C000007329 Holdings — MFS New Discovery Series

All 109 reported holdings of MFS New Discovery Series (C000007329) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
MFS Institutional Money Market Portfolio6.00%$42.48M
Advanced Energy Industries Inc2.53%$17.92M
QXO Inc2.13%$15.07M
nVent Electric PLC1.88%$13.29M
Bio-Techne Corp1.81%$12.83M
Ligand Pharmaceuticals Inc1.80%$12.77M
Modine Manufacturing Co1.71%$12.11M
CACI International Inc1.69%$11.96M
Littelfuse Inc1.66%$11.79M
MACOM Technology Solutions Holdings Inc1.64%$11.63M
Charles River Laboratories International Inc1.63%$11.53M
Element Solutions Inc1.61%$11.37M
Legence Corp1.52%$10.74M
Primoris Services Corp1.48%$10.52M
Integer Holdings Corp1.48%$10.52M
Leonardo DRS Inc1.48%$10.46M
FormFactor Inc1.42%$10.06M
Chefs' Warehouse Inc/The1.41%$10.02M
TopBuild Corp1.38%$9.80M
Flowserve Corp1.34%$9.52M
Knife River Corp1.33%$9.42M
Terreno Realty Corp1.32%$9.34M
TTM Technologies Inc1.31%$9.31M
Waystar Holding Corp1.30%$9.18M
XPO Inc1.29%$9.17M
Amprius Technologies Inc1.28%$9.08M
Crane Co1.28%$9.04M
JFrog Ltd1.23%$8.70M
nLight Inc1.21%$8.55M
PJT Partners Inc1.19%$8.40M
Merit Medical Systems Inc1.15%$8.18M
Ollie's Bargain Outlet Holdings Inc1.14%$8.11M
Schrodinger Inc/United States1.13%$7.98M
Bloom Energy Corp1.11%$7.87M
TechnipFMC PLC1.09%$7.72M
SSR Mining Inc1.04%$7.39M
Box Inc1.00%$7.12M
Ionis Pharmaceuticals Inc1.00%$7.11M
CCC Intelligent Solutions Holdings Inc1.00%$7.09M
Simpson Manufacturing Co Inc1.00%$7.08M
Finning International Inc1.00%$7.06M
Collegium Pharmaceutical Inc0.99%$6.98M
James Hardie Industries PLC0.98%$6.94M
Ascendis Pharma A/S0.95%$6.72M
Oceaneering International Inc0.91%$6.43M
UFP Technologies Inc0.87%$6.13M
StandardAero Inc0.85%$6.00M
Antero Resources Corp0.83%$5.88M
Dutch Bros Inc0.83%$5.86M
BioLife Solutions Inc0.82%$5.82M
Patrick Industries Inc0.81%$5.75M
Guardant Health Inc0.81%$5.73M
Azenta Inc0.81%$5.71M
Sportradar Group AG0.80%$5.63M
Birkenstock Holding Plc0.78%$5.53M
Uranium Energy Corp0.76%$5.40M
Globus Medical Inc0.76%$5.36M
Brunswick Corp/DE0.75%$5.34M
JP Morgan US Government Money Market Fund0.74%$5.28M
Alkami Technology Inc0.74%$5.21M
Kiniksa Pharmaceuticals International Plc0.73%$5.19M
WisdomTree Inc0.73%$5.17M
Q2 Holdings Inc0.72%$5.12M
Covista Inc0.72%$5.07M
GeneDx Holdings Corp0.70%$4.97M
Cytokinetics Inc0.68%$4.82M
Viper Energy Inc0.67%$4.77M
Knight-Swift Transportation Holdings Inc0.67%$4.74M
IRhythm Holdings Inc0.67%$4.72M
Matador Resources Co0.66%$4.69M
US Foods Holding Corp0.66%$4.65M
Genius Sports Ltd0.66%$4.65M
Columbia Sportswear Co0.63%$4.46M
Permian Resources Corp0.63%$4.45M
GFL Environmental Inc0.61%$4.35M
Visteon Corp0.61%$4.34M
Cogent Biosciences Inc0.61%$4.33M
Wix.com Ltd0.59%$4.18M
Advanced Drainage Systems Inc0.58%$4.13M
Kymera Therapeutics Inc0.57%$4.00M
Hamilton Lane Inc0.56%$3.94M
Adaptive Biotechnologies Corp0.56%$3.93M
Mirion Technologies Inc0.55%$3.89M
Karman Holdings Inc0.54%$3.85M
AtriCure Inc0.50%$3.51M
Independence Realty Trust Inc0.49%$3.45M
Corsair Gaming Inc0.47%$3.35M
GCM Grosvenor Inc0.47%$3.31M
Neurocrine Biosciences Inc0.46%$3.27M
Immunocore Holdings PLC0.43%$3.08M
York Space Systems Inc0.41%$2.88M
Miami International Holdings Inc0.39%$2.78M
Legend Biotech Corp0.39%$2.75M
Pulse Biosciences Inc0.37%$2.64M
Once Upon a Farm PBC0.36%$2.59M
PROCEPT BioRobotics Corp0.35%$2.50M
CG oncology Inc0.35%$2.45M
Ceribell Inc0.34%$2.39M
Black Rock Coffee Bar Inc0.32%$2.26M
Harmony Biosciences Holdings Inc0.26%$1.83M
Billiontoone Inc0.21%$1.50M
Tempus AI Inc0.20%$1.42M
Absci Corp0.19%$1.36M
Ultragenyx Pharmaceutical Inc0.19%$1.33M
Annexon Inc0.18%$1.29M
Caris Life Sciences Inc0.16%$1.14M
Beta Technologies Inc0.12%$875.77K
Contra Blueprint Medic0.00%$0
Optinose, Inc.0.00%$0

C000007329 overview: performance, fees, allocation and SEC filings