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ISIN Valores
(en 31-may.-25)
Acciones o importe nominal Valor Porcentaje del activos netos Valor Porcentaje del activos netos Capitalización bursátil ($mm) Sectores del GICS

El Global Industry Classification Standard (GICS®, Estándar global de clasificación industrial) fue desarrollado y es propiedad exclusiva de MSCI, Inc. y S&P Global Market Intelligence Inc. (“S&P Global Market Intelligence”). GICS es una marca de servicio de MSCI y S&P Global Market Intelligence y ha sido licenciada para su uso por MFS.

País
MX0MGO0000U2 Mexican Bonos 7.75% NOV 23 34 4,955,000 $24,014,977.30 4.25% $24,014,977.30 4.25% - Mercados emergentes México
BRSTNCNTF1P8 Brazil Notas do Tesouro Nacional Serie F 10% JAN 01 27 129,332,000 $22,299,563.66 3.95% $22,301,806.65 3.95% - Mercados emergentes Brasil
IN0020230077 India Government Bond 7.18% JUL 24 37 1,741,150,000 $22,151,879.49 3.92% $22,151,879.49 3.92% - Mercados emergentes India
ZAG000125972 Republic of South Africa Government Bond 8.875% FEB 28 35 410,337,000 $21,582,502.78 3.82% $21,581,395.81 3.82% - Mercados emergentes Sudáfrica
IDG000024605 Indonesia Treasury Bond 6.5% JUL 15 30 311,229,000,000 $19,600,347.40 3.47% $19,600,347.40 3.47% - Mercados emergentes Indonesia
CND100063XD1 China Government Bond 2.88% FEB 25 33 123,700,000 $18,808,923.17 3.33% $18,808,923.17 3.33% - Mercados emergentes China
MYBMO2200016 Malaysia Government Bond 3.582% JUL 15 32 73,369,000 $17,650,552.40 3.12% $17,650,552.40 3.12% - Mercados emergentes Malasia
USSM11785R99 CNY IRS 5YR Receiver 1.573 JUN 18 30 114,177,000 $0.00 0.00% $15,938,182.07 2.82% - Mercados emergentes China
ZAG000107004 Republic of South Africa Government Bond 8.25% MAR 31 32 292,677,000 $15,585,977.86 2.76% $15,585,977.86 2.76% - Mercados emergentes Sudáfrica
USSM11780R99 THB IRS 5YR Receiver 1.645 JUN 19 30 467,600,000 $0.00 0.00% $14,413,215.08 2.55% - Mercados emergentes Tailandia
PEP01000C4G7 Peru Government Bond 6.95% AUG 12 31 46,864,000 $14,336,097.62 2.54% $14,336,097.62 2.54% - Mercados emergentes Perú
IN0020240027 India Government Bond 7.23% APR 15 39 1,132,370,000 $14,306,803.90 2.53% $14,305,903.85 2.53% - Mercados emergentes India
USSM11797R99 INR IRS 2YR Receiver 5.524 DEC 17 27 1,213,736,000 $0.00 0.00% $14,189,347.82 2.51% - Mercados emergentes India
IDG000023904 Indonesia Treasury Bond 6.875% APR 15 29 225,000,000,000 $14,102,745.05 2.50% $14,102,745.05 2.50% - Mercados emergentes Indonesia
CND100086453 China Development Bank 2.26% JUL 19 34 94,640,000 $13,931,024.90 2.47% $13,931,024.90 2.47% - Mercados emergentes China
TH0623A3C606 Thailand Government Bond 3.775% JUN 25 32 370,766,000 $12,976,159.62 2.30% $12,976,159.62 2.30% - Mercados emergentes Tailandia
COL17CT03995 Colombian TES 11% AUG 22 29 46,195,000,000 $12,082,273.58 2.14% $12,082,273.58 2.14% - Mercados emergentes Colombia
COL17CT03342 Colombian TES 7.75% SEP 18 30 54,087,100,000 $11,955,219.98 2.12% $11,955,219.98 2.12% - Mercados emergentes Colombia
