BRWVX
MFS Blended Research Growth 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
GE VERNOVA LLC 0 9,464 9,464 1.51% $8.27M
INTERACTIVE BROKERS GROUP INC 0 87,598 87,598 1.14% $6.24M
AIRBNB INC CLASS A 0 41,565 41,565 1.03% $5.62M
ARAMARK 0 31,380 31,380 0.24% $1.31M
FLEX LTD 0 16,293 16,293 0.19% $1.03M
GODADDY INC CL A 0 9,390 9,390 0.15% $818.43K
ILLUMINA INC 0 5,092 5,092 0.13% $684.67K
ETSY INC 0 9,667 9,667 0.10% $530.52K
ELASTIC NV 0 9,687 9,687 0.09% $504.40K
CARNIVAL CORP 0 12,293 12,293 0.07% $387.84K
CHEWY INC- CL A 0 7,713 7,713 0.04% $211.49K
Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
TAPESTRY INC 46,200 0 -46,200 0.00% -$5.05M
AMERIPRISE FINANCIAL INC 10,541 0 -10,541 0.00% -$4.80M
ATLASSIAN CORP PLC CLS A 21,172 0 -21,172 0.00% -$3.17M
KIMBERLY CLARK CORP 13,461 0 -13,461 0.00% -$1.47M
WESTINGHOUSE AIR BRAKE TECH CORP 5,745 0 -5,745 0.00% -$1.20M
ORACLE CORP 2,026 0 -2,026 0.00% -$409.15K
Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
NVIDIA CORP 390,421 405,770 15,349 13.17% $2.79M
APPLE INC 202,821 212,776 9,955 10.30% -$345.47K
MICROSOFT CORP 106,898 118,241 11,343 8.51% -$6.16M
AMAZON.COM INC 105,000 115,372 10,372 4.44% -$259.98K
BROADCOM INC 65,481 71,950 6,469 4.21% -$3.39M
ALPHABET INC CL A 46,284 50,855 4,571 2.90% $1.04M
ALPHABET INC CL C 42,147 46,312 4,165 2.64% $930.85K
TESLA INC 31,970 35,128 3,158 2.59% $386.84K
GENERAL ELECTRIC CO 28,388 31,191 2,803 1.96% $2.20M
LILLY ELI and CO 6,023 8,396 2,373 1.62% $2.35M
MCKESSON CORP 6,871 7,550 679 1.37% $1.40M
MONSTER BEVERAGE CORP 8,900 85,868 76,968 1.34% $6.66M
VIKING HOLDINGS LTD 84,932 93,321 8,389 1.33% $1.61M
MASTERCARD INC CL A 12,748 14,008 1,260 1.33% $226.92K
O'REILLY AUTOMOTIVE INC 60,915 74,556 13,641 1.28% $804.26K
BRISTOL-MYERS SQUIBB CO 66,863 111,326 44,463 1.27% $3.65M
NORTHERN TRUST CORP 41,915 43,268 1,353 1.13% $686.10K
AUTODESK INC 19,946 25,170 5,224 1.13% $138.13K
BWX TECHNOLOGIES INC 23,520 29,857 6,337 1.13% $1.94M
GILEAD SCIENCES INC 34,460 39,763 5,303 1.09% $1.59M
AMPHENOL CORPORATION CL A 36,804 40,439 3,635 1.08% $720.84K
NRG ENERGY INC 28,086 30,860 2,774 1.01% $762.41K
SPOTIFY TECHNOLOGY SA 9,568 10,512 944 0.99% -$316.94K
DATADOG INC CL A 32,675 45,393 12,718 0.93% -$146.13K
POPULAR INC 33,659 36,984 3,325 0.92% $1.15M
TKO GROUP HOLDINGS INC 6,660 22,091 15,431 0.91% $3.65M
EQUITABLE HOLDINGS INC 109,200 119,987 10,787 0.88% -$272.67K
COLGATE-PALMOLIVE CO 43,911 48,249 4,338 0.88% $1.25M
THE BOOKING HOLDINGS INC 1,014 1,115 101 0.87% -$256.62K
VISA INC-CLASS A 13,279 14,592 1,313 0.86% $230.45K
OKTA INC CL A 58,019 63,751 5,732 0.85% -$38.72K
CURTISS WRIGHT CORPORATION 4,923 5,410 487 0.69% $1.01M
IQVIA HOLDINGS INC 18,554 20,386 1,832 0.67% -$622.38K
DROPBOX INC CL A 129,890 142,720 12,830 0.65% -$314.54K
KLA CORP 2,091 2,299 208 0.64% $1.05M
ROBLOX CORP - A 46,424 51,009 4,585 0.64% -$909.39K
GUIDEWIRE SOFTWARE INC 21,824 23,980 2,156 0.64% -$1.23M
HUMANA INC 16,790 17,812 1,022 0.62% -$732.58K
LEIDOS HOLDINGS INC 17,544 19,275 1,731 0.62% $22.39K
SALESFORCE INC 10,972 16,135 5,163 0.58% $613.45K
INCYTE CORP 17,806 28,002 10,196 0.52% $975.75K
FLOWSERVE CORP 17,654 31,510 13,856 0.51% $1.53M
PHILLIPS 66 12,370 13,592 1,222 0.38% $403.46K
PEGASYSTEMS INC 34,933 46,448 11,515 0.37% $117.89K
LAMAR ADVERTISING CO CL A 13,017 14,304 1,287 0.36% $246.91K
COSTCO WHOLESALE CORP 1,706 1,874 168 0.35% $335.64K
AES CORP 85,970 94,462 8,492 0.30% $423.57K
PRIMORIS SVCS CORP 9,290 10,208 918 0.28% $362.81K
UBER TECHNOLOGIES INC 16,596 18,234 1,638 0.25% -$77.61K
APTIV PLC 8,505 9,345 840 0.13% $27.67K
DEXCOM INC 8,442 9,276 834 0.12% $145.32K
PALANTIR TECHNOLOGIES INC 3,547 3,897 350 0.10% -$62.86K
Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
META PLATFORMS INC CL A 34,306 33,328 -978 3.96% -$626.03K
LAM RESEARCH CORP 69,901 59,236 -10,665 2.54% $2.95M
ARISTA NETWORKS INC 51,127 50,209 -918 1.23% $21.63K
CITIGROUP INC 40,914 40,754 -160 0.82% $251.99K
MFS Institutional Money Market Portfolio, Class A 6,368,799 4,074,157 -2,294,641 0.75% -$2.30M
ABBVIE INC 8,224 7,478 -746 0.32% -$137.11K
APPLOVIN CORP 5,296 3,877 -1,419 0.31% -$1.49M
VERISK ANALYTICS INC 10,381 7,478 -2,903 0.28% -$784.24K
VEEVA SYSTEMS-A 20,180 7,318 -12,862 0.24% -$3.52M
NETFLIX INC 37,270 12,919 -24,351 0.23% -$2.77M
NVENT ELECTRIC PLC 11,599 7,669 -3,930 0.17% -$336.52K
PFIZER INC 65,413 23,918 -41,495 0.12% -$1.02M

No positions in this category.

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