SCDSX Holdings — MFS New Discovery Value Portfolio

All 146 reported holdings of MFS New Discovery Value Portfolio (SCDSX) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
JP Morgan US Government Money Market Fund3.71%$1.72M
MFS Institutional Money Market Portfolio1.47%$682.95K
Element Solutions Inc1.38%$642.57K
Prosperity Bancshares Inc1.24%$577.74K
Cathay General Bancorp1.24%$577.68K
Columbia Banking System Inc1.23%$569.14K
United Community Banks Inc/GA1.22%$566.18K
First Interstate BancSystem Inc1.20%$555.80K
First Hawaiian Inc1.18%$549.76K
Plains GP Holdings LP1.18%$549.72K
M/I Homes Inc1.18%$548.94K
Hancock Whitney Corp1.17%$543.74K
Popular Inc1.15%$534.90K
CVB Financial Corp1.14%$528.66K
Ligand Pharmaceuticals Inc1.10%$511.12K
Portland General Electric Co1.06%$492.44K
Eastern Bankshares Inc1.04%$482.50K
Digi International Inc1.00%$465.29K
UMB Financial Corp0.99%$458.97K
Chefs' Warehouse Inc/The0.97%$451.77K
Riot Platforms Inc0.97%$449.96K
Northwestern Energy Group Inc0.95%$441.82K
Albany International Corp0.94%$434.41K
Timken Co/The0.93%$433.05K
Texas Capital Bancshares Inc0.93%$431.01K
Janus Living Inc0.92%$427.19K
Central BanCo Inc0.92%$426.84K
MYR Group Inc0.91%$423.84K
Independence Realty Trust Inc0.91%$422.69K
Southwest Gas Holdings Inc0.90%$418.13K
Esab Corp0.90%$417.40K
Hayward Holdings Inc0.87%$401.64K
Terex Corp0.86%$399.01K
Hanover Insurance Group Inc/The0.85%$395.05K
Quaker Chemical Corp0.85%$394.32K
Iridium Communications Inc0.84%$388.78K
Essential Properties Realty Trust Inc0.84%$387.72K
Spire Inc0.83%$384.52K
Selective Insurance Group Inc0.82%$382.70K
East West Bancorp Inc0.82%$381.72K
ACI Worldwide Inc0.82%$380.90K
Acadia Realty Trust0.81%$377.43K
Integer Holdings Corp0.81%$375.39K
Cousins Properties Inc0.81%$374.99K
Life Time Group Holdings Inc0.81%$373.93K
Concentra Group Holdings Parent Inc0.79%$365.45K
Expro Group Holdings NV0.79%$364.61K
Nexstar Media Group Inc0.79%$364.32K
Community Financial System Inc0.78%$361.64K
Antero Resources Corp0.78%$360.43K
Mirum Pharmaceuticals Inc0.77%$356.24K
BancFirst Corp0.77%$355.73K
SSR Mining Inc0.77%$355.59K
Lumexa Imaging Holdings Inc0.75%$349.13K
Avient Corp0.75%$347.76K
Matador Resources Co0.74%$344.78K
Axis Capital Holdings Ltd0.74%$344.24K
Beacon Financial Corp0.74%$343.63K
Permian Resources Corp0.74%$342.39K
ONE Gas Inc0.74%$341.50K
Urban Edge Properties0.73%$336.75K
Prestige Consumer Healthcare Inc0.72%$335.33K
Simmons First National Corp0.72%$333.86K
Patrick Industries Inc0.70%$327.07K
Hillman Solutions Corp0.70%$326.87K
UFP Technologies Inc0.70%$325.58K
TechnipFMC PLC0.69%$322.09K
California Resources Corp0.68%$316.59K
Wyndham Hotels & Resorts Inc0.68%$314.86K
