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Investor Presentaiton

Portfolio Holdings MFS® As of 31-Mar-24 Cash & Cash Equivalents Cash & Cash Equivalents Communication Services Alphabet Inc Class A Electronic Arts Inc Comcast Corp Cable One Inc 0.9 0.9 Equivalent exposure (%) As of 31-Mar-24 Financials CME Group Inc Equivalent exposure (%) 16.2 0.6 7.4 Charles Schwab Corp 0.6 5.2 Health Care 13.4 1.1 Cigna Group 1.8 0.7 Eli Lilly & Co 1.7 0.3 Vertex Pharmaceuticals Inc 1.6 Alphabet Inc Class C 0.2 Medtronic PLC 1.5 Consumer Discretionary 6.5 ICON PLC 1.4 Amazon.com Inc 3.8 Agilent Technologies Inc 1.2 Home Depot Inc 1.6 Becton Dickinson & Co 1.2 LVMH Moet Hennessy Louis Vuitton SE 1.0 Merck & Co Inc 1.2 Tractor Supply Co 0.2 Pfizer Inc 1.0 Consumer Staples 7.2 Zoetis Inc 0.8 Costco Wholesale Corp 1.5 Industrials 9.5 Target Corp 1.2 Howmet Aerospace Inc 1.9 Colgate-Palmolive Co 1.2 Honeywell International Inc 1.5 Kenvue Inc 1.0 Eaton Corp PLC 1.4 Mondelez International Inc 0.8 AMETEK Inc 1.0 Diageo PLC 0.8 Johnson Controls International PLC 1.0 Pernod Ricard SA 0.7 Waste Management Inc 0.7 Energy ConocoPhillips Exxon Mobil Corp Financials JPMorgan Chase & Co Visa Inc Mastercard Inc Goldman Sachs Group Inc Fiserv Inc Bank of America Corp 4.1 Canadian Pacific Kansas City Ltd 0.6 2.7 JB Hunt Transport Services Inc 0.5 1.4 Allegion plc 0.5 16.2 Dun & Bradstreet Holdings Inc 0.3 2.9 Fortive Corp 0.2 2.4 Information Technology 28.0 2.0 Microsoft Corp 9.0 1.6 NVIDIA Corp 4.7 1.6 Apple Inc 3.2 1.4 Salesforce Inc 2.0 Chubb Ltd Willis Towers Watson PLC Aon PLC 1.3 Analog Devices Inc 1.6 0.9 TE Connectivity Ltd 1.5 0.9 FOR DEALER AND INSTITUTIONAL USE ONLY. - Massachusetts Investors Trust PRPEQ-MIT-31-Mar-24 19
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