C000007318 Holdings — MFS Global Equity Series

All 85 reported holdings of MFS Global Equity Series (C000007318) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Microsoft Corp4.34%$1.63M
Amazon.com Inc3.95%$1.48M
Alphabet Inc3.54%$1.33M
Visa Inc3.28%$1.23M
Charles Schwab Corp/The2.66%$1.00M
Schneider Electric SE2.52%$946.24K
Willis Towers Watson PLC2.44%$916.58K
Broadcom Inc2.37%$890.77K
Medtronic PLC2.35%$881.66K
Thermo Fisher Scientific Inc2.19%$823.80K
Becton Dickinson & Co1.93%$724.20K
Honeywell International Inc1.84%$692.10K
UBS Group AG1.78%$668.12K
Canadian Pacific Kansas City Ltd1.68%$629.83K
Linde PLC1.66%$625.15K
Waters Corp1.61%$603.64K
Legrand SA1.53%$576.53K
LVMH Moet Hennessy Louis Vuitton SE1.50%$565.31K
Pernod Ricard SA1.49%$560.24K
TransUnion1.45%$543.83K
Melrose Industries PLC1.40%$526.85K
American Express Co1.39%$521.78K
Merck KGaA1.37%$512.78K
Symrise AG1.34%$502.85K
Amadeus IT Group SA1.33%$500.81K
Taiwan Semiconductor Manufacturing Co Ltd1.27%$476.51K
Davide Campari-Milano NV1.24%$464.97K
London Stock Exchange Group PLC1.22%$459.63K
Accenture PLC1.22%$458.64K
Arista Networks Inc1.22%$456.74K
Cooper Cos Inc/The1.20%$449.16K
Experian PLC1.19%$446.72K
Haleon PLC1.16%$437.21K
Union Pacific Corp1.16%$436.72K
International Flavors & Fragrances Inc1.15%$431.82K
Roche Holding AG1.10%$415.00K
Aon PLC1.07%$403.48K
Cie Financiere Richemont SA1.07%$400.22K
Steris PLC1.06%$399.14K
MFS Institutional Money Market Portfolio1.06%$398.46K
Sage Group PLC/The1.04%$389.10K
Air Products and Chemicals Inc1.03%$386.06K
BNP Paribas SA1.02%$383.71K
Amphenol Corp1.00%$375.76K
Air Liquide SA0.97%$365.86K
Cellnex Telecom SA0.97%$364.41K
Crh PLC0.96%$359.41K
Diageo PLC0.95%$357.56K
Rolls-Royce Holdings PLC0.94%$352.94K
Deutsche Boerse AG0.90%$339.29K
Aena SME SA0.89%$334.02K
James Hardie Industries PLC0.89%$332.95K
Samsung Electronics Co Ltd0.87%$326.21K
Carrier Global Corp0.87%$325.08K
Dassault Systemes SE0.85%$320.28K
National Bank of Greece SA0.85%$319.81K
Abbott Laboratories0.85%$318.59K
Seven & i Holdings Co Ltd0.85%$317.64K
Check Point Software Technologies Ltd0.81%$305.41K
Canadian National Railway Co0.78%$291.97K
Goldman Sachs Group Inc/The0.72%$269.02K
MTU Aero Engines AG0.70%$263.00K
Gilead Sciences Inc0.70%$261.88K
Hoya Corp0.69%$258.74K
Olympus Corp0.63%$238.01K
Erste Group Bank AG0.60%$224.76K
Aptiv PLC0.58%$217.56K
FUJIFILM Holdings Corp0.57%$212.86K
Carlsberg AS0.56%$210.87K
TotalEnergies SE0.56%$209.78K
Intertek Group PLC0.54%$202.49K
Burberry Group PLC0.50%$189.45K
Julius Baer Group Ltd0.45%$169.63K
Beazley PLC0.44%$166.03K
Marriott International Inc/MD0.42%$156.67K
Microchip Technology Inc0.39%$148.09K
Equifax Inc0.36%$135.95K
Grupo Financiero Banorte SAB de CV0.34%$128.18K
Whitbread PLC0.30%$110.92K
Salesforce Inc0.29%$110.14K
Hermes International SCA0.29%$108.86K
Heineken NV0.26%$96.65K
Versigent Ltd0.11%$39.48K
South Korean Won0.00%$0
Euro Currency0.00%$0

C000007318 overview: performance, fees, allocation and SEC filings