Full & Historical Holdings

Blended Research® Growth Equity Fund


View Historical Holdings by Month
Based on Market Value Based on Equivalent Exposure
CUSIP/SEDOL Ticker Securities
(on 12-31-24)
Shares or Par Amount Value Percent of Net Assets Value Percent of Net Assets Market Cap ($mm) GICS Sectors

The Global Industry Classification Standard (GICS®) was developed by and/or is the exclusive property of MSCI, Inc. and S&P Global Market Intelligence Inc. ("S&P Global Market Intelligence"). GICS is a service mark of MSCI and S&P Global Market Intelligence and has been licensed for use by MFS. MFS has applied its own internal sector/industry classification methodology for equity securities and non-equity securities that are unclassified by GICS.

Country
67066G10 NVDA US NVIDIA Corp 338,995 $45,523,638.55 11.64% $45,523,638.55 11.64% 3,291,179.32 Information Technology United States
03783310 AAPL US Apple Inc 178,288 $44,646,880.96 11.42% $44,646,880.96 11.42% 3,785,545.55 Information Technology United States
59491810 MSFT US Microsoft Corp 89,254 $37,620,561.00 9.62% $37,620,561.00 9.62% 3,134,274.00 Information Technology United States
02313510 AMZN US Amazon.com Inc 130,944 $28,727,804.16 7.35% $28,727,804.16 7.35% 2,306,888.26 Consumer Discretionary United States
02079K30 GOOGL US Alphabet Inc Class A 100,566 $19,037,143.80 4.87% $19,037,143.80 4.87% 2,321,575.20 Communication Services United States
30303M10 META US Meta Platforms Inc 30,557 $17,891,429.07 4.58% $17,891,429.07 4.58% 1,477,827.24 Communication Services United States
02079K10 GOOG US Alphabet Inc Class C 63,593 $12,110,650.92 3.10% $12,110,650.92 3.10% 2,335,556.16 Communication Services United States
88160R10 TSLA US Tesla Inc 26,437 $10,676,318.08 2.73% $10,676,318.08 2.73% 1,296,350.47 Consumer Discretionary United States
11135F10 AVGO US Broadcom Inc 38,295 $8,878,312.80 2.27% $8,878,312.80 2.27% 1,086,716.62 Information Technology United States
81762P10 NOW US ServiceNow Inc 7,456 $7,904,254.72 2.02% $7,904,254.72 2.02% 218,720.78 Information Technology United States
09857L10 BKNG US Booking Holdings Inc 1,295 $6,434,103.90 1.65% $6,434,103.90 1.65% 164,832.30 Consumer Discretionary United States
L8681T10 SPOT US Spotify Technology SA 13,709 $6,133,132.42 1.57% $6,133,132.42 1.57% 90,406.10 Communication Services Sweden
02581610 AXP US American Express Co 16,809 $4,988,743.11 1.28% $4,988,743.11 1.28% 209,072.20 Financials United States
03076C10 AMP US Ameriprise Financial Inc 9,320 $4,962,247.60 1.27% $4,962,247.60 1.27% 51,762.84 Financials United States
23804L10 DDOG US Datadog Inc 31,950 $4,565,335.50 1.17% $4,565,335.50 1.17% 48,478.29 Information Technology United States
29452E10 EQH US Equitable Holdings Inc 96,574 $4,555,395.58 1.17% $4,555,395.58 1.17% 14,880.48 Financials United States
03822210 AMAT US Applied Materials Inc 27,909 $4,538,840.67 1.16% $4,538,840.67 1.16% 133,031.34 Information Technology United States
53245710 LLY US Eli Lilly & Co 5,738 $4,429,736.00 1.13% $4,429,736.00 1.13% 732,871.72 Health Care United States
05276910 ADSK US Autodesk Inc 14,768 $4,364,977.76 1.12% $4,364,977.76 1.12% 63,547.55 Information Technology United States
92345Y10 VRSK US Verisk Analytics Inc 15,450 $4,255,393.50 1.09% $4,255,393.50 1.09% 38,944.98 Industrials United States
03831W10 APP US AppLovin Corp 12,943 $4,191,331.69 1.07% $4,191,331.69 1.07% 108,638.81 Information Technology United States
51280730 LRCX US Lam Research Corp 57,008 $4,117,687.84 1.05% $4,117,687.84 1.05% 93,318.27 Information Technology United States
92247510 VEEV US Veeva Systems Inc 19,249 $4,047,102.25 1.04% $4,047,102.25 1.04% 34,134.16 Health Care United States
40171V10 GWRE US Guidewire Software Inc 23,022 $3,881,048.76 0.99% $3,881,048.76 0.99% 14,079.68 Information Technology United States
66585910 NTRS US Northern Trust Corp 37,067 $3,799,367.50 0.97% $3,799,367.50 0.97% 20,317.40 Financials United States
49436810 KMB US Kimberly-Clark Corp 28,861 $3,781,945.44 0.97% $3,781,945.44 0.97% 43,704.98 Consumer Staples United States
62937750 NRG US NRG Energy Inc 41,283 $3,724,552.26 0.95% $3,724,552.26 0.95% 18,488.69 Utilities United States
58155Q10 MCK US McKesson Corp 6,456 $3,679,338.96 0.94% $3,679,338.96 0.94% 72,378.57 Health Care United States
87612E10 TGT US Target Corp 26,803 $3,623,229.54 0.93% $3,623,229.54 0.93% 62,080.74 Consumer Staples United States
26210C10 DBX US Dropbox Inc 114,869 $3,450,664.76 0.88% $3,450,664.76 0.88% 9,201.25 Information Technology United States
71708110 PFE US Pfizer Inc 125,334 $3,325,111.02 0.85% $3,325,111.02 0.85% 150,345.24 Health Care United States
