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MFS® International DiversificationSM Fund

       
   
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Fact Sheet

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Symbol: MDIDX   CUSIP:  55273G330   Newspaper Abbreviation: PENDING   Fund number: 1032  
Daily NAV:  $16.53  (as of 4/22/14)
    Characteristics Fund Profile Performance Portfolio Management Dividends and Capital Gains Price History Fund Reports/Prospectus Sales Tools

Dividends and Capital Gains

Terms and Definitions
Distributions (updated daily as of 4/23/14)
Record Date Ex-Date Payable Date   Type of Earnings Rate per
Share (US$)
Reinvestment NAV (US$)
12/27/13 12/27/13 12/27/13   Dividend   0.14364   16.39     

Past performance is no guarantee of future results. Please consult your tax advisor for further information.

 
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