Holdings of MFS Blended Research Growth Equity Fund
ISIN US5527437835
MFS SERIES TRUST X · Original filing · Compare with another fund · Report an error
- Net assets
- 551.4M $ including 545.8M $ in equities, 99.0 %
- Positions
- 75 in 4 countries
- Top ten
- 54.7 % of net assets
- Filed on
- Feb 28, 2026
Portfolio shape
Positions
| Rank | Company | Shares | Value | Weight |
|---|---|---|---|---|
| 1 | NVIDIA Corp | 405,770 | 71.9M $ | 13.04 % |
| 2 | Apple Inc | 212,776 | 56.2M $ | 10.19 % |
| 3 | Microsoft Corp | 118,241 | 46.4M $ | 8.42 % |
| 4 | Amazon.com Inc | 115,372 | 24.2M $ | 4.39 % |
| 5 | Broadcom Inc | 71,950 | 23M $ | 4.17 % |
| 6 | Meta Platforms Inc | 33,328 | 21.6M $ | 3.92 % |
| 7 | Alphabet Inc | 50,855 | 15.9M $ | 2.88 % |
| 8 | Alphabet Inc | 46,312 | 14.4M $ | 2.62 % |
| 9 | Tesla Inc | 35,128 | 14.1M $ | 2.56 % |
| 10 | Lam Research Corp | 59,236 | 13.9M $ | 2.51 % |
| 11 | General Electric Co | 31,191 | 10.7M $ | 1.94 % |
| 12 | Eli Lilly & Co | 8,396 | 8.8M $ | 1.60 % |
| 13 | GE Vernova Inc | 9,464 | 8.3M $ | 1.50 % |
| 14 | McKesson Corp | 7,550 | 7.5M $ | 1.35 % |
| 15 | Monster Beverage Corp | 85,868 | 7.3M $ | 1.33 % |
| 16 | Viking Holdings Ltd | 93,321 | 7.3M $ | 1.32 % |
| 17 | Mastercard Inc | 14,008 | 7.2M $ | 1.31 % |
| 18 | O'Reilly Automotive Inc | 74,556 | 7M $ | 1.27 % |
| 19 | Bristol-Myers Squibb Co | 111,326 | 6.9M $ | 1.26 % |
| 20 | Arista Networks Inc | 50,209 | 6.7M $ | 1.22 % |
| 21 | Interactive Brokers Group Inc | 87,598 | 6.2M $ | 1.13 % |
| 22 | Northern Trust Corp | 43,268 | 6.2M $ | 1.12 % |
| 23 | Autodesk Inc | 25,170 | 6.2M $ | 1.12 % |
| 24 | BWX Technologies Inc | 29,857 | 6.1M $ | 1.12 % |
| 25 | Gilead Sciences Inc | 39,763 | 5.9M $ | 1.07 % |
| 26 | Amphenol Corp | 40,439 | 5.9M $ | 1.07 % |
| 27 | Airbnb Inc | 41,565 | 5.6M $ | 1.02 % |
| 28 | NRG Energy Inc | 30,860 | 5.5M $ | 1.00 % |
| 29 | Spotify Technology SA | 10,512 | 5.4M $ | 0.98 % |
| 30 | Datadog Inc | 45,393 | 5.1M $ | 0.92 % |
| 31 | Popular Inc | 36,984 | 5M $ | 0.91 % |
| 32 | TKO Group Holdings Inc | 22,091 | 4.9M $ | 0.90 % |
| 33 | Equitable Holdings Inc | 119,987 | 4.8M $ | 0.88 % |
| 34 | Colgate-Palmolive Co | 48,249 | 4.8M $ | 0.87 % |
| 35 | Booking Holdings Inc | 1,115 | 4.7M $ | 0.86 % |
| 36 | Visa Inc | 14,592 | 4.7M $ | 0.85 % |
| 37 | Okta Inc | 63,751 | 4.6M $ | 0.84 % |
| 38 | Citigroup Inc | 40,754 | 4.5M $ | 0.81 % |
| 39 | MFS Institutional Money Market Portfolio | 4,074,157 | 4.1M $ | 0.74 % |
| 40 | Curtiss-Wright Corp | 5,410 | 3.8M $ | 0.69 % |
| 41 | IQVIA Holdings Inc | 20,386 | 3.6M $ | 0.66 % |
