Inc. * 111,826 1,400 ENGlobal Corp. * 7,770 3,478 Fleetwood Enterprises, Inc. * 27,511 2,716 Florida Rock Industries, Inc. 182,760 1,434 Genlyte Group, Inc. * 101,169 1,500 Goodman Global, Inc. * 26,430 2,112 Granite Construction, Inc. 116,709 2,400 Home Solutions of America, Inc. * 11,400 2,962 Hovnanian Enterprises, Inc. * 74,524 1,600 Infrasource Services, Inc. * 48,848 24,236 Insituform Technologies, Inc. #* 503,866 1,600 Interline Brands, Inc. * 35,072 6,908 Jacobs Engineering Group, Inc. * 322,258 4,600 KB Home 196,282 1,800 KBR, Inc. * 36,630 718 Layne Christensen Co. * 26,150 3,206 Lennox International, Inc. 114,454 957 Levitt Corp. 8,910 1,194 LSI Industries, Inc. 19,988 686 M/I Homes, Inc. 18,213 2,672 Martin Marietta Materials, Inc. 361,254 32,636 MDC Holdings, Inc. # 1,568,812 1,272 Meritage Homes Corp. * 40,857 1,757 Monaco Coach Corp. 27,989 1,165 NCI Building Systems, Inc. * 55,617 270 NVR, Inc. * 179,550 380 Palm Harbor Homes, Inc. * 5,449 1,100 Perini Corp. * 40,546 1,000 PGT, Inc. * 12,000 2,446 Ryland Group, Inc. 103,197 4,584 Shaw Group, Inc. * 143,342 2,282 Simpson Manufacturing Co., Inc. 70,377 288 Skyline Corp. 9,717 3,822 Standard-Pacific Corp. 79,765 600 Sterling Construction Co., Inc. * 11,436 892 Technical Olympic USA, Inc. 3,559 16,121 Texas Industries, Inc. # 1,217,619 23,523 Thor Industries, Inc. # 926,571 7,500 Toll Brothers, Inc. * 205,350 547 Trex Co., Inc. * 11,777 2,100 U.S. Concrete, Inc. * 16,422 909 Universal Forest Products, Inc. 45,041 2,967 URS Corp. * 126,364 4,826 USG Corp. * 225,278 1,600 Washington Group International, Inc. * 106,272 35,156 WCI Communities, Inc. #* 750,229 1,800 Williams Scotsman International, Inc. * 35,388 2,018 Winnebago Industries 67,865 ----------- 10,084,858 ----------- BUSINESS SERVICES & SUPPLIES - 0.9% 1,456 Administaff, Inc. 51,251 838 CDI Corp. 24,235 157,800 Cross Country Healthcare, Inc. #* 2,876,694 1,476 Gevity HR, Inc. 29,136 3,242 Global Imaging Systems, Inc. * 63,219 1,150 Heidrick & Struggles International, Inc. * 55,717 3,844 Herman Miller, Inc. 128,736 6,359 Hewitt Associates, Inc. * 185,874 2,800 HNI Corp. 128,604 1,262 Hudson Highland Group, Inc. * 19,675 6,696 IKON Office Solutions, Inc. * 96,221 2,484 Interface, Inc. * 39,719 1,136 Kelly Services, Inc. 36,579 1,610 Kforce, Inc. * 22,170 2,000 Knoll, Inc. 47,660 2,630 Korn/Ferry International * 60,332 4
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Portfolio of Investments MetLife Investment Funds, Inc. / Small Company Stock Fund / March 31, 2007 (Unaudited) (continued) SHARES VALUE ------ ---------- 3,029 Labor Ready, Inc. * $ 57,521 5,866 MPS Group, Inc. * 83,004 2,698 Resources Connection, Inc. * 86,309 2,851 Spherion Corp. * 25,146 4,536 Steelcase, Inc. 90,221 ---------- 4,208,023 ---------- CHEMICALS - 2.0% 3,990 Airgas, Inc. 168,179 45,406 Albemarle Corp. 1,877,084 1,021 American Vanguard Corp. 17,449 1,280 Arch Chemicals, Inc. 39,962 3,300 Ashland, Inc. 216,480 708 Balchem Corp. 12,517 3,566 Cabot Corp. 170,205 1,463 Cabot Microelectronics Corp. * 49,025 4,400 Celanese Corp. 135,696 3,300 CF Industries Holdings, Inc. 127,215 13,601 Chemtura Corp. 148,659 2,343 Cytec Industries, Inc. 131,770 4,700 Eastman Chemical Co. 297,651 2,530 Ferro Corp. 54,673 20,747 FMC Corp. 1,564,946 2,017 Georgia Gulf Corp. 32,696 3,560 HB Fuller Co. 97,081 6,469 Hercules, Inc. * 126,404 5,300 Huntsman Corp. * 101,177 800 Innophos Holdings, Inc. 13,832 641 Innospec, Inc. 36,947 5,358 International Flavors & Fragrances, Inc. 253,005 272 Kronos Worldwide, Inc. 8,816 4,066 Lubrizol Corp. 209,521 1,761 MacDermid, Inc. 61,406 1,152 Minerals Technologies, Inc. 71,608 1,100 NewMarket Corp. 44,737 521 NL Industries 5,679 4,098 Olin Corp. 69,420 1,634 OM Group, Inc. * 73,007 2,700 Omnova Solutions, Inc. * 14,742 500 Pioneer Cos., Inc. * 13,820 5,352 PolyOne Corp. * 32,647 2,100 Rockwood Holdings, Inc. * 58,128 6,907 RPM International, Inc. 159,552 1,388 Schulman A, Inc. 32,701 2,707 Sensient Technologies Corp. 69,786 7,800 Sigma-Aldrich Corp. 323,856 23,995 Spartech Corp. # 704,013 273 Stepan Co. 7,166 1,978 Symyx Technologies * 35,050 5,563 Terra Industries, Inc. * 97,353 2,500 Tronox, Inc. Class B 34,950 3,000 UAP Holding Corp. 77,550 248 Valhi, Inc. 3,274 45,260 Valspar Corp. 1,259,586 700 Westlake Chemical Corp. 19,005 3,868 WR Grace & Co. * 102,193 800 Zoltek Companies, Inc. * 27,944 ---------- 9,290,163 ---------- COMMERCIAL SERVICES - 7.0% 2,630 Aaron Rents, Inc. 69,537 2,737 ABM Industries, Inc. 72,229 5,188 Adesa, Inc. 143,344 4,000 Advance America Cash Advance Centers, Inc. 61,560 79,100 Advisory Board Co. #* 4,004,042 1,722 Albany Molecular Research, Inc. * 16,962 4,658 Alliance Data Systems Corp. * 287,026 1,834 Arbitron, Inc. 86,106 600 Bankrate, Inc. * 21,144 500 Barrett Business Services, Inc. 11,525 11,376 BearingPoint, Inc. * 87,140 1,543 Bowne & Co., Inc. 24,271 5,600 Career Education Corp. * 170,800 3,917 Cbiz, Inc. * 27,811 400 Central Parking Corp. 8,872 3,100 Cenveo, Inc. * 75,330 1,608 Chemed Corp. 78,728 93,900 ChoicePoint, Inc. * 3,514,677 800 Clayton Holdings, Inc. * 12,272 1,800 Coinmach Service Corp. Class A 19,098 1,512 Coinstar, Inc. * 47,326 900 Compass Diversified Trust 15,093 618 Consolidated Graphics, Inc. * 45,763 8,124 Convergys Corp. * 206,431 800 Cornell Cos., Inc. * 16,176 2,363 Corporate Executive Board Co. 179,493 3,542 Corrections Corp. of America * 187,053 996 CoStar Group, Inc. * 44,501 699 CRA International, Inc. * 36,474 500 Dawson Geophysical Co. * 24,765 2,903 Deluxe Corp. 97,338 1,617 Diamond Management & Technology Consultants, Inc. 18,903 700 Dollar Financial Corp. * 17,710 1,428 Dollar Thrifty Automotive Group * 72,885 1,600 DynCorp International, Inc. * 24,144 1,323 Electro Rent Corp. * 19,051 2,900 Enersys * 49,822 7,416 Equifax, Inc. 270,313 1,913 Euronet Worldwide, Inc. * 51,383 500 Exlservice Holdings, Inc. * 10,315 674 Exponent, Inc. * 13,446 570 First Advantage Corp. * 13,663 1,500 First Consulting Group, Inc. * 13,650 796 Forrester Research, Inc. * 22,575 115,644 FTI Consulting, Inc. #* 3,884,482 143,458 Gartner, Inc. #* 3,435,819 1,227 Geo Group, Inc. * 55,608 2,000 Global Cash Access, Inc. * 33,380 800 H&E Equipment Services, Inc. * 17,200 99,725 Healthcare Services Group # 2,857,121 1,000 Heartland Payment Systems, Inc. 23,640 5
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PORTFOLIO OF INVESTMENTS MetLife Investment Funds, Inc. / Small Company Stock Fund / March 31, 2007 (Unaudited) (continued) SHARES VALUE ------ ----------- 1,000 Huron Consulting Group, Inc. * $ 60,840 500 ICT Group, Inc. * 8,750 2,242 Interactive Data Corp. 55,490 9,906 Iron Mountain, Inc. * 258,844 1,800 Jackson Hewitt Tax Service, Inc. 57,924 800 Kendle International, Inc. * 28,416 1,000 Kenexa Corp. * 31,130 590 Landauer, Inc. 29,783 1,598 LECG Corp. * 23,139 3,700 Live Nation, Inc. * 81,622 2,127 Magellan Health Services, Inc. * 89,334 1,396 MAXIMUS, Inc. 48,134 1,422 McGrath Rentcorp 45,035 995 Midas, Inc. * 21,462 600 Monro Muffler, Inc. 21,060 900 Morningstar, Inc. * 46,476 141,949 Navigant Consulting, Inc. #* 2,804,912 2,800 Net 1 UEPS Technologies, Inc. * 69,664 1,700 On Assignment, Inc. * 21,097 37,664 Parexel International Corp. * 1,354,774 1,200 PeopleSupport, Inc. * 13,740 6,030 Pharmaceutical Product Development, Inc. 203,151 1,196 Pharmanet Development Group, Inc. * 31,096 3,000 PHH Corp. * 91,680 620 Pre-Paid Legal Services, Inc. * 31,068 720 Providence Service Corp. * 17,078 6,417 Quanta Services, Inc. * 161,837 4,028 Rent-A-Center, Inc. * 112,703 1,800 Rewards Network, Inc. * 9,540 1,755 Rollins, Inc. 40,383 5,100 SAIC, Inc. * 88,332 1,582 Senomyx, Inc. * 19,585 168,951 Service Corp. International 2,003,759 17,010 ServiceMaster Co. 261,784 3,654 Sotheby's Holdings 162,530 2,152 Source Interlink Companies, Inc. * 14,440 400 Standard Parking Corp. * 14,148 717 Startek, Inc. 7,019 6,595 Stewart Enterprises, Inc. 53,156 400 Team, Inc. * 15,260 1,730 TeleTech Holdings, Inc. * 63,474 1,481 TNS, Inc. * 23,829 3,871 United Rentals, Inc. * 106,452 2,719 Valassis Communications, Inc. * 46,740 500 Vertrue, Inc. * 24,055 1,378 Viad Corp. 53,191 544 Volt Information Sciences, Inc. * 14,247 6,000 Waters Corp. * 348,000 2,568 Watson Wyatt & Co. Holdings 124,933 2,050 Weight Watchers International, Inc. 94,485 109,000 Wright Express Corp. #* 3,305,970 ----------- 33,313,548 ----------- COMPUTERS & INFORMATION - 1.6% 945 3D Systems Corp. * 20,705 1,544 Agilysys, Inc. 34,694 1,098 Ansoft Corp. * 34,741 7,421 BISYS Group, Inc. * 85,045 119,069 Brocade Communications Systems, Inc. * 1,133,537 1,725 CACI International, Inc. * 80,833 8,157 Ceridian Corp. * 284,190 3,140 Ciber, Inc. * 24,712 1,080 COMSYS IT Partners, Inc. * 21,492 2,022 Covansys Corp. * 49,903 4,033 Diebold, Inc. 192,414 3,200 DST Systems, Inc. * 240,640 1,650 Echelon Corp. * 17,391 3,368 Electronics for Imaging * 78,980 2,409 Factset Research Systems, Inc. 151,406 18,828 Gateway, Inc. * 41,233 1,338 Hutchinson Technology, Inc. * 31,242 1,200 iGate Corp. * 9,888 1,400 IHS, Inc. * 57,554 2,130 Imation Corp. 86,009 508 Integral Systems, Inc. 12,278 2,279 InterVoice, Inc. * 15,133 4,606 Jack Henry & Associates, Inc. 110,774 1,748 Komag, Inc. * 57,212 1,850 Kronos, Inc. * 98,975 1,500 Magma Design Automation, Inc. * 17,940 1,552 Manhattan Associates, Inc. * 42,571 900 Maxwell Technologies, Inc. * 11,268 4,425 Mentor Graphics Corp. * 72,305 871 Mercury Computer Systems, Inc. * 12,081 2,288 Micros Systems, Inc. * 123,529 1,922 Mobility Electronics, Inc. * 5,977 1,153 MTS Systems Corp. 44,783 3,457 National Instruments Corp. 90,677 1,900 Ness Technologies, Inc. * 24,282 1,196 Netscout Systems, Inc. * 10,824 5,368 Palm, Inc. * 97,322 4,855 Perot Systems Corp. * 86,759 9,762 Quantum Corp. * 26,357 1,600 Rackable Systems, Inc. * 27,152 1,588 Radiant Systems, Inc. * 20,692 1,321 Radisys Corp. * 21,585 700 Riverbed Technology, Inc. * 19,348 898 SI International, Inc. * 25,782 1,500 Sigma Designs, Inc. * 39,390 5,492 Silicon Storage Technology, Inc. * 27,076 2,258 SRA International, Inc. * 55,005 542 Stratasys, Inc. * 23,154 72,417 SYKES Enterprises, Inc. * 1,320,886 1,380 Synaptics, Inc. * 35,300 66,525 Synopsys, Inc. * 1,744,951 413 Syntel, Inc. 14,310 1,721 Talx Corp. 57,017 6
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PORTFOLIO OF INVESTMENTS MetLife Investment Funds, Inc. / Small Company Stock Fund / March 31, 2007 (Unaudited) (continued) SHARES VALUE ------ ---------- 2,392 Tyler Technologies, Inc. * $ 30,378 19,700 Unisys Corp. * 166,071 12,677 Western Digital Corp. * 213,100 ---------- 7,478,853 ---------- CONTAINERS & PACKAGING - 0.9% 300 AEP Industries, Inc. * 12,900 6,154 Ball Corp. 282,161 5,994 Bemis Co. 200,140 1,088 Chesapeake Corp. 16,429 83,869 Crown Holdings, Inc. * 2,051,436 3,649 Graphic Packaging Corp. * 17,296 909 Greif, Inc. 100,999 2,034 Mobile Mini, Inc. * 54,471 8,731 Owens-Illinois, Inc. * 224,998 4,731 Packaging Corp. of America 115,436 7,753 Pactiv Corp. * 261,586 9,600 Sealed Air Corp. 303,360 1,466 Silgan Holdings, Inc. 74,927 15,200 Smurfit-Stone Container Corp. * 171,152 5,655 Sonoco Products Co. 212,515 ---------- 4,099,806 ---------- COSMETICS & PERSONAL CARE - 0.1% 4,400 Alberto-Culver Co. * 100,672 1,200 Bare Escentuals, Inc. * 43,044 903 Chattem, Inc. * 53,223 1,635 Elizabeth Arden, Inc. * 35,676 247 Inter Parfums, Inc. 5,187 800 Parlux Fragrances, Inc. * 4,464 600 Physicians Formula Holdings, Inc. * 11,328 8,317 Revlon, Inc. * 8,899 ---------- 262,493 ---------- DISTRIBUTION & WHOLESALE - 1.2% 2,550 Beacon Roofing Supply, Inc. * 41,259 75,026 Bell Microproducts, Inc. #* 480,166 700 BlueLinx Holdings, Inc. 7,350 2,776 Brightpoint, Inc. * 31,757 1,708 Building Material Holding Corp. 30,932 3,400 CDW Corp. 208,862 1,770 Central European Distribution Corp. * 51,525 600 Core-Mark Holding Co., Inc. * 21,408 700 Directed Electronics, Inc. * 6,272 700 Houston Wire & Cable Co. * 19,614 8,162 Ingram Micro, Inc. * 157,608 2,618 LKQ Corp. * 57,230 400 MWI Veterinary Supply, Inc. * 13,200 1,065 Nuco2, Inc. * 26,859 44,889 Owens & Minor, Inc. 1,648,773 2,938 Pool Corp. 105,180 1,408 Scansource, Inc. * 37,791 3,265 Tech Data Corp. * 116,920 22,926 Triad Guaranty, Inc. #* 949,366 25,207 United Stationers, Inc. * 1,510,403 1,637 Watsco, Inc. 83,602 2,768 WESCO International, Inc. * 173,775 ---------- 5,779,852 ---------- DIVERSIFIED FINANCIAL SERVICES - 2.1% 1,146 Accredited Home Lenders Holding Co. * 10,623 1,157 Advanta Corp. Class B 50,723 1,871 Affiliated Managers Group * 202,723 4,400 AG Edwards, Inc. 304,392 8,330 Allied Capital Corp. 239,987 8,791 American Capital Strategies Ltd. 389,529 6,698 AmeriCredit Corp. * 153,116 6,045 Apollo Investment Corp. 129,363 2,775 Ares Capital Corp. 50,422 1,089 Asset Acceptance Capital Corp. * 16,847 684 Asta Funding, Inc. 29,535 1,400 Calamos Asset Management, Inc. Class A 31,248 100 Capital Southwest Corp. 15,367 5,627 CapitalSource, Inc. 141,407 3,063 CharterMac 59,269 900 Cohen & Steers, Inc. 38,772 1,267 CompuCredit Corp. * 39,556 583 Credit Acceptance Corp. * 15,852 5,507 Doral Financial Corp. * 9,032 6,726 Eaton Vance Corp. 239,715 1,654 eSpeed, Inc. * 15,713 19,000 Evercore Partners, Inc. Class A #* 592,610 706 Federal Agricultural Mortgage Corp. Class C 19,203 5,281 Federated Investors, Inc. Class B 193,918 1,690 Financial Federal Corp. 44,481 2,617 First Marblehead Corp. 117,477 2,700 Freedom Acquisition Holdings, Inc. 25,926 9,019 Friedman Billings Ramsey Group, Inc. 49,785 268 GAMCO Investors, Inc. 11,612 700 GFI Group, Inc. * 47,579 500 Gladstone Capital Corp. 11,840 500 Gladstone Investment Corp. 7,435 1,000 Greenhill & Co., Inc. 61,390 975 Harris & Harris Group, Inc. * 12,597 4,222 IndyMac Bancorp, Inc. 135,315 3,900 IntercontinentalExchange, Inc. * 476,619 2,193 International Securities Exchange, Inc. 107,018 2,557 Investment Technology Group, Inc. * 100,234 11,484 Janus Capital Group, Inc. 240,131 6,952 Jefferies Group, Inc. 201,260 500 KBW, Inc. * 17,380 5,998 Knight Capital Group, Inc. * 95,008 3,084 LaBranche & Co., Inc. * 25,165 1,600 MarketAxess Holdings, Inc. * 26,784 809 Marlin Business Services, Inc. * 17,701 2,969 MCG Capital Corp. 55,698 1,000 Medallion Financial Corp. 11,440 5,012 MoneyGram International, Inc. 139,133 1,100 MVC Capital, Inc. 17,215 5,500 Nasdaq Stock Market, Inc. * 161,755 2,104 National Financial Partners Corp. 98,699 7
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PORTFOLIO OF INVESTMENTS MetLife Investment Funds, Inc. / Small Company Stock Fund / March 31, 2007 (Unaudited) (continued) SHARES VALUE ------ ---------- 1,037 Nelnet, Inc. $ 24,857 1,049 NGP Capital Resources Co. 16,585 4,548 Nuveen Investments, Inc. 215,120 2,268 Ocwen Financial Corp. * 29,189 1,200 optionsXpress Holdings, Inc. 28,248 99,800 Penson Worldwide, Inc. #* 3,012,962 1,128 Piper Jaffray Cos. * 69,868 900 Portfolio Recovery Associates, Inc. * 40,185 5,184 Raymond James Financial, Inc. 154,276 484 Sanders Morris Harris Group, Inc. 5,155 590 Stifel Financial Corp. * 26,137 242 Student Loan Corp. 44,993 1,239 SWS Group, Inc. 30,740 1,100 Technology Investment Capital Corp. 18,601 500 Thomas Weisel Partners Group, Inc. * 9,510 625 United PanAm Financial Corp. * 7,813 4,956 Waddell & Reed Financial, Inc. 115,574 23,478 Walter Industries, Inc. # 581,081 1,152 World Acceptance Corp. * 46,022 ---------- 9,782,515 ---------- DIVERSIFIED OPERATIONS - 0.0% 1,400 Star Maritime Acquisition Corp. * 14,350 ---------- 14,350 ---------- EDUCATION - 0.2% 1,582 Bright Horizons Family Solutions, Inc. * 59,721 5,034 Corinthian Colleges, Inc. * 69,217 3,693 DeVry, Inc. 108,390 1,100 Educate, Inc. * 8,426 2,413 ITT Educational Services, Inc. * 196,635 2,539 Laureate Education, Inc. * 149,725 851 Strayer Education, Inc. 106,375 1,405 Universal Technical Institute, Inc. * 32,427 ---------- 730,916 ---------- ELECTRICAL EQUIPMENT - 0.3% 2,196 Advanced Energy Industries, Inc. * 46,204 1,429 Allete, Inc. 66,620 1,541 American Superconductor Corp. * 20,757 6,339 Ametek, Inc. 218,949 2,420 Belden CDT, Inc. 129,688 6,800 Capstone Turbine Corp. * 7,208 500 Color Kinetics, Inc. * 9,715 1,373 Encore Wire Corp. 34,764 3,352 Energizer Holdings, Inc. * 286,026 2,309 Energy Conversion Devices, Inc. * 80,676 2,895 General Cable Corp. * 154,680 6,158 GrafTech International Ltd. * 55,915 3,623 Hubbell, Inc. Class B 174,774 900 Insteel Industries, Inc. 15,111 900 Lamson & Sessions Co. * 25,011 1,350 Littelfuse, Inc. * 54,810 1,385 Medis Technologies Ltd. * 23,420 285 Powell Industries, Inc. * 9,120 4,436 Power-One, Inc. * 25,374 1,400 Raser Technologies, Inc. * 7,280 1,060 Superior Essex, Inc. * 36,750 1,073 Universal Display Corp. * 16,192 1,150 Vicor Corp. 11,523 1,364 Wilson Greatbatch Technologies, Inc. * 34,782 ---------- 1,545,349 ---------- ELECTRONICS - 5.3% 500 American Science & Engineering, Inc. * 26,335 752 Analogic Corp. 47,286 7,194 Arrow Electronics, Inc. * 271,573 7,439 Avnet, Inc. * 268,845 2,900 AVX Corp. 44,080 814 Badger Meter, Inc. 21,612 648 Bel Fuse, Inc. Class B 25,084 3,880 Benchmark Electronics, Inc. * 80,161 2,684 Brady Corp. 83,741 52,220 Checkpoint Systems, Inc. * 1,235,525 1,800 China BAK Battery, Inc. * 5,850 2,600 Cogent, Inc. * 34,970 112,997 Coherent, Inc. #* 3,586,525 2,178 CTS Corp. 30,100 1,040 Cubic Corp. 22,506 2,105 Cymer, Inc. * 87,463 54,924 Daktronics, Inc. # 1,507,115 1,162 Dionex Corp. * 79,144 2,100 Dolby Laboratories, Inc. * 72,471 700 Eagle Test Systems, Inc. * 11,648 1,840 Electro Scientific Industries, Inc. * 35,402 554 Excel Technology, Inc. * 15,141 1,438 FEI Co. * 51,854 3,664 Flir Systems, Inc. * 130,695 114,434 Gentex Corp. 1,859,552 97,762 II-VI, Inc. #* 3,309,244 1,700 Ionatron, Inc. * 7,922 48,670 Itron, Inc. #* 3,165,497 98,500 Keithley Instruments, Inc. 1,506,065 4,940 Kemet Corp. * 37,791 3,455 L-1 Identity Solutions, Inc. * 57,042 1,025 LoJack Corp. * 19,454 795 Measurement Specialties, Inc. * 17,935 2,280 Methode Electronics, Inc. 33,676 2,168 Mettler Toledo International, Inc. * 194,188 500 Multi-Fineline Electronix, Inc. * 7,675 979 OSI Systems, Inc. * 25,885 300 OYO Geospace Corp. * 21,276 1,102 Park Electrochemical Corp. 29,886 2,402 Paxar Corp. * 68,937 7,450 PerkinElmer, Inc. 180,439 1,096 Photon Dynamics, Inc. * 13,821 21,472 Plexus Corp. #* 368,245 2,800 RAE Systems, Inc. * 8,036 837 Rofin-Sinar Technologies, Inc. * 49,534 47,829 Rogers Corp. #* 2,121,216 30,600 Sanmina-SCI Corp. * 110,772 51,000 Solectron Corp. * 160,650 1,571 Sonic Solutions, Inc. * 22,151 8
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PORTFOLIO OF INVESTMENTS MetLife Investment Funds, Inc. / Small Company Stock Fund / March 31, 2007 (Unaudited) (continued) SHARES VALUE ------ ----------- 3,210 Taser International, Inc. * $ 25,776 50,576 Technitrol, Inc. 1,324,585 4,704 Tektronix, Inc. 132,465 3,322 Thomas & Betts Corp. * 162,180 6,836 Trimble Navigation Ltd. * 183,478 2,825 TTM Technologies, Inc. * 26,950 1,817 Varian, Inc. * 105,858 122,892 Vishay Intertechnology, Inc. * 1,718,030 1,831 Watts Water Technologies, Inc. 69,633 1,863 Woodward Governor Co. 76,700 1,209 X-Rite, Inc. 15,656 1,200 Zygo Corp. * 19,212 ----------- 25,032,538 ----------- ENTERTAINMENT & LEISURE - 1.5% 1,132 Ambassadors Group, Inc. 37,628 500 Ambassadors International, Inc. 23,070 618 Arctic Cat, Inc. 12,045 2,932 Bally Technologies, Inc. * 69,137 2,400 Bally Total Fitness Holding Corp. * 1,464 1,241 Bluegreen Corp. * 14,011 41,299 Brunswick Corp. 1,315,373 4,302 Callaway Golf Co. 67,800 586 Carmike Cinemas, Inc. 13,595 1,400 Century Casinos, Inc. * 11,550 567 Churchill Downs, Inc. 25,736 987 Dover Downs Gaming & Entertainment, Inc. 12,713 981 Dover Motorsports, Inc. 5,150 2,300 DreamWorks Animation SKG, Inc. * 70,334 2,280 Gaylord Entertainment Co. * 120,544 1,200 Great Wolf Resorts, Inc. * 15,876 9,257 Hasbro, Inc. 264,935 2,104 International Speedway Corp. 108,777 1,092 Isle of Capri Casinos, Inc. * 27,977 1,653 Jakks Pacific, Inc. * 39,507 3,034 K2, Inc. * 36,681 1,500 Lakes Entertainment, Inc. * 16,725 2,199 Leapfrog Enterprises, Inc. * 23,529 1,800 Life Time Fitness, Inc. * 92,538 132,330 Macrovision Corp. #* 3,314,866 2,500 Magna Entertainment Corp. * 9,100 1,024 Marine Products Corp. 9,800 2,846 Marvel Entertainment, Inc. * 78,976 1,582 Multimedia Games, Inc. * 18,826 3,564 National CineMedia, Inc. * 99,026 1,872 Nautilus Group, Inc. 28,885 4,216 Penn National Gaming, Inc. * 178,843 3,301 Pinnacle Entertainment, Inc. * 95,960 2,019 Polaris Industries, Inc. 96,872 2,500 Progressive Gaming International Corp. * 11,250 1,179 RC2 Corp. * 47,620 3,700 Regal Entertainment Group 73,519 7,664 Sabre Holdings Corp. 250,996 3,816 Scientific Games Corp. * 125,279 1,950 Shuffle Master, Inc. * 35,587 3,511 Six Flags, Inc. * 21,101 938 Speedway Motorsports, Inc. 36,347 464 Steinway Musical Instruments 14,973 1,768 Topps Co., Inc. 17,185 700 Town Sports International Holdings, Inc. * 15,260 1,689 Vail Resorts, Inc. * 91,763 5,300 Warner Music Group Corp. 90,418 1,602 WMS Industries, Inc. * 62,862 ----------- 7,252,009 ----------- ENVIRONMENTAL SERVICES - 0.5% 14,500 Allied Waste Industries, Inc. * 182,555 1,013 American Ecology Corp. 19,460 1,800 Aventine Renewable Energy Holdings, Inc. * 32,796 2,076 Calgon Carbon Corp. * 17,251 67,072 Casella Waste Systems, Inc. #* 654,623 1,000 Clean Harbors, Inc. * 45,220 6,774 Covanta Holding Corp. * 150,247 4,200 Darling International, Inc. * 27,300 4,000 Evergreen Solar, Inc. * 39,000 1,200 First Solar, Inc. * 62,412 2,838 FuelCell Energy, Inc. * 22,307 2,355 Headwaters, Inc. * 51,457 1,448 Metal Management, Inc. 66,898 1,675 Mine Safety Appliances Co. 70,450 6,200 Nalco Holding Co. * 148,180 1,310 Pacific Ethanol, Inc. * 22,309 4,617 Plug Power, Inc. * 14,590 3,200 Quantum Fuel Systems Technologies Worldwide, Inc. * 3,904 8,400 Rentech, Inc. * 26,376 2,558 Stericycle, Inc. * 208,477 700 Sunpower Corp. * 31,850 4,000 Synagro Technologies, Inc. 22,800 2,074 Syntroleum Corp. * 6,471 3,562 Tetra Tech, Inc. * 67,892 900 VeraSun Energy Corp. * 17,883 3,850 Waste Connections, Inc. * 115,269 507 Waste Industries USA, Inc. 13,927 1,433 Waste Services, Inc. * 14,244 ----------- 2,156,148 ----------- FOOD, BEVERAGE & TOBACCO - 1.3% 300 Alico, Inc. 17,199 5,749 Alliance One International, Inc. * 53,063 732 Andersons, Inc. 32,501 100 Arden Group, Inc. 13,350 549 Boston Beer Co., Inc. * 18,309 1,400 Chipotle Mexican Grill, Inc. * 80,360 2,479 Chiquita Brands International, Inc. 34,756 327 Coca-Cola Bottling Co. Consolidated 18,518 48,960 Constelllation Brands, Inc. #* 1,036,973 4,418 Corn Products International, Inc. 157,237 7,400 Dean Foods Co. * 345,876 128,065 Del Monte Foods Co. 1,470,186 9
