C000007249 Holdings — MFS Blended Research Core Equity Portfolio

All 112 reported holdings of MFS Blended Research Core Equity Portfolio (C000007249) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
NVIDIA Corp8.76%$31.46M
Apple Inc7.37%$26.48M
Microsoft Corp4.73%$16.99M
Amazon.com Inc4.20%$15.09M
Meta Platforms Inc2.67%$9.60M
Johnson & Johnson2.54%$9.14M
Broadcom Inc2.40%$8.61M
Alphabet Inc2.38%$8.56M
Lam Research Corp2.01%$7.22M
Alphabet Inc1.97%$7.09M
Visa Inc1.81%$6.51M
Mastercard Inc1.78%$6.41M
Citigroup Inc1.76%$6.32M
McKesson Corp1.71%$6.13M
General Electric Co1.69%$6.06M
Edison International1.62%$5.82M
Northern Trust Corp1.59%$5.73M
Westinghouse Air Brake Technologies Corp1.55%$5.57M
Colgate-Palmolive Co1.34%$4.82M
O'Reilly Automotive Inc1.33%$4.79M
Monster Beverage Corp1.33%$4.77M
TechnipFMC PLC1.32%$4.75M
Pfizer Inc1.32%$4.74M
Gilead Sciences Inc1.21%$4.34M
Ameriprise Financial Inc1.21%$4.33M
Aramark1.19%$4.28M
Cigna Group/The1.19%$4.26M
PG&E Corp1.18%$4.24M
Arista Networks Inc1.15%$4.12M
Salesforce Inc1.13%$4.07M
Popular Inc1.12%$4.02M
Netflix Inc1.09%$3.92M
Altria Group Inc1.09%$3.92M
Bristol-Myers Squibb Co1.07%$3.85M
GE Vernova Inc1.03%$3.70M
Okta Inc1.01%$3.63M
Tesla Inc0.91%$3.28M
KLA Corp0.91%$3.26M
Valero Energy Corp0.86%$3.10M
EOG Resources Inc0.86%$3.09M
Booking Holdings Inc0.78%$2.80M
Spotify Technology SA0.73%$2.62M
AGCO Corp0.71%$2.56M
WP Carey Inc0.68%$2.44M
MFS Institutional Money Market Portfolio0.67%$2.39M
Eaton Corp PLC0.63%$2.26M
Wells Fargo & Co0.63%$2.26M
Amphenol Corp0.62%$2.24M
Dollar General Corp0.60%$2.15M
Berkshire Hathaway Inc0.57%$2.04M
Philip Morris International Inc0.55%$1.99M
Equitable Holdings Inc0.55%$1.98M
Goldman Sachs Group Inc/The0.53%$1.89M
General Dynamics Corp0.51%$1.84M
Viking Holdings Ltd0.49%$1.77M
Hartford Insurance Group Inc/The0.48%$1.73M
Newmont Corp0.48%$1.73M
Zoom Communications Inc0.43%$1.56M
Verisk Analytics Inc0.42%$1.50M
Medtronic PLC0.40%$1.45M
JPMorgan Chase & Co0.40%$1.43M
QUALCOMM Inc0.40%$1.43M
Aptiv PLC0.38%$1.37M
Curtiss-Wright Corp0.37%$1.33M
Intuit Inc0.37%$1.31M
ConocoPhillips0.35%$1.27M
TKO Group Holdings Inc0.35%$1.25M
Home Depot Inc/The0.35%$1.25M
Dropbox Inc0.33%$1.20M
Cousins Properties Inc0.33%$1.19M
Leidos Holdings Inc0.33%$1.18M
Crh PLC0.32%$1.15M
Jones Lang LaSalle Inc0.32%$1.14M
Micron Technology Inc0.31%$1.13M
Caterpillar Inc0.31%$1.11M
Airbnb Inc0.31%$1.10M
Uber Technologies Inc0.30%$1.09M
Brunswick Corp/DE0.30%$1.09M
Eli Lilly & Co0.28%$1.00M
Essential Properties Realty Trust Inc0.27%$971.58K
Eastman Chemical Co0.24%$862.87K
Albertsons Cos Inc0.23%$834.45K
Chubb Ltd0.22%$792.66K
Align Technology Inc0.21%$750.01K
ROBLOX Corp0.20%$735.11K
Autodesk Inc0.20%$734.48K
NextEra Energy Inc0.20%$729.57K
Charles Schwab Corp/The0.19%$672.52K
TJX Cos Inc/The0.18%$650.78K
RPM International Inc0.18%$635.66K
Seagate Technology Holdings PLC0.18%$629.95K
Portland General Electric Co0.16%$561.16K
American Express Co0.15%$522.99K
nVent Electric PLC0.12%$442.60K
Talen Energy Corp0.12%$422.66K
Trane Technologies PLC0.12%$417.57K
Omnicom Group Inc0.11%$412.62K
Ventas Inc0.11%$411.03K
Exxon Mobil Corp0.11%$410.41K
Albemarle Corp0.11%$395.86K
Flowserve Corp0.10%$376.22K
Ingredion Inc0.10%$372.23K
Ford Motor Co0.10%$361.35K
Guidewire Software Inc0.10%$354.76K
Illumina Inc0.10%$350.30K
Incyte Corp0.09%$331.11K
Raymond James Financial Inc0.09%$325.63K
VeriSign Inc0.09%$321.63K
Boston Scientific Corp0.09%$306.16K
Everest Group Ltd0.08%$279.13K
Mohawk Industries Inc0.08%$277.85K
PepsiCo Inc0.08%$276.26K

C000007249 overview: performance, fees, allocation and SEC filings