Full & Historical Holdings

Massachusetts Investors Growth Stock Fund


View Historical Holdings by Month
Based on Market Value Based on Equivalent Exposure
CUSIP/SEDOL Ticker Securities
(on 10-31-24)
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
59491810 MSFT US Microsoft Corp 3,691,933 $1,500,216,974.55 11.88% $1,500,216,974.55 11.88% 3,021,618.60 Information Technology United States
03783310 AAPL US Apple Inc 3,297,701 $744,983,632.91 5.90% $744,983,632.91 5.90% 3,434,766.59 Information Technology United States
67066G10 NVDA US NVIDIA Corp 5,236,158 $695,152,336.08 5.50% $695,152,336.08 5.50% 3,260,851.12 Information Technology United States
02079K30 GOOGL US Alphabet Inc Class A 3,822,567 $654,079,439.37 5.18% $654,079,439.37 5.18% 2,098,493.04 Communication Services United States
92826C83 V US Visa Inc 2,027,046 $587,539,283.10 4.65% $587,539,283.10 4.65% 575,062.40 Financials United States
G1151C10 ACN US Accenture PLC 1,295,938 $446,865,341.16 3.54% $446,865,341.16 3.54% 215,609.05 Information Technology United States
G0403H10 AON US Aon PLC 878,938 $322,455,984.06 2.55% $322,455,984.06 2.55% 79,427.36 Financials United States
87403910 TSM US Taiwan Semiconductor Manufacturing Co Ltd ADR 1,590,145 $302,986,228.30 2.40% $302,986,228.30 2.40% 988,244.67 Information Technology Taiwan
17134010 CHD US Church & Dwight Co Inc 2,949,803 $294,714,817.73 2.33% $294,714,817.73 2.33% 24,459.46 Consumer Staples United States
79466L30 CRM US Salesforce Inc 935,705 $272,636,365.85 2.16% $272,636,365.85 2.16% 279,132.46 Information Technology United States
00846U10 A US Agilent Technologies Inc 2,073,642 $270,216,289.02 2.14% $270,216,289.02 2.14% 37,468.03 Health Care United States
03027X10 AMT US American Tower Corp REIT 1,202,305 $256,740,209.70 2.03% $256,740,209.70 2.03% 99,784.98 Real Estate United States
33773810 FI US Fiserv Inc 1,198,361 $237,155,641.90 1.88% $237,155,641.90 1.88% 112,803.00 Financials United States
G2918310 ETN US Eaton Corp PLC 714,726 $236,988,847.08 1.88% $236,988,847.08 1.88% 132,002.00 Industrials United States
03209510 APH US Amphenol Corp 3,459,087 $231,828,010.74 1.84% $231,828,010.74 1.84% 80,800.18 Information Technology United States
G8473T10 STE US STERIS PLC 1,030,619 $228,642,825.15 1.81% $228,642,825.15 1.81% 21,918.56 Health Care United States
07588710 BDX US Becton Dickinson & Co 936,554 $218,769,648.86 1.73% $218,769,648.86 1.73% 67,517.42 Health Care United States
71344810 PEP US PepsiCo Inc 1,270,953 $211,079,874.24 1.67% $211,079,874.24 1.67% 228,027.84 Consumer Staples United States
65410610 NKE US NIKE Inc 2,644,244 $203,950,539.72 1.61% $203,950,539.72 1.61% 115,000.83 Consumer Discretionary United States
44351060 HUBB US Hubbell Inc 476,079 $203,300,015.37 1.61% $203,300,015.37 1.61% 22,923.40 Industrials United States
BMMV2K 700 HK Tencent Holdings Ltd 3,523,500 $183,379,182.16 1.45% $183,379,182.16 1.45% 486,856.35 Communication Services China
77829610 ROST US Ross Stores Inc 1,239,131 $173,131,383.32 1.37% $173,131,383.32 1.37% 46,397.52 Consumer Discretionary United States
12589610 CMS US CMS Energy Corp 2,444,902 $170,189,628.22 1.35% $170,189,628.22 1.35% 20,799.47 Utilities United States
10113710 BSX US Boston Scientific Corp 1,994,730 $167,597,214.60 1.33% $167,597,214.60 1.33% 123,730.04 Health Care United States
57978020 MKC US McCormick & Co Inc/MD 2,117,107 $165,642,451.68 1.31% $165,642,451.68 1.31% 20,996.25 Consumer Staples United States
57636Q10 MA US Mastercard Inc 325,618 $162,675,496.62 1.29% $162,675,496.62 1.29% 459,622.80 Financials United States