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PORTFOLIO OF INVESTMENTS MetLife Investment Funds, Inc. / Small Company Stock Fund / March 31, 2007 (Unaudited) (continued) SHARES VALUE ------ ---------- 2,161 Delta & Pine Land Co. $ 89,033 1,100 Diamond Foods, Inc. 18,315 500 Farmer Bros Co. 11,350 3,112 Flowers Foods, Inc. 93,889 1,080 Great Atlantic & Pacific Tea Co. 35,834 322 Green Mountain Coffee Roasters, Inc. * 20,302 1,722 Hain Celestial Group, Inc. * 51,781 3,544 Hansen Natural Corp. * 134,247 700 Imperial Sugar Co. 23,471 600 Ingles Markets, Inc. 24,504 740 J&J Snack Foods Corp. 29,223 3,346 JM Smucker Co. 178,409 1,500 Jones Soda Co. * 30,330 1,692 Lance, Inc. 34,246 500 M&F Worldwide Corp. * 23,805 78 Maui Land & Pineapple Co., Inc. * 2,820 7,600 McCormick & Co., Inc. 292,752 600 MGP Ingredients, Inc. 12,222 3,039 Molson Coors Brewing Co. Class B 287,550 685 Nash Finch Co. 23,605 728 National Beverage Corp. * 12,769 3,147 Pathmark Stores, Inc. * 40,282 904 Peet's Coffee & Tea, Inc. * 24,968 3,753 PepsiAmericas, Inc. 83,767 2,059 Performance Food Group Co. * 63,561 2,394 Pilgrim's Pride Corp. 79,457 800 Premium Standard Farms, Inc. 16,832 1,468 Ralcorp Holdings, Inc. * 94,392 2,359 Ruddick Corp. 70,959 1,121 Sanderson Farms, Inc. 41,544 26 Seaboard Corp. 58,760 5,590 Smithfield Foods, Inc. * 167,420 1,400 Spartan Stores, Inc. 37,520 11,900 Supervalu, Inc. 464,933 715 Tejon Ranch Co. * 33,819 2,212 Tootsie Roll Industries, Inc. 66,307 1,900 TreeHouse Foods, Inc. * 57,893 2,606 United Natural Foods, Inc. * 79,848 1,553 Universal Corp. 95,277 2,097 Vector Group Ltd. 39,235 100 Village Super Market, Inc. 9,549 509 Weis Markets, Inc. 22,752 1,559 Wild Oats Markets, Inc. * 28,374 ---------- 6,386,234 ---------- FOREST PRODUCTS & PAPER - 0.6% 53,666 Bowater, Inc. # 1,278,324 1,829 Buckeye Technologies, Inc. * 23,740 1,734 Caraustar Industries, Inc. * 10,889 597 Deltic Timber Corp. 28,632 28,000 Domtar Corp. 260,680 2,617 Glatfelter 39,019 3,801 Longview Fibre Co. 93,619 6,312 Louisiana-Pacific Corp. 126,619 2,000 Mercer International, Inc. * 23,920 900 Neenah Paper, Inc. 35,766 2,187 Potlatch Corp. * 100,121 4,536 Rayonier, Inc. 195,048 2,109 Rock-Tenn Co. 70,019 896 Schweitzer-Mauduit International, Inc. 22,266 6,368 Temple-Inland, Inc. 380,424 2,524 Wausau-Mosinee Paper Corp. 36,245 1,000 Xerium Technologies, Inc. 8,020 ---------- 2,733,351 ---------- HEALTH CARE - 6.8% 1,104 Abaxis, Inc. * 26,904 1,588 Abiomed, Inc. * 21,692 1,542 Accuray, Inc. * 37,768 3,435 Advanced Medical Optics, Inc. * 127,782 700 Air Methods Corp. * 16,814 2,951 Align Technology, Inc. * 46,803 241 Alliance Imaging, Inc. * 2,104 1,369 Amedisys, Inc. * 44,397 4,322 American Medical Systems Holdings, Inc. * 91,497 2,914 AMERIGROUP Corp. * 88,586 1,993 AMN Healthcare Services, Inc. * 45,082 1,659 Amsurg Corp. * 40,629 1,300 AngioDynamics, Inc. * 21,957 2,320 Apria Healthcare Group, Inc. * 74,820 39,319 Arrow International, Inc. # 1,264,499 1,521 Arthrocare Corp. * 54,817 729 Aspect Medical Systems, Inc. * 11,365 3,139 Bausch & Lomb, Inc. 160,591 3,680 Beckman Coulter, Inc. 235,115 145,400 Bio-Reference Labs, Inc. #* 3,693,160 978 Biosite, Inc. * 82,123 1,200 Brookdale Senior Living, Inc. 53,592 2,795 Bruker BioSciences Corp. * 29,403 1,611 Candela Corp. * 18,398 1,500 Capital Senior Living Corp. * 17,415 2,450 Centene Corp. * 51,426 3,309 Cepheid, Inc. * 39,311 1,900 Cerus Corp. * 12,825 37,575 Community Health Systems, Inc. #* 1,324,519 1,500 Conceptus, Inc. * 30,000 1,590 Conmed Corp. * 46,476 2,592 Cooper Cos, Inc. 126,023 453 Corvel Corp. * 13,703 2,818 Covance, Inc. * 167,220 1,069 Cyberonics, Inc. * 20,076 6,753 Cytyc Corp. * 231,020 4,746 Dade Behring Holdings, Inc. 208,112 696 Datascope Corp. 25,188 9,300 DENTSPLY International, Inc. 304,575 1,200 DexCom, Inc. * 9,432 1,400 DJ Orthopedics, Inc. * 53,060 3,487 Edwards Lifesciences Corp. * 176,791 200 Emeritus Corp. * 6,750 826 ev3, Inc. * 16,272 2,000 Five Star Quality Care, Inc. * 20,560 1,200 Foxhollow Technologies, Inc. * 25,068 10
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PORTFOLIO OF INVESTMENTS MetLife Investment Funds, Inc. / Small Company Stock Fund / March 31, 2007 (Unaudited) (continued) SHARES VALUE ------ ----------- 3,056 Gen-Probe, Inc. * $ 143,876 1,131 Genesis HealthCare Corp. * 71,377 1,609 Gentiva Health Services, Inc. * 32,454 1,471 Haemonetics Corp. * 68,769 1,200 Healthspring, Inc. * 28,260 2,200 HealthTronics, Inc. * 11,858 1,977 Healthways, Inc. * 92,425 5,070 Henry Schein, Inc. * 279,763 3,542 Hillenbrand Industries, Inc. 210,289 3,020 Hologic, Inc. * 174,073 800 Horizon Health Corp. * 15,640 1,800 Hythiam, Inc. * 12,240 896 ICU Medical, Inc. * 35,123 1,897 Idexx Laboratories, Inc. * 166,234 3,854 Immucor, Inc. * 113,423 1,400 IntraLase Corp. * 34,972 2,100 Intuitive Surgical, Inc. * 255,297 1,834 Invacare Corp. 31,985 2,100 Inverness Medical Innovations, Inc. * 91,938 1,100 Iris International, Inc. * 15,345 800 Kensey Nash Corp. * 24,400 1,602 Kindred Healthcare, Inc. * 52,514 2,477 Kinetic Concepts, Inc. * 125,435 2,600 Kyphon, Inc. * 117,364 1,190 LCA-Vision, Inc. 49,016 500 LHC Group, Inc. * 16,215 3,439 LifePoint Hospitals, Inc. * 131,439 5,014 Lincare Holdings, Inc. * 183,763 1,918 Luminex Corp. * 26,315 4,342 Manor Care, Inc. 236,031 1,400 Matria Healthcare, Inc. * 36,904 366 Medcath Corp. * 9,992 900 Medical Action Industries, Inc. * 21,510 800 Medifast, Inc. * 5,728 2,226 Mentor Corp. 102,396 1,277 Merge Technologies, Inc. * 6,219 1,159 Meridian Bioscience, Inc. 32,174 1,568 Merit Medical Systems, Inc. * 19,678 668 Molina Healthcare, Inc. * 20,434 379 National Healthcare Corp. 19,321 1,200 Natus Medical, Inc. * 21,324 800 Neurometrix, Inc. * 7,768 500 Nighthawk Radiology Holdings, Inc. * 9,095 900 Northstar Neuroscience, Inc. * 11,520 2,000 NuVasive, Inc. * 47,500 1,100 NxStage Medical, Inc. * 14,652 1,592 Oakley, Inc. 32,063 2,125 Odyssey HealthCare, Inc. * 27,901 1,317 Option Care, Inc. 17,516 2,592 OraSure Technologies, Inc. * 19,051 47,600 Orthofix International N.V. * 2,429,980 905 Palomar Medical Technologies, Inc. * 36,155 8,000 Patterson Cos., Inc. * 283,920 37,398 Pediatrix Medical Group, Inc. #* 2,133,930 1,274 PolyMedica Corp. 53,928 4,178 PSS World Medical, Inc. * 88,323 3,216 Psychiatric Solutions, Inc. * 129,637 1,900 Quidel Corp. * 22,800 700 Radiation Therapy Services, Inc. * 21,448 1,197 RehabCare Group, Inc. * 18,996 1,262 Res-Care, Inc. * 22,085 4,470 Resmed, Inc. * 225,154 110,488 Respironics, Inc. #* 4,639,391 3,292 Sierra Health Services * 135,532 1,000 Sirona Dental Systems, Inc. 34,460 998 SonoSite, Inc. * 28,203 1,900 Spectranetics Corp. * 20,330 1,200 Stereotaxis, Inc. * 14,280 57,506 Steris Corp. 1,527,359 1,600 Sun Healthcare Group, Inc. * 19,760 2,628 Sunrise Senior Living, Inc. * 103,859 925 SurModics, Inc. * 33,300 160,917 Symbion, Inc. * 3,155,582 2,100 Symmetry Medical, Inc. * 34,293 2,310 Techne Corp. * 131,901 26,800 Tenet Healthcare Corp. * 172,324 3,328 ThermoGenesis Corp. * 12,114 2,978 Thoratec Corp. * 62,240 5,165 Triad Hospitals, Inc. * 269,871 2,550 United Surgical Partners International, Inc. * 78,565 24,320 Universal Health Services, Inc. Class B 1,392,563 1,730 Ventana Medical Systems * 72,487 1,858 Viasys Healthcare, Inc. * 63,153 600 Visicu, Inc. * 4,680 700 VistaCare, Inc. * 6,090 800 Vital Images, Inc. * 26,608 323 Vital Signs, Inc. 16,790 700 Volcano Corp. * 12,607 1,900 WellCare Health Plans, Inc. * 161,975 1,970 West Pharmaceutical Services, Inc. 91,467 94,045 Wright Medical Group, Inc. * 2,096,263 240 Young Innovations, Inc. 6,533 1,232 Zoll Medical Corp. * 32,833 ----------- 32,470,068 ----------- HOTELS & RESTAURANTS - 2.5% 1,316 Ameristar Casinos, Inc. 42,257 67,254 Applebees International, Inc. 1,666,554 1,000 BJ's Restaurants, Inc. * 21,130 2,064 Bob Evans Farms, Inc. 76,265 2,500 Boyd Gaming Corp. 119,100 412 Buffalo Wild Wings, Inc. * 26,244 1,600 Burger King Holdings, Inc. 34,560 1,295 California Pizza Kitchen, Inc. * 42,593 1,563 CBRL Group, Inc. * 72,367 29,390 CEC Entertainment, Inc. * 1,220,861 4,740 Cheesecake Factory * 126,321 500 Chipotle Mexican Grill, Inc. Class A * 31,050 1,996 Choice Hotels International, Inc. 70,718 4,200 CKE Restaurants, Inc. 79,212 2,300 Cosi, Inc. * 12,834 11
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PORTFOLIO OF INVESTMENTS MetLife Investment Funds, Inc. / Small Company Stock Fund / March 31, 2007 (Unaudited) (continued) SHARES VALUE ------ ----------- 5,900 Denny's Corp. * $ 28,910 2,300 Domino's Pizza, Inc. 74,681 1,124 IHOP Corp. 65,923 2,101 Jack in the Box, Inc. * 145,242 3,397 Krispy Kreme Doughnuts, Inc. * 34,615 1,010 Landry's Restaurants, Inc. 29,896 912 Lodgian, Inc. * 12,184 1,392 Marcus Corp. 32,378 132,540 McCormick & Schmick's Seafood Restaurants, Inc. #* 3,553,397 600 Monarch Casino & Resort, Inc. * 15,600 1,200 Morgans Hotel Group Co. * 25,212 700 Morton's Restaurant Group, Inc. * 12,453 1,476 MTR Gaming Group, Inc. * 19,306 1,271 O'Charleys, Inc. * 24,518 3,794 OSI Restaurant Partners, Inc. 149,863 1,780 Panera Bread Co. * 105,127 1,358 Papa John's International, Inc. * 39,925 1,457 PF Chang's China Bistro, Inc. * 61,019 1,875 Rare Hospitality International, Inc. * 56,419 883 Red Robin Gourmet Burgers, Inc. * 34,278 600 Riviera Holdings Corp. * 16,770 55,800 Ruby Tuesday, Inc. # 1,595,880 1,100 Ruth's Chris Steak House * 22,396 4,284 Sonic Corp. * 95,447 2,838 Station Casinos, Inc. 245,686 1,939 Steak N Shake Co. * 32,517 117,200 Texas Roadhouse, Inc. #* 1,670,100 3,674 Triarc Cos. Class B 63,156 1,700 Trump Entertainment Resorts, Inc. * 30,719 ----------- 11,935,683 ----------- HOUSEHOLD PRODUCTS - 1.3% 2,700 Acco Brands Corp. * 65,043 43,487 American Greetings Corp. # 1,009,333 668 American Woodmark Corp. 24,556 1,380 Blyth, Inc. 29,132 4,140 Central Garden and Pet Co. Class A * 60,858 3,733 Church & Dwight, Inc. 187,957 476 CSS Industries, Inc. 17,840 999 Digital Theater Systems, Inc. * 24,206 1,600 Ennis Business Forms 42,816 1,930 Ethan Allen Interiors, Inc. 68,206 105,175 Fossil, Inc. #* 2,783,982 35,026 Furniture Brands International, Inc. # 552,710 300 Hooker Furniture Corp. 6,015 3,128 Jarden Corp. * 119,802 1,617 John H Harland Co. 82,839 1,358 Kimball International, Inc. Class B 26,182 3,120 La-Z-Boy, Inc. 38,626 10,500 Leggett & Platt, Inc. 238,035 619 Lifetime Brands, Inc. 12,931 169 National Presto Industries, Inc. * 10,417 3,376 Playtex Products, Inc. * 45,812 625 Russ Berrie & Co., Inc. * 8,813 2,557 Scotts Co. 112,585 1,300 Sealy Corp. 22,724 2,205 Spectrum Brands, Inc. * 13,958 980 Standard Register Co. 12,397 528 Stanley Furniture Co., Inc. 10,982 3,052 Tempur-Pedic International, Inc. 79,322 4,712 Tivo, Inc. * 29,921 2,284 Toro Co. 117,032 3,553 Tupperware Corp. 88,576 823 Universal Electronics, Inc. * 22,929 996 WD-40 Co. 31,583 ----------- 5,998,120 ----------- INDUSTRIAL MACHINERY - 1.4% 5,344 AGCO Corp. * 197,568 1,692 Albany International Corp. 60,810 2,787 Applied Industrial Technologies, Inc. 68,393 1,025 Astec Industries, Inc. * 41,256 2,605 Baldor Electric Co. 98,313 3,110 Briggs & Stratton Corp. 95,943 1,900 Bucyrus International, Inc. 97,850 687 Cascade Corp. 41,137 1,100 Chart Industries, Inc. * 19,976 2,830 Cognex Corp. 61,326 1,100 Columbus McKinnon Corp. * 24,629 3,330 Flowserve Corp. * 190,443 1,252 Franklin Electric Co., Inc. 58,218 39,254 Gardner Denver, Inc. * 1,368,002 519 Gehl Co. * 13,172 1,500 Gerber Scientific, Inc. * 15,915 601 Gorman-Rupp Co. 19,250 4,073 Graco, Inc. 159,499 3,170 IDEX Corp. 161,290 2,643 Intermec, Inc. * 59,045 970 Intevac, Inc. * 25,579 500 iRobot Corp. * 6,535 794 Kadant, Inc. * 20,136 2,347 Kennametal, Inc. 158,681 2,417 Lincoln Electric Holdings, Inc. 143,956 684 Lindsay Manufacturing Co. 21,744 3,626 Manitowoc Co. 230,360 339 Middleby Corp. * 44,694 350 NACCO Industries, Inc. 48,093 1,747 Nordson Corp. 81,166 1,963 Presstek, Inc. * 11,876 1,817 Regal-Beloit Corp. 84,272 699 Robbins & Myers, Inc. 26,066 699 Sauer-Danfoss, Inc. 21,040 3,329 Snap-On, Inc. 160,125 4,706 Stanley Works 260,524 1,080 Tecumseh Products Co. * 10,876 1,050 Tennant Co. 33,064 5,864 Terex Corp. * 420,801 900 TurboChef Technologies, Inc. * 13,698 57,617 Wabtec Corp. 1,987,210 12
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PORTFOLIO OF INVESTMENTS MetLife Investment Funds, Inc. / Small Company Stock Fund / March 31, 2007 (Unaudited) (continued) SHARES VALUE ------ ----------- 4,077 Zebra Technologies Corp. * $ 157,413 ----------- 6,819,944 ----------- INSURANCE - 3.4% 2,017 21st Century Insurance Group 42,760 600 Affirmative Insurance Holdings, Inc. 10,380 2,002 Alfa Corp. 36,997 282 Alleghany Corp. * 105,176 3,392 American Equity Investment Life Holding Co. 44,537 4,995 American Financial Group, Inc. 170,030 795 American National Insurance Co. 101,704 600 American Physicians Capital, Inc. * 24,048 1,900 AmTrust Financial Services, Inc. 20,064 1,909 Argonaut Group, Inc. * 61,775 5,681 Arthur J Gallagher & Co. 160,943 370 Baldwin & Lyons, Inc. Class B 9,416 671 Bristol West Holdings, Inc. 14,876 6,568 Brown & Brown, Inc. 177,664 709 CNA Surety Corp. * 14,960 3,268 Commerce Group, Inc. 98,171 8,616 Conseco, Inc. * 149,057 1,931 Crawford & Co. Class B 11,200 500 Darwin Professional Underwriters, Inc. * 12,575 2,350 Delphi Financial Group 94,540 1,003 Direct General Corp. 21,324 561 Donegal Group, Inc. 9,526 500 eHealth, Inc. * 11,775 507 EMC INS Group, Inc. 13,081 3,100 Employers Holdings, Inc. * 61,608 2,906 Erie Indemnity Co. 153,350 696 FBL Financial Group, Inc. 27,234 12,300 Fidelity National Title Group, Inc. Class A 295,323 730 First Acceptance Corp. * 7,643 4,981 First American Corp. 252,636 800 First Mercury Financial Corp. * 16,440 690 FPIC Insurance Group, Inc. * 30,822 283 Great American Financial Resources, Inc. 6,928 2,997 Hanover Insurance Group, Inc. 138,222 24,516 Harleysville Group, Inc. 796,525 6,337 HCC Insurance Holdings, Inc. 195,180 2,125 Hilb Rogal & Hobbs Co. 104,231 2,414 Horace Mann Educators Corp. 49,608 360 Independence Holding Co. 7,790 25,634 Infinity Property & Casualty Corp. # 1,201,209 400 James River Group, Inc. * 12,524 202 Kansas City Life Ins, Co. 9,090 1,038 LandAmerica Financial Group, Inc. 76,719 554 Markel Corp. * 268,596 1,700 Meadowbrook Insurance Group, Inc. * 18,683 1,487 Mercury General Corp. 78,870 666 Midland Co. 28,252 1,000 National Interstate Corp. 25,760 100 National Western Life Insurance Co. 24,480 698 Navigators Group, Inc. * 35,019 400 NYMAGIC, Inc. 16,340 700 Odyssey Re Holdings Corp. 27,517 54,046 Ohio Casualty Corp. # 1,618,678 13,525 Old Republic International Corp. 299,173 3,249 Philadelphia Consolidated Holding Co. * 142,923 6,900 Phoenix Cos, Inc. 95,772 51,900 Platinum Underwriters Holdings Ltd. 1,664,952 1,480 PMA Capital Corp. * 13,897 5,100 PMI Group, Inc. 230,622 1,441 Presidential Life Corp. 28,417 1,994 ProAssurance Corp. * 101,993 30,568 Protective Life Corp. 1,346,215 1,592 Reinsurance Group of America, Inc. (a) 91,890 1,293 RLI Corp. 71,024 900 Safety Insurance Group, Inc. 36,108 700 SCPIE Holdings, Inc. * 15,890 673 SeaBright Insurance Holdings, Inc. * 12,383 34,368 Selective Insurance Group, Inc. 875,009 31,682 Stancorp Financial Group, Inc. 1,557,804 796 State Auto Financial Corp. 25,575 1,025 Stewart Information Services Corp. 42,835 1,100 Tower Group, Inc. 35,442 1,600 Transatlantic Holdings, Inc. 104,192 1,360 United Fire & Casualty Co. 47,777 2,745 Unitrin, Inc. 129,207 2,306 Universal American Financial Corp. * 44,690 2,400 USI Holdings Corp. * 40,440 100 Wesco Financial Corp. 46,000 56,430 WR Berkley Corp. 1,868,962 2,137 Zenith National Insurance Corp. 101,016 ----------- 16,072,064 ----------- INTERNET SERVICES & APPLICATIONS - 1.9% 1,266 1-800-FLOWERS.COM, Inc. * 9,850 3,100 24/7 Real Media, Inc. * 24,893 1,100 Access Integrated Technologies, Inc. * 5,973 900 Acme Packet, Inc. * 13,302 3,134 Agile Software Corp. * 21,781 8,926 Akamai Technologies, Inc. * 445,586 4,400 aQuantive, Inc. * 122,804 4,923 Ariba, Inc. * 46,276 7,100 Art Technology Group, Inc. * 16,472 1,600 Audible, Inc. * 16,624 3,058 Avocent Corp. * 82,474 765 Blue Coat Systems, Inc. * 28,099 700 Blue Nile, Inc. * 28,462 4,903 Checkfree Corp. * 181,852 2,120 Chordiant Software, Inc. * 21,942 25,527 CMGI, Inc. * 54,117 8,819 CNET Networks, Inc. * 76,814 944 Cogent Communications Group, Inc. * 22,307 17,800 Covad Communications Group, Inc. * 22,606 1,724 Cybersource Corp. * 21,567 13
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PORTFOLIO OF INVESTMENTS MetLife Investment Funds, Inc. / Small Company Stock Fund / March 31, 2007 (Unaudited) (continued) SHARES VALUE ------ ----------- 77,100 DealerTrack Holdings, Inc. * $ 2,368,512 2,391 Digital River, Inc. * 132,103 5,700 Drugstore.com * 14,706 6,563 Earthlink, Inc. * 48,238 1,000 eCollege.com, Inc. * 17,950 9,277 Emdeon Corp. * 140,361 1,629 Equinix, Inc. * 139,491 2,821 eResearch Technology, Inc. * 22,173 2,322 F5 Networks, Inc. * 154,831 2,143 GSI Commerce, Inc. * 48,410 2,875 Harris Interactive, Inc. * 17,336 800 I.D. Systems, Inc. * 9,624 1,000 i2 Technologies, Inc. * 24,000 1,819 Infospace, Inc. * 46,694 1,940 Internap Network Services Corp. * 30,555 2,300 Internet Capital Group, Inc. * 24,610 2,214 Interwoven, Inc. * 37,417 4,512 Ipass, Inc. * 22,695 3,000 j2 Global Communications, Inc. * 83,160 1,203 Jupitermedia Corp. * 7,964 1,000 Knot, Inc. * 21,530 3,956 Lionbridge Technologies * 20,136 700 Liquidity Services, Inc. * 11,858 9,200 McAfee, Inc. * 267,536 6,186 Move, Inc. * 34,270 3,206 Netbank, Inc. 7,085 2,489 NetFlix, Inc. * 57,720 642 Netratings, Inc. * 13,354 2,032 NIC, Inc. 10,892 1,900 Nutri/System, Inc. * 99,579 225,592 Online Resources Corp. #* 2,587,540 5,572 Openwave Systems, Inc. * 45,412 4,555 Opsware, Inc. * 33,024 634 Overstock.com, Inc. * 10,524 1,200 Perficient, Inc. * 23,736 1,362 Priceline.com, Inc. * 72,540 6,400 RealNetworks, Inc. * 50,240 800 RightNow Technologies, Inc. * 13,104 4,445 S1 Corp. * 26,670 7,900 Safeguard Scientifics, Inc. * 23,384 4,931 Sapient Corp. * 33,827 2,748 Secure Computing Corp. * 21,160 1,554 Sohu.com, Inc. * 33,302 3,465 SonicWALL, Inc. * 28,967 1,217 Stamps.com, Inc. * 17,488 1,550 Terremark Worldwide, Inc. * 12,493 1,200 TheStreet.com, Inc. 14,700 12,070 TIBCO Software, Inc. * 102,836 125 Travelzoo, Inc. * 4,596 2,663 Trizetto Group * 53,287 3,727 United Online, Inc. 52,290 5,500 Valueclick, Inc. * 143,715 1,600 VASCO Data Security International, Inc. * 28,592 1,550 Vignette Corp. * 28,784 2,426 WebEx Communications, Inc. * 137,942 500 WebMD Health Corp. * 26,315 3,170 webMethods, Inc. * 22,792 2,800 Websense, Inc. * 64,372 700 WebSideStory, Inc. * 9,065 ----------- 8,921,288 ----------- MANUFACTURING - 3.1% 32,760 Actuant Corp. # 1,664,536 2,643 Acuity Brands, Inc. 143,885 600 American Railcar Industries, Inc. 17,886 500 Ameron International Corp. 32,930 1,234 AO Smith Corp. 47,163 2,030 Aptargroup, Inc. 135,868 2,076 Barnes Group, Inc. 47,769 1,900 Blount International, Inc. * 23,655 34,039 Brink's Co. 2,159,775 3,694 Carlisle Cos., Inc. 158,583 1,595 Ceradyne, Inc. * 87,310 3,068 Clarcor, Inc. 97,562 3,191 Crane Co. 128,980 4,258 Donaldson Co., Inc. 153,714 1,300 EnPro Industries, Inc. * 46,865 1,586 ESCO Technologies, Inc. * 71,085 2,884 Federal Signal Corp. 44,760 1,100 Flanders Corp. * 7,975 800 Freightcar America, Inc. 38,536 700 GenTek, Inc. * 23,842 41,842 Griffon Corp. #* 1,035,589 43,964 Harsco Corp. 1,972,225 5,450 Hexcel Corp. * 108,182 700 Koppers Holdings, Inc. 17,962 1,347 Lancaster Colony Corp. 59,524 1,876 Matthews International Corp. 76,353 1,425 Myers Industries, Inc. 26,619 7,282 Pall Corp. 276,716 6,004 Pentair, Inc. 187,085 700 PW Eagle, Inc. 23,128 800 Raven Industries, Inc. 22,440 1,100 Reddy Ice Holdings, Inc. 33,198 90,118 Roper Industries, Inc. # 4,945,676 1,900 Smith & Wesson Holding Corp. * 24,871 3,425 SPX Corp. 240,435 696 Standex International Corp. 19,843 2,372 Teleflex, Inc. 161,462 1,869 Tredegar Corp. 42,595 4,558 Trinity Industries, Inc. 191,071 ----------- 14,597,653 ----------- METALS & MINING - 3.2% 6,285 AK Steel Holding Corp. * 147,006 54,600 Alpha Natural Resources, Inc. #* 853,398 669 AM Castle & Co. 19,642 1,121 Amcol International Corp. 33,238 500 Ampco-Pittsburgh Corp. 14,445 22,360 Arch Coal, Inc. # 686,228 1,009 Brush Engineered Materials, Inc. * 48,906 14
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PORTFOLIO OF INVESTMENTS MetLife Investment Funds, Inc. / Small Company Stock Fund / March 31, 2007 (Unaudited) (continued) SHARES VALUE ------ ----------- 1,511 Carpenter Technology Corp. $ 182,468 1,238 Century Aluminum Co. * 58,038 2,642 Chaparral Steel Co. 153,685 1,028 CIRCOR International, Inc. 36,700 2,404 Cleveland-Cliffs, Inc. 153,880 17,122 Coeur d'Alene Mines Corp. * 70,371 7,140 Commercial Metals Co. 223,839 1,950 Compass Minerals International, Inc. 65,130 700 Dynamic Materials Corp. 22,904 2,700 Foundation Coal Holdings, Inc. 92,718 34,470 Gibraltar Industries, Inc. # 779,711 6,776 Hecla Mining Co. * 61,391 6,800 International Coal Group, Inc. * 35,700 15,270 IPSCO, Inc. 2,006,478 800 James River Coal Co. * 5,976 37,505 Kaydon Corp. # 1,596,213 700 L.B. Foster Co. Class A * 14,427 900 Ladish Co., Inc. * 33,876 149 Lawson Products 5,644 4,872 Massey Energy Co. 116,879 41,492 Mueller Industries, Inc. 1,248,909 38,299 Mueller Water Products, Inc. 512,824 1,600 Mueller Water Products, Inc. Class A 22,096 1,206 NN, Inc. 15,063 500 Olympic Steel, Inc. 15,495 35,366 Quanex Corp. 1,497,750 59,800 RBC Bearings, Inc. #* 1,999,114 3,882 Reliance Steel & Aluminum Co. 187,889 1,232 Royal Gold, Inc. 37,083 1,272 RTI International Metals, Inc. * 115,765 1,350 Ryerson Tull, Inc. 53,487 1,277 Schnitzer Steel Industries, Inc. 51,297 5,350 Steel Dynamics, Inc. 231,120 656 Steel Technologies, Inc. 19,405 2,177 Stillwater Mining Co. * 27,626 37,910 Timken Co. 1,149,052 119 Titanium Metals Corp. * 4,271 5,015 USEC, Inc. * 81,494 1,057 Valmont Industries, Inc. 61,126 500 Westmoreland Coal Co. * 10,075 500 Wheeling-Pittsburgh Corp. * 11,845 4,330 Worthington Industries 89,111 ----------- 14,960,788 ----------- MULTIMEDIA - 1.3% 1,800 Acacia Research - Acacia Technologies * 28,476 47,073 Belo Corp. # 878,853 21,094 Charter Communications, Inc. * 58,852 177,632 Citadel Broadcasting Corp. # 1,689,280 3,116 CKX, Inc. * 34,588 450 Courier Corp. 17,582 2,431 Cox Radio, Inc. * 33,183 1,083 Crown Media Holdings, Inc. * 5,772 1,500 CTC Media, Inc. * 38,520 3,022 Cumulus Media, Inc. * 28,346 16,100 Discovery Holding Co. * 307,993 3,400 Dow Jones & Co., Inc. 117,198 2,046 Emmis Communications Corp. 17,268 1,766 Entercom Communications Corp. 49,766 4,019 Entravision Communications Corp. * 37,538 425 Fisher Communications, Inc. * 20,655 1,100 GateHouse Media, Inc. 22,330 14,474 Gemstar-TV Guide International, Inc. * 60,646 2,761 Gray Television, Inc. 28,770 1,735 Hearst-Argyle Television, Inc. 47,175 2,550 John Wiley & Sons, Inc. 96,288 2,691 Journal Communications, Inc. 35,279 1,924 Journal Register Co. 11,467 2,507 Lee Enterprises, Inc. 75,335 1,862 Lin TV Corp. * 29,606 825 Lodgenet Entertainment Corp. * 25,344 1,405 Martha Stewart Living Omnimedia 23,899 3,258 McClatchy Co. 102,985 1,357 Media General, Inc. 51,783 3,721 Mediacom Communications Corp. * 30,289 26,628 Meredith Corp. 1,528,181 7,700 New York Times Co. Class A 181,027 1,200 Outdoor Channel Holdings, Inc. * 12,264 804 Playboy Enterprises, Inc. Class B * 8,273 9,323 Primedia, Inc. * 24,799 2,300 Private Media Group Ltd. * 5,658 4,700 Radio One, Inc. Class D * 30,362 571 Salem Communications Corp. 7,138 1,976 Scholastic Corp. * 61,454 2,521 Sinclair Broadcast Group, Inc. 38,949 2,194 Spanish Broadcasting System * 8,776 3,301 Sun-Times Media Group, Inc. 16,373 71 Value Line, Inc. 3,394 3,675 Westwood One, Inc. 25,247 1,361 World Wrestling Entertainment, Inc. 22,184 18,000 XM Satellite Radio Holdings, Inc. * 232,560 ----------- 6,211,705 ----------- OIL & GAS - 5.6% 1,800 Allis-Chalmers Energy, Inc. * 28,350 700 Alon USA Energy, Inc. 25,340 700 Arena Resources, Inc. * 35,084 903 Atlas America, Inc. * 51,010 1,100 ATP Oil & Gas Corp. * 41,360 1,554 Atwood Oceanics, Inc. * 91,204 4,300 Aurora Oil & Gas Corp. * 11,223 800 Basic Energy Services, Inc. * 18,640 87,018 Berry Petroleum Co. # 2,667,972 1,700 Bill Barrett Corp. * 55,097 1,000 Bois d'Arc Energy, Inc. * 13,230 2,850 Brigham Exploration Co. * 17,727 1,000 Bronco Drilling Co., Inc. * 16,570 2,851 Cabot Oil & Gas Corp. 191,929 1,336 Callon Petroleum Co. * 18,130 1,086 CARBO Ceramics, Inc. 50,553 1,200 Carrizo Oil & Gas, Inc. * 41,952 3,200 Cheniere Energy, Inc. * 99,680 15
