Full & Historical Holdings

Emerging Markets Equity Research Fund


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Based on Market Value Based on Equivalent Exposure
ISIN Securities
(on 31-Oct-25)
Shares or Par Amount Value Percent of Net Assets Value Percent of Net Assets Market Cap ($mm) Sectors

The sectors described and the associated portfolio composition are based on MFS' own sector classification methodology which differs from industry classification standards, including the standard that is associated with the benchmark composition presented. The variance in sector weights between the portfolio and the benchmark would be different if an industry classification standard was used.  

Country
TW0002330008 Taiwan Semiconductor Manufacturing Co Ltd 8,413 $410,510.39 9.77% $410,510.39 9.77% 1,265,375.96 Information Technology Taiwan
KYG875721634 Tencent Holdings Ltd 4,100 $331,881.27 7.90% $331,881.27 7.90% 741,917.66 Communication Services China
- EUR/USD FWD 20251126 BBHH-BOS 201,279 $232,346.38 5.53% $232,004.00 5.52% - Unclassified United States
KR7000660001 SK Hynix Inc 420 $164,786.80 3.92% $164,786.80 3.92% 285,631.40 Information Technology South Korea
KR7005930003 Samsung Electronics Co Ltd 2,035 $153,993.69 3.65% $153,544.48 3.65% 504,477.22 Information Technology South Korea
TW0003711008 ASE Technology Holding Co Ltd 15,000 $120,767.05 2.87% $120,767.05 2.87% 35,715.99 Information Technology Taiwan
INE040A01034 HDFC Bank Ltd 10,856 $120,738.74 2.87% $120,738.74 2.87% 170,872.65 Financials India
INE002A01018 Reliance Industries Ltd 6,081 $101,821.24 2.42% $101,821.24 2.42% 226,589.89 Energy India
CNE1000002H1 China Construction Bank Corp 102,000 $101,073.93 2.41% $101,073.93 2.41% 259,225.27 Financials China
- GBP/USD FWD 20251126 BBHH-BOS 73,799 $96,955.77 2.31% $96,950.02 2.31% - Unclassified United States
INE101A01026 Mahindra & Mahindra Ltd 2,106 $82,729.97 1.97% $82,729.97 1.97% 48,849.53 Consumer Discretionary India
US01609W1027 Alibaba Group Holding Ltd ADR 473 $80,613.39 1.92% $80,613.39 1.92% 406,659.55 Consumer Discretionary China
AEE000801010 Emirates NBD Bank PJSC 10,307 $78,853.97 1.88% $78,853.97 1.88% 48,325.30 Financials United Arab Emirates
TW0002317005 Hon Hai Precision Industry Co Ltd 9,000 $75,387.92 1.79% $75,387.92 1.79% 116,970.41 Information Technology Taiwan
INE628A01036 UPL Ltd 8,981 $72,852.62 1.73% $72,852.62 1.73% 6,840.84 Materials India
TW0003008009 Largan Precision Co Ltd 1,000 $72,053.61 1.71% $72,053.61 1.71% 9,616.87 Information Technology Taiwan
GRS003003035 National Bank of Greece SA 4,784 $70,279.47 1.67% $70,279.47 1.67% 13,437.65 Financials Greece
US91912E1055 Vale SA ADR 5,753 $69,553.77 1.66% $69,553.77 1.66% 54,876.61 Materials Brazil
ID1000058407 United Tractors Tbk PT 42,100 $68,099.22 1.62% $68,099.22 1.62% 6,033.71 Energy Indonesia
TW0002308004 Delta Electronics Inc 2,000 $64,734.39 1.54% $64,734.39 1.54% 84,075.20 Information Technology Taiwan
US0594603039 Banco Bradesco SA ADR 18,115 $63,365.43 1.46% $61,228.70 1.46% 35,750.30 Financials Brazil
BMG2519Y1084 Credicorp Ltd 232 $60,552.00 1.44% $60,552.00 1.44% 20,758.14 Financials Peru
