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5493008I795YYBFWFU90 OneMain Finance Corp 85172FAN9 50000.00000000 PA USD 49672.75000000 0.147405216560 Long DBT CORP US N 2 2026-03-15 Fixed 7.13000000 N N N N N N Mattel Inc 549300VELLG24KHTJ564 Mattel Inc 577081AW2 15000.00000000 PA USD 12837.82000000 0.038096574827 Long DBT CORP US N 2 2041-11-01 Fixed 5.45000000 N N N N N N MATCH GROUP HLD II LLC 5493003RFFE030RC9167 Match Group Holdings II LLC 57667JAA0 5000.00000000 PA USD 4012.50000000 0.011907201261 Long DBT CORP US Y 2 2031-10-01 Fixed 3.63000000 N N N N N N CNX RESOURCES CORP 549300JK3KH8PWM3B226 CNX Resources Corp 12653CAJ7 49000.00000000 PA USD 44980.87000000 0.133481936946 Long DBT CORP US Y 2 2029-01-15 Fixed 6.00000000 N N N N N N HEALTHEQUITY INC 529900LRJU1RAFQHM467 HealthEquity Inc 42226AAA5 60000.00000000 PA USD 53718.00000000 0.159409604324 Long DBT CORP US Y 2 2029-10-01 Fixed 4.50000000 N N N N N N INTERFACE INC 549300VXZWQOIDFPU355 Interface Inc 458665AS5 85000.00000000 PA USD 71412.75000000 0.211919249063 Long 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Fixed 4.75000000 N N N N N N JPMorgan Chase & Co 8I5DZWZKVSZI1NUHU748 JPMorgan Chase & Co 46625H100 4448.00000000 NS USD 622542.08000000 1.847410302842 Long EC CORP US N 1 N N N TASEKO MINES LTD 549300XKUO1JSLU7KX54 Taseko Mines Ltd 876511AF3 45000.00000000 PA USD 42637.50000000 0.126527923682 Long DBT CORP CA Y 2 2026-02-15 Fixed 7.00000000 N N N N N N WHITE CAP BUYER LLC N/A White Cap Buyer LLC 96350RAA2 50000.00000000 PA USD 45511.17000000 0.135055616404 Long DBT CORP US Y 2 2028-10-15 Fixed 6.88000000 N N N N N N COMPASS MINERALS INTERNA 2549008X9G8XP7YJGC47 Compass Minerals International Inc 20451NAG6 65000.00000000 PA USD 63416.79000000 0.188191023519 Long DBT CORP US Y 2 2027-12-01 Fixed 6.75000000 N N N N N N BOMBARDIER INC W7L3VLU8EHQY34Z36697 Bombardier Inc 097751BZ3 25000.00000000 PA USD 24975.75000000 0.074116207327 Long DBT CORP CA Y 2 2029-02-01 Fixed 7.50000000 N N N N N N INGEVITY CORP 5493009UTFC4B5IMGF87 Ingevity Corp 45688CAB3 69000.00000000 PA USD 60477.70000000 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Quarterly Report
January 31, 2023
MFS®  Special Value Trust
MFV-Q1

Portfolio of Investments
1/31/23 (unaudited)
The Portfolio of Investments is a complete list of all securities owned by your fund. It is categorized by broad-based asset classes.
Issuer     Shares/Par Value ($)
Bonds – 53.0%
Aerospace & Defense – 1.0%
Bombardier, Inc., 7.5%, 3/15/2025 (n)   $ 30,000 $30,038
Bombardier, Inc., 7.125%, 6/15/2026 (n)     33,000 32,921
Bombardier, Inc., 7.5%, 2/01/2029 (n)     25,000 24,976
Moog, Inc., 4.25%, 12/15/2027 (n)     76,000 70,490
TransDigm, Inc., 6.25%, 3/15/2026 (n)     60,000 59,979
TransDigm, Inc., 6.375%, 6/15/2026      40,000 39,499
TransDigm, Inc., 5.5%, 11/15/2027      55,000 52,524
TransDigm, Inc., 4.625%, 1/15/2029      46,000 41,499
        $351,926
Automotive – 1.2%
Clarios Global LP/Clarios U.S. Finance Co., 8.5%, 5/15/2027 (n)   $ 70,000 $69,721
Dana, Inc., 5.375%, 11/15/2027      46,000 43,710
Dana, Inc., 4.25%, 9/01/2030      25,000 21,158
Dornoch Debt Merger Sub, Inc., 6.625%, 10/15/2029 (n)     61,000 45,801
Ford Motor Credit Co. LLC, 4.134%, 8/04/2025      200,000 190,994
Real Hero Merger Sub 2, Inc., 6.25%, 2/01/2029 (n)     45,000 33,412
        $404,796
Broadcasting – 1.3%
Advantage Sales & Marketing, Inc., 6.5%, 11/15/2028 (n)   $ 47,000 $35,720
Gray Escrow II, Inc., 5.375%, 11/15/2031 (n)     110,000 84,593
iHeartCommunications, Inc., 8.375%, 5/01/2027      67,000 60,049
Scripps Escrow II, Inc., 5.875%, 7/15/2027 (n)     55,000 49,087
Summer (BC) Bidco B LLC, 5.5%, 10/31/2026 (n)     200,000 164,383
WMG Acquisition Corp., 3.875%, 7/15/2030 (n)     69,000 60,823
        $454,655
Brokerage & Asset Managers – 1.0%
AG TTMT Escrow Issuer LLC, 8.625%, 9/30/2027 (n)   $ 65,000 $67,065
Aretec Escrow Issuer, Inc., 7.5%, 4/01/2029 (n)     55,000 48,812
LPL Holdings, Inc., 4.625%, 11/15/2027 (n)     75,000 71,373
LPL Holdings, Inc., 4%, 3/15/2029 (n)     51,000 45,645
LPL Holdings, Inc., 4.375%, 5/15/2031 (n)     29,000 25,393
NFP Corp., 4.875%, 8/15/2028 (n)     50,000 43,637
NFP Corp., 6.875%, 8/15/2028 (n)     56,000 48,421
        $350,346
Building – 2.0%
ABC Supply Co., Inc., 4%, 1/15/2028 (n)   $ 115,000 $104,773
Foundation Building Materials LLC, 6%, 3/01/2029 (n)     49,000 39,414
GYP Holding III Corp., 4.625%, 5/01/2029 (n)     85,000 71,670
Interface, Inc., 5.5%, 12/01/2028 (n)     85,000 71,413
MIWD Holdco II LLC/MIWD Finance Co., 5.5%, 2/01/2030 (n)     40,000 33,259
New Enterprise Stone & Lime Co., Inc., 9.75%, 7/15/2028 (n)     48,000 45,518
Patrick Industries, Inc., 7.5%, 10/15/2027 (n)     70,000 69,261
SRM Escrow Issuer LLC, 6%, 11/01/2028 (n)     45,000 41,086
SRS Distribution, Inc., 6.125%, 7/01/2029 (n)     55,000 47,295
Standard Industries, Inc., 4.75%, 1/15/2028 (n)     48,000 44,983
Standard Industries, Inc., 4.375%, 7/15/2030 (n)     76,000 64,970
Standard Industries, Inc., 3.375%, 1/15/2031 (n)     10,000 7,942
White Cap Buyer LLC, 6.875%, 10/15/2028 (n)     50,000 45,511
        $687,095
1