| 42 | Dropbox Inc | 142,720 | 3.6M $ | 0.65 % |
| 43 | KLA Corp | 2,299 | 3.5M $ | 0.64 % |
| 44 | ROBLOX Corp | 51,009 | 3.5M $ | 0.64 % |
| 45 | Guidewire Software Inc | 23,980 | 3.5M $ | 0.63 % |
| 46 | Humana Inc | 17,812 | 3.4M $ | 0.62 % |
| 47 | Leidos Holdings Inc | 19,275 | 3.4M $ | 0.61 % |
| 48 | Salesforce Inc | 16,135 | 3.1M $ | 0.57 % |
| 49 | Incyte Corp | 28,002 | 2.8M $ | 0.51 % |
| 50 | Flowserve Corp | 31,510 | 2.8M $ | 0.51 % |
| 51 | Phillips 66 | 13,592 | 2.1M $ | 0.38 % |
| 52 | Pegasystems Inc | 46,448 | 2M $ | 0.37 % |
| 53 | Lamar Advertising Co | 14,304 | 2M $ | 0.36 % |
| 54 | Costco Wholesale Corp | 1,874 | 1.9M $ | 0.34 % |
| 55 | AbbVie Inc | 7,478 | 1.7M $ | 0.31 % |
| 56 | AppLovin Corp | 3,877 | 1.7M $ | 0.31 % |
| 57 | AES Corp/The | 94,462 | 1.6M $ | 0.30 % |
| 58 | Verisk Analytics Inc | 7,478 | 1.6M $ | 0.28 % |
| 59 | Primoris Services Corp | 10,208 | 1.5M $ | 0.28 % |
| 60 | Uber Technologies Inc | 18,234 | 1.4M $ | 0.25 % |
| 61 | Veeva Systems Inc | 7,318 | 1.3M $ | 0.24 % |
| 62 | Aramark | 31,380 | 1.3M $ | 0.24 % |
| 63 | Netflix Inc | 12,919 | 1.2M $ | 0.23 % |
| 64 | Flex Ltd | 16,293 | 1M $ | 0.19 % |
| 65 | nVent Electric PLC | 7,669 | 907.7K $ | 0.16 % |
| 66 | GoDaddy Inc | 9,390 | 818.4K $ | 0.15 % |
| 67 | Aptiv PLC | 9,345 | 687.2K $ | 0.12 % |
| 68 | Illumina Inc | 5,092 | 684.7K $ | 0.12 % |
| 69 | Dexcom Inc | 9,276 | 681.1K $ | 0.12 % |
| 70 | Pfizer Inc | 23,918 | 661.3K $ | 0.12 % |
| 71 | Palantir Technologies Inc | 3,897 | 534.6K $ | 0.10 % |
| 72 | Etsy Inc | 9,667 | 530.5K $ | 0.10 % |
| 73 | Elastic NV | 9,687 | 504.4K $ | 0.09 % |
| 74 | Carnival Corp | 12,293 | 387.8K $ | 0.07 % |
| 75 | Chewy Inc | 7,713 | 211.5K $ | 0.04 % |
Sector breakdown
- Technology 45.8 %
- Consumer discretionary 11.6 %
- Communication 11.4 %
- Health care 7.8 %
- Industrials 5.8 %
- Financials 5.3 %
- Consumer staples 2.6 %
- Utilities 1.0 %
- Energy 0.4 %
- Unattributed 8.3 %
Titelia classification, company by company. The unattributed share stays visible.
Currency breakdown
- USD 100.0 %
The quoted currency of each line, as declared.
Country breakdown
- United States 98.3 %
- Bermuda 1.3 %
- Singapore 0.2 %
- Ireland 0.2 %
Shares computed on the equity sleeve.
| Rank | Country | Lines | Value | Share |
|---|---|---|---|---|
| 1 | United States | 72 | 536.6M $ | 98.31 % |
| 2 | Bermuda | 1 | 7.3M $ | 1.33 % |
| 3 | Singapore | 1 | 1M $ | 0.19 % |
| 4 | Ireland | 1 | 907.7K $ | 0.17 % |
Cite this page
Titelia. "Holdings of MFS Blended Research Growth Equity Fund". https://titelia.com/en/funds/S000050658