<SEC-DOCUMENT>0001140361-23-034450.txt : 20230713
<SEC-HEADER>0001140361-23-034450.hdr.sgml : 20230713
<ACCEPTANCE-DATETIME>20230713163026
ACCESSION NUMBER:		0001140361-23-034450
CONFORMED SUBMISSION TYPE:	13F-HR/A
PUBLIC DOCUMENT COUNT:		2
CONFORMED PERIOD OF REPORT:	20181231
FILED AS OF DATE:		20230713
DATE AS OF CHANGE:		20230713
EFFECTIVENESS DATE:		20230713

FILER:

	COMPANY DATA:	
		COMPANY CONFORMED NAME:			METLIFE INC
		CENTRAL INDEX KEY:			0001099219
		STANDARD INDUSTRIAL CLASSIFICATION:	LIFE INSURANCE [6311]
		IRS NUMBER:				134075851
		STATE OF INCORPORATION:			DE
		FISCAL YEAR END:			1231

	FILING VALUES:
		FORM TYPE:		13F-HR/A
		SEC ACT:		1934 Act
		SEC FILE NUMBER:	028-18621
		FILM NUMBER:		231087074

	BUSINESS ADDRESS:	
		STREET 1:		200 PARK AVENUE
		CITY:			NEW YORK
		STATE:			NY
		ZIP:			10166
		BUSINESS PHONE:		212-578-5500

