|
Issuer
|
|
|
Shares/Par
|
Value ($)
|
|
Mutual Funds (h) – 100.0%
|
||||
|
International Equity Funds – 31.5%
|
||||
|
MFS Emerging Markets Equity Fund - Class R6
|
|
|
1,930,195
|
$96,799,276
|
|
MFS International Growth Fund - Class R6
|
|
|
3,132,098
|
159,235,875
|
|
MFS International Intrinsic Value Fund - Class R6
|
|
|
3,348,886
|
161,449,801
|
|
MFS International Large Cap Value Fund - Class R6
|
|
|
8,702,539
|
160,300,769
|
|
MFS International New Discovery Fund - Class R6
|
|
|
3,525,878
|
129,082,401
|
|
MFS Research International Fund - Class R6
|
|
|
9,072,914
|
259,848,236
|
|
|
|
|
|
$966,716,358
|
|
Non-Traditional Funds – 10.3%
|
||||
|
MFS Commodity Strategy Fund - Class R6
|
|
|
38,996,989
|
$158,327,773
|
|
MFS Global Real Estate Fund - Class R6
|
|
|
9,056,099
|
157,757,249
|
|
|
|
|
|
$316,085,022
|
|
U.S. Equity Funds – 57.2%
|
||||
|
MFS Growth Fund - Class R6
|
|
|
1,687,918
|
$319,016,412
|
|
MFS Mid Cap Growth Fund - Class R6
|
|
|
10,228,862
|
290,908,845
|
|
MFS Mid Cap Value Fund - Class R6
|
|
|
9,280,354
|
313,026,357
|
|
MFS New Discovery Fund - Class R6 (a)
|
|
|
2,057,823
|
75,419,195
|
|
MFS New Discovery Value Fund - Class R6
|
|
|
4,243,182
|
77,268,342
|
|
MFS Research Fund - Class R6
|
|
|
5,478,418
|
306,572,284
|
|
MFS Value Fund - Class R6
|
|
|
7,052,368
|
373,775,528
|
|
|
|
|
|
$1,755,986,963
|
|
Money Market Funds – 1.0%
|
|
|||
|
MFS Institutional Money Market Portfolio, 3.7% (v)
|
|
|
30,486,877
|
$30,489,926
|
|
Total Mutual Funds
|
$3,069,278,269
|
|||
|
|
||||
|
Other Assets, Less Liabilities – 0.0%
|
|
312,414
|
||
|
Net Assets – 100.0%
|
$3,069,590,683
|
|||
|
(a)
|
Non-income producing security.
|
|
(h)
|
An affiliated issuer, which may be considered one in which the fund owns 5% or more
of the outstanding voting securities, or a company which is under
common control. At period end, the aggregate value of the fund’s investments in affiliated issuers was $3,069,278,269.
|
|
(v)
|
Affiliated issuer that is available only to investment companies managed by MFS. The
rate quoted for the MFS Institutional Money Market Portfolio is the
annualized seven-day yield of the fund at period end.
