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Based on Market Value Based on Equivalent Exposure
CUSIP/SEDOL Ticker Securities
(on 02-28-26)
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
711038 ROG SW Roche Holding AG 25,483 $12,163,960.46 3.18% $12,163,960.46 3.18% 379,777.15 Health Care Switzerland
659101 8411 JP Mizuho Financial Group Inc 260,400 $11,924,057.25 3.12% $11,924,057.25 3.12% 114,013.43 Financials Japan
483410 SU FP Schneider Electric SE 33,587 $10,981,226.66 2.87% $10,981,226.66 2.87% 188,689.46 Industrials France
642910 6501 JP Hitachi Ltd 282,700 $9,460,443.76 2.47% $9,460,443.76 2.47% 153,320.13 Industrials Japan
710306 NOVN SW Novartis AG 52,011 $8,828,036.03 2.31% $8,828,036.03 2.31% 358,549.86 Health Care Switzerland
B929F4 ASML NA ASML Holding NV 5,166 $7,528,853.18 1.97% $7,528,853.18 1.97% 565,680.76 Information Technology Netherlands
688910 2330 TT Taiwan Semiconductor Manufacturing Co Ltd 111,804 $7,025,310.36 1.84% $7,025,310.36 1.84% 1,629,494.80 Information Technology Taiwan
G5495010 LIN US Linde PLC 13,240 $6,726,979.20 1.76% $6,726,979.20 1.76% 237,247.45 Materials United States
B15C55 TTE FP TotalEnergies SE 79,653 $6,332,258.02 1.66% $6,332,258.02 1.66% 175,419.23 Energy France
689567 8035 JP Tokyo Electron Ltd 21,700 $6,115,435.60 1.60% $6,115,435.60 1.60% 132,914.26 Information Technology Japan
313486 BARC LN Barclays PLC 915,532 $5,656,432.65 1.46% $5,587,338.93 1.46% 84,220.65 Financials United Kingdom
BZ5739 INGA NA ING Groep NV 191,209 $5,564,718.81 1.46% $5,564,718.81 1.46% 84,990.37 Financials Netherlands
730968 BNP FP BNP Paribas SA 49,259 $5,558,523.49 1.45% $5,558,523.49 1.45% 126,021.12 Financials France
028758 BATS LN British American Tobacco PLC 87,403 $5,465,393.50 1.43% $5,465,393.50 1.43% 136,005.80 Consumer Staples United Kingdom
B11ZRK LR FP Legrand SA 29,174 $5,303,516.95 1.39% $5,303,516.95 1.39% 47,673.43 Industrials France
BMX86B HLN LN Haleon PLC 960,530 $5,251,617.14 1.37% $5,251,617.14 1.37% 48,697.16 Health Care United Kingdom
BDR05C NG/ LN National Grid PLC 275,895 $5,171,875.66 1.35% $5,171,875.66 1.35% 93,190.89 Utilities United Kingdom
411609 BPE IM BPER Banca SPA 351,380 $4,986,439.20 1.30% $4,986,439.20 1.30% 27,876.64 Financials Italy
289722 TD CN Toronto-Dominion Bank 50,649 $4,934,012.04 1.29% $4,934,012.04 1.29% 164,583.58 Financials Canada
B4TX8S 1299 HK AIA Group Ltd 440,400 $4,886,202.93 1.28% $4,886,202.93 1.28% 116,587.93 Financials Hong Kong
BNBNSG ENX FP Euronext NV 29,337 $4,853,043.89 1.27% $4,853,043.89 1.27% 17,152.80 Financials France
677172 005930 KS Samsung Electronics Co Ltd 31,953 $4,821,461.70 1.26% $4,809,054.22 1.26% 997,868.59 Information Technology South Korea
BRJL17 UBSG SW UBS Group AG 107,517 $4,476,320.70 1.17% $4,476,320.70 1.17% 139,122.11 Financials Switzerland
BD1RP6 BIRG ID Bank of Ireland Group PLC 228,464 $4,463,673.89 1.17% $4,463,673.89 1.17% 18,612.98 Financials Ireland
550190 BBVA SM Banco Bilbao Vizcaya Argentaria SA 190,235 $4,439,438.10 1.16% $4,439,438.10 1.16% 133,227.92 Financials Spain
B09DHL MTX GY MTU Aero Engines AG 10,269 $4,433,708.94 1.16% $4,433,708.94 1.16% 23,239.08 Industrials Germany
659704 6503 JP Mitsubishi Electric Corp 113,600 $4,358,067.43 1.14% $4,358,067.43 1.14% 81,069.33 Industrials Japan
B4T3BW GLEN LN Glencore PLC 595,109 $4,282,672.76 1.12% $4,282,672.76 1.12% 84,513.36 Materials United Kingdom
