10-K Filing
Filing Information
| Form Type | 10-K |
| Accession Number | 0000937834-14-000016 |
| Period End Date | 20131231 |
| Filing Date | 20140325 |
| Fiscal Year | 2013 |
| Fiscal Period | FY |
| XBRL Instance | mpt-20131231.xml |
Filing Contents
This filing contains the following financial statements:
Balance Sheet
42 line items
| Line Item | Tag | Value | Unit | Period |
|---|---|---|---|---|
| Equity securities, at estimated fair value (cost: $2,777,076 and $2,937,474, respectively) |
AvailableForSaleSecuritiesEquitySecurities
|
$6.66B | USD | Point-in-time |
| Cost of equity securities available-for-sale |
AvailableForSaleEquitySecuritiesAmortizedCostBasis
|
$2.78B | USD | Point-in-time |
| Cost of equity securities available-for-sale |
AvailableForSaleEquitySecuritiesAmortizedCostBasis
|
$2.94B | USD | Point-in-time |
| Equity securities, at estimated fair value (cost: $2,777,076 and $2,937,474, respectively) |
AvailableForSaleSecuritiesEquitySecurities
|
$10.30B | USD | Point-in-time |
| Cash |
Cash
|
$48.00K | USD | Point-in-time |
| Trusts Interests Outstanding |
TrustInterestsOutstanding
|
190.94M | shares | Point-in-time |
| Cash |
Cash
|
$43.00K | USD | Point-in-time |
| Trusts Interests Outstanding |
TrustInterestsOutstanding
|
202.34M | shares | Point-in-time |
| Trusts Interests Outstanding |
TrustInterestsOutstanding
|
212.89M | shares | Point-in-time |
| Trusts Interests Outstanding |
TrustInterestsOutstanding
|
222.32M | shares | Point-in-time |
| Net asset value |
AssetsNet
|
$9.88B | USD | Point-in-time |
| Receivable for equity securities sold |
AccountsReceivableNet
|
$3.71M | USD | Point-in-time |
| Net asset value |
AssetsNet
|
$10.30B | USD | Point-in-time |
| Receivable for equity securities sold |
AccountsReceivableNet
|
$4.21M | USD | Point-in-time |
| Net asset value |
AssetsNet
|
$6.66B | USD | Point-in-time |
| Net asset value |
AssetsNet
|
$6.64B | USD | Point-in-time |
| Dividends receivable from MetLife, Inc. |
DueFromRelatedParties
|
$80.45M | USD | Point-in-time |
| Dividends receivable from MetLife, Inc. |
DueFromRelatedParties
|
$96.44M | USD | Point-in-time |
| Total assets |
Assets
|
$10.38B | USD | Point-in-time |
| Total assets |
Assets
|
$6.77B | USD | Point-in-time |
| Payable for equity securities purchased |
AccountsPayableCurrentAndNoncurrent
|
$43.00K | USD | Point-in-time |
| Payable for equity securities purchased |
AccountsPayableCurrentAndNoncurrent
|
$48.00K | USD | Point-in-time |
| Payable for Trust Interests redeemed |
PayableForTrustsInterestsRedeemed
|
$4.21M | USD | Point-in-time |
| Payable for Trust Interests redeemed |
PayableForTrustsInterestsRedeemed
|
$3.71M | USD | Point-in-time |
| Dividends payable to Trust Beneficiaries |
DividendsPayableToTrustBeneficiaries
|
$80.45M | USD | Point-in-time |
| Dividends payable to Trust Beneficiaries |
DividendsPayableToTrustBeneficiaries
|
$96.44M | USD | Point-in-time |
| Total liabilities |
Liabilities
|
$84.70M | USD | Point-in-time |
| Total liabilities |
Liabilities
|
$100.20M | USD | Point-in-time |
| Net assets |
AssetsNet
|
$9.88B | USD | Point-in-time |
| Net assets |
AssetsNet
|
$10.30B | USD | Point-in-time |
| Net assets |
AssetsNet
|
$6.66B | USD | Point-in-time |
| Net assets |
AssetsNet
|
$6.64B | USD | Point-in-time |
| Trust Interests |
TrustInterestsHeldInTrust
|
$2.78B | USD | Point-in-time |
| Trust Interests |
TrustInterestsHeldInTrust
|
$2.94B | USD | Point-in-time |
| Net unrealized investment gains |
AccumulatedOtherComprehensiveIncomeLossNetOfTax
|
$3.73B | USD | Point-in-time |
| Net unrealized investment gains |
AccumulatedOtherComprehensiveIncomeLossNetOfTax
|
$7.52B | USD | Point-in-time |
| Net assets available for Trust Interests outstanding |
AssetsNet
|
$9.88B | USD | Point-in-time |
| Net assets available for Trust Interests outstanding |
AssetsNet
|
$10.30B | USD | Point-in-time |
| Net assets available for Trust Interests outstanding |
AssetsNet
|
$6.66B | USD | Point-in-time |
| Net assets available for Trust Interests outstanding |
AssetsNet
|
$6.64B | USD | Point-in-time |
| Net asset value per Trust Interest of ($10,295,236/190,935,381) and ($6,664,924/202,335,289) at December 31, 2013 and 2012, respectively |
NetAssetValue
|
$53.92 | USD | Point-in-time |
| Net asset value per Trust Interest of ($10,295,236/190,935,381) and ($6,664,924/202,335,289) at December 31, 2013 and 2012, respectively |
NetAssetValue
|
$32.94 | USD | Point-in-time |
Income Statement
15 line items
| Line Item | Tag | Value | Unit | Period |
|---|---|---|---|---|
| Net investment income |
NetInvestmentIncome
|
$198.16M | USD | Annual |
| Net investment income |
NetInvestmentIncome
|
$150.58M | USD | Annual |
| Net investment income |
NetInvestmentIncome
|
$158.21M | USD | Annual |
| Net realized investment gains |
RealizedInvestmentGainsLosses
|
$168.29M | USD | Annual |
| Net realized investment gains |
RealizedInvestmentGainsLosses
|
$127.56M | USD | Annual |
| Net realized investment gains |
RealizedInvestmentGainsLosses
|
$268.04M | USD | Annual |
| Change in net unrealized investment gains |
UnrealizedGainLossOnInvestments
|
$-3.11B | USD | Annual |
| Change in net unrealized investment gains |
UnrealizedGainLossOnInvestments
|
$176.13M | USD | Annual |
| Change in net unrealized investment gains |
UnrealizedGainLossOnInvestments
|
$3.79B | USD | Annual |
| Total net investment gains (losses) |
GainLossOnInvestments
|
$303.69M | USD | Annual |
| Total net investment gains (losses) |
GainLossOnInvestments
|
$4.06B | USD | Annual |
| Total net investment gains (losses) |
GainLossOnInvestments
|
$-2.94B | USD | Annual |
| Net increase (decrease) in net assets resulting from operations |
NetIncreaseDecreaseInNetAssetsResultingFromOperations
|
$-2.78B | USD | Annual |
| Net increase (decrease) in net assets resulting from operations |
NetIncreaseDecreaseInNetAssetsResultingFromOperations
|
$4.26B | USD | Annual |
| Net increase (decrease) in net assets resulting from operations |
NetIncreaseDecreaseInNetAssetsResultingFromOperations
|
$454.27M | USD | Annual |
Data is extracted from SEC EDGAR XBRL filings. Values shown are as reported in the filing.