0001752724-23-212477.txt : 20230925 0001752724-23-212477.hdr.sgml : 20230925 20230925090425 ACCESSION NUMBER: 0001752724-23-212477 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 4 CONFORMED PERIOD OF REPORT: 20230731 FILED AS OF DATE: 20230925 DATE AS OF CHANGE: 20230925 PERIOD START: 20231031 FILER: COMPANY DATA: COMPANY CONFORMED NAME: MFS SPECIAL VALUE TRUST CENTRAL INDEX KEY: 0000856128 IRS NUMBER: 043063376 STATE OF INCORPORATION: MA FISCAL YEAR END: 1031 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-05912 FILM NUMBER: 231273248 BUSINESS ADDRESS: STREET 1: 111 HUNTINGTON AVENUE STREET 2: 24TH FLOOR CITY: BOSTON STATE: MA ZIP: 02199 BUSINESS PHONE: 18006372929 MAIL ADDRESS: STREET 1: 111 HUNTINGTON AVENUE STREET 2: 24TH FLOOR CITY: BOSTON STATE: MA ZIP: 02199 NPORT-P 1 primary_doc.xml NPORT-P false 0000856128 XXXXXXXX MFS SPECIAL VALUE TRUST 811-05912 0000856128 BU0CC6CZ0VASCUHSKS68 111 HUNTINGTON AVENUE BOSTON 02199 617-954-5000 MFS SPECIAL 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69000.00000000 PA USD 68352.01000000 0.210887641394 Long DBT CORP US N 2 2026-03-15 Fixed 7.13000000 N N N N N N MATCH GROUP HLD II LLC 5493003RFFE030RC9167 Match Group Holdings II LLC 57667JAA0 5000.00000000 PA USD 4116.00000000 0.012699166154 Long DBT CORP US Y 2 2031-10-01 Fixed 3.63000000 N N N N N N INTERFACE INC 549300VXZWQOIDFPU355 Interface Inc 458665AS5 88000.00000000 PA USD 73792.72000000 0.227673958277 Long DBT CORP US Y 2 2028-12-01 Fixed 5.50000000 N N N N N N NUSTAR LOGISTICS LP N62BF2PKP51FIIOIUN20 NuStar Logistics LP 67059TAH8 50000.00000000 PA USD 48222.50000000 0.148781715229 Long DBT CORP US N 2 2030-10-01 Fixed 6.38000000 N N N N N N 1375209 BC LTD N/A 1375209 BC Ltd 68251PAA5 35000.00000000 PA USD 35087.44000000 0.108255886903 Long DBT CORP CA Y 2 2028-01-30 Fixed 9.00000000 N N N N N N SIRIUS XM RADIO INC WP5O65E6BMU84LNO4227 Sirius XM Radio Inc 82967NBC1 122000.00000000 PA USD 111467.63000000 0.343913011227 Long DBT CORP US Y 2 2029-07-01 Fixed 5.50000000 N N N N N N TRONOX INC 549300EPZ4YXC7E5P181 Tronox Inc 897051AC2 15000.00000000 PA USD 12434.67000000 0.038364902916 Long DBT CORP US Y 2 2029-03-15 Fixed 4.63000000 N N N N N N ARETEC ESCROW ISSUER INC N/A Aretec Escrow Issuer Inc 040133AA8 61000.00000000 PA USD 54934.40000000 0.169490056655 Long DBT CORP US Y 2 2029-04-01 Fixed 7.50000000 N N N N N N GRIFFON CORPORATION 5493000C2SGNC7ZN3242 Griffon Corp 398433AP7 68000.00000000 PA USD 63998.91000000 0.197456946499 Long DBT CORP US N 2 2028-03-01 Fixed 5.75000000 N N N N N N VENTURE GLOBAL LNG INC 54930011XLBUWMQUC829 Venture Global LNG Inc 92332YAB7 33000.00000000 PA USD 33485.66000000 0.103313887301 Long DBT CORP US Y 2 2031-06-01 Fixed 8.38000000 N N N N N N GYP HOLDINGS III CORP 549300055I1KJWZH9690 GYP Holdings III Corp 36261NAA5 74000.00000000 PA USD 66096.80000000 0.203929602885 Long DBT CORP US Y 2 2029-05-01 Fixed 4.63000000 N N N N N N WILLIAMS SCOTSMAN INTL 549300V3TCHCBOBTGH07 Williams Scotsman International Inc 96950GAE2 80000.00000000 PA USD 73577.38000000 0.227009566042 Long DBT CORP US Y 2 2028-08-15 Fixed 4.63000000 N N N N N N GLOBAL AIR LEASE CO LTD N/A Global Aircraft Leasing Co Ltd 37960JAA6 128495.00000000 PA USD 121094.97000000 0.373616410228 Long DBT CORP KY Y 2 2024-09-15 Fixed 6.50000000 N N Y N N N NOVELIS CORP 549300G5F3W3B52WYL23 Novelis Corp 670001AE6 61000.00000000 PA USD 54824.29000000 0.169150332363 Long DBT CORP US Y 2 2030-01-30 Fixed 4.75000000 N N N N N N JPMorgan Chase & Co 8I5DZWZKVSZI1NUHU748 JPMorgan Chase & Co 46625H100 4356.00000000 NS USD 688073.76000000 2.122925900087 Long EC CORP US N 1 N N N TASEKO MINES LTD 549300XKUO1JSLU7KX54 Taseko Mines Ltd 876511AF3 45000.00000000 PA USD 41627.32000000 0.128433492041 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 59000.00000000 PA USD 53153.79000000 0.163996309754 Long DBT CORP US Y 2 2028-10-15 Fixed 6.88000000 N N N N N N BOMBARDIER INC W7L3VLU8EHQY34Z36697 Bombardier Inc 097751BZ3 15000.00000000 PA USD 14860.89000000 0.045850561543 Long DBT CORP CA Y 2 2029-02-01 Fixed 7.50000000 N N N N N N INGEVITY CORP 5493009UTFC4B5IMGF87 Ingevity Corp 45688CAB3 99000.00000000 PA USD 85448.14000000 0.263634627660 Long DBT CORP US Y 2 2028-11-01 Fixed 