G8705210 TEL US TE Connectivity PLC 1,082,519 $159,584,950.98 1.26% $159,584,950.98 1.26% 44,803.69 Information Technology United States
89400J10 TRU US TransUnion 1,563,037 $158,335,648.10 1.25% $158,335,648.10 1.25% 19,743.37 Industrials United States
61536910 MCO US Moody's Corp 348,687 $158,317,845.48 1.25% $158,317,845.48 1.25% 82,286.12 Financials United States
406141 MC FP LVMH Moet Hennessy Louis Vuitton SE 238,664 $158,308,205.91 1.25% $158,308,205.91 1.25% 331,748.97 Consumer Discretionary France
82434810 SHW US Sherwin-Williams Co 427,843 $153,497,233.11 1.22% $153,497,233.11 1.22% 90,357.40 Materials United States
57174810 MMC US Marsh & McLennan Cos Inc 690,769 $150,753,426.56 1.19% $150,753,426.56 1.19% 107,182.36 Financials United States
36665110 IT US Gartner Inc 296,141 $148,810,852.50 1.18% $148,810,852.50 1.18% 38,941.74 Information Technology United States
68902V10 OTIS US Otis Worldwide Corp 1,491,335 $146,449,097.00 1.16% $146,449,097.00 1.16% 39,407.66 Industrials United States
51843910 EL US Estee Lauder Cos Inc 2,051,037 $141,398,490.78 1.12% $141,398,490.78 1.12% 24,728.02 Consumer Staples United States
88355610 TMO US Thermo Fisher Scientific Inc 246,008 $134,399,090.56 1.06% $134,399,090.56 1.06% 208,692.05 Health Care United States
G4705A10 ICLR US ICON PLC 602,811 $133,890,351.21 1.06% $133,890,351.21 1.06% 18,337.26 Health Care United States
25468710 DIS US Walt Disney Co 1,381,754 $132,924,734.80 1.05% $132,924,734.80 1.05% 174,699.20 Communication Services United States
13646K10 CP US Canadian Pacific Kansas City Ltd 1,718,500 $132,599,460.00 1.05% $132,599,460.00 1.05% 72,016.89 Industrials Canada
BPCPYH BAM CN Brookfield Asset Management Ltd 2,463,381 $130,692,681.06 1.03% $130,692,681.06 1.03% 86,511.17 Financials Canada
80851310 SCHW US Charles Schwab Corp 1,790,651 $126,831,810.33 1.00% $126,831,810.33 1.00% 129,513.43 Financials United States
87254010 TJX US TJX Cos Inc 1,096,759 $123,966,669.77 0.98% $123,966,669.77 0.98% 127,495.35 Consumer Discretionary United States
G6095L10 APTV US Aptiv PLC 2,177,987 $123,775,001.21 0.98% $123,775,001.21 0.98% 15,156.79 Consumer Discretionary United States
03265410 ADI US Analog Devices Inc 551,242 $122,987,602.62 0.97% $122,987,602.62 0.97% 110,772.66 Information Technology United States
483410 SU FP Schneider Electric SE 455,247 $117,774,676.89 0.93% $117,774,676.89 0.93% 148,917.86 Industrials France
23585110 DHR US Danaher Corp 468,694 $115,139,368.04 0.91% $115,139,368.04 0.91% 177,434.11 Health Care United States
43300A20 HLT US Hilton Worldwide Holdings Inc 465,896 $109,415,675.60 0.87% $109,415,675.60 0.87% 57,446.89 Consumer Discretionary United States
92247510 VEEV US Veeva Systems Inc 482,633 $100,788,249.39 0.80% $100,788,249.39 0.80% 33,816.64 Health Care United States
59268810 MTD US Mettler-Toledo International Inc 74,479 $96,208,248.25 0.76% $96,208,248.25 0.76% 27,588.38 Health Care United States
28551210 EA US Electronic Arts Inc 620,355 $93,580,551.75 0.74% $93,580,551.75 0.74% 39,995.31 Communication Services United States
88250810 TXN US Texas Instruments Inc 443,355 $90,072,001.80 0.71% $90,072,001.80 0.71% 185,325.92 Information Technology United States
85524410 SBUX US Starbucks Corp 850,300 $83,074,310.00 0.66% $83,074,310.00 0.66% 110,742.95 Consumer Discretionary United States
86366710 SYK US Stryker Corp 147,923 $52,702,006.44 0.42% $52,702,006.44 0.42% 135,819.55 Health Care United States
CASH CASH Cash & Cash Equivalents - $90,694,287.90 0.72% $90,694,287.90 0.72% - - -

*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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