C000007281 Holdings — MFS Core Equity Portfolio

All 169 reported holdings of MFS Core Equity Portfolio (C000007281) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
NVIDIA Corp7.31%$19.63M
Apple Inc5.89%$15.82M
Microsoft Corp4.84%$13.00M
Alphabet Inc4.46%$11.98M
Amazon.com Inc4.22%$11.32M
Broadcom Inc2.77%$7.45M
Meta Platforms Inc2.45%$6.57M
JPMorgan Chase & Co2.08%$5.58M
Johnson & Johnson2.01%$5.39M
Pfizer Inc1.86%$5.00M
Gilead Sciences Inc1.63%$4.38M
Lam Research Corp1.54%$4.13M
Mastercard Inc1.53%$4.10M
Exxon Mobil Corp1.31%$3.51M
ConocoPhillips1.14%$3.05M
KLA Corp0.97%$2.62M
PNC Financial Services Group Inc/The0.91%$2.44M
Cadence Design Systems Inc0.87%$2.33M
Caterpillar Inc0.87%$2.33M
Netflix Inc0.86%$2.30M
BJ's Wholesale Club Holdings Inc0.81%$2.18M
Medtronic PLC0.81%$2.16M
Arista Networks Inc0.78%$2.10M
T-Mobile US Inc0.77%$2.06M
Vertex Pharmaceuticals Inc0.77%$2.06M
Morgan Stanley0.74%$1.98M
Chubb Ltd0.73%$1.97M
PepsiCo Inc0.70%$1.89M
RTX Corp0.70%$1.88M
Amphenol Corp0.69%$1.84M
TJX Cos Inc/The0.68%$1.83M
Cigna Group/The0.68%$1.82M
Uber Technologies Inc0.67%$1.79M
Autodesk Inc0.66%$1.78M
GE Vernova Inc0.65%$1.75M
Wells Fargo & Co0.62%$1.68M
Intuit Inc0.62%$1.66M
Philip Morris International Inc0.62%$1.65M
Aon PLC0.61%$1.65M
Becton Dickinson & Co0.61%$1.65M
Crh PLC0.61%$1.64M
Charles Schwab Corp/The0.60%$1.62M
GFL Environmental Inc0.59%$1.59M
MFS Institutional Money Market Portfolio0.59%$1.57M
Waters Corp0.58%$1.57M
Trane Technologies PLC0.57%$1.52M
Cheniere Energy Inc0.55%$1.48M
Emerson Electric Co0.54%$1.45M
Carvana Co0.54%$1.44M
Guidewire Software Inc0.53%$1.43M
Honeywell International Inc0.53%$1.42M
PG&E Corp0.53%$1.41M
Legence Corp0.51%$1.37M
MYR Group Inc0.51%$1.37M
AMETEK Inc0.47%$1.27M
Visa Inc0.47%$1.26M
General Electric Co0.47%$1.26M
CME Group Inc0.47%$1.25M
Hilton Worldwide Holdings Inc0.46%$1.23M
Spotify Technology SA0.45%$1.22M
Digital Realty Trust Inc0.44%$1.19M
Tractor Supply Co0.44%$1.19M
KKR & Co Inc0.44%$1.18M
Sempra0.44%$1.18M
Moody's Corp0.44%$1.17M
Progressive Corp/The0.43%$1.16M
Accenture PLC0.43%$1.15M
Floor & Decor Holdings Inc0.43%$1.14M
Nordson Corp0.42%$1.14M
Linde PLC0.41%$1.11M
Seagate Technology Holdings PLC0.41%$1.10M
Boston Scientific Corp0.41%$1.09M
Curtiss-Wright Corp0.39%$1.05M
Duke Energy Corp0.39%$1.04M
Howmet Aerospace Inc0.39%$1.04M
Leidos Holdings Inc0.39%$1.04M
Valero Energy Corp0.39%$1.04M
Arthur J Gallagher & Co0.38%$1.03M
Mondelez International Inc0.38%$1.03M
WW Grainger Inc0.38%$1.01M
Steris PLC0.37%$995.53K
Federal Realty Investment Trust0.36%$958.65K
NextEra Energy Inc0.36%$958.71K
Pentair PLC0.35%$930.25K
Willis Towers Watson PLC0.34%$919.48K
General Dynamics Corp0.34%$915.02K
Aramark0.34%$899.38K
Jacobs Solutions Inc0.33%$882.56K
