BRSSX
MFS Blended Research Small Cap Equity Fund
MFS Series Trust X

Portfolio concentration

As of February 28, 2026 · N-PORT
Holdings
191
Top-10 weight
16.56%
Effective holdings ?
109
Crowding ?
410.9

Holdings

As of February 28, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 ADV ENERGY INDS 19,296 $6.48M 2.02%
2 FORMFACTOR INC 58,056 $5.74M 1.79%
3 ENVISTA HOLDINGS CORP 182,741 $5.34M 1.66%
4 ELEMENT SOLUTIONS INC 150,250 $5.27M 1.64%
5 POPULAR INC 38,744 $5.24M 1.63%
6 FLOWSERVE CORP 59,089 $5.23M 1.63%
7 PORTLAND GENERAL ELECTRIC CO 96,825 $5.22M 1.63%
8 AVIENT CORP 123,769 $5.08M 1.58%
9 WEATHERFORD INTERNATIONAL PLC 46,918 $4.95M 1.54%
10 MYR GROUP INC/DELAWARE 17,244 $4.66M 1.45%
11 AGCO CORP 32,941 $4.50M 1.40%
12 TEXAS CAPITAL BANCSHARES INC 46,226 $4.41M 1.37%
13 UMB FINANCIAL CORP 37,864 $4.39M 1.37%
14 ESSENTIAL PROPERTIES REALTY TRUST INC 127,996 $4.34M 1.35%
15 FRANK'S INTERNATIONAL NV 241,555 $4.31M 1.34%
16 BLOOM ENERGY CORP CL A 27,321 $4.25M 1.33%
17 NNN REIT INC 93,223 $4.22M 1.32%
18 BRUNSWICK CORP 52,035 $4.14M 1.29%
19 MODINE MFG CO 18,139 $4.12M 1.28%
20 BANC OF CALIFORNIA INC 221,713 $4.10M 1.28%
21 ECHOSTAR CORP CL A 33,521 $3.87M 1.21%
22 EAST WEST BNCRP 33,604 $3.68M 1.15%
23 BERKSHIRE HILLS BANCORP INC 123,637 $3.68M 1.15%
24 API GROUP CORP 80,214 $3.57M 1.11%
25 VOYA FINANCIAL INC 52,769 $3.53M 1.10%
26 PIEDMONT REALTY TRUST INC 460,220 $3.49M 1.09%
27 GRAND CANYON EDUCATION INC 20,964 $3.33M 1.04%
28 CHEFS WAREHOUSE INC 46,479 $3.32M 1.03%
29 LINCOLN NATL CRP 96,177 $3.30M 1.03%
30 CLEAR SECURE INC 67,692 $3.29M 1.03%
31 OIL STATES INTL 249,798 $3.27M 1.02%
32 HECLA MINING CO 129,842 $3.23M 1.01%
33 HANOVER INSURANCE GROUP INC 17,858 $3.23M 1.01%
34 KARMAN HOLDINGS INC 36,242 $3.19M 0.99%
35 CATHAY GENERAL BANCORP 64,212 $3.19M 0.99%
36 COVISTA INC 32,367 $3.17M 0.99%
37 NEWELL BRANDS INC 692,980 $3.15M 0.98%
38 COLUMBIA BANKING SYSTEMS INC 108,787 $3.09M 0.96%
39 CORSAIR GAMING INC 553,871 $3.04M 0.95%
40 SOUTHWEST GAS HOLDINGS INC 34,122 $3.01M 0.94%
41 LEGENCE CORP-A 50,789 $2.95M 0.92%
42 FIVE9 INC 166,220 $2.90M 0.90%
43 AXIS CAPITAL HOLDINGS LTD 27,086 $2.86M 0.89%
44 VISTEON CORP 29,731 $2.84M 0.89%
45 PRESTIGE CONSUMER HEALTHCARE INC 40,548 $2.81M 0.88%
46 PERMIAN RESOURCES CORP CL A 150,945 $2.76M 0.86%
47 HIGHWOODS PROPERTIES INC 116,362 $2.62M 0.82%
48 TRINET GROUP INC 66,483 $2.53M 0.79%
49 ATRICURE INC 79,906 $2.50M 0.78%
50 CACI INTL-A 4,061 $2.48M 0.77%
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