MRGRX
MFS Core Equity Fund
MFS SERIES TRUST I

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
CARVANA CO CL A 0 104,318 104,318 0.55% $34.86M
DIGITAL REALTY TRUST INC 0 150,229 150,229 0.42% $26.62M
ECHOSTAR CORP CL A 0 147,223 147,223 0.27% $17.01M
SLB LTD 0 315,220 315,220 0.25% $16.18M
REPLIGEN CORP 0 121,697 121,697 0.25% $15.67M
ALBEMARLE CORP 0 84,016 84,016 0.24% $15.01M
ROKU INC CLASS A 0 146,036 146,036 0.23% $14.37M
BIRKENSTOCK HOLDING LTD 0 340,814 340,814 0.22% $14.19M
PERFORMANCE FOOD GROUP CO 0 136,219 136,219 0.21% $13.22M
Icon Public Limited Company 0 120,521 120,521 0.20% $13.03M
PROSPERITY BNCSH 0 164,981 164,981 0.18% $11.61M
DUTCH BROS INC-A 0 214,275 214,275 0.18% $11.49M
TYSON FOODS INC CL A 0 147,958 147,958 0.15% $9.62M
LUMEXA IMAGING H 0 660,509 660,509 0.15% $9.34M
ZEBRA TECHNOLOGIES CORP CL A 0 40,372 40,372 0.14% $9.04M
JFROG LTD 0 190,200 190,200 0.12% $7.64M
SMARTSTOP SELF STORAGE REIT INC 0 212,876 212,876 0.11% $7.10M
STANDARDAERO INC 0 228,825 228,825 0.11% $7.05M
WAYSTAR HOLDING CORP 0 132,459 132,459 0.05% $3.40M
Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
TRINET GROUP INC 873,121 0 -873,121 0.00% -$51.16M
ANALOG DEVICES INC 164,959 0 -164,959 0.00% -$43.77M
AMERICAN TOWER CORP 210,160 0 -210,160 0.00% -$38.10M
ROSS STORES INC 185,360 0 -185,360 0.00% -$32.69M
NXP SEMICONDUCTORS NV 124,461 0 -124,461 0.00% -$24.26M
MONOLITHIC POWER SYS INC 25,387 0 -25,387 0.00% -$23.56M
INSIGHT ENTERPRISES INC 259,828 0 -259,828 0.00% -$22.49M
BIO-TECHNE CORP 343,350 0 -343,350 0.00% -$22.15M
EXELON CORP 400,802 0 -400,802 0.00% -$18.89M
AIRBNB INC CLASS A 153,656 0 -153,656 0.00% -$17.98M
MOTOROLA SOLUTIONS INC 47,860 0 -47,860 0.00% -$17.69M
GOODYEAR TIRE and RUBBER CO 1,810,179 0 -1,810,179 0.00% -$15.68M
API GROUP CORP 341,891 0 -341,891 0.00% -$13.53M
CHARTER COMMUNICATIONS INC A 65,880 0 -65,880 0.00% -$13.18M
VERTEX INC - CLASS A 665,647 0 -665,647 0.00% -$13.09M
TAPESTRY INC 118,476 0 -118,476 0.00% -$12.95M
BAKER HUGHES CO 231,588 0 -231,588 0.00% -$11.63M
HANCOCK WHITNEY CORP 171,542 0 -171,542 0.00% -$10.39M
MASIMO CORP 69,696 0 -69,696 0.00% -$9.93M
OPTION CARE HEALTH INC 310,757 0 -310,757 0.00% -$9.66M
EXTRA SPACE STORAGE INC 68,868 0 -68,868 0.00% -$9.17M
HASBRO INC 107,194 0 -107,194 0.00% -$8.85M
ELF BEAUTY INC 113,253 0 -113,253 0.00% -$8.63M
SENTINELONE INC 511,387 0 -511,387 0.00% -$8.29M
AIR PRODUCTS and CHEMICALS INC 28,235 0 -28,235 0.00% -$7.37M
NETSKOPE INC-A 390,356 0 -390,356 0.00% -$7.17M
ATLASSIAN CORP PLC CLS A 46,784 0 -46,784 0.00% -$7.00M
Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
NVIDIA CORP 1,736,323 2,554,018 817,695 7.11% $145.22M
APPLE INC 1,246,981 1,419,970 172,989 5.90% $27.41M
GILEAD SCIENCES INC 665,495 838,949 173,454 1.96% $41.22M
