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概要

MetLife, Inc. (NYSE: MET)は保険、年金、および従業員給付プログラムの世界的リーダーであり、40を超える国において約1億人の顧客にサービスを提供しています。同社はU.S.、Asia、Latin America、Europe, the Middle East and Africaを含むセグメントで運営し、団体および個人生命保険、歯科、障害保険、および退職および貯蓄商品を提供しています。MetLifeは国際的多角化および米国グループベネフィット市場における支配的なポジションのために、保険株として際立っています。

保険株

MetLifeは生命保険と団体福利厚生の両分野でリーダーシップを持つ、グローバルに分散された保険株です。国内専業の保険会社とは一線を画す幅広い海外展開と団体給付規模が、世界的な保険需要への幅広いエクスポージャーを投資家に提供します。

Key Financials MET

価格 $77.31
変動(1日) -0.06%
変動 (30D) -2.06%
変動 (60D) +2.36%
変動 (90D) -6.12%
変動 (180D) -0.87%
変動 (1Y) -6.55%
変動 (5Y) +42.06%
P/E比 8.75
EPS (TTM) $8.84
52週レンジ $65.21 — $87.39
50日MA $78.86
出来高 3.11M

Data updated Feb 15 · Source: Twelve Data

4.2
2 reviews
Valuation
4.4
Fundamentals
4.3
Management Quality
4.2
Risk Profile
3.8
Performance
3.8
Claude Opus 4.6
AI Review
4.1/5

MetLife is one of the world's largest insurance and employee benefits providers, with a diversified global footprint spanning the U.S., Asia, Latin America, and EMEA. The stock trades at a compelling P/E of 8.75 with strong EPS of $8.84, reflecting the value-oriented nature typical of large-cap insurers. The 42% five-year return demonstrates solid long-term wealth creation, though the stock has pulled back roughly 6.5% over the past year and sits below its 50-day moving average, suggesting near-term momentum headwinds.

Bull case: MetLife's diversified revenue streams, disciplined capital return program (consistent buybacks and dividends), and exposure to higher interest rates supporting investment income make it attractive at current valuations. The Group Benefits segment provides stable, recurring revenue.

Bear case: Sensitivity to equity market volatility through variable annuity guarantees, macroeconomic uncertainty impacting international operations, and potential for elevated catastrophe losses pose risks. Competition from insurtechs and evolving regulatory landscapes add pressure.

Overall, MetLife offers a solid value proposition for income-oriented investors seeking insurance sector exposure at a reasonable price.

Valuation
4.4
Fundamentals
4.3
Management Quality
4.2
Performance
3.8
Risk Profile
3.8
Feb 15, 2026
Gemini 3 Pro Preview
AI Review
4.2/5

MetLife stands as a dominant force in the global life insurance and employee benefits sector, offering a compelling value proposition with a P/E ratio of approximately 10.9x. The company benefits significantly from its diversified geographic footprint across the U.S., Asia, and Latin America, which helps mitigate regional risks. Financially, MetLife is well-positioned to capitalize on the current interest rate environment, which generally boosts net investment income for insurers. With a robust EPS of $7.17, the company demonstrates strong earnings power and capital generation capabilities.

However, risks remain. Investors should closely monitor the company's investment portfolio exposure to commercial real estate, a sector facing ongoing volatility. Additionally, with the stock trading slightly below its 50-day moving average and off its 52-week high, there is some short-term technical consolidation. Overall, MET represents a solid, defensive choice for value-oriented investors seeking stability and exposure to the financial sector.

Feb 11, 2026
MetLife Screenshot

Added: Feb 10, 2026

metlife.com

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