6 9

Lifetime® 2070 Fund

MLTQX
$ 9.99
$0.00 As of 05/27/26

Lifetime® 2070 Fund

MLTQX
$0.00 As of 05/27/26
MLTQX
$ 9.99
$0.00 As of 05/27/26

Investment Objective

Seeks a high level of total return consistent with its asset allocation until the approximate retirement year in the fund's name; thereafter, the fund will seek total return through a combination of current income and capital appreciation. The asset allocation of the fund will change over time.

Investment Focus

Broadly diversified to actively managed strategies across and within asset classes, spanning styles and investment approaches

Disciplined, active risk management of both underlying and target date funds

Progressive glide path designed to serve entire participant pool, emphasizing asset growth in early years and seeks to mitigate risk in later years

Fund Information

  • Fund Commencement 05/27/2026
  • Net Assets ($ ) --
  • Fiscal Year End APRIL
  • Benchmark

    Standard & Poor's 500 Stock Index measures the broad U.S. stock market.

    Standard & Poor's 500 Stock Index

Share Class Information

  • Class Inception 05/27/2026
  • Net Asset Value (NAV) As of 05/27/26 $9.99
  • Most Recent NAV Change As of 05/27/26 $0.00 | 0.00%
  • Fund Number 1875
  • Maximum Sales Charge --
  • Gross Expense Ratio

    Gross Expense Ratio: The Gross Expense Ratio is the fund's total operating expense ratio from the fund's most recent prospectus.

    5.02%
  • Net Expense Ratio

    Net Expense Ratio: The Net Expense Ratio reflects the reduction of expenses from contractual fee waivers and reimbursements. Elimination of these reductions will result in higher expenses and lower performance.


    These reductions will continue until at least 08/31/27

    0.55%

Managers

Top 10 Holdings

No data currently available

Important Risk Considerations

The fund may not achieve its objective and/or you could lose money on your investment in the fund. You may experience losses near, at, or after the target date. There is no guarantee of the fund's principal value, including at the target date, or that the fund will provide adequate income at and through your retirement.

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.

Bond: Investments in debt instruments may decline in value as the result of, or perception of, declines in the credit quality of the issuer, borrower, counterparty, or other entity responsible for payment, underlying collateral, or changes in economic, political, issuer-specific, or other conditions. Certain types of debt instruments can be more sensitive to these factors and therefore more volatile. In addition, debt instruments entail interest rate risk (as interest rates rise, prices usually fall). Therefore, the portfolio's value may decline during rising rates. Portfolios that consist of debt instruments with longer durations are generally more sensitive to a rise in interest rates than those with shorter durations. At times, and particularly during periods of market turmoil, all or a large portion of segments of the market may not have an active trading market. As a result, it may be difficult to value these investments and it may not be possible to sell a particular investment or type of investment at any particular time or at an acceptable price. The price of an instrument trading at a negative interest rate responds to interest rate changes like other debt instruments; however, an instrument purchased at a negative interest rate is expected to produce a negative return if held to maturity.

International: Investments in foreign markets can involve greater risk and volatility than U.S. investments because of adverse market, currency, economic, industry, political, regulatory, geopolitical, or other conditions.

Underlying Funds: MFS' strategy of investing in underlying funds exposes the fund to the risks of the underlying funds. Each underlying fund pursues its own objective and strategies and may not achieve its objective.  In addition, shareholders of the fund will indirectly bear the fees and expenses of the underlying funds.

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

Performance

Average Annual Total Returns

Average Annual Total Returns (%)

These results represent the percent change in net asset value.
Monthly | Quarterly (*YTD Updated Daily, As of 01/01/26 , subject to revision and not annualized.)
    Performance data shown represents past performance and is no guarantee of future results. Investment return and principal value fluctuate so your shares, when sold, may be worth more or less than the original cost; current performance may be lower or higher than quoted.
    OVERALL
    NA
    OVERALL MORNINGSTAR RATING
    NA
    THREE YEAR
    NA
    FIVE YEAR
    NA
    TEN YEAR
    NA

    Important Performance Information

    Performance results reflect any applicable expense subsidies and waivers in effect during the periods shown. Without such subsidies and waivers the fund's performance results would be less favorable. All results are historical and assume the reinvestment of dividends and capital gains.

    Sales Charges

    Class I shares are available without a sales charge to eligible investors.

    Annual Rate of Return

    Annual Rate of Return (%)

    No data currently available

    annual rate of return table
    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
    The Record Date is the date on which a fund declares a distribution. To receive the distribution, an investor must be a shareholder of record on that date.

    The Payable Date is the date on which the distribution is paid to shareholders.

    Dividend Rate per Share is the amount of dividend that a shareholder will receive for each share held. It can be calculated by taking the total amount of dividends paid and dividing it by the total shares outstanding.

    Dividend Reinvestment at NAV is the automatic reinvestment of shareholder dividends in more shares at net asset value.

    Ex-Dividend Date is the date on which a fund goes ex-dividend. The interval between the announcement and the payment of the next dividend. An investor must own the fund before the ex-dividend date to be eligible for the dividend payout.

    Long-term Capital Gain The gain on the sale of a capital asset where the holding period was more than 12 months and the profit was subject to the long-term capital gains tax. (Source: Barron's Dictionary of Finance and Investment Terms)

    Short-term Capital Gain For tax purposes the profit realized from the sale of securities or other capital assets held for less than 12 months. Short-term gains are taxable at ordinary income rates to the extent they are not reduced by offsetting capital losses. (Source: Barron's Dictionary of Finance and Investment Terms)

    No data currently available
    Past performance is no guarantee of future results. Please consult your tax advisor for further information.

    Portfolio & Holdings Information
    Portfolio characteristic data are based on unaudited net assets.

    The portfolio is actively managed, and current holdings may be different.

    Sector, Holding & Characterstics

    Largest Sector Weights of Equity Assets

    No data currently available

    Top 10 Holdings

    No data currently available

    The portfolio is actively managed, and current holdings may be different.

    Sector Weights (%)

    No data currently available

    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.

    Exposures

    Credit Quality (%)

    No data currently available

    Region & Country

    Region & Country

    No data currently available

    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.

    1Other. Other consists of: (i) currency derivatives and/or (ii) any derivative offsets.

    Fees

    • 0.55

      % Net Expense Ratio

      Net Expense Ratio: The Net Expense Ratio reflects the reduction of expenses from contractual fee waivers and reimbursements. Elimination of these reductions will result in higher expenses and lower performance.


      These reductions will continue until at least 08/31/27

    • 5.02

      % Gross Expense Ratio

      Gross Expense Ratio: The Gross Expense Ratio is the fund's total operating expense ratio from the fund's most recent prospectus.

    • -

      Maximum Sales Charge

      Class I shares are available without a sales charge to eligible investors.

    Resources

    Shareholder Reports

    Shareholder Reports

    Click here to access the following:
    • Semiannual Report
    • Annual Report
    • Financial and Other information
    • First Quarter Holdings
    • Third Quarter Holdings
    Product Literature

    Product Literature

    Announcements

    Announcements

    This website is a general communication and is provided for informational and/or educational purposes only. None of the content should be viewed as a suggestion that you take or refrain from taking any action nor as a recommendation for any specific investment product, strategy, plan feature or other such purpose. Your use of this website indicates that you agree with the intended purpose. Prior to making any investment or financial decision, you should seek individualized advice from a personal financial, tax, and other professionals who are able to provide advice in the context of your particular financial situation.

    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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