Full & Historical Holdings
Prudent Investor Fund
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
Unclassified and fixed income security types are not classified by Global Industry Classification Standards (GICS). 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 | |
02079K30 | GOOGL US | Alphabet Inc Class A | 6,034 | $1,142,236.20 | 4.16% | $1,142,236.20 | 4.16% | 2,321,575.20 | Communication Services | United States | |
BNBNSG | ENX FP | Euronext NV | 8,567 | $960,193.38 | 3.50% | $960,193.38 | 3.50% | 11,682.76 | Financials | France | |
B3MSM2 | AMS SM | Amadeus IT Group SA | 13,490 | $948,984.70 | 3.46% | $948,984.70 | 3.46% | 31,691.39 | Consumer Discretionary | Spain | |
09857L10 | BKNG US | Booking Holdings Inc | 170 | $844,631.40 | 3.08% | $844,631.40 | 3.08% | 164,832.30 | Consumer Discretionary | United States | |
677172 | 005930 KS | Samsung Electronics Co Ltd | 21,166 | $764,888.90 | 2.79% | $764,888.90 | 2.79% | 245,470.92 | Information Technology | South Korea | |
BYT934 | G24 GY | Scout24 SE | 8,403 | $740,731.47 | 2.70% | $740,731.47 | 2.70% | 6,611.31 | Communication Services | Germany | |
91282CEJ | 91282CEJ | US Treasury Inflation Indexed Bonds 0.125% APR 15 27 | 737,656 | $707,221.55 | 2.58% | $707,221.54 | 2.58% | - | U.S. Governments | United States | |
91282CFR | 91282CFR | US Treasury Inflation Indexed Bonds 1.625% OCT 15 27 | 703,729 | $701,937.54 | 2.56% | $701,937.54 | 2.56% | - | U.S. Governments | United States | |
B62G1B | EDEN FP | Edenred SE | 20,702 | $676,285.14 | 2.46% | $676,285.14 | 2.46% | 8,020.98 | Financials | France | |
663955 | 7974 JP | Nintendo Co Ltd | 11,400 | $664,036.01 | 2.42% | $664,036.01 | 2.42% | 75,647.10 | Communication Services | Japan | |
BD2P9X | KBX GY | Knorr-Bremse AG | 8,964 | $653,225.03 | 2.38% | $653,225.03 | 2.38% | 11,746.97 | Industrials | Germany | |
91282CJB | 91282CJB | US Treasury Note 5% SEP 30 25 | 627,000 | $638,283.22 | 2.33% | $638,283.22 | 2.33% | - | U.S. Governments | United States | |
91282CKH | 91282CKH | US Treasury Note 4.5% MAR 31 26 | 625,000 | $633,811.10 | 2.31% | $633,811.10 | 2.31% | - | U.S. Governments | United States | |
91282CJS | 91282CJS | US Treasury Note 4.25% DEC 31 25 | 625,000 | $625,231.94 | 2.28% | $625,231.94 | 2.28% | - | U.S. Governments | United States | |
91282CKY | 91282CKY | US Treasury Note 4.625% JUN 30 26 | 619,000 | $622,393.92 | 2.27% | $622,393.92 | 2.27% | - | U.S. Governments | United States | |
BZ0P4R | INW IM | Infrastrutture Wireless Italiane SpA | 56,317 | $572,567.49 | 2.09% | $572,567.49 | 2.09% | 9,479.45 | Communication Services | Italy | |
91282CGU | 91282CGU | US Treasury Note 3.875% MAR 31 25 | 563,000 | $567,998.06 | 2.07% | $567,998.06 | 2.07% | - | U.S. Governments | United States | |
B8C3BL | SGE LN | Sage Group PLC/The | 35,501 | $560,276.42 | 2.04% | $560,276.42 | 2.04% | 15,881.89 | Information Technology | United Kingdom | |
BGDT3G | RMV LN | Rightmove PLC | 69,920 | $559,810.03 | 2.04% | $559,810.03 | 2.04% | 6,273.11 | Communication Services | United Kingdom | |
91282CHL | 91282CHL | US Treasury Note 4.625% JUN 30 25 | 553,000 | $554,401.38 | 2.02% | $554,401.38 | 2.02% | - | U.S. Governments | United States | |