Portfolio of Investments (unaudited) – continued
Issuer     Shares/Par Value ($)
Bonds – continued
Business Services – 0.7%
Entegris Escrow Corp., 5.95%, 6/15/2030 (n)   $ 25,000 $24,008
HealthEquity, Inc., 4.5%, 10/01/2029 (n)     60,000 53,718
Iron Mountain, Inc., 4.875%, 9/15/2027 (n)     45,000 42,369
Iron Mountain, Inc., 5.25%, 3/15/2028 (n)     35,000 33,282
Verscend Escrow Corp., 9.75%, 8/15/2026 (n)     70,000 70,243
ZI Technologies LLC/ZI Finance Corp. Co., 3.875%, 2/01/2029 (n)     20,000 17,250
        $240,870
Cable TV – 4.4%
Cable One, Inc., 4%, 11/15/2030 (n)   $ 64,000 $52,770
CCO Holdings LLC/CCO Holdings Capital Corp., 5.125%, 5/01/2027 (n)     40,000 38,122
CCO Holdings LLC/CCO Holdings Capital Corp., 4.75%, 3/01/2030 (n)     179,000 156,408
CCO Holdings LLC/CCO Holdings Capital Corp., 4.5%, 8/15/2030 (n)     70,000 59,812
CCO Holdings LLC/CCO Holdings Capital Corp., 4.25%, 2/01/2031 (n)     75,000 62,479
CCO Holdings LLC/CCO Holdings Capital Corp., 4.25%, 1/15/2034 (n)     40,000 31,182
CSC Holdings LLC, 4.125%, 12/01/2030 (n)     200,000 147,854
DISH DBS Corp., 7.75%, 7/01/2026      35,000 28,426
DISH DBS Corp., 5.25%, 12/01/2026 (n)     50,000 43,094
DISH DBS Corp., 5.125%, 6/01/2029      40,000 25,436
DISH Network Corp., 11.75%, 11/15/2027 (n)     25,000 25,980
Sirius XM Holdings, Inc., 3.875%, 9/01/2031 (n)     70,000 57,707
Sirius XM Radio, Inc., 4%, 7/15/2028 (n)     52,000 46,285
Sirius XM Radio, Inc., 5.5%, 7/01/2029 (n)     120,000 112,458
Telenet Finance Luxembourg S.A., 5.5%, 3/01/2028 (n)     200,000 185,800
Videotron Ltd., 5.125%, 4/15/2027 (n)     44,000 42,236
Videotron Ltd., 3.625%, 6/15/2029 (n)     24,000 20,881
Virgin Media Finance PLC, 5%, 7/15/2030 (n)     200,000 167,878
Ziggo Bond Finance B.V., 5.125%, 2/28/2030 (n)     200,000 165,300
        $1,470,108
Chemicals – 1.5%
Axalta Coating Systems Ltd., 4.75%, 6/15/2027 (n)   $ 150,000 $141,750
Element Solutions, Inc., 3.875%, 9/01/2028 (n)     75,000 66,375
Ingevity Corp., 3.875%, 11/01/2028 (n)     69,000 60,478
LSF11 A5 HoldCo LLC, 6.625%, 10/15/2029 (n)     58,000 47,594
Sasol Financing (USA) LLC, 5.5%, 3/18/2031      200,000 174,500
        $490,697
Computer Software – 0.6%
Camelot Finance S.A., 4.5%, 11/01/2026 (n)   $ 40,000 $38,045
Clarivate Science Holdings Corp., 3.875%, 7/01/2028 (n)     15,000 13,385
Clarivate Science Holdings Corp., 4.875%, 7/01/2029 (n)     65,000 57,195
Dun & Bradstreet Corp., 5%, 12/15/2029 (n)     60,000 53,130
Neptune Bidco U.S., Inc., 9.29%, 4/15/2029 (n)     40,000 38,881
        $200,636
Computer Software - Systems – 1.1%
Fair Isaac Corp., 5.25%, 5/15/2026 (n)   $ 130,000 $129,057
Fair Isaac Corp., 4%, 6/15/2028 (n)     7,000 6,500
Sabre GLBL, Inc., 7.375%, 9/01/2025 (n)     15,000 14,713
Sabre GLBL, Inc., 11.25%, 12/15/2027 (n)     25,000 26,500
SS&C Technologies Holdings, Inc., 5.5%, 9/30/2027 (n)     97,000 93,289
Viavi Solutions, Inc., 3.75%, 10/01/2029 (n)     80,000 69,800
Virtusa Corp., 7.125%, 12/15/2028 (n)     45,000 37,800
        $377,659
2

