MAGEX Holdings — MFS Growth Allocation Fund

All 22 reported holdings of MFS Growth Allocation Fund (MAGEX) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
MFS Value Fund9.93%$671.30M
MFS Research Fund9.43%$637.58M
MFS Growth Fund9.41%$636.68M
MFS Mid Cap Value Fund9.08%$614.01M
MFS Mid Cap Growth Fund8.91%$602.86M
MFS Research International Fund7.25%$490.23M
MFS Inflation Adjusted Bond Fund4.92%$332.60M
MFS Global Real Estate Fund4.01%$270.85M
MFS Commodity Strategy Fund3.98%$268.85M
MFS High Income Fund3.94%$266.68M
MFS International Large Cap Value Fund3.13%$211.75M
MFS International Intrinsic Equity Fund3.11%$210.28M
MFS International Growth Fund3.09%$209.13M
MFS Emerging Markets Debt Fund2.99%$201.98M
MFS Global Opportunistic Bond Fund2.95%$199.18M
MFS Research Bond Fund2.50%$169.22M
MFS Emerging Markets Equity Fund2.15%$145.12M
MFS International New Discovery Fund2.08%$140.80M
MFS New Discovery Fund2.05%$138.91M
MFS New Discovery Value Fund2.00%$135.26M
MFS Emerging Markets Debt Local Currency Fund1.97%$133.25M
MFS Institutional Money Market Portfolio1.03%$69.91M

MAGEX overview: performance, fees, allocation and SEC filings