BMSFX
MFS Blended Research Mid Cap Equity Fund
MFS Series Trust X

Portfolio moves

Net position changes between two of this fund's N-PORT snapshots. These are differences between point-in-time reports — not a trade log — and share counts can be affected by splits and other corporate actions.

Nov 30, 2025 → Feb 28, 2026

Expand a category to see the positions behind it, ranked by weight.

Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
ILLUMINA INC 0 164,936 164,936 0.87% $22.18M
ANGLOGOLD ASHANTI PLC 0 107,475 107,475 0.54% $13.73M
FLOWSERVE CORP 0 148,901 148,901 0.52% $13.18M
HUNT J B TRANSPORT SERVICES IN 0 55,729 55,729 0.51% $13.01M
CH ROBINSON WORLDWIDE INC 0 48,971 48,971 0.36% $9.07M
MYR GROUP INC/DELAWARE 0 33,431 33,431 0.35% $9.03M
ALBEMARLE CORP 0 43,220 43,220 0.30% $7.72M
TERADYNE INC 0 19,790 19,790 0.25% $6.33M
ROKU INC CLASS A 0 62,619 62,619 0.24% $6.16M
TALEN ENERGY CORP 0 16,408 16,408 0.24% $6.09M
MONGODB INC CL A 0 14,403 14,403 0.19% $4.73M
FORD MOTOR CO 0 274,595 274,595 0.15% $3.87M
CHEWY INC- CL A 0 132,722 132,722 0.14% $3.64M
FLUOR CORP 0 64,317 64,317 0.13% $3.36M
MILLICOM INTL CELL SA 0 30,882 30,882 0.09% $2.25M
ZEBRA TECHNOLOGIES CORP CL A 0 9,994 9,994 0.09% $2.24M
BILL HOLDINGS INC 0 50,269 50,269 0.09% $2.24M
BOX INC- CLASS A 0 90,708 90,708 0.08% $2.14M
NEWMARKET CORP 0 3,094 3,094 0.08% $1.94M
INDIVIOR PHARMACEUTICALS INC 0 57,252 57,252 0.07% $1.87M
VISTRA CORP 0 5,624 5,624 0.04% $977.96K
TPG INC 0 19,700 19,700 0.03% $855.37K
Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
JACKSON FINANCIAL INC 139,235 0 -139,235 0.00% -$13.65M
UGI CORP NEW 341,965 0 -341,965 0.00% -$13.52M
SPOTIFY TECHNOLOGY SA 15,887 0 -15,887 0.00% -$9.51M
EXPEDIA INC 25,033 0 -25,033 0.00% -$6.40M
WW GRAINGER INC 6,179 0 -6,179 0.00% -$5.86M
CORTEVA INC 70,919 0 -70,919 0.00% -$4.78M
MATTEL INC 218,294 0 -218,294 0.00% -$4.61M
PINTEREST INC CL A 115,019 0 -115,019 0.00% -$3.00M
SIMMONS FIRST -A 155,953 0 -155,953 0.00% -$2.89M
International Game Technology PLC 178,564 0 -178,564 0.00% -$2.79M
EXACT SCIENCES CORP 25,408 0 -25,408 0.00% -$2.57M
AVNET INC 42,649 0 -42,649 0.00% -$2.03M
ROSS STORES INC 9,526 0 -9,526 0.00% -$1.68M
WAYFAIR INC- A 14,597 0 -14,597 0.00% -$1.62M
MOSAIC CO/THE 59,087 0 -59,087 0.00% -$1.45M
DTE ENERGY CO 9,637 0 -9,637 0.00% -$1.32M
XP, Inc., Class A 65,386 0 -65,386 0.00% -$1.29M
VENTAS INC REIT 15,520 0 -15,520 0.00% -$1.25M
