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MFS® Growth Allocation Portfolio

       
   
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Fact Sheet

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CUSIP:  86664T466  
Daily NAV:  $12.74  (as of 3/26/15)
    Characteristics Portfolio Profile Performance Portfolio Management Price History Fund Reports/Prospectus Sales Tools

Portfolio Profile S1

A diversified portfolio of MFS stock and bond funds

Provides convenient access to a broadly diversified, professionally managed portfolio of underlying MFS portfolios in a single investment and is rebalanced.

Objective:

Seeks a high level of total return consistent with a greater than moderate level of risk relative to the other MFS Asset Allocation Portfolios.

 

  • Classification: Asset Allocation
  • Class Inception: 10/1/08  
  • CUSIP:  86664T466  

Portfolio Facts:

 
Portfolio characteristic data are based on unaudited net assets.

 
The portfolio is actively managed, and current holdings may be different.

 
Target Allocations
(on 2/28/15)
U.S. Stocks 54.00%
Bonds 21.00%
International Stocks 20.00%
Specialty 5.00%
MFS Fund Holdings
(on 2/28/15)
MFS® Growth Series 11.16%
MFS® Value Series 11.01%
MFS® Research Series 10.06%
MFS® Mid Cap Growth Series 9.13%
MFS® Research International Portfolio 9.13%
MFS® Mid Cap Value Portfolio 9.04%
MFS® International Value Portfolio 5.08%
MFS® International Growth Portfolio 5.07%
MFS® High Yield Portfolio 4.99%
MFS® Research Bond Series 4.86%
MFS® Global Real Estate Portfolio 4.83%
MFS® Inflation-Adjusted Bond Portfolio 4.81%
MFS® Global Governments Portfolio 3.80%
MFS® New Discovery Series 2.04%
MFS® New Discovery Value Portfolio 2.01%
MFS® Limited Maturity Portfolio 1.94%
MFS® Emerging Markets Equity Portfolio 0.96%
Cash & Other assets, less liabilities 0.08%
 
Top 10 Holdings
(on 2/28/15)  
What's this?
Nestle SA
Apple Inc
Actavis plc
JPMorgan Chase & Co
Danaher Corp
Danone SA
Visa Inc
Wells Fargo & Co
Roche Holding AG
Ross Stores Inc

6.30% of total net assets
Total number of holdings: 2247
Top 10 Equity Holdings
(on 2/28/15)  
What's this?
Nestle SA
Apple Inc
Actavis plc
JPMorgan Chase & Co
Danaher Corp
Danone SA
Visa Inc
Wells Fargo & Co
Roche Holding AG
Ross Stores Inc

8.01% of equity assets
 
Top 10 Fixed Income Holdings
(on 2/28/15)  
What's this?
US Treasury Note 0.75% JUN 30 17
US Treasury Bond 4.5% AUG 15 39
Italy Buoni Poliennali Del Tesoro 3.75% MAR 01 21
Italy Buoni Poliennali Del Tesoro 5.25% AUG 01 17
Japan Government Twenty Year Bond 2.1% SEP 20 24
US Treasury Note 4.75% AUG 15 17
FNMA 30YR 4.0
Japan Government Twenty Year Bond 2.2% SEP 20 27
US Treasury Note 0.375% FEB 15 16
Japan Government Ten Year Bond 1.1% JUN 20 20

11.49% of fixed income assets
 

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.

 
S1 Performance figures shown for periods before December 8, 2012, represent performance of the prior investment adviser and sub-adviser to the fund's predecessor under the previous investment strategies for the Fund.

 
Important Risk Considerations

 
The portfolio may not achieve its objective and/or you could lose money on your investment in the portfolio.

 
Stock markets and investments in individual stocks are volatile and can decline significantly in response to issuer, market, economic, industry, political, regulatory, geopolitical, and other conditions.

 
Investments in debt instruments may decline in value as the result of declines in the credit quality of the issuer, borrower, counterparty, or other entity responsible for payment, underlying collateral, or changes in economic, political, issuer-specific, or other conditions. Certain types of debt instruments can be more sensitive to these factors and therefore more volatile. In addition, debt instruments entail interest rate risk (as interest rates rise, prices usually fall), therefore the Fund's share price may decline during rising rate environments as the underlying debt instruments in the portfolio adjust to the rise in rates. Funds that consist of debt instruments with longer durations are generally more sensitive to a rise in interest rates than those with shorter durations. At times, and particularly during periods of market turmoil, all or a large portion of segments of the market may not have an active trading market. As a result, it may be difficult to value these investments and it may not be possible to sell a particular investment or type of investment at any particular time or at an acceptable price.

 
Investments in foreign markets can involve greater risk and volatility than U.S. investments because of adverse market, economic, industry, political, regulatory, geopolitical, or other conditions.

 
Investments in small-cap companies can be more volatile than investments in larger companies.

 
MFS’ strategy of investing in underlying funds exposes the fund to the risks of the underlying funds. Each underlying fund pursues its own objective and strategies and may not achieve its objective.

 
Please see the prospectus for further information on these and other risk considerations.

 
Before purchasing any variable product, consider the objectives, risks, charges, and expenses associated with the underlying investment option(s) and those of the product itself. For a prospectus, or summary prospectus if available, containing this and other information, contact your investment or insurance professional. Read the prospectus carefully before investing.