|
|
Financial Instruments
|
Level 1
|
Level 2
|
Level 3
|
Total
|
|
Investment Companies
|
$3,069,278,269
|
$—
|
$—
|
$3,069,278,269
|
|
Affiliated Issuers
|
Beginning
Value
|
Purchases
|
Sales
Proceeds
|
Realized
Gain
(Loss)
|
Change in
Unrealized
Appreciation or
Depreciation
|
Ending
Value
|
|
MFS Commodity Strategy Fund
|
$129,672,592
|
$25,213,887
|
$13,125,717
|
$(672,854
)
|
$17,239,865
|
$158,327,773
|
|
MFS Emerging Markets Equity Fund
|
85,910,204
|
2,499,499
|
17,123,709
|
1,902,384
|
23,610,898
|
96,799,276
|
|
MFS Global Real Estate Fund
|
141,400,341
|
9,455,276
|
1,924,442
|
(12,329
)
|
8,838,403
|
157,757,249
|
|
MFS Growth Fund
|
333,053,813
|
47,756,502
|
39,580,072
|
3,680,833
|
(25,894,664
)
|
319,016,412
|
|
MFS Institutional Money Market Portfolio
|
37,745,956
|
72,404,651
|
79,663,916
|
901
|
2,334
|
30,489,926
|
|
MFS International Growth Fund
|
144,079,217
|
8,661,088
|
7,195,788
|
981,506
|
12,709,852
|
159,235,875
|
|
MFS International Intrinsic Value Fund
|
145,673,754
|
12,431,497
|
18,943,369
|
2,440,373
|
19,847,546
|
161,449,801
|
|
MFS International Large Cap Value Fund
|
147,382,308
|
12,247,232
|
24,699,079
|
3,279,855
|
22,090,453
|
160,300,769
|
|
MFS International New Discovery Fund
|
115,060,641
|
4,877,268
|
2,799,410
|
149,117
|
11,794,785
|
129,082,401
|
|
MFS Mid Cap Growth Fund
|
292,799,705
|
45,594,936
|
13,538,816
|
979,970
|
(34,926,950
)
|
290,908,845
|
|
MFS Mid Cap Value Fund
|
282,479,689
|
23,485,468
|
17,825,342
|
(135,178
)
|
25,021,720
|
313,026,357
|
|
MFS New Discovery Fund
|
72,503,752
|
69,628
|
11,052,513
|
(48,038
)
|
13,946,366
|
75,419,195
|
|
MFS New Discovery Value Fund
|
70,758,347
|
7,727,977
|
6,166,304
|
(186,544
)
|
5,134,866
|
77,268,342
|
|
MFS Research Fund
|
296,266,565
|
44,304,953
|
28,626,909
|
1,918,589
|
(7,290,914
)
|
306,572,284
|
|
MFS Research International Fund
|
232,952,800
|
14,223,699
|
18,800,723
|
1,697,194
|
29,775,266
|
259,848,236
|
|
MFS Value Fund
|
333,006,577
|
35,090,286
|
13,818,430
|
159,983
|
19,337,112
|
373,775,528
|
|
|
$2,860,746,261
|
$366,043,847
|
$314,884,539
|
$16,135,762
|
$141,236,938
|
$3,069,278,269
|
|
Affiliated Issuers
|
Dividend
Income
|
Capital Gain
Distributions
|
|
MFS Commodity Strategy Fund
|
$20,903,896
|
$—
|
|
MFS Emerging Markets Equity Fund
|
2,379,493
|
—
|
|
MFS Global Real Estate Fund
|
4,702,715
|
—
|
|
MFS Growth Fund
|
—
|
43,897,316
|
|
MFS Institutional Money Market Portfolio
|
935,494
|
—
|
|
MFS International Growth Fund
|
1,970,420
|
6,131,171
|
|
MFS International Intrinsic Value Fund
|
3,035,871
|
9,182,389
|
|
MFS International Large Cap Value Fund
|
5,699,674
|
6,524,312
|
|
MFS International New Discovery Fund
|
2,224,741
|
1,717,106
|
|
MFS Mid Cap Growth Fund
|
—
|
37,013,575
|
|
MFS Mid Cap Value Fund
|
4,745,949
|
18,154,145
|
|
Affiliated Issuers − continued
|
Dividend
Income
|
Capital Gain
Distributions
|
|
MFS New Discovery Fund
|
$—
|
$—
|
|
MFS New Discovery Value Fund
|
2,596,414
|
4,931,903
|
|
MFS Research Fund
|
2,416,539
|
40,997,776
|
|
MFS Research International Fund
|
5,497,026
|
7,694,183
|
|
MFS Value Fund
|
4,882,537
|
26,001,075
|
|
|
$61,990,769
|
$202,244,951
|