US7223041028 PDD Holdings Inc ADR 433 $58,398.71 1.39% $58,398.71 1.39% 191,467.72 Consumer Discretionary China
CNE100000296 BYD Co Ltd 4,500 $58,258.42 1.39% $58,258.42 1.39% 118,034.12 Consumer Discretionary China
PTGAL0AM0009 Galp Energia SGPS SA 2,816 $56,461.78 1.34% $56,461.78 1.34% 15,043.12 Energy Portugal
CNE1000002M1 China Merchants Bank Co Ltd 9,000 $56,335.78 1.34% $56,335.78 1.34% 157,864.41 Financials China
HK0669013440 Techtronic Industries Co Ltd 4,500 $52,583.15 1.25% $52,583.15 1.25% 21,393.69 Industrials Hong Kong
IE00BD5B1Y92 Bank of Cyprus Holdings PLC 5,570 $51,233.68 1.22% $51,233.68 1.22% 4,007.50 Financials Cyprus
INE009A01021 Infosys Ltd 2,960 $50,192.91 1.18% $49,426.00 1.18% 69,370.09 Information Technology India
INE237A01028 Kotak Mahindra Bank Ltd 2,072 $49,067.22 1.17% $49,067.22 1.17% 47,092.93 Financials India
INE154A01025 ITC Ltd 10,271 $48,635.28 1.16% $48,635.28 1.16% 59,321.87 Consumer Staples India
US64110W1027 NetEase Inc ADR 345 $48,334.50 1.15% $48,334.50 1.15% 88,766.24 Communication Services China
TH0016010017 Kasikornbank PCL 8,100 $46,718.73 1.11% $46,718.73 1.11% 13,803.71 Financials Thailand
BMG2113B1081 China Resources Gas Group Ltd 16,700 $45,905.63 1.09% $45,905.63 1.09% 6,360.85 Utilities China
SA0007879089 Saudi Awwal Bank 5,241 $45,222.72 1.08% $45,222.72 1.08% 17,730.09 Financials Saudi Arabia
HK0000069689 AIA Group Ltd 4,600 $44,664.79 1.06% $44,664.79 1.06% 101,995.35 Financials Hong Kong
TW0002454006 MediaTek Inc 1,000 $42,614.10 1.01% $42,614.10 1.01% 68,349.97 Information Technology Taiwan
KYG5224V1032 Kanzhun Ltd 3,800 $41,885.07 1.00% $41,885.07 1.00% 9,583.65 Industrials China
BRB3SAACNOR6 B3 SA - Brasil Bolsa Balcao 17,800 $41,886.63 1.00% $41,886.63 1.00% 12,393.03 Financials Brazil
ID1000129000 Telkom Indonesia Persero Tbk PT 212,800 $41,075.65 0.98% $41,075.65 0.98% 19,121.45 Communication Services Indonesia
US38059T1060 Gold Fields Ltd ADR 1,056 $40,560.96 0.97% $40,560.96 0.97% 34,377.88 Materials South Africa
CNE0000018R8 Kweichow Moutai Co Ltd 200 $40,206.09 0.96% $40,206.09 0.96% 251,744.46 Consumer Staples China
CNE1000001W2 Anhui Conch Cement Co Ltd 13,500 $40,201.79 0.96% $40,201.79 0.96% 15,714.61 Materials China
CNE100001QQ5 Midea Group Co Ltd 3,700 $39,739.08 0.95% $39,739.08 0.95% 82,336.74 Consumer Discretionary China
QA000A0KD6K3 Industries Qatar QSC 11,215 $39,118.51 0.93% $39,118.51 0.93% 21,102.72 Industrials Qatar
KR7105560007 KB Financial Group Inc 463 $37,891.42 0.90% $37,891.42 0.90% 31,218.45 Financials South Korea
CNE1000009Q7 China Pacific Insurance Group Co Ltd 9,200 $37,294.66 0.89% $37,294.66 0.89% 38,998.63 Financials China
KR7000810002 Samsung Fire & Marine Insurance Co Ltd 117 $36,255.83 0.86% $36,255.83 0.86% 14,257.89 Financials South Korea
PTJMT0AE0001 Jeronimo Martins SGPS SA 1,369 $35,252.03 0.84% $35,252.03 0.84% 16,204.43 Consumer Staples Portugal
TW0002345006 Accton Technology Corp 1,000 $35,132.23 0.84% $35,132.23 0.84% 19,713.33 Information Technology Taiwan
