Full & Historical Holdings

Blended Research® International Equity Fund


View Historical Holdings by Month
Based on Market Value Based on Equivalent Exposure
CUSIP/SEDOL Ticker Securities
(on 02-28-25)
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
87403910 TSM US Taiwan Semiconductor Manufacturing Co Ltd ADR 165,720 $29,917,431.60 3.40% $29,917,431.60 3.40% 936,327.33 Information Technology Taiwan
BMMV2K 700 HK Tencent Holdings Ltd 355,600 $21,883,639.68 2.49% $21,883,639.68 2.49% 571,037.27 Communication Services China
711038 ROG SW Roche Holding AG 61,333 $20,428,088.20 2.32% $20,428,088.20 2.32% 264,922.89 Health Care Switzerland
313486 BARC LN Barclays PLC 4,074,286 $16,157,342.97 1.84% $16,157,342.97 1.84% 57,078.45 Financials United Kingdom
738048 SGO FP Cie de St-Gobain 143,824 $14,587,480.94 1.66% $14,587,480.94 1.66% 50,668.35 Industrials France
BRJL17 UBSG SW UBS Group AG 412,276 $14,182,394.85 1.61% $14,182,394.85 1.61% 119,096.66 Financials Switzerland
BM8PJY NWG LN NatWest Group PLC 2,327,138 $14,100,181.57 1.60% $14,100,181.57 1.60% 50,478.60 Financials United Kingdom
624899 9433 JP KDDI Corp 428,000 $13,972,524.98 1.59% $13,972,524.98 1.59% 71,555.21 Communication Services Japan
617520 DBS SP DBS Group Holdings Ltd 381,680 $12,994,424.88 1.48% $12,994,424.88 1.48% 96,893.08 Financials Singapore
567173 SAN FP Sanofi SA 114,308 $12,446,956.84 1.42% $12,446,956.84 1.42% 137,540.97 Health Care France
BLGZ98 TSCO LN Tesco PLC 2,506,034 $12,014,202.00 1.37% $12,014,202.00 1.37% 32,297.16 Consumer Staples United Kingdom
659704 6503 JP Mitsubishi Electric Corp 767,600 $11,895,025.69 1.35% $11,895,025.69 1.35% 32,746.99 Industrials Japan
455710 G1A GY GEA Group AG 194,351 $11,229,677.55 1.28% $11,229,677.55 1.28% 9,957.36 Industrials Germany
730968 BNP FP BNP Paribas SA 147,563 $11,111,740.35 1.26% $11,111,740.35 1.26% 85,151.93 Financials France
BPBPJ0 ML FP Cie Generale des Etablissements Michelin SCA 305,142 $10,886,729.26 1.24% $10,886,729.26 1.24% 25,317.79 Consumer Discretionary France
625398 ALL AU Aristocrat Leisure Ltd 240,154 $10,767,798.13 1.23% $10,767,798.13 1.23% 28,219.63 Consumer Discretionary Australia
B62G7K 8630 JP Sompo Holdings Inc 355,300 $10,601,074.19 1.21% $10,601,074.19 1.21% 29,552.98 Financials Japan
BPCPYT BN CN Brookfield Corp 182,482 $10,559,801.65 1.20% $10,559,801.65 1.20% 95,258.71 Financials Canada
B288C9 IBE SM Iberdrola SA 709,291 $10,264,173.11 1.17% $10,264,173.11 1.17% 93,201.57 Utilities Spain
B01NPJ TCS IN Tata Consultancy Services Ltd 249,252 $9,951,260.16 1.13% $9,951,260.16 1.13% 144,450.31 Information Technology India
567151 WKL NA Wolters Kluwer NV 64,820 $9,948,803.49 1.13% $9,948,803.49 1.13% 36,608.31 Industrials Netherlands
714505 ENI IM Eni SpA 683,654 $9,915,154.17 1.13% $9,915,154.17 1.13% 47,635.54 Energy Italy
483410 SU FP Schneider Electric SE 39,493 $9,753,788.29 1.11% $9,753,788.29 1.11% 142,166.69 Industrials France