	MAIL ADDRESS:	
		STREET 1:		200 PARK AVENUE
		CITY:			NEW YORK
		STATE:			NY
		ZIP:			10166
</SEC-HEADER>
<DOCUMENT>
<TYPE>13F-HR/A
<SEQUENCE>1
<FILENAME>primary_doc.xml
<TEXT>
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  <schemaVersion>X0202</schemaVersion>
  <headerData>
    <submissionType>13F-HR/A</submissionType>
    <filerInfo>
      <liveTestFlag>LIVE</liveTestFlag>
      <filer>
        <credentials>
          <cik>0001099219</cik>
          <ccc>XXXXXXXX</ccc>
        </credentials>
      </filer>
      <periodOfReport>12-31-2018</periodOfReport>
    </filerInfo>
  </headerData>
  <formData>
    <coverPage>
      <reportCalendarOrQuarter>12-31-2018</reportCalendarOrQuarter>
      <isAmendment>true</isAmendment>
      <amendmentNo>2</amendmentNo>
      <amendmentInfo>
        <amendmentType>RESTATEMENT</amendmentType>
      </amendmentInfo>
      <filingManager>
        <name>METLIFE INC</name>
        <address>
          <com:street1>200 PARK AVENUE</com:street1>
          <com:city>NEW YORK</com:city>
          <com:stateOrCountry>NY</com:stateOrCountry>
          <com:zipCode>10166</com:zipCode>
        </address>
      </filingManager>
      <reportType>13F COMBINATION REPORT</reportType>
      <form13FFileNumber>028-18621</form13FFileNumber>
      <otherManagersInfo>
        <otherManager>
          <cik>0000931588</cik>
          <form13FFileNumber>028-16107</form13FFileNumber>
          <name>PROVIDA PENSION FUND ADMINISTRATOR</name>
        </otherManager>
        <otherManager>
          <cik>0000728618</cik>
          <form13FFileNumber>028-00491</form13FFileNumber>
          <name>METROPOLITAN LIFE INSURANCE CO/NY</name>
        </otherManager>
        <otherManager>
          <cik>0001529735</cik>
          <form13FFileNumber>028-18628</form13FFileNumber>
          <crdNumber>000142463</crdNumber>
          <secFileNumber>801-67314</secFileNumber>
          <name>MetLife Investment Management, LLC</name>
        </otherManager>
      </otherManagersInfo>
      <provideInfoForInstruction5>Y</provideInfoForInstruction5>
      <additionalInformation>This amendment restates the 13F Combination Report filed for this quarter, as amended by the 13F amendment filed on March 23, 2023, namely to correct names of issuer, titles of class, values and share amounts of certain positions. MetLife, Inc. is the parent holding company of certain institutional investment managers. For purposes of the reporting requirements under Section 13(f) of the Securities Exchange Act of 1934 (the Act), and the rules promulgated thereunder, MetLife, Inc. itself does not exercise, and therefore disclaims, investment discretion with respect to any Section 13(f) securities positions over which its investment operating subsidiaries exercise such discretion. To the extent, however, that MetLife Inc.'s ownership interest in such subsidiaries may nevertheless give rise to a Form 13F obligation on behalf of MetLife, Inc., the information required by Form 13F is reported herein on behalf of all such subsidiaries.</additionalInformation>
    </coverPage>
    <signatureBlock>
      <name>Steven Goulart</name>
      <title>EVP &amp; Chief Investment Officer</title>
      <phone>973-355-4814</phone>
      <signature>/s/ Steven Goulart</signature>
      <city>WHIPPANY</city>
      <stateOrCountry>NJ</stateOrCountry>
      <signatureDate>07-13-2023</signatureDate>
    </signatureBlock>
    <summaryPage>
      <otherIncludedManagersCount>0</otherIncludedManagersCount>
      <tableEntryTotal>9</tableEntryTotal>
      <tableValueTotal>10825625</tableValueTotal>
    </summaryPage>
  </formData>
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<DOCUMENT>
<TYPE>INFORMATION TABLE
<SEQUENCE>2
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    <infoTable>
        <nameOfIssuer>AVAYA HLDGS CORP</nameOfIssuer>
        <titleOfClass>COM</titleOfClass>
        <cusip>05351X101</cusip>
        <value>824460</value>
        <shrsOrPrnAmt>
            <sshPrnamt>56625</sshPrnamt>
            <sshPrnamtType>SH</sshPrnamtType>
        </shrsOrPrnAmt>
        <investmentDiscretion>DFND</investmentDiscretion>
        <votingAuthority>
            <Sole>0</Sole>
            <Shared>56625</Shared>
            <None>0</None>
        </votingAuthority>
    </infoTable>
    <infoTable>
        <nameOfIssuer>CAESARS ENTMT CORP</nameOfIssuer>
        <titleOfClass>COM</titleOfClass>
        <cusip>127686103</cusip>
        <value>221517</value>
        <shrsOrPrnAmt>
            <sshPrnamt>32624</sshPrnamt>
            <sshPrnamtType>SH</sshPrnamtType>
        </shrsOrPrnAmt>
        <investmentDiscretion>DFND</investmentDiscretion>
        <votingAuthority>
            <Sole>0</Sole>
            <Shared>32624</Shared>
            <None>0</None>
        </votingAuthority>
    </infoTable>
    <infoTable>
        <nameOfIssuer>CHAPARRAL ENERGY INC</nameOfIssuer>
        <titleOfClass>COM CL A</titleOfClass>
        <cusip>15942R208</cusip>
        <value>395425</value>
        <shrsOrPrnAmt>
            <sshPrnamt>80371</sshPrnamt>
            <sshPrnamtType>SH</sshPrnamtType>
        </shrsOrPrnAmt>
        <investmentDiscretion>DFND</investmentDiscretion>
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            <Sole>0</Sole>
            <Shared>80371</Shared>
            <None>0</None>
        </votingAuthority>
    </infoTable>
    <infoTable>
        <nameOfIssuer>ISHARES INC</nameOfIssuer>
        <titleOfClass>MSCI PAC JP ETF</titleOfClass>
        <cusip>464286665</cusip>
        <value>524704</value>
        <shrsOrPrnAmt>
            <sshPrnamt>12892</sshPrnamt>
            <sshPrnamtType>SH</sshPrnamtType>
        </shrsOrPrnAmt>
        <investmentDiscretion>DFND</investmentDiscretion>
        <votingAuthority>
            <Sole>0</Sole>
            <Shared>12892</Shared>
            <None>0</None>
        </votingAuthority>
    </infoTable>
    <infoTable>
        <nameOfIssuer>ISHARES TR</nameOfIssuer>
        <titleOfClass>LATN AMER 40 ETF</titleOfClass>
        <cusip>464287390</cusip>
        <value>3426814</value>
        <shrsOrPrnAmt>
            <sshPrnamt>111188</sshPrnamt>
            <sshPrnamtType>SH</sshPrnamtType>
        </shrsOrPrnAmt>
        <investmentDiscretion>DFND</investmentDiscretion>
        <votingAuthority>
            <Sole>0</Sole>
            <Shared>111188</Shared>
            <None>0</None>
        </votingAuthority>
    </infoTable>
    <infoTable>
        <nameOfIssuer>ISHARES TR</nameOfIssuer>
        <titleOfClass>EUROPE ETF</titleOfClass>
        <cusip>464287861</cusip>
        <value>636052</value>
        <shrsOrPrnAmt>
            <sshPrnamt>16259</sshPrnamt>
            <sshPrnamtType>SH</sshPrnamtType>
        </shrsOrPrnAmt>
        <investmentDiscretion>DFND</investmentDiscretion>
        <votingAuthority>
            <Sole>0</Sole>
            <Shared>16259</Shared>
            <None>0</None>
        </votingAuthority>
    </infoTable>
    <infoTable>
        <nameOfIssuer>ISHARES INC</nameOfIssuer>
        <titleOfClass>MSCI JPN ETF NEW</titleOfClass>
        <cusip>46434G822</cusip>
        <value>672403</value>
        <shrsOrPrnAmt>
            <sshPrnamt>13265</sshPrnamt>
            <sshPrnamtType>SH</sshPrnamtType>
        </shrsOrPrnAmt>
        <investmentDiscretion>DFND</investmentDiscretion>
        <votingAuthority>
            <Sole>0</Sole>
            <Shared>13265</Shared>
            <None>0</None>
        </votingAuthority>
    </infoTable>
    <infoTable>
        <nameOfIssuer>NII HLDGS INC</nameOfIssuer>
        <titleOfClass>COM PAR</titleOfClass>
        <cusip>62913F508</cusip>
        <value>1233675</value>
        <shrsOrPrnAmt>
            <sshPrnamt>279745</sshPrnamt>
            <sshPrnamtType>SH</sshPrnamtType>
        </shrsOrPrnAmt>
        <investmentDiscretion>DFND</investmentDiscretion>
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            <Sole>0</Sole>
            <Shared>279745</Shared>
            <None>0</None>
        </votingAuthority>
    </infoTable>
    <infoTable>
        <nameOfIssuer>SPDR S&amp;P 500 ETF TR</nameOfIssuer>
        <titleOfClass>TR UNIT</titleOfClass>
        <cusip>78462F103</cusip>
        <value>2890575</value>
        <shrsOrPrnAmt>
            <sshPrnamt>11566</sshPrnamt>
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        </shrsOrPrnAmt>
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</SEC-DOCUMENT>
