MT

MFS Technology Fund | MTCAX

Mutual Fund
MFS SERIES TRUST I
Last update 2025-04-24 56 Stocks (6 new)
Value $2.03 Bil Turnover 14 %
Countries:
MFS Technology Fund Top Holdings of 2025-02-28 View Full List
Ticker
Company
Shares
Value ($1000)
Shares Change %
Weighting %
Trade Impact %
% of Shares outstanding
3M Change %
YTD Change %
Market Cap $Mil
Industry
META
Meta Platforms Inc
360,377
240,803.9
-1.92%
11.870
-0.20%
0.010
+39.98%
+19.99%
1,763,574.3
Interactive Media
GOOGL
Alphabet Inc
916,515
156,064.2
+0.80%
7.690
+0.06%
0.010
+21.59%
-2.79%
2,233,811.7
Interactive Media
MSFT
Microsoft Corp
360,992
143,310.2
-3.15%
7.060
-0.24%
0.000
+39.39%
+21.87%
3,803,232.7
Software
AAPL
Apple Inc
532,841
128,862.3
+0.80%
6.350
+0.05%
0.000
+6.76%
-15.93%
3,136,822.2
Hardware
NVDA
NVIDIA Corp
717,620
89,645.1
-47.31%
4.420
-4.36%
0.000
+70.47%
+28.85%
4,219,047.4
Semiconductors
AVGO
Broadcom Inc
364,677
72,727.5
-21.10%
3.580
-0.77%
0.010
+67.92%
+24.22%
1,347,309.3
Semiconductors
CRM
Salesforce Inc
236,632
70,480.8
+0.80%
3.470
+0.03%
0.020
+5.27%
-22.02%
248,445.3
Software
ORCL
Oracle Corp
409,306
67,969.4
+14.85%
3.350
+0.43%
0.010
+93.81%
+50.50%
698,697.2
Software
ACN
Accenture PLC
159,836
55,702.8
+12.70%
2.750
+0.31%
0.030
+0.62%
-18.49%
176,080.5
Software
NOW
ServiceNow Inc
59,779
55,580.1
-0.67%
2.740
-0.02%
0.030
+24.22%
-9.52%
198,689.8
Software

MFS Technology Fund's Historical Top Holdings Breakdowns

MFS Technology Fund's Top Stock Picks View Full List
Ticker
Company
Date
Action
Impact %
Price Range
Price
Price Change from Avrg%
Comment
Current Shares
Share Change
NVDA
NVIDIA Corp
2025-02-28
Reduce
Reduce
-4.36%
116.66 ($134.61) 149.43
$173.00
28.52%
Reduce -47.31%
717,620
-644,461
PLTR
Palantir Technologies Inc
2025-02-28
Sold Out
Sold Out
-1.87%
64.98 ($83.63) 124.62
$153.99
84.13%
Sold Out
0
-569,039
GWRE
Guidewire Software Inc
2025-02-28
Add
Add
+1.64%
168.58 ($191.4) 218.22
$221.15
15.54%
Add 967.68%
182,541
165,444
AMD
Advanced Micro Devices Inc
2025-02-28
Sold Out
Sold Out
-1.64%
99.51 ($120.43) 143.99
$160.41
33.20%
Sold Out
0
-243,947
IBM
International Business Machines Corp
International Business Machines Corp
2025-02-28
Add
Add
+1.63%
217.4 ($236.72) 264.74
$282.00
19.13%
Add 190.82%
199,096
130,635
OKTA
Okta Inc
2025-02-28
New Buy
New Buy
+1.43%
77.56 ($87.9) 100.26
$92.10
4.78%
New holding
320,737
320,737
QCOM
Qualcomm Inc
2025-02-28
Reduce
Reduce
-1.09%
150.4 ($163.47) 175.86
$152.61
-6.64%
Reduce -60.02%
93,766
-140,782
ESTC
Elastic NV
2025-02-28
New Buy
New Buy
+1.05%
96.02 ($106.84) 117.76
$86.30
-19.23%
New holding
182,838
182,838
DDOG
Datadog Inc
2025-02-28
Add
Add
+1.04%
113.37 ($143) 168.65
$143.15
0.10%
Add 285.13%
245,826
181,997
TEAM
Atlassian Corp
2025-02-28
New Buy
New Buy
+0.99%
236.24 ($274.93) 322.94
$190.62
-30.67%
New holding
70,584
70,584

MFS Technology Fund Total Holding History ($B)

To

MFS Technology Fund's Asset Allocation

To

MFS Technology Fund Past Portfolios

Portfolio Date Number of Stocks New Stocks Total Value ($Mil) Q/Q Turnover

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MFS Technology Fund's Hypothetical Growth since 2025-02-28

MFS Technology Fund's Yearly Returns

Year Portfolio % % Excess Gain %

MFS Technology Fund's Holdings Heat Map

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MFS Technology Fund's Holdings Bubble Chart

MFS Technology Fund News

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