SCIMX Holdings — MFS Conservative Allocation Portfolio

All 18 reported holdings of MFS Conservative Allocation Portfolio (SCIMX) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
MFS Total Return Bond Series15.96%$34.18M
MFS Variable Insurance Trust III - MFS Limited Maturity Portfolio10.99%$23.55M
MFS VIT III Inflation Adjusted Bond Portfolio9.98%$21.37M
MFS Variable Insurance Trust II - MFS Government Securities Portfolio9.97%$21.37M
MFS Variable Insurance Trust II - MFS Global Governments Portfolio7.98%$17.09M
MFS Variable Insurance Trust - Research Series6.27%$13.43M
MFS Variable Insurance Trust - MFS Value Series6.02%$12.88M
MFS Variable Insurance Trust II - MFS Research International Portfolio5.32%$11.39M
MFS Growth Series5.22%$11.19M
MFS High Yield Portfolio5.00%$10.71M
MFS VIT Mid Cap Growth Series4.07%$8.73M
MFS VIT III Mid Cap Value Portfolio4.02%$8.61M
MFS Variable Insurance Trust II - MFS International Growth Portfolio2.10%$4.50M
MFS International Intrinsic Equity Portfolio2.10%$4.49M
MFS VIT III Global Real Estate Portfolio1.99%$4.26M
MFS New Discovery Series1.02%$2.19M
MFS VIT III New Discovery Value Portfolio1.01%$2.16M
MFS Institutional Money Market Portfolio1.00%$2.14M

SCIMX overview: performance, fees, allocation and SEC filings