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PORTFOLIO OF INVESTMENTS MetLife Investment Funds, Inc. / Small Company Stock Fund / March 31, 2007 (Unaudited) (continued) SHARES VALUE ------ ----------- 4,829 Cimarex Energy Co. $ 178,770 244 Clayton Williams Energy, Inc. * 6,922 1,600 CNX Gas Corp. * 45,328 143,400 Complete Production Services, Inc. * 2,855,094 2,450 Comstock Resources, Inc. * 67,081 1,890 Crosstex Energy, Inc. 54,338 800 Delek US Holdings, Inc. 15,304 3,196 Delta Petroleum Corp. * 73,380 6,800 Denbury Resources, Inc. * 202,572 2,000 Dresser-Rand Group, Inc. * 60,920 1,266 Dril-Quip, Inc. * 54,792 21,567 Dynegy, Inc. * 199,710 1,039 Edge Petroleum Corp. * 13,008 3,051 Encore Acquisition Co. * 73,804 2,097 Energy Partners Ltd. * 38,061 6,984 Equitable Resources, Inc. 337,467 4,396 Evergreen Energy, Inc. * 28,882 3,000 EXCO Resources, Inc. * 49,740 1,900 Exploration Co. of Delaware * 20,615 3,986 FMC Technologies, Inc. * 278,063 3,099 Forest Oil Corp. * 103,414 6,620 Frontier Oil Corp. 216,077 4,400 Gasco Energy, Inc. * 10,736 2,100 GeoGlobal Resourses, Inc. * 12,831 900 Giant Industries, Inc. * 68,085 5,310 Global Industries Ltd. * 97,120 500 GMX Resources, Inc. * 15,365 700 Goodrich Petroleum Corp. * 23,541 141,009 Grey Wolf, Inc. #* 944,760 554 Gulf Island Fabrication, Inc. 14,814 1,100 Gulfport Energy Corp. * 14,696 6,009 Hanover Compressor Co. * 133,700 2,400 Harvest Natural Resources, Inc. * 23,376 5,205 Helix Energy Solutions Group, Inc. * 194,094 5,970 Helmerich & Payne, Inc. 181,130 1,200 Hercules Offshore, Inc. * 31,512 2,754 Holly Corp. 163,312 1,487 Hornbeck Offshore Services, Inc. * 42,603 1,754 Houston Exploration Co. * 94,628 969 Hydril Co. * 93,257 4,201 Input/Output, Inc. * 57,890 1,833 Lone Star Technologies * 121,033 854 Lufkin Industries, Inc. 47,978 4,300 Mariner Energy, Inc. * 82,259 426 Markwest Hydrocarbon, Inc. 26,412 1,400 Matrix Service Co. * 28,322 1,500 McMoRan Exploration Co. * 20,565 3,839 Meridian Resource Corp. * 9,252 1,000 Metretek Technologies, Inc. * 13,340 900 NATCO Group, Inc. * 30,708 4,760 National Fuel Gas Co. 205,918 36,100 Newfield Exploration Co. * 1,505,731 5,190 Newpark Resources * 36,590 3,226 Oceaneering International, Inc. * 135,879 2,861 Oil States International, Inc. * 91,810 2,400 Parallel Petroleum Corp. * 55,080 6,373 Parker Drilling Co. * 59,842 1,066 Penn Virginia Corp. 78,244 600 PetroCorp, Inc. # (b) 0 8,136 Petrohawk Energy Corp. * 107,151 704 Petroleum Development Corp. * 37,713 2,600 Petroquest Energy, Inc. * 30,394 2,500 Pioneer Drilling Co. * 31,725 4,109 Plains Exploration & Production Co. * 185,480 3,437 Pogo Producing Co. 165,320 1,300 Quest Resource Corp. * 11,921 3,618 Quicksilver Resources, Inc. * 143,888 1,900 RAM Energy Resources, Inc. * 8,797 7,952 Range Resources Corp. 265,597 1,015 Resource America, Inc. 23,984 2,900 Rosetta Resources, Inc. * 59,566 6,556 Rowan Cos., Inc. 212,873 1,647 RPC, Inc. 27,439 1,308 SEACOR Holdings, Inc. * 128,707 3,336 St. Mary Land & Exploration Co. 122,364 1,633 Stone Energy Corp. * 48,484 2,300 SulphCo, Inc. * 7,866 4,755 Superior Energy Services * 163,905 500 Superior Well Services, Inc. * 11,425 1,763 Swift Energy Co. * 73,641 3,957 Tesoro Petroleum Corp. 397,402 4,118 Tetra Technologies, Inc. * 101,756 3,435 Tidewater, Inc. 201,222 31,330 Todco * 1,263,539 900 Toreador Resources Corp. * 16,335 4,400 Transmeridian Exploration, Inc. * 12,584 700 Trico Marine Services, Inc. * 26,082 700 Union Drilling, Inc. * 9,940 50,759 Unit Corp. * 2,567,898 1,777 Universal Compression Holdings, Inc. * 120,267 3,600 VAALCO Energy, Inc. * 18,648 1,000 Venoco, Inc. * 17,860 1,100 W&T Offshore, Inc. 31,823 96,935 W-H Energy Services, Inc. #* 4,530,742 3,200 Warren Resources, Inc. * 41,696 1,400 Western Refining, Inc. 54,628 46,906 Whiting Petroleum Corp. #* 1,848,565 ----------- 26,344,033 ----------- PHARMACEUTICALS - 1.8% 1,579 Abraxis Bioscience, Inc. * 42,175 1,200 Acadia Pharmaceuticals, Inc. * 18,024 1,800 Adams Respiratory Therapeutics, Inc. * 60,534 2,755 Adolor Corp. * 24,106 3,100 Akorn, Inc. * 20,925 5,462 Alkermes, Inc. * 84,333 2,000 Alnylam Pharmaceuticals, Inc. * 36,000 2,676 Alpharma, Inc. 64,438 500 Altus Pharmaceuticals, Inc. * 7,610 1,900 Anadys Pharmaceuticals, Inc. * 7,543 1,913 Array Biopharma, Inc. * 24,295 16
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PORTFOLIO OF INVESTMENTS MetLife Investment Funds, Inc. / Small Company Stock Fund / March 31, 2007 (Unaudited) (continued) SHARES VALUE ------ ---------- 2,600 Atherogenics, Inc. * $ 7,306 1,500 Auxilium Pharmaceuticals, Inc. * 22,020 1,800 AVANIR Pharmaceuticals Class A * 2,196 3,400 AVI BioPharma, Inc. * 9,112 972 Bentley Pharmaceuticals, Inc. * 7,961 1,500 BioCryst Pharmaceuticals, Inc. * 12,555 1,700 Bioenvision, Inc. * 6,953 5,609 BioMarin Pharmaceuticals, Inc. * 96,811 1,000 Bradley Pharmaceuticals, Inc. * 19,190 971 Caraco Pharmaceutical Laboratories Ltd. * 11,827 3,741 Cephalon, Inc. * 266,397 1,700 Combinatorx, Inc. * 11,883 3,053 Cubist Pharmaceuticals, Inc. * 67,380 3,609 CV Therapeutics, Inc. * 28,403 1,845 Cypress Bioscience, Inc. * 14,022 3,584 Dendreon Corp. * 46,341 2,500 DepoMed, Inc. * 8,925 4,202 Durect Corp. * 17,480 1,600 Emisphere Technologies, Inc. * 5,120 7,583 Endo Pharmaceuticals Holdings, Inc. * 222,940 9,000 Genta, Inc. * 2,790 1,685 HealthExtras, Inc. * 48,494 600 Hi-Tech Pharmacal Co., Inc. * 6,690 1,377 I-Flow Corp. * 20,297 1,800 Idenix Pharmaceuticals, Inc. * 13,140 3,900 ImClone Systems, Inc. * 159,003 3,100 Indevus Pharmaceuticals, Inc. * 21,917 4,392 Isis Pharmaceuticals, Inc. * 40,714 14,176 King Pharmaceuticals, Inc. * 278,842 107,400 KV Pharmaceutical Co. #* 2,656,002 1,040 Mannatech, Inc. 16,702 2,100 Mannkind Corp. * 30,030 7,193 Medarex, Inc. * 93,077 2,849 Medicines Co. * 71,453 3,118 Medicis Pharmaceutical Corp. 96,097 4,318 MGI Pharma, Inc. * 97,025 14,100 Mylan Laboratories, Inc. 298,074 3,634 Nabi Biopharmaceuticals * 19,297 1,200 Nastech Pharmaceutical Co., Inc. * 12,948 3,166 NBTY, Inc. * 167,925 1,964 Neurocrine Biosciences, Inc. * 24,550 1,012 New River Pharmaceuticals, Inc. * 64,394 1,401 Noven Pharmaceuticals, Inc. * 32,503 2,229 NPS Pharmaceuticals, Inc. * 7,556 3,205 Nuvelo, Inc. * 11,794 2,449 Onyx Pharmaceuticals, Inc. * 60,833 3,319 OSI Pharmaceuticals, Inc. * 109,527 2,438 Pain Therapeutics, Inc. * 19,114 2,048 Par Pharmaceutical Cos, Inc. * 51,446 1,449 Penwest Pharmaceuticals Co., * 14,606 4,681 Perrigo Co. 82,666 1,200 PetMed Express, Inc. * 14,220 1,283 Pharmion Corp. * 33,730 1,540 Pozen, Inc. * 22,715 1,100 PRA International * 23,716 1,700 Prestige Brands Holdings, Inc. * 20,145 1,228 Progenics Pharmaceuticals, Inc. * 29,079 1,145 Renovis, Inc. * 4,008 1,595 Rigel Pharmaceuticals, Inc. * 17,322 132,500 Salix Pharmaceuticals Ltd. #* 1,669,500 3,000 Santarus, Inc. * 21,120 1,736 Sciele Pharma, Inc. * 41,109 1,521 Tanox, Inc. * 28,534 921 Trimeris, Inc. * 6,336 1,293 United Therapeutics Corp. * 69,538 600 USANA Health Sciences, Inc. * 28,122 5,480 Valeant Pharmaceuticals International 94,749 4,774 VCA Antech, Inc. * 173,344 4,200 ViroPharma, Inc. * 60,270 5,900 Watson Pharmaceuticals, Inc. * 155,937 1,100 Xenoport, Inc. * 30,646 2,300 Zymogenetics, Inc. * 35,788 ---------- 8,484,239 ---------- REAL ESTATE - 4.3% 1,679 Acadia Realty Trust REIT 43,772 2,846 Affordable Residential Communities REIT * 34,522 539 Agree Realty Corp. REIT 18,401 108 Alexander's, Inc. REIT * 44,464 1,728 Alexandria Real Estate Equities, Inc. REIT 173,439 5,718 AMB Property Corp. REIT 336,161 1,500 American Campus Communities, Inc. REIT 45,435 7,998 American Financial Realty Trust REIT 80,620 2,437 American Home Mortgage Investment Corp. REIT 65,775 14,571 Annaly Mortgage Management, Inc. REIT 225,559 3,225 Anthracite Capital, Inc. REIT 38,700 2,623 Anworth Mortgage Asset Corp. REIT 25,627 5,718 Apartment Investment & Management Co. REIT 329,871 596 Arbor Realty Trust, Inc. REIT 18,142 81,650 Ashford Hospitality Trust, Inc. REIT # 974,901 392 Avatar Holdings, Inc. REIT * 28,004 4,000 BioMed Realty Trust, Inc. REIT 105,200 66,297 Brandywine Realty Trust REIT 2,214,983 2,884 BRE Properties REIT 182,125 725 California Coastal Communities, Inc. REIT * 14,710 3,275 Camden Property Trust REIT 230,265 2,325 Capital Lease Funding, Inc. REIT 24,901 584 Capital Trust, Inc. REIT 26,613 3,686 CBL & Associates Properties, Inc. REIT 165,280 800 CBRE Realty Finance, Inc. REIT 10,584 2,262 Cedar Shopping Centers, Inc. REIT 36,644 2,594 Colonial Properties Trust REIT 118,468 3,551 Commercial Net Lease Realty REIT 85,899 319 Consolidated-Tomoka Land Co. REIT 24,069 17
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PORTFOLIO OF INVESTMENTS MetLife Investment Funds, Inc. / Small Company Stock Fund / March 31, 2007 (Unaudited) (continued) SHARES VALUE ------ ----------- 2,039 Corporate Office Properties Trust SBI MD REIT $ 93,142 2,319 Cousins Properties, Inc. REIT 76,202 4,769 Crescent Real Estate Equity Co. REIT 95,666 600 Crystal River Capital, Inc. REIT 16,104 9,500 DCT Industrial Trust, Inc. REIT 112,623 3,100 Deerfield Triarc Capital Corp. REIT 46,469 5,300 DiamondRock Hospitality Co. REIT 100,700 1,600 Digital Realty Trust, Inc. REIT 63,840 4,000 Douglas Emmett, Inc. REIT 102,120 7,800 Duke Realty Corp. REIT 339,066 1,367 Eastgroup Properties REIT 69,758 40,240 Education Realty Trust, Inc. REIT # 594,747 1,438 Entertainment Properties Trust REIT 86,640 3,454 Equity Inns, Inc. REIT 56,577 1,112 Equity Lifestyle Properties, Inc. REIT 60,059 2,204 Equity One, Inc. REIT 58,406 1,297 Essex Property Trust, Inc. REIT 167,936 3,600 Extra Space Storage, Inc. REIT 68,184 3,152 Federal Realty Investment Trust REIT 285,634 3,628 FelCor Lodging Trust, Inc. REIT 94,219 2,900 Fieldstone Investment Corp. REIT 8,903 2,701 First Industrial Realty Trust, Inc. REIT 122,355 1,583 First Potomac Realty Trust REIT 45,226 4,090 Forest City Enterprises, Inc. REIT 270,676 3,200 Franklin Street Properties Corp. REIT 61,376 994 Getty Realty Corp. REIT 28,568 1,976 Glimcher Realty Trust REIT 53,392 2,600 GMH Communities Trust REIT 25,974 1,100 Gramercy Capital Corp. REIT 33,748 11,610 Health Care Property Investors, Inc. REIT 418,308 4,082 Health Care, Inc. REIT 179,200 2,648 Healthcare Realty Trust, Inc. REIT 98,770 1,400 Hersha Hospitality Trust REIT 16,492 80,419 Highland Hospitality Corp. REIT 1,431,458 33,923 Highwoods Properties, Inc. REIT 1,339,619 2,028 Home Properties, Inc. REIT 107,099 3,600 HomeBanc Corp. REIT 12,564 5,468 Hospitality Properties Trust REIT 255,902 12,267 HRPT Properties Trust REIT 150,884 4,506 IMPAC Mortgage Holdings, Inc. REIT 22,530 3,900 Inland Real Estate Corp. REIT 71,526 2,298 Innkeepers USA Trust REIT 37,411 2,966 Investors Real Estate Trust REIT 31,410 7,400 iStar Financial, Inc. REIT 346,542 1,600 JER Investors Trust, Inc. REIT 30,432 2,101 Jones Lang LaSalle, Inc. REIT 219,092 1,934 Kilroy Realty Corp. REIT 142,633 1,800 Kite Realty Group Trust REIT 35,910 4,700 KKR Financial Corp. REIT 128,921 2,364 LaSalle Hotel Properties REIT 109,595 4,244 Lexington Corporate Properties Trust REIT 89,676 5,277 Liberty Property Trust REIT 257,095 1,295 LTC Properties, Inc. REIT 33,553 2,259 Luminent Mortgage Capital, Inc. REIT 20,195 3,926 Mack-Cali Realty Corp. REIT 186,995 2,308 Maguire Properties, Inc. REIT 82,072 2,500 Medical Properties Trust, Inc. REIT 36,725 2,484 Meruelo Maddux Properties, Inc. * 22,962 4,700 MFA Mortgage Investments, Inc. REIT 36,190 1,475 Mid-America Apartment Communities, Inc. REIT 82,984 1,376 National Health Investors, Inc. REIT 43,124 5,029 Nationwide Health Properties, Inc. REIT 157,207 6,298 New Plan Excel Realty Trust REIT 208,023 2,600 Newcastle Investment Corp. REIT 72,098 3,700 NorthStar Realty Finance Corp. REIT 56,277 2,053 Novastar Financial, Inc. REIT 10,265 3,518 Omega Healthcare Investors, Inc. REIT 60,334 869 Parkway Properties, Inc. REIT 45,405 2,244 Pennsylvania Real Estate Investment Trust REIT 99,477 2,572 Post Properties, Inc. REIT 117,618 968 PS Business Parks, Inc. REIT 68,263 3,786 RAIT Investment Trust REIT 105,781 1,092 Ramco-Gershenson Properties REIT 38,995 5,712 Realty Income Corp. REIT 161,078 1,054 Redwood Trust, Inc. REIT 54,998 3,916 Regency Centers Corp. REIT 327,182 1,600 Republic Property Trust REIT 18,384 543 Saul Centers, Inc. REIT 30,897 4,550 Senior Housing Properties Trust REIT 108,745 3,435 SL Green Realty Corp. REIT 471,213 1,250 Sovran Self Storage, Inc. REIT 69,263 5,900 Spirit Finance Corp. REIT 87,910 4,300 St. Joe Co. 224,933 4,300 Strategic Hotel Capital, Inc. REIT 98,341 1,180 Sun Communities, Inc. REIT 36,604 3,400 Sunstone Hotel Investors, Inc. REIT 92,684 1,926 Tanger Factory Outlet Centers REIT 77,791 744 Tarragon Corp. REIT 7,715 3,143 Taubman Centers, Inc. REIT 182,263 6,713 Thornburg Mortgage, Inc. REIT 174,538 2,600 U-Store-It Trust REIT 52,312 7,963 UDR, Inc. REIT 243,827 532 Universal Health Realty Trust Income REIT 19,019 1,458 Urstadt Biddle Properties, Inc. REIT 28,518 6,148 Ventas, Inc. REIT 259,015 31,549 Washington Real Estate Investment Trust REIT # 1,180,564 4,612 Weingarten Realty Investors REIT 219,347 1,794 Winston Hotels, Inc. REIT 26,964 1,700 Winthrop Realty Trust REIT 11,237 ----------- 20,344,398 ----------- RETAIL - 5.2% 2,633 99 Cents Only Stores * 38,784 900 AC Moore Arts & Crafts, Inc. * 19,206 6,206 Advance Auto Parts 239,241 18
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PORTFOLIO OF INVESTMENTS MetLife Investment Funds, Inc. / Small Company Stock Fund / March 31, 2007 (Unaudited) (continued) SHARES VALUE ------ ---------- 3,100 Aeropostale, Inc. * $ 124,713 1,300 AFC Enterprises, Inc. * 26,065 430 America's Car Mart, Inc. * 5,745 10,059 American Eagle Outfitters 301,669 4,236 AnnTaylor Stores Corp. * 164,272 700 Asbury Automotive Group, Inc. 19,775 9,200 AutoNation, Inc. * 195,408 3,110 Barnes & Noble, Inc. 122,690 1,544 Bebe Stores, Inc. 26,835 1,300 Big 5 Sporting Goods Corp. 33,696 6,408 Big Lots, Inc. * 200,442 4,007 BJ's Wholesale Club, Inc. * 135,557 11,110 Blockbuster, Inc. * 71,548 300 Bon-Ton Stores, Inc. 16,872 900 Books-A-Million, Inc. 12,816 67,310 Borders Group, Inc. # 1,374,470 7,270 Brinker International, Inc. 237,729 1,738 Brown Shoe Co., Inc. * 72,996 799 Buckle, Inc. 28,524 900 Build-A-Bear Workshop, Inc. * 24,723 1,900 Cabela's, Inc. * 47,139 745 Cache, Inc. * 13,224 12,186 Carmax, Inc. * 299,044 2,772 Casey's General Stores, Inc. 69,328 1,721 Cash America International, Inc. 70,561 1,900 Casual Male Retail Group, Inc. * 22,477 63,447 Cato Corp. 1,484,025 1,087 Charlotte Russe Holding, Inc. * 31,382 6,858 Charming Shoppes * 88,811 1,250 Childrens Place * 69,700 2,156 Christopher & Banks Corp. 41,977 300 Citi Trends, Inc. * 12,822 5,302 Claire's Stores, Inc. 170,300 68,343 Coldwater Creek, Inc. #* 1,385,996 584 Conn's, Inc. * 14,454 4,036 Copart, Inc. * 113,048 1,436 Cost Plus, Inc. * 14,360 2,324 CSK Auto Corp. * 39,973 164 DEB Shops, Inc. 4,441 1,105 dELiA*s, Inc. * 10,144 2,240 Dick's Sporting Goods, Inc. * 130,502 3,527 Dillard's, Inc. 115,439 53,274 Dollar Tree Stores, Inc. * 2,037,198 2,480 Dress Barn, Inc. * 51,609 1,000 DSW, Inc. * 42,210 2,100 EZCORP, Inc. Class A * 30,933 9,100 Family Dollar Stores, Inc. 269,542 2,334 Finish Line, Inc. 29,408 1,486 First Cash Financial Services, Inc. * 33,108 9,114 Foot Locker, Inc. 214,635 2,503 Fred's, Inc. 36,794 7,740 GameStop Corp. * 252,092 1,221 Genesco, Inc. * 50,708 1,509 Group 1 Automotive, Inc. 60,013 1,692 Guitar Center, Inc. * 76,343 1,101 Haverty Furniture Cos., Inc. 15,414 1,795 Hibbett Sports, Inc. * 51,319 2,597 HOT Topic, Inc. * 28,827 46,769 Insight Enterprises, Inc. * 840,907 1,300 J. Crew Group, Inc. * 52,221 1,381 Jo-Ann Stores, Inc. * 37,632 1,034 JOS A Bank Clothiers, Inc. * 36,552 24,427 Kenneth Cole Productions, Inc. # 627,041 906 Lithia Motors, Inc. 24,833 1,876 Longs Drug Stores Corp. 96,877 1,600 Luby's, Inc. * 15,632 900 MarineMax, Inc. * 20,862 32,452 Men's Wearhouse, Inc. 1,526,867 982 Movado Group, Inc. 28,920 2,159 MSC Industrial Direct Co. 100,782 1,000 New York & Co., Inc. * 15,790 3,224 Nu Skin Enterprises, Inc. 53,261 6,496 O'Reilly Automotive, Inc. * 215,018 4,086 OfficeMax, Inc. 215,496 4,205 Pacific Sunwear of California * 87,590 1,302 Pantry, Inc. * 58,876 3,760 Payless Shoesource, Inc. * 124,832 3,271 PEP Boys-Manny Moe & Jack 62,443 42,000 PETsMART, Inc. # 1,384,320 4,849 Pier 1 Imports, Inc. 33,507 200 PriceSmart, Inc. * 3,072 7,900 RadioShack Corp. 213,537 2,508 Regis Corp. 101,248 1,181 Restoration Hardware, Inc. * 7,747 962 Retail Ventures, Inc. * 20,250 30,218 Rite Aid Corp. * 174,358 53,900 Ross Stores, Inc. 1,854,160 1,400 Rush Enterprises, Inc. * 26,894 8,002 Saks, Inc. 166,762 4,700 Sally Beauty Holdings, Inc. * 43,193 1,334 School Specialty, Inc. * 48,171 3,000 Select Comfort Corp. * 53,400 400 Shoe Carnival, Inc. * 13,320 759 Smart & Final, Inc. * 16,523 1,763 Sonic Automotive, Inc. 50,246 67,213 Stage Stores, Inc. 1,566,735 1,464 Stein Mart, Inc. 23,892 700 Susser Holdings Corp. * 12,145 282 Syms Corp. * 5,259 610 Systemax, Inc. * 11,425 1,192 Talbots, Inc. 28,155 7,800 Tiffany & Co. 354,744 2,129 Tractor Supply Co. * 109,644 49,325 Tuesday Morning Corp. # 731,983 1,868 Tween Brands, Inc. * 66,725 1,238 Under Armour, Inc. * 63,509 3,062 United Auto Group, Inc. 62,159 6,792 Urban Outfitters, Inc. * 180,056 800 Volcom, Inc. * 27,488 770 West Marine, Inc. * 14,022 4,800 Wet Seal, Inc. * 31,440 19
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PORTFOLIO OF INVESTMENTS MetLife Investment Funds, Inc. / Small Company Stock Fund / March 31, 2007 (Unaudited) (continued) SHARES VALUE ------ ----------- 5,568 Williams-Sonoma, Inc. $ 197,441 1,600 World Fuel Services Corp. 74,016 58,152 Zale Corp. #* 1,534,050 900 Zumiez, Inc. * 36,108 ----------- 24,607,212 ----------- SAVINGS & LOAN - 1.0% 200 Abington Community Bancorp, Inc. 3,972 1,292 Anchor Bancorp Wisconsin, Inc. 36,628 5,295 Astoria Financial Corp. 140,794 3,834 Bank Mutual Corp. 43,593 2,692 BankAtlantic Bancorp, Inc. 29,504 53,879 BankUnited Financial Corp. # 1,142,774 400 Berkshirehill Bancorp, Inc. 13,460 358 BFC Financial Corp. * 1,575 3,650 Brookline Bancorp, Inc. 46,246 1,194 Capitol Federal Financial 45,145 600 Citizens First Bancorp, Inc. 13,668 1,100 Clifton Savings Bancorp, Inc. 13,134 1,351 Dime Community Bancshares 17,874 1,230 Downey Financial Corp. 79,384 767 First Financial Holdings, Inc. 26,538 6,318 First Niagara Financial Group, Inc. 87,883 1,194 First Place Financial Corp. 25,611 961 FirstFed Financial Corp. * 54,614 2,088 Flagstar Bancorp, Inc. 24,952 879 Flushing Financial Corp. 14,266 1,394 Franklin Bank Corp. * 24,911 600 Home Federal Bancorp, Inc. 9,318 711 Horizon Financial Corp. 15,699 3,100 Investors Bancorp, Inc. * 44,764 400 Itla Capital Corp. 20,808 1,300 Kearny Financial Corp. 18,694 1,908 KNBT Bancorp, Inc. 28,124 1,912 MAF Bancorp, Inc. 79,042 200 NASB Financial, Inc. 6,964 16,900 New York Community Bancorp, Inc. 297,271 6,396 NewAlliance Bancshares, Inc. 103,679 1,238 Northwest Bancorp, Inc. 33,537 306 OceanFirst Financial Corp. 5,309 3,069 Partners Trust Financial Group, Inc. 35,079 766 Pennfed Financial Services, Inc. 16,599 3,418 People's Bank 151,759 1,459 PFF Bancorp, Inc. 44,251 3,564 Provident Financial Services, Inc. 62,192 2,473 Provident New York Bancorp 34,993 700 Rockville Financial, Inc. 10,521 900 Roma Financial Corp. * 13,950 46,418 Sterling Financial Corp. 1,447,792 964 TierOne Corp. 26,067 1,776 United Community Financial Corp. 19,625 900 ViewPoint Financial Group 15,615 5,175 Washington Federal, Inc. 121,405 900 Wauwatosa Holdings, Inc. * 15,732 876 Westfield Financial, Inc. 9,391 1,050 Willow Grove Bancorp, Inc. 13,545 400 WSFS Financial Corp. 25,792 ----------- 4,614,043 ----------- SEMICONDUCTORS - 2.9% 1,416 Actel Corp. * 23,392 2,300 Advanced Analogic Technologies, Inc. * 15,134 9,700 Agere Systems, Inc. * 219,414 2,921 AMIS Holdings, Inc. * 31,985 6,100 Amkor Technology, Inc. * 76,128 3,000 ANADIGICS, Inc. * 35,460 17,071 Applied Micro Circuits Corp. * 62,309 2,246 Asyst Technologies, Inc. * 15,789 24,876 Atmel Corp. * 125,126 2,121 ATMI, Inc. * 64,839 10,800 Avanex Corp. * 19,332 6,200 Axcelis Technologies, Inc. * 47,368 4,000 Bookham, Inc. * 9,080 4,111 Brooks Automation, Inc. * 70,504 4,842 Cirrus Logic, Inc. * 37,090 1,260 Cohu, Inc. 23,688 26,382 Conexant Systems, Inc. * 43,530 4,469 Credence Systems Corp. * 14,792 4,489 Cree, Inc. * 73,889 8,400 Cypress Semiconductor Corp. * 155,820 1,236 Diodes, Inc. * 43,075 1,716 DSP Group, Inc. * 32,604 2,600 Emcore Corp. * 13,000 103,929 Emulex Corp. * 1,900,862 369,571 Entegris, Inc. #* 3,954,410 1,583 Exar Corp. * 20,959 7,137 Fairchild Semiconductor International, Inc. * 119,331 2,683 Formfactor, Inc. * 120,064 1,821 Genesis Microchip, Inc. * 16,917 800 Hittite Microwave Corp. * 32,136 1,300 Ikanos Communications, Inc. * 10,101 11,845 Integrated Device Technology, Inc. * 182,650 4,268 International Rectifier Corp. * 163,080 8,317 Intersil Corp. 220,317 2,048 IXYS Corp. * 20,951 11,675 JDS Uniphase Corp. * 177,810 4,487 Kopin Corp. * 15,166 3,640 Kulicke & Soffa Industries, Inc. * 33,670 6,745 Lattice Semiconductor Corp. * 39,458 23,510 LSI Logic Corp. * 245,444 4,201 LTX Corp. * 25,710 3,414 Mattson Technology, Inc. * 31,067 272,300 Micrel, Inc. #* 3,000,746 4,316 Microsemi Corp. * 89,816 2,400 Microtune, Inc. * 9,888 7,200 Mindspeed Technologies, Inc. * 15,624 2,565 MIPS Technologies, Inc. * 22,906 2,293 MKS Instruments, Inc. * 58,517 800 Monolithic Power Systems, Inc. * 10,320 1,600 MoSys, Inc. * 13,440 1,100 Netlogic Microsystems, Inc. * 29,282 20
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PORTFOLIO OF INVESTMENTS MetLife Investment Funds, Inc. / Small Company Stock Fund / March 31, 2007 (Unaudited) (continued) SHARES VALUE ------ ----------- 600 Nextest Systems Corp. * $ 8,400 7,500 Novellus Systems, Inc. * 240,150 2,900 Omnivision Technologies, Inc. * 37,584 8,008 ON Semiconductor Corp. * 71,431 1,250 Pericom Semiconductor Corp. * 12,225 2,463 Photronics, Inc. * 38,300 1,221 PLX Technology, Inc. * 11,893 11,427 PMC - Sierra, Inc. * 80,103 9,606 QLogic Corp. * 163,302 5,125 Rambus, Inc. * 108,906 1,532 Rudolph Technologies, Inc. * 26,718 921 Semitool, Inc. * 11,973 4,177 Semtech Corp. * 56,306 4,691 Silicon Image, Inc. * 38,279 2,955 Silicon Laboratories, Inc. * 88,414 3,009 Sirf Technology Holdings, Inc. * 83,530 8,877 Skyworks Solutions, Inc. * 51,043 4,900 Spansion, Inc. - Class A * 59,731 1,206 Standard Microsystems Corp. * 36,831 692 Supertex, Inc. * 22,981 11,800 Teradyne, Inc. * 195,172 2,809 Tessera Technologies, Inc. * 111,630 12,600 Transmeta Corp. * 7,182 7,200 Transwitch Corp. * 11,448 8,306 Triquint Semiconductor, Inc. * 41,530 1,426 Ultratech, Inc. * 19,408 3,302 Varian Semiconductor Equipment Associates, Inc. * 176,261 1,963 Veeco Instruments, Inc. * 38,279 1,000 Virage Logic Corp. * 7,270 1,000 Volterra Semiconductor Corp. * 13,060 2,701 Zoran Corp. * 45,971 ----------- 13,749,301 ----------- SOFTWARE - 4.3% 15,888 Activision, Inc. * 300,919 3,700 Actuate Corp. * 19,314 66,074 Acxiom Corp. 1,413,323 1,229 Advent Software, Inc. * 42,855 2,506 Allscripts Healthcare Solutions, Inc. * 67,186 1,300 Altiris, Inc. * 42,783 1,600 American Reprographics Co. * 49,264 1,912 Ansys, Inc. * 97,072 4,809 Aspen Technology, Inc. * 62,517 2,555 Avid Technology, Inc. * 89,118 84,300 BEA Systems, Inc. * 977,037 2,641 Blackbaud, Inc. 64,493 80,800 Blackboard, Inc. #* 2,717,304 12,300 BMC Software, Inc. * 378,717 4,681 Borland Software Corp. * 24,669 851 Bottomline Technologies, Inc. * 9,276 3,834 Cerner Corp. * 208,761 67,922 Commvault Systems, Inc. * 1,100,336 614 Computer Programs & Systems, Inc. 16,467 236,104 Compuware Corp. #* 2,240,627 1,700 Concur Technologies, Inc. * 29,682 1,900 Convera Corp. Class A * 5,966 2,939 CSG Systems International * 73,534 1,976 Dendrite International, Inc. * 30,944 1,328 Digi International, Inc. * 16,866 700 DivX, Inc. * 14,028 3,634 Dun & Bradstreet Corp. * 331,421 2,784 Eclipsys Corp. * 53,648 2,522 eFunds Corp. * 67,237 1,000 Emageon, Inc. * 11,000 3,380 Epicor Software Corp. * 47,016 801 EPIQ Systems, Inc. * 16,324 3,364 Fair Isaac Corp. 130,119 2,618 FalconStor Software, Inc. * 27,280 4,034 Global Payments, Inc. 137,398 3,410 Hyperion Solutions Corp. * 176,740 1,245 Infocrossing, Inc. * 18,513 4,710 Informatica Corp. * 63,255 1,648 infoUSA, Inc. 15,854 1,000 Innerworkings, Inc. * 11,800 1,900 InPhonic, Inc. * 20,710 1,311 Inter-Tel, Inc. 30,992 2,800 INVESTools, Inc. * 38,920 1,893 JDA Software Group, Inc. * 28,452 2,510 Keane, Inc. * 34,086 7,464 Lawson Software, Inc. * 60,384 1,200 Mantech International Corp. * 40,092 1,046 Mapinfo Corp. * 21,056 522 MicroStrategy, Inc. * 65,976 2,467 Midway Games, Inc. * 15,419 5,400 NAVTEQ Corp. * 186,300 1,200 Neoware, Inc. * 12,084 19,567 Novell, Inc. * 141,274 7,311 Nuance Communications, Inc. * 111,931 1,700 Omnicell, Inc. * 35,564 1,000 Omniture, Inc. * 18,230 900 OPNET Technologies, Inc. * 12,159 1,609 Packeteer, Inc. * 19,984 99,396 Parametric Technology Corp. * 1,897,470 247,500 PDF Solutions, Inc. #* 2,794,275 573 Pegasystems, Inc. 5,300 1,600 Phase Forward, Inc. * 21,008 2,571 Progress Software Corp. * 80,215 48,926 QAD, Inc. # 445,227 876 Quality Systems, Inc. 35,040 3,699 Quest Software, Inc. * 60,183 10,500 Red Hat, Inc. * 240,765 506 Renaissance Learning, Inc. 6,664 4,900 Salesforce.com, Inc. * 209,818 1,104 Schawk, Inc. 19,993 3,647 SEI Investments Co. 219,659 1,300 Smith Micro Software, Inc. * 24,219 1,164 SPSS, Inc. * 42,020 66,650 Sybase, Inc. * 1,684,912 700 Synchronoss Technologies, Inc. * 12,180 955 SYNNEX Corp. * 20,284 4,012 Take-Two Interactive Software, Inc. * 80,802 21