Portfolio of Investments (unaudited) – continued
Issuer     Shares/Par Value ($)
Bonds – continued
Conglomerates – 1.5%
BWX Technologies, Inc., 4.125%, 6/30/2028 (n)   $ 68,000 $61,370
BWX Technologies, Inc., 4.125%, 4/15/2029 (n)     107,000 95,768
Chart Industries, Inc., 9.5%, 1/01/2031 (n)     25,000 26,087
Gates Global LLC, 6.25%, 1/15/2026 (n)     65,000 64,015
Griffon Corp., 5.75%, 3/01/2028      68,000 64,357
Madison IAQ LLC, 5.875%, 6/30/2029 (n)     76,000 60,286
Regal Rexnord Corp., 6.3%, 2/15/2030 (n)     42,000 42,826
TriMas Corp., 4.125%, 4/15/2029 (n)     119,000 105,940
        $520,649
Construction – 0.8%
Empire Communities Corp., 7%, 12/15/2025 (n)   $ 45,000 $40,725
Mattamy Group Corp., 5.25%, 12/15/2027 (n)     30,000 27,450
Mattamy Group Corp., 4.625%, 3/01/2030 (n)     55,000 46,386
Meritage Homes Corp., 3.875%, 4/15/2029 (n)     50,000 44,313
Taylor Morrison Communities, Inc., 5.75%, 1/15/2028 (n)     69,000 66,931
Weekley Homes LLC/Weekley Finance Corp., 4.875%, 9/15/2028 (n)     48,000 41,772
        $267,577
Consumer Products – 1.2%
Energizer Gamma Acquisition B.V., 3.5%, 6/30/2029    EUR 100,000 $88,346
Mattel, Inc., 3.375%, 4/01/2026 (n)   $ 46,000 42,895
Mattel, Inc., 5.875%, 12/15/2027 (n)     39,000 38,903
Mattel, Inc., 6.2%, 10/01/2040      10,000 9,285
Mattel, Inc., 5.45%, 11/01/2041      15,000 12,838
Newell Brands, Inc., 6.375%, 9/15/2027      34,000 34,176
Newell Brands, Inc., 6.625%, 9/15/2029      39,000 39,425
Prestige Consumer Healthcare, Inc., 5.125%, 1/15/2028 (n)     55,000 52,539
Prestige Consumer Healthcare, Inc., 3.75%, 4/01/2031 (n)     25,000 21,228
Spectrum Brands, Inc., 3.875%, 3/15/2031 (n)     40,000 32,249
SWF Escrow Issuer Corp., 6.5%, 10/01/2029 (n)     45,000 29,584
        $401,468
Consumer Services – 2.0%
Allied Universal Holdco LLC, 6.625%, 7/15/2026 (n)   $ 36,000 $34,659
Allied Universal Holdco LLC, 9.75%, 7/15/2027 (n)     70,000 66,850
ANGI Group LLC, 3.875%, 8/15/2028 (n)     71,000 54,424
Arches Buyer, Inc., 6.125%, 12/01/2028 (n)     65,000 54,747
GoDaddy, Inc., 3.5%, 3/01/2029 (n)     113,000 97,722
GW B-CR Security Corp., 9.5%, 11/01/2027 (n)     44,000 43,454
Match Group Holdings II LLC, 5%, 12/15/2027 (n)     65,000 62,326
Match Group Holdings II LLC, 4.625%, 6/01/2028 (n)     60,000 55,186
Match Group Holdings II LLC, 4.125%, 8/01/2030 (n)     20,000 17,200
Match Group Holdings II LLC, 3.625%, 10/01/2031 (n)     5,000 4,012
Realogy Group LLC/Realogy Co-Issuer Corp., 5.75%, 1/15/2029 (n)     40,000 31,102
Realogy Group LLC/Realogy Co-Issuer Corp., 5.25%, 4/15/2030 (n)     45,000 33,750
TriNet Group, Inc., 3.5%, 3/01/2029 (n)     86,000 72,217
WASH Multi-Family Acquisition, Inc., 5.75%, 4/15/2026 (n)     49,000 45,213
        $672,862
Containers – 1.6%
ARD Finance S.A., 6.5% (6.5% cash or 7.25% PIK), 6/30/2027 (n)(p)   $ 200,000 $156,888
Can-Pack S.A./Eastern PA Land Investment Holding LLC, 3.875%, 11/15/2029 (n)     200,000 166,078
Crown Americas LLC, 5.25%, 4/01/2030      45,000 43,312
Crown Americas LLC/Crown Americas Capital Corp. V, 4.25%, 9/30/2026      80,000 76,452
Crown Americas LLC/Crown Americas Capital Corp. VI, 4.75%, 2/01/2026      70,000 68,386
LABL, Inc., 5.875%, 11/01/2028 (n)     20,000 18,075
        $529,191
3

