MetLife, Inc.

METNYSEUSD
91.65 USD
0.50 (0.55%)AT CLOSE (11:59 AM EDT)
91.78
0.13 (0.15%)
POST MARKET (AS OF 08:15 PM EDT)
Post Market
AS OF 08:15 PM EDT
91.78
0.13 (0.15%)
🔴Market: CLOSED

MetLife, Inc. (MET) is currently trading at $91.65. The technical outlook is "Strong Buy" and the fundamental picture shows "Neutral". Key drivers include a weak Piotroski F-Score of 0/9, a bullish Golden Cross on the moving averages and bullish moving average alignment. On the valuation side, MET appears attractively valued relative to sector peers across key multiples.

Technical & fundamental data as of Jul 10, 2026.

Open?$92.06
High?$92.49
Low?$91.15
Prev. Close?$91.15
Volume?2.0M
Avg. Volume?3.8M
VWAP?$91.67
Rel. Volume?0.52x
Bid / Ask
Bid?$90.86 × 100
Ask?$92.71 × 100
Spread?$1.85
Midpoint?$91.79
Valuation & Ratios
Market Cap?59.0B
Shares Out?643.4M
Float?495.6M
Float %?76.0%
P/E Ratio?17.17
P/B Ratio?2.16
EPS?$5.34
Dividend?2.85%
Ex-Dividend?2026-08-04
News
Profile
MetLife is one of the largest life insurers in the US by assets and provides a variety of life insurance and annuity products. It is organized into six segments: Group Benefits, Retirement and Income Solutions, Asia, Latin America, Europe/Middle East/Africa (EMEA), and MetLife Holdings (products in run-off). Group Benefits and RIS are US-based, contributing to around 48% of the firm's 2024 adjusted earnings. The Asia segment contributes around 25% of earnings, mainly tied to Japan. The company also holds leading market positions in Mexico and Chile, with the Latin America segment contributing around 13% of 2024 earnings. The EMEA and MetLife Holdings segments contributed around 4% and 10% of 2024 earnings, respectively.
Employees
46.0K
Market Cap
59.0B
Industry
LIFE INSURANCE
Listed
2000-04-05
Address
200 PARK AVENUE
NEW YORK, NY 10166
Phone: 212-578-5500
Technical OutlookStrong Buy
Strong SellNeutralStrong Buy
Long-Term (Tide)? Bullish(+3/3)
Medium-Term (Wave)? Bullish(+3/3)
Short-Term (Ripple)? Bullish(+2/3)
MA Alignment?Golden Alignment
Full Technical Analysis →
Fundamental OutlookNeutral
Strong SellNeutralStrong Buy
F-Score?
3
Z-Score?
50
Momentum?
57
Short Sent.?
83
Piotroski F-Score?0/9Weak
Confidence?55%Low
Full Fundamental Analysis →
Short InterestModerate
Short % of Float?2.88%Low
Short Interest?14.3M
Days to Cover?3.1
Free Float495.6M
Avg Daily Volume4.6M
Settlement Date2026-06-30
Financial Health
Current Ratio?N/A
Quick Ratio?N/A
Cash Ratio?N/A
Debt/Equity?0.78Moderate
ValuationATTRACTIVELY VALUEDvs 9 peers + S&P 500
Score
93/100
P/E?
Peers
22
S&P
74
17.2CHEAP
P/B?
Peers
40
S&P
71
2.16CHEAP
P/S?
Peers
90
S&P
91
0.76CHEAP
P/FCF?
N/A
EV/EBITDA?
Peers
10
S&P
31
18.7FAIR
EV/Sales?
Peers
100
S&P
97
0.74CHEAP
Returns & Efficiency
ROE?
Peers
44
S&P
45
12.6%STRONG
ROA?
Peers
22
S&P
9
0.5%WEAK
Cash Flow & Enterprise
FCF?N/A
Enterprise Value?$57.7B
Fundamentals ratios updated end of day