SMURFIT WESTROCK PLC 33,155 0 -33,155 0.00% -$1.18M
Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
VALERO ENERGY CORP 224,372 239,151 14,779 1.92% $9.28M
PHILLIPS 66 287,676 304,950 17,274 1.84% $7.66M
EDISON INTL 575,382 610,662 35,280 1.79% $11.76M
PG&E CORP 2,039,805 2,385,521 345,716 1.78% $12.44M
VIKING HOLDINGS LTD 510,696 541,847 31,151 1.66% $8.17M
NORTHERN TRUST CORP 269,038 285,341 16,303 1.60% $5.49M
AMERIPRISE FINANCIAL INC 82,324 86,779 4,455 1.60% $3.28M
AGCO CORP 278,122 295,387 17,265 1.58% $10.85M
ARAMARK 799,654 857,210 57,556 1.41% $6.15M
APTIV PLC 459,349 487,273 27,924 1.40% $211.54K
ENVISTA HOLDINGS CORP 1,158,724 1,221,424 62,700 1.40% $11.46M
BWX TECHNOLOGIES INC 106,548 172,085 65,537 1.39% $16.39M
CURTISS WRIGHT CORPORATION 44,930 50,356 5,426 1.38% $9.91M
LEIDOS HOLDINGS INC 186,563 196,658 10,095 1.35% -$1.22M
FLEX LTD 514,753 546,121 31,368 1.35% $3.99M
MCKESSON CORP 32,919 34,699 1,780 1.34% $5.26M
TKO GROUP HOLDINGS INC 17,235 140,738 123,503 1.23% $28.17M
MOHAWK INDUSTRIES INC 245,023 250,113 5,090 1.23% $2.93M
WP CAREY INC 332,443 410,389 77,946 1.20% $8.24M
ROBLOX CORP - A 379,196 441,828 62,632 1.19% -$5.70M
MASCO CORPORATION 399,490 421,106 21,616 1.18% $4.24M
CIENA CORP 24,613 85,686 61,073 1.17% $24.85M
HARTFORD INSURANCE GROUP INC/THE 198,682 209,433 10,751 1.16% $2.27M
EQUITABLE HOLDINGS INC 657,616 722,518 64,902 1.14% -$1.64M
OKTA INC CL A 359,814 381,964 22,150 1.09% -$1.21M
RPM INTL INC 240,176 240,528 352 1.08% $1.69M
EVEREST REINSURANCE GROUP LTD 76,550 80,691 4,141 1.06% $3.01M
TEXTRON INC 258,589 272,582 13,993 1.05% $5.39M
AVIENT CORP 592,738 624,811 32,073 1.01% $7.53M
UNIVERSAL HLTH-B 108,267 122,904 14,637 0.99% -$1.05M
IQVIA HOLDINGS INC 130,689 140,569 9,880 0.98% -$4.92M
OMNICOM GROUP INC 230,453 293,431 62,978 0.98% $8.52M
DATADOG INC CL A 176,192 209,831 33,639 0.92% -$4.70M
EASTMAN CHEMICAL CO 288,632 304,251 15,619 0.90% $5.06M
MFS Institutional Money Market Portfolio, Class A 13,111,351 22,791,796 9,680,445 0.89% $9.68M
HIGHWOODS PROPERTIES INC 905,131 983,271 78,140 0.87% -$3.05M
FERGUSON ENTERPRISES INC 56,294 81,633 25,339 0.83% $7.12M
INGREDION INC 167,372 176,428 9,056 0.81% $2.72M
BUILDERS FIRSTSOURCE 186,782 196,889 10,107 0.80% -$428.99K
ESSENTIAL PROPERTIES REALTY TRUST INC 507,401 599,702 92,301 0.80% $4.29M
AES CORP 362,545 1,155,979 793,434 0.78% $14.88M
NATL FUEL GAS CO 197,789 211,428 13,639 0.75% $2.94M
