C000007316 Holdings — MFS Growth Series

All 69 reported holdings of MFS Growth Series (C000007316) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
NVIDIA Corp14.51%$280.60M
Microsoft Corp9.46%$183.06M
Apple Inc9.34%$180.65M
Alphabet Inc7.87%$152.20M
Amazon.com Inc6.37%$123.22M
Mastercard Inc3.13%$60.64M
Broadcom Inc2.94%$56.94M
Meta Platforms Inc2.91%$56.34M
GE Vernova Inc2.52%$48.81M
Amphenol Corp1.69%$32.66M
Thermo Fisher Scientific Inc1.58%$30.55M
Howmet Aerospace Inc1.54%$29.73M
General Electric Co1.53%$29.58M
Taiwan Semiconductor Manufacturing Co Ltd1.51%$29.12M
Hilton Worldwide Holdings Inc1.27%$24.51M
Autodesk Inc1.25%$24.24M
Spotify Technology SA1.14%$22.05M
Danaher Corp1.11%$21.54M
Medtronic PLC1.09%$21.06M
MFS Institutional Money Market Portfolio1.07%$20.78M
KLA Corp1.05%$20.41M
Nasdaq Inc1.02%$19.81M
Gilead Sciences Inc0.96%$18.66M
Arista Networks Inc0.87%$16.85M
Starbucks Corp0.86%$16.67M
Monster Beverage Corp0.83%$15.98M
Philip Morris International Inc0.80%$15.54M
Cadence Design Systems Inc0.79%$15.35M
Seagate Technology Holdings PLC0.79%$15.20M
AppLovin Corp0.77%$14.88M
Shopify Inc0.73%$14.10M
Goldman Sachs Group Inc/The0.71%$13.83M
Uber Technologies Inc0.68%$13.17M
Vulcan Materials Co0.67%$12.92M
Trane Technologies PLC0.66%$12.83M
Abbott Laboratories0.65%$12.66M
Cheniere Energy Inc0.64%$12.30M
LPL Financial Holdings Inc0.63%$12.25M
Applied Materials Inc0.62%$12.09M
Take-Two Interactive Software Inc0.62%$12.03M
O'Reilly Automotive Inc0.61%$11.85M
Linde PLC0.60%$11.55M
Caterpillar Inc0.59%$11.43M
Airbnb Inc0.58%$11.17M
Boston Scientific Corp0.57%$11.10M
Eaton Corp PLC0.52%$10.00M
KKR & Co Inc0.52%$9.96M
Snowflake Inc0.47%$9.07M
RTX Corp0.43%$8.23M
CBRE Group Inc0.42%$8.18M
TKO Group Holdings Inc0.42%$8.09M
Agilent Technologies Inc0.42%$8.09M
Guidewire Software Inc0.42%$8.03M
Medline Inc0.41%$7.85M
Emerson Electric Co0.36%$7.02M
ASML Holding NV0.33%$6.38M
Curtiss-Wright Corp0.33%$6.29M
Sap SE0.30%$5.77M
Ferguson Enterprises Inc0.29%$5.53M
PNC Financial Services Group Inc/The0.28%$5.49M
Axon Enterprise Inc0.28%$5.46M
Synopsys Inc0.28%$5.39M
Ingersoll Rand Inc0.27%$5.19M
MongoDB Inc0.22%$4.20M
Moody's Corp0.22%$4.18M
Verisk Analytics Inc0.22%$4.17M
Vistra Corp0.20%$3.78M
Ares Management Corp0.16%$3.06M
CoStar Group Inc0.08%$1.48M

C000007316 overview: performance, fees, allocation and SEC filings