Full & Historical Holdings
Global Governments Portfolio
| Based on Market Value | Based on Equivalent Exposure | ||||||||||
|---|---|---|---|---|---|---|---|---|---|---|---|
| CUSIP/SEDOL | Ticker |
Securities
(on 10-31-25)
|
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 | |
| BSZ25F00 | BSZ25F00 | Euro BTP Italian Bond Future DEC 08 25 | 65 | $0.00 | 0.00% | $8,103,590.56 | 10.04% | - | Non U.S. Markets | Italy | |
| 91282CAE | 91282CAE | US Treasury Note 0.625% AUG 15 30 | 9,236,000 | $8,010,394.70 | 9.93% | $8,010,394.70 | 9.93% | - | U.S. Governments | United States | |
| 912828X8 | 912828X8 | US Treasury Note 2.375% MAY 15 27 | 6,410,000 | $6,359,889.24 | 7.88% | $6,359,889.23 | 7.88% | - | U.S. Governments | United States | |
| 9128284V | 9128284V | US Treasury Note 2.875% AUG 15 28 | 6,310,000 | $6,227,920.72 | 7.72% | $6,227,920.72 | 7.72% | - | U.S. Governments | United States | |
| BYPJH8 | BYPJH8 | Japan Government Ten Year Bond 0.1% MAR 20 26 | 720,000,000 | $4,665,049.96 | 5.78% | $4,665,049.97 | 5.78% | - | Non U.S. Markets | Japan | |
| SM11746R | SM11746R | USD ZC CPI FEB 05 25 R 2.755 FEB 05 27 | 4,400,000 | $4,407,534.74 | 0.00% | $4,407,534.74 | 5.46% | - | U.S. Governments | United States | |
| TUZ25F00 | TUZ25F00 | UST Bond 2Yr Future DEC 31 25 | 19 | $0.00 | 0.00% | $3,956,601.57 | 4.90% | - | U.S. Governments | United States | |
| 912810QC | 912810QC | US Treasury Bond 4.5% AUG 15 39 | 3,686,400 | $3,768,793.04 | 4.67% | $3,768,793.04 | 4.67% | - | U.S. Governments | United States | |
| TYZ25F00 | TYZ25F00 | UST Bond 10Yr Future DEC 19 25 | 33 | $0.00 | 0.00% | $3,718,171.88 | 4.61% | - | U.S. Governments | United States | |
| 628962 | 628962 | Japan Government Thirty Year Bond 2.3% MAY 20 30 | 488,250,000 | $3,357,087.05 | 4.16% | $3,357,087.05 | 4.16% | - | Non U.S. Markets | Japan | |
| BP9N5W | BP9N5W | French Republic Government Bond OAT 2.75% FEB 25 30 | 2,775,000 | $3,285,088.47 | 4.07% | $3,285,088.47 | 4.07% | - | Non U.S. Markets | France | |
| BRV32S | BRV32S | Italy Buoni Poliennali Del Tesoro 2.7% OCT 01 30 | 2,750,000 | $3,184,664.74 | 3.95% | $3,184,664.74 | 3.95% | - | Non U.S. Markets | Italy | |
| BMDV88 | BMDV88 | Japan Government Twenty Year Bond 0.4% SEP 20 40 | 580,550,000 | $2,909,094.16 | 3.60% | $2,909,094.16 | 3.60% | - | Non U.S. Markets | Japan | |
| BRRDYG | BRRDYG | Italy Buoni Poliennali Del Tesoro RegS 4.1% FEB 01 29 | 2,230,000 | $2,735,892.47 | 3.39% | $2,735,892.46 | 3.39% | - | Non U.S. Markets | Italy | |
| 91282CGM | 91282CGM | US Treasury Note 3.5% FEB 15 33 | 2,344,000 | $2,300,682.97 | 2.85% | $2,300,682.97 | 2.85% | - | U.S. Governments | United States | |
| FWD6027426 | JPY/USD | JPY/USD FWD 20260116 CCHA-NYC | 345,187,405 | $2,257,622.81 | 2.80% | $2,239,876.74 | 2.78% | - | Unclassified | United States | |
| 912810QY | 912810QY | US Treasury Bond 2.75% NOV 15 42 | 2,646,000 | $2,099,768.19 | 2.60% | $2,099,768.19 | 2.60% | - | U.S. Governments | United States | |
