Sales Toggle
performance Table
Average Annual Total Returns (%)
At NAV As of 06/30/25 (Updated Monthly)
NAV
As of 06/30/25
MFS Funds Symbol Fact Sheet Managed Distribution Plan 10 Yr 5 Yr 3 Yr 1 Yr YTD (%)
performance Table
Average Annual Total Returns (%)
At NAV As of 06/30/25 (Updated Monthly)
NAV
As of 06/30/25
MFS Funds Symbol Fact Sheet Managed Distribution Plan 10 Yr 5 Yr 3 Yr 1 Yr YTD (%)
MCR
Yes
5.01
3.66
8.54
8.22
4.31
MGF
Yes
1.66
-0.73
2.36
5.75
4.09
CXE
No
2.33
0.15
2.49
-0.89
-3.33
CMU
No
2.42
0.29
2.61
-1.10
-3.46
CIF
Yes
5.16
5.26
11.60
11.13
5.70
MIN
Yes
2.80
1.38
4.35
6.82
4.06
CXH
No
2.29
-0.47
2.17
-1.53
-3.43
MMT
Yes
5.46
4.92
10.33
9.32
4.77
MFM
No
2.63
0.68
2.69
-0.59
-2.85
 
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pricing Table
pricing Table
 

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