6 9

U.K. Equity Fund

DISCLOSURES

THIS INFORMATION IS FOR MARKETING PURPOSES ONLY

Please note that this is an actively managed product. 

Class I shares are only available to certain qualifying institutional investors.

LU2971678631
£ 292.93
£0.21 As of 11-Jun-25
£14M
As of 31-May-25

U.K. Equity Fund

LU2971678631
£0.21 As of 11-Jun-25
As of 31-May-25
LU2971678631
£ 292.93
£0.21 As of 11-Jun-25
£14M
As of 31-May-25

Investment Objective

Seeks capital appreciation, measured in Sterling.

Investment Focus

Seeks long term investments in value-creating businesses and lower risk.

U.K. equity portfolio of what we believe to be high quality compounders while focusing on secular change, sentiment, and valuation

Important Risk Considerations

The fund may not achieve its objective and/or you could lose money on your investment in the fund.

Stock: Stock markets and investments in individual stocks are volatile and can decline significantly in response to or investor perception of, issuer, market, economic, industry, political, regulatory, geopolitical, environmental, public health, and other conditions.

Geographic: Because the portfolio may invest a substantial amount of its assets in issuers located in a single country or in a limited number of countries, it may be more volatile than a portfolio that is more geographically diversified.

Please see the prospectus for further information on these and other risk considerations.

Fund Information

  • Fund Inception 27-Feb-2006
  • Net Assets (£ M) As of 31-May-25 £14.64
  • Fiscal Year End JANUARY
  • SFDR Classification Article 8
  • Benchmark FTSE All-Share 5% Capped Index

Share Class Information

  • Class Inception 19-Feb-2025
  • Net Asset Value (NAV) As of 11-Jun-25 £292.93
  • Most Recent NAV Change As of 11-Jun-25 £0.21 | 0.07%
  • ISIN LU2971678631
  • SEDOL BT8SCH9
  • WKN A40Z25
  • Bloomberg MFUKIF1 LX
  • CUSIP L6367C575
  • Maximum Sales Charge --
  • Benchmark FTSE All-Share 5% Capped Index

Managers

Top 10 Holdings

As of 31-May-25

  • Shell PLC
  • AstraZeneca PLC
  • NatWest Group PLC
  • Unilever PLC
  • RELX PLC
  • National Grid PLC
  • Barclays PLC
  • London Stock Exchange Group PLC
  • Imperial Brands PLC
  • Experian PLC

Performance

12 Month Total Returns

12 Month Total Returns (%)

12 Month Total Returns (%)

As of 31-May-25 [updated monthly]

12 month period ending:
31-May-21
or Life
31-May-22 31-May-23 31-May-24 31-May-25 YTD % Class Inception
Class IF1 Shares, British Pounds at NAV 17.37 2.00 -1.07 10.62 9.31 8.01 19-Feb-2025
FTSE All-Share 5% Capped Index 23.48 7.73 0.19 15.35 10.38 - -
12 month period ending: Class IF1 Shares, British Pounds at NAV
31-May-21 or Life 17.37
31-May-22 2.00
31-May-23 -1.07
31-May-24 10.62
31-May-25 9.31
YTD % 8.01
Class Inception 19-Feb-2025 19-Feb-2025

Performance results reflect ongoing charges and any applicable expense subsidies and waivers in effect during the periods shown. All historic results assume distributions within the fund and/or the share class are reinvested. 

Past performance is not a reliable indicator for future results. All financial investments involve an element of risk. The value of investments may rise and fall so you may get back less than originally invested.

Investors should consider the risks, including lower returns, related to currency movements between their investing currency and the portfolio's base currency, if different.

Important Performance Information

Class I1 Roll-Up shares do not pay distributions to shareholders. 

The MFS Meridian Funds offer several share classes each with different expenses. Performance reflects the performance of a relevant older class with the same currency until the class inception date of the class detailed. Performance for periods prior to that date may have been higher or lower had the actual share class fees and expenses been reflected.

Please note that these share classes will be available for investment up until the fund reaches AUM of $200 million, at which point the Founders Class will be soft-closed.

At this time these share classes will only be available in a limited selection of currencies. 

Average Annual Total Returns

Average Annual Total Returns (%)

Average Annual Total Returns (%)

Updated monthly as of 31-May-25

    Performance results reflect ongoing charges and any applicable expense subsidies and waivers in effect during the periods shown. All historic results assume distributions within the fund and/or the share class are reinvested. 

    Past performance is not a reliable indicator for future results. All financial investments involve an element of risk. The value of investments may rise and fall so you may get back less than originally invested.

    Investors should consider the risks, including lower returns, related to currency movements between their investing currency and the portfolio's base currency, if different.

    OVERALL
    NA
    OVERALL MORNINGSTAR RATING
    NA
    THREE YEAR
    NA
    FIVE YEAR
    NA
    TEN YEAR
    NA

    Important Performance Information

    Class I1 Roll-Up shares do not pay distributions to shareholders. 

    The MFS Meridian Funds offer several share classes each with different expenses. Performance reflects the performance of a relevant older class with the same currency until the class inception date of the class detailed. Performance for periods prior to that date may have been higher or lower had the actual share class fees and expenses been reflected.

    Please note that these share classes will be available for investment up until the fund reaches AUM of $200 million, at which point the Founders Class will be soft-closed.

    At this time these share classes will only be available in a limited selection of currencies. 