Portfolio of Investments (unaudited) – continued
Issuer     Shares/Par Value ($)
Bonds – continued
Electrical Equipment – 0.2%
CommScope Technologies LLC, 5%, 3/15/2027 (n)   $ 81,000 $61,842
Electronics – 0.7%
Entegris, Inc., 4.375%, 4/15/2028 (n)   $ 30,000 $27,150
Entegris, Inc., 3.625%, 5/01/2029 (n)     27,000 23,026
Sensata Technologies B.V., 5.625%, 11/01/2024 (n)     25,000 25,006
Sensata Technologies B.V., 5%, 10/01/2025 (n)     85,000 84,064
Sensata Technologies, Inc., 4.375%, 2/15/2030 (n)     30,000 27,158
Synaptics, Inc., 4%, 6/15/2029 (n)     60,000 51,955
        $238,359
Emerging Market Quasi-Sovereign – 0.3%
Petroleos Mexicanos, 6.49%, 1/23/2027    $ 100,000 $93,901
Emerging Market Sovereign – 0.3%
Republic of Ecuador, 0%, 7/31/2030 (n)   $ 8,116 $3,449
Republic of Ecuador, 5.5%, 7/31/2030 (n)     37,800 25,109
Republic of Ecuador, 2.5%, 7/31/2035 (n)     99,060 48,205
Republic of Ecuador, 1.5%, 7/31/2040 (n)     45,400 19,055
Republic of Venezuela, 7%, 3/31/2038 (a)(d)     203,000 16,240
        $112,058
Energy - Independent – 1.4%
Antero Resources Corp., 7.625%, 2/01/2029 (n)   $ 40,000 $40,904
CNX Resources Corp., 6%, 1/15/2029 (n)     49,000 44,981
CNX Resources Corp., 7.375%, 1/15/2031 (n)     15,000 14,587
Comstock Resources, Inc., 6.75%, 3/01/2029 (n)     75,000 69,187
CrownRock LP/CrownRock Finance, Inc., “F”, 5%, 5/01/2029 (n)     65,000 59,537
Encino Acquisition Partners Holdings LLC, 8.5%, 5/01/2028 (n)     40,000 37,292
Moss Creek Resources Holdings, Inc., 7.5%, 1/15/2026 (n)     35,000 32,319
Permian Resources Operating LLC, 7.75%, 2/15/2026 (n)     5,000 4,997
Permian Resources Operating LLC, 5.875%, 7/01/2029 (n)     53,000 49,677
SM Energy Co., 6.5%, 7/15/2028      50,000 47,561
Southwestern Energy Co., 8.375%, 9/15/2028      25,000 26,259
Southwestern Energy Co., 5.375%, 3/15/2030      35,000 32,594
Tap Rock Resources LLC, 7%, 10/01/2026 (n)     16,000 15,144
        $475,039
Entertainment – 1.1%
Carnival Corp. PLC, 7.625%, 3/01/2026 (n)   $ 71,000 $64,610
Carnival Corp. PLC, 5.75%, 3/01/2027 (n)     40,000 33,200
Carnival Corp. PLC, 9.875%, 8/01/2027 (n)     20,000 20,550
Life Time, Inc., 5.75%, 1/15/2026 (n)     50,000 48,051
Life Time, Inc., 8%, 4/15/2026 (n)     10,000 9,712
NCL Corp. Ltd., 5.875%, 3/15/2026 (n)     46,000 39,789
NCL Corp. Ltd., 5.875%, 2/15/2027 (n)     15,000 13,946
Royal Caribbean Cruises Ltd., 5.375%, 7/15/2027 (n)     35,000 30,446
Royal Caribbean Cruises Ltd., 5.5%, 4/01/2028 (n)     65,000 55,900
SeaWorld Parks & Entertainment, 5.25%, 8/15/2029 (n)     45,000 40,672
        $356,876
Financial Institutions – 1.5%
Credit Acceptance Corp., 5.125%, 12/31/2024 (n)   $ 60,000 $56,033
Global Aircraft Leasing Co. Ltd., 6.5% (6.5% cash or 7.25% PIK), 9/15/2024 (n)(p)     132,495 120,913
Howard Hughes Corp., 4.125%, 2/01/2029 (n)     76,000 65,627
Nationstar Mortgage Holdings, Inc., 6%, 1/15/2027 (n)     85,000 78,837
OneMain Finance Corp., 6.875%, 3/15/2025      35,000 34,890
OneMain Finance Corp., 7.125%, 3/15/2026      50,000 49,673
Rocket Mortgage Co-Issuer, Inc., 3.625%, 3/01/2029 (n)     81,000 68,339
4

Portfolio of Investments (unaudited) – continued
Issuer     Shares/Par Value ($)
Bonds – continued
Financial Institutions – continued
SLM Corp., 3.125%, 11/02/2026    $ 25,000 $22,080
        $496,392
Food & Beverages – 2.1%
B&G Foods, Inc., 5.25%, 4/01/2025    $ 40,000 $36,454
B&G Foods, Inc., 5.25%, 9/15/2027      15,000 12,131
BellRing Brands, Inc., 7%, 3/15/2030 (n)     65,000 64,519
Central America Bottling Co., 5.25%, 4/27/2029 (n)     200,000 192,058
Lamb Weston Holdings, Inc., 4.125%, 1/31/2030 (n)     70,000 63,087
Performance Food Group Co., 5.5%, 10/15/2027 (n)     70,000 67,375
Post Holdings, Inc., 5.625%, 1/15/2028 (n)     59,000 56,788
Post Holdings, Inc., 4.625%, 4/15/2030 (n)     80,000 70,400
Primo Water Holding, Inc., 4.375%, 4/30/2029 (n)     80,000 69,779
U.S. Foods Holding Corp., 4.75%, 2/15/2029 (n)     75,000 68,610
        $701,201
Gaming & Lodging – 2.5%
Boyd Gaming Corp., 4.75%, 12/01/2027    $ 35,000 $33,273
Boyd Gaming Corp., 4.75%, 6/15/2031 (n)     25,000 22,495
Caesars Entertainment, Inc., 4.625%, 10/15/2029 (n)     40,000 34,200
Caesars Entertainment, Inc., 7%, 2/15/2030 (n)     43,000 43,753
Caesars Resort Collection LLC/CRC Finco, Inc., 8.125%, 7/01/2027 (n)     60,000 60,900
CCM Merger, Inc., 6.375%, 5/01/2026 (n)     54,000 52,245
Hilton Domestic Operating Co., Inc., 3.75%, 5/01/2029 (n)     90,000 79,930
Hilton Domestic Operating Co., Inc., 3.625%, 2/15/2032 (n)     66,000 55,424
Marriott Ownership Resorts, Inc., 4.5%, 6/15/2029 (n)     35,000 30,468
Sands China Ltd., 4.3%, 1/08/2026      200,000 189,710
Scientific Games Holdings LP/Scientific Games US Finco, Inc., 6.625%, 3/01/2030 (n)     48,000 42,757
VICI Properties LP / VICI Note Co., Inc., 4.25%, 12/01/2026 (n)     60,000 56,625
VICI Properties LP / VICI Note Co., Inc., 5.75%, 2/01/2027 (n)     25,000 24,869
Wyndham Hotels & Resorts, Inc., 4.375%, 8/15/2028 (n)     73,000 67,328
Wynn Resorts Finance LLC/Wynn Resorts Capital Corp., 5.125%, 10/01/2029 (n)     65,000 58,012
        $851,989
Industrial – 0.4%
APi Escrow Corp., 4.75%, 10/15/2029 (n)   $ 85,000 $75,789
Williams Scotsman International, Inc., 4.625%, 8/15/2028 (n)     76,000 70,418
        $146,207
Insurance - Property & Casualty – 0.6%
Alliant Holdings Intermediate LLC, 6.75%, 10/15/2027 (n)   $ 30,000 $28,060
AssuredPartners, Inc., 5.625%, 1/15/2029 (n)     40,000 34,215
GTCR (AP) Finance, Inc., 8%, 5/15/2027 (n)     30,000 29,457
Hub International Ltd., 5.625%, 12/01/2029 (n)     91,000 81,434
Ryan Specialty Group, 4.375%, 2/01/2030 (n)(p)     33,000 29,741
        $202,907
Machinery & Tools – 0.2%
Terex Corp., 5%, 5/15/2029 (n)   $ 75,000 $70,031
Medical & Health Technology & Services – 3.1%
Avantor Funding, Inc., 4.625%, 7/15/2028 (n)   $ 80,000 $75,407
Catalent, Inc., 3.125%, 2/15/2029 (n)     137,000 113,332
Charles River Laboratories International, Inc., 3.75%, 3/15/2029 (n)     120,000 106,882
CHS/Community Health Systems, Inc., 8%, 12/15/2027 (n)     35,000 32,987
CHS/Community Health Systems, Inc., 6.125%, 4/01/2030 (n)     85,000 51,097
CHS/Community Health Systems, Inc., 5.25%, 5/15/2030 (n)     45,000 36,311
DaVita, Inc., 4.625%, 6/01/2030 (n)     65,000 54,763
Encompass Health Corp., 5.75%, 9/15/2025      10,000 9,925
5

