SCOSX Holdings — MFS Blended Research Small Cap Equity Portfolio

All 213 reported holdings of MFS Blended Research Small Cap Equity Portfolio (SCOSX) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Popular Inc1.73%$1.35M
Portland General Electric Co1.70%$1.33M
Advanced Energy Industries Inc1.68%$1.32M
MYR Group Inc1.62%$1.27M
FormFactor Inc1.55%$1.22M
Envista Holdings Corp1.54%$1.21M
Avient Corp1.49%$1.17M
UMB Financial Corp1.49%$1.17M
Weatherford International PLC1.47%$1.16M
Texas Capital Bancshares Inc1.46%$1.14M
Flowserve Corp1.44%$1.13M
Beacon Financial Corp1.40%$1.10M
Expro Group Holdings NV1.40%$1.10M
Element Solutions Inc1.31%$1.02M
Modine Manufacturing Co1.30%$1.02M
EchoStar Corp1.30%$1.02M
NNN REIT Inc1.30%$1.02M
Essential Properties Realty Trust Inc1.29%$1.01M
AGCO Corp1.27%$994.40K
Brunswick Corp/DE1.26%$992.74K
Covista Inc1.24%$971.79K
Grand Canyon Education Inc1.23%$966.11K
Bloom Energy Corp1.23%$964.55K
Voya Financial Inc1.20%$939.26K
Lincoln National Corp1.19%$937.13K
Clear Secure Inc1.09%$853.52K
Permian Resources Corp1.07%$838.54K
Cathay General Bancorp1.06%$834.11K
Hanover Insurance Group Inc/The1.03%$806.08K
Corsair Gaming Inc1.02%$800.86K
Piedmont Realty Trust Inc1.00%$787.71K
Columbia Banking System Inc0.99%$777.42K
Southwest Gas Holdings Inc0.98%$772.28K
Karman Holdings Inc0.96%$755.83K
Spire Inc0.95%$749.40K
Legence Corp0.95%$747.14K
East West Bancorp Inc0.94%$734.40K
Chefs' Warehouse Inc/The0.92%$719.64K
Axis Capital Holdings Ltd0.91%$715.55K
Visteon Corp0.90%$705.74K
Par Pacific Holdings Inc0.89%$695.37K
API Group Corp0.84%$657.60K
Five9 Inc0.84%$656.88K
Highwoods Properties Inc0.83%$648.89K
TriNet Group Inc0.80%$630.97K
Hecla Mining Co0.80%$630.18K
Q2 Holdings Inc0.80%$628.52K
Newell Brands Inc0.79%$619.21K
JP Morgan US Government Money Market Fund0.78%$612.74K
Oil States International Inc0.78%$608.87K
AtriCure Inc0.76%$593.94K
Bread Financial Holdings Inc0.76%$592.90K
Photronics Inc0.74%$582.87K
CACI International Inc0.73%$575.41K
SLM Corp0.71%$559.42K
RXO Inc0.71%$554.08K
Day One Biopharmaceuticals Inc0.70%$550.64K
BILL Holdings Inc0.67%$528.92K
Mativ Holdings Inc0.64%$499.62K
Primoris Services Corp0.61%$477.18K
ACI Worldwide Inc0.59%$463.25K
Elastic NV0.57%$444.56K
TTM Technologies Inc0.56%$443.16K
Cirrus Logic Inc0.56%$437.04K
Phoenix Education Partners Inc0.54%$423.77K
Praxis Precision Medicines Inc0.53%$415.95K
GeneDx Holdings Corp0.53%$414.54K
Cytokinetics Inc0.52%$411.61K
Simpson Manufacturing Co Inc0.52%$409.49K
SM Energy Co0.52%$404.90K
Prestige Consumer Healthcare Inc0.51%$403.21K
PTC Therapeutics Inc0.51%$399.58K
GCM Grosvenor Inc0.51%$397.87K
Kymera Therapeutics Inc0.51%$396.63K
Caledonia Mining Corp PLC0.49%$384.08K
Allegro MicroSystems Inc0.49%$381.77K
Cushman & Wakefield Ltd0.48%$376.66K
Embecta Corp0.46%$358.97K
Once Upon a Farm PBC0.45%$356.90K
Tutor Perini Corp0.44%$347.36K
Globalstar Inc0.44%$342.33K
Kadant Inc0.43%$333.86K
United Community Banks Inc/GA0.42%$330.05K
PROG Holdings Inc0.42%$325.98K
Saia Inc0.40%$316.50K
Ionis Pharmaceuticals Inc0.40%$316.05K
IRhythm Holdings Inc0.40%$314.76K
Mirum Pharmaceuticals Inc0.40%$312.80K
MFS Institutional Money Market Portfolio0.40%$311.85K
Banc of California Inc0.40%$310.20K
Cargurus Inc0.39%$308.73K
Indivior Pharmaceuticals Inc0.37%$290.32K
Sterling Infrastructure Inc0.37%$289.16K
Brightstar Lottery PLC0.36%$284.18K
Phibro Animal Health Corp0.36%$283.68K
Amneal Pharmaceuticals Inc0.35%$276.02K
Teladoc Health Inc0.34%$268.01K
Bath & Body Works Inc0.34%$262.91K
Kiniksa Pharmaceuticals International Plc0.33%$261.79K
Exelixis Inc0.33%$261.41K
Goodyear Tire & Rubber Co/The0.33%$257.67K
Upwork Inc0.33%$256.06K
Kimball Electronics Inc0.32%$253.13K
Fabrinet0.31%$245.64K
