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Inflation-Adjusted Bond Fund


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ISIN Titoli
(su 31-mag-26)
Azioni o Valore nominale Valore Percentuale del patrimonio netto Valore Percentuale del patrimonio netto Capitalizzazione di mercato ($mm) Settori GICS

Il Global Industry Classification Standard (GICS®) è stato sviluppato da e/o è di proprietà esclusiva di MSCI, Inc. e S&P Global Market Intelligence Inc. ("S&P Global Market Intelligence"). GICS è un marchio di servizio di MSCI e S&P Global Market Intelligence ed è stato concesso in licenza per l’uso da parte di MFS.

Paese
US91282CBF77 US Treasury Inflation Indexed Bonds 0.125% JAN 15 31 7,994,150 $7,494,767.51 11.93% $7,494,767.51 11.93% - Titoli di Stato USA USA
US912828ZZ63 US Treasury Inflation Indexed Bonds 0.125% JUL 15 30 6,916,184 $6,559,442.66 10.44% $6,559,442.66 10.44% - Titoli di Stato USA USA
US91282CJY84 US Treasury Inflation Indexed Bonds 1.75% JAN 15 34 5,297,077 $5,292,450.11 8.43% $5,292,450.12 8.43% - Titoli di Stato USA USA
US9128285W63 US Treasury Inflation Indexed Bonds 0.875% JAN 15 29 5,318,660 $5,264,165.75 8.38% $5,264,165.75 8.38% - Titoli di Stato USA USA
USSM11746R99 USD ZC CPI FEB 05 25 R 2.755 FEB 05 27 4,500,000 $4,545,872.19 0.00% $4,545,872.19 7.24% - Titoli di Stato USA USA
US91282CDX65 US Treasury Inflation Indexed Bonds 0.125% JAN 15 32 4,733,829 $4,350,416.47 6.93% $4,350,416.48 6.93% - Titoli di Stato USA USA
USSM11925R99 USD ZC CPI OCT 14 25 P 3.170 OCT 14 26 4,100,000 $4,071,037.11 0.00% $4,071,037.11 6.48% - Titoli di Stato USA USA
US912810QV35 US Treasury Inflation Indexed Bonds 0.75% FEB 15 42 4,543,399 $3,526,253.27 5.61% $3,526,253.27 5.61% - Titoli di Stato USA USA
US91282CHP95 US Treasury Inflation Indexed Bonds 1.375% JUL 15 33 3,505,358 $3,436,361.77 5.47% $3,436,361.77 5.47% - Titoli di Stato USA USA
US912810FD55 US Treasury Inflation Indexed Bonds 3.625% APR 15 28 3,268,650 $3,416,902.53 5.44% $3,416,902.53 5.44% - Titoli di Stato USA USA
USSM12022R99 USD ZC CPI MAR 20 26 R .000 MAR 20 27 3,250,000 $3,265,812.16 0.00% $3,265,812.16 5.20% - Titoli di Stato USA USA
US91282CPH87 US Treasury Inflation Indexed Bonds 1.125% OCT 15 30 2,552,125 $2,519,796.01 4.01% $2,519,796.01 4.01% - Titoli di Stato USA USA
US91282CGK18 US Treasury Inflation Indexed Bonds 1.125% JAN 15 33 2,495,590 $2,409,206.41 3.84% $2,409,206.40 3.84% - Titoli di Stato USA USA
US91282CPU98 US Treasury Inflation Indexed Bonds 1.875% JAN 15 36 2,150,567 $2,135,709.32 3.40% $2,135,709.33 3.40% - Titoli di Stato USA USA
US91282CNB36 US Treasury Inflation Indexed Bonds 1.625% APR 15 30 1,784,415 $1,793,763.67 2.86% $1,793,763.67 2.86% - Titoli di Stato USA USA
US91282CLE92 US Treasury Inflation Indexed Bonds 1.875% JUL 15 34 1,697,457 $1,711,533.18 2.72% $1,711,533.19 2.72% - Titoli di Stato USA USA
US912810RL44 US Treasury Inflation Indexed Bonds 0.75% FEB 15 45 2,351,640 $1,699,653.55 2.71% $1,699,653.56 2.71% - Titoli di Stato USA USA
US912810TY47 US Treasury Inflation Indexed Bonds 2.125% FEB 15 54 1,788,229 $1,588,777.58 2.53% $1,588,777.58 2.53% - Titoli di Stato USA USA
USSM12051R99 USD ZC CPI MAR 14 26 R .000 MAY 14 27 1,590,000 $1,588,305.08 0.00% $1,588,305.08 2.53% - Titoli di Stato USA USA
