C000007326 Holdings — MFS Mid Cap Growth Series

All 106 reported holdings of MFS Mid Cap Growth Series (C000007326) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Howmet Aerospace Inc4.15%$13.25M
Monolithic Power Systems Inc3.31%$10.56M
Quanta Services Inc2.89%$9.23M
Take-Two Interactive Software Inc2.89%$9.23M
Cheniere Energy Inc2.57%$8.21M
Live Nation Entertainment Inc2.56%$8.17M
Masimo Corp2.34%$7.46M
Ascendis Pharma A/S2.27%$7.24M
TKO Group Holdings Inc2.26%$7.22M
Natera Inc2.22%$7.10M
Burlington Stores Inc2.11%$6.75M
LPL Financial Holdings Inc2.11%$6.74M
Vistra Corp1.92%$6.13M
Nasdaq Inc1.75%$5.58M
Cloudflare Inc1.66%$5.29M
Axon Enterprise Inc1.59%$5.07M
Viking Holdings Ltd1.52%$4.87M
MFS Institutional Money Market Portfolio1.52%$4.85M
Vulcan Materials Co1.50%$4.78M
Cameco Corp1.44%$4.58M
ROBLOX Corp1.41%$4.49M
CBRE Group Inc1.40%$4.46M
Carvana Co1.39%$4.43M
Carlyle Group Inc/The1.38%$4.41M
Hyatt Hotels Corp1.36%$4.35M
Curtiss-Wright Corp1.30%$4.16M
EMCOR Group Inc1.27%$4.04M
O'Reilly Automotive Inc1.23%$3.94M
Agilent Technologies Inc1.14%$3.65M
Tapestry Inc1.12%$3.58M
Steris PLC1.12%$3.56M
Wingstop Inc1.11%$3.56M
BWX Technologies Inc1.11%$3.54M
Ciena Corp1.06%$3.40M
Expand Energy Corp1.04%$3.32M
Guidewire Software Inc1.02%$3.26M
Vertiv Holdings Co1.02%$3.25M
Trimble Inc1.01%$3.23M
Coherent Corp1.00%$3.18M
Hexcel Corp0.94%$3.01M
Hubbell Inc0.94%$2.99M
ASM International NV0.94%$2.99M
Okta Inc0.91%$2.91M
GFL Environmental Inc0.87%$2.78M
Waters Corp0.86%$2.76M
Alnylam Pharmaceuticals Inc0.85%$2.72M
DraftKings Inc0.84%$2.68M
RBC Bearings Inc0.83%$2.66M
Seagate Technology Holdings PLC0.83%$2.65M
Jabil Inc0.80%$2.56M
Coupang Inc0.80%$2.54M
Repligen Corp0.80%$2.54M
Royal Caribbean Cruises Ltd0.79%$2.51M
Aramark0.78%$2.50M
Carnival Corp0.78%$2.48M
AMETEK Inc0.76%$2.42M
Cadence Design Systems Inc0.76%$2.42M
Bio-Techne Corp0.73%$2.34M
Performance Food Group Co0.72%$2.29M
Medline Inc0.72%$2.29M
Woodward Inc0.64%$2.05M
Antero Resources Corp0.62%$1.97M
Bio-Rad Laboratories Inc0.60%$1.93M
Celsius Holdings Inc0.59%$1.87M
Charles River Laboratories International Inc0.58%$1.85M
Datadog Inc0.54%$1.74M
Dexcom Inc0.54%$1.71M
Huntington Ingalls Industries Inc0.52%$1.67M
Amer Sports Inc0.51%$1.63M
Sportradar Group AG0.47%$1.51M
Applied Industrial Technologies Inc0.45%$1.45M
Spotify Technology SA0.43%$1.38M
DT Midstream Inc0.42%$1.33M
Illumina Inc0.41%$1.31M
Modine Manufacturing Co0.40%$1.29M
VF Corp0.40%$1.27M
Robinhood Markets Inc0.39%$1.25M
TransUnion0.39%$1.25M
Generac Holdings Inc0.38%$1.22M
Fifth Third Bancorp0.36%$1.16M
MongoDB Inc0.36%$1.16M
Ovintiv Inc0.36%$1.15M
MACOM Technology Solutions Holdings Inc0.35%$1.11M
Nordson Corp0.35%$1.11M
Ares Management Corp0.34%$1.09M
Liberty Media Corp-Liberty Formula One0.34%$1.08M
Lincoln Electric Holdings Inc0.33%$1.06M
Bloom Energy Corp0.32%$1.01M
Ingersoll Rand Inc0.31%$1.00M
TechnipFMC PLC0.30%$972.52K
Donaldson Co Inc0.30%$951.31K
Ferguson Enterprises Inc0.28%$901.08K
Alcoa Corp0.28%$893.07K
Floor & Decor Holdings Inc0.25%$794.51K
Tractor Supply Co0.24%$757.19K
Alamos Gold Inc0.23%$749.12K
Cava Group Inc0.22%$690.32K
Grab Holdings Ltd0.21%$664.54K
TopBuild Corp0.17%$555.41K
Antofagasta PLC0.17%$546.56K
BJ's Wholesale Club Holdings Inc0.11%$354.02K
New York Times Co/The0.10%$315.16K
Venture Global Inc0.09%$280.18K
MiniMed Group Inc0.08%$270.87K
Canadian Dollar0.00%$21
Constellation Software, Inc.0.00%$0

C000007326 overview: performance, fees, allocation and SEC filings