Portfolio of Investments (unaudited) – continued
Issuer     Shares/Par Value ($)
Bonds – continued
Medical & Health Technology & Services – continued
Encompass Health Corp., 4.75%, 2/01/2030    $ 45,000 $41,250
Encompass Health Corp., 4.625%, 4/01/2031      10,000 8,802
IQVIA Holdings, Inc., 5%, 5/15/2027 (n)     200,000 194,082
Legacy LifePoint Health LLC, 4.375%, 2/15/2027 (n)     25,000 21,875
Regional Care/LifePoint Health, Inc., 9.75%, 12/01/2026 (n)     45,000 39,457
Syneos Health, Inc., 3.625%, 1/15/2029 (n)     94,000 76,023
Tenet Healthcare Corp., 6.125%, 10/01/2028      106,000 99,118
Tenet Healthcare Corp., 4.375%, 1/15/2030      19,000 16,890
Tenet Healthcare Corp., 6.125%, 6/15/2030 (n)     33,000 32,033
U.S. Acute Care Solutions LLC, 6.375%, 3/01/2026 (n)     50,000 45,230
        $1,055,464
Medical Equipment – 0.5%
Garden SpinCo Corp., 8.625%, 7/20/2030 (n)   $ 60,000 $64,200
Mozart Debt Merger Sub, Inc., 5.25%, 10/01/2029 (n)     35,000 29,305
Teleflex, Inc., 4.625%, 11/15/2027      75,000 71,604
        $165,109
Metals & Mining – 2.0%
Baffinland Iron Mines Corp./Baffinland Iron Mines LP, 8.75%, 7/15/2026 (n)   $ 68,000 $66,036
Coeur Mining, Inc., 5.125%, 2/15/2029 (n)     69,000 55,559
Compass Minerals International, Inc., 6.75%, 12/01/2027 (n)     65,000 63,417
Eldorado Gold Corp., 6.25%, 9/01/2029 (n)     40,000 36,656
Ero Copper Corp., 6.5%, 2/15/2030 (n)     40,000 34,066
FMG Resources Ltd., 4.375%, 4/01/2031 (n)     105,000 92,400
GrafTech Finance, Inc., 4.625%, 12/15/2028 (n)     72,000 61,364
Kaiser Aluminum Corp., 4.625%, 3/01/2028 (n)     52,000 47,476
Kaiser Aluminum Corp., 4.5%, 6/01/2031 (n)     61,000 51,582
Novelis Corp., 3.25%, 11/15/2026 (n)     14,000 12,674
Novelis Corp., 4.75%, 1/30/2030 (n)     65,000 58,825
Novelis Corp., 3.875%, 8/15/2031 (n)     59,000 49,796
Petra Diamonds US$ Treasury PLC, 10.5% (10.5% PIK/9.75% Cash to 6/30/2023), 9.75% Cash to 3/08/2026 (n)(p)     30,092 29,189
TMS International Corp., 6.25%, 4/15/2029 (n)     10,000 7,511
        $666,551
Midstream – 2.8%
Cheniere Energy Partners LP, 4.5%, 10/01/2029    $ 42,000 $39,401
DT Midstream, Inc., 4.125%, 6/15/2029 (n)     44,000 38,610
DT Midstream, Inc., 4.375%, 6/15/2031 (n)     84,000 73,477
EQM Midstream Partners LP, 6%, 7/01/2025 (n)     6,000 5,907
EQM Midstream Partners LP, 6.5%, 7/01/2027 (n)     5,000 4,910
EQM Midstream Partners LP, 5.5%, 7/15/2028      108,000 99,630
EQM Midstream Partners LP, 4.5%, 1/15/2029 (n)     70,000 61,394
Genesis Energy LP/Genesis Energy Finance Corp., 8%, 1/15/2027      20,000 19,744
Genesis Energy LP/Genesis Energy Finance Corp., 8.875%, 4/15/2030      50,000 50,813
Kinetik Holdings, Inc., 5.875%, 6/15/2030 (n)     100,000 95,000
Peru LNG, 5.375%, 3/22/2030      200,000 165,848
Tallgrass Energy Partners LP, 5.5%, 1/15/2028 (n)     85,000 78,275
Targa Resources Partners LP/Targa Resources Finance Corp., 6.875%, 1/15/2029      70,000 71,889
Venture Global Calcasieu Pass LLC, 3.875%, 8/15/2029 (n)     75,000 66,750
Venture Global Calcasieu Pass LLC, 4.125%, 8/15/2031 (n)     50,000 44,328
Venture Global Calcasieu Pass LLC , 6.25%, 1/15/2030 (n)     16,000 16,300
        $932,276
Network & Telecom – 0.6%
Iliad Holding S.A.S., 7%, 10/15/2028 (n)   $ 200,000 $187,836
6

