BMSBX Holdings — MFS Blended Research Mid Cap Equity Fund

All 160 reported holdings of MFS Blended Research Mid Cap Equity Fund (BMSBX) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Western Digital Corp.2.95%$86.43M
Flex Ltd.2.67%$78.42M
Valero Energy Corp.1.99%$58.27M
Ciena Corp.1.90%$55.75M
Viking Holdings Ltd.1.86%$54.51M
Okta, Inc.1.82%$53.48M
Northern Trust Corp.1.76%$51.56M
Aramark1.70%$49.97M
Westinghouse Air Brake Technologies Corp.1.62%$47.59M
Edison International1.59%$46.64M
Popular, Inc.1.50%$44.14M
Phillips 661.48%$43.31M
Humana, Inc.1.46%$42.71M
PG&E Corp.1.45%$42.57M
Ameriprise Financial, Inc.1.44%$42.24M
Curtiss-Wright Corp.1.40%$41.12M
TechnipFMC plc1.36%$39.81M
Datadog, Inc.1.35%$39.59M
Illumina, Inc.1.30%$38.14M
AGCO Corp.1.23%$36.22M
Synchrony Financial1.19%$34.81M
Aptiv plc1.18%$34.75M
BWX Technologies, Inc.1.12%$32.77M
Equitable Holdings, Inc.1.11%$32.63M
AMETEK, Inc.1.10%$32.36M
Masco Corp.1.10%$32.31M
Everest Group Ltd.1.10%$32.16M
WP Carey, Inc.1.09%$31.95M
TKO Group Holdings, Inc.1.07%$31.54M
Envista Holdings Corp.1.07%$31.41M
Teradyne, Inc.1.04%$30.62M
O'Reilly Automotive, Inc.1.02%$30.06M
Dollar General Corp.1.02%$29.95M
Texas Capital Bancshares, Inc.1.01%$29.61M
Mohawk Industries, Inc.1.00%$29.34M
Dexcom, Inc.0.98%$28.89M
Highwoods Properties, Inc.0.96%$28.03M
IQVIA Holdings, Inc.0.95%$27.97M
Hartford Insurance Group, Inc. (The)0.94%$27.73M
Leidos Holdings, Inc.0.94%$27.45M
Textron, Inc.0.93%$27.32M
Brunswick Corp.0.92%$27.01M
RPM International, Inc.0.88%$25.87M
Eastman Chemical Co.0.86%$25.21M
MYR Group, Inc.0.85%$24.89M
Avient Corp.0.82%$24.17M
Amkor Technology, Inc.0.81%$23.79M
Omnicom Group, Inc.0.79%$23.30M
Incyte Corp.0.79%$23.27M
Roku, Inc.0.78%$22.91M
Portland General Electric Co.0.77%$22.51M
Exelixis, Inc.0.76%$22.33M
Biogen, Inc.0.76%$22.30M
McKesson Corp.0.74%$21.71M
Verisk Analytics, Inc.0.71%$20.89M
TriNet Group, Inc.0.70%$20.44M
Ingredion, Inc.0.69%$20.37M
Cousins Properties, Inc.0.69%$20.36M
Voya Financial, Inc.0.69%$20.31M
Ferguson Enterprises, Inc.0.69%$20.15M
Essential Properties Realty Trust, Inc.0.68%$20.03M
Universal Health Services, Inc.0.67%$19.61M
Jones Lang LaSalle, Inc.0.66%$19.48M
Zoom Communications, Inc.0.66%$19.25M
nVent Electric plc0.65%$19.18M
Ross Stores, Inc.0.64%$18.88M
Cirrus Logic, Inc.0.63%$18.49M
Expand Energy Corp.0.62%$18.12M
Raymond James Financial, Inc.0.62%$18.06M
ROBLOX Corp.0.60%$17.61M
CareTrust REIT, Inc.0.58%$16.93M
JB Hunt Transport Services, Inc.0.57%$16.82M
Jacobs Solutions, Inc.0.56%$16.41M
Etsy, Inc.0.54%$15.97M
Talen Energy Corp.0.54%$15.97M
Simon Property Group, Inc.0.52%$15.39M
Monolithic Power Systems, Inc.0.52%$15.26M
