Daily Holdings

Active International ETF


Based on Market Value
CUSIP/SEDOL Ticker Securities
(on 05-20-26)
Shares or Par Amount Value Percent of Net Assets GICS Sectors

The Global Industry Classification Standard (GICS®) was developed by and/or is the exclusive property of MSCI, Inc. and S&P Global Market Intelligence Inc. ("S&P Global Market Intelligence"). GICS is a service mark of MSCI and S&P Global Market Intelligence and has been licensed for use by MFS. MFS has applied its own internal sector/industry classification methodology for equity securities and non-equity securities that are unclassified by GICS.

Country
874039100 TSM US TAIWAN SEMICONDUCTOR SP ADR 202,122.00 $81,176,237.64 7.72% Information Technology Taiwan, Province Of China
6771720 005930 KS SAMSUNG ELECTRONICS CO LTD 205,579.00 $37,654,580.06 3.58% Information Technology Korea, Republic Of
88032Q109 TCEHY US TENCENT HOLDINGS LTD UNS ADR 445,864.00 $26,149,923.60 2.49% Communication Services China
B1YXBJ7 AI FP AIR LIQUIDE SA 108,888.00 $22,414,348.82 2.13% Materials France
4834108 SU FP SCHNEIDERELECTRIC SE 67,988.00 $20,919,238.67 1.99% Industrials France
6429104 6501 JP HITACHI LTD 658,848.00 $20,355,833.69 1.94% Industrials Japan
BTMJD19 ROP SW ROCHE HOLDING AG 47,740.00 $19,904,052.35 1.89% Health Care Switzerland
6597045 6503 JP MITSUBISHIELECTRIC CORP 548,384.00 $19,839,242.22 1.89% Industrials Japan
7103065 NOVN SW NOVARTIS AG REG 127,945.00 $19,272,635.29 1.83% Health Care Switzerland
B15C557 TTE FP TOTALENERGIES SE 207,285.00 $19,189,306.06 1.83% Energy France
BCRWZ18 CFR SW CIE FINANCIERE RICHEMO A REG 94,280.00 $18,839,227.40 1.79% Consumer Discretionary Switzerland
891160509 TD US TORONTO DOMINION BANK 164,664.00 $18,043,881.12 1.72% Financials Canada
7145056 ENI IM ENI SPA 653,326.00 $17,883,815.34 1.70% Energy Italy
BZ57390 INGA NA ING GROEPNV 585,598.00 $17,681,197.58 1.68% Financials Netherlands
B63H849 RR/ LN ROLLS ROYCE HOLDINGS PLC 1,065,597.00 $17,534,999.63 1.67% Industrials United Kingdom
4076836 ISP IM INTESA SANPAOLO 2,532,703.00 $16,766,762.33 1.60% Financials Italy
B0C2CQ3 ENGI FP ENGIE 527,176.00 $16,754,020.19 1.59% Utilities France
7309681 BNP FP BNP PARIBAS 156,776.00 $16,276,369.09 1.55% Financials France
BD6K457 CPG LN COMPASS GROUP PLC 507,241.00 $16,064,322.47 1.53% Consumer Discretionary United Kingdom
001317205 AAGIY US AIA GROUPLTD SP ADR 361,138.00 $15,709,503.00 1.49% Financials Hong Kong
BM8PJY7 NWG LN NATWEST GROUP PLC 1,953,011.00 $15,300,011.21 1.46% Financials United Kingdom
BD1RP61 BIRG ID BANK OF IRELAND GROUP PLC 691,722.00 $13,714,492.64 1.31% Financials Ireland
6563024 8316 JP SUMITOMO MITSUI FINANCIAL GR 369,966.00 $13,698,907.93 1.30% Financials Japan
M22465104 CHKP US CHECK POINT SOFTWARE TECH 104,919.00 $13,464,255.27 1.28% Information Technology Israel
4846288 SAP GY SAP SE 74,428.00 $13,278,288.41 1.26% Information Technology Germany
B62G7K6 8630 JP SOMPO HOLDINGS INC 334,881.00 $13,150,279.57 1.25% Financials Japan
H42097107 UBS US UBS GROUPAG REG 273,290.00 $12,918,418.30 1.23% Financials Switzerland
783513203 RYAAY US RYANAIR HOLDINGS PLC SP ADR 225,769.00 $12,843,998.41 1.22% Industrials Ireland
110448107 BTI US BRITISH AMERICAN TOB SP ADR 195,022.00 $12,734,936.60 1.21% Consumer Staples United Kingdom
6804585 4063 JP SHIN ETSUCHEMICAL CO LTD 294,828.00 $12,704,023.54 1.21% Materials Japan
4741844 MRK GY MERCK KGAA 83,572.00 $11,929,055.66 1.14% Health Care Germany
BLGZ986 TSCO LN TESCO PLC 1,926,758.00 $11,914,952.01 1.13% Consumer Staples United Kingdom
7021963 DB1 GY DEUTSCHE BOERSE AG 39,612.00 $11,833,538.91 1.13% Financials Germany
6821506 6758 JP SONY GROUPCORP 501,944.00 $11,394,101.70 1.08% Consumer Discretionary Japan
6175203 DBS SP DBS GROUPHOLDINGS LTD 220,458.00 $10,576,876.65 1.01% Financials Singapore
6250724 6367 JP DAIKIN INDUSTRIES LTD 70,384.00 $10,458,684.44 1.00% Industrials Japan
B19NLV4 EXPN LN EXPERIAN PLC 292,017.00 $10,320,063.87 0.98% Industrials United Kingdom
6438564 2317 TT HON HAI PRECISION INDUSTRY 1,358,377.00 $10,293,334.00 0.98% Information Technology Taiwan, Province Of China
5983816 ZURN SW ZURICH INSURANCE GROUP AG 14,007.00 $10,206,002.67 0.97% Financials Switzerland
B3MSM28 AMS SM AMADEUS ITGROUP SA 165,924.00 $10,183,624.16 0.97% Consumer Discretionary Spain
B09M9D2 KNEBV FH KONE OYJ B 161,719.00 $9,707,397.58 0.92% Industrials Finland
4061412 MC FP LVMH MOETHENNESSY LOUIS VUI 17,264.00 $9,511,746.18 0.91% Consumer Discretionary France
