Institutions / Mml Investors Services, LLC

Mml Investors Services, LLC

CIK 701059 · Institution · as of Jun 30, 2026
Portfolio value
$49.01B
Positions
3,254
As of
Jun 30, 2026

Portfolio trend

Portfolio value

$49.01B+19.4%
$49.01B$45.03B$41.05BQ4 '25Q2 '26

Positions

3,254+7.1%
3,2543,1463,037Q4 '25Q2 '26

Top holdings

Jun 30, 2026View all 3,254 →
CompanyClassValueShares% of portfolio
iShares Tr$2.12B2,831,0234.3%
NVIDIA Corp$906.03M4,528,1031.8%
Apple Inc.$890.56M3,077,6751.8%
Invesco Qqq Tr$667.58M906,5481.4%
Vanguard Tax-Managed Fds$652.02M9,151,0961.3%
BlackRock ETF Trust - iShares International Country Rotation Active ETF$621.01M9,131,1871.3%
Microsoft Corp$609.99M1,635,2831.2%
Vanguard Index Fds$586.03M853,2651.2%
Amazon.com Inc$576.96M2,420,7381.2%
iShares Tr$547.80M3,983,1471.1%
Alphabet Inc.$542.17M1,517,1071.1%
iShares Tr$526.38M11,405,7731.1%
State Str SPDR S&P 500 ETF T$515.19M689,8931.1%
iShares Inc$495.92M5,986,5271.0%
iShares Tr$447.68M4,635,3010.9%
Vanguard Index Fds$399.90M4,642,4300.8%
iShares Tr$384.90M1,695,1460.8%
Schwab Strategic Tr$366.87M10,841,3830.7%
BlackRock ETF Trust$345.72M12,462,8100.7%
BlackRock ETF Trust$324.80M6,160,7670.7%
Fidelity Covington Trust$314.79M7,195,1460.6%
Meta Platforms Inc$312.83M555,3710.6%
JPMORGAN CHASE & CO$311.25M950,8620.6%
Vanguard Index Fds$309.65M1,420,8850.6%
Broadcom Inc.$308.48M816,6180.6%

Activity

InsidersInstitutions
This fund's 13F position changes — what it's buying and selling.
DateActionCompanyValueShares ΔPosition afterImpact
Q2 2026
as of
Add464287200$736.63M+984K
+53.24%
2,831,023
4.33% of portfolio
high
Q2 2026
as of
Add922908736$333.25M+3.9M
+499.98%
4,642,430
0.82% of portfolio
high
Q2 2026
as of
Trim464287101$-313.71M-857K
-95.24%
42,875
0.03% of portfolio
high
Q2 2026
as of
Add464288885$192.94M+1.6M
+397.24%
1,941,127
0.49% of portfolio
high
Q2 2026
as of
TrimiShares MSCI UAE ETF$-186.89M-852K
-46.02%
998,944
0.45% of portfolio
high
Q2 2026
as of
Add46434V613$183.11M+4.0M
+53.35%
11,405,773
1.07% of portfolio
high
Q2 2026
as of
Add464287614$174.79M+1.4M
+267.22%
1,934,415
0.49% of portfolio
high
Q2 2026
as of
New09290C855$173.78M+3.5M
3,450,085
0.35% of portfolio
high
Q2 2026
as of
Trim464288877$-142.83M-1.9M
-41.64%
2,615,105
0.41% of portfolio
high
Q2 2026
as of
AddNVIDIA Corp$142.38M+712K
+18.65%
4,528,103
1.85% of portfolio
high