MFS® VARIABLE INSURANCE PORTFOLIOS

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performance Table
Average Annual Total Returns (%)
At NAV As of 06/30/25
NAV
As of 06/30/25
MFS Funds CUSIP Fact Sheet Life 10 Yr 5 Yr 3 Yr 1 Yr YTD (%) Inception Date
performance Table
Average Annual Total Returns (%)
At NAV As of 06/30/25
NAV
As of 06/30/25
MFS Funds CUSIP Fact Sheet Life 10 Yr 5 Yr 3 Yr 1 Yr YTD (%) Inception Date
55273F837
-
7.64
7.95
9.38
10.91
11.45
8.36
05/03/199905/03/1999
55273F100
-
10.94
15.48
14.14
22.85
13.30
7.13
07/24/199507/24/1995
55273F407
-
9.07
11.52
13.80
15.39
10.37
5.61
10/09/199510/09/1995
55273F670
-
5.65
11.89
9.60
15.67
15.67
8.59
04/28/200004/28/2000
55273F845
-
8.63
8.64
4.72
9.33
7.97
3.98
05/01/199805/01/1998
55273F308
-
9.29
11.93
13.56
16.21
11.44
4.92
07/26/199507/26/1995
55273F878
-
4.50
2.30
0.38
3.69
6.65
4.09
10/24/199510/24/1995
55273F506
-
7.91
6.87
8.10
9.06
9.54
5.16
01/03/199501/03/1995
55273F605
-
10.59
7.12
9.52
7.06
16.96
6.93
01/03/199501/03/1995
55273F654
-
8.48
9.21
12.61
11.67
11.89
6.75
01/02/200201/02/2002
 
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pricing Table
pricing Table
 
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holdings Table
holdings Table
 
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.
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statistics Table
statistics Table
 
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.
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portfolioAnalysis Table
portfolioAnalysis Table
 
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prospectusAndReports Table
prospectusAndReports Table
 
Click here to access the following:
  • Semiannual Report
  • Annual Report
  • Financial and Other information
  • First Quarter Holdings
  • Third Quarter Holdings

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