BMGT167 WDS AU WOODSIDE ENERGY GROUP LTD 405,000.00 $9,423,689.04 0.90% Energy Australia
351858105 FNV US FRANCO NEVADA CORP 41,050.00 $9,244,049.50 0.88% Materials Canada
BN7SWP6 GSK LN GSK PLC 359,881.00 $9,180,958.38 0.87% Health Care United Kingdom
5107401 BEI GY BEIERSDORFAG 108,930.00 $9,120,187.56 0.87% Consumer Staples Germany
7156036 SOON SW SONOVA HOLDING AG REG 35,272.00 $9,098,692.42 0.87% Health Care Switzerland
7380482 SGO FP COMPAGNIEDE SAINT GOBAIN 104,904.00 $9,090,518.64 0.87% Industrials France
B0FS5D6 3382 JP SEVEN + IHOLDINGS CO LTD 732,794.00 $8,965,315.43 0.85% Consumer Staples Japan
G2519Y108 BAP US CREDICORPLTD 26,857.00 $8,950,632.39 0.85% Financials Peru
40415F101 HDB US HDFC BANKLTD ADR 361,510.00 $8,903,991.30 0.85% Financials India
059460303 BBD US BANCO BRADESCO ADR 2,475,453.00 $8,837,367.21 0.84% Financials Brazil
373737105 GGB US GERDAU SASPON ADR 1,867,006.00 $8,756,258.14 0.83% Materials Brazil
B04YJV1 IFC CN INTACT FINANCIAL CORP 43,824.00 $8,736,418.44 0.83% Financials Canada
0718875 RIO LN RIO TINTOPLC 83,656.00 $8,588,334.60 0.82% Materials United Kingdom
BG36ZK1 B3SA3 BZ B3 SA BRASIL BOLSA BALCAO 2,425,336.00 $8,140,126.11 0.77% Financials Brazil
64110W102 NTES US NETEASE INC ADR 67,728.00 $7,911,984.96 0.75% Communication Services China
6885074 4543 JP TERUMO CORP 518,514.00 $7,646,086.26 0.73% Health Care Japan
6099626 RELIANCE IN RELIANCE INDUSTRIES LIMITED 511,118.00 $7,177,373.49 0.68% Energy India
B2B0DG9 REL LN RELX PLC 212,312.00 $7,081,003.71 0.67% Industrials United Kingdom
13646K108 CP US CANADIAN PACIFIC KANSAS CITY 81,000.00 $6,993,540.00 0.67% Industrials Canada
780087102 RY US ROYAL BANKOF CANADA 37,184.00 $6,961,588.48 0.66% Financials Canada
BNBX1W7 KMB IN KOTAK MAHINDRA BANK LTD 1,758,760.00 $6,960,385.91 0.66% Financials India
BJ2L575 GIB/A CN CGI INC 99,592.00 $6,525,205.50 0.62% Information Technology Canada
7123870 NESN SW NESTLE SAREG 63,212.00 $6,316,782.11 0.60% Consumer Staples Switzerland
6640381 6902 JP DENSO CORP 528,504.00 $6,106,632.24 0.58% Consumer Discretionary Japan
136375102 CNI US CANADIAN NATL RAILWAY CO 51,653.00 $5,929,764.40 0.56% Industrials Canada
BP3R2F1 600519 C1 KWEICHOW MOUTAI CO LTD A 29,900.00 $5,776,907.66 0.55% Consumer Staples China
6972459 291 HK CHINA RESOURCES BEER HOLDING 1,674,706.00 $5,665,302.64 0.54% Consumer Staples China
B0SWJX3 LSEG LN LONDON STOCK EXCHANGE GROUP 44,118.00 $5,556,055.83 0.53% Financials United Kingdom
4682329 RI FP PERNOD RICARD SA 74,244.00 $5,490,883.70 0.52% Consumer Staples France
5501906 BBVA SM BANCO BILBAO VIZCAYA ARGENTA 240,512.00 $5,445,358.35 0.52% Financials Spain
6658801 7733 JP OLYMPUS CORP 455,535.00 $5,369,609.25 0.51% Health Care Japan
6441506 7741 JP HOYA CORP 32,020.00 $5,341,537.88 0.51% Health Care Japan
6356525 4901 JP FUJIFILM HOLDINGS CORP 268,354.00 $5,309,474.86 0.51% Information Technology Japan
6084848 4689 JP LY CORP 1,991,853.00 $5,281,348.43 0.50% Communication Services Japan
0709954 PRU LN PRUDENTIALPLC 342,592.00 $5,278,004.90 0.50% Financials United Kingdom
BP3R2V7 600887 C1 INNER MONGOLIA YILI INDUS A 1,324,200.00 $5,276,449.69 0.50% Consumer Staples China
6865504 7269 JP SUZUKI MOTOR CORP 476,750.00 $5,261,041.61 0.50% Consumer Discretionary Japan
B4T3BW6 GLEN LN GLENCORE PLC 662,622.00 $5,040,545.01 0.48% Materials United Kingdom
6132101 5108 JP BRIDGESTONE CORP 236,296.00 $4,936,995.42 0.47% Consumer Discretionary Japan
98850P109 YUMC US YUM CHINAHOLDINGS INC 106,341.00 $4,843,832.55 0.46% Consumer Discretionary China
B62G1B5 EDEN FP EDENRED 171,443.00 $4,296,262.49 0.41% Financials France
B09DHL9 MTX GY MTU AERO ENGINES AG 11,952.00 $3,994,395.99 0.38% Industrials Germany
BP6KMJ1 NOVOB DC NOVO NORDISK A/S B 88,968.00 $3,992,806.17 0.38% Health Care Denmark
N72482156 QGEN US QIAGEN N.V. 109,793.00 $3,852,636.37 0.37% Health Care Germany
B5B23W2 1928 HK SANDS CHINA LTD 1,893,638.00 $3,686,424.63 0.35% Consumer Discretionary Hong Kong
6100186 MM IN MAHINDRA +MAHINDRA LTD 114,183.00 $3,681,827.64 0.35% Consumer Discretionary India
6267359 388 HK HONG KONGEXCHANGES + CLEAR 66,082.00 $3,468,765.11 0.33% Financials Hong Kong
05606L100 BYDDY US BYD CO LTDUNSPONSORED ADR 277,417.00 $3,201,392.18 0.30% Consumer Discretionary China
7792559 HEIA NA HEINEKEN NV 33,085.00 $2,621,543.31 0.25% Consumer Staples Netherlands
5671519 WKL NA WOLTERS KLUWER 32,080.00 $2,371,803.20 0.23% Industrials Netherlands
CASH CASH Cash & Cash Equivalents - $14,574,730.51 1.39% - -
Short positions, unlike long positions, lose value if the underlying asset gains value.