USSM11787R99 HUF IRS 5YR Receiver 7.095 DEC 20 33 4,022,100,000 $0.00 0.00% $11,395,522.38 2.02% - Mercados emergentes Hungría
USSM11793R99 MYR IRS 5YR Receiver 3.274 MAR 19 31 48,076,000 $11,310,211.23 2.00% $11,310,211.23 2.00% - Mercados emergentes Malasia
COL17CT03771 Colombian TES 7% MAR 26 31 56,030,700,000 $11,083,008.19 1.96% $11,083,008.19 1.96% - Mercados emergentes Colombia
MX0MGO0000P2 Mexican Bonos 7.75% MAY 29 31 2,162,000 $10,970,616.72 1.94% $10,970,616.72 1.94% - Mercados emergentes México
PL0000113783 Republic of Poland Government Bond 1.75% APR 25 32 50,437,000 $10,919,008.14 1.93% $10,919,008.14 1.93% - Mercados emergentes Polonia
ROZBOC49U096 Romania Government Bond 8.75% OCT 30 28 44,230,000 $10,783,656.48 1.91% $10,783,656.48 1.91% - Mercados emergentes Rumanía
TH062303I602 Thailand Government Bond 3.3% JUN 17 38 304,894,000 $10,738,494.19 1.90% $10,738,494.19 1.90% - Mercados emergentes Tailandia
CZ0001005243 Czech Republic Government Bond 2% OCT 13 33 264,170,000 $10,514,322.09 1.86% $10,514,322.09 1.86% - Mercados emergentes República Checa
CL0002686989 Bonos de la Tesoreria de la Republica en pesos 5% OCT 01 28 9,400,000,000 $10,020,892.81 1.77% $10,020,892.81 1.77% - Mercados emergentes Chile
USSM11789R99 Brazil CDI Index Swaps BRL CDI 14.60 JAN 02 29 89,700,000 $0.00 0.00% $9,775,912.04 1.73% - Mercados emergentes Brasil
ROXL7LT7QZ66 Romania Government Bond 8% APR 29 30 41,795,000 $9,635,272.51 1.71% $9,635,272.52 1.71% - Mercados emergentes Rumanía
USSM11788R99 PLN IRS 5YR Receiver 4.696 DEC 17 31 35,100,000 $0.00 0.00% $9,605,117.60 1.70% - Mercados emergentes Polonia
PL0000112736 Republic of Poland Government Bond 1.25% OCT 25 30 41,928,000 $9,401,649.17 1.66% $9,401,649.17 1.66% - Mercados emergentes Polonia
MYBMZ2000016 Malaysia Government Bond 4.065% JUN 15 50 34,720,000 $8,392,047.57 1.49% $8,392,047.57 1.49% - Mercados emergentes Malasia
PHY6972FPV67 Philippine Government Bond 8% JUL 19 31 401,380,000 $8,135,435.46 1.44% $8,135,435.46 1.44% - Mercados emergentes Filipinas
MX0MGO0000H9 Mexican Bonos 8.5% MAY 31 29 1,460,000 $7,792,119.80 1.38% $7,792,119.80 1.38% - Mercados emergentes México
HU0000405543 Hungary Government Bond 4.5% MAR 23 28 2,751,570,000 $7,416,488.54 1.31% $7,416,488.54 1.31% - Mercados emergentes Hungría
BRSTNCNTF204 Brazil Notas do Tesouro Nacional Serie F 10% JAN 01 31 45,433,000 $7,146,823.86 1.26% $7,145,542.37 1.26% - Mercados emergentes Brasil
IDG000018706 Indonesia Treasury Bond 6.375% APR 15 32 116,126,000,000 $7,071,256.99 1.25% $7,071,256.99 1.25% - Mercados emergentes Indonesia
ZAG000077470 Republic of South Africa Government Bond 7% FEB 28 31 130,355,000 $6,724,151.56 1.19% $6,725,034.47 1.19% - Mercados emergentes Sudáfrica
CZ0001006233 Czech Republic Government Bond 1.75% JUN 23 32 143,440,000 $5,705,620.97 1.01% $5,819,995.21 1.03% - Mercados emergentes República Checa
