Holdings (Monthly)
Guide ↗
MFS Core Equity Fund
· Mfs Series Trust I| # | Name | Ticker | Since | Shares | Shares Δ | Value | Val Δ% | % Port | Cat |
|---|---|---|---|---|---|---|---|---|---|
| 1 | Micron Technology Inc | 595112103 | May 2026 | 81,558 | NEW | $79.2M | — | 1.22% | EC |
| 2 | Sandisk Corp/DE | 80004C200 | May 2026 | 30,232 | NEW | $51.2M | — | 0.79% | EC |
| 3 | Honeywell International Inc | 438516106 | May 2026 | 196,375 | NEW | $46.7M | — | 0.72% | EC |
| 4 | Vertex Pharmaceuticals Inc | 92532F100 | May 2026 | 99,165 | NEW | $44.4M | — | 0.68% | EC |
| 5 | Netflix Inc | 64110L106 | May 2026 | 512,052 | NEW | $44.0M | — | 0.68% | EC |
| 6 | Chubb Ltd | 000000000 | Feb 2026 | 129,971 | NEW | $40.5M | — | 0.62% | EC |
| 7 | Simpson Manufacturing Co Inc | 829073105 | May 2026 | 203,857 | NEW | $38.7M | — | 0.60% | EC |
| 8 | CRH PLC | 000000000 | Feb 2026 | 338,294 | NEW | $36.8M | — | 0.57% | EC |
| 9 | Trane Technologies PLC | 000000000 | Feb 2026 | 78,146 | NEW | $35.3M | — | 0.54% | EC |
| 10 | Aon PLC | 000000000 | Feb 2026 | 109,765 | NEW | $34.7M | — | 0.53% | EC |
| 11 | Analog Devices Inc | 032654105 | May 2026 | 79,686 | NEW | $33.0M | — | 0.51% | EC |
| 12 | JFrog Ltd | 000000000 | Feb 2026 | 342,429 | NEW | $27.2M | — | 0.42% | EC |
| 13 | Seagate Technology Holdings PLC | 000000000 | Feb 2026 | 30,533 | NEW | $26.9M | — | 0.41% | EC |
| 14 | Spotify Technology SA | 000000000 | Feb 2026 | 53,783 | NEW | $26.8M | — | 0.41% | EC |
| 15 | Linde PLC | 000000000 | Feb 2026 | 48,778 | NEW | $24.3M | — | 0.37% | EC |
| 16 | Pentair PLC | 000000000 | Feb 2026 | 334,890 | NEW | $23.7M | — | 0.37% | EC |
| 17 | Accenture PLC | 000000000 | Feb 2026 | 112,696 | NEW | $21.1M | — | 0.33% | EC |
| 18 | DigitalOcean Holdings Inc | 25402D102 | May 2026 | 116,843 | NEW | $18.2M | — | 0.28% | EC |
| 19 | Willis Towers Watson PLC | 000000000 | Feb 2026 | 68,046 | NEW | $17.0M | — | 0.26% | EC |
| 20 | Viking Holdings Ltd | 000000000 | Feb 2026 | 182,431 | NEW | $16.8M | — | 0.26% | EC |
| 21 | XPO Inc | 983793100 | May 2026 | 76,320 | NEW | $16.4M | — | 0.25% | EC |
| 22 | American Express Co | 025816109 | May 2026 | 49,294 | NEW | $15.6M | — | 0.24% | EC |
| 23 | ICON PLC | 000000000 | Feb 2026 | 114,620 | NEW | $15.6M | — | 0.24% | EC |
| 24 | FedEx Corp | 31428X106 | May 2026 | 36,446 | NEW | $15.0M | — | 0.23% | EC |
| 25 | RBC Bearings Inc | 75524B104 | May 2026 | 26,228 | NEW | $15.0M | — | 0.23% | EC |
| 26 | Birkenstock Holding Plc | 000000000 | Feb 2026 | 324,126 | NEW | $14.6M | — | 0.23% | EC |
| 27 | Bentley Systems Inc | 08265T208 | May 2026 | 395,572 | NEW | $12.9M | — | 0.20% | EC |
| 28 | Primoris Services Corp | 74164F103 | May 2026 | 91,883 | NEW | $11.6M | — | 0.18% | EC |
| 29 | Coca-Cola Europacific Partners PLC | 000000000 | Feb 2026 | 126,581 | NEW | $11.5M | — | 0.18% | EC |
| 30 | STERIS PLC | 000000000 | Feb 2026 | 53,059 | NEW | $11.3M | — | 0.17% | EC |
| 31 | TechnipFMC PLC | 000000000 | Feb 2026 | 158,780 | NEW | $10.9M | — | 0.17% | EC |
| 32 | Aptiv PLC | 000000000 | Feb 2026 | 149,418 | NEW | $10.2M | — | 0.16% | EC |
| 33 | Visteon Corp | 92839U206 | May 2026 | 78,850 | NEW | $9.3M | — | 0.14% | EC |
| 34 | International Paper Co | 460146103 | May 2026 | 276,700 | NEW | $9.3M | — | 0.14% | EC |
| 35 | Everest Group Ltd | 000000000 | Feb 2026 | 28,163 | NEW | $9.1M | — | 0.14% | EC |
| 36 | Arxis Inc | 04339D105 | May 2026 | 178,822 | NEW | $8.0M | — | 0.12% | EC |
| 37 | IDEXX Laboratories Inc | 45168D104 | May 2026 | 13,976 | NEW | $7.9M | — | 0.12% | EC |
| 38 | Amer Sports Inc | 000000000 | Feb 2026 | 213,242 | NEW | $7.6M | — | 0.12% | EC |
| 39 | Donaldson Co Inc | 257651109 | May 2026 | 69,171 | NEW | $5.7M | — | 0.09% | EC |
| 40 | International Flavors & Fragrances Inc | 459506101 | May 2026 | 67,624 | NEW | $5.1M | — | 0.08% | EC |
| 41 | elf Beauty Inc | 26856L103 | May 2026 | 32,128 | NEW | $1.8M | — | 0.03% | EC |
| 42 | Bullish | 000000000 | Feb 2026 | 41,068 | NEW | $1.4M | — | 0.02% | EC |