BYQP13 ABN NA ABN AMRO Bank NV 496,717 $9,426,980.58 1.07% $9,426,980.58 1.07% 15,810.07 Financials Netherlands
G5495010 LIN US Linde PLC 19,619 $9,163,053.95 1.04% $9,163,053.95 1.04% 222,389.59 Materials United States
706271 SW FP Sodexo SA 117,396 $9,055,973.30 1.03% $9,055,973.30 1.03% 11,374.73 Consumer Discretionary France
B15C55 TTE FP TotalEnergies SE 148,684 $8,959,726.17 1.02% $8,959,726.17 1.02% 136,794.07 Energy France
320898 NXT LN Next PLC 69,643 $8,809,510.30 1.00% $8,809,510.30 1.00% 15,610.85 Consumer Discretionary United Kingdom
028758 BATS LN British American Tobacco PLC 224,189 $8,705,566.68 0.99% $8,705,566.68 0.99% 85,612.70 Consumer Staples United Kingdom
648380 4452 JP Kao Corp 200,300 $8,671,542.01 0.99% $8,671,542.01 0.99% 20,170.10 Consumer Staples Japan
BNBNSG ENX FP Euronext NV 68,280 $8,628,949.73 0.98% $8,628,949.73 0.98% 13,172.86 Financials France
B4TP9G DOL CN Dollarama Inc 82,393 $8,589,829.75 0.98% $8,589,829.75 0.98% 29,247.00 Consumer Discretionary Canada
664040 6701 JP NEC Corp 86,600 $8,423,176.53 0.96% $8,423,176.53 0.96% 26,538.83 Information Technology Japan
637248 2454 TT MediaTek Inc 184,000 $8,397,648.72 0.96% $8,397,648.72 0.96% 73,098.90 Information Technology Taiwan
071887 RIO LN Rio Tinto PLC 135,418 $8,186,151.77 0.93% $8,186,151.77 0.93% 98,364.38 Materials United Kingdom
B0LMTQ 939 HK China Construction Bank Corp 9,566,000 $8,118,612.13 0.92% $8,118,612.13 0.92% 212,182.96 Financials China
494290 EOAN GY E.ON SE 588,081 $7,501,283.91 0.85% $7,501,283.91 0.85% 33,691.42 Utilities Germany
BP6KMJ NOVOB DC Novo Nordisk AS 82,247 $7,455,925.98 0.85% $7,455,925.98 0.85% 402,589.36 Health Care Denmark
658248 SUNP IN Sun Pharmaceutical Industries Ltd 409,205 $7,450,719.15 0.85% $7,450,719.15 0.85% 43,686.59 Health Care India
512067 HEI GY HeidelbergCement AG 48,501 $7,333,582.84 0.83% $7,333,582.84 0.83% 27,387.94 Materials Germany
B929F4 ASML NA ASML Holding NV 10,313 $7,321,609.24 0.83% $7,321,609.24 0.83% 279,596.09 Information Technology Netherlands
458882 DANSKE DC Danske Bank A S 214,498 $7,221,521.01 0.82% $7,221,521.01 0.82% 29,027.24 Financials Denmark
BDRJLN NTR CN Nutrien Ltd 137,329 $7,197,017.30 0.82% $7,197,017.30 0.82% 25,859.36 Materials Canada
570594 SAN SM Banco Santander SA 1,100,415 $7,162,340.84 0.81% $7,162,340.84 0.81% 98,623.98 Financials Spain
528983 EBS AV Erste Group Bank AG 101,455 $6,802,994.41 0.77% $6,802,994.41 0.77% 27,526.76 Financials Austria
653665 1211 HK BYD Co Ltd 138,000 $6,593,862.71 0.75% $6,593,862.71 0.75% 139,009.42 Consumer Discretionary China
B15C4L CSU CN Constellation Software Inc/Canada 1,908 $6,576,906.00 0.75% $6,576,906.00 0.75% 73,049.16 Information Technology Canada
609701 2 HK CLP Holdings Ltd 791,000 $6,555,178.38 0.75% $6,555,178.38 0.75% 20,937.21 Utilities Hong Kong
690058 8015 JP Toyota Tsusho Corp 382,100 $6,404,084.29 0.73% $6,404,084.29 0.73% 17,802.21 Industrials Japan
B1FJ0C BXB AU Brambles Ltd 487,336 $6,358,424.45 0.72% $6,358,424.45 0.72% 18,042.25 Industrials Australia