USSM11784R99 MXN TIIE 2YR Receiver 8.180 MAR 21 29 110,700,000 $0.00 0.00% $5,810,888.25 1.03% - Mercados emergentes México
IDG000024506 Indonesia Treasury Bond 6.75% JUL 15 35 90,000,000,000 $5,622,130.28 1.00% $5,622,130.28 1.00% - Mercados emergentes Indonesia
IDG000021809 Indonesia Treasury Bond 7.125% JUN 15 38 82,000,000,000 $5,260,255.28 0.93% $5,260,255.28 0.93% - Mercados emergentes Indonesia
CL0002951094 Bonos de la Tesoreria de la Republica en pesos 5.8% OCT 01 29 4,775,000,000 $5,157,455.97 0.91% $5,157,322.32 0.91% - Mercados emergentes Chile
USP80557BV53 Uruguay Government International Bond RegS 8.5% MAR 15 28 211,465,000 $5,049,239.39 0.89% $5,049,239.39 0.89% - Mercados emergentes Uruguay
USSM11790R99 INR IRS 5YR Receiver 5.893 JUN 18 30 427,500,000 $0.00 0.00% $5,040,911.60 0.89% - Mercados emergentes India
MX0MGO0001D6 Mexican Bonos 7.5% MAY 26 33 955,000 $4,630,358.24 0.82% $4,630,358.24 0.82% - Mercados emergentes México
HU0000403696 Hungary Government Bond 3% AUG 21 30 1,753,150,000 $4,308,806.72 0.76% $4,308,806.72 0.76% - Mercados emergentes Hungría
EU000A3LPTT1 European Investment Bank RegS 7.4% OCT 23 33 323,000,000 $4,150,391.55 0.73% $4,150,391.55 0.73% - Mercados emergentes Supranational
COL17CT03672 Colombian TES 5.75% NOV 03 27 18,003,700,000 $4,129,269.93 0.73% $4,129,269.93 0.73% - Mercados emergentes Colombia
PL0000116851 Republic of Poland Government Bond 5% OCT 25 34 15,209,000 $4,087,800.91 0.72% $4,087,800.91 0.72% - Mercados emergentes Polonia
XS2870346520 European Bank for Reconstruction & Development 6.875% JUL 30 31 323,000,000 $4,056,974.31 0.72% $4,056,974.31 0.72% - Mercados emergentes Supranational
USSM11794R99 Brazil CDI Index Swaps BRL CDI 14.275 JAN 02 31 41,371,000 $0.00 0.00% $3,514,571.15 0.62% - Mercados emergentes Brasil
TH062303P607 Thailand Government Bond 2.98% JUN 17 45 98,291,000 $3,275,011.05 0.58% $3,275,011.05 0.58% - Mercados emergentes Tailandia
PH0000058117 Philippine Government Bond 6.125% JAN 11 29 173,060,000 $3,208,310.11 0.57% $3,208,310.11 0.57% - Mercados emergentes Filipinas
XS2775017325 Corp Andina de Fomento RegS 7.65% MAR 05 31 254,000,000 $3,104,554.77 0.55% $3,104,554.77 0.55% - Mercados emergentes Supranational
USY68856BE59 Petronas Capital Ltd RegS 5.34% APR 03 35 2,663,000 $2,721,745.26 0.48% $2,721,745.26 0.48% - Mercados emergentes Malasia
CFVU25F00XXX UST Bond 5Yr Future SEP 30 25 25 $0.00 0.00% $2,704,687.50 0.48% - Deuda pública estadounidense Estados Unidos
MYBMX1100044 Malaysia Government Bond 4.232% JUN 30 31 10,774,000 $2,693,486.77 0.48% $2,693,486.77 0.48% - Mercados emergentes Malasia
COL17CT03615 Colombian TES 7.25% OCT 18 34 14,300,000,000 $2,660,978.11 0.47% $2,660,978.11 0.47% - Mercados emergentes Colombia
USSM11801R99 Brazil CDI Index Swaps BRL CDI 13.75 JAN 02 31 24,881,000 $0.00 0.00% $2,643,341.43 0.47% - Mercados emergentes Brasil
PL0000117370 Republic of Poland Government Bond 5% JAN 25 30 9,464,000 $2,582,013.64 0.46% $2,582,013.64 0.46% - Mercados emergentes Polonia