Portfolio of Investments (unaudited) – continued
Issuer     Shares/Par Value ($)
Bonds – continued
Oil Services – 0.7%
MV24 Capital B.V., 6.748%, 6/01/2034 (n)   $ 171,300 $163,420
Nabors Industries Ltd., 7.25%, 1/15/2026 (n)     45,000 43,763
Solaris Midstream Holding LLC, 7.625%, 4/01/2026 (n)     44,000 44,000
        $251,183
Oils – 0.3%
Parkland Corp., 4.625%, 5/01/2030 (n)   $ 100,000 $85,960
PBF Holding Co. LLC/PBF Finance Corp., 6%, 2/15/2028      35,000 33,000
        $118,960
Personal Computers & Peripherals – 0.3%
NCR Corp., 5%, 10/01/2028 (n)   $ 60,000 $52,851
NCR Corp., 5.125%, 4/15/2029 (n)     48,000 41,811
        $94,662
Pharmaceuticals – 0.7%
1375209 BC Ltd., 9%, 1/30/2028 (n)   $ 35,000 $34,869
Bausch Health Co., Inc., 11%, 9/30/2028 (n)     37,000 28,949
Bausch Health Co., Inc., 14%, 10/15/2030 (n)     6,000 3,745
Organon Finance 1 LLC, 4.125%, 4/30/2028 (n)     200,000 180,890
        $248,453
Pollution Control – 0.5%
GFL Environmental, Inc., 4.25%, 6/01/2025 (n)   $ 20,000 $19,287
GFL Environmental, Inc., 4%, 8/01/2028 (n)     55,000 48,826
GFL Environmental, Inc., 4.75%, 6/15/2029 (n)     20,000 18,051
GFL Environmental, Inc., 4.375%, 8/15/2029 (n)     25,000 22,171
Stericycle, Inc., 3.875%, 1/15/2029 (n)     61,000 54,123
        $162,458
Precious Metals & Minerals – 0.3%
IAMGOLD Corp., 5.75%, 10/15/2028 (n)   $ 60,000 $47,418
Taseko Mines Ltd., 7%, 2/15/2026 (n)     45,000 42,637
        $90,055
Printing & Publishing – 0.3%
Cimpress N.V., 7%, 6/15/2026 (n)   $ 150,000 $104,144
Real Estate - Healthcare – 0.2%
MPT Operating Partnership LP/MPT Finance Corp., REIT, 5%, 10/15/2027    $ 74,000 $62,555
Real Estate - Other – 0.2%
XHR LP, REIT, 4.875%, 6/01/2029 (n)   $ 65,000 $57,687
Restaurants – 0.1%
Fertitta Entertainment LLC, 6.75%, 1/15/2030 (n)   $ 55,000 $45,650
Retailers – 0.7%
Asbury Automotive Group, Inc., 4.625%, 11/15/2029 (n)   $ 70,000 $61,771
Bath & Body Works, Inc., 5.25%, 2/01/2028      120,000 113,269
Victoria's Secret & Co., 4.625%, 7/15/2029 (n)     63,000 52,337
        $227,377
Specialty Chemicals – 0.1%
Univar Solutions USA, Inc., 5.125%, 12/01/2027 (n)   $ 35,000 $33,842
7

Portfolio of Investments (unaudited) – continued
Issuer     Shares/Par Value ($)
Bonds – continued
Specialty Stores – 0.5%
Group 1 Automotive, Inc., 4%, 8/15/2028 (n)   $ 59,000 $51,888
Michael Cos., Inc., 5.25%, 5/01/2028 (n)     35,000 29,187
Michael Cos., Inc., 7.875%, 5/01/2029 (n)     40,000 30,400
Penske Automotive Group Co., 3.75%, 6/15/2029      69,000 58,349
        $169,824
Supermarkets – 0.3%
Albertsons Cos. LLC/Safeway, Inc., 4.625%, 1/15/2027 (n)   $ 61,000 $57,831
Albertsons Cos. LLC/Safeway, Inc., 3.5%, 3/15/2029 (n)     50,000 43,125
        $100,956
Telecommunications - Wireless – 1.8%
Altice France S.A., 6%, 2/15/2028 (n)   $ 200,000 $134,942
Millicom International Cellular S.A., 4.5%, 4/27/2031 (n)     200,000 169,300
SBA Communications Corp., 3.875%, 2/15/2027      55,000 50,794
SBA Communications Corp., 3.125%, 2/01/2029      95,000 80,482
Sprint Capital Corp., 6.875%, 11/15/2028      95,000 101,635
Sprint Corp., 7.625%, 3/01/2026      61,000 64,518
        $601,671
Tobacco – 0.1%
Vector Group Ltd., 5.75%, 2/01/2029 (n)   $ 35,000 $30,520
Utilities - Electric Power – 3.7%
Adani Green Energy (UP) Ltd./Prayatna Developers Private Ltd., 6.25%, 12/10/2024 (n)   $ 200,000 $186,742
Calpine Corp., 4.5%, 2/15/2028 (n)     73,000 67,362
Calpine Corp., 5.125%, 3/15/2028 (n)     75,000 67,906
Clearway Energy Operating LLC, 4.75%, 3/15/2028 (n)     40,000 37,728
Clearway Energy Operating LLC, 3.75%, 2/15/2031 (n)     121,000 102,224
Greenko Dutch B.V. (Republic of India), 3.85%, 3/29/2026 (n)     191,000 170,574
Investment Energy Resources Ltd., 6.25%, 4/26/2029 (n)     200,000 190,913
Mercury Chile Holdco LLC, 6.5%, 1/24/2027 (n)     200,000 192,150
NextEra Energy, Inc., 4.25%, 7/15/2024 (n)     6,000 5,860
NextEra Energy, Inc., 4.25%, 9/15/2024 (n)     10,000 9,325
NextEra Energy, Inc., 4.5%, 9/15/2027 (n)     50,000 47,061
TerraForm Global Operating LLC, 6.125%, 3/01/2026 (n)     50,000 47,375
TerraForm Power Operating LLC, 5%, 1/31/2028 (n)     95,000 89,236
TerraForm Power Operating LLC, 4.75%, 1/15/2030 (n)     25,000 22,500
        $1,236,956
Total Bonds   $17,871,526
Common Stocks – 42.6%
Aerospace & Defense – 3.0%  
Honeywell International, Inc.   2,191 $456,780
Northrop Grumman Corp.   1,249 559,602
        $1,016,382
Brokerage & Asset Managers – 3.4%  
BlackRock, Inc.   477 $362,143
Citigroup, Inc.   6,373 332,798
NASDAQ, Inc.   7,652 460,574
        $1,155,515
Business Services – 2.6%  
Accenture PLC, “A”   1,026 $286,305
Equifax, Inc. (f)   2,610 579,942
        $866,247
8