    Annual Rate of Return

    Annual Rate of Return (%)

    As of 31-Dec-24

    |

    Benchmark: FTSE All-Share 5% Capped Index

    annual rate of return table
    Life
    2015 2016 2017 2018 2019 2020 2021 2022 2023 2024
    At NAV 6.84 2.47 11.81 13.29 -10.00 19.97 -7.18 14.03 -3.72 3.63 9.18
    FTSE All-Share 5% Capped Index - 1.41 16.21 12.97 -9.72 20.14 -8.69 18.38 -0.40 8.06 10.03
    At NAV FTSE All-Share 5% Capped Index
    2024 9.18 10.03
    2023 3.63 8.06
    2022 -3.72 -0.4
    2021 14.03 18.38
    2020 -7.18 -8.69
    2019 19.97 20.14
    2018 -10.0 -9.72
    2017 13.29 12.97
    2016 11.81 16.21
    2015 2.47 1.41
    6.84 -

    Performance results reflect ongoing charges and any applicable expense subsidies and waivers in effect during the periods shown. All historic results assume distributions within the fund and/or the share class are reinvested. 

    Past performance is not a reliable indicator for future results. All financial investments involve an element of risk. The value of investments may rise and fall so you may get back less than originally invested.

    Investors should consider the risks, including lower returns, related to currency movements between their investing currency and the portfolio's base currency, if different.

    Important Performance Information

    Class I1 Roll-Up shares do not pay distributions to shareholders. 

    The MFS Meridian Funds offer several share classes each with different expenses. Performance reflects the performance of a relevant older class with the same currency until the class inception date of the class detailed. Performance for periods prior to that date may have been higher or lower had the actual share class fees and expenses been reflected.

    Please note that these share classes will be available for investment up until the fund reaches AUM of $200 million, at which point the Founders Class will be soft-closed.

    At this time these share classes will only be available in a limited selection of currencies. 

    Pricing & Distributions

    Pricing History

    • Market Price (MP): 
    Maximum data displayed is for the most recent 10 years
    Historical MP Lookup
    Enter date for which you wish to obtain a Historical MP for this fund

    Historical MP may not be available for all dates.

    Distributions

    There are no distributions for this share class or distributions are currently not available
    Performance Attribution

    Performance Attribution

    Guide

    Available approximately 15 or 25 days after month end


    Quarterly Attribution

    Available approximately 25 days after quarter end


    Year To Date (YTD)
    12 Month Attribution

    Calendar Year

    Portfolio & Holdings Information
    The portfolio is actively managed, and current holdings may be different.

    Sector, Holding & Characterstics

    Largest Sector Weights

    As of 31-May-25

    Holding Characteristics

    As of 31-May-25

    Data table of holding characteristics
    characterstics Equity Earning
    Weighted Average Price/Earnings (next 12 months) 13.44x
    Weighted Average Price/Cash Flow 11.12x
    Weighted Average Price/Sales 1.36x
    Weighted Average Price/Book 2.07x
    Weighted Average IBES Long Term EPS Growth 9.91%
    Weighted Average Dividend Yield 3.11%
    Weighted Average Market Cap £48.3b
    Weighted Median Market Cap £37.3b
    Number of Issues 47
    Active Share 53.25%
    Portfolio Turnover (U.S. Method) 18.13%
    Portfolio Turnover (LUX Method) 12.62%
    % in Stocks 97.88%
    % Cash & Cash Equivalents 2.12%
    % in Top Ten 43.03%

    Performance Statistics

    Updated Monthly As of 31-May-25

    Benchmark
    FTSE All-Share 5% Capped Index
    Performance Statistics Table
    10 Yr. 5 Yr. 3 Yr.
    Alpha n/a n/a n/a
    Beta n/a n/a n/a
    R-squared n/a n/a n/a
    Standard Deviation % n/a n/a n/a
    Sharpe Ratio n/a n/a n/a
    Tracking Error n/a n/a n/a
    Information Ratio n/a n/a n/a
    Treynor Ratio n/a n/a n/a
    Downside Capture % n/a n/a n/a
    Upside Capture % n/a n/a n/a

    Top 10 Holdings

    As of 31-May-25

    • Shell PLC
    • AstraZeneca PLC
    • NatWest Group PLC
    • Unilever PLC
    • RELX PLC
    • National Grid PLC
    • Barclays PLC
    • London Stock Exchange Group PLC
    • Imperial Brands PLC
    • Experian PLC
    The portfolio is actively managed, and current holdings may be different.

    Type Of Holdings (%)

    As of 31-May-25

    Sector Weights (%)

    As of 31-May-25

    •  % Assets
    • Financials
      20.65
    • Industrials
      18.29
    • Consumer Staples
      15.09
    • Health Care
      10.63
    • Consumer Discretionary
      8.19
    • Energy
      7.24
    • Materials
      6.56
    • Communication Services
      4.50
    • Utilities
      4.14
    • Information Technology
      1.40
    • Real Estate
      1.21
    • Cash & Cash Equivalents
      2.12
    Exposures

    Currency Weights (%)

    As of 31-May-25

    • British Pound Sterling
      97.90
    • United States Dollar
      2.10
    Region & Country

    Region & Country

    As of 31-May-25

    Region & Country Table
    Region & Country % Assets
    United Kingdom

    1 Countries

    95.78

    Cash & Cash Equivalents

    1 Countries

    2.12

    North America

    1 Countries

    2.10

    By Country Table
    By Country

    Top Country Weightings (%)

    As of 31-May-25

    • United Kingdom
      95.78
    • Cash & Cash Equivalents
      2.12
    • United States
      2.10
    Important Characteristics Information
    The portfolio is actively managed, and current holdings may be different.

    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.

    *Short positions, unlike long positions, lose value if the underlying asset gains value.

    Resources

    Fund Documents & Fact Sheets
    Click here to view fund documents such as Key Investor Documents, Complete Prospectus, Annual Report, Semi Annual Report, Swing Pricing, and Fact Sheets. Some of these documents are available in other languages.
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