B11ZRK | LR FP | Legrand SA | 5,368 | $519,492.61 | 1.89% | $519,492.61 | 1.89% | 25,379.05 | Industrials | France | |
B0CCH4 | HEIO NA | Heineken Holding NV | 8,375 | $500,724.12 | 1.82% | $500,724.12 | 1.82% | 17,220.74 | Consumer Staples | Netherlands | |
B058TZ | SAF FP | Safran SA | 2,283 | $498,712.68 | 1.82% | $498,712.68 | 1.82% | 92,540.93 | Industrials | France | |
BQV0SV | ZAL GY | Zalando SE | 14,862 | $498,637.66 | 1.82% | $498,637.66 | 1.82% | 8,854.63 | Consumer Discretionary | Germany | |
BVYTYJ | GDXJ LN | VanEck Junior Gold Miners UCITS ETF ETF | 11,127 | $423,994.34 | 1.54% | $423,994.34 | 1.54% | 461.07 | ETFs | United Kingdom | |
416279 | HO FP | Thales SA | 2,686 | $383,228.53 | 1.40% | $383,228.53 | 1.40% | 29,383.03 | Industrials | France | |
702196 | DB1 GY | Deutsche Boerse AG | 1,575 | $362,837.54 | 1.32% | $362,837.54 | 1.32% | 43,379.24 | Financials | Germany | |
51843910 | EL US | Estee Lauder Cos Inc | 4,397 | $329,687.06 | 1.20% | $329,687.06 | 1.20% | 26,916.10 | Consumer Staples | United States | |
715603 | SOON SW | Sonova Holding AG | 964 | $314,729.99 | 1.15% | $314,729.99 | 1.15% | 19,467.16 | Health Care | Switzerland | |
B1Y1SQ | JMT PL | Jeronimo Martins SGPS SA | 16,273 | $311,000.34 | 1.13% | $311,000.34 | 1.13% | 12,026.70 | Consumer Staples | Portugal | |
614168 | 4716 JP | Oracle Corp Japan | 2,900 | $277,604.87 | 1.01% | $277,604.87 | 1.01% | 12,281.51 | Information Technology | Japan | |
13637510 | CNI US | Canadian National Railway Co | 2,686 | $272,655.86 | 0.99% | $272,655.86 | 0.99% | 63,829.49 | Industrials | Canada | |
BG36ZK | B3SA3 BZ | B3 SA - Brasil Bolsa Balcao | 161,400 | $269,616.13 | 0.98% | $269,616.13 | 0.98% | 9,064.88 | Financials | Brazil | |
00846U10 | A US | Agilent Technologies Inc | 1,974 | $265,187.16 | 0.97% | $265,187.16 | 0.97% | 38,366.87 | Health Care | United States | |
505160 | HTO GA | Hellenic Telecommunications Organization SA | 15,101 | $232,758.48 | 0.85% | $232,758.48 | 0.85% | 6,392.14 | Communication Services | Greece | |
567151 | WKL NA | Wolters Kluwer NV | 1,403 | $232,705.18 | 0.85% | $232,705.18 | 0.85% | 39,560.90 | Industrials | Netherlands | |
BVYTYH | GDX LN | VanEck Gold Miners UCITS ETF ETF | 5,542 | $210,406.64 | 0.77% | $210,406.64 | 0.77% | 1,220.60 | ETFs | United Kingdom | |
31418EW3 | 31418EW3 | Fannie Mae 5.5% OCT 01 53 | 183,983 | $182,521.24 | 0.67% | $182,521.23 | 0.67% | - | Mortgage-Backed Securities | United States | |
853496AH | 853496AH | Standard Industries Inc/NY 144A 3.375% JAN 15 31 | 205,000 | $178,959.33 | 0.65% | $178,959.34 | 0.65% | - | Corporate Debt | United States | |
3133BPUC | 3133BPUC | Freddie Mac Pool 4.5% OCT 01 52 | 185,045 | $174,991.84 | 0.64% | $174,991.83 | 0.64% | - | Mortgage-Backed Securities | United States | |
350392AA | 350392AA | Foundation Building Materials Inc 144A 6% MAR 01 29 | 187,000 | $167,619.10 | 0.61% | $167,619.10 | 0.61% | - | Corporate Debt | United States | |
3137HCKQ | 3137HCKQ | Freddie Mac Multifamily Structured Pass Through Certificates 5.146% MAR 25 29 | 165,323 | $165,224.27 | 0.60% | $165,224.27 | 0.60% | - | Mortgage-Backed Securities | United States | |