| 135087N2 | 135087N2 | Canadian Government Bond 1.5% DEC 01 31 | 3,015,000 | $2,002,921.52 | 2.48% | $2,002,921.52 | 2.48% | - | Non U.S. Markets | Canada | |
| 912810TT | 912810TT | US Treasury Bond 4.125% AUG 15 53 | 2,167,000 | $1,996,334.03 | 2.47% | $1,996,334.03 | 2.47% | - | U.S. Governments | United States | |
| 912810SF | 912810SF | US Treasury Bond 3% FEB 15 49 | 2,570,000 | $1,960,406.30 | 2.43% | $1,960,406.29 | 2.43% | - | U.S. Governments | United States | |
| BPSNBF | BPSNBF | United Kingdom Gilt RegS 4% OCT 22 31 | 1,475,000 | $1,936,016.08 | 2.40% | $1,936,016.08 | 2.40% | - | Non U.S. Markets | United Kingdom | |
| FWD6020334 | USD/EUR | USD/EUR FWD 20260116 CDEB-LON | 1,914,632 | $1,914,631.95 | 2.37% | $1,914,631.95 | 2.37% | - | Unclassified | United States | |
| BMHN03 | BMHN03 | Hellenic Republic Government Bond 1.5% JUN 18 30 | 1,700,000 | $1,884,984.43 | 2.34% | $1,884,984.44 | 2.34% | - | Emerging Markets | Greece | |
| BTFK8Z | BTFK8Z | Italy Buoni Poliennali Del Tesoro 4.1% APR 30 46 | 1,500,000 | $1,761,156.86 | 2.18% | $1,761,156.86 | 2.18% | - | Non U.S. Markets | Italy | |
| BT3NRZ | BT3NRZ | Hellenic Republic Government Bond 3.625% JUN 15 35 | 1,180,000 | $1,418,319.76 | 1.76% | $1,418,319.75 | 1.76% | - | Emerging Markets | Greece | |
| BMH2ZF | BMH2ZF | European Union RegS 0% JUL 04 35 | 1,550,000 | $1,341,399.20 | 1.66% | $1,341,399.20 | 1.66% | - | Non U.S. Markets | Supranational | |
| FWD6031354 | GBP/USD | GBP/USD FWD 20260116 CCIT-NYC | 1,020,385 | $1,340,508.28 | 1.66% | $1,340,480.39 | 1.66% | - | Unclassified | United States | |
| LGZ25F00 | LGZ25F00 | GB Govt Bond 10Yr Future DEC 29 25 | 10 | $0.00 | 0.00% | $1,229,885.94 | 1.52% | - | Non U.S. Markets | United Kingdom | |
| FWD6020328 | USD/CAD | USD/CAD FWD 20260116 SSBT-BOS | 1,186,613 | $1,186,613.12 | 1.47% | $1,186,613.12 | 1.47% | - | Unclassified | United States | |
| BLDCJD | BLDCJD | Spain Government Bond 3.2% OCT 31 35 | 1,000,000 | $1,158,309.13 | 1.44% | $1,158,309.13 | 1.44% | - | Non U.S. Markets | Spain | |
| FWD6017308 | USD/JPY | USD/JPY FWD 20260116 SSBT-BOS | 1,120,119 | $1,120,119.43 | 1.39% | $1,120,119.43 | 1.39% | - | Unclassified | United States | |
| BFYVHB | BFYVHB | French Republic Government Bond OAT 1.25% MAY 25 34 | 1,000,000 | $990,425.41 | 1.23% | $990,425.41 | 1.23% | - | Non U.S. Markets | France | |
| RXZ25F00 | RXZ25F00 | Euro Bund 10Yr Future DEC 08 25 | 6 | $0.00 | 0.00% | $894,848.30 | 1.11% | - | Non U.S. Markets | Germany | |
| BRJTML | BRJTML | Australia Government Bond RegS 3.5% DEC 21 34 | 1,370,000 | $858,042.12 | 1.06% | $858,042.12 | 1.06% | - | Non U.S. Markets | Australia | |
| B4KCFS | B4KCFS | Spain Government Bond 4.7% JUL 30 41 | 615,000 | $811,663.14 | 1.01% | $811,663.14 | 1.01% | - | Non U.S. Markets | Spain | |
| BR1WDH | BR1WDH | Spain Government Bond 4% OCT 31 54 | 698,000 | $808,673.49 | 1.00% | $808,673.49 | 1.00% | - | Non U.S. Markets | Spain | |