3.88000000 N N N N N N COEUR MINING INC 5493003AVK173D48DR70 Coeur Mining Inc 192108BC1 57000.00000000 PA USD 47295.19000000 0.145920669610 Long DBT CORP US Y 2 2029-02-15 Fixed 5.13000000 N N N N N N American Express Co R4PP93JZOLY261QX3811 American Express Co 025816109 3159.00000000 NS USD 533491.92000000 1.645991869324 Long EC CORP US N 1 N N N INTELSAT JACKSON HOLDINGS S A 8XJ8KF85PBKK1TLMFN29 INTELSAT JACKSON HOLDINGS S A 000000000 73.00000000 NS USD 456.25000000 0.001407676034 N/A DE LU N 2 N/A N/A INTELSAT EMERGENCE SA INTELSAT EMERGENCE SA 2025-12-05 XXXX 456.25000000 N N N LIFEPT/LEGACY LIFEPT N/A RegionalCare Hospital Partners Holdings Inc / LifePoint Health Inc 53219LAR0 28000.00000000 PA USD 26254.66000000 0.081003957645 Long DBT CORP US N 2 2026-12-01 Fixed 9.75000000 N N N N N N TERRAFORM GLOBAL OPERATI 549300LC7QMVR79H5O86 Terraform Global Operating LP 88104UAC7 50000.00000000 PA USD 48836.50000000 0.150676100073 Long DBT CORP US Y 2 2026-03-01 Fixed 6.13000000 N N N N N N ENCOMPASS HEALTH CORP 549300FVRPM9DRQZRG64 Encompass Health Corp 29261AAB6 68000.00000000 PA USD 61807.47000000 0.190695658677 Long DBT CORP US N 2 2030-02-01 Fixed 4.75000000 N N N N N N AG ISSUER LLC N/A AG Issuer LLC 00119LAA9 10000.00000000 PA USD 9645.97000000 0.029760878462 Long DBT CORP US Y 2 2028-03-01 Fixed 6.25000000 N N N N N N GO DADDY OPCO/FINCO N/A Go Daddy Operating Co LLC / GD Finance Co Inc 38016LAC9 103000.00000000 PA USD 88569.41000000 0.273264736101 Long DBT CORP US Y 2 2029-03-01 Fixed 3.50000000 N N N N N N Bombardier Inc W7L3VLU8EHQY34Z36697 Bombardier Inc 097751BM2 13000.00000000 PA USD 13045.72000000 0.040250186074 Long DBT CORP CA Y 2 2025-03-15 Fixed 7.50000000 N N N N N N 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Quarterly Report
July 31, 2023
MFS®  Special Value Trust
MFV-Q3

Portfolio of Investments
7/31/23 (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 – 53.6%
Aerospace & Defense – 1.3%
Bombardier, Inc., 7.5%, 3/15/2025 (n)   $ 13,000 $13,046
Bombardier, Inc., 7.125%, 6/15/2026 (n)     33,000 32,739
Bombardier, Inc., 7.5%, 2/01/2029 (n)     15,000 14,861
Moog, Inc., 4.25%, 12/15/2027 (n)     61,000 56,525
Spirit AeroSystems, Inc., 4.6%, 6/15/2028      60,000 51,047
TransDigm, Inc., 6.25%, 3/15/2026 (n)     60,000 59,677
TransDigm, Inc., 6.375%, 6/15/2026      40,000 39,591
TransDigm, Inc., 5.5%, 11/15/2027      64,000 60,660
TransDigm, Inc., 6.75%, 8/15/2028 (n)     48,000 48,143
TransDigm, Inc., 4.625%, 1/15/2029      55,000 49,088
        $425,377
Airlines – 0.3%
Air Canada, 3.875%, 8/15/2026 (n)   $ 58,000 $53,822
American Airlines, Inc./AAdvantage Loyalty IP Ltd., 5.75%, 4/20/2029 (n)     35,527 34,394
        $88,216
Automotive – 1.3%
Clarios Global LP/Clarios U.S. Finance Co., 8.5%, 5/15/2027 (n)   $ 55,000 $55,687
Clarios Global LP/Clarios U.S. Finance Co., 6.75%, 5/15/2028 (n)     25,000 25,112
Dana, Inc., 5.375%, 11/15/2027      46,000 44,050
Dana, Inc., 4.25%, 9/01/2030      32,000 27,344
Dornoch Debt Merger Sub, Inc., 6.625%, 10/15/2029 (n)     52,000 44,582
Ford Motor Credit Co. LLC, 4.134%, 8/04/2025      200,000 190,759
Real Hero Merger Sub 2, Inc., 6.25%, 2/01/2029 (n)     42,000 33,881
        $421,415
Broadcasting – 0.9%
Gray Escrow II, Inc., 5.375%, 11/15/2031 (n)   $ 85,000 $59,313
Gray Television, Inc., 5.875%, 7/15/2026 (n)     10,000 9,002
Midas OpCo Holdings LLC, 5.625%, 8/15/2029 (n)     64,000 54,455
Summer (BC) Bidco B LLC, 5.5%, 10/31/2026 (n)     200,000 170,323
        $293,093
Brokerage & Asset Managers – 0.8%
AG Issuer LLC, 6.25%, 3/01/2028 (n)   $ 10,000 $9,646
AG TTMT Escrow Issuer LLC, 8.625%, 9/30/2027 (n)     65,000 67,022
Aretec Escrow Issuer, Inc., 7.5%, 4/01/2029 (n)     61,000 54,935
LPL Holdings, Inc., 4.375%, 5/15/2031 (n)     40,000 35,168
NFP Corp., 4.875%, 8/15/2028 (n)     53,000 47,694
NFP Corp., 6.875%, 8/15/2028 (n)     56,000 49,566
        $264,031
Building – 1.6%
Foundation Building Materials LLC, 6%, 3/01/2029 (n)   $ 62,000 $53,699
GYP Holding III Corp., 4.625%, 5/01/2029 (n)     74,000 66,097
Interface, Inc., 5.5%, 12/01/2028 (n)     88,000 73,793
MIWD Holdco II LLC/MIWD Finance Co., 5.5%, 2/01/2030 (n)     51,000 43,095
New Enterprise Stone & Lime Co., Inc., 9.75%, 7/15/2028 (n)     48,000 47,240