44332PAJ | 44332PAJ | HUB International Ltd 144A 7.375% JAN 31 32 | 148,000 | $154,894.86 | 0.56% | $154,894.86 | 0.56% | - | Corporate Debt | United States | |
73943NAA | 73943NAA | Prairie Acquiror LP 144A 9% AUG 01 29 | 142,000 | $151,618.09 | 0.55% | $151,618.09 | 0.55% | - | Corporate Debt | United States | |
BVYVFW | AUTO LN | Auto Trader Group PLC | 14,999 | $148,475.48 | 0.54% | $148,475.48 | 0.54% | 8,803.55 | Communication Services | United Kingdom | |
039524AB | 039524AB | Arches Buyer Inc 144A 6.125% DEC 01 28 | 160,000 | $143,659.28 | 0.52% | $143,659.27 | 0.52% | - | Corporate Debt | United States | |
36179XTD | 36179XTD | Ginnie Mae II 5.5% FEB 20 53 | 141,479 | $141,394.97 | 0.52% | $141,394.96 | 0.52% | - | Mortgage-Backed Securities | United States | |
159864AJ | 159864AJ | Charles River Laboratories International Inc 144A 4% MAR 15 31 | 155,000 | $139,709.84 | 0.51% | $139,709.84 | 0.51% | - | Corporate Debt | United States | |
75606DAL | 75606DAL | Anywhere Real Estate Group LLC 144A 5.75% JAN 15 29 | 164,000 | $135,490.06 | 0.49% | $135,490.06 | 0.49% | - | Corporate Debt | United States | |
92332YAB | 92332YAB | Venture Global LNG Inc 144A 8.375% JUN 01 31 | 127,000 | $133,338.02 | 0.49% | $133,338.03 | 0.49% | - | Corporate Debt | United States | |
29365BAB | 29365BAB | Entegris Inc 144A 5.95% JUN 15 30 | 123,000 | $122,321.60 | 0.45% | $122,321.60 | 0.45% | - | Corporate Debt | United States | |
65339KBS | 65339KBS | NextEra Energy Capital Holdings Inc 5.749% SEP 01 25 | 119,000 | $122,005.90 | 0.44% | $122,005.89 | 0.44% | - | Corporate Debt | United States | |
694308KS | 694308KS | Pacific Gas and Electric Co FRB SEP 04 25 | 120,000 | $120,724.41 | 0.44% | $120,724.41 | 0.44% | - | Corporate Debt | United States | |
18539UAD | 18539UAD | Clearway Energy Operating LLC 144A 3.75% FEB 15 31 | 136,000 | $120,354.15 | 0.44% | $120,354.14 | 0.44% | - | Corporate Debt | United States | |
76774LAC | 76774LAC | Ritchie Bros Holdings Inc 144A 7.75% MAR 15 31 | 112,000 | $119,678.77 | 0.44% | $119,678.77 | 0.44% | - | Corporate Debt | Canada | |
056623AA | 056623AA | Baffinland Iron Mines Corp 144A 8.75% JUL 15 26 | 119,000 | $117,114.44 | 0.43% | $117,114.44 | 0.43% | - | Corporate Debt | Canada | |
92332YAF | 92332YAF | Venture Global LNG Inc 144A FRB MAR 30 73 | 107,000 | $113,249.35 | 0.41% | $113,249.35 | 0.41% | - | Corporate Debt | United States | |
78410GAG | 78410GAG | SBA Communications Corp 3.125% FEB 01 29 | 119,000 | $108,963.09 | 0.40% | $108,963.08 | 0.40% | - | Corporate Debt | United States | |
031162CV | 031162CV | Amgen Inc 1.9% FEB 21 25 | 108,000 | $108,310.10 | 0.39% | $108,310.10 | 0.39% | - | Corporate Debt | United States | |
25746UDE | 25746UDE | Dominion Energy Inc 3.3% MAR 15 25 | 107,000 | $107,647.87 | 0.39% | $107,647.88 | 0.39% | - | Corporate Debt | United States | |
644274AH | 644274AH | New Enterprise Stone & Lime Co Inc 144A 5.25% JUL 15 28 | 108,000 | $106,945.99 | 0.39% | $106,945.99 | 0.39% | - | Corporate Debt | United States | |
18539UAC | 18539UAC | Clearway Energy Operating LLC 144A 4.75% MAR 15 28 | 106,000 | $102,853.89 | 0.37% | $102,853.89 | 0.37% | - | Corporate Debt | United States | |