| BN4JC7 | BN4JC7 | Japan Government Thirty Year Bond 0.6% SEP 20 50 | 196,200,000 | $747,765.57 | 0.93% | $747,765.56 | 0.93% | - | Non U.S. Markets | Japan | |
| FWD6031342 | USD/JPY | USD/JPY FWD 20260116 CHSB-NYC | 717,689 | $717,689.11 | 0.89% | $717,689.11 | 0.89% | - | Unclassified | United States | |
| 91282CBT | 91282CBT | US Treasury Note 0.75% MAR 31 26 | 698,000 | $689,877.00 | 0.85% | $689,877.00 | 0.85% | - | U.S. Governments | United States | |
| FWD6029299 | USD/SEK | USD/SEK FWD 20260116 SSBT-BOS | 666,879 | $666,878.71 | 0.83% | $666,878.71 | 0.83% | - | Unclassified | United States | |
| B6RNH5 | B6RNH5 | United Kingdom Gilt RegS 3.75% JUL 22 52 | 617,000 | $654,172.95 | 0.81% | $654,172.96 | 0.81% | - | Non U.S. Markets | United Kingdom | |
| BMX7DT | BMX7DT | French Republic Government Bond OAT 3% MAY 25 54 | 700,000 | $651,568.24 | 0.81% | $651,568.24 | 0.81% | - | Non U.S. Markets | France | |
| FWD6020324 | USD/NZD | USD/NZD FWD 20260116 CDEB-LON | 606,252 | $606,251.94 | 0.75% | $606,251.94 | 0.75% | - | Unclassified | United States | |
| FWD6056281 | SEK/USD | SEK/USD FWD 20260116 CGSC-LON | 5,749,875 | $608,045.60 | 0.75% | $605,234.07 | 0.75% | - | Unclassified | United States | |
| BSJR6Q | BSJR6Q | Peru Government Bond 6.85% AUG 12 35 | 1,850,000 | $594,732.22 | 0.74% | $594,418.52 | 0.74% | - | Emerging Markets | Peru | |
| 912810RK | 912810RK | US Treasury Bond 2.5% FEB 15 45 | 755,000 | $550,756.35 | 0.68% | $550,756.35 | 0.68% | - | U.S. Governments | United States | |
| BT7J00 | BT7J00 | United Kingdom Gilt RegS 4.5% MAR 07 35 | 400,000 | $532,545.87 | 0.66% | $532,545.86 | 0.66% | - | Non U.S. Markets | United Kingdom | |
| BQPGVB | BQPGVB | Croatia Government International Bond RegS 3.25% FEB 11 37 | 442,000 | $514,488.91 | 0.64% | $514,488.91 | 0.64% | - | Emerging Markets | Croatia | |
| 917288BM | 917288BM | Uruguay Government International Bond 8.25% MAY 21 31 | 18,000,000 | $476,026.59 | 0.59% | $476,026.59 | 0.59% | - | Emerging Markets | Uruguay | |
| BF3792 | BF3792 | Japan Government Forty Year Bond 0.9% MAR 20 57 | 121,800,000 | $454,705.47 | 0.56% | $454,705.47 | 0.56% | - | Non U.S. Markets | Japan | |
| 401494BA | 401494BA | Guatemala Government Bond 144A 6.25% AUG 15 36 | 400,000 | $428,829.11 | 0.53% | $428,829.11 | 0.53% | - | Emerging Markets | Guatemala | |
| FWD6022312 | USD/JPY | USD/JPY FWD 20260116 CMSD-NYC | 415,205 | $415,205.22 | 0.51% | $415,205.22 | 0.51% | - | Unclassified | United States | |
| BYY9RY | BYY9RY | Republic of South Africa Government Bond 8.875% FEB 28 35 | 7,000,000 | $410,155.19 | 0.51% | $410,155.18 | 0.51% | - | Emerging Markets | South Africa | |
| FWD6049303 | USD/INR | USD/INR NDF 20260130 CBCL-LON | 353,844 | $353,844.06 | 0.44% | $353,844.06 | 0.44% | - | Unclassified | United States | |
| BSF0H6 | BSF0H6 | India Government Bond 6.79% OCT 07 34 | 30,000,000 | $342,476.64 | 0.42% | $342,476.65 | 0.42% | - | Emerging Markets | India | |