677543 6417 JP Sankyo Co Ltd 448,500 $6,354,752.93 0.72% $6,354,752.93 0.72% 3,683.91 Consumer Discretionary Japan
219628 VALE3 BZ Vale SA 651,200 $6,099,832.70 0.69% $6,099,832.70 0.69% 42,517.18 Materials Brazil
71654V40 PBR US Petroleo Brasileiro SA ADR 434,660 $5,802,711.00 0.66% $5,802,711.00 0.66% 86,032.29 Energy Brazil
677172 005930 KS Samsung Electronics Co Ltd 153,600 $5,738,526.55 0.65% $5,738,526.55 0.65% 252,514.57 Information Technology South Korea
BG087C ETE GA National Bank of Greece SA 617,187 $5,713,492.25 0.65% $5,713,492.25 0.65% 8,467.80 Financials Greece
M2246510 CHKP US Check Point Software Technologies Ltd 25,081 $5,524,341.06 0.63% $5,524,341.06 0.63% 24,868.68 Information Technology Israel
B57FG0 CVE CN Cenovus Energy Inc 382,028 $5,283,829.47 0.60% $5,283,829.47 0.60% 25,242.10 Energy Canada
622657 857 HK PetroChina Co Ltd 6,994,000 $5,207,020.66 0.59% $5,207,020.66 0.59% 136,258.80 Energy China
249251 MFC CN Manulife Financial Corp 167,000 $5,201,327.11 0.59% $5,201,327.11 0.59% 53,842.61 Financials Canada
233917 FTT CN Finning International Inc 175,845 $5,189,964.75 0.59% $5,189,964.75 0.59% 4,013.11 Industrials Canada
BG7ZWY ABEV3 BZ Ambev SA 2,480,600 $5,148,562.16 0.59% $5,148,562.16 0.59% 32,705.51 Consumer Staples Brazil
642910 6501 JP Hitachi Ltd 198,400 $5,021,415.56 0.57% $5,021,415.56 0.57% 115,926.41 Industrials Japan
649374 2503 JP Kirin Holdings Co Ltd 372,000 $5,007,858.64 0.57% $5,007,858.64 0.57% 12,304.25 Consumer Staples Japan
689567 8035 JP Tokyo Electron Ltd 33,400 $5,001,069.21 0.57% $5,001,069.21 0.57% 70,618.80 Information Technology Japan
G2519Y10 BAP US Credicorp Ltd 27,076 $4,955,449.52 0.56% $4,955,449.52 0.56% 14,556.15 Financials Peru
664180 6988 JP Nitto Denko Corp 249,000 $4,903,571.62 0.56% $4,903,571.62 0.56% 13,918.28 Materials Japan
659101 8411 JP Mizuho Financial Group Inc 174,700 $4,885,440.49 0.56% $4,885,440.49 0.56% 71,009.47 Financials Japan
646698 7013 JP IHI Corp 81,100 $4,745,751.00 0.54% $4,745,751.00 0.54% 9,051.45 Industrials Japan
B2Q5H5 2601 HK China Pacific Insurance Group Co Ltd 1,599,000 $4,738,891.93 0.54% $4,738,891.93 0.54% 28,511.42 Financials China
645026 000660 KS SK Hynix Inc 34,570 $4,670,694.21 0.53% $4,670,694.21 0.53% 98,359.17 Information Technology South Korea
BGHWH9 316140 KS Woori Financial Group Inc 411,143 $4,669,392.85 0.53% $4,669,392.85 0.53% 8,433.69 Financials South Korea
B01RM2 EMAAR UH Emaar Properties PJSC 1,261,387 $4,653,677.45 0.53% $4,653,677.45 0.53% 32,609.24 Real Estate United Arab Emirates
634025 FPH NZ Fisher & Paykel Healthcare Corp Ltd 240,881 $4,594,292.48 0.52% $4,594,292.48 0.52% 11,179.36 Health Care New Zealand
BBGTNT MAIRE IM Maire SpA 468,548 $4,539,690.82 0.52% $4,539,690.82 0.52% 3,184.15 Industrials Italy
BPK85C PLX FP Pluxee NV 198,237 $4,465,497.61 0.51% $4,465,497.61 0.51% 4,706.96 Financials France
BK6YZP 9988 HK Alibaba Group Holding Ltd 263,900 $4,370,436.87 0.50% $4,370,436.87 0.50% 314,786.45 Consumer Discretionary China