Portfolio of Investments (unaudited) – continued
Issuer     Shares/Par Value ($)
Common Stocks – continued
Cable TV – 1.7%  
Comcast Corp., “A”   14,612 $574,982
Intelsat Emergence S.A. (a)   705 16,215
        $591,197
Construction – 1.3%  
ICA Tenedora, S.A. de C.V. (a)(u)   10,542 $9,517
Sherwin-Williams Co.   1,839 435,089
        $444,606
Electronics – 2.0%  
Texas Instruments, Inc.   3,848 $681,904
Energy - Independent – 1.7%  
Pioneer Natural Resources Co.   2,434 $560,672
Food & Beverages – 1.5%  
Nestle S.A., ADR   4,165 $509,026
Gaming & Lodging – 1.4%  
Marriott International, Inc., “A”   2,639 $459,661
Health Maintenance Organizations – 2.1%  
Cigna Corp.   2,216 $701,741
Insurance – 6.0%  
Aon PLC   2,054 $654,569
Marsh & McLennan Cos., Inc.   3,445 602,565
Progressive Corp.   5,513 751,697
        $2,008,831
Machinery & Tools – 1.1%  
Illinois Tool Works, Inc.   1,581 $373,179
Major Banks – 3.7%  
JPMorgan Chase & Co.   4,448 $622,542
Morgan Stanley   6,441 626,903
        $1,249,445
Medical Equipment – 1.6%  
Thermo Fisher Scientific, Inc.   940 $536,110
Oil Services – 0.1%  
LTRI Holdings LP (a)(u)   60 $20,103
Other Banks & Diversified Financials – 1.7%  
American Express Co.   3,226 $564,324
Pharmaceuticals – 1.7%  
Johnson & Johnson   3,609 $589,783
Specialty Stores – 1.3%  
Lowe's Cos., Inc.   2,176 $453,152
9

Portfolio of Investments (unaudited) – continued
Issuer     Shares/Par Value ($)
Common Stocks – continued
Utilities - Electric Power – 4.7%  
Dominion Energy, Inc.   8,961 $570,278
Duke Energy Corp.   5,082 520,651
Southern Co.   7,171 485,333
        $1,576,262
Total Common Stocks   $14,358,140
Exchange-Traded Funds – 1.2%
Fixed Income ETFs – 1.2%  
iShares iBoxx $ High Yield Corporate Bond ETF   5,200 $396,916
Contingent Value Rights – 0.0%
Cable TV – 0.0%
Intelsat Jackson Holdings S.A. - Series A, 12/05/2025 (a)     73 $420
Intelsat Jackson Holdings S.A. - Series B, 12/05/2025 (a)     73 274
Total Contingent Value Rights   $694
Investment Companies (h) – 2.7%
Money Market Funds – 2.7%  
MFS Institutional Money Market Portfolio, 4.29% (v)     911,319 $911,410
 
Other Assets, Less Liabilities – 0.5%   173,657
Net Assets – 100.0% $33,712,343
(a) Non-income producing security.      
(d) In default.      
(f) All or a portion of the security has been segregated as collateral for open futures contracts.      
(h) An affiliated issuer, which may be considered one in which the fund owns 5% or more of the outstanding voting securities, or a company which is under common control. At period end, the aggregate values of the fund's investments in affiliated issuers and in unaffiliated issuers were $911,410 and $32,627,276, respectively.      
(n) Securities exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be sold in the ordinary course of business in transactions exempt from registration, normally to qualified institutional buyers. At period end, the aggregate value of these securities was $14,902,872, representing 44.2% of net assets.      
(p) Payment-in-kind (PIK) security for which interest income may be received in additional securities and/or cash.      
(u) The security was valued using significant unobservable inputs and is considered level 3 under the fair value hierarchy.      
(v) Affiliated issuer that is available only to investment companies managed by MFS. The rate quoted for the MFS Institutional Money Market Portfolio is the annualized seven-day yield of the fund at period end.      
The following abbreviations are used in this report and are defined:
ADR American Depositary Receipt
ETF Exchange-Traded Fund
REIT Real Estate Investment Trust
Abbreviations indicate amounts shown in currencies other than the U.S. dollar. All amounts are stated in U.S. dollars unless otherwise indicated. A list of abbreviations is shown below:
EUR Euro
Derivative Contracts at 1/31/23
Forward Foreign Currency Exchange Contracts
Currency
Purchased
Currency
Sold
Counterparty Settlement
Date
Unrealized
Appreciation
(Depreciation)
Liability Derivatives
USD 84,178 EUR 77,514 Brown Brothers Harriman 4/21/2023 $(500)
    
10

Portfolio of Investments (unaudited) – continued
Futures Contracts
Description Long/
Short
Currency Contracts Notional
Amount
Expiration
Date
Value/Unrealized
Appreciation
(Depreciation)
Asset Derivatives
Interest Rate Futures 
U.S. Treasury Note 10 yr Short USD 4 $458,063 March – 2023 $(5,830)
Liability Derivatives
Interest Rate Futures 
U.S. Treasury Bond Long USD 1 $129,875 March – 2023 $3,356
At January 31, 2023, the fund had liquid securities with an aggregate value of $7,555 to cover any collateral or margin obligations for securities sold short and certain derivative contracts.
See attached supplemental information. For more information see notes to financial statements as disclosed in the most recent semiannual or annual report.
11

