MFEJX
MFS Growth Fund
MFS Series Trust II

Portfolio concentration

As of February 28, 2026 · N-PORT
Holdings
70
Top-10 weight
60.10%
Effective holdings ?
19
Crowding ?
1983.0

Holdings

As of February 28, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 NVIDIA CORP 31,341,083 $5.55B 13.85%
2 MICROSOFT CORP 9,608,378 $3.77B 9.41%
3 APPLE INC 13,865,250 $3.66B 9.14%
4 ALPHABET INC CL A 10,310,653 $3.21B 8.02%
5 AMAZON.COM INC 11,659,009 $2.45B 6.11%
6 META PLATFORMS INC CL A 1,936,575 $1.26B 3.13%
7 MASTERCARD INC CL A 2,362,617 $1.22B 3.05%
8 BROADCOM INC 3,585,311 $1.15B 2.86%
9 GE VERNOVA LLC 1,134,806 $991.37M 2.47%
10 AMPHENOL CORPORATION CL A 5,584,065 $815.61M 2.03%
11 GENERAL ELECTRIC CO 2,020,265 $691.46M 1.72%
12 HOWMET AEROSPACE INC 2,500,268 $656.40M 1.64%
13 THERMO FISHER SCIENTIFIC INC 1,217,745 $634.58M 1.58%
14 TAIWAN SEMIC MFG CO LTD SP ADR 1,681,495 $629.85M 1.57%
15 HILTON WORLDWIDE HOLDINGS INC 1,578,620 $492.18M 1.23%
16 AUTODESK INC 1,984,061 $487.82M 1.22%
17 DANAHER CORP 2,211,095 $465.75M 1.16%
18 MEDTRONIC PLC 4,746,767 $463.57M 1.16%
19 SPOTIFY TECHNOLOGY SA 890,066 $458.33M 1.14%
20 KLA CORP 271,284 $413.59M 1.03%
21 NASDAQ INC 4,557,327 $399.13M 1.00%
22 GILEAD SCIENCES INC 2,601,765 $387.53M 0.97%
23 PHILIP MORRIS INTL INC 2,062,014 $385.25M 0.96%
24 MONSTER BEVERAGE CORP 4,290,021 $365.94M 0.91%
25 ARISTA NETWORKS INC 2,682,307 $358.09M 0.89%
26 STARBUCKS CORP 3,615,823 $354.42M 0.88%
27 KKR & CO INC 3,807,147 $333.81M 0.83%
28 CADENCE DESIGN SYSTEMS INC 1,072,822 $323.35M 0.81%
29 APPLOVIN CORP 726,540 $315.88M 0.79%
30 VULCAN MATERIALS CO 927,118 $287.41M 0.72%
31 SEAGATE TECHNOLOGY HOLDINGS PLC 699,147 $285.14M 0.71%
32 ABBOTT LABS 2,415,806 $281.08M 0.70%
33 SHOPIFY INC CL A 2,327,777 $281.03M 0.70%
34 TRANE TECHNOLOGIES PLC 604,073 $279.28M 0.70%
35 GOLDMAN SACHS GROUP INC 318,989 $274.19M 0.68%
36 UBER TECHNOLOGIES INC 3,579,550 $269.97M 0.67%
37 BOSTON SCIENTIFIC CORP 3,502,017 $269.13M 0.67%
38 CATERPILLAR INC 345,316 $256.51M 0.64%
39 APPLIED MATERIALS INC 688,197 $256.22M 0.64%
40 TAKE-TWO INTERACTV SOFTWR INC 1,193,756 $252.46M 0.63%
41 LPL FINL HLDGS INC 793,014 $238.21M 0.59%
42 O'REILLY AUTOMOTIVE INC 2,512,491 $235.87M 0.59%
43 MFS Institutional Money Market Portfolio, Class A 233,768,220 $233.79M 0.58%
44 LINDE PLC 455,736 $231.55M 0.58%
45 EATON CORP PLC 544,653 $204.75M 0.51%
46 CHENIERE ENERGY INC 853,452 $201.18M 0.50%
47 SNOWFLAKE INC CL A 1,170,566 $197.14M 0.49%
48 AIRBNB INC CLASS A 1,417,999 $191.59M 0.48%
49 TKO GROUP HOLDINGS INC 781,052 $174.85M 0.44%
50 CBRE GROUP INC - CL A 1,181,548 $174.47M 0.44%
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