02557TAD | 02557TAD | American Electric Power Co Inc 5.699% AUG 15 25 | 99,000 | $101,558.12 | 0.37% | $101,558.12 | 0.37% | - | Corporate Debt | United States | |
907818ES | 907818ES | Union Pacific Corp 3.75% JUL 15 25 | 100,000 | $101,272.12 | 0.37% | $101,272.12 | 0.37% | - | Corporate Debt | United States | |
00287YCX | 00287YCX | AbbVie Inc 3.8% MAR 15 25 | 98,000 | $98,919.49 | 0.36% | $98,919.49 | 0.36% | - | Corporate Debt | United States | |
268317AS | 268317AS | Electricite de France SA 144A 3.625% OCT 13 25 | 99,000 | $98,819.66 | 0.36% | $98,819.66 | 0.36% | - | Non U.S. Markets | France | |
78410GAD | 78410GAD | SBA Communications Corp 3.875% FEB 15 27 | 101,000 | $98,168.28 | 0.36% | $98,168.28 | 0.36% | - | Corporate Debt | United States | |
101137AZ | 101137AZ | Boston Scientific Corp 1.9% JUN 01 25 | 98,000 | $97,010.90 | 0.35% | $97,010.89 | 0.35% | - | Corporate Debt | United States | |
842400GN | 842400GN | Southern California Edison Co 3.7% AUG 01 25 | 96,000 | $96,791.65 | 0.35% | $96,791.65 | 0.35% | - | Corporate Debt | United States | |
284902AF | 284902AF | Eldorado Gold Corp 144A 6.25% SEP 01 29 | 94,000 | $94,618.45 | 0.34% | $94,618.46 | 0.34% | - | Emerging Markets | Turkey | |
36179YYU | 36179YYU | Ginnie Mae II 4.5% JUN 20 54 | 98,876 | $93,884.36 | 0.34% | $93,884.36 | 0.34% | - | Mortgage-Backed Securities | United States | |
451102CK | 451102CK | Icahn Enterprises LP 144A 10% NOV 15 29 | 81,000 | $82,113.77 | 0.30% | $82,113.77 | 0.30% | - | Corporate Debt | United States | |
450913AF | 450913AF | IAMGOLD Corp 144A 5.75% OCT 15 28 | 80,000 | $78,507.09 | 0.29% | $78,507.09 | 0.29% | - | Emerging Markets | Burkina Faso | |
3136BTGM | 3136BTGM | Fannie Mae-Aces 2.905% JUL 25 27 | 78,939 | $76,136.12 | 0.28% | $76,136.12 | 0.28% | - | Mortgage-Backed Securities | United States | |
36179Y5L | 36179Y5L | Ginnie Mae II 5.5% AUG 20 54 | 74,453 | $74,242.48 | 0.27% | $74,242.48 | 0.27% | - | Mortgage-Backed Securities | United States | |
893647BS | 893647BS | TransDigm Inc 144A 6.875% DEC 15 30 | 72,000 | $73,290.98 | 0.27% | $73,290.98 | 0.27% | - | Corporate Debt | United States | |
3618N5A3 | 3618N5A3 | Ginnie Mae II 5% NOV 20 54 | 74,998 | $73,109.65 | 0.27% | $73,109.65 | 0.27% | - | Mortgage-Backed Securities | United States | |
05605HAB | 05605HAB | BWX Technologies Inc 144A 4.125% JUN 30 28 | 76,000 | $71,165.31 | 0.26% | $71,165.30 | 0.26% | - | Corporate Debt | United States | |
879369AF | 879369AF | Teleflex Inc 4.625% NOV 15 27 | 65,000 | $63,372.75 | 0.23% | $63,372.75 | 0.23% | - | Corporate Debt | United States | |
44332PAH | 44332PAH | HUB International Ltd 144A 7.25% JUN 15 30 | 60,000 | $61,678.34 | 0.22% | $61,678.35 | 0.22% | - | Corporate Debt | United States | |
91740PAG | 91740PAG | USA Compression Partners LP 144A 7.125% MAR 15 29 | 50,000 | $51,931.33 | 0.19% | $51,931.33 | 0.19% | - | Corporate Debt | United States | |
3133C8PQ | 3133C8PQ | Freddie Mac Pool 6% JUL 01 53 | 49,372 | $49,867.12 | 0.18% | $49,867.12 | 0.18% | - | Mortgage-Backed Securities | United States | |
92933BAQ | 92933BAQ | WMG Acquisition Corp 144A 3.875% JUL 15 30 | 50,000 | $46,452.57 | 0.17% | $46,452.57 | 0.17% | - | Corporate Debt | United States | |