PFIZER INC 3,573,167 4,044,489 471,322 1.76% $19.86M
MASTERCARD INC CL A 170,192 185,299 15,107 1.51% $2.14M
MEDTRONIC PLC 558,220 564,880 6,660 0.87% -$3.63M
ARISTA NETWORKS INC 210,136 362,812 152,676 0.76% $20.97M
T-MOBILE US INC 179,389 222,560 43,171 0.76% $10.82M
THE CIGNA GROUP 142,235 154,044 11,809 0.70% $5.21M
SPOTIFY TECHNOLOGY SA 79,825 83,933 4,108 0.68% -$4.58M
UBER TECHNOLOGIES INC 333,311 563,204 229,893 0.67% $13.30M
TJX COS INC 38,449 258,993 220,544 0.66% $36.03M
AUTODESK INC 148,000 168,330 20,330 0.65% -$3.51M
GE VERNOVA LLC 32,025 45,393 13,368 0.62% $20.45M
TRANE TECHNOLOGIES PLC 65,398 82,170 16,772 0.60% $10.42M
INTUIT INC 83,899 86,837 2,938 0.56% -$17.68M
GUIDEWIRE SOFTWARE INC 167,561 216,825 49,264 0.50% -$4.68M
MYR GROUP INC/DELAWARE 76,978 109,413 32,435 0.46% $12.27M
SEMPRA ENERGY 210,373 272,300 61,927 0.41% $6.29M
STERIS PLC 65,626 101,846 36,220 0.40% $8.23M
WW GRAINGER INC 19,883 20,929 1,046 0.38% $5.10M
PENTAIR PLC 232,611 240,428 7,817 0.37% -$631.93K
VISTRA CORP 111,899 127,244 15,345 0.35% $2.11M
GENERAL DYNAMICS CORPORATION 59,772 60,262 490 0.34% $1.10M
SHERWIN WILLIAMS CO 51,111 52,533 1,422 0.30% $1.48M
VERISK ANALYTICS INC 67,687 71,110 3,423 0.23% -$474.01K
BLOCK INC CL A 133,513 201,996 68,483 0.20% $3.95M
AVERY DENNISON CORP 48,760 63,992 15,232 0.20% $4.16M
FIDELITY NATL INFORM SVCS INC 215,012 223,829 8,817 0.18% -$2.74M
BRIGHT HORIZONS FAMILY SOLUTIONS INC 93,020 119,827 26,807 0.14% -$629.23K
HIGHWOODS PROPERTIES INC 291,733 377,112 85,379 0.13% $371.07K
Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
MICROSOFT CORP 833,837 794,198 -39,639 4.90% -$98.34M
ALPHABET INC CL A 946,816 941,220 -5,596 4.61% -$9.72M
AMAZON.COM INC 1,325,923 1,234,102 -91,821 4.07% -$50.07M
BROADCOM INC 647,619 544,263 -103,356 2.73% -$87.05M
META PLATFORMS INC CL A 263,450 257,868 -5,582 2.63% -$3.56M
JOHNSON&JOHNSON 604,940 576,182 -28,758 2.25% $17.97M
JPMORGAN CHASE and CO 450,405 428,995 -21,410 2.03% -$12.19M
LAM RESEARCH CORP 461,251 439,325 -21,926 1.62% $30.80M
EXXON MOBIL CORP 642,937 612,373 -30,564 1.47% $18.86M
KLA CORP 42,410 40,394 -2,016 0.97% $11.73M
CATERPILLAR INC 98,037 82,801 -15,236 0.97% $5.06M
CADENCE DESIGN SYSTEMS INC 199,078 189,615 -9,463 0.90% -$4.93M
PNC FINANCIAL SERVICES GRP INC 269,431 268,515 -916 0.90% $5.63M
BJS WHSL CLUB HLDGS INC 526,189 501,175 -25,014 0.78% $2.56M
CHUBB LTD 143,485 136,664 -6,821 0.73% $4.09M
PEPSICO INC 312,447 273,653 -38,794 0.73% -$23.51K
MORGAN STANLEY 285,055 271,504 -13,551 0.71% -$3.15M
RTX CORP 231,836 220,814 -11,022 0.70% $4.19M
EMERSON ELECTRIC CO 322,412 293,580 -28,832 0.70% $1.25M
CRH PLC 373,465 355,711 -17,754 0.67% -$2.12M
BECTON DICKINSON and CO 248,665 236,843 -11,822 0.66% -$6.45M
PHILIP MORRIS INTL INC 233,258 222,169 -11,089 0.65% $4.77M