SLM Corp0.68%$314.29K
Insight Enterprises Inc0.68%$313.51K
Vontier Corp0.67%$312.74K
GFL Environmental Inc0.67%$312.60K
Lincoln National Corp0.66%$307.72K
Meritage Homes Corp0.66%$307.48K
Visteon Corp0.66%$305.27K
Belden Inc0.66%$304.45K
Brunswick Corp/DE0.65%$302.67K
Plexus Corp0.65%$300.67K
Envista Holdings Corp0.64%$295.33K
Silgan Holdings Inc0.63%$294.25K
TriMas Corp0.63%$293.69K
Kadant Inc0.63%$291.92K
Group 1 Automotive Inc0.62%$289.13K
Hexcel Corp0.62%$288.37K
Smartstop Self Storage REIT Inc0.60%$279.63K
Rexford Industrial Realty Inc0.59%$275.10K
Four Corners Property Trust Inc0.59%$274.35K
Alliance Laundry Holdings Inc0.59%$273.21K
Kirby Corp0.59%$273.16K
Rush Enterprises Inc0.59%$272.74K
MiniMed Group Inc0.57%$263.79K
Applied Aerospace & Defense Inc0.56%$261.31K
Nomad Foods Ltd0.56%$258.66K
Ionis Pharmaceuticals Inc0.55%$255.87K
Synaptics Inc0.55%$254.55K
Cushman & Wakefield Ltd0.55%$253.55K
Bob's Discount Furniture Inc0.55%$253.28K
Stewart Information Services Corp0.54%$252.79K
UGI Corp0.54%$252.31K
Collegium Pharmaceutical Inc0.54%$250.79K
Brookfield Infrastructure Corp0.54%$249.79K
ArcBest Corp0.53%$247.75K
Atmus Filtration Technologies Inc0.53%$246.64K
Herc Holdings Inc0.53%$245.97K
Alaska Air Group Inc0.53%$244.56K
Cytokinetics Inc0.52%$242.37K
ACADIA Pharmaceuticals Inc0.52%$241.82K
Blackstone Digital Infrastructure Trust Inc0.52%$240.14K
Ridgepost Capital Inc0.51%$235.75K
Covista Inc0.51%$235.36K
Advanced Energy Industries Inc0.51%$234.54K
Ashland Inc0.50%$233.25K
Lincoln International Inc0.48%$225.00K
Core Natural Resources Inc0.48%$223.34K
Azenta Inc0.47%$220.01K
Ducommun Inc0.47%$216.88K
Columbia Sportswear Co0.46%$212.78K
Option Care Health Inc0.45%$209.87K
Yesway Inc0.45%$207.34K
EchoStar Corp0.45%$206.86K
MDU Resources Group Inc0.44%$205.91K
PennyMac Financial Services Inc0.44%$205.29K
Oruka Therapeutics Inc0.43%$201.76K
Newell Brands Inc0.43%$198.19K
Praxis Precision Medicines Inc0.42%$195.85K
Viper Energy Inc0.41%$189.36K
Cogent Biosciences Inc0.40%$187.46K
Goodyear Tire & Rubber Co/The0.40%$186.28K
Peabody Energy Corp0.40%$184.59K
Grand Canyon Education Inc0.39%$180.60K
Phoenix Education Partners Inc0.39%$180.12K
Tarsus Pharmaceuticals Inc0.38%$177.62K
Itron Inc0.37%$170.72K
Mirion Technologies Inc0.35%$164.24K
Brightstar Lottery PLC0.35%$164.06K
Wolverine World Wide Inc0.35%$163.17K
Core Scientific Inc0.35%$162.19K
Benchmark Electronics Inc0.34%$158.07K
ERock Inc0.32%$149.10K
International Paper Co0.32%$146.84K
nCino Inc0.28%$129.70K
Utz Brands Inc0.26%$120.38K
Wolfspeed Inc0.24%$112.28K
Bullish0.21%$98.34K
Suncrete Inc0.21%$95.19K

SCDSX overview: performance, fees, allocation and SEC filings