| BNT867 | BNT867 | Brazil Notas do Tesouro Nacional Serie F 10% JAN 01 33 | 2,000,000 | $325,952.79 | 0.40% | $325,952.79 | 0.40% | - | Emerging Markets | Brazil | |
| BSB7QW | BSB7QW | Finland Government Bond RegS 3.2% APR 15 45 | 279,000 | $314,243.04 | 0.39% | $314,243.04 | 0.39% | - | Non U.S. Markets | Finland | |
| B54QLM | B54QLM | United Kingdom Gilt RegS 4% JAN 22 60 | 275,000 | $299,612.48 | 0.37% | $299,612.49 | 0.37% | - | Non U.S. Markets | United Kingdom | |
| BQYKSC | BQYKSC | Italy Buoni Poliennali Del Tesoro 4.3% OCT 01 54 | 248,000 | $289,785.48 | 0.36% | $289,785.47 | 0.36% | - | Non U.S. Markets | Italy | |
| FWD6027300 | AUD/USD | AUD/USD FWD 20260116 CBCL-LON | 436,616 | $285,885.86 | 0.35% | $285,677.74 | 0.35% | - | Unclassified | United States | |
| 682142AK | 682142AK | OMERS Finance Trust 144A 5.5% NOV 15 33 | 250,000 | $275,786.41 | 0.34% | $275,786.40 | 0.34% | - | Non U.S. Markets | Canada | |
| 760942BJ | 760942BJ | Uruguay Government International Bond 8% OCT 29 35 | 10,590,630 | $266,888.24 | 0.33% | $266,888.24 | 0.33% | - | Emerging Markets | Uruguay | |
| BPX2VW | BPX2VW | New Zealand Government Bond 4.5% MAY 15 35 | 435,000 | $262,585.41 | 0.33% | $262,585.41 | 0.33% | - | Non U.S. Markets | New Zealand | |
| 013051ET | 013051ET | Province of Alberta Canada 4.5% JAN 24 34 | 250,000 | $257,077.51 | 0.32% | $257,077.51 | 0.32% | - | Non U.S. Markets | Canada | |
| BTXQRV | BTXQRV | Albania Government International Bond RegS 4.75% FEB 14 35 | 202,000 | $247,300.80 | 0.31% | $247,300.80 | 0.31% | - | Emerging Markets | Albania | |
| BTRFQP | BTRFQP | Norway Government Bond 3.75% JUN 12 35 | 2,500,000 | $245,265.03 | 0.30% | $245,265.03 | 0.30% | - | Non U.S. Markets | Norway | |
| FWD6025423 | CZK/USD | CZK/USD FWD 20260116 SSBT-BOS | 5,141,380 | $244,000.08 | 0.30% | $243,546.13 | 0.30% | - | Unclassified | United States | |
| FWD6020320 | USD/EUR | USD/EUR FWD 20260116 CRBS-LON | 223,582 | $223,581.71 | 0.28% | $223,581.71 | 0.28% | - | Unclassified | United States | |
| 817477AJ | 817477AJ | Serbia International Bond 144A 6% JUN 12 34 | 201,000 | $215,739.97 | 0.27% | $215,739.97 | 0.27% | - | Emerging Markets | Serbia | |
| FWD6031419 | AUD/USD | AUD/USD FWD 20260116 CUBS-STM | 328,947 | $215,386.56 | 0.27% | $215,229.76 | 0.27% | - | Unclassified | United States | |
| FWD6022314 | CAD/USD | CAD/USD FWD 20260116 CMSD-NYC | 289,754 | $207,422.26 | 0.26% | $206,590.97 | 0.26% | - | Unclassified | United States | |
| FWD6027397 | USD/ZAR | USD/ZAR FWD 20260116 CHSB-NYC | 202,248 | $202,248.16 | 0.25% | $202,248.16 | 0.25% | - | Unclassified | United States | |
| FWD6025454 | AUD/USD | AUD/USD FWD 20260116 CDEB-LON | 302,247 | $197,904.16 | 0.25% | $197,760.09 | 0.25% | - | Unclassified | United States | |
| FWD6057301 | USD/GBP | USD/GBP FWD 20260116 CMLI-LON | 197,465 | $197,465.07 | 0.24% | $197,465.07 | 0.24% | - | Unclassified | United States | |
