MFS INSTL TR - INTL EQUITY FD

Historical Portfolio Holders from Q1 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / INTL EQUITY FD
Shares, excl. options Q2 2024
758K
Holdings value Q2 2024
$26.1M
Value change Q2 2024
-$679K
Grand Portfolio weight change Q2 2024
0%
Number of holders
2
Number of buys Q2 2024
0
Number of sells Q2 2024
0
Average buys Q2 2024 %
0
Average sells Q2 2024 %
0
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q2 758K $26.1M -$679K $34.50 2
2024 Q1 778K $26.8M -$1.07M $34.50 2
2023 Q4 809K $26.6M -$842K $32.94 1
2023 Q3 834K $24.9M -$234K $29.91 1
2023 Q2 842K $27.5M -$1.74M $32.70 1
2023 Q1 895K $27.7M -$3M $30.94 1
2022 Q4 992K $27.9M -$1.37M $28.14 1
2022 Q3 1.04M $25.5M -$583K $24.52 1
2022 Q2 1.06M $28.6M -$462K $26.83 1
2022 Q1 1.08M $33.3M -$532K $30.82 2
2021 Q4 1.1M $36.7M +$78.5K $33.45 2
2021 Q3 1.08M $35.6M -$1.49M $33.07 2
2021 Q2 1.12M $37.1M -$959K $33.08 3
2021 Q1 1.15M $35.6M -$828K $31.01 4
2020 Q4 1.18M $36.1M -$174K $30.64 3
2020 Q3 1.18M $32.1M -$1.81M $27.16 1
2020 Q2 1.25M $32M -$21.4M $25.60 1
2020 Q1 2.09M $46.6M -$8.83M $25.01 2
2019 Q4 2.48M $69.1M -$1.69M $27.79 2
2019 Q3 2.54M $67M -$1.41M $26.28 2
2019 Q2 2.6M $69.1M -$3.12M $26.55 2
2019 Q1 2.71M $67.6M -$650K $24.80 2
2018 Q4 2.74M $61.3M +$542K $22.31 2
2018 Q3 2.72M $69.6M +$288K $25.62 1
2018 Q2 2.7M $68M -$973K $25.15 1
2018 Q1 2.74M $68.9M -$210K $25.11 1
2017 Q4 2.75M $70M -$1.75M $25.46 1
2017 Q3 2.82M $70.3M -$3.77M $24.94 1
2017 Q2 2.97M $71M +$1.49M $23.90 1
2017 Q1 2.91M $63.8M +$974K $21.93 1
2016 Q4 2.86M $58M +$706K $20.26 1
2016 Q3 2.83M $59.5M -$21.9K $21.05 1
2016 Q2 2.83M $56.1M -$1.01M $19.83 1
2016 Q1 2.88M $57.8M +$1.12M $20.08 1
2015 Q4 2.83M $58.1M -$685K $20.56 1
2015 Q3 2.86M $58.1M +$679K $20.33 1
2015 Q2 2.83M $63.3M +$4.17M $22.42 1
2015 Q1 2.64M $58.6M +$1.51M $22.19 1
2014 Q4 2.57M $57.6M +$1.32M $22.42 1
2014 Q3 2.51M $55.4M $0 $22.06 1
2014 Q2 2.48M $57.3M +$7.42K $23.13 1
2014 Q1 2.48M $56M -$2.36M $22.64 1