MetLife, Inc. (MET) key performance indicators and operating metrics (24 metrics) from SEC EDGAR filings, earnings calls, and investor decks. First-party data.
| Metric | Latest Value | Period |
|---|---|---|
| Adjusted Earnings Available to Common Shareholders per Diluted Common Share | 2.42 USD_per_share | FY2026-Q1 |
| Return on Equity | 18.20 percent | FY2026-Q1 |
| Group Benefits Adjusted Earnings Excluding Total Notable Items | 439M | FY2026-Q1 |
| Asia Adjusted Earnings Excluding Total Notable Items | 487M | FY2026-Q1 |
| Group Benefits Adjusted Premiums, Fees and Other Revenues | 6.54B | FY2026-Q1 |
| Adjusted Expense Ratio Excluding Total Notable Items Related to Adjusted Other Expenses and Pension Risk Transfers | 20.30 percent | FY2026-Q1 |
| Adjusted Premiums, Fees and Other Revenues Excluding Pension Risk Transfers | 13.34B | FY2026-Q1 |
| Asia Adjusted Premiums, Fees and Other Revenues | 1.74B | FY2026-Q1 |
| Expense Ratio | 20.70 percent | FY2026-Q1 |
| Retirement and Income Solutions Adjusted Premiums, Fees and Other Revenues Excluding Pension Risk Transfers | 1.55B | FY2026-Q1 |
| Asia General Account Assets Under Management at Amortized Cost | 140.66B | FY2026-Q1 |
| Adjusted Earnings Available to Common Shareholders | 1.58B | FY2025-Q3 |
| Adjusted Earnings per Diluted Common Share Excluding Total Notable Items | 2.34 USD_per_share | FY2025-Q3 |
| Adjusted Return on Equity | 16.90 percent | FY2025-Q3 |
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Data sourced from U.S. SEC EDGAR filings, earnings call transcripts, and investor decks. Not personalized investment advice.