LAMAR ADVERTISING CO CL A 130,532 137,596 7,064 0.74% $1.67M
UNITED AIRLINES HOLDINGS INC 167,616 176,686 9,070 0.74% $1.69M
BIOGEN INC 81,309 94,516 13,207 0.71% $3.32M
CARNIVAL CORP 299,714 566,680 266,966 0.70% $10.15M
RAYMOND JAMES FINANCIAL INC. 109,415 115,335 5,920 0.69% $527.66K
CARETRUST REIT INC 405,565 427,513 21,948 0.68% $2.14M
VOYA FINANCIAL INC 149,628 258,531 108,903 0.68% $6.77M
AMETEK INC NEW 67,689 71,352 3,663 0.67% $3.67M
COUSINS PROPERTIES INC 590,570 695,501 104,931 0.63% $882.91K
TRINET GROUP INC 330,693 409,656 78,963 0.61% -$3.78M
BRUNSWICK CORP 17,689 192,753 175,064 0.60% $14.18M
WESTERN DIGITAL CORP 12,903 54,844 41,941 0.60% $13.23M
ZOOM VIDEO COMMUNICATIONS INC CL A 184,126 205,306 21,180 0.59% -$463.02K
SKYWEST INC 137,786 145,241 7,455 0.59% $1.13M
JACOBS SOLUTIONS INC 85,171 108,732 23,561 0.59% $3.51M
PORTLAND GENERAL ELECTRIC CO 216,371 275,127 58,756 0.58% $3.85M
CIRRUS LOGIC INC 78,539 99,608 21,069 0.55% $4.61M
ALBERTSONS COS INC CL A 447,774 777,773 329,999 0.55% $5.71M
DROPBOX INC CL A 510,457 538,079 27,622 0.53% -$1.81M
TEXAS ROADHOUSE INC 62,738 72,729 9,991 0.52% $2.31M
GODADDY INC CL A 141,277 148,923 7,646 0.51% -$5.08M
AXIS CAPITAL HOLDINGS LTD 80,109 113,521 33,412 0.47% $3.81M
DEXCOM INC 47,293 162,121 114,828 0.47% $8.90M
ETSY INC 142,190 215,253 73,063 0.46% $4.10M
PENTAIR PLC 100,550 115,227 14,677 0.45% $847.48K
SIMON PROPERTY 44,882 53,064 8,182 0.42% $2.45M
BANC OF CALIFORNIA INC 230,878 557,474 326,596 0.40% $6.04M
ALIGN TECHNOLOGY INC 13,480 49,420 35,940 0.37% $7.41M
LINCOLN NATL CRP 164,521 273,254 108,733 0.37% $2.60M
ALLEGION PLC 50,764 53,512 2,748 0.34% $195.11K
TUTOR PERINI CORP 64,861 101,344 36,483 0.30% $3.19M
Constellium SE, Class A 289,590 305,260 15,670 0.30% $2.73M
Bath & Body Works Inc 216,741 331,874 115,133 0.30% $3.78M
PEGASYSTEMS INC 134,460 167,817 33,357 0.29% -$25.74K
POLARIS INC 28,216 117,912 89,696 0.28% $5.29M
NVENT ELECTRIC PLC 39,183 53,614 14,431 0.25% $2.14M
SYLVAMO CORP 109,834 115,776 5,942 0.21% $157.59K
ADV ENERGY INDS 11,140 13,585 2,445 0.18% $2.21M
GRAND CANYON EDUCATION INC 25,467 26,845 1,378 0.17% $253.07K
ANTERO RESOURCES 108,211 114,066 5,855 0.16% $256.64K
VISTEON CORP 39,091 41,207 2,116 0.15% -$93.87K
Q2 HOLDINGS INC 67,785 71,452 3,667 0.13% -$1.45M
WOLVERINE WORLD WIDE INC 70,244 182,548 112,304 0.13% $2.09M
NNN REIT INC 47,824 70,489 22,665 0.13% $1.22M
HANOVER INSURANCE GROUP INC 16,215 17,092 877 0.12% $78.63K
