Full & Historical Holdings

Emerging Markets Equity Fund


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Based on Market Value Based on Equivalent Exposure
CUSIP/SEDOL Ticker Securities
(on 09-30-25)
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
688910 2330 TT Taiwan Semiconductor Manufacturing Co Ltd 21,177,695 $906,781,677.77 9.63% $906,781,677.77 9.63% 1,110,376.75 Information Technology Taiwan
BMMV2K 700 HK Tencent Holdings Ltd 7,884,300 $671,719,928.81 7.14% $671,719,928.81 7.14% 780,875.72 Communication Services China
BK6YZP 9988 HK Alibaba Group Holding Ltd 19,103,348 $434,504,538.84 4.62% $434,504,538.84 4.62% 433,805.86 Consumer Discretionary China
677172 005930 KS Samsung Electronics Co Ltd 6,577,824 $393,342,670.33 4.18% $393,342,670.33 4.18% 399,816.37 Information Technology South Korea
BK1N46 HDFCB IN HDFC Bank Ltd 17,032,232 $182,429,109.90 1.94% $182,429,109.90 1.94% 164,521.87 Financials India
B0LMTQ 939 HK China Construction Bank Corp 182,968,490 $175,869,069.47 1.87% $175,869,069.47 1.87% 251,449.94 Financials China
613566 KMB IN Kotak Mahindra Bank Ltd 7,530,524 $169,008,744.63 1.80% $169,008,744.63 1.80% 44,630.30 Financials India
BGJW37 3690 HK Meituan 11,817,700 $158,694,112.66 1.69% $158,694,112.66 1.69% 82,046.68 Consumer Discretionary China
BFXZDY 3711 TT ASE Technology Holding Co Ltd 27,562,000 $148,309,206.64 1.58% $148,309,206.64 1.58% 23,795.42 Information Technology Taiwan
620512 INFO IN Infosys Ltd 8,920,145 $144,850,164.70 1.54% $144,850,164.70 1.54% 67,461.28 Information Technology India
637248 2454 TT MediaTek Inc 3,297,000 $142,251,952.23 1.51% $142,251,952.23 1.51% 69,202.90 Information Technology Taiwan
B1DYPZ 3968 HK China Merchants Bank Co Ltd 23,083,000 $138,700,593.04 1.47% $138,700,593.04 1.47% 151,540.42 Financials China
64110W10 NTES US NetEase Inc ADR 893,707 $135,834,526.93 1.44% $135,834,526.93 1.44% 96,299.65 Communication Services China
BP3R2F 600519 C1 Kweichow Moutai Co Ltd 649,728 $131,798,458.19 1.40% $131,798,458.19 1.40% 254,121.73 Consumer Staples China
BW1YVH WALMEX* MM Wal-Mart de Mexico SAB de CV 42,522,512 $131,351,107.32 1.40% $131,351,107.32 1.40% 53,891.31 Consumer Staples Mexico
688879 KBANK/F TB Kasikornbank PCL 23,104,500 $119,069,634.32 1.26% $119,069,634.32 1.26% 12,333.73 Financials Thailand
38059T10 GFI US Gold Fields Ltd ADR 2,816,532 $118,181,682.72 1.26% $118,181,682.72 1.26% 37,555.22 Materials South Africa
B01NPJ TCS IN Tata Consultancy Services Ltd 3,566,548 $116,023,902.16 1.23% $116,023,902.16 1.23% 117,700.54 Information Technology India
71654V40 PBR US Petroleo Brasileiro SA - Petrobras ADR 8,982,747 $113,721,577.02 1.21% $113,721,577.02 1.21% 81,585.67 Energy Brazil
610018 MM IN Mahindra & Mahindra Ltd 2,927,282 $112,984,983.05 1.20% $112,984,983.05 1.20% 47,996.77 Consumer Discretionary India
B0JGGP ITC IN ITC Ltd 24,835,288 $112,318,395.03 1.19% $112,318,395.03 1.19% 56,654.36 Consumer Staples India
72230410 PDD US PDD Holdings Inc ADR 832,304 $110,005,619.68 1.17% $110,005,619.68 1.17% 187,634.68 Consumer Discretionary China
B01FLR 2318 HK Ping An Insurance Group Co of China Ltd 15,889,500 $108,319,633.90 1.15% $108,319,633.90 1.15% 123,440.84 Financials China