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PORTFOLIO OF INVESTMENTS MetLife Investment Funds, Inc. / Small Company Stock Fund / March 31, 2007 (Unaudited) (continued) SHARES VALUE ------ ----------- 1,000 Taleo Corp. * $ 16,580 3,871 THQ, Inc. * 132,349 2,300 Total System Services, Inc. 73,255 1,772 TradeStation Group, Inc. * 22,309 2,146 Transaction Systems Architects, Inc. * 69,509 3,188 Trident Microsystems, Inc. * 63,951 1,603 Ultimate Software Group, Inc. * 41,983 4,100 VA Software Corp. * 16,523 2,800 VeriFone Holdings, Inc. * 102,844 4,394 Wind River Systems, Inc. * 43,676 1,747 Witness Systems, Inc. * 47,082 ----------- 20,624,371 ----------- TELECOMMUNICATIONS - 2.8% 22,531 3Com Corp. * 88,096 7,207 Adaptec, Inc. * 27,891 6,614 ADC Telecommunications, Inc. * 110,718 3,701 Adtran, Inc. 90,119 4,312 Aeroflex, Inc. * 56,703 2,439 Alaska Communications Systems Group, Inc. 35,975 1,169 Anaren, Inc. * 20,586 9,741 Andrew Corp. * 103,157 1,735 Anixter International, Inc. * 114,406 5,888 Arris Group, Inc. * 82,903 3,041 Atheros Communications, Inc. * 72,771 300 Atlantic Tele-Network, Inc. 7,839 1,030 Audiovox Corp. * 15,172 950 Black Box Corp. 34,713 2,433 C-COR.net Corp. * 33,721 1,600 CalAmp Corp. * 13,808 1,500 Carrier Access Corp. * 7,665 1,100 Cbeyond Communications, Inc. * 32,263 1,454 Centennial Communications Corp. * 11,966 6,700 CenturyTel, Inc. 302,773 4,655 Ciena Corp. * 130,107 14,192 Cincinnati Bell, Inc. * 66,702 19,592 Citizens Communications Co. 292,900 46,297 CommScope, Inc. #* 1,986,141 1,000 Comtech Group, Inc. * 17,480 1,244 Comtech Telecommunications Corp. * 48,180 1,200 Consolidated Communications Holdings, Inc. 23,868 700 CPI International, Inc. * 13,454 938 CT Communications, Inc. 22,606 1,824 Ditech Networks, Inc. * 14,811 9,230 Dobson Communications Corp. * 79,286 1,000 EMS Technologies, Inc. * 19,270 700 Eschelon Telecom, Inc. * 20,230 6,634 Extreme Networks * 28,062 40,300 FairPoint Communications, Inc. # 774,163 7,100 FiberTower Corp. * 36,849 14,700 Finisar Corp. * 51,450 8,484 Foundry Networks, Inc. * 115,128 3,101 General Communication, Inc. * 43,414 1,300 Globalstar, Inc. * 13,780 1,313 Golden Telecom, Inc. 72,714 4,685 Harmonic, Inc. * 46,007 1,500 Harris Stratex Networks, Inc. * 28,785 3,500 Hypercom Corp. * 20,860 2,300 IDT Corp. Class B * 26,105 2,939 Interdigital Communications Corp. * 93,078 1,900 Iowa Telecommunications Services, Inc. 38,000 1,000 iPCS, Inc. * 48,990 2,943 Ixia * 27,370 2,800 Leap Wireless International, Inc. * 184,744 86,778 Level 3 Communications, Inc. * 529,346 1,700 Lightbridge, Inc. * 29,869 700 Loral Space & Communications, Inc. * 35,616 2,150 Mastec, Inc. * 23,672 6,913 MRV Communications, Inc. * 24,541 1,991 Netgear, Inc. * 56,803 132,500 NeuStar, Inc. #* 3,768,300 2,215 Newport Corp. * 36,260 938 North Pittsburgh Systems, Inc. 20,420 1,943 Novatel Wireless, Inc. * 31,166 1,000 NTELOS Holdings Corp. * 19,220 886 Oplink Communications, Inc. * 15,922 900 OpNext, Inc. * 13,868 1,024 Optical Communication Products, Inc. * 1,372 500 Optium Corp. * 9,705 3,900 PAETEC Holding Corp. 40,872 1,300 ParkerVision, Inc. * 17,173 2,697 Plantronics, Inc. 63,703 5,025 Polycom, Inc. * 167,483 7,260 Powerwave Technologies, Inc. * 41,309 131,551 Premiere Global Services, Inc. * 1,476,002 1,200 Radyne Corp. * 10,944 1,831 RCN Corp. * 46,782 11,865 RF Micro Devices, Inc. * 73,919 1,379 SafeNet, Inc. * 39,026 2,000 SAVVIS, Inc. * 95,760 6,149 SBA Communications Corp. * 181,703 488 Shenandoah Telecom Co. 22,980 1,600 Sirenza Microdevices, Inc. * 13,792 14,100 Sonus Networks, Inc. * 113,787 978 SureWest Communications 24,323 10,800 Sycamore Networks, Inc. * 40,392 2,430 Symmetricom, Inc. * 20,169 1,100 Syniverse Holdings, Inc. * 11,594 3,359 Tekelec * 50,083 6,400 Telephone & Data Systems, Inc. 381,568 8,187 Time Warner Telecom, Inc. * 170,044 1,523 USA Mobility, Inc. 30,353 7,354 UTStarcom, Inc. * 60,965 1,384 Viasat, Inc. * 45,631 2,000 Vonage Holdings Corp. * 6,900 3,840 Wireless Facilities, Inc. * 4,992 22
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PORTFOLIO OF INVESTMENTS MetLife Investment Funds, Inc. / Small Company Stock Fund / March 31, 2007 (Unaudited) (continued) SHARES VALUE ------ ----------- 8,050 Zhone Technologies, Inc. * $ 9,982 ----------- 13,526,090 ----------- TRANSPORTATION - 2.0% 3,800 ABX Air, Inc. * 26,030 36,655 Alexander & Baldwin, Inc. # 1,848,878 574 Amerco, Inc. * 40,174 3,600 American Commercial Lines, Inc. * 113,220 1,434 Arkansas Best Corp. 50,979 1,200 Atlas Air Worldwide Holdings, Inc. * 63,276 1,421 Bristow Group, Inc. * 51,795 1,400 Celadon Group, Inc. * 23,380 14,500 CH Robinson Worldwide, Inc. 692,375 2,801 Con-way, Inc. 139,602 614 Dynamex, Inc. * 15,620 1,802 EGL, Inc. * 71,413 17,000 Expeditors International of Washington, Inc. 702,440 2,067 Florida East Coast Industries, Inc. 129,580 1,821 Forward Air Corp. 59,874 2,547 GATX Corp. 121,747 2,100 Genesee & Wyoming, Inc. * 55,881 881 Greenbrier Cos, Inc. 23,523 1,028 Gulfmark Offshore, Inc. * 44,872 3,517 Heartland Express, Inc. 55,850 5,200 Hertz Global Holdings, Inc. * 123,240 700 Horizon Lines, Inc. 22,974 2,188 HUB Group, Inc. * 63,430 700 Interpool, Inc. 17,094 5,750 JB Hunt Transport Services, Inc. 150,880 4,355 Kansas City Southern * 154,951 46,482 Kirby Corp. * 1,625,940 41,812 Knight Transportation, Inc. # 745,090 4,795 Laidlaw International, Inc. 165,907 3,432 Landstar System, Inc. 157,323 1,054 Marten Transport Ltd. * 16,738 1,575 Old Dominion Freight Line * 45,376 1,766 Overseas Shipholding Group 110,552 484 P.A.M. Transportation Services, Inc. * 9,980 2,071 Pacer International, Inc. 55,793 100 Patriot Transportation Holding, Inc. * 8,961 800 PHI, Inc. * 21,648 700 Quality Distribution, Inc. * 6,055 3,542 Ryder System, Inc. 174,762 20,631 Saia, Inc. #* 489,986 3,200 Sirva, Inc. * 11,424 3,082 Swift Transportation Co., Inc. * 96,035 800 TAL International Group, Inc. 19,200 200 Universal Truckload Services, Inc. * 4,842 745 US Xpress Enterprises, Inc. * 12,859 400 USA Truck, Inc. * 6,216 2,975 Werner Enterprises, Inc. 54,056 20,880 YRC Worldwide, Inc. #* 839,794 ----------- 9,541,615 ----------- UTILITIES- ELECTRIC - 2.4% 6,744 Alliant Energy Corp. 302,266 22,859 Aquila, Inc. * 95,551 2,820 Avista Corp. 68,329 23,893 Black Hills Corp. # 878,546 18,000 Centerpoint Energy, Inc. 322,920 1,004 CH Energy Group, Inc. 48,885 3,184 Cleco Corp. 82,243 13,100 CMS Energy Corp. 233,180 6,712 DPL, Inc. 208,676 5,422 Duquesne Light Holdings, Inc. 107,301 54,608 El Paso Electric Co. * 1,438,921 1,894 Empire District Electric Co. 46,971 8,613 Energy East Corp. 209,813 4,564 Great Plains Energy, Inc. 148,102 4,778 Hawaiian Electric Industries 124,180 2,601 Idacorp, Inc. 88,018 1,000 Integrated Electrical Services, Inc. * 24,730 4,263 Integrys Energy Group, Inc. 236,639 1,000 ITC Holdings Corp. 43,290 10,297 MDU Resources Group, Inc. 295,936 1,324 MGE Energy, Inc. 46,949 9,000 Northeast Utilities 294,930 1,981 NorthWestern Corp. 70,187 6,120 NSTAR 214,934 5,173 OGE Energy Corp. 200,712 500 Ormat Technologies, Inc. 20,980 29,781 Otter Tail Corp. # 1,019,701 11,149 Pepco Holdings, Inc. 323,544 1,000 Pike Electric Corp. * 18,080 5,732 Pinnacle West Capital Corp. 276,569 53,588 PNM Resources, Inc. # 1,730,892 1,600 Portland General Electric Co. 46,720 6,727 Puget Energy, Inc. 172,749 19,544 Reliant Energy, Inc. * 397,134 6,800 SCANA Corp. 293,556 13,160 Sierra Pacific Resources * 228,721 12,365 TECO Energy, Inc. 212,802 1,406 UIL Holdings Corp. 48,788 1,947 Unisource Energy Corp. 73,110 5,146 Westar Energy, Inc. 141,618 6,869 Wisconsin Energy Corp. 333,284 ----------- 11,170,457 ----------- UTILITIES- GAS - 0.7% 4,439 AGL Resources, Inc. 189,634 5,201 Atmos Energy Corp. 162,687 696 Cascade Natural Gas Corp. 18,340 4,252 Energen Corp. 216,384 352 EnergySouth, Inc. 14,759 1,250 Laclede Group, Inc. 38,850 1,670 New Jersey Resources Corp. 83,584 2,555 Nicor, Inc. 123,713 1,605 Northwest Natural Gas Co. 73,300 6,429 Oneok, Inc. 289,305 23
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PORTFOLIO OF INVESTMENTS MetLife Investment Funds, Inc. / Small Company Stock Fund / March 31, 2007 (Unaudited) (continued) SHARES / PRINCIPAL AMOUNT VALUE --------- ------------ 4,610 Piedmont Natural Gas Co. $ 121,612 1,636 South Jersey Industries, Inc. 62,250 6,102 Southern Union Co. 185,440 39,692 Southwest Gas Corp. # 1,542,828 5,964 UGI Corp. 159,299 4,477 Vectren Corp. 128,042 2,755 WGL Holdings, Inc. 88,105 ------------ 3,498,132 ------------ UTILITIES- WATER - 0.1% 944 American States Water Co. 34,805 7,697 Aqua America, Inc. 172,798 1,009 California Water Service Group 38,665 616 Pico Holdings, Inc. * 26,309 968 SJW Corp. 39,185 1,082 Southwest Water Co. 15,602 ------------ 327,364 ------------ TOTAL COMMON STOCKS (Cost $395,393,772 #) 462,260,637 ------------ WARRANTS - 0.0% BUSINESS SERVICES & SUPPLIES - 0.0% 108 American Banknote Corp., Expire 10/01/07 (b) 0 American Banknote Corp., Ser 2 , Expire 10/01/07 108 (b) 0 ------------ 0 ------------ TELECOMMUNICATIONS - 0.0% 340 Pegasus Wireless Corp. 0.00% , 12/18/09 (b) 0 ------------ TOTAL WARRANTS (Cost $0 ) 0 ------------ SHORT-TERM INVESTMENTS - 2.4% GOVERNMENT & AGENCY SECURITIES - 0.0% United States Treasury Bill 4.960% , 06/07/07 $ 160,000 (c)(d) 158,560 ------------ MUTUAL FUND - 2.4% 11,501,209 Goldman Sachs Prime Obligations Fund 5.214% (e) 11,501,209 ------------ TOTAL SHORT-TERM INVESTMENTS (Cost $11,659,737) 11,659,769 ------------ TOTAL INVESTMENTS - 99.9% (Cost $407,053,509@) 473,920,406 ------------ Assets in excess of other liabilities - 0.1% 310,410 ------------ TOTAL NET ASSETS - 100.0% $474,230,816 ============ NOTES TO THE PORTFOLIO OF INVESTMENTS: * - Non-income producing security. @ - Aggregate unrealized appreciation and depreciation based on cost for federal income tax purposes are $86,214,294 and $19,347,397 respectively, resulting in a net unrealized appreciation of $66,866,897. # - A portion or all of the security was held on loan. As of March 31, 2007, the market value of securities loaned was $105,254,664 and the collateral received consisted of cash in the amount of $107,888,194. (a) - Indicates an affiliated issuer. (b) - Represents a security which is fair-valued. (c) - All or a portion of these securities have been pledged to cover collateral requirements for open futures contracts. (d) - Zero coupon bond - Interest rate represents current yield to maturity. (e) - Rate quoted represents the seven day yield of the Fund. For Information regarding the Fund's policy regarding Valuation of Investments and other significant accounting policies, please refer to the Fund's most recent Annual Reports. SECURITY ABBREVIATION: REIT--Real Estate Investment Trust 24
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FUTURES CONTRACTS: [Enlarge/Download Table] NUMBER OF FACE EXPIRATION NOTIONAL NOTIONAL UNREALIZED CONTRACTS VALUE UNDERLYING SECURITIES DATE COST VALUE APPRECIATION --------- ----- --------------------- ---------- ---------- ---------- ------------ LONG POSITION ------------- 26 2,600 Russell 2000 Index June-2007 $2,069,918 $2,100,800 $30,882 24 2,400 S&P Midcap 400 Index June-2007 2,028,774 2,053,920 25,146 ------- $56,028 =======
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AFFILIATED ISSUERS: [Enlarge/Download Table] NUMBER OF SHARES PURCHASED SHARES SOLD NUMBER OF INCOME EARNED SHARES HELD FOR THE QUARTER FOR THE QUARTER SHARES HELD FOR THE QUARTER REALIZED GAIN SECURITY DESCRIPTION AT 12/31/06 ENDED 03/31/07 ENDED 03/31/07 AT 03/31/07 ENDED 03/31/07 ON SHARES SOLD -------------------- ----------- ---------------- --------------- ----------- --------------- -------------- Reinsurance Group of America, Inc. 1,792 0 200 1,592 $161 $5,310
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PORTFOLIO OF INVESTMENTS MetLife Investment Funds, Inc. / Large Company Stock Fund / March 31, 2007 (Unaudited) SHARES VALUE ------ ----------- COMMON STOCKS - 97.3% ADVERTISING - 0.3% 10,100 Interpublic Group of Cos., Inc. * $ 124,331 16,975 Omnicom Group 1,737,901 16,000 R.H. Donnelley Corp. 1,134,240 ----------- 2,996,472 ----------- AEROSPACE & DEFENSE - 2.2% 107,800 Boeing Co. 9,584,498 37,290 General Dynamics Corp. 2,848,956 3,100 Goodrich Corp. 159,588 2,900 L-3 Communications Holdings, Inc. 253,663 8,842 Lockheed Martin Corp. 857,851 8,456 Northrop Grumman Corp. 627,604 38,800 Raytheon Co. 2,035,448 4,000 Rockwell Collins, Inc. 267,720 43,500 United Technologies Corp. 2,827,500 ----------- 19,462,828 ----------- AIRLINES - 0.0% 19,550 Southwest Airlines Co. 287,385 ----------- APPAREL & TEXTILES - 0.9% 3,200 Cintas Corp. 115,520 129,200 Coach, Inc. * 6,466,460 2,700 Jones Apparel Group, Inc. 82,971 2,500 Liz Claiborne, Inc. 107,125 4,700 Nike, Inc. Class B 499,422 1,500 Polo Ralph Lauren Corp. 132,225 2,300 VF Corp. 190,026 ----------- 7,593,749 ----------- AUTOMOTIVE - 0.6% 212,453 Ford Motor Co. 1,676,254 14,074 General Motors Corp. 431,228 4,400 Goodyear Tire & Rubber Co. * 137,236 4,800 Johnson Controls, Inc. 454,176 6,000 Paccar, Inc. 440,400 48,100 TRW Automotive Holdings Corp. * 1,674,842 ----------- 4,814,136 ----------- BANKING - 4.8% 375,779 Bank of America Corp. 19,172,244 52,500 Bank of Montreal 3,180,450 19,000 Bank of New York Co., Inc. 770,450 13,115 BB&T Corp. 537,977 32,500 Comerica, Inc. 1,921,400 4,500 Commerce Bancorp, Inc. 150,210 3,300 Compass Bancshares, Inc. 227,040 13,791 Fifth Third Bancorp 533,574 3,300 First Horizon National Corp. 137,049 5,860 Huntington Bancshares, Inc. 128,041 10,000 Keycorp 374,700 1,900 M&T Bank Corp. 220,077 6,300 Marshall & Ilsley Corp. 291,753 14,660 National City Corp. 546,085 18,269 Regions Financial Corp. 646,174 8,700 SunTrust Banks, Inc. 722,448 8,200 Synovus Financial Corp. 265,188 113,945 US Bancorp 3,984,657 80,140 Wachovia Corp. 4,411,707 11,700 Webster Financial Corp. 561,717 83,006 Wells Fargo & Co. 2,857,897 2,500 Zions Bancorp 211,300 ----------- 41,852,138 ----------- BIOTECHNOLOGY - 2.7% 113,557 Amgen, Inc. * 6,345,565 8,458 Biogen Idec, Inc. * 375,366 108,300 Celgene Corp. * 5,681,418 88,900 Genentech, Inc. * 7,300,468 6,300 Genzyme Corp. * 378,126 5,900 Medimmune, Inc. * 214,701 1,300 Millipore Corp. * 94,211 104,900 Vertex Pharmaceuticals, Inc. * 2,941,396 ----------- 23,331,251 ----------- BUILDING & CONSTRUCTION - 0.2% 4,500 American Standard Cos., Inc. 238,590 3,100 Centex Corp. 129,518 6,700 D.R. Horton, Inc. 147,400 2,200 Fluor Corp. 197,384 2,000 KB Home 85,340 3,300 Lennar Corp. 139,293 10,000 Masco Corp. 274,000 5,000 Pulte Homes, Inc. 132,300 2,400 Vulcan Materials Co. 279,552 ----------- 1,623,377 ----------- BUSINESS SERVICES & SUPPLIES - 0.3% 22,100 Pitney Bowes, Inc. 1,003,119 83,700 Xerox Corp. * 1,413,693 ----------- 2,416,812 ----------- CHEMICALS - 1.5% 39,500 Agrium, Inc. 1,514,035 23,300 Air Products & Chemicals, Inc. 1,723,268 1,300 Ashland, Inc. 85,280 65,849 Dow Chemical Co. 3,019,835 1,900 Eastman Chemical Co. 120,327 4,500 Ecolab, Inc. 193,500 68,800 EI Du Pont de Nemours & Co. 3,400,784 3,000 Hercules, Inc. * 58,620 11,700 International Flavors & Fragrances, Inc. 552,474 8,700 Potash Corp. of Saskatchewan, Inc. 1,391,391 4,200 PPG Industries, Inc. 295,302 7,900 Praxair, Inc. 497,384 3,600 Rohm & Haas Co. 186,192 2,600 Sherwin-Williams Co. 171,704 1
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PORTFOLIO OF INVESTMENTS MetLife Investment Funds, Inc. / Large Company Stock Fund / March 31, 2007 (Unaudited) (continued) SHARES VALUE ------ ----------- 3,200 Sigma-Aldrich Corp. $ 132,864 ----------- 13,342,960 ----------- COMMERCIAL SERVICES - 0.9% 25,400 Accenture Ltd. 978,916 3,400 Apollo Group, Inc. * 149,260 3,400 Convergys Corp. * 86,394 3,300 Equifax, Inc. 120,285 4,000 Fidelity National Information Services, Inc. 181,840 8,000 H&R Block, Inc. 168,320 59,306 McKesson Corp. 3,471,773 5,900 Moody's Corp. 366,154 8,400 Paychex, Inc. 318,108 5,200 R.R. Donnelley & Sons Co. 190,268 4,100 Robert Half International, Inc. 151,741 2,400 Waters Corp. * 139,200 68,378 Western Union Co. 1,500,897 ----------- 7,823,156 ----------- COMPUTERS & INFORMATION - 4.0% 2,300 Affiliated Computer Services, Inc. * 135,424 105,700 Apple Computer, Inc. * 9,820,587 80,800 BISYS Group, Inc. * 925,968 3,400 Cognizant Technology Solutions Corp. * 300,118 4,100 Computer Sciences Corp. * 213,733 56,187 Dell, Inc. * 1,304,100 12,800 Electronic Data Systems Corp. 354,304 162,448 EMC Corp. * 2,249,905 181,845 Hewlett-Packard Co. 7,299,258 37,173 International Business Machines Corp. 3,503,927 2,500 Lexmark International, Inc. * 146,150 4,400 NCR Corp. * 210,188 9,300 Network Appliance, Inc. * 339,636 164,400 SanDisk Corp. * 7,200,720 85,900 Sun Microsystems, Inc. * 516,259 9,418 Unisys Corp. * 79,394 ----------- 34,599,671 ----------- CONTAINERS & PACKAGING - 0.2% 2,600 Ball Corp. 119,210 2,800 Bemis Co. 93,492 63,400 Owens-Illinois, Inc. * 1,633,818 3,400 Pactiv Corp. * 114,716 4,200 Sealed Air Corp. 132,720 ----------- 2,093,956 ----------- COSMETICS & PERSONAL CARE - 2.6% 10,800 Avon Products, Inc. 402,408 56,400 Colgate-Palmolive Co. 3,766,956 3,100 Estee Lauder Cos., Inc. Class A 151,435 55,400 Kimberly-Clark Corp. 3,794,346 230,440 Procter & Gamble Co. 14,554,590 ----------- 22,669,735 ----------- DISTRIBUTION & WHOLESALE - 0.0% 4,200 Genuine Parts Co. 205,800 1,900 WW Grainger, Inc. 146,756 ----------- 352,556 ----------- DIVERSIFIED FINANCIAL SERVICES - 10.8% 145,500 American Express Co. 8,206,200 6,080 Ameriprise Financial, Inc. 347,411 2,900 Bear Stearns Cos., Inc. 436,015 147,092 Capital One Financial Corp. 11,099,562 25,500 Charles Schwab Corp. 466,395 855 Chicago Mercantile Exchange Holdings, Inc. 455,253 4,900 CIT Group, Inc. 259,308 382,417 Citigroup, Inc. 19,633,289 65,096 Countrywide Financial Corp. 2,189,829 96,700 E*Trade Financial Corp. * 2,051,974 23,824 Fannie Mae 1,300,314 2,200 Federated Investors, Inc. Class B 80,784 4,200 Franklin Resources, Inc. 507,486 55,352 Freddie Mac 3,292,891 50,773 Goldman Sachs Group, Inc. 10,491,225 4,800 Janus Capital Group, Inc. 100,368 85,820 JPMorgan Chase & Co. 4,151,972 3,300 Legg Mason, Inc. 310,893 13,000 Lehman Brothers Holdings, Inc. 910,910 10,400 Mellon Financial Corp. 448,656 109,090 Merrill Lynch & Co., Inc. 8,909,380 58,631 Morgan Stanley 4,617,778 4,700 Northern Trust Corp. 282,658 75,100 PNC Financial Services Group, Inc. 5,404,947 10,300 SLM Corp. 421,270 45,400 State Street Corp. 2,939,650 6,600 T Rowe Price Group, Inc. 311,454 76,835 UBS AG 4,566,304 ----------- 94,194,176 ----------- ELECTRICAL EQUIPMENT - 0.1% 19,724 Emerson Electric Co. 849,907 3,700 Molex, Inc. 104,340 ----------- 954,247 ----------- ELECTRONICS - 0.2% 9,870 Agilent Technologies, Inc. * 332,520 4,300 Applera Corp. - Applied Biosystems Group 127,151 1,700 Harman International Industries, Inc. 163,336 4,300 Jabil Circuit, Inc. 92,063 2,900 Parker Hannifin Corp. 250,299 3,000 PerkinElmer, Inc. 72,660 13,900 Sanmina-SCI Corp. * 50,318 21,900 Solectron Corp. * 68,985 1,900 Tektronix, Inc. 53,504 2
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PORTFOLIO OF INVESTMENTS MetLife Investment Funds, Inc. / Large Company Stock Fund / March 31, 2007 (Unaudited) (continued) 10,400 Thermo Electron Corp. * $ 486,200 ----------- 1,697,036 ----------- ENTERTAINMENT & LEISURE - 0.2% 2,400 Brunswick Corp. 76,440 11,200 Carnival Corp. 524,832 6,400 Harley-Davidson, Inc. 376,000 3,600 Hasbro, Inc. 103,032 8,368 International Game Technology 337,900 9,100 Mattel, Inc. 250,887 3,200 Sabre Holdings Corp. 104,800 ----------- 1,773,891 ----------- ENVIRONMENTAL SERVICES - 0.1% 6,412 Allied Waste Industries, Inc. * 80,727 12,998 Waste Management, Inc. 447,261 ----------- 527,988 ----------- FOOD, BEVERAGE & TOBACCO - 4.1% 105,491 Altria Group, Inc. 9,263,165 18,752 Anheuser-Busch Cos., Inc. 946,226 16,045 Archer-Daniels-Midland Co. 588,852 2,100 Brown-Forman Corp. Class B 137,676 5,200 Campbell Soup Co. 202,540 50,317 Coca-Cola Co. 2,415,216 6,500 Coca-Cola Enterprises, Inc. 131,625 12,690 ConAgra Foods, Inc. 316,108 4,900 Constelllation Brands, Inc. * 103,782 3,300 Dean Foods Co. * 154,242 8,271 General Mills, Inc. 481,538 4,500 Hershey Foods Corp. 245,970 7,900 HJ Heinz Co. 372,248 6,373 Kellogg Co. 327,763 4,700 Kraft Foods, Inc. 149,023 17,985 Kroger Co. 508,076 3,300 McCormick & Co., Inc. 127,116 1,000 Molson Coors Brewing Co. Class B 94,620 13,222 Monsanto Co. 726,681 3,100 Pepsi Bottling Group, Inc. 98,859 145,799 PepsiCo, Inc. 9,266,985 64,700 Reynolds American, Inc. 4,037,927 11,000 Safeway, Inc. 403,040 19,070 Sara Lee Corp. 322,664 4,847 Supervalu, Inc. 189,372 98,800 Sysco Corp. 3,342,404 6,200 Tyson Foods, Inc. 120,342 4,000 UST, Inc. 231,920 3,400 Whole Foods Market, Inc. 152,490 5,512 WM Wrigley Jr. Co. 280,726 ----------- 35,739,196 ----------- FOREST PRODUCTS & PAPER - 0.1% 1 Domtar Corp. * 9 11,494 International Paper Co. 418,381 4,652 MeadWestvaco Corp. 143,468 4,500 Plum Creek Timber Co., Inc. 177,390 2,600 Temple-Inland, Inc. 155,324 5,169 Weyerhaeuser Co. 386,331 ----------- 1,280,903 ----------- HEALTH CARE - 4.7% 12,800 Aetna, Inc. 560,512 1,400 Bausch & Lomb, Inc. 71,624 16,097 Baxter International, Inc. 847,829 6,127 Becton Dickinson & Co. 471,105 6,300 Biomet, Inc. 267,687 28,740 Boston Scientific Corp. * 417,880 3,900 Coventry Health Care, Inc. * 218,595 2,600 CR Bard, Inc. 206,726 4,100 Humana, Inc. * 237,882 71,252 Johnson & Johnson 4,293,645 3,200 Laboratory Corp. of America Holdings * 232,416 2,000 Manor Care, Inc. 108,720 110,590 Medtronic, Inc. 5,425,545 3,200 Patterson Cos., Inc. * 113,568 4,096 Quest Diagnostics 204,268 89,600 St. Jude Medical, Inc. * 3,369,856 72,393 Stryker Corp. 4,801,104 11,000 Tenet Healthcare Corp. * 70,730 199,816 UnitedHealth Group, Inc. 10,584,253 3,100 Varian Medical Systems, Inc. * 147,839 100,400 WellPoint, Inc. * 8,142,440 5,851 Zimmer Holdings, Inc. * 499,734 ----------- 41,293,958 ----------- HOTELS & RESTAURANTS - 1.5% 3,650 Darden Restaurants, Inc. 150,343 4,600 Harrah's Entertainment, Inc. 388,470 219,500 Hilton Hotels Corp. 7,893,220 8,300 Marriott International, Inc. 406,368 29,758 McDonald's Corp. 1,340,598 18,400 Starbucks Corp. * 577,024 26,100 Starwood Hotels & Resorts Worldwide, Inc. 1,692,585 2,800 Wendy's International, Inc. 87,640 4,860 Wyndham Worldwide Corp. * 165,969 6,547 Yum! Brands, Inc. 378,155 ----------- 13,080,372 ----------- HOUSEHOLD PRODUCTS - 0.4% 2,200 Avery Dennison Corp. * 141,372 33,800 Clorox Co. 2,152,722 3,600 Fortune Brands, Inc. 283,752 4,200 Leggett & Platt, Inc. 95,214 6,700 Newell Rubbermaid, Inc. * 208,303 1,951 Whirlpool Corp. 165,659 ----------- 3,047,022 ----------- INDUSTRIAL MACHINERY - 0.5% 1,700 Black & Decker Corp. 138,754 16,146 Caterpillar, Inc. 1,082,266 1,200 Cummins, Inc. 173,664 19,800 Deere & Co. 2,151,072 4,100 Rockwell Automation, Inc. * 245,467 3