USCTUU26F00X UST Bond 2Yr Future SEP 30 26 7 $0.00 0.00% $1,445,937.50 2.30% - Titoli di Stato USA USA
US912810RA88 US Treasury Inflation Indexed Bonds 0.625% FEB 15 43 1,624,410 $1,205,910.32 1.92% $1,205,910.32 1.92% - Titoli di Stato USA USA
US912810TE82 US Treasury Inflation Indexed Bonds 0.125% FEB 15 52 1,709,106 $894,259.33 1.42% $894,259.33 1.42% - Titoli di Stato USA USA
US912810SB52 US Treasury Inflation Indexed Bonds 1% FEB 15 48 1,079,298 $781,438.71 1.24% $781,438.71 1.24% - Titoli di Stato USA USA
USCFVU26F00X UST Bond 5Yr Future SEP 30 26 7 $0.00 0.00% $750,476.57 1.19% - Titoli di Stato USA USA
USSM12052R99 USD ZC CPI MAY 20 26 R .000 MAY 20 56 630,000 $625,569.07 0.00% $625,569.07 1.00% - Titoli di Stato USA USA
USCTYU26F00X UST Bond 10Yr Future SEP 21 26 5 $0.00 0.00% $549,140.63 0.87% - Titoli di Stato USA USA
USSM12053R99 USD ZC CPI MAY 21 26 R .000 MAY 21 46 486,000 $482,637.13 0.00% $482,637.13 0.77% - Titoli di Stato USA USA
US64832PAE43 New Residential Mortgage Loan Trust 2026-NQM3 144A FRB FEB 25 66 354,632 $352,780.62 0.56% $352,780.62 0.56% - Residential Mortgage Backed Securities USA
US38384GMH01 Ginnie Mae 4.825% DEC 20 53 343,166 $347,465.84 0.55% $347,465.84 0.55% - Mortgage-Backed Securities USA
US38384KNV97 Ginnie Mae 4.575% MAR 20 54 317,335 $319,306.04 0.51% $319,306.04 0.51% - Mortgage-Backed Securities USA
US38384DGD30 Ginnie Mae 4.925% OCT 20 53 311,773 $316,456.34 0.50% $316,456.34 0.50% - Mortgage-Backed Securities USA
US38384DAZ06 GNR 2023-146 FD 5.053 OCT 20 53 304,600 $309,558.71 0.49% $309,558.71 0.49% - Mortgage-Backed Securities USA
US38384GBV14 Ginnie Mae 4.725% NOV 20 53 289,888 $293,392.08 0.47% $293,392.08 0.47% - Mortgage-Backed Securities USA
US3137HJQL49 Freddie Mac REMICS 4.562% FEB 25 55 268,997 $270,984.87 0.43% $270,984.88 0.43% - Mortgage-Backed Securities USA
US3136BUMM93 Fannie Mae REMICS 5.062% JAN 25 55 206,291 $208,970.09 0.33% $208,970.09 0.33% - Mortgage-Backed Securities USA
US3136BQUP21 Fannie Mae REMICS 5.612% NOV 25 53 177,617 $183,565.00 0.29% $183,564.99 0.29% - Mortgage-Backed Securities USA
US3137HHQ461 Freddie Mac REMICS 5.112% DEC 25 54 175,971 $178,300.35 0.28% $178,300.35 0.28% - Mortgage-Backed Securities USA
US64832MAE12 New Residential Mortgage Loan Trust 2026-NQM2 144A FRB DEC 25 65 176,167 $174,992.92 0.28% $174,992.92 0.28% - Residential Mortgage Backed Securities USA
US889184AF49 Toledo Hospital 5.325% NOV 15 28 162,000 $164,443.61 0.26% $164,443.61 0.26% - Corporate Debt USA
US38381NMU99 Ginnie Mae FRB JUN 20 55 153,031 $154,044.15 0.25% $154,044.15 0.25% - Mortgage-Backed Securities USA
US03882KAN28 Arbor Multifamily Mortgage Securities Trust 2021-MF3 144A FRB OCT 15 54 6,216,842 $152,358.16 0.24% $152,358.16 0.24% - Commercial Mortgage-Backed Securities USA
US3136BT5M10 Fannie Mae REMICS 4.612% DEC 25 54 141,820 $142,967.00 0.23% $142,967.00 0.23% - Mortgage-Backed Securities USA
US123915AA85 BX Trust 2026-CLS 144A 5.027% MAY 15 31 140,000 $140,733.40 0.22% $140,733.40 0.22% - Commercial Mortgage-Backed Securities USA
US3136BT7D92 Fannie Mae REMICS 5.012% DEC 25 54 137,033 $138,671.68 0.22% $138,671.68 0.22% - Mortgage-Backed Securities USA