51281610 LAMR US Lamar Advertising Co REIT 26,886 $3,273,101.64 0.84% $3,273,101.64 0.84% 12,461.06 Real Estate United States
79466L30 CRM US Salesforce Inc 9,704 $3,244,338.32 0.83% $3,244,338.32 0.83% 319,953.81 Information Technology United States
74752510 QCOM US QUALCOMM Inc 20,427 $3,137,995.74 0.80% $3,137,995.74 0.80% 170,979.06 Information Technology United States
00287Y10 ABBV US AbbVie Inc 17,445 $3,099,976.50 0.79% $3,099,976.50 0.79% 314,020.85 Health Care United States
12552310 CI US Cigna Group 11,089 $3,062,116.46 0.78% $3,062,116.46 0.78% 77,274.74 Health Care United States
46266C10 IQV US IQVIA Holdings Inc 15,018 $2,951,187.18 0.75% $2,951,187.18 0.75% 35,686.22 Health Care United States
57459910 MAS US Masco Corp 39,097 $2,837,269.29 0.73% $2,837,269.29 0.73% 15,656.90 Industrials United States
52532710 LDOS US Leidos Holdings Inc 19,612 $2,825,304.72 0.72% $2,825,304.72 0.72% 19,222.37 Industrials United States
97415510 WING US Wingstop Inc 9,424 $2,678,300.80 0.68% $2,678,300.80 0.68% 8,302.13 Consumer Discretionary United States
92826C83 V US Visa Inc 8,180 $2,585,207.20 0.66% $2,585,207.20 0.66% 621,334.64 Financials United States
12008R10 BLDR US Builders FirstSource Inc 16,946 $2,422,091.78 0.62% $2,422,091.78 0.62% 16,516.56 Industrials United States
36665110 IT US Gartner Inc 4,522 $2,190,773.34 0.56% $2,190,773.34 0.56% 37,549.82 Information Technology United States
41805610 HAS US Hasbro Inc 37,102 $2,074,372.82 0.53% $2,074,372.82 0.53% 7,799.52 Consumer Discretionary United States
N6596X10 NXPI US NXP Semiconductors NV 9,741 $2,024,666.85 0.52% $2,024,666.85 0.52% 52,826.24 Information Technology United States
03209510 APH US Amphenol Corp 28,471 $1,977,310.95 0.51% $1,977,310.95 0.51% 83,729.82 Information Technology United States
77829610 ROST US Ross Stores Inc 12,786 $1,934,138.22 0.49% $1,934,138.22 0.49% 49,958.13 Consumer Discretionary United States
57636Q10 MA US Mastercard Inc 3,397 $1,788,758.29 0.46% $1,788,758.29 0.46% 484,286.43 Financials United States
48020Q10 JLL US Jones Lang LaSalle Inc 6,959 $1,761,601.26 0.45% $1,761,601.26 0.45% 12,017.06 Real Estate United States
60819010 MHK US Mohawk Industries Inc 14,018 $1,669,964.34 0.43% $1,669,964.34 0.43% 7,519.64 Consumer Discretionary United States
90225210 TYL US Tyler Technologies Inc 2,866 $1,652,650.24 0.42% $1,652,650.24 0.42% 24,679.38 Information Technology United States
04946810 TEAM US Atlassian Corp Ltd 5,616 $1,366,822.08 0.35% $1,366,822.08 0.35% 63,451.36 Information Technology United States
73317470 BPOP US Popular Inc 13,627 $1,281,755.62 0.33% $1,281,755.62 0.33% 6,752.29 Financials United States
74968510 RPM US RPM International Inc 10,311 $1,268,871.66 0.32% $1,268,871.66 0.32% 15,838.07 Materials United States
21871X10 CRBG US Corebridge Financial Inc 38,085 $1,139,884.05 0.29% $1,139,884.05 0.29% 17,191.55 Financials United States
19416210 CL US Colgate-Palmolive Co 12,329 $1,120,829.39 0.29% $1,120,829.39 0.29% 74,274.47 Consumer Staples United States
92532F10 VRTX US Vertex Pharmaceuticals Inc 2,274 $915,739.80 0.23% $915,739.80 0.23% 103,775.79 Health Care United States
34354P10 FLS US Flowserve Corp 15,613 $898,059.76 0.23% $898,059.76 0.23% 7,556.78 Industrials United States
45337C10 INCY US Incyte Corp 12,403 $856,675.21 0.22% $856,675.21 0.22% 13,316.56 Health Care United States
87254010 TJX US TJX Cos Inc 6,432 $777,049.92 0.20% $777,049.92 0.20% 135,833.45 Consumer Discretionary United States
92840M10 VST US Vistra Corp 5,616 $774,277.92 0.20% $774,277.92 0.20% 46,974.65 Utilities United States
12201710 BURL US Burlington Stores Inc 2,255 $642,810.30 0.16% $642,810.30 0.16% 18,095.89 Consumer Discretionary United States
88268110 TXRH US Texas Roadhouse Inc 3,199 $577,195.57 0.15% $577,195.57 0.15% 12,037.22 Consumer Discretionary United States
45232710 ILMN US Illumina Inc 4,051 $541,335.13 0.14% $541,335.13 0.14% 21,193.72 Health Care United States
43707610 HD US Home Depot Inc 1,250 $486,237.50 0.12% $486,237.50 0.12% 386,408.12 Consumer Discretionary United States
69365610 PVH US PVH Corp 3,796 $401,427.00 0.10% $401,427.00 0.10% 5,883.21 Consumer Discretionary United States
22160K10 COST US Costco Wholesale Corp 360 $329,857.20 0.08% $329,857.20 0.08% 406,770.74 Consumer Staples United States
71344810 PEP US PepsiCo Inc 1,862 $283,135.72 0.07% $283,135.72 0.07% 208,778.38 Consumer Staples United States
58933Y10 MRK US Merck & Co Inc 2,166 $215,473.68 0.06% $215,473.68 0.06% 251,886.34 Health Care United States
CASH CASH Cash & Cash Equivalents - $4,050,618.76 1.04% $4,050,618.76 1.04% - - -