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PORTFOLIO OF INVESTMENTS MetLife Investment Funds, Inc. / Large Company Stock Fund / March 31, 2007 (Unaudited) (continued) 1,400 Snap-On, Inc. $ 67,340 2,000 Stanley Works 110,720 2,500 Terex Corp. * 179,400 ----------- 4,148,683 ----------- INSURANCE - 4.5% 7,973 ACE Ltd. 454,939 12,165 Aflac, Inc. 572,485 6,018 Alleghany Corp. * 2,248,325 15,300 Allstate Corp. 918,918 2,700 AMBAC Financial Group, Inc. 233,253 274,490 American International Group, Inc. 18,451,218 7,800 AON Corp. 296,088 10,338 Chubb Corp. 534,165 2,600 Cigna Corp. 370,916 4,463 Cincinnati Financial Corp. 189,231 10,700 Genworth Financial, Inc. 373,858 7,861 Hartford Financial Services Group, Inc. 751,354 7,085 Lincoln National Corp. 480,292 11,400 Loews Corp. 517,902 13,600 Marsh & McLennan Cos., Inc. 398,344 85,868 MBIA, Inc. 5,623,495 18,600 MetLife, Inc. (a) 1,174,590 2,000 MGIC Investment Corp. 117,840 6,577 Principal Financial Group 393,765 18,600 Progressive Corp. 405,852 11,872 Prudential Financial, Inc. 1,071,567 2,500 Safeco Corp. 166,075 2,500 Torchmark Corp. 163,975 16,877 Travelers Cos., Inc. 873,722 95,155 UnumProvident Corp. 2,191,420 4,600 XL Capital Ltd. 321,816 ----------- 39,295,405 ----------- INTERNET SERVICES & APPLICATIONS - 3.1% 67,500 Amazon.Com, Inc. * 2,685,825 117,112 eBay, Inc. * 3,882,263 22,130 Google, Inc. * 10,139,081 5,500 IAC/InterActiveCorp * 207,405 3,400 Monster Worldwide, Inc. * 161,058 22,868 Symantec Corp. * 395,616 6,100 VeriSign, Inc. * 153,232 307,251 Yahoo!, Inc. * 9,613,884 ----------- 27,238,364 ----------- MANUFACTURING - 3.5% 18,284 3M Co. 1,397,446 4,400 Cooper Industries Ltd. 197,956 5,800 Danaher Corp. 414,410 5,000 Dover Corp. 244,050 7,100 Eastman Kodak Co. 160,176 3,600 Eaton Corp. 300,816 568,700 General Electric Co. 20,109,232 97,500 Honeywell International, Inc. 4,490,850 10,200 Illinois Tool Works, Inc. 526,320 7,600 Ingersoll-Rand Co. 329,612 4,600 ITT Industries, Inc. 277,472 3,000 Pall Corp. 114,000 3,000 Textron, Inc. 269,400 48,767 Tyco International Ltd. 1,538,599 ----------- 30,370,339 ----------- METALS & MINING - 1.0% 61,207 Alcoa, Inc. 2,074,917 2,500 Allegheny Technologies, Inc. 266,725 4,500 Consol Energy, Inc. 176,085 35,750 Freeport-McMoRan Copper & Gold, Inc. Class B 2,366,293 11,300 Newmont Mining Corp. 474,487 7,400 Nucor Corp. 481,962 57,300 Peabody Energy Corp. 2,305,752 2,800 United States Steel Corp. 277,676 ----------- 8,423,897 ----------- MULTIMEDIA - 2.6% 19,103 CBS Corp. Class B 584,361 12,300 Clear Channel Communications, Inc. 430,992 76,685 Comcast Corp. * 1,989,963 74,550 Comcast Corp. Special Class A * 1,898,789 19,000 DIRECTV Group, Inc. * 438,330 1,700 Dow Jones & Co., Inc. 58,599 2,100 EW Scripps Co. 93,828 5,600 Gannett Co., Inc. 315,224 8,900 McGraw-Hill Cos., Inc. 559,632 1,000 Meredith Corp. 57,390 3,400 New York Times Co. Class A 79,934 57,600 News Corp. 1,331,712 183,282 Time Warner, Inc. 3,614,321 4,720 Tribune Co. 151,559 71,503 Viacom, Inc. Class A * 2,939,488 230,400 Walt Disney Co. 7,932,672 ----------- 22,476,794 ----------- OIL & GAS - 9.5% 11,474 Anadarko Petroleum Corp. 493,152 8,180 Apache Corp. 578,326 8,064 Baker Hughes, Inc. 533,272 7,200 BJ Services Co. 200,880 10,100 Chesapeake Energy Corp. 311,888 53,259 ChevronTexaco Corp. 3,939,036 155,700 ConocoPhillips 10,642,095 11,000 Devon Energy Corp. 761,420 7,900 Dynegy, Inc. * 73,154 17,521 El Paso Corp. 253,529 3,700 ENSCO International, Inc. 201,280 6,000 EOG Resources, Inc. 428,040 270,170 Exxon Mobil Corp. 20,384,326 82,000 Halliburton Co. 2,602,680 6,700 Hess Corp. * 371,649 2,627 Kinder Morgan, Inc. 279,644 8,554 Marathon Oil Corp. 845,392 119,600 Murphy Oil Corp. 6,386,640 7,100 Nabors Industries Ltd. * 210,657 4,400 National-Oilwell Varco, Inc. * 342,276 4
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PORTFOLIO OF INVESTMENTS MetLife Investment Funds, Inc. / Large Company Stock Fund / March 31, 2007 (Unaudited) (continued) 3,400 Noble Corp. $ 267,512 12,100 Noble Energy, Inc. 721,765 140,112 Occidental Petroleum Corp. 6,908,923 51,900 Pride International, Inc. * 1,562,190 12,600 Questar Corp. 1,124,046 2,600 Rowan Cos., Inc. 84,422 119,300 Schlumberger Ltd. 8,243,630 4,900 Smith International, Inc. 235,445 15,577 Spectra Energy Corp. 409,208 42,300 Sunoco, Inc. 2,979,612 7,300 Transocean, Inc. * 596,410 14,700 Valero Energy Corp. 948,003 116,500 Weatherford International Ltd. * 5,254,150 119,600 Williams Cos., Inc. 3,403,816 9,033 XTO Energy, Inc. 495,099 ----------- 83,073,567 ----------- PHARMACEUTICALS - 5.2% 148,465 Abbott Laboratories 8,284,347 3,848 Allergan, Inc. 426,435 4,832 AmerisourceBergen Corp. 254,888 2,700 Barr Pharmaceuticals, Inc. * 125,145 123,558 Bristol-Myers Squibb Co. 3,429,970 9,972 Cardinal Health, Inc. 727,458 67,246 Eli Lilly & Co. 3,611,783 3,300 Express Scripts, Inc. * 266,376 7,700 Forest Laboratories, Inc. * 396,088 103,700 Gilead Sciences, Inc. * 7,933,050 3,935 Hospira, Inc. * 160,942 6,366 King Pharmaceuticals, Inc. * 125,219 7,198 Medco Health Solutions, Inc. * 522,071 122,594 Merck & Co., Inc. 5,414,977 6,000 Mylan Laboratories, Inc. 126,840 175,074 Pfizer, Inc. 4,422,369 213,324 Schering-Plough Corp. 5,441,895 2,800 Watson Pharmaceuticals, Inc. * 74,004 72,264 Wyeth 3,615,368 ----------- 45,359,225 ----------- REAL ESTATE - 1.5% 2,500 Apartment Investment & Management Co. REIT 144,225 5,200 Archstone-Smith Trust REIT 282,256 2,000 AvalonBay Communities, Inc. REIT 260,000 2,800 Boston Properties, Inc. REIT 328,720 4,500 CB Richard Ellis Group, Inc. REIT * 153,810 3,100 Developers Diversified Realty Corp. REIT 194,990 6,998 Equity Residential REIT 337,513 72,830 General Growth Properties, Inc. REIT 4,702,633 12,800 Host Marriott Corp. REIT 336,768 84,600 Kimco Realty Corp. REIT 4,123,404 6,100 ProLogis REIT 396,073 3,000 Public Storage, Inc. REIT 284,010 5,587 Realogy Corp. * 165,431 5,471 Simon Property Group, Inc. REIT 608,649 3,200 Vornado Realty Trust REIT 381,888 ----------- 12,700,370 ----------- RETAIL - 4.9% 2,100 Abercrombie & Fitch Co. Class A 158,928 4,057 AutoNation, Inc. * 86,171 1,300 Autozone, Inc. * 166,582 7,200 Bed Bath & Beyond, Inc. * 289,224 10,050 Best Buy Co., Inc. 489,636 2,700 Big Lots, Inc. * 84,456 3,500 Circuit City Stores, Inc. 64,855 11,221 Costco Wholesale Corp. 604,139 314,558 CVS Corp. 10,739,016 1,200 Dillard's, Inc. 39,276 7,650 Dollar General Corp. 161,798 3,500 Family Dollar Stores, Inc. 103,670 12,846 Federated Department Stores, Inc. 578,712 172,568 Gap, Inc. 2,969,895 92,712 Home Depot, Inc. 3,406,239 5,500 JC Penney Co., Inc. 451,880 8,000 Kohl's Corp. * 612,880 8,772 Limited Brands, Inc. 228,598 190,100 Lowe's Cos., Inc. 5,986,249 5,700 Nordstrom, Inc. 301,758 7,000 Office Depot, Inc. * 245,980 2,000 OfficeMax, Inc. 105,480 3,600 RadioShack Corp. 97,308 2,028 Sears Holdings Corp. * 365,364 138,150 Staples, Inc. 3,569,796 94,325 Target Corp. 5,589,700 3,382 Tiffany & Co. 153,813 45,200 TJX Cos., Inc. 1,218,592 60,365 Wal-Mart Stores, Inc. 2,834,137 24,600 Walgreen Co. 1,128,894 ----------- 42,833,026 ----------- SAVINGS & LOAN - 0.1% 12,200 Hudson City Bancorp, Inc. 166,896 9,135 Sovereign Bancorp, Inc. 232,394 21,959 Washington Mutual, Inc. 886,705 ----------- 1,285,995 ----------- SEMICONDUCTORS - 2.5% 13,883 Advanced Micro Devices, Inc. * 181,312 9,100 Altera Corp. * 181,909 8,300 Analog Devices, Inc. 286,267 34,061 Applied Materials, Inc. 623,997 11,450 Broadcom Corp. * 367,201 393,235 Intel Corp. 7,522,586 4,725 JDS Uniphase Corp. * 71,962 33,300 Kla-Tencor Corp. 1,775,556 7,700 Linear Technology Corp. 243,243 19,000 LSI Logic Corp. * 198,360 8,000 Maxim Integrated Products, Inc. 235,200 18,200 Micron Technology, Inc. * 219,856 7,100 National Semiconductor Corp. 171,394 2,800 Novellus Systems, Inc. * 89,656 8,900 Nvidia Corp. * 256,142 5,700 PMC - Sierra, Inc. * 39,957 5
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PORTFOLIO OF INVESTMENTS MetLife Investment Funds, Inc. / Large Company Stock Fund / March 31, 2007 (Unaudited) (continued) SHARES VALUE ------ ----------- 4,000 QLogic Corp. * $ 68,000 4,718 Teradyne, Inc. * 78,036 302,908 Texas Instruments, Inc. 9,117,531 8,400 Xilinx, Inc. 216,132 ----------- 21,944,297 ----------- SOFTWARE - 2.6% 14,100 Adobe Systems, Inc. * 587,970 5,600 Autodesk, Inc. * 210,560 13,600 Automatic Data Processing, Inc. 658,240 5,300 BMC Software, Inc. * 163,187 9,693 CA, Inc. 251,146 4,600 Citrix Systems, Inc. * 147,338 7,100 Compuware Corp. * 67,379 131,900 Electronic Arts, Inc. * 6,642,484 52,278 First Data Corp. 1,406,278 4,200 Fiserv, Inc. * 222,852 5,223 IMS Health, Inc. 154,914 8,200 Intuit, Inc. * 224,352 355,720 Microsoft Corp. 9,913,917 7,300 Novell, Inc. * 52,706 98,455 Oracle Corp. * 1,784,989 ----------- 22,488,312 ----------- TELECOMMUNICATIONS - 7.4% 3,085 ADC Telecommunications, Inc. * 51,643 9,100 Alltel Corp. 564,200 533,988 AT&T, Inc. 21,055,147 11,341 Avaya, Inc. * 133,937 3,000 CenturyTel, Inc. 135,570 1,957 Ciena Corp. * 54,698 399,519 Cisco Systems, Inc. * 10,199,720 7,400 Citizens Communications Co. 110,630 271,900 Corning, Inc. * 6,183,006 3,630 Embarq Corp. 204,551 13,700 Juniper Networks, Inc. * 269,616 64,200 Leap Wireless International, Inc. * 4,235,916 420,600 Motorola, Inc. 7,432,002 206,053 Qualcomm, Inc. 8,790,221 38,958 Qwest Communications International * 350,233 70,815 Sprint Nextel Corp. 1,342,652 11,100 Tellabs, Inc. * 109,890 71,670 Verizon Communications, Inc. 2,717,726 12,325 Windstream Corp. * 181,054 ----------- 64,122,412 ----------- TRANSPORTATION - 1.9% 8,712 Burlington Northern Santa Fe Corp. 700,706 45,200 CH Robinson Worldwide, Inc. 2,158,300 10,500 CSX Corp. 420,525 55,400 Expeditors International of Washington, Inc. 2,289,128 48,200 FedEx Corp. 5,178,126 52,600 Landstar System, Inc. 2,411,184 9,900 Norfolk Southern Corp. 500,940 1,600 Ryder System, Inc. 78,944 6,700 Union Pacific Corp. 680,385 26,387 United Parcel Service, Inc. Class B 1,849,729 ----------- 16,267,967 ----------- UTILITIES- ELECTRIC - 2.9% 16,400 AES Corp. * 352,928 4,000 Allegheny Energy, Inc. * 196,560 5,000 Ameren Corp. 251,500 9,800 American Electric Power Co., Inc. 477,750 7,200 Centerpoint Energy, Inc. 129,168 5,800 CMS Energy Corp. 103,240 6,000 Consolidated Edison, Inc. 306,360 4,300 Constellation Energy Group, Inc. 373,885 8,600 Dominion Resources, Inc. 763,422 4,363 DTE Energy Co. 208,988 31,154 Duke Energy Corp. 632,115 8,000 Edison International 393,040 5,100 Entergy Corp. 535,092 118,374 Exelon Corp. 8,133,478 7,793 FirstEnergy Corp. 516,208 56,500 FPL Group, Inc. 3,456,105 1,736 Integrys Energy Group, Inc. 96,365 6,884 NiSource, Inc. 168,245 35,200 Northeast Utilities 1,153,504 38,700 PG&E Corp. 1,868,049 2,400 Pinnacle West Capital Corp. 115,800 9,310 PPL Corp. 380,779 6,119 Progress Energy, Inc. 308,642 6,100 Public Service Enterprise Group, Inc. 506,544 18,400 Southern Co. 674,360 4,800 TECO Energy, Inc. 82,608 38,132 TXU Corp. 2,444,261 10,260 Xcel Energy, Inc. 253,320 ----------- 24,882,316 ----------- UTILITIES- GAS - 0.2% 4,200 KeySpan Corp. 172,830 1,000 Nicor, Inc. 48,420 6,300 Sempra Energy 384,363 6
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SHARES / PRINCIPAL AMOUNT VALUE --------- ------------ 52,100 UGI Corp. $ 1,391,591 ------------ 1,997,204 ------------ TOTAL COMMON STOCKS (Cost $699,581,832 ) 847,757,144 ------------ DEPOSITARY RECEIPTS - 1.5% AEROSPACE & DEFENSE - 0.2% 30,300 Rolls-Royce Group PLC ADR 1,486,215 ------------ ELECTRONICS - 0.2% 40,400 Koninklijke Philips Electronics N.V. 1,539,240 ------------ FOOD, BEVERAGE & TOBACCO - 0.3% 97,100 Unilever N.V. 2,837,262 ------------ INSURANCE - 0.5% 94,700 ING Groep N.V. ADR 4,008,651 ------------ MANUFACTURING - 0.2% 14,200 Siemens AG ADR 1,522,240 ------------ PHARMACEUTICALS - 0.1% 28,500 Sanofi-Aventis ADR 1,240,035 ------------ TOTAL DEPOSITARY RECEIPTS (Cost $12,152,221 ) 12,633,643 ------------ SHORT-TERM INVESTMENTS - 1.0% GOVERNMENT & AGENCY SECURITIES - 0.0% $ 323,000 United States Treasury Bill 4.867% , 06/07/07 (c)(d) 320,094 ------------ MUTUAL FUND - 1.0% 8,411,800 Goldman Sachs Prime Obligations Fund 5.214% (b) 8,411,800 ------------ TOTAL SHORT-TERM INVESTMENTS (Cost $8,731,830 ) 8,731,894 ------------ TOTAL INVESTMENTS - 99.8% (Cost $720,465,883# ) 869,122,681 ------------ Assets in excess of other liabilities - 0.2% 1,918,590 ------------ TOTAL NET ASSETS - 100.0% $871,041,271 ============ -------- NOTES TO THE PORTFOLIO OF INVESTMENTS: * - Non-income producing security # - Aggregate unrealized appreciation and depreciation based on cost for federal income tax purpose, are $177,534,894 and $28,878,096 respectively, resulting in a net unrealized appreciation of $148,656,798. (a) - Affiliated issuer. See table below for more information. (b) - Rate quoted represents the seven day yield of the Fund. (c) - Zero coupon bond--Interest rate represents current yield to maturity. (d) - All or a portion of these securities have been pledged to cover collateral requirements for open futures contracts. For Information regarding the Fund's policy regarding Valuation of Investments and other significant accounting policies, please refer to the Fund's most recent Annual Reports. SECURITY ABBREVIATIONS: ADR - American Depositary Receipt REIT - Real Estate Investment Trust 7
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FUTURES CONTRACTS: [Enlarge/Download Table] UNREALIZED EXPIRATION NOTIONAL NOTIONAL APPRECIATION NUMBER OF CONTRACTS FACE VALUE UNDERLYING SECURITIES DATE COST VALUE (DEPRECIATION) ------------------- ---------- --------------------- ---------- ---------- ---------- -------------- LONG POSITION 20......... 5,000 S&P 500 Index Jun-2007 $7,097,072 $7.156,000 $58,928 54......... 2,700 S&P MINI 500 Index Jun-2007 3,864,498 3,864,240 (258) ------- $58,670 =======
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AFFILIATED ISSUER: [Enlarge/Download Table] SHARES PURCHASED SHARES SOLD NUMBER OF FOR THE THREE FOR THE THREE NUMBER OF INCOME EARNED SHARES HELD MONTHS ENDED MONTHS ENDED SHARES HELD FOR THE QUARTER REALIZED GAIN SECURITY DESCRIPTION AT 12/31/06 03/31/07 03/31/07 AT 03/31/07 ENDED 03/31/07 ON SHARES SOLD -------------------- ----------- ---------------- ------------- ----------- --------------- -------------- MetLife, Inc..... 18,600 0 0 18,600 $0 $0
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PORTFOLIO OF INVESTMENTS MetLife Investment Funds, Inc. / Diversified Bond Fund / March 31, 2007 (Unaudited) Principal Amount Value --------- ---------- CORPORATE BONDS & NOTES - 34.7% AEROSPACE & DEFENSE - 0.1% $ 200,000 Boeing Co. 6.125% , 02/15/33 $ 214,812 General Dynamics Corp. 50,000 3.000% , 05/15/08 48,871 50,000 4.250% , 05/15/13 47,770 25,000 4.500% , 08/15/10 24,656 25,000 5.375% , 08/15/15 25,191 25,000 Goodrich Corp. 7.625% , 12/15/12 27,810 50,000 Lockheed Martin Corp. 7.200% , 05/01/36 58,793 150,000 Northrop Grumman Corp. 7.750% , 02/15/31 184,828 Raytheon Co. 100,000 4.850% , 01/15/11 98,904 50,000 6.400% , 12/15/18 53,981 United Technologies Corp. 150,000 4.375% , 05/01/10 147,323 120,000 5.400% , 05/01/35 113,064 50,000 7.500% , 09/15/29 60,093 ---------- 1,106,096 ---------- AIRLINES - 0.2% 284,391 American Airlines, Inc. 3.857% , 07/09/10 274,608 Continental Airlines, Inc. 45,000 5.983% , 04/19/22 44,942 311,722 6.545% , 02/02/19 324,190 1,169,123 6.648% , 09/15/17 1,212,965 165,000 6.903% , 04/19/22 165,000 Southwest Airlines Co. 50,000 5.125% , 03/01/17 46,588 ---------- 2,068,293 ---------- APPAREL & TEXTILES - 0.0% Jones Apparel Group, Inc. 25,000 4.250% , 11/15/09 24,245 25,000 5.125% , 11/15/14 23,198 25,000 6.125% , 11/15/34 21,608 100,000 Mohawk Industries, Inc. 5.750% , 01/15/11 101,392 ---------- 170,443 ---------- ASSET BACKED & MORTGAGE BACKED OBLIGATIONS - 12.2% 2,150,000 AESOP Funding II LLC 3.720% , 07/20/09 (a) 2,115,450 21,911 AFC Home Equity Loan Trust 5.620% , 06/25/30 (b) 21,950 AmeriCredit Automobile Receivables Trust 2,204,082 2.870% , 02/07/11 2,180,338 200,000 3.430% , 07/06/11 195,782 20,426 Amortizing Residential Collateral Trust 5.600% , 01/01/32 (b) 20,420 2,700,000 ARG Funding Corp. 2005-1A A3 4.290% , 04/20/11 (a) 2,646,310 Banc of America Commercial Mortgage, Inc. 225,000 4.933% , 07/10/45 218,983 2,340,000 5.889% , 07/10/44 2,425,882 270,100 Banc of America Commercial Mortgage, Inc. 2002-2 A2 4.772% , 07/11/43 267,781 500,000 Banc of America Commercial Mortgage, Inc. 2003-2 A4 5.061% , 03/11/41 495,180 2,100,000 Banc of America Commercial Mortgage, Inc. 2005-3 A4 4.668% , 07/10/43 2,011,082 210,000 Banc of America Commercial Mortgage, Inc. 2005-5 A4 5.115% , 10/10/45 206,842 1,205,000 Banc of America Commercial Mortgage, Inc. 2006-A 2A1 5.182% , 09/10/47 1,199,561 1,832,346 Banc of America Mortgage Securities, Inc. 2006 A1 5.424% , 02/25/36 (b) 1,838,301 740,440 Bay View Auto Trust 3.440% , 04/25/12 723,999 1,100,000 Bear Stearns Adjustable Rate Mortgage Trust 3.517% , 06/25/34 1,078,924 399,334 Bear Stearns Asset Backed Securities, Inc. 5.770% , 10/27/32 (b) 400,816 2,500,000 Bear Stearns Commercial Mortgage Securities 5.537% , 10/12/41 2,532,206 1,478,500 Bear Stearns Commercial Mortgage Securities 1999-WF2 A2 7.080% , 07/15/31 1,525,671 500,000 Bear Stearns Commercial Mortgage Securities 2002-TOP6 A2 6.460% , 10/15/36 526,228 500,000 Bear Stearns Commercial Mortgage Securities 2004-T14 A3 4.800% , 01/12/41 494,572 500,000 Bear Stearns Commercial Mortgage Securities 2005-PW10 A4 5.405% , 12/11/40 502,454 2,150,000 Bear Stearns Commercial Mortgage Securities 2005-PWR A4A 4.871% , 09/11/42 2,085,608 500,000 Bear Stearns Commercial Mortgage Securities 2005-PWR7 AAB 4.980% , 02/11/41 495,085 1,466,857 Bear Stearns Commercial Mortgage Securities 2005-T20 A2 5.127% , 10/12/42 1,466,487 1,000,000 Bear Stearns Commercial Mortgage Securities 2005-T20 A4A 5.156% , 10/12/42 993,245 915,000 Bear Stearns Commercial Mortgage Securities 2006-PW13 AM 5.582% , 09/11/41 926,318 225,000 Capital One Multi Asset Execution Trust 5.150% , 06/16/14 226,973 425,523 Centex Home Equity 3.235% , 02/25/32 420,738 150,000 Chase Manhattan Auto Owner Trust 5.110% , 04/15/14 150,752 1
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PORTFOLIO OF INVESTMENTS MetLife Investment Funds, Inc. / Diversified Bond Fund / March 31, 2007 (Unaudited) (continued) Principal Amount Value --------- ---------- $ 659,311 CIGNA CBO 1996-1 Ltd. 6.460% , 11/15/08 (a) $ 659,139 Citibank Credit Card Issuance Trust 100,000 2.900% , 05/17/10 97,552 500,000 4.900% , 12/12/16 492,153 150,000 Comed Transitional Funding Trust 5.740% , 12/25/10 150,855 678,284 Commercial Mortgage Acceptance Corp. 6.735% , 12/15/30 679,602 601,145 Commercial Mortgage Lease Backed Certificates 6.746% , 06/20/31 (a) 636,344 Countrywide Alternative Loan Trust 2,925,982 5.515% , 12/25/46 (b) 2,924,239 1,606,397 5.580% , 07/25/35 (b) 1,608,499 1,300,637 5.670% , 09/25/35 (b) 1,305,828 41,471 Countrywide Asset-Backed Certificates 2002-BC1 A 5.980% , 04/25/32 (b) 41,482 100,000 Countrywide Asset-Backed Certificates 2005-11 AF3 4.778% , 02/25/36 98,821 100,000 Countrywide Asset-Backed Certificates 2005-7 AF4 4.867% , 11/25/35 98,069 996,818 Countrywide Home Loan Mortgage Pass Through Trust 6.250% , 09/25/36 1,005,766 1,220,298 Countrywide Home Loans, Inc. 2005-3 1A2 5.610% , 04/25/35 (b) 1,222,359 1,640,769 Countrywide Home Loans, Inc. 2006-HYB1 1A1 5.373% , 03/20/36 1,643,844 Credit Suisse Mortgage Capital Certificates 2,275,000 5.512% , 02/15/39 2,299,524 3,000,000 5.555% , 02/15/39 3,043,042 500,000 5.828% , 06/15/38 518,588 634,448 Crimmi Mae Commercial Mortgage Trust 7.000% , 06/02/33 (a) 637,564 515,456 Crusade Global Trust 5.560% , 01/17/34 (b) 516,575 CS First Boston Mortgage Securities Corp. 500,000 4.609% , 02/15/38 493,203 150,000 5.100% , 08/15/38 149,764 550,000 5.230% , 12/15/40 - 12/15/40 544,497 3,000,000 7.545% , 04/15/62 3,160,228 1,615,000 DaimlerChrysler Auto Trust 2006 B A4 5.380% , 03/08/11 1,629,545 2,375,000 E-Trade RV and Marine Trust 3.620% , 10/08/18 2,304,882 70,670 EMC Mortgage Loan Trust 5.790% , 05/25/39 (a) (b) 70,945 1,079,184 First Union-Lehman Brothers-Bank of America 6.560% , 11/18/35 1,087,848 750,000 Ford Credit Auto Owner Trust 2005-B A4 4.380% , 01/15/10 743,324 50,793 Franklin Auto Trust 3.570% , 03/16/09 50,756 GE Capital Commercial Mortgage Corp. 415,748 5.082% , 11/10/45 415,502 2,200,000 5.334% , 11/10/45 2,208,705 380,774 5.994% , 12/10/35 386,727 350,000 6.531% , 05/15/33 366,468 GMAC Commercial Mortgage Securities, Inc. 1,000,000 4.865% , 09/25/34 984,514 52,160 5.389% , 10/15/38 52,409 1,197,385 6.700% , 05/15/30 - 04/15/34 1,223,823 94,345 Green Tree Financial Corp. 8.100% , 07/15/26 17,756 Greenwich Capital Commercial Funding Corp. 200,000 4.948% , 01/11/35 197,971 300,000 5.233% , 03/10/39 301,120 250,000 5.426% , 06/10/36 (a) 251,870 250,000 Hertz Vehicle Financing LLC 2.380% , 05/25/08 (a) 250,000 186,180 Honda Auto Receivables 2003-4 A4 2.790% , 03/16/09 185,293 146,506 Indy Mac Home Equity Loan Asset-Backed Trust 5.580% , 03/25/31 (b) 147,106 Indy Mac Index Mortgage Loan Trust 537,882 5.099% , 09/25/35 523,934 1,250,000 5.660% , 12/25/35 1,233,590 2,500,000 JP Morgan Chase & Co. 4.625% , 03/15/46 2,467,284 JP Morgan Chase Commercial Mortgage Securities Corp. 150,000 4.895% , 09/12/37 145,655 1,100,000 4.918% , 10/15/42 1,068,501 500,000 5.294% , 01/12/43 (b) 500,246 500,000 5.336% , 05/15/47 496,873 250,000 5.373% , 06/12/41 (b) 252,258 1,350,000 5.393% , 05/15/49 1,353,307 2,000,000 5.481% , 12/12/44 2,015,656 1,500,000 5.819% , 06/12/43 1,542,245 500,000 5.876% , 04/15/45 (b) 520,838 LB-UBS Commercial Mortgage Trust 255,905 0.948% , 06/15/36 (a) 8,784 250,000 5.020% , 08/15/29 246,044 1,580,000 5.347% , 11/15/38 1,576,245 500,000 5.372% , 09/15/39 499,913 201,394 5.391% , 02/15/40 202,740 1,403,921 Merrill Auto Trust Securitization 2005 1 A3 4.100% , 08/25/09 1,395,835 1,904,686 Merrill Lynch Mortgage Investors, Inc. 2006-2 2a 5.501% , 05/25/36 1,918,469 400,000 Merrill Lynch Mortgage Trust 2003-KEY1 A4 5.236% , 11/12/35 399,415 2,100,000 Merrill Lynch Mortgage Trust 2005-CIP1 A4 5.047% , 07/12/38 2,059,249 500,000 Merrill Lynch Mortgage Trust 2005-CKI1 A6 5.244% , 11/12/37 (b) 499,109 248,567 Mesa Trust Asset Backed Certificates 5.720% , 12/25/31(a) (b) 249,576 600,000 Morgan Stanley Capital I 5.328% , 11/12/41 597,744 2
