MG

MFS Growth Fund | MFEGX

Mutual Fund
MFS SERIES TRUST II
Last update 2025-01-27 68 Stocks (12 new)
Value $47.73 Bil Turnover 13 %
Countries:
MFS Growth Fund Top Holdings of 2024-11-30 View Full List
Ticker
Company
Shares
Value ($1000)
Shares Change %
Weighting %
Trade Impact %
% of Shares outstanding
3M Change %
YTD Change %
Market Cap $Mil
Industry
MSFT
Microsoft Corp
12,961,948
5,488,866.5
-12.04%
11.500
-1.63%
0.170
-14.10%
-12.57%
2,734,070.0
Software
NVDA
NVIDIA Corp
29,963,266
4,142,421.5
-0.39%
8.680
-0.03%
0.120
-26.29%
-24.42%
2,476,356.0
Semiconductors
AMZN
Amazon.com Inc
16,629,332
3,457,071.8
-0.39%
7.240
-0.03%
0.160
-23.60%
-21.32%
1,831,800.1
Retail - Cyclical
META
Meta Platforms Inc
5,117,310
2,938,973.5
-0.39%
6.160
-0.02%
0.200
-18.09%
-14.28%
1,270,579.4
Interactive Media
AAPL
Apple Inc
11,462,910
2,720,492.4
-1.35%
5.700
-0.08%
0.080
-14.25%
-21.25%
2,959,047.9
Hardware
GOOGL
Alphabet Inc
14,294,576
2,415,068.6
-16.92%
5.060
-1.05%
0.120
-22.79%
-20.06%
1,854,733.8
Interactive Media
MA
Mastercard Inc
3,013,299
1,605,907.6
-1.35%
3.360
-0.04%
0.330
-1.25%
-1.45%
471,654.2
Credit Services
TSLA
Tesla Inc
3,891,776
1,343,285.4
New Holding
2.810
+2.81%
0.120
-43.41%
-40.23%
776,370.7
Vehicles & Parts
KKR
KKR & Co Inc
5,983,589
974,547.1
+7.10%
2.040
+0.14%
0.670
-34.31%
-30.02%
91,818.5
Asset Management
ETN
Eaton Corp PLC
2,240,636
841,179.6
-4.26%
1.760
-0.07%
0.570
-22.23%
-18.85%
105,119.6
Industrial Products

MFS Growth Fund's Historical Top Holdings Breakdowns

MFS Growth 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
TSLA
Tesla Inc2024-11-30New Buy
+2.81%
210.6 ($262.85) 352.56
$241.37
-8.17%
New holding
3,891,776
3,891,776
MSFT
Microsoft Corp2024-11-30Reduce
-1.63%
401.7 ($420.92) 438.69
$367.78
-12.62%
Reduce -12.04%
12,961,948
-1,774,734
ADSK
Autodesk Inc2024-11-30New Buy
+1.28%
250.37 ($283.39) 321.27
$259.47
-8.44%
New holding
2,095,613
2,095,613
NFLX
Netflix Inc2024-11-30New Buy
+1.25%
665.77 ($752.26) 897.79
$973.03
29.35%
New holding
673,846
673,846
REGN
Regeneron Pharmaceuticals Inc2024-11-30Sold Out
-1.21%
738 ($962.39) 1179.37
$563.16
-41.48%
Sold Out
0
-465,085
LLY
Eli Lilly and Co2024-11-30Reduce
-1.19%
727.2 ($867.98) 956.53
$839.96
-3.23%
Reduce -45.58%
668,021
-559,591
GOOGL
Alphabet Inc2024-11-30Reduce
-1.05%
148.66 ($165.71) 181.62
$151.16
-8.78%
Reduce -16.92%
14,294,576
-2,910,554
UBER
Uber Technologies Inc2024-11-30Sold Out
-0.97%
68.09 ($74.54) 86.34
$75.24
0.94%
Sold Out
0
-5,992,822
TEAM
Atlassian Corp2024-11-30New Buy
+0.82%
155.82 ($195.91) 263.58
$202.75
3.49%
New holding
1,479,084
1,479,084
FI
Fiserv Inc2024-11-30New Buy
+0.70%
170.02 ($194.1) 222.45
$208.66
7.50%
New holding
1,513,634
1,513,634

MFS Growth Fund Total Holding History ($B)

To

MFS Growth Fund's Asset Allocation

To

MFS Growth Fund Past Portfolios

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

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MFS Growth Fund's Hypothetical Growth since 2024-11-30

MFS Growth Fund's Yearly Returns

Year Portfolio % % Excess Gain %

MFS Growth Fund's Holdings Heat Map

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MFS Growth Fund's Holdings Bubble Chart

MFS Growth Fund News

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