Titelia

Holdings of MFS Massachusetts Investors Growth Stock Fund

MFS Massachusetts Investors Growth Stock Fund · 54 declared positions · as of Feb 28, 2026

Original filing · Net assets 9.9B $ · Ten largest lines: 50.8 % of the equity sleeve

Country breakdown

Shares computed on the equity sleeve, the only part this site carries.

CountryLinesValue (USD)Share
US 488.8B $89.81 %
TW 1443M $4.50 %
FR 3387.4M $3.93 %
HK 1170.2M $1.73 %
IE 13.6M $0.04 %

Sector breakdown is published in no regulatory filing: neither Form N-PORT nor the LEI reference data carries an activity code. It is absent rather than estimated.

Positions

CompanySharesValue (USD)Weight
Microsoft Corp 2,915,9381.1B $11.60 %
NVIDIA Corp 6,120,4541.1B $10.99 %
Apple Inc 1,710,162451.8M $4.58 %
Taiwan Semiconductor Manufacturing Co Ltd 1,182,615443M $4.49 %
Alphabet Inc 1,238,527386.1M $3.91 %
Amphenol Corp 2,591,212378.5M $3.83 %
Visa Inc 1,082,233346.5M $3.51 %
Accenture PLC 1,286,627268.5M $2.72 %
Aon PLC 784,995263.3M $2.67 %
TransUnion 3,078,182241.8M $2.45 %
Hubbell Inc 459,743235.2M $2.38 %
Church & Dwight Co Inc 2,152,329225.7M $2.29 %
CMS Energy Corp 2,789,637217.8M $2.21 %
Mastercard Inc 413,072213.6M $2.16 %
Eaton Corp PLC 528,942198.8M $2.01 %
Amazon.com Inc 916,096192.4M $1.95 %
Hilton Worldwide Holdings Inc 600,685187.3M $1.90 %
Agilent Technologies Inc 1,513,037183.7M $1.86 %
Moody's Corp 382,997182.9M $1.85 %
Tencent Holdings Ltd 2,571,100170.2M $1.72 %
L'Oreal SA 355,400166.9M $1.69 %
Verisk Analytics Inc 792,917164.6M $1.67 %
STERIS PLC 640,627161.7M $1.64 %
Becton Dickinson & Co 844,074149M $1.51 %
Danaher Corp 685,079144.3M $1.46 %
Intuit Inc 344,676141M $1.43 %
Boston Scientific Corp 1,810,366139.1M $1.41 %
TJX Cos Inc/The 800,252129.4M $1.31 %
Mettler-Toledo International Inc 84,595115.6M $1.17 %
Salesforce Inc 583,033113.6M $1.15 %
Sherwin-Williams Co/The 312,178113.2M $1.15 %
LVMH Moet Hennessy Louis Vuitton SE 174,142112M $1.13 %
Ross Stores Inc 541,307111.3M $1.13 %
Schneider Electric SE 332,175108.6M $1.10 %
Thermo Fisher Scientific Inc 199,932104.2M $1.06 %
Charles Schwab Corp/The 1,091,078103.9M $1.05 %
TE Connectivity PLC 444,111102.2M $1.04 %
Otis Worldwide Corp 1,088,157100.7M $1.02 %
CME Group Inc 276,47888.3M $0.90 %
Brookfield Asset Management Ltd 1,797,41183.9M $0.85 %
Graco Inc 752,81970.7M $0.72 %
Pool Corp 279,04663.4M $0.64 %
Stryker Corp 107,93441.8M $0.42 %
Waters Corp 114,23936.5M $0.37 %
Marsh & McLennan Cos Inc 170,25731.8M $0.32 %
PepsiCo Inc 169,07628.7M $0.29 %
McCormick & Co Inc/MD 357,79725.4M $0.26 %
Analog Devices Inc 64,94123.1M $0.23 %
Starbucks Corp 204,72320.1M $0.20 %
American Tower Corp 57,90211.1M $0.11 %
Texas Instruments Inc 44,4409.4M $0.10 %
Veeva Systems Inc 50,1099.1M $0.09 %
Walt Disney Co/The 61,7146.5M $0.07 %
ICON PLC 33,6283.6M $0.04 %