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PORTFOLIO OF INVESTMENTS MetLife Investment Funds, Inc. / Diversified Bond Fund / March 31, 2007 (Unaudited) (continued) Principal Amount Value --------- ------------ $1,263,732 Morgan Stanley Capital I, Inc. 2004-IQ7 A1 4.030% , 06/15/38 $ 1,244,206 Morgan Stanley Capital I, Inc. 2005-HQ6 A4A 930,000 4.946% , 08/13/42 909,185 250,000 4.989% , 08/13/42 244,404 1,500,000 Morgan Stanley Capital I, Inc. 2005-IQ9 A5 4.700% , 07/15/56 1,443,050 150,000 Morgan Stanley Capital I, Inc. 2005-T19 AAB 4.852% , 06/12/47 147,537 150,033 Morgan Stanley Dean Witter Capital Corp. Heloc Trust 2005-1 A 5.510% , 07/25/17 (b) 150,057 Morgan Stanley Dean Witter Capital I 150,000 4.050% , 01/13/41 146,226 2,972,177 7.200% , 10/15/33 3,113,364 446,841 Nationslink Funding Corp. 6.867% , 01/22/26 461,837 1,855,000 Navistar Financial Corp. Owner Trust 3.530% , 10/15/12 1,810,234 525,000 Nomura Asset Securities Corp. 6.690% , 03/15/30 551,067 4,582,757 Oakwood Mortgage Investors, Inc. 6.000% , 05/15/08-08/15/10 375,595 958,628 Onyx Acceptance Grantor Trust 2.940% , 12/15/10 946,821 350,000 PNC Mortgage Acceptance Corp. 6.360% , 03/12/34 364,249 Prime Mortgage Trust 961,866 5.500% , 05/25/35 (a) 958,095 3,366,501 6.000% , 05/25/35 (a) 3,364,839 2,459,979 7.397% , 10/25/32 2,528,454 479,427 Provident Bank Home Equity Loan Trust 5.590% , 08/25/31 (b) 479,422 550,000 Providian Gateway Master Trust 3.650% , 11/15/11 (a) 544,586 500,000 Renaissance Home Equity Loan Trust 6.066% , 02/25/36 507,807 Residential Asset Mortgage Products, Inc. 124,301 4.546% , 10/25/32 124,923 130,360 6.553% , 03/25/33 130,549 87,313 Residential Asset Securities Corp. 5.920% , 04/25/33 (b) 87,333 15,651 Sail Net Interest Margin Notes 7.750% , 04/27/33 (a) 6,466 2,104,196 Susquehanna Auto Lease Trust 2005-1 A3 4.430% , 06/16/08 (a) 2,094,175 197,213 UCFC Home Equity Loan 6.905% , 04/15/30 196,768 627,621 Wachovia Asset Securitization, Inc. 5.690% , 09/27/32 (b) 628,691 Wachovia Bank Commercial Mortgage Trust 150,000 4.748% , 02/15/41 145,353 250,000 5.242% , 12/15/44 250,890 225,000 5.417% , 01/15/45 226,845 500,000 5.572% , 10/15/48 506,749 600,000 5.765% , 07/15/45 616,076 843,288 Washington Mutual, Inc. 2005-AR6 2A1A 5.550% , 04/25/45 (b) 845,096 1,611,998 Washington Mutual, Inc. 2006-AR10 1A1 5.957% , 09/25/36 1,632,608 1,815,301 Wells Fargo Mortgage Backed Securities Trust 2006-AR5 2A1 5.532% , 04/25/36 (b) 1,822,912 ------------ 118,678,018 ------------ AUTOMOTIVE - 0.3% DaimlerChrysler NA Holding Corp. 200,000 4.875% , 06/15/10 197,970 330,000 5.875% , 03/15/11 336,324 160,000 6.500% , 11/15/13 # 168,507 190,000 7.200% , 09/01/09 198,328 90,000 7.300% , 01/15/12 97,149 350,000 7.750% , 01/18/11 378,845 350,000 Ford Motor Co. 7.450% , 07/16/31 # 270,813 1,080,000 General Motors Corp. 8.375% , 07/15/33 # 969,300 100,000 Johnson Controls, Inc. 5.500% , 01/15/16 99,032 ------------ 2,716,268 ------------ BANKING - 2.4% 100,000 Abbey National Capital Trust I 8.963% , 12/29/49 133,445 50,000 ABN Amro Bank NV 4.650% , 06/04/18 46,543 African Development Bank 100,000 3.250% , 08/01/08 98,105 25,000 3.750% , 01/15/10 24,310 50,000 4.875% , 11/06/09 50,057 30,000 American Express Centurion Bank 4.375% , 07/30/09 29,631 Asian Development Bank 100,000 4.125% , 09/15/10 98,066 350,000 4.250% , 10/20/14 334,022 25,000 Banco Bradesco SA 8.750% , 10/24/13 28,750 Bank of America Corp. 50,000 3.375% , 02/17/09 48,533 500,000 4.750% , 08/15/13 485,567 100,000 5.125% , 11/15/14 98,521 25,000 5.375% , 06/15/14 25,004 1,400,000 5.420% , 03/15/17 (a) 1,385,464 100,000 5.625% , 10/14/16 101,334 200,000 6.800% , 03/15/28 219,433 50,000 Bank of America Corp. Capital Trust VI 5.625% , 03/08/35 46,453 70,000 Bank of Tokyo-Mitsubishi Ltd. 8.400% , 04/15/10 76,084 300,000 Bank One Corp. 7.875% , 08/01/10 324,658 25,000 Banque Centrale de Tunisie 7.375% , 04/25/12 27,125 BB&T Corp. 50,000 4.750% , 10/01/12 48,869 100,000 5.250% , 11/01/19 96,854 China Development Bank 25,000 4.750% , 10/08/14 24,202 100,000 5.000% , 10/15/15 98,162 3
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PORTFOLIO OF INVESTMENTS MetLife Investment Funds, Inc. / Diversified Bond Fund / March 31, 2007 (Unaudited) (continued) Principal Amount Value --------- ---------- $ 350,000 Citigroup, Inc. 6.500% , 01/18/11 $ 366,165 50,000 Comerica Capital Trust II 6.576% , 02/20/37 48,422 50,000 Corporacion Andina de Fomento 6.875% , 03/15/12 53,232 50,000 Deutsche Bank Financial, Inc. 7.500% , 04/25/09 52,215 Development Bank of Japan 100,000 4.250% , 06/09/15 94,366 50,000 5.125% , 02/01/17 50,207 European Investment Bank 100,000 4.000% , 03/03/10 98,018 200,000 4.625% , 10/20/15 195,511 150,000 4.875% , 02/15/36 141,232 100,000 Export Development Canada 4.625% , 04/01/10 99,663 Export-Import Bank of Korea 50,000 4.625% , 03/16/10 49,305 50,000 5.125% , 03/16/15 48,930 Fifth Third Bancorp 100,000 4.200% , 02/23/10 97,823 25,000 4.500% , 06/01/18 22,642 200,000 First Union Institutional Capital I 8.040% , 12/01/26 208,212 Glitnir Banki HF 460,000 6.330% , 07/28/11 (a) 477,325 650,000 6.693% , 06/15/16 (a) (b) 681,394 250,000 HSBC Bank PLC 6.950% , 03/15/11 265,529 HSBC Bank USA NA 275,000 3.875% , 09/15/09 266,935 200,000 5.875% , 11/01/34 195,584 200,000 HSBC Capital Funding LP 4.610% , 12/29/49 (a) (b) 190,803 50,000 HSBC Holdings PLC 5.250% , 12/12/12 50,132 25,000 Huntington National Bank 4.375% , 01/15/10 24,409 Inter-American Development Bank 150,000 4.250% , 09/14/15 143,078 50,000 4.375% , 09/20/12 49,119 100,000 4.500% , 09/15/14 97,684 600,000 7.375% , 01/15/10 639,683 50,000 International Bank for Reconstruction & Development 4.750% , 02/15/35 46,169 100,000 Japan Bank for International Cooperation 4.750% , 05/25/11 99,357 50,000 KeyBank National Association 5.800% , 07/01/14 51,063 200,000 Keycorp Capital VII 5.700% , 06/15/35 184,961 50,000 KFW - Bankengruppe 3.875% , 06/30/09 48,908 Korea Development Bank 100,000 4.750% , 07/20/09 99,099 75,000 5.500% , 11/13/12 76,009 50,000 5.750% , 09/10/13 51,351 200,000 Kreditanstalt fuer Wiederaufbau 2.628% , 04/18/36 (c) 43,526 300,000 Landesbank Baden-Wuerttemberg/New York 6.350% , 04/01/12 316,317 1,040,000 Landsbanki Islands HF 6.100% , 08/25/11 (a) 1,067,281 Landwirtschaftliche Rentenbank 150,000 3.625% , 10/20/09 145,575 250,000 4.125% , 07/15/08 246,975 100,000 4.875% , 11/16/15 99,335 100,000 5.000% , 11/08/16 100,146 1,250,000 Lloyds TSB Group PLC ADR 6.267% , 12/31/49 (a) (b) 1,228,456 Marshall & Ilsley Bank 50,000 4.375% , 08/01/09 49,369 150,000 5.000% , 01/17/17 144,475 25,000 5.250% , 09/04/12 25,083 100,000 Marshall & Ilsley Corp. 5.350% , 04/01/11 100,605 200,000 Mellon Bank NA 4.750% , 12/15/14 192,867 750,000 Mizuho Financial Group Cayman Ltd. 5.790% , 04/15/14 (a) 764,137 50,000 National City Bank 4.250% , 07/01/18 44,662 Nordic Investment Bank 100,000 3.875% , 06/15/10 97,459 200,000 4.875% , 03/15/11 199,935 50,000 Oesterreichische Kontrollbank AG 4.500% , 03/09/15 48,474 830,000 Oversea-Chinese Banking Corp. 7.750% , 09/06/11 (a) 914,362 25,000 PNC Bank NA 5.250% , 01/15/17 24,478 25,000 Popular North America Capital Trust I 6.564% , 09/15/34 24,757 Popular North America, Inc. 100,000 3.875% , 10/01/08 98,028 25,000 4.700% , 06/30/09 24,680 Rabobank Capital Funding Trust 280,000 5.254% , 12/29/49 (a) 269,893 40,000 5.260% , 12/31/49 (a) 38,918 RBS Capital Trust I 25,000 5.512% , 09/29/49 24,597 100,000 6.425% , 12/29/49 101,322 30,000 Regions Financial Corp. 6.375% , 05/15/12 31,531 30,000 Royal Bank of Canada 3.875% , 05/04/09 29,337 Royal Bank of Scotland Group PLC 10,000 4.700% , 07/03/18 9,350 100,000 5.000% , 11/12/13 - 10/01/14 97,882 750,000 RSHB Capital SA for Russian Agricultural Bank 7.175% , 05/16/13 788,392 100,000 Santander Central Hispano Issuances 7.625% , 09/14/10 108,470 600,000 Shinsei Finance Cayman Ltd. 6.418% , 01/29/49 (a) 606,053 25,000 SouthTrust Corp. 5.800% , 06/15/14 25,566 50,000 Sumitomo Mitsui Banking Corp. 8.000% , 06/15/12 55,940 SunTrust Banks, Inc. 25,000 4.000% , 10/15/08 24,556 50,000 5.450% , 12/01/17 49,792 820,000 SunTrust Capital VIII 6.100% , 12/01/66 768,124 4
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PORTFOLIO OF INVESTMENTS MetLife Investment Funds, Inc. / Diversified Bond Fund / March 31, 2007 (Unaudited) (continued) Principal Amount Value --------- ----------- $ 400,000 Swiss Bank Corp. NY 7.500% , 07/15/25 $ 472,299 125,000 UFJ Bank Ltd. 7.400% , 06/15/11 135,569 25,000 Union Planters Corp. 4.375% , 12/01/10 24,463 25,000 UnionBancal Corp. 5.250% , 12/16/13 24,757 US Bancorp 710,000 3.125% , 03/15/08 695,969 50,000 5.300% , 04/28/09 50,329 US Bank National Association 10,000 3.750% , 02/06/09 9,772 100,000 4.950% , 10/30/14 97,612 50,000 6.300% , 02/04/14 52,795 775,000 VTB Capital SA 6.250% , 06/30/35 (a) 801,156 Wachovia Bank National Association 50,000 5.000% , 08/15/15 48,501 50,000 5.600% , 03/15/16 50,348 410,000 Wachovia Capital Trust III 5.800% , 08/29/49 414,890 Wachovia Corp. 350,000 3.500% , 08/15/08 341,863 40,000 3.625% , 02/17/09 38,960 30,000 4.875% , 02/15/14 29,083 50,000 5.250% , 08/01/14 49,417 50,000 5.350% , 03/15/11 50,587 50,000 7.500% , 04/15/35 60,419 Wells Fargo & Co. 250,000 4.200% , 01/15/10 244,588 15,000 4.625% , 04/15/14 14,316 250,000 4.875% , 01/12/11 248,607 100,000 5.125% , 09/15/16 98,254 100,000 6.450% , 02/01/11 104,726 200,000 Wells Fargo Capital X 5.950% , 12/15/36 192,681 200,000 Yell Finance BV 4.125% , 10/15/14 190,841 Zions Bancorp. 25,000 5.650% , 05/15/14 25,061 25,000 6.000% , 09/15/15 25,463 ----------- 22,937,758 ----------- BIOTECHNOLOGY - 0.0% 100,000 Amgen, Inc. 4.850% , 11/18/14 96,825 Genentech, Inc. 50,000 4.400% , 07/15/10 49,055 100,000 4.750% , 07/15/15 96,150 ----------- 242,030 ----------- BUILDING & CONSTRUCTION - 0.2% 100,000 Centex Corp. 5.125% , 10/01/13 93,866 200,000 CRH America, Inc. 5.300% , 10/15/13 195,867 D.R. Horton, Inc. 100,000 5.375% , 06/15/12 96,200 100,000 6.000% , 04/15/11 99,504 730,000 6.875% , 05/01/13 745,512 Lafarge SA 25,000 6.150% , 07/15/11 25,784 50,000 6.500% , 07/15/16 52,296 Lennar Corp. 25,000 5.500% , 09/01/14 23,943 25,000 5.950% , 10/17/11 24,961 Masco Corp. 100,000 4.800% , 06/15/15 91,814 50,000 5.875% , 07/15/12 50,652 50,000 MDC Holdings, Inc. 5.375% , 12/15/14 46,844 Owens Corning, Inc. 25,000 6.500% , 12/01/16 (a) 25,535 25,000 7.000% , 12/01/36 (a) 24,933 Pulte Homes, Inc. 30,000 4.875% , 07/15/09 29,562 50,000 5.200% , 02/15/15 46,196 25,000 6.375% , 05/15/33 23,234 530,000 7.875% , 08/01/11 - 06/15/32 568,941 ----------- 2,265,644 ----------- BUSINESS SERVICES & SUPPLIES - 0.0% Pitney Bowes, Inc. 50,000 4.625% , 10/01/12 48,875 25,000 4.750% , 05/15/18 23,102 25,000 4.875% , 08/15/14 24,108 ----------- 96,085 ----------- CHEMICALS - 0.3% 920,000 Agrium, Inc. 7.125% , 05/23/36 972,023 840,000 Cytec Industries, Inc. 5.500% , 10/01/10 843,162 200,000 Dow Chemical Co. 6.125% , 02/01/11 205,510 E.I. Du Pont de Nemours & Co. 30,000 4.875% , 04/30/14 29,265 50,000 5.600% , 12/15/36 47,636 125,000 FMC Corp. 7.750% , 07/01/11 133,598 50,000 Lubrizol Corp. 5.500% , 10/01/14 48,934 75,000 Rohm and Haas Co. 7.850% , 07/15/29 88,606 ----------- 2,368,734 ----------- COMMERCIAL SERVICES - 0.0% R.R. Donnelley & Sons Co. 150,000 5.500% , 05/15/15 144,667 20,000 5.625% , 01/15/12 20,152 50,000 6.125% , 01/15/17 50,194 ----------- 215,013 ----------- COMPUTERS & INFORMATION - 0.3% Electronic Data Systems Corp. 75,000 6.500% , 08/01/13 76,624 1,695,000 7.125% , 10/15/09 1,767,507 650,000 7.450% , 10/15/29 708,656 International Business Machines Corp. 30,000 4.375% , 06/01/09 29,661 100,000 6.220% , 08/01/27 105,211 200,000 7.500% , 06/15/13 224,840 ----------- 2,912,499 ----------- CONTAINERS & PACKAGING - 0.1% Pactiv Corp. 25,000 7.950% , 12/15/25 27,867 200,000 8.375% , 04/15/27 228,792 5
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PORTFOLIO OF INVESTMENTS MetLife Investment Funds, Inc. / Diversified Bond Fund / March 31, 2007 (Unaudited) (continued) Principal Amount Value --------- ---------- $ 600,000 Sealed Air Corp. 5.375% , 04/15/08 (a) $ 597,119 ---------- 853,778 ---------- COSMETICS & PERSONAL CARE - 0.1% Avon Products, Inc. 20,000 4.200% , 07/15/18 17,497 150,000 5.125% , 01/15/11 149,729 Gillette Co. 50,000 2.500% , 06/01/08 48,507 10,000 3.800% , 09/15/09 9,739 Procter & Gamble Co. 30,000 4.950% , 08/15/14 29,491 25,000 5.800% , 08/15/34 25,308 200,000 6.875% , 09/15/09 208,941 ---------- 489,212 ---------- DIVERSIFIED FINANCIAL SERVICES - 5.3% 400,000 AIFUL Corp. 5.000% , 08/10/10 (a) 394,060 540,166 Air 2 US 8.027% , 10/01/19 (a) 567,175 38,000 Alamosa Delaware, Inc. 11.000% , 07/31/10 40,614 50,000 Allied Capital Corp. 6.625% , 07/15/11 51,094 30,000 Allstate Life Global Funding Trust I 4.500% , 05/29/09 29,684 American Express Co. 50,000 4.750% , 06/17/09 49,759 150,000 6.800% , 09/01/66 (b) 159,741 American Express Credit Corp. 100,000 3.000% , 05/16/08 97,648 100,000 5.000% , 12/02/10 99,968 American General Finance Corp. 125,000 2.750% , 06/15/08 121,504 100,000 3.875% , 10/01/09 97,062 1,340,000 5.400% , 12/01/15 1,333,139 420,000 American Intl Group, Inc. Jr Sub Deb Ser A1 6.250% , 03/15/37 408,794 100,000 Banque Paribas-NY 6.875% , 03/01/09 103,350 Bear Stearns Cos., Inc. 25,000 2.875% , 07/02/08 24,304 75,000 4.500% , 10/28/10 73,357 10,000 4.650% , 07/02/18 9,085 800,000 5.550% , 01/22/17 784,654 50,000 5.700% , 11/15/14 50,442 Boeing Capital Corp. 200,000 4.750% , 08/25/08 199,019 65,000 5.800% , 01/15/13 67,103 70,000 6.500% , 02/15/12 # 74,380 Bunge Ltd. Finance Corp. 100,000 5.100% , 07/15/15 93,969 15,000 5.875% , 05/15/13 14,958 Canada Mortgage & Housing Corp. 75,000 3.875% , 04/01/10 73,069 50,000 5.000% , 09/01/11 50,314 Capital One Bank 50,000 4.875% , 05/15/08 49,813 25,000 5.000% , 06/15/09 24,912 10,000 5.125% , 02/15/14 9,786 25,000 6.500% , 06/13/13 26,160 50,000 Capital One Capital IV 6.745% , 02/17/37 47,903 Capital One Financial Corp. 50,000 5.250% , 02/21/17 47,704 60,000 5.700% , 09/15/11 60,608 25,000 6.250% , 11/15/13 25,866 Caterpillar Financial Services Corp. 100,000 2.700% , 07/15/08 96,914 10,000 3.700% , 08/15/08 9,796 100,000 4.300% , 06/01/10 97,812 CIT Group, Inc. 50,000 3.875% , 11/03/08 48,998 20,000 4.125% , 11/03/09 19,528 100,000 4.250% , 02/01/10 97,780 100,000 4.750% , 08/15/08 99,350 75,000 5.125% , 09/30/14 72,664 100,000 6.000% , 04/01/36 96,930 45,000 6.100% , 03/15/67 43,376 Citigroup, Inc. 1,060,000 5.000% , 09/15/14 1,034,836 150,000 5.125% , 02/14/11 150,224 500,000 5.850% , 08/02/16 515,003 750,000 Countrywide Financial Corp. 6.250% , 05/15/16 # 756,018 100,000 Countrywide Home Loans, Inc. 4.125% , 09/15/09 97,254 Credit Suisse First Boston USA, Inc. 100,000 4.700% , 06/01/09 99,341 200,000 4.875% , 08/15/10 - 01/15/15 196,551 100,000 5.125% , 08/15/15 98,251 150,000 6.125% , 11/15/11 155,619 100,000 7.125% , 07/15/32 116,666 150,000 Credit Suisse USA, Inc. 5.250% , 03/02/11 150,729 Eksportfinans A/S 30,000 4.375% , 07/15/09 29,620 150,000 4.750% , 12/15/08 149,811 690,000 5.500% , 05/25/16 712,974 1,210,000 Farmers Exchange Capital 7.050% , 07/15/28 (a) 1,240,556 Financing Corp. FICO 800,000 4.437% , 11/30/17 (c) 467,856 400,000 8.600% , 09/26/19 526,588 140,000 9.650% , 11/02/18 195,195 630,000 Ford Motor Bank Term Loan B 8.360% , 12/15/13 631,575 Ford Motor Credit Co. 1,260,000 6.625% , 06/16/08 1,256,025 1,030,000 7.250% , 10/25/11 1,001,060 5,300,000 7.375% , 10/28/09 - 02/01/11 5,268,900 755,000 7.875% , 06/15/10 757,808 20,000 Franklin Resources, Inc. 3.700% , 04/15/08 19,662 15,000 Fund American Cos., Inc. 5.875% , 05/15/13 15,004 General Electric Capital Corp. 50,000 3.125% , 04/01/09 48,226 50,000 3.500% , 05/01/08 49,137 100,000 4.250% , 06/15/12 96,011 650,000 4.375% , 11/21/11 - 03/03/12 630,529 250,000 5.000% , 11/15/11 249,263 325,000 5.450% , 01/15/13 329,179 150,000 6.750% , 03/15/32 169,955 500,000 7.375% , 01/19/10 530,067 General Motors Acceptance Corp. 1,005,000 5.625% , 05/15/09 986,765 730,000 6.125% , 08/28/07 729,566 915,000 6.875% , 09/15/11 915,887 450,000 7.750% , 01/19/10 461,889 6
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PORTFOLIO OF INVESTMENTS MetLife Investment Funds, Inc. / Diversified Bond Fund / March 31, 2007 (Unaudited) (continued) Principal Amount Value --------- ---------- $ 50,000 Genworth Global Funding 5.750% , 05/15/13 $ 51,208 80,000 Goldman Sachs Capital I 6.345% , 02/15/34 79,027 Goldman Sachs Group, Inc. 50,000 4.750% , 07/15/13 48,190 100,000 5.000% , 10/01/14 96,726 250,000 5.150% , 01/15/14 244,918 250,000 5.250% , 04/01/13 248,345 250,000 5.625% , 01/15/17 247,625 50,000 5.950% , 01/15/27 48,516 150,000 6.125% , 02/15/33 149,912 1,190,000 6.450% , 05/01/36 1,208,798 400,000 6.875% , 01/15/11 422,883 Household Finance Corp. 430,000 6.375% , 11/27/12 451,282 30,000 6.400% , 06/17/08 30,388 20,000 7.000% , 05/15/12 21,463 100,000 HSBC Finance Capital Trust IX 5.911% , 11/30/35 99,264 200,000 ILFC E-Capital Trust II 6.250% , 12/21/65 # (a) (b) 204,694 50,000 International Finance Corp. 5.125% , 05/02/11 50,536 International Lease Finance Corp. 50,000 3.750% , 06/30/09 49,005 100,000 4.750% , 01/13/12 98,184 50,000 5.400% , 02/15/12 50,635 100,000 5.450% , 03/24/11 101,261 250,000 6.375% , 03/15/09 # 255,944 100,000 Japan Finance Corp. for Municipal Enterprises 4.625% , 04/21/15 97,267 Jefferies Group, Inc. 25,000 5.500% , 03/15/16 24,464 100,000 6.250% , 01/15/36 96,500 John Deere Capital Corp. 470,000 5.100% , 01/15/13 # 467,736 100,000 5.400% , 04/07/10 100,998 100,000 7.000% , 03/15/12 108,086 JP Morgan Chase & Co. 500,000 3.789% , 04/15/27 - 07/01/27 (c) 106,464 20,000 3.625% , 05/01/08 19,670 20,000 3.800% , 10/02/09 19,408 100,000 4.750% , 03/01/15 96,514 100,000 5.125% , 09/15/14 98,434 1,190,000 5.150% , 10/01/15 1,163,613 30,000 5.250% , 05/01/15 29,707 300,000 6.000% , 01/15/09 304,042 865,000 6.625% , 03/15/12 916,986 300,000 6.750% , 02/01/11 315,482 100,000 JP Morgan Chase Capital XVII 5.850% , 08/01/35 94,444 130,000 Kaupthing Bank HF 5.750% , 10/04/11 (a) 131,079 Lehman Brothers Holdings, Inc. 150,000 3.500% , 08/07/08 146,568 550,000 5.250% , 02/06/12 549,496 100,000 5.500% , 04/04/16 99,436 50,000 5.750% , 05/17/13 51,081 1,468,668 Lilacs Repackaging Co. 5.138% , 04/15/15 (a) 1,438,311 MBNA America Bank 30,000 4.625% , 08/03/09 29,708 30,000 7.125% , 11/15/12 32,715 MBNA Corp. 100,000 6.125% , 03/01/13 104,153 15,000 7.500% , 03/15/12 16,509 Merrill Lynch & Co., Inc. 190,000 3.125% , 07/15/08 185,029 295,000 3.375% , 09/14/07 292,363 300,000 3.700% , 04/21/08 295,240 100,000 4.125% , 09/10/09 98,065 100,000 4.831% , 10/27/08 99,450 50,000 5.000% , 02/03/14 48,795 100,000 6.000% , 02/17/09 101,491 930,000 6.110% , 01/29/37 901,602 100,000 6.220% , 09/15/26 100,228 160,000 6.375% , 10/15/08 162,992 300,000 6.875% , 11/15/18 328,777 Morgan Stanley 350,000 4.000% , 01/15/10 340,180 1,715,000 4.750% , 04/01/14 1,628,885 250,000 5.050% , 01/21/11 248,847 400,000 5.300% , 03/01/13 399,498 220,000 5.810% , 10/18/16 (b) 220,355 25,000 6.600% , 04/01/12 26,460 25,000 7.250% , 04/01/32 28,628 310,000 MUFG Capital Finance 1 Ltd. 6.346% , 07/29/49 316,653 National Rural Utilities Cooperative Finance 10,000 4.375% , 10/01/10 9,768 10,000 4.750% , 03/01/14 9,685 30,000 7.250% , 03/01/12 32,688 70,000 8.000% , 03/01/32 89,153 50,000 ORIX Corp. 5.480% , 11/22/11 50,201 Residential Capital Corp. 2,040,000 6.000% , 02/22/11 2,012,295 680,000 6.125% , 11/21/08 679,653 100,000 6.375% , 06/30/10 99,973 100,000 6.875% , 06/30/15 100,892 465,000 Resona Preferred Global Services 7.191% , 12/29/49 (a) 491,164 25,000 Rio Tinto Finance USA Ltd. 2.625% , 09/30/08 24,099 1,100,000 SB Treasury Co. LLC 9.400% , 12/29/49 (a) (b) 1,151,102 SLM Corp. 850,000 3.225% , 04/01/09 (b) 819,417 150,000 4.500% , 07/26/10 147,001 200,000 5.375% , 05/15/14 199,998 100,000 5.450% , 04/25/11 101,208 100,000 Swedish Export Credit Corp. 4.125% , 10/15/08 99,037 80,000 Textron Financial Corp. 6.000% , 11/20/09 81,852 Toyota Motor Credit Corp. 50,000 5.450% , 05/18/11 51,075 25,000 5.500% , 12/15/08 25,107 1,600,000 UFJ Finance Aruba AEC 6.750% , 07/15/13 1,723,493 50,000 Unilever Capital Corp. 5.900% , 11/15/32 48,576 Western Union Co. 75,000 5.930% , 10/01/16 75,161 7
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PORTFOLIO OF INVESTMENTS MetLife Investment Funds, Inc. / Diversified Bond Fund / March 31, 2007 (Unaudited) (continued) Principal Amount Value --------- ----------- $ 50,000 6.200% , 11/17/36 (a) $ 47,470 ----------- 51,795,027 ----------- EDUCATION - 0.0% 50,000 President & Fellows of Harvard 6.300% , 10/01/37 52,594 ----------- ELECTRICAL EQUIPMENT - 0.0% 125,000 Emerson Electric Co. 4.500% , 05/01/13 120,895 ----------- ELECTRONICS - 0.1% 440,000 Avnet, Inc. 6.625% , 09/15/16 454,151 ----------- ENVIRONMENTAL SERVICES - 0.1% 25,000 Republic Services, Inc. 6.750% , 08/15/11 26,305 Waste Management, Inc. 10,000 5.000% , 03/15/14 9,632 370,000 6.500% , 11/15/08 376,652 690,000 7.000% , 07/15/28 734,334 100,000 7.375% , 08/01/10 106,383 75,000 7.750% , 05/15/32 86,831 ----------- 1,340,137 ----------- FOOD, BEVERAGE & TOBACCO - 0.9% Altria Group, Inc. 25,000 5.625% , 11/04/08 25,149 1,440,000 7.000% , 11/04/13 1,563,813 Anheuser-Busch Cos., Inc. 50,000 5.600% , 03/01/17 50,334 100,000 6.500% , 02/01/43 104,433 100,000 9.000% , 12/01/09 109,193 150,000 Archer-Daniels-Midland 7.500% , 03/15/27 177,326 100,000 Bottling Group LLC 4.625% , 11/15/12 97,606 75,000 Brown-Forman Corp. 5.200% , 04/01/12 74,707 75,000 Campbell Soup Co. 5.000% , 12/03/12 74,231 675,000 Cia Brasileira de Bebidas 8.750% , 09/15/13 783,000 25,000 Coca Cola HBC Finance BV 5.500% , 09/17/15 24,966 Coca-Cola Enterprises, Inc. 25,000 4.250% , 09/15/10 24,338 300,000 8.500% , 02/01/22 380,128 275,000 ConAgra Foods, Inc. 6.750% , 09/15/11 290,493 30,000 Coors Brewing Co. 6.375% , 05/15/12 31,235 50,000 Diageo Capital PLC 4.375% , 05/03/10 49,018 Diageo Finance BV 15,000 3.875% , 04/01/11 14,307 150,000 5.300% , 10/28/15 147,532 50,000 General Mills, Inc. 6.000% , 02/15/12 51,718 50,000 Hershey Co. 5.450% , 09/01/16 50,180 700,000 JBS SA 10.500% , 08/04/16 (a) 796,250 400,000 Kellogg Co. 6.600% , 04/01/11 420,391 Kraft Foods, Inc. 25,000 4.000% , 10/01/08 24,537 25,000 5.250% , 10/01/13 24,635 150,000 5.625% , 11/01/11 151,829 440,000 6.250% , 06/01/12 457,206 Kroger Co. 200,000 6.750% , 04/15/12 211,661 100,000 6.800% , 12/15/18 104,927 50,000 PepsiAmericas, Inc. 4.875% , 01/15/15 48,112 1,170,000 Reynolds American, Inc. 7.875% , 05/15/09 1,225,754 1,020,000 SABMiller PLC 6.500% , 07/01/16 (a) 1,077,881 Safeway, Inc. 50,000 4.950% , 08/16/10 49,407 50,000 7.250% , 02/01/31 53,120 Sara Lee Corp. 25,000 6.125% , 11/01/32 23,107 50,000 6.250% , 09/15/11 51,603 50,000 WM Wrigley, Jr. Co. 4.650% , 07/15/15 47,808 ----------- 8,891,935 ----------- FOREST PRODUCTS & PAPER - 0.1% 100,000 Celulosa Arauco y Constitucion SA 5.625% , 04/20/15 98,381 International Paper Co. 125,000 4.250% , 01/15/09 122,676 100,000 5.250% , 04/01/16 94,779 25,000 5.850% , 10/30/12 25,378 50,000 MeadWestvaco Corp. 6.850% , 04/01/12 52,490 20,000 Stora Enso Oyj 7.375% , 05/15/11 21,409 Temple-Inland, Inc. 600,000 6.625% , 01/15/18 630,754 25,000 7.875% , 05/01/12 27,124 Weyerhaeuser Co. 129,000 5.950% , 11/01/08 130,128 50,000 6.750% , 03/15/12 52,521 130,000 7.375% , 03/15/32 136,185 ----------- 1,391,825 ----------- HEALTH CARE - 0.2% 25,000 Anthem, Inc. 6.800% , 08/01/12 26,653 100,000 Baxter FinCo BV 4.750% , 10/15/10 98,773 Boston Scientific Corp. 25,000 4.250% , 01/12/11 23,868 25,000 5.125% , 01/12/17 22,844 25,000 5.450% , 06/15/14 24,033 878,000 HCA, Inc. 5.750% , 03/15/14 749,592 25,000 Hillenbrand Industries, Inc. 4.500% , 06/15/09 24,628 100,000 Johnson & Johnson 4.950% , 05/15/33 93,336 100,000 Quest Diagnostics, Inc. 5.450% , 11/01/15 95,833 258,000 Tenet Healthcare Corp. 7.375% , 02/01/13 # 239,618 UnitedHealth Group, Inc. 10,000 3.750% , 02/10/09 9,741 50,000 4.125% , 08/15/09 49,001 8