Patrick Industries, Inc., 7.5%, 10/15/2027 (n)     70,000 68,775
SRS Distribution, Inc., 6.125%, 7/01/2029 (n)     36,000 31,588
Standard Industries, Inc., 4.75%, 1/15/2028 (n)     33,000 30,745
Standard Industries, Inc., 4.375%, 7/15/2030 (n)     65,000 56,426
White Cap Buyer LLC, 6.875%, 10/15/2028 (n)     59,000 53,154
        $524,612
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)   $ 31,000 $29,729
Iron Mountain, Inc., 4.875%, 9/15/2027 (n)     45,000 42,208
Iron Mountain, Inc., 5.25%, 3/15/2028 (n)     35,000 32,831
Verscend Escrow Corp., 9.75%, 8/15/2026 (n)     70,000 70,199
ZI Technologies LLC/ZI Finance Corp. Co., 3.875%, 2/01/2029 (n)     60,000 51,536
        $226,503
Cable TV – 4.7%
Cable One, Inc., 4%, 11/15/2030 (n)   $ 89,000 $70,310
CCO Holdings LLC/CCO Holdings Capital Corp., 5.125%, 5/01/2027 (n)     46,000 43,157
CCO Holdings LLC/CCO Holdings Capital Corp., 4.75%, 3/01/2030 (n)     206,000 178,554
CCO Holdings LLC/CCO Holdings Capital Corp., 4.5%, 8/15/2030 (n)     108,000 91,508
CCO Holdings LLC/CCO Holdings Capital Corp., 4.25%, 2/01/2031 (n)     73,000 60,013
CCO Holdings LLC/CCO Holdings Capital Corp., 4.25%, 1/15/2034 (n)     50,000 38,431
CSC Holdings LLC, 5.375%, 2/01/2028 (n)     200,000 167,014
DISH DBS Corp., 7.75%, 7/01/2026      35,000 22,628
DISH DBS Corp., 5.25%, 12/01/2026 (n)     50,000 40,950
DISH DBS Corp., 5.125%, 6/01/2029      40,000 20,100
DISH Network Corp., 11.75%, 11/15/2027 (n)     25,000 25,164
Sirius XM Radio, Inc., 4%, 7/15/2028 (n)     52,000 45,244
Sirius XM Radio, Inc., 5.5%, 7/01/2029 (n)     122,000 111,468
Sirius XM Radio, Inc., 3.875%, 9/01/2031 (n)     37,000 28,969
Telenet Finance Luxembourg S.A., 5.5%, 3/01/2028 (n)     200,000 182,840
Videotron Ltd., 5.125%, 4/15/2027 (n)     39,000 37,607
Videotron Ltd., 3.625%, 6/15/2029 (n)     35,000 30,450
Virgin Media Finance PLC, 5%, 7/15/2030 (n)     200,000 164,110
Ziggo Bond Finance B.V., 5.125%, 2/28/2030 (n)     200,000 158,000
        $1,516,517
Chemicals – 2.3%
Axalta Coating Systems Ltd., 4.75%, 6/15/2027 (n)   $ 150,000 $143,054
Element Solutions, Inc., 3.875%, 9/01/2028 (n)     80,000 70,701
Ingevity Corp., 3.875%, 11/01/2028 (n)     99,000 85,448
LSF11 A5 HoldCo LLC, 6.625%, 10/15/2029 (n)     58,000 48,428
Sasol Financing (USA) LLC, 5.5%, 3/18/2031      200,000 164,822
SCIH Salt Holdings, Inc., 6.625%, 5/01/2029 (n)     40,000 34,757
SCIL IV LLC / SCIL USA Holdings LLC, 9.5%, 7/15/2028 (n)   EUR 100,000 111,914
Tronox, Inc., 4.625%, 3/15/2029 (n)   $ 15,000 12,435
Windsor Holdings III, LLC, 8.5%, 6/15/2030 (n)     76,000 76,380
        $747,939
Computer Software – 0.6%
Camelot Finance S.A., 4.5%, 11/01/2026 (n)   $ 42,000 $39,613
Clarivate Science Holdings Corp., 3.875%, 7/01/2028 (n)     15,000 13,371
Clarivate Science Holdings Corp., 4.875%, 7/01/2029 (n)     40,000 35,532
Dun & Bradstreet Corp., 5%, 12/15/2029 (n)     57,000 50,172
Neptune Bidco U.S., Inc., 9.29%, 4/15/2029 (n)     60,000 55,191
        $193,879
Computer Software - Systems – 0.9%
Fair Isaac Corp., 5.25%, 5/15/2026 (n)   $ 108,000 $105,975
Sabre GLBL, Inc., 7.375%, 9/01/2025 (n)     24,000 21,660
Sabre GLBL, Inc., 11.25%, 12/15/2027 (n)     25,000 22,118
SS&C Technologies Holdings, Inc., 5.5%, 9/30/2027 (n)     103,000 99,506
Virtusa Corp., 7.125%, 12/15/2028 (n)     49,000 41,044
        $290,303
2

Portfolio of Investments (unaudited) – continued
Issuer     Shares/Par Value ($)
Bonds – continued
Conglomerates – 1.9%
BWX Technologies, Inc., 4.125%, 6/30/2028 (n)   $ 68,000 $61,893
BWX Technologies, Inc., 4.125%, 4/15/2029 (n)     76,000 68,210
Chart Industries, Inc., 9.5%, 1/01/2031 (n)     60,000 64,350
Emerald Debt Merger, 6.625%, 12/15/2030 (n)     87,000 86,456
Gates Global LLC, 6.25%, 1/15/2026 (n)     72,000 71,103
Griffon Corp., 5.75%, 3/01/2028      68,000 63,999
Madison IAQ LLC, 5.875%, 6/30/2029 (n)     54,000 45,295
Regal Rexnord Corp., 6.3%, 2/15/2030 (n)     42,000 41,931
TriMas Corp., 4.125%, 4/15/2029 (n)     112,000 98,842
        $602,079
Construction – 0.4%
Empire Communities Corp., 7%, 12/15/2025 (n)   $ 43,000 $41,329
Mattamy Group Corp., 5.25%, 12/15/2027 (n)     30,000 28,368
Mattamy Group Corp., 4.625%, 3/01/2030 (n)     40,000 35,088