CBRE Group, Inc.0.52%$15.21M
Zebra Technologies Corp.0.50%$14.76M
Texas Roadhouse, Inc.0.49%$14.35M
Lamar Advertising Co.0.48%$13.96M
Dropbox, Inc.0.47%$13.84M
SkyWest, Inc.0.46%$13.59M
Albertsons Cos., Inc.0.45%$13.26M
United Airlines Holdings, Inc.0.45%$13.10M
Sandisk Corp.0.44%$13.05M
MFS Institutional Money Market Portfolio0.44%$12.93M
GoDaddy, Inc.0.43%$12.75M
Antero Resources Corp.0.43%$12.61M
Banc of California, Inc.0.43%$12.59M
Axis Capital Holdings Ltd.0.42%$12.47M
Flowserve Corp.0.42%$12.28M
NRG Energy, Inc.0.42%$12.25M
National Fuel Gas Co.0.41%$12.10M
US Foods Holding Corp.0.41%$11.97M
Constellium SE0.39%$11.42M
Anglogold Ashanti plc0.39%$11.37M
Lincoln National Corp.0.38%$11.17M
Newell Brands, Inc.0.37%$10.99M
Corebridge Financial, Inc.0.36%$10.49M
Albemarle Corp.0.35%$10.37M
Atmos Energy Corp.0.34%$9.94M
Polaris, Inc.0.33%$9.78M
Vistra Corp.0.31%$9.02M
Pentair plc0.30%$8.91M
M&T Bank Corp.0.29%$8.63M
Ameren Corp.0.28%$8.15M
Tutor Perini Corp.0.27%$7.91M
Advanced Energy Industries, Inc.0.27%$7.85M
Align Technology, Inc.0.27%$7.84M
Versigent plc0.27%$7.83M
Allegion plc0.26%$7.60M
Bath & Body Works, Inc.0.25%$7.26M
Corning, Inc.0.24%$7.18M
Centene Corp.0.24%$7.11M
Hilton Worldwide Holdings, Inc.0.24%$7.05M
Chord Energy Corp.0.23%$6.87M
Pegasystems, Inc.0.22%$6.55M
State Street Corp.0.19%$5.60M
MongoDB, Inc.0.18%$5.28M
Ford Motor Co.0.18%$5.23M
Garrett Motion, Inc.0.17%$5.06M
Sylvamo Corp.0.17%$4.97M
Grand Canyon Education, Inc.0.15%$4.39M
Guidewire Software, Inc.0.14%$4.18M
Arxis, Inc.0.14%$4.15M
Permian Resources Corp.0.14%$4.09M
Carnival Corp. Ltd.0.14%$4.02M
Constellation Brands, Inc.0.13%$3.87M
Visteon Corp.0.13%$3.74M
Q2 Holdings, Inc.0.13%$3.69M
Wolverine World Wide, Inc.0.12%$3.50M
Hanover Insurance Group, Inc. (The)0.12%$3.48M
NNN REIT, Inc.0.12%$3.43M
Chewy, Inc.0.11%$3.27M
New York Times Co. (The)0.11%$3.20M
Beacon Financial Corp.0.11%$3.14M
Indivior Pharmaceuticals, Inc.0.11%$3.12M
Waters Corp.0.10%$2.92M
Millicom International Cellular SA0.10%$2.88M
Box, Inc.0.09%$2.67M
ACI Worldwide, Inc.0.09%$2.54M
Assurant, Inc.0.08%$2.24M
Primoris Services Corp.0.07%$2.14M
TD SYNNEX Corp.0.07%$2.12M
BILL Holdings, Inc.0.07%$2.03M
SM Energy Co.0.06%$1.90M
California Resources Corp.0.06%$1.73M
EnerSys0.06%$1.69M
CH Robinson Worldwide, Inc.0.06%$1.69M
Timken Co. (The)0.06%$1.66M
Crane Co.0.05%$1.60M
Terex Corp.0.05%$1.57M
UMB Financial Corp.0.05%$1.46M
Evergy, Inc.0.05%$1.40M
Simpson Manufacturing Co., Inc.0.05%$1.39M
Hexcel Corp.0.05%$1.37M
Advanced Drainage Systems, Inc.0.04%$1.32M
UFP Industries, Inc.0.04%$1.22M
TPG, Inc.0.03%$915.94K

BMSBX overview: performance, fees, allocation and SEC filings