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PORTFOLIO OF INVESTMENTS MetLife Investment Funds, Inc. / Diversified Bond Fund / March 31, 2007 (Unaudited) (continued) Principal Amount Value --------- ---------- $ 10,000 4.750% , 02/10/14 $ 9,658 30,000 4.875% , 04/01/13 29,442 50,000 5.000% , 08/15/14 48,917 150,000 5.250% , 03/15/11 150,582 100,000 5.800% , 03/15/36 96,336 WellPoint, Inc. 175,000 5.000% , 01/15/11 - 12/15/14 172,275 100,000 5.850% , 01/15/36 96,618 50,000 5.950% , 12/15/34 49,063 ---------- 2,110,811 ---------- HOLDING COMPANIES-DIVERSIFIED - 0.1% 25,000 Canadian Pacific Ltd. 9.450% , 08/01/21 33,731 50,000 EnCana Holdings Finance Corp. 5.800% , 05/01/14 50,984 760,000 Hutchison Whampoa International 5.450% , 11/24/10 (a) 765,722 ---------- 850,437 ---------- HOTELS & RESTAURANTS - 0.1% 315,000 Harrah's Operating Co., Inc. 6.500% , 06/01/16 279,071 460,000 Wyndham Worldwide Corp. 6.000% , 12/01/16 (a) 459,959 ---------- 739,030 ---------- HOUSEHOLD PRODUCTS - 0.0% 45,000 Clorox Co. 5.000% , 01/15/15 43,615 Fortune Brands, Inc. 25,000 4.875% , 12/01/13 23,935 100,000 5.125% , 01/15/11 99,110 45,000 Kimberly-Clark Corp. 5.625% , 02/15/12 46,120 25,000 Newell Rubbermaid, Inc. 6.750% , 03/15/12 26,381 ---------- 239,161 ---------- INDUSTRIAL MACHINERY - 0.0% 15,000 Black & Decker Corp. 4.750% , 11/01/14 13,950 150,000 Caterpillar, Inc. 6.950% , 05/01/42 170,511 30,000 Deere & Co. 6.950% , 04/25/14 32,875 ---------- 217,336 ---------- INSURANCE - 1.3% 670,000 Ace Capital Trust II 9.700% , 04/01/30 891,324 Ace INA Holdings, Inc. 25,000 5.875% , 06/15/14 25,529 50,000 6.700% , 05/15/36 53,065 100,000 Aegon Funding Corp. 5.750% , 12/15/20 101,700 50,000 Aegon NV 4.750% , 06/01/13 48,647 910,000 Allied World Assurance Holdings Ltd. 7.500% , 08/01/16 981,092 Allstate Corp. 50,000 5.000% , 08/15/14 48,869 75,000 5.350% , 06/01/33 68,844 35,000 American International Group, Inc. 6.250% , 05/01/36 36,737 50,000 American Re Corp. 7.450% , 12/15/26 57,539 20,000 Arch Capital Group Ltd. 7.350% , 05/01/34 21,690 70,000 ASIF Global Financing 4.900% , 01/17/13 (a) 68,937 690,000 Axa 8.600% , 12/15/30 879,709 Berkshire Hathaway Finance Corp. 50,000 3.375% , 10/15/08 48,673 100,000 4.125% , 01/15/10 97,871 75,000 5.100% , 07/15/14 74,426 50,000 Cigna Corp. 6.150% , 11/15/36 49,549 30,000 Cincinnati Financial Corp. 6.125% , 11/01/34 29,797 50,000 Commerce Group, Inc. 5.950% , 12/09/13 50,483 25,000 Endurance Specialty Holdings Ltd. 7.000% , 07/15/34 25,262 285,000 Everest Reinsurance Holdings, Inc. 5.400% , 10/15/14 280,999 Genworth Financial, Inc. 20,000 5.750% , 06/15/14 20,402 10,000 6.500% , 06/15/34 10,648 15,000 Hartford Financial Services Group, Inc. 4.625% , 07/15/13 14,443 100,000 ING Groep NV 5.775% , 12/29/49 99,487 790,000 Liberty Mutual Insurance Co. 7.697% , 10/15/97 (a) 824,970 Lincoln National Corp. 50,000 6.150% , 04/07/36 51,094 730,000 7.000% , 05/17/66 764,969 25,000 Loews Corp. 5.250% , 03/15/16 24,510 Marsh & McLennan Cos., Inc. 100,000 5.150% , 09/15/10 99,127 50,000 5.375% , 07/15/14 48,937 25,000 MBIA, Inc. 5.700% , 12/01/34 23,937 100,000 Mony Group, Inc. 8.350% , 03/15/10 108,234 Principal Life Income Funding Trust 15,000 3.200% , 04/01/09 14,467 100,000 5.125% , 03/01/11 100,277 25,000 Progressive Corp. 6.250% , 12/01/32 26,455 Protective Life Secured Trust 15,000 4.000% , 04/01/11 14,426 100,000 4.850% , 08/16/10 99,809 Prudential Financial, Inc. 20,000 3.750% , 05/01/08 19,693 25,000 4.500% , 07/15/13 24,066 120,000 5.100% , 12/14/11 - 09/20/14 118,949 50,000 5.400% , 06/13/35 46,259 100,000 5.500% , 03/15/16 100,080 10,000 5.750% , 07/15/33 9,735 20,000 Radian Group, Inc. 5.625% , 02/15/13 20,192 60,000 Safeco Corp. 4.875% , 02/01/10 59,638 St. Paul Travelers Cos., Inc. 100,000 5.500% , 12/01/15 100,353 2,500,000 6.250% , 03/15/67 2,468,992 50,000 8.125% , 04/15/10 54,445 9
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PORTFOLIO OF INVESTMENTS MetLife Investment Funds, Inc. / Diversified Bond Fund / March 31, 2007 (Unaudited) (continued) Principal Amount Value --------- ----------- $ 300,000 Symetra Financial Corp. 6.125% , 04/01/16 (a) $ 304,030 100,000 Transatlantic Holdings, Inc. 5.750% , 12/14/15 99,990 640,000 Unitrin, Inc. 4.875% , 11/01/10 629,342 1,250,000 W.R. Berkley Corp. 5.875% , 02/15/13 1,271,454 530,000 Willis North America, Inc. 6.200% , 03/28/17 531,164 XL Capital Europe PLC 50,000 5.250% , 09/15/14 48,997 50,000 6.375% , 11/15/24 51,413 690,000 6.500% , 01/15/12 722,480 ----------- 12,968,206 ----------- INTERNET SERVICES & APPLICATIONS - 0.0% 20,000 InterActiveCorp 7.000% , 01/15/13 21,072 ----------- MANUFACTURING - 0.5% 50,000 3m Co. 5.700% , 03/15/37 49,294 50,000 Dover Corp. 4.875% , 10/15/15 48,058 810,000 Eastman Kodak Co. 7.250% , 11/15/13 818,100 Honeywell International, Inc. 50,000 5.400% , 03/15/16 50,139 50,000 5.700% , 03/15/36 48,686 100,000 7.500% , 03/01/10 106,611 25,000 Textron, Inc. 4.500% , 08/01/10 24,511 Tyco International Group SA 230,000 6.000% , 11/15/13 241,774 25,000 6.125% , 01/15/09 25,452 1,280,000 6.375% , 10/15/11 1,352,662 70,000 6.750% , 02/15/11 74,610 1,400,000 6.875% , 01/15/29 1,652,416 370,000 7.000% , 06/15/28 439,439 ----------- 4,931,752 ----------- METALS & MINING - 0.4% Alcan, Inc. 40,000 4.500% , 05/15/13 37,890 25,000 4.875% , 09/15/12 24,456 50,000 5.750% , 06/01/35 46,268 Alcoa, Inc. 25,000 5.550% , 02/01/17 24,829 25,000 5.900% , 02/01/27 24,398 25,000 5.950% , 02/01/37 24,351 450,000 7.375% , 08/01/10 480,562 25,000 Barrick Gold Finance Co. 4.875% , 11/15/14 23,959 BHP Billiton Finance USA Ltd. 150,000 4.800% , 04/15/13 146,025 100,000 5.250% , 12/15/15 98,914 130,000 Codelco, Inc. 4.750% , 10/15/14 (a) 124,748 Falconbridge Ltd. 20,000 5.375% , 06/01/15 19,836 20,000 7.350% , 06/05/12 21,917 Inco Ltd. 290,000 7.200% , 09/15/32 310,548 10,000 7.750% , 05/15/12 10,995 50,000 Noranda, Inc. 5.500% , 06/15/17 (a) 49,344 30,000 Nucor Corp. 4.875% , 10/01/12 29,371 Peabody Energy Corp. 255,000 5.875% , 04/15/16 244,800 505,000 7.375% , 11/01/16 531,512 50,000 Reliance Steel & Aluminum Co. 6.200% , 11/15/16 (a) 50,248 Vale Overseas Ltd. 100,000 6.250% , 01/11/16 101,810 1,660,000 6.875% , 11/21/36 1,714,260 15,000 WMC Financial USA Ltd. 5.125% , 05/15/13 14,864 ----------- 4,155,905 ----------- MULTIMEDIA - 1.5% 1,020,000 AMFM, Inc. 8.000% , 11/01/08 1,056,842 AOL Time Warner, Inc. 200,000 6.750% , 04/15/11 210,774 270,000 7.625% , 04/15/31 303,432 685,000 7.700% , 05/01/32 776,612 1,024,000 AT&T Broadband 8.375% , 03/15/13 1,171,014 CBS Corp. 430,000 7.700% , 07/30/10 462,561 570,000 7.875% , 07/30/30 614,436 Clear Channel Communications, Inc. 190,000 4.250% , 05/15/09 184,180 410,000 6.250% , 03/15/11 408,020 150,000 7.650% , 09/15/10 158,389 Comcast Corp. 100,000 4.950% , 06/15/16 95,024 50,000 5.875% , 02/15/18 50,135 100,000 5.900% , 03/15/16 101,733 1,070,000 6.500% , 11/15/35 1,078,106 100,000 7.050% , 03/15/33 107,360 Cox Communications, Inc. 100,000 4.625% , 01/15/10 98,648 220,000 7.125% , 10/01/12 237,178 710,000 7.750% , 11/01/10 767,328 Gannett Co., Inc. 200,000 4.125% , 06/15/08 197,335 10,000 6.375% , 04/01/12 10,448 Liberty Media Corp. 40,000 3.750% , 02/15/30 24,700 710,000 7.750% , 07/15/09 743,141 540,000 7.875% , 07/15/09 566,514 25,000 News America Holdings 8.000% , 10/17/16 28,965 News America, Inc. 50,000 5.300% , 12/15/14 49,592 40,000 6.200% , 12/15/34 38,798 150,000 6.400% , 12/15/35 149,201 940,000 7.280% , 06/30/28 1,015,601 800,000 Tele-Communications-TCI Group 7.875% , 08/01/13 895,838 100,000 Thomson Corp. 5.500% , 08/15/35 90,318 390,000 Time Warner Entertainment Co. LP 8.375% , 03/15/23-07/15/33 461,341 Time Warner, Inc. 80,000 6.875% , 05/01/12 85,249 100,000 9.125% , 01/15/13 117,189 150,000 9.150% , 02/01/23 186,831 10
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PORTFOLIO OF INVESTMENTS MetLife Investment Funds, Inc. / Diversified Bond Fund / March 31, 2007 (Unaudited) (continued) Principal Amount Value --------- ----------- $ 660,000 Turner Broadcasting System, Inc. 8.375% , 07/01/13 $ 751,918 Viacom, Inc. 25,000 5.625% , 08/15/12 25,075 50,000 5.750% , 04/30/11 50,686 500,000 6.250% , 04/30/16 506,875 50,000 6.875% , 04/30/36 50,399 Walt Disney Co. 100,000 5.625% , 09/15/16 102,164 75,000 6.375% , 03/01/12 79,202 15,000 7.000% , 03/01/32 17,203 ----------- 14,126,355 ----------- OIL & GAS - 1.9% 30,000 Alberta Energy Co. Ltd. 7.375% , 11/01/31 33,794 Amerada Hess Corp. 50,000 6.650% , 08/15/11 52,655 1,110,000 7.300% , 08/15/31 1,223,541 210,000 Anadarko Finance Co. 7.500% , 05/01/31 231,809 Anadarko Petroleum Corp. 740,000 5.740% , 09/15/09 (b) 741,574 120,000 5.950% , 09/15/16 120,253 1,640,000 6.450% , 09/15/36 1,622,857 Apache Corp. 20,000 5.625% , 01/15/17 20,231 50,000 6.000% , 01/15/37 49,790 25,000 6.250% , 04/15/12 26,148 25,000 Apache Finance Canada Corp. 7.750% , 12/15/29 29,787 50,000 Boardwalk Pipelines LP 5.875% , 11/15/16 50,087 Buckeye Partners 25,000 4.625% , 07/15/13 23,675 15,000 5.300% , 10/15/14 14,630 100,000 Burlington Resources Finance Co. 7.400% , 12/01/31 118,471 Canadian Natural Resources Ltd. 25,000 4.900% , 12/01/14 23,950 340,000 5.700% , 05/15/17 338,428 50,000 5.850% , 02/01/35 46,497 Conoco Funding Co. 190,000 6.350% , 10/15/11 199,574 65,000 7.250% , 10/15/31 75,736 775,000 Conoco, Inc. 6.950% , 04/15/29 878,748 810,000 ConocoPhillips 4.750% , 10/15/12 799,538 50,000 Devon Energy Corp. 7.950% , 04/15/32 59,962 25,000 Diamond Offshore Drilling, Inc. 5.150% , 09/01/14 24,337 Duke Capital Corp. 860,000 6.250% , 02/15/13 # 880,446 50,000 6.750% , 02/15/32 50,735 50,000 Duke Energy Field Services LLC 7.875% , 08/16/10 54,015 El Paso Corp. 60,000 5.900% , 04/01/17 (a) 60,000 190,000 5.950% , 04/15/17 (a) 190,707 220,000 El Paso Natural Gas 8.375% , 06/15/32 271,050 50,000 Enbridge, Inc. 5.600% , 04/01/17 49,811 EnCana Corp. 20,000 4.600% , 08/15/09 19,722 50,000 4.750% , 10/15/13 48,044 30,000 6.500% , 08/15/34 31,131 Energy Transfer Partners LP 35,000 6.125% , 02/15/17 35,763 30,000 6.625% , 10/15/36 30,688 100,000 Enterprise Products Operating LP 6.375% , 02/01/13 104,150 900,000 Gaz Capital for Gazprom 6.212% , 11/22/16 (a) 900,450 50,000 Halliburton Co. 5.500% , 10/15/10 50,540 70,000 Kerr-McGee Corp. 6.950% , 07/01/24 73,750 Kinder Morgan Energy Partners 240,000 5.000% , 12/15/13 232,253 25,000 5.125% , 11/15/14 24,178 75,000 5.800% , 03/15/35 69,175 80,000 6.000% , 02/01/17 80,879 85,000 6.750% , 03/15/11 89,307 280,000 7.125% , 03/15/12 300,338 Kinder Morgan, Inc. 40,000 6.500% , 09/01/12 40,799 20,000 7.250% , 03/01/28 19,890 10,000 Marathon Oil Corp. 6.125% , 03/15/12 10,359 25,000 Murphy Oil Corp. 6.375% , 05/01/12 25,945 10,000 Nabors Industries, Inc. 5.375% , 08/15/12 9,896 25,000 National Fuel Gas Co. 5.250% , 03/01/13 24,778 1,570,000 National Gas Co. of Trinidad & Tobago Ltd. 6.050% , 01/15/36 (a) 1,517,768 Nexen, Inc. 50,000 5.050% , 11/20/13 48,572 50,000 5.875% , 03/10/35 46,903 100,000 Occidental Petroleum Corp. 6.750% , 01/15/12 107,183 150,000 ONEOK Partners LP 6.150% , 10/01/16 153,351 50,000 PC Financial Partnership 5.000% , 11/15/14 48,179 Pemex Project Funding Master Trust 100,000 5.750% , 12/15/15 100,200 810,000 6.625% , 06/15/35 # 834,300 100,000 7.375% , 12/15/14 110,450 100,000 8.625% , 02/01/22 124,500 Petro-Canada 25,000 4.000% , 07/15/13 22,942 50,000 5.350% , 07/15/33 43,985 600,000 Petrobras International Finance Co. 6.125% , 10/06/16 612,000 390,000 Petrozuata Finance, Inc. 8.220% , 04/01/17 (a) 391,950 50,000 Plains All American Pipeline LP 6.650% , 01/15/37 50,830 25,000 Plains All American Pipeline LP/PAA Finance Corp. 5.625% , 12/15/13 (a) 24,987 Praxair, Inc. 25,000 3.950% , 06/01/13 23,373 50,000 5.375% , 11/01/16 50,090 11
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PORTFOLIO OF INVESTMENTS MetLife Investment Funds, Inc. / Diversified Bond Fund / March 31, 2007 (Unaudited) (continued) Principal Amount Value --------- ----------- $ 40,000 6.375% , 04/01/12 $ 42,113 60,000 Sonat, Inc. 7.625% , 07/15/11 64,425 60,000 Southern Natural Gas Co. 8.000% , 03/01/32 71,270 25,000 Suncor Energy, Inc. 7.150% , 02/01/32 28,859 100,000 Sunoco, Inc. 5.750% , 01/15/17 98,733 Talisman Energy, Inc. 100,000 5.850% , 02/01/37 90,132 50,000 6.250% , 02/01/38 47,443 10,000 Tennessee Gas Pipeline Co. 8.375% , 06/15/32 12,320 TNK - BP Finance SA 190,000 6.625% , 03/20/17 (a) 188,575 470,000 7.500% , 07/18/16 495,850 25,000 Texaco Capital, Inc. 9.750% , 03/15/20 34,780 25,000 Texas Gas Transmission LLC 4.600% , 06/01/15 23,457 Trans-Canada Pipelines Ltd. 150,000 4.875% , 01/15/15 145,316 20,000 5.600% , 03/31/34 19,011 Valero Energy Corp. 100,000 6.875% , 04/15/12 106,490 85,000 7.500% , 04/15/32 96,588 100,000 Weatherford International, Inc. 4.950% , 10/15/13 96,257 100,000 Weatherford International, Ltd. 5.500% , 02/15/16 98,071 866,000 Williams Cos., Inc. 7.750% , 06/15/31 # 926,620 XTO Energy, Inc. 25,000 5.000% , 01/31/15 23,964 100,000 5.650% , 04/01/16 99,651 715,000 7.500% , 04/15/12 782,660 ----------- 18,489,019 ----------- PHARMACEUTICALS - 0.3% Abbott Laboratories 10,000 3.500% , 02/17/09 9,727 100,000 3.750% , 03/15/11 95,435 100,000 5.875% , 05/15/16 103,450 AmerisourceBergen Corp. 555,000 5.625% , 09/15/12 556,165 385,000 5.875% , 09/15/15 382,585 100,000 Bristol-Myers Squibb Co. 5.875% , 11/15/36 98,000 Cardinal Health, Inc. 10,000 4.000% , 06/15/15 8,898 780,000 5.850% , 12/15/17 778,695 50,000 6.750% , 02/15/11 52,574 20,000 GlaxoSmithKline Capital, Inc. 5.375% , 04/15/34 19,269 Hospira, Inc. 10,000 4.950% , 06/15/09 9,892 10,000 5.900% , 06/15/14 9,935 Merck & Co., Inc. 50,000 4.750% , 03/01/15 48,046 100,000 5.750% , 11/15/36 97,009 25,000 Pfizer, Inc. 4.500% , 02/15/14 24,219 Schering-Plough Corp. 40,000 5.550% , 12/01/13 40,754 130,000 6.750% , 12/01/33 144,346 100,000 Teva Pharmaceutical Finance LLC 5.550% , 02/01/16 98,148 Wyeth 150,000 5.500% , 03/15/13 - 02/01/14 151,036 500,000 5.950% , 04/01/37 492,426 100,000 6.000% , 02/15/36 99,448 ----------- 3,320,057 ----------- REAL ESTATE - 1.2% 470,000 AMB Property LP 5.450% , 12/01/10 472,551 500,000 AMB Property LP REIT 7.100% , 06/30/08 508,111 50,000 Archstone-Smith Operating Trust REIT 3.000% , 06/15/08 48,542 50,000 AvalonBay Communities, Inc. REIT 6.125% , 11/01/12 51,946 50,000 Boston Properties, Inc. REIT 6.250% , 01/15/13 52,486 Brandywine Operating Partnership LP REIT 15,000 4.500% , 11/01/09 14,708 15,000 5.400% , 11/01/14 14,835 680,000 5.750% , 04/01/12 689,992 100,000 6.000% , 04/01/16 102,226 Brookfield Asset Management, Inc. Class A 50,000 7.125% , 06/15/12 53,533 100,000 7.375% , 03/01/33 111,959 100,000 Colonial Properties Trust REIT 6.250% , 06/15/14 103,326 Colonial Realty LP 100,000 5.500% , 10/01/15 98,203 1,090,000 6.050% , 09/01/16 1,112,890 Developers Diversified Realty Corp. REIT 770,000 5.000% , 05/03/10 764,556 520,000 5.375% , 10/15/12 519,728 25,000 Duke Realty LP 5.400% , 08/15/14 24,772 ERP Operating LP 25,000 4.750% , 06/15/09 24,700 50,000 5.250% , 09/15/14 49,567 Health Care Property Investors, Inc. REIT 160,000 5.650% , 12/15/13 158,916 100,000 6.000% , 01/30/17 100,329 740,000 6.300% , 09/15/16 758,557 20,000 Health Care, Inc. REIT 6.000% , 11/15/13 20,258 15,000 Healthcare Realty Trust, Inc. REIT 5.125% , 04/01/14 14,424 50,000 Hospitality Properties Trust REIT 5.625% , 03/15/17 49,242 20,000 HRPT Properties Trust REIT 6.250% , 08/15/16 20,782 iStar Financial, Inc. REIT 20,000 4.875% , 01/15/09 19,848 50,000 5.650% , 09/15/11 50,361 50,000 5.875% , 03/15/16 49,638 20,000 6.000% , 12/15/10 20,426 950,000 Kimco Realty Corp. REIT 5.584% , 11/23/15 954,427 960,000 Liberty Property-LP REIT 8.500% , 08/01/10 # 1,053,193 12
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PORTFOLIO OF INVESTMENTS MetLife Investment Funds, Inc. / Diversified Bond Fund / March 31, 2007 (Unaudited) (continued) Principal Amount Value --------- ----------- ProLogis REIT $100,000 5.250% , 11/15/10 $ 100,313 30,000 5.500% , 03/01/13 30,304 100,000 5.625% , 11/15/15 100,804 50,000 Realty Income Corp. REIT 5.950% , 09/15/16 51,305 Regency Centers LP REIT 850,000 5.250% , 08/01/15 827,398 10,000 6.750% , 01/15/12 10,584 Simon Property Group LP REIT 810,000 4.600%, 06/15/10 796,262 75,000 4.875% , 03/18/10 - 08/15/10 74,393 100,000 5.000% , 03/01/12 99,053 50,000 5.100% , 06/15/15 48,755 75,000 5.250% , 12/01/16 73,385 790,000 United Dominion Realty Trust, Inc. REIT 6.050% , 06/01/13 805,118 100,000 Vornado Realty L.P. REIT 5.600% , 02/15/11 100,292 20,000 Weingarten Realty Investments REIT 4.857% , 01/15/14 19,354 ----------- 11,226,352 ----------- RETAIL - 0.4% Autozone, Inc. 50,000 5.500% , 11/15/15 48,991 20,000 5.875% , 10/15/12 20,439 50,000 Costco Wholesale Corp. 5.300% , 03/15/12 50,361 CVS Corp. 40,000 4.000% , 09/15/09 38,925 150,000 4.875% , 09/15/14 144,567 766,085 6.036% , 12/10/28 (a) 774,826 85,000 Federated Department Stores 6.625% , 04/01/11 88,632 Federated Retail Holdings, Inc. 55,000 5.350% , 03/15/12 54,856 100,000 5.900% , 12/01/16 99,627 Home Depot, Inc. 80,000 3.750% , 09/15/09 77,520 50,000 5.200% , 03/01/11 49,948 100,000 5.250% , 12/16/13 99,308 125,000 5.400% , 03/01/16 122,061 100,000 5.875% , 12/16/36 95,343 JC Penney Corp., Inc. 50,000 7.400% , 04/01/37 54,021 50,000 7.950% , 04/01/17 56,764 Limited Brands 25,000 5.250% , 11/01/14 23,871 25,000 6.125% , 12/01/12 25,397 Lowe's Cos., Inc. 100,000 5.500% , 10/15/35 92,567 50,000 8.250% , 06/01/10 54,623 May Department Stores Co. 50,000 4.800% , 07/15/09 49,501 50,000 5.750% , 07/15/14 49,601 20,000 McDonald's Corp. 5.750% , 03/01/12 20,503 Target Corp. 520,000 4.000% , 06/15/13 # 485,887 30,000 5.400% , 10/01/08 30,159 50,000 7.000% , 07/15/31 57,023 Wal-Mart Stores, Inc. 50,000 4.000% , 01/15/10 48,866 100,000 4.550% , 05/01/13 96,620 150,000 5.250% , 09/01/35 136,251 500,000 6.875% , 08/10/09 520,440 ----------- 3,567,498 ----------- SAVINGS & LOAN - 0.2% 50,000 AmSouth Bank NA 4.850% , 04/01/13 48,830 50,000 Charter One Bank FSB 6.375% , 05/15/12 53,090 25,000 Greenpoint Financial Corp. 3.200% , 06/06/08 24,375 Washington Mutual Bank 960,000 5.500% , 01/15/13 958,034 250,000 6.875% , 06/15/11 262,319 Washington Mutual, Inc. 50,000 4.000% , 01/15/09 48,952 640,000 5.250% , 09/15/17 # 608,355 10,000 World Savings Bank FSB 4.500% , 06/15/09 9,864 ----------- 2,013,819 ----------- SOFTWARE - 0.1% 50,000 Dun & Bradstreet Corp. 5.500% , 03/15/11 50,405 First Data Corp. 150,000 3.375% , 08/01/08 146,178 150,000 4.950% , 06/15/15 140,367 200,000 Oracle Corp. 5.000% , 01/15/11 199,264 ----------- 536,214 ----------- SOVEREIGN - 0.0% 200,000 Svensk Exportkredit AB 4.875% , 01/19/10 200,405 ----------- TELECOMMUNICATIONS - 2.0% ALLTEL Corp. 35,000 7.000% , 07/01/12 36,808 50,000 7.875% , 07/01/32 52,682 America Movil SA de CV 10,000 4.125% , 03/01/09 9,805 100,000 5.500% , 03/01/14 98,921 50,000 6.375% , 03/01/35 49,253 200,000 AT&T Corp. 8.000% , 11/15/31 247,157 AT&T Wireless Services, Inc. 840,000 7.875% , 03/01/11 919,142 750,000 8.750% , 03/01/31 967,457 BellSouth Corp. 50,000 4.200% , 09/15/09 48,960 240,000 4.750% , 11/15/12 233,887 50,000 5.200% , 09/15/14 49,152 150,000 6.000% , 11/15/34 144,494 25,000 6.550% , 06/15/34 25,703 British Telecommunications PLC 150,000 8.625% , 12/15/10 167,439 150,000 9.125% , 12/15/30 205,952 CenturyTel, Inc. 320,000 6.000% , 04/01/17 316,924 40,000 7.875% , 08/15/12 43,893 30,000 Cingular Wireless LLC 6.500% , 12/15/11 31,605 Cisco Systems, Inc. 150,000 5.250% , 02/22/11 150,733 100,000 5.500% , 02/22/16 100,692 Deutsche Telekom International Finance BV 150,000 5.250% , 07/22/13 148,013 460,000 5.750% , 03/23/16 459,989 13
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PORTFOLIO OF INVESTMENTS MetLife Investment Funds, Inc. / Diversified Bond Fund / March 31, 2007 (Unaudited) (continued) Principal Amount Value --------- ----------- $ 950,000 8.000% , 06/15/10 $ 1,029,815 490,000 8.250% , 06/15/30 606,942 150,000 9.250% , 06/01/32 202,118 Embarq Corp. 50,000 6.738% , 06/01/13 51,620 75,000 7.082% , 06/01/16 76,466 100,000 7.995% , 06/01/36 103,261 France Telecom SA 1,130,000 7.750% , 03/01/11 1,231,110 240,000 8.500% , 03/01/31 311,919 GTE Corp. 100,000 6.940% , 04/15/28 105,464 48,000 7.510% , 04/01/09 50,028 100,000 GTE North, Inc. 5.650% , 11/15/08 100,455 50,000 Harris Corp. 5.000% , 10/01/15 47,508 Nextel Communications, Inc. 125,000 6.875% , 10/31/13 128,058 525,000 7.375% , 08/01/15 543,007 50,000 Pacific Bell 7.125% , 03/15/26 53,256 Royal KPN NV 630,000 8.000% , 10/01/10 683,385 100,000 8.375% , 10/01/30 113,208 SBC Communications, Inc. 150,000 4.125% , 09/15/09 146,624 1,120,000 5.100% , 09/15/14 1,094,223 50,000 5.625% , 06/15/16 50,156 50,000 6.450% , 06/15/34 50,892 Sprint Capital Corp. 100,000 6.875% , 11/15/28 99,589 420,000 8.375% , 03/15/12 468,606 1,000,000 8.750% , 03/15/32 1,179,519 190,000 Sprint Nextel Corp. 6.000% , 12/01/16 186,980 1,560,000 TCI Communications Finance 9.650% , 03/31/27 1,635,270 Telecom Italia Capital SA 50,000 4.000% , 01/15/10 48,307 170,000 4.950% , 09/30/14 160,139 435,000 5.250% , 11/15/13 - 10/01/15 418,631 50,000 6.000% , 09/30/34 45,276 1,220,000 6.200% , 07/18/11 1,252,158 50,000 6.375% , 11/15/33 47,158 250,000 Telefonica Emisones SAU 6.421% , 06/20/16 260,931 200,000 Telefonica Europe BV 7.750% , 09/15/10 215,512 Telefonos de Mexico SA 50,000 4.750% , 01/27/10 49,364 100,000 5.500% , 01/27/15 98,250 100,000 Telus Corp. 8.000% , 06/01/11 109,523 100,000 Verizon Florida, Inc. 6.125% , 01/15/13 102,651 Verizon Global Funding Corp. 55,000 6.875% , 06/15/12 # 59,042 200,000 7.250% , 12/01/10 213,624 880,000 7.750% , 12/01/30 # 1,019,999 100,000 Verizon Maryland, Inc. 6.125% , 03/01/12 103,305 30,000 Verizon New England, Inc. 6.500% , 09/15/11 31,277 Vodafone Group PLC 200,000 7.750% , 02/15/10 213,477 100,000 7.875% , 02/15/30 115,438 ----------- 19,422,202 ----------- TRANSPORTATION - 0.1% Burlington Northern Santa Fe Corp. 50,000 4.875% , 01/15/15 47,133 175,000 7.125% , 12/15/10 185,672 25,000 Canadian National Railway Co. 4.250% , 08/01/09 24,520 CSX Corp. 50,000 6.000% , 10/01/36 47,680 100,000 7.950% , 05/01/27 118,387 FedEx Corp. 25,000 3.500% , 04/01/09 24,219 40,000 5.500% , 08/15/09 40,305 35,000 Kowloon Canton Railway Corp. 8.000% , 03/15/10 37,845 50,000 MTR Corp. 7.500% , 02/04/09 52,081 200,000 Norfolk Southern Corp. 7.250% , 02/15/31 221,188 Union Pacific Corp. 20,000 5.375% , 05/01/14 19,861 10,000 6.500% , 04/15/12 10,482 ----------- 829,373 ----------- UTILITIES- ELECTRIC - 1.6% 1,335,000 Abu Dhabi National Energy Co. 6.500% , 10/27/36 (a) 1,348,813 25,000 Alabama Power Co. 3.125% , 05/01/08 24,459 Appalachian Power Co. 100,000 5.000% , 06/01/17 94,650 50,000 5.800% , 10/01/35 47,398 Arizona Public Service 25,000 5.800% , 06/30/14 25,218 50,000 6.500% , 03/01/12 52,103 Baltimore Gas & Electric 25,000 5.900% , 10/01/16 (a) 25,362 50,000 6.350% , 10/01/36 (a) 50,866 50,000 Centerpoint Energy Houston 5.750% , 01/15/14 50,413 20,000 Cincinnati Gas & Electric 5.700% , 09/15/12 20,346 25,000 Cleveland Electric Illumniating Co. 5.700% , 04/01/17 24,850 50,000 Commonwealth Edison Co. 5.400% , 12/15/11 48,805 50,000 Consolidated Edison Co. of New York 4.700% , 06/15/09 49,618 15,000 Constellation Energy Group, Inc. 7.600% , 04/01/32 16,983 Consumers Energy Co. 20,000 4.000% , 05/15/10 19,298 25,000 4.250% , 04/15/08 24,738 50,000 5.150% , 02/15/17 48,126 25,000 5.375% , 04/15/13 24,968 25,000 5.500% , 08/15/16 24,872 20,000 Dayton Power & Light Co. 5.125% , 10/01/13 19,756 Dominion Resources, Inc. 130,000 4.125% , 02/15/08 128,646 50,000 4.750% , 12/15/10 49,291 220,000 5.125% , 12/15/09 220,076 65,000 5.250% , 08/01/33 64,006 50,000 5.600% , 11/15/16 49,740 230,000 5.700% , 09/17/12 234,966 14