Weekley Homes LLC/Weekley Finance Corp., 4.875%, 9/15/2028 (n)     45,000 40,389
        $145,174
Consumer Products – 1.1%
Energizer Gamma Acquisition B.V., 3.5%, 6/30/2029    EUR 100,000 $89,655
Mattel, Inc., 3.375%, 4/01/2026 (n)   $ 41,000 38,119
Mattel, Inc., 5.875%, 12/15/2027 (n)     17,000 16,670
Newell Brands, Inc., 6.375%, 9/15/2027      70,000 68,862
Newell Brands, Inc., 6.625%, 9/15/2029      30,000 29,967
Prestige Consumer Healthcare, Inc., 5.125%, 1/15/2028 (n)     55,000 52,525
Prestige Consumer Healthcare, Inc., 3.75%, 4/01/2031 (n)     31,000 26,040
Spectrum Brands, Inc., 3.875%, 3/15/2031 (n)     36,000 29,691
SWF Escrow Issuer Corp., 6.5%, 10/01/2029 (n)     33,000 20,378
        $371,907
Consumer Services – 2.2%
Allied Universal Holdco LLC, 9.75%, 7/15/2027 (n)   $ 96,000 $88,041
ANGI Group LLC, 3.875%, 8/15/2028 (n)     71,000 59,626
Arches Buyer, Inc., 6.125%, 12/01/2028 (n)     52,000 44,785
Cushman & Wakefield PLC, 6.75%, 5/15/2028 (n)     46,000 42,165
GoDaddy, Inc., 3.5%, 3/01/2029 (n)     103,000 88,569
GW B-CR Security Corp., 9.5%, 11/01/2027 (n)     49,000 47,964
Match Group Holdings II LLC, 5%, 12/15/2027 (n)     69,000 65,381
Match Group Holdings II LLC, 4.625%, 6/01/2028 (n)     60,000 55,348
Match Group Holdings II LLC, 4.125%, 8/01/2030 (n)     20,000 17,259
Match Group Holdings II LLC, 3.625%, 10/01/2031 (n)     5,000 4,116
Realogy Group LLC/Realogy Co-Issuer Corp., 5.75%, 1/15/2029 (n)     42,000 31,078
Realogy Group LLC/Realogy Co-Issuer Corp., 5.25%, 4/15/2030 (n)     45,000 32,423
TriNet Group, Inc., 3.5%, 3/01/2029 (n)     89,000 77,653
WASH Multi-Family Acquisition, Inc., 5.75%, 4/15/2026 (n)     49,000 45,591
        $699,999
Containers – 1.7%
Ardagh Metal Packaging Finance USA LLC, 4%, 9/01/2029 (n)   $ 200,000 $163,581
Can-Pack S.A./Eastern PA Land Investment Holding LLC, 3.875%, 11/15/2029 (n)     200,000 160,722
Crown Americas LLC, 5.25%, 4/01/2030      23,000 21,944
Crown Americas LLC/Crown Americas Capital Corp. V, 4.25%, 9/30/2026      80,000 75,645
Crown Americas LLC/Crown Americas Capital Corp. VI, 4.75%, 2/01/2026      55,000 53,168
LABL, Inc., 5.875%, 11/01/2028 (n)     50,000 45,607
Mauser Packaging Solutions, 7.875%, 8/15/2026 (n)     25,000 24,933
        $545,600
Electrical Equipment – 0.1%
CommScope Technologies LLC, 5%, 3/15/2027 (n)   $ 41,000 $27,347
3

Portfolio of Investments (unaudited) – continued
Issuer     Shares/Par Value ($)
Bonds – continued
Electronics – 0.7%
Entegris, Inc., 4.375%, 4/15/2028 (n)   $ 46,000 $41,845
Entegris, Inc., 3.625%, 5/01/2029 (n)     27,000 23,367
Sensata Technologies B.V., 5.625%, 11/01/2024 (n)     25,000 24,849
Sensata Technologies B.V., 5%, 10/01/2025 (n)     85,000 82,861
Synaptics, Inc., 4%, 6/15/2029 (n)     65,000 55,903
        $228,825
Emerging Market Quasi-Sovereign – 0.3%
Petroleos Mexicanos, 6.49%, 1/23/2027    $ 100,000 $89,106
Energy - Independent – 1.8%
Callon Petroleum Co., 8%, 8/01/2028 (n)   $ 45,000 $45,627
Callon Petroleum Co., 7.5%, 6/15/2030 (n)     15,000 14,562
Civitas Resources, Inc., 8.375%, 7/01/2028 (n)     48,000 49,371
Civitas Resources, Inc., 8.75%, 7/01/2031 (n)     25,000 25,875
Comstock Resources, Inc., 6.75%, 3/01/2029 (n)     75,000 69,958
CrownRock LP/CrownRock Finance, Inc., “F”, 5%, 5/01/2029 (n)     65,000 61,122
Encino Acquisition Partners Holdings LLC, 8.5%, 5/01/2028 (n)     40,000 36,691
Matador Resources Co., 6.875%, 4/15/2028 (n)     57,000 56,647
Moss Creek Resources Holdings, Inc., 7.5%, 1/15/2026 (n)     44,000 41,095
Permian Resources Operating LLC, 7.75%, 2/15/2026 (n)     5,000 5,049
Permian Resources Operating LLC, 5.875%, 7/01/2029 (n)     85,000 81,009
SM Energy Co., 6.75%, 9/15/2026      15,000 14,737
SM Energy Co., 6.5%, 7/15/2028      41,000 40,077
Southwestern Energy Co., 8.375%, 9/15/2028      25,000 25,972
Southwestern Energy Co., 5.375%, 3/15/2030      33,000 30,876
        $598,668
Entertainment – 1.2%
Carnival Corp. PLC, 7.625%, 3/01/2026 (n)   $ 48,000 $47,353
Carnival Corp. PLC, 5.75%, 3/01/2027 (n)     71,000 65,676
Carnival Corp. PLC, 9.875%, 8/01/2027 (n)     37,000 38,683
Carnival Corp. PLC, 4%, 8/01/2028 (n)     15,000 13,337
NCL Corp. Ltd., 5.875%, 3/15/2026 (n)     37,000 35,011
Royal Caribbean Cruises Ltd., 5.375%, 7/15/2027 (n)     42,000 39,935