US38382YLR26 Ginnie Mae 4.075% MAY 20 67 136,819 $136,953.92 0.22% $136,953.92 0.22% - Mortgage-Backed Securities USA
US3136BSEP60 Fannie Mae REMICS 4.512% DEC 25 53 131,933 $132,831.58 0.21% $132,831.58 0.21% - Mortgage-Backed Securities USA
US38383BF490 Ginnie Mae 4.425% AUG 20 65 127,502 $127,765.15 0.20% $127,765.15 0.20% - Mortgage-Backed Securities USA
US3137HMCD08 Freddie Mac Multifamily Structured Pass Through Certificates FRB JUL 25 35 8,895,940 $115,455.90 0.18% $115,455.90 0.18% - Mortgage-Backed Securities USA
US3137FXYZ54 Freddie Mac Multifamily Structured Pass Through Certificates FRB JAN 25 31 4,478,706 $105,494.69 0.17% $105,494.69 0.17% - Mortgage-Backed Securities USA
US38384EHJ73 Ginnie Mae 5.025% SEP 20 53 94,631 $96,281.41 0.15% $96,281.41 0.15% - Mortgage-Backed Securities USA
US61780XAC92 Morgan Stanley Residential Mortgage Loan Trust 2026-NQM1 144A FRB DEC 25 70 96,181 $95,626.02 0.15% $95,626.02 0.15% - Residential Mortgage Backed Securities USA
US38383KU425 Ginnie Mae 4.275% AUG 20 74 91,302 $91,589.81 0.15% $91,589.82 0.15% - Mortgage-Backed Securities USA
US3137FV5Q11 Freddie Mac Multifamily Structured Pass Through Certificates FRB JUN 25 30 1,848,974 $86,307.10 0.14% $86,307.11 0.14% - Mortgage-Backed Securities USA
US3136BQRD38 Fannie Mae REMICS 5.062% NOV 25 53 84,265 $86,169.35 0.14% $86,169.35 0.14% - Mortgage-Backed Securities USA
US46660DAE58 JP Morgan Mortgage Trust 2026-NQM1 144A FRB JUN 25 66 85,926 $85,429.46 0.14% $85,429.46 0.14% - Residential Mortgage Backed Securities USA
US38385BBH24 Ginnie Mae 4.625% DEC 20 64 83,324 $83,936.29 0.13% $83,936.28 0.13% - Mortgage-Backed Securities USA
US3137HFL607 Freddie Mac REMICS 4.712% SEP 25 54 82,456 $83,220.24 0.13% $83,220.24 0.13% - Mortgage-Backed Securities USA
US20848FAA84 Conservation Fund A Nonprofit Corp 3.474% DEC 15 29 86,000 $83,133.30 0.13% $83,133.31 0.13% - Corporate Debt USA
US19648FRX41 Colorado Health Facilities Authority CO Txbl-Ref-Covenant Living Commu 2.800 DEC 01 26 80,000 $80,236.00 0.13% $80,236.00 0.13% - Municipal USA
US673918AC27 OBX 2025-NQM18 Trust 144A FRB SEP 25 65 79,404 $79,516.75 0.13% $79,516.75 0.13% - Residential Mortgage Backed Securities USA
US61778LAA35 Morgan Stanley Residential Mortgage Loan Trust 2025-NQM3 144A 5.53% MAY 25 70 78,015 $78,610.81 0.13% $78,610.81 0.13% - Residential Mortgage Backed Securities USA
US67449AAA34 OBX 2025-NQM8 Trust 144A 5.472% MAR 25 65 69,315 $69,888.13 0.11% $69,888.12 0.11% - Residential Mortgage Backed Securities USA
- EUR/USD FWD 20260629 BBHH-BOS 59,096 $69,022.46 0.11% $68,929.03 0.11% - Non classificato USA
US38385G5H88 Ginnie Mae FRB JUN 20 55 70,473 $67,824.98 0.11% $67,824.98 0.11% - Mortgage-Backed Securities USA
US3137FRUV19 Freddie Mac Multifamily Structured Pass Through Certificates FRB JAN 25 30 1,569,088 $66,986.50 0.11% $66,986.50 0.11% - Mortgage-Backed Securities USA
US38385GFS30 Ginnie Mae 7.575% MAY 20 55 63,566 $65,241.05 0.10% $65,241.05 0.10% - Mortgage-Backed Securities USA
US38384XSB00 Ginnie Mae 4.675% OCT 20 54 54,853 $55,099.10 0.09% $55,099.09 0.09% - Mortgage-Backed Securities USA
US3137HBDZ46 Freddie Mac REMICS 4.712% JAN 25 54 52,082 $52,657.26 0.08% $52,657.26 0.08% - Mortgage-Backed Securities USA