| 135087P9 | 135087P9 | Canadian Government Bond 2.75% DEC 01 55 | 320,000 | $196,000.92 | 0.24% | $196,000.92 | 0.24% | - | Non U.S. Markets | Canada | |
| FWD6031377 | USD/EUR | USD/EUR FWD 20260116 CUBS-STM | 184,471 | $184,471.33 | 0.23% | $184,471.33 | 0.23% | - | Unclassified | United States | |
| FWD6025398 | HUF/USD | HUF/USD FWD 20260116 CMLI-LON | 55,195,626 | $163,240.15 | 0.20% | $164,056.81 | 0.20% | - | Unclassified | United States | |
| FWD6025405 | DKK/USD | DKK/USD FWD 20260116 SSBT-BOS | 1,042,502 | $161,739.04 | 0.20% | $160,906.09 | 0.20% | - | Unclassified | United States | |
| BBJNQY | BBJNQY | United Kingdom Gilt RegS 3.5% JUL 22 68 | 165,000 | $158,901.31 | 0.20% | $158,901.32 | 0.20% | - | Non U.S. Markets | United Kingdom | |
| FWD6008340 | USD/BRL | USD/BRL NDF 20251128 CCHA-NYC | 158,282 | $158,282.04 | 0.20% | $158,282.04 | 0.20% | - | Unclassified | United States | |
| 013051EY | 013051EY | Province of Alberta Canada 4.3% NOV 02 35 | 157,000 | $156,919.55 | 0.19% | $156,919.55 | 0.19% | - | Non U.S. Markets | Canada | |
| FWD6004343 | USD/BRL | USD/BRL NDF 20251128 CDEB-LON | 156,772 | $156,771.90 | 0.19% | $156,771.90 | 0.19% | - | Unclassified | United States | |
| 20848FAA | 20848FAA | Conservation Fund A Nonprofit Corp 3.474% DEC 15 29 | 158,000 | $153,426.64 | 0.19% | $153,426.64 | 0.19% | - | Corporate Debt | United States | |
| BRJV85 | BRJV85 | Hellenic Republic Government Bond RegS 4.125% JUN 15 54 | 125,000 | $146,294.18 | 0.18% | $146,294.18 | 0.18% | - | Emerging Markets | Greece | |
| FWD6027315 | NZD/USD | NZD/USD FWD 20260116 CCIT-NYC | 238,568 | $136,979.91 | 0.17% | $136,520.32 | 0.17% | - | Unclassified | United States | |
| 83162CVK | 83162CVK | United States Small Business Administration 2.22% MAR 01 33 | 116,916 | $110,190.06 | 0.14% | $110,190.06 | 0.14% | - | Agency | United States | |
| FWD6022315 | USD/ZAR | USD/ZAR FWD 20260116 SSBT-BOS | 100,330 | $100,330.44 | 0.12% | $100,330.44 | 0.12% | - | Unclassified | United States | |
| FWD6027411 | USD/ZAR | USD/ZAR FWD 20260116 CMLI-LON | 96,946 | $96,945.96 | 0.12% | $96,945.96 | 0.12% | - | Unclassified | United States | |
| 3137H5DT | 3137H5DT | Freddie Mac Multifamily Structured Pass Through Certificates FRB DEC 25 31 | 3,444,413 | $90,857.75 | 0.11% | $90,857.76 | 0.11% | - | Mortgage-Backed Securities | United States | |
| 03882KAN | 03882KAN | Arbor Multifamily Mortgage Securities Trust 2021-MF3 144A FRB OCT 15 54 | 3,133,504 | $89,132.69 | 0.11% | $89,132.69 | 0.11% | - | Commercial Mortgage-Backed Securities | United States | |
| 3137FV5Q | 3137FV5Q | Freddie Mac Multifamily Structured Pass Through Certificates FRB JUN 25 30 | 1,374,831 | $72,764.46 | 0.09% | $72,764.46 | 0.09% | - | Mortgage-Backed Securities | United States | |
| FWD6020331 | USD/EUR | USD/EUR FWD 20260116 CHSB-NYC | 68,727 | $68,727.31 | 0.09% | $68,727.31 | 0.09% | - | Unclassified | United States | |
