C000007261 Holdings — MFS Research International Portfolio

All 119 reported holdings of MFS Research International Portfolio (C000007261) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Mizuho Financial Group Inc2.96%$10.26M
Schneider Electric SE2.63%$9.11M
Hitachi Ltd2.36%$8.16M
Novartis AG2.25%$7.80M
TotalEnergies SE2.10%$7.26M
ASML Holding NV1.95%$6.75M
Linde PLC1.87%$6.48M
MFS Institutional Money Market Portfolio1.84%$6.37M
Taiwan Semiconductor Manufacturing Co Ltd1.80%$6.25M
AstraZeneca PLC1.59%$5.50M
Tokyo Electron Ltd1.51%$5.23M
Eni SpA1.48%$5.11M
British American Tobacco PLC1.45%$5.03M
ING Groep NV1.42%$4.93M
AIA Group Ltd1.41%$4.88M
Barclays PLC1.38%$4.76M
Roche Holding AG1.36%$4.72M
Haleon PLC1.35%$4.69M
Toronto-Dominion Bank/The1.35%$4.67M
Euronext NV1.35%$4.66M
BNP Paribas SA1.34%$4.63M
National Grid PLC1.33%$4.59M
BPER Banca SPA1.31%$4.53M
Glencore PLC1.29%$4.48M
Legrand SA1.29%$4.45M
UBS Group AG1.19%$4.13M
Bank of Ireland Group PLC1.19%$4.13M
Banco Bilbao Vizcaya Argentaria SA1.18%$4.10M
Galp Energia SGPS SA1.16%$4.03M
Hiscox Ltd1.08%$3.75M
Mitsubishi Electric Corp1.06%$3.66M
MTU Aero Engines AG1.05%$3.63M
LVMH Moet Hennessy Louis Vuitton SE1.04%$3.61M
Sompo Holdings Inc1.04%$3.60M
Thales SA1.04%$3.60M
Shin-Etsu Chemical Co Ltd1.02%$3.55M
Samsung Electronics Co Ltd1.02%$3.54M
Mastercard Inc1.00%$3.48M
Rio Tinto PLC0.97%$3.37M
KDDI Corp0.97%$3.36M
NatWest Group PLC0.97%$3.35M
London Stock Exchange Group PLC0.95%$3.29M
Daiichi Sankyo Co Ltd0.95%$3.28M
Atlas Copco AB0.93%$3.24M
Mitsui & Co Ltd0.93%$3.22M
Aon PLC0.92%$3.17M
Sony Group Corp0.90%$3.11M
B3 SA - Brasil Bolsa Balcao0.90%$3.10M
Cie Financiere Richemont SA0.89%$3.09M
Taisei Corp0.86%$2.98M
Disco Corp0.83%$2.89M
Suzuki Motor Corp0.81%$2.81M
Koninklijke KPN NV0.80%$2.78M
Banco Bradesco SA0.79%$2.74M
Techtronic Industries Co Ltd0.75%$2.60M
Merck KGaA0.75%$2.60M
E.on SE0.74%$2.58M
Fujitsu Ltd0.74%$2.56M
Pernod Ricard SA0.73%$2.53M
Beiersdorf AG0.72%$2.49M
Keyence Corp0.72%$2.48M
GEA Group AG0.71%$2.47M
HDFC Bank Ltd0.71%$2.47M
Daikin Industries Ltd0.71%$2.46M
Weir Group PLC/The0.67%$2.32M
Spotify Technology SA0.65%$2.25M
Qiagen NV0.64%$2.20M
Davide Campari-Milano NV0.63%$2.19M
RB Global Inc0.63%$2.18M
CSL Ltd0.63%$2.17M
Cellnex Telecom SA0.63%$2.17M
Willis Towers Watson PLC0.62%$2.16M
Pan Pacific International Holdings Corp0.59%$2.05M
Beazley PLC0.59%$2.04M
Unicharm Corp0.59%$2.03M
Jeronimo Martins SGPS SA0.57%$1.98M
Spirax Group PLC0.57%$1.98M
Next PLC0.57%$1.97M
Convatec Group PLC0.57%$1.96M
Cie Generale des Etablissements Michelin SCA0.56%$1.96M
Alcon AG0.55%$1.92M
Ajinomoto Co Inc0.53%$1.83M
Symrise AG0.52%$1.80M
Terumo Corp0.51%$1.76M
Constellation Software Inc/Canada0.50%$1.72M
Croda International PLC0.48%$1.67M
James Hardie Industries PLC0.48%$1.66M
Advanced Info Service PCL0.46%$1.58M
Novonesis Novozymes B0.45%$1.57M
Shimano Inc0.45%$1.55M
Babcock International Group PLC0.45%$1.55M
Wolters Kluwer NV0.45%$1.55M
Reliance Industries Ltd0.44%$1.53M
Accor SA0.43%$1.50M
Qantas Airways Ltd0.41%$1.42M
Sika AG0.41%$1.40M
Cadence Design Systems Inc0.40%$1.39M
FUJIFILM Holdings Corp0.37%$1.29M
Aristocrat Leisure Ltd0.35%$1.22M
Samsung Fire & Marine Insurance Co Ltd0.33%$1.16M
APA Group0.33%$1.13M
CLP Holdings Ltd0.32%$1.12M
Akzo Nobel NV0.29%$1.00M
NEC Corp0.27%$944.23K
Northern Star Resources Ltd0.26%$907.93K
Nitori Holdings Co Ltd0.23%$788.38K
Japan Airlines Co Ltd0.23%$787.47K
SoftBank Group Corp0.21%$733.04K
China Resources Gas Group Ltd0.21%$724.18K
Capcom Co Ltd0.21%$710.36K
Burberry Group PLC0.20%$700.49K
Alimentation Couche-Tard Inc0.20%$691.91K
Sands China Ltd0.19%$659.72K
Pound Sterling0.02%$67.86K
South Korean Won0.00%$12.76K
Constellation Software, Inc.0.00%$0
New Taiwan Dollar0.00%$0
Canadian Dollar0.00%$20
Euro Currency0.00%$21

C000007261 overview: performance, fees, allocation and SEC filings