US470160CF77 Jamaica Government International Bond 9.625% NOV 03 30 387,500,000 $2,535,722.53 0.45% $2,535,722.53 0.45% - Mercados emergentes Jamaica
CL0002454248 Bonos de la Tesoreria de la Republica en pesos 4.7% SEP 01 30 2,385,000,000 $2,458,804.21 0.44% $2,458,804.23 0.44% - Mercados emergentes Chile
TRT051033T12 Turkiye Government Bond 26.2% OCT 05 33 103,094,000 $2,354,247.44 0.42% $2,354,247.44 0.42% - Mercados emergentes Turquía
CND100069PK9 China Government Bond 3.19% APR 15 53 12,920,000 $2,247,451.26 0.40% $2,247,451.26 0.40% - Mercados emergentes China
XS3067899610 Baiterek National Managing Holding JSC RegS 5.45% MAY 08 28 2,033,000 $2,040,593.10 0.36% $2,040,593.10 0.36% - Mercados emergentes Kazajstán
CZ0001005920 Czech Republic Government Bond 1.5% APR 24 40 64,030,000 $1,987,121.98 0.35% $1,987,121.98 0.35% - Mercados emergentes República Checa
XS2998746213 Ma'aden Sukuk Ltd RegS 5.25% FEB 13 30 1,573,000 $1,614,456.42 0.29% $1,614,456.42 0.29% - Mercados emergentes or Arabia Saudita
EGT9980Q8P16 Egypt Treasury Bills 0% AUG 26 25 84,875,000 $1,604,220.45 0.28% $1,604,220.45 0.28% - Mercados emergentes Egipto
XS3026019334 Bank Gospodarstwa Krajowego RegS 3.25% MAR 18 30 1,336,000 $1,547,000.72 0.27% $1,547,000.72 0.27% - Mercados emergentes Polonia
XS2716891440 EPH Financing International AS RegS 6.651% NOV 13 28 1,211,000 $1,533,430.42 0.27% $1,533,430.42 0.27% - Mercados emergentes República Checa
XS2643319192 Asian Infrastructure Investment Bank RegS 6.65% JUN 30 33 121,400,000 $1,506,127.72 0.27% $1,506,127.72 0.27% - Mercados emergentes Supranational
XS1238805102 International Bank for Reconstruction & Development 0% MAY 29 35 65,170,000 $1,495,462.41 0.26% $1,495,462.41 0.26% - Mercados emergentes Supranational
PL0000111498 Republic of Poland Government Bond 2.75% OCT 25 29 5,679,000 $1,416,572.55 0.25% $1,416,572.55 0.25% - Mercados emergentes Polonia
XS3040382098 CEZ AS RegS 4.125% APR 30 33 1,219,000 $1,404,808.98 0.25% $1,404,808.98 0.25% - Mercados emergentes República Checa
IDG000025008 Indonesia Treasury Bond 7.125% AUG 15 40 22,000,000,000 $1,389,880.40 0.25% $1,389,880.40 0.25% - Mercados emergentes Indonesia
US191241AK44 Coca-Cola Femsa SAB de CV 5.1% MAY 06 35 1,376,000 $1,352,307.57 0.24% $1,352,307.57 0.24% - Mercados emergentes México
US00111VAD91 AES Andes SA 144A 6.25% MAR 14 32 1,320,000 $1,343,556.79 0.24% $1,343,556.79 0.24% - Mercados emergentes Chile
US857524AF94 Republic of Poland Government International Bond 4.875% FEB 12 30 1,266,000 $1,297,568.33 0.23% $1,297,568.33 0.23% - Mercados emergentes Polonia
USL1567LAA19 Chile Electricity Lux Mpc II Sarl RegS 5.58% OCT 20 35 1,277,599 $1,277,277.54 0.23% $1,277,277.54 0.23% - Mercados emergentes Chile
USP6040KAC10 Kallpa Generacion SA RegS 5.875% JAN 30 32 1,239,000 $1,273,997.46 0.23% $1,273,997.46 0.23% - Mercados emergentes Perú