B3DF0Y 105560 KS KB Financial Group Inc 79,459 $4,278,454.35 0.49% $4,278,454.35 0.49% 21,189.46 Financials South Korea
643856 2317 TT Hon Hai Precision Industry Co Ltd 820,000 $4,215,840.15 0.48% $4,215,840.15 0.48% 71,415.97 Information Technology Taiwan
677538 9065 JP Sankyu Inc 106,800 $4,180,194.64 0.48% $4,180,194.64 0.48% 2,292.56 Industrials Japan
B0190C 669 HK Techtronic Industries Co Ltd 295,000 $4,122,602.59 0.47% $4,122,602.59 0.47% 25,606.32 Industrials Hong Kong
595937 ERICB SS Telefonaktiebolaget LM Ericsson 499,050 $4,103,896.11 0.47% $4,103,896.11 0.47% 27,403.88 Information Technology Sweden
BJ2L57 GIB/A CN CGI Inc 39,487 $4,093,219.55 0.47% $4,093,219.55 0.47% 23,554.33 Information Technology Canada
BYQ0JC BEZ LN Beazley PLC 357,254 $3,954,983.97 0.45% $3,954,983.97 0.45% 7,074.08 Financials United Kingdom
595607 KPN NA Koninklijke KPN NV 1,035,050 $3,951,249.55 0.45% $3,951,249.55 0.45% 14,845.79 Communication Services Netherlands
688879 KBANK/F TB Kasikornbank PCL 889,400 $3,943,056.55 0.45% $3,943,056.55 0.45% 10,610.25 Financials Thailand
B800MQ ASII IJ Astra International Tbk PT 14,261,700 $3,905,651.92 0.44% $3,905,651.92 0.44% 11,086.66 Industrials Indonesia
BYL7SB CIGI CN Colliers International Group Inc 30,364 $3,903,717.99 0.44% $3,903,717.99 0.44% 6,484.77 Real Estate Canada
BKPQZT 9618 HK JD.com Inc 183,400 $3,836,431.27 0.44% $3,836,431.27 0.44% 60,642.39 Consumer Discretionary China
598662 PHIA NA Koninklijke Philips Electronics NV 141,507 $3,704,221.59 0.42% $3,704,221.59 0.42% 24,604.75 Health Care Netherlands
505160 HTO GA Hellenic Telecommunications Organization SA 233,240 $3,634,111.74 0.41% $3,634,111.74 0.41% 6,430.18 Communication Services Greece
615593 005830 KS DB Insurance Co Ltd 57,546 $3,611,168.72 0.41% $3,611,168.72 0.41% 4,442.89 Financials South Korea
659414 2768 JP Sojitz Corp 163,100 $3,566,808.66 0.41% $3,566,808.66 0.41% 4,920.49 Industrials Japan
BMBVGQ HBR LN Premier Oil PLC 1,229,385 $3,533,115.92 0.40% $3,533,115.92 0.40% 4,138.71 Energy United Kingdom
677660 4536 JP Santen Pharmaceutical Co Ltd 379,100 $3,521,283.66 0.40% $3,521,283.66 0.40% 3,177.08 Health Care Japan
590294 NOKIA FH Nokia Oyj 724,479 $3,503,261.17 0.40% $3,503,261.17 0.40% 27,107.42 Information Technology Finland
BCRWZ1 CFR SW Cie Financiere Richemont SA 16,793 $3,442,127.39 0.39% $3,442,127.39 0.39% 119,979.51 Consumer Discretionary Switzerland
B1L95G AKRBP NO Aker BP ASA 163,843 $3,406,052.40 0.39% $3,406,052.40 0.39% 13,138.80 Energy Norway
64110W10 NTES US NetEase Inc ADR 33,849 $3,375,422.28 0.38% $3,375,422.28 0.38% 64,268.92 Communication Services China
BYX9GP 241560 KS Doosan Bobcat Inc 104,005 $3,355,867.39 0.38% $3,355,867.39 0.38% 3,234.68 Industrials South Korea
B3MSM2 AMS SM Amadeus IT Group SA 43,871 $3,335,383.05 0.38% $3,335,383.05 0.38% 34,250.13 Consumer Discretionary Spain