Royal Caribbean Cruises Ltd., 5.5%, 4/01/2028 (n)     65,000 61,262
SeaWorld Parks & Entertainment, 5.25%, 8/15/2029 (n)     35,000 31,500
Viking Ocean Cruises Ship VII Ltd., 5.625%, 2/15/2029 (n)     20,000 18,604
VOC Escrow Ltd., 5%, 2/15/2028 (n)     30,000 27,874
        $379,235
Financial Institutions – 2.2%
Castlelake Aviation Finance Designated Activity Co., 5%, 4/15/2027 (n)   $ 12,000 $11,070
Credit Acceptance Corp., 5.125%, 12/31/2024 (n)     65,000 63,690
Credit Acceptance Corp., 6.625%, 3/15/2026      8,000 7,851
Global Aircraft Leasing Co. Ltd., 6.5% (6.5% Cash or 7.25% PIK), 9/15/2024 (n)(p)     128,495 121,095
Howard Hughes Corp., 4.125%, 2/01/2029 (n)     86,000 72,671
Macquarie AirFinance Ltd., 8.375%, 5/01/2028 (n)     64,000 65,164
Nationstar Mortgage Holdings, Inc., 6%, 1/15/2027 (n)     89,000 85,050
Nationstar Mortgage Holdings, Inc., 5.75%, 11/15/2031 (n)     12,000 10,183
OneMain Finance Corp., 6.875%, 3/15/2025      50,000 49,834
OneMain Finance Corp., 7.125%, 3/15/2026      69,000 68,352
OneMain Finance Corp., 5.375%, 11/15/2029      10,000 8,663
Rocket Mortgage Co-Issuer, Inc., 3.625%, 3/01/2029 (n)     43,000 36,657
SLM Corp., 3.125%, 11/02/2026      70,000 61,595
UWM Holdings Corp., 5.5%, 4/15/2029 (n)     73,000 64,176
        $726,051
4

Portfolio of Investments (unaudited) – continued
Issuer     Shares/Par Value ($)
Bonds – continued
Food & Beverages – 2.0%
B&G Foods, Inc., 5.25%, 4/01/2025    $ 40,000 $38,108
B&G Foods, Inc., 5.25%, 9/15/2027      15,000 12,935
BellRing Brands, Inc., 7%, 3/15/2030 (n)     71,000 71,268
Central America Bottling Co., 5.25%, 4/27/2029 (n)     200,000 184,501
Performance Food Group Co., 5.5%, 10/15/2027 (n)     73,000 70,686
Post Holdings, Inc., 5.625%, 1/15/2028 (n)     59,000 57,014
Post Holdings, Inc., 4.625%, 4/15/2030 (n)     77,000 67,855
Primo Water Holding, Inc., 4.375%, 4/30/2029 (n)     91,000 79,902
U.S. Foods Holding Corp., 4.75%, 2/15/2029 (n)     75,000 68,982
        $651,251
Gaming & Lodging – 1.0%
Caesars Entertainment, Inc., 4.625%, 10/15/2029 (n)   $ 13,000 $11,444
Caesars Entertainment, Inc., 7%, 2/15/2030 (n)     43,000 43,431
Caesars Resort Collection LLC/CRC Finco, Inc., 8.125%, 7/01/2027 (n)     56,000 57,438
CCM Merger, Inc., 6.375%, 5/01/2026 (n)     54,000 52,610
Penn National Gaming, Inc., 4.125%, 7/01/2029 (n)     50,000 41,299
Wyndham Hotels & Resorts, Inc., 4.375%, 8/15/2028 (n)     73,000 66,809
Wynn Resorts Finance LLC/Wynn Resorts Capital Corp., 5.125%, 10/01/2029 (n)     63,000 57,007
        $330,038
Industrial – 0.6%
APi Escrow Corp., 4.75%, 10/15/2029 (n)   $ 85,000 $75,696
Brand Industrial Service, Inc., 10.375%, 8/01/2030 (n)     30,000 30,601
Williams Scotsman International, Inc., 4.625%, 8/15/2028 (n)     80,000 73,577
        $179,874
Insurance - Property & Casualty – 1.3%
Acrisure LLC/Acrisure Finance, Inc., 7%, 11/15/2025 (n)   $ 36,000 $34,764
Acrisure LLC/Acrisure Finance, Inc., 4.25%, 2/15/2029 (n)     25,000 21,556
Acrisure LLC/Acrisure Finance, Inc., 6%, 8/01/2029 (n)     55,000 47,157
Alliant Holdings Intermediate LLC/Alliant Holdings Co-Issuer, 6.75%, 10/15/2027 (n)     30,000 28,416
Alliant Holdings Intermediate LLC/Alliant Holdings Co-Issuer, 5.875%, 11/01/2029 (n)     71,000 62,825
AmWINS Group Benefits, Inc., 4.875%, 6/30/2029 (n)     50,000 45,872
AssuredPartners, Inc., 5.625%, 1/15/2029 (n)     40,000 34,917
GTCR (AP) Finance, Inc., 8%, 5/15/2027 (n)     45,000 44,569
Hub International Ltd., 5.625%, 12/01/2029 (n)     61,000 54,444
Hub International Ltd., 7.25%, 6/15/2030 (n)     41,000 41,779
        $416,299
Machinery & Tools – 0.6%
Ritchie Bros Holdings, Inc., 6.75%, 3/15/2028 (n)   $ 45,000 $45,563
Ritchie Bros Holdings, Inc., 7.75%, 3/15/2031 (n)     83,000 86,503
Terex Corp., 5%, 5/15/2029 (n)     60,000 55,828
        $187,894
Medical & Health Technology & Services – 2.3%
Avantor Funding, Inc., 4.625%, 7/15/2028 (n)   $ 89,000 $82,577
Charles River Laboratories International, Inc., 3.75%, 3/15/2029 (n)     79,000 69,710
CHS/Community Health Systems, Inc., 8%, 12/15/2027 (n)     35,000 34,223
CHS/Community Health Systems, Inc., 6.125%, 4/01/2030 (n)     71,000 44,753
CHS/Community Health Systems, Inc., 5.25%, 5/15/2030 (n)     61,000 48,741
