C000007289 Holdings — MFS Global Growth Portfolio

All 78 reported holdings of MFS Global Growth Portfolio (C000007289) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Taiwan Semiconductor Manufacturing Co Ltd6.47%$2.84M
Microsoft Corp4.39%$1.93M
NVIDIA Corp4.16%$1.83M
Alphabet Inc3.63%$1.60M
Visa Inc3.12%$1.37M
Tencent Holdings Ltd2.74%$1.21M
Apple Inc2.55%$1.12M
Kweichow Moutai Co Ltd2.40%$1.05M
Aon PLC2.36%$1.04M
Amphenol Corp2.33%$1.02M
TransUnion2.16%$949.77K
CMS Energy Corp2.13%$935.77K
HDFC Bank Ltd2.08%$914.15K
Schneider Electric SE2.06%$903.39K
Moody's Corp1.99%$872.94K
L'Oreal SA1.94%$851.30K
Hubbell Inc1.91%$837.20K
Hilton Worldwide Holdings Inc1.89%$829.83K
Church & Dwight Co Inc1.87%$821.78K
Amazon.com Inc1.84%$806.63K
Agilent Technologies Inc1.82%$797.75K
Accenture PLC1.78%$782.85K
Steris PLC1.74%$765.99K
Eaton Corp PLC1.67%$733.22K
Boston Scientific Corp1.62%$712.15K
Mastercard Inc1.59%$700.52K
Danaher Corp1.54%$677.25K
Daikin Industries Ltd1.49%$655.11K
Verisk Analytics Inc1.47%$646.29K
LVMH Moet Hennessy Louis Vuitton SE1.46%$640.36K
Intuit Inc1.43%$627.82K
Waters Corp1.37%$603.04K
Becton Dickinson & Co1.31%$577.03K
Keyence Corp1.29%$566.65K
Mettler-Toledo International Inc1.29%$565.02K
TJX Cos Inc/The1.22%$537.55K
MFS Institutional Money Market Portfolio1.10%$483.38K
Obic Co Ltd1.09%$480.06K
London Stock Exchange Group PLC1.09%$479.36K
Ross Stores Inc1.02%$449.51K
Thermo Fisher Scientific Inc1.02%$446.31K
TE Connectivity PLC0.99%$435.39K
Experian PLC0.96%$420.44K
Sherwin-Williams Co/The0.94%$414.47K
Charles Schwab Corp/The0.93%$407.97K
CME Group Inc0.90%$394.00K
Otis Worldwide Corp0.85%$372.30K
Brookfield Asset Management Ltd0.80%$353.64K
Atlas Copco AB0.79%$347.87K
Cellnex Telecom SA0.78%$343.31K
Graco Inc0.69%$304.91K
Sika AG0.68%$300.85K
CGI Inc0.68%$299.38K
Pool Corp0.65%$286.50K
Nomura Research Institute Ltd0.64%$279.85K
Stryker Corp0.62%$272.40K
Salesforce Inc0.54%$235.58K
Canadian Pacific Kansas City Ltd0.48%$209.79K
Nestle SA0.37%$163.86K
PepsiCo Inc0.37%$160.73K
Starbucks Corp0.36%$156.96K
Marsh & McLennan Cos Inc0.30%$133.21K
Dollarama Inc0.29%$128.62K
McCormick & Co Inc/MD0.27%$117.32K
American Tower Corp0.24%$105.96K
NAVER Corp0.22%$96.93K
Wolters Kluwer NV0.22%$96.65K
Analog Devices Inc0.22%$95.12K
Credicorp Ltd0.16%$70.21K
Texas Instruments Inc0.12%$51.84K
Veeva Systems Inc0.11%$46.55K
B&M European Value Retail plc0.10%$45.57K
Thomson Reuters Corp0.09%$40.44K
Walt Disney Co/The0.07%$32.09K
Icon PLC0.06%$24.68K
Euro Currency0.00%$3
South Korean Won0.00%$0
Indian Rupee0.00%$7

C000007289 overview: performance, fees, allocation and SEC filings