MFS GROWTH FD CL I - Mutual Funds Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2014 to Q4 2025

Type / Class
Equity / Mutual Funds
Price per share
$196.57
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
5,503
Total reported value
$1,231,347
% of total 13F portfolios
0%
Share change
+1,573
Value change
+$352,280
Number of holders
4
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 4 institutional investors reported holding 5,503 shares of MFS GROWTH FD CL I - Mutual Funds.

Institutional Holders of MFS GROWTH FD CL I - Mutual Funds across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 2,334 $458,783 -$72,926 $196.57 1
2025 Q3 5,503 $1,231,347 +$352,280 $223.89 4
2025 Q2 3,930 $851,340 -$291,573 $216.20 3
2025 Q1 5,504 $1,010,555 -$12,221 $183.68 4
2024 Q4 5,571 $1,122,930 -$9,575 $201.59 4
2024 Q3 5,618 $1,213,453 -$687,312 $216.01 4
2024 Q2 8,828 $1,889,657 +$1,780,787 $214.08 5
2024 Q1 512 $101,804 -$282,375 $199.50 2
2023 Q4 2,156 $370,179 +$262,257 $171.92 3
2023 Q3 477 $76,000 -$11,312 $159.33 1
2023 Q2 548 $90,000 $0 $164.23 1
2023 Q1 548 $80,000 $0 $145.99 1
2022 Q4 548 $72,000 +$394 $131.39 1
2022 Q3 545 $70,000 +$70,000 $128.44 1
2022 Q1 0 $0 -$82,000 $196.57 0
2021 Q4 424 $82,000 +$82,000 $193.40 1
2019 Q3 0 $0 -$446,000 $196.57 0
2019 Q2 3,794 $446,000 -$24,596 $117.55 2
2019 Q1 4,008 $444,000 +$430,000 $110.81 3
2018 Q4 0 $0 -$439,000 $196.57 0
2018 Q3 3,819 $439,000 +$203,000 $114.95 2
2018 Q2 2,052 $219,000 $0 $106.73 1
2018 Q1 2,052 $206,000 +$206,000 $100.39 1
2016 Q3 0 $0 -$38,764,000 $196.57 0
2016 Q2 4,630 $38,764,000 -$21,738 $37088.16 2
2016 Q1 4,404 $321,000 -$19,024 $72.89 1
2015 Q4 4,665 $346,000 -$8,108,999 $74.17 1
2015 Q3 119,470 $8,438,000 +$7,482,706 $70.58 2
2015 Q2 13,851 $971,292 -$1,434,532 $71.07 2
2015 Q1 32,473 $2,406,000 +$2,015,210 $74.05 2
2014 Q4 5,281 $378,000 +$1,002 $71.58 1
2014 Q3 5,267 $372,000 -$488,688 $70.63 1
2014 Q2 12,242 $857,258 +$214,016 $70.03 2
2014 Q1 9,186 $626,292 +$626,292 $68.18 1