626073 2308 TT Delta Electronics Inc 3,680,000 $103,114,377.58 1.10% $103,114,377.58 1.10% 72,783.72 Information Technology Taiwan
B27WRM 3888 HK Kingsoft Corp Ltd 22,720,000 $101,075,745.80 1.07% $101,075,745.80 1.07% 6,230.15 Communication Services China
B5B23W 1928 HK Sands China Ltd 35,208,800 $98,179,885.50 1.04% $98,179,885.50 1.04% 22,568.42 Consumer Discretionary Hong Kong
294542 WEGE3 BZ WEG SA 13,836,900 $95,127,468.83 1.01% $95,127,468.83 1.01% 28,856.19 Industrials Brazil
91912E10 VALE US Vale SA ADR 8,727,341 $94,778,923.26 1.01% $94,778,923.26 1.01% 49,293.63 Materials Brazil
B01C1P BBCA IJ Bank Central Asia Tbk PT 195,423,800 $89,415,330.03 0.95% $89,415,330.03 0.95% 56,403.98 Financials Indonesia
G2519Y10 BAP US Credicorp Ltd 334,007 $88,939,383.96 0.94% $88,939,383.96 0.94% 21,178.07 Financials Peru
B4TX8S 1299 HK AIA Group Ltd 9,004,400 $86,376,609.98 0.92% $86,376,609.98 0.92% 100,766.00 Financials Hong Kong
697245 291 HK China Resources Beer Holdings Co Ltd 23,320,000 $82,228,850.10 0.87% $82,228,850.10 0.87% 11,439.32 Consumer Staples China
621808 992 HK Lenovo Group Ltd 54,422,000 $80,773,340.87 0.86% $80,773,340.87 0.86% 18,411.04 Information Technology China
B1FW75 GALP PL Galp Energia SGPS SA 4,235,773 $80,316,213.57 0.85% $80,316,213.57 0.85% 14,226.12 Energy Portugal
BG36ZK B3SA3 BZ B3 SA - Brasil Bolsa Balcao 31,589,600 $79,534,151.91 0.84% $79,534,151.91 0.84% 13,259.64 Financials Brazil
643856 2317 TT Hon Hai Precision Industry Co Ltd 10,390,000 $73,634,752.94 0.78% $73,634,752.94 0.78% 98,451.87 Information Technology Taiwan
615525 000810 KS Samsung Fire & Marine Insurance Co Ltd 225,252 $72,485,854.39 0.77% $72,485,854.39 0.77% 14,806.34 Financials South Korea
672712 BBNI IJ Bank Negara Indonesia Persero Tbk PT 284,356,500 $69,958,694.87 0.74% $69,958,694.87 0.74% 9,176.06 Financials Indonesia
BD5CPP 000333 C2 Midea Group Co Ltd 6,752,901 $68,928,739.64 0.73% $68,928,739.64 0.73% 78,250.57 Consumer Discretionary China
B0190C 669 HK Techtronic Industries Co Ltd 5,362,000 $68,592,974.77 0.73% $68,592,974.77 0.73% 23,420.94 Industrials Hong Kong
626167 HUVR IN Hindustan Unilever Ltd 2,395,079 $67,826,009.91 0.72% $67,826,009.91 0.72% 66,537.85 Consumer Staples India
B0D000 BIMAS TI BIM Birlesik Magazalar AS 5,194,778 $67,594,054.39 0.72% $67,594,054.39 0.72% 7,807.15 Consumer Staples Turkey
B037HF NTPC IN NTPC Ltd 17,378,744 $66,636,746.15 0.71% $66,636,746.15 0.71% 37,180.72 Utilities India
607701 BBL/F TB Bangkok Bank PCL 14,438,400 $66,388,569.67 0.71% $66,388,569.67 0.71% 8,776.97 Financials Thailand
05946030 BBD US Banco Bradesco SA ADR 19,601,827 $66,254,175.26 0.70% $66,254,175.26 0.70% 35,750.30 Financials Brazil
B12LSY SABB AB Saudi Awwal Bank 7,731,075 $66,133,242.49 0.70% $66,133,242.49 0.70% 17,577.14 Financials Saudi Arabia
239254 GRUMAB MM Gruma SAB de CV 3,506,919 $65,104,011.88 0.69% $65,104,011.88 0.69% 6,875.77 Consumer Staples Mexico
663371 MSIL IN Maruti Suzuki India Ltd 357,614 $64,559,922.36 0.69% $64,559,922.36 0.69% 56,758.98 Consumer Discretionary India
732015 OTP HB OTP Bank Nyrt 703,862 $60,791,101.24 0.65% $60,791,101.24 0.65% 24,183.02 Financials Hungary
B0L0W3 UPLL IN UPL Ltd 8,121,719 $59,987,592.12 0.64% $59,987,592.12 0.64% 6,237.05 Materials India