Organon & Co0.31%$242.88K
Novavax Inc0.30%$234.04K
Super Group SGHC Ltd0.30%$232.02K
ACADIA Pharmaceuticals Inc0.29%$230.24K
Prothena Corp PLC0.29%$224.24K
Cerence Inc0.28%$223.16K
Alkami Technology Inc0.28%$219.44K
Pegasystems Inc0.27%$214.93K
Option Care Health Inc0.27%$210.81K
Centuri Holdings Inc0.27%$209.61K
Rigel Pharmaceuticals Inc0.27%$208.02K
SentinelOne Inc0.26%$206.47K
Sanmina Corp0.26%$203.79K
Jazz Pharmaceuticals PLC0.26%$203.61K
BlueLinx Holdings Inc0.26%$202.85K
Credo Technology Group Holding Ltd0.26%$202.57K
Bio-Rad Laboratories Inc0.25%$196.52K
Neurocrine Biosciences Inc0.25%$193.53K
Anika Therapeutics Inc0.24%$189.02K
Quad/Graphics Inc0.24%$187.79K
Green Plains Inc0.23%$182.17K
Gold.com Inc0.23%$178.16K
Herbalife Ltd0.22%$176.52K
Cogent Biosciences Inc0.21%$168.74K
StandardAero Inc0.21%$167.28K
Columbia Sportswear Co0.21%$166.29K
Methode Electronics Inc0.21%$164.17K
REGENXBIO Inc0.21%$163.89K
Monte Rosa Therapeutics Inc0.21%$162.35K
Catalyst Pharmaceuticals Inc0.20%$159.36K
Metropolitan Bank Holding Corp0.20%$156.17K
elf Beauty Inc0.20%$155.83K
Kratos Defense & Security Solutions Inc0.20%$153.36K
Hamilton Lane Inc0.19%$151.78K
UGI Corp0.19%$151.43K
Arvinas Inc0.19%$150.62K
ADTRAN Holdings Inc0.19%$148.57K
BioLife Solutions Inc0.19%$147.81K
Ferroglobe PLC0.18%$145.09K
Vicor Corp0.18%$142.81K
ScanSource Inc0.16%$128.90K
Stoke Therapeutics Inc0.16%$128.81K
Collegium Pharmaceutical Inc0.16%$124.48K
GigaCloud Technology Inc0.16%$123.12K
Olema Pharmaceuticals Inc0.16%$122.47K
Lumen Technologies Inc0.16%$122.27K
Vanda Pharmaceuticals Inc0.16%$121.75K
Coeur Mining Inc0.15%$121.25K
Erasca Inc0.15%$119.70K
Zymeworks Inc0.15%$119.59K
Nextpower Inc0.15%$117.30K
Hexcel Corp0.15%$116.62K
Cousins Properties Inc0.15%$116.66K
Nurix Therapeutics Inc0.15%$115.51K
Genesco Inc0.15%$114.08K
Avantor Inc0.14%$113.34K
Harmony Biosciences Holdings Inc0.14%$112.49K
Myriad Genetics Inc0.14%$108.61K
Power Solutions International Inc0.14%$108.00K
York Space Systems Inc0.14%$107.88K
Alpha & Omega Semiconductor Ltd0.14%$107.34K
Corvus Pharmaceuticals Inc0.13%$105.88K
D-Wave Quantum Inc0.13%$104.57K
Bullish0.13%$101.72K
Terns Pharmaceuticals Inc0.13%$100.43K
Tango Therapeutics Inc0.13%$99.73K
AMN Healthcare Services Inc0.12%$95.20K
Pitney Bowes Inc0.12%$95.10K
Keros Therapeutics Inc0.12%$94.50K
PJT Partners Inc0.12%$91.24K
Consensus Cloud Solutions Inc0.12%$90.31K
World Kinect Corp0.11%$86.54K
Arcus Biosciences Inc0.11%$85.28K
Caris Life Sciences Inc0.11%$83.11K
Billiontoone Inc0.11%$82.97K
Arcturus Therapeutics Holdings Inc0.10%$80.59K
Ultragenyx Pharmaceutical Inc0.10%$77.87K
Intellia Therapeutics Inc0.10%$77.21K
Nutex Health Inc0.10%$76.32K
Schrodinger Inc/United States0.09%$70.65K
Ryerson Holding Corp0.09%$69.33K
SiteOne Landscape Supply Inc0.09%$68.42K
Eagle Bancorp Inc0.08%$65.43K
Concentrix Corp0.07%$58.30K
Guardant Health Inc0.07%$57.92K
Netskope Inc0.07%$57.38K
TransMedics Group Inc0.07%$56.07K
Shoals Technologies Group Inc0.07%$55.90K
Capricor Therapeutics Inc0.07%$55.75K
BioAge Labs Inc0.07%$55.18K
Azenta Inc0.07%$52.59K
Ginkgo Bioworks Holdings Inc0.07%$52.44K
Palvella Therapeutics Inc0.06%$46.49K
IonQ Inc0.06%$44.17K
Septerna Inc0.06%$43.59K
MiMedx Group Inc0.06%$43.15K
Thryv Holdings Inc0.05%$43.01K
Bridgebio Pharma Inc0.05%$41.88K
Peabody Energy Corp0.05%$40.86K
Accendra Health Inc0.05%$38.95K
Hawaiian Electric Industries Inc0.05%$38.58K
Ensign Group Inc/The0.05%$38.49K
Molina Healthcare Inc0.05%$36.26K
SPX Technologies Inc0.05%$36.19K
Dycom Industries Inc0.04%$34.22K
National Fuel Gas Co0.04%$33.45K
Zenas Biopharma Inc0.04%$31.93K
GRAIL Inc0.03%$21.86K
Phreesia Inc0.02%$19.50K

SCOSX overview: performance, fees, allocation and SEC filings