*Short positions, unlike long positions, lose value if the underlying asset gains value.

Portfolio characteristics are based on equivalent exposure, which measures how a portfolio's value would change due to price changes in an asset held either directly or, in the case of a derivative contract, indirectly. The market value of the holding may differ.

The list of portfolio holdings is as of the date shown and may not represent current or future portfolio composition. This information should not be construed as a recommendation to buy or sell any of the securities mentioned.

This portfolio data has not been audited or adjusted for certain financial statement reclassifications. An audit could potentially result in adjustments to this data. For adjusted holdings information, please refer to the fund's quarterly portfolio holdings and semiannual reports. For audited portfolio holdings information, please refer to the fund's annual report.

A complete list of portfolio holdings for each MFS fund is generally available on mfs.com at the earliest, 19 days after the end of each month. Top 10 portfolio holdings are generally available at the earliest, 11 calendar days after the end of each month.

When posting a fund's top 10 securities holdings, if applicable, for funds with significant investments in both equity and debt instrument securities, the fund's top 10 equity and top 10 debt instrument securities will be made available. In addition, for funds that primarily invest in shares of MFS funds, when posting a fund's top 10 securities holdings, all of the following, as applicable, will be posted all securities positions in shares of MFS funds, top 10 aggregated equity securities contained within fund investments and top 10 aggregated debt instrument securities positions contained within underlying fund investments.

 

This website is a general communication and is provided for informational and/or educational purposes only. None of the content should be viewed as a suggestion that you take or refrain from taking any action nor as a recommendation for any specific investment product, strategy, plan feature or other such purpose. Your use of this website indicates that you agree with the intended purpose. Prior to making any investment or financial decision, you should seek individualized advice from a personal financial, tax, and other professionals who are able to provide advice in the context of your particular financial situation.

The information provided on this page should be read in conjunction with the fund's prospectus or summary prospectus for the portfolio being offered, which are available online here or by contacting MFS. Consider the fund's investment objectives, risks, charges, and expenses, and otherwise read these documents carefully before you invest. Shares of the funds are not FDIC-insured and are not deposits or other obligations of, or guaranteed by, any bank. Shares of the funds involve investment risk, including possible loss of principal. 

MFS registered investment products are offered through MFS® Fund Distributors, Inc., Member SIPC, 111 Huntington Avenue, Boston, MA 02199.

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