C000007247 Holdings — MFS Massachusetts Investors Growth Stock Portfolio

All 55 reported holdings of MFS Massachusetts Investors Growth Stock Portfolio (C000007247) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
NVIDIA Corp11.54%$95.74M
Microsoft Corp10.08%$83.63M
Alphabet Inc4.86%$40.29M
Apple Inc4.70%$38.96M
Taiwan Semiconductor Manufacturing Co Ltd4.32%$35.84M
Amphenol Corp3.54%$29.40M
Visa Inc3.54%$29.33M
Aon PLC2.77%$22.95M
Hubbell Inc2.42%$20.11M
CMS Energy Corp2.33%$19.33M
TransUnion2.27%$18.86M
Mastercard Inc2.23%$18.53M
Church & Dwight Co Inc2.17%$18.02M
Moody's Corp2.11%$17.50M
Amazon.com Inc2.08%$17.24M
Eaton Corp PLC2.05%$16.98M
Accenture PLC2.01%$16.65M
Hilton Worldwide Holdings Inc2.01%$16.64M
Agilent Technologies Inc1.86%$15.47M
Tencent Holdings Ltd1.75%$14.53M
Boston Scientific Corp1.67%$13.83M
Verisk Analytics Inc1.63%$13.51M
Intuit Inc1.61%$13.38M
L'Oreal SA1.58%$13.10M
Steris PLC1.54%$12.82M
Waters Corp1.51%$12.52M
Becton Dickinson & Co1.44%$11.91M
Danaher Corp1.40%$11.60M
TJX Cos Inc/The1.38%$11.46M
Ross Stores Inc1.27%$10.51M
Mettler-Toledo International Inc1.15%$9.58M
Charles Schwab Corp/The1.11%$9.22M
Sherwin-Williams Co/The1.08%$8.99M
Thermo Fisher Scientific Inc1.07%$8.84M
LVMH Moet Hennessy Louis Vuitton SE1.05%$8.69M
TE Connectivity PLC1.00%$8.32M
Schneider Electric SE0.99%$8.19M
Otis Worldwide Corp0.91%$7.53M
CME Group Inc0.88%$7.32M
Brookfield Asset Management Ltd0.86%$7.17M
Graco Inc0.69%$5.74M
Pool Corp0.61%$5.07M
Salesforce Inc0.54%$4.47M
Stryker Corp0.38%$3.18M
MFS Institutional Money Market Portfolio0.33%$2.71M
Marsh & McLennan Cos Inc0.33%$2.71M
PepsiCo Inc0.28%$2.32M
Analog Devices Inc0.22%$1.82M
McCormick & Co Inc/MD0.20%$1.66M
Starbucks Corp0.20%$1.63M
Texas Instruments Inc0.10%$811.31K
American Tower Corp0.10%$802.15K
Veeva Systems Inc0.09%$772.73K
Walt Disney Co/The0.06%$535.20K
Icon PLC0.04%$350.79K

C000007247 overview: performance, fees, allocation and SEC filings