HK0291001490 China Resources Beer Holdings Co Ltd 10,000 $34,231.81 0.81% $34,231.81 0.81% 11,105.41 Consumer Staples China
TW0006488000 Globalwafers Co Ltd 2,000 $33,050.32 0.79% $33,050.32 0.79% 7,900.91 Information Technology Taiwan
MX01WA000038 Wal-Mart de Mexico SAB de CV 9,933 $32,838.22 0.78% $32,838.22 0.78% 57,677.05 Consumer Staples Mexico
BRWEGEACNOR0 WEG SA 4,100 $32,083.94 0.76% $32,083.94 0.76% 32,845.49 Industrials Brazil
ID1000096605 Bank Negara Indonesia Persero Tbk PT 117,200 $30,868.07 0.73% $30,868.07 0.73% 9,823.35 Financials Indonesia
HK0992009065 Lenovo Group Ltd 20,000 $29,238.60 0.70% $29,238.60 0.70% 18,134.74 Information Technology China
MXP4948K1056 Gruma SAB de CV 1,713 $29,070.80 0.69% $29,070.80 0.69% 6,285.49 Consumer Staples Mexico
KYG5264Y1089 Kingsoft Corp Ltd 6,200 $27,016.36 0.64% $27,016.36 0.64% 6,102.32 Communication Services China
MX01AC100006 Arca Continental SAB de CV 2,765 $26,780.10 0.64% $26,780.10 0.64% 16,447.65 Consumer Staples Mexico
CNE100001KV8 Hangzhou Tigermed Consulting Co Ltd 3,000 $25,253.75 0.60% $25,253.75 0.60% 7,196.26 Health Care China
BRRADLACNOR0 Raia Drogasil SA 6,421 $24,100.87 0.57% $23,870.11 0.57% 6,386.70 Consumer Staples Brazil
BRRENTACNOR4 Localiza Rent a Car SA 3,196 $23,735.79 0.56% $23,429.63 0.56% 7,936.61 Industrials Brazil
AEA007301012 ADNOC Drilling Co PJSC 14,996 $22,844.00 0.54% $22,782.15 0.54% 24,307.44 Energy United Arab Emirates
KR7145020004 Hugel Inc 123 $22,618.71 0.54% $22,618.71 0.54% 2,262.61 Health Care South Korea
INE044A01036 Sun Pharmaceutical Industries Ltd 1,179 $22,454.74 0.53% $22,454.74 0.53% 45,696.73 Health Care India
KYG7800X1079 Sands China Ltd 8,400 $21,879.53 0.52% $21,879.53 0.52% 21,080.88 Consumer Discretionary Hong Kong
BRTOTSACNOR8 TOTVS SA 2,600 $21,442.95 0.51% $21,442.95 0.51% 4,943.44 Information Technology Brazil
US71654V4086 Petroleo Brasileiro SA - Petrobras ADR 1,434 $16,995.80 0.40% $16,691.76 0.40% 75,012.42 Energy Brazil
INE347G01014 Petronet LNG Ltd 5,254 $16,646.01 0.40% $16,646.01 0.40% 4,752.38 Energy India
MU0295S00016 MakeMyTrip Ltd 208 $16,640.00 0.40% $16,640.00 0.40% 7,611.79 Consumer Discretionary India
KR7090430000 Amorepacific Corp 186 $15,783.40 0.38% $15,783.40 0.38% 5,853.93 Consumer Staples South Korea
KR7241560002 Doosan Bobcat Inc 236 $9,988.28 0.24% $9,988.28 0.24% 4,056.94 Industrials South Korea
US71654V1017 Petroleo Brasileiro SA ADR 794 $8,942.19 0.21% $8,773.70 0.21% 30,091.92 Energy Brazil
GRS260333000 Hellenic Telecommunications Organization SA 1 $18.80 0.00% $18.80 0.00% 7,592.33 Communication Services Greece
- USD/GBP FWD 20251126 BBHH-BOS -98,042 $-98,041.93 -2.33% $-98,041.93 -2.33% - Unclassified United States
- USD/EUR FWD 20251126 BBHH-BOS -234,489 $-234,488.70 -5.58% $-234,488.70 -5.58% - Unclassified United States
- Cash - 39,823.37 0.95% 39,823.37 0.95% - - -
- Other - -3,228.49 -0.08% -3,228.49 -0.08% - - Other

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

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 semiannual report. 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.

 

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