Starbucks Corp0.32%$855.76K
Advanced Energy Industries Inc0.32%$848.40K
Vistra Corp0.31%$837.34K
Colgate-Palmolive Co0.30%$814.37K
McKesson Corp0.30%$809.98K
TransUnion0.29%$788.70K
Aptiv PLC0.29%$788.11K
EchoStar Corp0.28%$764.47K
NNN REIT Inc0.28%$759.57K
Procter & Gamble Co/The0.28%$759.18K
Kenvue Inc0.28%$755.87K
Sherwin-Williams Co/The0.28%$748.16K
SLB Ltd0.27%$715.71K
Tyler Technologies Inc0.27%$713.18K
Okta Inc0.26%$704.53K
XPO Inc0.26%$690.07K
PulteGroup Inc0.25%$680.84K
BWX Technologies Inc0.25%$672.16K
Principal Financial Group Inc0.25%$670.51K
Albemarle Corp0.25%$668.03K
Performance Food Group Co0.24%$650.50K
Take-Two Interactive Software Inc0.24%$648.39K
Xcel Energy Inc0.24%$639.57K
Repligen Corp0.24%$636.23K
Viking Holdings Ltd0.23%$622.96K
HubSpot Inc0.23%$618.55K
Dutch Bros Inc0.23%$609.44K
Verisk Analytics Inc0.22%$597.52K
Icon PLC0.22%$591.37K
Ferguson Enterprises Inc0.22%$589.68K
MACOM Technology Solutions Holdings Inc0.22%$586.93K
Permian Resources Corp0.21%$576.28K
Illumina Inc0.21%$575.01K
EQT Corp0.21%$559.65K
Raymond James Financial Inc0.21%$552.23K
Birkenstock Holding Plc0.20%$541.71K
Evergy Inc0.20%$540.59K
Block Inc0.20%$539.03K
LKQ Corp0.20%$536.82K
Coca-Cola Europacific Partners PLC0.20%$536.13K
TechnipFMC PLC0.19%$510.25K
Humana Inc0.19%$500.75K
Avery Dennison Corp0.18%$490.93K
Prosperity Bancshares Inc0.18%$490.55K
MongoDB Inc0.18%$482.93K
RBC Bearings Inc0.18%$470.34K
Allegion plc0.17%$466.67K
Fidelity National Information Services Inc0.17%$465.63K
Assurant Inc0.17%$463.28K
Coherent Corp0.17%$449.03K
Bright Horizons Family Solutions Inc0.16%$435.70K
Everest Group Ltd0.16%$428.83K
Tyson Foods Inc0.16%$421.07K
Smurfit Westrock PLC0.16%$418.98K
Columbia Banking System Inc0.16%$418.31K
TPG Inc0.15%$412.51K
JFrog Ltd0.15%$393.09K
Northern Trust Corp0.15%$391.77K
Selective Insurance Group Inc0.15%$391.50K
Live Nation Entertainment Inc0.14%$382.80K
Zebra Technologies Corp0.14%$371.74K
Lincoln National Corp0.14%$368.13K
Highwoods Properties Inc0.13%$358.04K
Amer Sports Inc0.12%$327.49K
First Solar Inc0.11%$295.10K
Rexford Industrial Realty Inc0.11%$284.00K
Smartstop Self Storage REIT Inc0.11%$283.97K
Lumexa Imaging Holdings Inc0.11%$282.63K
Leonardo DRS Inc0.10%$281.63K
Grand Canyon Education Inc0.10%$273.92K
International Flavors & Fragrances Inc0.09%$229.33K
Celsius Holdings Inc0.08%$202.41K
DraftKings Inc0.07%$184.29K
Columbia Sportswear Co0.06%$167.44K
Phoenix Education Partners Inc0.06%$148.37K
Wolverine World Wide Inc0.06%$147.53K
Versigent Ltd0.05%$143.03K
Waystar Holding Corp0.05%$141.60K
elf Beauty Inc0.03%$91.04K
Bullish0.03%$68.32K
JP Morgan US Government Money Market Fund0.02%$57.72K

C000007281 overview: performance, fees, allocation and SEC filings