Sun Life MFS Global Growth Fund Overall Morningstar™ rating ★★★ Global equities with above average growth potential. See fund details Bond… Global bond. From a distinguished pioneer in bond investing, Introducing Sun Life MFS Global Core Plus Bond Fund Invests primarily in investment-grade...
See MFS Global Real Estate Fund (MGLLX) mutual fund ratings from all the top fund analysts in one place. See MFS Global Real Estate Fund performance, holdings, fees, risk and other data from Morningstar, S&P, and others.
MWOHXMFS Global Growth Fund Retirement Holdings and Sector Allocations 2 followers $61.75-0.45(-0.72%)12/27/24 Mutual Fund |$USD |NAV Summary Holdings Ratings Momentum Dividends Peers Charting Holdings Breakdown Sorry, this data cannot be displayed at the moment. ...
For the three months ended December 31, 2024 (Q4), Sun Life MFS Global Growth Fund Series F (the Fund) provided a return of 2.81%. This compares with a return of 5.41% for the Fund's benchmark, the MSCI All Country World Index (CA$) over the same investment period. The Fund’s ...
mtcax mfs technology fund 25.4% 1-year technology memax mfs emerging markets equity fund 18.9% 1-year diversified emerging mkts mfegx mfs growth fund 18.43% 1-year large growth search funds highest returns in global real estate 1 year 2.12 % third avenue international re val fd reifx ...
MFS Growth Fund Class R6基金(MFEKX)历史数据一览,包括MFS Growth Fund Class R6基金历史行情,年化收益率,每日净值和涨跌走势图表。
MFS Growth Fund Class AMutual Fund Symbol: MFEGX Jan 09, 2025 NAVPS: $186.00 Change: $0.4237 0.0023% QuoteMedia Fund Score: 1m 3m 6m 1y 3y 5y 10y 16. Dec23. Dec30. Dec6. Jan180190200210220 Investment Objective Fund seek Capital appreciation MFS (Massachusetts Financial Services Company,...
今日MFS Growth Fund Class R6基金(MFEKX)净值查询,最新实时行情,走势图表,及MFS Growth Fund Class R6基金(MFEKX)的专业技术分析,历史数据,最新消息和未来预测。
Find the latest performance data chart, historical data and news for MFS Growth Fund Class C (MFECX) at Nasdaq.com.
Emphasis on REITs believed to be attractively priced with above-average growth prospects Invests primarily in equity real estate investment trusts Fund Information Fund Commencement 03/11/2009 Net Assets ($ M) As of 12/31/24 $2274.88 Fiscal Year End AUGUST Benchmark FTSE EPRA Nareit ...