C000007306 Holdings — MFS Research Series

All 102 reported holdings of MFS Research Series (C000007306) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
NVIDIA Corp8.29%$29.22M
Apple Inc6.80%$23.95M
Microsoft Corp5.85%$20.61M
Alphabet Inc4.59%$16.16M
Amazon.com Inc4.47%$15.73M
Broadcom Inc3.07%$10.80M
Meta Platforms Inc2.82%$9.93M
Mastercard Inc2.50%$8.81M
JPMorgan Chase & Co2.47%$8.70M
Exxon Mobil Corp1.94%$6.82M
Lam Research Corp1.49%$5.24M
Johnson & Johnson1.43%$5.05M
MFS Institutional Money Market Portfolio1.25%$4.41M
RTX Corp1.24%$4.38M
Spotify Technology SA1.08%$3.81M
PNC Financial Services Group Inc/The1.04%$3.65M
Caterpillar Inc1.03%$3.61M
ConocoPhillips1.01%$3.57M
Thermo Fisher Scientific Inc1.00%$3.52M
Chubb Ltd0.99%$3.48M
Pfizer Inc0.97%$3.43M
CME Group Inc0.97%$3.41M
Charles Schwab Corp/The0.94%$3.30M
Amphenol Corp0.93%$3.28M
Aon PLC0.93%$3.28M
Morgan Stanley0.92%$3.23M
Aramark0.91%$3.20M
Gilead Sciences Inc0.90%$3.17M
Medtronic PLC0.88%$3.11M
Philip Morris International Inc0.86%$3.03M
Arista Networks Inc0.83%$2.94M
General Dynamics Corp0.82%$2.90M
Accenture PLC0.82%$2.88M
Trane Technologies PLC0.82%$2.87M
PepsiCo Inc0.81%$2.86M
Cigna Group/The0.80%$2.82M
Hilton Worldwide Holdings Inc0.76%$2.69M
Crh PLC0.75%$2.65M
TJX Cos Inc/The0.74%$2.62M
T-Mobile US Inc0.73%$2.56M
Salesforce Inc0.71%$2.50M
Waters Corp0.70%$2.48M
Howmet Aerospace Inc0.70%$2.47M
Moody's Corp0.69%$2.42M
McKesson Corp0.68%$2.41M
Progressive Corp/The0.68%$2.40M
Becton Dickinson & Co0.68%$2.40M
WW Grainger Inc0.67%$2.35M
BJ's Wholesale Club Holdings Inc0.65%$2.30M
Uber Technologies Inc0.65%$2.29M
Omnicom Group Inc0.64%$2.27M
Duke Energy Corp0.63%$2.23M
Ferguson Enterprises Inc0.62%$2.17M
Cadence Design Systems Inc0.61%$2.15M
Autodesk Inc0.61%$2.14M
Honeywell International Inc0.61%$2.14M
GE Vernova Inc0.60%$2.10M
TransUnion0.60%$2.10M
Seagate Technology Holdings PLC0.59%$2.08M
Emerson Electric Co0.59%$2.06M
Starbucks Corp0.56%$1.98M
Boston Scientific Corp0.55%$1.93M
Pentair PLC0.54%$1.90M
Coherent Corp0.53%$1.87M
Alliant Energy Corp0.53%$1.86M
NextEra Energy Inc0.52%$1.84M
Colgate-Palmolive Co0.52%$1.83M
Curtiss-Wright Corp0.50%$1.77M
US Foods Holding Corp0.49%$1.72M
GFL Environmental Inc0.48%$1.69M
Steris PLC0.47%$1.66M
PPL Corp0.47%$1.64M
Nordson Corp0.46%$1.60M
PulteGroup Inc0.44%$1.57M
Shopify Inc0.43%$1.52M
PG&E Corp0.41%$1.44M
XPO Inc0.41%$1.44M
Ingersoll Rand Inc0.40%$1.42M
Vertex Pharmaceuticals Inc0.40%$1.41M
Aptiv PLC0.40%$1.41M
Kenvue Inc0.40%$1.40M
Cognizant Technology Solutions Corp0.40%$1.40M
Mondelez International Inc0.39%$1.37M
Allegion plc0.38%$1.33M
Sherwin-Williams Co/The0.37%$1.32M
KKR & Co Inc0.36%$1.26M
Okta Inc0.36%$1.25M
Tractor Supply Co0.35%$1.22M
Willis Towers Watson PLC0.34%$1.20M
TKO Group Holdings Inc0.33%$1.17M
Viking Holdings Ltd0.33%$1.15M
Valero Energy Corp0.33%$1.15M
Floor & Decor Holdings Inc0.32%$1.12M
Humana Inc0.30%$1.06M
American Tower Corp0.25%$863.25K
EQT Corp0.21%$744.59K
Tyson Foods Inc0.21%$733.79K
Cheniere Energy Inc0.20%$704.58K
TechnipFMC PLC0.15%$533.68K
Versigent Ltd0.07%$256.16K
Estee Lauder Cos Inc/The0.07%$238.56K
Constellation Software, Inc.0.00%$0

C000007306 overview: performance, fees, allocation and SEC filings