629278 PME AU Pro Medicus Ltd 20,790 $3,312,581.35 0.38% $3,312,581.35 0.38% 16,650.36 Health Care Australia
72230410 PDD US PDD Holdings Inc ADR 28,892 $3,284,731.48 0.37% $3,284,731.48 0.37% 157,889.33 Consumer Discretionary China
BLLHKZ 288 HK WH Group Ltd 3,957,000 $3,225,822.13 0.37% $3,225,822.13 0.37% 10,459.44 Consumer Staples Hong Kong
BD4T6W TLKM IJ Telkom Indonesia Persero Tbk PT 22,482,600 $3,186,617.01 0.36% $3,186,617.01 0.36% 14,040.79 Communication Services Indonesia
BD0F7H PNI AU Pinnacle Investment Management Group Ltd 220,901 $3,171,814.75 0.36% $3,171,814.75 0.36% 3,253.89 Financials Australia
275438 RY CN Royal Bank of Canada 26,406 $3,120,717.39 0.36% $3,120,717.39 0.36% 167,227.72 Financials Canada
BJ2ZH3 IAG CN Industrial Alliance Insurance & Financial Services Inc 33,189 $3,113,239.46 0.35% $3,113,239.46 0.35% 8,761.51 Financials Canada
BW1YVH WALMEX* MM Wal-Mart de Mexico SAB de CV 1,166,018 $3,084,949.83 0.35% $3,084,949.83 0.35% 46,157.97 Consumer Staples Mexico
615525 000810 KS Samsung Fire & Marine Insurance Co Ltd 11,632 $3,048,947.47 0.35% $3,048,947.47 0.35% 12,417.76 Financials South Korea
644150 7741 JP Hoya Corp 25,500 $2,995,616.20 0.34% $2,995,616.20 0.34% 40,658.06 Health Care Japan
677062 9984 JP SoftBank Group Corp 52,400 $2,896,987.38 0.33% $2,896,987.38 0.33% 81,270.18 Communication Services Japan
625901 7649 JP Sugi Holdings Co Ltd 158,800 $2,852,733.30 0.32% $2,852,733.30 0.32% 3,413.09 Consumer Staples Japan
BYT934 G24 GY Scout24 SE 28,975 $2,835,898.35 0.32% $2,835,898.35 0.32% 7,340.55 Communication Services Germany
BZ1G17 145020 KS Hugel Inc 12,953 $2,811,773.98 0.32% $2,811,773.98 0.32% 2,736.02 Health Care South Korea
B06QFB IGG LN IG Group Holdings PLC 233,796 $2,806,455.44 0.32% $2,806,455.44 0.32% 4,227.46 Financials United Kingdom
620512 INFO IN Infosys Ltd 143,123 $2,789,861.63 0.32% $2,789,861.63 0.32% 80,948.23 Information Technology India
687010 1801 JP Taisei Corp 61,400 $2,755,627.59 0.31% $2,755,627.59 0.31% 8,220.50 Industrials Japan
608039 914 HK Anhui Conch Cement Co Ltd 1,005,000 $2,746,060.52 0.31% $2,746,060.52 0.31% 14,460.19 Materials China
BP3R2V 600887 C1 Inner Mongolia Yili Industrial Group Co Ltd 695,500 $2,700,562.94 0.31% $2,700,562.94 0.31% 24,718.45 Consumer Staples China
239254 GRUMAB MM Gruma SAB de CV 155,978 $2,693,303.10 0.31% $2,693,303.10 0.31% 6,395.30 Consumer Staples Mexico
BD5CPN 000651 C2 Gree Electric Appliances Inc of Zhuhai 460,300 $2,586,663.54 0.29% $2,586,663.54 0.29% 31,645.78 Consumer Discretionary China
B28PFX EMIRATES Emirates NBD Bank PJSC 423,166 $2,546,312.33 0.29% $2,546,312.33 0.29% 38,008.80 Financials United Arab Emirates
235795 TCL/A CN Transcontinental Inc 205,506 $2,464,509.49 0.28% $2,464,509.49 0.28% 1,014.04 Materials Canada
608625 FMG AU Fortescue Metals Group Ltd 238,188 $2,451,865.17 0.28% $2,451,865.17 0.28% 31,694.32 Materials Australia
610018 MM IN Mahindra & Mahindra Ltd 82,219 $2,428,974.04 0.28% $2,428,974.04 0.28% 36,737.24 Consumer Discretionary India
