21.21USD-0.12%Mkt Cap: —P/E: 2.721d ago
MetLife, Inc., a financial services company, provides insurance, annuities, employee benefits, and asset management services worldwide. It operates in six segments: Group Benefits; Retirement and Income Solutions; Asia; …
Industry Peers
Insurance - Lifevs Insurance - Life
P/E
Cheaper
P/B
Cheaper
Div Yield
Lower
1M Perf
Higher
Indicators:|
Key Statistics
Company
Market Cap—
Enterprise Value35.98B $
Revenue (TTM)77.58B $
Gross Profit18.43B $
Net Income (TTM)3.38B $
Revenue/Share117.32 USD
Last Price21.21 USD
Fiscal Year EndDec 2025
MR QuarterMar 2026
Employees46.0K
CountryUS
SectorFinancial Services
IndustryInsurance - Life
ISIN—
Valuation
P/E (Trailing)2.72
P/E (Forward)—
PEG—
EV/EBITDA6.05
EV/Revenue0.46
P/S—
P/B0.50
EPS (TTM)7.81
EPS (Forward)—
52W Range
20.5517% of range24.50
52W High24.50 USD
52W Low20.55 USD
Profitability
Gross Margin23.75%
Oper. Margin9.92%
EBITDA Margin7.66%
Profit Margin4.47%
ROE11.90%
ROA0.45%
Growth
Revenue Growth2.70%
Earnings Growth35.90%
Cash Flow & Leverage
Operating CF17.09B $
CapEx (TTM)—
FCF Margin-22.47%
FCF Yield—
Net Debt21.86B $
Net Debt/EBITDA3.68
Balance Sheet
Debt/Equity0.71
Current Ratio2.09
Quick Ratio1.75
Book Value/Sh42.30 USD
Cash/Share42.95 USD
Dividends
Fwd Div Rate1.310 USD
Trail. Div Rate2.270 USD
Div. Yield6.20%
5Y Avg Yield5.67%
Payout Ratio—
Ex-Div DateMay 29, 2026
Pay DateJun 15, 2026
Analyst Consensus
Rating—
Target (Mean)—
Target Range—
# Analysts—
Ownership
Shares Out.986.84M
Float537.50M
Insiders0.00%
Institutions14.59%
Short Interest
Short Ratio2.4d
Shares Short93.87K
Short (prev mo.)59.52K
Technical
SMA 5021.78 (-2.6%)
SMA 20022.15 (-4.3%)
Beta0.78
S&P 52W Chg20.05%
Avg Vol (30d)36.47K
Avg Vol (10d)60.80K
Technical Indicators
RSI (14)32.2
MACD-0.2163
MACD Signal-0.1416
MACD Hist.-0.0747
BB Upper22.41 USD
BB Middle21.65 USD
BB Lower20.90 USD
BB Width6.98%
ATR (14)0.2203 USD
Vol Ratio (20d)2.71x