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MFS Blended Research Small Cap Equity Fund (BRSDX) is an MF managed by Independent / Boutique. Its largest position is ADVANCED ENERGY INDUSTRIES INC (AEIS), representing 2.02% of fund assets.

MFS Blended Research Small Cap Equity Fund Portfolio Holdings

Source: SEC Form N-PORT institutional portfolio disclosures

Ticker:
BRSDX
Type:
MF
Manager:
Independent / Boutique
Total Assets:
—
Report Date:
Feb 28, 2026
Filing Date:
Apr 24, 2026
Showing 50 out of 191 holdings
Holding Weight Market Value Shares
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ADVANCED ENERGY INDUSTRIES INC
2.02% $6,475,158.72 19,296
-
FORMFACTOR INC
1.79% $5,740,577.28 58,056
-
Envista Holdings Corp
1.66% $5,337,864.61 182,741
-
Element Solutions Inc
1.64% $5,272,272.50 150,250
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POPULAR, INC.
1.63% $5,244,387.84 38,744
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FLOWSERVE CORP
1.63% $5,230,558.28 59,089
-
PORTLAND GENERAL ELECTRIC CO /OR/
1.63% $5,224,677.00 96,825
-
AVIENT CORP
1.58% $5,083,192.83 123,769
-
Weatherford International plc
1.54% $4,947,972.28 46,918
-
MYR GROUP INC.
1.45% $4,655,190.24 17,244
-
AGCO CORP /DE
1.40% $4,496,446.50 32,941
-
TEXAS CAPITAL BANCSHARES INC/TX
1.37% $4,405,337.80 46,226
-
UMB FINANCIAL CORP
1.37% $4,387,680.32 37,864
-
ESSENTIAL PROPERTIES REALTY TRUST, INC.
1.35% $4,344,184.24 127,996
-
EXPRO GROUP HOLDINGS NV
1.34% $4,314,172.30 241,555
-
Bloom Energy Corp
1.33% $4,253,060.07 27,321
-
NNN REIT, INC.
1.32% $4,224,866.36 93,223
-
BRUNSWICK CORP
1.29% $4,143,026.70 52,035
-
MODINE MANUFACTURING CO
1.28% $4,122,087.75 18,139
-
BANC OF CALIFORNIA, INC.
1.28% $4,095,039.11 221,713
-
EchoStar CORP
1.21% $3,872,681.13 33,521
-
EAST WEST BANCORP INC
1.15% $3,677,957.80 33,604
-
Beacon Financial Corp
1.15% $3,676,964.38 123,637
-
APi Group Corp
1.11% $3,566,314.44 80,214
-
Voya Financial, Inc.
1.10% $3,529,190.72 52,769
-
Piedmont Realty Trust, Inc.
1.09% $3,493,069.80 460,220
-
Grand Canyon Education, Inc.
1.04% $3,334,743.48 20,964
-
Chefs' Warehouse, Inc.
1.03% $3,318,135.81 46,479
-
LINCOLN NATIONAL CORP
1.03% $3,298,871.10 96,177
-
Clear Secure, Inc.
1.03% $3,292,538.88 67,692
-
OIL STATES INTERNATIONAL, INC
1.02% $3,269,855.82 249,798
-
HECLA MINING CO/DE/
1.01% $3,234,364.22 129,842
-
HANOVER INSURANCE GROUP, INC.
1.01% $3,225,690.54 17,858
-
Karman Holdings Inc.
0.99% $3,193,282.62 36,242
-
CATHAY GENERAL BANCORP
0.99% $3,191,978.52 64,212
-
Covista Inc.
0.99% $3,171,966.00 32,367
-
NEWELL BRANDS INC.
0.98% $3,153,059.00 692,980
-
COLUMBIA BANKING SYSTEM, INC.
0.96% $3,094,990.15 108,787
-
Corsair Gaming, Inc.
0.95% $3,040,751.79 553,871
-
Southwest Gas Holdings, Inc.
0.94% $3,008,536.74 34,122
-
Legence Corp.
0.92% $2,948,301.45 50,789
-
Five9, Inc.
0.90% $2,898,876.80 166,220
-
AXIS CAPITAL HOLDINGS LTD
0.89% $2,863,531.92 27,086
-
VISTEON CORP
0.89% $2,844,364.77 29,731
-
Prestige Consumer Healthcare Inc.
0.88% $2,809,976.40 40,548
-
Permian Resources Corp
0.86% $2,760,784.05 150,945
-
HIGHWOODS PROPERTIES, INC.
0.82% $2,616,981.38 116,362
-
TRINET GROUP, INC.
0.79% $2,531,672.64 66,483
-
AtriCure, Inc.
0.78% $2,497,861.56 79,906
-
CACI INTERNATIONAL INC /DE/
0.77% $2,477,900.37 4,061
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