US3137HFP335 Freddie Mac Multifamily Structured Pass Through Certificates FRB JUL 25 29 1,785,431 $44,213.33 0.07% $44,213.34 0.07% - Mortgage-Backed Securities USA
US3137HK2F08 Freddie Mac Multifamily Structured Pass Through Certificates FRB JAN 25 35 1,959,567 $43,026.41 0.07% $43,026.41 0.07% - Mortgage-Backed Securities USA
US3137HAAL04 Freddie Mac Multifamily Structured Pass Through Certificates FRB MAY 25 33 2,000,000 $39,604.00 0.06% $39,604.00 0.06% - Mortgage-Backed Securities USA
US3137HHJ441 Freddie Mac Multifamily Structured Pass Through Certificates FRB SEP 25 34 439,526 $29,177.91 0.05% $29,177.90 0.05% - Mortgage-Backed Securities USA
US3136BBTT92 Fannie Mae REMICS 4% SEP 25 50 111,221 $21,667.29 0.03% $21,667.29 0.03% - Mortgage-Backed Securities USA
US3137FXSE99 Freddie Mac REMICS 2.5% MAR 25 51 131,112 $21,318.43 0.03% $21,318.43 0.03% - Mortgage-Backed Securities USA
US3137F6JS79 Freddie Mac REMICS 2.5% NOV 25 50 127,286 $21,167.58 0.03% $21,167.58 0.03% - Mortgage-Backed Securities USA
US3137HDJK78 Freddie Mac Multifamily Structured Pass Through Certificates FRB MAY 25 29 1,691,006 $20,612.91 0.03% $20,612.91 0.03% - Mortgage-Backed Securities USA
US3137HLJW33 Freddie Mac REMICS 3% OCT 25 52 91,901 $14,959.14 0.02% $14,959.15 0.02% - Mortgage-Backed Securities USA
US38376RS568 Ginnie Mae 4.541% JAN 20 67 12,519 $12,599.23 0.02% $12,599.23 0.02% - Mortgage-Backed Securities USA
US3136BBP305 Fannie Mae REMICS 2% SEP 25 50 69,631 $9,256.65 0.01% $9,256.65 0.01% - Mortgage-Backed Securities USA
US3136BDV960 Fannie Mae REMICS 2.5% FEB 25 51 64,504 $9,054.05 0.01% $9,054.05 0.01% - Mortgage-Backed Securities USA
US3137HKSB12 Freddie Mac Multifamily Structured Pass Through Certificates 0.57% JAN 25 30 395,900 $7,734.40 0.01% $7,734.40 0.01% - Mortgage-Backed Securities USA
US3137FKAV85 Freddie Mac REMICS FRB AUG 15 57 40,497 $4,983.45 0.01% $4,983.45 0.01% - Mortgage-Backed Securities USA
US3137F9YZ86 Freddie Mac Multifamily Structured Pass Through Certificates 0.711% DEC 25 30 98,381 $2,738.87 0.00% $2,738.86 0.00% - Mortgage-Backed Securities USA
- USD/EUR FWD 20260629 BBHH-BOS -68,889 $-68,888.51 -0.11% $-68,888.51 -0.11% - Non classificato USA
USSM12053P99 USD ZC CPI MAY 21 26 R 2.5185 MAY 21 46 -486,000 $-486,000.00 0.00% $-486,000.00 -0.77% - Titoli di Stato USA USA
USCWNU26F00X UST Ultra Bond Future SEP 21 26 -5 $0.00 0.00% $-572,031.25 -0.91% - Titoli di Stato USA USA
USSM12052P99 USD ZC CPI MAY 20 26 R 2.463 MAY 20 56 -630,000 $-630,000.00 0.00% $-630,000.00 -1.00% - Titoli di Stato USA USA
USSM12051P99 USD ZC CPI MAR 14 26 R 3.487 MAY 14 27 -1,590,000 $-1,590,000.00 0.00% $-1,590,000.00 -2.53% - Titoli di Stato USA USA
USSM12022P99 USD ZC CPI MAR 20 26 R 3.291 MAR 20 27 -3,250,000 $-3,250,000.00 0.00% $-3,250,000.00 -5.17% - Titoli di Stato USA USA
USSM11925P99 USD ZC CPI OCT 14 25 P .000 OCT 14 26 -4,100,000 $-4,100,000.00 0.00% $-4,100,000.00 -6.53% - Titoli di Stato USA USA
USSM11746P99 USD ZC CPI FEB 05 25 R 2.755 FEB 05 27 -4,500,000 $-4,500,000.00 0.00% $-4,500,000.00 -7.16% - Titoli di Stato USA USA
- Liquidità e Liquidità equivalenti - $558,165.04 0.89% $558,165.04 0.89% - - -
- Altro - $133.90 -13.66% $-8,581,585.14 -13.66% - - Altro

