MTCBX
MFS Technology 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
TEXAS INSTRUMENTS INC 0 123,052 123,052 1.30% $26.10M
HUBSPOT INC 0 34,637 34,637 0.46% $9.16M
INTEL CORP 0 163,680 163,680 0.37% $7.47M
NEW TAIWAN DOLLAR 0 2,409,990 2,409,990 0.00% $77.22K
Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
GUIDEWIRE SOFTWARE INC 203,550 0 -203,550 0.00% -$43.96M
PALANTIR TECHNOLOGIES INC 184,505 0 -184,505 0.00% -$31.08M
ZSCALER INC 86,490 0 -86,490 0.00% -$21.75M
ATLASSIAN CORP PLC CLS A 61,656 0 -61,656 0.00% -$9.22M
ONTO INNOVATION INC 60,532 0 -60,532 0.00% -$8.67M
CDW CORPORATION 56,255 0 -56,255 0.00% -$8.11M
TAKE-TWO INTERACTV SOFTWR INC 25,534 0 -25,534 0.00% -$6.28M
VERTEX INC - CLASS A 304,044 0 -304,044 0.00% -$5.98M
ADOBE INC 14,426 0 -14,426 0.00% -$4.62M
JAPANESE YEN 27,605,520 0 -27,605,520 0.00% -$176.73K
Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
NVIDIA CORP 965,292 1,140,907 175,615 10.09% $31.30M
MICROSOFT CORP 341,600 369,717 28,117 7.25% -$22.87M
META PLATFORMS INC CL A 112,766 153,251 40,485 4.96% $26.27M
ADV MICRO DEVICE 314,086 323,689 9,603 3.23% -$3.52M
CISCO SYSTEMS INC 526,989 638,355 111,366 2.53% $10.18M
HITACHI LTD 1,333,600 1,348,000 14,400 2.25% $2.70M
ARISTA NETWORKS INC 161,271 269,744 108,473 1.80% $14.94M
INTUIT INC 53,350 57,874 4,524 1.18% -$10.16M
CORNING INC 125,930 146,263 20,333 1.10% $11.39M
PEGASYSTEMS INC 396,231 489,191 92,960 1.07% -$309.25K
MONGODB INC CL A 34,335 56,867 22,532 0.93% $7.27M
GLOBAL WAFERS 1,049,000 1,175,000 126,000 0.86% $4.56M
TYLER TECHNOLOGIES INC 38,553 41,585 3,032 0.74% -$3.36M
AUTODESK INC 14,654 51,005 36,351 0.63% $8.10M
Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
ALPHABET INC CL A 767,917 632,812 -135,105 9.85% -$48.59M
APPLE INC 771,957 709,421 -62,536 9.36% -$27.85M
BROADCOM INC 500,654 483,804 -16,850 7.72% -$47.14M
SHOPIFY INC CL A 682,709 669,291 -13,418 4.03% -$27.50M
LAM RESEARCH CORP 328,047 274,500 -53,547 3.20% $13.03M
APPLIED MATERIALS INC 153,993 148,809 -5,184 2.77% $16.56M
TSMC 800,000 634,000 -166,000 1.99% $3.13M
KLA CORP 26,002 25,127 -875 1.91% $7.74M
ORACLE CORP 266,913 257,929 -8,984 1.87% -$16.40M
INTL BUS MACH CORP 174,156 152,997 -21,159 1.83% -$16.99M
ACCENTURE PLC CL A 163,347 157,850 -5,497 1.64% -$7.89M
TERADYNE INC 152,536 88,367 -64,169 1.41% $535.32K
COHERENT CORP 106,104 102,534 -3,570 1.33% $9.12M
CADENCE DESIGN SYSTEMS INC 88,788 85,800 -2,988 1.29% -$1.83M
CROWDSTRIKE HOLDINGS INC 77,178 58,235 -18,943 1.08% -$17.63M
SEAGATE TECHNOLOGY HOLDINGS PLC 54,464 52,629 -1,835 1.07% $6.39M
CONSTELLATION SOFTWARE INC 11,757 11,361 -396 1.05% -$7.78M
EPAM SYSTEMS INC 128,191 123,877 -4,314 0.87% -$6.51M
AMPHENOL CORPORATION CL A 121,012 116,939 -4,073 0.85% $29.52K
VERISK ANALYTICS INC 70,122 67,761 -2,361 0.70% -$1.72M
JFROG LTD 335,922 324,616 -11,306 0.65% -$7.45M
SNOWFLAKE INC CL A 247,480 62,694 -184,786 0.53% -$51.62M
ANALOG DEVICES INC 29,604 28,607 -997 0.51% $2.32M
AON PLC 30,679 29,646 -1,033 0.50% -$912.57K
SERVICETITAN INC-A 132,386 127,930 -4,456 0.46% -$2.57M
DATADOG INC CL A 161,950 79,287 -82,663 0.44% -$17.04M
MFS Institutional Money Market Portfolio, Class A 10,672,200 6,601,962 -4,070,238 0.33% -$4.07M
FIGMA INC-CL A 3,792 3,664 -128 0.01% -$28.71K
Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
CONSTELLATION-28 9,895 9,895 0 0.00% $0

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