36179YHS | 36179YHS | Ginnie Mae II 5.5% OCT 20 53 | 45,953 | $45,867.90 | 0.17% | $45,867.89 | 0.17% | - | Mortgage-Backed Securities | United States | |
05605HAC | 05605HAC | BWX Technologies Inc 144A 4.125% APR 15 29 | 42,000 | $39,347.36 | 0.14% | $39,347.36 | 0.14% | - | Corporate Debt | United States | |
EQD00590 | EQD00590 | Standard & Poors Index Option MAR 21 25 P4600 OTC | -2 | $-2,260.00 | -0.01% | $38,230.60 | 0.14% | - | Index Options | United States | |
3140A0BT | 3140A0BT | Fannie Mae 6.5% SEP 01 53 | 37,147 | $38,203.66 | 0.14% | $38,203.66 | 0.14% | - | Mortgage-Backed Securities | United States | |
3132D6EP | 3132D6EP | Freddie Mac Pool 4.5% JUL 01 38 | 38,549 | $37,855.53 | 0.14% | $37,855.53 | 0.14% | - | Mortgage-Backed Securities | United States | |
02156K10 | ATUS US | Altice USA Inc | 14,450 | $34,824.50 | 0.13% | $34,824.50 | 0.13% | 1,111.47 | Communication Services | United States | |
3137HBPH | 3137HBPH | Freddie Mac Multifamily Structured Pass Through Certificates 5.266% JAN 25 31 | 28,196 | $28,306.98 | 0.10% | $28,306.98 | 0.10% | - | Mortgage-Backed Securities | United States | |
92332YAA | 92332YAA | Venture Global LNG Inc 144A 8.125% JUN 01 28 | 17,000 | $17,800.08 | 0.06% | $17,800.08 | 0.06% | - | Corporate Debt | United States | |
505713AB | 505713AB | LAD Auto Receivables Trust 2023-2 144A 5.93% JUN 15 27 | 13,375 | $13,446.65 | 0.05% | $13,446.65 | 0.05% | - | Asset Backed Securities | United States | |
EQU05034 | EQU05034 | Walmart Inc | 87 | $2,088.00 | 0.01% | $-31,127.38 | -0.11% | - | Equity Options | United States | |
EQD00539 | EQD00539 | Russell 2000 Index DEC 19 25 P1400 OTC | 6 | $8,100.00 | 0.03% | $-52,319.51 | -0.19% | - | Index Options | United States | |
EQD00578 | EQD00578 | Russell 2000 Index JUN 20 25 P1700 OTC | 5 | $7,450.00 | 0.03% | $-77,498.00 | -0.28% | - | Index Options | United States | |
EQI00089 | EQI00089 | Euro Stoxx 50 Index Option SEP 19 25 P3500 OTC | 28 | $9,020.18 | 0.03% | $-84,917.21 | -0.31% | - | Index Options | Germany | |
EQI00097 | EQI00097 | Euro Stoxx 50 Index SEP 19 25 P3800 OTC | 32 | $15,778.07 | 0.06% | $-153,686.76 | -0.56% | - | Index Options | Germany | |
EQD00586 | EQD00586 | Standard & Poors 500 Index MAR 21 25 P5200 OTC | 3 | $8,550.00 | 0.03% | $-162,862.33 | -0.59% | - | Index Options | United States | |
EQD00588 | EQD00588 | Standard & Poors Index Option MAR 21 25 P5400 OTC | 2 | $8,836.00 | 0.03% | $-168,685.15 | -0.61% | - | Index Options | United States | |
EQD00576 | EQD00576 | Standard & Poors 500 Index JUN 20 25 P4800 OTC | 4 | $17,360.00 | 0.06% | $-198,563.83 | -0.72% | - | Index Options | United States | |
EQI00099 | EQI00099 | Euro Stoxx 50 Index DEC 19 25 P4000 OTC | 36 | $33,636.12 | 0.12% | $-276,964.81 | -1.01% | - | Index Options | Germany | |
CASH | CASH | Cash & Cash Equivalents | - | $1,537,968.02 | 5.60% | $1,530,819.76 | 5.58% | - | - | - | |
CASH_DERV | CASH_DERV | Other | - | $427,182.22 | 1.56% | $1,711,283.25 | 6.24% | - | - | - |
*Short positions, unlike long positions, lose value if the underlying asset gains value.
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.
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.