The list of portfolio holdings is as of the date shown and may not represent current or future portfolio composition. This information should not be construed as a recommendation to buy or sell any of the securities mentioned.

This portfolio data has not been audited or adjusted for certain financial statement reclassifications. An audit could potentially result in adjustments to this data. For adjusted holdings information, please refer to the fund's quarterly portfolio holdings and semiannual reports. For audited portfolio holdings information, please refer to the fund's annual report.

Top 10 portfolio holdings are generally available at the earliest, 11 calendar days after the end of each month.

Other. Other consists of: (i) currency derivatives and/or (ii) any derivative offsets.
This website is a general communication and is provided for informational and/or educational purposes only. None of the content should be viewed as a suggestion that you take or refrain from taking any action nor as a recommendation for any specific investment product, strategy, plan feature or other such purpose. Your use of this website indicates that you agree with the intended purpose. Prior to making any investment or financial decision, you should seek individualized advice from a personal financial, tax, and other professionals who are able to provide advice in the context of your particular financial situation.

The information provided on this page should be read in conjunction with the fund's prospectus or summary prospectus for the portfolio being offered, which are available online here or by contacting MFS. Consider the fund's investment objectives, risks, charges, and expenses, and otherwise read these documents carefully before you invest. Shares of the funds are not FDIC-insured and are not deposits or other obligations of, or guaranteed by, any bank. Shares of the funds involve investment risk, including possible loss of principal.

MFS registered investment products are offered through MFS® Fund Distributors, Inc., Member SIPC, 111 Huntington Avenue, Boston, MA 02199.

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