| 3137H4CH | 3137H4CH | Freddie Mac Multifamily Structured Pass Through Certificates FRB NOV 25 31 | 3,422,551 | $65,572.26 | 0.08% | $65,572.26 | 0.08% | - | Mortgage-Backed Securities | United States | |
| 3137H4BT | 3137H4BT | Freddie Mac Multifamily Structured Pass Through Certificates FRB SEP 25 31 | 2,295,212 | $64,999.10 | 0.08% | $64,999.11 | 0.08% | - | Mortgage-Backed Securities | United States | |
| FWD6017314 | EUR/USD | EUR/USD FWD 20260116 CMSD-NYC | 45,249 | $52,385.31 | 0.06% | $52,155.80 | 0.06% | - | Unclassified | United States | |
| FWD6027331 | USD/NOK | USD/NOK FWD 20260116 CHSB-NYC | 39,408 | $39,408.01 | 0.05% | $39,408.01 | 0.05% | - | Unclassified | United States | |
| FWD6024385 | GBP/USD | GBP/USD FWD 20260116 CCHA-NYC | 29,861 | $39,228.83 | 0.05% | $39,228.01 | 0.05% | - | Unclassified | United States | |
| 3137H3EZ | 3137H3EZ | Freddie Mac Multifamily Structured Pass Through Certificates FRB SEP 25 31 | 706,831 | $30,931.86 | 0.04% | $30,931.86 | 0.04% | - | Mortgage-Backed Securities | United States | |
| 78437XAB | 78437XAB | SBNA Auto Receivables Trust 2025-SF1 144A 5.12% MAR 17 31 | 23,847 | $23,921.47 | 0.03% | $23,921.48 | 0.03% | - | Asset Backed Securities | United States | |
| 3137F62R | 3137F62R | Freddie Mac Multifamily Structured Pass Through Certificates FRB SEP 25 30 | 329,805 | $17,072.45 | 0.02% | $17,072.46 | 0.02% | - | Mortgage-Backed Securities | United States | |
| 3137H4SM | 3137H4SM | FHMS K136 XAM 0.567 DEC 25 31 | 568,544 | $16,751.74 | 0.02% | $16,751.74 | 0.02% | - | Mortgage-Backed Securities | United States | |
| 3137HDJK | 3137HDJK | Freddie Mac Multifamily Structured Pass Through Certificates FRB MAY 25 29 | 1,058,394 | $15,297.17 | 0.02% | $15,297.18 | 0.02% | - | Mortgage-Backed Securities | United States | |
| 83162CQA | 83162CQA | United States Small Business Administration 5.21% JAN 01 26 | 1,596 | $1,622.58 | 0.00% | $1,622.58 | 0.00% | - | Agency | United States | |
| FWD6027330 | NOK/USD | NOK/USD FWD 20260116 CHSB-NYC | -398,252 | $-39,309.03 | -0.05% | $-39,316.99 | -0.05% | - | Unclassified | United States | |
| FWD6024386 | USD/GBP | USD/GBP FWD 20260116 CCHA-NYC | -40,050 | $-40,050.06 | -0.05% | $-40,050.06 | -0.05% | - | Unclassified | United States | |
| FWD6017313 | USD/EUR | USD/EUR FWD 20260116 CMSD-NYC | -52,395 | $-52,394.94 | -0.06% | $-52,394.94 | -0.06% | - | Unclassified | United States | |
| FWD6020332 | EUR/USD | EUR/USD FWD 20260116 CHSB-NYC | -58,655 | $-67,905.93 | -0.08% | $-67,608.41 | -0.08% | - | Unclassified | United States | |
| FWD6027410 | ZAR/USD | ZAR/USD FWD 20260116 CMLI-LON | -1,705,260 | $-97,818.46 | -0.12% | $-98,356.75 | -0.12% | - | Unclassified | United States | |
| FWD6022316 | ZAR/USD | ZAR/USD FWD 20260116 SSBT-BOS | -1,764,241 | $-101,201.74 | -0.13% | $-101,758.65 | -0.13% | - | Unclassified | United States | |