XS3061310101 Abu Dhabi Developmental Holding Co PJSC RegS 4.5% MAY 06 30 1,280,000 $1,268,160.00 0.22% $1,268,160.00 0.22% - Mercados emergentes Emiratos Árabes Unidos
US857524AH50 Republic of Poland Government International Bond 5.375% FEB 12 35 1,236,000 $1,255,617.65 0.22% $1,255,617.65 0.22% - Mercados emergentes Polonia
USP3R94GBP32 Corp Financiera de Desarrollo SA RegS 5.5% MAY 06 30 1,228,000 $1,235,146.38 0.22% $1,235,146.38 0.22% - Mercados emergentes Perú
XS3032932645 Development Bank of Kazakhstan JSC RegS 5.625% APR 07 30 1,042,000 $1,043,333.61 0.18% $1,043,333.60 0.18% - Mercados emergentes Kazajstán
USP75744AS46 Paraguay Government International Bond RegS 8.5% MAR 04 35 8,088,000,000 $984,914.71 0.17% $984,914.71 0.17% - Mercados emergentes Paraguay
USSM11638R99 CNY IRS 5Yr Receiver DEC 18 29 3,373,000 $0.00 0.00% $478,380.65 0.08% - Mercados emergentes China
USSM11527R99 HUF IRS 5Yr Receiver 6.050 DEC 20 33 135,315,000 $0.00 0.00% $369,671.25 0.07% - Mercados emergentes Hungría
USSM11528R99 PLN IRS 5Yr Receiver 3.860 DEC 17 31 1,227,000 $0.00 0.00% $324,419.09 0.06% - Mercados emergentes Polonia
IDG000013202 Indonesia Treasury Bond 8.375% APR 15 39 4,402,000,000 $305,168.79 0.05% $305,168.79 0.05% - Mercados emergentes Indonesia
IDG000013806 Indonesia Treasury Bond 7% SEP 15 30 4,773,000,000 $303,610.55 0.05% $303,610.55 0.05% - Mercados emergentes Indonesia
USSM11705R99 INR IRS 5Yr Receiver 5.943 JUN 18 30 19,000,000 $0.00 0.00% $224,517.94 0.04% - Mercados emergentes India
USSM11756R99 MXN TIIE 2Yr Receiver 8.593 MAR 21 29 3,700,000 $0.00 0.00% $193,406.55 0.03% - Mercados emergentes México
IDG000020702 Indonesia Treasury Bond 6.375% AUG 15 28 3,043,000,000 $190,625.01 0.03% $190,625.01 0.03% - Mercados emergentes Indonesia
PHY6972HCX27 Philippine Government Bond 6.875% JAN 10 29 6,390,000 $121,357.00 0.02% $121,357.00 0.02% - Mercados emergentes Filipinas
USP9379RAZ03 Empresas Publicas de Medellin ESP RegS 8.375% NOV 08 27 486,000,000 $112,277.67 0.02% $112,277.67 0.02% - Mercados emergentes Colombia
ZAG000038290 Eskom Holdings SOC Ltd 7.85% APR 02 26 2,000,000 $111,347.26 0.02% $111,347.26 0.02% - Mercados emergentes Sudáfrica
USSM11777R99 Brazil CDI Index Swaps BRL CDI 14.47 JAN 02 29 1,000,000 $0.00 0.00% $108,840.81 0.02% - Mercados emergentes Brasil
XS0085235090 Transnet SOC Ltd RegS 13.5% APR 18 28 1,700,000 $100,560.52 0.02% $100,560.52 0.02% - Mercados emergentes Sudáfrica
USSM11651R99 CNY IRS 5Yr Receiver 1.785 DEC 18 29 700,000 $0.00 0.00% $98,926.51 0.02% - Mercados emergentes China
MX95PE1X00J5 Petroleos Mexicanos 7.47% NOV 12 26 1,985,300 $98,200.14 0.02% $98,200.14 0.02% - Mercados emergentes México
PH0000058125 Philippine Government Bond 6.125% JAN 18 31 5,220,000 $96,152.72 0.02% $96,152.72 0.02% - Mercados emergentes Filipinas
XS0936793933 Red de Carreteras de Occidente SAB de CV RegS 9% JUN 10 28 1,170,300 $62,351.98 0.01% $62,351.97 0.01% - Mercados emergentes México
EZ527T8QHC78 Brazil CDI Index Swaps BRL CDI 11.12 JAN 02 29 500,000 $0.00 0.00% $45,971.76 0.01% - Mercados emergentes Brasil