Encompass Health Corp., 5.75%, 9/15/2025      10,000 9,974
Encompass Health Corp., 4.75%, 2/01/2030      68,000 61,807
Encompass Health Corp., 4.625%, 4/01/2031      10,000 8,886
IQVIA, Inc., 5%, 5/15/2027 (n)     200,000 192,860
Legacy LifePoint Health LLC, 4.375%, 2/15/2027 (n)     25,000 21,563
Tenet Healthcare Corp., 6.125%, 10/01/2028      44,000 41,914
Tenet Healthcare Corp., 4.375%, 1/15/2030      19,000 16,946
5

Portfolio of Investments (unaudited) – continued
Issuer     Shares/Par Value ($)
Bonds – continued
Medical & Health Technology & Services – continued
Tenet Healthcare Corp., 6.125%, 6/15/2030    $ 61,000 $59,277
Tenet Healthcare Corp., 6.75%, 5/15/2031 (n)     25,000 24,833
U.S. Acute Care Solutions LLC, 6.375%, 3/01/2026 (n)     50,000 43,691
        $761,755
Medical Equipment – 0.6%
Embecta Corp., 5%, 2/15/2030 (n)   $ 60,000 $49,500
Garden SpinCo Corp., 8.625%, 7/20/2030 (n)     68,000 73,387
Mozart Debt Merger Sub, Inc., 5.25%, 10/01/2029 (n)     35,000 31,051
Teleflex, Inc., 4.625%, 11/15/2027      30,000 28,313
        $182,251
Metals & Mining – 1.8%
Baffinland Iron Mines Corp./Baffinland Iron Mines LP, 8.75%, 7/15/2026 (n)   $ 68,000 $65,960
Coeur Mining, Inc., 5.125%, 2/15/2029 (n)     57,000 47,295
Eldorado Gold Corp., 6.25%, 9/01/2029 (n)     27,000 24,168
Ero Copper Corp., 6.5%, 2/15/2030 (n)     21,000 18,479
FMG Resources Ltd., 4.375%, 4/01/2031 (n)     119,000 102,330
GrafTech Finance, Inc., 4.625%, 12/15/2028 (n)     72,000 59,849
GrafTech International Ltd., 9.875%, 12/15/2028 (n)     10,000 10,158
Kaiser Aluminum Corp., 4.625%, 3/01/2028 (n)     52,000 46,674
Kaiser Aluminum Corp., 4.5%, 6/01/2031 (n)     75,000 61,313
Novelis Corp., 3.25%, 11/15/2026 (n)     14,000 12,721
Novelis Corp., 4.75%, 1/30/2030 (n)     61,000 54,824
Novelis Corp., 3.875%, 8/15/2031 (n)     59,000 49,130
Petra Diamonds US$ Treasury PLC, 9.75%, 3/08/2026 (n)     30,688 27,619
        $580,520
Midstream – 2.6%
DT Midstream, Inc., 4.125%, 6/15/2029 (n)   $ 49,000 $43,445
DT Midstream, Inc., 4.375%, 6/15/2031 (n)     80,000 69,451
EQM Midstream Partners LP, 5.5%, 7/15/2028      105,000 101,028
Genesis Energy LP/Genesis Energy Finance Corp., 8%, 1/15/2027      20,000 19,683
Genesis Energy LP/Genesis Energy Finance Corp., 8.875%, 4/15/2030      36,000 35,908
Kinetik Holdings, Inc., 5.875%, 6/15/2030 (n)     55,000 52,869
NuStar Logistics, LP, 6.375%, 10/01/2030      50,000 48,222
Peru LNG, 5.375%, 3/22/2030      200,000 161,232
Tallgrass Energy Partners LP, 6%, 3/01/2027 (n)     22,000 20,848
Tallgrass Energy Partners LP, 5.5%, 1/15/2028 (n)     88,000 80,960
Venture Global Calcasieu Pass LLC, 3.875%, 8/15/2029 (n)     73,000 63,211
Venture Global Calcasieu Pass LLC, 6.25%, 1/15/2030 (n)     27,000 26,401
Venture Global Calcasieu Pass LLC, 4.125%, 8/15/2031 (n)     50,000 42,412
Venture Global LNG, Inc., 8.125%, 6/01/2028 (n)     37,000 37,606
Venture Global LNG, Inc., 8.375%, 6/01/2031 (n)     33,000 33,486
        $836,762
Network & Telecom – 0.6%
Iliad Holding S.A.S., 7%, 10/15/2028 (n)   $ 200,000 $187,768
Oil Services – 0.8%
MV24 Capital B.V., 6.748%, 6/01/2034 (n)   $ 168,118 $155,315
Nabors Industries Ltd., 7.25%, 1/15/2026 (n)     65,000 62,579
Solaris Midstream Holding LLC, 7.625%, 4/01/2026 (n)     44,000 43,136
        $261,030
Oils – 0.4%
Parkland Corp., 4.625%, 5/01/2030 (n)   $ 110,000 $96,531
PBF Holding Co. LLC/PBF Finance Corp., 6%, 2/15/2028      47,000 44,379
        $140,910
6

Portfolio of Investments (unaudited) – continued
Issuer     Shares/Par Value ($)
Bonds – continued
Personal Computers & Peripherals – 0.3%
NCR Corp., 5%, 10/01/2028 (n)   $ 62,000 $56,085
NCR Corp., 5.125%, 4/15/2029 (n)     46,000 41,135
        $97,220
Pharmaceuticals – 0.8%
1375209 BC Ltd., 9%, 1/30/2028 (n)   $ 35,000 $35,088
Bausch Health Co., Inc., 11%, 9/30/2028 (n)     37,000 27,278
Bausch Health Co., Inc., 14%, 10/15/2030 (n)     6,000 3,797
Organon Finance 1 LLC, 4.125%, 4/30/2028 (n)     200,000 179,228
        $245,391
Pollution Control – 0.5%
GFL Environmental, Inc., 4.25%, 6/01/2025 (n)   $ 20,000 $19,396
GFL Environmental, Inc., 4%, 8/01/2028 (n)     55,000 49,222
GFL Environmental, Inc., 4.75%, 6/15/2029 (n)     20,000 18,243