B01LXY 001450 KS Hyundai Marine & Fire Insurance Co Ltd 2,967,709 $59,542,431.38 0.63% $59,542,431.38 0.63% 1,793.67 Financials South Korea
B28PFX EMIRATES Emirates NBD Bank PJSC 8,870,102 $58,682,424.31 0.62% $58,682,424.31 0.62% 41,789.07 Financials United Arab Emirates
645026 000660 KS SK Hynix Inc 232,628 $57,616,072.13 0.61% $57,616,072.13 0.61% 180,307.78 Information Technology South Korea
609962 RELIANCE Reliance Industries Ltd 3,685,168 $56,612,680.68 0.60% $56,612,680.68 0.60% 207,890.00 Energy India
BP3R2V 600887 C1 Inner Mongolia Yili Industrial Group Co Ltd 14,613,527 $56,003,345.75 0.60% $56,003,345.75 0.60% 24,240.65 Consumer Staples China
BN12D3 ADNOCDRI ADNOC Drilling Co PJSC 36,333,050 $55,690,794.16 0.59% $55,690,794.16 0.59% 24,524.58 Energy United Arab Emirates
92763W10 VIPS US Vipshop Holdings Ltd ADR 2,825,504 $55,492,898.56 0.59% $55,492,898.56 0.59% 9,682.52 Consumer Discretionary China
BDVLJ7 271560 KS Orion Corp/Republic of Korea 745,602 $55,054,607.60 0.58% $55,054,607.60 0.58% 2,919.31 Consumer Staples South Korea
02319V10 ABEV US Ambev SA ADR 24,648,454 $54,966,052.42 0.58% $54,966,052.42 0.58% 35,148.46 Consumer Staples Brazil
667357 IQCD QD Industries Qatar QSC 15,933,774 $54,702,602.31 0.58% $54,702,602.31 0.58% 20,770.39 Industrials Qatar
242104 GFNORTEO Grupo Financiero Banorte SAB de CV 5,415,745 $54,555,199.04 0.58% $54,555,199.04 0.58% 28,338.17 Financials Mexico
609972 BPCL IN Bharat Petroleum Corp Ltd 14,082,911 $53,872,373.71 0.57% $53,872,373.71 0.57% 16,596.40 Energy India
BG087C ETE GA National Bank of Greece SA 3,683,745 $53,654,996.33 0.57% $53,654,996.33 0.57% 13,323.14 Financials Greece
BMZQ74 TADAWULG Saudi Tadawul Group Holding Co 969,447 $53,252,115.09 0.57% $53,252,115.09 0.57% 6,591.65 Financials Saudi Arabia
662800 NED SJ Nedbank Group Ltd 4,291,116 $53,048,828.37 0.56% $53,048,828.37 0.56% 6,005.10 Financials South Africa
V5633W10 MMYT US MakeMyTrip Ltd 562,064 $52,609,190.40 0.56% $52,609,190.40 0.56% 10,392.13 Consumer Discretionary India
B12LR5 EEC AB Etihad Etisalat Co 2,858,706 $51,492,077.84 0.55% $51,492,077.84 0.55% 13,869.53 Communication Services Saudi Arabia
B800MQ ASII IJ Astra International Tbk PT 145,062,300 $50,269,113.86 0.53% $50,269,113.86 0.53% 14,028.95 Industrials Indonesia
623084 UNTR IJ United Tractors Tbk PT 30,879,500 $49,612,878.04 0.53% $49,612,878.04 0.53% 5,993.06 Energy Indonesia
608039 914 HK Anhui Conch Cement Co Ltd 16,010,500 $48,348,646.55 0.51% $48,348,646.55 0.51% 15,935.71 Materials China
505160 HTO GA Hellenic Telecommunications Organization SA 2,528,372 $47,851,174.56 0.51% $47,851,174.56 0.51% 7,643.20 Communication Services Greece
653703 003550 KS LG Corp 921,107 $47,268,239.91 0.50% $47,268,239.91 0.50% 7,914.15 Industrials South Korea
BD5CCK 300347 C2 Hangzhou Tigermed Consulting Co Ltd 5,560,115 $45,302,933.93 0.48% $45,302,933.93 0.48% 6,965.39 Health Care China
BD5CPN 000651 C2 Gree Electric Appliances Inc of Zhuhai 8,105,539 $45,227,824.75 0.48% $45,227,824.75 0.48% 31,255.10 Consumer Discretionary China
B00KT6 PLNG IN Petronet LNG Ltd 14,404,485 $45,230,622.33 0.48% $45,230,622.33 0.48% 4,710.06 Energy India
29414B10 EPAM US EPAM Systems Inc 299,482 $45,158,890.78 0.48% $45,158,890.78 0.48% 8,398.54 Information Technology United States