| FWD6027314 | USD/NZD | USD/NZD FWD 20260116 CCIT-NYC | -137,640 | $-137,640.16 | -0.17% | $-137,640.16 | -0.17% | - | Unclassified | United States | |
| IKZ25F00 | IKZ25F00 | Euro BTP IT Bond Future DEC 08 25 | -1 | $0.00 | 0.00% | $-139,966.29 | -0.17% | - | Non U.S. Markets | Italy | |
| FWD6004344 | BRL/USD | BRL/USD NDF 20251128 CDEB-LON | -861,614 | $-159,029.97 | -0.20% | $-160,152.73 | -0.20% | - | Unclassified | United States | |
| FWD6008339 | BRL/USD | BRL/USD NDF 20251128 CCHA-NYC | -870,822 | $-160,729.55 | -0.20% | $-161,864.30 | -0.20% | - | Unclassified | United States | |
| FWD6025404 | USD/DKK | USD/DKK FWD 20260116 SSBT-BOS | -162,622 | $-162,622.15 | -0.20% | $-162,622.15 | -0.20% | - | Unclassified | United States | |
| FWD6025399 | USD/HUF | USD/HUF FWD 20260116 CMLI-LON | -162,990 | $-162,990.12 | -0.20% | $-162,990.12 | -0.20% | - | Unclassified | United States | |
| FWD6031376 | EUR/USD | EUR/USD FWD 20260116 CUBS-STM | -158,021 | $-182,944.12 | -0.23% | $-182,142.58 | -0.23% | - | Unclassified | United States | |
| FWD6057300 | GBP/USD | GBP/USD FWD 20260116 CMLI-LON | -150,542 | $-197,771.74 | -0.25% | $-197,767.63 | -0.25% | - | Unclassified | United States | |
| FWD6025455 | USD/AUD | USD/AUD FWD 20260116 CDEB-LON | -197,999 | $-197,998.65 | -0.25% | $-197,998.65 | -0.25% | - | Unclassified | United States | |
| FWD6027396 | ZAR/USD | ZAR/USD FWD 20260116 CHSB-NYC | -3,543,508 | $-203,265.48 | -0.25% | $-204,384.03 | -0.25% | - | Unclassified | United States | |
| FWD6022313 | USD/CAD | USD/CAD FWD 20260116 CMSD-NYC | -208,666 | $-208,665.92 | -0.26% | $-208,665.92 | -0.26% | - | Unclassified | United States | |
| FWD6031418 | USD/AUD | USD/AUD FWD 20260116 CUBS-STM | -213,293 | $-213,292.92 | -0.26% | $-213,292.92 | -0.26% | - | Unclassified | United States | |
| FWD6020319 | EUR/USD | EUR/USD FWD 20260116 CRBS-LON | -190,235 | $-220,239.16 | -0.27% | $-219,274.22 | -0.27% | - | Unclassified | United States | |
| FWD6025422 | USD/CZK | USD/CZK FWD 20260116 SSBT-BOS | -244,394 | $-244,394.34 | -0.30% | $-244,394.34 | -0.30% | - | Unclassified | United States | |
| CNZ25F00 | CNZ25F00 | Canadian Bond 10Yr Future DEC 18 25 | -3 | $0.00 | 0.00% | $-262,578.87 | -0.33% | - | Non U.S. Markets | Canada | |
| FWD6027301 | USD/AUD | USD/AUD FWD 20260116 CBCL-LON | -281,244 | $-281,243.70 | -0.35% | $-281,243.70 | -0.35% | - | Unclassified | United States | |
| FWD6049302 | INR/USD | INR/USD NDF 20260130 CBCL-LON | -31,394,000 | $-351,904.21 | -0.44% | $-353,650.53 | -0.44% | - | Unclassified | United States | |
| FWD6022311 | JPY/USD | JPY/USD FWD 20260116 CMSD-NYC | -62,124,710 | $-406,313.09 | -0.50% | $-403,119.27 | -0.50% | - | Unclassified | United States | |
| FWD6020323 | NZD/USD | NZD/USD FWD 20260116 CDEB-LON | -1,041,548 | $-598,032.41 | -0.74% | $-596,025.91 | -0.74% | - | Unclassified | United States | |
| FWD6056280 | USD/SEK | USD/SEK FWD 20260116 CGSC-LON | -611,876 | $-611,875.78 | -0.76% | $-611,875.78 | -0.76% | - | Unclassified | United States | |