GARRETT MOTION INC 64,624 141,545 76,921 0.11% $1.81M
EXPAND ENERGY CORP 19,119 20,153 1,034 0.09% -$156.27K
TRIMBLE INC 28,893 30,458 1,565 0.08% -$315.74K
ASSURANT INC 7,819 8,241 422 0.07% $108.07K
CRANE CO 7,610 8,021 411 0.06% $213.92K
Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
TECHNIPFMC PLC 849,904 769,680 -80,224 2.00% $12.57M
WESTINGHOUSE AIR BRAKE TECH CORP 187,238 166,839 -20,399 1.73% $4.99M
DOLLAR GENERAL CORP 269,030 247,922 -21,108 1.52% $9.28M
POPULAR INC 317,146 272,099 -45,047 1.44% $451.50K
NRG ENERGY INC 210,120 173,688 -36,432 1.22% -$4.53M
SYNCHRONY FINANCIAL 463,363 446,108 -17,255 1.21% -$5.02M
O'REILLY AUTOMOTIVE INC 360,989 316,849 -44,140 1.17% -$6.97M
TEXAS CAPITAL BANCSHARES INC 345,814 303,839 -41,975 1.13% -$2.23M
HUMANA INC 140,526 138,714 -1,812 1.04% -$8.11M
VERISK ANALYTICS INC 118,017 109,301 -8,716 0.89% -$3.87M
INCYTE CORP 287,110 220,210 -66,900 0.87% -$7.69M
COREBRIDGE FINANCIAL INC 907,968 808,713 -99,255 0.82% -$6.36M
JONES LANG LASALLE INC 107,893 63,180 -44,713 0.78% -$15.20M
US FOODS HOLDING CORP 231,866 205,536 -26,330 0.78% $1.62M
EXELIXIS INC 512,271 405,103 -107,168 0.70% -$4.78M
AMKOR TECHNOLOGY INC 390,900 331,416 -59,484 0.62% $1.62M
NEWELL BRANDS INC 3,020,839 2,960,893 -59,946 0.53% $2.45M
MONOLITHIC POWER SYS INC 12,313 11,451 -862 0.51% $1.66M
GUIDEWIRE SOFTWARE INC 96,061 81,385 -14,676 0.46% -$8.92M
CBRE GROUP INC - CL A 97,095 77,705 -19,390 0.45% -$4.24M
VEEVA SYSTEMS-A 115,255 58,358 -56,897 0.42% -$17.07M
ATMOS ENERGY CORP 119,919 53,822 -66,097 0.39% -$11.10M
CNH INDUSTRIAL NV 2,952,978 748,979 -2,203,999 0.36% -$18.63M
AMPHENOL CORPORATION CL A 180,645 60,912 -119,733 0.35% -$16.56M
TAPESTRY INC 219,846 52,072 -167,774 0.32% -$15.93M
M&T BANK CORP 51,508 36,547 -14,961 0.31% -$1.87M
SANDISK CORPORATION 16,795 9,392 -7,403 0.23% $2.22M
GENERAL MILLS INC 334,224 127,357 -206,867 0.23% -$10.07M
ORGANON & CO 1,206,480 750,657 -455,823 0.21% -$3.83M
STANLEY BLACK and DECKER INC 216,559 57,463 -159,096 0.19% -$10.52M
VERISIGN INC 25,589 18,785 -6,804 0.17% -$2.17M
ACI WORLDWIDE INC 128,684 95,662 -33,022 0.15% -$2.23M
VF CORP 293,507 144,491 -149,016 0.11% -$2.33M
AMEREN CORP 42,616 13,054 -29,562 0.06% -$3.05M
UFP INDUSTRIES INC 25,777 13,813 -11,964 0.06% -$975.51K
COVISTA INC 14,604 7,283 -7,321 0.03% -$638.01K

No positions in this category.

Machine-readable: JSON · Markdown. Programmatic access via the agent surface.