C000007285 Holdings — MFS Emerging Markets Equity Portfolio

All 102 reported holdings of MFS Emerging Markets Equity Portfolio (C000007285) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Taiwan Semiconductor Manufacturing Co Ltd9.63%$3.90M
Samsung Electronics Co Ltd7.14%$2.89M
Tencent Holdings Ltd5.69%$2.30M
Alibaba Group Holding Ltd2.85%$1.15M
HDFC Bank Ltd2.52%$1.02M
Hon Hai Precision Industry Co Ltd2.44%$986.75K
MediaTek Inc2.03%$823.16K
Kweichow Moutai Co Ltd1.82%$737.35K
ASE Technology Holding Co Ltd1.79%$724.01K
China Construction Bank Corp1.78%$720.81K
Delta Electronics Inc1.65%$667.62K
Reliance Industries Ltd1.55%$627.61K
MFS Institutional Money Market Portfolio1.55%$627.10K
B3 SA - Brasil Bolsa Balcao1.46%$591.45K
China Merchants Bank Co Ltd1.42%$574.59K
Wal-Mart de Mexico SAB de CV1.38%$557.68K
Midea Group Co Ltd1.34%$544.34K
Meituan1.34%$541.20K
Mahindra & Mahindra Ltd1.30%$526.24K
Weg SA1.30%$525.87K
Infosys Ltd1.23%$496.56K
Ping An Insurance Group Co of China Ltd1.20%$487.40K
PDD Holdings Inc1.19%$482.09K
Samsung E&A Co Ltd1.17%$473.65K
Kasikornbank PCL1.13%$459.26K
Lenovo Group Ltd1.11%$451.57K
Saudi National Bank/The1.11%$451.34K
China Resources Beer Holdings Co Ltd1.10%$445.58K
Vale SA1.10%$444.13K
Gold Fields Ltd1.06%$428.58K
NetEase Inc1.05%$424.59K
Saudi Awwal Bank1.03%$416.02K
AIA Group Ltd1.03%$415.65K
Samsung Fire & Marine Insurance Co Ltd0.96%$387.05K
Bank Central Asia Tbk PT0.91%$369.21K
EPAM Systems Inc0.90%$365.72K
ITC Ltd0.87%$353.85K
BIM Birlesik Magazalar AS0.83%$337.98K
Kotak Mahindra Bank Ltd0.79%$319.60K
Tata Consultancy Services Ltd0.78%$316.10K
United Tractors Tbk PT0.78%$315.72K
Gruma SAB de CV0.77%$311.36K
Sands China Ltd0.77%$311.16K
Adnoc Gas PLC0.75%$303.94K
Bangkok Bank PCL0.75%$302.91K
Techtronic Industries Co Ltd0.74%$299.49K
Etihad Etisalat Co0.73%$295.56K
NTPC Ltd0.71%$287.01K
Samsung Electronics Co Ltd0.69%$279.23K
SK hynix Inc0.69%$279.02K
ADNOC Drilling Co PJSC0.69%$278.28K
Largan Precision Co Ltd0.69%$277.92K
Kingsoft Corp Ltd0.67%$273.07K
KOC Holding AS0.67%$269.62K
LG Corp0.67%$269.60K
Orion Corp/Republic of Korea0.66%$265.43K
Xiaomi Corp0.64%$260.00K
WuXi AppTec Co Ltd0.62%$249.30K
National Bank of Greece SA0.60%$243.37K
Petroleo Brasileiro SA - Petrobras0.59%$237.98K
Inner Mongolia Yili Industrial Group Co Ltd0.58%$233.66K
Trip.com Group Ltd0.57%$232.46K
Hindustan Unilever Ltd0.55%$223.80K
Totvs SA0.55%$223.27K
Industries Qatar QSC0.54%$217.04K
MakeMyTrip Ltd0.53%$215.50K
Hyundai Marine & Fire Insurance Co Ltd0.53%$214.14K
Credicorp Ltd0.50%$204.19K
ANTA Sports Products Ltd0.50%$200.81K
Ambev SA0.49%$197.55K
Grupo Financiero Banorte SAB de CV0.49%$196.93K
UPL Ltd0.47%$190.29K
Hangzhou Tigermed Consulting Co Ltd0.45%$183.48K
JP Morgan US Government Money Market Fund0.45%$181.80K
Bharat Petroleum Corp Ltd0.45%$181.37K
China Resources Gas Group Ltd0.42%$171.96K
Anhui Conch Cement Co Ltd0.41%$167.08K
Galp Energia SGPS SA0.41%$166.69K
Emaar Properties PJSC0.41%$166.11K
Petronet LNG Ltd0.39%$159.62K
Hellenic Telecommunications Organization SA0.39%$156.53K
Bank Negara Indonesia Persero Tbk PT0.38%$153.97K
Saudi Tadawul Group Holding Co0.38%$151.96K
Bandhan Bank Ltd0.37%$150.97K
Doosan Bobcat Inc0.36%$145.17K
Dabur India Ltd0.36%$144.12K
Astra International Tbk PT0.35%$140.82K
Emirates NBD Bank PJSC0.35%$140.51K
Hugel Inc0.34%$135.91K
Maruti Suzuki India Ltd0.30%$122.40K
Bumrungrad Hospital PCL0.27%$109.23K
State Bank of India0.27%$109.18K
SM Investments Corp0.16%$64.50K
Kwality Wall's India Ltd0.01%$2.31K
Thailand Baht0.00%$328
Indian Rupee0.00%$173
New Taiwan Dollar0.00%$0
Sberbank of Russia PJSC0.00%$0
Brazilian Real0.00%$18
South Korean Won0.00%$2
Mexican Peso (new)0.00%$0
Indonesian Rupiah0.00%$0

C000007285 overview: performance, fees, allocation and SEC filings