| FWD6029300 | SEK/USD | SEK/USD FWD 20260116 SSBT-BOS | -6,361,430 | $-672,717.11 | -0.83% | $-669,606.55 | -0.83% | - | Unclassified | United States | |
| FWD6031343 | JPY/USD | JPY/USD FWD 20260116 CHSB-NYC | -108,081,560 | $-706,883.83 | -0.88% | $-701,327.36 | -0.87% | - | Unclassified | United States | |
| UBZ25F00 | UBZ25F00 | Euro BUXL 30Yr Future DEC 08 25 | -6 | $0.00 | 0.00% | $-803,074.31 | -1.00% | - | Non U.S. Markets | Germany | |
| YZZ25F00 | CYZZ25F0 | Aud Bond 3Yr Future DEC 15 25 | -13 | $0.00 | 0.00% | $-907,777.87 | -1.12% | - | Non U.S. Markets | Australia | |
| FWD6017307 | JPY/USD | JPY/USD FWD 20260116 SSBT-BOS | -166,322,110 | $-1,087,793.43 | -1.35% | $-1,079,242.81 | -1.34% | - | Unclassified | United States | |
| FWD6020327 | CAD/USD | CAD/USD FWD 20260116 SSBT-BOS | -1,657,877 | $-1,186,800.94 | -1.47% | $-1,182,044.60 | -1.46% | - | Unclassified | United States | |
| FWD6031355 | USD/GBP | USD/GBP FWD 20260116 CCIT-NYC | -1,356,698 | $-1,356,697.79 | -1.68% | $-1,356,697.79 | -1.68% | - | Unclassified | United States | |
| FWD6020333 | EUR/USD | EUR/USD FWD 20260116 CDEB-LON | -1,638,698 | $-1,897,157.54 | -2.35% | $-1,888,845.51 | -2.34% | - | Unclassified | United States | |
| FWD6027427 | USD/JPY | USD/JPY FWD 20260116 CCHA-NYC | -2,294,097 | $-2,294,097.44 | -2.84% | $-2,294,097.44 | -2.84% | - | Unclassified | United States | |
| OEZ25F00 | OEZ25F00 | Euro BOBL Future DEC 08 25 | -25 | $0.00 | 0.00% | $-3,407,809.73 | -4.22% | - | Non U.S. Markets | Germany | |
| SM11746P | SM11746P | USD ZC CPI FEB 05 25 R 2.755 FEB 05 27 | -4,400,000 | $-4,400,000.00 | 0.00% | $-4,400,000.00 | -5.45% | - | U.S. Governments | United States | |
| DUZ25F00 | DUZ25F00 | Euro Schatz 2Yr Future DEC 08 25 | -63 | $0.00 | 0.00% | $-7,775,823.01 | -9.64% | - | Non U.S. Markets | Germany | |
| CASH_USD | CASH_USD | Cash | - | 1,319,032.25 | 1.63% | 1,313,812.41 | 1.63% | - | - | - | |
| 55291X10 | 55291X10 | MFS Institutional Money Market Short Term Vehicle FRB | - | 845,432.36 | 1.05% | 845,539.41 | - | - | - | United States | |
| CASH_USD | CASH_USD | Us Dollars | - | 468,296.42 | 0.58% | 468,296.42 | - | - | - | United States | |
| CASH_KRW | CASH_KRW | South Korea Won | - | 2.90 | 0.00% | 2.90 | - | - | - | South Korea | |
| CASH_SEK | CASH_SEK | Swedish Krona | - | -26.32 | 0.00% | -26.32 | - | - | - | Sweden | |
| CASH_DERV | - | Other | - | 18,032.62 | -11.14% | -8,990,036.80 | -11.14% | - | - | Other | |
*Short positions, unlike long positions, lose value if the underlying asset gains value.
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.
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 fund is generally available on mfs.com at the earliest, 19 days after the end of each month.
MFS registered investment products are offered through MFS® Fund Distributors, Inc., Member SIPC, 111 Huntington Avenue, Boston, MA 02199.