*Le posizioni corte, a differenza di quelle lunghe, perdono valore qualora l’attività sottostante aumenti di valore.

Le caratteristiche del portafoglio si basano su un’esposizione equivalente che determina le variazioni del valore di un portafoglio attribuibili alle variazioni di prezzo di un’attività detenuta direttamente o, nel caso di un contratto derivato, indirettamente. Il valore di mercato della partecipazione può essere diverso.
Altro. La voce “Altro” è composta da: (i) derivati su valute e/o (ii) qualsiasi compensazione su derivati.

L'elenco delle partecipazioni di portafoglio è a partire dalla data indicata e potrebbe non rappresentare la composizione del portafoglio corrente o futura. Queste informazioni non devono essere considerate una raccomandazione all’acquisto o alla vendita di alcuno dei titoli menzionati.

Questi dati di portafoglio non sono stati verificati o rettificati per alcune riclassificazioni di bilancio. Un audit potrebbe potenzialmente portare ad adeguamenti di questi dati. Per informazioni sulle partecipazioni rettificate, fare riferimento alla relazione semestrale del fondo. Per informazioni sulle partecipazioni di portafoglio sottoposte ad audit, fare riferimento alla relazione annuale del fondo.

Un elenco completo delle partecipazioni di portafoglio per ciascun fondo MFS è generalmente disponibile all’indirizzo mfs.com non prima di 19 giorni dopo la fine di ogni mese. Le prime 10 partecipazioni di portafoglio sono generalmente disponibili non prima di 11 giorni di calendario dopo la fine di ogni mese.

Quando si pubblicano i primi 10 titoli detenuti di un fondo, se del caso, per i fondi con investimenti significativi in titoli azionari e strumenti di debito, saranno resi disponibili i primi 10 titoli azionari e i primi 10 strumenti di debito del fondo. Inoltre, per i fondi che investono principalmente in azioni di fondi MFS, quando si pubblicano i primi 10 titoli detenuti di un fondo, tutti i seguenti, a seconda del caso, saranno pubblicate tutte le posizioni in titoli in azioni di fondi MFS, i primi 10 titoli azionari aggregati contenuti all’interno degli investimenti del fondo e le prime 10 posizioni aggregate in strumenti di debito contenute negli investimenti del fondo sottostanti.

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