CONOCOPHILLIPS 381,699 363,554 -18,145 0.65% $7.40M
AMPHENOL CORPORATION CL A 296,360 282,271 -14,089 0.65% -$528.62K
GENERAL ELECTRIC CO 139,480 117,221 -22,259 0.63% -$1.51M
WELLS FARGO & CO 566,820 477,038 -89,782 0.61% -$9.81M
AON PLC 121,177 115,417 -5,760 0.61% -$4.17M
GFL ENVIRONM-SUB 927,646 867,663 -59,983 0.60% -$3.84M
WATERS CORP 174,505 117,397 -57,108 0.59% -$32.90M
SCHWAB CHARLES CORP 410,642 391,121 -19,521 0.59% -$844.11K
MFS Institutional Money Market Portfolio, Class A 49,940,853 35,912,950 -14,027,902 0.56% -$14.03M
FLOOR & DECOR-A 534,653 509,237 -25,416 0.55% $1.17M
AMETEK INC NEW 153,536 146,921 -6,615 0.55% $4.76M
PG&E CORP 2,038,090 1,811,096 -226,994 0.54% $1.56M
LEGENCE CORP-A 627,393 547,320 -80,073 0.50% $2.92M
TRACTOR SUPPLY CO. 621,528 591,982 -29,546 0.48% -$3.36M
VISA INC-CLASS A 128,938 95,333 -33,605 0.48% -$12.60M
CME GROUP INC CL A 100,025 95,269 -4,756 0.48% $2.29M
MOODYS CORP 63,863 60,827 -3,036 0.46% -$2.29M
HILTON WORLDWIDE HOLDINGS INC 96,041 91,475 -4,566 0.45% $1.15M
NORDSON CORP 108,643 96,133 -12,510 0.44% $2.39M
PROGRESSIVE CORP OHIO 138,486 131,902 -6,584 0.44% -$3.50M
CHENIERE ENERGY INC 124,781 118,849 -5,932 0.44% $2.00M
ACCENTURE PLC CL A 137,980 131,422 -6,558 0.43% -$7.06M
EATON CORP PLC 76,466 72,831 -3,635 0.43% $929.80K
MCKESSON CORP 29,101 27,718 -1,383 0.43% $1.73M
HOWMET AEROSPACE INC 143,184 101,675 -41,509 0.42% -$2.60M
LEIDOS HOLDINGS INC 226,994 149,943 -77,051 0.41% -$17.12M
LINDE PLC 53,850 51,290 -2,560 0.41% $3.96M
SEAGATE TECHNOLOGY HOLDINGS PLC 64,095 63,723 -372 0.41% $8.25M
CURTISS WRIGHT CORPORATION 40,039 36,306 -3,733 0.40% $2.83M
KKR & CO INC 302,689 288,301 -14,388 0.40% -$11.74M
MONDELEZ INTL INC 422,346 402,269 -20,077 0.39% $457.27K
ARTHUR J GALLAGHAR AND CO 112,501 107,154 -5,347 0.38% -$3.40M
BOSTON SCIENTIFIC CORP 322,803 307,458 -15,345 0.37% -$9.16M
DUKE ENERGY CORP NEW 189,160 180,167 -8,993 0.37% $130.36K
APTIV PLC 532,988 302,694 -230,294 0.35% -$19.07M
FED REALTY INVS 214,456 204,260 -10,196 0.35% $1.04M
NEXTERA ENERGY INC 246,732 235,003 -11,729 0.35% $745.73K
WILLIS TOWERS WATSON PLC 75,123 71,551 -3,572 0.34% -$2.28M
JACOBS SOLUTIONS INC 212,728 155,812 -56,916 0.34% -$7.20M
COLGATE-PALMOLIVE CO 226,740 215,961 -10,779 0.34% $3.18M
STARBUCKS CORP 227,936 217,100 -10,836 0.33% $1.42M
ARAMARK 1,180,500 500,587 -679,913 0.33% -$22.93M
TRANSUNION 858,586 257,456 -601,130 0.32% -$52.80M
ADV ENERGY INDS 62,540 59,567 -2,973 0.31% $6.78M
PROCTER & GAMBLE 124,706 118,779 -5,927 0.31% $1.38M
KENVUE INC 1,042,726 993,157 -49,569 0.30% $897.87K
NNN REIT INC 428,513 408,143 -20,370 0.29% $778.03K
PULTEGROUP INC 137,424 130,892 -6,532 0.28% $479.42K
TYLER TECHNOLOGIES INC 64,292 46,838 -17,454 0.26% -$13.58M
WALT DISNEY CO/T 322,266 152,622 -169,644 0.25% -$17.48M
