C000007271 Holdings — MFS Technology Portfolio

All 48 reported holdings of MFS Technology Portfolio (C000007271) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
NVIDIA Corp10.20%$19.95M
Apple Inc9.39%$18.36M
Alphabet Inc9.32%$18.23M
Broadcom Inc7.60%$14.86M
Microsoft Corp7.01%$13.71M
Meta Platforms Inc4.49%$8.78M
Shopify Inc4.11%$8.04M
Advanced Micro Devices Inc3.41%$6.67M
Lam Research Corp3.06%$5.98M
Applied Materials Inc2.60%$5.07M
Cisco Systems Inc2.58%$5.05M
MFS Institutional Money Market Portfolio2.21%$4.32M
Hitachi Ltd2.04%$3.99M
Oracle Corp1.95%$3.81M
International Business Machines Corp1.92%$3.75M
KLA Corp1.89%$3.70M
Taiwan Semiconductor Manufacturing Co Ltd1.87%$3.66M
Arista Networks Inc1.73%$3.38M
Accenture PLC1.58%$3.09M
Teradyne Inc1.37%$2.67M
Intuit Inc1.30%$2.53M
Coherent Corp1.25%$2.45M
Texas Instruments Inc1.25%$2.44M
Cadence Design Systems Inc1.22%$2.38M
Crowdstrike Holdings Inc1.19%$2.32M
Pegasystems Inc1.08%$2.11M
Seagate Technology Holdings PLC1.05%$2.06M
Corning Inc1.03%$2.01M
Constellation Software Inc/Canada1.02%$1.99M
EPAM Systems Inc0.84%$1.65M
Globalwafers Co Ltd0.82%$1.60M
JFrog Ltd0.78%$1.53M
Amphenol Corp0.75%$1.46M
Tyler Technologies Inc0.74%$1.44M
MongoDB Inc0.73%$1.42M
Verisk Analytics Inc0.65%$1.28M
Autodesk Inc0.63%$1.24M
Snowflake Inc0.49%$964.49K
Datadog Inc0.49%$954.79K
Aon PLC0.48%$940.58K
Analog Devices Inc0.46%$903.84K
HubSpot Inc0.44%$855.81K
ServiceTitan Inc0.41%$798.01K
Intel Corp0.37%$731.63K
New Taiwan Dollar0.00%$7.44K
Figma Inc0.00%$7.46K
Canadian Dollar0.00%$6
Constellation Software, Inc.0.00%$0

C000007271 overview: performance, fees, allocation and SEC filings