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MFS® Equity Opportunities Fund

       
   
   
   

Fact Sheet

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Symbol: SRFAX   CUSIP:  55275E473   Newspaper Abbreviation: PENDING   Fund number: 1040  
Daily NAV:  $26.80  (as of 4/15/14)
    Characteristics Fund Profile Performance Portfolio Management Dividends and Capital Gains Price History Fund Reports/Prospectus Insightful Investing

Price HistoryS9

(since 04/14/14)
NAV at close of trading on: 4/15/14
Net Asset Value (NAV):  $ 26.80
Change $ (since 04/14/14) :    0.11
Change % :    0.41
NAV at close of trading on: Net Asset Value (NAV)
4/15/14 $ 26.80
4/14/14 $ 26.69
4/13/14 $ 26.48
4/12/14 $ 26.48
4/11/14 $ 26.48
4/10/14 $ 26.78
4/9/14 $ 27.37
4/8/14 $ 27.03
4/7/14 $ 26.87
4/6/14 $ 27.36
4/5/14 $ 27.36
4/4/14 $ 27.36
4/3/14 $ 27.81
4/2/14 $ 27.94
4/1/14 $ 27.86
3/31/14 $ 27.68
3/30/14 $ 27.37
3/29/14 $ 27.37
3/28/14 $ 27.37
3/27/14 $ 27.18
3/26/14 $ 27.26
3/25/14 $ 27.56
3/24/14 $ 27.57
3/23/14 $ 27.87
3/22/14 $ 27.87
3/21/14 $ 27.87
3/20/14 $ 27.96
3/19/14 $ 27.78
3/18/14 $ 27.93
3/17/14 $ 27.64
3/16/14 $ 27.39
3/15/14 $ 27.39
3/14/14 $ 27.39
3/13/14 $ 27.41
3/12/14 $ 27.74
3/11/14 $ 27.69
3/10/14 $ 27.91
3/9/14 $ 27.97
3/8/14 $ 27.97
3/7/14 $ 27.97
3/6/14 $ 27.91
3/5/14 $ 28.00
3/4/14 $ 27.98
3/3/14 $ 27.57
3/2/14 $ 27.73
3/1/14 $ 27.73
2/28/14 $ 27.73
2/27/14 $ 27.71
2/26/14 $ 27.62
2/25/14 $ 27.62
2/24/14 $ 27.59
2/23/14 $ 27.46
2/22/14 $ 27.46
2/21/14 $ 27.46
2/20/14 $ 27.46
2/19/14 $ 27.23
2/18/14 $ 27.54
2/17/14 $ 27.12
2/16/14 $ 27.12
2/15/14 $ 27.12
2/14/14 $ 27.12
2/13/14 $ 26.90
2/12/14 $ 26.54
2/11/14 $ 26.41
2/10/14 $ 26.12
2/9/14 $ 26.18
2/8/14 $ 26.18
2/7/14 $ 26.18
2/6/14 $ 25.81
2/5/14 $ 25.52
2/4/14 $ 25.55
2/3/14 $ 25.33
2/2/14 $ 25.97
2/1/14 $ 25.97
1/31/14 $ 25.97
1/30/14 $ 26.13
1/29/14 $ 25.88
1/28/14 $ 26.15
1/27/14 $ 25.80
1/26/14 $ 26.06
1/25/14 $ 26.06
1/24/14 $ 26.06
1/23/14 $ 26.71
1/22/14 $ 27.01
1/21/14 $ 26.94
1/20/14 $ 26.82
1/19/14 $ 26.82
1/18/14 $ 26.82
1/17/14 $ 26.82
1/16/14 $ 26.97
1/15/14 $ 27.10
1/14/14 $ 27.05
1/13/14 $ 26.68
1/12/14 $ 27.07
1/11/14 $ 27.07
1/10/14 $ 27.07
1/9/14 $ 26.95
1/8/14 $ 26.87
1/7/14 $ 26.82

Historical NAV Lookup

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S9 The MFS Equity Opportunities Fund acquired all the net assets of the Penn Street Advisors Sector Rotational Portfolio on January 3, 2007, pursuant to a plan of reorganization approved by the acquired fund’s shareholders. Historical NAV’s shown for periods prior to January 3, 2007, is that of the Penn Street Advisors Sector Rotational Portfolio.

 
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.