GFL Environmental, Inc., 4.375%, 8/15/2029 (n)     25,000 22,292
Stericycle, Inc., 3.875%, 1/15/2029 (n)     75,000 65,834
        $174,987
Precious Metals & Minerals – 0.3%
IAMGOLD Corp., 5.75%, 10/15/2028 (n)   $ 66,000 $50,820
Taseko Mines Ltd., 7%, 2/15/2026 (n)     45,000 41,627
        $92,447
Printing & Publishing – 0.4%
Cimpress PLC, 7%, 6/15/2026    $ 150,000 $141,562
Real Estate - Healthcare – 0.2%
MPT Operating Partnership LP/MPT Finance Corp., REIT, 5%, 10/15/2027    $ 89,000 $78,003
Real Estate - Other – 0.3%
RHP Hotel Properties, LP/RHP Finance Corp., 7.25%, 7/15/2028 (n)   $ 34,000 $34,511
XHR LP, REIT, 4.875%, 6/01/2029 (n)     70,000 60,893
        $95,404
Restaurants – 0.1%
Fertitta Entertainment LLC, 6.75%, 1/15/2030 (n)   $ 52,000 $44,616
Retailers – 0.9%
Asbury Automotive Group, Inc., 4.625%, 11/15/2029 (n)   $ 70,000 $61,929
Bath & Body Works, Inc., 5.25%, 2/01/2028      101,000 96,216
Macy's Retail Holdings LLC, 5.875%, 4/01/2029 (n)     49,000 45,519
NMG Holding Co. Inc./Neiman Marcus Group LLC, 7.125%, 4/01/2026 (n)     32,000 29,908
Victoria's Secret & Co., 4.625%, 7/15/2029 (n)     69,000 51,772
        $285,344
Specialty Stores – 0.5%
Lithia Motors, Inc., 3.875%, 6/01/2029 (n)   $ 50,000 $43,057
Michael Cos., Inc., 5.25%, 5/01/2028 (n)     35,000 29,751
Michael Cos., Inc., 7.875%, 5/01/2029 (n)     40,000 28,500
Penske Automotive Group Co., 3.75%, 6/15/2029      69,000 59,680
        $160,988
Supermarkets – 0.2%
Albertsons Cos. LLC/Safeway, Inc., 4.625%, 1/15/2027 (n)   $ 24,000 $22,743
Albertsons Cos. LLC/Safeway, Inc., 3.5%, 3/15/2029 (n)     50,000 43,528
        $66,271
7

Portfolio of Investments (unaudited) – continued
Issuer     Shares/Par Value ($)
Bonds – continued
Telecommunications - Wireless – 1.1%
Altice France S.A., 6%, 2/15/2028 (n)   $ 200,000 $74,431
Millicom International Cellular S.A., 4.5%, 4/27/2031 (n)     200,000 159,176
SBA Communications Corp., 3.875%, 2/15/2027      51,000 46,985
SBA Communications Corp., 3.125%, 2/01/2029      95,000 80,094
        $360,686
Tobacco – 0.1%
Vector Group Ltd., 5.75%, 2/01/2029 (n)   $ 31,000 $26,940
U.S. Treasury Obligations – 0.3%
U.S. Treasury Notes, 3%, 6/30/2024    $ 85,000 $83,170
Utilities - Electric Power – 4.0%
Adani Green Energy (UP) Ltd./Prayatna Developers Private Ltd., 6.25%, 12/10/2024 (n)   $ 200,000 $191,017
Calpine Corp., 4.5%, 2/15/2028 (n)     73,000 67,006
Calpine Corp., 5.125%, 3/15/2028 (n)     78,000 70,733
Clearway Energy Operating LLC, 4.75%, 3/15/2028 (n)     49,000 45,455
Clearway Energy Operating LLC, 3.75%, 2/15/2031 (n)     119,000 98,627
Greenko Dutch B.V. (Republic of India), 3.85%, 3/29/2026 (n)     188,000 170,610
Investment Energy Resources Ltd., 6.25%, 4/26/2029 (n)     200,000 187,500
Mercury Chile Holdco LLC, 6.5%, 1/24/2027 (n)     200,000 184,948
NextEra Energy, Inc., 4.25%, 7/15/2024 (n)     6,000 5,888
NextEra Energy, Inc., 4.25%, 9/15/2024 (n)     10,000 9,600
NextEra Energy, Inc., 4.5%, 9/15/2027 (n)     50,000 46,835
Pacific Gas & Electric Co., 6.1%, 1/15/2029      24,000 23,862
Pacific Gas & Electric Co., 6.4%, 6/15/2033      30,000 30,149
TerraForm Global Operating LLC, 6.125%, 3/01/2026 (n)     50,000 48,837
TerraForm Power Operating LLC, 5%, 1/31/2028 (n)     86,000 79,810
TerraForm Power Operating LLC, 4.75%, 1/15/2030 (n)     32,000 28,237
        $1,289,114
Total Bonds   $17,364,371
Common Stocks – 42.3%
Aerospace & Defense – 2.8%  
Honeywell International, Inc.   1,863 $361,664
Northrop Grumman Corp.   1,223 544,235
        $905,899
Brokerage & Asset Managers – 2.3%  
Citigroup, Inc.   7,951 $378,945
NASDAQ, Inc.   6,982 352,521
        $731,466
Business Services – 1.8%  
Accenture PLC, “A”   1,004 $317,615
Equifax, Inc.   1,345 274,488
        $592,103
Cable TV – 1.8%  
Comcast Corp., “A” (f)   12,608 $570,638
Intelsat Emergence S.A. (a)   705 15,158
        $585,796
Electronics – 1.7%  
Texas Instruments, Inc.   3,101 $558,180
8

Portfolio of Investments (unaudited) – continued
Issuer     Shares/Par Value ($)
Common Stocks – continued
Energy - Independent – 2.8%  
ConocoPhillips   3,274 $385,415
Pioneer Natural Resources Co.   2,384 537,997
        $923,412
Food & Beverages – 1.7%  
Nestle S.A., ADR   4,502 $553,296
Gaming & Lodging – 1.4%  