714505 ENI IM Eni SpA 182,447 $4,237,428.20 1.11% $4,237,428.20 1.11% 73,085.29 Energy Italy
406141 MC FP LVMH Moet Hennessy Louis Vuitton SE 6,582 $4,231,624.14 1.11% $4,231,624.14 1.11% 319,967.20 Consumer Discretionary France
BLDBN4 ATCOA SS Atlas Copco AB 186,323 $4,025,688.02 1.05% $4,025,688.02 1.05% 105,233.74 Industrials Sweden
BM8PJY NWG LN NatWest Group PLC 456,852 $3,811,038.14 1.00% $3,811,038.14 1.00% 66,785.87 Financials United Kingdom
687010 1801 JP Taisei Corp 28,900 $3,764,134.09 0.98% $3,764,134.09 0.98% 21,254.45 Industrials Japan
416279 HO FP Thales SA 12,425 $3,742,283.76 0.98% $3,742,283.76 0.98% 62,027.61 Industrials France
B62G7K 8630 JP Sompo Holdings Inc 93,400 $3,735,043.06 0.98% $3,735,043.06 0.98% 37,359.58 Financials Japan
B0J7D9 4568 JP Daiichi Sankyo Co Ltd 188,600 $3,700,383.57 0.97% $3,700,383.57 0.97% 37,167.68 Health Care Japan
57636Q10 MA US Mastercard Inc 7,049 $3,645,813.29 0.95% $3,645,813.29 0.95% 462,385.74 Financials United States
071887 RIO LN Rio Tinto PLC 36,778 $3,635,509.99 0.95% $3,635,509.99 0.95% 160,865.66 Materials United Kingdom
510740 BEI GY Beiersdorf AG 28,519 $3,627,595.13 0.95% $3,627,595.13 0.95% 30,858.54 Consumer Staples Germany
B1FW75 GALP PL Galp Energia SGPS SA 168,210 $3,621,351.37 0.95% $3,621,351.37 0.95% 16,152.32 Energy Portugal
686550 7269 JP Suzuki Motor Corp 237,900 $3,611,192.97 0.94% $3,611,192.97 0.94% 29,821.36 Consumer Discretionary Japan
BCRWZ1 CFR SW Cie Financiere Richemont SA 17,588 $3,597,207.52 0.94% $3,597,207.52 0.94% 120,249.22 Consumer Discretionary Switzerland
682150 6758 JP Sony Group Corp 152,700 $3,562,168.86 0.93% $3,562,168.86 0.93% 143,462.11 Consumer Discretionary Japan
627094 6146 JP Disco Corp 7,300 $3,529,279.93 0.92% $3,529,279.93 0.92% 52,445.11 Information Technology Japan
680458 4063 JP Shin-Etsu Chemical Co Ltd 88,300 $3,487,557.39 0.91% $3,487,557.39 0.91% 78,400.76 Materials Japan
624899 9433 JP KDDI Corp 198,200 $3,389,954.22 0.89% $3,389,954.22 0.89% 71,627.71 Communication Services Japan
B0SWJX LSEG LN London Stock Exchange Group PLC 28,232 $3,370,951.34 0.88% $3,370,951.34 0.88% 60,943.64 Financials United Kingdom
G0403H10 AON US Aon PLC 9,949 $3,337,591.03 0.87% $3,337,591.03 0.87% 71,958.32 Financials United States
B0190C 669 HK Techtronic Industries Co Ltd 198,000 $3,229,388.76 0.84% $3,229,388.76 0.84% 29,845.18 Industrials Hong Kong
474184 MRK GY Merck KGaA 21,178 $3,210,569.55 0.84% $3,210,569.55 0.84% 65,912.02 Health Care Germany
659730 8031 JP Mitsui & Co Ltd 84,800 $3,188,586.43 0.83% $3,188,586.43 0.83% 109,259.53 Industrials Japan
468232 RI FP Pernod Ricard SA 34,277 $3,169,663.29 0.83% $3,169,663.29 0.83% 23,327.84 Consumer Staples France
BVZHXQ HSX LN Hiscox Ltd 151,284 $3,156,029.62 0.83% $3,156,029.62 0.83% 6,776.94 Financials United Kingdom
05946030 BBD US Banco Bradesco SA ADR 760,717 $3,193,264.47 0.81% $3,111,332.53 0.81% 43,259.98 Financials Brazil
BG36ZK B3SA3 BZ B3 SA - Brasil Bolsa Balcao 885,000 $3,123,994.83 0.81% $3,090,119.96 0.81% 18,388.83 Financials Brazil
BK1N46 HDFCB IN HDFC Bank Ltd 314,215 $3,066,122.93 0.80% $3,066,122.93 0.80% 150,170.84 Financials India
649099 6861 JP Keyence Corp 7,100 $3,003,400.25 0.79% $3,003,400.25 0.79% 102,880.29 Information Technology Japan
