Stable Value

Investment Goal

MIM seeks to deliver a high degree of liquidity, principal preservation, and current income that exceeds published capital preservation indices.

Our Approach

For over 20 years our investment approach has been driven by deep fundamental research, specialized portfolio management teams, a careful security selection process, and a comprehensive approach to risk management.
Public Fixed Income Strategies Available for Stable Value1

Strategies

Strategy Assets1

Attributes

Inception Date

Fact Sheet

Short Term 1-3 Fixed Income
$13473.3 M
High quality focused, investment grade securities maturing within 1-3 years.
1997
Short Term 1-3 Fixed Income (PDF)
Intermediate Corporate Fixed Income
$2285.7 M 
Seeks exposure to diversified intermediate credit, focused on corporate fundamentals.
2013
Intermediate Corporate Fixed Income (PDF)
Short Term 1-5 Fixed Income
$3487.5 M
High quality focused, investment grade securities maturing within 1-5 years.
2002
Short Term 1-5 Fixed Income (PDF)
Core Fixed Income
$9197.2 M 
Seeks to produce risk-adjusted long-term total returns above the broad bond market by investing in a core of high-quality U.S. fixed income securities across the government, corporate and structured markets.
2000
Core Fixed Income(PDF)

Get in touch with a MetLife Investment Management professional

1 The strategies included are a sampling of Fixed Income Strategies. The strategy assets for each of Short-Term 1-3 Fixed Income, Short-Term 1-5 Fixed Income, Intermediate Corporate Fixed Income, and Core Fixed Income are also included within the total strategy assets for each of the following Short and Intermediate Duration, Corporate Bond, and Core Based and Multi-Sector.

2 As of June 30, 2025. At estimated fair value.

Investors should carefully consider their investment objectives, risks, fees, charges and expenses before investing any money. To obtain this and other information, please email icg@metlife.com to request more information. Please review the Terms of Use of this site for additional details.