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MFS® Limited Maturity Fund

       
   
   
   

Fact Sheet

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Symbol: MQLFX   CUSIP:  55272P109   Newspaper Abbreviation: LtdMA   Fund number: 36  
Daily NAV:  $6.06  (as of 4/23/14)
    Characteristics Fund Profile Performance Portfolio Management Dividends and Capital Gains Price History Fund Reports/Prospectus Insightful Investing

Price History

(since 04/22/14)
NAV at close of trading on: 4/23/14
Net Asset Value (NAV):  $ 6.06
Change $ (since 04/22/14) :    0.01
Change % :    0.17
NAV at close of trading on: Net Asset Value (NAV)
4/23/14 $ 6.06
4/22/14 $ 6.05
4/21/14 $ 6.06
4/20/14 $ 6.06
4/19/14 $ 6.06
4/18/14 $ 6.06
4/17/14 $ 6.06
4/16/14 $ 6.06
4/15/14 $ 6.06
4/14/14 $ 6.06
4/13/14 $ 6.06
4/12/14 $ 6.06
4/11/14 $ 6.06
4/10/14 $ 6.06
4/9/14 $ 6.06
4/8/14 $ 6.06
4/7/14 $ 6.06
4/6/14 $ 6.06
4/5/14 $ 6.06
4/4/14 $ 6.06
4/3/14 $ 6.05
4/2/14 $ 6.05
4/1/14 $ 6.05
3/31/14 $ 6.05
3/30/14 $ 6.05
3/29/14 $ 6.05
3/28/14 $ 6.05
3/27/14 $ 6.05
3/26/14 $ 6.05
3/25/14 $ 6.05
3/24/14 $ 6.05
3/23/14 $ 6.05
3/22/14 $ 6.05
3/21/14 $ 6.05
3/20/14 $ 6.05
3/19/14 $ 6.05
3/18/14 $ 6.06
3/17/14 $ 6.06
3/16/14 $ 6.06
3/15/14 $ 6.06
3/14/14 $ 6.06
3/13/14 $ 6.06
3/12/14 $ 6.06
3/11/14 $ 6.06
3/10/14 $ 6.06
3/9/14 $ 6.06
3/8/14 $ 6.06
3/7/14 $ 6.06
3/6/14 $ 6.06
3/5/14 $ 6.06
3/4/14 $ 6.06
3/3/14 $ 6.07
3/2/14 $ 6.07
3/1/14 $ 6.07
2/28/14 $ 6.07
2/27/14 $ 6.07
2/26/14 $ 6.07
2/25/14 $ 6.07
2/24/14 $ 6.06
2/23/14 $ 6.06
2/22/14 $ 6.06
2/21/14 $ 6.06
2/20/14 $ 6.06
2/19/14 $ 6.07
2/18/14 $ 6.07
2/17/14 $ 6.06
2/16/14 $ 6.06
2/15/14 $ 6.06
2/14/14 $ 6.06
2/13/14 $ 6.06
2/12/14 $ 6.06
2/11/14 $ 6.06
2/10/14 $ 6.07
2/9/14 $ 6.07
2/8/14 $ 6.07
2/7/14 $ 6.07
2/6/14 $ 6.06
2/5/14 $ 6.06
2/4/14 $ 6.07
2/3/14 $ 6.07
2/2/14 $ 6.06
2/1/14 $ 6.06
1/31/14 $ 6.06
1/30/14 $ 6.06
1/29/14 $ 6.06
1/28/14 $ 6.06
1/27/14 $ 6.06
1/26/14 $ 6.06
1/25/14 $ 6.06
1/24/14 $ 6.06
1/23/14 $ 6.06
1/22/14 $ 6.06
1/21/14 $ 6.06
1/20/14 $ 6.06
1/19/14 $ 6.06
1/18/14 $ 6.06
1/17/14 $ 6.06
1/16/14 $ 6.06
1/15/14 $ 6.06

Historical NAV Lookup

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This publication is authorized for distribution only when preceded or accompanied by a prospectus, or summary prospectus, for the portfolio being offered. Consider the fund's investment objectives, risks, charges and expenses. Contact MFS or view online. Read it carefully.