PRINCIPAL FINL GROUP INC 176,925 168,514 -8,411 0.25% $1.07M
BWX TECHNOLOGIES INC 77,956 74,250 -3,706 0.24% $1.35M
XCEL ENERGY INC 191,106 182,022 -9,084 0.24% -$518.36K
HUBSPOT INC 73,127 57,333 -15,794 0.24% -$11.70M
VIKING HOLDINGS LTD 201,398 191,824 -9,574 0.24% $1.52M
MACOM TECHNOLOGY SOLUTIONS HOLDINGS INC 62,860 59,871 -2,989 0.23% $3.86M
FERGUSON ENTERPRISES INC 56,934 56,923 -11 0.23% $514.66K
OKTA INC CL A 217,259 203,256 -14,003 0.23% -$2.72M
MONGODB INC CL A 74,126 44,795 -29,331 0.23% -$9.92M
COCA-COLA EUROPA 206,940 133,098 -73,842 0.23% -$4.28M
ILLUMINA INC 129,669 104,899 -24,770 0.22% -$2.94M
LKQ CORP 434,123 413,485 -20,638 0.22% $801.38K
RAYMOND JAMES FINANCIAL INC. 90,199 85,911 -4,288 0.21% -$968.50K
CRANE CO 68,425 65,172 -3,253 0.21% $530.06K
TAKE-TWO INTERACTV SOFTWR INC 63,964 60,923 -3,041 0.20% -$2.86M
ABBVIE INC 85,925 54,962 -30,963 0.20% -$6.81M
HUMANA INC 68,827 65,555 -3,272 0.20% -$4.42M
EVERGY INC 156,646 149,201 -7,445 0.20% $318.59K
EQT CORPORATION 207,230 197,379 -9,851 0.19% -$489.00K
ALLEGION PLC 75,913 72,305 -3,608 0.18% -$951.88K
SMURFIT WESTROCK PLC 249,860 237,982 -11,878 0.18% $2.27M
PERMIAN RESOURCES CORP CL A 641,409 610,918 -30,491 0.18% $1.88M
TECHNIPFMC PLC 175,288 166,956 -8,332 0.17% $3.14M
COHERENT CORP 44,687 42,563 -2,124 0.17% $3.68M
ASSURANT INC 50,104 47,722 -2,382 0.17% -$475.23K
VALERO ENERGY CORP 54,857 52,250 -2,607 0.17% $995.92K
TPG INC 245,565 233,891 -11,674 0.16% -$4.35M
EVEREST REINSURANCE GROUP LTD 31,090 29,613 -1,477 0.16% $163.59K
SELECTIVE INSURANCE GROUP INC 123,165 117,310 -5,855 0.15% $182.89K
COLUMBIA BANKING SYSTEMS INC 361,772 344,576 -17,196 0.15% -$225.13K
LIVE NATION ENTERTAINMENT INC 59,344 56,522 -2,822 0.14% $1.36M
PHILLIPS 66 61,797 58,861 -2,936 0.14% $620.30K
NORTHERN TRUST CORP 66,583 63,418 -3,165 0.14% $329.47K
AMER SPORTS INC 235,413 224,222 -11,191 0.13% -$224.93K
LINCOLN NATL CRP 412,159 235,839 -176,320 0.13% -$8.87M
OMNICOM GROUP INC 96,001 91,439 -4,562 0.12% $923.24K
REXFORD INDUSTRIAL REALTY INC 431,657 197,327 -234,330 0.12% -$10.57M
CELSIUS HOLDINGS INC 136,056 129,588 -6,468 0.11% $1.38M
FIRST SOLAR INC 35,505 33,817 -1,688 0.10% -$3.02M
GRAND CANYON EDUCATION INC 38,175 36,359 -1,816 0.09% -$238.10K
DRAFTKINGS INC 202,504 192,877 -9,627 0.07% -$2.12M
COLUMBIA SPORTSWEAR CO 72,515 69,067 -3,448 0.07% $383.23K
WOLVERINE WORLD WIDE INC 214,594 204,392 -10,202 0.06% $133.04K
PHOENIX EDUCATION PARTNERS INC 111,700 106,390 -5,310 0.05% -$616.26K
BRUNSWICK CORP 68,175 35,558 -32,617 0.04% -$1.68M
BULLISH 45,336 43,181 -2,155 0.02% -$622.10K
JPMORGAN US GOVERNMENT MONEY MARKET FUND OPEN-END FUND USD 1,793,750 1,299,800 -493,950 0.02% -$493.95K

No positions in this category.

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