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PORTFOLIO OF INVESTMENTS MetLife Investment Funds, Inc. / Diversified Bond Fund / March 31, 2007 (Unaudited) (continued) Principal Amount Value --------- ----------- $ 15,000 6.750% , 12/15/32 $ 16,110 100,000 7.195% , 09/15/14 109,919 100,000 Duke Energy Corp. 5.300% , 10/01/15 99,797 50,000 Eksportfinans A 5.000% , 02/14/12 50,278 50,000 Empresa Nacional de Electricidad SA 8.500% , 04/01/09 52,940 30,000 Energy East Corp. 6.750% , 06/15/12 31,826 Exelon Corp. 50,000 4.450% , 06/15/10 48,563 470,000 5.625% , 06/15/35 430,024 200,000 Exelon Generation Co. LLC 6.950% , 06/15/11 209,656 FirstEnergy Corp. 100,000 6.450% , 11/15/11 104,816 1,230,000 7.375% , 11/15/31 1,397,361 Florida Power & Light Co. 250,000 4.850% , 02/01/13 245,019 75,000 4.950% , 06/01/35 66,474 100,000 5.400% , 09/01/35 94,843 Florida Power Corp. 50,000 4.500% , 06/01/10 49,083 50,000 4.800% , 03/01/13 48,744 Hydro-Quebec 500,000 6.300% , 05/11/11 524,585 100,000 8.050% , 07/07/24 128,819 20,000 Jersey Central Power & Light 5.625% , 05/01/16 20,105 550,000 Korea Electric Power Corp. 4.250% , 09/12/07 (a) 546,616 15,000 Metropolitan Edison Co. 4.875% , 04/01/14 14,395 MidAmerican Energy Co. 15,000 4.650% , 10/01/14 14,359 100,000 5.125% , 01/15/13 99,032 50,000 5.800% , 10/15/36 49,297 50,000 6.750% , 12/30/31 55,342 MidAmerican Energy Holdings Co. 80,000 3.500% , 05/15/08 78,503 50,000 5.000% , 02/15/14 48,500 50,000 6.125% , 04/01/36 49,892 1,050,000 Niagara Mohawk Power Corp. 7.750% , 10/01/08 1,086,912 Nisource Finance Corp. 50,000 5.400% , 07/15/14 48,849 100,000 5.450% , 09/15/20 94,003 100,000 Northern States Power Corp. 5.250% , 07/15/35 92,117 160,000 Oncor Electric Delivery Co. 7.000% , 09/01/22-05/01/32 172,755 Pacific Gas & Electric Co. 310,000 5.800% , 03/01/37 298,869 15,000 3.600% , 03/01/09 14,601 20,000 4.200% , 03/01/11 19,362 25,000 4.800% , 03/01/14 24,241 295,000 6.050% , 03/01/34 295,722 50,000 Pacificorp 5.250% , 06/15/35 45,741 50,000 Peco Energy Co. 3.500% , 05/01/08 49,112 80,000 PPL Electric Utilities Corp. 6.250% , 08/15/09 81,808 PPL Energy Supply LLC 25,000 5.400% , 08/15/14 24,552 100,000 6.400% , 11/01/11 103,841 PSE&G Power LLC 25,000 3.750% , 04/01/09 24,268 20,000 5.000% , 04/01/14 19,291 25,000 5.500% , 12/01/15 24,660 150,000 7.750% , 04/15/11 162,674 100,000 PSI Energy, Inc. 5.000% , 09/15/13 97,313 Public Service Co. of Colorado 50,000 4.375% , 10/01/08 49,402 35,000 7.875% , 10/01/12 39,407 Public Service Electric & Gas Co. 50,000 4.000% , 11/01/08 49,126 25,000 5.000% , 08/15/14 24,397 100,000 Puget Sound Energy, Inc. 6.274% , 03/15/37 100,711 Scottish Power PLC 50,000 4.910% , 03/15/10 49,615 25,000 5.810% , 03/15/25 24,559 50,000 South Carolina Electric & Gas 5.300% , 05/15/33 46,522 Southern California Edison Co. 50,000 5.000% , 01/15/16 48,612 50,000 5.625% , 02/01/36 48,430 40,000 6.000% , 01/15/34 40,797 50,000 Southwestern Public Service Co. 6.000% , 10/01/36 49,447 TXU Corp. 1,100,000 4.800% , 11/15/09 1,080,535 320,000 5.550% , 11/15/14 # 283,417 70,000 6.500% , 11/15/24 58,998 835,000 6.550% , 11/15/34 699,227 2,190,000 TXU Energy Co. LLC 7.000% , 03/15/13 2,275,936 15,000 Union Electric Co. 5.100% , 10/01/19 13,975 Virginia Electric & Power Co. 200,000 4.750% , 03/01/13 193,783 100,000 5.400% , 01/15/16 98,959 Wisconsin Electric Power 30,000 4.500% , 05/15/13 28,684 25,000 5.700% , 12/01/36 24,401 ----------- 15,582,896 ----------- UTILITIES- GAS - 0.1% 20,000 AGL Capital Corp. 6.000% , 10/01/34 18,897 30,000 Atmos Energy Corp. 5.125% , 01/15/13 29,172 200,000 KeySpan Corp. 7.625% , 11/15/10 215,885 50,000 Oneok, Inc. 6.000% , 06/15/35 46,171 50,000 Sempra Energy 4.750% , 05/15/09 49,584 50,000 Southern California Gas Co. 4.375% , 01/15/11 48,649 20,000 Southern Union Co. 7.600% , 02/01/24 21,438 ----------- 429,796 ----------- UTILITIES- WATER - 0.0% United Utilities PLC 25,000 4.550% , 06/19/18 22,354 15
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PORTFOLIO OF INVESTMENTS MetLife Investment Funds, Inc. / Diversified Bond Fund / March 31, 2007 (Unaudited) (continued) Principal Amount Value --------- ------------ $ 50,000 5.375% , 02/01/19 $ 47,906 ------------ 70,260 ------------ 337,164,184 ------------ TOTAL CORPORATE BONDS & NOTES (Cost $334,252,303 ) 337,164,184 ------------ U.S. GOVERNMENT & AGENCY OBLIGATIONS - 62.8% FEDERAL FARM CREDIT BANK - 0.1% Federal Farm Credit Bank 100,000 3.000% , 04/15/08 97,948 100,000 4.125% , 07/17/09 98,427 200,000 4.250% , 10/10/08 198,178 200,000 4.875% , 02/18/11 200,210 100,000 5.000% , 10/23/09 100,391 ------------ 695,154 ------------ FEDERAL HOME LOAN BANK SYSTEM - 1.0% Federal Home Loan Bank System 1,000,000 3.625% , 11/14/08 980,339 500,000 3.750% , 08/18/09 487,997 300,000 3.875% , 08/22/08 295,748 1,250,000 4.250% , 09/26/08 - 11/02/10 1,235,960 750,000 4.375% , 03/17/10 741,844 500,000 4.500% , 09/16/13 488,926 50,000 4.650% , 08/22/08 49,805 1,200,000 5.000% , 10/16/09 - 10/13/11 1,205,756 100,000 5.050% , 01/26/15 100,604 1,000,000 5.125% , 08/08/08 1,002,170 500,000 5.250% , 06/10/11 507,615 700,000 5.375% , 10/02/08 - 08/15/18 705,840 640,000 5.400% , 01/02/09 639,821 100,000 5.500% , 10/19/16 100,213 100,000 5.550% , 10/19/09 99,985 75,000 5.625% , 06/13/16 77,144 500,000 6.000% , 04/25/16 502,468 ------------ 9,222,235 ------------ FEDERAL HOME LOAN MORTGAGE CORP. - 8.0% Federal Home Loan Mortgage Corp. 810,894 4.000% , 11/01/19 - 02/01/20 766,314 1,000,000 4.125% , 07/12/10 979,522 250,000 4.250% , 05/23/08 247,936 250,000 4.375% , 07/17/15 239,993 1,860,546 4.500% , 11/15/11 - 08/01/35 1,784,032 250,000 4.625% , 12/19/08 248,902 2,570,000 4.650% , 10/10/13 2,496,372 450,000 4.750% , 01/18/11 448,760 750,000 4.875% , 02/17/09 - 11/15/13 749,313 27,078,517 5.000% , 01/30/14 26,224,432 890,000 5.125% , 10/15/08 - 05/13/13 893,282 100,000 5.200% , 03/05/19 98,048 1,940,000 5.250% , 02/24/11 - 04/18/16 1,959,535 710,000 5.300% , 05/12/20 690,720 100,000 5.375% , 12/27/11 99,871 1,010,000 5.450% , 09/02/11 - 11/21/13 1,009,879 19,408,424 5.500% , 04/24/09 19,303,681 100,000 5.550% , 10/04/16 100,974 350,000 5.600% , 09/26/13 - 10/17/13 350,634 1,210,000 5.625% , 03/15/11 - 11/23/35 1,195,080 500,000 5.750% , 01/23/17 498,733 10,501,976 6.000% , 06/15/11 10,639,661 400,000 6.250% , 07/15/32 455,601 3,029,407 6.500% , 05/01/29 3,097,928 1,500,000 6.875% , 09/15/10 1,597,451 658,996 7.000% , 05/01/30 - 12/01/33 683,757 203,003 7.500% , 09/01/29 - 05/01/31 212,442 195,755 8.000% , 07/01/30 - 05/01/31 206,055 ------------ 77,278,908 ------------ FEDERAL HOME LOAN PC - 1.1% Federal Home Loan PC 2,780,209 4.500% , 12/01/18 - 03/01/36 2,677,904 4,544,883 5.000% , 02/01/19 - 09/01/33 4,456,825 1,619,848 5.942% , 10/01/36 1,640,143 1,550,562 6.500% , 08/01/26 - 08/01/26 1,585,159 ------------ 10,360,031 ------------ FEDERAL NATIONAL MORTGAGE ASSOCIATION - 27.4% Federal National Mortgage Association 100,000 3.125% , 03/16/09 96,742 500,000 3.375% , 12/15/08 487,651 1,200,000 3.875% , 07/15/08 1,183,792 2,158,629 4.000% , 05/01/19 - 10/01/20 2,040,259 300,000 4.200% , 06/08/09 295,821 1,000,000 4.250% , 05/15/09 987,812 5,140,000 4.338% , 06/01/36 5,134,680 15,323,153 4.500% , 06/01/18 - TBA 14,643,621 2,370,000 4.610% , 10/10/13 2,298,516 800,000 4.625% , 10/15/14 783,974 1,000,000 4.750% , 08/25/08 997,471 2,065,000 4.780% , 04/01/36 2,065,681 1,250,000 4.804% , 06/01/35 1,242,658 64,766,308 5.000% , 09/15/08 - TBA 63,057,996 1,200,000 5.125% , 04/15/11 1,212,341 730,000 5.200% , 11/08/10 728,551 500,000 5.250% , 09/15/16 508,988 150,000 5.400% , 04/13/09 150,001 100,000 5.450% , 10/18/21 100,065 500,000 5.468% , 03/01/37 502,734 93,059,479 5.500% , 09/29/08 - TBA 92,353,659 648,153 5.546% , 02/01/37 651,864 245,972 5.552% , 12/01/36 247,144 251,482 5.555% , 01/01/37 252,592 100,000 5.625% , 11/15/21 99,412 100,000 5.750% , 02/17/22 97,887 200,000 5.800% , 02/09/26 199,628 40,899,582 6.000% , 10/01/08 - TBA 41,330,541 100,000 6.070% , 05/12/16 100,627 100,000 6.250% , 01/25/21 99,608 25,310,105 6.500% , 05/01/16 - TBA 25,920,354 1,030,000 6.625% , 09/15/09 - 11/15/30 1,085,526 3,668,511 7.000% , 01/01/28 - TBA 3,803,680 500,000 7.250% , 05/15/30 630,595 463,699 7.500% , 10/01/15 - 03/01/31 483,499 164,807 8.000% , 07/01/25 173,020 16
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PORTFOLIO OF INVESTMENTS MetLife Investment Funds, Inc. / Diversified Bond Fund / March 31, 2007 (Unaudited) (continued) Principal Amount Value --------- ------------ $ 35,313 8.500% , 12/01/26 - 07/01/27 $ 37,983 ------------ 266,086,973 ------------ GOVERNMENT NATIONAL MORTGAGE ASSOCIATION - 5.2% Government National Mortgage Association 613,182 4.500% , 09/15/33 - 10/15/33 581,333 17,789,720 5.000% , 07/15/33 - TBA 17,334,243 13,118,015 5.500% , 02/15/33 - TBA 13,053,741 16,292,064 6.000% , 02/15/26 - TBA 16,527,494 1,661,877 6.500% , 08/15/28 - TBA 1,708,350 441,132 7.000% , 01/15/23 - 04/15/29 461,206 289,274 7.500% , 10/15/22 - 09/15/29 301,936 72,324 8.000% , 10/15/29 - 07/15/30 76,762 ------------ 50,045,065 ------------ TENNESSEE VALLEY AUTHORITY - 0.0% Tennessee Valley Authority 100,000 4.375% , 06/15/15 95,767 25,000 4.650% , 06/15/35 22,462 100,000 6.150% , 01/15/38 111,656 50,000 6.250% , 12/15/17 54,821 125,000 6.750% , 11/01/25 148,393 ------------ 433,099 ------------ U.S. TREASURY BONDS - 4.3% United States Treasury Bonds 5,800,000 4.500% , 02/15/36 # 5,468,310 8,350,000 4.750% , 02/15/37 # 8,219,531 1,200,000 5.250% , 02/15/29 1,252,781 250,000 5.375% , 02/15/31 266,524 5,025,000 6.000% , 02/15/26 5,679,426 1,100,000 6.125% , 11/15/27 1,269,984 1,050,000 6.250% , 08/15/23 - 05/15/30 1,218,301 350,000 6.375% , 08/15/27 414,531 400,000 6.500% , 11/15/26 478,562 1,000,000 6.625% , 02/15/27 1,212,969 500,000 6.750% , 08/15/26 # 612,617 400,000 6.875% , 08/15/25 493,312 500,000 7.125% , 02/15/23 620,742 2,900,000 7.250% , 05/15/16 - 08/15/22 3,529,602 450,000 7.500% , 11/15/16 546,873 400,000 7.625% , 02/15/25 527,188 2,500,000 8.125% , 08/15/19 - 08/15/21 3,295,899 1,700,000 8.750% , 05/15/17 - 08/15/20 2,304,508 1,100,000 8.875% , 08/15/17 - 02/15/19 1,492,821 500,000 9.125% , 05/15/18 687,305 150,000 10.375% , 11/15/12 154,787 800,000 12.000% , 08/15/13 876,218 400,000 13.250% , 05/15/14 469,375 580,000 6.920% , 11/15/21 (b) 280,954 ------------ 41,373,120 ------------ U.S. TREASURY INFLATION INDEXED BONDS - .9% United States Treasury Inflation Indexed Bonds 244,738 2.000% , 01/15/26 (f) # 232,596 1,303,398 0.875% , 04/15/10 (f) 1,260,274 352,637 1.875% , 07/15/13 (f) 348,036 633,507 2.375% , 01/15/25 (f) # 637,614 4,855,316 3.625% , 04/15/28 (f) # 5,910,021 739,056 3.875% , 01/15/09 - 04/15/29 # (f) 903,655 ------------ 9,292,196 ------------ U.S. TREASURY INFLATION INDEXED NOTES - .7% United States Treasury Inflation Indexed Notes 249,732 1.875% , 07/15/15 (f) # 244,123 6,495,744 2.000% , 01/15/16 (f) # 6,395,514 300,420 2.375% , 01/15/17 (f) # 304,868 ------------ 6,944,505 ------------ U.S. TREASURY NOTES - 14.1% United States Treasury Notes 3,775,000 2.625% , 05/15/08 - 03/15/09 3,662,165 3,750,000 3.125% , 09/15/08 - 04/15/09 3,656,103 1,500,000 3.250% , 08/15/08 1,469,766 2,000,000 3.375% , 12/15/08 - 10/15/09 1,950,781 2,300,000 3.500% , 08/15/09 - 02/15/10 2,240,004 8,015,000 3.625% , 07/15/09 - 06/15/10 # 7,811,529 19,750,000 3.875% , 05/15/09 - 02/15/13 # 19,387,513 4,850,000 4.000% , 06/15/09 - 02/15/14 4,754,750 1,950,000 4.125% , 08/15/10 - 05/15/15 1,904,914 4,100,000 4.250% , 08/15/13 - 11/15/14 4,015,246 7,568,000 4.375% , 11/15/08 - 08/15/12 # 7,520,592 5,300,000 4.500% , 02/15/09 - 11/15/15 5,283,348 6,375,000 4.625% , 11/15/09 - 02/15/17 # 6,387,691 12,730,000 4.750% , 11/15/08 - 05/15/14 12,771,145 22,450,000 4.875% , 05/31/08 - 08/15/16 22,738,633 1,400,000 5.000% , 02/15/11 - 08/15/11 1,424,898 25,710,000 5.125% , 06/30/11 - 05/15/16 # 26,279,842 500,000 5.500% , 05/15/09 509,121 1,000,000 5.625% , 05/15/08 1,008,164 400,000 5.750% , 08/15/10 415,078 1,990,000 6.000% , 08/15/09 # 2,052,110 ------------ 137,243,393 ------------ TOTAL U.S. GOVERNMENT & AGENCY OBLIGATIONS (Cost $610,730,694) 608,974,679 ------------ FOREIGN GOVERNMENT OBLIGATIONS - 0.9% 250,000 Malaysia 7.500% , 07/15/11 271,795 100,000 Poland Government International Bond 5.000% , 10/19/15 98,551 50,000 Province of British Columbia 4.300% , 05/30/13 48,420 Province of Manitoba 50,000 4.450% , 04/12/10 49,431 200,000 9.625% , 12/01/18 276,406 50,000 Province of New Brunswick Canada 5.200% , 02/21/17 50,459 20,000 Province of Nova Scotia 5.750% , 02/27/12 20,643 Province of Ontario 100,000 3.125% , 05/02/08 97,867 50,000 3.625% , 10/21/09 48,500 100,000 4.500% , 02/03/15 97,102 50,000 5.450% , 04/27/16 51,475 Province of Quebec 50,000 4.600% , 05/26/15 48,315 50,000 4.875% , 05/05/14 49,423 200,000 7.125% , 02/09/24 235,845 50,000 7.500% , 09/15/29 63,172 100,000 Region of Lombardy 5.804% , 10/25/32 102,599 17
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PORTFOLIO OF INVESTMENTS MetLife Investment Funds, Inc. / Diversified Bond Fund / March 31, 2007 (Unaudited) (continued) Shares / Principal Amount Value --------- ---------- $ 100,000 Republic of Egypt 4.450% , 09/15/15 $ 96,580 Republic of Chile 50,000 5.500% , 01/15/13 50,820 20,000 7.125% , 01/11/12 21,648 50,000 Republic of Hungary 4.750% , 02/03/15 48,377 Republic of Italy 100,000 3.250% , 05/15/09 96,832 500,000 4.000% , 06/16/08 493,657 250,000 4.375% , 06/15/13 241,099 200,000 6.875% , 09/27/23 229,290 Republic of Korea 30,000 4.250% , 06/01/13 28,560 50,000 4.875% , 09/22/14 48,733 100,000 5.625% , 11/03/25 99,244 100,000 8.875% , 04/15/08 103,793 Republic of Poland 50,000 5.250% , 01/15/14 50,268 25,000 6.250% , 07/03/12 26,369 1,560,000 Russian Federation 5.000% , 03/31/30 (d) 1,770,444 South African Republic 35,000 6.500% , 06/02/14 37,275 100,000 7.375% , 04/25/12 108,625 State of Israel 100,000 4.625% , 06/15/13 96,364 295,000 5.500% , 11/09/16 - 04/26/24 306,671 United Mexican States 150,000 4.625% , 10/08/08 148,350 112,000 5.625% , 01/15/17 # 112,896 200,000 6.375% , 01/16/13 210,900 30,000 6.625% , 03/03/15 32,400 1,790,000 6.750% , 09/27/34 1,951,995 100,000 7.500% , 04/08/33 119,000 75,000 8.125% , 12/30/19 92,063 100,000 8.300% , 08/15/31 128,850 75,000 11.375% , 09/15/16 107,513 20,000 11.500% , 05/15/26 32,770 ---------- 8,501,389 ---------- 8,501,389 ---------- TOTAL FOREIGN OBLIGATIONS (Cost $8,056,728) 8,501,389 ---------- COMMON STOCKS - 0.0% Value ---------- 1,732 Applied Extrusion Technologies, Inc. Class B * 6,928 880 Globix Corp. # (g) 0 367,973 Home Interiors & Gifts, Inc. (a) (g) 99,353 ---------- 106,281 ---------- TOTAL COMMON STOCKS (Cost $213,037) 106,281 ---------- PREFERRED STOCKS - 0.0% 14,600 General Motors Acceptance Corp. Class B Convertible 5.250% 302,950 ---------- TOTAL PREFERRED STOCKS (Cost $273,686) 302,950 ---------- MUNICIPALS - 0.1% CALIFORNIA - 0.0% $ 50,000 Alameda Corridor Transportation Authority (MBIA) 6.600% , 10/01/29 56,188 ---------- ILLINOIS - 0.0% 50,000 State of Illinois G.O. 4.950% , 06/01/23 47,949 50,000 State of Illinois G.O. 5.100% , 06/01/33 47,747 ---------- 95,696 ---------- NEW JERSEY - 0.1% 100,000 New Jersey Economic Development Authority, Ser. A (MBIA) 7.425% , 02/15/29 123,796 95,000 New Jersey State Turnpike Authority Rev. Bond Unrefunded Balance, Ser. B (AMBAC) 4.252% , 01/01/16 90,220 ---------- 214,016 ---------- OREGON - 0.0% 50,000 Oregon School Boards Association, Rev.Bond (FSA) 5.528% , 06/30/28 49,307 50,000 State of Oregon G.O. 5.762% , 06/01/23 51,632 100,000 State of Oregon G.O. 5.892% , 06/01/27 103,947 ---------- 204,886 ---------- WISCONSIN - 0.0% 50,000 State of Wisconsin, Rev. Bond, Ser. A (FSA) 5.700% , 05/01/26 50,858 ---------- TOTAL MUNICIPALS (Cost $615,165) 621,644 ---------- PURCHASED OPTIONS - 0.1% CALL OPTIONS - 0.1% 97 Eurodollar Futures, Strike 94.00 Expires 09/17/2007 224,312 176 Eurodollar Futures, Strike 94.00 Expires 06/18/2007 323,400 19 Eurodollar Futures, Strike 94.50 Expires 09/17/2007 20,306 26 Eurodollar Futures, Strike 94.75 Expires 06/18/2007 3,738 12 Eurodollar Futures, Strike 94.75 Expires 09/17/2007 7,125 18
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PORTFOLIO OF INVESTMENTS MetLife Investment Funds, Inc. / Diversified Bond Fund / March 31, 2007 (Unaudited) (continued) Shares / Principal Amount Value --------- -------------- 36 Eurodollar Futures, Strike 95.00 Expires 09/17/2007 $ 12,150 -------------- 591,031 -------------- PUT OPTIONS - 0.0% 7 Eurodollar Futures, Strike 94.75 Expires 06/18/2007 1,269 -------------- TOTAL PURCHASED OPTIONS (Cost $599,215) 592,300 -------------- SHORT-TERM INVESTMENTS - 8.2% COMMERCIAL PAPER - 1.9% $ 2,200,000 Atlantic Asset Security 5.280% , 04/17/07 2,194,837 10,000,000 Giro Balanced Funding, Inc. 5.270% , 04/12/07 9,983,897 7,000,000 Jupiter Securitization Corp. 5.260% , 04/12/07 6,988,750 -------------- 19,167,484 -------------- GOVERNMENT & AGENCY SECURITIES - 0.1% 560,000 Federal National Mortgage Association 4.814% , 06/25/07 (c) (h) 553,484 -------------- MUTUAL FUND - 1.9% 18,272,849 Goldman Sachs Prime Obligations Fund 5.241% (e) 18,272,849 -------------- REPURCHASE AGREEMENTS - 4.3% 21,200,000 Lehman Brothers Repurchase Agreement dated 03/30/07 at 5.250% to be repurchased at $21,209,275 on 04/02/07 collateralized by $21,600,000 Federal National Mortgage Association 5.500% due 03/26/14 with a value of 21,267,000. 21,200,000 20,883,000 State Street Bank & Trust Co., Repurchase Agreement, dated 03/30/07 at 2.500% to be repurchased at $20,887,351 on 04/02/07 collateralized by $21,410,000 U.S. Treasury Bill at 4.830% due 05/03/07 with a value of $21,302,950. 20,883,000 -------------- 42,083,000 -------------- TOTAL SHORT-TERM INVESTMENTS (Cost $80,076,817) 80,076,817 -------------- TOTAL INVESTMENTS - 106.8% (Cost $1,034,867,200+) 1,036,390,451 -------------- Liabilities in excess of other assets - (6.8)% (66,410,006) -------------- TOTAL NET ASSETS - 100.0% $ 969,980,445 ============== -------- NOTES TO THE PORTFOLIO OF INVESTMENTS: (+) -- Aggregate unrealized appreciation and depreciation based on cost for federal income tax purpose are $9,405,031 and 7,881,779 respectively, resulting in a Net unrealized appreciation of $1,523,252. # -- A portion or all of the security was held on loan. As of March 31, 2007, the market value of the securities loaned was $355,204,510 and the collateral received consisted of cash in the amount of $355,671,926. * -- Non-income producing security. (a) -- 144A securities. Securities restricted for resale to Qualified Institutional Buyers. These securities represent in the aggregate $39,952,413 of Net Assets. (b) -- Indicates a variable rate security. The rate shown reflects the current interest rate in effect at March 31, 2007. (c) -- Security is issued with a zero coupon. Income is recognized through the accretion of discount. (d) -- Step-up Bond. Coupon rate increases in increments to maturity. Rate disclosed is as of March 31, 2007. Maturity date disclosed is the ultimate maturity. (e) -- Rate quoted represents the seven day yield of the Fund. (f) -- Represents a Treasury Inflation - Protected Security (TIPS). The interest and redemption payments for TIPS are tied to inflation as measured by the Consumer Price Index. (g) -- Represent a security which is fair-valued. (h) -- All or a portion of these securities have been pledged to cover collateral requirements for open futures. For Information regarding the Fund's policy regarding Valuation of Investments and other significant accounting policies, please refer to the Fund's most recent Annual Reports. SECURITY ABBREVIATIONS: ADR - American Depositary Receipt AMBAC - American Municipal Bond Assurance Corp. FSA - Financial Security Assurance Co. MBIA - Municipal Bond Insurance Association REIT - Real Estate Investment Trust TBA - To Be Announced 19
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FUTURES CONTRACTS: [Enlarge/Download Table] Unrealized Number of Expiration Appreciation / Contracts Face Value Underlying Securities Date Notional Cost Notional Value (Depreciation) --------- ----------- ----------------------------- ---------- ------------- -------------- -------------- Long Position ------------- 77 19,250,000 EuroDollar Futures Sep-2007 $ 18,273,048 $ 18,273,063 $ 15 265 26,500,000 U.S. Treasury Note 5 Year Jun-2007 27,931,513 28,036,173 104,661 Futures 135 13,500,000 U.S. Treasury Bond Futures Jun-2007 15,152,113 15,018,750 (133,363) --------- $ (28,687) ========= Short Position -------------- (8) (2,000,000) EuroDollar Futures Mar-2008 $ (1,907,960) $ (1,905,500) $ 2,460 (20) (5,000,000) EuroDollar Futures Jun-2007 (4,743,163) (4,736,750) 6,413 (3) (600,000) U.S. Treasury Note 2 Year Jun-2007 (615,407) (614,663) 744 Futures (202) (20,200,000) U.S. Treasury Note 10 Year Jun-2007 (21,985,568) (21,841,250) 144,318 Futures --------- $ 153,935 ========= WRITTEN OPTIONS: [Download Table] Exercise Expiration Current Description Contracts Price Month Value ----------- --------- -------- ---------- -------- Call Options: ------------- EuroDollar Futures (14) 95.000 Jun-2007 $ (613) U.S. Treasury Bonds Futures (27) 113.000 Feb-2007 (12,756) U.S. Treasury Bonds Futures (11) 114.000 May-2007 (3,609) U.S. Treasury Bonds Futures (16) 113.000 May-2007 (9,000) U.S. Treasury Bonds Futures (4) 116.000 May-2007 (375) U.S. Treasury Notes 10 Year Futures (12) 109.000 May-2007 (4,688) U.S. Treasury Notes 10 Year Futures (28) 108.000 May-2007 (22,313) -------- $(53,353) ======== Put Options: ------------ EuroDollar Futures (29) 94.750 Sep-2007 $ (4,531) U.S. Treasury Bonds Futures (36) 109.000 May-2007 (12,375) U.S. Treasury Notes 10 Year Futures (36) 105.000 May-2007 (375) -------- (premiums received $85,149) $(17,281) ========
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ITEM 2. Controls and Procedures (a) Within the 90-day period prior to the filing date of this report, the registrant's chief executive and financial officer evaluated the registrant's disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940). Based upon that evaluation, the registrant's chief executive and financial officers concluded that the registrant's disclosure controls and procedures are functioning effectively to provide reasonable assurance that the registrant can meet its obligations to disclose in a timely manner material information required to be included in the registrant's reports on Form N-Q. (b) There have been no significant changes in the registrant's internal control over financial reporting that occurred during the registrant's last fiscal quarter that has materially affected, or is reasonably likely to materially affect, the registrant's internal control over financial reporting. ITEM 3. Exhibits Certifications pursuant to Rule 30a-2(a) by the chief executive and financial officers.
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SIGNATURES Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, the registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized. Date: May 24, 2007 MetLife Investment Funds, Inc. By: /s/ Alan C. Leland, Jr. --------------------------------------- Alan C. Leland, Jr. President and Chief Executive Officer Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, this report has been signed below by the following persons on behalf of the registrant and in the capacities and on the dates indicated. Date: May 24, 2007 By: /s/ Alan C. Leland, Jr. --------------------------------------- Alan C. Leland, Jr. President and Chief Executive Officer Date: May 24, 2007 By: /s/ Peter H. Duffy --------------------------------------- Peter H. Duffy Treasurer and Chief Financial Officer
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EXHIBIT LIST Certifications pursuant to Rule 30a-2(a) by the chief executive and financial officers.

Dates Referenced Herein

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Filed on / Effective on:5/24/0766None on these Dates
For Period End:3/31/07163
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