BHWLWV 603259 C1 WuXi AppTec Co Ltd 2,855,600 $44,941,366.17 0.48% $44,941,366.17 0.48% 45,202.89 Health Care China
615593 005830 KS DB Insurance Co Ltd 453,937 $44,809,717.76 0.48% $44,809,717.76 0.48% 6,988.92 Financials South Korea
B01RM2 EMAAR UH Emaar Properties PJSC 12,566,222 $44,646,600.81 0.47% $44,646,600.81 0.47% 31,403.39 Real Estate United Arab Emirates
653665 1211 HK BYD Co Ltd 3,132,600 $44,360,670.53 0.47% $44,360,670.53 0.47% 129,108.40 Consumer Discretionary China
676523 028050 KS Samsung Engineering Co Ltd 2,316,841 $44,254,544.60 0.47% $44,254,544.60 0.47% 3,743.84 Industrials South Korea
629735 DABUR IN Dabur India Ltd 7,903,696 $43,733,984.82 0.46% $43,733,984.82 0.46% 9,814.46 Consumer Staples India
653551 1193 HK China Resources Gas Group Ltd 16,972,600 $43,271,465.89 0.46% $43,271,465.89 0.46% 5,899.55 Utilities China
BSQCB2 SBIN IN State Bank of India 4,289,333 $42,147,553.33 0.45% $42,147,553.33 0.45% 90,701.26 Financials India
BZ1G17 145020 KS Hugel Inc 190,779 $41,064,294.22 0.44% $41,064,294.22 0.44% 2,648.39 Health Care South Korea
BMG3GS 402340 KS SK Square Co Ltd 278,397 $39,982,178.47 0.42% $39,982,178.47 0.42% 19,034.95 Industrials South Korea
BD5CJ2 000786 C2 Beijing New Building Materials PLC 11,532,642 $38,331,702.79 0.41% $38,331,702.79 0.41% 5,651.68 Industrials China
71654V10 PBR/A US Petroleo Brasileiro SA ADR 3,146,551 $37,192,232.82 0.40% $37,192,232.82 0.40% 32,188.82 Energy Brazil
BD4T6W TLKM IJ Telkom Indonesia Persero Tbk PT 202,135,600 $37,115,807.74 0.39% $37,115,807.74 0.39% 18,189.64 Communication Services Indonesia
BYX9GP 241560 KS Doosan Bobcat Inc 932,293 $36,878,415.95 0.39% $36,878,415.95 0.39% 3,791.75 Industrials South Korea
BD5CPG 000858 C2 Wuliangye Yibin Co Ltd 2,080,718 $35,508,519.78 0.38% $35,508,519.78 0.38% 66,241.63 Consumer Staples China
B3DF0Y 105560 KS KB Financial Group Inc 426,854 $35,138,902.39 0.37% $35,138,902.39 0.37% 31,402.21 Financials South Korea
603050 101 HK Hang Lung Properties Ltd 27,664,000 $31,034,216.36 0.33% $31,034,216.36 0.33% 5,672.68 Real Estate Hong Kong
600521 2345 TT Accton Technology Corp 886,000 $30,378,305.66 0.32% $30,378,305.66 0.32% 19,239.06 Information Technology Taiwan
BG1SV4 BANDHAN IN Bandhan Bank Ltd 16,422,353 $30,002,335.66 0.32% $30,002,335.66 0.32% 2,943.12 Financials India
645166 3008 TT Largan Precision Co Ltd 255,000 $19,661,723.21 0.21% $19,661,723.21 0.21% 10,291.04 Information Technology Taiwan
B068DB SM PM SM Investments Corp 1,529,870 $19,320,523.20 0.21% $19,320,523.20 0.21% 15,477.51 Industrials Philippines
BJTM27 ARAMCO AB Saudi Arabian Oil Co 2,800,302 $18,383,935.59 0.20% $18,383,935.59 0.20% 1,588,725.93 Energy Saudi Arabia
263934 ASURB MM Grupo Aeroportuario del Sureste SAB de CV 469,124 $15,149,732.43 0.16% $15,149,732.43 0.16% 9,688.10 Industrials Mexico
B1KFX1 OMAB MM Grupo Aeroportuario del Centro Norte SAB de CV 930,774 $12,044,383.79 0.13% $12,044,383.79 0.13% 4,997.10 Industrials Mexico
CASH CASH Cash & Cash Equivalents - $161,322,590.44 1.71% $161,322,590.44 1.71% - - -

*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.

 

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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