094658 WEIR LN Weir Group PLC 62,762 $2,978,950.19 0.78% $2,978,950.19 0.78% 12,322.29 Industrials United Kingdom
635694 6702 JP Fujitsu Ltd 127,400 $2,927,104.02 0.77% $2,927,104.02 0.77% 47,585.16 Information Technology Japan
595607 KPN NA Koninklijke KPN NV 507,010 $2,876,197.56 0.75% $2,876,197.56 0.75% 21,712.68 Communication Services Netherlands
BYQ0JC BEZ LN Beazley PLC 164,790 $2,813,744.02 0.74% $2,813,744.02 0.74% 10,236.47 Financials United Kingdom
494290 EOAN GY E.ON SE 119,482 $2,778,421.05 0.73% $2,778,421.05 0.73% 61,420.93 Utilities Germany
BV6JKC QIA GY QIAGEN NV 55,620 $2,757,636.04 0.72% $2,757,636.04 0.72% 10,253.13 Health Care Germany
455710 G1A GY GEA Group AG 35,411 $2,757,363.92 0.72% $2,757,363.92 0.72% 12,676.95 Industrials Germany
625072 6367 JP Daikin Industries Ltd 20,600 $2,627,022.70 0.69% $2,627,022.70 0.69% 37,379.47 Industrials Japan
BX90C0 CLNX SM Cellnex Telecom SA 67,813 $2,575,308.80 0.67% $2,575,308.80 0.67% 25,915.66 Communication Services Spain
L8681T10 SPOT US Spotify Technology SA 4,697 $2,418,673.18 0.63% $2,418,673.18 0.63% 105,991.65 Communication Services Sweden
691148 8113 JP Unicharm Corp 353,000 $2,417,529.54 0.63% $2,417,529.54 0.63% 12,755.40 Consumer Staples Japan
BD3VFW CTEC LN Convatec Group PLC 690,850 $2,387,145.54 0.62% $2,387,145.54 0.62% 6,754.75 Health Care United Kingdom
BWFGQN SPX LN Spirax Group PLC 22,358 $2,381,836.48 0.62% $2,381,836.48 0.62% 7,859.49 Industrials United Kingdom
BPBPJ0 ML FP Cie Generale des Etablissements Michelin SCA 58,158 $2,363,950.55 0.62% $2,363,950.55 0.62% 28,686.60 Consumer Discretionary France
BMQ5W1 CPR IM Davide Campari-Milano NV 311,597 $2,348,271.28 0.61% $2,348,271.27 0.61% 13,748.66 Consumer Staples Italy
618549 CSL AU CSL Ltd 22,419 $2,341,479.68 0.61% $2,341,479.68 0.61% 50,670.06 Health Care Australia
BMWGTH RBA CN Ritchie Bros Auctioneers Inc 23,000 $2,323,006.36 0.61% $2,316,945.86 0.61% 18,726.97 Industrials Canada
G9662910 WTW US Willis Towers Watson PLC 7,534 $2,299,150.78 0.60% $2,299,150.78 0.60% 29,015.56 Financials United States
BJT1GR ALC SW Alcon AG 25,937 $2,255,508.64 0.59% $2,255,508.64 0.59% 43,454.43 Health Care Switzerland
626986 7532 JP Pan Pacific International Holdings Corp 337,900 $2,257,881.80 0.59% $2,250,286.56 0.59% 21,159.60 Consumer Discretionary Japan
B60QWJ JHX AU James Hardie Industries PLC 91,211 $2,221,230.74 0.58% $2,221,230.74 0.58% 10,482.26 Materials Australia
B1Y1SQ JMT PL Jeronimo Martins SGPS SA 83,655 $2,200,328.61 0.58% $2,200,328.61 0.58% 16,551.93 Consumer Staples Portugal
320898 NXT LN Next PLC 11,810 $2,151,808.93 0.56% $2,151,808.93 0.56% 22,222.40 Consumer Discretionary United Kingdom
641259 ADVANC/F Advanced Info Service PCL 173,400 $2,257,346.14 0.55% $2,119,736.21 0.55% 36,358.36 Communication Services Thailand
601090 2802 JP Ajinomoto Co Inc 66,100 $2,102,806.65 0.55% $2,102,806.65 0.55% 31,104.22 Consumer Staples Japan
B1JB4K SY1 GY Symrise AG 21,503 $1,971,148.36 0.52% $1,971,148.36 0.52% 12,812.70 Materials Germany
BJFFLV CRDA LN Croda International PLC 45,219 $1,885,464.58 0.49% $1,885,464.58 0.49% 5,822.28 Materials United Kingdom
096970 BAB LN Babcock International Group PLC 101,953 $1,857,606.91 0.49% $1,857,606.91 0.49% 9,098.43 Industrials United Kingdom
585284 AC FP Accor SA 31,719 $1,846,223.93 0.48% $1,846,223.93 0.48% 13,661.28 Consumer Discretionary France