Supplemental Information
1/31/23 (unaudited)
The fund is an investment company and accordingly follows the investment company accounting and reporting guidance of the Financial Accounting Standards Board (FASB) Accounting Standards Codification Topic 946 Financial Services - Investment Companies.
(1) Investment Valuations
Subject to its oversight, the fund's Board of Trustees has delegated primary responsibility for determining or causing to be determined the value of the fund’s investments to MFS as the fund's adviser, pursuant to the fund’s valuation policy and procedures which have been adopted by the adviser and approved by the Board. Effective September 8, 2022, and in accordance with Rule 2a-5 under the Investment Company Act of 1940, the Board of Trustees designated the adviser as the “valuation designee” of the fund. If the adviser, as valuation designee, determines that reliable market quotations are not readily available for an investment, the investment is valued at fair value as determined in good faith by the adviser in accordance with the adviser’s fair valuation policy and procedures.
Under the fund's valuation policy and procedures, equity securities, including restricted equity securities, are generally valued at the last sale or official closing price on their primary market or exchange as provided by a third-party pricing service. Equity securities, for which there were no sales reported that day, are generally valued at the last quoted daily bid quotation on their primary market or exchange as provided by a third-party pricing service. Debt instruments and floating rate loans, including restricted debt instruments, are generally valued at an evaluated or composite bid as provided by a third-party pricing service. Short-term instruments with a maturity at issuance of 60 days or less may be valued at amortized cost, which approximates market value. Futures contracts are generally valued at last posted settlement price on their primary exchange as provided by a third-party pricing service. Futures contracts for which there were no trades that day for a particular position are generally valued at the closing bid quotation on their primary exchange as provided by a third-party pricing service. Forward foreign currency exchange contracts are generally valued at the mean of bid and asked prices for the time period interpolated from rates provided by a third-party pricing service for proximate time periods. Open-end investment companies are generally valued at net asset value per share. The values of foreign securities and other assets and liabilities expressed in foreign currencies are converted to U.S. dollars using the mean of bid and asked prices for rates provided by a third-party pricing service.
Under the fund’s valuation policy and procedures, market quotations are not considered to be readily available for debt instruments, floating rate loans, and many types of derivatives. These investments are generally valued at fair value based on information from third-party pricing services or otherwise determined by the adviser in accordance with the adviser’s fair valuation policy and procedures. Securities and other assets generally valued on the basis of information from a third-party pricing service may also be valued at a broker/dealer bid quotation. In determining values, third-party pricing services can utilize both transaction data and market information such as yield, quality, coupon rate, maturity, type of issue, trading characteristics, spreads and other market data. An investment may also be valued at fair value if the adviser determines that the investment’s value has been materially affected by events occurring after the close of the exchange or market on which the investment is principally traded (such as foreign exchange or market) and prior to the determination of the fund’s net asset value, or after the halt of trading of a specific security where trading does not resume prior to the close of the exchange or market on which the security is principally traded. The adviser generally relies on third-party pricing services or other information (such as the correlation with price movements of similar securities in the same or other markets; the type, cost and investment characteristics of the security; the business and financial condition of the issuer; and trading and other market data) to assist in determining whether to fair value and at what value to fair value an investment. The value of an investment for purposes of calculating the fund’s net asset value can differ depending on the source and method used to determine value. When fair valuation is used, the value of an investment used to determine the fund’s net asset value may differ from quoted or published prices for the same investment. There can be no assurance that the fund could obtain the fair value assigned to an investment if it were to sell the investment at the same time at which the fund determines its net asset value per share.
Various inputs are used in determining the value of the fund's assets or liabilities. These inputs are categorized into three broad levels. In certain cases, the inputs used to measure fair value may fall into different levels of the fair value hierarchy. In such cases, an investment's level within the fair value hierarchy is based on the lowest level of input that is significant to the fair value measurement. The fund's assessment of the significance of a particular input to the fair value measurement in its entirety requires judgment, and considers factors specific to the investment. Level 1 includes unadjusted quoted prices in active markets for identical assets or liabilities. Level 2 includes other significant observable market-based inputs (including quoted prices for similar securities, interest rates, prepayment speed, and credit risk).
12

Supplemental Information (unaudited) – continued
Level 3 includes significant unobservable inputs, which may include the adviser's own assumptions in determining the fair value of investments. Other financial instruments are derivative instruments, such as futures contracts and forward foreign currency exchange contracts. The following is a summary of the levels used as of January 31, 2023 in valuing the fund's assets and liabilities:
Financial Instruments Level 1 Level 2 Level 3 Total
Equity Securities:        
United States $14,200,195 $— $20,103 $14,220,298
Switzerland 509,026 509,026
Luxembourg 16,909 16,909
Mexico 9,517 9,517
Non - U.S. Sovereign Debt 205,959 205,959
U.S. Corporate Bonds 13,476,786 13,476,786
Foreign Bonds 4,188,781 4,188,781
Mutual Funds 911,410 911,410
Total $15,620,631 $17,888,435 $29,620 $33,538,686
Other Financial Instruments        
Futures Contracts – Assets $(5,830) $— $— $(5,830)
Futures Contracts – Liabilities 3,356 3,356
Forward Foreign Currency Exchange Contracts – Liabilities (500) (500)
For further information regarding security characteristics, see the Portfolio of Investments.
The following is a reconciliation of level 3 assets for which significant unobservable inputs were used to determine fair value. The table presents the activity of level 3 securities held at the beginning and the end of the period.
  Equity
  Securities
Balance as of 10/31/22 $33,721
Change in unrealized appreciation or depreciation (4,102)
Balance as of 1/31/23 $29,620
The net change in unrealized appreciation or depreciation from investments held as level 3 at January 31, 2023 is $(4,102). At January 31, 2023, the fund held two level 3 securities.
(2) Investments in Affiliated Issuers
An affiliated issuer may be considered one in which the fund owns 5% or more of the outstanding voting securities, or a company which is under common control. For the purposes of this report, the following were affiliated issuers:
Affiliated Issuers Beginning
Value
Purchases Sales
Proceeds
Realized
Gain
(Loss)
Change in
Unrealized
Appreciation or
Depreciation
Ending
Value
MFS Institutional Money Market Portfolio $728,206 $1,437,302 $1,254,166 $(6) $74 $911,410
Affiliated Issuers Dividend
Income
Capital Gain
Distributions
MFS Institutional Money Market Portfolio $6,923 $—
13