78351320 RYAAY US Ryanair Holdings PLC ADR 49,893 $2,421,307.29 0.28% $2,421,307.29 0.28% 26,075.63 Industrials Ireland
604095 AVI SJ AVI Ltd 474,173 $2,367,063.51 0.27% $2,367,063.51 0.27% 1,697.15 Consumer Staples South Africa
BYY7VY LIGHT NA Signify NV 107,585 $2,306,919.44 0.26% $2,306,919.44 0.26% 2,752.05 Industrials Netherlands
712387 NESN SW Nestle SA 23,515 $2,268,815.33 0.26% $2,268,815.33 0.26% 252,787.42 Consumer Staples Switzerland
BD3VFW CTEC LN ConvaTec Group PLC 676,445 $2,214,554.47 0.25% $2,214,554.47 0.25% 6,710.63 Health Care United Kingdom
663371 MSIL IN Maruti Suzuki India Ltd 16,090 $2,196,577.02 0.25% $2,196,577.02 0.25% 42,921.66 Consumer Discretionary India
621808 992 HK Lenovo Group Ltd 1,466,000 $2,188,273.59 0.25% $2,188,273.59 0.25% 18,516.23 Information Technology China
B02Q32 9513 JP Electric Power Development Co Ltd 126,800 $2,175,125.46 0.25% $2,175,125.46 0.25% 3,140.06 Utilities Japan
B15SK5 090430 KS Amorepacific Corp 26,752 $2,150,339.17 0.24% $2,150,339.17 0.24% 5,544.13 Consumer Staples South Korea
619446 4922 JP Kose Corp 48,900 $2,070,571.71 0.24% $2,070,571.71 0.24% 2,565.67 Consumer Staples Japan
B05LZ0 2433 JP Hakuhodo DY Holdings Inc 291,200 $2,060,172.05 0.23% $2,060,172.05 0.23% 2,756.04 Communication Services Japan
BD5CPP 000333 C2 Midea Group Co Ltd 200,100 $2,010,780.56 0.23% $2,010,780.56 0.23% 76,829.09 Consumer Discretionary China
619857 REA AU REA Group Ltd 13,166 $1,969,208.69 0.22% $1,969,208.69 0.22% 19,760.47 Communication Services Australia
564156 CA FP Carrefour SA 146,142 $1,935,093.35 0.22% $1,935,093.35 0.22% 8,977.12 Consumer Staples France
264551 GGBR4 BZ Gerdau SA IPS 680,436 $1,925,397.02 0.22% $1,925,397.02 0.22% 5,776.15 Materials Brazil
240645 CEMEXCPO Cemex SAB de CV IEU 3,027,808 $1,860,524.23 0.21% $1,860,524.23 0.21% 9,301.65 Materials Mexico
BJXM60 CJT CN Cargojet Inc 27,357 $1,853,109.38 0.21% $1,853,109.38 0.21% 1,069.72 Industrials Canada
B09DHL MTX GY MTU Aero Engines AG 5,280 $1,829,387.47 0.21% $1,829,387.47 0.21% 18,648.83 Industrials Germany
016389 JDW LN J D Wetherspoon PLC 233,815 $1,766,381.20 0.20% $1,766,381.20 0.20% 920.02 Consumer Discretionary United Kingdom
713360 EQNR NO Statoil ASA 77,260 $1,765,621.44 0.20% $1,765,621.44 0.20% 63,823.38 Energy Norway
484628 SAP GY SAP SE 6,120 $1,691,568.36 0.19% $1,691,568.36 0.19% 339,558.66 Information Technology Germany
649092 000270 KS Kia Corp 25,662 $1,638,984.53 0.19% $1,638,984.53 0.19% 25,398.62 Consumer Discretionary South Korea
CASH CASH Cash & Cash Equivalents - $18,725,250.96 2.13% $18,700,178.54 2.13% - - -
CASH_DERV CASH_DERV Other - $0.00 0.00% $25,072.43 0.00% - - -

*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.

 

Other. Other consists of: (i) currency derivatives and/or (ii) any derivative offsets.
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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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