B15C4L CSU CN Constellation Software Inc/Canada 991 $1,831,292.15 0.48% $1,831,292.15 0.48% 39,161.19 Information Technology Canada
688507 4543 JP Terumo Corp 132,900 $1,795,658.44 0.47% $1,795,658.44 0.47% 20,004.36 Health Care Japan
BF2DSG SIKA SW Sika AG 8,543 $1,772,268.32 0.46% $1,772,268.32 0.46% 33,291.86 Materials Switzerland
671034 QAN AU Qantas Airways Ltd 244,414 $1,730,675.37 0.45% $1,730,675.37 0.45% 10,714.84 Industrials Australia
567151 WKL NA Wolters Kluwer NV 20,926 $1,683,851.60 0.44% $1,683,851.60 0.44% 18,709.87 Industrials Netherlands
609962 RELIANCE Reliance Industries Ltd 107,304 $1,644,066.95 0.43% $1,644,066.95 0.43% 207,338.88 Energy India
680482 7309 JP Shimano Inc 15,000 $1,609,835.75 0.42% $1,609,835.75 0.42% 9,286.61 Consumer Discretionary Japan
B798FW NSISB DC Novozymes AS 26,918 $1,598,410.56 0.42% $1,598,410.56 0.42% 27,666.31 Materials Denmark
12738710 CDNS US Cadence Design Systems Inc 5,050 $1,522,070.00 0.40% $1,522,070.00 0.40% 82,177.01 Information Technology United States
615525 000810 KS Samsung Fire & Marine Insurance Co Ltd 4,050 $1,492,179.35 0.39% $1,492,179.35 0.39% 16,952.32 Financials South Korea
635652 4901 JP FUJIFILM Holdings Corp 68,600 $1,425,020.97 0.37% $1,425,020.97 0.37% 25,838.94 Information Technology Japan
671745 NST AU Northern Star Resources Ltd 62,998 $1,357,528.91 0.36% $1,357,528.91 0.36% 30,830.58 Materials Australia
625398 ALL AU Aristocrat Leisure Ltd 38,918 $1,331,623.43 0.35% $1,331,623.43 0.35% 21,106.97 Consumer Discretionary Australia
BJ2KSG AKZA NA Akzo Nobel NV 17,731 $1,249,095.62 0.33% $1,249,095.62 0.33% 12,054.16 Materials Netherlands
609701 2 HK CLP Holdings Ltd 120,500 $1,142,866.27 0.30% $1,142,866.27 0.30% 23,961.79 Utilities Hong Kong
624730 APA AU APA Group 166,101 $1,121,076.70 0.28% $1,087,493.15 0.28% 8,610.73 Utilities Australia
664040 6701 JP NEC Corp 38,400 $1,065,703.58 0.28% $1,065,703.58 0.28% 37,861.60 Information Technology Japan
664480 9843 JP Nitori Holdings Co Ltd 50,300 $1,007,513.85 0.26% $1,007,513.85 0.26% 11,461.57 Consumer Discretionary Japan
653551 1193 HK China Resources Gas Group Ltd 300,800 $806,654.91 0.21% $806,654.91 0.21% 6,205.49 Utilities China
617369 9697 JP Capcom Co Ltd 33,900 $779,961.58 0.20% $779,961.58 0.20% 12,263.37 Communication Services Japan
317430 BRBY LN Burberry Group PLC 48,495 $760,070.35 0.20% $760,070.35 0.20% 5,657.92 Consumer Discretionary United Kingdom
BL56KN ATD CN Alimentation Couche Tard Inc 12,365 $750,393.83 0.20% $750,393.83 0.20% 56,554.15 Consumer Staples Canada
B5B23W 1928 HK Sands China Ltd 314,400 $711,714.09 0.19% $711,714.09 0.19% 18,321.16 Consumer Discretionary Hong Kong
677062 9984 JP SoftBank Group Corp 23,500 $615,320.33 0.16% $615,320.33 0.16% 149,558.14 Communication Services Japan
B8BRV4 9201 JP Japan Airlines Co Ltd 22,900 $473,353.18 0.12% $473,353.18 0.12% 9,035.95 Industrials Japan
CASH_USD CASH_USD Cash & Cash Equivalents - 4,034,941.41 1.05% 4,018,379.43 1.05% - - -
CASH_DERV - Other - 0.06 0.00% 16,562.04 0.00% - - 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.

 

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.
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.

MFS registered investment products are offered through MFS® Fund Distributors, Inc., Member SIPC, 111 Huntington Avenue, Boston, MA 02199.

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