DE000F1B2NG7 Euro Bund 10Yr Future JUN 06 25 -12 $0.00 0.00% $-1,787,788.73 -0.32% - Non U.S. Markets Alemania
DE000F1B2NH5 Euro BOBL Future JUN 06 25 -14 $0.00 0.00% $-1,893,885.18 -0.34% - Non U.S. Markets Alemania
CXYU25F00XXX UST 10Yr Ultra Bond Future SEP 19 25 -24 $0.00 0.00% $-2,701,125.00 -0.48% - Deuda pública estadounidense Estados Unidos
- Efectivo y equivalentes de efectivo - $50,214,389.47 8.89% $50,217,456.03 8.89% - - -
- Otros - $-12,012,624.99 -2.13% $-102,622,802.08 -18.16% - - -

*Las posiciones cortas, a diferencia de las largas, se deprecian si el activo subyacente se revaloriza.

Las características de la cartera se basan en una exposición equivalente que mide en qué medida variaría el valor de la cartera en respuesta a variaciones de los precios de un activo mantenido directamente en ella o indirectamente, en caso de un contrato de derivados. El valor de mercado de la inversión puede ser distinto.
Otros. Otros consiste en: (i) derivados de divisas y/o (ii) cualquier compensación de derivados.

La lista de las participaciones de la cartera corresponde a la fecha indicada y puede no representar la composición actual o futura de la cartera. La presente información no debe interpretarse como una recomendación de compra o venta de ninguno de los valores mencionados.

Los presentes datos de la cartera no han sido auditados ni ajustados para determinadas reclasificaciones de los estados financieros. Es posible que una auditoría implique ajustes a estos datos. Para obtener información sobre las participaciones ajustadas, consulte el informe semestral del fondo. Para obtener información auditada sobre las participaciones de la cartera, consulte el informe anual del fondo.

Una lista completa de las participaciones de la cartera de cada fondo de MFS está generalmente disponible en mfs.com a más tardar, 19 días después del cierre de cada mes. Las 10 participaciones principales de la cartera están generalmente disponibles a más tardar 11 días naturales después del cierre de cada mes.

Cuando se contabilicen las 10 participaciones de valores principales de un fondo, si procede, para los fondos con inversiones significativas tanto en valores de renta variable como en instrumentos de deuda, se pondrán a disposición los 10 valores de renta variable y los 10 valores de instrumentos de deuda principales del fondo. Además, en el caso de los fondos que invierten principalmente en acciones de los fondos de MFS, cuando se contabilicen las 10 participaciones de valores principales de un fondo, se contabilizarán, si procede, todas las posiciones de valores en acciones de los fondos de MFS, los 10 valores de renta variable principales totales incluidos en las inversiones del fondo y las 10 posiciones de valores de instrumentos de deuda principales totales incluidas en las inversiones del fondo subyacente.

 

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