Marriott International, Inc., “A”   2,242 $452,458
Health Maintenance Organizations – 2.0%  
Cigna Group   2,170 $640,367
Insurance – 5.5%  
Aon PLC   1,795 $571,707
Marsh & McLennan Cos., Inc.   3,004 566,014
Progressive Corp.   5,049 636,073
        $1,773,794
Machinery & Tools – 1.3%  
Illinois Tool Works, Inc.   1,549 $407,883
Major Banks – 3.7%  
JPMorgan Chase & Co.   4,356 $688,074
Morgan Stanley   5,532 506,510
        $1,194,584
Medical Equipment – 1.0%  
Thermo Fisher Scientific, Inc.   623 $341,815
Oil Services – 0.1%  
LTRI Holdings LP (a)(u)   60 $21,370
Other Banks & Diversified Financials – 1.6%  
American Express Co.   3,159 $533,492
Pharmaceuticals – 3.1%  
Johnson & Johnson   3,534 $592,051
Pfizer, Inc.   11,129 401,312
        $993,363
Real Estate – 1.6%  
Prologis, Inc., REIT   4,053 $505,612
Specialty Stores – 1.5%  
Lowe's Cos., Inc.   2,130 $498,995
Utilities - Electric Power – 4.6%  
Dominion Energy, Inc.   9,821 $525,915
Duke Energy Corp.   4,976 465,853
Southern Co.   7,022 507,971
        $1,499,739
Total Common Stocks   $13,713,624
9

Portfolio of Investments (unaudited) – continued
Issuer     Shares/Par Value ($)
Contingent Value Rights – 0.0%
Cable TV – 0.0%
Intelsat Jackson Holdings S.A. - Series A, 12/05/2025 (a)     73 $456
Intelsat Jackson Holdings S.A. - Series B, 12/05/2025 (a)     73 292
Total Contingent Value Rights   $748
Investment Companies (h) – 2.9%
Money Market Funds – 2.9%  
MFS Institutional Money Market Portfolio, 5.25% (v)     932,521 $932,521
 
Other Assets, Less Liabilities – 1.2%   400,286
Net Assets – 100.0% $32,411,550
(a) Non-income producing security.      
(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 $932,521 and $31,078,743, 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 $14,565,646, representing 44.9% 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
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 7/31/23
Forward Foreign Currency Exchange Contracts
Currency
Purchased
Currency
Sold
Counterparty Settlement
Date
Unrealized
Appreciation
(Depreciation)
Asset Derivatives
USD 200,081 EUR 177,514 State Street Bank Corp. 10/20/2023 $4,150
Futures Contracts
Description Long/
Short
Currency Contracts Notional
Amount
Expiration
Date
Value/Unrealized
Appreciation
(Depreciation)
Liability Derivatives
Interest Rate Futures 
U.S. Treasury Bond 30 yr Long USD 1 $124,437 September – 2023 $(2,697)
U.S. Treasury Ultra Note 10 yr Long USD 2 233,969 September – 2023 (5,929)
            $(8,626)
At July 31, 2023, the fund had liquid securities with an aggregate value of $13,895 to cover any collateral or margin obligations for 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.
10

Supplemental Information
7/31/23 (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. 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).
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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 July 31, 2023 in valuing the fund's assets and liabilities:
Financial Instruments Level 1 Level 2 Level 3 Total
Equity Securities:        
United States $13,123,800 $— $21,370 $13,145,170
Switzerland 553,296 553,296
Luxembourg 15,906 15,906
U.S. Treasury Bonds & U.S. Government Agencies & Equivalents 83,170 83,170
Non - U.S. Sovereign Debt 89,106 89,106
U.S. Corporate Bonds 13,209,428 13,209,428
Foreign Bonds 3,982,667 3,982,667
Mutual Funds 932,521 932,521
Total $14,609,617 $17,380,277 $21,370 $32,011,264
Other Financial Instruments        
Futures Contracts – Liabilities $(8,626) $— $— $(8,626)
Forward Foreign Currency Exchange Contracts – Assets 4,150 4,150
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
Realized gain (loss) 9,939
Change in unrealized appreciation or depreciation (12,351)
Sales (9,939)
Balance as of 7/31/23 $21,370
The net change in unrealized appreciation or depreciation from investments held as level 3 at July 31, 2023 is $(3,306). At July 31, 2023, the fund held one level 3 security.
(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 $4,803,996 $4,599,766 $102 $(17) $932,521
Affiliated Issuers Dividend
Income
Capital Gain
Distributions
MFS Institutional Money Market Portfolio $30,283 $—
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